UNIVERSAL EASE TO REDRESS
ACCOUNTS AND REPORTS
FOR THE ENDED 30 SEPTEMBER 2025
ACCOUNTANTS
AKARAMS & CO.
ACCOUNTANTS & TAX CONSULTANTS
66 KING HENRYS WALK
ISLINGTON
LONDON
N14NJ

Contents
Page (s)
Legal and administrative information
Trustees, report
Independent examiners, report
Statement of financial activities
Income and expenditure accounts
Balance sheet
Notes to the accounts
8-10

UNIVERSAL EASE TO REDRESS
Legal and administrative inforn￿l10n
Registered number: 1128709
Trustees".
Mr. Patrick Stewart
Mr. Sambamwani Konzi
Ms Bridget M¢Farlane
Tehsee Sheikh
Kasongo Ndjoka
Address:
Voluntary Action Islington
200A Pentoville Road
London
N19JP
Bankers:
Royal Bank of Scotland
Direct Business Banking
4th Floor
1 Hardman Boulevard
Manchester
M3 3AQ
Accountants:
AK4RAMS & CO.
Accountants & Tax Consultants
66 King Henrfs Walk
Islington
London
N14NJ
T.. 0207 923 3226
F: 0207 923 3047

UNIVERSAL EASE TO REDRESS
Trustees'report and financial statements for the year ended 30 Septomber 2025
The trustees of Universal Ease to Redress present their report and finanaal statements for the
year ended 30 September 2024 which have been prepared in accordance with the Statement
of Recommended Prati￿. . Accounts'ng and Reporting by Charities issued in January 2015
(rhe FRSSE)
Structure. governance and management
The charity is organised so that the trustees meet regulaty to manage its affairs. The day to day
administration of the charity is managed by trustees, chair.
Governing document
Universal Ease to Redress is a charitable organisation and registered on the 20th March 2009.
The charity is govemed by a consitutton adopted 9 June 2008 as amended by special resolution
8 March 2009 as amended on 27 (3¢t 2018.
Our alms and objectlves.
Purpose and alms
The objects of the charty are:
The charity is to promote human rights (as out in the universal declaration of human rights and
subsequent United Nations Conventions and Dedarations). in parbcular the prevention of
torture and other ¢ruel. inhuman or degrading treatment or punishment throughout the world by
all or any of the following means;
Monitoring abuses of human rights
11. Obtaining redress for the victtms of human rights abuse
111. Relieving need among the victims of human rights abuse
IV. Educating the public about human rights
V. Eliminats'ng infringements of human rights
Ensuring our work deliver5 our aims
We review our aims, objedives and activities each year. This review looks at what we achieved
and the outcomes of our work in the previous 12 months. The review looks at the success of each
key acitiwty and the benefits they have brought to those groups of people we are set up to help.
The review also helps us to ensure our aim, objectives and activtties remained focused on our
ststed purposes.
How our activities deliver public benefit
Our main activib'es and who we ty to help are described below. All our charitsble activities focus
on promoting human rights.
a. Prevention of torture and other cruel, inhuman or degradirg treatment or punishment by
monitoring abuses of human rights
b. Reaching out to those that are victims of human rights abuse and obtaining redress
c. Educating the publiG human nghts and elimnating Infri￿ernents of human rights.

UNIVERSAL EASE TO REDRESS
Trustees. report and financial ststements for the year ended 30 Septsmbftr 2025
Financial review
During the year, income of £35.754.00 (thirty fve thousand seven hundred and fifty four pounds)
was re￿iVed as voluntary donations and restricted fvnds. The net excess income for the period
as shown in the financial statements for the period was £161 (one hundred sixty one pounds).
Responsibilities of the trustees
Charity law requires the trustees to prepare financial statements for each financial year which give
a true and fair view of the state of affairs of the charitable trust as at the balan￿ sheet and of its
of its incoming resources and applicats.ons of resources. induding income and expenditure, for
the financial year.
In preparing those financial statements trustees should follow ts best practice and.
Select suitable accounting policies and then apply them consistenljy"
. Make judgements and estimates that are reasonable and prudent
Prepare the financial statements on the ongoing basis unless tt is in appropriate to presume
that the charity will continue on that basis.
The trustees are responsible for maintaining proper accounting records which disdose with
reasonable accuracy at any time the financial position of the charity and enables them to ensure
ensure that the financial statements comply Companies Act 2006. The trustees are also
responsible for safeguarding the assets of the charity and hence for tsking reasonable steps for
the prevents'on and detecb'on of fraud and other irregulanties.
Members of the board of trustees
Members of the board of trustees, and trustees for the purpose of charity law, who served during
the year and up to the date report are set OLrt on page 1.
There was no re&gnation during the period under review.
In accordance with charity law, as trustees, we that
So far as we are aware, there is no relevant irrformation of whTrch the charitys accountants are
unaware and as the trustees of the chanty we have taken all steps that we ought to have taken in
order to make ourselves aware of any relevant infomation and to establish that the charitys
accountants are aware of that infomiab'on.
The report has been prepared,
order of trustees:
Patrick Stewart
Trusteelchair

