REGISTERED COMPAliY liUMBER: 09641041 IEng]artd and Walts)
RECI*tERED CHARJTY NUMBER.. 1164620
rt ofthe Trwstets
Un*udited FiDaAeial Siatemtnts for the Year Endtd 31 March 2024
for
360 A¢cwn4nLS Limit¢d
18-19 Alb1￿ Strect
Hull
East YO￿shI
HUI 37C

PAUL For Brain Recove
ConieThts of tht Financial St•ltmeDts
lor the Year Ended 31 2024
P*ge
Re￿rt oftbe Trusfet
1 10 4
Indep¢ndent E￿Miner'S Report
StatemtAt ofFth•ntlal Posltlon
No¢¢J to the Fly•NrbJ Si*itm¢uls
Det4lled Statem¢&¢ of Fln¥Dcl*l Actlv11*5
14 (0 15

PAb'L For Brain Recov
Re rt of the Trustees
ror the Year EDded 31 March 2024
The tNs*es are a]so directors of the d￿lty for the purp[￿ of the C(xnpanies Ad 2(M16. prestst their report the
r5nan¢ial Ststr5nents of ihe charity for the ytdr ended 3 1 Marth 2024. The kn]SLees have adripled the provision$ of
Accounting and Reporting by Charstie5.' SMiementofRecMimended Pwiice applicable to charitie5 preparingthcir accounts
in accordance with the Finartcial Reporting Standard applicable in the UK artd Republic of Ireland {FRS 102) leffeetive I
January 20191.
OBJECTIVES AND AcfJviTIES
Obj¢ctiv¢s amd aims
Ovr Charity'5 purpos¢5 a5 Xtou¢ in the objKts contsined ￿ the Cotwbanys meMo￿u￿ of assrKiaiion are..
To relieve the Tncnthl sicknE5S of peT50ns residrnl in Hull and 5uThoundinB arw wff¢ring from depre55iorL anxiety or stre
¢4us¢d as i rtsuli of brnin injury by tht provision of¢ounscllin& mcn1￿1￿8 and sup]M)rt for pmn$.
We review our aims, objeciiv¢s and %liviti¢S ￿$r. This revitry looks at th8¢ i%r $¢hieved orLd the ouicotne ofour i¥ork
in (he tyevious 12 months. The Teview looks at the su¢¢ess of e#¢h key •Uivity the benefiis they have brousht to people
re%iding in Hull and the EaM Ridin8 of y￿7r¢. The helps us ensure our Ain￿ objectives and activities rem8in
focus￿ on oui 5tsted purposcs.
Slznlfkant ACtI￿tIeS
In thi5 reporting period Ihe Charit￿S Main activities inv(Aved the de￿I4)I￿ni 8nd improvemeni ofthe service5 we Pro￿￿de
for IhosE affcclcd by brain injury. This 8150 it)volved adherin8 to the relevant policies 8nd procedure5 to ensure Ihe charily
mcels 115 legal r¢quirem¢nts a5 sel oui by ihe Choriiy Commission and the Health and Safely Exe£uiive. We hvdve also
worked with %ervice user feedbxk io provide relev8ni serviCe￿￿tIvitIeS ￿ e4Nble u5 ￿ devel*¥ and implement a clear
pro$r¢ssion Path￿lY fgr ¢V¢TyonE 9cce￿n8 thr xrvicc. Dur>n8 this p¢riiyJ, hwvc also wwk¢d hard w d¢v¢lop thc
opproprioie pdp¢rwork to b¢st eviden¢e boih the need for the 5erviee And to demonstrnte Ihe Ou*0me￿iMpaciS of the
rvtLe. Oiher key evenL8 and aciivili¢s included:
enMiirtiipA in dpliVPr nlif QPTvif.e delivery ffinA*l in ppftp￿. A￿￿erf hy WiiireA Arni* lttjiiry
o t)eliv¢rin8 NIIS Ilull CCG community cffltraciwith CHCP
o D¢liv¢rin8 ofBig Lot¢ery Reaching Cornmunities Brnni
o Continued dclivcr ofour Idcas Fund pariicipbtory Ttsell￿ project 10 5UFVOrt family members.
o Continuin8 lo offef both virtu¥l and f8t¢ ¢0 f￿¢ wport and guid0￿¢ sess1th￿I¢ljVIlles
o Developing s(ron8cr link5 with AEuie Hnd othcr relevani local 5ervice5
o Developing brain educaiion learnin8 materislslresource$
o Developing service delivery aetivilies 8r¥J p8th%¥8yS
o w￿king in Close pariwship with CISS w Tn¢¢i gjpporl n¢¢ds ofcAT¢rs
o Coniinued 10 u5¢ Outcome Stsrs a5 an impaci meagJTemeE)I ifi￿ 5eNce delivery
o Work¢d wilh CERT CIC kn uMfertake produce and Indep￿dent Social Reium On Invests)%nt re[￿L
o P.A.U.L For Brain Recovery IOK Annual Charity R
o P.A.U.L For Brain Recovery Charity Golf Day
o P.A.U.L For Brain Recovery Charity Ball
o Ch?riiy Part￿r for Humb¢r Bridg¢ Swrtive
o Delivery of our CPD Certifid ABI AMwcne55 Training
Public ￿nefit
We have referred to the guida￿e contsincd in th¢ Charity Commission¥ gcnwJl 8uidonc¢ on puhlic hen¢fit Mr1￿ r¢viHwThg
our aims 8nd DbjECtIVCs and in planning our future a￿1Vi￿e$. In parti￿laT. the TNs¢ees Consid￿ how plarffl¢d aciivilic5 will
¢onirlbuie te the Aln% Ind objectives ttw ￿ve SEL
Page I

