Company wistralion number 0807904S (England and Wal•sl
Charity regiStrat•on number 1149229 (England and Wal•sl
SUITED & BOOTED CENTRE LIMtTEO
TRUSTEES'ANNUAL REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 MAY 2025
•AEWTQZH7*
COMPANIES H(YJSE

THE SUITED & BOOTED CENTRE UMITED
LEGAL AND ADMINISTRATIVE INFORMATION
Trust•*s
A Murray I ChaY}
Mr J Bcrt)th
Mr E Lawson
County of Incorp￿atIon
n9land and Vtsksl
Company numb•r
0807￿5
Charlty r•glstratlon number
1149229
Reg16tered office and
Op•rational addr•ss
3&39 Maddox Street
Londcffl
W1S2PP
EnglaThJ
T•lephone
Web$il•
07808 531654
Ind•p•ndent examin
MCT Pathership LLP
Chartered Accwntant
1 Warner House
Harrovian Business
Hall￿ Middk
HA1 3EX

THE SUITED & BOOTED CENTRE LIMrrED
CONTENTS
Pag?
Trustees, reporl
Stslgmenl of Irustees. rgsF¥)nsibilitss
Ind8p•ndent
Statement of financi* activibes
Balance sh981
Sl*gment of Gash flows
Notes to thg financial statern8nts
10-14

THE SUITED & BOOTED CENTRE LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 MAY 2025
Th8 Trnslees of The Suited 8 oc￿*1 Cèntm L￿nIted (Suited & Bootèd) [ff￿ent their Amual Report arnj the
Flnandal Statements forth8 year endèd 31 May 2025.
The financial statements have teen Prepa￿ in accc¥dance wth the accountiThJ pdicies set out in nole 1 to the
financial statoments and comply charivs Memorandum and Artides of Assoraation. the Companies Act
2006 and "Accounbng and Reporling by Charibes". Statemenl of Reo)mmended Practv applicable to charlbes
preparing their accounls in aC￿rdar￿ wilh Ihè Fir￿ncial Reportirq SlarbJar(l applicabkn in UK arKI Republic of
Irèland IFRS 1021 leftective 1 January 2019}".
Structur•. govvn•ne• and mana9•m•nt
Suited & Booied is a tharitable comparby limitèd by guaranlee. incorporated on 22 May 2012 and Tegistered as a
tharity on 5 October 2012. The wnpany was established under a MerTwJrandum of AssocIat￿n wh￿h established
the objects and powets of th• tharitabl• Company ant1 is govemed Ltnd•rthe Artides ofAssoc￿tson. In the event of
the company b8in9 wound up members a￿ required to contsibute an amount not exceeding £10.
Obj¢¢ti¥e$ and adlvStl•s
Our objects are targeted at assistirvJ men aThJ youths. who are oul of work. a￿ in temporary or insecure work, have
reCen￿Y been discharged from the arrned services or released from ￿On. or are otherwise dassed by statute as
being vulnera￿e. lo find employmenl. We operate from in%de arKI ar¢xJnd thg Cty of London and Central London.
SO majority of th￿¢ who arè rèfèrrad to us by public agen¢i95 arè from one of lh• London tsor￿ghS, but we also
work with agèntyès. sud) as prison authorit*s. are outsth London and we ￿ace no restrictions on who may bt
referred to us for assistance.
Suited & Booted provides th¢)se referred to us by agencies wlh suitable (donated} inteNiew cfolhing,
interview training and gèr*ral mentorirvJ. TIMS ts madè posSi￿e by Surted & Booted receiving donabon$ of
appropriate'office. ththing and slThs. and by vrilh var•￿S Cty firnis. Suited & Booled m*s ro ¢harge for
any of its sefyices.
We beh'eve that these adivibtt art in accordance 7hilh th¢ Ch* CLNThniSSK)n GuNJance on Public 8enefft ¥nd
meet Ihe requirement of Yor the public benefft. in the Chariti¢$ Act 2011.
Recrullment and appointment of trustees
The trustees are also directors of the charity for the purposes of company law. All trustees rThJsl ￿tIre from offic• at
Ihe first annual general meebng. At each subsequent ￿n[￿l gewal rneetwig one truslee must retire by rotats.on but
may be re-elected by members.
In this financial year thè trusteès ol Suitsd & Booted inckjded 8 lawytr. a fomw eonsukant sU￿￿n and a former
inlomiats'on tethnobgy consultant. Our Palwon is Dr Rowan Williams IT￿ Rt Revd & Rt Hon The Lord William5 Qf
Oysiemoulh PC FBA FRSL FLSW, fom•rty Archbiswj of Canttrburyl. Thè m•mbfrrs consider that thi5 providg
range of relèvant knth￿e￿ge, experience and skills sufficr8nt to run Ihe charity effectively. New trustèès ar•
appointed by the membefs, on the basis of their abilty to enswe woper governance and promote the e4)J"ectiv&s of
the charity.

