REGISTERED COMPANY NUMBER: 09272243 {England and Wales)
REGISTERED CHARrrf NUMBER: 116M70
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMEKfs FOR THE YEAR ENDED 31 MARCH 2025
FOR
SAVING THE SURVIVORS LTD

SAVING THE SURVIVORS LTD
CONTENTS OF THE FINANCL4L STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Page
R•port of tho Trusto05
1 to 2
Indèp•nd•nt Examlnorfs Report
Statement of Flnancl41 Actlvltlos
Balance Sheet
5 to 6
Not•s to th• Flnanclal Statsments
7 to 12

SAVING THE SURVIVORS LTD (REGISTERED NUMBER: 09272243}
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
Tho trustees who are also directors of the tharfty for the purposes of the Companies Act 2006, present their
report wtih the financial statem8nts of the charty for tho year ended 31 March 2025. The trustees have
adopted the provtsions of Accounting and Retx>rting by CharfUe8: State￿￿nt of Recommended Pracli¢
applicable lo charibes pr8paring their accounts in acLK)rdancg wth the Finanoal Reporting Standard
applicab18 in the UK and Republic of Ireland IFRS 102}18ffective 1 January 20191.
OBJECTIVES AND ACTNMES
Objectives and alms
1- Sponsored Endeavours. Suppoitsrs complete challanges to rdise )lJnds for Saving the SuNvors, we had a
number of supporters run, svlm and compete in many ¢hallenges to ralse funds this year.
2- Sod81 Media. We use our soclal media thann81s to connect wth our supporters and lo gain new supporL
Soaal media Is our best way to o)nnect wth the publlc, we can furKlralye on these platfomis such a$
FaceBook and Instagram, as well as motThialg supporters to rakse awareness and funds themselves.
3 - Events. W8 organise our own events and attend gvgnts organisad by oiher5. We attend many events
wh8re we are able to hava a tablelstall wher8 we can sell mèrchandise. collect donations and o)nnact and
educate the public with the cause.
4 - Corporate and School partnerships. We invite companies and sthoojs lo adopt Savlng the SurvTriors as
partner charity lo benefrt from theirfundrdising.
5- Webshg. Most supporters arrfve al our webslta from soctal medla. most are visiting to donate. but our new
website holds a gr9al deal of infomiation and news. so wg hope lo improv8 donations by engaging better wtth
our vlskots.
The tharty's purp￿ for public benefit Is to advance the publlc's education by promoting and highllghling the
conservation and protection of natural environments for the animals of the worhd as well as relieving the
suff8ring of animals and maintaining facAlities for the care and attention of such animals.
Achlgvoments and P8rfornianco
Our fvndraising has delw8red wde ranging work a¢ross Afri￿. ranging from the upkeep of our very own
anti-waching dog and the ongoing training of her and her handler. The provision of kit to an￿ wa¢hing units
across Africa. Our emergency and proactive fi61(Iwork, induding numerous d&homings, Collarings and tsar
nolchings. To th$ donation of m8di¢al supplies and gmergency 1st Aid kits lo a number of anti poaching
organlsations. Supporting endangered wildllfe custodians across Africa has been central to our mlsslon. We
have wnlinued our partnerships wrth businesses, who donat8 proportions of their proffts to us. and we
continue to have a great relationship with CTaghopp8ts who provide all our team memb8rs with their dothlng.
We hav8 again grown in rggards lo our visibilty globally and our fundraising. We are amongst the most
respected. knowledgeable and trusN¥orthy wildlife conservation organisallons in Africa. thls 1$ diypjayed in the
partnerships we have. the work we deliver and the sustainability of our operations.
Plans for the Future
We will continue to build our exlstlng socyal media d)annels, whllst a￿a￿s looking for new platfom)s to
c¥Jnn8ct with the public and raise increasod awareness and donations. Soci81 media remains our number on
avenue for outreach and education. We will conttnue to partner wth organisations Sn Africa. including Kenya,
Namibia and South Africa. We will contillue lo conn8Ct wlh corporat8 partners either to benefit from thgir
CSR activRlos by becoming a beneffttin9 charity or through relationships where they either donato products
that we can use in the field or they donate a proportion of their profits to Saving th$ Sumvors. We wlll be
looking to secure grants lo deliver projects in 2025126, on the ground in Africa we have been investsgating
supporting a su￿sSful Rhino conservation in Kenya where we can suptx)rt vhth Veterinary Se￿¢68 and
Rhino custodian knowlgdge and fijndraising. STS romains a direct thannel for supporters wanting to $88
results d¢llvei8d from their donation¥. We are proud of the tran8parency and 8hort donor journey from ￿11 to
adion to delivery.
Page 1