PAUL For Br#iD
rt of the Trustees
for tb¢ Y¢ar Endtd 31 MarclL 2024
FINANCIAL REVIEW
Reservey policy
1-he ITusi¢es of the ¢hariiy wll ensure that th¢ ¢hariiy has wfficient Cash to ensnre il S￿ffiCien{ avai18ble funds for
operations. Due lo tht curfnt financial ¢lin**, lh¢ TnLyees hawe tskeTh the dethsion that as a general rul¢ the charity
mainthins reserv¢5 cquibYl¢nl lo approximHi¢ly 6 lo 52 turnover.
STRUCTUR& GOVERNANCE AND MAPIAGEMENT
Goverthlrtg do¢ument
The charity 15 conlrolled by ils 8ov¢rningilo¢um¢n¥ adeed of trLtsLartd ¢(#￿1(111¢S a limilcd company* limitcd by guHranl¢¢,
5 d¢fJncd by lh¢ Companie5 Act 2006.
RecNitment and #ppolntrnent Of Dtw trusit
Th¢ ¢horily Trusi¢es 8r¢ resp)D$ible for the overall planning of ihc business lo eTh5u￿ il &chi¢vr5 lh¢ cknrily objcclives ond
m¢¢ls 4ny I¢sBI requirements Is Sel oui by the Charily Comrnission and the Health ond Safcty Ixewlive. Thi$ Ihen f¢¢d$
dewi to ihe ￿0 and Operniiiw & Fin8nce who are tW5ktd ￿7th implemrnting and mana8its8 the opeTatsonsl day
to day activities thai like place.
Alihwgh are nol actively 5cckin8 to Yrcruii any new Tru5tee5 ￿ ihis time. Mt Irt fully Aware ofthe need to bring llew
skills and )dea5 onknrd. Current Truslees con5CiOU5 of this and shwld they hi8hli8hi a Po￿nI1$1 new Trusice t.g.. Ihey
have srKcific skill& experierKe etr. that iwuld klp 10 dcvclop the charity then ihey I￿11 sh8Te this wilh the other Trustees. If
8Tc¢d. uny polrnlial new Tru$t¢e would Ih¢n b¢ wi thrw8h a c<Knwehethsive vcrring prnc¢s5. Following ihi5 #nd priur lo
any individual bcerb asked kn lake up * position on the Tru$*e Board their4)poinkne#i musl b¢ un8t)in￿￿5lY approved by all
of the currcntTru5t¢¢s. In thi5 p¢rid ￿ have T¢Gruiied ¢M) n¢iv TTus¢ees usin8 Ihis process.
Key mHll*gement rtmllntr*l10
Trust¢¢ pAymtnts
R¢1m￿r￿ments- None of th¢ trusteesFdwt been Jrlmbursed for durin8 thi5 peritsj.
IVdlv*d •AptnS
Tot81 Irdvcl costs for Trusl¢¢s to ai*nd M￿thlY m¢¢tinBs I[￿￿¢ hsv¢ ¢14im¢d th¢x ¢xpeJws b8(* from the charity).
M*rk Spent•
Trnvel 10 Trus¢¢e mE¢linBs.' approx. IO&mil¢ rnnd trip x 0.40p per mile x 12 meetings in 2023r24- £51.84.
Rl¢ardo Seato
I'ravel lo'l'rusl¢e meeiin8s.' Ipprox. IO&mil¢ r¢)urHI trip xO.40p per mile x 12 Me￿in￿ in 2023124- £50.40.
Rlchwr(l Hlrst
Trav¢l to Tru5¢ce meelirb85.' Hpprox. 102-rnile round trip x 0.40p per mile x 12 meeiin85 in 2023124- £48.96
M*rk Carmkllael
Travcl ¢0 Tru$*e meeiings.. •pprox. 5-mil¢ rwnd trip x OAOpp¥ mile x 6 meciings it) 2023124- £12
Kerry Rose
Trav¢1 ¢0 Trustee mc¢¢in85.' appTOX. I1.4-mile trip x 0.40p wmile x I mccling in 2023r24- £4.56
Related partTes
Charity mcrchandisc is 501d at Poothy B4Xrtiqv4 whith 15 by Ricardo Seathn. rto pmfil 15 made by Pooyboy
Bouiique from these tr3nsa¢tion& All r￿d5rd15¢d thrwgh m¢rthTKlis¢ g(*$w the chariiy.
REFERENCE AND ADMJNJSTRATVVE DETAIiS
Registered Company number
09641041 (Eogland and Wale51
Page 2

