FINANCIAL STATEME
FOR
SWAN ADVICENETWORK

SWAI¥ ADVICE NETWORK
COTrnENIS OF THE FINANCTAL STATEMENTS
FOR THE VWI ENDED 31 MARCH 2025
Pa
Report of th¢ Commltttt
RepDrt olthe TruJ¢e•
llld¢p¢DdelltEu￿1Tht￿i Re￿rt
St•tomat of Aetfvlth8
Bilinc• Sh¢¢t
Flow Sts¢¢mtst
N•t¢s to ¢kn C#h FlovStst**L••t
io
Not¢• to the Fln4n¢lal StAteme#ts
11 to 16
D*l￿ed St•t¢m¢ii of MM•d*l Aellvllk#
17 to 18

SWAN ADVICE NETWORK
REPORT OF THE F.XECIITIVE COMMITTEE
FOR THE YEAR ENDED31 MARCH21)25
Purpose
Ivan'5 PIWP(J5e, as Oui tn irs M¢niurJndiim and Articlcs tsFA550cialitsn 1% to pruvide a of advicc Eind aLfL
s¢rviLY% allevi&ting nccd Jtnd IMr(Iship in Bath und North Ea* %pmcr*l 114ANE%I aTJd the 5urroiinding I￿¢a
T() achicvc tlus purtxTrse th¢ charily pursues Ihe fall(>wing objeclives..
- To PTovid¢ tronswlrt 10 access ser%'ile￿ and actLVItics
To %UPPDri idckliiw lon¢lincss in our ¢i?mmunilic& including through transport scrvice5
To provide advicL
- To H'ork willi viher ggtncie% to iargci services and itnprov¢ access to s¢rvices
- To Mainla)￿ prottss olorganisational d¢v¢loprnent
To e5tsblish Lonliniious streams tst funding for Swan's work
Or#aTri5¥11on#l Development
Swan reviews its activities each ytar looking Ht what we have achieved and the uuicomes of our work Thr rcvicw
lo•k% ill IIIL %ilLLe%s ofeach activity 8nd ihL bLnL'liis briiulht Ic) lh¢ PL(pIL W¥ IUL 5Ct up lo liclp. WL Ik1vi r¢ferrL'd ii) the
inli)riiiation ¢onillined in the Charity Comtiiis5ion'5 gcn￿rnI guidanli ot) public Ftnefil i¥l￿.n r¢viLlVlrtb oiir aims thnd
bjrvlivts and in planning our futurc atii¥iiies.
This year our DLVtlopmeDt ()IfiLLr icft in &ptcmtKT. hui she had ove￿en the u￿81¢ ot.our ivLbsit¢ before she moved
on. was repl&L%d ill NvvemM'rwiih thtt new role or1)￿ratiOnS Officer for 24 houT5 11 I%LLk.
OUT sclf cmployed fvndrniser who b¢gan in F¢bruaTy 24 ha5 gone from $trLsngih ￿ s¢rength is now an inwaluabl¢
part (Trf Swan's ieam.
We wLre giveTI furnial nDIicL in Junc that we w)uld ii¢ed to leave LE1￿ House a buildiiig we shared with other
chariti<%. as adiiiiitsiraiors twk uver the property to srll it. Soii)L btt%ic improvLIIILni% lo thc huilding b¢gaii arouiid us
and our s¢arcli for d nei¥ premises continued in eamesL The lJnthord who theii de¢idLd to rLiki'elop thc buildin8.
¢Luinmcidiilcd ils shi)rt ILrm IL% i*ork ix'gon on iiiL .%tsIfL&￿' anil up￿r Ilwr. ond we finallv fuund ￿rnelyh￿'rl
ar￿￿$1b1￿ bv bu% as 2 S￿[r don't driv¢, and M"hi¢h morc al'lordllblc than mcisi awUl￿ble 'I'he doi¥n5ide hu5
Ixtn Ihai il 1% Dilly aboiii u third 1>1. tlic %iiL' of i)ur li)rniLr O￿lle, so we ntsded a m&s%iv¢ clear oul of tbcords arld
fumiiurc Ihat hwd acc[￿d uver more Ihfjn 20 years. Wc rnov¢d into th new 0￿1¢< in WI￿rI￿O Road in R￿StoL.k ai th¢
¢nd ofMar¢h with our new landlord still Completing a few14sl minutr j(Ibb In t￿ prcmi5CS.
Sivfin'% fo¢iis in lh¢ laitir of IhL fiiiaii¥ial Vuar priinllrily oil the Jnove, but wt did start talks iii laiiullry ￿h￿l
tL.￿￿nINg thc I'IM)d ('lyh ivhiih prL'ViOii.%ly 0￿r￿lI178 in Ka(Iqock &nd had had ￿ c105e onoihtr charity
iihdrLiV. J4y Ihl ¢iiJ ufr ikn. fiiwncial yLdr héd linii plans io piloi ihis ID 25126.
.1 oiillrds ili¥ Lnd of fii)uiiLial Viar iv¥ M"Lit Inadc a￿arL. Ihi&l the conip&)y who hJd pri)vi(kd our Irany)ort bixjking
ysILiii for l&si ID yLar£ wi)uld k closing and no sup￿>T1 or uwlatL's would avail3b]c. WL bcLpan investigaling
what ￿ll¢r tTan>port soflivare 5ysieni% iiiighi nie¥l nt¢d8.
How our Aetlv5ilts Deliv¢r Public Bentfit
"rhe siimmar>' tsf Swan's muin oclivili¢s and Ihi>* w¢ help 1% bLlui%,. Our purpose lilnils th¢ *rvices we PTovidr lo
rL'5id¥nis in E5ANES and thc suffi>unding area¥ and our fundillg limits th¢ numlKr of p¢upIe wt can hclp. nur scrvirts
are pravided frce to OUT Clients alihoLoh we 4c¥¢pi dunaiion5 ti)wards ihe costs of our tr￿nsport jOUTtKy$.
Page I