SAVING THE SURVIVORS LTD (REGISTERED NUMBER: 09272243)
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
FINANCIAL REVIEW
Flnanclal posltlon
Totsl funds al 31st March 2025 were £72,881 {2024- £82.494} all of which were unre8trthd incom& fijnds.
Cash at bank and in hand was £51,94212024- £29.051).
STRUCTURE. GOVERNANCE AND MANAGEMENT
Governing document
The charity ly controlled by its govèming d￿rnent a dged of trusL and consfjlutgs 0 limited o)mpany, Ilmrted
by guarantee, as dgfinad by the Companies Act 2006.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered C¢)mpany numbor
272243 (England and W8les}
ReglBtered Charfty numbar
1165070
Reglstered 0ffl¢o
Suite 12
Sllk House
Park Green
Mac£4esfield
Cheshlre
SK117QJ
Trust88s
P J Naden
MISS L U Nown
TTWood
D B Black
A Nicholls
H J Marais CEO
Independènt Examlner
Helen fidyman
DPC Accountants Ltd
Slone House
Stone Road Business P8rk
Sloke-On-Trent
ST4 fjSR
EVENTS SINCE THE END OF THE YEAR
Information re￿ting to events slnce the end of the year is gwen In the notes lo the financial statwnents.
Approved by ord8r of th8 board of trustee5 dPI!212025
.. signed on Its behalfby..
T T W¢xd- TTUStge
Page 2

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
SAVING THE SURVIVORS LTD
IrKlependent examlnefs r¢port to th9 trustw of Savtng the Survlvors Ltd llha C¢)mpanY)
I report to the charity trustees on my 6xamination of the accounts of the Company for tr*e year 8nd8d
31 March 2025.
Responslbilltles and ba$ls of report
As the charf￿$ trustees of the Cornpany land also fts directors foT th8 purposes of Ix)mpany lawl you are
reS￿nsible for the preparation of thg alxounls in accordance wtth the Yequirements of th8 Companies Act
2006 fthe 2006 ACV).
Havtng sati3fied mysew that the a¢¢ourts of the Company are not requlred ks be audited under Part 16 of the
2006 Act and are eligible for independanl examination, I report in respgd ol my examination of your chariV8
accounts as carried under Section 145 of the Charfttos Act 2011 1'th8 2011 Act.). In ￿ryIng out my
examination I have followed the Dir8dlons given by the Charity Commission under S¢¢tion 14515) (bl of the
2011 Act.
Independènt examlnerfs ststem•nt
I have comp￿ted my examination. l ¢on)Irm that no matters have o)me to my sttention in o)nnortion whh the
examinauon gfvlng m8 ￿￿se to belleve:
accounting re¢>Jrds were not kept in respacl of the Company as ￿quired by Sactk)n 386 of th8 2006
Act.. or
the a¢counts do not accord ￿ those re￿rdS,. or
the accounts do not compty with the awunlng requiremgnts of Soct¥)n 396 of the 2006 Act other
than any requiremgnl that thé accounts a true and fair view whi¢* is rK)t a matt8r ¢onstdwed as
part of an irHlependenl examination,. or
the accounts have not bagn prepared in a¢¢ordanca wllh the methods and princAples of the Slatement
of Rgcommended Practi￿ for accounting and reporting by Cha￿lieS {applicable to char¥be8 prepariro
Iheir accounts In accordanca wlth the Ffnanual ReportiThJ Standard appl¢able in the UK and Rewblic
of Ireland IFRS 102}).
I have no (￿ceM& and have come across no other matters in connection the examinatron to which
att9ntion should b8 drawn in this raport In Order to enabl8 a proper ￿nd8￿tandIng of the a¢xounts to be
reathad.
H8fen fidyman
DPC Accountsnts Ltd
Stone House
Stone Road Busingss Park
stoke4)n~Trent
ST4 6SR
Dale=
Page 3

