Charlty number: 1174087
THE SCHOOLS CONSENT PROJECT
UNAUDITED
TRUSTEES. REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
RPG Crouch Chapman LLP
Chartered Accoun18nt$ & Stalutory Auditor
40 Gracechurch Sir8at
London
EC3V OBT

THE SCHOOLS CONSENT PROJECT
CONTENTS
Page
Refei•nce and admlnlstratlv• d•tails of the Ch•rlty. Its Trustees and 8dvls¢r8
Tru8tee¥' report
Independent examlnerfs rnport
statement of financlal actlvltl•s
Balance ¥h••t
NgtO1 to lh• financl*l •tstements
9-18

THE SCHOOLS CONSENT PROJECT
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY. ITS TRUSTEES AND ADVISERS
FOR THE YEAR ENDED 31 AUGUST 2025
Trustees
18n Ryan
Luke Ramsden
Christopher Henley KC
Alexandra Carr
Jullanne Hughes-Jennett
Camllla Boyer
Tilo Soso
Nick W•st
Chartty r•gl8t•r•d
numbor
1174087
Prfnclp•l offlc•
5 Paper Bullding$
Temple
London
EC4Y 7HB
Account•nts
RPG Crouch Ch8pm8n LLP
Chartered Account8nls
40 Gracechurch Str88t
London
EC3V OBT
Pagg 1

THE SCHOOLS CONSENT PROJECT
TRUSTEE5' REPORT
FOR THE YEAR ENDED 31 AUGUST 2025
The Trustees PTesÈnl their annual report together with thg financial statements of The Schools Consent Proloct
for the 1 September 2024 to 31 ALSgUSt 2025.
Obl•ctlve5 and actlvltles
Pollcles #nd oblectSves
The obleclive of the charity is to advance the educatlon of young people In the subject of sexual consent and the
law, in particular bul nol exclusively by delivering workshops in schools to 11-18 year olds.
In settlng obj8cliv8s Bnd ￿anDIng for activities, the Trustees havè given due consideration lo general guidance
published by th8 Charity Commlssion relallng to public benefll, indudlng the guidance 'Public benefit.. running
charity IP621'.
b. A¢llYltl•8 undertak•n to •chlev? obl•ctlv••
Wa achieve our charitable objedv& by delivering hour-long l¥wyer-1gd workshops to 11-18 year olds on, inlgf
alia, the leg81 definition of cons&nt. how to Idenlify consent, bystander Inlervonlion. the offences of r8pe, soxual
a3S8uII and 'sextlng', the ages of consent, and optlons In the event of an 85gault.
For the period Identified above, the charfty has provided consent education lo thousands of young p8opl8
through hundred8 of workshops. The chartty contlnugs lo oper8t8 nationwide. worklng prlncipally In London and
the South East.
The ch8dtys purpose 18 benefldal; Itg beno14clgrSe8 Includo a sufflclent secuon of the publlc 18chool age
chlldrenl.
Achl•v•m•nt• and p•rfomi•nc•
•. Maln achl•vemonts of th• Charlty
Delivering 382 workshops on eonsénl.,
Educallng approxlmately 12,000 young peopl8,'
Generating revènues of £433,139, an increase in 370/. from tha prevlous year, enabling us to make further
hires and continue to subsldis6 our Slate schoDI workBhops',
Continuing to provldo our young adult consont workshop8 to the EnglSsh Football League,.
Continuing to provide our young adult consènt workshops lo the Royal ￿'r Force.
Page 2

