THE RAHAB PROJE
Compsny Limited by Guarantse
Regkslered Charity
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED
31 MARCH 2024
Charity Registration Number 1132250
Company NuttJb¢r 06820663

THE RAHAB PROJEcr
REPORT AND FINANCIAL ￿ATEmENTs
YEAR ENDED 31ST MARCH 2024
CONTENTS
Page
Reference and administrative detsils
Trustees, rq￿rt
Jndependent Examiners, rewrt
Statement of financial activities
Balance sheet
Notes to the financial statements
10-16

RF.FERENCE AND ADMINISTRATIVE DETAILS
YEAR ENDED 31ST MARCH 2024
Trust¢¢$:
Reverend matth￿ Blake (XD
Sister Anronia Lopez Am)yo
Sister Doty Mathew
Kevin Hyltaua
SwAPnX Xavier (resigned 19 Ma￿h 2024}
Sister Maria Luisa Pug]isi
R¢gister¢d office-
Rtthab Project LTD
84 Eccleston Square
London
swiv ipx
Independ&ttt F.XAminers:
Adam Ha15ey FCA
Haysmac LLP
Chartered Accountants
io Queen Street Place
London
EC4R IAG
Bankers:
HSBC
25 Notting Hill Gate.
London Wl l JJJ
Solicitors:
Pothecary Witham Weld
84 Ecclestoll Square.
London
swiv Ipx
ChArity inforniation:
The Rahab Project is IM)th a company wisteted in England under Registration No.
06820663 and a rewtered charity under Registration No. 1132250
The company is limited by guarantee not having a sbare (wita].
Governing Deed:
Memordnthlln and Articles of A&s(Kiation

THE RAHAB PRn.TECT
TRUSTEES, REPORT
YEAR ENDED 31 MARCH 2024
The Trustees, who are the DÉrectors of The Rahab Project Present their retK)rt and audited finallrial statements for th
year ended 31 March 2024. the [nforM￿lOn QD l ft¥tED5 Part of this T¢POrt-
VISION
To inspire a new generation called to support women affected by prn*itution and human trafficking for the purpose of
s&xual exploitstion.
MISSION
Inspire - uphold and det.end women's va]ue and diyily, cballcoge any exploitatioD of vulnerability or 2huge of
puwci".
Liberate. -
wholeness.
TransfoTm- f￿]litate opportunities for change and journeying alongside with compassion atjd undersL2nding.
embrace women's humaniry encour￿¢ the pr(K¢55 of self-di%overy tEtat leads to inner freedom and
OWEcfivES AND AcrivtriES
The Chartty's objects that fonn its aims and objectives are:
The rellef of th0￿ iii ll¢cd by rw8on of S￿la[ or ¢eonoEDiC di$8dvxntAge and in partscular those at risk of,
involved in nr affected by sexual exploilatiOD'
b)
The advancement of education for Ibe publiL itllefit iD th¢ following subjects and related isques"
Social and economic dtsadva
Sexual exploitation and its in)pact iti society
The promotion of sllch other exclusive charrtable as are by thc law from tiffje to time &s
the Trus￿e5 shall d¥l¥iiiiinc.
Activitles
Rahab provides comprehensive Care for w(xnen involved ID off street prostithtson and women who have be￿ trdfficked
for the purpose of sexual exploitstion.
SeTVif£ provision for women has historiralty f(Kused on London in the Royal Borougb of Kensington & Chelsea
where the charity is barf and neigbl)ouring Boroughs ot" Hammersmith Fu]ham WcstD]iD5tcr City Council,
however the organisation has li PaU-tAilldoll rcath r¢8￿ to SUPPOTtsng women
The women Rahab supports with are predominantty foreign national women who have experienced exploitation. harni,
and abuse associated with PTOStitirtion and human trafficking for the Pur￿se of sexual ¢xploitstiotL
Rabab's PTimary focus is to offer a place of safety aud support where wom¢D can freely express what they aTe going
through and what support they n¢ed. The charity's aim ts to overcome baTriers to women's empowemien( equality of
pp)rtunity and choice. It has establisbed multi-agency pai1neT3hips and professional relationships with several referring
organisations to help proactively identtfy women who may need support and ensure they t￿￿1v¢ tb¢ 5p¢cialist carc thc
organisatson offers.
Rahab adopts a whol¢-person approacb to addrw wom￿'S practical aDd emotional neeth and helping them explore their
options, build resilience. and improve their sitt￿tiOnS.

