RCT Domestic Abuse Services Limited
(A company limited by guarolltee)
Anrn￿l Report and Fin0n¢i￿ Statements
for the ye￿ Ended 31 March 2025
Company registration Lumbei: 08356730
ChaTity registration numb¢r', 1155423
FISJ Al￿11 Limited
Stathtory Auditors
Severn House
FLaz¢ll Drive
Newport
South Wale8
NPIO SFY

RCT Domestic Abuse Services Limited
Contents
Strategic Report
stees, Report
2to5
Independent Auditors, Report
6t08
Statement of Fin￿claI Activities
9tolO
Balance Sheet
li
Statem¢llt of Cash Flow8
12
Notes to the Financial Statemellt8
131022

RCT Domestic Abuse Service5 Limited
Strateglc Report for the Year ￿llded 31 Morch 2025
Tb¢ tru8te¢s, who are dir¢¢tors for the puryosgs o£Gompany laws present their strategi¢ report for the year ended
31 m￿￿2025, in compliao¢e with s414C of the Compani¢8 Act 2006.
Finanelal review
Pollcy on reserv&g
To minimise risks to the orgallisation tbe trustees have established a policy whereby the umrstrl¢t￿ thds not
committed and held by the ch￿'Ity should be 6 month8 njjming costs, As of 31st Mai'ch 2025 the unre8trict¢d
cuJTertt net assets were £933,869 (2024." £685,559). Much of the organisation8 income is 8rJllt filljding and tb¢
charity recognises the need to build reserves should this be reduced. in order to continue services until
alternative sources of income are secure
Principrtlfunding Sources
The main source of fimding the organisgdtion receives is Supported People Revenue ￿.￿llt from the Welsh
Asselnbly Oovernment, which fi￿d8 our support to women and children accessing r¢fLige and con)n]urrity
services. The organisation also receive8 grant fimding from RCTCBC Social Servic&s towards the SAFE project
and children and young people's siipport services. Oiher sourcG8 of fimding also include Big Lottery,
Ffratnwaith and th¢ Moondance Found&tion.
JnvesÉmenlpolicy And objeclivej
Under the Memorandurn and Articles of Association, the charity has the auÈboi'ity to invest funds a8 d¢terrnin¢d
by the trustrees.
Tkn strategtr report was approved by the tru8tees of th¢ ch￿lty on3.fv l.*xSalld signed on its behalf by:
Mr Plulip BevaTh
ChairnL&n atMI Trustee
Page I

RCT Domestic Abuse Services Limited
Trustees, Report
The tiU8tees, wbo ￿'e directors for the PUTposeg of Company law, PlfS¢llt tkn anniwl report tog¢th¢r witb the
financial staten¢nts and auditor8, r¢porl of the charitsble company for the year ended 31 March 2025.
Objectlvts And aetlvltlès
Tbe Charity's inain objectives are to relieve the distress and guffering of all formB of Viol¢nGe Awdinst Women,
Domestic Abuse and Sexual Viol¢nG¢' t'o relieve any woman, man or child in iiecessitous circumstances, by the
provisiots of te￿porary crisis a¢commod&tion, 8ervices and facilitios, to pr￿erve and protect the health of
women, men and ¢hilth'en in necessitous circumstsnc¢s and to educate the publio in the ￿e8 of domeBti¢
violen¢e and abnsc,
In finther&n¢e of this objective RCT D¢mestic Abu8e S￿Vic￿ off¢rs a r&nge of serviGes to womets, m¢n and
their Children. To ensu￿ &¢G￿S aad 8UPPOrt are alway8 availELble we offer a 24 hour service which inGlude8 drop
in siipport during traditional working hourB and 4 t¢l¢phone service (and staff ￿spOnSe where appropriate)
outside oifice hours, enabling beneficiaries to ￿¢¢$$ siipport, advice and wh¢re requirel acc￿8 to our oth¢r
service8. W¢ manag6 4 supported bou8ing projects. which offer eM￿genCY safe accon]modation to women and
their cbildrell (refuge).
These UT¢ staff￿ by a tellm of 8UPPOrt workeis. We ai80 offer a Tall8¢ of Drop In, OUt￿a¢h and Lif¢ Ski118
Programmes to wom¢n, and children in the conmiunity tbrough the SAFE Project and support via The
Safer IULondda Centr¢, Cynon Saf¢ty cent￿ WDd Pontypridd Oasis Centre. The community based centres offer
continuation SLipport to women leaving refuge or for women and meu in need of 5UPPOrt who ren]ain at home.
The se￿i¢¢S acGessed by self- referral or through refenHls made by other agencies. Through our Children
and Young People RISE project we offer 8UPPOrt to children and young people tiving in rethge alld living in th¢
comnllmities of RCT alld also provide specialist prevention and early intervention programrn￿ in the
coinmunity and also in schools colleges.
We regularly fa¢ilitat¢ domestic abuse awar¢ncss progkBn]mes, confidence building and assertiveness along with
rdnge of lif¢ skill programmes tbat projnots th¢ development of It￿¢p￿ndellt living skills, Our volimteer
befriellding prograrnme enables us to extend our activities by complimenling the work undertaken by paid sta]T.
This also enables voluuteer5 to gaill training experience and sthequently develop careers within tho
Siipported Houstng and So¢iai CaTr sectors. We also d¢liv¢r the TRIS project to provide domestic abuse
awareness training to GP'S and other healtli care professionals aGross the Cwm Taf Region iti p&rtner8hip wilh
Saf¢r Merthyr Tydfl. Since introducFng the Cynon Safety Centre and d¢livory of s¢rvic¢s at the Oasi8 Centre,
Pontypridd itl pthner8hip with RcfcBC IDVA s¢rvi¢e, we can ertsure local services are easily accessible for
local people acr<yd8 RCT.
W¢ hav¢ sucr¢ssfully introduced a second move on fro￿ refuge residential propeity to compliment Ihe existing
supported ￿Ousl￿g projects and provide a wider l'ange of static accommodation for beneficiaries. During this
financial yehi we have developed th¢ Elder People's Support Service through ￿ndIllg from the Masonic
Charitable Tru8L The aim of the project is to provide tailor¢d support Bervices to meet the need8 of older peopl
affected by dome81ic abuse eged 60+,
The organisation has also d¢velop¢d tbe role of a full time male support worlccr to enable male victims of
domestic abuse to have the option of being 8UPPOrted by a roale officer as many male victirns have advis¢d
durillg consiiltation events that they would feel more oomfortable receiving support from a male 8upport worker.
This has led to an increu8¢ in thtr niunber of nwle referrals and successful outcomes for male victims of dotnestLC
abuse.
We h&ve not received ejky additional funditig for this project Ixit ittcomc generated througb our mov¢ on
properties contrAbutss toward8 the Salary for tliis officer.
Page 2

