REGisfERED COMPANY NUMBER: 06227466 (England and Waks)
REGISTERED CHARITY NUMBER: 1145028
Ilstenlng
ears
REPORT OF THE TRUSTEES
AND
FINANCIAL STATEMENTS
FOR THE Y&IR ENDED
31ST MARCH 2025

LISTENING EARS LIMITED
REPORT OF THE TRUSTEES
AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED
31ST MARCH 2025

Listening Ears Limited
Content of the Flnancial Statements
For the Year Ended 31st March 2025
Legal and Administrative Inforn]atiOll
Report of the Trustees
1-13
Independent Examiner's Report
14
Statement of Finanaal activities
15
Statement of Financial Position
16
Notes to the accounts
17-21
Detailed Statement of Finanaal Activities
22

IAstening Ears IAmAted
gal and AdmAni8tratiYe Inforniatio
Chairn]an Boatd of TtU8tee8:
Mosad'OluvrA Orotayo
Other TtU8tee Member8:
Oluyetnisi Shode
Nehemiah Adett￿lgbe Altinyele
Roberta Avwerosuo-Adeda
Atinuke Eyiovjuawi
Bolutife Faseun
J2dres Rukina Ferreirn
Chief Executive Officet
Olutoyin Ogunbanjo
Regi8teted Compatsy Number 06227466 (EngI￿d and Wales)
Regi8tered CharAty Numbet
1145028
Regi8tered Office:
YMCA Buil(bng
Woolwich Dockyard
Woolwich
LL)ndon
SE18 5PQ
Independent Examiner
Patrick Jusu FCCA
PAJ Accountants
10 - 16 "filler R￿ad
Docklands
LL)ndon
E14 8PX
Banker8:
Batclays Batth
737 Barking Road
Pjaistow
IL)ndon
E13 9PL
Metro Bafth
66 - 68B The Bexleyheath
Kent
DA6 7JN

Executive Summary
Listening Eats continues to p]ay a Titsl rok in reducing lottehness. improving Wellbe￿ 2nd strengthening
social indusion aczoss our community. Foi over *teen years. we have temained conunitted to supporting
inth'viduals who are tsOlat￿ vulllerablq or fautig battlers to pthicipation in society. Our wotk this year
retlects both the resilience of our organisation and the oT￿ltig need for compassiot￿t4 communtty-centted
support. Through a con]bination of en￿tional car< pract￿al assistance. welllw educatio￿ and
empowernient programmes, we have continued to n)ake a meaningfi]l &fEerence in the hvcs of older adults,
young peopl< families, and itidividuals experlencing hatdship.
Our tiiission is rooted in fosteong canng fr￿dsh￿s. encouraging the londy. and reFitAlising those who fed
weary or disconnecte<L We atsn to alleviate depressive tendencies, enhance soci21 Integratio￿ and promote
tot21 well-bets¥. This itidudes supporting indmduals to build confidenc4 devdop independence, aud access
opportunlties that imptove their quah'ty of hfe. We n]aintain an indusive, open-doot poh'cy, ensutitig thxt
our services are accessible to alL regardless of ethniaty. backgroua(L or circumstance. Coll3boration ren)ains
central to our approa￿ and we continue to work dosdy with local authotities. housing associations. health
providers, and community organisations to ddiver holistic supporL
This ye2r, our Fed Good Centres in Ably Wood and Thamesmead have continued to provide saf4
welcoming spaces for in&'viduals aged 50 and above. These centres of£et SOC￿ connection, health
inf0m￿tiOn, gende exerasq cteauve activities, and practical support. They pjay a crucAal role in reducing
loneliness and empowetitig older adults to adopt healthi'et hfesryles. Out Communiry Angds befrIend￿g
service has also remained a life1￿C for housebo￿￿ inthviduals, offeting companionship, emotional suppor¢
and practical assistance through home visits and tdepbone outreach.
The Steps2Living Programn￿ has supported servitt usets to make sustsinable hfesryle changes through
healthy eating educauon, weight management gwdance. and hands-on cookmg sessions. Me8nwhil4 our
Food Bank-SUPPOrted by our ongoing parthership with Sainsbury's Abbey Wood-has provtded essentixl
food supphes to Eamilies and older 2dults affected by the cost-oE-hving ctisis. This year, we were also able to
host a Chtistmas Party and th'sttibute C)8 C.knistm2s Hampers 8T￿ Turkeys to vulnerable service usets.
ensuring they Edt valued and supported durAng the fesuve $e2sorL
The Rosebud Centte for Girls, one of our most transfomiative initiatives, has continued to empower young
women thtough personal development workshops. creative arts, hfe skjlls tr4inin& mentoting, and
residential experiences. Although the progtan)me is currendy suspended due to fiu)dmg shortfalls and the
temporary closure of the YMCA premises, its impact over the past deven years remai￿ pto£oun& We are
actively seeking ncw fUndts￿ stream5 to rethstate thi5 Vit21 setvice.
Our ackn'evements have been strengthened by the generosity of fi￿det$, cotporate partners. volunteers, and
in&vidu21 donors. Their support has etvabled us to deltvet hgh-quakn'ry programmes and tespond to
emerwg community needs. LA)okll¥ ahead, Listening Ears remains cotnmitted to eXPandll￿ out setvices,
rebUild￿g suspended programn￿s, strengthening partnerships. and continull¥ to provide compassionat4
life~enhancing support to those who need it mosL
Page I

