Charity, registrdiion number.. 1170470
Stopso UK
Annual Report and Financial Statements
for ihe Year Ended J l March 2023
Conimunity ALCOUlitin¥ Plus
Unit5 1 & 2 Nortl) West
41 Talbot Street
Nottingham
NGI 5GL

Stopso UK
Contents (eontinued}
Reference and Administrative Details
Trustees, Report
2to4
Statement of TTUStees' Responsibilities
Independent Examinevs Report
Ststement of Financik)l Activities
7t08
Balance Sheet
Notes to the Financial Ststsments
Ioto 16

Stopso UK
Reference and Administrative Details
Trllstee5
Antounette Philippides, Chair
Trudy Hanniiigion
Stepl)en Richmolld Jonson
John David Goss
Glynis Stephanie Hudson-Allez
Susa]i Maxwell
Charity Registration Number
1170470
Prineipal Office
PO Box 2277
Gloiicest¢r
GL3 9GP
Itldependellt Examiner
Joht) O'Brien, employee of
Coinmunity ALLountin¥ Plus
Unit5 1 & 2 North West
41 Talbot Street
Nottin¥hain
NGI 5GL
Page I

Stopso UK
Trustees, Report
The trustees present the annual report together with the financial statements of the charity for the year ended 31
March 2023.
Trustee5 and officers
The tnjstees and otTicers setrying during the year [￿d sii)ce the year ei)d were as follows=
Trustees..
Antounette Philippides. Chair
Trudy Hannington
Stephen Richinolld Jonson
John David Goss
Glynis Stephanie Hiidson-Allez
lan Richards lappoiiited 6 May 2022 and resiJu ed 23 August 2023)
Susan Maxwell (appointed 6 December 2022)
Nigel Hatton {resigned 7 February 2023)
Structure. governance and management
alure of¥uw'erniii&¥ duLumeiil
The charity is operated under the rules of it5 constitutionltrust deed adopted 30 Noveinber 2016 and most
recently amended 17 June 2022.
RecrHilnielli anduppointnielll of Iruslees
We advertise for new trustees on a regular basis, and if there is interesi, Ihe individual contacts the Chair and an
iiiterview is arranged usually with one L)ther Trustee. They will Ihen be expected to preseni for 10 minutes ai a
board meeting outlining iheir Inotivation, time available to devote to ihe charit}, and their particular skill set. The
board will vot¢ to accept or de¢lin¢ at that point.
Objectives and activities
Objecls
'l-he objecis of the charity are..
To offer specialist and tailored therapy to anyone affected by child abuse, be these perpetrators, survivors,
fainily members.
To prevent the first offence by encouragin¥ through our website, anyone iieedin¥ to, to contact Stopso and seek
siipport at that stagFe.
To prevent any subsequent offeiiding through the benefits of understanding atjd a therapeutic iiitetvention.
ObjeeilvÉs, strategles und &Ltivldes
We offer training to therapisis to lake on referrals flir StLipSO. We are nLlW able to otTer subsequent training in
all areas pertaiiiing w ihis work. Besides this. we look for all opponuniiies to open a discussion about Ihe
iinponance of treating perpetrators iherapeuti¢ally", a dialogue to ensure perpeirators are offered every
opportunity to seek help and guidance to desist from criminal and harmful behaviour. We also seek to support
survivor5 through thergpy to manage trauma.
Page 2

