Charfty le91stra￿On Thum￿.. 1175348
CUPPA SQUAD
TRUSTEES. RepoRT AND
UNAUDrrED FINANCIAL sfATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
spotlhght
ACCOUNTIN
Spotllght Accountlng Lsmlted
Chorteyed Accountsnts
Mart(et Chamb
2b Morket Pla¢*
5hlfnal
TFII 9AZ

Cuppa Squad
Contents
IndepeTrd￿t Examlner¥ Rewrt
ststement of Nnand41 Athltles
CompnraUv* Statsment of F]n•nd•l A¢Uvltyos
ststement of Nnandal Paltton
Notqs to the ￿n￿￿11 St4temot)ts
8-11
The followlng p•o•8 do not fomi af the sta￿tOry att￿￿nts.,
Detall•d Siotqmenl ol HMncl•l Actlvltl•s
12

Cuppa Squad
Trustees. Report For The Year Ended 31 March 2025
The tnJstet$ pwesent Ihelr report and the flnartclDI ststements lor the year erKIEd 31 March 2025.
ObJectlv•• and AIU¥ltle%
Alm• •nd ObJ¢ttlv••
Cuppa Squad 1$ ¥ 81rnilngham-based charbty e5tab115hed In 2017. It was sat up to promote and presojve the good health of
people sufferfng or at dsk from long-temi health condluons such •$ type I dlabetes, type 2 dlèbete$ and pre.dl•beieg. by
the provlsloTh of support and educatlort.
Our objett Is to support Indlvlduols Ilvlng wlth dlobetas In oThd around g(rmlp*Jh4m. K¢y alms:
Pmvlde regulwr lace.to-foca ond onllne 5UPPOrt groups
R•lse •w8reness of dlabetes management and w•llbelrwJ
. errtouwe 8odal connectlon and reduce15ol4tlon
Th15 r•port d￿n$t￿te9 how Cuppa Squad fijhlli Its charttjble purpoms lor publlc benefit.
A¢h1￿em•nts •nd P•rforfflanc•
M•ln Achlev•m•nt•
Supp•rt aroup•
• H•ld monthly tseethto-face ond onnne p••Triupport everts, att•nd•d by Jpproxlmjte number of Porud￿nts, •.q. 5-15
people per ses5k*n.
• Group se551ons Induded fadlltsted dlgcusglons, Q&A, shartno coplng 5trntegles, and slgnpD5tlng.
C•mmunlty T•lk• & OuQrnDch
• Presented eduebtlonal talks at local cornmunlty venuts, e.g. Ilbr•rS•1, communlty centres, GP surgerles.
Collobtsrnteo wlth so¢101 presctlbers, who reforrnd p4tlenls Ilvlng wlth dlabrte5 dlr•ctly Into our progrnmi,
R•dKlng t•olollon •L P••r Support
. Attendee5 con515t•ntly rlport Increased Confiden￿ In i•lfvmnag•ment ¥nd a reductlon In fe•llng5 ol lsolatlon,
• Poit-geyhjn surveys Show sadslartlon rnt•• of 90% Improv•d krwl•dgWb•hovlourch•nw In d•w•-day Ilfv.
Aw•r•ng81 & Publldty
• RAlsed aw•reneM vl• lo￿1 comrnunlty Support work•r8, medth 1•4fl•ts In GP •Jryerfu, ¥nd • dymmk
webslte.
• Produced practlcal r•sources on d14bet•s m&n•gem¢nt thared at •v•ry grnup swlon,
FIMnd41 R•¥l•w
Pln•thd•l P••ltloft
Sumrn•ry of Pund•
• Income lor the year.. £91.113, ralsed through doAatlon$, grnnts, event Income, Network Nelqhbouthood Sth¢rnai.
• e¥pendlture: Our key out ooln9 lor the year have been v•nue hlre, staff eosts, and matet1als.
• Aeserves wll¢y: malntaln 3 months. runnliig <OSts In r450Ms,' curreniiy held at £32,445 al y¢aTrerhl.
Fln•ncl•l Pojlllon
The chadty remaln5 501v4nt wllh aO•quat• r•MrvM ￿ ￿ver cornmWm•nts ano relnve5t Into •xpafidlnp support ser¥l¢u Irb
th• comlng Y￿r.
Putup• Pl•
l. E*pond re￿h. lThrxea5e monthly atterydaD￿ and develop
hubs acro￿ the clty
2. Increase facllltators., wlth Inryeased groups brfng on a new
acllltator and grow the team
3. Stronger p?rtn¢rshlps.' deepen tollaboratlons wlth GP syryerfes, soclal prescrfbèrs, dlaberes dlnks
4. Fundlng growth.. pursue grant opportunltles and fvndra158 to $vpport program expans(on
5. Ev•luate Impact.. Impiernent lomal evaluatlon tools-pr8lpJst wellbolng $urvey$, long tetTn follow-up.
gel