'I'KUSi'l'kES' REPORT
FOR YKAR ENDED 31 MARCH 2023
Support is provided in wnfiden¢e aDd on a n(x]-tl￿e limited basis so that women have the frekn to engage at their
own pace and make Énforn]ed choices and decisi(￿5 t1￿£ WOTk b¥b"t fui ￿lY giv￿1 biiuaiivii.
Core activiti¢5 include:
Outr¢a¢h - w¢ekly w¢lfare visits to the women ￿ere they wort li￿ and in other settings {e.g.. prison4 immigration
removal eentres). focusing on he￿ peT50Dal safety. and wellbeinR. The (xrtreach visits offer access to an Independent
S¢xual Viol¢nce Advisor and work supporL
Case work support- individualised care framed wtthin Rahab's five pillars:
Emilronmenr & SIM￿10￿ - emergency accornmodat1o￿ material suppDrL suppDrt bu￿%￿ng
welfare benefits. legal advice. and Sup[￿ (e g.. in]migrntion pr(thlingq). ediicxtinn. v(￿hnn￿l trnining
and employtn¢Dt opp)rtuniti¢s, skills development e.g., English and rnath5 lesson4 any other conceTns.
Physical health- SUPFth accessing heahhcare servic¢s.
Emotional & prycholo￿¢QI wellbeing- emotionaI sw)porL counselling and wellbeing suworL befriending.
Community- social suppjrt and friendshtp. family support and reconnectio
Spiritsality- pastoral and spirits￿] supp)rL
Collaborations with statutory 2nd volunwJnon-st2ttrt(ry agencies and organisaiions identify women at TISL adilressing
thetr needs fin a coordfinated way, and developingioinr S￿a￿gi￿ for prevenTion WO￿ and susiaithle routes OUL
Christialllreligious inspiration ofthe chaiity
Rahab'3 ¢th0s is in3pir¢d by thc ChTiStian faith and the values by which it opcratss foundcd on Christian bclicfs.
These are enriched and shared by many people of other faiths and none who work with and support the orRanisation. The
charity embrac£s this diversty and is committed to inclusiveness and respect of all people, welcoming the contribution to
its work from those who are in sympathy with its vision and mission.
ACHIEVEMEIYTS AIID PERFORMANCE
No of women supported Apr-23 to Mar-24
We helped over 134 individuals through TefeTrn]s and ongoing ¢as¢s during the year.
Througbout the year our main focus was on delivering activities around suwting women alongsid¢ d¢liv¢ry of our
fitnprovthg Ihe qualty of supp)n for women wlth menTal IKalib nee(ts and condition5"
¢D3uring b¢tt¢r aGG¢3s so that rn0￿ womcn f￿1 Suppo￿ iD¢ludcd and conncCt￿.
Fund¢d activiti¢s have include
impl¢m¢nting a mixl¢l of trauma inforn)ed Iwe acro&8 the organisknoo adaptlng seryice delivery within this
contsxt (e.g. revisiting our appr(Mch to cas¢woTk counselliD& and clinical supervision).
Awards for All National Lottery Community Fund and BUPA Foundation Mental Health Sustainability Programme
(Helpline Fund) - development of WellbeinR@Rahab proRramme into an onRoin% acknvity for women 11.1. Rroup.
dlgltall,. tralnlng resources for volunteers / other professionals.

THF. RAHAR PR￿lECT
TRUSTEES, REPORT
FOR YEAR EM)ED 31 MARCH 2024
Developing of a 3-session traiDillg pn}grn￿c for staff alld volunteers to irnpr￿ knowledg¢ and $kil]s within the
Devistng a Women's Welhless ProgrdtDme that Incor￿ the Weill￿]ng@R8hab wigranune and mcludes
piloting a women's SUp￿)rt group.
In¢r¢asing the number of vohmt¢ers involvcd in tbe projert (5 new V0h￿te￿A including a summer student
placement).
developing bespoke resources for train￿ I sharing our apwoach with other professionals and in other settings
where it might be needed (e.& prison in-reach).
improving and expanding the itifornjation aDd activity material av•i]able on our website to promote more widely
the support availablelmake it more accessible:
apply for the working with trauma qll￿ty m￿k {silver stanthrdf to evidence extemally our capability as a trauma
nfornled orgaDisation.
Although refeTrals are still slgllificantly lower than pre•pandemic level4 fi]rther progress has been made in re-engagTng
PMSE MACC partn¢rs3 A criticat referral pathway. the role of PMSE MACC is now being primarity led by RBKC'S
Modern Slavery & Exploitation Coordinator. with Rahab a key parthff in frontline service delivery for Kensington &
Chelse4 Hammersmrtb & Trulham.
c.nst nf living erisis
Early indications are that many of the women we WOTk with will be impacted by th¢ cost-of-living crisis, increasing risk
and vulnerability. This will particularty be the for women who were already struggling to manage to make ends
meet.
Cost of living crisis
In a Rahab data sample of 30 womaL all ft)und that their WOTklbenefits did not cover renL utilittes, and ti)od
pnor to the cost-ol-living crisis.
l O % - Asylimi seeking w()men.
￿￿/0 - Women dependent OD univeTsal credi¢ and ho￿81ng beDefiL
4IP/ts- Wom¢rJ depend¢nt on univcrsal crcdiL housing benefit and child support.
- Women working part-time and receiving universal Credrt and housing t￿¢fil
- IA"omen WOEking.
- ￿ omen not in rec6iPt of welth benefits / being by e.g. a partner.
haN'e secured a small granv that will enable us to provide one off Iwdship suppon for ¢&8ential i￿S for
. thlilren and no recourse to fimd& should the need arise.
•wki•z_: shartd karniDg: ben¢ficiary upproduetion" sUP￿rt pathways
. ye x&a]ic resulted in many of our partner agencies having little or no capacity for joint working
14 durinu the period. However. we maintained prOf￿10nal relationships and connections
2WL XXTqE_i i d;fferent onlme meettngs. networkmg fonjms and events OIKaL pan London and
Muhi..40enc%' Case Confrrence (Royal Borough of KenSIn￿on &

