Regislergd number.. 07962217
Charity number.. 1146276
Assisted Readlng for Chlldren
UNAUDITED ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
Prepared By:
88mes48usine88 Limitgd
Chartered Certffiod Accountants
12 Murdock Road
Bic6sler
Oxon
OX26 4PP

Asslstsd Readlng for Chlldren
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
TRUSTEES
Paulinè Edwards Irosigned 31 May 20231
Saira Ai
Nilam Mooruoft (resigned 19 Sgptomber 20231
lan Hudspglh
Susan Hing
Honor Somerset
Margaret Steven$
Jane WIlliAm8on
D&rèk Thomhill (Appointed 16 January 20241
Benjamin Moro1-Allen (appointed 19 Ma¥¢h 2024)
REGISTERED OFFICE
Gobles Court
7 Mark8t Square
Bicgster
Oxfordshire
OX26 6AA
COMPANY NUMBER
07962217
CHARifrf NUMBER
1146276
ACCOUNTANTS
Bame$48usiness Limited
Chartered Certified ACC￿ntAntS
12 Murdock Road
Bice51er
Oxon
OX26 4PP
page 1

Asslsted Reading for Chlldren
ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
CONTENTS
Page
R8POrt of the Trusto&s
Independonl Examiner's Slalemenl
Slalement of Financial Activities
Balance Sheat
Nol88 to the Acc¢)unls
10t015
DetAilod Stalemont of Fin8nclal Aclivith'os
14
page 2

A551sted Readlng lor Chlldren
FOR THE YEAR ENDED 31 MARCH 2024
TRUSTEES. REPORT
The truslgès present their r8POrt and a¢c¥Junts for the year ended 31 March 2024
STRUCTURE GOVERNANCE MANAGEMENT AND ACHIEVEMENTS
FORM OF THE CHARITY
Assistod Reading for Children IARCh) 15 a Charitsble company limilgd by guarantee. Th8 trus198S 8re also the directors for Ihe
purposes of company law and are appointed by the members al the AGM.
PRINCIPAL AIM
ARCh is an èducational charity whose aim is to help Primary school children ochleve a confident level ol literacy by imparting a love
of rgading through Tègular, perso￿lised. mentoring support from trained volunteers.
INCOME AND EXPENDITURE
About hatl of our incom$ com8 from Sub￿ripl￿On8 paid by schools for th8 services of our unpaid volunteers. Ths level of I
subscription is kept 05 low as F*Jssibl8. This souice of income is linked directly to the number of our volunlgers in sthools. and
Iher8lor8 relalos in a relatively stable way to the overall lov81 of ac*ivity of the charity. However il is currendy 80mewhg1 below thg
cosls ol SUPFQrting thg volunteers, and we plan to increase it over tho next or three years. The rwnaining incomo comes from
grants and donations. These are a more iffagular soure* of income. but Wg have a number of sources that ropeat Iheir grants or
donations from year to year.
About 70% of expenditure goes cffl staff costs. for tha central olfic8 staff and for the fièldworkors who directly service our
vdunleer5.
RESERVES POLICY
A$ 8 charity ARCh is regulated by Ihe Charities Commission which asks uts to s18te our r6serves policy. 11 is our aim lo hokl
unreslricled resgrve8 so that we can t* confident of our fingncial position and meet all obligats'on8 for al lea818-12 m¢)Dlhs. Some
$pecific fund8 from donations or grants arg held in a Designated Fund. and used to support the objective requested by the dcmorls).
The balancg of our reserves aro held as unTestriGted gen8r#l funds and can be spont on anything in lurtherance of the objeclives of
th8 ¢h8rity.
PUBLIC BENEFIT
In exercising thoir powers and dutse$ tho Iwslees have had regard lo the publlc benefit guldance issued by the Charity CornmissK)n.
in particular in relation to the enhan￿men1 of education.
page 3

