Compauy r¢si31rutiort rtumb•r. 10598051
ch￿Lty r¢gi8tration llumb¢r'. 1171570
Emmaus Staffordshiie
{A company Ilmited by guar8nteel
AJlluai Report gnd Fittartcid Stutem¢nts
for th¢ Y¢arEnd¢d 30 Jwie 2023
Daryl Denson ACMA
Dudgott Centr¢
Hope Street
Stoke-on-Tr¢ttt
STI 5DD

Sthrfordsknir¢
Contollts (conlinued)
R&fEreoce and Administrative Details
Tn]stees' RBport
2toS
Irydepèttdertt ExamkfL•e$ R•port
Statttt)ertt ef Financial A¢tiviti¢s
7t08
Bda[)￿ Sh¢¢t
9tr$10
Staitment of Ca51LFIows
Notes lo the FiL&n¢i81 St8lements
12to28

Emmaus Stafford3hlre
Reference and Adminl$trative Detalls
Trost¢
Dr C L Ashworth. Ch&ir
Nlr S B Farrar. Tr￿S￿rer
Mr C W Harris
Mr G HALmond
MrRL Sp¢ar¢
Mr T M StepheJJson
Mr P J M Mcshane
MrA J Gilbertson
I t*Adersbip John Webbt, Executive Ltad and G¢nerai Manag
Alan COK Warehouse ma￿ager
Natiskn Cooke, R¢tsil Manager
T¢om
Cb9rIty Regl9tvdtlo￿ L¥umbeT
1171570
Company Reglgtr4tlon Number
10598054
The ch￿ity is uicorporatEd in Ellgl&rtd and Wales.
Senate Hou8e
losi#h W¢dgwwd Street
Stoke ort TT¢rtt
Staffs
STI 5NT
Re%fJtered Offloe
lud¢pendeDt Exatsiner
Daryl Denson ACMA
Dudso]J Centre
Htspe Stre£¢
Stoke-on-Tr¢nt
STI 5DD
Banke
CO￿pEr&I1Ve Bank
Page I

Trustelsl Report
The t￿￿tees, who are dir¢¢¢ors for the purp05¢s of CDmpaDy law, preyent the a]JThuAI r¢port log¢th¢r with the
rinan¢ial 5tat¢m¢nts of the charitabl¢ ¢ompauy for the year ended 30 June 2023.
Objectivu a￿d get1￿tieS
OW¢cts and¢rln
The prin¢ipal objectivg of the charity 18 th¢ advalle4fft¢nt of 4ll¢viation and r¢lief of p¥erty. kndsbip and
distress to those iTh Eleed.
Ejrmaus exists to provide hom¢less poople (knewn in Emmaus &% "Comp8ttions') with work, &cwmmodation
and the ch&ncc to regwll their self-re8pe¢t and to pur8ue their liveB in the cots)munity or in tht outside world.
Emmws Staffordshire 13 currendy WQTkillg toward5 thts objective through off¢rll￿ tr&inillg employllL¢nt
opportsJnitse8 forTrvhich it has obtained additiouaj funding this year.
The trustees hay¢ paid due r¢gaTd to guidanc¢ issued by tile Charity Commissioll in d¢cidiThg wbat adivities th¢
harity sI￿Uld undertske.
Public beMeJ7È
Emmaus Staffordshiro ¢ontinued our WO￿ to addr￿ th1￿1¢ povety Ind yupport loc￿ people lo mov¢
t)wards &mor¢ Susta￿ble futu￿.
Th¢ trLJSke8 Cotth that th¢y have compli¢d with the rWUir¢N￿￿ts of 8e¢tiott 17 of the Charities Act 2011 to
have due r¢gard to the public b¢n¢fit guidance published by the Charity Commission for Eogland and Wales.
Aehlevements And perforrn8n¢e
Over the y¢4r WE have worked Iwd to devtlop OUT new war&ou5¢ and ietail pr¢mi$e¥ to enablc u3 tt> (￿￿tinUe
OLW work to &ddreg8 ffiJrniturE poverty and support loGal people to move towards a mor¢ Sustsinable futtwe. ITh
May 2Q23 our shop won th¢'su8tainability award" at the annual Potteries CeAtre tenants awards for our work in
promoting recycling within die cetrtre.
. Over the year we provided egsential furnilllre to over 600 famiiÉe& ov¢r 1,500 ind5vidu￿3. who w¢r¢ referred
to us through lo¢al PAttrers.
b We sayed over 400 tomcs of waste from landfill through the colle¢tion of nearly 9300 hoiisehold items for
dollation and re$aEe.
. We continued to provide employment and trainin8 Oppo￿nitieS within the organisatioll with the ¢T¢Atioll of
Iwo new Warehouse Op¢ratiYe appretLtice roles and RetsiI Apprettt1￿ rolo. Our ¢Bay p)st, held by a
pr¢Yious long-torm voluni¢er, w&8 made a pemanent P05t.
. We obtained Lottery t[￿￿7￿g to ¢orttinue to riin wDodworking workshops to build skills alld ¢mployobility. We
worked with a local ait¢rth•tive education providerto extcnd u¢¢ess to tbese to 14-18 year old stud¢Dts out8id6 of
iIiLinstr¢am education.
From Octob¢r ¢0 December 2022 w¢ und¢rtook a project with Keele Univ¢rsity in wbiGh physiotberapy
stud¢ryts ran sessions in th¢ workplaff fi)r stsff gnd VDIuAte<rs to improye workfrjrce health and r¢duc¢ ii¢kn¢ss
ab8erL¢e.
FlllanciAI review
Th¢ financial r¢sultS 2re Sho￿ on pa8e3 7 to 28 of this rwrt.
Page 2

