REGISTERED COMPANY NUMBER: 07883243 (Eng]4nd and Wales)
REGISTERED CHARITY NUMBER: 1156504
SERVE
IlJ,i/
ort of the Trustees and
Unaudited Financial Ststements for the Year Ended 31 Mareh 2021
for
Serve On Limited
Louise Newman & Co Ltd
2 Bath Mews
Bath Parade
Cheltettham
Gloucestershir¢
GL53 7HL

n Limi
Contents of the Finan¢ial s￿￿)ents
for the YearEnded 31 M
20
Retrt)rt of the Tn￿*¢$
R¢Fw)rt of the Chairperson
2to5
StatEtneDt of FinaDcial Activities
8t09
Not¢5 to the Financial Statem
Ioto 16
D¢tsiled Statrtnetti of FiDanc&al Aciiviti
17

Serve On Limitcd
ort of the Trnstees
for the Ye
l March 2021
The trvstres who are also dirwtOf5 of the chanty for the puryxm of the Companies Act 2006. presem their report with
th¢ fin￿¢la] statements of the charity foT the year ended 31 ma￿kn 2021. Th¢ m]SW£5 hav¢ adoptrd the provisions of
Acwunting and Reportin8 by Charities". StsLemenL of Recommend￿ Practic¢ applicabl¢ to cbariti&% preparÉng their
accounts in a¢¢ordan¢¢ with the Financi￿ ReportiD8 Stattdard applicable in UK and R￿UbliC of Ir¢latkd {FRS 102)
{effe¢tive l January 2015).
STRUCTUR4 GOVERNANCE AND MANAGEMEYT
Covernin¥ document
The charity i5 controlled by irs gov¢rnillg dow))enL 8 deed of trus( and coTrstitute5 a limited company, Jimited by
gurntee. 14 defiTr￿bY th¢ Companies Act
REFERENCE AND ADMINISTRATIVE DETAIIS
Registered Company ttNmbtr
07883243 {EnglaDd alld Wales)
Regl8tered Charlty numlxr
1156504
ReEiStered office
Urtit 9 Chilmark Busincss Centre
Salisbury
Wiltshire
SP3 5DU
P S Rose (Resi8lled December2020)
Abb&8 Dhanni
Simon R Edwatds
Nicholas Mathew
Louise Nico]aou {Resi8nol S¢p*mber 2021)
P¢t¢r R Old {Resi8ned September 2020)
J¢Mny M N Smith
Company Secretary
Independent examlner
Louis¢ N¢wman & Co Ltd
2 Bath M¢w5
Bath Parade
Chelienha
Glouce5tershite
GL53 7HL
Approved by ord¢r of the board of trustees on................_..-...............-..... signe4J on its behalf by..