Asslsted Reading lor Chlldren
FOR THE YEAR ENDED 31 MARCH 2024
TRUSTEES. REPORT
OPERATIONS REPORT 2023-2024
OveThrew
In April 2023 there ￿re around 250 volunteer reading h$lpers. although not 411 acts"ve.
The extent to which exp8ndSluT8 currently èxcg8ds income is rol8led to the difference b8tsveen the school subscription and the wst ol
volunteer support. Thg Iwst885 have 9greed lo use rgservos lo cover the shortfall while tho subscripllon increase is being phased in.
while at the same lima working lo increasè volunteer numbers.
Working wth school8 and volunteers
We maintained tho ftnancial o)nlribution wa ask schools lo mak8 toward8 the ARCh 88rvice at £450 per volunleeT for a further year.
absorbin9 increased running cost8. Truslges agreed that this 8hould increase lo £480 with effect from April 2024 and be reviewed
annually in fiJtur8.
Demand for ARCh support incTgased as the daliimenlal effects of mi889d schooling and social inlera¢tlons on young children caus&
by the Covid pandemic continued to be fell
We conducted our usual annual schools Survay to mea8ura impact of ARCh support ov$r the y88r. in 88socialion wilh Res&ar¢h
Oxford, achi&ving B rgsponse rale of 50%
The nUM￿r of grsnts we receiv8 from organi9otlOnS sgeking to help childr8n in paruiwlar o8ogr4phleal areas has rècently increased.
Tha trustees have agrtsed to establish a new deisgno18d fund, the ARCh Area-Sp8cific Support Fund. lo be used lor the recruilment
and BiPPOrt of volunteers to work in 8chwl8 in th&89 areas.
Other inilialiveslcollabDralion
Our application to Oxfordshiré Community Foundation's Slep Change fund WB$ succ8ssful, meaning we could embark on gubslantial
expansion and creat& a new post of Recruitm6nl Officer to work on thi8. Emmo Orton was appointed lo the post in January 2024.
In pursuit of the expansion of volunlear numbers w6 are aiming for partnership with a rang8 of organisalions throughout Oxlord$hire
via our &m￿0Yer 8UPPOrtod volunteering sGhem8, and liaising with the Oxfordshirg Inclusive EGonomy Partner$hip IOIEP).
Recognrtion And awards
The July 2023 meeting wa$ attended by around 80 guosts, induding some former Staff membern 05 wo 0)nlinued lo mark our 15th
year. We were honoured lo welcome Deputy Lleulenant for Oxfordshire Robert Buckeldee lo present awards marking the long
service of a number of volunteers. Wa were pleased to Share with our audionae the film of the Reading For Pleasure event w6 had
held for 8chool8 in March 2023, with k8ynola sp8akef Profe88or Teresa Cremin..
The Oecember 2023 maeling had o Dyslexia Ihgme, with gu851 speakers Jane Walker from Barringlon Stoke publishers ar>J
Charlotte Milè$-Webb, lulor #nd fonner ARCh staff member. We al80 wglcomed representatives from Mostly Boc*$ Abingdon wlTr)
provided a display of books.
The moeling in March 2024 saw the return of guest speaker Lola Chapman who providad an emotional wesentalion on the difference
reading had made lo hèr lifè, bringing u$ up to tlal6 wilh her joumey. We were plèased lo work with Oxford City College sludènls who
cam& to the meeting lo film inl8rviews with a numl*r of volunteers. This C£¢mplemenled the film wé had made earlter in th8 year
documenling Ihe story of Frod Potts, who r?ceiv8d ARCh support as 4 Child.
pago 4

Asslsted Readlng lor Chlldren
FOR THE YEAR ENDED 31 MARCH 2024
TRUSTEES. REPORT
Volunteer recruitment training
We continued our intetview and training of new volunteers via Zoom but also provided an in person ITaining day in September 2023,
with plans lo offer both cplions lo train in future
We conducted facè lo fafA8 Recall and refresher trainings in Safeguardiro and Phonics workshops
Our Company Volunl99r s¢h8me Oxford University Pross ¢onlinued into its 12th year.
Pre$entations and media presence
ARCh was featured on BBC Radlo Oxford and in lh8 local press on a number of OccaS￿n$.
SMALL COMPANY PROVISIONS
The report wos pr•psred in accord8n¢a with the special provi$ion$ within Part 15 of thg Companies Act 2006.
This report was approved by the Board of Trustees on S Augu$t 2024
Margaret Steven$
Trusla?
page 5