Emmaus Starrordyhir
Trustees, Report (continued)
Policy r£wves
Tbe i'estrves policy was reviewed durillg the year, and the board a8reed a tarset of £75,000 in free res¢Tves to
aohieve the alTllS of enabling financial st8biTity, TlleEtin8 the requirem¢llts of workin8 capital. and prov5din8 a
¢usliiDn ag8lllSt fluctu&tioll$ in incon¢. The b)ard will revitw the level of free wervés &￿Ualty in Ilne with our
a¢tivities ¢ommitments.
Attht p¢riod ¢nd tkn Gharity had totrI fitnds of £176,396 (2022.'£161.858)
Restii¢t¢d fund8 Wtre £29,41412022.'£60,942)
Free re8crv¢s Df £145.678 (2022..£99.202)
Prindp&lfundingSVMrce3
Wbilst th¢ majority ol income com¢5 from y￿e8 of donated goods pluy the butky wute servi¢e income
and fimithrc r¢fetrn13 incomE, w¢ hav¢ had 8ome trxternAI grant5 during the yEar. Tre were mainly ￿0¢18￿d
with supporting local f8￿111¢5..
£44.46712022:£40,070) from Steke on Tr¢nt City CounGil
£1127512022:£6,l25) from Stathrd3hire Commu￿ltY Fouttdation
£21.940(2022.. £14.63(Trl from Enjmaus UK
nii12022..£22,8961 from Staffordsl)ire Chambers of G)mtneree
nil(2022..£1250) from St Jul¢s Thotn Charitable Twt
nil(2022..£ 5001 from Groundwork L
nil{2022.'£ 400) from Neisbknurly
£3,004){2022'. nil) from Dept of EducatLori
£30,0fj0(2022'. nil) from Big Issu¢ ItLV¢3t
Inveslmentpouey 8ndobJecrtv
Under the Memr)randum ond Articles of Associ&tion. thc ¢hwity has th¢ power to iTLV¢St in any w&y tht trustees
sh. The ttu5tees h2ving regard to liquidity roquirements of th¢ ¢harity and to the r￿erveS policy, hav¥
operdtcd apoli¢y of k¢¢ping available fi]ndy in att inter¢8t4)caring dep051t accoujt with th¢ aim to a¢1￿¢ve a rate
of d¢posit interest at letstmat¢h¢$ or exceed8 inflation.
The tsustee8 hav¢ ￿sesSed the m8ior rigk5 to wbi¢h the ¢harity is •XPCp$¢d and are s8ti8fied that systent% ar¢ in
place to Hjiitigate eyosur¢ to the Ma1￿ risks.
Ptsn8for fvture periods
ALTru tthdkey obJe¢¢lveslorfuthrepgrlodv
A key aim for Emmaiis North Staffordshir¢ ¢ontinue3 to be the establiskment Df art Enllnaus community
providing accotrtmodation and me8JJillgfvl work for people who have &%p¢ri¢n¢ed or ar¢ a¢ ri8k of
hom¢le59n¢ss. In the early part of 2023 we W¢T¢ in conversAtion with a local hou8ing ass0¢iation regarding tw
of th¢ir properti¢s but unfortunatcly d¢cid¢d we could ￿1 pwsue these due to finawitl con8ideTations. Wc
a¢tiv¢ly exploring other opti0115 to ej￿ble us to aGhieve this.
Along5id¢ thi4 we are keen to increase aWfjT¢ne38 of tbc issu¢ of furniiur¢ poverty th￿tCh ig poorly ￿8￿15¢d
but ser10i￿1Y thcts tknusands of local people. A particular focus is on children have no bed to sleep i
WLd wc are exploring links with o&ercharitl¢8 etigagcd with tbis issue around the country.
In order to contittue our work to support local P¢Dpl¢ we also necd to continue to devtlop th¢ income-gen¢rAting
8$p￿ts of th¢ organisatiots to provide resources and employment attd traillittg oppor￿nitieS.
Page 3

Emmaus Starrordsblre
Trustees, Report (contillued)
Use of volunleers
As A ¢harity, arE very reliant on volunteers to help our ¢nt¢rprise op¢ration eaoiL day. Wtt haye a regular pool
of oround 40 voluntgern from a whole variety of ba¢kwulld$ and need8 wh0 5UPPOrt every p￿1 of pur cbarity.
ltt return, we not only ¢ov¢r bu$ trnvel, provide free lunches, deliver an exte]JBiV¢ range of free traitting for
I volunt¢¢rs, we encourage atl vtslLfftt¢ers to supp)rt eacli other, to create au in¢lusive worksng environment for
¢￿￿vOlu[Ltt¢r to getuie most out of their time us.
Trusteey and offlc•rs
The tru5t¢r$ ond offic6ry servttsg dwittg the year and since the year end wer¢ &s follows,.
Tru8t¢¢s'.
Dr C L Ashworttl, CkniT
Mr JB Fgtt&r. Tr¢osur¢r
Mr C W H8rris
Mr G H Aimolla
fr R L Speart
Mr T M Stephenso
Mr F J M m¢S1￿￿e
Mr A J Qilbert8on
Mr P M Francis {r¢si8ned 118eptember 2023)
S¢niorM8nagemellt l L£adership
John Webb¢ B￿cUtiVe L¢ad attd GttrLeral Manager
Alan Cox, Warehouse Manager
Paul Moffat, Salt8 Supervisor (resigned 10 Novtmb6r 2022)
Natisha Cuok¢, R￿&15 M￿&Ser lappoiuted 4 September 20231
S¢rncture> governancE aod mal￿ge￿ent
Emniaus Staffordshirc is a Kgist¢r$d ¢barity ttnd a Cotthptttty limitsd by 8vllratttse ind is 8overned by tts
M¢morondum and ArticlÉs of Association.
As a r¢8i8wed charity th¢ wmpany is non-profil ll￿￿ng pmd its dir*torJ arLd t￿￿t¢￿S are Volunte￿5.
Tkne ¢ompally was ￿orpOrat¢d on 2 February 2017. without shar¢ capita] and it 19 IioLii¢d by 8uaralltee. to a
m&¥imum £1 eatty payable by its members. TILe Memornndum Articles of As30¢i￿lOrI probibii distribution
of surpluses otber tball to Emnthus UK.
RecrAllmenl andé4JpolrtlMwn(oftrusle
The trustees sto #ppolltted by the mernher.4 of the orgsnisation at tbe Annual General ￿ettir18. Di￿￿tors1truSte£g
v¢ the power ullder the gov¢ming documettts to CO-QPt Individ￿1$ who 8UPPOrt th¢ obj¢cts of the organisation
to rdi Vat￿$1¢S on the Board of TrL￿t#s.
Pag¢ 4

mmaus Stafford8hlre
Trustees, Report (coDtiDued)
amdtrulnlng of ¢ruste
AS part of their induction, new mL%tees ar¢ provtded with infoTttLatiOU about th¢ Fharity, the ￿ana￿erneDt
tNctur¢, its history Aud working practices. Ill additioT4 th¢y ar¢ 41$0 provided with copies of the MemorAndwn
And Articles of As8oci&tion plu5 I￿¢r￿LatiOn from th¢ Cbarity Conunt￿loll and CotllPAnie8 House tegarding th¢
duties and r¢spotL5ibilities of directo￿ and trrjstees,
Arrangementsforseftlrtg key managementpénonnelrentuneratlo
All sdaries ar¢ reTriew¢d by the Board of Trustees on 8n annual b4sss ID April.
Organtsotlonulstruelure
Tbis iq a local ¢harity ￿lch is th metnber of Emmau5 tttt•rna¢tDnal, & Worldwide organis&tion with ov¢r 425
¢OnllllWLitj￿ 30 of *tiich are in tiw UK.
Diy to day mana8ement responsibility rests with th¢ m8na8em¢nt tsam. whith rep)rt8 to the Board of Tru8t¢es.
The Board of Trustees m¢¢ts on are8L￿ar b&sis.
SmaIl ¢ompallies pttyv181on statement
This report bE¢n prepared ￿0¢dart¢e with thc 5rnall compallkeB r¢gim6 under the Co]Dpauie8 Act 2QO6,
The Atinual reportwas approved by th¢ trustee f th¢ charity on................... and sigoed on its beha]f by.
Dr C L Ayhwvrth
ge5