Stopso UK
Trustees, Report (eontinued}
Public benefit
TheTapy assists any individual to identify and manage underlyinbw issues. In the dtmobwraphic that concems us,
this means idei)tifyints the underlyiiig causes of offeiidin¥ thought ai)dlor behaviours. We would like to prevent
the first olyence. but we can certainl} foLus on preveniii)g subsequent ofteiidin¥ and hamjlul behaviour.
The public is horrified by sexual offending. understandably. However, an approach as promoted by Siopso
which focuses on therapy and less on punishment, is more likely io enable the individual IL) desist which
ultimately keeps the public safe.
Our work focuses on all sexual offending against children. Increasingly, this involves ihe online w'orld. As a
child protection chariry, M'e seek opportuniiies to discuss the implications of this w'ith oiher agencies such as
police and children services who deal with survivors and family members.
The trustee5 confilln that they have COTnplied M'ith the requirernents of sectioii 17 of the Charities Act 2011 to
have due regard to the public benefit gUId￿lce published by the ChaTity Commission for Englat]d and Wales.
Achievements and performance
Annual Report from the Chair
Throuuh out this year. Stopso has sougFht to gFrow and develop. In achieving such positive5, 1 rely totally on a
Treat team of Trustee5. How'ever, it is with sadness that NigFel Hatten left the board, H,hose devotion and focus
was present sinLe the ctsnception of the Lharity. More recently, lai) Richards has also moved on. lan's energy
ai)d enthusiastn will be mi5Std. l am grateful for his or¥dnizational ski115 iii pullin¥ tu¥ether thi5 conference. We
are delighied to welcome Michael Sheaih as our patron. His eloquent enthusiasm has been welcoined as has his
support of Stopso. We also welcome Sue Maxwell to the board whose experience and perspective has been
given us a positive focus. I look lorward to workin¥ with both Mike and Sue.
We have again offered training to our members and we shall be launching our traiiiing programme at this
conference.
Our monthly group supervision programme has proved valuable. We have the advantage of having several
superb supervisors who offer their time and expertise to our members. We plan to keep these going as long as
there is a need and interest.
We rely on referrals to be able to offer our members the work we are so passionate to develop. This year we
have had an increase of over 30/0 on referrals. taking us to well over 1,000. B). far, these are self-referrals, but
increasingly, we are asked to work with individuals via Children Serviceslsolicitors. We encourage all referrals.
The board has every faiih that our members will engage in good quality therapy with an group of individuals
who are as marginalized by our profession as much as they are by society generally.
Stopso has forLFed contacts with the Criminal Justice system, througFh pilots with prisons, as well a5 developing
work with police forces. We are committed to developinu these areas of work further.
I look forw'ard to this comiiig year. to develop the charity ￿rther, to continue the good work of this most
valuable charity.
Financial rel'iew
The Charity's finances have continued to be Carefully managed in the past year and a surplus of £4,932 was
achieved oli unrestricted activities. The Charit> 5 unrtstricttd iTILLime is eiitirely 5elf-generated. Fixed expenses
are low, 50 any reductioii in future iiicotne streains Ldn bt offset by reduction5 in vaTiable cost5. All of the
charity's fuiids are used for it5 chiiritable purpose5.
Page 3

Stopso UK
Trustees, Report (eontinued}
Pvlicy reiÉrves
The Charitj s policy 15 to hold a level of unrestricted reserves that provides cover for the iiext 12 inoiiths running
expenses. The trustees review future runniii¥ costs each monih for this puryose. Ali increase in referral fees
charged to therapists will apply from July 202i 11) order to maintain this level of cover.
Page 4

Stopso UK
St*tement of Trnstees, Responsibilities
The trustees are responsible for prepartng the tThstees' report arÉd the fitw)cial ststements in accordance with the
United Kin8doTn Accounting Standards (United KiM8dom Getjerally Acccpted AccowLtin8 PractLCe) and
applicable law and regul8tioLs.
The law applicable th charities ttquims the trustees to PTepare financial stslem￿ts for each fitwicial ye4r wbicb
give a tnv and f8ir view orth¢ stat¢ of affairs of the charity attd of the incoming resourc¢$ and atvlication of
resources tsf the ch#rity for that period. In preparing these financial sthtemenrs. the trusttts are required to..
select suitable accounting policies and then apply them collsiskntly..
observe the meth￿S and principles Én the chariti￿ SORP.
' ￿￿k¢ Judg¢in¢nts ond ¢stunat¢s tbat arc rwonable and
stal¢ whether appIl￿ble accounting stalbdtrds have b¢en foll(Trw¢iL subject to any ll￿t￿la1 departwes
disclosed and explained in the financial statements. and
prepare the financia] ststemertts on the going eoncern b&%is unless it is inappropriate ts) prwme that th¢
charity will continue in business.
time the fiDaDcial position of the ehan'ty altd enable thern to eDsure that th¢ financial ststements comply witb the
Charittes Act 2011. the ChAyiiies (Accounts and Rwtts) Regulations 2008. and the provision$ of th¢
coThstitution. The tr￿steeS are also responsible for safegLwdiDg the &ssets of the charity and hence for laknng
reasonable steps for the prevention aDd detection of fraud and other irregllknties.
included on the charttsble company's website. Le￿$lation governing the preparati(m alld dissemination of
f￿￿￿la1 statelllcllts ￿aY diffcr frollh legislatiOD other jurisdictiODS.
i.i1.021.20 27
ApwoveAJ by the tnjstees of the charity on..
. and signed on its ljehalf by.
A /lLI: As.
Antounette Philipp
TEustr¢
Pas¢ 5

