REGZSTERED CHARITY NUMBER: 1175148
SOCIETY WITHOUT ABUSE
PREVIOUSLY KNOWN AS SWINDON WOMEN'S AID
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED
31 MARCH 2025

SOCZEfY WITHOUT ABUSE
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Pa9e
Report of the Trustees
Independent Examiner's Report
Statement of FinancSal Activitles
Statement of Financial Posltlon
Notes to the Flnancial Statements
8 to 21

SOCIETY WITHOUT ABUSE
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
The trustees present thelr report with the flnanclal statements of the char(ty for the year ended
31 March 2025. The trustees have adopted the provlsions of Accoijntlng and Reporting by CharltSes'.
Statement of Recommended Practice applicable to charitles preparing thelr accounts In accordance wlth
the Flnancial Reporting Standard appllcable in the UK and Republlc of Ireland (FRS 1021 leffectlve I
January 20191.
OBJECTIVES AND ACTIVITIES
Our Mission
Effecting change In society to create safer future5 free from DomestSc Abuse
Our Vision
Our vision Is for a safer future, creatlng a soclety which recognises and supports vlctlms of domestlc
abuse and regards all abuse as unacceptable.
With an integrated approach bullt on Innovatlon, we wlll be at the forefront, 5UPPOrtlng victims and
survlvors, and leading progresslve change wlthln soc5ety through preventSon, educatlon
and
awareness-ralsing.
Values
Our values are..
Experts we are experts In Domestic Abuse
Leaders we wlll show leadershlp In the world of Domestlc Abuse
Innovative - we wlll innovate to deliver better outcomes
Integrated - uslng a joined-up approach for maximum Smpact
Honest - always being stralghtforward and trustworthy
Determlned having a can-do and wlll-do attitude to overcome challenges
FINANCIAL REVIEW
Flnancial position
In October 2024, followlng a tender, the Swlndon Borough Councll awarded the contract to manage the
woman's to refuge a new provider.
As the cha￿tY operated the majorlty of it's admInIstra￿On and servlces from the refuge, it was necessary
to find alternatlve premlses. We currently operate from servlced offices on è monthly Ilcence.
The Trustee5 also took the opportunlty to change the name of the to Society Wlthout Abuse, whlch we
feel reflects better our mission and support of all clients, not limited to women.
The flnancial posltlon of the charlty remaln5 Strong, and the organlsatlon Ss bulldlng new revenue
streams to reduce the rellance on contracts and grant5.
The total income for the charlty was £986,0702 Including £23,107 being a gift of proflts from the charlty
shop.
The trustees have ag￿e￿ a deflclt budget for the current year to recognise the changes In Staffing and
premlses needed to enable the Charity to re focus, and to grow In the future.
Investment pollcy and objectives
The reserves, both Unrestricted and Restrlcted, are represented by an Interest bearlng COIF account with
Charlty Aid Foundation.
The charity holds an investment In Survivor@SWA Llmited, a company which now operates two charlty
shops. The Cha￿tY a150 holds shares In a listed company In which it was gifted.
Page I

SOCIETY WITHOUT ABUSE
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
FINANCIAL REVIEW
Reserves pollcy
As at 31st March 2025, the Restrltted Reserves amounted to É22,297, and Unrestrlcted Reserves were
£687,789 as shown in Note 22.
Trustee5 have Sncreased the designated fund to £300,000 from the unrestrlcted fund as a 'contingency
reserve, to cover six months operatSng costs. Other unrestrfcted funds are required to cornplete the
Trustees plans for the charity'5 refocus.
Slnce October 2024, the largest part of the Charfty Income arlses from grants for speclfSc projects. Many
of these grants are for Specific perlods of tlme or may be re-tendered from tlme to time. The trustees
belleve that sufficient resetves should be held to ensure that the costs of re-tendering contracts can be
met wlthout the diminutlons of any servlce to our cllents. We are a150 aware that some grant funding
may just cease, and reserves are held to ensure that that servlce can stlll be provlded to cllents whllst
altemative sources to income are sought.
Unrestricted fund5 will be used as necessary..
for the provSslon of our work with schools to educate young people about domestic abuse and create
safe spaces for victlms.
to cover the cost of the CEO and staff worklng to further the charlty's misslon who are not covered by
grants or contracts.
any other projert development recommended to the Trustees.
Public Benefit
Society Without Abuse, 5s a charlty provldlng servlce5 In the areas of preventlon, early Intervention and
educatlon around domestic abuse. The Charlty 15 based In Swlndon, but provldes It's seryices to a wlder
area.
The oryanlsatlon wa5 founded in 1974 (registered charity no 2680481 and became a Charitable
Incorporated Organisatlon Sn 2017.
Slnce October 2024 our ServI￿S include..
Group work programmes for vlctims of domestic abuse to support long term recovery.
Community based one-to-one and small group support ror chlldren and young people who have Ilved in
abusive households.
Our behavlour change programme, Open2Change, works one-to-one wlth people who have used
abusive behaviours and are commltted to not uslng these behavSours in the fLJture,
Preventative work In schools through our Domestic Abuse Aware Schools Award whlch provides tralnlng
to school Staff, drop Ins and workshops to chlldren and young people.
Our Ambassadors programme provides tralning to members of the communlty about domestlc abuse
who then talk about domestic abuse thelr comwunltles and workplaces to Increase awareness of
domestic abuse and the support avallable.
Tralnlng and Domestic Abuse Workplace Pollcy development to buslnesses
FUTURE PLANS
In May 2025 the Trustees and Senlor Management Team met to discuss strategy and future plannlng for
the charlty.
Ln thls meetlng It was agreed that the focus for the coming year was to ensure the quality and
development of the current teams, and the board recommitted to the vision, mission and values of the
charlty.
The Trustee5 have set a deficlt budget for 2025126, to recognlse the necessary re-focusing of our work
and establlshing a permanent base for the charlty In the futu￿ and on ensuring the continued financlal
stability of the charlty in the long term.
An addttlonal focus Is on data collection and evldenclng of the Impatt of the work of the charity.
Page 2