SWAN ADVICE NETWORK
REPORT OF THE EXECIITIVECOMMITTEE
FOR THE YEAR ENDED 31 MARCH 2025
Atthievement and Ptrformgnce
VoluThteer I'ransport Scheme
Sivon's IranS￿rt Fill% into 3 PFvje¢ts... Supportio¥ P¢ople, LÉ)nimunily'fTansport and AiL¢ss io He#lth. The SiippDrting
Ptople pr<)jeci prDvide.% iran*ryiTi lo inablc clicn15 of Social S¢rviL*S Iv tilcess a rBngc of acilVltit& whcllKr li b
%linpping i?r all¥ndinb) a liiiiih¢on ilub. d¥1 LorL i)r furthir cdiiciilion. 11 is also lls¢O 10 vnable disttbl¢d ¥*oplL low
inLcinii li) dilivilic% Ihai wi)Iild tK)t i)IlILr%4isL b¢ abli lo gel LO. TIK Access io Ilialih Wl>jCLi Crtabks
pa%Kn8Lr% li) gil lo h¢alili rilaiL'd dppointinLlil* and Community'fransport covers )ny other dtt81iDa¢ions.
Iii tt>tsl %ivan'% irdllSt>oN ￿rViCe lills undLrlaken 4214 jnun)c>'s this Irar. which ]% about 2% Inare Ihan the PTCViOU%
yL8r. 'IhL t3ANI.'.S liiiJdLd SuprK)i'liiiL, pL￿p1￿ Iraiisptsri und¢rtook 21165 ioiirniy.% - u 30/0 dLi[LI￿ cili IM51 yittr. %11.￿tI
urid¢Aouk 7(12 ILalih rrlutcd journ¢y.8 ¢11 24125 aiid 1457 1)Ili¢r lyr￿.% of ioii]niuniiy Iranswiri journcvs. -lThi5 iva.4 a
'LrLllw in hl'alih j4xJrnLy.%. bul A 25D/4 IlILrei%¢ iii oilL'r Ccimmuniiy Transwrt jour￿Y8 compared ID last year. In total
wan has av¢Tagcd J58 journeys per Tnonih.
Cupp* and Ch*t
'llii% projLLI 1% an opwtiinity ID bring Siviin'% lancly and t%thIalL￿ passeng¢rs 11)gL*ther. WL htsvc h¢ld niLL'lin85 thi.% yL'ar
Lv¢n'.3 1)1. 4 wilh up Iii 10 PL￿1￿ngerS f*ttinJing. WL hav¢ Lxiiniiiunilj iiiiiiib￿S fri)ni AgL LIK lil IK'Ip
IS%LK'S 41111 libe walking dids. %ivan USLI J Iv£al Lat¢ <)t'aiiiiiliLf Lhoriiv our mairi veiiii¢ for Cuppll and C'hai with Irips
Iii olhur l(Kal calc% in Ihc for.WlllL Vilritii.. r)ur>iJ8 llie VLar ()Iir ('uppts and ('hai allind¥i% lia%'e Lrtjoi'ed & Louple ot.
m¥al% Luuk¥J al￿ lio.4liLI bN' ￿l)Ill¥r LIitsriiN' .%wulliiw. ovtr ik- suJwJJLr ¢lk'y Lnjoyld haviiig gu 01) Ilk I1￿￿1
Chai-L- C.y¢l¢- H he8Jx>kc elcclric tycle ailapied to take a pa￿ng￿t providcd by'fhe Active Way.
Ust of Volu*teews
Swan has had 31 driver￿ ￿￿1$(ered with us in 24125. 10 any onc month we had a maxinwm of 28 driveT5 actlYLIy
iThvulvril. We have i¥elLomid 3 tmv drivers, and I driver left durin¥ the year.
Wc hawc had an admiiii8iraiion
voluntecr Work1n￿ in the oifiie for 4 hours a week. l>ur five Iru%tecs arc all vtiliiniLer% wlio EjV¢ up their titn¢ 10
attcnd mttiin¥$ 4Lnd io Dversee 8wan's progr¢ss. We atc k￿kIng fotw8rd io hgving Ihc l.ti(kl Club voliini'¥r5 join Swan
88 pari ofour Icam in thc new financial year.
Fin•nciil Revie
Inc()Ining res()urce5 for the v¢ar amounted to £160.419 and txpendiiure wa5 £154,697
Rtstryes Pollty
ThL Fx¢LulivL CoininiiiLC has c%k)bli4lKd a poliLV whL'fL'by tlit unre4riiicd fund5 noi L0nimTi￿d or invc%led iii tangible
ri¥cd IIIK Irc¢ TeservL'%I held by Ihc ilioriiv.%lioul(J ￿. dl liasl 3 moiitlis operalin¥Tr LO%ls (Lirca 134.5(XJl dtKI &rL
ii(Iw dL"sjgt￿￿.￿ fur ihis PLirpos¢. (icI￿ra1 fuiid in 2024125 I5.￿s £7,.1¥5
In addillo￿ Swan has e￿tablIshed dcsignaied funds for a 5ickn¢s& reYrvt 1£5.0001 ond r¢diindaJ]Cy F*ovisiun tor a
Set￿ar1D 1£24,11¢21. This riprcsent8 a rcYrvLs turgci 01'£63.682. Ai Ihis level ih¢ l ¥cciiiive ('cirninillLL fccls
thai Swon would ￿ ahli ID ¢vnijDue IliL' u5u&I aLtiViliLS vfihi ¢huTiiv in IIK cvint (>t'a 5igniticant drop in lutiding. W¢r¢
that 10 ts¢cur. ii wvuld obvtoudy be necessary io C*￿1d¢r how itK' fundiiig ivtsuld t¢ ￿plaCed w activities chil￿g￿lL
Risk Review
Risks to Swan and its a4tlVlli¢s 8re kept undcr tegular reviLM'. ThL tnajor ri%k% Ici liJndin8 tK'ing add￿.￿￿d b!.
sccking OPF¥)rtuniiic5 10 diiLfsify aclivilie& sucl) ds takiiig IhL l.'IK)d Cliilj. dnd IhrDu¥lI Iliis orKiiin¥ iii) IliL
FN)s%ibilily wider funding wurces. Ini¢mal ri%ks are iiiiiiinitSL'd by Ilic implemciimiitsn i>f proLCLlur¢% for Juili¢insalioii
f all [r&n￿LI11}j18 and projects and lo ensure ciiii.%i%1¢ni quali¢y ot. delivir). of all OPL'fdiionnl a¥pects of ihc cljarity.
Th¢b¢ pr¢KLdiirL.8 arc ￿TrI}dI¢ll1]Y rencwed to Lll.4ufL that they Slill meci IliL' nceds ol. IIIL ¢hyriiy. A deiailrd finaD¢ial
rK)li¢y thfJnL& tlcar f￿ancIal Tesponsibility. Sgfeguards artd accounL4bility.
PaLY 2