SAVING THE SURVNORS LTD
STATEMENT OF FINANCIAL ACTMTIES
FOR THE YEAR ENDED 31 MARCH 2025
31.3.25
Total
funds
31.3.24
Total
funds
Unreslricteil
funds
Restricted
fund
Notes
INCOME AND ENDOWMENTS FROM
Donations and legaaes
77,231
77,231
76.089
Other income
628
628
Total
77,859
77.859
76,089
EXPENDrruRE ON
Raising funds
2.164
CharEtable actlvltlo$
Charitable activitias
Gov8mance costs
87,472
87.472
98,161
2,076
Totsl
87,472
87.472
102,401
INCOMElIEXPEND￿uREl
19,613)
19.613)
126,3121
RECONCILIATION OF FUNDS
Total fvnds broUghtfO￿ard
82,494
82.494
108,806
TOTAL FUNDS CARRIED FORWARD
72,881
72,881
82,494
Th8 notes form part of these financial ststoments
Page 4

SAVING THE SURVIVORS LTD (REGISTERED NUMBER: 09272243)
BALANCE SHEEr
31 MARCH 2025
31.325
Total
fvnds
31.3.24
Totsl
fjjnds
Unr851ithd R88trictpd
fund
Not8s
FJXED A&SETS
IntangEble assets
Tangti Je assets
4,783
8.712
4,783
8.712
12.484
11,189
13,495
13,495
23,673
CURRE>4T ASSETS
Sto(*s
Debtors
Cash at bank
200
10,706
51,942
200
10.706
51,942
200
31.405
29.051
62.848
62,848
60,656
CREDITORS
Amounts falling due withln one year
{3,4621
{3,462)
(1,8351
NET CURREvf ASSETS
59.386
59.386
58,821
TOTAL ASSEfs LE&S CURRENT
UABILITIES
72,881
72.881
82,494
NET ASSETS
72,881
72,881
82,494
FUNDS
Unrgstricted funds
10
72,881
82,494
TOTAL FUNDS
72.881
82,494
The chari18ble ¢xTrmpany Is entitled to exemption from audit under Se￿On 477 of th8 Comparwes Act 2006 for
the year endBd 31 MaTch 2025.
The members hava not rwjuired Ihe CA)mpany to obtain aLKIR of its financial stat¢ments f(* the year ¢nded
31 Mar(* 2025 in accordaw with Seclion 476 ofthe Compani8s Act 21M.
Tho trustees aCknO￿edge their respons1141iiies for
(a)
ensurtng that the charltable company keeps acwunting records that La)mpty wrth Sectron$ 386 and 387
ofthe Companies Act 2006 and
preparing financial statèments which give a true Bnd frdir viéw of the state of affairs of the charitable
company a$ at the end of each finarKlal year and of tts Stjrplus or defidt for each finan(>al year ifF
accoTdan¢e wFth tho requirotnents of SectK)ns 394 and 395 arKI which otherwise comply wlth the
reqUireM￿ts of Ihe Companies Act 2006 r8Lqting ti finanaal 8tat8ments. so lar 88 appllcable lo the
charitsblg compary.
(bl
Tho notes part ofth¢s8 finano81 statsments
Page 5
condnued...

SAVING THE SURVIVORS LTD (REGISTERED NUMBER: 092722431
BALANCE SHEET- contlnued
31 MARCH 2025
These financial statements have been prepa￿1 in accordance th the provisH)ns appll¢able to charitable
companies subject to the srn811 companies regime.
The fina[￿la1 stslem8nts were approvgd by the Board of Trustees and authorised for issue on
19112r2025" """"""'"'""
and were slgned on its behaw by:
T T Wood- Trustee
The notes fomi part ofthese financjal StsteM￿ts
Page 6