THE SUITED & BOOTED CENTRE LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MAY 2025
Achigv¢meDts and p•rlomian
Suited & Booled was founded by Di Maria Lenn MBE in 2012. Originally operating from the Wren Church, St
Andrew-by-the-wardrobè. at St Andrew's H￿1 in Bkckniars. ui this financial year we have operated from 35-39
Maddox Slreet in Mayfair.
In thi$ finanrial ￿ar. Suited & Bwted 956 (*ents for dothing, and am our dients have the option of receMn9
intèNiew training. During this finar￿al year ￿ n¥)ved from our prerrise5 in Fleet Street to OLJr current premises in
Maddox Street.
Our aim is to h•lp c¥Jr dients to athieve SUCC￿ by tr￿SlOrI￿g their appearance and by boosting their morale and
8eK-confidence. Volunteers hdp clients lo selecl and be fitted with appropriate clothing from our stod( of donated
suits, shirts. lies, cufflinks and shoes, in prepaTali¢)n for their InterV￿W. As it is not always POSSFble to fit clients
entirely from donated Stock, and as our dients Wp for an inter¥iew whth w￿1 usually t8ks place immediately
aftgr their fitting. we aim in su¢h ¢ose5. to wrchasè the rtecess￿ itgm of dc•thirwJ #t low ¢o$t M bohalf ofth¥ di¢ni.
11 is our aim. howwgr. to kgep suGh purthases to a minimurn.
We continue lo li81￿ referral agenciès in order to man•Je Ihe infknv of clients Ihey sènd to us. We arrange
appointmènts for dients on weekdays. We do not monitor. or kèèp rec(Jrds on, th• cliènts we see. but from feedback
from thè referral agencies and from unsdKited teStIff￿la1$ sent in by our difrnts. we frslimate that over half of the
di•rts that we see we successftjl in the¥ inlerview.
Wa have continued to ￿ceIve dothiThJ donations from a wide range of corporate companies, such as banks, law
firnis and financid institut*)ns. many based in the City ol London or Docklands. and also from individuals. Our
central location has helpe(l us to develop these links. an<1 to spread awareness of our thrity lo build up
yJpport in the area. We also on occa5K)n gèt remayujered skxa Irom fashitin COM￿nIt$.
Supportèr$
Action Funder
Alan Merkel
BLttzacott
Nedley F¢Xjndai￿ (April 20251
Kathleen Crc*)k
Mike Styles
Morgan Lews
Rgpes & Gray LLP
St John's Waterk)o (Feb 2025)
St Olave (City of London)
The Bank of Nova Scotia
The ClothwOrke￿ Foundation
The Fitton Trust
Th• Property Prolessionals
The Worshspful Company olA¢lu8ri¢s
The Worshipfijl Company of Bwers
Weil, Gotshal an¢J Mang9$ LLP
White Stuff Foundat

