REGISTERED COMPANY NUMBER- CE￿)&721 (Englaftd and Wales)
REGISTERED CHARITY NUMBER: 1166348
Report of lh• Truslees and
Unaudlled Flnanclal Slolemenls lor the Yeor Ended 31 December 2025
Squash Squared

Squash Squored
Contents of the FIDunclol Stal•ments
for the Yeor Ended 310ecember 2025
Page
Reference and Admlrtlstralfv• D•talls
Reptsrt of the Truslèès
Independent Examlnerfs Report
stalement of FIr￿n¢0￿1 Adtv611es
Balance Shèèt
Notes lo Ihe Finonclol StalemÈnti
7 10 1 I

Squash Squaied
Relerence and Admln15frolpi• Delalb
lor the Yeai Ended 31 December 2025
REGISTERED OFFICE
13 Cornwall Road
Svllon
SM2 6DU
REGSSTERED COMPANY NUMBER
CE(KJ6121 (England and Walesl
REGISTERED CHARITY NUMBtR
1166348
INDEPENDENT EXAMINER
Rlchard J Worker
Page I

Squash Squared
Report of th• Trustees
lor the Ye¢r Ended 310ecembei 2025
Trvstees that served during Ihe year c¥e C￿ follows:
Doryl Selby
Jusline Ch8ry-Mocklin
- Mcxk Ridler
- Poul Thomos
Williom Saville
The Trustees ore kepl informed of the activities and perfcm)ance of the charitable orgonisalion and provided
with regulor monogemenl information. The composition ol the Boord ol Trustees is kept under review ond
oddilionol appoinlmenls wlll b& mode should the n&ed arise. All Trustee5 hove been made aware of their
responsibli ities.
OBJECTIVES AND ACTIVITIES
Objècllves and alms
The charity wos established as a Charitable IncorpcKoled Orgonisotion ICIOI ond ils act[￿ltieS ore regulated by
rls constitution. The objects ol the chorily ￿e to act Q5 On exlro<urricular resource for young people of school
age liv*ig in London by yoviding odvice, os%slonce ond thè orgonisalion of physicol. educalK)nol and other
aclwities The chorily aims lo provide o mèans ol ocfvancing in life by helping young people to develop the
skills. copociliès oncl copotyililies which will &noble thèm lo pcyticipote in society a5 independent molure ond
re5pon5ible indNiducJls.
Slgniif¢onl actlv5tles
Squ05h Squared provides weekly extrocurriculcx tutoring comblned with squash lesscns to disodvonlaged
children prirnorily from the Merton and Wondsworth oreas. 11 olso provides Squash Camp5 dvring thè school
breaks in order lo keep the children aclwe during periods where they might otharwise be sedentary.
Publlc benefit
The Trustéés have considered the guidonce provided by the Chorily Commission iegoiding public benefit and
the work of the charity.
FINANCIAL RPrfIEW
Flnanclal revlew
Revenve lolalled £71.8k in 2025. The chorily was able lo hold Charitable fundroi5ing ond other events again
25, which roised materials sums. 5qvosh Squared's c051 of soles (direct costs ol running the progrum, m051
notably COLrt lees. coachinglleaching costs ond loodl deciea5ed lo £12.4k in 2025 compored lo £16.6k in
2024. Opeioling cosls decreased lo £31k in 2025, compared lo £43k in 2024. These figures hové now reache
o steady stale.
G(ing forward. we conlir)ue lo capltolise on Ihe effcyl to bring down expense5 via more sUPPOrt from Clubs
and Schools. ond we hope lo see further tongible benefits in 2025 from these efforts given whol is Fyojecled lo
be a lull-yeor nJnning of the program.
e Trv51e&s hold odequale r85arves to meet ￿e1ve months of the Charitys operaling costs. currently al k
in a nomoli5ed environment.
ReseNes polky
Cash on hond / reserves as at 3151 December 2025 tolalled £228k. up from £191 k ot yeorend 2024.
Page 2