Ejllmaus Stafford5hlre
Independent Examiner's Report to the trustees of Emmaus Staffordshire {'the
Company,)
I rEPOrt to the Glwity trugtses Oll my examirtation of the K¢ounts of th¢ Company for th¢ Ye￿ ended 30 June
2023.
RupoDyibiliti* ¥nd basts of rewjrt
Ay the cjwity ll tru*tèè& tsf the forLpADy (Rna Alqtt 114 directaT.4 for the purposes of company lawl you u¢
responsible for the preparntion of the accouttts sn do¢Ord8n￿ with th¢ requiremellts of the Compani¢9 Art 2006
IYb¢ 2006 A¢t').
Htsving satisfi¢d myself that the accoulits of the CoMp￿Y are not wuired to be alldited under PArt 16 of the
2006 Ad and are eligible for iiid¢p¢ttdent examination, I report in respect of my examinatitsu of your clLarity'
accounts ￿ carried out under 8ection 145 of th¢ Charities A¢t 2011 ('the 2011 Act'}. In caryitt8 Out my
examittation I have followed the DirKtions given by th¢ Charity Comrnission under section 14515Xbl of tkn
2011 Aol.
Indep¢lld•nt eJ*mlner's 8tAtem¢nt
Slttce the COMP￿￿8 gross in¢one exceedcd £25U,()00 your exatniti¢r must be a m¢mber of a body listed i
8e¢tioll 145 of th¢ 2011 Act. I Confirm that l am qualified to undertake th¢ &xamination bttausc L am 4 member
of ACNL4, which is Oll¢ of the listed bodies.
I have ¢ompl¢ttd my eXA￿lD￿tiO￿ I confimi tbat no matters hav¢ Come to my &ttelltion in cottne¢tion with the
¢xaD]ina¢ion giving m¢ C&USE to b¥likv¢'.
l. aceoimting records were Dol kept in r¢spe¢t of ETllttEaUS Staffordshire 93 fEquired by section 386 of the
2006 A4 or
2. the aGrouDts do not accord with those records. or
3. th¢ a¢¢ourtts do ttot cotllply with tb¢ accounting requirements of s¢¢tien 396 of thE 2006 Act other thjn
8ny rcquirement that the accounts giv¢ a'tnw and fair view whiclL IS llot 8 matter ¢onsider¢d ￿ peri of 2n
ind¢pendent ¢X￿inatiOn, or
4. the accouuls hive not been prepared in accordance with th¢ methods thd principles Df the Ststenient of
Re¢ommended Pra¢eiG¢ for accountlLJg and r¢portillg by charities lJpplicAble to Gharrities preparing th¢
accounts in aCcord￿C Thith th¢ Fill￿¢191 Rewrting Stsndard applicable in tlie UK and Republic of
Irel}￿d (FRS 102)].
I have no ¢on¢¢rn8 aud have come no other matterg in ¢oDnection wsth th¢ ¢xamination to which attention
AhDuld be drawn in this report in order to enable a proper U￿er￿tandIllg of ibe accounts to b¢ reached.
Daryl Denson
ACMA
Dudson Centte
Hope Street
StOk￿rL-TrCrtt
STI SDD
Date.. ..4Ja12Q24.....
Page 6

mmaus Staffordsbir
Ststement of Fin•n¢lAI Activities for the Year Endod 30 June 2023
UDcludillg Incothe aDd Expenditure Accoupt StAtement of Total Reoognlsed GAlns
and Losse5)
Unre5tTicf¢d
fun
R￿trACt￿d
fun
Totgl
2023
Note
Incom¢ Lndowments Krom:
Donations WEd I"gaci¢y
Charitabl¢ a¢tivitl¢5
Investrnent Income
61,001
395,695
518
81782
143,783
395,695
518
Total ittcome
457,214
82,782
539,996
Exp¢ndafyre om:
Raisin8 funds
Charitable artiviticg
{236,998)
174,150
(114.310)
1351,308)
174,150)
Total expenditur6
Net 1neomel{¢￿e￿dLtllre)
Neg movement In I￿lld8
411,1481
Il14.310
525,458
46,066
31.528
l4,538
46.066
13l,528)
14,538
RegoneillatfoD of fund8
Total tllltds brougbt fottv8rd
Totsi fullds trdryied forward
100.916
60942
16l,858
22
29.414
176,396
Th¢ lltst¢s ory pagcs 12 to 28 forni all int¢gral p8rt of thcse EJLanciai ststements.
P88e 7

Emmaus Staffordshlre
Statement of FlnAncial Activities for the Year Euded 30 June 2023 (Colltinued)
(tncluding Income Ydnd Kxpenditure Accoullt P4lld Statement of Totsl Reeogllised Galns
nd Lo￿e8)
UNrestrlotÈd
fuDd5
REStrlcted
fullds
Total
2022
NotÈ
roThe and ￿n￿0￿MentS from:
Donations and IGga¢i¢s
Charitsble a¢tiviti¢s
In￿StMent in(KJn¢
4,654
328,985
49
83,721
88,375
328,985
49
Total income
333 688
417,409
ExpEtsdlture on:
Roisittg funds
Clwltable a¢tivitie8
(233.942)
164,249
(81.7811
1315,723)
164,2491
Total ¢xp¢llditUTe
Net (expendÈtwryitLcoJne
Net thov¢m¢nt in fimds
398, I9L)
81,781
479,972
64,503
1,940
62.563
(64,503)
1,940
(62,563)
Total funds brought forward
Total fvnds cattA¢d lorward
165,419
59,002
224.421
22
100,916
60,942
161,858
All of the charity'5 activities deriTr'c ¢Trnuttuing operdtiong durills the &bovE two prriuds.
Th¢ fuDd8 breakdown for 2022 is 5hDWn itt t￿le 22.
Th¢ ]Jot¢s oll pa8es 12 to 28 fDrm 2L integral Part of th¢3e fithanGiAI Statements.
Pase 8