THE SUITED & BOOTED CENTRE LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORTI (CONTINUED)
FOR THE YEAR ENDED 31 MA Y2025
Fundwralslng events
In July 2024. w8 hèld 8 musical tlwatrè Cabaret evening with th￿ West End musul perfomers and a musical
dirèctor at the CAA Club (Club for Acts ènd Act0￿) in Covent GarderL Our supporter. James Hume. organis•d thè
Cabaret lor us and was one of the perfoftY*rs.
Also in July 2024, Robert Blac*￿V00d. Fo￿Jer of Interrupt the Routin& la ¢ffjaIl￿ artslwants theatre company)
brought the latest 8dventure in ihe ￿ntage. radtrstyl& ¢¢y1￿ seriè$ Tho Gin Chrorncles to St Jaffles
G8rt￿khyth8 in the City of London.
In August 2024. Suitéd & Boot•d was by BBC Breakfast aml wenl out live throughout thè nhjming
showcasing the woth that we do. Our dients and volunteers were able to talk about Surted & Booted and
demonstrate how 8 Sult and smart inleryiew wear can boost ojnftlence and Charge lives. On the same day, our
Chief Executive Or Maria Lenn joined Radio 5 Live for a discussim ¢)n *M￿oYMÈnt and a Suited & Booted dient
also $pok* lo Rad￿ London al￿1 Ihe transfowrnativ• work oftht charity.
In September 2024. Suited & Booted V￿U￿10&rS and d￿nts walked a marathon for the annual Walk wth Weil
fundraising event. Weil, Goishal & Manges LLP invites its slaff and olher Charities to parts'cipate in th• walk and
Surted & Booted fitbjed a strong team with great SUPFAYL
In October 2024. we hekl arwthtrr musical theatre Cabaret 8venThJ with James Hume. West End aiti3tes and a
musical director, this ts"m8 al th&AI Is Joy stuf1￿$ in Soho.
In Novern￿r 2024, supporters. ¥￿UnteerS and dients gathered lor our èw-Fwlar pub quiz at Steam Wine Bar in
thè City of Lond￿, eompiled and hosted by OUT voluntétr and Quiz Mast•r Mike Thomas.
In Febnjary 2025, our opera4ingirMJ supporter Eves SaThJers ¢NgwM5ed a concert. A Night at the Opera,. at St May
Abchurch in the City of Lcryjon.
In March 2025, we held anothgr mu$1￿1 theatre Cabaret ￿Ing James Humo. West End 8rtiste5 8nd 0
musical director. at tha CAAClub Iclub forAcls ar#J Actwsl in Covenl Garden.
In April 2025, w• rètume(I to Stearn Wine 8ar in the Cty for anolhw wb quii again compl￿ hosted by our
Qviz Master Mike Thornas.
Also in April 2025. ujr Chief Exectsltve. Dr Maria Lenn. was invited ty the Bowyers. Livw Company to thèir ￿nUal
St George's Dinner and there gave an after-dinner lalk abcrtrt Ihe work of Suited & Booted.
Sn May 2025. we held another musiral theatre Cabaret e￿nIng ￿th James Hum•. West Erwj ThKJsical performers
a musical director at thè CM C￿b (Club forAds and Aetotsl in Covent Garden.
Presentallons
Throughout the year. ow outreath vcAunteer. Mike Styles, 98ve tak5 abrArt our work and attended ompbyment
evènts
in Jun8 2024 for Brent ¢ounryl at Brent Ciwc Centre and in August 2024 a meèting Empbyment
Support-TalkiNJ Therapiès, Enfield tt) let staff kne￿ aboui thè hèlp availab￿ to thèir cliènts. In September 2024. he
attended the Peabody Careets and Vdunteets. Fair as wdl as a ¥i￿t to the Supreme Court Iheir clothing
donation day wth a Suite(l & Booted dient to talk about our woth and how organisat￿nS can help. Another tslk in
September was al Nelson Cdlege, whwe staff and students We￿ able to find oul at￿ut our work and areas of
support. In October 2024. he spoke to the L&0 Group. a hoLLsing association and in November 2024 to thé K*>vè
On Hub at London Bridge. organised by the Ministry of Justice to S￿nPost ex•offenders to organisations for support.
In December 2024. he attended the Volunteers Chrisbmas Fayre organised by Westminster Council and hostod by
New London Architecture. In January 2025. there was a visrt to Hounslow Council for a drop in session vrith Caro
Experienced young peop￿ along wth Job Fairs, one at Croydon Vision- Visually Impaired organised by Sutton
)b Centre after which our vdunteer Antonio CarTin9ton attended the Job Fair. Disalylity Confident organised by
Croydon Vision. In February 2025. Mike Styles and our stylist. Monique Sahkn, paitycipated in Pod Re's la
reinsurance company) em￿0yrr*nt Yes Day for young people. In March 2025, Mike Stytes visited IsliThJton Job
Centrè for a National Careers Week talk and later in the month gave a talk at Ohme Ltd {8 lÈ¢hno￿gY company) to
cvin¢ide with Iheir clothing collection for Suited & Booted. The year I)Y￿uded vnth a talk in May 2025 lo the Stock
Exchange Professional Netr￿knng Evening.
We did one prison workshop in Ociober 2025 at HMP ISIS. a Offender Institutton in Thamèsmèad.