SWAN ADVICE NETIVORK
STRATEGIC REPORT
FOR THE YEAR ENDED 31 MARCH 2025
Plin$ for ¢he Fut¥r¢
sw￿ wtll CON1n￿ to do Wh￿ is t¢quir¢d to maintain its Ird￿[￿ servic¢5 artd tontact5 with ¢li¢nts and groups that
makc ttfcrrals to our serwtts. will futhr the developm¢nt of Id¢￿ as to b>w Swan can d¢velop its service5 Sthd
contribute lo tsck]ing lonelines& These plans iDrlude cffgrt tD.'
- our trwrt s¢rviL¢ evolves to meet any rKw &TtWMb5 yDrluding th¢ usc of a neiv tr￿sPort sothvarc system
- Recruit more dr1vC￿ to Ensu￿ our ability to &mand
- Pilot Swan TUtu)ingthe Ra&1ock Food Club
- Continue to cxplore rtcw SOUTce5 of r￿dIthg
- Ex*nd Cuppa atKi Chat 5eS5lQnS
. Evaluate how thesc sessions ¢tdJ lit)k to other aclivitie4 p(>ssibly Sup[￿ed by otl*r ¢h*iii¢S and orwisations in
BANES.
Strnrture. GowtrnAthte #nd MAn8geme#t
Swan is & charitable company limited by guarantc¢, itL¢QryM)rated on 21 April 2(W)9. It W&8 originally registered with th¢
Charity Commission as a ¢hzrity M 30th Octob¢r 1989. Thc CoMp￿Y was ¢5tsblished w)der a M¢rnornndum (pf
As5(Kiation whi¢h established the obj'ects of the charitable coTThp4nyJ and it is govern￿ un&r its Arti¢ks of
Ass0¢iaiion. The liabilily of th¢ ]nefflEKrs (the lrnste¢5) 15 limite(L Undcr the Mcmorandurn of A￿Clou0t￿ in the cvent
of the charitable compomy ￿Ing wowid up its memitrs may b¢ wuired to contribut¢ oj) not exceeding £10 to
the c(Tr[npall￿s 455e¢s.
In S¢pt¢miw 2024 our longsiandin¥ Company SeLretsry Su¢ Bright retired a￿1 the position h&s bKn taken on by Susan
Charles who is the vice Chair of th¢ I'ru$tees.
Reeryhmettt and Appoimlment of ￿￿cutIve C0￿mItttt Methbtys
The diyeclors ofthe CoMp￿Y are also charity Irustees foT the of charity law tttd the ¢omp8nys Artick5
of A&8ociation arc kl￿wn &5 fflcmbers of thc Executive CortJrnitte& All membEf5 of EX¢cL¥ll￿ Cirtnmittee 8ive tkir
lime voluntarily and ￿(£1¥¢ no ￿llerIts froTn thc Gharity.
At ¢Kh annual seneral meetin& on¢ tlurd of members of th¢ Ex¢cutiv¢ Committee retire. ba5¢d on ]en￿h of service.
aThJ w¢ eligible for rc.aptK)intm¢nt subject to availabl¢ vacanri¢s at)d to their r¢cOMn￿[Ldttllott for ￿-aPp)intment by
th¢ Execulive Committ¢e. Appoirrtment of new cx¢Gutive committec mernEer5 i5 through a ttcnjitment pr(xc
followed by a r￿O[[b￿Knd8l1on of the Executive Committee to the atmual g¢￿ra1 me¢tin8 for formal approval. The
recruitttlent pro¢¢ss can includ¢ a vaticly of means and whenever necessary s￿¢1[1¢ skills are sought. Prospective
crnkr5 illiiially mtet with the CEO. and if txhih sides wish to ryo¢eed ihey ar¢ then invilrd to attend al least one
rn%ting of the Executive Cornmitte¢ gs an observer and lo giv¢ Tnorc (ktails of what thcy could Gontribuic ￿ a mcmbcr.
ThBir apJx)intmeDt may then pKK¢cd subj￿1 to fjrst ascertaining that thc applicant is ¢ll￿bI¢ tu ￿COme Ix)th a coJnpatLy
dircctor and a charity Irust¥¢.
Pag¢ 3