THE RAHAB PROJECT
TRUSTEES, REPORT
FOR YEAR EM)ED 31 MARCH 2024
However, we maintained Professional Telats"0nsb￿S and connecrions wliere we Coul￿ E%uiiLipaiiJJg difftt¢nt (Mdinc
iii¢¢titigs, n¢tWo￿]ng forum3 and cvents (lo¢aL pan London 9nd international). helping to Tal￿ awaren￿% nf the impact
of the pandemic on the wornffl we work with and better joi[￿d up supwjrt arr￿ services for women's support
When &qked Ahnut the impact nf the pandemic and their immediate eoncern& women express&l sbvgglin2 to think about
the future, wanting to be indqKnd¢nt but IKing worried They also express￿1 value for the work we do and different
approach we take compared to many other Organi￿lon& To this end our fLW tor the comtng year continues to be
around providing 511PIK)rt to V40men who would otherwis¢ be mi&sed by mainskn service4 working with women to
listen to ther concerns and provide solutions that help them improve thew srtuattons and move torward wrth their lives.
tn paralleL the Trustees will be focusing on developing a suStsI￿1¢ long.trn strategy with the support of the grant
from 'Lloyds Foundation, and their Enhanced Programme for charities.
STRUCTURE GOVERNANCE AND MANAGEMENT
The Charity is Incor￿rated under Company law and is governed by its mem(Yandum and articles of association.
New ljustees are appointed u￿n rec(XDmendation and wnsidemg the necessary skjlls requNed within the Charity's
Board of Tntst¢¢s.
Staff and Volunteers
Th¢ Charity ¢mploy¢d at th¢ ¢nd of the fiscal yw on¢ Staff m¢tDIKr whu is support￿1 by three freelanc¢T5 and a
dedirated team nf c.irrg ?.5+ artive vnliinterTS any nnp. time. VnIimtee￿ cnme fmm 2 rAnee nf pmfegqit)nAI and
personal backwunds, contnlTruting their skills, talents, and abilities to belp deliv￿ the projecL The Charity CODsiders
trainÈng of voluntseT5 a very imwrtant part of its WOTk and all volunteers undergo a beswjke 10-month voluntttr training
programm¢ to equip them with tb¢ skills and kn(￿ledge they need to undertake their roles effectively.
FINANCIAL REVIEW AND RESERVES POLICY
The financial position is s¢t (￿t in the Stat¢m¢nt of Financial Activities. together with th¢ Balallce Sheet and Notes to the
FiJwicia] Statements. The charity incurred a surplus of £44J22 in the year (2023- deficit of £43,034) makmg total fun(Ls
£253296 consisting of £56.719 of restricted funds aDd £196.577 utwestricte(L
RESERVLS POLICY
The t￿SteeS have a&sessed the charity's requirements and consider that between six and nine montbs rulming costs which
amounTS ￿ beThveen £70.1)(KJ io £I(KI,(KA) should be rerained in reserves. Af 31 Marth 21124 unrestricted fun(ts amounted
to £196.577 whieh is currently above the target range. Given the Trugtees, budget for 2024125 includes increased
spendin& reserves are anticipatrd ts) reduce.
GOING CONCERN
The Board of T￿￿tee3 is of the opinion that the charity has adequate T￿OurCeS to continue in operntional existenc¢ for
the foreseeable future and there are no Materi￿ uncertainties regarding the TnLsVs abilty to do so.
RISK ASsESSmE￿r
The Trustees have activ¢ involvcffjcllt ill the day to day numillg of the Chiwlty. This involveM￿t ensutes th& they are
fully aware of the risks and requir￿1 action to sufficientty mitFgate those risks.