THE SUITED & BOOTED CENTRE LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MA Y 2025
Prlnelpal Fundlng sources
Our income from voluntary donat￿n$ and fvTrJrydtsing lell suqnifieanlty in this ffinancial yèar from £142,265 in thè prlDr
year lo £82,705. Income from grants and wuLar donat￿￿$ has also decreased from £41.￿)0 to £24,464. The move
from our premisès in Flo8t Streel to ow current w￿lS8s"1n M*ldox Str￿t was wry dIsrup￿ve bLrt ft was not
necessary to dow on our reserye&
R•s•r¥•s pollcy
It is the ch8rity'$ Wicy to maintain a balance on ww•stricl¢d fvnds. whi¢h wu*as to at knast threo months
unre$tri¢tgd pay1￿￿ts. Th• balance on the General {UnrestrMkndl Fund wa$ £142.52012024: £161.3921. wh
mg¥ts tt)is large*L
The trustees. report was apwo¥ed ty the Board ofTwstees.
Murr
MrA Murr•y ( Ch•lr)
Trustee
26 Febwuary 2026

THE SUITED & BOOTED CENTRE LIMITED
STATEMENT OF TRUSTEES. RESPONSIBILMES
FOR THE YEAR ENDED 31 MA Y 2025
Tho trustsgs. who are also ihe directors of Thè Spiritualist Assocration or Great Brilain for the purpose ol company
baw. aro rèsponsible for preparing the Trustees, Report and the accounts in accordance applicat4e law and
United KingdomAccountmg Stsndards (United ￿ngdoM GeneraltyAccepled Acc(MJntr'ng Practice).
Company Law requires the Iruste¢$ to prepare accounts for eath ffin8nri81 year which give a true and fay view of
Ihe state of affairs of the chanty and of the incoming res1)ur￿￿ arhy app1KatI￿ of resources. induding ￿cOMe
and expenditure, of the charita￿e company for Ihat year.
In preparing thè$8 aeo)unls. the trustees •r• r¢wir•d to:
- selèct suitat4e accounting Fdicies and then appty Ihem cowstentty:
- obs•Ne the methods and principles in the Chaiitses SORP:
- make judgements arbJ estim•ts$ that are reasmable and Frfud¢nt
- state whether applicable UK Accounts"n9 Stsndards ha￿ b88n subpd to any material departures
disdosed and èxpLaine¢J in the accounts.. and
. prepare Ihe acC￿JntS on the goiTrJ wncern basi8 unless is inappropriate lo presume that the charity will continue
in operalKJn.
Tho trust99$ ¥r• rèsponsi￿8 for keepin9 adequats aecountirKJ r•cords that disdos• T•￿ r•asonabl• accuracy al
any time the financial positi'on of the chanty and enable them to ensure that the accounts compty with thè
Companies Act 2006. They are also responsible for safeguar(liryJ the assets of the charity and hence for takln9
reasonable steps for the prevenlion and deteclh)n of fra￿1 arKI other irregularit￿S