Assisted Readlngfor Chlldren
INDEPENDENT EXAMINER'S STATEMENT
FOR THE YEAR ENDED 31 MARCH 2024
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF ASSISTED READING FOR CHILDREN
I report on the accounts of the cofflpany for the year ended 31 Marth 2024 .
RESPECTIVE RESPONSIBILITIES OF TRUSTEES AND EXAMINER
The twsle8s (who aro also the directors of the o)mpany for the purposes of company lawl ara r6sponsibl8 for tha preparation of the
occounts. Th8 trustees consider that an audit is not required for this yèar under section 144121 of the Charities Act 2011 Ithe Charib'es
AGI) ond that an independent examination is rneded. l am qualrfied to undortake the gxaminalion by boing a qual(figd member of
Association ol Ch8rtered Certlfied Accountant5 .
Having 8atisfied mysglf that the charity is not subject to an audit undgr company law and is ellgibla for indgpendenl examination, il 18
my respon8ibility lo..
eX8mine th6 accounts under section 145 of the Charities Act.,
follow th8 procedures laid down in the general Dlreclions givan by the Charity Commis8ion undor 8O¢tion 14515Mb) of tho Charities
Act,. and
$1818 whèlher particular matters have comè lo my 8ttention.
BASIS OF INDEPENDENT EXAMINERS STATEMENT
My examination was carried oul in Éccordance with general Directions givgn by the Charity Commission. An examination indudes
review of Ihe accounting records kgpl by the charity and o Gomparison of the accounts prosented with thos8 r8cords. 118180 includ05
ccffisideralion of any unusual i18ms or disd05ures in th8 aceounl$, and seeking explanglion5 from you as trustees conceming any
Such matters. The pro¢edures undertaken do not provide all the evidence that would b8 required in an audit, and consequgntly
opinion is given a8 to whether the acwunls present a 'lru8 and fair Vie￿ and the rgport is limited to those matters sgt out in tho
slatsmenl below.
page 6

Assistsd Readlng for Chlldren
INDEPENDENT EXAMINER'S STATEMENT
FOR THE YEAR ENDED 31 MARCH 2024
INDEPENDENT EXAMINERS STATEMENT
In connection with my axaminalion, no rnatter has come to my attention-
{1) vthich gives m8 reasonable cause to believe Ihal in any material respect the requirements-.
- to keep accounting records in ac(x)rd8nce with sèction 386 of the Companies Act 2006: and
to prepare accounts which accord wrth the accounting records. (xjmply with th8 aceounling requirements of section 396 of I
Companie5 Act 2006 and with the melhcds and principles of Ihe Stalament of Recommend9d Pradic6.' Accounting and Rep)rts"ng by
Charities
havo rnt been met., or
121 lo whi¢h, in my oplnion, attention Should be drawn order to enabio a proper undar8landing of tho #ccounlg to be reaohed.
Dale.. 5 August 2024
K8lvin Bqfn89 FCCA
Bames4Busine55 Limited
Charter6d Certified Accounlanls
12 MurdoGk Road
Bice81er
Oxon
OX26 4PP
page 7

As51sted Readlng for Chlldren
Statement of Flnanclal Actlvities
for the year ended 31 March 2024
2024
2023
Unrestrlcted Restrlcted
fund5
funds
Total
Tolal
In¢ome
Income from goneraled fund8
Donations and18gacies
Incomè from Investments
Income from tharitable activities
Total Income and endowm•trts
Expenses
Costs of g6n6raling funds
Expenditure on Charitabl8 aclivilips
Total Expenses
Net galns on Inv•stments
Net Income
76,702
4,303
77,175
158,180
76.702
68,582
4,303
1,947
77,175
73,595
158,180 144. 724
176,7e6
176,768
176.766 149.513
176,766 149,513
{18,586)
118,586) (5,389)
Galnsl{lossesl on revaluatlon ol flxgd assests
Net movement In funds..
Net In￿me for the year
Total funds brought forward
N•t funds carrl•d forward
{18,6861
180,878
(18,586) (5.389)
180,676 186,065
162 090 180,676
This statement of financial activities includes all gains and 108888 rawgnisgd in the year. All income and expendilurg
derive from OL￿tInuing aclivi1198
pag8 8