Rcf Domestic Abuse Services Limited
Trustees, Report
W¢ have received a thrth¢r 12 months ￿ndIng tbrough th¢ Moondan¢¢ Foundation of £25,000 to ¢ontiniie the
role of the Volunteer and stydent Coordinator. This role enables u8 to provide social work sttthnt pl￿Ments
along with th¢ Mentoring and Befriending Prograrnrne which enFdble8 voluntsers to provide a befri¢nding
service to low level individu￿S affected by dornestic abuse.
We review oiir aims, objectives and ￿tIvitIeS each year. This review looks at what we a¢hi¢v¢d and th¢
out¢omes of oui work in th¢ previous twelve months, The review looks at tb¢ succes8 of e&ch key activity and
the benefits of raising awarene&s of domesti¢ violence tbrough the provision of information and tr&ining. The
review also h￿p8 us ensure our aim8, objectives and activities ren]&ined focused Oll our stated objcctivgs. We
hav¢ re£err¢d to the guidan¢g contained in the Charity Commission's g¢n¢ral ￿lIdance on public benefAt when
revAewing ow aims and objectives and in planning our hture activities thus ensiwing that it continues in its
purpose to provide infornialion and 8UPPOrt to women, men children who are affected by domestic violence
and abuse, Stnwlure, governwjce m8nag¢moll¢ The ¢harity is controlled by its goveming do¢um¢nL a deed
of ts'ust, and COll8titute8 a limited company> limited by guaraftts¢, a8 defll]ed by the Companies Act 2IXI6.
RCT Domestic Abuse Servioes (RCT DAS) is a company limited by guarante¢ gov¢rned by its Memorandum
and ArtA¢l&s of Association dated 1st Awil 2013. RCT DAS is a charity registered with the oharity commission.
In the event of the organisation windirtg up its members are required to contribute an atnount not exceeding
£1.00.
RCT Dom&sti¢ Abus¢ S¢rYi¢¢s Trnstges, Rep￿t Recruitment alld appoitrtEn¢nt of trnsts￿ As set out in the
Memorandum and Artides of association. The board of T￿￿tte'S has the power to COwOPt. addttional members
onto the board, who rni￿ retire at th¢ next AGM but mE4y St&nd for re-election. ￿en Consid￿lllg co-opting
TnJ5tee's the board bas regard to th¢ r¢quirement for any speoialist skills and knowledge ne¢ded in relation to
tbis area ofwoik 8ud) as FinarLce. llli, L¢gal and an vThderstandin8 of domestic abuse and SUPPDrted housing.
TIL¢ Trnst6e Board regularly undertakes skills audits to identify &reas of strength, gaps in knowledge alld
Lraining ne¢ds. This enables us to activ¢ly tecrnit TNste¢s with the skills to flll th¢ gaps, After a period of iwt
being in receipt of services, servi¢¢ users are encouraged to volunteer with the organisat(on, which is extended
to acting as Trustees. This is to ensure the service u8er8 we support adequatgly r¢pr¢3¢nted on the Tiu8tee
Board and can u8e their experi¢nc¢ to assist the charity. Induction and traitiing of tTh￿t￿s New TnISt￿ undergo
an orientation to brief them on their l¢yi obligations, the contsnt of tho Memorandum and Article8 of
Associatioo ihe fijncttoning of the Trnstee Board and decision mRking proce58es, the business plan, the
fiuictioning and struGture 0£ the 8ervice8. recent f￿ancial perfornian¢¢. t)uriug indLlCtion they will meet key
employees and other TnJ8ts¢s, T￿￿te¢S are encouraged to participate in internal aad ¢xt¢rnal training event8
which will further their skills and Imowledge xn und¢rlaking their role as Trustee. OrgEmisational strncttre RCT
DAS has a Board of Trustscs who meet monthly and are responsible for the strategic direction of the
organis&tion and setting policy. The responsibitity for the, day to d&y management of th¢ organis&tion 18
delegated lo tbe Chi¢f Ex¢¢utive O£fJG¢r S¢nioi Management TeanL
Th¢ CEO is responsible for ensuring the charity delivers the services specified, tb¢ day to day n￿￿ing of the
multipl¢ projects managed by the organis&tion, supervision and development of staff and ¢nsurittg work
undertaken is in line with good PTa¢ti¢¢. A tier of middle mat￿geMent was introduced foklowiog the D￿rger to
support and assigt the Senior Mauag¢m¢nt team in the m￿l￿gement of tbe organi8atiOll. Four CoordinatOTS were
appointed to m&Jage individual areas of servioe delivery and fiAULn¢e.
A key aim for th¢ n¢w filltmcial Ye￿ is to revi¢w the provision of services within the Taf Ely ar¢a to ensure the
same level of provision is availabl¢ and a¢￿SIble as the Cynon and Rhondda Valley8.
P&g¢ 3