Squash Sqvar•d
Report of the Trustees
foi Ihe Year ErKled 31 Docembèr 2025
STRUCTURE. GOVERNANCE AND MANAGEMENT
Gov•mlng docum•nl
The chuity is controlled by ils goveming document. a deed of trust. ond constitutes o limrfed company,
limited by guarantee. os defined by the Componies Act 2006.
Rlsk monogement
The fru51ees hove revEwed the mojor risks to wh￿h the chority is exposed and h(Jve taken steps lo miligale
the potential impoct of these risks.
CHAIRMAN'5 REPORT
A signiliconl increose in income coupled wilh a noloble reduction in expenditure and costs mode 2025 a
gainful year. The onnuol Souosh Squored Cup surpos5ed its fundroising targèt and was further boosted by
severol seporole and very generous donolions. The number of applications lo trusts ond foundations was
reduced and a more torgÈted and successful opprooch adopted.
A shortage ol leoching gtaff within schools hod been onè of our key challenges. This limited OUT Qtilily lo
expand the programme into the club setting as schools were ollen unoble lo releose 51011 lo escort pupils lo
ond from locol clubs. Rolher than allowing this lo restrict our teach. we odapled our delivery model. By
upskilling our coaching teom, we enabled them to deliver engaging, high-qvolily sessions on school premises.
This innovation not only removed o significant barrier but olso increased our portnerships with schools ond
strengthened links with local councils.
I would like lo thank our cooches. volunteers ond fellow Iruslees for their continved commitment lo Squash
Squared. Their declicotlon ond crealivily h(Jd been instrumental in ernuring that our charity continues lo
provide sole. incKisive. ond inspiring environmen15 lor young peopl& ID develop bolh sporting and life skills.
Squosh Sqvored is well po51t1(￿ed lor the year aheod ond will remain focused on sustoinable growlh and
degpening cxyr impact.
This report hos been prepcyed in accordance with the specicjl provisions ol Part 15 of the Componies Act 2W6
relaling 10 Small componies.
Approved L>y order ol the boord ol Iruslees on .
and signed on ils behalf by..
Trustee
Poge 3

Independent Exarnlnerfs Report lo the Trusl•es ol
Squush Sqvgred
I report to the trustees on my examination of the financial statements ol Squash Squored I'ths charily'l for the
year ended 31 December 2025 which comprise the Slolemenl ol Finonciol Activities, the Bolance Sheet and
related noles.
Thi% report Is mocje solely lo the charity's trustees. as a body, in accordance with section 145 of the Choritl8S
Act 2011. My work hos been undertaken so thol I might stale to Ihe charity's Iiuslees Ihose mallers l a
reqLNred lo slate to them in this report and for no other purpose. To the fvllesl exler)I petmitled by law. I do not
occept or assume responsibility lo anyone other than the chorily and the chority's Iruslees 0$ o body. for my
work. for this report. or for the opinion5 1 hove fwned.
Responsiblltties ond bas15 01 report
As the trustees ot the charity you ore responsible for the preporation ol the finoncial stolemenls in accordance
wilh the requrement5 of the Charities Act 2011 |'th8 Acl'l.
I report in respect of my examination of the charity's finonciol slolemenls carried out Lsnder section 145 of the
Act and in carrying oul my examination I hove followed all the opplicoble DirectK)ns given by the Chority
ComMiss￿n under section 14515llbl ol the Act.
An independenl exominalion does not involve golhering all the evidence Ihal would be requred in an oudil
ond conseqvenlly cloes not cover all the mottèrs that an auditor considers in giving Iheir opini)n on the
linanciol stalemenls. The plonning and conduct ol on oudil goes beyond Ihe limited a55uionce thol an
independent examinolion can provide. Consequently l express no opinion 0$ lo whether the ffnanciol
Stolemen15 pre58nt o 'lrue and fairf view ond my report is limited to those specific motlers sel out in the
independent examinerfs dolemenl.
Indep*nd•nl examlnerfs statemenl
I hove compleled my exominolion. I confirm that no molerial motter5 have come lo my attention in
connection wllh the exominotion giving m& cause lo believe Ihol in any maleriol respecl:
accounting records were nol kept in respect ot the charity as requiied by section 130 of the Acl; or
Ihe financial Statements do not accord with Ih05e records- or
the linoncial slalements do not comply with the oppllcoble requirements conceming the fom ond content
of occounts sel out in the Choriliss (Accounts and Reports) Regukjtions 2(X)8 other than any requirement that
the accovnts grie a '*￿e and fair view wh￿h 15 nol o motter considered 0$ port ol an independent
examination.
I have no conc&ms ond have come QCT05S rio other molters in connection wilh the exominotion to which
ollenlion shoLAd be dr(Nn in this report in order to enoble o proper understanding ol the finonciol statement5
to be reoched.
Richard J Worker
8 Reynold5 Rood
Beoconslield
HP9 2NJ
Poge 4