SWAN ADVICE NETWORK
STRATEGIC REPORT
FOR THE YEAR ENDED 31 MARCH 2025
Truitet$' respoll$lbllltl¢s kn relgtlon lo th¢ finanelal Stat¢￿¢￿t$
trusttts are responsible tor pr¢paring ihe Tnw¢es' A[￿￿] Rewbn and th¢ fmallei￿ sta*ments in accordan¢¢ wilh
appli¢abk law and UK Accouniing s￿￿￿rds IVK Genernlly Acccpled Accounting Pra￿l¢c}. Compfiny 18W rtqUjTC5
the uvstees to prep￿¢ fsnancial statements for each fuMn¢ial y¢ar* which give a true and f￿r view of sthie of affairs
of i]K charitabl¢ Compony ar¥J of incoming rc%ourccs and applicHtiorL of resources including th¢ income and
cxpettdiiure of the charitsbl¢ compfyny for that P¢Tio¢L In p￿P￿Ting i]K8c flllartci￿ 8tstem¢nLg the trus￿$ or¢ rcquired
sele¢t witablc accounling politits and then lppls, theTn con5iSteDtIy
- observ¢ th¢ melhods and principles of the Charitits SOI
- make judEcmenL% and estimatrs that ar¢ T¢&8onable and PTuthnl
state whether Appli¢abl¢ UK A¢¢ounting Sthnduds have ￿en followtd subj¢¢t to any material (kpartures disclosed
at￿1 eXplai￿￿d in the financial ststemenis
. Prepare the fIn8t￿l￿1 5ta¢Etllents on the goitlg concern b8sis it is inappropriate ￿ ryesume Ihat the charitable
compatly will contLnUC jii operation
Th¥ tru5t¢¢5 are r¢srM)nsLble for keeping adequate accounting records th&( di$¢ITr￿ with Ye￿￿able Rccuracy at 8Thy tim¢
thc financial rrf)sition of thc charitable ¢omp)my and cnable them to ¢￿￿Ure the fi[uU￿i4l 5ts*m¢nt5 Lomply with the
Cofflpanies Att 2006. Th¢y att r¢spTrnsible for S&fegUa￿ling th¢ aS￿ts of the charithblt company h¢rKe for
king r¢asonable steps forih¢ Ernntion and (kteetion of frawl and oth¢r rt]rgubrilic5.
Slai¢ment #$ to disc105ure toour InJ¢pvtMJ¢nl Examiners
In 50 far as the tsW*¢s aware atthe time of8pprovit)g ourtrusiee5 annual reKM)n:
- thcre 15 no rclcvat)i infomiJtiot4 being infonnaiion r￿¢(kd by exaJnin¢r itt ¢urttJeclion with p￿PAring ttKir r¢por¢
fpf whi¢h ¢h¢ chaTilable companls examiner is unaware., and
- th¢ trusicts have tsken all steps thai they ought ¢0 have taken to rnake themselves awor¢ of any r¢]evant informaiioTh
and to estsblish thot the ¢x8tniner is aware of thal informaiion.
This Te]M)rt liad ken ptrpjtrd in accordance with the provi%ioiis in Part is of the Companies Aa 2￿ applicablc ts)
¢otnpani¢s subject ￿ the componie5 regime aThJ Slaiem¢nt of R￿ornIn¢￿ded Practi¢e- Actounting and R¢porting
by Charitie&
This re￿rt w&8approv¢d by th¢ ix)ardon Ihe '.
n&5i¥ned by ils ordcr
C Davis-chair of ￿slee5
Susan Charl¢s- Vi¥¢ Chair
Pa￿4

SWAN ADVICE NETWORK
IIEPORT OF THÈ TRUSTELS
The trusws who are also dire¢¢ors of charity for th¢ F41rpo￿ of thc CompHnie5 kn 2(K)A PT¢SeTht their retxjrt with
the rmanc1￿ statemetlts of the charily for th¢ yeat etL(kd 31 Mar¢h 2025. Th¢ trustees have 4hJopt¢d rKovt510115 of
4￿ffits ITr gccwthtte with Fimoc4￿ Re￿rtIng StaDdard applicabk in tr UK ￿ Kqthlic of IttJhndlTrKS 1021
(effectiv¢ l January 20I9}.
The charily is cotjtrolled by tts governing th¢umEnL a deed of tru5¢ constitulcs a limii¢d ¢omFony. limi*d by
guarath. a8 dcfjttd by the Compafti¢$ A¢t 2006.
REFERENCE AND ADMINISTRATIVE DETAILS
Regiitered Company ouNbEr
6883950 (England and Wa1¢5)
1141396
R¢gl¥tertd ofllet
Unit fj I Wztyloo Rowj
Rad51￿k
BA3 3EP
Trust
C All¢D TTe&8urer
S M Ch8rl¢yVice Chair
C J Davis (Juir of Th*s
Lvans Trustee
CD G¢rrish Tru5te¢
Cmpiny Setyetsry
S M Charl¢5 Vice Clwir
Indtpe•deDt El*B￿￿tr
PG Owen Limited
ChartCTd Accourthnts
124 High Stre
MId￿meT Norton
Avo
BA3 2DA
Aprffoved byordcrof thc EXI￿Or tr￿￿e￿On.......................-.................... and stgttd on its trkha]f by".
Z3-1o- Lc)i%
L Allen- I'r¢a5ur
Page S

INDEPENDENT EXAMINER'S REPORT TO THE TRIJSTEES Olf
SWAN ADVICE NEIIVORK
tx••iDe￿Ire￿rt t•the ¢rnlt%*of STV¥n Advkt NI￿￿￿ ('tht Comp*ny')
I r¢wrt to the charity tfU5te¢s on my ¢xaTrunalion of th¢ accounts of the Company for the ycar ended 31 March 2023.
Rtspollsibili¢its xttd b*sis •f ttport
ch4r11￿& ofthr Lurwy IHJJd akn its dtrtt'rots for1￿ PUqMfft5 of Lyxllt￿ny luwl you ar¢ ￿￿[M)nSIble for
the ptepatation of the s¢¢ounis io llccordan¢¢ wilh Ihl requiren￿￿LS ol'ihe Comparlles AIX 20061.the 2006 Act'l.
Having *i.5f￿d mys¢if 8c¢owJts ofthe Cotnpany aTe wl re4UttEd th]dilcd imdcr Part 16 of 2tXKTr Act
sw¢ ¢ligibJL for ¢xaminatithJ. I r¢pth r￿5￿¢1 ufiny (Ifyour Lhuriiy'% IlL¢I)UJJIS Larrnd
(￿1 undtr S¢¢iion 145 ofih¢ Chariii¢s Acl 2011 I'thc 2011 Acf l. In carrying out tny examination I have followed ¢he
Di￿￿10nS given by Ch&Ttly Commissiotb Un(kr Se¢tion 145151 Ibl of th¢ 2011 AGI,
I have compl¢ted my ¢xaminatiotL I confimb that malt¢rs have com¢ to my *kntion in conwion with the
examjii)tion giving me to trKliev¢'.
actouJrting rLtord5 wer¢ kcpi in re5￿th of CompaTJy a5Tewir¢d by Sed*)n 386of 2M6Aci OA
the a¢¢tsunts do noi accord with Iho5c r¢cord%; or
thc do noi comply with the accounting Tequi￿￿entI of S¢c¢ion 396 of the 2U06 Act Dth¢r tban aNy
r¢q(tir¢mctlL th&t the ￿￿O￿ni% giv¢ a tru¢ 4nd fair viLw i¥hi¢h i% Jwt a mauer consid¢r¢d as p&rt of An
iThkKKD(i'ni exttminaiiw4 {IT
lh¢ aLcutsnt% have not tL'¢o i?repar¢d in accordance with the tncihods prÉn¢ipl¢s of the StsL¢m¢nt of
R¢comineThl¥d Pra¢ii¢r for aLrounitng and r¢portin8 by chartli¢5 lapplicabl¢ to ¢hariite8 PT¢paring ih¢ir
L¢ounL% in a<cardantt with rhL' Ftnanciat RetM)rtjlJ8 Slllndttrd applicahl¢ in IJK R¢publiL of Ireland
Itr'RS 10211.
I Imvc iju coJ]c¢nLS l)ilVL CQtn¢ a¢russ no odK'r oiaik'r% til coJit*Ltion WIQJ tlK ex8mlriali￿J ￿ wluch at*ntion sbwld
ir in irk or¢Jcr 10 cnable a prorrtr ￿]d￿'rS￿1IKthffj8 of ik 4ccounts rL&Lb¢d.
Robtn N Browntng BA {Hottsl FC
PG Ow¢nLimiled
(YJarter¢d Accountants
124 Htgh Strttt
Midsom¢rNorton
FAIA BFP
Avo
BAJ 2DA
Pag¢ 6

