Trustees, Report

Th• Mah Jounw
A Charftabl• Incorporated Organlsath)n
R•9lstratlon Numbor. 1163767
Trustso's Rep(xt for the 12 months to 28th Fgbwary 2026
Background
Tho Male Journey affimis aid sup￿8 men Seeklng 8 life-long I￿jmeY rf spiritual
consc40usness in order to translom themselves. and through these Jourrnys, their
relationships. families, workplacA8. c¢mmuniti'es our environment.
Our programme8. eNfjnts and re80urces prowde rrth with opporturmties to do their'inner
v￿rk, in the company Lrf (rther mon. We use iitud. l•acling and Way of Council, (a kyoven
method of facllllating group *ork th81 inmtes all Pre￿nt to be ftAy heard without Interruption
o)rreclion, f&ilitdSng trust. ¢x)nfidence and authents'aty) to crealo Sde enw'ronments
where m•n explore arKI dl8cw th•r deeper se￿* and true purFA)8e dtheir lives.
protsryda spaces where..
mn can be vulneralAe ￿1th[￿ boing judged or Sh￿￿d
• men can Share their emotions coenty
• men can let go of those patterns afKI bdiels thal no longer Sep￿ them
men can rediscover and reconnect vnth the Fvhtr d nature, mystery and the
universe
men can establish true relationstMPS With •Jihonliiity and intryrity
welcome all wth¢xrt regard to ffje, ethniaty. backgffJund. 88xud orientation, status,
or creed. We are induthe. We SWI￿rt rrnn d all faths. and n£￿8.
Events
StokeTS and Convenors weekend May 2025.10 SUPFQrt the faalitators of l¢Jcal gioups
Resour￿ 2025, August 2025. Twenty of us walked together to share a gathering that
8eMd to refiect. refresh and rec¢)nne(a *iih our source, our individual and collective
Male Journeys. Shaped by Jo￿n8 Mtjrk That Reconnects," moved
together through gratitude, l￿Wing our pain. seeing with new eye8. and going
forth, C￿realing a narrative that gerw*ed TM3dom and in5ight$ for all.
Men's Rites of Passage were not hdd in 2025
lèst African Drumming Workshop, 11￿12 October 2025
The Moot. our annua planniry rneeling, Noverrt)er 2025. This yearfs
gathering,Coming Home, reframed vision and rrission not as organisatianal ojncepts
but as questions of the heart- an inmtairm lo relum to ourselves. to our brothers,
and to the spirtt d the th.

AGM, 13th January 2026
Oiher actfvllles
Continued development of Action Cirdes xross fve areas: Rites of Passage, Other
Events, Local Groups, communi￿￿on$ and ENJagement, and GO¥pMan￿ and
Sustanability. Aclion Circjes have become a vital means by vknich the charity's work
Is progressed.
Local and Online Groups continue to meet monthly. with approximately 20 groups
eLross the UK off8rtng ongoing support to men
Priixitisation of Governan￿ and SafeguardiNJ re¥iLws as critical elements in our
organisation.
Tru•ts•8
Tim Lyttle (chair)
Stephen Ashton
Francis O'Leary
Sully
Ma88imiliano (Max) Calligda
Stanley Rogers
Roland Lovatt (appcinted Aprll 2025)
Joel 8ubbers {resigned January 2026)

Treasurer's Report

Statement of financial activities 2025-26
R•strlcted
Unrestrlcled Inc¢)me
fundg
Last year
Total fvnds fvnds
Incomlng resources
Incorno and gndowmgnts from:
Donalbns and lega￿eS
charitab￿ actNitig5
Investments
Total
F01
F02
F04
FOS
2.623
9,799
165
4,472
7,095
9,799
165
1,688
20.355
340
Resour¢•• •xpond•d
EX￿ndIture on:
Raising funds
Chaiitablg actfvltles
Tolal
15 089
Net mov•m•nt In funds
502
795
R•conclllallon offvnds:
Tol81 funds brought forw8nJ
Nel movernenl in lund$
Totsl fvnds carrlod fonv•rd
9.458
2,267
11.725
795
16,438
4713
Balance sheet as at 28 February 2026
R••trlGl•d
Unr••trl¢l•d Incom•
nd•
Total th1• Tolal l••t
y••r
y••r
F01
F02
F04
F05
Curr•nl 4••0ts
Debtors
Cash al bank 8nd in hand
Tol•l ¢utY•nt •s$•tr
1,410
1,410
654
12,755
5.564
18.319
13.860
Credltorn.. amunls fakng due
wlthin one year
Net ¢utYgnt •$$ots/(Il•bllldes)
6.956
5.564
12.520
Funds and R•••rvo•
Restricted income funds
Unresliicted funds
Total fiinds
5,564
5.564
2.267
6.956
5.564
12.520

Notes to the accounts
1.1 Basls of accountlng
These accounts have been prepared under the historral cost cOnVent￿n with items
recognised at cost or transactK)n vath and with the Fwwick21 Reportry Standard
applcable n t￿ United lfjngdom and Repubk of Ireland (FRS 102)
The charty conststLrtes a pubk benefft entiiy as defjned by FRS 102.
1.2 Golng conc•rn
Thgs9 aGGounts have been prepared on a C(wAm be8i5.
1.3 Change of accountlng polky
Smice the 2024-25 accounts were yewed. there have been rv) changes in 8ccountkvJ
poficy. Ttr* onty chatvJe is that tw fdkm the requ￿￿1 by the Charty
Commi$sbn of England and Wa
1A Chang•8 to accounllng ••llmat
Thoro have begn no chary8s in acccyjntry eslknates sknce the kst ￿COUnts were
prepar
1.5 Matarfal prtor y•ar •fforn
Thera are rK> materlal prKJr yw errors to