TRUSTEES. REPORT
FOR YEAR ENDED 31 MARCH 2024
PUBLIC BENEFIT
The Tn￿CeS, m this rq)Ory descntr how th0￿ aGi1viii￿ uthd¢rtak¢n by th¢ diarity fittther its ¢haritable purpoges for the
publi¢ benefit. The Tn￿tee$ confirn] that they c()mply wtth the thrty in section 17 of the Charities Act 2011 to have due
regard to the public benetit guidance.
TRUSTEES. KLSPONSEBIIJTIES STATEMENT
Company Law requir￿ the InJste¢s to PT¢pare fuw]cial statements foT each financial year. Under that law the Trnstees
have ele¢tsd to prepare the fmaneial statements in accordance with United K￿gdOrn Generally Accepted AccountiDg
Practice (United Kingdom Accounting Standards and applicable law). Under company law the Trus"t¥¥S EDUJI iivt approvc
the fill1￿1￿1a1 bloitiiicllts unlcss thcy wF sati3ficd thot they give a tTue and view of the stgte. of AffAirs nf the company
for that year. TD preparing the financial statement4 the Trustees are require41 to:
Select suitable accounting p)licies and applied them ￿￿]s{CDtty.
Obserrfe the methods and principles of the CharAliGs SORP.
Made judgments and estlmates that are reawnable and FThden¢
Prepared the accounts on a going concern basis unless it is illappropnak to presume that Ihe chariry wlll Continuc i
operdliun.
The Board of Tn￿eeS h&8 r¢s￿nS0)Il1ty for maiotaining propu a￿￿TrI1￿g reconjs which disclose with reasonable
accura¢y at any time the financial posttion of the chartty and enable it to ensure that th¢ financial statements comply with
the Companies Act 21K16. It a150 h&s resp)nsibility safeguardiDg the assets of the charity and hence for taking
reasonable steps to prevent and detect fraud and othff itregukn"es.
BV OIiDER nF THF. BOARD OF TRUSTEES
Sr Doly Mathew
Truste¢
Date:
19_ia-aoa4

INDEPENDENT EXAMINERS REPORT
TO THE TRUSTEES OF THE RAHAB PROJE
I report on the financial statements of the con)pany for the year eDded 31 Marcb 2024 which comprise die Stat¢m¢nt of
Finan¢tal Activiti¢s and Balance SheeL with the related notes.
R￿p¢¢t￿ve respons4bili¢￿s of trustees snd e￿mIller
The trustees (who are also the directors of the compaDy for the PUT￿)￿ of company law) are responsil)le for the
pr¢p(￿aLIv￿ vf acwunts in accordanc¢ with thc rcquirements of the Companies Act 2006 (*he 2(K16 Aev,). The
tniqte&£ are Satisfied that an audit is not required for this year under Se<t1(￿ 144(2) of the Charities Act 2011 (the 2011
Ath) and have chos¢n instead to have an indePend￿t examiDation.
Ilaving satisfied myself that the accounts of the charitable company are not required to be audited under Part 16 of the
2006 Act and ar¢ ell￿ble for ind¢p¢ndent examitiatAon, I rq￿ in Te4Kil vr￿Y ¢kwllillati4)D of the ¢baritablc compatty's
accounts ￿ ¢arried out under section 145 of the 2011 Act. In eArying {1￿ my examination I have followed the
requirements of the applicable Direction5 given by the Charity Commi&8ion under section 145(5Xi)) of the 2011 Act.
Independent eudminer'$ statemettt
I hav¢ complthd my exami[￿On. I confirm that no matters have come to my attoition giving me cause to believe that iti
any material rthyect..
accounting records were not kept in respect of the Company as requwed ty s¢ctson J¥6 of Ihe 200t"> ACL or
2. th¢ dv Iivl acioA"d with r¢cords' or
l. the accounts do not comply with the accounting Nuirements of section 396 of the 2[￿ Act othff than any
requir¢ment that th¢ accounts give a 'true and fair view which is not a matter considered as part of an
independent exammthon: or
4. thc accounts have not been prepared in accordance with the methods and principles of the Stafrment of
Recommended Practice for accounting and reporring by charities applithlc to charitie5 prcparing their accounts
in accordance with the Financial Re￿lIng Standanq app1iP￿h1e in the IJK and Republic of Ireland IFRS 102).
T have no concerns and have (x)me aern￿ no other matters in connectith with the examm￿on to wlll.ch attentson should
be drawn in this report in utd¥i Lu ¢lldbl¢ a piopci undcrstanding of thc accounts to be rel￿￿¢(L
Adam Holsey FCA
HaysMa¢ LLP
Chartered Aecountants
io Queen SI￿[ Place
London
EC4R IAG
Dat¢.. 20 December 2024

THE RAHAB PROJE
STATEMENT OF FINANCIAL ACTIVITIES
FOR YEAR ENDED 31 MARCH 21124
Total
Totsl
2023
Funds
Funds
Note5
Incomt from:
Donations and lewacies
Investments
Charirnble activiticb
9283
1.605
9283
1,605
134.810
24.408
360
59276
134.810
Total income
134,810
10,888
145,6911
Expenditure on:
Charitablc A¢tiviti¢s
100.779
397
101,176
127,078
Totsl expeDditure
100.779
397
101,176
127.078
Net (eipenditure)fmcome
34.031
10.491
44522
(43.034)
Transfer between fun(L8
io
5250
(5250)
Net movement in fvnds
39281
5241
44.522
(43.034)
Reconciliatlon offulld5-
Funds Imbught forward at l April 2023
Fullds orried forward at 31 Mareh 2024
17.438
191.336
208.774
251.808
io
56.719
196577
253296
208,774
All transactions are derived from continuing activitses.
All recognisa gaitis and10&8es are included in the Statement of Financial Activiti¢&
Th¢ notss on pag¢s io to 17 forni port of these finattei21 ststements.