SOCIETY WITHOUT ABUSE
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng docLrment
The charlty Is controlled by its govemlng document and 15 reglstered as a Charitable Incorporated
Organlsatlon (CIO) frorn 13 Oct 2017.
The Chartty Governance Code has been adopted to Inform good practice about the management of the
charity and the underlying values for worklng towards the alms of the charity.
Recruitment ond appointment of new trust¢es
Trijstees are appolnted In accordance wlth the Charity's consututlon.
Organisatlonal Structure
The Organlsation is independent and not a local branch of any natlonal charlty or organlsatlon. The
Trustees of the Board, which can have up to 8 members, administers the Charity and currently meets on
a bi-monthly basis.
The charity also operates two sub commlttees, whlch both report to the full board. The Audlt & Rlsk
Commlttee and the Finance Committee. Both Corrmittees meet in advance ol Full Board Meetlngs.
The CEO is appolnted by the Trustee5 of the Board and Is re5ponslble to them for the day-to-day
management of the Char(ty under powers devolved by the Trustees.
Ms Joanna Eamey reslgned the posltlon on 31st July 2024, and Mrs Kate Rowland was appolnted as
Interim CEO with effect from 1st October 2024 and became permanent from the 1st Aprll 2025.
Induction and training of new trustee5
New trustee5 are appointed in Ilne with the organlsations recrultment and Inductlon pollcy and recelve
a pack of relevant Information covering the role and responsibilities of trustees, together with financlal,
organisatlonal and leg31 informatlon relatlng to the Charltyi its aims and objectlves.
Risk management
The 8oard continues to place a priority on Risk Management and Mltlgation as part of Its commltment to
Support survivors of domestlc abuse and thelr dependents.
The Rlsk sub-comwittee has spent considerable tlme revlewing the Rlsk Profile of the charitles
organisatlon and operatlonal reslllence now that it Is no longer has Refuge management wSthln its
portfollo.
We have been supported In thls work by our Charity Partner Zurlch Insurance, who have provided the
5UPPOrt of a member of thelr Risk team under thelr Skillshare programme to as5Ist In scoplng the work
and provlding us with the latest Risk recording and reporting tools.
The key areas Identified from thls work has been an ongoing focus People glven the slgnlffcance of the
changes and ensuring the safety of our team as they go about their dally roles. The risks around
Fundlng have Increased as we are now more rellant than ever as a charity on Grant Funding and
Fundraising.
Rlsk reductlon plans are being put in place and wlll be closely managed a5 wlll a clear focus within the
Leadershlp team to ensure early Identlflcatlon of new rlsks in the new envlronment.
REFERENCE AND ADMINISTRATXVE DETAILS
Reglstèred Charity numbèr
1175148
Princlpal address
PO BOX 3816
SWINDON
Wlltshire
SNS IBQ
Page 3

SOCIETY WITHOUT AaUSE
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
Trustees
Dr C S Groombridge
Mrs N Alberry (Chair)
Mrs K Pvllen Ireslgned 19.4.25)
Mr M A 8ates
Ms T Daszklewl¢i
Ms J N Lawrence
Hr A S Macpherson
Mrs K J Gardner {appolnted 19.11.24)
Independent Examlner
Morris Owen
Chartered Accountants
43-45 Devlzes Road
SWINDON
Wiltshire
SNI 4BG
Solicitors
RWK Goodman
3 Newbrldge Square
Swindon
SNI IBY
Patrons
Dame Esther Rantzen DBE
Mrs Sarah Troughton, Lord Lieutenant of Wiltshlre
CHANGE OF NAME
The charity passed a special resolutlon on 19 November 2024 changing Its name from Swlndon Women's
Ald to Society Without Abuse.
Approved by order of the board or trustees on 29 July 2025 and signed on It5 behalf by..
MrsN
rry Trustee
Page 4