tastening Ears IAmited
Report of the Trnstees
For the Year Ended 31 March 2025
The trustees, who are also directors of the charity for the puq)oses of the CompaDies Act 2006. present their teport
ith the financial statements of the charity fot the year ended 31 March 2025. The Ttustees have adopted the
provisions of Accountll]g and Reporw by Chatities." Statement of Recommended Praaice applicable to charities
prepating their accounts in accordance with the Financigl Repotting Standard apphcable in the UK 2nd Repubbc of
Irdand (FRS102) Effective l January 2015.
STRucfuRE, GOVERNANCE AND MANAGEMENr
Governxng document
The charity is controlled by its governing documenL attides of assoaatioffj 2nd constitute a limited company.
limited by guarantee. as defined by the Comp20ies Act 2(X>6.
Recrnitment and appoinlment of new trustees
The legal responsibility for the dection of new ttustecs to tistening Ears lies with the Annual General Meeting
(AGM).
The Board recognises that it has only ]imited control over the dection of trustees at the AGM. It is accepted that
IAStening Ears members should be able to dect people to the board who they b￿.eve will best represent their
interests. However the existing board members also have a responsibility to ensure that the needs of the
organisation in ternis of governance 2re met by those people dected. The Board seek to do by adopting a
system of tecommending Trustee appointments to the membership using the steps detailed bdow. The
membership uryll then deade to dect 2 recommended candidate or to appoint another petson to the board.
Trustees can delegate some aspects of recruitment of Trustees to Managemen¢ but they ensure that they retain
over9Jl responsibility and control of the recruitmen4 sdection and induction ptocesses. In recruiting new trnstees,
the existing trustees and manwent act in the best interests of LAstening Ears and in 2ccordance with the Charity
Commission d￿ectiVeS as kn'd out in CC30.
Induction and trainAng of new trustee8
All trustees are expected to attend:
• Volunteer induction training
Ttustee induction session
• Any other update training of relevance to b￿ard members
As part of the induction process all trustees receivc copies of the followi¥.
• Oudine of current boards skills and experience
• A copy of the previous yeags annual report 2nd financial report
. A copy of the memorandum and artides of association (￿vernIng document)
. A copy of the previous board meeting minutes (once agreement for appointment has been made by the Trustees)
. Charity Commission CC3 - The essential trustee: What you need to know
• Chatity Commission CC60 - The H9Jl marks of an Effecttve Charity
• Copies of the trnstee handbook with a]1 current up to date pobcies
Risk Jnanagement
The trustees have a duty to identify and review the risks to which the charity is exposed and to ensure appropriate
controls are in place to provide reasonable assurance ag9inst fraud and error. The tn￿teeS confirni that they
regularly review the signthc2nt risks Facing the Chatity and have systems and procedures in place to mitsgate those
risks. The risk pobcy has adopted a risk mapping methodology that is applied to each identified risL assessing the
likelihood of it occutting and the sevetity of the impact of occurrence on the Chatity. The Chief Executive Officer
is responsible for the day-to-day moffltoting of risk and reporting to the Trustees.

1. Introdu¢tlon and Overylv
Listening Ears c¢xtinues to serve as a vital source of sup￿rt. <x)nneclion. and ￿p¢￿Vern￿￿ individuals a¢YOSS
our community. Sin¢8 our establishmen( we have remained commitied to red￿Ing loneliness. improving well-
being, and strengthening soaal indusion people ofall ages. This Y￿ has brought both significant achievements
and notable challenges. yet our mission has r￿nained unwavernw: to Lyeate Spa￿ WI￿re individuals feel seen,
supported, and able to thrive.
Our w￿k spans a range of pywammes designed to address so(yal isolation, promote emotional resilience. and
equip people with the skills and confidence need￿ to lead fulfilling lives. Through (￿r Feel Good Centres,
Community Angels befriending sep4ice. Steps2Living wellbeing programm8. Food Bank supwi, and the Rosebud
Centre for Girls, we continue to deliver meaningful, lrfe-enhancing interventions that respoThl directty lo communty
needs.
Despite financial pressures and the teM￿rary suspension of some services, Listening Ears remains daepty rooted
in its purpose. Our partnerships, volunteers, funders, and service users continue to shape a compassionate and
resilient organisation ry)mmitted to long-terrn impacL
2. ObJe¢tlv8s and Acllvlties
Our Charltable Purpo
Listening Ears exists to advance social indusion for th8 publbc benefft. We work to prevent indmduals from
becoming socially exduded and to suppc*1 those already experiencing isolation to reintegrate into ￿lety. Social
exclusion may ari8e frThn unemployment, financial hardship. age, ill health, disability. discnmination, poor housing,
family breakdown. or inK*lvement in crime. Olf prOgr￿Me8 are designed to address these barriers with ￿pathy,
practical support, and ￿rnMUnty￿ntred soluttons.
Mlsslon and Core Goal•
Our mission is grounded in three (xKe aims:
Fostsrfng caring frlendshlps and anotlonal •upwt for tTrK>se experie￿ing loneliness ￿ distress.
Promotlng totsl well-belng thrcwh infcKm*on, training. arml adivities that Im&￿0Ve physical. ￿0tIonal,
and social health.
Empowerlng Indivlduals t￿rd Independence. conmen￿, a)d inproved lrfe opportunities, including
vocational and wnployment pathways.
Commltment to Inclusion
We operate an open-door policy, welcoming individuals regardless of ethniaty. ￿e. religh?n, gender. or educational
background. Our services are designed to be ￿$S￿)le. ￿liural￿ sensitive, and responsive to the diverse needs
of our ￿nMunity.
Collaborative Working
We recognise that sustainable thange is achieved thrcugh partnership. Listening Ears works closely with local
authorities. housing a￿lat￿n5, health providers. ccxnmunty organisatw)ns, and c(wate partners to ensure that
service users receive holistic c(Mnbined supp(rt
31Page