SAVING THE SURVIVORS LTD
NOTES TO TrIE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTING POUCIES
BASIS OF PREPARING THE FIMANCIAL STATEMENTS
The financral statements of th8 d)aritable company. which is a public beneilt entlty under FRS 102.
have been prepared in accordan￿ with thè Charities SORP IFRS 1021 'Ac¢ounling and R¢pDrting by
Chafftles: St8t8ment of Recommended Pradl¢8 appIl￿ble lo chartties preporing thelr accounts in
8ccordance with the Flnanual Reporttng Standard applicab￿ in the UK and Republlc of Ireland {FRS
1021 (effective 1 January 20191,, Financial Reporbng Standard 102 The Finanoal Reporfing Standard
applicabl6 in the UK and Republlc of Ir&land' and the Companies Act 2006. Thg finandal statements
hav8 be8n prepar¢d under the historical cost coriventton.
INCOME
All income 13 recx)gnised In the Statement of Financial Activltles ¢)nce the charity has entiyement to the
lunds. il is probable that tha irtt)me wlll be received ￿ the amount cat) be measured reliabty.
EXPENDITURE
Liabilities are rewgnlsed as $xpendItu￿ as sL¥Jn as there is a legal or construdve obligation
committsng the tharity to that expgndilure, it is probable that a transfer of eoxjnomlc benefrts will be
ulred in settlement and the amount of the obligatlor7 can be measured reliably. Expend￿re is
acuunted for on an accruaL8 basls and has b8en classtfied und8r headings that aggr8gale all cost
relsted to the category. Where costs cannot be dire¢My attriblrted to partlwler headings they have been
aiforAted to actfvEtw on a basis consistsnt the us¢ ol resour(w.
TANGIBLE FIXED ASSErs
Depredation is provided at the followng annual ral88 in order to write off eac* asset ovor k8 &8dmated
useful life.
Plant and machinery
Motor v8hic￿$
CompLrter equipment
20Vo straight lin&
25% reduong balan￿ from purchase date
straight tine over 3 ye8rs
STOCKS
stocks are valued at the lower of cost and net raalsable valuè. after maklng due allowance for
obsolete and slow moving tiem$.
TAXATION
The charity Is exerrtpt from corparation tsx on It¥ charitable oGtMtIès.
FUND ACCOUNTING
Unrestficled fun(ts can bé Ltsed In acwrdarKe wth tho o*aiit8ble obl8cUves 81 the dlscretron of Ihe
Iru8tees.
Restricted funds can only be used for partiC4Jlar restricted puwes within the oblects of the chaty.
Restnctions arise when S￿Gir1ed by th8 donor or when funds are raisBd for particular restsi¢twJ
purpos88.
Futher explanation of the natsre arKI purF)os8 of eackn fvnd is induded in the notss to the finandal
stalemenls.
NIRE PURCHASE AND LEASING comm￿mENTs
Ronlals pald und&r operaung leas8$ are charged to the Slatement of Finanaal Activltses on a str8Sght
line b3$1$ over the period of the lease.
Page 7
ntinued...

SAVING THE SURVIVORS LTD
NOTES TO THE FINANCIAL STATEMENTS - ￿ntInUed
FOR THE YEAR ENDED 31 MARCH 2025
NET INCOmEIIEXPEND￿URE)
Net Incomellexpenditur8} Is stated after charging1{Cred￿￿g).'
31.3.25
31.3.24
Depreci8tlon - owned assets
Other operating leases
Computer sofware amortisation
2,477
12,937
7.701
3,587
14,159
7,700
TRUSTEES. REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for the year ended 31 March 2025 nor for the
year ended 31 Marth 2024.
During the year a trustee has bean paid remun8ration by tho charity. The remunaration for Ihe truste8
was paid in accordance with the goveming documènt of the charity and was agreed by th8 board
membèrs. The details of the remuneration and the trusts8 ale notsd below
31.03.25
MrTTWood
£45,650
Nil
31.03.24
Mr T T Wc*Jd
£45.650
Nll
Trustee
Amount remun8rated
Er5 penslon contribution
The remunerauon was paid to the truslee for all administration dulles completed by the trustee on
behalf of th6 charity.
TRUSTEES. EXPENSES
There were no trusl88s' expenses paid for the year 8nded 31 Marth 2025 nor for the year 8nd8d
31 March 2024.
31.03.25
MrTTWood
£nil
Mr P J Naden
31.03.24
MrTTWood
£nil
Mr P J Naden
£4.914
Trustee
Amount of exwnses
Twstee
Amount of ex￿￿88$
The expenses were relmbursed to the trustee's on behalf of the charity.
The expenses totalling £nil {2024.. £nlll r91MbUr￿ to Mr T T WO￿ are expen￿ that arg dlreGtIy
attributable to the charitable 8¢tivibes.
The expen58s totslling £nil12024.. £4.9141 reimbursed to Mr P J Naden are travel expenses thal are
diredy attributable lo the charitable activitses.
Pago 8
cx)nlinued...