SWAN ADVICE NEIWORK
STATEMENT OF FINAI¥CIALACTIVfTIES
FOR THE YEAR ENDED JI MARCH 21ns
2025
2024
Totsl
funds
Nofcs
INCOME AND ENDOWMENTS FROM
16.207
119268
135.475
118.516
Charitabte ¥cllvltieJ
A¢tivities to furtkrcbarit￿5 (thFdives
21988
22.988
21318
1.956
1.956
1.783
T•t•l
18,163
142 256
160.419
141617
EXPENDITURE ON
12,625
11625
7,125
CharhAble ￿lIvi11t
Adiviti¢5 to fithrcharitys objectives
6.228
135.844
142.072
T•tsl
18.833
135.844
154,(Tr97
138.137
NET INCOME4LXPENDITURE)
Tr#D•fen be¢w•¢o fwid$
(6W)
6.412
5,722
4.480
(LI￿)
13,912
5.722
4.480
RECONCILIATION OF FUNDS
T￿1 fjjnds bmughi forward
79,256
1(089
95.345
865
TOTAL FUNDS CARRIED FORIVARD
71,066
101,067
95.345
Th¢ n(A¢s fonD Part of these fi￿￿la1 5wemcrrts
Pige 7

SIVAN ADVICE NETWORK
BALANCE SHEET
31 MARCH 2025
2025
Total
2024
Totsl
funds
Unresiritled
Rcsknctcd
fund
Notes
IXED ASSETS
Tanwblc Lwts
1.034
1.034
1,360
CURRKNT ASSETS
D¢biors
Cash ￿ bank
3,401
29,469
3,401
100.536
3,627
92,242
71,067
71,￿7
31870
103,937
95,869
CREDITORS
Amounts falling due within Or￿ >rar
10
{3.S¥M)
13.904}
(1.884}
NETCURRENT ASSETS
71.067
28.966
100.033
93,985
TOTAL ASSETS LLSS CURRENT
LIABILITIES
71,067
30,1)00
101,067
95,345
NET ASSETS
71.067
30,0(MI
101,U67
95,345
FiJNDS
Unrcstriettd fvnds
Restrickd fun(
71.067
30.IHM)
79.256
16.089
TOTAL FUNDS
101.067
95,345
charitabl¢ company is ¢thtiikd to ¢x¢mption from audit under Se¢iiorh 477 of the ComFqnies Aci 2006 for the )Yar
¢nded 31 March 2025.
Thc members ha￿ noi required to Ob￿ll an akndit of its financial statcmm for the ycar ttthd
31 Mar¢h 2025 in ￿0rd4￿ce with Section 476 of the CompaniesA£t 2006.
Th¢ trustees a¢knowledge their r¢5pon5ibilitie5 for
(al
ensurin8 th• the chatitsble Comp￿Y keeps accouming records th4t comply with StttiorL$ 386 and 387 of t
ComrAThies Act 2006 and
preportng fLnancial 5tsternents which give 8 trne lair view of the slai¢ of olyairs of the charitabl¢ cofflp8ny a5
at the rthd of each financial yeaT and ot. its surplus ur deficit fur Lach fjnancidl year in accordancL' Iviih the
reqijirciricnts of Sec¢iuTts 394 and 395 which Dtherwise c4)mply with the req￿l￿ments ofthe Cvmpanies A
20t16 relating to fin8nrial 5¢at¢￿￿4 50 far a5 appli¢able tothe chpritable company.
Ibl
These finbncial statemcnts have 1￿c￿ wcparcd in a¢wrdarLce with the provisions ￿pIyca￿At to ¢haritable comp￿leS
subicc( io ihe small companieSTeW￿.
)nan
illl %lDILmenis wL't¢ approved by the Board of T[￿S athrisrd for issue on
nd I¥¢￿.¥1￿dOn its bEtMlf by..
C All¢n- Tttdswer
The no*$ forni part of these fin￿¢1￿] statert*nts
Page 8

SWAN ADVICE NETWORK
CASH FLOW STATEMENT
FOR THE YEARENDED 31 MARCH 2025
2025
2024
No*S
C*th Ilows from op¢r4tln8 attivltiWS
C&8h g¢￿ratsd from operalioiis
&598
072
wlvided by owating aG¢ivilies
072
C•sb tlows fr•m ittvuting Attiwitiè5
Pur¢kAs¢ of *n8iblc fixed8&
1nter¢stTr￿iYcd
(260)
(1.3671
1.783
Net c&8b rffovided by iniKsting aclivit
1.696
416
Ch*Dg2 ID CAgb equhTAi¢Ats ID
the reportirtg ptrlod
cash equiv*l¢nts at the
beglllning of th¢ r¢portin8 Period
V94
488
91242
85.754
Cuh Amd tash ¢qulv*ieDts it tbe •nd of
the rtportlng ptriod
11)0.536
91242
Th¢ nrt¢8 form pthof fina￿]&1 st8t¢mcnts
Pag¢ 9