ThE SCHOOLS CONSENT PROJECT
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2025
A¢hl&v•ments and porforman¢¢ (Continued)
b. Fundralsing aetivities and Income generatlon
The majoiily of ihe charill5 Income is gènerated through fee5 for workshop delivery. one-off OT indivldual
donations and grants, and partnerships with law firm5 and corporates. rather than through funllraising appeals to
Ihe general public. The charills fundraising activity included a one-off Gala dinner held in October 2025. This
was lo supplement and diversify our usua5 fundlng streams and to explore any potentsal longer t8rm. secure.
lunding option5. EKtem81 consultan15 were engaged for a one-year period from 31 January 2025 10 5UPPOrt
lundrai5ing slrat8gy and the delivery of th8 event, with the aim of both r81sing funds dirgdly through the Gala and
building n8w relationships lo support the charitys fundraising over the longer term.
The fJ)8rity is not regSslered wllh the Fundrai51ng Regulator and has not voluntarily subscrlbed to any other
fundraising standard or scheme for fundraising r8gulation, whether in Its Own right or through any person acting
on Ils behalf. Ther• have accordingty baen no failures to comply with any SUGh scheme dudng the yoar.
The charity does not fundraise through direBI solicitation of the public
for example through door-lo-door,
street, or telephona fundraising
and the 8Ctivity carrfed out on 115 behalf durlng tha year, including by the
consultant8 engaged for the Gala, did not involve IhS8 kind of apprc)ach. The ITuslees do not theref￿ consider
Ihal the charily's lundr815ing gives dse lo a rlsk of unr8asonable intrusion on privacy, unreasonably persislant
approa¢h¢s, or undue pressure on individuals lo give, and no 5p8cific monitoring arran98m&nls were requlrod In
thls resped. No ¢ompLqlnts relating to fundraising aclivitrrf were received during the year.
c. Inw••tm•nt pollcy ind p•rtomianc•
Tho ¢harNy holds all funds as c88h in a current account. A8 the cash amounl h81d ha5 grown, the BoBrd will k8ep
thls under raviaw.
Flnanclal revl•w
•. Golng ¢onG•rn
Aftgr maklng appropriate enquiries, the Trusleos have a re8sonable expectauon that the Charity has adequalo
resources (o continue in operational existenc8 for the for&seeable futurè. For this r8ason, they Continue tts adopt
the golng conceTn basis In prepartng th8 fln8ncial stslèments. Further detai15 regarding the 8doptlon of Ihts golng
concem b8$1s can be found in the aecountlng polityes.
b. Raserves poll¢y
The charity aims to maintaln fr88 reseNes to cover al le8St six months expenditure.
Princlpal risks and unc•rtaintle•
The chariV5 proncipal risk rèlat88 lo safeguardlng. Steps taken to manage this rfsk include-.
Enhance¢J OBS checks on all volunteers..
Rigorous training and recrullment proc6ss',
Disclosure and safeguarding policy and procedures.,
Disclosur8 and safeguarding training for all staff.,
Designated Safeguarding L•ad on Bogrd.,
Designated Safeguardlng Lead on Exe¢ubve',
Culture ol information sharing within charity.,
Spot-checking volunteers during workshops.
Page 3

THE SCHOOLS CONSENT PROJECT
TRUSTEES. REPORT ICONTINUEDI
FOR THE YEAR ENDED 31 AUGUST 2025
d. Detail¢d Revl•w
As sht)wn in the statement of ftnancial actlvity, the chadty had income of £433.13912024.. £315.8031. £10,000 of
this income was lor rfyslricted purposes 12024..Nill. Th8 organisalion had expendilure of £359,324 12024."
£233.7851. all of which represents unrestricted, general funds. The resulting surplus amovnls to E73,81512024.'
£82,018), which, added to funds brought fotward from the previous year of £250,910. results in total funds at the
year end of £324,725, of which £314,725 was unreslricled and £10,000 was reslricled12024- nil)
Struclur•, govemance and manag•mant
a. Constitution
The SEhools Ccnsenl Project Is a reglslered Charity, number 1174087, and is consliluled under a constitullon.
b. M•thod• of appolnlm•nt or oloctlon of Tru•teO8
The man8gem8nt of the Charity is the responsibillly of the Tru51ees are appolnled by Ihe Chair In
accordance with paragraph 10.1 of our constitutlon
c. Organlsatlonal •tructure and daclslonwmaklng pollcl•*
Therg are two ￿er5 lo the governance of Ihe charfty. the Execullve and the Trustee Board I'lhe Board'l.
The Execullvè Is in charge ol tha day.l048y lunclioning and adrnlnislralion of the charSty. The Foundar h36
overall overslghl of the Executive.
The Board is in charge of reviewlng the charills financial position and ensuring 11 58 continulng lo fulfll Its
charitable obleclive. The Board revi8ws our int8rnal policies and procedurès annually. The Board h8s over5ighl
of tha Executlvg, and acts in 8n advisory capacity to the Founder.
The Board presently conslsls of eight Iruslaes., th8 Exacutivg cons1818 of slx 51aff IFounder, Dlrector, Operatlons
M8nager,Volunteer Manager, Administrat￿ x 21.
d. Pollci•• adopted for th• Inductlon and tralnlng of Tru•toas
Pur5U8nt to the chadtls consiitulion, 88ch trustee recaives the followlng on appointmonL'
a copy of the ￿nStitutIon
a copy ol the latest annual report
copy of the lalesl slal8ment ol accounts
copy of the Code of Conduct for Trustees
¢opy of the Essential Trustee
- Charity Commission Safeguardlng Guldance for Twst98S
Safeguarding Iralnlng
Page 4