Squash Squared
statement of f inanclal Act5vlHes
for Ihe Year Ended 31 December 2025
31.12.21Y25
Total
Ivnds
31.12.2024
Totol
fund5
Unreslricled
fund
Rèstricted
fund
Notes
INCOME AND ￿DOwmENTS FROM
Donations and Wocies
44.982
64.?82
52,157
Oltrer troding octiviligs
Investment income
1.000
5,825
1.000
S.825
2.918
2.472
Total
71,807
71.807
57,547
EXPENDITURE ON
Raising funds
3.190
3.190
1,877
Chatha￿0 ocllvlHes
Fund roising
40,331
40.331
50,459
Total
43,521
S3.521
52,336
NET INCOME/(EXPENDITVRE)
28.286
28.284
5,211
RECONCILIAlloN OF FUNDS
Total fLnds brought f(xword
182,664
8.631
191.2P5
186.084
IOTAL FUNDS CARRIED FORWARD
210.950
8.631
219,581
191.295
The nolas form port of these Ilnancial slolements
Poge S

Squosh SqLKwed
Bulonce Sheet
31 December 2025
31.12.2025
Total
Ivnds
31.12.2024
Tolol
funds
Unreslricled
fund
Restricled
Fund
No*e5
CURRENT ASSEtS
Debtors
Cosh ot bonk
219.581
219,591
191,295
219.581
219,591
191,295
CREDITORS
Amounts talling due within one yeor
8,631
8.631
8.631
NET CURRENT ASSETS
209,?50
210,950
191.295
TOTAL ASSEfs LESS CURRENT LIABILITIES
209,950
210,950
191.295
NEf ASSETS
20P,950
210.950
191.295
FUMDS
UNestricled funds
8.631
TOTAL FUMDS
219.581
191,295
The choriloble company is entitled to exemption from oudil under Section 477 01 the Companies Act 2006 for
the year ended 31 December S)25.
The membets hove not required the compony to obtain an audit ol its ffnonciol slalements lor Ihe year ended
31 December 2025 in occordonce with Section 476 of Ihe Companies Acl 2W6.
The Iru51ees (￿knOwledge Ihair responsibilities for
ensuring Ihol the choritoble company keep5 accounling records that comply wilh Seclions 386 and
387 01 tha Companie5 Act ond
preporing financial slalement5 which give o true and fair view of the stole of offair5 01 the choriloble
company 0$ ol Ihe end ol eoch linanciol yeor and of ils Surplus or deficil for each financial yeor in
accordance with the requirements of Section5 394 ond 395 and which othèrwise comply with the
requirement5 of the Componies Act 2006 reloting to financkjl Statements, $0 for as applicoble lo the
choriloble company.
These financiol stotemenls have been prepared in occordance with the provisions appficable to choiitoble
companies subject lo lh8 smoll companies regime.
The lirKncial slolemenls were approved by the Board of Trustees and aulhorised for issue on
ond were signed on its beholl by..
Trustee
The notes lom part ol these finonciol slalements
Page 6