PAUL For Braiti Reto
Re rt of the Trustrt
for tl* Year Ellded Jl MaTch 2024
Registered ChArity Dllrnber
1164620
Registtrtd 0￿1¢*
Wilb¢rforce Ilealih Centse
6.10 Story Street
East Yorkshi
HUI 3SA
Trustees
Mr R A F Seaion DIreC￿t
Mr M Sp¢nc¢ Dirc¢lor
Mr R HIN DireC￿r
Mr M Carmichacl F.le¢lrical Contracts Man&8Er
MTS K A Ros¢ TnLSic¢ lappoini¢d t￿rI024}
Independent Eyxmlner
360 Acci>uniini% Limited
18_19 Albion Str¢¢¢
Hull
EaA Yorkshire
HUI 3Tfj
Bgthken
Naiional W¢51minster Bank PIC
34 King Ldward Streel
Hull
o8t YtsTk£hire
FIUI 3SS
The trus¢ees (who are also Ihe direcloTS of PAUL For Brain R￿0Very for the purp0*$ of¢ompAtty l&w) are responsible for
preparinB Ihe Rcport of the Trus¢¢s and the finArKi&l sthwYn¢nts in xwrdan¢¢ ￿ryth ¥pli¢able law aTrJ Uniied Kin8dcm
Accountin8 Smndards IUni¢ed Kingdom Generdlly Accep*d Accounling Pr&¢ti¢¢l.
CompHny rcquirc5 Ihc iruslre5 to prepare fiDArKiBI 5tlltements for each financial year ithich give a true and fair view ol
the Stale of affair5 of the chwilabl¢ ¢ompony #nd gw ond of th¢ incomin8 ￿￿UrceS and application of rc50urre&
incltsding th¢ income and expendilurc, of th¢ rhHritsbl¢ CoMp￿Y and 8roup for thai period. In preporing those financial
S18t&ments. th¢ tsu$t¢¢S 4T¢ req￿lTed ￿.
seleci suitsble a¢¢ouniin8 policies and then apply Ihem ¢onsis*nlly*
observe thE methods and prirKiplcs in the Charity SORP.
- make jud8cments and eslimates thAt are Teasonable 8nd pruden4
prepare the financial 5tgtements on the goirt8 tortcem b&%is unicss it 15 LMppropri?l¢ to prwn)¢ thlli the ¢horithble
tompany will ¢ontintse in business.
The trusiees are Tesponsible for keeping r*oper accounting records Mthich disclox M?th T¢osonable accuracy at any lime the
fin8ncial position of the charitable c(xw)any and wp lo enable them to fnSUfe th81 th¢ finBncial Strt￿ments comply
with thc Companies Act 2006. The). arc alw rcspJn5iblc for safe8uBrding the of the charittble compatty and group
dnd hertce fortakinB reasonable xeps for Ihe prevention ar¥J de*c¢iLm offr1￿ arld other i￿e8u1￿rlti¢￿.
Approved by OTdET of the IKwd of trns*¢s
11-..7..- 2*.....-.... and Si8¥￿ Ix) its behalf by:
Page 3