THE SCHOOLS CONSENT PROJECT
TRUSTEES, REPORT {CONTINUEDI
FOR THE YEAR ENDED 31 AUGUST 2025
Structur•, gov•rnance and management (continued)
. Stat•ment of Truyt•es' r•$ponslbllltlts
The Trustees are rèsponsible for p￿parIng the Trustees. report and the financlal stslements In accordance with
applicable law and United Kbngdom Accounting Stsndards (United lfjngdom Generally Accepted Accounting
Practicel-
The law appllcable to charflies in England & Wales requires the TNstees lo piepare fin8n¢l81 stslemen15 for
8ach financial yeBr which gwe a tru& and fair view of the state of affair5 01 the Charity and of ils incoming
resources
and appllcallon of resources, includlng Ils Sncome and expendllure, lor ihat pèrfod. In preparfng these financl81
stalemenls, the Trustee5 are required to..
58lecl suliable 8ccounlSng policles and then apply them conslstenlly.
observe the methods and principles of thg Charllle5 SORP IFRS 1021,.
make judgments and 8Gcounling e511mates Ihal are roasonable and prudent.,
st8t8 whether applicable UK Accountsng Standard5 IFRS 1021 have been followed, sublect to any mat8rlal
departures dlsclosed and explalned in the financial ststernenty,,
prepare the fin8ncial statements on the gobng concern basis unless il is inappropriate to presume that the
ChaTily will continue In busin8&q.
The Trustees are resp¢)nsible for keeping adequate accountSng records th81 are suificS8nl to show 8nd ¥xplain
the Charills transactions and dlsclose wlth reasonable accuracy al any time the financial position of the Charlty
and enable them to ensure that the IlnanGial statements cornply wllh the Charllles Act 2011, the Charity
(Accounts and Reports) Regulations 2008 8nd the provlgions of the Ch8ritys CDnsUtullon. They are also
responsibl& for safeguarding the assets ol the Charity and hence for taklng rèasonable stèps lor the prevention
nd detection of fraud and other irregularllles.
Approved by order of th• memkrs of Iho board of Tru818os and 81gngd on théir behaff by..
Tlt¢ So•0
Trust88
Dale..
Pag8 5