Asslsted Readlng for Chlldren
BALANCE SHEET AT 31 MARCH 2024
2024
2023
Notes
FIXED ASSETS
Tangible assets
3.354
6,715
CURRENT ASSETS
Debtor6 (amounts falling due within one year)
Cash al bank and in hand
4.592
160.677
165,269
6.533
4,027
175,815
179.842
5,881
CREDITORS: Amounts falllng du• wlthln on? yoar
NET CURRENT ASSETS
TOTAL A8SET8 LES5 CURRENT LIABILfTIES
158.736
162,090
173,961
180,676
CAPITAL AND RESERVES
Unrestrl¢t•d lunds
General hjnd
Designatéd hjnds
119,064
43,026
162,090
155,976
24, 760
180,676
For the yoaf ènding 31 Mar¢h 2024 the company was enlillèd to exemplion under section 477 of the Companlo8 Acl 2006 relating to
Small companies.
The members have not requir8d the company lo obtain an audit in accordanco with section 476 of the Companie5 Acl 2006.
The directots acknowledge iheir T&sp￿sIbIlItieS for fLsmplying with the fequir8menls ol the Act with reS￿ct lo accounling reGords
Ihe preparation of occounl8.
These accounts have been prepared in 8¢￿rdanCe with tho provi8ions appliGable to companigs Subject lo the sm811 companie$
regimo.
Approved by th* board Dftrustees on S August 2024 and slgned on
thelr behall by
Margaret Slgvens
Trustee
page 9

A5slsted Readlng for Children
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
1. ACCOUNTING POLICIES
la. Basls Of Accountlng FR8
The financial statements have been prepared in accordanc8 with th& Compani88 Acl 2016 and Accounting and Rgporling by
Charilios- Statement of RerAJmmendod Practice applicable lo charities preparing their accounts in accordance wth the Financial
Rewrting Standard applicable in the UK FRS 102 {Charili¢$ SORP FRS 102 as amended for accounting period$ ¢omm&ncing fiom 1
January 2016).
Assisted Reading for Children meats the definrtion of 8 public benefit enlily under FRS 102. Assets and li8biliti6s are initially
rewgnised at historical cost Or transaGlion value unless otherwise stated in the relevant accounting pc4icy notelsl.
1 b. In¢omlng Resources
AJI incoming r8sourc8s are included on Slalement of Fin8ncial Aclivili88 when the charity is legally entitled lo th8 in¢om•, the
amount can b8 quantified with reasonablo accuracy. and 8ny p8rformanc& conditions attached lo the ilem{s) of Income have been
mel ol fully within the control of Ihg tharitable ￿mpanY.
1G. Resources Expended
Exp8ndilure is accounted lor on an aG¢ruals basis and hgs been classified under headings that aggregate all cost relaled to the
category. Where Gosts ¢annol be directly attributed to particular hgadings they have begn allocalod lo activi118s on 8 basis cvnsistent
with th8 Use of resources.
Exp6nditur8 Is recognised onc6 there 1$ a l&Jal or conslru¢tlvo obllgalion lo mak6 a payment lo 8 third party, 11 1$ probably that
s8tllom8nl wll be required and th8 arn￿nI of the obligation can be measured reliably.
1d. Allocatlon And Apportlonment Of Costs
I costs relate lo the single 8cts.vity of the charitable company and 3r6 recegnised accordingly.
le. Fund A¢¢ountlnq
Unr8stricled funds can be used in acrL)rdanc8 with the charitBbl8 objectives al the discretion ol the trustees.
RgslriGled funds Gan only bg usod lty pgrti¢ular restTiGted purposes wilhin the objeGls of the Gharity. Re5triGlion5 arise when specified
by the donor or when funds are raised for particular re51ricl8d purposes.
Designalad fund8 are funds sel aside by the trustee8 out of unrestric18d general funds for sp8afic lulure purposes or projects.
page 10

Asslsted Readlng for Chlldren
1f. Depreclation
Depfeciation has begn provided at the folltiwng rgte8 in order to write off tha assets over their estimated useful lives.
Equipment
straight line 33%
lg. Penslon Costs
The company operates a d8fin8d contribution p8n$lon s¢heme. The pension Chargo represents tha amounts payable by tha company
lo tho fund in respect of the year.
2. TANGIBLE FIXED ASSETS
Equlpment
Total
Cost
Al 1 April 2023
Additton8
Al 31 March 2024
Deprnclatlon
At 1 April 2023
For th& y8ar
At 31 March 2024
Net Book Amounts
39.168
1.820
40.986
39.166
1,820
40.988
32,451
5,181
37,632
32,451
5,181
37,632
At 31 March 2024
3.354
6,715
3.354
Al 31 MaTch 2023
6,715
3. DE8TOR8
2024
2023
Amounts lalling wlhin one year,.
Other debt¢xs
4.592
4,592
4.027
4,027
page 11