Emmaus StarrordJhlr¢
(Registration number: 10598054)
Balanee Sheet As at 30 June 2023
2023
1022
Note
Fixed a￿tt$
Tangibl¢ asy¢ts
lttv¢strnents
14
15
9257
12,321
9,259
12.323
c￿￿llt •55ets
Stock8
Drbtors
C25h at b8llk ar>d Ill hand
16
17
18
19,139
73,837
175,172
lQ.698
71.111
156.070
268,148
237,879
136,108
Creditsr¥: ATnouknt$ l&UiThg du¢ within olle y¢4r
19
162.2941
Net currellt guets
205.854
201,071
Tot#1 ￿set1 less current Ilabulties
215,113
213.394
Credltor8: AJDounts fal]iM¥ due after More thall one yeor
51,536
Net assets
176,396
161,858
Funds ofthe charity:
Restricted ittLome funds
Kestricted funds
22
29.414
60,942
Unrestricted Rncome fund8
UnTe8trided fLu￿S
146,982
100,916
Tot*1 tunth
22
176 396
161.858
For thE finanGial y¢ar endithg 30 Jull¢ 2023 the clwity Nvas ¢ntitId to ex¢mption from audit under sectiork 477 of
tho Compani¢s Act 2006 r¢lating to sm811 cotuparies.
DireGtorg' responsibilities:
ThG mettthers tJave not required the eharity to Obta￿ audit of its ￿cOunts for the year in qu&4tion in
a¢wrda]Lce with se¢tion 476. and
The dlrcctorn a¢kllowledge thtir rE5ponsibslitie8 for complyiu8 with th¢ requiremertts of the Act with r¢spe¢t
to A¢LOUlltillg r¢cords and the preparatiotl of accouDts.
Th¢ notes onpages 12 to 28 forrd an int¢gral part of these fjD8Lwial statem¢rnts.
Pagt 9

mmaus Staffordshlre
(Registratioll number: 10598D54)
Balanc¢ Sheet as at 30 June 2023 (contittlled)
The fjn8ncial 5tatsm¢nts on pages 7 to 28 were approved by ¢b¢ tswtees, and iuthoriyed for i&gue o
. alld 8i8ned on tknir behalf by..
Dr C L Ashworth
TNst*e
Th¢ notss ort pag¢s 12 ty 28 form ￿ inkgrnl part of these finan¢ial statements.
Pag¢ 10

Emmaus Stafford5blr
Statement of Cash Flows for th¢ Year Ended 30 June 2023
2023
21)22
Note
Cash fiows frtsm operatillg i¢tivltl
Net inc0￿e1(￿endity¢l
AdjustsnetLts to ¢a8h nowy from nort-￿￿h Items
Depr¢ciAtion
Invest￿ellt L12GOlll¢
14,538
(62.563)
3,574
518
5,021
49
17,594
(57,591)
WorklDg upital Hdjustments
16
l7
19
20
18,441)
(2.726)
{I,827)
27,313
(3,552)
{29,7671
14,122
In¢rease in debtor5
IDEGre&s¢yin¢re85e itt crcdtttir8
Increase ID deferred income
Net cpsh floivs from operating aGtivLties
CA8h nows from Inves￿llg a¢tlvltles
lllt¢rEst r¢¢¢ivable and similar in¢ome
Pur¢h4* of tallgibl¢ fixed assets
Netcash flow5 from itivesting ￿tiVItIe￿
31,913
76,788)
Sl8
sio
49
14
49
Cash tl¢w& from fu￿ntIti8 a¢tiviti49
R£p4ymettt of loAns and borrowing8
Net inCr¢as&(decrefi￿) in ¢osh and cssh equivalents
C&qh and casEL ¢quivaiettts at l July
Cth cash equivvjents ￿ 30 JI
19
(12,A19)
568
19,102
156.070
176,171)
232.241
175,172
156,070
All of th¢ ￿Et flow8 are dviv¢d frojn continuing op¢rations during th¢ above two periods.
Thg notss on pag¢s 12 to 28 form att illte￿￿ part of these fin8ucial statem¢nts.
Pag¢ Ll

bmmaus >itat"lordshire
P4otes to the Finall¢l#l Statements for the Ye4r Ended 30 June 2023
I Charity itiths
The ch8rity is limited by Buarattte¢, in¢orpornted in ED8l&nd alld Wales, and WD5¢qu¢ntly does not hav¢
apital, Eacb of the kn8tee5 is liabl¢ to wDtrlbute an atttount llot ¢x£eeding £1 towards th¢ assets of tkn cEwity
Sn tho ¢veTht of liquidation.
Th¢ &ddress of its re8l5tsred officc is..
Sell&ts House
Josiah Wed8*wd Street
Stoke Oll Trenl
Staffs
STI 5Wt
2 Af¢ouNthig policle5
SllmmoTV of slgnlt7can¢ aeeouDting policles and key aceountillg estim9te8
Thc principaL Ac¢ountiDg policie8 &ppli¢d in the prep8rntlon of these fin8￿Gla[ stat¢m¢n¢s gre set out below.
These policies hav¢ k¢tt wnsistsntly 4ppli¢d to ail the years prcs¢ntci ukless Oth¢rwi8e stated.
sthtemeD¢ of Compliance
The fjnanciai stat¢m¢ttts hav¢ be¢D pr¢pared ill accordallcE WIIIL A¢¢ounting and Reptkrting by Ch￿Iti£￿'.
Stat¢tllent of Re¢ommended Practice applicabl¢ to Gtwities pr¢paring their acwuttts in accordancc with the
Finsncial Reportillg SlatLdard Applicabl¢ ID the UK alld Repub]i¢ of Ireland IFRS 102) (¢aective l January
2019)- {Charities SORP (FRS 102)). the Financi81 R¢poi'ling Standard ￿p]I¢&ble itt tILe UK and R¢publiG of
Ireland (FRS 1fr2). They also comply with the colnp￿￿1E￿ ALt 2006 und cI￿lI1¢S Aot 2011.
of prepiratio
Ernmaus St&ffoTdshire meets the defulition of a publi¢ b¢nefit entity under FRS 102. Assets aDd liabilities are
Initially recognised at histori¢&l wst or Lransaclion value unless oth¢rwi3e 8tsted in the r¢levant accountillg
policy ttot¢s.
Golng colloeiit
The tsvytees conxidEr that there bre no material uncertaintits abo￿ thr ¢knaritls ability to conliniie w • going
coIicetn any 8AgrtificAllt art￿ o(unG¢rtainty that aff¢¢t the ¢￿Ing vdu¢ of assets h¢ld by the ch4Tity.
IDcome >￿d thdowments
ALI income is recognised once t&e charity h*$ ¢trtitlem¢nt lo the income, It i8 probtble that th¢ *ttcome will be
re￿ived arkd the atnoullt of the illcDme ￿CeiVable can be measured reliably.
Gropxv re¢avoble
OT8nts are re¢tsBnised wheu the cllarity has an elltitlcmtnt to the fuThd8 aDd any condition8 linked to the
have be¢n meL Wliero perfornwi¢¢ ¢onditions ￿ attached to the graTht 8JJd ar¢ yet to be Tllci th¢ iD¢om¢ is
rKognised as a liability and included on the bBlarLce 8heet as d¢ferred income to be r¢leas¢
P88e 12