INDEPENDENT EXAMINER'S RepoRT TO THE TRUSTEES OF
SOCIETY WITHOUT ABUSE
Independent ExamlTrer's Report to the Trustees of Society Wlthout Abuse
I report to the charity trustees on my exarnination of the account5 of the charity for the year ended 31
March 2025 which are set out on pages 6 to 21
Responsibilities and basis of report
As the charity's trustees you are responslble for the preparatlon of the accounts in accordance wlth the
requlrements of the Charltles Act 2011 I'the Act.).
I report in respect of my examinatlon of the charlty's accounts ca￿led out under sertlon 145 of the Act
and in carrylng out My exarninatlon I have followe(S all the applicable Dlrettions glven by the Charity
Commisslon under section 145(5llb) of the Art.
Independent examlner's statement
Slnce the charltY'5 gross Income exceeded £250,000 your examSner must be a member of a body listed
in section 145 of the Act. I confirm that l arn quallfled to undertake the examination because I am
member of The Institute of Chartered Accountants In England and Wales, whlch 15 one of the listed
bodies
I have completed my examlnatlon. I conflrm that no material matters have come to my attentlon In
connection with the examlnatlon glving me cause to belleve that in any material respect..
l. accounting recoras were not kept In respect of the charlty as required by 5ectlon 130 of the Act,. or
2. the accounts do not accord with those records,. or
3. the accounts do not comply wlth the appllcable requlrements concerning the form and content of
accounts set out In the Charities (Accounts and Reports) Regulations 2008 other than any requlrement
that the accounts glve a 'true and fair view, which is not a matter consldered as part of an independent
examination.
I have no concerns and have come across no other matters In connertSon wlth the examination to which
attention should be drawn in thls report In order to enable a proper understanding of the accounts to be
reached.
Jenna Probets FCA
Morrls Owen
Chartered Accountants
43-45 Devlze5 Road
SWINDON
Wiltshlre
SNI 48G
Dète..
Page 5

SOCIEfY WITHOUT ABUSE
STATeMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2025
2025
Total
funds
2024
Total
funds
Unrestricted
funds
Restricted
funds
Notes
INCOME AND ENDOWMENTS FROM
DOna￿on5 and legacles
35,236
620
35,856
67,259
Charitable actrvities
Support services
35,003
831,551
866,554
1,323,913
other tradlng activlties
Investment Income
Other Income
27,633
40,659
16,000
27,633
40,659
16,000
74,920
19,213
16,000
Total
154,531
832,171
986,702
1,501,305
EXPENDITURE ON
Charitable activFtles
Support servSces
Goverance costs
179,775
5,530
867,942
1,047,717
5,530
1,369,431
11,600
Total
185.305
867,942
1,053,247
1,381,031
Net galns/llossesl on investments
(1.276)
(1.276)
(1,2491
NET INCOME/{EXPENDITURE)
Transfers between funds
(32,050)
33,764
(35.771)
{33,764)
(67.821)
119,025
22
Net movement in funds
1,714
(69,535)
(67,821}
119,025
RECONCILIATION OF FUNDS
Total funds brought forward
678,984
91,832
770,813
651,788
TOTAL FUNDS CARRIED FORWARD
680,695
22,297
702,992
770,813
The notes form part of these flnanclal statements
Page 6

SOCIETY WITHOUT ABUSE
STATEMENT OF FINANCIAL POSITION
31 MARCH 2025
2025
Total
funds
2024
Total
funds
Unrestricted
funds
Restrlcted
funds
Notes
FXXED ASSErs
Tanglble assets
Investments
16
17
210
13,576
210
13,576
3,224
14,851
13,786
13,786
18,075
CURRENT ASSETS
Debtors
Cash at bank and In hand
18
12,605
702,005
12,605
842,107
65,908
948,748
140,102
714,610
140,102
854,712
1,014,656
CREDITORS
Amounts falllng due wlthln one year
19
(47,701) (117,805) (165,506) 1261,6161
NET CURRENT ASSETS
666,909
22,297
689,206
753,040
TOTAL ASSETS LESS CURRENT
LIABILITIES
680,695
22,297
702,992
771,115
DEFERRED GRANT INCOME
21
(302)
NET ASSETS
680.695
22,297
702,992
770,813
FUNDS
Unrestricted funds
Restrtrted funds
22
680,695
22,297
678,981
91,832
TOTAL FUNDS
702,992
770,813
The financlal statements were approved by the Board of Trustees and authorised for Issue on
29 July 2025 and were signed on its behalf by..
Mrs NAI
Trustee
Mr A S Macpherson - Tru
tee
The Trotes form part of these firhanclal statements
Page 7