3. Publlc Benefft Statement
The Trustees ojffirm that Listening Ears has (xynpfMI with the (lrty to have due rewd lo the Charity
Commission's guidance on publbc benefiL
Our wC￿k diredty Lx)ntributes to:
Reducing loneliness and social isolatKin. Imwoving mental ar#J emotional well-being, Enhancing physical
health throwJh lrfe*le ed￿1¥￿, Slrerwming <yxnmunty (x)hesion. Suppthng vulneralAe indp4iduals
to accvds services, bulld ￿nf￿lenCe. and palKx'we fulty in soaety
By addresslng the root causes of exdusion and FYOVKling pr*icAI, emo￿nal, and social supwl, Listening Ears
ensures that individuals who migm othe￿1$8 be M￿1n8{1sed can reconnert rebuild. and fiowish.
Desprte a challenging financial climate, Listening Ears has C￿linUed to delNer impa¢thl wogrammes that address
the needs of older adults, young people. famili8s. and indNiduals fa(ang hardship. Our achievements Ihis year
reflect the dedication of our staff, volunteers. partners, arKI supporters.
4.1 Fo81 Go¢xl Centr
Loneliness ammg older adults c<Jntinues to rise. &)d our Feel Good Centres remain one of our most effectiva
responses. These c£ntr8s iyovkle safe. wek¥)ming sFwce8 there indivwjuals a3ed 50+ <xn conned. relax, leam.
and receive practical support.
Fo01 Good @ Tho Pavlllon (Abbey Wood)
Operating within the Flowers Estate. this centre offers dropn se&8ions, social activities. heallh infomiatK*n. and
signposting to essential seNices. S8fvKe users enjoy a wami environment Wt￿re they can share a cup of tea. play
games, meet new friends. ￿d access wellbeing supp(rt
Feel Good
The Nest ¢Thamesmead>
Delivered in partnership wrth Peatody. this centre mifrors our Abbey Wood model and extends support to older
residents across Thamesmead and Bexley. The progranme (xjntinues to ￿0W in populanty and impad.
A¢tlvltlo8 Offared Across Both Centr
Our centres provid8 a rth programme of actlvties desMJned to improve physical health, pmotional wellbeing, and
social conn8Ction, induding..
Healthy e*ing workshops, Multicultural (￿kery sessions, Arts and crafts, Dan￿ and gentle exercise. Tai
Chi. Massage sass￿D6. Lunthem dubs. HeaAh walks, S￿lmer seashje trips. Gardening and planting
activities
These activities not only reduce isolation but also empower older adulis to adopt healthier lrfestyles, build
friendships. and regain (x>nf1de￿e.
4.2 Communbty Angels: Befrlendlng & Outreach
Our Communty Angels programme offers on&t¢x)ne ￿OtK>nal suppcrt to individuals who are houseb)und or
living alone. Many face challenges such as chronic illness, disabilrty. depression. or mobilrty issues. Through hom8
visits, telephone support, and ￿mpanionship, our traIn￿j voknnte￿s offer a lrfeline to those who might otherwise
remain unseen.
This year, Crynmunty Angels has.
Reduced isolation amoThJ vulnerable ￿luIts, Provided (aynpass*)nate listening and emotional support.
Helped individuals access services and maintain independence, Offered ￿asSUran￿ and continuity
during diffi¢utt periods
41Page