THE SCHOOLS CONSENT PROJECT
INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 AUGUST 2025
Independent examln•r'$ roport to the Twstees of Thè Schools Cons•nt Prolect Iyhe Charlty'l
I report to the charity Trustees on rny examination of the accounts of the Charity for the year ended 31 August
2025.
ReBpon$lb115tles and basls of report
As th8 Trustees of the Charity you are responsible for the proparation of the accounts in accordance wlh Ihe
requirements of th8 Charitie5 Act 20111.the 2011 Act'l.
I report In respect Df my examination of the Charity's accounts carried out under secllon 145 of the 2011 Ad and
in carrying out my examinatson I have followed the applicable Directs'ons given by the Charity Commission under
section 14515llbl of the 2011 Act.
Ind•p•ndent oxamln•rf• statèmènt
Slnce the Charitys gross Income exceeded £250.000 your examSner must be a member of a body Ilsled In
section 145 of the 2011 Act. I confirm that l am qualified lo undertakg the examinallon bacause l am a rnember
of the Institute of Chartgr8d Accountants in England and Wales, whSch Is one of the Ilsled bodios.
Your attention Is drawn lo the fact that the Chartly ho5 prepared the accounts In accordance I￿1h Accountlng and
Reporting by Charities. Statement of ROCDmmended Practice applic8ble to charllle8 preparing their accounts In
Ccordance with th• Financial Reporting Standard applicabl8 in the UK and Republic ol Ireland IFRS 1021 in
preference lo the Accounting and Reportlng by Charltl8s'. Slalemont of Recommgnded Pracllce i$sued on 1 Aprll
2005 whlch19 referred lo In the extant Tegulallons but has been withdrawn.
l und#rstand ih31 this has been d¢)no in order for thè accounts to provide a true and fair view in accordance wilh
the Generally Accèpted Accounting Practice effoctive for reporting periods beginning on or aftor 1 January 2015.
I have cornpleied my examination. I confirni that no matters h8vo come to my 8ttgntlon In connection with the
eKaminalion givlng me cause lo belleve that In any materlal reypect,.
aecountsng re&Yds wgre not kept in rèspect of the Charity as required by se¢t6on 130 of the 2011 Act,. or
the accounts do nol accord wlth those re￿rdS., or
the accounts do not cornply with the appllcablè requlremenls concernlng the form and content of
accounis sgt out in the Charllies IAccounts and Reports) Regulations 2008 other than any Tequirement
th81 the accounts give a 'lrue and fair, view which is not a rnatter considered as part of an indepandenl
8xarninatlon.
I have no concems and have come across no other motters In connection with lh8 examinBtion to whlch
attentlon should be drawn in Ihis report in order to enable a proper undérstanding ol the accounts lo be reached.
This report 18 m8de solely to the Charitls Twstees, as a b)dy, in accordance with Part 4 of the Charities
IAc¢ounts and Reports) Regulations 2008. My work ha5 béèn undertaken so Ihat I rnighl state to the Charity's
Trustees those matters l arn required to Stale to thern in an indopgndenl examiner's report and lor no other
purpose. To the fullost extent pennitted by law, I do not accept or assume re5ponsibillty to anyone other than the
Charity and Ihe Charivs Trustees as a body, for my work or for this report.
Signed..
- a6/02
Jeremy Tyrrell FCA
40 Gracechurch Street. London, EC3V OBT
Pagg 6

THE SCHOOLS CONSENT PROJECT
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 AUGUST 2025
Unrestrlct•d
funds
2025
R•$tricted
funds
2025
Totsl
funds
2025
To181
funds
2024
Note
Income from:
Donations and legacies
Charitsble 8ctiwlies
Other incom8
124,514
298,025
600
10,000
134,514
298.025
600
105,245
210,558
Total In¢¢rne
423,139
10,000
433,139
315,803
EX￿ndItur• on..
Ralsing funds
Charitsble activltles
42,311
317,013
42,311
317,013
111
233,674
Total &xpendltur•
359,324
359,324
233, 785
Net movem•nt In funds
83,815
10,000
73,815
82.018
Roconclllatlon of funds..
Total funds brought forward
Nel movement in funds
250,910
63,815
250,910
73,815
168,892
82,018
10.000
Total fund• ¢arrl•d fomrd
314,725
10,000
324,725
250.910
Th8 Statement of finanoal acllvi1Ses Includes all gains 8nd Ioss8s recognlsed in the year.
The note¥ on pages 9 to 18 fom part of these financlal ststements.
Page 7

THE SCHOOL5 CONSENT PROJECT
BALANCE SHEET
AS AT 31 AUGUST 2025
2025
2024
Notg
Current assets
DebtOT5
C88h at bank and in hand
12
17,495
334,948
9,951
260,304
352,443
270.255
Currant 15abllltl
Creditors.. amounts falling due within one
year
13
127,7181
(19,345)
N•t currènt ?*i•ts
324.725
250,910
Totsl assets 1•3B curr•nt IlJbllltl•s
324,725
250,910
Total n•t a8••t•
324,725
250,910
Charlty fund•
Reslrlcted fundy..
Restricted funds
Unrestrlcled funds
15
15
10.000
314,725
250,910
Tot•1 lund•
324.725
250,910
Th8 flnancial stalemants wem approved and authorf8ed for Issue by the Trus18e8 and signed on their bohalf by..
AJ
Tlto So•0
Trustee
D81e'.
The notes on pages 9 to 18 form part of these financial ststements.
Page 8