RCT DomestRc Abllse SeTvlces Llmlted
Trustees, Report
Public beneflt
W¢ i¢view our aim& objectives and activities each year. This review looks at what we achieved and th6
oiit¢omes of our work ill the pievious tw¢lv¢ months, The reviw looks at the succes8 of each key activity and
the benefits of raisittg awareness of domesti¢ violence tbrough the provision of Anfomiation and training. The
review &lso belps us ensure our aims, objectives And activities remained f￿Sed on Ol￿ stated obje¢tives. We
have refen'ed to the guidance contained in the Ch￿lty Comm758ion's general guidance on public benefit when
rev10wing our airns and objectives and in planJinB our future activitie8 ihus ensuring that it c(mtinue8 in its
purpose to provide inforniation and supp)rl to women al￿ children who are affected by domestic abu8e,
Trustees and offlcers
The t￿￿te¢S and officer8 servillg during the year and since tbe year end wffle as follows..
Tru8te¢s',
Mrs Margaret Abraham
Mr Philip Bevan
Miss Sophie Pincott
Ms Elin Prys Garrett
Mrs Eirly5 Yoiing (￿poInted l ApTiE 2024)
Refor6nce and Admlntstratlve Detafils
Charity Registration Number:
1155423
Company Registration Number:
Q8356730
The charity is incorporated in Wales.
Won)en's Aid RCT, Compton House
FI￿ Floor Office8
4 & 5 Victoria Square
Ab¢rdare
CF44 7NT
Regist£reA Office:
Auditor:
HSJ Audit Limited
Statutory Auditors
S¢v¢m House
Ilaz¢ll Drive
Newport
Sollth Wales
NPIO 8FY
Page 4

RCT Do￿￿tiC Abuse Services Limited
Trustees, Report
Statement of Trnstees, RespO]￿AbIlitle$
The tru8lees (wlio are also the direct￿.8 of RCT Dornestic Abuse Services Limited for the puwoses of company
law) ar¢ responsible for piep&iing the trustees, report and the financial statements irA accoi'danc¢ with the United
Kingdom Accounting Standards (Unit¢d I(ingdom O¢n¢rally A¢¢¢pted A¢¢ouoting Praotice) and applicable law
and ￿gUlationS.
Company law requir&s the trustees to pr¢pare fitwi¢ial statsments for ¢a¢h fitwi¢ial year. Under eornpany law
the t￿Ste¢S niust not &pprove the financial statements unless they are satisfied that they give a tNe and fair view
of the stat¢ of affairs of the charilable company and of its incoming resources &nd application 0£ resources,
including its income and expenditure, for that period. In preparing these Fmancial 8tatements, the trLislees are
required to:
select suitable accoiniting poli¢ies 2nd apply them consistendy.
observe the methods and principles iti the Charities SORP;
make judgements and estimates that are reasonable prudent.
stale Wheth￿ applicable UK Accounting Standards have been followed. subjeot to any matsrial departures
disclosed and explained ill the fmatlcial statements., and
prepare die financial statements on the going concern basis unl¢ss it ig inappropriate to presume that the
charitable company will continue in business.
Tlie trustees ate responsible for keeping adequate accounting i'ecords tbat are sufficient to show and explain the
ch￿lIable company'8 tran$￿tiO￿S and disclose with reasonable a¢cura¢y at any time the finartcial position of the
charitable cowany attd enable th¢Jn to eDEur¢ that th¢ fimAn¢ial stsl¢ment8 comply witb the Companies Act
2006. They ￿'e also re&poDsible for gafeguarding the assets of the ¢h￿.1t&ble company and hence for taking
reasonable st¢ps for tlie prevention and detection of fi'aud and other irregularities.
Dlsclosllre of InfOrn￿tIOn to auditor
'twh trustee taken steps that they ought to have lakell as a trustee ill order to make themselv¢s aware of my
relev&￿t audit infOrn￿tion and to establish tbat th¢ charity's auditor is aw￿¢ of that infommtion, The tn￿te
confinn that there is no relevant Infol￿atiOn that they know of al￿ of which they know the auditor ig w)aware.
The allni￿1 Teporl was approved by ihe LTUStees of the charity on&n..l.k4%nd Signed on it5 behalf by:
Mr Philip Bevan
Chairman and Trnstse
Page 5