PAUL For BrniD Recove
for IILe Year F￿ded 31 Marekn IlJ24
Mrs K A R¢)s¢- Tru5t¢¢
Pagc 4

ndeDt EtsmiDer's R
rt io the Tr￿Slee5 of
PAUL F•r Brain Reco
Independent e%4fniner'5 reiiort to tbe trustees tsfpAUL For Brain Reeovetv I'tbe Conbpany,)
I report tr) charily trustees on my exami]Jation of the acc￿￿￿ of ihe Company for th¢ year end2d 31 March 2024.
Re5ponslbSlltie5 And basis ofreport
As Ihe ¢ha￿tY,$ trumees of ihe Company lartd al￿ its direc￿1$ for th¢ pury￿Se5 ofcomptsny lswl are re9)onsible for the
prepardtion of the accounts in accordance with the r¢quiTemethwof the C￿￿panic5 20061.the 20(kS A¢i'l.
Havin8 saiisfitd tllyself that Ihe accounts of1￿ CLNnpany are noi r¢quir¢d to be audi*d undeT Part 16 of the 21NJ6 Act and
are eliwble for iwjepertdeni examinaiiort, I rep)n in re4)eci of my Cxwnuwlion of ytNr charilys accounL% as carried out
under Section 145 of the Charities Aci 2011 Ilhe 2011 Acl'l. In QILt my eygminiiion I have followed the Direction5
given by the Charity Commission under Sccuon 145151 {bl of the 2011 Acl.
Itbdependent ex*mlneW5 Statement
Sinc¢ your chaTIty'5 8r055 Incom￿ exceeded £750.IK)O your examintr mum ￿ a nKmber of a lis*d Wy. l ¢8n confirm (hat I
am quHliti¢d 10 undertlke the c%srninotson beca￿ l am • member of the In#itu* of ChHrlertd Accoyntllnts in F￿￿18nd ènd
Wale5. which 15 the of ihe lis¢ed bojies.
I have ¢omplded my exomSnatlon. I confimi thai no mallers have my 4tteniion in conn¢¢tion wth the Lxaminaiion
Rtvirtg rne cauye lo believe:
8¢¢￿J￿11ng rtcords were ttot kept in re5Feth of the Conyzny a5 rffjjired by S¢¢ii(ffi 386 of the 2006 Ack. or
the dccountsdo nol I1￿5¢ Tcwrd4 or
the accounts do not comply ￿1¢h thc xcountin8 r¢quiremML8 of Sxuon 396 of the 21XIO Act oth¢r lh￿ any
r¢quir¢menl that ihe 8tcouni$ wve a and fair view ￿1¢h 15 nol 4 Ma1￿ considered ￿ p•rt of gn iTrJg)endent
ex4miDalion', or
the a¢¢ovnts hav¢ not been PTewLred in acttyd￿Ke wih the meihods and prirrtiplu tsf the Stsiemenl or
R¢¢ommcnded Praciice for 8ccouniin8 and reportin8 by ¢hbriii¢s {&pplicabk 10 tharilie5 prep8rin8 their accounls In
acc(Kdance wth the Ftrt8neial Rep￿ing Standllrd applicabk in the UK R¢publi¢ of Ir¢lAnd {FRS 102}1.
T have no cM¢trns &￿j hllve acr035 fK* othu mNI*T5 in wnnwtion Mryth th¢ examinatioD w wthich attention shLwld b¢
In thls r•port in oYd•rto orth• tob• M*¢h•d.
AndTCW Stcclc
The Institut¢ Df Ch#rt¢ra A¢¢wnlants in En8l•ttd arpj Wllles
360 Accountanls Limi*d
18-19 Albion Street
Hull
Easi Yorkshi
HUI 3TG
11
Page 5

