REGISTEREO COMPANY NUMBER.. (ENGLAND AND WALES): 07322971
REGISTERED CHARITY NUMBER.. 1140624
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Able & Young Ltd
Airport Housg
Purley Way
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CRO OXZ

E4CHANG
NGLAND LIMIT
he Financi
nt
eYearE
l March 20
Con
Pag8
Report of the Trusieos
1 10 8
Rgport of the Independent Auditors
9 to 10
Slal8m8nt of Financial Activiiies
Balan¢e Sheet
12
Cash Flow Slatfrment
No19$ to the Cash Flow Statem8nl
14
Nolgs to th¢ Financtèl Statèments
15 10 21

VOICE4CHAN
EEN
LAND LIMITED
VOICE4CHANGE ENGLAND LiwfED
Reportg of the Truste8•
for the Y•ar End￿ 31 March 2tr23
Th8 Trustees also dii¢ctors of tr￿ charity tor tt19 purpw ol Ihe Companiès Ad 2006. prosenl thelr
rwrt wlth the financial stal8menls ol th8 charty lor the yeaf ended 31 March 2023. Tho trustees have
optad the woviwons of Accounting and Reportw by Charibes.. Skièment ol Recommgnd8d Practice
applicable lo Char￿es preparirKJ their actounts in accordance with th&
Financial Reporting Stsndard aPpI￿ats1e in the UK and RwblK ot IrelatMI (FRS 1021 (effectw 1 January
20191.
STrUCTIIRE. QOVERNANCE AND MAIIAGEMENT
AboLrt VoiGo4CharvJ8 EwlarKI, Ihg Bo*d, •nd r8qukements of a Charty v0￿01Charye ENJland IV4CE} is a
national, membership organisation prov￿Ing th¢xacy, support lor the bènelil of the Black and
Mlnority Ethnic IBIAEI Sector. ft is a reglsleied charity (Charty Nuth.. 1140624) and a Company. Ilmitod by
guarantee (Compary Numbèr: 073229711
For year 2022.2023, theffj vrtr8 4 trustees: Neena Samota {Chairl. Ila Chandav•thar ITreasur8r}. Ka
Oxfard a￿j Gilhs Caton.
V4CE has the lull range ol pdicigs arKI W¢￿ule5 tor good w46rnarth management, as rfjcommonded
by the National Counol lor Voluntary Organisations. These arg dai8d and Ihè date ol reviow limgt&blod. V4CE
has Pullic Liability Insurance lo £5.0￿.000 ar￿ EM￿oIS Lk8bilty up lo £10,CW.CO). Our Liability
Insurances are r8vl•wed annualty lo 8nswo that cover ig *quale.
Orginlutlofft•l •tru¢luY•
The organisation is led by th• Dir¢¢tOf. Kunlo ￿lOd￿, T*ho ha6 overal cwaknal responsiblllty for all
aspects ol th8 organisation.
H9 roports lo the Board of Trusl•8S and all￿03 Board mè8kn'N)s. Fornal Bowd mwbThJs are rurs al least 4
tlmes a year. Addtlional Board meglir4Js arè run as th& n88d &75es. Wrth advice Irom, and in conjunction with
thè Dlreclor, the Board rnakgs dgcision$ *)out govemarte ar￿ olhèr subslanlial i85uos relatrng lo V4CE'. as
well as maintains ovèrsight io ensure that all woth is in accordance with the obj'ects ol V4CE and eurrenl
tslalion. and projects aig run a¢cordiThJ lo agreen￿nts wth lurKlgrs in tho Inter•st5 Ot the 81ack and
Mlnorily Elhnlc IBMEI sector.
BesKles the ￿18¢101, there are 10 other staff. V4CE is divld8d i￿0 3 main lurrttion$.' Pollcy, Developmgnl and
Communication5. The Development area coveTS V4CE granl programm•. mèmbership and capacity buikling
5LPPOrt and the Head ol Developrnenl manages 3 Grants oifKers and a MeM￿tshIp Olficer. Th9 H•ad ol
Communications fflanages a Communicati￿￿ Oflicer. There are also Project Financg Officers to manage
rolèvant suwort functions.
V4CE is usually a¢tiv• in r8cfuib'ng, inducling and vdunlegrs who hglp with drfferenl asp9cls of
dellvery and administrat￿n. bjt tlM8 has b8en haligd as a of COVID 19.
Rl*k manag•m?nt
The Director and 8oard have a rksk framowoik to review risks the organisalion is exp)sed lo and takgs
8teps lo reduc8 or minimise these risk5. Examples of risks I￿l￿de charyes in national pdicies.
which coukl impaci on projects al V4GE. as well as risks in le￿r￿ of rethJclion8 in fuNJiw avatlable. In 2022
23 a small tgam ol thè Direthor, the Char arKI the Pr(4•ct Ollw Ihe iisks attachgd to COVID 19 10
ensura that these were managed properly.
Page 1

voi
HA
E ENGLAND LIIAITED
ofth T
rlhey
OBJECTIVES AND STRATEGY
Charitable Objeth8s
The objects in thè governing document ol V4CE are:
1. The promotion ol equality and (thvefsity lor the PL*kn¢ by..
al thè eliminatron ol discrimina11￿ ol any kir¥J wtstso8v8r. w)c*xfrwJ r￿l limitgd tol lace. 98ndw.
thsability. sexual orieniation, ago. religion and be&efs;
bl advanciro education and raising aw￿e￿$S in eqU￿ty and (fversity:
I womoling aCtN￿eS lo loster und8r5tandiNJ b8lween wplg from divers8 b¥kg￿nd5'
conductirwJ or ￿mMiSS￿)nIr0 research on equality aThJ thetsity issues arwj put41$￿g the results to the
public..
el eultivaliThJ a sentiment in fav¢yJr of equdty ar*J diveTWty.
21 Th8 promotlon ol raclal ham￿nY for the public benefft by:
al promotiThJ knowled9e aThJ muiuaj underslaThJing between drflerent racial groups.,
bl advan¢irwJ education ￿Ing awareness about dflerenl raryal gr(x4)S to $y(￿le wod relations
tjtheen persorffj ol dilferent racial groups: aThYor
cl workmig towaTds the elmination of ijscriminalion on the grouThJs ol race
31 To Soci￿ indusion lor ltte benefit by in ENJland ar8 social
excluded on the grounds ot their ethn￿ orYJin. ref￿￿0￿. tJd*f or creed to relieve th8 rwds of r*opla and
assist them io integrate into soc
4) The d8vebDpmenl ol ihe capacty and skills of the merr*Jers ot so¢iaMy arvj Konomically <*sadvantag9d
BME Communities in such a way that ttrw are bettér abl8 to id8ntfy. and help meel, their neets and to
participate more fully in scci8ty
Vision, Mission and Values
V4CE vision is for.a slronger and moro inC￿s1¥e CMI scKiety. frt lo meet the needs of BME communities..
V4CE mission is'To worts toward5 the vision to buikl an I￿$1¥9 C￿￿ wiety fft to meg1 the n88ds ol BME
communiliès. and strengthen BME sectcrf oigani5ations to h* tkni r￿et the ngads of thelr communlllos".
V4CE Valu•9 ￿.
. Fairne$s'. to treat individuals organi￿1)n$ wilh reyct and with an even hard.
. Innovation.. lo work in ways which are new and crealNe, aThJ wh¢h defin8 rw sdirtbns to the problgrns
faced by the BME sector.
. Transparen￿.. to enswe ihai all (4)eralicKts are clear, vis*Ae. aThJ hone*.
Transformational: to translom ow own rKganisalion as well as of our partners for the ￿tter. In ordèr
lo meet wsion a￿1 mission, V4CE has sel Ihe lollowirvj S Strateg￿ aiff￿..
1.. To PTovide18adership a￿1 resources lo iruease BME S8etor IrN0￿￿nI arKI rewesentation in key
decision makin9 and poly forums
2.. To In￿eaSe awareness and iespect of BME Sector role. actsvTbes. inyact. and a(ts￿ value
3.. To streThJth8n th8 BME Sector aThl race equalty th¥￿h di1￿1 infrastructure se￿￿e delsvery. athocacy
and improvirg infraslruclure proviyon Ihrough partnership ar¥J collaboration
4.. To increaso OPPOrtuniltgs for BME organtsations to develop rosow￿ atNI sustainthlty tknugh
ente￿1$8. crealivtty and sector18d grant makirvJ
5.. To harness the BME voice through parfnershii. researth. and cortsLthation, to ertsure the BME perspecti¥e
is heard in issues that shape $￿iety
Publlc B•n8ftt
When planning and oY8rseeing activrtie5 the Tw$iegs have kept in MI￿ the Ch*ity Commission's guidancè
on Publ￿ bènelit. Trustees ensure Ihai the p￿ry￿se of the (*aiity:
' is clearly beneficial in a way ihat is ￿￿trfiable aNJ capable of beiro by evijence. and not based on
personal v￿wS
. ￿etIts the public In general. or a suffwt seclSon of Ihe ￿1c, is not lor personal be￿￿1
Paye 2