Emmaus Staffordjbirc
40ts* to the Financial Statemellts for the Year Ended 30 Jvne 2023 (¢otttinued)
Deferredh￿0Me
Deferttd income represents amounts r¢ceiv¢d for future period5 attd is rel¢8$￿ to inc0mu￿ r¢sour¢es in the
perlod forwhich. it has been received. Such income is only d¢ferred Whe￿..
- The donor Sp￿l￿e6 that the grant or donation must ottly bo used in fvture accoulltitig p¢riods; or
- The dotLQI inipoaa wndition& Jnu3t be met b¢focr thF ohtirity b*￿ uncondition41 Orrtitl￿ttOllt.
Expendlthre
All ¢Ypenditure is recowused on¢¢ is A l¢gd or constructive obligation to expendsturA It is probdbl¢
settlern6tit is requi￿d and the amount ¢8n be Me￿Ured reliably. All ¢08ts are allocat¢d to the applicabl¢
exp¢nditure h¢aLling that agsr¢8ate sltllil￿ costs to th&t GRt¢gory. Wh6r¢ costs c4rLnol b¢ directjy Attributed t
particular h¢adings they hav¢ b¢¢n allocated on a basis COllSi8tsnt with the use of re5DurRs. witb central staff
Costs a]loGated on the b&gis of tim¢ 8pcnt, and depreciation char8cs &llocat¢d on the portE(Fn of the ass¢t's us¢.
Othot support COSLq are all￿￿ted bgs¢d ou the 8pr¢8d of staff costs.
These are costs itt¢urr¢d in att￿th8 voluntary income, th¢ management of invcsPJu¢nts and thos¢ illcurred in
trading eGlivitiu that rrise funds.
Chqrftoble ocllvEties
Charitabl¢ expendikn comprises those costs iucurrgd by the cb8rity in the delivery of its activiti&% and $ervie¢8
for bencficirries. It includeA both cost5 tbllt tan be albc&ted directly to sllch aGtivitie5 and thos¢ ¢08ts of
iodireGt nature n¢¢¢ssary to 3llPPOrtthem.
Gov¢rnTrnce costs
These include the costs attributabl¢ to the ch&rity's compliance with ¢onstitutioJ)￿ and statutory rqllirement4
includittg audiL 5trakyc management and truste¢s nieetillgs and reimbursed expe￿￿.
Government grants
Govcmrnent grdnts ar¢ t¢¢)￿lI8ed based on the accnial model and are measured at th¢ fair vajue of the ttyset
received or receivable. Grants &ro ¢1&85ifi¢d ￿ r¢latins ¢ither to revenue or to assets. GraDts relating to Teveou¢
recognised in ithcotne over the period in whÉ¢h the relatsd ¢osts ar¢ recogni8ed. Grallts r¢l&tillR to &55ets arr
rewgDised ov¢r the expected use￿1 lifr of th¢ a88¢t. Wb¢re part of & grallt relating to ￿ &8sel is (kf¢rff<L it 15
re¢ogtsi3ed ￿ defrrred inconw.
TAxatlon
The clwity i8 ￿nSIderEd to P&$8 the tests set out ill Paragraph I Schedule 6 of th¢ Finan¢¢ Act 2010
th¢refDr4 it meet8 thc definitioii of & ch￿l￿bI¢ ¢ompany for UK corporation lax pllrposes. A¢eodJn8ly, th¢
¢INiry 18 Potentially ¢xe]npt from tsxation in respect of irL¢OEnE or ¢apit818aitis rEc¢ived withith categori&8
coyersd by Ch4pt¢T 3 P8rt I l of the Corporntion TILX knt 2010 OT Section 256 of the T￿stion of Chargeublt
Gairts Act 1992, kn the extent tbat such inrome or gains ar¢ Applied exclusively to cbaritable purpose&
Tanglbk fixed assets
Individual Sxcd asscts Costing £500.00 or more are initially recorded at cosL les& any Subsequent awumulated
d¢preGiatlon And 5ubsequert ￿uMUlated Itnp&irment1055e8.
Pag¢13

Eillwaus Slaffoi"dèliii"¢
Notes to the Fillan¢ial Statemellts for the Ye4r Ended 30 June 2023 (contittued)
Depreciatlon amortlJAtlon
Deprert&tion 18 provided on t8ngiblo fixod assets 80 as to ￿lt0 off th¥ ¢ost or vuluatsoTh, less any e8tiffl4ted
residud v8lue, llver their ¢xpgthd usEful ￿￿D￿Mi¢ lif¢ as followJ.'
Asset class
Computsrs
Vehicles
DtpreeiAtIoll method rats
20D/a strai8bt lint
2S% reducing b￿ance
Fli¢d Bjset inve%tmellts
Fixed ￿et Invegtment¥ other thatt progr2mrlle related investments, aT¢ includEd at market value at th¢ balan¢¢
sheet date. Realised gains 8nd losses oll iDvestmeDts &re ¢alculatEd as the di(f¢rence b?tweeJ sales profj¢¢ts and
their mark¢t valuc at thc start of die yeot, or their subsequent ¢03L and are chaT8ed or ¢redited to the Statement
of Financid A¢tivities itk the period of disposal.
Unr¢alis¢d gains aud Ioss¢5 repr¢wit the mov¢rrtent ill tnErket %'alup$ durin8 the yeHT and aro ¢r¢dit¢d or
charged to the Sratement of Financial Activitie8 b&sed Oll the mark¢t valu¢ At tlLe year end.
Stock
Stock is stated at th¢ lower of cost or'net realisjble vaIue' ￿￿V) . Itstll5 held for distribiition at I￿ or norm41
consideration are me&qurerd thc lower of replacement ¢ost and Cost.
N¢1 r¢olisable value is tILe estimatsd $6llin8 pri¢¢ less ail estirllated costs of cottlpleuon ¢osts to be incurred
In rttatk¢tin& s¢llill8 ond distribution.
Trad¢ d¢btors
Trade debtors are amounts due from ¢ugtom¢rs for merchandÈs¢ sold or services p¢rfomied in the ordinary
ours¢ of business.
Tradr d¢biots are recognised initi￿lY at the transactioll pricE. Th¢y are subs¢queTrtly measured at amortised cost
using the elTective illt6rt8t ￿ethod, l¢ss provision fr>r impairmcllt. A proi'i5io0 fDr the iry?airnent of trnd¢
debtors ig ¢5t&blished when th¢re is objective evidenco titht the Charity Myll not be able tc> collect all mwits due
rdillg to the Origin￿ terms of the r¢ceivable8.
C8$h gnd cash equlvalents
C¥h alld cash equivaients comprise cayh on hand and call deposits, gnd other short-tern highlv liquid
itivesttllent8 that are re8dily wnvertible to & ktEDWD amoullt of Gash and are subject to Insig￿lfiC￿l ri3k of
¢Iwi8e in Yalu¢.
Page 14