Asslsted Readlng for Chlldren
4. CREDITORS: AMOUNT8 FALUNG DUE WITHIN ONE YEAR
2024
2023
Other credrtors
8,533
6,533
5.881
5.881
5. LIMITED BY GUARANTEE
The company is lirniled by gu8ranl88 and doos not have a 6hare capital. Each maM￿r givos a guarantee to wntributo a 8um not
exce8ding £1. to the company should il be wound up. At 31 Marth 2024 Ihere were 8 memb•rs.
6. UNRE8TRICTED FUND8
Brought Incomlng Outgolng
lorward resources resources
Carrled
forward
Transfers
General fund
Designated Fund - ARCh Dgvelopmenl Fund
De8lgnaled Fund - Slgp Chang
Dgsignated Fund - ARCh Axg&Specific Support Fund
155,916
24.760
125,519
1162,371)
12,8501
14.3821
17.1631
1176.7661
119,064
21,910
11,618
9.498
162,0
16,000
16,661
158.180
180,676
Deslgnat•d Fund - ARCh Development Fund
Fund6 allocated for worknng on exF4nding our work with the most disadvantaged children in Iho wunty.
De$lgnated Fund- Step Chang•
Funds received lo introduce and support the new post of Recruilmonl Officer.
O•$lgnated Fund- ARCh Area-Spe¢lTF¢ Support Fund
Funds allocatod towards supporting schcols in specific geographical areas.
7. COMMITMENTS AND GUARANTEES
Al 31 Mar¢h 2024 the charilgbl8 company w85 committed to making poym8nts of £129,712 under non<an¢ellable operating lea8es
for Ihe remalndor of the 8pplicable1gase lem)$12023 '. £1.281) in respect of offth rent and office equipment hir8.
page 12

A551sted Readlng forchildren
8. AVERAGE NUMBER OF EMPLOYEEES
The average number of employees during the occounting periDd was 10 {2023 '. 10).
9. TRANSACTIONS WITH DIRECTOR8
One director was reimbursed expenses during tho accounts'ng period for a valug of £36 (2023 . Nona).
pag& 13

Asslsted Readlng for Chlldren
Incomlng Resources
for year ended 31 March 2024
2024
2023
Incomlng resour￿$
Incomlng resources from gen•rated funds
Voluntary Income
Corporate Donations
Private Donations
Gran18
778
14.889
81,035
4. 000
15,580
49, 002
78,702
68,582
76,702
68,582
Investhient Incorne
Bank Interest
4.303
1.947
4,303
1.947
4.303
1,947
Charltablo A¢tlvlty
School S(tb￿rIPticffis
77,175
73,595
77,175
73.595
77,175
158,180
73,595
744,124
page 14

Asslsted Reading for Chlldren
Expenses
forlhe year ended 31 March 2024
2024
2023
Expenses
Costs of generatlng funds
CharStabl¢ A¢tlvltles
Donations sch¢)ol subseriptsons
Advertlsing and Marketing
Haal and light
Rent
Salario$
NIC employor {wages and salaries)
Pension Contributions
Staff Expenses and Training
Volunloer Expenses and Training
Equipmenl188sing and maintenance
Computer ¢03ts
Professional 1885
Insurance
Evgnl and Fundraising Expen885
Sl81iongry & offi¢e supplies
Telephone
Bank charges
Sundry expense8
DepreGiatson of equipmanl
4.400
1,097
4,315
15.028
117,728
2.329
2.348
4,569
1,951
1,294
3.759
3,695
1.478
888
3.621
963
121
2.203
5.181
176,766
1.600
355
1,169
10,716
102.341
1.235
2,105
3.626
2,185
1.998
3.273
2.849
7,066
203
3,473
933
703
2,388
7,895
749,513
176,768
149,513
page 15