RCT Domestic Abuse Services Limited
Independent Alldltor's Report to the Members of RCT Domestic Abuse Services
Limited
Opinloll
We bave audited th¢ financial statemellts of RCT D￿￿eSti¢ Abuse S¢rvkces Limitsd (th¢ 'chaTity? for the year
eAided 31 March 2025, which comprise the StateTh￿nI of Financial Activities, Bal&nce Sheet, St&tement of Cas
Flows, and Notes to the Financial Statements, in¢luding a sun)n]ary of significant accoullting poii¢ies, The
finan¢Aal roporting fratnework that has been applied in their preparation is Utiited Ilingdom A¢¢ounting
Standards, compiiging Charilies SORP - FRS 102 'The Financial Reporting Standard applicablg in tbe UK and
Republi¢ of Ireland, and applicable l&w (United Kingdom Generally Accepted Ac¢out]ting Pra¢tice).
In our opinion the fin[￿cIal statements:
give a ￿le and fair view of the state of the cFLarity's ￿aIrS as at 31 Mwch 2025 and of its incoming
r¢sour¢¢s and applicatioll of resources, including its in¢ome And expenditure, for tbe Y¢￿ then ¢nded'
have been properly prepared in accordance with United Kingdom Genernlly Accepted Accounting Practi¢¢"
have been prepared in ac¢ordance with the requiiemellts of the Companies Act 2006,
Ba8ls for Dplnlon
We ¢ondu¢t¢d our audit in accordance with International Standards on Auditing (UK) (ISAS (UK)) and
applicable law. Our respon8ibilitie8 under those standards are fLUther de8cribed in the auditor responsibilities for
the audit of the fjnancial statements section of our report. We are independent of the charity in with
the ethAoal rwirements that ar¢ rolgvallt lo our audil of the fJn8n¢ial stat¢ments in the UK. includirAg th¢ FRC'S
Ethical Standard, &nd th¢ provxsions available for small entiti¢$, in th¢ ¢ir¢um8tances Set out in note to the
fM&t]cI￿ statements, and we have fulfilled our other ethical responsibilitie8 in accordance witb these
requiremgllts. We believe that the audit evidence we have Dbtained is sufficiellt &ppiopriate to provide
basis for out opinion.
Conclusions relating to golng ¢oTh¢cr
In auditing th¢ finmcial statements, we have concluded that the tru8tses use of the going COll¢¢rn basis of
accounting in t&¢ PTeparntAon of the fLnanciaL statements is appropriat¢.
Based on the work we have performed, we have not identifLed any material uncertainties relatijg to events or
conditAons that, individually or ¢olle¢tively, may cayt significant doubt on the charitys ability to cot]tillu¢ as a
going concem for a period ot at least twelve months from whert the original financial statements were g¢UthoTi8ed
for iSSLIe.
Our responsibilities and the i'¢spon8ibilities of the knustees with respect to goiog Concern are described in the
relevant B¢ctiolls of this reporL
Page 6

RCT Domestlc Abuse Service5 Limited
Independent Audltor's Report to the Members of RCT Domestlc Abuse Services
Limited
Other Imformation
The trust¢es are responsiThl¢ for the othffl. inforniation. The other inforniation comprises th¢ illfonnation included
ill the annu&l repor¢ other thall the fjnancial staÉcrnents and our auditor's report tbereoll. ￿1r opinion on the
financi￿ stat¢ments does not cover the other information allc ex¢ept to the extent othenvise explicitly statsd in
our reporl we do not expte5s any fomi of aswtance ¢on¢lusion tkn¢r¢on.
In ¢onn¢¢tion wAtI] our audit of the fmancial 8tatements, our responsibility is to read the other informatAon and,
in doing so, consider whether the other infoi'mation is mat¢rially incotisistettt with the finan¢ial statements or
oiw knowledge obtain¢d in the aLidit or otherwise aPpe￿S to be nTrterially misstated. If we idelltify such materi&l
inconsists￿l¢S or apparent tll8terial Mi￿t￿ternents, we ar¢ required to determitse whether th¢r¢ is a material
misstatsment in the financial statements or a rnaterial rnisstatement of the otber infom]ation. If, based on the
work we hav¢ perfom]ed, we Collclude that there is a n￿terIaL n]l￿tatement of this other infomiation, we are
reqillred to report that facL
We have nDthing to report in thi5 rggard,
Oplnlon on other matters pres¢rlbed by the Conwanies Act 2006
In our opillio￿ bhsed on the work undertaken in the course of the audit..
the illforn)ation given in the Sttategic Report and Tnistees, Report for the fiiuncial year for whith the
fmancial slAtemeThts are ptepared is consistent with the finan¢ial sta*n￿ll￿. and
the Stratsgic Report and Trnstse8' Report have bc¢n prwared in accord￿¢¢ with appticable legal
requiren￿nts.
Respollsll)IIItAes of trustees
As explained more fully iu the StaÉ¢n)ent of TN8tees' Responsibilitie8 (set out on page 5), the In￿tse$ are
responsible for the preparation of the financial statemenl's and for being satisfied that they give a true and fair
view, for such internal control as the trustees detennine is llece￿ary to enable tbe preparation of financial
statem¢nts that are fre¢ from n￿l¢TI￿ MI&8tertell￿, whether due to fraud or Crror.
In preparing the financial stateAn¢nts, the truste¢s are responsible for assessing the chRrity'g ability to Continue p
a going Concer￿ disclosing, as applicable. matters related to going Concern and using the going concern ba8ig of
accounting unless the trllste￿ either intend to liquidat¢ the Charity or to ¢ease operation8, or have no realistic
altemalive but to do 80,
M8tteJ's on which we are requlred to report by exception
tn the light of our knowledge alld understattding of the charKty and its enviromnent obtailled in the coukEe of the
aiidit, We h&ve not identified material misstat¢m¢nts in th¢ Stsat¢gic R¢port and th¢ Tn￿Ée¢s, Report.
We have nothing to report in respect of the following matters where the Companies Act 2006 requires us to
report to you if, in our Opillion:
dequ&te accounting record8 have not been kepi, or reiums adequate for our audit I￿v¢ not been received
from branches not visitsd by us,. or
the fman¢i&l statements are not in agreement witb the accounting records and ret￿lL￿. or
cerl'ain disclosiwes of trustee8 ttlnuneration specified by law are not made. or
we have not received the illforJn&tion and expl￿￿tionS we iequire fot our audiL
Page 7