ort of the Chai
the YearEnded 31 Ma￿h 2021
Introdurtion
Since tsking overthe Chair of the Trustees in early January, 1 ty)ntinue to feel immense pride in the charity and
admiration forthc volunt¢¢TS who are tbe wence of wbat Serve On is &$ an organi5ation. Havin8 had Covid mysrlf, I
can attest to the significant Linpact this pandemics has had on llLemFKrship and ourcommunities as well as the county
snd beyond. Some membcrs were fi]rlollgW whil$1 others lost their jobs. Many of us fortunate to stsy in work
strnggleAI to keep busine&￿ viabl
It is rAy belief that 2020 is aaj infl¢thion ￿&￿tforth¢ ¢battty. Lik6 many voluntary organisation5, WG have bccn
disrnpted #nd struggled for fundin& So now we need kn tske strd of the situ*ioD anddecide IM)w we are going to go
forward ￿ a ¢h2rity in th&%e'iiew DOrn￿l. titnes.
I would like to thank each and every 00¢ of the voluDteers atHI fri¢ads who twve gone aknve and bey(rt)d iti such
challeng￿ll8 lime&
Jery Smlth
ChairofTrts&te
Exeeudve Summary
By any me&￿re. the 2020- 2￿] yeaT has becn an extraordinarily chatlenging pmod of tirne. But in this ttme of ttist
Sery¢ On volunteer5 have CQTwaatly demonstratrd fortitudq and community spiriL
The charity was creatsd to giv¢ n¢w purpose lo peopl4 to help them develop I*d￿￿P arml use their skills in tim¢$ of
disaster. home and ab￿ and they have <b)ne that lime and time again.
While it has undoubtedly been a trdutnatic tim¢ for many. ]￿lUding of our rnemtwship. Our thoughts rernain with
those who have suffett4 and rontinue to suffer. thc cffe£ts and fallout of the paDdcmic- particularly th¢ uncertainties
around health. ernp10￿ent and the lockdowll&
FiJan¢ially, and Logistically, it could bardly havebeth a nM)re diffi￿ltpU1(￿l for the ¢brity, and we remain hu8¢ly
8ratefiJl for ongoing support from the The L4wson Trus4 the Naliollal Lottery CommuTrity FLtDd. ABF ¢h¢ SoldL¢f5
Charity and SSE. as well as new help from the Veterans Foundation and <th¢r5.
We hope that they feel p￿ud ofwhat memb￿5 have achieval aTrJ P￿mId of theirpart in helping voluntras to
h¢lp thcir CODmiunities.
The squeeze ttmt we have f¢lt on owin¢(*D< itt with w nwiy h*$ been considerable. In spite of thaL
we have Mallag￿ Èo grow 2$ 3ll orgatijsatio￿ found new ways to worL aDd ¢ollaborated witb like-mind¢d volunt¢er5to
always achi¢v¢ the best w&sible oulcomes.
This time last year. ourvolunteers had 8]re8dy beg￿ the critical work to help distribute Persortal Protective F4uipment
{PPE) and to out welfarc che¢ks on thouth of wleniially vulDcrabl¢ r¢sidellts una¢¢oullttd forby lo￿1
authorities.
But they have 8olle on to a¢bieve so much mor< and not onlyrlated to the ￿1¢.
CtsTDnavirus and our volunt#rs have ￿na]nd TEady to res￿ trrougk*ut the past twelve month&
On¢ of th¢ positlves to come out of thr pandanic ]Jas bccn th¢ sur8e io voluutrring around the country aDd S¢Th¢ Oo
h&% proved a mod¢l of how to harn￿ that gixxlwall.
Most exciting of all has been the inv21llable contrib￿lonS thTouglMTrUt the year from our fornier and new Res¢u¢
Rooki¢s, and the recrnitmcnt of more young people keen to Serve thetr communities and beuer themselves irl the