THE KAHAII YKoJLcr
Cumpolly Nu￿b￿r. 06820663
BALANCE SHEET
AT 31 MARCH 2024
2024
2023
FIXED ASSETS
TaugiTr>l¢ &wts
CiJRREiwf ASSETS
Cash at bank and in hand
257242
213,753
257242
213.753
CREDITORS: amounts falling
due withiti one year
Accnlals
Other Creditors
4,897
82
52
3.946
4,979
NF.T CItRRFiYf A&SETS
253296
208.774
IY£T Ab"SE'r￿1
253296
208,774
FUIYDS AND RESERVES
Unrestricted funds
R¢stricÈcd funds.
io
io
196.577
56.719
191,336
17,438
253296
208,774
The d]rectors consider that the company is entitled to exemption from the requiremfflt to hav¢ an audit under the
provisions of section 477 of the Companies Act 21N)6 ("th¢ Act") and members have not required the company to obtain
an audit for the period in question in accordance wilh sethioD 476 ofthe ACL
The directOT5 thrit 7ilitÈ¢s for cDsuting that th¢ rompany kccp3 acwiinting which comply
with sec.tion IRfi nf the Act and for preparing financial statetDents which accord with the accounting re¢ords of the
company as at 31 M￿h 2024 and of its profit or 10&8 for the wiod then ended in accordance with the requirements of
sections 394 and 395 of the Act and which otherwise comply wilh the requirements of the Companies Act 2006 re￿illg
to the financial statements so far &8 applithle to the company.
The financial statements have been prepaT¢d in accordance with the ¥*cial provisions relating to companies subject to
the small companies, regi]n¢ within Part 15 of the Companies Act 2006.
The ftnaticial s￿eMents were approv￿ authviibrd fvr iJbU¢ by thc Board of the TnL%tCCs on
were signed below on its [￿hR}f by"
Sr Doly
thew
The notes on paRes 10 to 17 forni part of these fmancial ststements.

THE RAHAB YKOJLCI.
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 MARCH 2024
GENERAL INFORMATtON
The Rabab Tntst is an incorpirated charity io EDglaDd and Walffj with the chanty reg￿On number
1132250.Th¢ t￿lSt¢red offic¢ is 84 Ec¢l¢ston Squarc. Londofy SWIV IPX. The principal objectives of the
charity are set out within the Trustees lieporL on page 2.
ACCOUNTING POLICIES
The principal accounting p)licies adopte4 judgements and k¢y sources of ¢$￿￿tIOn uncertainty in the
preparation of the accounts are laid out below.
Bg$is of accounting
The financial ststements have be￿ prepared in &xordance with the Charities SORP (FRS 102} - Accounting
and Reporting by CP￿ritieS. Statement of Recommended Practice applicable to charities pryllig their accounts
in accordance with the Financial Re￿rting Stanilard applicable in the UK and Republic of Ireland (FRS 102)
(effective l January 2019). the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS
102) and the Companies Act 2006.
The Charity meets the definition of a public benefrt entity under FRS102. Assets and liabilittes are initialty
recognised at historical cost or transaction value unless otherwise stated in the relevant accounting policy
tEul¥(s).
The financial statements are presented ID UK Sierlin& whi¢h is the Ch8rity's funthional arncy, and are
rounded to the nearest FK)Ut)(L
Assessment of going concern
The Tn￿teeS have &sse5sed whether the ￿se of the going ¢oncem assumption is appropriate in preparing these
accounts. The Tn￿ have made this a￿&Sment in reS￿rt to a of one year from the date of approval of
these accounts.
The TnJstees of the chariry have cfflclu￿l that there are no rnatetial uncertainties related to events OT
conditions that may c&gt significant doubt on th¢ abilty of the charity to continue &s a going concern. The
Trustees are of the opini(m that th¢ chatity will bav¢ sufficient rcsourcw to rneet tts liabilities as they fall due.
Fund aceounting
Unrestricted funds comwis¢ aLwmulated surpluses and deficits on g¢n¢Tal fimd8. They are available for use at
the discretion of Ihe in titttherdnce ot the general charrtable objectives.
liestricted funds ue those funds which are to be used in accordance with Specific instrurtions imwse41 by the
donor or tr￿¥t deed.
Income
Income is recognised wben the charity has entitlement to the fun(L5, any pufonnance CODditions attached to the
item(s) of income have t*en meL it is Fyobable that the income will be receiv&t and the amount can be
measured reliabty.
Clwitable incom¢ rqjre￿ts grants receivable.
10