The wogramme ctxrtinues to dernor￿tra￿ that sThple hwnan can transfonn live&
3 Stsps2Living: Hoafth and Total Wellbel
Steps2Living fO￿S on emKth¥ern)g individuals lo make sustainable kfe* chang8s. L8d by a qualified Health
Trainer. the F￿￿arnme supwts through:
Healihy eating edu(%tion, Weight mawent guidance, Coc*ing'skth, Group and on&t￿one wellbeing
sessions, PrartirAI demonstrations and hands-on leaming
Partiapants leam to prepare nutritious meals, adapt cuttural recipes, and build IxYffiderrE in the krtchen. The
programme has contributed to inproved physical health. inrxeased seff*teem. and greater aWar￿eSS of long-
tem wellbeing.
4.4 Food Bank Support
Listening Ears c¢)ntinues to seNe as the 'Front of the Shop. thanty for Sainsbury's Abbey ￿)0d, a partnership
now in its fourth year. D(Y)ations fr(#n shoprers enable us to wovmle essential f{￿ suprx)rt to f￿llieS and
IndMduaFs aff8ded by the CA)St-of-IMng ulsls.
Our minibus has been invaluable in delivering food parcels directly to elderly swvice users. ensuring that those
with mobilty challenges receive timely supp(rt This personaised apwoath has strengthened trust and provided
d￿nItY during a dttficuft economic per￿.
4.6 Roubud Centro for Glrl•
The Rosebud Centrefor Girls ranains one of LIst￿Ing Ears, most transformatiV8 inth'atives, d￿l1¢xt￿l to supp(Yting
girls aged 7-19 and young women up to 25 wrth disabilrties or special needs. Rosebud provides a safe, nurturing
environment where YoU￿j WL￿en can explore Klenlty, build ￿nffiden¢e, and develop essential lrfe thlls.
EMpty￿rni8nt and Personal D8velopm•nt
Rosebud offer8 a wide range of W￿8t￿S covering:
Personal and lrfe skllb. Creative arts and fashion, Dance arml ph>sical exercise. JEwellery making. CV
writing and interview Skills. PhotC43raphy. media, fikn. and animation, Heatth and lrfestyie ed￿atIon,
ResKlentials, day trips, and cultural eXper￿n￿$
These adivrties help gids dE¥elop ￿s111en￿. seff-expression, and emotional balance. Staff and volunteers have
observed signrfrcant improvements in ￿nfidenCe. ¢(xnmunication. and decisioTrmaking amcmg participants.
Bulldlng Emotlonal Ro8blien¢o
Rosebud provides a safe space for girls to discuss challenges such as bultying, peer pressure, body image, and
difficuft relationship5. Through ontrttrone mentoring. ￿0UP dIs￿$S1On$. and rO￿plaY exwcises, participants learn
to navigate reaklrfe sttuations with greater clarity and confidence.
Llfe Skllls and IndepondenrA
Workshops in cooking, budgeting, hYg￿ne, teamwc*k. and problwn-sofving equip girfs with practical skills for
adulthood. Residential programmes offer OPFK¥tunities to pradise independence in a supportive. homelike
environment.
Collaljorative Worklng
To ensure holistic support. Rosebud works dosely with:
51Page

Cha118nge Nthork. YMCA, The Poi)L Her Cth. Gre8Trwid) Yfxth OtteThling Servi￿. Fami
1nfomiats.on S￿￿. Communty Safety Tean, Mwitsl Hearth Support Team. Rape Crisis London. Sexual
Hearth T&￿, Sr*ooK faith groups. and lo(xl agw8S
. Suspenslon of Sor￿Ces. Fundlry Shorffall and Prwnlses Closurg
Listening Ears f*ed Ihe diffiojlt decision to l￿npC￿arity suspend the Rosebud Centre (*Je to a significant funding
shortfall. After ele1￿ years of continuous wvice, the lad( of sustainalAe financial supp(Kt made it inpossiblé to
malntain delivery at the required standad.
Compounding this thallenge. the YMCA wemises used for Rosebud have been undergoing extensive renovations,
resufting in a prolonged closure to all organisations.
This suspension does not refled a lad( of commitment or deMan￿ther, rt h￿hlightS the financial pressures
faced by grassroots OTganisations. remain detemined to secure ne* funding streams and restore Rosebud's
vital services as SO￿ as possib18. The Trustees we ath'vely expionng grants, partnerships. and community
fundraising opportunities to supwt reinstalement.
6. Partnornhlp• and Collaboradve Worf(Ing
Listening Ears. impad is strengthened lyrf the relab'onships build with (Kganisations across the c(Mnmunty. Our
collaborative approath ensures that service users receive holist￿ supwt and that our programmes remain
relevant and responsive.
Key pathers indude:
Peabody
SainSbur￿S Abbey Wood
Morrisons Thamesmead
VlellTower
Annington Ltd
Local heallh teams
Farth groups
Adutt and Social ￿lCe$
Rotary International. Greenwith
These partnerships provide support, donations. volunteers, venues, refeffals, and practical resour￿ that enab18
us to deliver high-qualty serv￿.
7. Awards and Recognillon
Listening Ears is pr04KI to have wived rwnition for our o)ntribution to ccmmunty wellbeing.
Best Communlty-Based Business In Greenwich (2008)
Flnali8t- Communlty InvolV￿On￿ London Business Awards {2010)
Flnalist- Partnership Achiovwnen( London Heallh Corniission Awards12010)
COMM￿ty Civic Award for Reducing Isolation- Royal Borough of Greenwich12019)
61Page