Organisation￿ Aedvlty: April 202O- Mareh 2021
At the Start of the Financial Ycar (FYI in April. Serve OD bad help•4 to disttibule tnore than 2.3 million
dtsperdtrly-n¢eded items of P￿n01 Pro¢¢ction Equipment (PPEI kha]f of Hampshire Couttty Cou￿]1 and
Hampshirc & Isle of Wight Local Resilience Foru￿ in coltthlration with Hants & Bucks 4x4 RasrKTrns¢.
We had 8150 ttell coordinating othervoluttthry ￿￿p5 and with the elTofis of volunteer% over 3.¢Mb we]fare
check5 on tKJt¢niia]Iy 74u]Dernble refjid¢nts wbo Wiltshite Council hwl beea unable to reac
Key to this was th¢ r¢markable adaptability of ourvoluDteer& In partKular. a nurnbcr of th¢ our R¢s¢ue Ri)okie$ h¢lp¢d
to develop. alm￿1 overnighL a[f)lica￿l throu￿ which we wue abl¢ to cimxdinate lone volunt¢¢rs out on the
8rourtd.
It meant Setve On memb¢t& alon8 with volunte¢r5 from WiltshJT¢ Court¢il. SARAID Avon CRT, SPEAR Se4rch and
R¢scue, British Red Cross, Wiltshire Searcb and Rescue. Re:Aci Dis&st¢r Reswtrnse and Dorset aDd Wilrshire Fire 2Dd
Rescue SeThice ￿Uld all be safely w mdJ"vidual via a neThvork of otiJille.liDked, home.based Serve (
o￿Tations room volunteer
With schools preparing ￿ open again after the first I￿kd￿ the Salisbury Conllrrity Resi]ierv Team volunteered
to help Si Mark's Jullior S¢h(MA and WyrwJb*n PgTk IDfanrs School in Sa]i5bury to preptt ftrrd￿ ￿fe return of clas
in June 2020.
Tog¢th¢r with head tea¢h￿ Gareth FlemitL8ton our dozen orso volunteets came up wirh a plall and coordiDafyJ 30
parent volunteers to moye furniftwe. clean. and mark safe ajras and rout&s into, thrnugh and out of the schoDI.
The help for vuln¢rabl¢ r&%idents eontinuaL particularly thath to the ¢ffoTts of volullteers in Pottsmouth and Worthit
and with lockdovm r¢strirtions ￿sed, ther¢ w*$ 8 ¢haDLf for our teaDJs LO rebjrn ￿ liye trainin8.
Thc Dog Team wok advantage of the relgMion to put of the dogs through a stsKk test to ensure they were safe to
be around liv¢4to¢L
The time between lockdoTrvns w&$ also putto goLMJ use in combinitsg training with sUPPOrt tr) th¢ ¢ornmunity in a proj¢ct
to repair the historic weir 8t Avoncliffe, ne2r Bradford on AvorL The Town Ctsuneil had expres8ed th¢ fear that if the
weir collapsed it would lowerthe level of the River Avon to such aD extent li would have an in]PACt on the tOWD'8
ecollonry as w¢ll as the local ecology. We therrforE to help carry (wjt a temrM)rdry repair ￿ the 16th cenw wetr
and ittitial risk analysis visits were caTried oui. Volunteers from acro￿ the charity SUPPOrt the welr repatr tssk over
number of Week￿￿.
Oll ont of the Saturdays, we were delighted to ho4 Ri¢h8rd BrowDin8 from Gravity JnibJstsi&s. Richard has become
well knowtl for his'lmn Mgn. flying suiL His visit demoThthted a ro￿ idea of how such capabilities could b¢
inte8raied in response operallons.
In another example of combit)ing tsaining with cornm￿]ty Sa]istrA￿Y CRT ¢ombined Wdter rescue training
witb a clean-up of Thyo stretches ofthe RiverAvon through th¢ city. workitlg with Salisbury Ciry Council and tbe
Environment A8eiJcy.
On a differ¢ni river. a Bank Holiday WeekeT￿ Saw volunteers providing Safety cover forth¢ Great Amersbury Dlldt
Race organised by Stortehenge Chwnber of Trade.
Search Dog Mollywas re¢ognised as a WOW- WiltsltiTe O￿tiOnal Wonder- for hervrsits. with Cornm￿]ty First
Responder and Serve On handlerJame4 to offerweljness &￿pport to fronrfine 8mbulAncc crew5.
Th¢ Dog Tcam also enjoying thc easin8of restrictions in orderto continue trainin& vknil¢ In*rnatiOThal Rwon
Team ￿t￿berS wete back on the trdining gr(xmd at ￿1]malL ptxtssiD8 p￿￿1￿8 al￿ shorin8 and tXLttiti8 Elliot
Brown watrhe5 through thesrpaces in'disa5ter' conditioD&
W¢ 5tfM)d up teams for two potffltial Overs￿ deploymcnts: to CrDatia for flooding and Beirut afterth¢ dramatic
explosion. Ultimately w¢ did#oi deploy p￿￿nn¢1. but such events do allow u$ to ￿ l¢a5t practice our preparation
pmcess.
The charity held ts firsr Anjiuai Geoeral Meeting h(thl by Etttrain Spac4 sl￿Wing once more what a 80(xl fit Serve
OD is with the veieralls. charity.