SOCIETY wrrHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
STATUTORY INFORMATION
Soclety Wlthout Abuse Ss a charity reglstered In England and Wales. The charlty's reglstered
number and registered offlce address are as below..
Reglstered number.. 1175148
Registered offlce.. PO BOX 3816, Swindon, SN5 IBQ
The presentation currency of the flnanclal statements Is the Pound Sterllng (£) rounded to the
nearest pound.
ACCOUNTING POLICIES
Basls of preparing the fin4nclal statemÈnt5
The flnancial statements of the charity, which Is a public beneflt entlty under FRS 102, have been
prepared in accordance with the Charities SORP IFRS 102) 'Accounting and Reportlng by Charities..
Statement of Recommended Practice appllcable to charltles preparlng their accoLJllts In accordance
with the Financial Reportlng Standard applicable in the UK and Republlc of Ireland (FRS 1021
leffect￿Ye l January 20191,, Financlal Reporting Standard 102 'The Financial Reporting Standard
applicable In the UK and RepublSc of Ireland. and the Charities Act 2011. The flnancial statements
have been prepared under the hlstorlcal cost conventlon, wlth the exceptlon of investments which
are InclLJded at market value, as modlfled by the revaluation of certaln assets.
Going Coneern
As referred to in the Trustees Report, the Trustee5 have agreed a deficlt budget for the year ended
31 march 2026 to enable them to contlnue the charlty's refocused oblertlve following the cessation
of running refuge for 5windon and the wider areas. Thls was agreed by the trustees with the
knowledge to large unrestricted cash reserves It holds. They belleve this is an essential part of
setting up the charity of its new purpose In the community. As result of thls, and the Short term
nd longer term plans with securing further fundlng the Trustees belleve the charlty Is a golng
concern.
Flnancial reportln9 Standard 102 - reduced dlsclosurè èxemptlons
The charity has taken advantage of the following disclosure exemptlon Sn preparing these flnanclal
statements, as permltted by FRS 102 'The Financial Reporting Standard applicable In the UK and
Republic of Ireland,:
the requlrements of Sectlon 7 Statement of C05h Flows.
Critlcal accounting judgements and key sources of estlmation uncertalnty
In preparlng these financial staternents, the trustees have made the followlng JLJdgements'.
Determine whether leases entered Into by the company as a lessee ère operating lease5 or
finance lease5. These declsions depend on an assessment of whether the risks and rewards of
ownershlp have been transferred from the lessor to the lessee on a lease by lease basls,
Determlne the perlod of useful economlc Ilfe and any resldual value of all tangible flxed
assets In order to wrlte off the value of each asset over that perlod.
The trustees a150 cary out e5tlmatlons on deferred Income by usSng their knowledge of the
progress of each grant or contract based on Its granted or agreed condltlons.
Zncome
All Incomlng resources are Included In the statement of financial activltie5 when the charity Is
entitled to the income and the amount can be quantifled with reasonable accuracy. The followlng
speclfic polScles are applied to partlcular categories of Income..
Rents received Income is Included based on the perfod it relates to.
Page 8
contlnued.

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS - contlnued
FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTING POLICIES - continued
Income
Contract income is Included based on when It Is recelvable.
Voluntsry Income Is recelved by way of grants, donations and glfts and Is Included In full In the
Statement of Financial Activities when recelvable.
Investment income Is included when recelvable.
Expendlture
Llabilities are recognised as expendlture as 500n as there Is a legal or constructlve obllgatlon
committlng the charity to that expendlture, it is probable that a transfer of econoM￿C benefits wlll
be required In settlement and the amount of the obligation can be measured rellably. ExpendSture
Is accounted for on an accruals basls and ha5 been classified under headings that 4ggregate all
cost related to the category. Where c05ts cannot be directly attributed to particular headlngs they
have been allocated to activitles On a basis conslstent wlth the use of resources.
Tangible flxed a55ets
Depreciatlon Is provided at the followlng annual rates In order to wrlte off each asset Over its
estimated useful Ilfe.
Plant and machinery
Fixtures and fittings
Notor vehScles
Computer equipment
30010 on cost
30010 on cost
30010 on cost
33% on cost
Related party exemption
The charity has taken advantage of exemption, under the terms of Flnancial Reportlng Standard
102 'The Flnancial Reportlng Standard applicable in the UK and Republlc of Ireland,, not to disclose
related party transactions with wholly owned subsldlaries wlthln the group.
Taxation
The charity is exempt from tax on Its charltable activities.
Fund Jccountlng
Unrestricted funds can be used In accordance with the charltable obJectlves at the dlscretlon of the
trustee5.
Restricted funds can only be used for partl¢ular restrlcted purposes within the objects of the
charity. Restrictions arfse when speclfled by the donor or when fun(55 are ralsed for partlcular
restrlcted purposes.
Further explanatlorl of the nature and purpose of each fund is Included In the note5 to the flnanclal
statements.
Donated goods
The charity has benefited enormously from donated goods and servlces since Its Inception. Whllst
not wishlng to dismiss the valuable tlme and donation5 of a smaller nature, for practicable
reasons, a de mSnimus Ilmit for thls recognition has been adopted of £1,000. Systems are In place
to record when these benefits are received, wlth assets donated to be valued at the tlme of the
glft and added to the flxed asset reglster, whllst services provlded, such as repair5 and decoratlon
Cts5t5 expended through the Statement of Financlal Activitles.
Page 9
continued...