Stopso UK
Independent Examiner's Report to the trustees of Stopso UK
llldependent examiner'5 report to the trustees of Stopso UK
I report to the trustee5 on n)y examination of the accounts of Stopso UK {the Charity) for the year ended 31
March 2023.
Responsibilities and basis of report
As the trustees of the charity you are responsible for the preparation of the accounts in accordance with the
requirements of the Charities Act 2011 (the Act,).
I report in respect of my examination of the Charity's accounts carried out under section 145 of the 2011 Act
and in carying out my examination I have followed all the applicable dirertions given by the Charity
Cominission under s￿tIon 14515)(bl of the A¢t.
Ind¢pendenl examiner'5 Statemenl
I have compleied my examiiiarion. I confimi Ihar no matters have come to my attention in conneLiion with the
examination giviiig me cause w believe that in any material respeci..
accounting records were not kept in respect of the Charity &s required by section 130 of the Act,. or
2. the accounts do not accord with those records,. or
the accounts do i)ot coinply with the accounting requirements coi)¢eming the fomi ai)d content of accounts
set out in the Charities (Accounts and Reports) Regulations 2008 tsthei thai) any requirement that the
accounts give a 'rrue and lair, view which is not a mailer Considered as part of an independeni examinaiion.
I have no concerns and have come across no other matters in connection with the examinatii)n to whi¢h attention
should be drawm in this report in order to enable a proper understanding of th¢ a¢counts to be rea¢hed.
n{P￿rIen Msc. FAIA. FCCA, FCIE, employee of Community ALcouniin¥ Plus
Fellow of the Association of Charity Independent Examiners
Units l & 2 North West
41 Talboi Streei
Notiingham
NGI 5GL
Date..
0911012023
Page 6

Stopso UK
Statement of Financial Aetivities for the Year Ended 31 Mareh 2023
Total
2023
Total
2022
Ullre5tricted
Restricted
Note
Ineome and Endowments from:
Dollations alld legacies
Charitable aciiviiies
1,998
55,258
62,643
11,889
74,532
Total Income
62,643
11,889
74,532
57,256
Expenditure on:
Charitable activities
(57,7111
(32,153}
189,8641
(82,3381
Total Expenditure
(57,7111
(32,1531
189,8641
(82,3381
Net incomel(expenditure)
Gross transfers betweei) funds
4,932
{i,000)
(20,2641
i.000
(15,3321
(25,082)
Net movement it) funds
1,932
(17,264}
(15,3321
(25,082)
Reconciliation ol lunds
Total fund5 brought fotiward
32,020
33,324
65,344
90,426
Ttstal funds carried forward
10
33,952
16,060
50,012
65,344
All of the charity's activities derive froTn coiitinuing operations during the above two periods.
The fuiids breakdowi for the period 15 showii in note 10.
The notes on pages 10 to 16 forni an integral part of these financial statements.
Page 7

Stopso UK
Statement of Finaneial Activities for the Year Ended 31 March 2023 (continued)
These are the figures for the previous accouthting period and are included for comparative purposes
Total
2022
Unrestricted
Restricted
Note
Income and Endowrnents from:
Donation5 and legTacies
Charitable activities
1.998
55,?58
1.998
Total Income
57,256
Expenditure on:
Charitabl¢ activities
(55 ?801
127,0581
(8?,338)
Total Expenditure
(55 *801
127,0581
(8?,338)
Net movement in funds
1,976
127,0581
(25,082)
Reconciliation of funds
Total funds brought forward
30,044
60,382
90,426
Total funds carried fO￿ard
32.020
65,344
The notes on pages 10 to 16 forni an integral part of these financial statements.
Page 8

Stopso UK
(Reglstration number: 1170470)
Balance Sheet as at 31 March 2023
2023
2022
Note
Curr¢Dt •s•¢ts
8292
58,486
5.5
75,160
Cash at b￿k al￿ in hand
66.778
80,756
Creditorj: falli￿g due withiti year
(16.766)
50,012
15.412)
65.344
Net Asjets
Reltrlcted IDcoDr fwMIs
Rcstricted funds
io
16,060
33,324
Unrestricted income funds
Unrestricted funds
33,952
32,020
Totsl funds
10
50.012
65.344
The financial sratements on pages 7 to 16 were approved by the trustees, and auth￿ised fry issu¢ on
and signed on thelr b¢half by..
AntOUDette Philippides
Tn]5tee
The note5 on pages JO to 16 Iornl aD illtegrdl part of th¢se fmancial ststements.
Pag¢ 9