PAUL FOT Bnin iietov
Statement of FiThancial Activities
for tbt Year E4dtd 31 March 20Z4
J113n4
Ttst*l
fund$
3113123
Total
funds
fvDd
futxls
Note5
INCOMEAND ENDOWMENTSFROM
Donation5 and legacics
25&912
47143
J06,755
2S4,959
ChRrltsble 2ttlvltles
Rai%ingdonalion5 and legacies
19S024
195.024
197.225
Total
453,936
47,843
501,779
452,184
EXPENDITURE ON
R4i5ing fund5
235,070
42.S25
277,895
255.245
Charltabte acllvlile$
Raisingdo￿liOnS and legacies
18S946
18&946
l66,117
Oiher
11,684}
11th841
4,02Q
TotAI
419J32
42,82S
462,157
425J82
NET INCOME
34,604
5018
39,622
20,802
RLCONCILIATIOY OF FUNDS
Tolal fyndJ bvoyshi foThYwd
143,1•9
143,109
16207
TOTAL FUNDS CARRIED FORWARD
177,?13
&018
182.731
143,109
The no￿ frni p¥1 of these fiturtcial statements
Page6

PAUL For BrAiD Retov
Ststemethi of FI￿￿¢￿81 Posltfo
31 march 2024
31nn4
Total
funds
3 In123
Total
fvnd$
fijnd
fijtxls
Noies
FIXED ASSETS
Tan8ible auets
2321
2.221
3,152
CURRENT A&SETS
Dcbiors
Cash ot bank and in hartd
5J98
172,013
5,398
177.041
5,666
135.748
S018
177,421
&018
182.439
141.414
CREDITORS
Amounts fallitt8 du¢ within one year
119291
{X,9291
11,4J71
NET CURRENT A￿ETs
J75,492
&DJ8
l39,9J7
TOTAL ASSM LESS CURRETr•T
LIABILITIES
177,713
S018
182.131
143.109
NET ASSETS
SOJ8
182.731
143,109
FUNDS
Unrrs¢Ticlrd funds
RestsiitcJ fuiid
177,713
5,018
143.109
TOTAL FVNDS
181,?3l
143.109
The choriiable tompsrty Isettiiiled to exemption fmm audii unthrseciioth 477 ofthe Compgnies Aci 2006 for Ihe year ended
31 M8rch 21124.
The member5 hive noi requiyed Ihe ¢c*))FADy ￿ obthin 8n audii of its financial smiements for the year etL(kd 31 Ma￿h 2Q24
in accordance with Seclion 476 of the Cotynies Aci 2￿.
The iru51ecs ocknowl¢dgc thcirrc¥K)n5ibiliii¢s for
¢n￿rIng Ihat th¢ ¢horitsbl¢ wmpany keeps accwilin8 TN)rds iknt ¢ornply with SextiM$ 386 dnd 387 of the
Compani¢s Art 2(￿ aNI
prwaring financial sutcmcnls which Bivc ? tThc and fair view of thc s¢ale of alTairs of the ¢h¥rii#bl¢ company as 8¢
the end of each financial year and of its5urplu5 OT deficit for each finarKial )ur in *cordance %%tyih thc requirements
of %ecti(xts 394 Bnd 395 and Mthi¢h Other￿15¢ CLMnply i%ith the reqU1￿mEnts of Comp8ni¢s Aci 2006 relaiin8 10
financial stal¢ments. 50 far a5 applicable 10 the char¢lable wmpany.
Ib)
The notrs forni p￿1 of these fir￿￿la] s(a*rnents
Page 7
continutd...