Rcf Domestic Abuse servic￿ Limited
Independent Alldltor's Report to the Members of RCT Domestlc Abllse Servlces
Limited
Audltor's responslbllitles for the audlt of the financial Statements
Our obj¢Gtives are to obtsia i¢a80llabl¢ ￿SUrance about whgther the financial statements as & whole are free
from matsrial n)isstatement. whether due to fraud or error, and to issiie an auth'tor's i'eport that includes oi
opinion. Reasonable assurance is a high level of assurance, but is not a guarantee that an audit cortthcted in
accordance with ISAS (UK) will always detect a material mis81al'ement whell It exi8ts. Misstatements cwi arise
from fraud or enor and are considered rnaterial 1¢ indivtdually oi. in the aggi'egate, they could i'e&sonably be
expected to influence the economic decisions of users takeii oll the basis of th¢s¢ fJnan¢A&I statements.
The extent to whioh our procedures are oapEkble of detecting irre￿118[1ties, including fi'aud is detailedbelow,
We corroborated our enquiries of management by review of correspondence with IIMRC and The Charity
Commission Aud otber regulatory bodies.
We considered the risk of fr￿d through nmnagement override all￿ in response, we incorporated testing of
manual joiirnal entries into ow. audit approach.
Based on the r¢8ults of ow risk assessment wo designed out audit proGethires to identify and address material
misstatements in relation to fraud.
A further descrtptiort of our responsibilitieg is available on the Financial Repfflting Council'8 website at.,
www.frc.org.ukl&uditorsrespDnsibilities. This desuiption forrns part of our auditor's report,
Uye of our report
This report 18 made solely to the chaTitable company'5 tri￿tee8, D8 & body, iu arcordwce with Chaptsr 3 of Parl
16 of the Conu)anies Act 2￿6. Our audit work has been underlakerL so that we might st&te to the ¢hRYity'8
truste¢s tbos¢ mattffl3 w¢ are r¢quired to stat¢ to them in an auditOT'S report and for no othu purpose. To the
full¢st extent p¢nnitt¢d by law, w¢ do not accept or assume responsibility to anyone other than the charitable
CoMp￿Y and its I￿￿teeS as & body, for our audit work, for this rgport, or for th¢ opinions we have foxmed.
Andrew Hill (Senior Statutory Aiiditor)
For alld on behalf of HSJ Audit Limited, Statutory Auditor
Severn House
FIazell Driv¢
Newport
South Wales
NPIO 8FY
Page 8

RCT Domestic Abuse Services Limited
Statement of FlnanclRI Actlvltles for the Year Ended 31 March 2025
(Including Income and Expenditure Account and State]nent of Total Recogntsed Gains
and Losses)
Unre8tricted
fund5
Restricted
funds
Total
2025
F4ot¢
Income and Endowments from..
Donations and legacieB
ChaLitable activities
lllvestment in¢om¢
Other income
11.941
543,924
22,015
1,650
11,94L
1,656,906
22,015
1,650
1,112,982
Total ineom¢
579,530
1,112,982
1,692 512
ExpendlttTre on;
CILaritable aGtivili¢s
331,613
1,272,052
1,603,665
Total ￿pendItUre
(331,613)
1,272,052
1603 665)
Net incomel(expenditure)
Transfers betweeii fill￿$
247,917
18,472
(159,070)
18.472
88,847
Net ￿￿Ve￿ellt in funds
229,445
(140,598)
88,847
Reeonelliation of (undy
Total ftmd8 brought forward
1,067,778
140,598
1,208,376
Total fimds C￿led forwurd
17
1,297,223
1,297,223
The notes orn pages 13 to 22 forn] an integral part of thege financial slatements.
Page 9

RCT Domestle Abuse Services Limited
Statement of Financial Activities for the Year Ended 31 MaTch 2025
Uncluding lllcome and Expenditure Account and Statement of Total Recogntsed Gains
and Losses)
Total
2024
Unrestrlcted
Restrlcted
Note
Income and Endowmenls from:
Donations and legacies
Charitable activities
Investtnellt iacome
Other income
11,550
556,806
15,781
2,870
11.550
1,561,927
15,781
2,870
1,005,121
Total inu)me
587,007
1,005,121
1592 128
Expendlture on:
Clwitable activities
487,280
998,160)
(1,485,440
Total cxpenditure
Net incon
Transfers between funds
487,280
998,160
1,485,440
99.727
44,013)
6,961
44,013
106,688
Net movetnent in Sjnds
55,714
50.974
106,688
Reconciliation of (ulld8
Total fLmd8 brought forward
1012,064
89,624
1,101,688
Totsl fimds can'ied fonvard
17
1,067,778
140 598
1208,376
All Of the charity's activities deriv¢ from continuing operations during the above two period8.
The fi￿aS breakdown for 2024 18 shown in not¢ 17.
Th¢ notes on pages 13 to 22 form integral parl of these financial stutgmellts.
Page 10

RCT Domestlc Abuse Services Limited
(Registratlon number: 08356730)
Balance Sheet as at 31 March 2025
2025
2024
Note
Flxed assets
Tangible assets
Current assets
Debtors
Cash at b&nk &ttd in hand
273,354
292,219
12
13
142,487
922,787
88,981
871,(NJ2
1,065.274
959,983
Creditor8: Amounts falli￿8 d￿e wlthin one year
Net current a58ets
14
41,405
43,826
1,023,869
1,297.223
916,157
1,208,376
Iyet assets
Funds of the ¢h8rlty:
Restrlcted
140,598
Unrnstrl¢tsd ineome funds
Unre8tricted
1,297,223
1.297,223
1,067,778
Total fulld8
17
1,208J76
The fitwwial st&tetnents on pages 9 to 22 were approved by the thiste¢s, and authorised for issiir on
A12RIS. und signed ou their behalf by:
Mr Philip Be
Chairn]&n and Trustee
The llotes on pages 13 to 22 form an integral p&rt of these fin£￿01&1 8t&tements.
Page 11