mmau5 Srnffordshlre
Notes to the Flnancl&L Statements for the Year EtLded 30 June 2023 (continlled)
Tr&de Cr￿l*0￿
Trad¢ rr¢ditors are obli8ation$ to pay for 8ood8 or services that have b¢¢n acquired itt the ordiw ¢our5¢ of
business from suppliers. A¢count8 payable are el&ssifi¢d a8 airrent liabilities if the charity do¢s oot have aft
LillCDllditional right, at the end of th¢ r¢porting p¢riod, to defer settlem¢tit of thc creditor for at least twel
mnnthg the teportittg d&te. If there is an LuiLx>nditional right to defer settictllent for at least tw¢lve months
aller the reportitLg dRtE, they jre presented as noTh&¢urreth liabilities.
Trnde creditors ar¢ recob￿lS¢d initially at the trgnsA¢tlon prioo wnd subsequetttly mM5UTed at 8mortis¢d wst
usints th¢ ¢ff¢dive iDt¢rest nethod.
Borrowings
IntEt¢stJ)￿ring botTowings &r¢ Énitialty recorded at fAir Y￿u¢, net of trallsactiott ¢05ts. lThtsrest.be4ring
bO￿aWingS are subsequ¢ntiy wried at amortised ¢osl with the differEn¢¢ betw¢en the pro¢eedy, net of
trans￿110￿ ¢05ts, 8nd the amoiittt due on r¢d¢mptiou b¢in8 recognis¢d os a charge to tbc Stat¢tnent of Finmcia]
Activities overthe perxod ofthe relevart botmwing.
lrtt¢r¢8t expensc Is reco￿Ls￿ ou the bosis of tELe effectlve interest tllethod and 15 in¢luded in ishter¢8¢ payabl¢
and sith11￿ cbArge8.
Borrowitw are Llajsified as current liabilities uules$ the cbgrity ILas all unwnditioll￿ right to defer settl¢tn¢nt of
the liability for at le&8t tt¥elvc months aft6rthe reporting date.
Fulld 5tnicture
Utw¢stricted income fynds are g¢n¢ral fulld$ that ￿ &vailabl¢ for use at the trll8te￿ discretion irL furth¢r8nc¢ of
th¢ objectives uf the Gharity.
R￿ttl¢t¢d income fund8 those donated for ￿ in a particul￿ are& or for 8pecifiG pwposes, the us¢ of whi¢h
is rEStri¢ted tD that areaor purpo8e.
Fio*nelal In5trument5
Clll&Flfic4rf0
Fill8ACiLI asscts alld fu￿￿(141 liabiliti¢8 are rewgnised whtn the charity bccom69 a p8rty to the Contractu
provi8ioThs of th¢ instrument.
Finan¢iai liabilities alld equity inbtrutllents ar¢ classified arGordinB to the substan¢¢ of the contractual
alrnn8ements elltered illto. kn equity in8truThetLt j5 8ny GolltraGt that evidenc&% a residual inw&8t in the &ssets of
the charity after ded￿tIng 211 of its liabibties.
Page 15

Emmaus 5tatfordshlre
Notes to the Flnancial Ststements for the Year Ended 30 June 2023 (eontinued)
R¢cosAlrfoN qndmeusupem¢ht
11 fiDan¢ial a43ets and liabilitÉ¢s arE itlliialty measured tt transaction pri¢¢ lin¢ludin8 tr￿Saction ￿$ts), ex¢ept
fDr th08¢ fiLtsttcial assets ¢lassifi¢d as at fair valu¢ throu8b profit or 1055, whicb are initially mea3UE¢d at fair
value {which is normally th¢ transactioll price excluding trAllSfj¢tion ¢ostsl, ullIess th¢ aTran8em¢rtt Constitst￿ &
fin4n¢iug traLsaGtion. If arrangenient constitutes & fin8llcing tran$￿tIon, th6 finan¢iAi ￿Set or fjnAn¢ial
liability is mea5ur¢d at the present value ot th¢ paymettts diswullt¢d ai a llHrkEt vf tsL¥t¥¥L A
8imilu debt illstnynenL
Fin8ncial assets and liabilttiey ar¢ only tsff8¢t in thc statemont of fjllallciaL position when, and only when there
&xigts a legally enfore¢able rtght to set off the re¢ognised &mount8 and the ¢lwity irntendy ¢ith¢r to settle on a
net basis, or to reaiise the asset Wld settle the li8bility slmultan¢ously.
FI￿￿1&[ ￿Sets are derecogni5ed when only when al tli¢ contrn¢tual right5 to th¢ cash flows from th¢
fiTr8ncilll asS¢t expirE or setti¢d, b) the charity tratt$fErs to another party substantially all of the risk5 8nd
reward$ of OK￿erShip of the financi&l a5s¢1 or t) th¢ charity. despit¢ haNiDg r¢tain￿l some, but not all,
st8n￿fiC￿t ri8ks and rewards of omttership. transferred control of the a55et to &llOth¢r party,
Finallciaj liabllities arg derecognised oaty when the obligatio>tt spKifi¢d ill the etsnlract is di8clwrg¢d, cÉncelled
or EXPiT¢S.
3 1n¢ome from donidoll8 legacies
Unrertdctwj
R¢strl¢¢ed
fuDds
Totsl
2023
Gellet&]
Donatiorhs and logacios.
I)onations frorn individua15
0[￿ts, includillg capital gr8nts'
8Yants
GrAhts frorn other cb2rsties
24,354
24254
47,467
35,3 15
47,467
71,962
36,647
61,001
82,782
143.783
UDre5tricted
ruDds
Gtner91
Restrleted
fullds
Totsl
2022
Donotions and l¢gwie3'
Dollations from individuRIs
Grants, illcluding Capit￿ 8rants,'
Government grants
Grants from oth¢r Ch￿lU•S
1,554
1.554
40,070
40.070
46,751
88,375
3,100
4,654
83,721
Pa8¢ l6

Emmous StJf£otdshlv¢
Notes to the Financial StAtements for the Year Ended 30 Jutte 2023 (¢ontinued>
4 IncoThe from ¢haritabI£ g¢tiwitl&8
UllTe5tri¢ted
runds
General
Totql
2023
Other tradlng 8¢tsvities
396,257
396,257
Unrestrlet¢d
fundg
Gener*1
2022
Other tr￿1ftg a¢tivitie4
328,98S
328,985
5 tDve5tnRnt IM¢om¢
Unr¢s¢rl¢ted
funds
G￿¢rnI
Total
2023
Im¢rt8t receivthle gnd similgr iThcome,'
lllt¢rttst receivable on batlk deposits
518
518
518
518
UDrestrl¢¢¢d
nd8
GeDer81
Totsl
2022
Tnter¢st r¢¢¢ivable and similar income.
Interest receivable oll b8nk deposits
49
49
49
49
Pase 17