Th8se acAx)lades refied the dedicatK)n of ow staff. v0￿￿e￿S, and supwtws. and the posiiive inpart of ourwork.
8. Flnanclal RevivAf
Funding Sourc
During the year, Listenlng Ears received b(Ah restTK*ed arKI unf8￿[¥￿ed funds from:
Cty Bridge. Lond1￿ Ctynmunty Fcxxvjakn. WellTower. Th*nesrnead CLxnmunty Fund, Rotary
Greenwich, Individual donors
These funds supported the deh￿ of wr Kywammes. outreath adi¥ities, and oFwational o)sts.
Corporat• Partner• and Spon•ors
We are grateful for the gen8rosty of wr c￿pcwate p*tners, (x)ntribut￿r￿4nan￿a1, pradic21. and i￿kInd-
have strengthened our abilty to S8rve the uxThnunty.
INeirrow8r. Peabody, Morrisons Tha￿e￿oad, Sainsbury's Abbey V¥*od. New Covenant Church, Abbey
Wood, RCCG Chapel of MerGy. R(th. New Wne Church. ￿tKIll¥Ich, Kilthn, Rotsry
Greenwich. Indivklual d(￿or$
Their support has enabled us to provide fO￿j parcels. welbw'ng artrlities. ￿ThmUnty events, and essential
resources for vulnerable indmduals.
Thanks to the generosity of our funders. pW1n￿$, and indNidual don￿. we were also able to host a joyful
Christmas Party for ow service users and distribute 68 Christmas Hamp8rs and Turkeys to old8r adulis and
vulnerable families auoss our c(*nmunty.
9. Future Plans
Looking ahead, Listening Ears is ctJmmitt8d to:
Rolnstallng tho Ro•ebud Cenlrn for Glrf$ ttwh renewed fundraising and partnwship development.
Expandlng Fo01 Good C•ntre• to addIt￿nal locatiorts to m*t rising demand am(ry older adults.
Strengthening Communlty Angels to read) more isolated widividuals.
Enhanclng Stsps2Uvlng wrth new workshops ￿lturallY tailored health prO￿aMMe8.
Doveloplng partnership• to S￿re lontrt8nn sustalnabilty.
Increasing voluntaor rncruitinent and trainlng to supp￿% progranm8 delprfery.
Exploring dlgltal and hybrid models to wnprove accessibility for those unable to attend in person.
10. Acknowledgemenis
The Trustees extend heartfeft Ihanks to everyone has C￿trit￿rted lo Listening Ears this year. Our
achievements would not be possible without..
Team of dedic*ed staff and volunteers, Funders. Sportsors. and C(xp(rte Partners, lThlividual donors,
Local ￿ganisatiOnS and c(¥nmunty nelworks, and service users. whose resilience inspires our work.
Despite financial thallenges. Listening Ears remains a beao)n of hotE, ¢cmpassion, and communty spirit. We
look forward to building on this year's progress and wntinuiThJ to ser4e those who need us most.
71Page

lastening Ears lamited
Report of the Ttustees
For the Year Ended 31 Match 2025
FINANCIAL REVIEW
Results for the year.
Duting the year the CIMtity received £29.668 (2024: £46,812) from don2tions and grants.
The surplus for the year was £3,182 and 2024 was £22.494 and this balance has been added to the
accumulated fimds cattied fotVT2td.
SOME OF OUR PROJECT AcfIvITIES IN picfuRES
A selection of photographs of artlvltles and events
EASTER TEA .
PARTY
rR1 DA Y STH APRIL @ 1PM
HASTIMGS BEACH
DAYTRIP
FkYIAI 12Th MY
ea"Èarty 8 8uffet
JOTN US

For the Year Ended 31 March 2025
SOME OF OUR PROJECT ACTIVITIES IN PICTURES (Contlnue)
Llsienlng Eors
Feel
Good
Friday
YEAR
18th Anfftlversarg
8111 KPovpnil)?I
*1
Page 9

Listening Ears LimEted
Report of the Twstees
For the Year ErKled 31 March 2025
SOME OF OUR PROJECT ACTMTIES IN PICTURES {Contlnue)
LISTENIXG EA#TrS l• •r•t•lul
f•c•4Y• a comrnunlly tund
dvn•tlon Irgrn lh• YXMAXX
MOMESEP4SE lound•Eiq
FOUNDATION
•L
Page 10

Listening Ears Limrted
Report of the Trustees
For the Year Ended 31 March 2025
SOME OF OUR PROJECT ACTMTIES IN PICTURES (Continue)
14 FEBRUARY
Page 11

Listening Ears Limited
Report of the Trustees
For the Year ErKled 31 March 2025
SOME OF OUR PROJECT ACTMTIES IN PICTURES {Continue}
LISTENING EARS
INVITÉS YOU YO A
f ÉEL GQOD
cAbsr
ieTH DECEMBER
THE NEST. TWAM£SM£AD
JPM ?PM
Page 12

IAsterring Ears Iamited
Report of the Trustees
For the Year Ended 31 March 2025
Reserves policy
It is the policy of the charity to set aside 20 % of unrestricted funds to the gener21 resetve. This provides sufficient funds to
covet m2nagement, administr2tion 2nd support costs and to respond to emergencies which may atise from time to time.
Funds are maint2ined 2t this level throughout the year.
GOING CONCERN
After making enquiries, the Trustees have a reasonable expectation that the Chatity has adequate resources to continue its
objectives and activities for the pubh'c benefit for the foreseeable future. Accordingly. they continue to adopt the going
concern basis in pteparing the annual report and finaniial statements.
Further details regardll￿ the adoption of the going concern basis are io note I 'Accounting Poliaes. in the financial
statements.
STATEMENT OF TRusfEES RESPONSIBILITIES
The trustees (who are 21$0 the directors of IAStening Ears Iimited for the purposes of company law) are responsible for
ptepating the Report of the Ttustees and the finan(ial statements in accordance with app￿Cable law and United Kingdom
Accounting Standatds (United lQngdom Generally Accepted Accounting Practice) incluthg FRS102 the Financial
Repotting St2ndard Applicable in the UK 2nd Republic of Ixeland.
Company law requires the trustees to prepare finana21 statements for each financi21 yw which give a true and fair view of
the state of affaits of the charirable company 2nd of the incoming resources 2nd applj'cation of resources, incluth'ng the
income and expenditute, of the charltable company for that period. In preE)aring those finanaal statement8, the trustees
ate t4uired to
sdect suitable accounting poh'aes and then apply them consistentlyg
observe the methods and prinaples in the Charity SORP.
make judgements 2nd estimates that are reason2ble 2nd prudenr
prepare thc fin2naal statements on the going concern basis unless it is inappropriate to presume that the charitable
company will continue in business.
The ttustees are responsible for keeping proper accounting records which disdose with reasonable accuracy at any time the
fin2nual position of the charitable company and to engble them to ensure that the financial st2tements comply with the
Companies Act 2006 and charities act 2011. They are also responsible for safeguarth'ng the assets of the charitable
company and hence for talang re2son2ble steps for the prevention 2nd detection of fr2ud and other ittegulatlties.
The trustees ate responsible for the maintenance and integtity of the corporate and financial infonnation induded on the
charit2ble company's website. Le￿$latt0n in the United K￿￿0M governing the preFarntion and dissemination of finanaal
st2tcments may th'ffer from legislation in other jurisdictions.
This teport has been prepared in accordance with the special provisions of Part 15 of the Companies Act 2006 relating to
sm211 companies.
Approved by order of the boatd of trustees on 29th December 20225 and signed on its behalf by:
Mosad'oluwa Orot2yO
Ch2tr, Board oETrustees
Pa8e 13