THE SCHOOLS CONSENT PROJECT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
General Information
The Charily is a CIO rogistered with the Charity Commlssion In England and Wales. charity number
1174087. Its registered address is 5 Paper Buildings, Temple, London, EC4Y 7HB. The principal activities
of tha CIO are to advis8 young people in the subject of s8xual consent and Ihe law.
Aecountlng poll¢l•$
2.1 Basis ol pi*paration of flnan¢lal statemènts
The flnancial statements have been prepared in accordance wlth the Charttles SORP IFRS 1021
Accounting and Reporting by Charitie8.' Statement of Recommended Practice applirable to charides
pr8paring their accounts in accordance with the Financial Reporting Standard applicable in th8 UK
and Republic of Ireland IFRS 1021 (effective 1 January 20191, the Financl81 Reporting Standard
applicable in the UK and Republic ol Ireland IFRS 1021 and the Charities Act 2011.
The financial st8tgments have been prepared lo glve a 'true and falr. vlew and have dep8rtgd from
the Charities (Accounts and Reports) Regulations 2008 only lo the extent required to Provide a 'lrue
and falrf Mgw. This departure has Snvolved following the Charities SORP IFRS 1021 published in
October 2019 rather than the Accounung and Reporting by cha￿￿88.. Statement of R&commended
Practice effecllve from 1 April 2005 which has 51nBe been wllhdrawn.
The Schools Consent Projecl meets the definition ol a public benefit enllly under FRS 102. Assets
8nd Ilabllllios are initially rgcognised al historical ¢051 or Iransactlon value unless otherwise staled in
the relevant accounting policy.
2.2 Incom•
1 Sncome Is recognised oncé the Charity has enlillemenl lo the Incomo. il 58 probable that the
Income will be recelved and the amount of Income recglvabl8 can be measured rellably.
2.3 Exp•ndltur•
Expendlture Is recognised once Ihero Is a legal or constructive obligation lo transfer economic benefrt
to a ihird party, it is probable that a transfer Df economic benefits will be mquired in settlement an
Ihe amount of the obligallon can be me8sured reliably. Expenditure 15 elassified by actlvity. The cosls
of each activity are mado up of the lotsl of dlrecl costs and 5haied costs. including support Costs
involved in undertaking èach activity. Dire¢l costs attributable lo a single activity are allocaled dir8CtIy
lo that activlly. Shared costs which contribule lo More than one activity and support costs whlch are
not attrlbutsble lo a single activity are apportioned between those 8Ctivities on a basis con9i9tent with
the use of resources. C¢ntral staff cost5 are allocated on the basis ol tsme spent, and depredation
charges allocated on tha portlon of the asset's use.
Expenditure on ralsing fund5 indudes all expenditure incurred by the Gharity lo raise lunds for its
charitable purposes and indudes costs of all lundralsing aclivilie5 events and non-charilable trading.
Expenditure on charitable actlvllles is incurred on dirèdy undertaking the activities which further the
Charilys objectives, as well as any associated 5UPPOrt C0515.
All gxpendituw is inclusive of irrecoverable VAT.
P8ge 9