SWAN AD￿CK NE7WORK
NOTES TO THE CASH FLOW sfAIEMEwr
FOR TItE YEAR ENDED 31 MARCH2￿5
RECONCILIATION OFNET INCOME TOF4ETCASH FU)W FROM OPERATING
ACTIVITtES
2W
2024
Net the rryortln¥ ptrlod (ts pertb¢ Sl•tellLeDt •f
Artivitlu)
AdJw¢rneDts for:
4.480
539
11.783)
3,016
IDterea rE¢¢iw¢d
Decre&* th dEbtors
(1,936)
226
Net prwld¢d by vper
ANALYSIS OF C]IANGES IN NET FUNDS
A¢ 1.4.24
Cthflow
Al 31.3.25
Netu
92.242
100,536
91242 ￿94
lQt).536
92.242 ￿94
1110,536
Tr nL*e$ fonj tArt ofttK5¢ fJom¢ial
Page 10

SWAN ADVICE NETWORK
NOTES TO THE FINANCIAL STATEMENTS
WOR THE YEAR Ef4DED 31 MARCH 2025
ACCOIINTINC POUCIES
B*$16 of prepAriog the IlnAntlil slats￿ents
Tr financial ststcmcnls nf ihe charitable coillpanyi which is a public berKfit etttiiy undcr FRS 102. have iKcn
prepared in ¥LmrdaJ￿¢ with the Lharities SORP IFRS 1021 'Accounting ond Reporting by Charttics.. Statement
ot. Rccomm¢nded Pr￿tice wlicable to charitics rrfeppring their attounts in acGordance with the FinaThcial
Rewling Standard applicablc in the UK and Republic of li¢lat￿ IFRS 1021 (effective l January 2019),.
inattia] ReFrf)rting Standard 102 'Th¢ Fina￿￿1￿7 R¢porting Standard applicable in th¢ UK 4nd Republie of
Ireland, and the Compani¢5 Art 2(M)6. Thc fitkAnci81 statements have prepaT¢d undtr the historical cost
conventiort.
Incorne
All inco]ning ￿soUrCeS are included in the Ststrment of Financial Activities when the charity is ¢ntitkd to the
inco￿￿ and the amount can be quantsfi¢d with T¢&%Otthle at¢uracy. Thc followiThg b￿C1r1¢ p)licies are aTvlied
to parti¢ul8r categixi¢s of in¢om¢.
Volwjtary income is receiw¢d by way of gr8nts', donations at￿ gift5 Wld i5 itLcluded in full in thc Ststemertt of
Financi￿ ArlivitKs wben rtt%ivable. Granty whcre entitlement i$ not conditional on thc delivery of 8 S￿¢￿rie
rforniatt￿ by the charity. are rccogJ)is¢d when the charity bE¢om¢s unLonditionally ¢Dtitl¢d to the 8Tant.
DDnaled scrvice5 ¥]]d fa¢iliiies are itLclud¢d atth¢ v81u¢ tothe charity wh¢tt call ￿ q￿ntified.
Tk viluc of services [￿VIded by volunteers has noi trKen in these Accou[￿.
Investhicnl income is inGlud¢d when rcceivable.
It￿Oming re￿￿re￿* fr¢￿ charTtabl¢ trnding activity are ac¢outttd foT when earneiL
Incaming rcyA)W(%5 from W￿re related to and ￿elf1¢ d¢liv¢robie& are account¢J for Os the
¢h&rity earns the right to ¢onsideratÉon by its p¢rfomionce.
p¢Dditure
Liabiliti¢S ore recognised as ¢xpenditurc &$ soon as th¢r¢ is a lega] or con5tru¢tiv¢ obli8Ation commilting th¢
Charity to that ¢xpenditUT¢, jt is probable that a tromf¢r of economic b¢n¢fiiS will k ￿Quired in Settlement and
the amount of th¢ oblig*ion can k rrL¢8SUT¢d reliably. Expendith a¢¢ounttd for on an accruals ￿$l8 and
been classificd und¢r headings that aggrcgate all cost relatcd to th¢ rnt¢wy. Where c0515 c4nnot ￿ direcily
attribut¢d to pthicular headittgs ihey have ken alloGatrd to activitKs OTh a b&%is ¢onsis*ni with tk use of
resources.
Tangible rued Assets
tkpreciatloll 15 prowided at the following annual rate5 in OT&r lo writc off cach asset ov¢¥ its rstlmatcd usefvl
EquiTMnent
20Yo IMI e4)Sl
cknity is¢xempt from cotyornuon tsx on its chaTitsbl¢ a¢iivi¢i¢s.
Fund a¢couDtiAI
UnTeStict¢d funds. ¢an be used irs aCCOTd8rtce with th¢ chwilabl¢ objECtives at the discretion of ih¢ tru8tees in
rtherdJ)c¢ of ihe 8WKTal objcctiv¢sof d)e charity.
D¢5ignated funds are UWEslriGtrd fvnds earniarkcd by the Ex¢wtive Committtt for parti¢uknr puryose
Restric*d fund5 can only k uscd for pirti¢ular rethctcd pur[￿￿5 wthirt t1￿ objects of the Gharity. R¢striaion5
arise when spetified by the dojior OT wl*n funds ar¢ raised for particular restricted purp05e5.
Pag¢ll