4CHANGE ENGLAND UMITED
fls
Tru
OVERVIEW OF W22- 2023 PERFOPthIANCE AIKI ACHIEVEMEKrs
covirh19 Beglnnlno ot th• •ftd
The year 2022-23 is tho yeaT in which wg came t¥Jiol Ihe COVID paThYwnic which brou￿1 thè world inlo a
maelstrom ol unloresegn challenge5. Voice4CharwJe EnglaThJ btyan a process of rava￿atiOn ol th8 impact of
the ehanges impacted by Ihe ch*ity and Ihe new challervjes thre￿h ts d8velopl￿1}I of new Strategic Pla
which recogntsed societal shrfts thal had taken place duriry the pandern￿ that remain with us (George Fbyd
protests) but also noted the continuation of certain Ih8mas that wer8 Ihere betore tho pandern￿. Namely,
people gxperiencing greater levels of homelessness, more wi Poof housiThJ, increased unemploymenl and
redundancies.. rising debl and greater diifKulty in accessing daty essenti*. and PXJrer accgss to h8ath
soNices. And finalty, the goneral undertjnding ot the BME sgctor.
For us al V4CE it meant a complete shift in rfrthinkiNJ how infrastr￿re stM)ukl opwate in an 8m8rgency.
Th8 answer was 10 transform our small national operation inlo a Grants dislitluior targeting BME
organlsation. The speed and rwJour in *thich this was do￿ by a taniastically grfted and hathorking stalF
9roup has been commer¥Jed by Twstees and Th)ted in this reptxt 0￿r last tsvo years d05e to £2m was
administrated in emergency lundiNJ lo over ￿ groups. COVID related wcffk. Thesè vital funds st¢Jppp*J many
community groups from e*her enduring delrimenlal 1￿￿1"r￿J1055èS ￿ WOTSt-case scenar*)s, becoming
unviable and ceasing operatK)ns. It helped t￿ Me￿ the demand trom th￿'r bengfdaftes
Prole¢ts and oth1￿MentS
Below we highlight the koy progfammes arwj inib"atives Ilwl Shar￿ a￿Virt10S at¥J overthe cours0 of
Ihe year. W8 would fike lo Ihank our funders and dor*)r partn8rs
COM￿ Reliel. Sport EnglarKI. the Nation￿ Loitery Ciymmunty Fund ar￿ the Home Office. W8 would also likg
lo thank our SlrategK Partners.. Blad( S¢yJÈhw8St N8twork, Mwyant RMJhts Nelwork. Manchester and
Lancashire BME Nets¥￿S, Race l)n the Age￿ the Muslim Chwtses Fiyum.
1. Comlc Rdlef and Natloml Efft￿n￿ TnMI funded Gmts ￿09rnrnrne
Fundlng: £135,046
Fun(Ing was used lo grant BME commuiwty groups thatwere struggling to help their community member$
who were disprow)tffjonal8ty impacted by COVID 19. The Ufgerty of needs and Ihe systematic
nderinvestmenl in BME ¢ommunty grw tyirKJ to meet th￿. Lxn ￿ soen by ts sh88r volume ol
applications received by V4CE.
Thar8 was c4ear neod and ￿(￿ wopos* lo meet need. sowy because there was rnt ernugh funding lo
gNe.
Outcomes:
. Hdyng the most disadvantaged and vukneratrAe iFvease Ihw a￿'fity to meet dw'ly n88d5 such as
food. medication, hygieno prtrjucts elc.
. Improwng quality of lile for housebound by WA'ThJ them wilh SIXY￿ a￿1 diglal inclusion.
e.g. helpiNJ objef people comrnunicate digilally with their lamity membèrs.
. Redu¢irKJ IS￿allOn, k)neliness and poor mental health ttwough belrierKINig arnl weltseiThJ services.
. Helping people through iryproving their ur)YerslarKling and thlty lo secure rKJhts arKI benefrts- a
vital service wevenling expb)itatwi and peo* avoKI dpstilulion e.g. by clwmirKJ the bendits
they were entit￿d lo.
3. Pargttèr TNst
VOICE4CHANGE ENGLAND. 14 PARTNEASHIP WfTrl ThE PARGrrER
Voice4change ErvJlaTrJ in partnership with Ihg Pargiter TrusL awarded 9 ￿gar￿sationS £43.5 K in grant
funding enabling them io cary out heath. weltsmg ao%ite. trainw sut4)ort with the￿ ag*J 65 arnl over in
8ME communii