Emmau5 Stsfford$hLre
Notu to the Financial Statements for the Year Ended 30 Julle 2023 {eontinued}
6 Expendlthr¢ ory raisillg fulld8
4) c￿ts of trading gctivs¢ies
Unrestrlcted
fuDd$
Ceneral
Restrtcted
fund5
Total
2023
Nots
FundrdiSitLg trading costs.
FUt￿r&I$]ng
Co8ts of 8Dods Sold
Legal fee5
MArketing atto publicity
Depr¢¢iation. amortisati¢n othersinilar
w$ts
StAff Costs
08.678
68,841
4.663
8,656
108,678
108,341
9J26
8.656
39,500
4.663
2,652
67.495
2.652
113,655
46,160
236,998
Ik4310
351,308
u￿r￿Crieted
furlds
General
Restrltted
fymds
Total
2D22
Note
Fundnisillg trading eosts,.
Fundraisitig
Costs of goods sold
L¢gai fres
Mtheting atsd publicity
Deprcciation, amortisation and other sunilar
costs
Staff Costs
92,112
53,675
4.104
9,261
(47)
32,832
4,800
92.065
86.5Q?
9,261
3,536
40,660
3.536
114,750
74,090
233,942
8L,781
115,723
PaB¢ 18

I mmaw Stafford&hAr¢
Note8 to tbe FinattelAI Statements for the Y￿r Ended 30 June 2023 (continued)
7 Eipendlture tharhAble 9¢tivltleJ
Artliity
dettak¢n
direttty
2023
Staff
Depr¢¢iation
Bank Charges
Maintenallce, repain alld r¢tt¢w#is
107,455
Y22
1,450
14,813
2,086
16,805
7,410
5,820
3,673
4J41
2.984
4.677
898
193
393
107,455
922
1,450
14,813
2,086
16,805
7,410
5.820
3,6rJ
4,341
2,984
4.677
Rent ood rates
Utilities attd
Motoralld trdvcl ¢xpen5es
Miscellatteous
Markcting and publictty
A￿oUnt￿1¢Y, bookk¢¢ping and payroll
Legal 9J)d w)fessLOllal
T¢l¢phone
Loan Inter¢s¢
Di￿1￿¢$5 and Dffiee gupplie8
Computer runtting costs
193
393
- IJ
230
230
174,150
174,150
Page 19

MMAUS btattordshire
Notes to the Financlal Statemtnts for the Year Ended 30 Jllne 2023 (colltlllued)
A¢tlvlty
undertaken
dlrectty
2022
Siaff ¢0sts
105,079
1,4S5
1,818
11,884
1,777
14,523
5.753
5,750
2J83
4,045
2226
4,817
665
193
752
499
105,079
1,485
1,818
11,884
1,777
14,523
5,753
5.750
2,383
4,645
2,226
4,817
665
193
752
499
DweeiAtiDtL
Bat)k Charges
Mailltenattce, r¢pair5 8nd renewals
tnsurance
Rent attd Mtes
utilities and wdsts
Motor Attd travel upen8
Mi8c¢llaryeous
Marketill8 8lld publicity
Aw)wilancy. bookkc¢ping 8nd PV4>ToII
L¢gal ond profe&8ional
Telephone
)an Interest
Business And o£fi¢e suppli¢s
CorApukr ¢osts
164,249
l64,249
£174,15012022 - £164,249) of the abov¢ expenditure ¥4ttributabl¢ to unrestricted fund$ and £Nil (2022-
£Niil to re8tri¢ted fun¢ts.
Page 20

Sthffordshire
Not¢s to the Finallcial Staten)ents for the Yeir Ended 30 June 2023 (contlnued)
S Governrn¢Dt Eronts
The ch￿lty rec¢ived £IO,00& (2022: £nil) from th¢ Natiott&i Lott¢ry.
The charity reGeiYed ￿7,467{2022..£ 40,070} frorrL Stoke on Trcnt Ctty CouuGil.
The amount of grallts recognised in the fJnatsGial 3tatemtllts was £47,467 (2022- £40.0701.
Th¢tv sYvi¥ JJU ￿uL￿LtiVL1b ai tli¢ y¢at ¢lld.
9 Net In¢omingloutgoiDg tesources
Net M¢omin￿(OUtg0ill8j resourw for the yesr itt¢lude'.
2W23
2022
Deprc¢iatioll of fixed Ass¢ts
5.021
10 Tru5te¢s r¢mwieration and txpeDJey
No trustee8, nor any penon8 connect¢d wlth thety have r¢¢¢iv¢d atty remuneration from th¢ ¢JJarity during the
year.
11 Staff e05ts
The ag8regate payroll (x)sts were 8$ follo￿..
2023
2022
Stsff <osts durlng the year werE:
Wag¢s alld 541arie8
Social security costs
PensiaD costs
207.75
10,145
208,147
,376
3.306
221,211
219,829
TtL¢ monthly ayerage Thurllber of persons lin¢luding senior management I leadetship team) etnployed by the
clwity durin¥ y¢ur exprtS8¢d as full tinie equivalents follows-.
2023
L¥0
2022
No
10
Empioy¢¢s
No employee r¢¢eiYed enwlwnonts of nor¢ £60,000 during thc ycar.
The totsl employee bettcfits of the key ntho@geJnent personnel of thc ¢b4rtty were £65,857 (2022. £88,265).
Page 21

Eu]illaus StaffoiY]shir¢
Not&8 to the Financi81 Statements for the Year Ended 30 June 2023 (continued)
12 Indep¢nd¢nt exitniller's remuneration
2023
21J22
Exatt)in4titM ofthè gtHteJnonly
2.148
2.047
13 T#Aati4
Th¢ charity is a regigtered rE￿Ity and 15 th¢￿tOre exe4npt from i&xation.
14 Tanglble fixed ajsets
Motor
vehide5
Computer
equipw¢ut
Totsl
C05t
At l July 2022
Addttions
33,529
7.739
510
41268
510
At 30 Jutte 2023
8,249
41,778
Deprectsdo
At l July 2022
Charg¢ for ih¢ year
22.921
2,652
6,026
28947
922 ￿74
6,948
32,521
At 30 June 2023
25,573
rqet book vglue
At 30 2023
7.956
iJoi
9.257
At 30 2022
10,608
1,713
12,321
Page 22

St*rroi'dsknii
Notes to Ihe FinAn¢ial Stalemeuts for the Ye4r Ended 30 Jmtte 2023 (continued)
15 FL¥ed astret lttve8tllL•llts
Othorinvertments
Inv￿tMentS
TotAI
Cwt or v£h￿tiOn
At l July 2022
At 30 June 2023
Net book value
At 30 Jtsne 2023
At 30 lune 2022
The investttLeAt r¢pres¢uts lo￿￿ of the ordin¥ry $har¢ capitsl of Ecostore {St&ffordshire) Ltd, a dormattt
e<>mpany whose resistered office addre55 i5 S¢ttat¢ HLTrus¢. Josi&b Wedgwood Street, Stok¢ on Tr¢nl STI 5NS.
The cotnpany pTrpares its own individual accounts wknch are not con501idat¢d irlto the accounts of Ewmav$
styffordshfft.
16 StDck
202)
2022
Finished goods
19.139
lQ.698
17 D¢btori
2023
2022
Tr￿e debtor
Pr¢p4ymenls
VAT rewvcrable
Other debtors
46967
23,651
3,219
31,608
26,674
12,8Q6
73,837
18 C8$h and ¢1sh equlyalellts
2023
2022
Ca81L on hand
CHsh at bathk
2,803
172369
3,685
152,385
175,172
156 070
Pagt 23