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
DONATIONS AND LEGACIES
2025
2024
Donations
35.856
67,259
OTHER TRADING ACTIVITIES
2025
2024
Training Income
Glft of shop proflts
4,526
23,107
5,550
69,370
27,633
74,920
INVESTMENT INCOME
2025
2024
Dlvldend Income
Deposit account interest
1,000
39,659
956
18,257
40,659
19,213
ZNCOME FROM CHARITABLE ACTXVThIES
2025
2024
Attivity
Support seryices
Support services
Support services
Support services
Rent5 recelved
Contracts
Grants
other income
263,547
184,581
418.426
453,711
360,889
506,297
3,016
866,554
1,323,913
Grants received, Include In the above, are as follow5.'
2025
2024
Ministry Houslng Communitie5 Local Govemment Dtsrnestlc Abuse
Halcrow
Wiltshlre Pollce and Crtme Commlssioner
Nationwide
8BC Children In Need
Julla & Hans Rauslng Trust
Garden
Wiltshlre Police and Crime Commlssloner Perpetrator Program
National Lottery Perpetrator Program
The Underwood Trust
Other restritted funds
Unrestricted fund5
33,098
2,868
66,558
597
30,096
54,521
1,958
122,314
51,500
16,415
3,500
35,000
57,641
10,632
153,170
32,755
3,730
98,939
51,500
30,000
29,430
38,500
Total grants
418,426
506,297
The Income arSsin9 from some grants has been recelved In advance and has therefore been
deferred Into the approprSate period The amount of deferred and accrued Income held at the end
of each year Is as follows;
2025
2024
Def
rred Inc
Swindon Borough Council Mlnlstry Hou51ng Communltles Local
Government Grants
33,098
Pa9e 10
contlnued...

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
INCOME FROM CHARITABLE ACTZVITIES - contlnued
Julia & Han5 Rausing Trust
The Underwood Trust
BBC Chlldren In Need
Garden
Other restricted funds
Unrestrlcted funds
54,521
48,189
56,773
9,904
5,000
21,377
12,500
13,579
17,500
105,554
166,887
OTHER INCOME
2025
2024
Recharged rental Income
16,000
16,000
CHARITABLE ACTIVITIES COSTS
Support
costs (see
note 91
Direct
Cost5
Totals
Support servlces
Goverance cost5
871.845
175,872
5.530
1,047,717
5,530
871,845
181,402
1,053,247
SUPPORT COSTS
Governance
costs
Management
Finance
Totals
Support servlces
Goverance costs
175,434
530
438
175,872
5,530
5,000
175,964
438
5,000
181,402
10. AUDITORS. REMUNERATION
2025
2024
Fees payable to the charlty's audltr)rs for the audlt of the charlty's
fSnancial statements
Audltors, remuneratlon for non audlt work
11,600
30,442
11. TRUSTEES. REMUNERATION AND BENEFITS
There were no trustees, remuneration or other beneflts for the year ended 31 March 2025 nor for
the year ended 31 March 2024.
Trustees. expenses
There were no trustee5' expenses pald for the year ended 31 March 2025 nor for the year ended
31 March 2024.
Page 11
contlnued...

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS - contlnued
FOR THE YEAR ENDED 31 MARCH 2025
12. STAFF COSTS
2025
2024
Wages and salarles
673,427
962,686
673.427
962,686
The average rnonthly number of employees during the year was as follows:
Average staff headcount
2025
28
2024
37
No employees recelved emoluments in exce55 of £60,000.
The total salarles, employer natlonal insurance and employer pension for key management
personnel for the year totalled £35,18612024.. £72,745).
The total pension cost charged to the statement of actlvities durlng the year totalled £11,935
12024.. £16,756). For the staff who work speciflcally on a project that Is fully funded have thelr
total pension cost Included in that restritted fund.
13. INDEPENDENT EXAMINATZON FEES
2025
2024
Statutory accounts produrtion & external scrutlny
5.000
5,000
14. COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fund5
Restricted
funds
Total
funds
INCOME AND ENDOWMENTS FROM
Donations and legacies
67,235
24
67,259
Charitable activltles
Support servlces
42,834
1,281,079
1,323,913
Other trading activltles
Investment income
Other Income
74,920
19,213
16,000
74,920
19,213
16,000
Total
220,202
1,281,103
1,501,305
EXPENDrruRE ON
Charitable activities
Support serrfices
Goverance costs
77,756
11,600
1,291,675
1,369,431
11,600
Total
89,356
1,291,675
1,381,031
Net galns/{losse51 on Investments
(1,2491
{1,249)
NET INCOME/(EXPENDITURE)
129,597
(10,572)
119,025
Page 12
contlnued...