PAUL F•r Brain Recove
latement of Finaneiil P05itioD- continued
JI M#rtb 2024
These financial siaLements have been prepBted in accordance with the wovisions applithlE Lo charitthle companies subicci
th¢ small companies rewme.
The financial Maiemertts wrre approved by the Boanl of Trus*e5 Buthori*d for i&8ue ort
and signed on lis beh￿[by=
Mrs K A RDSE- Tru5t¢¢
Mr R Him- Tru￿ee
The notss frnn ￿ of these fin￿1￿1 5¢at¢mcnts
Pag¢ 8

PAUL F•r BTaiti Retove
r4otes to t
Statements
for the Yeir Ellded 31 March 2024
ACCOUNTlTr4G POLICILS
Basis ofprtparing the f5MbKial statements
The financial stsicments of the charikble totnparty.- ￿1¢h is 8 public bencfii enlily under FRS 102, have becn
prtpared in accordance with thc (Thori¢i¢$ So1￿ {FRS 102}'Accouniin8 and Rerrf)rting by Chariiic& Statement of
Rccommcnded PraElice applicable to ctwities pwng ih¢if ￿QU￿￿ in acccfdan¢e the Financial Reptsrting
Siandard applieAble in the UK Republic of ITeland IFRS 1021 (effective l January 20191,, Financia] R¢poriin8
Standard 102 The Financial Rewrtin8 Stsndard applicable in th¢ UK ond Republic of Ireland, St￿ the CompBnies
Act 2006. The fjhancial sta*mertishave prtpar¢d under thE his(ori¢81 c051 conNe4)lion.
Income
AJI in¢oTn¢ is reco￿1$ed in th¢ sta￿tr￿n1 ofFinarKi81 Ac¢ivitif5 M¢¢ the ¢h8rity has cniir1em￿l to the funds. it is
probable thai the irt¢ome will bc rtteived and the omouni c4n be meAsured Ycliwbly.
Exptndlturt
Liabililies are reco8ttised as expendiwre 2$ soon Is there is o le881 constr￿￿Ve obligAtion ¢omrnittin8 the ch8rity
to that expendiiur¢, li is probable that a irnnsfer of economic benef¢is w¢ll bg rquired in seiilement und the amount
ofthe oblisaiiL)n can be measured rtliably. Expendiiure is accountrd for on ￿¢nI41S basis tsrtd h85 been clds5ifi¢d
under hEadin85 that A88re8Aie ill cosi related kn the cale8¢)ry. Whtte ¢osts cannoi be dirccily aiiribuid io p8rli¢ulor
hcadinBs th¢y have been all￿￿￿ ¢0 actlviiieson a trAsis consiAcnt Mryth the use of resources.
TanRlb7e lixed 8ss¢ts
Depreciaiion is PToYidcd ai the folkn4in8 A*s in ￿der w WTite off wet over 5L8 estim8led usefvl life.
Fixtu¥¢s and fittln89
Cornpuier equipment
on c05[
2￿one¢
T*x*tlott
Yhe chort(y IsexernN rrom ¢orF4)rnu¢n ItScl)art￿)e acElvlde5.
Fund h¢¢ountlnK
Unre5triclcd funds ¢an be used in ¥crrtthnce with the ¢haritsble ￿JE¢ll*S ￿ th¢ di￿(10￿ of the ￿$te¢s.
Restri¢*d fund$ can only be used for p&rticvlar ￿5￿1C￿d purposes Mtyihin Ihe objects ol th¢ tharity. Resirtctions
aTiX when specified by the dontsr tr %Trthen funds are Tai5ed for p•rtirulsv restricted purposes.
F¥rther exp18n&tion of the nlliu￿ and purpD5eOr￿h fvnd is included in the note5 to ik f>nanci*l sthfrtrrtnty.
Hlr¢ p¥rth#5e #hd lex#lng eotsmltmenfs
Rentals paid under operatin8 leases arc chBT8¢d ￿ tht Ststheni of financia] Actiwti¢$ cffl i s¢ral8ht li￿ basis over
th¢ period of the lease.
P¢DSiOIL tosts AKJd other post-retlrement beDellts
The ¢haTil&blc company wraic5 8 dcfJn¢d Cffilribv(ion sch￿￿¢. ConrTibulioDS rAyable ro the chariiablc
¢ompAny'$pension scheme are char8ed to th¢ Slat￿[￿nL of Fin￿￿111 Aaivilies in the period w *hi¢h tlw relalc.
Page 9
cont¢nued...