Independent Examiner's Report of
Iastening Eats IAmited
I report on the accounts for the year ended 31 March 2025 set out on pages fifteen to twenty two.
Respectxve te8ponsibilxties of trustee8 and examinet
The charity's tntstees (who are also the ditectors for the purposes of comp2ny12w) are
responsible for the preparation of the accounts. The ch2rity's trustees consider that an audit
is not tequired for this year (under Section 144(2) of the Charities Act 2011 (the 2011 Act))
and that an independent examination is tequire(L
Having satisfied mysdf that the charity is not subject to audit under company law and is
ehgible for independent examinatioo it is my responsibility to:
examine the accounts under Section 145 of the 2011 Act
to follow the procedures laid down in the General Directions given by the Ch2ttty
Commission (under Section 145(5)(b) of the 2011 Act)" and
to state whether particular matters have come to my attentio
Ba8X8 of the Independent examinet'8 report
My examination was carried out io accordance the General Directions given by the Chatity
Commission. An examination indudes a re￿eW of the accounttng records kept by the charity and a
compatison of the accounts presented with those records. It also indudes consideration of any unusual
items or disdosures in the accounts. and seelung explanations from you as trustees concerning any such
matters. The procedures undertaken do not provide all the evidence that would be required in an audit. and
consequendy no opinion ts given as to whether the accouots present a 'true and fair view ' and the report is
litnited to those matters set out in the statements bdow.
Independent examAnet'8 Statement
In connection with my examinatio￿ no matter has come to my attention:
(l) which gives me reasonable cause to bdleve tha¢ in any materi2] respec¢ the requirements
to keep accounting records Èn accordance with Section 386 and 387 of the Companies Act 2006. and
to prepare 2ccounts which accord with the accounting records, comply with the accounting requirements
of Sections 394 and 395 01 the Companies Act 2(K)6 2nd with the methods and prinaples of the Statement
of Recommended Practice: Accounting and Reports￿ by Chatities
have not been metr. or
(2) to which, in my opiniofy attention should be drawn in order to enable a proper understanditig of the
accounts to be reached.
Patrick Jusu FCCA
Independent examiner
PAJ Accountants
10- 16 Tiller Road
Docklands, London E14 8PX
Date". 29th December 2025
Page 14

Listening Eats IAmited
Statement of Financial Activities
For the Year Ended 31 March 2025
Total
Funds
Total
Funds
Fund8
20
2024
INCOMING RESOURCES
Incoming Resoutce8 from
generated funds
Voluntarylncome
Donations
GrAnt mcojne
Grants received
Investsnenr Income
Bank Interest received
13.089
13,089
15217
16570
16570
31,588
Total Incoming Re8ource8
70
29.668
46,812
RESOURCES EXPENDED
Re8ource8 expended on Clwltable
Actsvitie8:
Charit2ble adivities costs
6,038
14,489
20.527
16,661
Cost OE generating voluntary income
930
930
744
Re80Utce8 Expended
15,419
2L457
17,405
Othet Resources Expended
Governance costs
lJ51
lJ51
1584
Other support costs
3.678
3,678
5,329
5,029
6,9LI
Total Re8OUtce8 Expended
]L067
LS,419
24J
Net incoming te80Utce8 fot the year
2.031
LIS1
22,494
RECONCIIJATION OF FUNDS
Net movement ill fund8
Fund balances brought fotward
Transfer of fimds
Fund balances carried forward
4031
8J65
22,494
7557
21.686
30.051
96
2&&17
33233
30.051
Page 15