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS- continyed
FOR THE YEAR ENDED 31 MARCH 2025
14. COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES- contSnued
Unrestricted
Restrlcted
funds
funds
Total
funds
RECONCILIATION OF FUNDS
Total fvnds brought rorward
549,384
102,404
651,788
TOTAL FUNDS CARRIED FORWARD
678,981
91,832
770,813
15.
EXCEPTIONAL EVENTS
During the year, the charlty was notified that their re-tender with Swindon Borough Councll for
runnlng the refuge seNlce In Swindon was unsuccessful. As a re5uIt, on 30 September 2024, the
charlty vacated the refuge and therefore the rents recelved and contract Income ceased at thls
date. All staff relating to running the refuge were transferred over to the new contract holders
leavlng a smaller team of staff to contlnue with the charlty's Qbjettlves In the communlty.
As part of revlewlng the 1055 of the ￿rUge operatlng contract, trustees reviewed the remalnlng
restrlrted funds and agreed with funder that thls did not need to repaid. As a result, thls was
transferred to unrestrirted fundsi please see note 22,
For the second half of the charlty's flnancial year, the charity focused on how it could continue to
deliver preventlon, earfy Intervention and edLJcation around dome5tlc abuse. As part of thls
transition however there were some one off costs Incurred totalllng £37,560 which has been
tncluded In legal fees.
16. TANGIBLE FIXED ASSETS
Fixtures
and
flttings
Plant and
machinery
Notor
vehlcles
Computer
equipment
Totals
COST
At l April 2024
Addltions
Dlsposa15
40,040
7,579
4,999
70,604
123,222
210
210
(70,604) (123,222)
(40,040)
{7,579)
(4.999)
At 31 March 2025
210
210
DEPRecxATION
At l Aprll 2024
Charge for year
Ellmlnated on dlsposal
40,040
6,675
374
(7,049)
4,999
68,284
119.998
2,320
2,694
[70,604) (122,692)
(40,040)
(4,999)
At 31 March 2025
NET BOOK VALUE
At 31 March 2025
210
210
At 31 March 2024
904
2,320
3,224
Page 13
continued...

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
17. FIXED ASSET INVESTMENTS
Shares In
group
Listed
undertaklngs investrnents
Totals
MARKET VALUE
At l Aprll 2024
Revaluatlons
14,850
{1,275)
14,851
(1,275)
At 31 March 2025
13,575
13,576
NET BOOK VALUE
At 31 March 2025
13.575
13,576
At 31 March 2024
14,850
14,851
There were no Investment assets out51de the UK.
Cost or valuatlon at 31 March 2025 Is represented by..
Shares In
group
LlstÉd
undertakings Investments
Totals
Valuatlon In 2020
Valuatlon in 2021
Valuatlon in 2022
Valuatlon in 2023
Valuatlon in 2024
Valuatlon in 2025
Cost
{2,198)
5,421
1,572
(1,901)
(1,249)
(1,275)
13,205
(2,198)
5,421
1,572
(1,901)
(1,249)
(1,275)
13,206
13,575
13,576
The Charlty has a IOO¥o holding In the company Survivor@SWA Limlted, incorporated in England
& Wales, tompany number 12116390. the company was formed wlth the sole Intention of ralsing
funds for the purpose of the Charity, Its profits belng donated under HMRC Gift Aid Scheme each
year.
18. DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Trade debtors
Other debtors
Prepayments and accrued Income
1,610
4,868
6,127
9,606
42,782
13,520
12,605
65,908
Page 14
contlnued...