vo
E4CHA
E ENGLAN
IM
ProvKling surwt with core costs on a b)n*term basis Wtmoti tMII provide Organisa￿n3 with time arKI
r8source5 to co-pfc•Juce communty responses is an wiority. These organisalions not only provide
ac¢essible and Ire8 seNic8s athjiessing or ￿leVIate comftwiTrty ngeds kxrt thoy enablg th8 Sustair￿111ty ol
communities through Ihese. w￿h rellects to Iheir 5elf.esteem. awrations and positive commuiity
connections. This is not only impnant for communities *e ours who are in the rycK*ss of th9ir settl8ment to
lrfe in Britain bui try 8nabling the dèvelwent of arKJ Mnslnthe relalions bglween communtt
wh￿h comprÉse our $oci6ty-
4. . Natlonal Lott•ry Communlty Fund (Pathv•y)
Pathway is a new partnership iniliatwe hosl&J by V4CE. fou￿￿ed in Novembgr 2022. aiming to calalyse
OpportLJn￿eS lor BFack and MinoTitised communities au4)ss EffjlaThJ t￿0￿h social investrnenL Kunle Oluk*J•
MBE, has demonstrated commit￿￿TrI to ¢atsfysiNJ B￿k aTrJ Minorty Wo￿9 given Ih9ir robe as a national
nth￿rk lor Bla¢k and Minoritised-kd ￿0a￿saI￿)n$. iea*ry as partriers ￿ Ihis endeavour will be Stephen
Bediako OBE and Bonnie Chiu.
The Pathway Fund has secured £0.5 ry¥nion grani funding lrnm NCLF, entered Into a startup
phase as of Awl 2022.
The Pathway Fund ams to ad as a in tha social wNeslment sector ty: ProviditNJ grant lur¥JirwJ to
address barriers fac8d by entèrprises led by and for PAack and Mlnofittsed ojmmuniligs in accessing tinan¢e
to fund and grow their aeimties, and in acquiring communty assets,"
Catalysing I￿ther inveslmenl inlo Black and Mirb)riiwl ￿mMuni1l9S by dwiskiry investments through
blendod finance and infiuencirKJ now investors:
InfiuenciNd the UK imw investiTrJ seclor on thp agenda of raGo1 ewty. throwJh sharirKJ of best practices
and data and setting ol standards, arKI ornrgirwJ 8k¥k ar￿ M￿oI1t￿88d ￿aderS in thg Sector
FuThJraising
To dale. Pathway's ltsndraisry effryls l(w)Jsed on r*svyJ lor (xjr pdol Kryramm85 and
r8s8arch. As ol Pori120¥3, a total of £1.45m has bggn rased from parthgrs lor this wtyk. includirKJ'.
Cty 8r*lge Trust.. £25(I( 5eoJred towards Enteryytse Develow*nl P￿0¢
Esmee Fai￿8th Fwndation: £200k secured towards Enlei￿lSe DvAopment Pilot
J¢)seph Rovmtree F0urKlatk￿. £5fAA s￿Vred towards tho two PdrAs
Barrow Cadlxjry Tn*l and Carwie UK: £35k seaKed tOT researth.
Th43 total wivestmanl means Ihal we can aclrlate thp devetsjw￿ of 2 key pibts- EnteryKise Deveknpment
arKI FUNJ Managgr Incubalor. The piknts will play a s1gnrfic￿I in demnstratirKJ proof ol Co￿p1 and
the bulld of prodwts for tho mawi fiJrKI.
The first pilot is an 184nonth to 12 8ME-led eniffjxises. As a wholesaler, it wil be w(Kking with Bkck and
Minorilised48d intermediaries to deliver this where the inlornwdia￿s will be hokling direct
relati¢)nshwps ￿ the enterprises.
Th8 S8cond F4k*t 15 a Furxl Managw IrKxIMtor t4ot to SLWJt capacity b￿ld￿Va ot dyee Black arnl Minorilbsèd.
led lund managers The airn is to supwt Bla(* and Mincrtbtknd furxl managers. paiiulaty lirsl.time lund
managws. in buthng and mana4¥ro fmds. There is a jack ol dwerw in thg m￿stMent and asset
management space. particu5aty at d8cision-rnakirwJ18vels.

VOICE4CHAN
Re
EEN
LAND LIMITED
5. Sport England
In participating in the (li$lrllwtion of Sport ErvJland funds vla their TacklirvJ Ingqualitios programmg. wo were
aware ol many 8ME organisalions who would not normally provide physical actIv￿eS, who now recognlsed
the need lo adapt an(1 provKle this as a result of ri$irwJ inactNity and related hBallh issues through
disproportionate pandemi¢ impact on BME PB0p￿. Th9refoTr. onè ol our main priori1185 lor this fund, was lo
try and encourag8 non-sports organisalion8 lo think ol projects that would he￿> lo ￿1 thgir seNl¢6 user group
begln lo be physicalty actNe.
Outcomes-.
• Improved ability lo address hèalth needs through the wovision ol accessib￿ and cullurally s8nsltive sports
and physical acllvhles provision
. Greater reach to h8lp some ol tho most disadvantaged e.g. BME women suNfvor8 ol domgÈtic ￿01*ne8,
BME wople wilh disabllilles, young peo* in nèed of activities that hèlp pr•vent antl-social bèhaviour and
hglp with menkl health i$8U88 elc.
. Greater knowledge ol innovativ¢ m8thod$ used by 8ME groups lo rgach. engage rfaln dlverse
communities In sports and physical actSvltie8
• Improved. moT& effective reach to those who have not been gnoag8d in sports or physlcal activities,. ofton
provioed with inlomalion lo help Ihem than engage with oth8T local provision leading lo oroaler integration
Dèvolopmenl ol legacy woth so the benefits ol Iho propcl can Continue aft8r project end
• Improved race ewallty by reachlng and provlding effectlv• $orvlce8 ft)r BME pooplè had not ewaggd In
sports proVis￿n
6. Hom• 0111￿ Wlndru•h Communlly Fund IWCF)
Rolling contract of £144.623 from D8c8mber 2020 to October 2022,. £125,574 in 2022- 2023.
In November 2020 V4CE signed a ¢onlracl with the Homo Office lo dellver grant support lo chariilès and
communily organisalions aiding vlclims ol what was1orm¢d'Windrush' issugs namely difficuty in provlng
legal righl to iessdo as immigratlon systems al arrlval were differgnl, #nd consequent lossgs and deportalionB
as a rosull. V4CE lell as a trusted BME-kd organlsalion, il could help with inlormallon givino and
administrat￿n ol the fund,1gadlng to grant awards that coukj holp BME community organi5alions help raise
awarenes5 01 the availablg help lor affected people Ihrou9h creation ol Windrush Schem83 that could bring
about laglgr and mole eftective outcomes lor tho88 looking lo bg compgn$oled for108sosldAmage or lo
secure proof of the right to r•8ldg In the UK.
We had a huge rosponse lo th? grant programm8 announc8ment. Tho first Phasè 1 had 79 groups requeslSng
1,369,497 wtth a fund amount of £3LIO,000. 14 groups of Ihe 79 were successlul with a spgnd ol t272,024.15
siartlng In May 2021.
Outcomes..
To Feb 2023..
. lrnpioved awaren888 ol th• WlndnJ8h Community Fulld through V4CE ¢ontribullon lo publlcrty and
o onling information even15
Eff ￿)ve r8ach ol lh8 programme resuliing in slgnlhcanl I￿reaSed appbicallons.
SU￿eSs in dislribuling Phase 2 grants. 21 oroanisotions across the UK werè awarded grants £223.987 10
wovide support to Windrush victims and to rasse awarenèss ol what they might b& entitled lo via th& Windyush
Schem8 Idocumentationl and the Windrush Compensation Scheme
. Effective sel up ol V4CE monitoring and ev￿UatIOn systems, with pgrsonali$8d surwt
7. Jo••ph Rowntr•• Rdonn Tru8t
£91.950 funding was granted by JRF lo commission a reputable social rgsear¢h company lo earry out
rigorous quanlitalive testing on (around livel 'lramès' develop8d by the ReframirvJ Race programme.
This iests'ng identilied effective overall storles on 'faeè'. racism and ra¢ial justKe as w911 as me3saggs, words
and phrase5 capable ol efteclively d&lNering these stories and influencing target audiences.
The 18soarch is vital lo fjquip advocalgs with ways of talking about 'face', ra¢i$m and racial justicti that can
chanoe the public convorsatfln and secure support lor serious ¥lion on racism lo which thosè in p)wer musl
iespond.
Page 5