Not¢8 to Éhe FinAncial Statemellts for th¢ Year Ended 30 Juno 21)23 (continued)
19 Crediton.. Amount$ fallirti due wlthltt one year
2023
1012
Trudo GreditDrg
Oth¢r l(FaL5
Othcr tLY8tion atLd social security
Other creditors
Pension scheme creditor
22,349
6200
2,196
1.379
606
2,151
27,313
28,011
6,300
449
1048
Deferred incoitte
36,808
20 Creditors: 9mounts due after on¢ year
2023
2022
Other Ioolls
38,717
5l.536
21 ObllgAtitsM5 uuder le*sÈs hlre PUr¢h9￿ tQDtrA¢ts
Thc total valu¢ of fufur¢ minimum1¢&8e p&yroents w&q ay follows..
2023
21122
With1￿ on@ y¢
two to five years
43.750
43,750
43,750
43,750
87.500
Pase 24

Emmaus Stafford8hir¢
Notes to the Financial Statemellts for the Year Ended 30 June 2023 (comtinued)
22 Funds
BAloJyce At I
July 2022
ltteomlng
resouTceJ
R￿ource1
xpended
B41qD¢e at 30
June 2023
Unreitriet¢d funds
General
G¢neAI
100,916
457.214
(411,148)
146,982
Restrieted
David alld Ruth Lewis Ch￿1t￿ble
TnL9t
Propety Fund
Stoke otl Treknt City Coui¢il
National Lottery Community
Fund
Stoke on Trtnt City Council
Chambers of Commerc
Staffs Community Foundation
SOT CC Community Gran¢
Emm&us UK
SOT CC
Kecle Univ¢rgity
24,376
27,305
(22,724)
1,6S2
27,305
7.687
17.68T)
10,000
24,280
(10,0001
(24,2801
{8.8041
(11.2751
14,5001
(21940)
{I,000)
2,100
8,804
11,275
4,500
21,940
i.000
2.100
457
457
Totsl Testrlcled fund¥
60.942
82,782
114,310
29,414
Total fumdy
161,858
539.996
(525,4581
176,396
Page 25

Enhmau8 Stafford8hir¢
Notes to the Fiuancial Statements for the Year Ended 30 June 2023 (contillued)
Bilftnce At I
July 2021
Ine0J￿llg
resourc
Re4oU￿t8
expended
Bllauee gt JO
June 2022
Uttrestrlcted tuuds
Generni
G¢nerai
165,4L9
333.688
(398,191)
100,916
Re8trlcted
David and Rutb Ikwi8 aLaritable
Tru8É
Prop¢rty Fund
Stafftsrd8hire CommuDity
Fouod&tioll
Stoke oh Treat City Council
Ch2mbeT8 of Commcrc
Staff8 Collunuttity FoundatiOD
SOT CC ComtnuDity Gratlt
Emmaus 1]K
SOT CC
27,912
27.258
(3,536)
47
24,376
27,305
2.500
1,332
{2,5001
11,332)
114.092)
(6,1251
(5,000)
(14,173)
(35,070
22.896
6.125
s,000
14,630
35,070
8.804
457
To¢AI rtstritted fllnd5
59,002
60,942
Total fwids
224,421
479,972
161,858
Page 26

mmaus 8tafford8hlr¢
Notes to the Financial Statements for the Year Ended 30 June 2023 (Colltinued)
The specific purpos￿ for thich tILe fi￿dS or¢ to b¢ applied are ￿ follows..
The David Bj￿ Ruth Lewi3 Charitabl¢ Trnst funding is 4 8Tallt l&%ued towards the purchase of three vans. The
vehiGlrs in question ar6 d6pr¢¢iat¢d annu8lly and the fimd bu1￿￿ 18 reduGed by ￿ atnount quivalent to the
y*8 cbarse.
Tb¢ Property FurLd És Set up to raise money ts)wardy the pttrchL8e of a propetty suitabl¢ for a new Emmaus
Comrttunity. It LUGlud￿ donations from Emmau$ trrgani8atioos itt Si Alban8. Pr¢ston alld Mossl¢y, alotts with
funding from The National L4)tt¢ry Corotnwty Fund.
Stok¢ on Trollt City Council gave u8 4 wt for £4,500 to provide ¢m¢rgeLcy cases with ft¢w whitc go(xqs in
2Q22.
Chatubrr8 of CommercE £22,896 to fund a kickstart saiaryl20221.
qtaffs Community Foui)d&tioiL £6,125 ESF funding to Cover the yd8ry of woodwol< studio lead (202218nd 4
futth¢T £11,275 in 2Q2V23.
Stok¢ on Trentcity Coiin¢il £5,000 to cover the 8a]ary of th¢ Volullte¢r Co.ordiThAtor from J2Th to Maroh 2022.
Bmmau8 UK £14.629.92 fullding to cover the $8lary & &8so¢iat¢d co&ts of a new mle of eBay onlin¢ sales lead
and a furth¢r £21,940 in 2022123.
Stoke on Trejts Clty Council £35,070 grants towards ￿Lte goods and packages and a fvrther £7,687 in Apnl
2023.
TheNatiotLal Lott¢ry Community Fund gave us a grallt of £10,000 tow*rds our vvluttteer eost8.
Stoke on fr¢ntCity CounGiI save £24,280 for A cbanging futures grant.
Stoke fi¢nt City CoLmciI gave £1,000 for train¢¢ships.
Keele University gav¢ £2,100 for 4 Th¢dirlll siud¢ll¢ plo¢ewetLts.
Pa&¢ 27

Emmaua Slafford8hir¢
Notes to the Fillancial Statements tor.the Year Ended 30 June 2023 (contillued)
23 Analysis of net asset$ behvettt fund$
Unrejtiacted
funds
Gen¢r41
Totsl funth at
30 Jun¢
2023
Restricted
fund8
Tangible fixed ￿Sets
Fixed ass¢t illvwtmeuts
1,302
7,955
9257
246,689
162,294)
38.71
2l,4q9
268,148
162,2941
38,717
CuTre4rt liabiliti¢s
Creditors ovEr l year
TotaI ll¢t assets
146.982
176,396
Ullr¢8¢rl¢ted
fuDdy
CeTLeral
TotAI funds at
30 Jllne
2022
R&8tricted
fuELds
Tallgible fixed fiss¢t8
Fixed as8et investsnents
Cutmt ￿setS
Cutrcnt Jiabiliti¢s
Cr>litDr5 over l y¢aT
1.712
10,609
12,321
187,546
(36,808)
51.536
50,353
237.879
136,808)
51,536
161,858
Total g￿ts
100,916
60.942
24 RplAt¢d p*rty trgllS9etionB
There w¢r¢ no r¢lat¢d paty traDsa¢tionB in the year.
Page 28