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 MARCH 2025
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Trade credltors
Soclal security and other taxes
Other creditors
Accrua15 and deferred income
7.242
1.802
6,598
149,864
14,105
16,047
3,657
227,807
165,506
261,616
20.
LEASING AGREEMENTS
The Charfty had a lease commitment for the rent of the refuge of Enll (2024.. £62,219)
In 2022, the Charlty has also entered Into a 5 year lease for retall premlses from whlch
Survlvor@SWA trade at an annual rent of £20,000, with the flrst year {20221 havlng a rent free
period.
21.
DEFERRED GRANT INCOME
2025
2024
Deferred grant5 for assets
Aggregate amortisauon
302
{302)
23,722
(23,4201
302
22. MOVEMENT IN FUNDS
Net
movement
in funds
Transfers
between
funds
At
31.3.25
At 1.4.24
Unrestrleteil funds
General fund
Contingency reserve
No Recourse for Publlc Funds reserve
Faclllty management reserve
438.981
210,000
15,000
15,000
(32,050}
(26,236)
90,000
(15,000)
(15,000)
380,695
300,000
678,981
Restricted funds
Rental income and houslng benefit
Swlndon Borough Counc51 and
WSltshire Pollce and Crlme
Commissioner
Mlni5try Housing Communlties Local
Government Domestlc Abuse
National Lottery Perpetrator Program
other restricted funds
Wiltshlre Police and Crime
Commissioner IDVAS
Garden
(32,050)
33,764
680,695
72,053
179
(72,232)
8.788
(31,566)
22,778
1,808
1,999
5,639
(1,808)
654
(798)
2,653
2,353
(2,488)
730
815
{3,137)
(1,103)
2,407
17,579
17.291
91,832
(35,771)
(33,764)
22,297
TOTAL FUNDS
770,813
(67,821}
702,992
Page 15
¢ontinued...

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS - contlnued
FOR THE YEAR ENDED 31 MARCH 2025
22. MOVEMENT IN FUNDS- contlnued
Net movement in funds, Included In the above are as follows..
Incoming
resources
Resources
expended
Galns and
losses
Movernent
In funds
Unrestricted funds
General fund
154,528
(185,302)
(1,276)
(32,050)
Re5trlcted funds
Rental Income and housing benefit
Swlndon Borough Council and
WlltshSre Police an¢J Crlme
Commlssioner
Minlstry Housing Communltles Local
Government Domesvc Abuse
National Lottery Perpetrator Program
BBC Chlldren in Need
Other restrlcted fund5
Wlltshire Pollce and Crfme
Cornmissioner IDVAS
Halcrow grant
Wlltshire Pollce and Crlme
Commissioner Perpetrator Program
The Underwood Trust
JLJlia & Hans Rausing Trust
Garden
279,863
(279,684)
179
168,269
(199,835)
(31,566)
33.098
122,315
30,096
4,097
(33.098}
(121.661)
{30.096)
(4,895)
654
(798)
66,558
2,869
(69,695)
(2,869)
(3,137)
51.500
16,416
54,521
2,572
(51,500)
(16,416)
(54,521)
(3,675)
{1,103)
832,174
(867,945)
{35.771)
TOTAL FUNDS
986,702 (1,053,247)
{1,276)
(67,821)
Page 16
contlnued...

SOCIEfY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR ENDED 31 MARCH 2025
22.
MOVEMENT XN FUNDS - contlnued
Comparatives for movement In funds
Net
movement
In funds
At
31.3.24
At 1.4.23
Unrestricted funds
General fund
Ctsntingency reserve
No Recourse for Public Fundg reserve
Facility management reserve
309,384
210,000
15,000
15,000
129,597
438,981
210,000
15,000
15,000
549,384
Restricted funds
Rental income and hovsing benefit
Swlndon Borough Council and
WSltshlre Police and Crlme
Commissioner
Ministry Housing Communlties Local
Government Domestlc Abuse
Natlonal Lottery Perpetrator Program
Other restricted funds
Wiltshlre Police and Crime
Commissloner IDVAS
Garden
129,597
678,981
64,928
7,125
72,053
23,268
(14,480)
8,788
1,808
1,999
{5,4021
1,808
1,999
5,639
11,041
2,445
722
(1,7151
93
730
815
102,404
(10,572)
91,832
TOTAL FUNDS
651,788
119,025
770,813
Page 17
Contlnued...

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS - contlnued
FOR THE YEAR ENDED 31 MARCH 2025
22.
MOVEMENT IN FUNDS - contlnued
Comparatlve net movement in funds, Included In the above are a5 follows-.
Incomlng
resources
Resources
expended
Galns and
osses
Movement
in funds
Unrestrl¢ted fund$
General fund
220,201
(89,355)
11,249)
129,597
Restrlcted funds
Rental income and housing benefit
Swindon Borough Councll and
Wlltshlre Police and Crlme
Cornmissloner
Ministry Housing Communlties Local
Govemment DomestSc Abuse
National Lottery Perpetrator Program
Other restricted funds
Wiltshlre Police and Crime
Commissloner IDVAS
Halcrow grant
Wiltshlre PolSce and Crlme
Commissioner Perpetrator Prggram
The Underwood Trust
Julla & Hans Rauslng Trust
Garden
482,586
(475,4611
7,125
334,696
(349,1761
114,480)
57,641
98,939
25,430
(55,833)
(96,940)
130,8321
1,808
1,999
15,4021
153,170
10,632
1154,8851
{10,6321
{1,715)
51,500
30,000
32,755
3,755
(51,500)
130,000)
132,755)
{3,662)
93
1,281,104
(1,291,676)
110,572)
TOTAL FUNDS
1,501,305
11,381,031)
11,2491
119,025
Page 18
contlnued..