UnrnstrlGt•d
Rostrlcl•d
Tolal funds
La8t
ear
Doftollons and le
aclfrs:
Donali)ns and rfts
Gift Aid
383
383
Memb8r8hi
rot•1
sub
tlon8
Charllable a¢￿vIll¢l.
Event8
Other
Tol•l
235
235
100
Incom• IT￿7 Inv••lmeThts:
Interest in¢off
CJivKlend incoff
To(•1
165
165
340
165
165
340
TOTAL INCO
Oth•r Inf¢m•llon:
All #icome in the pmr year wo• unrestix*ed except lor £339 donatbns to th8 Buwry Fund

ear
R••trlc
Incom•
Un￿•￿e1￿d
UM••trk•Jd
Incom•
Tol•1 IWK
T4*1 fvnds
ndI￿rn ¢)n r•l•l l￿d￿.
Advgrtising, ThHrk•tkng. dhet rral
and publrjty
Datab858 d$vèb
ni ￿Sts
Total •xp•ndthni on r•l•ln9
nds
EXp•ndl￿r• on ch•rftaW•
Ev8nt Cost8
AccountanGy
Bank Ch8
e8
Insurance
Ma￿01￿1
TFU$t•g Ex
*n#•s
MiscoHan•ou
Tot•1 •xp•ndlfrff• on ch•rft•bl•
•¢dvld•*
304
172
83
382
468
172
83
382
468
3￿)
655
477
53
390
855
477
53
30
30
304
TOTAL EXPEiifx7URE
304
An•ly•l• of •xp•rKIIIA¥• on ¢hwltsbl• •thl¥••
L•¥t
Grnrfl
lundlry of
•ctt¥lll••
A¢llvltt••
und•rt•k•n
dlr•¢ty
Grnnt
Acll¥ld•*
rt•k•n
dlr•ety
Aclbvlty or prnw4mm•
T¥)l•l IN•
y•ir
•cllvlll••
y••r
IIAn's of P8889
ot
Re-SouTC8
Wa
of Council
Totsl
4858
3S89

Analyshs of d•btor*
Th18 year
Las1 year
Trade debtor5
Prepayments and accrued
incot
Toeal
654
10

5.1 Analysls of cre(fjtor8
Amounts falling dthi
Thls year
Last year
Accruals for
rants
Trade creditors
Payments received on account for contracts or
erformance-related
rants
Accruals and deferred income
Total
able
5,799
2,135
5.2 Doforrgd Income
Thls year
Last y•ar
Payments for events received in advance
5,609
2,135
5.3 Movoment In d•hrr•d Incomo account
Th15 yoar
Last year
8alance at the start ofthe re
ortin
Amounts added in current
eriod
Amounts released to income from
Balance at the •nd of the re
eriod
5,609
2,135
2,135
2.217
revious
rlod
eriods

This year
LaBI year
Shorttsmi cash investrnents (less than 3 rrK)nths maknrity date)
Shorttemi deposits
Cash at bank and on hand
Total
16.909
16,909
13,206
13.206

FWKI
bRl•r*•*
rrl•d
b•1•
Tr•n•l•
F￿d nom••
To mako 6¥onts
8fbrrlabl8 m•n on
Incom88
Burna
Fund
1.354
1.972
3251
To 5ubgithx• ewnts k)
Ih•m rnorn afforylable ky albThl
Mako Itwort Furvl
1.5ty)
To make al*n¢Jing Ri*S
ft￿1• affi)rdabl• b >run9 mon
on incornes
Young Ril08 of
Fund
348
348
To 8ubw"dis• Iho CXJStof
d•wl0prn￿I¥nd training
8L*"vib"es
unr081rtc￿ fun¢JB
Develo
menlFund
Genernl Fufid
100
465
11.r25
17,059
18.264
12.J2Q
72 D•lall• ol and MW••n￿￿* Othith• PIIE¥KXI8 Y•prnp•rlod
Fwd
b11•￿•1
carrl•d
lonmrd
••
Typ• R
Tr•n•f•r•
To mok• •venls rfK•re
8u
Fund
incorr
339
304
To mok• i￿ndIng ts Rll&s
v)r• afft>rdwbl• b ywTrJ m•n
I(sw inojm
Young M•n* Rlt•• of
e Fund
348
To 4ubwdl•o rrAof
d•velopThnt Ind tr•lnlng
Devo10
ment Fund
Genernl Fund
565
14
05
IW7
58S
Unrnslrfciad
21313
11.72¥

8.1 Trust•• rnfflurnrallon and bonofft5
None ofthe trustee3 havo been pald any remuneralion or re￿iVed any
other benefits from an employmgnt wilh lh6 charity or a related entity
82 Truste•s' oxpèn80$
ear
Last y•ar
Trpo of •xp•n8es rnlrnburs•d
Travel
Subsistence
Accommodation
0th8r (please specify)..
1.103
62
801
477
TOTAL
477
The number oftrustees relmbur5ed for exp8ns88 or who had expense8
paid by th8 charfty
8.3 Tran•actlons vAh related ￿rtIo*
There have been no related party transadlons In elther the current or
prevlous repordng perlod