THE SUITED & BOOTED CENTRE LIMITED
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF THE SUITED & BOOTED CENTRE LIMITED
I report to the trust••s on my examinat*)n ot th8 financial stat•m•nts of The Suit•d & Bootsd C•ntr• Limit•d {the
arityl for Ihe yéar ended 31 May 2025.
Rosponsibilitl•s and basls of rnport
As the trustees of iho charity {and also its dir8Ctrys for thè purposes of company lawl. you art responsiblè for the
preparabon of the financial statements in aCCL¥darts wrth the requir•rnents of thè CompanK•sAct 2006.
Hawng salisffied myself that the financial statements of the charity a￿ nol required to be audited under Part 16 of
th* Companies Acl 2006 and are elbgible for independent examination. I report in respect of my examination of th•
charitys financial ststements carrièd oul ￿der section 145 of the CharthèsAct 2011. In carying out my examinalion
I have followed the DIrert￿n￿ given by the Charity Commission urKJer sectKJn 145(5llbl of the Charities Art 2011.
Independgnt èxamlnees statement
I have coM￿ete￿ my exarnination. I confirm that rK* matter5 hav• tom• to my attenlion in conn•ction wth the
*xamination giwng m& causè to bd*ve that in arby matèrial respect".
accounting records were not kept in respe(a of Ihe ¢*arity as req[Mr￿ by seclion 386 of the Companios Act
2006.
the financial statements do nol accord ￿th those records., or
the financial slatements tjo not comply V•ith lh• acwJniir#J requ¥ements of saction 396 of the Companies A
2006 other than any requirement that the financial ststements gi￿ a true and fair wew, whth is not a matt•r
conSide￿d a5 Part of an indepèrtdenl examinab.￿.. ¢x
tha finanoal siatements have not been ￿epa￿ in accordance wth th8 methods and principles of tha
ststement of RecommerKled Practice for acc4)unling and" reF4yts'r#J by than1￿& ap[Al￿ble to ¢harilies
preparing their financial ststements in aW)r(lan￿ w7th th• Financial ReporliThJ Standard applicabl• in th• UK
and Republic of Irdand IFRS 102).
I have no concems and have corne across no olher matters in connectK)n Ihe examinab'on to which ￿ttenI￿n
should be d
this report in tyder to enable a pmper understawwJin9 of ihe financKql ststements to be r¢athed.
Phlllp Gal• FCA
MCT Partnership LLP
1 Warner House
Harrovian Business Village
Btssborough Road
Harrow Middlesex
HA1 3EX
26 February 2026

THE SUITED & BOOTED CENTRE LIMITED
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDrruRE ACCOUNT
FOR THE YEAR ENDED 31 MAY 2025
UnrestrScled Unrestrlcted Restrlcted
funds
fund$
funds
2025
2024
2024
Total
2024
Ineomo
Donations and legacies
108.S54
154.81$
183,815
Tot41 income
108.554
154.815
183,815
Expenditurè
Raising funds
Charitablè activ¢ti&s
106.851
20.575
33.531
88,217
32.070
32.07D
Total •xpondlthr•
127,426
86.756
33.531
120.287
Net In¢om•l{•xpendityrg) and rnov•n*nt in
funds
118.8721
68.059
(4,531)
63.528
Re¢oneillatlot) of lund$'.
Furtd balan￿ at 1 Junè 2024
161.392
93.333
4,531
97.8fj4
Fund balane•s at 31 May 2025
142,520
161.392
161.392
All incorning resources and resources expended derive from 0)nlinu¥￿ actrv1l￿s. The￿ are rKI recognise(I gains or
losses other than those disdoseil above. There is rKJ difference be￿Ween the net movement in ftjnds for Ihè year
$rated above and the historic cost equrvabnl profft for the year for Companie5 Act purposes is the 58mè as the net
vement in furKls for the ￿ar.

THE SUITED & BOOTED CENTRE LIMITED
BALANCE SHEET
AS AT 31 MAY 2025
2025
2024
Current ass•t$
Debtors
Cash al bank and in hand
141.573
180.445
142.573
181,445
Cr•dltors: amounts falllng within
on• year
1531
(531
Net Current assets
142.520
161.392
Th• funds of th• Charity
Unrestricted funt1s
10
142.520
161,392
142.520
161.392
The company is entided to Ihe exemption from the requ1￿men1 contained in seclion 477 of the Companies Aci
2006. for the year ended 31 May 2025.The rrembers have not required Ihe company lo cblain ￿ audit of its
financial ststements for Ihe year in queslitin in accordarbte with ￿tiOn 476.
The directo￿ acknowledge their feswn5ibil1t￿S for ensuring that Ihe company keep5 8￿n￿n9 records vthich
omply wlth seclion 386. and preparin9 accounts whth 9Ne a Iwe and fair view of thè statè of affair5 of the
eornpany as at 31 May 2025 and of rts surplus or deficit for yèar then ended in attordance ￿th thè
requirements of section 396 of the Companies A(120C6 and which otheTh¥ise o)rnpty wth the requirements of the
Act relating to accounts. so far as applicable to the cornp￿.
The financial statements were approved by thè t￿￿ on 26 February 2026
Angus Murray
Mr A Murray { Chalr)
Trustee