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 31 MARCH 2025
22. MOVEMENT IN FUNDS- contlnued
A current year 12 month5 and p￿Or year 12 months combined position Is as follows..
Net
movement
In funds
Transfe
be￿veen
funds
At
31.3.25
At 1.4.23
Unrestrlcted funds
General fund
Contlngency reserve
No Recourse for Public Funds reserve
Faclllty rnanagement reserve
309,384
210,000
15,000
15,000
97,547
126,2361
90,000
115,000)
(15,000}
380,695
300,000
549,384
Restrlcttd funds
Rental Income and housing benefit
Swlndon Borough Council and
Wlltshire Pollce and Crlme
Comrni5sloner
Mlni5try Housing Communities Local
Government DomestSc Abuse
National Lottery Perpetrator Program
Other restrlcted funds
Wiltshire Police and Crlme
Commissloner IDVAS
Garden
97,547
33,764
680,695
64,928
7,304
172,232)
23,268
(46,046)
22,778
1,808
2,653
(6,2001
{1,8081
2,653
2,353
11,041
12,4881
2,445
722
14,852)
11,010)
2.407
17,579
17,291
102,404
146,343)
133,7641
22,297
TOTAL FUNDS
651,788
51,204
702,992
Page 19
contlnued...

SOCIETY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS - contlnued
FOR THE YEAR ENDED 31 MARCH 2025
22.
MOVEMENT IN FUNDS- continued
A current year 12 month5 and prfor year 12 months comblned net movement In funds, Included In
the above are as follows..
Incoming
resources
Resources
expended
Galn5 and
losses
Movement
in funds
Unrestrirted lund5
General fund
374,729
1274,657)
12,525}
97,547
Restricted fund$
Rental income and hou51ng benefit
Swindon Borough Council and
Wiltshlre Police and Crime
Commissloner
Ministry Housing Communlties Local
Government Domestic Abuse
National Lottery Perpetrator Program
BBC Children in Need
Other restricted funds
Wlltshlre Police and Crime
Commissioner IDVA5
Halcrow grant
Wiltshire Police and Crlme
Commlssloner Perpetrator Program
The Underwood Trtjst
Julla & Hans Kauslng Trust
Garden
762,449
(755,145)
7,304
502,965
1549,0111
146,0461
90,739
221,254
30,096
29,527
(88,9311
{218,6011
130,096)
135,727)
1,808
2,653
16,200)
219,728
13,501
1224,5801
113,5011
(4,852)
103,000
46,416
87,276
6,327
1103,0001
(46,416)
187,276)
(7,337}
11,010)
2,113,278
(2,159,621)
146,343)
TOTAL FUNDS
2,488,007
12,434,278)
12,525)
51,204
Page 20
contlnued...

SOCIEfY WITHOUT ABUSE
NOTES TO THE FINANCIAL STATEMENTS- eontSnued
FOR THE YEAR ENDED 31 MARCH 2025
22. MOVEMENT IN FUNDS- continued
FuTrd name
Purpose and rè5trlctlon
Rental Income and houslng beneflt Thls 15 the Income that 15 recelved from the resldents, vla
Swindon Borough Councll and
Housing Benefit and the Department of Work and Penslon5.
Wlltshlre Pollce and Crime
Commls5ioner
Thls Is to enable the charity to dellver a dtsmestlc abuse
servlce across Swindon.
Ninistry Houslng CommunltiesLocal To fund a new posltlon of a Resettlement Worker for the
Government DomestlcAbuse
residents In refuge, as51stlng In securlng safe
accommodatlon when they leave refuge. Also, funding
therapeutlc support and the Recovery Programme5.
Thls 15 a grant received as a Charity Partner of Zurich
Community Foundatlon, whlch supports core costs of the
charity
Grant for a Children and Young People's Worker in the
Refuge
To support fundlng a front Ilne Independent Domestic
Violence Advisors.
Funds a Triage ènd Programmes Officer who trlages
referrals recelved and supports thè settln9 up and delivery
Wiltshlre Police and Crime
of recovery programmes
Grant from the Pollce and Crfme Commlssioner for the
CommSssioner Perpetrator Program perpetrator programme
National Lottery Perpetrator
Program
Grant from the Police and Crlme Commlssloner for the
The Underwood Trust
perpetrator programme
A grant that fLJnds a Children and Young People's Outreach
Worker post
Grant to deliver the Domestic Abuse Aware Schools Award
programme
Grants and donations speciflcally for the development of the
Refuge garden area
Zurfch Cornmunity Trust
BBC Children In Need
Wllt5hlre Police and Crime
Commissloner IDVAS
Halcrow grant
Julla & Hans Rausing Trust
Garden
23.
RELATED PARTY DISCLOSURES
There were no related party transattions for the year ended 31 March 2025.
Page 21