RCT Domestic Abuse Services Limited
Statement of CAsh FloTrvs for the Year Ended 31 March 2025
2025
2024
Note
C￿h flows from operatlng actfvltles
Net cash incorne
88,847
106,688
AdjuStn￿ll￿ to cash flows from non-cash Items
Depre¢iatiotL
Investm¢nt income
18,865
22,015
21,690
85,697
112,597
Worldng eapttAI Adjustments
Increase in debto
(Deor¢ase)lincrease in ¢reditor8
12
14
(53,506)
2,421
(16,842)
2,889
Net cash flows fiThll operating activities
Cash floivs from Investing activi¢ie5
Interest rgveivAble and similar illcome
Purchase of tangible fixed a&8ets
Net cash flows from investing a¢tivitieB
Net 1￿c￿age in cash and ¢a8h equivalellts
Cash and cash ¢quivalents at l April
Cash and ¢ash equiv&l¢nls at 31 March
29,770
98,644
22,015
15,781
10,243
22,015
5,538
51,785
104,182
871,002
766,820
922,787
871002
All of the casb flows are derived from conl'inuing Op￿￿tiOnS during the above two p¢rio(ts.
The notes on pages 13 to 22 forni an integral part of thesc fil￿nci&l statements.
Page 12

RCT Domestic Abuse Services Limited
Notes to the Financial Statements for the Year Ended 31 March 2025
I Charity status
The charity is limited by guarantee, inco￿orated in Wales, and consequently does not have share capital. Each
of the trLislees is liable lo contribute an amount not exceeding £1 towards the assets of the charity in the event of
liquidatloll.
The address of its registered office 15..
Women's Aid RCT. Compton House
First Floor Offices
4 & 5 Victoria Square
Aberdare
CF44 7NT
Aiithoi-ised for issiie dale. 031ai liois
2 Aecounting policies
Sutnmary of significallt accounting policies and key aeeountlnE estimates
The principal accounting policies applied in the preparation of Iliese financial statements are set out below.
These policies have been consistently applied to all the years presented, unless othenvise staled.
Statement ofcompliance
The financial staten]ent8 have been prepared in accoidallce with Accounting and Reporting by Charities..
Statement of Recommended Practice (applicable lo charities preparing Ibeir accounts tn accordance with the
Financial Reporting Standard applicable in the UK aud Repiiblic of Ireland (FRS 102)) (issued in October 2019)
(Charities SORP (FRS 102)}, the FI[￿nClaI Reporting Standard applicable iii the UK and Republic of Ireland
(FRS 102) and the Companies Act 2006.
Basis of preparation
RCT Dorncstic Abuse Services Limited meets the definition of a public benefit entity under FRS 102. Assets
and liabilities are iTJilially recognised al historical cost or transaction value unles5 Otherwise staled in the
relevant accounting policy notes.
Going concern
The trustees consider that there are no material uncertainties about the charity'8 ability to continue as a going
collcern nor any signLfieant areas of uncertainty that affect the catryiiig value of assets held by the charity.
Income and endoivments
All income is recognised on¢e the charity has entitlement to the income, it is probable that the income will be
received and the amount of the itteotne receivable can be measured reliably.
Donatlolls und legacies
Donations are recogtEised when the charity has been notified in writing of both the amount and settlement dale.
In the event that a donation is subject lo conditions that require a level of perfortnance by the charity before the
charity is entitled to the funds, the income is defe￿ed and not i-ecognised until eitber those conditions are fully
n)et, or the ￿lfilment of those conditions is wholly within the corktrol of the charity and il is probable that these
conditions will be fulfilled in the reporting period.
Page 13

RCT Domestic Abuse Servlces Lln]Ited
Notes to the Financial Statements for the Year ￿llded 31 March 2025
INv6stmenÉ Income
Dividends recognis¢d once the dividend ha8 been d￿lared and Jwtifi¢ation has been rEcGivgd of th¢ dividend
Expenditure
All expendithre 18 re¢oguised onee there 18 a legal oi constructiv# obligation to that eXper￿lture, it IB pi'obable
8ettlement 18 required and the amount ¢an be measured reliably. All costs are allocated to the applirable
expenditure he&dÈng that aggregate similar costs to that category. Where COBts cannot be directly attributed to
particulat h¢adings they have been allocat￿ on a basis COnSlStent with tbe vs¢ of resourcos, With central staff
costs allocated on the basis of time spellt, and depreciation charges allocated on the portion of the asset's use.
oth￿ suppoil costs are allocated based on the spread of slaff costs.
Charltabl¢ aeththes
Charitable ¢xpenditur¢ comprises th08¢ 00Sts incurred by the charÈty in the delivery of its activities And services
for its benefi¢iaiies. It illcludes both Costs that can be allooated direcdy to 8u¢h aotivit1¢8 and th(18e costs of
indirect llE4ture necessary to support the￿.
Support costs
Support costs include cen￿1 thnction8 and have been allocated to activity cost cat¢gories Dn a basis consistent
with the use of resources, for eAarnple. allocating property Costs by floor ￿eas, or per capit&, staff costs by the
time spent and other costs by their ugage.
TaxatiDn
The Gharity is considered to pass the tests set out in Paragroph I SGhedul¢ 6 of th¢ Finan￿ AGt 2010 ond
therefore it meets the defjnition of a Charit￿ble ￿Mpally for UK ¢orpoTation tax purpos¢s. Accordingly, the
charity is potentially excmpt from taxation in i'espect of income or Capital Eaills i'eceived within categories
cover¢d by chapt￿ 3 Part I l of th¢ CoEpor&tion Tax Act 2010 OT Section 256 of the Taxation of Ch&rgeable
Gains Act 1992, to the extent thai such incom¢ or gains are applied exclusiveLy to ¢harit&ble putP08e8,
Tangible fixed assets
Individual fixed assets costing £1,000.00 or mor¢ are initially r¢¢ord¢d at cost.
Depreciation and amortlsatlon
Depreciation is provided on tangible f￿¢d assets so as to writs of£ th¢ cost or VV4Iuatio￿ less any estin￿tea
Lrsidual value, over their expected us¢fill economic life as follow8:
Asset class
Fittings & ¢quipJnent
Mott)r vehicles
Frethold property
DepreciAdon method and late
25Q/o 011 ¢08t
25Q/o reducing balance
20/0 011 ¢OSt
Cash and eash equlvaleuts
Cash and Cash eqliivalents COM￿lse cash on hand and call deposits, and other short-tern] bighly liquid
investments that are i¢adily convertible to a known amount of Cash and are subject to an insignificant risk of
change in value.
PRge 14