. NOThS TO THE FINANCIAL STATEKENTS
YEAR ENDED 31 MARCH 2024
AccouNfiNG POLICIES (eoDtinued)
Income (continued)
Donativllli WhL￿ thr thuily ]J&s" imi Jwtifiol wtitiug of iM)th th¢ amount and s¢ttl¢mcnt dats.
In Ihe event that A d()na)tinn iq qiihje£t tt) condvtions that require a level of perfoTrnaDce before the charity is
entitled to thc fund4 the income is defffred and not recogni￿ until those conditions are fully mel or the
fulfi]ment of those conditions is wholty within the control of the chartty. and it Js probable tI￿t those conditions
will be fulfilled in the reporting perio
Expenditure
Expenditure including rnverable VA"1" to the Statem￿t of Financial Activits"es on an accTuaI's
Charitable expenditure comprises expendIts￿ dir￿ attributable or allLKated to the PTiDcipal activity of the
charity.
Grdnts payabl¢ ar¢ ￿cOUnt¢d for on an accnhth and conuDitin¢m b&%is with amounts collllnitted but not paid
included within creditors.
Governance wsts compris¢ those costs that cannot be dNectty at￿'buted to chantable actsvthes. 'I'hese costs are
Foreign ¢urr¢Dey
Trdnsactions denominated io forei￿ cumcies are recor￿ at the rate Tuling at the date of the transaction.
Monetary ￿ets and liabilittes denominated in foreign currencies are retranslated at the rate of exchange ruling
at the balance sheet date. Any gain or loss 8rAsing from a change in ex¢haDge rates subsequent to the date of the
transaction is reported a8 an exchange gain or loss in the pmfit and lo￿ accA)unL
Tanglble fixed a&8ets rffjkng ovff £JIKJ are capithlise(L Fixed as5¢ts arc di5Gluwl ut his"t()ri￿
Depreciation is provided on all tallg￿l le fixed &wts at the rntes calculated to write off the cost on a straight-line
basis over the estimated usefid economic lives as follows"
tkasehold impmvements
2(Ph on cost
D¢btors
Trade and other d¢l)tors recognise41 at the Se￿leMent amount due afw any trade diswuni offered.
Prepayments are valued at the amount prepaid net of any trade discounts due.
Cash at bank ¥Dd in knnd
Cash at bank and in hand inrlud¢s bank accounts. c&sh and short tCTtn highly liquid investments with a short
maturity of three months or less from the date of acquisition or opening of the dew)sit or similar accowiL
Creditors #nd provisions
Creditors ond Provisions are recognised where the chaTity has a present obbgation resulting from a p&8t event
that will probably result in the transf¢r of funits to a third party and the amount due to settle the obligation can
be me&sured or estimated reliably. Cr&litors and provisions are no[ll￿lly reco¥nised at their settlement amount
after allowing for any trade diswunts dut.

THE RAHAB PROJE
IYOTES TO THE FIIYANCIAL 5TATEMENTr•
YEAR E14DED 31 MARCH 2024
ACCOUNTING POLICIES (eontinued)
Financial instruments
The cbarity only bas financial asgets 2nd financial liabilities of a kind that qualify as basic financial instruments.
B&sic financial inSt[u￿ettts are initially Te¢ognised at ttallsaction value and subs¢w¢ntly measured at their
settlement value.
Lritical aeeountsng estimates ar￿ ol ju•Jgements
Estimates and Judgements are continually evaluated and are based on htstorical experience and other fartor&
including eXP￿atIOnS of future events thal are believed to be Trasonable uttder the Cir¢utt￿ta￿ces.
Critical accouythng ￿timate5 aP￿￿$suMptionS
The Charity makes estimates aud ￿UM￿l0￿S rx)ncerning the future. The resultiDg accountÈDg estimates and
&8sumptions will, by definitio[4 seldom equal the related acts￿1 results. There were no estimates or ￿umptIon.8
that have a significant risk of causxng a Materi￿ &Jjusttnent to the carryiog amounts of &%sets and liabiliti¢s
within the next kncial year.
Lrrtical are(LY oljudgement
In th¢ view of th¢ truste¢s in applyiDg the #¢¢owrting Poli¢l￿ adopts￿ no judgements w¢r¢ required that have a
significant effect on the amounts recognised in the financial ststements nor do any estimates or assumptions
made Ca￿ a significant risk of material adjustment in the next financial year.
NET INCOME
2024
2023
This is stated after charging:
llldependent Exammer's fee
1.1515
1,65U
I'KUS.1'￿￿b, RLMUNERATIUN AI¥J) REIMBUIL%ED EXVEly￿1￿S
No trustee rec¢iv¢d remuneration or rel￿b￿Sed expenses during the year or in the previous year. The charity's key
management personnel are its trustees who unremunerated.
ANALYSIS OF INCOIKIE
2024
2023
Donations
Investments
Grants
9,283
1.605
134,810
24.408
360
59,276
145,698
84,044
12