Iistenitig Eats limited
Balance Sheet
At 31 Match 2025
Totsl
Totsl
Fund8
Notyo
2024
Fixed A88ets
Tangible fixed assets
li
3575
1575
3575
1575
4550
50
Cuttent A88ets
Debtots
12
Cash at bank and in hand
J2
Creditor8: Amounts fallitig duc
witl)in one year
13
li.(
Net Current A88ets
L032
25JOi
Net A88ets
Y)051
Fund8
Ufttestncted Funds
Restiicted Funds
14
33333
1.051
The chatitable company is entitled to exemption from audit under Section 477 of the Companie5 Act
2006 Eoz the year ended 31 NIarch 2025.
The members have not requlled the Ch￿1t￿bk COnJFMny to obtain #n gudit Df its financigl statements
for the year ended 31 March 2025 in accordance with Secrion 476 of the Companies Act 2(K)6.
The tTh￿tee8 acknowledge their responsibik'ties for
(x) ensutitig that the c1￿1t2b1c company keeps 2ccounting records that comply with Sections 386 and
387 of the Companies Act 2006 and
O)) PIeP￿illg financtsl ststement5 which g￿e a true and fatr view of the state of afkn of the chan'tsble
cornpany as at the end of each financ￿1 year and of its sU4)lus or defiat for each fmancial year in
accotdance with the tcquitcmertts of Sectio05 394 and 395 and wkn.ch otheTr4i5e comply with the
requirements of the Companies Act 2(M)6 rdating to fit)aniial statttnthts. so fat As appjicable to the
ch￿￿table company.
These fJngn(ial stxtements bave been prepared in accordance Thith the spe(d provisions of Patt 15 of
the Companies Act 2(X)6 relatsng to small ch￿Itable comE)anies and with the Fm3rtcial Repor
Standard for Snuller Entiiies (effeaive January 2015).
The financlal statements were approved by the Board of T£￿$tee$ on 29th Decemb￿ 2025 and vKre
signed on its behalf
Mosad'Oluw2 Orotayo
Chair of B0￿d of Trnstees
PaBC 16

Iistening Eats Iamited
Notes to the Fxnancial Statements
Fot the Year Ended 31 March 2025
l Accounting PolicAe8
Accountitig Conv¢Dtio
The 2ccounts ljave been prepared in accoIdance witb all appl￿ accountrg stAndards, FRS 102, the
Ststement of Recotlltncnded Practtse (SORP), "Accounting and Reporting by Charities" revised 2015 (FRS
102) and the Companies Act 2(K)6, except for the alternative heaty th2t have been used in the Statement
of Financial Activitie5. as the Tn￿teeS feel tbat the revised heathngs tn2ke the 2ccounrs easiet to tead for a
non-financial auth'ence. The pIinc4)al accoullDng policies adopted in the preparation of the accounts ate set
out below.
The chatity constitutes a public benefit eotity 25 defined by FRSIO2
Exemption from preparing a cash flow Statement
Exemption h2s been takeo from Preparts￿ a cash £low statetnent on the grouads that the chatttable
company qual￿$ as a sn)all charitable company.
Incomlng Re#outce8
All incoming iesources are Anduded on the state[r￿At of Fit)anCI￿ Actsvities when the ch￿lty is
legally entitled to the Incon￿ and the amount can be quantified with reasoD3ble accuracy.
Gtattts and Donation8
Income from grants and donations is mduded iti incotnmg resources when these are receivable.
Going concern
The Charity's acttvities, together WAth the factors likely to affect its future perforn)ance and position are Set
out in the Report of the T￿￿ttts on pages 2 to 8 wkuch describes the strnc￿Ie, governance and
managetnent of the Ch2rity' its risk tnanwent pol￿$ and pxocedutts, its objectives 20d activit￿, the
achievements, perforn)3nce and financial Position of the Chatity, and its plans for the ￿tt￿e.
After mAkin8 enquiries, the Trustees have a rea50D2ble expectstson that thc Charity h28 adequate resources
to continue its objectives and activities for tbe pubbc benefit for tbe foreseeable ￿ture. .4Ccordll￿1y, they
continue to adopt the gott￿ cottcern basis in p4)aring the annual teport and fuwicial statements.
RtBource8 Expended
Expenditttre is accounted for on 2rft accruals basis and h#5 been dgssified under headmgs that
aggregate all cost telated to the category. Where costs Cal￿0t be dwccdy attiibuted to particular
heading5 they h3ve been albca¢ed to activities on a basts conwteot with the use of ttsource&
Cost of generatitig funds
Cost of gene￿tit]g furtds are those costs rdatsng to the generatiott of income and itidudes cost
related to the management of the chattties activitie&
Allocation and apportionment of c08ts
Support cost are those cost related to shared activities of the owisation and are apportioned on
a basis considered gppropriate to the un(lerlythg activities.
Governance c0818
Governance costs are the costs associated with the strate8ic dtrection of the charity and with meettng
regulatory
responsibijities.
Fund accounting
UorestrACted fillxds can be used in accordance with the charitable objeaives at the discretion of the
Restricted funds can onty be used for particukn restr￿ putpose5 Witbin the objects of the
ch￿lty Restriction5 arise wben speafied by the donor or when funds are ra￿ed fot parficuiar
testricted purposes.
Further explanation of the natur #nd puxpose of each fund ts induded in thc uote5 to the financial
statemcnts.
p4￿ 17