THE SCHOOLS CONSENT PROJECT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Accountlng pollcles {contlnuedl
2.4 D•btors
Trade and other debtors arè rècognised at the settlernenl amount 8ftar any Irdde dSscwnt offerod.
Prepayments are valued at the amount prepaid nel of any trade discounts due.
2.5 Cash at bank and In hand
Cash al bank and in hand ineludes cash and short-lerm hlghly liquld Investments wlth a short maturity
of Ihree rnonlhs or less Irom Ihe date of acquisition or opening of the d8posII or similar account.
2.6 LlabllStl•$ and provlslons
Liabllilios are recognis6d when IheTr is an obligallon at the b81anee sheet dat8 as a result of a past
event, it is probable that a transfer of economic beneflt will be roquir9d in settlement. and the amount
of the settlement can be o$timaled reliably.
Liabilitses are recognised al the amount that ltte Charlty antiGSp8tes 51 wlll pay to settle th8 debt or the
omount il has received as advanced payments for the goods or s8rvSces it must provide.
Provislons are measured at the best esllmote of the amounts requlr8d to settle the obligation. Where
the effect ol the lirne value of money is rnat8rf81, the provislon Is based on the present value of those
8mgunts, di5count8d at (he pre-tax discount rate that relleBts the risk5 5peciflc to the liability. The
unwinding ol the discount is recognised in the statement of fi'nanclal acliviliès as a flnance cost.
2.7 Flnanclal In•tYum•ntJ
The Charlty only h8s financial 883etS ond financial liabililles of a klnd that quallfy as basic finanelal
Instruments. Basic financlal Instruments are in111811y recognlsed at transacllon value and subsequenlly
measured 81 their settlemènt value with the exception of bank loans which ar8 subsequenlly
measured al omorb'sed cost using the effgctivg intere81 mgthod.
2.8 Pen¥lon•
The Charlty operates a defined ¢ontribution pension scheme and the penslon tharge represents the
amounts payable by the Charity lo the fvnd In respect of the year.
2.9 Fund accountlng
Unreslricl8d funds are available for use al the discre110n ol the Trustees in furtherance of the general
objectives of the Charity and which have not been designated for other purposes.
RestTiCted funds are funds whlch are to be Ljsed in accordance with sp8cinc restrlctions Imposed by
donors or whlch have been raised by the Charity for particular purposes. The costs of raising and
administering Such fund5 are charged agalnst the Spec￿1¢ fund. The 81m and use of each restricted
fund is sel out in the notes to the finanThal slalamenis.
Page 10

THE SCHOOLS CONSENT PROJECT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Crltlcal accountlng estlmate5 and argas of Judgm•nt
Esb'rnales and judgments are cont'nually evaluated and are based on historlc81 experience and other
factors, including expectations of future events that aw believed lo be reasonable under the
circumstances.
Crftlcal accounting estimates and assurnptions..
Th6 Charity makes 88tlm8tes and assumptions CL)nceming tha future. Th8 rosulting accounting estimates
and as8umption$ will, by definition, seldom equal the related actual results. However, the Truglees are of
the opinion that there arg no 8slimales and assumptions that have a slgnific8nl risk of causing a rnaterlal
adjuslment lo the carrwng amounts of as5els and liabilities within the next financlal year.
Incomo from donatlons and legacles
Unr•$trScted R￿trIcted
fund•
funds
2025
2025
Total
fvnds
2025
Tol81
funds
2024
Donations
UK Fundralsing
119,514
5,000
10,000
129,514
5.000
105,245
124,514
10,000
134,514
105,245
Total 2024
705,245
105,245
Income from charltabl• actlvltl•s
Unr•strlct•d
fund•
2025
Total
lund8
2025
Tot81
lunds
2024
Workshops
Corporate P3rtnerships & Training
Volunteer Tr3vel & Reimbursements
118.275
172.500
7,250
118,275
172.500
7,250
101,275
107,700
1,583
298,025
298,025
210,558
Total 2024
270,558
270,558
Page11

THE SCHOOLS CONSENT PROJECT
NOTES TO THE FINANCIAL STATEMENTS
FOR TPIE YEAR ENDED 31 AUGUST 2025
Oth•r In¢omlng rè8our¢es
Unrestrlct•d
funds
2025
Total
funds
2025
Total
fund8
2024
Othar incomlng resou￿86
8LN)
600
P898 12

THE SCHOOLS COPISENT PROJECT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Expendlture on ralslng funds
Costs of ralslng voluntsry Income
Unrestrl¢tsd
funds
2025
Total
funds
2025
Total
funds
2024
Fundr?islng cos15
42.311
42,311
111
Tot812024
111
Analy•l• of exp•ndltur• by aGtlvltlo•
Actlvltlgs
undortJk•n
dlre¢tly
2025
Support
co8t8
2025
Total
fund•
2025
Total
funds
2024
Charitable exp8nditur8
211,432
105,581
317.013
233,674
Tot812024
172,065
61,609
233,674
Analy81s ol dlr•rt COBts
Page 13