NOTES TO THE FINANCIAL STATEME
YEAR ENDED 31 MARCH 2024
ANALYSIS OF EXPEIWITURE
Ch8ritabk Activitles
2024
2023
Co¥L) vfaLtiviiiGS"
-qtAff cnqts
-Oth¢r costs
overnance costs
32,476
66,885
1,815
57,691
67,737
1.650
101.176
127.078
SALAIUES
2024
2023
Wages and sg1*ies
Social secwity cos13
Pension Costs
31.dld
75
987
52,111
3,965
1.615
32.476
57.691
No staff ¢aTo¢d ov¢r £60,0(K> Trn the year (2023- the same).
The averdge number of staff in the year is l (2023- 2).
FIXED ASSETS
LeAsehold
improv¢m¢nts
Total
C05t
At l April 2023
17.317
17.317
At 31 March 2024
17.317
17.317
epreeiation
At l April 2023
17.317
17,317
At 31 March 2024
17.317
17,317
Net book value
At 31 Marth 2024
At 31 March 2023
ANALYSIS OF NET ASSETS BETWEEN FIJNDS
Total
2024
TotAI
2023
Funds
Fun(
Fund ba]attee8 at 31 Mareh 2￿
are represettted by:
Tan￿11]e assets
Current assets
Current liabilities
2(K)523
(3.946)
56,719
257242
(3.946)
213,753
(4,979)
Net assets
196.577
56.719
253296
208.774
13

THE RAHAB PROJEcr
NOTES TO THE FINANCIAL STATEMENTS (eonthiued)
YEAR ENDED 31 MARCH 2024
10. STATEMENT OF FUNDS
CURREN[ YEAR
Brou%bt
forward
Transfer
Inlout
Carri
forward
ExpeDdithre
Ullrestricted funds
G¢neral fullds
191,136
10.888
(397)
{5250)
196,377
191,136
10088
(397)
(5250)
196J77
Restricted funds
Brougbi
forward
Trallsfer
IDIOut
Carriul
forward
Income
E￿ndIt￿re
Big Lottery Fund
City Bridge Tn]st
Rcnatc
(3,7(K))
(37.497)
1.906
5,238
1,068
38.408
1,068
17
MOPAC VAWG
TNL CF Wellbeing
(113)
96
40
215
215
1.176
London Catalyst- Samarit
(1.178)
(3.964)
(5.741)
(19,984)
LBHF
Comic Relief
MOPAC VAWG CLF
Grocers Company
Homc Offic¢ VAWG Sp¢¢ialist
Anton JuTgens
LCF+MOPAC
iO,l(K)
6,136
3259
5.987
4,989
25.971
4.989
20,8S8
iO.IKM)
20,473
(26,010)
5,152
10,000
17,881
(2,592)
17.438
134.810
(l(Kl,779)
Totsl funds
W74 145.698
(101,176)
253.096
Big Lottery Fund
Big Lottery funding is for th¢ purtK)ses of supporting the expansion the capacty and operational infrastructure to deliver
mcre&sed support and llnpacL "Ibe fimding is lor the creation of a safe accommlxtsion, extending the ourreach
programme and the existing team along with other agreed activities. Rahab reports to the British National Lottery on
yearly basi5 providing an update on the prog￿ and itnpact of the proj￿( how the funits were spent and outlook.
City Bridge Trust
Cover costs for a senior c&8e wolker for two years and related core activities.
Salary of ca8e worker, partial salary of senior managema)L volunteer COS￿ Stafflvolunteer￿Om￿ trdvel costs,
women's equiprnenl ¢¢ntAI cogts. monitOTing and evaluatio4 clinieal supervision.
Renate
The purpose of this grdnt to support the pn)vRsion of online couoselling and Eng]ish sessions and advocacy around
accessing servic¢s for women with insecure inmligration stalu4 oveTStayery appears right*xhausted asylum seeker5
from the most isolated and vuln¢rable communities.
14