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LAND LIM
JRF has Fyevi0us￿ invpsted in the overal Reframir4J Race programme {£18.3901.aThJ most recènlty in
specific Tesearch to understa￿& the conknjrs of wbkc th￿kn.￿J on'race., racism and ra¢ial justice. These
insNJhts- published in Common iknund. Contèsted Space- lo Su￿8$1 the ki￿lS of stories and
m8ssages worthy of bèing lridled in the ksbng phase. The work in ReframiThJ Rxe to date has alrea¢ty
genérated key ftaming go￿5. i.e.. *hthat we want lo a¢lithe tIw0￿h (Mjr retrarrirrfj. Thg ittpacl of the project Is
lo usè the Ir￿Ights from the researth to str•￿￿￿￿ ￿al piskn thocacy in an Omw￿alY way.
FUTURE PLANS
V4CE will continue to devekip annual wc*k ￿ based on ¥lsth￿. missbn aTrJ strat8gl¢ aims bsl•J ¥a)ove.
This means that we vill conlinue woth on-.
. Seryi¢es to assist disproportionate Thpxt of COVID-19 on BME communilies. and h* the BME Sector tiKI
recovery
. To collgct feedback Irom the BIAE Sth to a(*hss key issU8S
. DelNery ol infraslnjclure sorvtces to supwrt indNKlual BME ryM5aknal d&¥ew￿nI
. Key policy work lor the benefit DI the 8ME Secl
. WO￿ to help BME.led organlsalx)ns seujre a s￿17￿91U1ure
V4CE is rapidly building services Organisat￿$ dN*sify income and have bètter ac¢esg lo social
invoslment. This will m8an the inlrothjcti(￿ of a vast range of measures frcm witribuliThJ lo development of a
ring-lenced endowment fund BME organisaions as well &8 worf( wrfh partners lo build new resources and
activities for gncouragiry enterprise and ￿tivIsm.
Poll¢y: Cost of Uvlng Crlsls our respons• L￿ell￿va Up
Desyte efforts to revive the economy post.Covid, the UK faces stagnant growih and rnuntiNJ na￿nal debt.
posing chaleroes to lon*temi financial stability. The ccffi5ewences for iThJivKluals families are already
hugety challenging- leave aspJe the ricture we see in *8s Birmuvjham. where hxal govgrrbmènt has
gone bust- with significant culs in lurKlir•J to communty-based seNw. Thi% reality forms Ihe baekwund lo
th8 local electkjn due in 20¥J arwj 2024.
R8serve• Poll¢y
As of the 3181 March 2023 Ihe Chadty h&8 reserves of t95,￿. Howtrrfer. tho larg8r part ol this 15 restrkted
£94 388. In lenns ol real reservés. the Charity has unrestrirted r8s8Nes ot £674. The Trusiees also to
mJi)tain ￿neral reserves to Cover at le8513 months rurfflir¥J costs {an ad(liLional £4.000 por monthl.
Accordingty. the organisalion is looking at slrategies for inueasirwJ urnestricbd f¥Jnds. VoiGe4Change England
holds reserves accor£*ng to its Fleserves pOI￿y. which is In line wrlh NCVO and Clwity commission gurtlance.
In 2022- 2023 VoKe4Change England no furk*ai8iry in tel￿ of aFpeals lo the publi¢. All incom8
was through grants.
KEY REMUNERATh)N POUCY
V4CE has a policy of payw)g staff accordirg lo the kKal pay con(fil￿$ commensur* for a pwlhwlar p)5iiion
taking into account feskNMSibil￿eS and thlls un*Jue to that ￿sit￿1n. Pay are per￿(liCally r¢viewed
against otsr ctit&ia s￿h as irfflth'M18vels.
Page 6

ICE4CHANGE ENGLAND uMrrED
of the Trustees
REFERENCE AND ADMNSTrATIVE DETAILS
Aeglsler•d Company number
07322971 (England and Wales)
RegISler￿ Chrlty numb•r
1140624
Neena Samota (Chairl
Ila Ghadavathar
Karl Oxford
Gilles Cabon
S•nlor Ihnag•m•nt T••m.' Klmle o￿lOde. Itlrectorl
R•glstgr¢d offi￿. KosThw)s Cth. 3rd Floor. 2c Fakland Ro&J. Kentsh T(Th￿. Lorwjon NWS 2PT
Audltors: Pble & Young Lkl
Airport House. Pudey Way. Croyth. CRO OXZ
Bankers: Unity Trust Bank
9 Bn'dley Place. &rmingham 812HB
Page 7

VOICE
HANGE ENG
ND LIMITED
of th Trust
STATEMEKf OF ThusfEES' RESPONSIBILMES
The Tiustees (who are also the dir8Ctors of the v0￿4Change Erwjland company . Registered
Company Number. 07322971 lor thg puws of company lawl are resKy)nsiU8 for preparing Ihe
Report ol Ihe Trustees aThJ the finawab statwnents a¢C(xdar￿0 wilh awlicaile law and United
Kingdom AcC￿nting StaThJard5 {Uni1gd Klr￿*yn GeT• kcetyed Accwthg Pr&knl.
Company law requires the Trustees io preparo linancial slatements for each finartial year which
gNe a true and fair wew ot the stale ol aff￿r$ ol the char((ai4e cor￿nY and of the Ir￿0M1r4j
resources and application of resowces, iTKhJdirwJ the #KX)nw arKI eX￿￿lI￿re ol Ihe charilat4e
company lor that pgriod. In preparirKJ those fina￿181 slatemenls. the Twsitss are rewired to:
"selecl Suitab￿ accounlirYJ ￿l￿eS and Ihen a￿lY them cO￿stent￿.
•ensure accounls obseNe the mthhods and prI￿1p￿S In ihe Charty SORP:
nsure accounts make judgements and estimales that are reasonabk and W￿lent.
*lal¢ whether applicable UK &counting standards have been fdk)wed, &￿]eCt to any materi
departures d￿ClOsed èxplaingd in the financwl ￿ateMents.
•ensure that financial slatements have teen prepared on a gom￿ concern basis unl8SS it is
inapproprial8 lo presume that th? charty wll e(mlinue In tmtskness
Th8 trustees are responsble fcw keepi￿ woper recNds *thi¢h disclose with
reasonable accurw al any time the finartI￿ Wion ol the charitabbe company to enable
thom to ènsure that the fina￿￿11 statements conwy with the Corryanies Acl 20C6. They are aiso
responsib￿ lor 5aleguardir#J assgts of the ¢bariith corrgany aNI herte lor taking
reasonab￿ steps for the wev8nlw)n a￿j ol fra￿￿ arKI other ingulariti9&
STATEMENT AS TO DISCLOSURE TO OUR AUtffroRS
In so far as tho TNstees ar¢ aware atthe time of apwoviw our Intstees. aftm￿l retxiri: thère
no relevant audil inf0m￿tIOn las defined by Section 410 of the Companies Act 20(%) ol which tt
Gharitabl8 company's aLKlitors are unaware: and the Iruslee5 have lak8n al steps thal they oU￿t
to h8v& lakèn to make ￿mSelV8S aware ot any relevant auttht informatiM and èstablish that the
auditors are aware ol that infomiation. The trustees have wewed financial woiections for ￿MIng
years and are satisfied that they can skte that v0￿e4Change Er4JkirKI ts a goiffj concem.
Th8 above report has been wepared in with ts wovisiorts aF$l￿b￿ to Companies
subject lo th& sinall c(Mnpanies regime as sel CMJI in Part 15 01 thè CorrgaThes Acl 2(K6 artl in
accordance wilh the Chwiiies SORP {FRS 1021.
AUDITOAS
The aLvJitors, Pknle & Young Ltd, wil be w0p0s￿l for rtrapyolnti￿I at the forthtsThing Annual
GènerJ Meeting.
APPROVAL
TFHS report was apFYoved by the Board arml s1Jr￿d on rts behalf ty:
N8efia Samota
Chair
Date..
05
PwJe 8