SAVING THE SURVIVORS LTD
NOTES TO ThE FINANCIAL STATEMENTS • Contlnued
FOR THE YEAR ENDED 31 PJJARCH 2025
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unfft5trict8d
furKts
Reslrithd
fund
Total
fiJnds
INCOME AND ENDOWIAENTS FROM
DonatK*lls and *cles
76,089
76,089
EXPENDITURE ON
Raising funds
2.164
2.164
Charitabl• a¢tivltres
Charrtable acdwties
Govemance CAxts
98.161
2.076
98,161
2,076
Total
102.401
102,401
NET INCOPIIEIIEXPENDITUREI
(26.312}
{26,312)
RECONCIUATION OF FUNDS
Total fLtnds brought fonvard
108.806
108.806
TOTAL FUNDS CARRIED FORWARD
82,494
82,494
INTANGIBLE FIXED ASSETS
CompLrt8r
software
COST
Al 1 April 2024 and 31 March 2025
AMORTISATION
At 1 April 2024
Charg8 for year
23.101
10,617
7,701
At 31 March 2025
18,318
NEf BOOK VALUE
At 31 March 2025
4,783
At 31 March 2024
12,484
Page 9
O￿tinU6￿...

SAVING THE SURVIVORS LTD
NOTES TO THE FINANCIAL STATEPAEp¥fs-contlnu•d
FOR THE YEAR ENDED 31 MARCH 2025
TANGIBLE FIXED ASSETS
Plant and
a¢hlnery
Motor
V8hl¢les
Computer
equlpmenl
Totals
COST
At 1 Awil 2024 and 31 Marc* 2025
5.126
18,260
12.763
36.149
DEPRECIATION
At 1 April 2024
Charge for year
1,196
1.025
11.001
1,452
12.763
24.960
2,477
Al 31 March 2025
2.221
12.453
12.763
27.437
BOOK VALUE
At 31 MaTch 2025
2.905
5,807
8.712
Al 31 March 2024
3.930
7.259
11,189
STOCKS
31.3.25
31.3.24
200
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3.25
31.3.24
other debtors
VAT
Prepayynents and accrued Irtcoma
6.500
714
3.492
30,160
277
10,706
31,405
CREDrroRS: AMOUNTS FALLING DUE wrrHIN ONE YEAR
31.3.25
31.3.24
ACcn￿lS and deforred Income
3,462
1.835
10. MOVEMENT IN FUNDS
Net
movemeTrt
in funds
At
31.3.25
At 1.4.24
Unrestrictod fvnds
General fund
82.494
19,613)
72.881
TOTAL FUNDS
82.494
{9.6131
72,881
Page 10
continued...

SAVING THE SURVIVORS LTD
NOTES TO THE FINANCIAL STATEMENTS- ¢ontlnued
FOR THE YEAR ENDED 31 MARCH 2025
10.
MOVEMENT IN FUNDS- continued
Net movement in fvrmjs. Inchjded In the above are as follows:
In¢omlng
r￿urC8S
Resourc98
expended
Movem8nl
in funds
Unrn$trl¢ted fvnds
Geneyd lurKI
77.859
(87,4721
19.613)
TOTAL FUNDS
T7.859
187.472)
{9.6131
Comparatlvos for movemont In funds
movement
in funds
At 1.4.23
31.3.24
Unrestrleted tsnds
General fijnd
108,806
126,312)
82,494
TOTAL FUNDS
108.806
126.312}
82.494
Compar8tNe not mov8ment in funds, included in the above are 88 folkms:
Incoming
Re50ur¢e$ Movernent
resoL*rcas expended
in funds
UTrr•strlct￿ funds
Gen6ral fund
76.089
(102,401)
(26,312)
TOTAL FUNDS
76,089
1102,4011
(26,312)
A cuffent year 12 months and prk)r year 12 months comblned p081tion Is 85 follows..
Net
movement
In funds
At
31.325
At 1.4.23
Unre8trlct•d fund$
Genoral fvnd
108,806
(35,9251
72,881
TOTAL FUNDS
108,806
135.9251
72.881
Pag8 11
o¥)ntinuad...

SAVING THE SURVNORS LTD
NOTES TO THE FINANCIAL STATEMENTS- continu
FOR THE YEAR ENDED 31 MARCH 2025
10.
MOVEMENT IN FUNDS- contlnu•d
A ￿Trent year 12 months and prior year 12 months combined net n￿Vernent in funds, Induded in the
above afe as foltows..
Ino)ming
resources
Resourc8s
oxp8nded
Movement
in funds
Unrestrictsd fund$
General fund
153,948
(189,8731
{35.9251
TOTAL FUNDS
153,948
{189.8731
135,9251
11. RELATED PARTY DISCLOSURES
There were no rglated party transactlons for the year endod 31 March 2025.
12. EVENTS AFfER THE END OF THE REPORTING PERIOD
Therg were no signfficant evonts up to the date of approval of the financi818tatements by the Board.
Page 12