The re-pufF¥)sing of the forn￿ HQ Land Forces site in willo￿ alld the re-developmelli of the old ET5kine Barracks by
Our Enterprisc, Rcthow Homcs and Wiltsjn Community Land provid¢5 housing and ente￿Ti5e-baSed Si]p￿ for
Iraiisitionins military vet¢ra115. as well as a b&Y for Salisbury Community Resili¢nc¢ Team.
The incredible work of Dog Team volunteers PAid off whenthey and their th85 were to the tC5t by examinerB at)d
p&8sed with l]yiug coLours. so w¢ had three Dewly-qualifiai spe£ialist ¢ksg halldi￿ in A￿ Searcb, Trailing and Victin)
Recovery.
volUn￿erS from across th¢ Ch￿tlY Sup￿>rted the development of (kncutnents for EVOLSAR. the European Association
of Civil Protection Volun¢eers' supportin8 th¢ ￿blIC￿lOn of ￿￿ket Man￿]$ on water rescue and canin¢ search.
By November, the courrtry was back iTrto l(Kkdown. It mc8nt our volLfftteers went back to Lxryin8 Out welfare check5
OD poielltiaily vu]ner2ble resIdeti￿ and c￿rdinatIng I￿e-M1[￿d volunteers from other groups to do the same, with
thattks io Fiv¢ ￿'verS tLisur¢ Centre wbich PTovided qbace fora of (yerdtio
We were proud t(p be Twned 'Best Clwity Emergcncy Te•m 2020. in the annual Scwth¢rn Ertte￿rise Aw￿lL
The t¢mpordry easiD8 of lo¢kdowtt saw OUT volunteers carrying outfjrst aid training in orderto remain ready to h¢lp in
an em¢rg¢Tl￿. while others help￿ Salisbury City Council u¢a* an upjated flo(Ml plan.
What Was already aD extrdorthrary festive period b￿allse of Covid be¢amc tnore fraught as widespffad lloodiDg hit the
Midlands from Glouc&stershire io Cambridgeshire. with authoriues warning of a risk to life.
It's what our volunteeys train for 50 wha4 in Bedfor&h]re, 10,(W residents were at risk from the rising fl(x>dwaters, the
Local Resilience Forum &sked Serve On to go on 5tand.by ty support local fire 8tKI rescue seThi¢¢s.
On chris￿ Day, when they ought to have been relaxit)gwith family. we manag•1 ￿ ￿t￿gether ateam of no fewer
than 30 trdined volunt¢¢rs, including a boat team from a $isterrharity SPEAR. While team lead¢t5 5p¢nt Christsn&s Day
planning and carrying out risk assessmen￿ the Yohmteers kii ready to dq>loy on Boxsng Day. Only at I Ipm on
Christm&s Day were they stood down from imtnediate deployinenL though they stayed on standby as Storni Bella
threatened.
The stsrt to the New Ye8r, for Xpme of our Portsmouth CRT wol￿teCT5 and our colleagues from Hants & Berks 4x4
Response. was spent trainin8 to carry out Covid testing on HGV drivers waiting to tske frei8htthrough th¢ Int￿natiOnal
tertnillal at Ponsmouth Doc
At the same till￿. S¢tv¢ On was akn on Stsndbyto r¢swMJ in the event of fc4Tcd snow Ch￿ ready w help run
Hampshire County Council's emer8ew Snow C¢ll along with fellow volw*ers from Hants & Berk$ 4x4 R¢5pon8e.
Mercifully. they were lloi needcd. but at th¢ end of the month our voluDtews We￿ on standby yet a8aiD as Stonn
Christoph w￿ak￿ hav(x with more tloodtng acros5 the North of FAJgland IT￿ the Midlanth.
Thcy were still helping with the Covid t&stin8 and stepping up to proTrith vaccination sw help2Dg athospita]s Alld
GP surgery locatioJ]s.
Meinwhile we w¢ff a]so supportin8 counsellitig ond mental health help foryoung ￿Pk. and the 1kn8 Tewn chtyied
out a numb¢r of setisitive area ￿¢b¢S f￿￿t&sI￿g people.
Still ourvolwit¢¢rs mana8ed to LW Out re￿￿artraI￿in& *Japting to the new l¢xkdown by switchin8to remote
l¢arnin& the Salisbury and P(th¢Juth CRTS combining ￿ jointly offer online8#408¢1
While other tasks iu the comTLwnity cot)tinue¢ a ncw kit van courw of th¢ National IATrttery Commw)ity Fund w&8
really beginning to PTDV¢ its wortlL
The teai]]5 were able io refttrn to livE open-air trainin& and the Community Resiliertte Teams and International
Response Teams took the op[Kjrn￿Iry ￿ cheeL service aNJ updaie theirTeseue kit while also carrying out
organisation-wide ¢)nlin¢ tsainin8 on our Jmv t¢am and equiptnenl maDag¢ment systCTll with D4H Re4ditt¢8s aThJ
Response.
Welcorne warmer weathtt grttied the LX)8 Team's renrn for the fitst traiDin8 sessions of Sprin& and it was ajso the

very start of the training journey for new dog r￿lts Ella and Skyiar.
Earthquakes in Greece and off the co&8t of New Ze4]attd the day befoye th¢ ITJ*mationa] Rwse Team gathered for
trainin8 were a timely reuLind¢r of the for them ￿ always be ready.
Refiectin8 with the r&4t of the nation on a yearof pandoni¢ on m￿Ch 23. Serve On was ableto l¢y)k back on more than
4,000 welfare cheeks cartied OUL 4.5(￿ miles driven by volullt¢ers 480 howE of volunteetsupport for the vaccine
rollout and more than 2.5 million individual items of PPE distribute4L
Fln21hees
Th¢ annual finaDcial report accomponi¢g this th)CUML The key figurcs are..
• Income to 31 March 2021:
Expendill￿e to 31 March 2021..
. Totsl funds Carried forward:
£157,465
£136.623
£2tXI,821
IDSIIT*llte
The charity struggl¢d with insurance this year. cA￿Ethe1¥al. due in March 2021. was d￿lIned by ow existing
ulldetwrit¢r. We wue 8iv¢n 30 days gTaC¢ io find atsother itisurer. It t￿k another two bri*¢rs to find a company that
WOLLld toverb)th our water rescue and overseas dq)loyment trainthg. Th¢ OV¢Tall inSLwanc£ premiunj has n¢4rly
doubled.