THE SUITED & BOOTED CENTRE LIMITED
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 MAY 2025
2025
2024
Cash flows from operating athikne$
Cash {¥bsorbed byygeneraled from
op￿atIonS
12
118.872)
63.851
Net cash gO￿rated frorn invosllng athili
N•t cash gengrat•d from financing aclivilws
Ngt {q1e¢rèas•￿￿ef•8s• in Cash and ¢ash
8qui¥al•nts
118.872)
63.851
Cash and cash eqUNalents at Winniry ol y
160.445
96.594
¢a¥h •nd ¢ash •qul¥alents at *nd of y•ar
141.573
160.445

THE SUITED & BOOTED CENTRE LIMITED
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MAY 2025
¢¢wnllng poli¢i•8
Charity Infomlatlon
The Suited & Booted Cantrè kn"mrt8d Is a wivate f*AY¥)any Ilmited by guaranta* incorporat8(l in Erfjknd arK1
Wales. The registèrod officè ts 3M9 Mad(b)x Str8•t. W1S 2PP. England.
1.1 Aeeountlng eonventlon
The finan￿al statèménts have been prèpar￿ in accordance wth thè Companies Act 2006 and 'Accounting
and ReportiThJ by Charib"es.' Statement of Recommended Practti appl￿ble to charilies preparing their
accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland
IFRS 1021 (effective 1 January 20191". The charity is a PUNIC Beneffit En￿'ty as defined by FRS 102.
The finan(ial statements ¥• prepared in Stsrfing. whth is Ihe fvnthinal ¢urr•n¢y of th& tharity. Monotsry
amounts in th858 financial statements are rounded to th6 nearest £.
The aCcO￿ts have been wepared on the historKal ￿$t ¢onvention. rno(lified l(> include the ￿ValUation of
certain financial instruments at fair value. The PFin(xpal accounb"r¥J pdiries adopted arè set out below.
1.2 Going con¢•m
At thè time of approving thè financial statemènls, thè trustees have a rèasonabk expectation that the charity
has adeqvatè resources to continue in operntional existence the foreseeable futu￿. Thus the trustees
coniinue to adopt the concern basis of accountiry in prepariThJ the finaroal ststem?nts.
1.3 Chafltabl• funds
The General Fund is an unrestrKted fuThJ whth Is aVaila￿e lor use at the discretion of the trustees in
furtherance of iheir charilable obiecbves.
Restricted lunds aro subi8ct to restricb)ns tyi Ih¢ir •xpeThliiurÈ Impo￿ by the donor or through ths l¢m)s of
the appeal.
1.4 Incoming rwwc•s
All ineoming reSoUr￿S are Induded in the ststements of finanaal a¢tivitie$ ISOFAI when ihe charity becomes
entiued lo the resources, the truslees are virtually certain they wll receive the resources and the monelary
value can be quantified with rea5￿8￿e a(turw.
1.5 Donal•d goods and s•rvk•$
Donated good5 and ser¥rces ￿ recc9n1￿ in thè fin8ncial statemÈnts whère they are usu4lJy prnV￿Èd by
the donor as part of their trade or profe￿On for a fee. The value pla￿ on these resource5 IS the estimated
value the charity would pay in the open martet for equbvalent goods and services. Accordingly. donated
clothing and volunteer help is not recognised in the finanual statemerts bjt is described in the trustees.
annual report.
1.6 Resources •xp•nd•d
The costs tsf generating fvnds 1$ all èxpeThJilure inwed ffi raising funds to finan¢• d)aritat4e aCtiVrt￿$.
Charitable ?xpèndtbJrÈ eomprises ol all thè oxpèThJiturt incjmd in rn98ts.ng the charita￿e 04'trcts. including
tsist 0fmanX￿rnent. adminkstrath.on and compliance with c￿$blU￿"0rTr￿l and staiuw requiiemènts.
l expenditure is rwnised in the per*)d in it is iwjrred.
-10-