THE SCHOOLS CONSENT PROJECT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Anatys18 of •xp•ndlture by adlvllles Icontlnu•d)
Analysls of dlr•ct co•t• Icontlnuedl
Total
fundg
2025
ro181
funds
2024
Staff costs
Other expendllure
Advertising & PR
Legal & Prof8ssional
Rent
Staff training
Subscriptlons
Travel
Foralgn Exchange Rale Dlff8renc8
171,198
4,911
14,547
144,329
3,739
5,548
7,260
6,469
230
4,250
2,239
(1,999)
10,170
867
5,050
4,689
211,432
172.065
AnatyslB of support co•tB
Total
fund•
2025
Tot81
funds
2024
Staff co818
Other oxpendilure
Accountancy
Legal & Profe981onal
Entertalnlng
IT expendlturp
Insurance
Bank Fees
61,602
.862
4,392
12,359
15.501
2,065
742
58
28,074
1,349
3,315
14. 723
2,171
17.194
183
105,581
61,609
Page 14

THE SCHOOLS CONSENT PROJECT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Inde￿ndent •xamlner's remuneratlon
2025
2024
Fees payable to the Charity's Independent examlner for the Independent
examination of the Charitys annual accounts
2,850
2.700
10. Staff cost
2015
2024
Wage8 8nd $a1orfes
Soci81 securlty costs
Conlribullon lo deflned conlrfbutk)n p¢nslon schemgs
202,576
24,117
6,107
157,899
10.731
3.773
232,800
172,4Q3
The average number of persons employed by the Chadly during th8 year was as follow8..
2025
2024
AdminlstratSon
Operationa5
No employe8 received remuner81ion amounting to more than £60,000 in elther yaar.
Apart from the trustees, key management comprises the Founder. the Director. the UK Monager and th8
Volunteer Manager. Key mBnagemenl r8muneTalion for the ye8r 8mounled to £165,826 12024..
£131,666).
11. Tru¥l•es' r•muneratlon and expons¢8
Durlng the year, no Trustees received any rnmuneralion or other benefits (2024- £NILI.
During the year ended 31 August 2025. no Trustee expenses have been incurred (2024- £NILI.
Page 15

THE SCHOOLS CONSENT PROJECT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
12. D•btors
2025
2024
Due wlthln one yèar
Trnde debtors
Prepayynenls and accrued income
17.495
6,951
3,000
17,495
9,951
13. Credltor•: Amounti 18lllng due wlthln on• year
2025
2024
Other laxalion and 50dal securlty
Olh8r credltor8
Accruals and deforygd income
6,746
17,822
3,150
4,056
12,451
2.838
27,718
19,345
1& R•lat•d Party Trnn¥actlonJ
Durfng the year. the tharlty rg¢eived an unrestricted donalSon of £10.00012024.' £nlll from a parent of one
of the Irust8es. No debtors were outstanding al the year end In respect ol this donation.
Page 16

THE SCHOOLS CONSENT PROJECT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
15. Statement of funds
Statemont of funds- curront y•ar
8alan¢• at 1
Septèmb•r
2024
Balance at
31 August
2025
Inc¢m• Exptndlturo
Unr•$trlct•d fund•
General Funds - 811 funds
250,910
423,139
(359.3241
314,725
R•8trfctfrd fundi
The Fundlng Nefv￿rk
10,000
10,000
Total ol fund•
250,910
433,139
1359,324)
324,725
Tha Fundlng Nefftrk fundlng Is speclflcally lor use to Pay for the cost of workshops.
Page 17

THE SCHOOLS COMSENT PROJECT
NOTE5 TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
15. Statement of funds {GontSnu•d)
Stslement of funds - prlor y¢ar
8818nce al
I Sep18mbgr
2023
B818nce at
31 Augusr
2024
Income Expendlture
Unr•8trfctsd fund*
Gen8r81 Funds - all fvnds
168,892
315,953
{233.935J
250,910
Total ol funds
168,892
315,953
(233,935)
250,910
16. Analy•l• of n•t J••éts betw•on fundi
Analys1• of net a¥s•ts b•tw•en fund* • current year
Unr•8trlct•d Restrlct*d
lund•
fund•
2025
2025
Total
funds
2025
Current assets
Creditors due wilhin one year
342,443
{27,7181
10.000
352,443
127.718}
Totsl
314.725
10,000
324,725
All funds were unrestricted within the prior ye8r.
Page 18