cndent kni
ort to the Tru#ees
Indep¢lld¢nt ex*mlDer's report to the tr￿tee3 ofstrye On Llmlt¢d ('the Companyry
I reptht io the charity In￿tee$ on my examination of the accounts of the Company fot the year end￿1 31 Ma￿h 2021.
RttpoDslbllltle$ basis •f report
As the ¢harity'5 trustees of the Company (and also its dir￿￿ f¢)r the PUTrrt)ses of company law) you are restM)nsibl¢
for th¢ pr¢pAration of tbe accowxts in aGcordance with the r4ulr¢n￿llts of the CompaDi¢s Act 2(X)6 IlhE 2(M)6 A¢VI.
Having satisfied rnyself that the acwjnts ofthe Company are T￿¢ reqlli￿d audited Part 16 of the 2(M)6 Act
aDd are eligible for independ¢nt ¢xamit)aiioty I report in resrttt of my examil￿tIOn of your chariiY$ accounts as canied
out under section 145 of th¢ Charities Aci 2011 {Ihe 2011 Art). Ill anying OUL my ¢xamination I have followed the
Dir¢¢tions given by the Charity CtsJwnissi¢)n U[￿erSeCtIort 145(51 (b) of the 2011 ACL
llldeptndent eumlner's Jtslemen¢
I have completed my exarnination. I confinn no rnatters have come th my attention in c4)nD￿10ft with the
examination giving me caus¢ w believe..
accounting r¢¢ords wcre not kept in res￿1 of the COtt￿Y &8 Tequiralby se¢tion 386 of the 2006 Act,. or
the aceounts do not a¢¢ord with those record%. or
the aceounts do not comptyw2tb the aCCoL￿ting Wu]rem￿ts of section 396 of tbe 2(X16 Act otlLer thall any
requiremeni that the a¢¢ounts give a true athl fairview Iwhi¢h is tLOt a matter considerd as part of an
ityjependent examinatioo,. or
the accounts have not F*en prepared in acc(thce with the methods gnd pri￿lpleS of the StaÉem¢nt of
Recommended Pr8Cti(% for accounting and rewrtiD8 by cbarities lapplicable to charities prepry their
accounts in ￿¢0[￿a1￿C with the Financial Re￿rtINg Standard aN>licable in the UK and Republic of Ireland
(FRS 102)].
I have no con¢ems and have eome across no othff mattels in connection wtth the examination tts which attention
should b¢ th#wn inthis re[￿rt in ord¢r io ellable a prow Und¢r$t•￿ing of the accounts to be reachfyl
[￿ul8t N¢wnJan & Co L
A.C.C.A
Louise Newrnan & Co L
2 Bath M¢ws
Bath Pardde
Chelt¢nhallL
Gloucestershi
GL53 7HL
Page 6

Ststcment of Financial Activities
ear Ended 31 March 20
31.321
Total fi]nd8
31.3.20
Totsl fun
furyl Restricted fimd
INCOME AND ENDOWMENTS FROM
Donations and lewdcies
Ch8rltable #divitles
Trdining
Dyrtment of Transwt
Evo15ar
The ClothworkeTS Foundatio
The For¢
Th¢ National IA)ttery
98254
20251
118.505
53.509
250
45,908
14,660
16,675
5.oc
28.41M)
28.4(K
Invegttllent itKome
310
310
350
98J14
58,651
157.465
131,102
EXPENDITURE ON
Raisin8 funds
Charitable actlvld¢s
Training
Projeci Delivery Services
Equipment
Markeung & Publicity
Volunteer Trainin8
Depre¢iation
19.637
7.525
27.162
35,275
4.134
17.942
15271
4,134
35,782
34.138
22,131
60,239
18.543
102
220
11,57L
23.805
17,840
18.867
1357)
15,478
10.423
4.120
4,620
380
3.763
20,098
10,803
Other
743
743
713
Total
83271
53.352
136.623
172.599
NET INCOLKF4EXPENDITURE)
15.543
5299
20.842
141.497)
TrgnsferB betw¢¢tt fumds
37.554
Net movement ID funds
53.097
{32J55}
20,842
141.497)
RECONCILIATION OF FU.NDS
Tot*1 fund8 brought fonward
50296
129.683
179.979
221,476
TOTAL FUNDS CARRIED FORWARD
103
97.428
2￿.82]
179979
The notes fonn part of thtse fman¢ial staiemthts
Page 7