RCT Domestic Abuse Servlces Limlted
Notes to the Flllancial Statements for the Year Ended 31 March 2025
Fund strudure
Unrestricted income fvnds are gen¢ral funds that 84vailable for i￿e at the trnstees dI￿retiOn in thrtherance of
tkne objectiv¢s of the charity,
Designatsd fiwds are unrestiicted fimds set &8ide for specific purposes at the discretion of the tn￿tee8.
Restricted income funds are those donated for use in a par¢i¢ular ￿ea or for 8pecific purpos&8, the u8e of which
As restri¢ted to that area or purpose.
Penslons gnd other post r¢tArement obligations
The ¢harAty operates a def￿ed contribution pension schcme which is a pension plan und¢r which r￿ed
¢ontribulions &Te paid into a pension knd and the charity has no legal or constructive obligation to pay furthor
contributions even if the 'fiwd does ftot hold suitciettt aS8ets to pay all employees the bellofits relating to
employee seivice in the current and FLiorperiods.
Contiibutions to defined contributlon plans are recogt)ised in the Statement of Financial Activiti￿ when they are
due. If GQlltribution pg4yments exceed the contribution due for service, tbe excess is recogThised a8 a prepayment.
3 Income from donadons and legacies
Uurestrlcted
rulld8
General
Total
2025
Total
2024
Donations and legaoies.
Donations from Individl￿1$
11,941
11,550
11,550
11,941
11,941
Page 15

RCT Domestic Abuse servic￿ Limited
Notes to the Flnaneial Statements for the Year Ended 31 March 2025
4 1Dcome from eharltable actlvjtles
Unrestricted
funds
GenerAI
RestrActed
funds
Total
2D25
Totol
2024
Rentsl income
Rhondda Cynon Taff
Fframw&ith
Iris
Big Lottery
Masonic Charitable Tnjst
Moondance Foulld&tion
543,924
543,924
825,189
28,994
66,303
119,151
23,345
50,000
1,656,906
556,806
777,154
28,994
55,784
120,302
22,887
825.189
28,994
66,303
119,151
23,345
50,000
543,924
1.112.982
1.561,927
S Investment income
Unrestrlcted
funds
C¢neral
Total
2025
Total
2024
Int¢resL I￿C1vabLe and similar iJGome'
Intere8treceivable on batik deposits
22,015
15,781
6 Other in¢0
Uni'estricted
funds
Celleral
Total
2025
Total
2024
riees and supplie5
1,650
1,650
2,870
7 Expelldlture oll eharitable actlvttles
UnrestrActed
rund8
General
Restricted
fullds
Total
2025
Total
2024
Note
Prevention of
Domestic Abl￿¢
Child Work
Refuge
Staff c08ts
Allo¢ated support
¢osts
206,372
97,169
3,332
110,905
1,060,646
303,541
3,332
230,314
1,060,646
214,939
25,388
260,108
979,339
119,409
5,832
5,832
5,666
331,613
1,272.052
1,603,665
1,485,440
Page 16

RCT Domestic Abuse Services Limited
Notes to the Flnancial Statements for the Year Ended 31 March 2025
8 Net InCon￿ngI0￿tgoinE resour¢es
Net iu¢oming r¢90ur¢¢s for the year ill¢lude',
21n5
2024
Operating leases- plant md machinery
Operating lease8- other ass¢ts
Audit fees
Depreciation of f￿ed assets
9,339
21.600
4,662
20,561
4,662
21,691
9 Trustees remuneradon alld expenges
No trustees, nor any per8olls cijnnected with then4 have LEceived any remunerpdtion from the charity duiing the
year.
No trustee8 have received ally Tel￿b￿.3cd expen5e8 or any other benefits from Éhe charity during the year.
10 Staff c08t8
The aggregate payroll costs were as follows:
2025
2024
Staff Costs during the y¢ar were:
Wages and salaries
SoGial security costs
PeJ]sion Gosts
955,935
87J66
17,345
880,777
75.055
23,507
1,060,646
979,339
Page 17

RCT Domestlc Abllse Servlces Limited
Notss to the Financlal Statements for the Year Ended 31 March 2025
The monthly average number of persons (including 8enior rnanagetL¢nt I l¢ad¢rship team) employ¢d by the
charity during the year expressed as ￿11 time equivalents as follows,.
2025
2024
Direct support
Management and administrative
35
35
39
39
No ejnployee received ￿￿OluMents of rnore than £60,01)O during the year,
Th¢ total ¢n]ployee ben¢fit8 of tbe key management personnel of the charity were £138,408 (2024- £122,076).
11 Tanglble fixed assets
Land and
buildings
rurnlture And
equipment
Motor vehlcle8
Total
Cost
At l April 2024
291,300
17,148
384,923
Al 31 March 2IY25
291,300
76,475
17,148
Depreelatlon
At l AprAI 2024
Charge for the year
26,417
5,826
57,806
9,039
8,481
4,000
92,704
18,865
At 31 March 2025
32,243
66,845
12,481
111,569
Net book value
At 31 March 2025
259,057
9,630
4,667
273,354
At 31 March 2024
18,669
8,667
291219
12 Debtors
2025
2024
Prepayments
OtlL¢r deblors
21,618
120,869
142,487
15,044
73,937
88,981
13 Cash and cash equlyalents
2025
2024
Cth at bank
922,787
871,002
Page 18