Listening Ears Iimited
Notes to the Financial Statements
For the Year Ended 31 March 2025
2 Voluntary Income
31.0325
3L03.24
General donations
13.089
13.089
15217
15217
3 Grant Income
31.0325
31.0324
The Royal Borough of Greenwich
City Bridge
HNC UK Management
London Cmmunity Foundation
TK Maxx
Awards for All
1,097
5,525
11.170
7.995
9,925
31,588
16,570
3a Investment Income
3L0325
31.0324
Bank Interest received
Resources Expended
4 Charitable activities cost
31.03.25
31.03.2A
Ptoject support costs
Fundtaising expenses
Wages and other direct cost
Ttavd and subsistence
Hire of hall
Priniing and publicity
9.394
4,959
.370
lJ82
1.096
9,446
1,113
1,118
25
185
20.527
16.661
s Cost of generating voluntary income
3L0325
31.0324
Office entertainment
IT /zoom operation expenses
Volunteer expenses
Storage expenses
310
639
127
105
313
930
744
Governance costs
31.03.25
31.03.24
Account2llcy services
Independent eXaMi£￿tiOn
Bank charges
Subsuiption
Consultancy fees
5(X)
5(Kl
131
271
253
200
l)51
1.584
Page 18

Listening Ears Limited
Notes to the Financial Statements
For the Year Ended 31 March 2025
3L03.25
3L03.24
7 Other support C08ts
Motot vehide expeDses
Sundry expenses
Equiment
Insurance
Tdephone, internet and fax
Software
Rent
Depreciatioa
943
143
98
5S9
3,485
975
975
3.678
5,329
8 NET INCOMING/(oufGOING) RESOURCES
3LI)325
31.0324
Net resoutces are stated after cha[￿ng/(creditrng).
Depreciation - oryjmed assets
Independent exan)l￿tiOn fees
975
975
1.975
1.975
9 TRu¥fEES' REMUNERATION AND BENEFITS
Thete were no tEusttts' remuneration or othcr benefits for the year ended 31 March 2025 nor for the year ended
31 March 2024.
There were no trL]Stees' expenses paid neither for the year ended 31 Matth 2025 not fot the yeat ended 31
March 2024.
10 STAFF COSTS
3L0325
3L0324
Wages 2nd othet dtrett cost
Social 5eoJtity costs
Pcnsion C05t
7.017
iJ53
8.875
571
8J70
The average tnonthly numE*r of employees duting the year was as follows:
3L0325
3LOJ.24
No ttnployees recetved en￿1￿ments in excess of £60,{￿.
Poge 19

Listening Ears IAmited
Notes to the Financial Statements
For the Year Ended 31 March 2025
11 Tangibk Fixed Assets
All assets telate to the Clwity and are used for cknitsb]e putEx)ses.
Motor Vehick
Computer
equipments
& Equipmetst
Total
C08t
t 1st April 2024
Improvements
Adth'tions
657
1.066
At 31yt March 2025
657
1,066
Depreciation
At 1st April 2024
Charge for the year
1.950
975
657
1,066
3,673
975
At 31st Match 2025
1925
657
1.066
4,648
Net Book Vakne
At 31st Match 2025
3575
3,575
Net Book Value
At 31$t March 2024
4550
4,550
31.03.2025
3L03.2024
12 Debto
PttpaYll￿it
31.03.JJ25
31.03.2024
13 Cte(litot8: Amounts falling due
ithiti otse yeat
Pagc 20

IAStening Ears IAmited
Notes to the Financial Statements
For the Year Ended 31 March 2025
14 MOVEfvtENTS IN FUNDS
Net
Tr￿￿fer
Ift Apr
Movemeots
31st March
in fuDds
Fund8
Utlrestncted fund
031)
10J96
Re4tsirted ￿ndS
21,686
1,151
22,837
3Q051
&182
IS SUMMARY MOVEMENf IN FUNDS FOR THE YEAR
Rts()urces
f()vement
Unre8tticted ￿ndS
13.(P)8
(11.067)
(1031)
Rtttr￿d hjftds
16570
15.419
1,151
3.182
Pagt 21

IAStening Ears limited
Detailed Statement of Financial Activities
For the Year Ended 31 March 2025
INCOMING RESOURCES
Voluntary & Inve8tment Income
Donations
31.03.25
31.03.24
13.089
11,170
15217
5,525
7,046
7,995
1.097
9,925
City Bridge
HNC UK Manwtnent
IA)ttdon Comniunity Foundation
The Royal Borough of Greenwich
Awards for All
Bank interest received
Total income re8OUt¢e8
29,668
46,812
RESOURCES EXPENDED
Othet Charitabk actiVAtie8 ¢08t
Project support costs
9J94
Icrf)
8.370
1?82
1,096
185
20￿27
4,959
Wages and other ditttt cost
Travd and subsistence
Hire of hAll
Printing and publiciry
1,113
1,118
25
16.661
C08t of generating vohmtary iticome
Office entertainment
IT /zoom operation expenses
Volunteer expenses
Storage expenses
310
127
639
105
313
930
744
Governance c08ts
Accountancy servAces
Independet)t examination
Bank charges
Subsctiption
Consultance fees
5CK)
5(M)
131
253
200
500
80
271
lJ51
Support C08ts
Mou)I vehiclc cxpen5es
Sundry expense5
Eqwpment expcnscs
InsurAnce
Telephon4 internet 2nd fax
943
143
98
881
559
60
300
509
Rent
Depreciation
3,485
975
5J29
975
3,679
Total Resource8 Expended
26,486
24J18
Net Expenditure
3.182
22,494
P%c 22