31.3.21
Totsl fimds
31.3.20
Total fisnds
fijud Restricted fijnd
Not
FIXED A&SETS
Tangibl¢ assets
21IKK
12,322
34J22
32,762
CURRENT ASSETS
Stocks
Debtors
Prepayments and accrued income
at baDk and in hand
1,137
1,909
9.937
202 405
12,697
173.384
218 151
65.527
173 J84
238.911
215.388
CBEDITORS
Amounts falling due within y¢4r
io
15.
(88278)
{71412}
(68,171}
NET CiJRREf4T ASSETS
81
166.499
147217
TOTAL ASSETS LESS CURRENT
LIABILITIES
103J93
97,428
2(Ml,821
179979
I¥ET ASSETS
103J93
179979
FUNDS
Unrestrided furML
R¢strict¢d fun&%
103.393
97.428
50,296
TOTAL FUNDS
179979
The notes fm prt of th¢4¢ fJnanciaE Swcfflcnts

Balance Shed- continutyj
31 March2
The charitable company is entided to exemption from audii Section 477 of the CoTwies Aci 2(K16 for the year
ended 31 Ma￿h 2021.
The member5 have t￿1 yeqwred the ¢omp8ny to obtatti an awjit of its finatt¢i#l statements foT tkn ￿ar elldgj
31 March 2021 in accord8]Th with Sttiion 476 of the Conynies Act 2¢I)6.
Th¢ ￿l￿te¢S acknowled8¢ theirryonsibilities for
¢nsuring that the charitable COM￿}Y k¢ep5 accowitiD8 rttonl% that comply with Sections 386 and 387 of the
Compallies Aci 2(K16 and
prvi￿ fLnaucial stalemenL% which gtve a tN¢ and fair view of th¢ thte of affaiTS of the ¢haritsble company
8s at the end of each fmancial Y￿ and of its surplus or deficit for ¢a¢b fina￿La1 year in a¢¢oTdance with the
requirements of Sections 394 atMI 395 and which oth¢rwi5e comply wjth the requireM￿ts of the Cornpani¢s
A¢t 2(X)6 re[￿Illg to financial stsiements, so far asapplitable to the charitable co]wy.
Th￿C financial $tat¢Tnents have be¢n prepared ID acwdance with the pn)visions appliL>ble to tharitable COTt2panie5
subject to the small companies te8im¢.
The fllkncial statements were approvd by the Board of Tnjstces on ............-....L.(...... ts I
its bebaif by..
. and were si8ned on
Trus
ITh¢ notrs fornj prt of these finwial statemcnts

n Lirni
Notcs to the Financial Statemrnts
for thc Year Enthd 3L March 2
21
ACCOiJNTINC POLICIES
Basis of prep8rfng the finand81 ststejnents
The financial statements of the charitable wfftpany. whith is a publie benefit eniity FRS I￿2. have
PTepard in a¢¢oidance with the Charities SORP (FRS 102)'AccounÉing &t)d Reporting by Charities.. Ststement
of Recomrnenda Pwtice applicable w charities preparthg their accounts in A¢￿rd￿￿e with the Fitlancial
Reportillg Stsndard applithle in the UK attd Republic of Ireland {FRS 102) (effective l Jantjary 20151,.
Financial Rep)rtin8 StaTh4ard 102 The Financial Reporting Standard applicable in the UK and Republic of
Ir¢land and the Conjpanics A¢t 2006. The fin&nciai statemcllts bave Ix¢n prepared u[￿er the bisrorical cost
tonvention.
Jneome
All incom¢ recognistij in the Swemem of Fitwicial 0￿ce the ch8rity has ¢ntidanent to the fiind
it is probable th¢ Incon￿ will be ￿￿e1Ved aTrJ the ￿￿oUnt be measured reliably.
Expenditure
Liabilities are r¢¢ogDiKd u ¢xpenditure a5 SfX)D &s there is a leg8] or CODStnWsve obligation committtt)g the
charity to expenditure, it Is probthle that a transfer of e(x)nomic bcttfjts will be Tquired in sett]emeTLt and
the anLOWlt of the obli8ation Can be measured reliably. Expendits￿e is a¢¢ounied for on an aCen￿lS basi5 and
has been cl&ssified UT￿er headin8s thxt ag8rega* all coll relaied to the category. Wheie tosts cannot be
directly atiribut¢d ¢0 patticular head]n85 they have been allocated to activities 00 a basis consistent with the use
of r¢sources.
T8ngihle flxed *Mets
Depreci81ion is provided at the following anTMal rates in order to write off each &8set ov¢r its e4tinBted us¢
life.
Stotks
st￿ks are v￿lled ￿ the lower of ctht and net r¢a]isable valu4 after DJ8km8 du¢ allowance for obsolete attd
slow moving items.
Taxatlo
The charity is exempt from Coqm)Tati(￿ tax its charitsble 8ettvities.
Unrestricted funds ¢•n be used in accordantt with the chatitablc objtttives at the discretion of the In￿lee$.
Restricted funds can only be ￿Sed for particular rtstritted purposes withan th¢ objects of th¢ charity.
R&rictions 8risc wheD wified by the donor or whuE fimits are 58i5eAJ for particujar restiicted purposes.
Further explanation ofthe naDJre and ]Mupose of e4ch fund is included in the notes to the )Inanci819tatements.
INVESTMENf INCOME
31.321
31.3.20
Int¢test receivabl¢- trading
310
350
Pa8¢ 10