THE SUITED & BOOTED CENTRE LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MAY 2025
Aeeounting policles
Icontinytd)
1.7 stock$
These items are valued at the lower of cost arKI net realsabte value. They used for the chaTilable
activity aThY arg hèld for free distribulitsn. As su¢h th we nol re¢o9ni$8d in the Ststernent of Financial
Position as th8y have nil realisable value.
Critleal a¢eountlng estlmates and Judgements
In the application of the charitys 8¢rJJvntir¥J ￿licieS. the Injslees are required to make judgements. estimates
and assumpliorts aboLrt the carryin9 aft￿nI of assets and liatMliti$s thal are not readily apparent from other
sources. estsmates and assoaated assumptK)ns arè based on historical experiènca and othèr factors that
ara consKlèred to be relevanL Aclu￿ results may drffer from these estimates.
The estimates and underfyry a55uffytions ￿ Thie*Ed on an ongoing ba$is. to accounting
estimales are rècognised in the perK¥a in which the estimate is rwised where the revis*Jn affè¢ts only that
pefic4J. or in Ihe peft￿ of thè re￿slon and futu￿ penods where Ihe revisKsn afftds both current and luture
periods.
Income from dorbatlons and l¢g•dgs
Unr•strlet•d Restrlct•d
funds
funds
2025
2025
Total Unr•strkt•d R•strlet
lunds
lunds
2024
2024
Total
2025
2024
Donations and gifts
Funij Rai￿ng
Grants
HMRC GfftAKI
82.254
450
24.465
82254
450
24,465
1.385
141.213
1.052
12,000
55)
141.213
1,052
41.000
550
108.554
108.554
154.815
183.815
11

THE SUITED & BOOTED CENTRE LIMThED
NOTES TO THE FINANCIAL STATEMENTS ICOPfflNUED}
FOR THE YEAR ENDED 31 MAY2025
d¥
nd
2024
rhESSillg
V(4untett (x)9ts
FuTrJT*ISNWJ ¢¢gt*
Jl.517
10.716
2.152
31.517
lo.rn
2.152
21.481
6.187
21.481
6.187
8.420
1912
3.912
1fffj.851
116.851
fj9,217
19,WO
88.217
-12-

THE SUITED & BOOTED CENTRE LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MAY 2025
Expendilurn ¢>n eharlty support aellvltles
2025
2024
Office and insurar
Communicalions
Premises
LogTrstics
Oiher
3.361
320
7.481
4,175
5.238
7,535
13,568
10,283
20.57S
32,070
Analysis by lund
Unrestricted funds
20.575
32,070
Th8 charity is èx8mpt from taxabon on rts ac11¥rt￿ b￿lts• all ts irKome 1$ appli8d for charitablg purkX)se$.
D•btors
2025
2024
Amounts ts11Sng due within one year.
PrepayrMnts
1,000
Cash at bank and in hand
2025
2024
Curnent acrAJunt
Deposit account
Pettycash
Amgration
27,122
112,501
1,854
44.729
110.912
141.S73
160.445
Cr•ditors: amounts f411in9 du• wllhln one y
2025
2024
53
53
13-

THE SUITED & BOOTED CENTRE LIMrrED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MAY 2025
10 Unr•slrfcted funds
The unrestricted funds ofthe charity compriso thè uMxpÈnded balanees of donations 8Trd grants vthich are
not subject to speufic CA)ndill￿S by dorbors and grantor5 as to how they may be l￿d. These tnclude
designated fvnds whith haw been sgt as•Jè out of ￿veStn"Ct•d lunds by the trustees for spe¢th purpos05.
Type text here
At 1 Jufi•
Incomlng
2024 Th$our￿$
R•sourt
•xp•nd•d
At 31 May
2025
General fvnd$
161.392
108.$54
1127.4261
142,520
Pr•vlou$ yg•r:
At 1 Jyn•
2023
Inet)mlng Rèsources At 31 May
r•sourc•s •xpendtd
2024
Gen•ral funds
93.333
154,815
186.7561
161.392
11 D•tals of ¢•rtaln itèms of •xp•nditur•
No trustee ￿CeIved any ￿MuneratiOn or eypenses from the charity.
The fee for the Independ•nt Ex¥rrin¢rs R¢F4)t was t1.800.
12 C•¥h (absor￿d byvgenefated from operalion
2024
{Defiotysvrplus ts Ihe y
{18.872)
63.528
Movements in working ¢apital:
(Inueaseydecrease in debtors
(De￿ease)rl1￿re3¥8 in ueditors
300
23
Cash (absothd byy9en¢r•ted fTom op¢raiityns
118.872)
63,851
13 Analysi8 of changes in net funds
The charity had mat•￿1 d&bt durfirwj the ￿r.
14-