THE RAHAB PROJEcr
NOTES TO THE FINANCIAL STATEMEIWTS (continued)
YEAR ENDED 31 MARCH 2024
10. STATEIKENT OF FUNDS (Col￿NUED)
MOPAC VAWG
The purp)se w&q to supwrt th¢ ¥X￿Li￿xI gn)wiDg numbff of JYom¢n 3ccking Support as they struggled with the
addition21 challenges brought on hy the pandanic. Funding ens￿ed we ¢￿tInued to provide serrfices for them and to
improve our organisational resi]ience. Th¢ fimd SuFpOrt￿ towards salaries for our staff delivering services and for our
Charity Administrator to facilitate the forD￿tIOn of a theory of change and an organisational strategy. impruving our
go￿t￿￿nC¢ 3truGtur¢ and managm¢nt systems.
London Community Response Fund- TNLCF COVllk19 R¢S￿nge Fund
Fund granted to support the d¢v¢lopment aDd implementstion of Wellbeing@Rahab. a thernp¢utie programme for
women involved in prostitirtion and WIK) have experi&￿ sexual exploitatio
AMHP BUPA- HelpliD¢s Thnd Riipg Fnundatitin
Awarded for the purpose of the organisation's S￿￿]n￿lity. Granted as part of a grant scheme set up to provide funding
to Cofktribute to an organisation's resilience through the Covid-19 pand￿nIC. Cost funded iD¢lude web developmenL
volunteer traini￿ external Supervisio￿ and updates to Client Relationsb4) Management System.
L￿ndOn Calatyst
Grant money to ￿1St people in severe need. It can be usaj to alleviat¢ a ￿lS14 itDPToYe circutnthce5, and create
opportuntties.
LBHF
rant money wmmissioned by LBHF Community Safety I VWAG who want to eslablish the scale to understand what
support services are needed in the iM)rougb. Salary of two memlxr of the team working on th¢ ￿se￿Lh.
Gribttr5
Awarded for the development of an onlin¢ training package for volunteers. Any activtti&q that supwt the development
of training content and the upload on a secure web page.
Lomie Kehef
Fund granted for the development and delivery of a Wellbeing programme. Costs covered included
Counsellor/Psycbothcrapist time to develop an assessment tool for phycology &wssment4 nm a series of wellbeing
workshops. prepar4 deliver vohmteers training and provide clinical supervision.
MOPAC VAWG Cost of Living Fund
This grant must be u3¢d to rwd to the immediate IMP￿ of th¢ cost-of.IiviDg crisis on womeD and girls affected by
VAWG.
Home Uffice VAWG specialist Supwjn Servlcu Fund
Grant provid¢d to cover the salary of the Project c￿rdinatOr tn mAn8ge the development and wordination of Rahab's
involvement in our Muhl.agen￿ ￿th¢rShip m(Kkl and our outreach programme. Funding will also COntn￿llte to the
delivery of group workshops ftlr wnmen.
Anton Jurgens
Fund granted to support a counselling programme of I day of couosclling time ovv 48 weeks. the hiring of adequate
space for the sessions and trdvel costs for women atydiDg.
LCF+MOVAC
To provide compr¢hensive case rnan#8ement SUPFK*t to women #ffected hy Wjstltirtio￿ trnfficking and sexual violence.
reaching 320 women &8 direct beneficiaries in K¢nsillgtoD & Cbel
15

THE RAHAB PROJECT
NOTES TO THE FINANCIAL STATEMENTS (Continu￿)
YEAR ENDED 31 MARCH 2024
10 STATEMENT OF FUNDS (COIYTINUKD)
PRtOR YEAR YEAR
Brought
fonyard
Carried
forward
IDcome
Exp¢nditur¢
Unreslrleted
eneral fimds
2l4,153
27,018
(49.83J)
191J30
214,153
27,018
{49,835)
191J36
R¢strictcd fund
Brougbt
forward
Eipenditure
Carried
forviard
IB¢ome
Big Lottery Fw)d
City Bridge Tnist
19.686
(14,080)
(8.476)
12303
4.327
1,068
17
40
215
1,176
4,989
1,068
2,443
9,740
4.718
MOPAC VAWG
TNL cr Wellbeing
AMHP BUPA
London Catslyst. Samarttatis
Grocers Lompany
37,834
(40,260)
(9,700)
14.503)
(224)
4,989
37,655
57,026
(77,243)
17,438
Total funds
251818
(127,078)
208.774
ii.
TAXATION
The Ralth Project is a regI￿ered Charity and theref￿e is not liable to income tax or corpordtion tax on
incom¢ or sains d¢ri¥￿ its charitable activities, ds th¢y fall within th¢ ¢xemptions availabl¢ to
registered cbarities.
12.
LIAIJILI'I'Y UTr. M￿mIlE￿5.
The charity is constituted &s & company limited by guarantee and h&8 no share c4)ital. The liability of each of
the six members is Iltnited to the sutn of £1 w membu.
13.
RELATED PARTIFS
There were no related pty transactions ID either the current or previous year4 and thac are no balances
outstandmg with any related parties. at the Balance sheet date {2U23: £Nil).
16

THE RAHAB PROJECT
NOTES TO THE FINANCIAL STATEMENTS (continued)
YEAR ENDED 31 MARCH 2024
14. STA￿￿, NT OF FINANCL4L AcmTrrIES. 2023
Restrieted Unrestrict￿1
Funds
Funds
Total
2023
tn¢ome from:
Donations and Icgacics
Investtnents
Charltable activitics
24,408
360
2250
24,408
360
59276.
57.026
Totsl ineome
57.026
27,018
Expenditure on:
Charitable Artivitic5
77243
49,835
127.078
Total eipenditur¢
77243
49.835
127.078
Net {expenditsrellincome and net
movement ID futtds
(202I7)
(22,817)
(43,034)
RecoDeiliatio4 of futtd$:
Funds bought fonward gt l April 2022
37.655
214.153
251.808
IPund$ urri¢d fornrd at 31 March 2023
17,438
191,336
208,774
17