On Limited
Notes to the Finartcial Sthtements- continued
for the YearE
3L March 2021
RAISING FUNDS
R*lsthg donxtioDs And Jegxies
31.3.21
31.3.20
NET INCOMEJ(EXPENDTfuRE)
Net IT￿0￿￿(eXp￿t￿ffj i$ 5tsted aft￿ charwnW(i¥editiD¥):
31.3.21
31.3.20
Depreciatioth- ovffled assets
Swplus oth disposal of fixed &8set
18,921
11.570
TRUSTEFS. REMUNERATION AND BENEFITS
Ther¢ w¢r¢ no trustees, remull¢r*ion QT otherbenefits for the yetr ended 31 March 2021 nor for the year ended
31 MaT¢h 2020.
Trust¢u' expemes
There were no tsusteed ¢xp¢ns¢s paid for th¢ y¢Ar ¢nd¢d 31 March 2021 JTror for the yw rndcd 31 Mar¢h 2020.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcfiviTIFS
Ullr&4trictal
Tijtsl funds
INCOME AND ENDOWMENTS FROM
DoJ]aliot15 and legacies
Cbarft#bk *¢tivities
TTrining
Departtnent of Transt
Evolsar
45.174
8,335
53.509
44,785
1.123
14.660
16.675
45,908
14,660
16.675
Investment incon
350
350
Tol41
90JCrfJ
40,793
131,102
Pagell

Serve On Limit&1
Notes to the Financial Statements- contin
f rth¢Y¢arEn
31 March 2021
COMPARATIVES FOR THE STATEMENT OF FINAI¥CIAL AcnviTIES. coMtinu£d
U￿¢StriCted
Totsl funds
EXPENDITURE ON
Raising futMIs
Charitable attfvltles
33.1ts1
2.171
35,275
22.131
24.023
16.567
102
150
1229
23.805
22,131
60,239
18,543
102
220
11,571
23.805
Projeci Delivery Services
Equipmeni
MaTketing & Publicity
Volwit¢¢r Tr&intD8
Depreciatiot)
36,216
1,976
70
10.342
713
713
121.824
50,775
172.599
NET INCOMEJ(EXPEIWITURE)
(31.515)
{9.9821
{41,497)
RECONCILIATION OF FUNDS
Total futsdy brought fonnrd
81,810
139.666
221,476
TOTAL FUNDS CARREED FORWARD
129.684
179.979
Page 12

Serve On Limi
N0tr6 to the Financial
tatvllc￿ts- continued
for the Y Ended 31 March 2
TANGIBLE FIXED A￿E￿8
Computer
u1pm￿t
Motor vehicles
Totals
COST
At I ApTÉI 2020
Additiojjs
Disposals
43.028
18.099
38.035
7,381
81.063
25.480
At 31 March 2021
DEPRECIATION
Ai l April 2020
Charge for ye4r
Eliminated on disposal
30,181
8.945
88
18.037
9.976
48,218
18.921
3J88
At 31 March 2021
Nrf BOOK VALUE
At31 Ma￿￿2021
34
At 31 Mareb 21Y20
12.847
STOCKS
31.3.21
31.3.20
DEBTORS: AMOUNT3 FALLING DVE wfnllN ONE YEAR
31.321
31.3.20
Trade debtors
Undepositcd FLtt)ds
Payables
VAT
273
1.248
503
10,959
1.175
388
1.909
P8ge 13