PAUL For Brain Recove
NDte5 lo tbc Finantial St*ttmeMl$- ¢onliD
for tht Year EDded 31 MarclL 2024
RAISING FUNDS
Rwtslng doryitiOn5 #nd le#*ties
31tsn4
3113123
Suppon costs
176,053
180.669
NET INCOMEY(EXPENDITURE)
Net income/(¢xp¢ndilUTtI is afwthar8inpAcrediiÉngl:
3113r24
3113r23
Depr¢ciolion- 45s¢ts
Other operniin81¢gses
3.191
IIDO00
5.071
110.wo
TRuyfEES' REMVNERATION AND BENEFfTS
Th¢re w%re no trusteel reM￿entiOn or other bmefits f(Y th¢ y¢ar ended 31 M8wh 2024 rwr for ihe year ended
31 Msreh 2011.
TTll$ttes' txptnsts
There were no truth£￿ experh5es frA theyewr¢nd¢d 31 M￿h W24 ¢KK for the ycar ended 31 M￿h 2023.
STAFF COM
The avern8¢ monthly numb¢r of employees dwin8the year **S ts follows:
3113n4
31n123
Part Tin
Full firn¢
No cmployrcs re¢¢iv¢d ¢TnOluMen￿ ¢x¢w oC£60,000.
Pa8e 10
continued...

PAUL For Brain Recove
Notos to thE FiDantial Ststements- coThtiD
for the Year Ended 31 Manb 2024
TANCIBLE FIXED Assrrs
Vixlures
Computer
equipm¢nl
riltsn8S
Tots15
COST
At l April 2D23
Additions
16.766
25J55
2260
2360
At 31 March 2024
16.766
JOJ49
27,615
DEPRECIATION
At l April 2023
ChorB¢ for year
1S,S19
1247
6ffj84
1.944
2220J
3,191
At 31 March 2024
1(766
8h28
ZSJ94
NET BOOK VALUE
Al 31 MaT¢h 2024
2J21
2211
Al 31 MllT¢h 2023
1.247
. 1.905
3,152
DEBTORS.. AMOUNTS FALLJP4C DUE WITHIN ONE YEAR
31ts124
3113123
Trade debtc
5J98
5,666
CREDITORS: AMOUNTS FALLJNC DUE wrrHIN ONE YEAR
3JtsQ4
3113123
Other creditors
Accrllals 8nd deferred inc¢Jme
679
1250
557
9￿1
1.929
1,437
MOVEMENT IN FUP4DS
movement
in funds
At
3113124
Al 114111
Uttrtttritted fulldl
Gt4Jeral fimd
143.ID9
34604
177,713
Rutrlcted fund
Re5tii¢tsd
&018
5,018
TOTAL FUNDS
143,109
39.612
182.731
Pyll
coplinued...

PAUL For BrniD Recov
Notey to the FIDancial
ents- collllnued
for the Year Ended JI M8r¢h 2024
MOVEMENT IN FUNDS- tontinued
Net movemenl in fimds, in¢lud¢d in the abtsve art ls fdio
11￿0m￿n￿
ResDurces
cxpendcd
Mov¢m¢nt
in funds
Unrestricted funds
Genera] fiJnd
453,936
1419.3321
34.604
R¢stTlCted fuDth
Reslri¢ted
47143
1423Z5)
5.018
TOTAL FUP4DS
911.779
14611571
39,622
Comp#Nilv¢s foT moveyjhtttt IM tsnds
Nei
movernenL
in fijnds
Al
3113r23
Ai 114122
VNTÉStTltttd tshdi
fjenLYal fvnd
116J07
26,802
l43,lQ9
'I VJ'AL TrUNVS
116.307
20,802
143,109
Comparative nei ￿¥￿ent in ful￿ included in the above as foll
Incorning
Resources
expendcd
Movcmenl
in fiJThds
Unrtstritted funds
General fijnd
452.184
(4253821
2A802
TOTAL FUNDS
452,184
1425.3821
26.802
Page 12
¢ontsnued.-.