UNIVERSAL EASE TO REDRESS
Independent examiners. report to th• mémbers of Universal Ease to Redress
We examined the accounts and the financial statements on pages 5 to 8 which
have been prepared under historical cost accounts'ng convention and in accordance
with the applicable aC￿Unting standard Board.
Respective rnsponsibilities of directors and accountants.
As described on page 3, the company directors are responsible for the
preparation of the accounts. It is our responsibility to examine the accounts and
based on our examination. to report our opinion to the shareholders.
Our examination was not an audit as the company directors believe that the
company is exempt from an audit.
Basis of opinion.
We conducted our examination in accordance wth the appropriate standards for
reporting accountants issued by the Auditing Practices Board. The examination
consisted of comparing the accounting records kept by the company and making
appropriate inquiries of the directors of the company. as V￿ considered ne￿SSary
for the purpose of this reporL
Opinion
The charity satisfied the conditions for exemption from an audit of accounts for the
year according to section 477of the company Act 2006
The accounts are in agreement with those accounting records as r4uired by the
accounting standards of company Act 2006.
The accounts are in agreement with the provisions applicable to compantes subject
to the small companies regime.
We have not been instructed to cary out an audit or a review of the financial
statements of Universal Ease To Redress. For this reason, we have not verified the
accuracy or completeness of the accounting records of infomiation and explanations
that were given to us and V￿ don not. therefore. express any opinion on the statutory
financial ststements.
MS&CO
AKARAMS & Co.
Accountants & Tax
66 King Hen￿S Walk
Islington
London
N14NJ

UNIVERSAL EASE TO REDRESS
statement of financlal activities for the year ended 30 September 2025
Current year Current year Current year
Unrestricted Restricted
Total
funds
funds
funds
2025
2025
2025
Prlor yeai
Tot
fund
202
Income & endowments from:
Voluntary donations
10.250
25,504
35, 754
28,101
Expenditure on:
Charitable activities
10,794
25.504
36,298
27.761
Total expenditure
10.794
25,504
36.298
Net income for the year
34:
Net Income after transfer3
Net movement in funds
34.
Total funds brought forward
3.368
3,361
Total funds carried forward
2,824
3,71,
The notes attached on pages 8 to 10 fom an integral part of these accounts

UNIVERSAL EASE TO REDRESS
Statement of financial activities for the year ended 30 September 2025
Incom& and expandi￿re account for the ended 30 September 2025 as required by the
Companies Act 2006
2025
2024
Income
Income from operations
Other income
25,504
10,250
28,108
Gross income in the y•ar before expectional items
35.754
28.108
Gross income in the year including expectional items
35.754
28,108
Expenditure
Charitable expenditure excluding depreciation & amortisation
Depreciation and amortisation
34,315
1,983
27,765
1,278
Total expenditure in th• year
36,298
29,043
Net income before tax In the financlal year
544
935
Tax on surplus on ordinary activities
Net Income after tax in tha financial year
935
Retained surplusldeficit for the financial year
935
All activities derive from continuing operations.
In accordance with the provisions of the Company Act 2006, the headings and subheadings
used in the income and expenditure account have been adapted to refiect the special nature
of the charitys activities.
The notes attached on pages 8 to 10 fom an integral part of these accounts