Scrve Orl Limited
otes to the Financial Statements_ continu
l March 20
io.
CREDITORS: AMouKfs FALLING DUE WITHIN ONE YEAR
31.3.21
31.3.20
Trdde t￿ditOrS
IRT Deployment fund
Social se¢urity and other taxes
Smth Pension
Other credirors
c￿[ner Deposits
20,643
15,0
993
iio
15,293
15,000
220
831
25
ii.
MOVEMENT IN DIJNDS
Net movement
T]￿sfer3
At 1.420
At 31.3.21
UArestri¢t¢d funds
50296
15543
37554
103J93
Re8trleted fuwll
Restricted
129.683
5299
{37,5541
97,428
179
200821
Net mov¢m¢ut in inclth in the above are &$ follo
Incoming
Resou￿¢5
expended
Movement in
fimds
UnTestrkted fvnds
98.814
{832711
15,543
Rtstricted f￿ad$
R&%tricted
58.651
{53.3521
5299
157.465
136.623
20,842
Pag¢ 14

rn1￿1
Notes to the Financial Statements- contin
forthey
ded 31 March 2021
ii.
MOVEMEIYT IN FtJNDS- eoniimoed
Comparatlves for movem¢tht
Net movemeni
in fiujds
At 1.4.19
At 31.3.20
UDrestrleted Funds
Generdl fund
81.810
(31.514)
50,296
Re5tr1cted Fundj
Restrickd
139.666
(9.983)
129,683
TOTAL FUNlkS
221.476
41.4971
179 979
Compardtive net movement in fuD(L% in¢h4led in the aknve are As follows:
Resources
¢xpended
Mov¢ment in
funds
Unrestricted futtds
Gen¢rai fiubA
90J￿>
(121.823)
(31,514)
Restrlded funds
k¢styl¢￿j
40.793
150.776)
{9.9831
TOTAL FUNDS
131 102
172 5991
A curreDt year 12 month$ aT¥J prioryear 12 nM)nths ¢oMbIn￿ position is &8 follows:
Na movement
TrnnsfeT8
rn funds between funds
At 1.4.19
At 31.3.21
unrestr￿ed
General fiuLd
81,810
(15,971)
37,554
103.393
R¥trkted funds
Restrictiaj
139.f
37.554)
97.428
TOTAL FUNDS
221476
200821
P88e 15

Notas to the Financial Statements- contin
for the Year Ertded 31 March 2021
ii.
MOVEMEKf IN FUNDS. co￿l￿￿ed
A currettt year 12 and pticf year 12 months cornbiD￿ net movem¢Di in fimd& included in ai¥>ve
are &$ follows:
tncoming Resources Movement in
¢xpended
funds
Unrtstrleted funds
General fund
189.123
(205.094)
(15,971)
Restrlcted hnds
Restricted
104.128
4.684)
TOTAL FUNDS
288.567
309222
20 655)
12.
RELATED PARTY DISCLOSURES
There were ry) related parry traDSactiODS forthe yar 31 March 2021.
Page 16

Detailed Ststement of Financial Activiti
f the Year En(kd 3L M ch 2021
31.3.21
31.3.20
INCOME AND ENDOWMENTS
Donations •nd kgades
Gifts
Don￿lOn$
Gift aid
116,336
50,355
118505
53,51YJ
Inve5tJD¢nt Income
Intertst r¢¢eivable- tsading
310
350
Ch4rlt*ble atknit
ranrs
38.4(Kl
250
31,335
38.650
Total intoming rewurce5
157,465
131,102
EXPENDITURE
Other tr&dlng iethti
Fu[MIT￿]ng Expeoses
61
613
ChArltablÈ aetivities
Project Delivery
Equipment
Ma]ketillg Trublicity
Volunt¢erTrnining
IL,179
34,138
14,599
18,543
102
220
23.805
8,606
2.965
4.571
12,262
10.621
8.218
Motor Yehicles
Computer eqUipn￿￿t
IA)s$ on S￿¢ of tan8Lble fixed as8¢ts
79,989
68,840
Support Costs
Project Delivery Service
Governxnce eosts
A¢countaney and le8ai fees
55,830
102.433
743
713
Total re8oDrces expellded
136,623
172.599
P4et intomel{expendlture)
41497)
This page not forni part of the financial stthments
Page 17