RCT DoM￿tIC Abuse Servlces Llmited
Notes to the Flnanclal Statements for the Year Ended 31 MaTch 2025
14 Creditors: amounts falllng due within one ye
2025
2024
Other taxation and so¢ial s¢¢urity
(Xher cr¢ditors
Accru&18
21,899
8,713
10,793
17,321
16,750
43,826
15 Obllglltlons under leas￿ and bire pur¢11a￿ contracts
Oi)eratlng lease cornmltments
Total futre ininirnum l¢Èse payments under non4an¢ellabl¢ oper&ting leAs¢s ar¢ as follows.,
2025
2024
Lalld and biiildings
Witl]in onG yeaT
Between one and five years
After fiv¢ years
21,600
64,800
59,400
21,600
64,800
59,400
145,800
145,800
Oth¢
Withill on¢ ycar
BeLween one and five years
Ah¢r five years
10,450
31,349
11,944
9,339
28.015
16,396
53,743
53,750
16 Penslon And other sehemés
Defined contrlbutAon pension scheme
The charity operates a defined contrlbution pension scheme. The pension eost charge for th¢ year represents
contributions payable by th¢ charity to the Scheme an]ounled to £17,345 (2024- £23,507).
Page 19

Rcf DoJllestic Abus¢ Servi¢&s Limited
Notes to the FlnanclAI Statements for the Year Ended 31 March 2025
17 fiunds
Balan¢e at I
Aprfil 2024
Incomlng
resources
Resoiirces
expended
31 March
2025
Trnnsfers
Unrestrioted funds
Genernl
General Funds
977,778
579,530
(331,613)
(18,472)
1,207223
Des¥gnated
R¢cwittnent & Staffing
Capital & Equipment
75,000
15,000
75,000
15,000
90,000
90,000
Total unrnslricted fund8
1,067,778
579,530
331,613
18,472)
1297,223
Re8trleted funds
Big Lottery
Masonlc Charitable Trust
HSG
I￿S
RCT Floatillg & R¢fiJg¢
Support
Saf¢
Safer Rhondda
Moondanc¢ Foundatioll
80,607
119,151
23,345
28,994
66,303
{199,758)
(23,345)
(28,994)
(26,229)
50,433
{90,507)
693,111
132.078
(765,204)
(168,964)
(9,558)
72,093
36,886
9,558
140,598
1,112,982
(1,272,052)
18,472
Total fullds
1208,376
1,692,512
1,603,665)
1,297,223
Page 20

Rcf Domesllc Abuse Servlces Llmited
Notes to the Financial Statements for the Yeor Ended 31 March 2025
BolAn¢e at
31 MAr¢h
2024
alan¢e ot i
Aprll 2023
Incomlng
sources
R¢sour¢es
expended
Trajisfers
Unre5trlcted
nernl
Gen¢rnl Funth
922,064
587,IM)7
(487,280)
(44,013)
Y77,778
eslgnoted
Recruil]nent & Stsffing
Capital & Equipntrnt
75,000
15,000
75,000
15,000
90,000
Totil unrestricted
1,012,064
587,007
487,280
(44,013
1.067,778
Restrictsd
Big Lottery
Masonic Charitable Tw5t
HSG
llus
RCT Floating & Refuge
Support
RCTCIIC Capital Fulld
Saf¢
Safer Rhondda
41,129
120,302
22.887
28,994
55,784
(80,824)
(22,887)
(28,994)
(23,401)
80,607
18,050
50,433
636,489
8,5￿/
132,078
(675P41)
39,452
(8,587)
13,148
20,887
9,558
(166,113)
9,558
140,598
89,624
1,005 121
998,160
Toknl funds
1,101,688
1,592,128
(1,485,440)
1,208,376
The specific pu￿￿8¢6 for which the ftmds ate to be applied are ag follows:
The RCT Flo&ting Support & Refijge Support Funding relat&% to a grant given by Rhondda Cynon Taff Council
for ongoing gervice cost8.
Th¢ Fframwaith fimd was received as a contribution towards the Outreacb Children's Support worker and the
STAR Project.
The Safe Pioject is fimding received to support Youn8 People witbin th¢ wider RCT area,
Th# Big Lottery Grant was provided for the provASiOll of a Volullte￿ co-oi'dinator.
The Trustses have elected to designate a total of £90,000 in relation to recrnitment and capital commitments
which had be¢n rnade as at the year ¢nd but for which fi￿dIllg had not yet been obtained. Should this not be
forthcoming the ¢onJmittll¢nts wlll bc met from unrestricted reseLves.
The transfer of £8,587 from the RCTBC Capitsl restricted fijnd to general unr¢8tricted funds repi'esents ff￿ed
asscts acqiiired for tbe chwities Belle￿1 puryoses in accordance with para￿v￿ph 2.26 of Charities SORP FRS
102.
Page21

Rcf Domestic Abuse Servlces Lln)Ited
Notes to the Flnallcjal Statements for the Year Ellded 31 March 2025
18 Analys18 of net assets between funds
Total funds at
31 MAr¢h
2025
Unre&trl¢tsd fund8
GenerAI
Deslgnated
Tangibl¢ r￿ed &qsets
Current a88¢ts
Current liabilittes
273,354
975,274
(41,405)
1207,223
273,354
1,065,274
90,000
Total net a88ets
1,297,223
Total funds at
31 March
2024
Unrestricted funds
Genernl
Deslgnated
Restricted
nds
Tangible f￿ed assets
Cuttent assets
Current liabilities
292219
729,385
(43,826)
977,778
292219
959,983
90,000
140,598
Total ll¢t as8¢ts
90,000
140,598
1,208,376
Page 22