SWAN ADVICE NETWORK
NOIES TO THE FINANCIAL STATEMENTS- tonÉi*ued
FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTING POLICIES- toDtIDy¢d
SIOD costs *nd other post-réèlrémwt benefits
The chBritsble ¢ompanyoperntr8 a defined contrilmrtion pen*on contribut10￿ wabk to ts charitsb
companys pension sdKme are • to tk Statem¢nt of Financial Aetivi¢ie8 in the ￿tod itt which they
INVESTMENT INCOME
2025
2024
Deposit intere
RAISING FUNDS
Ralilogdonfjliothi and Iy¢ks
2025
2024
000
Supp)rt ky)&ts
NET INC(hMiI(EXPENDITURE)
Ne¢ ttwm&(¢xiThJiture) is **d after¢horgiTW(ctcditin8).'
2025
2024
Depreciation- owned a5￿ts
539
TRUSTEES, REMUNERATION AND BENKFITS
T]￿ w¢re nOIn￿ ffmmeration or th bet*frt3 for the )urend¢d 31 March 202J Tr)r forttK jrarended
J l Mar¢h 2024.
Trgst¢u' ¢xpM
re W¢Te ¢XPeTtse$ paid for the >¢ar ended 31 March2025 r￿sT for tk ￿*r en(kd
31 M8r¢h 2024.
STAFFCOSTS
Tr #v¢rage tThTrnthly numb¢r of ¢mploye¢s during os follows..
2025
2024
FJnployrrs
Volunkers
37
43
42
49
No cmplo>res rtce&ved emolwn¢nts In exc￿ of £60,(KiI.
P•g¢ 12

SWAN ADVICE NETWORK
NOTES TO THE FINANCIAL STATEMENTS- comtiNued
VOR THE VEAR ENDED 31 MARCH 2025
COMPARATIVES FOR THE STATEMENTOF FINANCIALACTIVITID
Unrestricted Rcstrict£d
ruJJd5
fi￿d
Totsl
fund5
INCOMK AND ENIIOWMENTS FROM
Donation5
13.552
l(J4,964
l18.5l6
Chjrltablt Activities
Activities kn fiffther cheritl5 obJ¢¢lives
22,318
21318
Inv¢stt)wnt income
1,783
1.783
15.335
127.282
141617
EXPEf4D111JRE ON
Raisin8
7.125
7,125
Charitable •dtvitkB
Activitie5 to further ¢h￿ltyS obiectiVC5
7J51
123.661
131.012
Tot*1
14.476
123,661
138.137
NET INCOME
859
3,621
4.480
RECONCILIATION OF FUNDS
Tot•l fiJTrJs brought foTw8rd
78,397
12.468
90,865
TOTAL FUNDS CARRIED FORWARD
79.256
16.uxg
TANGIBLE FIXED ￿ETs
OtTicc
Equipmenl
At l April 2024
Additions
2.697
260
At 31 March 2023
2,957
DEPRECIATION
At l April 2024
Ch8sg¢ for year
1,337
586
At31 March 2025
.923
NET BOOK VALUE
At 31 Morch 2025
1.034
At 31 March 2024
1,360
Pw13
continurd...

SWAN ADVICE NETWORK
NOTES TO THE FINANCIAL STATEMENTS- ¢on14nw¢d
FOR THE YEAR ENDED 31 MARCH 21125
DEBTORS: AMOUNTS FALLINC DUE ￿THIN ONE YEAR
202S
2024
TT&th debtors
P(etA>m¢ntsand ￿cr￿d irKorne
3,080
321
3.306
321
11 CREDITORS: AMOUNTS FALLING DIJE WITlllN ONE YEAR
2025
2024
Trade creditors
2.859
1,045
ii.
MOVEMENT IN FUNDS
Net
mov¢m¢nl
in fu￿]5
Transfers
b¢iw¢En
fijnds
At 1.4.24
31.3.25
Uure5trl¢ted
General fund
Si¢krKss Rcserv¢ Fund
R¢durvJancy tescrvc
3 month5 orKrating ¢0
13,020
5.OtK
28.236
1689)
(4.946}
7J85
5.0(M>
24,182
34.500
14,0541
79.256
(689)
{7.500)
71.067
Rthrfcied fuJMI8
R¢stricted
16,089
6.411
7,SiN>
30,0fy)
TOTAL FUNDS
9J,345
LOI.067
Net [￿VeMent in fund4 inclu(kd in the alxpVE ate 45 follows..
In¢otning
re￿￿[C¢S
Resour¢¢$
ex￿nded
Movement
in hjllds
Unrestrltttd funds
Ge￿ra1 fimd
18.163
{1{8521
1689)
Restrlcted
Re￿rIcted
142,256
1135.845)
6.411
TOTAL FUNDS
160,419
154,0971
5,722
Pw14
Contin￿d...

SWAf4 ADVICE NETWORK
NOTES TO THE FIP4ANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 MARCH 2025
MOVEMENT IN FUNDS- tontlnued
Comy8r•tiv# for movemenl bn fvnds
Net
Transftrs
Fth¥e¢n
fvrtds
At 1.4.23
in fijnds
31.J.24
Unrestric￿1 fuods
CJen¢ral fund
Sickne￿ Reserv¢ Futld
Redutmlancy r¢serv¢
3 months operdtingcosis
9,543
5,000
30,854
33.OIK)
859
2.618
13,020
s,000
28,236
33.0￿)
{1618}
7&397
859
79.256
Rertritted funds
R¢strickd
12.468
3,621
16.089
TOTAL FUNDS
90.865
4.480
95J43
Com￿Oi]Ve net movement in fvnds iDcluded in the aiN)ve are ￿ follows."
Incoming
T¢50[￿e5
Rewwces Movement
extKnd
in fvnds
UnTe51TlCted funds
Genernl fund
15.335
(14,4761
859
Restritted funds
Restricted
127.282
1123.661}
3,621
TOTAL FUNDS
142.617
4.48U
A currcDt year 12 monthsartd wor 12 moDths combiKd ￿51(lOll Is 8s follow5:
Trarthr5
LKtween
funds
movement
in fijnds
At
31.3.25
At 1.4.23
U•restrid¢d funds
General fund
Sickness R￿r¥¢ F￿d
RedundatLCy reSt￿e
3 months o￿ratiThg c03ts
9.543
5,ffl0
30,854
33.0(
170
{1328)
7,385
5,0(K>
24,182
1@6721
1,500
78,397
170
(7,5(M))
71,067
Re¥tricted fu•ds
Restrithd
12,468
10.032
30,01)0
TOTAL VUNDS
)(J.865
10,202
101.(%7
Pa£e 15
c(Krtinurd...