UNIVERSAL EASE TO REDRESS
Balanca Sheet as at 31 March 2025
YR:2025 YR:2025 YR:2024 YR:2024
Notes
Tangible flxod assets
6,149
507
Current assets
D8btor5
Cash at hand & at bank
Total
660
443
3,261
3.704
Croditors: amount falling
within one year
500
Not current asset
4,004
3,204
The totsl net assets of the charity
10,153
3,711
The total net assets of the charity are
funded by the funds of the charity as follows.
Restricted revenue funds
Surplusldeficit after charity adivit
Totsl charity funds
10.697
3,368
343
3,711
10,153
For th8 year ended 30 September 2025 the company was errtitled to exemption from audit under
section 477 of the Companies Act 2006 relabng to small companies.
The members have not required the company to obtain an audit in accordance with section 476
of the Companies Act 2006.
The directors acknowledge their responsibilities for comptying wtth the requirements of Act
with respect to accounting records and the preparation of the accounts.
These accounts have been prepared in accordan￿ with the provisions applicable to companies
subject to the small companies, regime and in accordan￿ with the provisions of FRS 102
se￿lOn 1A- Small Entitses.
Patrick Stewart
Tvusteelchair
Approved by the board of trustees on 10 February 2026
The notes attached on pages 8 to 10 fom an inb3ral part of these accounts

Note3 to the accounts for the year ended 30 September 2025
1: Accounting policies
The financial statements have been prepared in accordan￿ with applicable
Accounting Standards in the Unrted lQ'ngdom with application of FRSSE and the
Statement of Recommended Prati￿. °Accounting and Reporting by Charities"
(SORP 2015) issued by the Chartty commi&sion. A summary of the principal
accounting policies, which have been applied consistentty is set out below.
a) Basis of accounting
The financial ststements are prepared under the histortc cost convention and
include the results of the charFVs operakn'ons. which are described in the directors
report. all of which are continuing.
Depreciation:
Depreciation is provided on all tangible fixed assets at rates calculated to write
off the cost, less estimated residual value, of each asset evenly over its
expected useful lrfe," as follows:
Office equipment 5 years
Fixtures & fFttings 5 years
2. Turnover
Turnover represents the invoiced value of servtces supplied by the company,
3. Tangible fixed assets
Office
equipment
Fixtures
& fitting3
Total
Cost
At 01 October 2024
Additions
Disposals
At 30 September 2025
2,291
2,291
7.625
7.625
7.625
2.291
9,916
Depreciation
At 01 Octobor 2024
Charge for the year
Disposals
At 30 September 2026
1.784
458
1.784
1,983
1,525
1,525
2,242
3,767
Net book value
At 30 Septsmber 2025
6.100
6.149
Net book value
At 30 SeptsM￿r 2024
507
507

UNIVERSAL EASE TO REDRESS
Note8 to the accounts for thg yoar end￿ 30 Septembgr 2025
YR:2025
YR:2024
4 Current assets
Deblorsf•repayments
Cash at hand & at bank
Total
660
443
3,261
3.704
4.504
S Credltors: amount falling due within one Jffar
Other creditor5
Total
500
6 Change In totsl funds overtheyear
Funds
carrled
funds in fonvard to
2025
2024
brought Movement
fonvard In lunds In
2025
Restricted Trvenue fvnds
Unreslrtcted r8venue funds
Total chaiyty funds
3,711
10,697
3.711
14,501
3.167

UNIVERSAL EASE TO REDRESS
Notès to the accounts for the year ended 30 September 2025
7 Don*ions and grants
Current ygar Current year Current year
Unr•StriCt￿ Rostricted
Total
funds
funds
funds
2025
2025
2025
Prior year
Total
funds
2024
Donations and grants from
public bodies
Sport England
DonatK>n from members
AJC Cormiunty fvnds
Chartes S French Charitable Trust
Marsh Charttable Ttusl
Grounnd wot1( UK
Grounnd work London (WCGL)
Unknown Donor
Action Funder Ltd
Sported Foundalion
Poslccmje Society Trust
Barchestar Charitable Fundation
Proud to Pitch in
Percy Bilton Chanty
Total donations and grdnts from
publk bodles
10.(XXI
10.000
2, 750
2,500
3,504
50Q
1.000
1.200
2, 750
2,230
400
4,900
3,000
7.500
5,000
12.628
1,000
4,000
7SO
10.250
25.504
35.754
28.108
8 Expenditurn on charitable activitios
Current year Current year Current year
Unrestricted Restricted
Total
funds
fvnds
funds
2025
2025
2025
Prlor year
Total
funds
2024
Rent. rates and service charge
Volunteers
Telephone and intemet
Hire and rental costs
Office equipment exp
Printing, posl & stationery
Professional fees
Advertising & web costs
Welfare
Depreciation
Totsl charitabl• expense8
2.640
6.482
180
1,920
7.625
150
2.640
6,482
180
1.920
7.625
150
500
450
14.368
2,640
5,978
180
1,266
1,420
130
500
450
15,201
450
14,368
29,043
io