|Summary of the main<br>achievements of the charity,<br>identifying the difference the<br>charity’s work has made to<br>the circumstances of its<br>beneficiaries and any wider<br>benefits to society as a<br>whole.|Para 1.20|We have added to our pool of individuals<br>and groups joining.<br>We have maintained the number of<br>volunteer skills hours exchanged.<br>We supported eight neighbourhood<br>Timebanks in Plymouth.<br>Plymouth City Council continue to consider<br>us an integral part of their Wellbeing Hub<br>Strategy. With our principle funding now<br>being provided from the Age Positive<br>Partnership.<br>Our social event and swaps continue to help<br>beneficiaries combat feelings of social<br>isolation and loneliness. We are particularly<br>seeking to support members over 65s in this<br>regard.<br>Timebank South West is inclusive and<br>remains free for all beneficiaries to join and<br>take part.|
|---|---|---|



**Additional information (optional)** You may choose to include further statements where relevant about: 

Achievements against objectives Para 1.41 set Performance of fundraising Para 1.41 activities against objectives set Investment performance against Para 1.41 objectives Other 

## **Financial review** 

|**Financial review**|||
|---|---|---|
|Review of the charity’s<br>financial position at the end<br>of the period|Para 1.21|Met our budgetary aims and maintained our<br>Unrestricted funds at the previous level.|
|Statement explaining the<br>policy for holding reserves<br>stating why they are held|Para 1.22|A small Reserve is maintained to cover staff<br>redundancies and potential closure<br>contingency.|
|Amount of reserves held|Para 1.22|£6278.00|
|Reasons for holding zero<br>reserves|Para 1.22|N/a|
|Details of fund materially in<br>deficit|Para 1.24|N/a|





Charity Re9iStrati￿ Nmier. 11￿27
REPORT AND ACCOUNTS
for the year ended
31ST MARCH. 2025
for
TIMEBANK SOUTh WEST
A CHARITABLE INCORPORATED ORGANISATION

TIM
BANK SOUTH
INDEXTO THE FIW4CL4L sfATEMENTS
Jr year 31st ￿Tch,
¢h•rty Irrfrym*

T1￿￿4NK SOUTh W
IN
COMPANY IPIFQRIIATJON
rorthe rn ended 31st M¥th, è)25
TrusTtES
J￿ine Re>)r*d JLty'24
Bth_ ResNwed ?4
&) &Jssell
T¢Jm Cox
REGISTERÉD OFF
Timeb￿k Soth Wle5t
Fow Greee6
Is WVl•ttcwh Green
Ptrrnouth
PL54
RÉCASTERED NUMBER".
1169627
Woodl8ThJs
Rose
Tr20 8TE

TlhlE
WEST
31ST PIARCfrI. 2025
c*artys tr￿lee3 C(￿je1 trAi an 15 wuired Ic¥ thi5 year ￿￿le( 144
It 15 my rE5Ffnitr*fty fo"
To fthv thè dm) in Ihe d￿￿titin$ ty the Chariy
145(5}(bl ofthe Art an
Ihe Charty Cryrrnwn. kn examinabcffj mrjudes a Teview c4thÈ accwnb.rtg
r*>Jrr15. It *0 tr￿￿)es ol any WhJ￿al items rx dts¢yO5w￿ in
ccKints *xJ ex1￿￿on5 from ts InJstee& cor￿Ing $l￿h rnattprs
audrt and rmeoutnty rL) owr*)n a5 b) Tr•thefftÈr ￿ ￿OUnts prestnt a
In￿ aTrJ YV￿ aThJ the Is knThted to IlY)se mtters set ¢*Jt n the stat￿eTht
lrt ￿￿ec*"cn my ex8m*)*"on. no matter ha5 come to rny aIeThtK￿".
h gNes reasonat4e to F*ll￿t thjt n aTry ￿5FeCt
ewi￿tr)n to whth attenkn sfKJukJ ￿ dr8%*m ￿ trd9r ID Q￿ble a propor uTrJer5knJi
Amjntarrt
P•)e 3

seiiiDn B Statement ¢f a$s¢ts •nu Ii•biliti¢s •t th¢ vf the pqriod
L**pr

CHAQIYV COMMISSION
PO* trNfjiANi¥ ANV WAL45
1169627
Recei
tsand
ments accounts
To
31103r202S
01104R024
Section A Receipts and payments
Unreslr4GtwJ
R•svi¢ted
funds
funds
Tot•1 funds
Al Recei
Chan780￿ Athths
Sub totallGro&% in for
A2 Asset and (ftwstr*nt sal•s
Sub totsl
A3
el Ghwitablo Ath•es
1.61
Sub total
014
Sub total
Net ofro¢•ipW(p•ymrtJ
1441
14.¥3U
A6 Cash funds last yEar end
Cash fvnds thls vwénd
Pwje 5

NK
ABLE I
)TES TO THE FINA￿lAL STAT&IEMrs
for IhÈ 31st March. 2￿25
12.781
A4A L•. T￿* io Gr
*x. &rÈaV Gr*ts
8ank lrt¥est
134
151
70
¥076
TJ.
I PAYIAEIITS:
31ml25
31H)Y24
42.871
$3.315
2.7&5
2,123
539
Ta¥JNt
15
1458
i.ot1
447
1.024
2.024
165
Eryi
kc￿r
413
143
6.31
547
1.935
P•Je6

TIME
31ST IJARCtr4 2025