rKlgnl Au(rrtors to the Mernb8rs of
EN
LIMITED
VOICE
HA
Oplnlon
W& hav8 audited the thancial statements ol VOICE4CHANGE ENGLAND LIM￿ED (the 'charitablè
ompany'l for Ihg year ended 31 March 2023 wtHch comp¥tsg th8 Statement ol Financial AclNitie$. the
Balanee Sheèt, the Cash Flow Statom8nl. ar*Y notes to the fw*ancid statemènts. I￿u￿1￿a a surnmary ol
significant accol￿￿.ng polKies. The fina￿laTr reportirwj that has been apF4ed in their weparation is
applicable law and Urwted Kiwm knunliry Standards, I￿lUdIr￿j FRS 102 The Fin￿1￿ Reporting
Standard aPpI￿abLe in the UK aThl RepthK ol 118land' IUnrt&l Kiwm G&neral￿ P￿ept&￿ Aceounling
Pra¢ticel.
In our opinion the fmancial statsments".
giv8 a tnJ8 and Iwr ol Ihe slate ol Ihe charitable coryyany's aff￿r5 as at 31 March 2023 and ol its
incoming resources and applKalion ol iesoLwces. ￿luth￿J ts irKome arKI exp8n(Iture. lor the y8aT then
ended:
have been properly prepared in aceordan¢e vrith Ulmted KIWM Generally Pttepted kcountir
Practice,. and
. have been wepared in aCUrdar￿ with the reqUYerT￿ ol the Ctywigs Act 2c￿.
Ba•ls lor oplnlon
We corKlucled our autht in accordance wilh Inlemational sta￿lards on Auditing {UIQ IISAS IUKI and
applicable law. I￿r responsibilrties un(knr Ihose slarnlards are furthw described in the Auditor's
responsibllrti&$ for the aLK14t ol the 0￿nts Sec1k￿ of our repyt. We independent of tho charttable
company in accoT(lance with the elli￿1 requirements that are r818vant lo our audit ot the accounts in thg
ineludiry th8 FRC'S Ethical Standard, th the wovisims available tor small enti1ies, in the ¢Ycumslances s
out below, and we hav8 fvifillgd our ot￿r eth¢cal resportsknililies in accordance wilh thgso r8quirgmgnts. We
believe that the audit evKience we have 0￿1￿¢￿ is suftient aThY wokyiale to provKle a basis lor our
opnion.
Concluslons rnlatk)g to golng concem
In auditing the finarti81 stalernents, we have tOn¢hAI￿ thai ts tnjsle￿, use of the goiw corxern basis of
counting in the preparalion of ￿na￿l￿ SL2ieN*nts is w¢yiale.
Based on work we have perlornwd. T*a have not Mkntif￿l any matsrial uncèrtwtss rdating to events ¢y
condiknorts that, i￿liVidUalty or collectivety. may cast svJnifu)t ¢*)ubt on the chaiitable eompany's ability to
continue as a goirwa concem for a period J)f atloasl from when the financid statements are
aulh0ri5ed for issue.
Our responsibl￿tieS and the responsibilties ol Ihe Intstees with T8SP8Ct lo concern are described in thè
relevant sedons ol this reW(.
Other Intorniatlon
The trustees are r8sponsible for the other inf(wI￿1. Th8 fAtrw #)fonr4114)n comwses the inlom?ation
induded in thè Annual Rewrt. other than fv fina￿1￿ slatements arwj ¢yJr Report of the IndepeNlent
Auditor5 Ih¢reon.
Our opinion Dn the fmancial slalemrt does not eovef the other inh>rmation aThY. excepl lo thè extent
othewse explicth stated in our repoiL we do not exFxess any lonn of asswance corthJsK*n thefeon.
In connection wrth our aLMJit ol ￿ fin￿￿ slalements. ow resr￿n$￿i￿ty is to read the othw informalion
and, in doiNJ so. consider whether the other wrfcffmalion is Mat￿la1￿ inconsistert wtlh th8 hnancTral
slalements, or our kno%￿edge obtan8d in ihe audrt or Oth&￿ &p￿ar$ to be matelially misstal&J. It we
ide￿fy such Mater￿ inconsist8nciès or apparent m￿eTIal mi¥statements, we are fequired lo detemiine
whether this gives rise lo a material misstalement HI the linancial statements Ihemsefves. 11. based on the
worl% we have perlorm9d. wg corKlud9 th* tsrg is a material misslat9￿ of this othgr infornmtiw. we arg
required to report that lact. We have nothirvJ lo rebyNI in tri5 regard.
Oplnlons on other maller8 proxrlbod by tho Ael 2006
In our opinion, based on the work undertaken in the course of th8 a￿lIt..
the inlomiation Liven in the Report of the TILtslees Itx the linanC￿ year lor wthich the financial statements
are prepared is consistent the financid slalements: a￿1
. th8 RerA)rt ol the Trustees has b8en prepared in ￿K(lar￿ aN￿￿&bIe19￿al wuir8monts.
Page 9

nden
EEN
ors to
h Member
D LIMIT
HA
Matter8 on whlch we grn requlred io T8port by oxcepllon
In the light of the kn¢)wledge and undersiandlng ol the charitable company and Its environmgnt obtained in
the course of the audlt, we have not identili8d material missiat&m8nls in the Report of the Trustees.
We have I￿thing lo repDrt in respe¢t of the following matters where th8 Compani¢$ Act 2006 rwuires us to
reFI)rt to you if, in our oplnion..
adequate accounling records have not beon kept or relurrys adequate for our audit have not been
received from branches not visited by us; or
tho financial 51atements aro not in agreement with tho ac¢ounllng records and returns.. or
certain disc105ures ot Irustee5' remunerailon specified by law are not made., or
we have not recewed all tho inlormation and explanations we rwuire lor our audlt.
Re•ponslbllltle8 of Iwstoo•
As explalned more fully in the Statement of Trustoes, Fl8sp)nslbllllles, Iruslees (who are also the
directors of the charitable company tor the wrp)s85 of Gompany lawl are responsible lor the preparation of
Ihe financial $laièm8nls and lor teing satislled that they oive a true and tsir vièw, arKI lor such internal
onliol as th• trust885 d¢lerming15 necessary 10 gnable th8 preparation ot Ilnanclal slaiomenl8 that are free
from material misslalement, whether due to fraud or error.
In Preparing the flnancial slatemenls, the Iruslee5 are responsible lor a$ses5ing the charitable company's
ability to continue as a golng concern, dlsclosing, as appllcable, maffers related lo going concern and using
the going concern basls ol accounting unles$ the Irusiees ellher intend to liquldate the chariiable company or
to C8ase operaiSon8. or have no realisik altemallve but 10 do so.
Our r0•pon•lbllltl•8 for th• •udll ol th• Ilnanclal •t•t8m&nt8
Our objeciSves ar8 to oblaln reasonable assurance about whelher the ac￿￿nts a8 a whole afe Iree from
materlal misslalomenl, whether due to fraud or erior, aTrJ lo Issue an auditor's report that I￿ludeS our
osj'nion. Reasonablo as8uranee Is a high18vel ol assurance, is not a guarantee that an Èudil corKluct
In accordance wrth ISAS IUKI wlll always datect a material mSs51ai8ment when li exlsls. Misslalemenls can
arise from fraud or error and are Cons￿er6d material il. Individually or in the aggregate, they could
reasonably be èxpeGted lo Inlluonce the economic d8cl$lons of u8ers iaken on the basis ot these accounts.
Irregularities, including fraud. are instances ol nOn￿ornI￿lance with laws and regulations. We doslgn
procedures in Ilne wllh our respon$ibilitles, oullined aly)ve, io dglecl malorlal misstatements In respgct ol
Irregularrties, includirig fraud. The exlenl to which our procedures are capable of dgtecling Irregularities,
Includlng fraud Is deiailod bekjw..
A lurthor description ol our responsibilili$$ lor the audit ol tho financia statements is located on the Financial
Reportino Council's websito at www.Irc.org.ukJaudllorsresponslbllllies. This description forms part ol our
Report ol the IndeFendenl Audltors.
U•e of our rnport
This r8kXIrt is mado solety lo Ime charitable company'8 members, as a body. In acoordance wlth Chapter 3 of
Part 16 01 the Companies Act 2006. Our audit work has ljeen uThJertaKen so thai we might state ID the
charitable company's members those matters we afe roqulred lo slate to them in an audrtors, report and lor
no other purpose. To tho fullest exlenl permltted by law. we do not accept or assume responslblllty to
anyone other than the charrtable company and Ihe charitable company's members as a body, for our audit
work, tor thls reFr)rt, or for th8 opSnions we have formed.
Aekh• Sh*h (Senior Ststutory Audltor)
lor and on b8hall ot Able & Young Ltd
Alrport House
Purley way
Croydon
CRO OX2
Dale..
oq.I.D1.ItsL.¢fr.........
Page 10