SWAN ADVICE NETWORK
NOIES TOIJJE FJNANCIAL STATFJIIENTS- cowli•u
FOR THE YEAR ENDED 31 MARCH Z•25
li.
MOVEMENT IN FUNDS- eODtlo¥¢d
A year 12 u¥xallL% 8￿j rffirriwr 12 ¢0￿bIlled ￿t￿¥)Y¢ll￿ ITh inclu(kd in the atme are
s follows".
Incoming
resources
R¢wurces
¢%￿fid
Movement
in fuhds
ilnr¢Arthd f•Dd
G¢rt¢ral fund
33,498
133.328}
170
Rutricted
Restricled
269,538
(259.506)
111032
.303.036
1292.8341
10,202
12.
RELATED PARTY DISCLOSURES
Tkne weEe ro ffl&*d partyltwctions fortk ycar cndtd 31 Marrh 2025.
13.
PURPOSE OF RESTIUCTED RESERVES
RestriL￿ Rexrv￿ amountin8 ￿ £30,000 arc being t￿led forword to be swii in ￿ar ended 31 M￿h
2026. Thks AS m* up as follows:
Grani from K¢)rytham Town COM￿11 with £150 remaining for ￿ trxlween th¢ Community Services
Attess to Health. splil evenly.
Ihant from Postco& Lml TnJ5t with £500 rerwning fo]. ￿ tr*Thw¢en the C¢)mm￿jty TTertsport Services and
Access w Health, 4)Jit ¢vcnly.
Grartfrom Tr Med1(￿k Charity with £4,OtW) rcmwning foi usc iowwts Acccs5 ￿H¢￿1th.
Gyani from w¢Sff￿Id Parish Council with £5￿ remairjing for w F*tw¢en th¢ Community Transport Servi
Acce55 to H¢alth artdcup￿ & Chai s¢rvice8.
from The RoFkrtM¢AlpirK Foundation with £1,500 remainin8 fot ￿ towards Acccssto Haith.
Gtant frojn T￿ W¢55ex Wa*r Community Fund with £1.500 remaini￿8 for towards Access to H¢alth.
Grant frotn Tr GBrfield W¢sk￿ Found8tion with £6.375 remainin8 for us¢ kttv¢¢n Community TraD4
ScThict4 Acce5S to Health arjd Cuppa & Chai seryi¢es.
Grant from ¢h¢ Nalional Lottery Community Fund with £8,225 remaining for usr F*twe¢n lh¢ Community
Transport Servi¢¢s ind Acccss to Hea]tl4 split evcnly.
Gr8m from Qwtct lin¢luding Hawkings F￿d) with £5.2SO retn8inin8 for between th¢ Fundrni*r Salatic
Transport atyj Sotlwar¢ and Waterloo Road.
Grani from Rad51ock Town COUr￿J1 with £l.000 remwoing for use beiwcen thE Community Tran8P(rf Service
Access to Health Cuppa & Chat $¢rVi￿￿.
Gram from the Srrtrrin8 Foundotion with £1,000 r¢maining use ktwe¢n th¢ Cornmunity Ti&n5Wrt Scryices
atyl A¢¢es8 to H￿[th.
Page 16

SWAN ADVICE NETWORK
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 21125
2025
2024
INCOME AND ENDOWMENTS
D•natto
Dtsnstions
Loca] Gtving
Mi5cellarteous
BANES Sacial Scrvi¢£s Trans￿1
Keynsham Town Council
w¢S￿le1d Pwish Coun¢il
Quartet Community Fouthdation
R&d%tock Town Coumil
The Sperring charity
WECA (West of Englgmd Combined Authority)
BANES CommuNty Contribution Trund
Radstock C￿P Srtieiy
Bloomfield Car¢ Home
National tAbttery Community fund
Mèsons
RMSNCSV
W¢sw Water communiiy fijnd
rutLdrai5ing stsll$
Cuppa& Chat raffleldons
Al&rt Hunl tn]sl
P05tco& L￿al trust
Midwner Norton TC
Bath Building &)ci¢ty
Chilcompton Parish Council
Medlock charity
RolKrt M3cAlpine found&tio
The Annett¢ trusi
Garr￿Id W¢sion foundation
Burg¢s$ Salmon charitsbl¢ trust
11.995
19
251
30.000
815
1.000
i i,tKK)
11.796
12
30.0(MJ
9,694
14.972
42,671
2.623
500
156
10.0(
lo.0￿)
1.817
3.999
687
487
4,000
l5,OlJO
983
8,OC
250
10.O(Ml
J,o(K
500
ID,0
200
135.475
118,516
IDve8tmertt irt¢•me
Dewsil accouE)t Lii*r¢$t
1.956
1,783
CharitAbk ACtiYiti¢s
Irlvoicd Trnnsith Payme￿IS
22.988
21318
Totsl iThtoming resouree8
160,419
141617
EXPENDITURE
Rai51ng don*tion$ Ind leytlts
6,0(J)
Ch*rlt*ble Attivities
Bod debts
143
639
Thi8 paec drts not fom) p&rtof the statutory fLn#￿Ial slate￿￿nts
P8g¢ 17

SWAIY ADVICE NEIWORK
202S
2024
Wages
96.513
83,421
3.362
539
cquiptt*ni ¢kpreciaiion
97,298
87322
5.917
£747
955
2,024
Tekphone ot¥J p(
1.649
93
534
1,034
91
2A462
875
1.185
438
920
IA74
27,910
534
474
SubKTiFrtions
Computrrcosts
VoluDtrts DriYeT Expxxq
Trav¢1
41,688
4Q679
Governxnce
IndeFndcrt EX￿￿1￿lI10n
Consultancy
IS,568
138 137
Net IDr*Fa•
This pw docsnotfonn of the 5tatutrry #aternents
Page 18