Stopso UK
Notes to the Financial Statements for the Year Ended 31 Mareh 2023
l Aceounting polieies
Statcment of eomplianee
'l-he financial statements have been prepared in accordance with the second edition of the Charities Statement of
Recommended Practice issued in October 2019, the Financial Reporting Stsndard applicable in the United
Kiiigdotn and Republic of Ireland (FRS 102) and the Charities Act 2011.
Basis of preparation
Stopso UK meets the definition of a public benefit entity under FRS 102. Assets and liabilities are iiiitially
recognised at historical cost or transaction value unless othetM'i5e stated iii the relevant accoiijiting policy iiote5.
Exemption from preparing a cash flow statement
The charity opted to early adopt Bulletin I published on 2 February 2016 and have therefore not included a cash
flow statement in these financial statements.
Going coneern
The financial statements have been prepared on a going concem basis.
The trustees assess whether the use of ¥oing coiicetn is appropriate i.e. whether there are any material
uiicertaintie5 related to events tsr conditions that may cast si¥nificant doubt oil the ability of the cliarity to
continue a5 a going conceTll. The trustees make this a55e5sineiit in respect of a period of one year from the date
of approval of the financial statemeiits.
Income and endowmenls
Voluntary incoine including donatioi)s, gifts, lega¢ies and grants that provide core fundii)g or are of a general
naiure is recognised when the chariry has eniitlemeni to Ihe income, it is probable that the income will be
received and the amount can be measured with sufficient reliabiliiy.
lega¢ie.f
Donations and legacies ar¢ wognised on a r¢ceivabl¢ basis when receipt is probable and the amount ¢an be
reliably measured.
Deferred incon
Deferred income represents amounts received for future periods and is released to incoming resources in the
period for which. it has been received.
Expenditure
All expenditure is recognised once there is a legal or constructive obligation to that expenditure. it is probable
setilement is required and the amount can be measured reliably. All costs are allocated to the applicable
expenditure heading that aggregaies similar costs to that category. Where costs cannot be directly attributed to
panicular headings Ihe}' have been allocated on a basis consistent with the use of resources, with central staff
cosis all￿ated on the basis of time spenL and depreciaiion charges allocated on the portion of the asset's use.
Other siipport costs are allocated based on the spread of staff costs.
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Stopso UK
Notes to the Finaneial Statements for the Year Ended 31 March 2023 (continued)
Churiluble acliviiles
Charitable expenditure comprises those Costs incurred by the charily in the delivery of its activities and services
for its beiieficiaries. It iiicludes both costs that can be allocated directly to such activities and those costs ol. an
iiidirect nature necessary to support them.
Taxation
The charity is considered to pass the tests set out in Paragraph I Schedule 6 of the Finance Act ?010 and
therefore it meets the definition of a charithble company for UK corporation lax purposes. Accordingly. the
charity IS Potentially exempt from tsxation in respeci of income or capitsl gains received wiihin Ca￿gorieS
covered by Chapier i Part I l ol- the Corporntion Tax Act 2010 or Sectioii 256 of the Taxation ol. Chargeable
Gains Act 1999 to the extent that such income or gains are applied exclusively to charitable purposes.
Trade debtors
Trade debtors are amounts due from customers for merchandise sold or services performed in the ordinary
course of business.
Trade debtors are recognised initially ar the transaction price. They are subsequently me&sured at amortised cost
using the effective interest method, less provision for impaimient. A provision for the impaim)ent of debtors is
established wheii theTe is objective evidejice that the charity will not be able to collect all amollnts due
according to the original temis of the receivables.
Cash and eash equivalents
Cash and cash equivalents comprise cash on hand and call deposits, and other short-temi highly liquid
investments that are readily convertible to a knO￿,n amount of cash and are subject to an Insi￿lfi¢￿7it risk of
hange in vallle.
Trade Creditors
Trade creditors are tsbligatitsns to pay for goods or services that have been acquired in the ordinary COUT5e Of
bu5iiies5 froin suppliers. Accoiints payable are cla55ified a5 CUTrent liabilitie5 if the charity does Iiot have an
unconditional rigFht, at the end of the reportii)¥ period, to defer settletnent of the creditor for at least twelve
nionths after the reportin¥ date. If there is an unconditional right to defer settlement for at least twelve months
after the reporting date, they are presented as non-current liabilities.
Trade creditors are recogi)ised initially at the transaction price and subsequently measured at amortised cost
usin¥ the effeLtive interest metl)od.
Fund strncture
Unrestricted income I'unds are general funds that are available for use at the trustees, discretion in furtherance of
the objectives of the charity.
Resiricted income funds are those donated for use ill a particular area or for specific purposes, the use of which
is restricted to that area or purpose.
2 Income from donations and legacies
Page 11