VOICE4
HAN
E ENGLAND LIMITED
Finan
20Z3
2022
Total
funds
Unrestrthd Rostricl
frjnd
INCOME
Donations
148.097
991.641
1.139.738
998.021
EXPENDITURE
Raising funds
23,514
char￿ab￿ Ac
139.449
1,040.312
1,179.761
1.908.￿5
Toi
139,449
1,040.312
1.179.761
1.331.519
NET INCOME
148,671
140,023}
1333,4981
RECONCIUATION OF FUNDS
Tr•n¥f•r ol lund¥
Total lund* bro￿￿
1362)
362
142.696
150,7
484.198
TOTAL FUND8 CARRIED FORWARD
16.289
The rw)tes M pages 15 to 21 form pwl ot these fmncial statemgnts
Page11

HANGE ENGLAND
2023
2022
FIXED ASSETS
Tangible assets
2.747
6.530
CURREpif Assrrs
D8btors
Cash al bank in hand
55.645
116.572
76,479
173,732
172,217
250,211
CREDITORS
Amounts falling due within ore ye
10
{53,4541
(106.0411
NEf CURREPIT ASSETS
TOTAL ASSEfs LESS CURREpir
UABILITIES
121.510
150.700
CRED￿oR5
Amounts lallirMJ dug after more than on8
110.833}
NEf ASSEfg<LIABILmES)
FUNDS
Unrestricted fund5
Restricted funds
12
16.289
1.388
8.005
142.695
TOTAL FUNDS
150.700
These accounts ara prepared in tAiih ts sw?al F￿￿)n5 of Part 15 of th8 compan*>' act relating to small
Companies.
The financial statements were apwov¢d by Ihe Board of Trnstees arKI authorised lor is&* on.............................................
and were swJned on its b8holf by..
Ch•lr
Dale:
notes on pw 15 10 21 forni part otthese finarKial statements
PwJè12

E4CHMGE ENGLAND LIMrfED
2022
Cash Ilows Ir¢Jm 0￿￿11￿9 a¢llvlll•8
Cash general￿1 Irorn op8ratrons
339 0261
Net cash Provided byllused in} opwabThJ
339.0261
Cash flows Irom Inv•sling actlvltlos
Purchase ol ￿9￿lIe fixed assets
Net cash (used inllprovid8d by inve5tiThJ athibes
Cash Ilowsfrom Iln•nekig •¢llvths
Nel cash (used inYprWd￿ by ffinan(#ng
activities
Change in ¢ash and eath equlv41Bnls
In th• roporllng perfod
Cash and cash •qulvalollts at the
beglnnlng ol the reportlng perfod
173.732
514,526
Cash and cash w4u1V•lw￿ at the end
ol the rep￿￿Trg p•rlod
116.572
173,732
P4e 13

E4CHAN
E ENGLA
IMtTED
RECONCILIATION OF NET INCOME TO NET CASH FLOW FROM OPERATING
AcnvmES
2023
2022
Mel Incomo lor th• rttportlng portod (•8 pw lh• Swemwi of
opernllng Actl¥lllo8)
Adlu*tm•nts lor".
A(*1 back.. oey8ciation
Decreaselllncreasel in d8btors
lrtr8asellD8crea5pI in creditors
140,0231
1333.4981
3,782
20,834
3,393
176.4791
14•t u•h provld•d byllu•ed In) op•rntlon•
ANALYSIS OF CHANGES IN NET FUNDS
Al 1.4.22
C46h flow
Ai 31.3.23
Nol ca•h
Gash al bank and In hand
173 732
173 732
116572
Tot•1
173 732
The notes lorrn part of ihg$0 Ilnarthl statements
Page 14

1.1 BASIS OF PREPAFNNG THE FINANCIAL STATEkEiirs
The finartial staiemenls have prepared in aceordarte with Aewunting and reporting by Charities:
Statement ol RecommeThY8d Prxlice aprAicable to charities w8pariThJ their accounts in ac￿dance with the
Financial Reporting Star#lard appI￿able in t￿ UK and Repthfie ot IrelaThY IFRS 1021 leflective 1 January
20191.. Charity SORP IFRS 1021. The FIn￿ch￿ Rwbr¥J Stathrd a[4>I￿able in the UK and Republic of
Irdand IFRS 102) and the Companitss A¢1 2￿.
Voic84CharvJe EnglarKI Limited meds the definiiM)n of a b?r￿ffl entity under FRS 102.
The financial Statem¥￿ are in Sterliry. wlKh is the tuThah)nal currery ol tho Chwity.
Monetary amounts in these lknanual statements are r￿¥￿d oll to the nearest £.
Th8s8 accounts hav8 been ￿d￿r the historKal cost conv8nlion vAth items recognised cost or
transaction vdue unless Other￿ stated in Ihe relwant ￿le{SI to these a¢￿)unts.
The Trust8es havg assessed whether tt* use of gO￿￿j con¢em basis 15 apprcpriate a￿1 have
constdered possible events or ccthrLS Ihat rn1￿ cast s¥jixf￿anI th)thl on th8 alxfity of the charity lo
continue as a going c(￿CeM.
The Charity's Financial Stat8ments sh(nv rnt deful 01 £40.023 forlhe year aThJ unrestrtclod rese￿0$ of
£16.289 as at 31 March 2023.
The Iruslges beli9ve that ihe re(kn11￿ in ￿￿Ome ￿1181￿￿ in thè yeaf will recover HI coming years now
that cowd pandern￿ rgslrit*)n5 have been lifted. Trustees will conmua to monitor and ensure sperbjing
to be done in line with income in c￿der to maintain sulf￿lant reserves to cover the 3 months average
expenditure. The reviw ol for 12 months from the date ot approval of the financid statements, the
asswiat8d assumptions that uTrJer*in it, the pipeli￿ of new wKome aThJ the steps that coubj be taken to
reduce expenditure should this be necessary. Further. il 5$ SUPP)rted ty the irKrea$e in volume ot activftie$
sugggst that Ih? trust V￿UkI ￿ èaming rN>re Irx¢m8 in lulure.
Based on th8 informal￿n atKwe. the have a reasonabl8 8XPOCtation that the CDmpany has
adequaie resources lo continue in operaticm lor th8 foreseeablg future and will remain profitable in lulure
periods. Therefore. the trustees have adopled the goiro concem basis in preparing these accounts.
1.3 Income
AJI income is induded in the SOFA ¥th9n the clwity is legal￿ enlfvj to rt. ￿1p1 is PTcI)able. and the amount
Can be measured with suffiuent ffeliabitty.
Granl Income
Grants are credited to the SOFA whèn the charity entidgj to the fi1r￿s. Income is only deferred where there
ar9 time constraints imposed by the dornr or il the is rthOm￿nce related.
V4here enti119m8rrt to grants receiv&￿ 15 depeTr￿ U￿Th of ¢￿￿1t1[￿￿ twlthln th? chaW's control,
the incomo is reCognis￿ when Ihere is Sulf￿leftt eVKI8￿ that ¢onditKms wll ba mat.
Granls supporting Iha core actr*itss of the ctrwity aTKI TArylh no spec1f￿ reslrthns placed upon their use are
included within donalvJns and kgarAes. Grants that have specfft restrictittts plxed uw)n their use are
induded within income from charitsble activttiès.
Donallons and legacies
Donations are reCogn￿ed in thè wiod fft ¥Jl&th are fftcev￿d. Legacy nxme is r9cognised
the charty's 9ntiUern¢nt is I￿19¢d to be KrfobaAe arKI *t*re the amount can b& Teliabfy m8asured.
The r￿teS lon￿ part ol these flnancial statemats
P•Je 15