Squosh Squored
Noles to the Flnanclol Stalemenls
lor the YeoT Ended 31 December 2025
ACCOUNTING POLICIES
Bajls of Preporing the financlal stalemenl$
The financial stalefflen15 of the charitable compony. which is o public benefit enlily under FRS 102.
hove been prepared in occorclance with the Choritiès SORP IFRS 1021 'Ac¢ounting and Reporting by
Chorities.. Stolemenl ol Recommend&4 Practice opplicoble to charities prep(Ying ther accounts in
accordance with the Financial Reporting Stondord applicable in the UK and Republic ol Irelond IFRS
1021 leffeclive l Januory 20191,. Financial Reporting Slondord 102 The Finoncial Reporting 5tondarcl
opplicoble in the UK and Republic of Irelond, and the Companie5 Act 2C06. The linonciol slalement5
have been prepored under the historical cosl convention.
Golng Concèrn
The Irvslees believe therè are sufficient re5eNes in the charity lo continve for the fofesee(knle future. For
this reason, the financial 5totemenls hove been prepared on o going concern bosif.
Income
All income is recognised in the Slolement of Iinonciol Aclivilies once the chorily hC￿ enlillement to Ihe
lund5, il is probab￿ thot the income will be received ond amount can be measured reliably.
Expendlture
Liobililies ore recognised as expenditure as soon as there is a legol or conslnictive obligation
commitling the charity to Ihot expenditure. il is probotjle Ihol a transfer ol economic benefits will be
required in sefllemenl and the omounl ol the obligation con be meo5ur&d rdiably. Expenditure is
accounted lor on an accruals bosis ond hos been clossilied under headings thot aggregole all cost
related to the cotegory. Where costs connot be directly ottributed to particular heodings they have
been allocoted lo octivilies on a basis consisternl with the use of resource5.
Taxallon
The charity is exempl from corporolion lax on ils charitoble oclivilie5.
Fund accounting
Unrestrictéd funds can be used in accordance wlh the choriloble objectives cltr the discretion ol the
Iruslees.
Reslricled fund5 can only be used lor part￿Ul￿r re51ri¢ted purposes within the objec15 of the charity.
Reslriclions ar￿e when Specified by the donor or when funds ore raised for particular restricted
purposes.
Further extjonation of the nolure and purpose of each fund is included in the notes to the linoncid
statements.
Hlie pur¢hose and leaslng comrniFmerls
Renta15 poid vnder operating leoség ore chuged lo the Slotemenl of Financial ACtNilies on o straight
rine b￿$ ovèr the period ol the lease.
Penslon costs and other post-ietlremenl benems
The choriloble company opgioles o defined contribulion pension scheme. ContributK)ns payable lo
the charilable company's per)sion scheme ore charged to the Statement ol Finonciol Activities in the
period to which they relote.
Poge 7
continued...

Squash Squored
Notes to thè Flnanclol Slalemenls- Contlnued
lor Ihe Year Ended 31 Decembw 2025
OTHER TRADING Acnv￿rES
31.12.2025
31.12.2024
Fundraising events
1,000
2,918
INVESTMENT INCOME
31.12.2025
31.12.2024
Interest receNable- Iroding
5,835
2,472
NET IMCOME/(EXPENDITURE)
Net incomellexpendilurel 1$ Stated ofter charging/lcredilingl".
31.12.2025
31.12.2024
Room hire cos15
3,410
7,528
TRUSTEES, REMiINERATION AND BENEFtrs
There were no Iruslees, remunerolion or other benefits for the year ended 31 December 2025 nor lor Ihe
yeor ended 31 December 2024.
T￿￿te*S. expenses
There were rD I￿stee5. expenses poid lor the yegr ended 31 December 2025 nor for the yeor ended
31 December X)24.
STAFF COSTS
The overage monthly number of empbyees during the yearwa5 05 follows..
31.12.2025
31.12.2024
Port-time employee5
No employee5 received emoluments in excess Ot £60.(M.
DEBTORS: AMOUNTS FALLING DUE wifHIN ONE YEAR
31.12.2025
31 12.2024
Prepoymenls and occrved income
Page 8
continued...

Squash Sqvorèd
Noles to Ihtr Flnonclal Stalemenls- ¢onllnuod
lor the Year End•d 31 Decernber 2025
CREDITOR&" AMOUNTS FALLING DUEWITHIN ONE YEAR
31.12.2025
31.12.2024
Trode creditors
AccruaL5 and defeffed income
MOVEMENT IN FUND5
Net
movement
in funds
Al
31.12.2025
At 1.1.2025
Unreslrtcted lunds
8,631
8.631
General fund
182.664
28,286
210,950
TOTAL FUNDS
191.295
28.286
219.S81
Nel movement in fund5. included in the obove are as follows-
Incoming
resources
Resovrces
expended
Movement
in funds
Unr•strSct•d funds
Genorol fund
71.807
43.521
28,286
TOIAL FUNDS
71.807
43.527
28,286
io.
RELATED PARTY DISCLOSURES
There were nc) relaled party transocliws f(x the year ended 31 December 2025.
Pogell