Stopso UK
Notes to the Finaneial Statements for the Year Ended 31 March 2023 (continued)
Total
2023
Total
2022
Donation5 and legacies.,
Donations from individuals
1,998
1,998
3 Income fro￿ charitable activities
Unrestricted
funds
General
Restricted
funds
Total
2023
Total
2022
Memberships
Coi)ference incoine
Referral fees
Training fees
Donations & grnnts
8,124
6,648
24,880
2?,991
8,124
6,648
24,880
22,991
11,889
5,985
7,125
24,Oi8
11,889
62,64i
11,889
74,5i2
55,258
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Stopso UK
Notes to the Finaneial Statements for the Year Ended 31 March 2023 (continued)
4 Expenditure on eharitable activities
Unrestricted
fuNd5
General
Restricted
funds
Total
2023
Total
2022
Advertising & promotion
Eypenses
Insurances
General administration
Businegs development
Piofessional services
Accountancy
Fundraising
Therapy fees
Trainer fees
Website
Paypal lees
Venue hire
265
378
378
1,485
227
143
19,446
143
20,844
16,680
1,395
16,680
19,283
1.369
,129
18,630
15,179
18,176
5,933
662
10,617
10,617
10,629
11,790
17,145
9,785
998
1,277
54
41
17,145
6,339
998
1,277
54
41
3,446
Interest payable
Travel
57.71
i2,15i
89.864
5 Independent ex#miTher's fees
During the period, the fees payable (excluding VAT) to the charity's independent examiner Community
Accounting Plus are analysed as follows.
2023
2022
Independent examination
570
520
570
520
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Stopso UK
Notes to the Finaneial Statements for the Year Ended 31 March 2023 (continued)
6 Taxation
The charity is a registered charity and is therefore exernpt from taxation.
7 Debtor5
2023
2022
Trgde debtors
Prepayments
Other debiors
405
3,990
2,577
5,310
1,600
8,292
5,590
8 Cash and cash equivalents
2023
2022
Cash at bank
58,486
75,166
9 Creditors: amounts falling due within one year
2023
2022
Trade creditors
Other taxation and social security
Other creditlirs
Deferred income
5,20i
5,809
779
624
8,200
2,691
8,872
16,766
15,412
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Stopso UK
Notes to the Finaneial Statements for the Year Ended 31 March 2023 (continued)
10 Funds
Balance at
31 March
2023
Balance at I
April 2022
Incoming
resources
Resource5
expended
Trnn5fer5
Unrestricted funds
Geueral
(ieneral fund
32,020
{57,711)
(3.000)
33,952
Restricted funds
Tesco
Lottery fund
Leicester fuiid
Ses5ion5 fund
13,198
20,126
{10,138)
{20,126)
3,000
6,060
i 0,000
1,889
i 0,000
(1.889)
Total restricted funds
33,324
11,889
{i2,153)
3,000
16,060
Total fund5
65,344
74,532
(89.864)
50,012
Balance at
April 2021
Incoming
resources
Resources
expended
Balance at 31
March 2022
Unrestricted funds
Gemerul
General fund
30,(144
57,256
(55,280)
32,020
Restrieted
Tesco
Lottery fund
A￿ardS for All
17,832
40.000
550
2,000
{4,6341
(19,874)
15501
{2,0001
13,198
20,126
Chester
Total restricted funds
60,382
27,058)
i3,324
Total funds
90,426
57,256
(82,3?8)
65.344
The specific purposes for which the funds are to be applied are as follows..
Te5co- To provide free therapy to survivo￿ of sexual abuse.
Lottery - This tnoney 15 for t￿ploY11]g￿ the services of a busines5 tnanagFer for the charity to identify fundraising
opportunities aiid business development.
Leicester- To fui)d services in the Leicester area.
Sessions - Individual donations 10 fuiid Iherapy sessions.
Chester- To fund free therapy for those who believe they may commit hami to others.
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Stopso UK
Notes to the Finaneial Statements for the Year Ended 31 March 2023 (continued)
The iransfer from the General fund to the Tesco fund is to CL)rrect a mis-allocation in a prior periLXI.
I l Analysis of net a55et5 between fund5
Unrestrieted
2023
Total funds
General
Restricted
Cu]Yent assets
CuTrent liabilities
50.718
(16,766)
16,060
66,778
(16,7661
Total net assets
i3,952
16,060
50,012
Vnrestricted
2022
Total funds
General
Restricted
Current assets
Current liabilities
47,432
(15,412)
33,324
80,756
15,4121
Total net assets
32,020
33,324
65,344
12 Trustees remuneralion and expenses
No tru5tee5, nor any persons connected with them, have received atjy reinuneratioi) from the charity during the
year.
No trustees have received any reimbursed expenses or any oiher benefits from Ihe charity diiring the year.
Page 16