HANGE ENGLAN
Financi
MITE
t-co
1.4 Volunt••rs and donatod •oNlce8 and 1ocIIItI
Donatgd profossional s0￿ceS and donated facilities ar¢ re¢ognlsed as Income when tho charity has control ovgr
the item, any condllions a8soclaled wlth the donatgd itom have been mel, the receipt of economic b8nelit from the
use by Ihe charity of item is pr(*Jablg and that economic benefrt can b& measured reliatly. In accordarte wilh
the charities SOAP (FRS 1021, th8 general volunt¢6r time is noi rècognised and rèfers to Ihe Iwst995' annual report
for more inlormaiion abDul Ihoir contribulw)n.
On recaipt. donalgd professional seNices and donaled t￿l11t18S ar8 rocognis8d on the basls ol the valu¢ of the gift
lo the charty which is the amount the charty woukl hav6 been willing to pay lo obtain s8rvices or facilities of
equivalenl econom￿ ￿1)efit on the op¢n market" a correspondino amounl 1$ then recoonised in expendiiure in the
period ol rgcelpt. No such dwalions were receNed during the year.
1.5 Expondltur• rneognlllon and Irrecovernblg VAT
Expenditure is recognis8d once there is a legal or construthg obligation to make a payment to a third party. il is
wobablg that salt￿ment will bg raquirad, and the amounl of the obligation ¢an b¢ mea$ured reliabty.
Expenditure is classified undèr the followng aclivity heathngs:
Cost ol raising funds eomprfses the cost of seekiThJ grams and ￿nationS and Iheir associated
support costs.
ExpgndituTe on charitable actNiknes ￿CIL￿je expenditure associated the main obieclives of tho
d. Charlty and Mxlude both directs costs and thelr associated sup￿*￿t costs.
Irrecov¢roble VAT is charged as a Cost ag￿llSt th• activity for which Ihe gXP9fKliture was incurred.
1.6 Alloc•tlon ot support costs
Support eosts are those funclions that assist Ihe WO￿ of Ihe ¢harity but do not directty undertake charrrthe
activities. SUpF￿rt costs include back-offi¢e ¢o$ts, managemenL financ8 and administration personnel, payroll
and governanog costs which support Ihg charity's prc•arammes and aciiviti8s. The59 Costs hav8 been
located be￿￿en cost of raising funds and expenditure on charitable a¢twiti¢s. The basi8 on which support
costs have been all¢xated aro sel out in not8 4.
1.7 Funds st￿￿t￿rn
The gengral fund coffyises Ihos¢ monie$. wh￿h may b8 used toward m88lng the charitable obh8ctiV05 01 the
company at the dlstxetion of th8 Exgcuttve Commlttae.
The d8signated funds are nw)nie5 set aside OLrt of general funds and designated lor Specif￿ purw)ses by thè
ExecutN8 Comrnitt8e.
The restrf¢l8d funds ar8 mDni85 raised for, and their use res1r1ct￿ io, a spedfic purpose or donations subie¢l to
donor-imposed condition$.
1.8 Tonglble fIX￿ assets and deprgrlatlon
Tangible lixgd assgts are stsled al cost less dep￿lati(￿. The cost of minor additions or those costing less than
£1.000 are not wlalised. D$w•ciation is provKled ai raies ¢Jculated to write off the cost or valuation of fixed
assets, less their ¢Slimated iesi4ual value. over thèir èxpected usetul lives on the following bas8s-
Gomwler Equipmènt
- 33.33% on c051
1.9 Dobtorn
Trade and other debtors are recognisad at the ￿ement arnount du8 after any trade discount offer￿. Propayments
ar8 valu8d at the amount propaKI of any trade dIsc￿ntS due.
1.10 Cash •1 b*nk and In hand
Cash at bank and in hand Ir￿￿deS cash and short-lerm cash dèwsits.
The r￿?t8$ fomi part of Ih8s8 linancid statements
Page 17

E4CHAN
E ENGLAND LIMITED
nl-con
Notes I
1.11
Credltom and provlslon•
Creditors and provisions arg recognised where the charity has a present obligation rgsutting from a past gvenl
that will probably result in th8 transler of funds to a third paty and the amount due lo settle th8 obligation can be
measurgd or estimated reliably. Creditors ar¥J provisions aro normally recognis8d at Ihèii settlement amount
after all¢)wlna lor any tradg dis¢ounl8 due.
1.12 Taxatlon
Th8 Charlty is a regislerod chartty and. Ih8rolor8, 1$ not liable lor IrKom8 Tax or Corpoiatw Tax on income
derived from ils charitabl8 a¢tivili8s, as Il falls wlthln the varlous exemption5 available to regist8r8d charities.
1.13 P¢n$k*n eo818
Contributions are charged 10 the Statement ol FIDan¢ial A¢tivili98 in the peri¢J(l in whkh Ihoy are
payablo. The as9els ol Ihg dolined contribution sch8mes arn hekl separately from those ol the
company in independently adminSslared funds.
1.14 Judgom•nl and k•y •¢urM• of ￿lm•¢10n une•rtalnty
In th& ap￿1¢allon of the company's a¢¢ounling policies. the charlty L8 required to make judgments,
eslimales and assumptions about the carrying amount ot assets and IlabS1ilies that are not readily
apparent from oth8r 50urc88. The eslimaiès and assodalgd assurnplions *e based on hislorical
experiencè and other factor8 Ihal arg ¢onskd8red lo b9 r8tevanl. A¢lual regulls may diffèr Itom the88
estimates.
The 9slimaiès and und8tySng 3ssumplion8 aro revlewed on an ongolng bas18. Revlslons 10
accounting 9stim8les are rocognised in thg ￿nDd in which the gslimaie is revised where rovislon
affects only th81 ￿rIod, or in thè pèrbod of the revlslon aTrJ luluTO porlods where thè rèvl8h)n affeKts
both current and lulure periods.
Tho notes lorm part of these flnancial stal¢mgnts
Page 17