PAUL FOT BNID Retove
Note5 to the FiwDciiJ Slate
ents- contknue41
lor the YeAr Endtd Jl Match 2024
MOVEMENT IN FUTr4DS- tontlMu¢d
A current year 12 n￿nthS ¥rbd priorytsr 12 rrththstombiKd position is J5 follo
Tnovcment
in funds
A¢
3113124
At 114n2
UnrÈstritttd ts]Mls
G¢n¢ral fvnd
IT6J07
61.4(
177,713
Restri¢t¢d fLbndJ
Restrickd
5,018
5.018
TOTAL FUNDS
116J07
66,424
182.731
A curTent y¢ar 12 Tnonths •nd pritr year 12 month5 combined nei movemeni in irKluded in (he above ar¢ os
rollow&
IncornithA
Rcsourtts
expeThJcd
Movemtnl
in fvnds
Unr¢strl¢i¢d fvnds
General fund
9￿.]20
1844.7141
61.406
Re5trfcted fundj
Kes1￿¢1¢
7,843
(41￿23)
5,018
TOTAL FUNDS
953.963
{887.5391
66,424
RELATED PARTY DIsCI￿SuRE5
Thc Ehority merchartdi5e 15 y)ki ai Pwrtw Boutique, a ¢ompany o*Med by Mr R Scal￿, th]st¢¢. All profi￿ frnm
sg1¢ offfrtrthandise is donated back io the charily.
The truMee5 Otyer their lim¢ and 5rrvi¢¢5to th¢ chtrity.
Pdul Talks Limiied. a company rews*red in F￿8]and and Wale4 is conirolled by an cmployt¢ of Paul for Brain
Recovery. chwitHble donalion5 wry made from the tomrAny during the y¢4r to*llin8 £3.91012023- £5,330).
Page 13

PAUL For Rtt•ve
D¢tsUtd StstemeDt ofFI￿ntil1 Aetlv
for the YeNT Ended 31 Maryh 2024
3113r24
3113123
INCOME AND ENDOWMENTS
DonAtIons And legaclts
Dunaiions
Gift in kind income
187,255
l19500
136.559
118.400
306.7SS
254,959
Charlt*ble actlvititJ
Grants
195.024
197,225
Tot*1 In¢omi#i re50urteJ
501,779
432.184
EXPENDITURE
Other tradlnE a¢tlvllS¢5
Purchaye5
IOIW2
74.576
Support Costs
MAna8eruent
Wa8e$
S￿1&1 security
Pensions
Oiher tspcralin8 leayes
In5ur8nee
Telephone
Posia8e and 5totionery
Advcrtisin8
8undries
Motor and IAvel
Con5ulidn¢y
168,701
13,85S
3J90
110.ooo
2,975
I,￿2
11,744
3312
6377
7,062
4,655
1SQ,840
12.261
2,860
10,0
2,683
2.7JJ
11,934
9.451
7,756
3,670
6,803
335,603
32L99I
Bonk chorBes
D¢pr¢ciaiion of tAn8ible r￿ed a￿¢S
710
3.191
475
5,071
3,901
5,S46
lrtform•t5on technDlogy
Repgir5 and rEBtsi*ls
IS960
16378
Other
Subscription5
Thi5 p￿¢ does ￿ form part of the siabJt￿Y financiil sta*men
Pagr 14

PAUL For BrniD Rttov
tliltd Staten*Tht ofFiDaDcial ActivhitS
for ihe Year Euded 31 Mhrth Z024
3 Inr24
3113123
Other
Governance e05ts
Accountancy and IcBal fc
ZJ35
5.991
Total ¥e50UTccs¢xpEnded
462.157
425,382
Net Incou
39,622
26,802
This p&Ee d¢xsrtot fomi partof th¢ Sta￿tOry fitAncial slalemEnts
Py15