VOICE4CHANGE ENGL4ND LIMITED
to th Fina￿1￿ Staiem
nl-
ntin
For
hey
DONATIONS
Funds
2022
Association of Chief Executi¥es ol Voluntary
Organisations
Race On the Agenda
The Paragit8r Trust
School ol SrKial Entrepreneurs
Carne*3e Trust
The John Ellerman Foundatic
The Indiw Tnjst
National Lottery CoMM￿rtY FLrtI (Pathway)
Comic Rglief
Groundwork LorKlon IGLA)
Mind
Sporl England
The Horne Office Windrush Community Furnl
Donations & Other I1￿orne
Match Trading
The Joseph Rowntree Relorm Tr￿1
BarTOW Cadbury Tnjsl
Paul Hamlyn
(3.387)
48.322
13.38n
48.322
13,000
5,WO
30,000
13.CKK)
251.834
251,834
1&5.046 135.046 5.000
14,390
14,3
408.934 338,744
125.574 518,112
51
490
10,000
45,975 45,675
35,000 20.000
20.000 20,000
125.574
51
10.CKXI
45.975
35.000
The Volu￿ary incoff* in 2022-23, 10t￿9 £1.139.738. ¢wt ol which. £991,641 were attn"buted to
restricled lur¥Js aThJ £148,097 were attribjted to unrestrKtod funds.
CHARrrABLE AGrivmES COSTS
R•laing Charitabl•
Fund$ Aclivlty
2023
2022
Direct staff ￿$ts
communicab.on and IT cosls
Grants aml Charilable Donations Pa*J
Professional gxpen5es
Prémises and eqUi￿lent costs
Other direct costs
Support costs (Nole 4
Govern￿& costs (Note 41
380.965
11,321
539.591
202.143
lo,8￿)
380.965
11.321
539.591
202,143
10.8tx)
411,894
23.912
744.782
77.619
10,8
14.678
41.888
5.946
31,929
3.012
31,929
3.012
Total
1 179 761
31
Of the £1,179,761 •xpeNJituie in 202312022 - £1.331.5191. £139.449 was chaTg8d to unrestricted
fund12022- £132.3141 and £1.040.312 to resi￿d fu￿lS (2022- £1.1992051
Ptyè 18

vo
HA
E ENGLAND LIMITED
the Finawal Statement- Continu
SUPPORT COSTS
The chaiity initidly Klentrfies the costs of its suFwrt func￿)nS. It thon identif￿S those costs which
relate lo Ihe gOverna￿e fijnthn. Govgmance costs ar¥J otlEr SUPFQrt costs are apportioned
sgparalely b8tsve8n the charty's key ￿1vit*S undertaken (see notè 31 in the year. All the general
supp)rt and govgmance costs have been a4wtiornd to the various Char[tab￿ activIt￿S basod on
staff time allocated to each actNity.
Function
2022
General office staff o)sts
Prol8ssional expenses
Communications and IT costs
Miscellaneous ex[￿seS
Insurance
other office expenses
Audit 8 ACC￿ntS lees
Depr8ciat
14.176
14,176
403
1.959
205
579
10.824
3,012
3.783
10.779
7,286
2,084
3,666
479
14,201
5,946
3,393
579
10.824
3.012
3.783
Totsl
NET INCOhEIEXPENDrruRE)
Nèt it￿me/ (expen(Iture) is stated aller c*arginty Icredthngl:
2023
2022
Auditors, ramuneralion
Dèpfèeiation
3.012
3.783
5,946
3,393
TRUSTEES. REMUNERATION AKI BENEFrrs
There no Iruste8s' remuneralion OT oll*r bendlts for Ihe year er¥￿1 31 March 2023 rKJr for Ihe
year endthj 31 March 2022.
TRUSTEES. EXPENSES
There were no trust9￿, gxpwws paKI the year gThJgd 31 March 2023 nor for the year ended
31 March 2022.
STAFF COSTS
Wages aNJ sdarigs
So¢ial Security costs
Pension costs
346,823
34,142
9.570
377,016
35,287
10.153
Tol
42
390 535 ￿455
One ern￿OYee reeeNed renwneratton in excess of £60,rAxI thJir4J year. Tr Total 8mploye8
emoluments was £62.422 in the year.
The average m￿1hty rnmbe¢ of petsorts empknyal ty the ch8rity thJriNJ year was 1212022. 111.
Ptye 19

ICE4CHAN
E ENGLAND LIIAITED
to the Financi
For the Y&ar End8d
TANGIBLE FIXED ASSETS
Computèr
Equipment
Openlng Balance
Aildilion during the year
Tolal Cost
11,359
Openin9 Balan¢e
Chargg lor th8 ygar
Totsl Depreciation
4,829
783
As on 31•l IA•reh 2023
As on 3111 March 2022
2,747
DEBTOFIS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
2023
2022
Tradè dèbtors
Othèr doblors
39,140
76,479
10. CREDrroRS: AMOUNTS FALLIMG DUE wrrHIN ONE YEAR
20¥8
2021
Tradg credrtOl8
Other creditors
Siudenl Loan DeductSon
P9nsion Account
Accruals and d8f6rred income
D91erred government grants
1,000
11,870
706
1,496
90,989
12,026
243
1,403
39,782
106 041
11. ANALYSIS OF ASSEfs BETWEEN FUNDS
R•8trfded
FurKI¥
G•n•rnl Funds
Totsl 2023
Tangible Iix8d assgts
Nel current assels
Non-currenl Liabilty
2.747
118,763
110.833)
2,747
118.763
110.8331
Total
11
Page 20

ICE4CHANGE ENGLAND LIMITED
in
For the Year En
1M rch2
Analy818 of Nel A9$0t• Bètw•8n Fund#-
Previous Y￿r
Restricted
FuDds
Goneral Funds
Totsl 2022
Tangible fixed assets
Net cvYr8nl assets
6,530
1,475
6,530
144,170
142,695
Totsl
142 695
Page 20

VOICE
Not
HANGE ENGLAND LIMITED
eFin
nl-
in
nd
12. MOVEMENT IN FUNDS
Balanc? al
01.04.2022
Balanc¢ at
Ineomo Expendltur• Trnn8l•t 31.03.2023
Rèstrlciod Fund8:
Joseph Rownlree Reform Tfust
Rac8 on the Aaenda
Comic Reliel
6,721
45,975
{3,3871
56,696
4,000
13,387
3,638
13,6381
Th8 John Ellerman Foundation
Spon England
Association ol c￿Of Executlves
ol Voluntary Organisations
Thg Pargrter Tiusl
Carnegie Tru81
Th8 Home Office WindNsh
Community Fund
Groun￿Ork IGLAI
Mal¢h Trading
Natlonal Lon8ry Communlly Fund
IPalhwayl
8arrow Cadbury Trust
Paul Hamlyn
30.000
408,934
14,590
408,934
15,411
1.916
1,374
48.322
542
48,3f2
5,000
125,574
5.0
13781
108.571
234,520
14.390
10.000
251.834
14,390
10,000
202,839
48,995
5.950
15,900
35,000
20,000
15.1S4
13,049
22,851
Tot•1 r••trlcl•d fund•
14
G9neral Funds
8.004
51
3,381
{4.OCiII
674
School ol Social Enlrgpreneurs
Comic Relief
13.000
135.046
13,000
123.069
3,838
15,615
Totsl Unr••trlctgd Fund
14
Totsl
1& RELATED DISCLOSUAES
Within other debtors Is an amount duo to thè charbty of £15.615 whi¢h was pahl In error lo a Iruslee.
This was repaid after thè yèar-ènd.
14. SHARE CAPITAL
The company limited by guarantee and does not havè a Share capital divided by shares.
Page 21