Cuppa Squad
Trustees, Report (contlnued)
For The Year Ended 31 March 2025
8truethrw 13ty¥¢m•nrA •nd M•ThDgemert
Gov•mSng DooJrn*nt
stN¢￿re+ Govwn•nc4 IL M•nag•m¢rtt
The Charlty Is Controlled by Its govemlng dooJmeAt, g deed Of and constitu•s a Umlt•d companyi Llmlted by
guarantee, as defined by the C¢mpanle$ Art 2006.
Cuppo Sq￿d Is govem¢d by S trLWtees who meet quarterty to set Btrategy and monltor perfomiance. I)a￿tO.déV
operatlon5 are overseen by 8n Opero¥on$ Ma￿9¢r $upp)rted by votunteers and ￿$4)n fadlltator, The tntyr¢es J
reuulted through att open procets,. naw trustees recelve Inducuon and ongoln9 trolnln9.
The Thistee5 are re5pon51ble for keeplng proper 4¢¢ountlng rewrd$ thot dlgdose wlth reasonable accurao ¥i any tlrne the
flnanclal PO￿tIorS ol the Charlty and ¢0 enable them to ensure th•r rhe flnanclol $tatements cornply wlth the Cornpanles Act
2006, Tha Trusteos are 4150 resp¢*nslbk for saf¢guardlng thE ass1￿ of tha chat1ty and taklnq r••¥on•ble st¢p• for
the Pr￿ntIOn and detecdon of lrnud and othtr Irregulorltle
Rel•r•K• AdmlnlBtr•tlv• D•t•ll•
K wolktr- Chalr
J S Marshall- Tru5tq•
A J Roberts- TrJstqe
C ) Ree$ Edwards. Trusteo
M Thgg$- Trustee
•rlty 14umts•r
1175348
Prln¢lp•l Addr•
13 St Pau18 Square
imlngh¥m
83 IRB
Zndopend•nt Ex•n￿Der
Sp¢tlleht A¢counWng UmRed ICAEW
Spotllght Ar￿￿n￿n9 Llmlt¢d
artered Accountants
M¥rker Chambe
2b Market ￿ee
Shlfnal
TFII 9AZ
Pag• 2

Cuppa Squad
Trustees. Report (contlnued)
For The Year Ended 31 March 2025
tni*Fpp¢ rpnnrt fiAnm¥prt hv the board oltrustees and stgned on Its behalf by:
20 Nov 2026
K Walkor
Trustee
P¥ge 3

Cuppa Squad
Independent Exarninetrs Report to the Trustees of Cuppa Squad
For The Yaar Ended 31 March 2025
I rwt to the tnffjtees ￿ my ex•mlngtlon of the ofow Squad {tt* Tnjst) forthe year •ded 31 March 2025.
requlrewts of the ¢JorW N¢t 2011 W.
V reF4Jrt In re5pett of rny ex•rn1r￿ of the Tnsys atttyjrts c*td ¢wt undtr 145 of Ihe 2011 Art and Sn c4wryln9
out rny examlnauon, I hwe folgw¢d th* appfkabk Dlreth>ns 914w by the Chadty Commlsston uThler sertlrth 145(5)Ib) of
exanknnation 9l¥lrwJ rne tause io bèlbe¥e thot In resp&t:
L attounting records Ive￿ rnt kept In res￿ ot theTru# as r￿1￿1 by secuon 130 of the or
Z the #¢o￿ts do not accorl ￿th those re¢ryds: or
I the accounts do not compty wlth the 3Wlcable requlreTh*nts COrK￿Ing the forrn arKI tyitents olxcounts set ￿t In
the Charftles {knounts and Repjrts) Regulauons 2008 other Ihan any requlremert that the a￿D￿nts glve a aNI
falr VW wttlth 1$ not a mattw t￿￿[d￿ed as In￿p•￿t exaftlnatkn.
lfi th1$ reptyt In or¢erto wuble a ￿￿¥$1•￿r￿j ￿ the a¢¢ouftts to be
Spotllght Arctsuntlfig UMW ICAEW
Date
Spotllght Ac£ount(ng
Chartered AcC￿n￿n￿
Market Cham￿$
2b Market Plare
Sh6fnal
TFII 9AZ

Cuppa Squad
ststement of Financlal Actlvltles
For The Year Ended 31 Marth 2025
2025
Unre&trftt•d ReAtrlct¢d Tolal
fvnds
funds
nds
2024
Tolal
nd$
If4COMe AND ENDOWMÈNYS FROM:
Donattons and le9ade5
Irwestsnents
83.043
250
7.820 90.863
250
43,503
12
83.293
7,820
91.113
43,515
EXPEWDrnIAe ON:
Raising funds
Chadtable athltle5-
Hypo box85
152,n61 121,781) 174,$07) 148,594}
{215}
152,r261 121,781) 174,507) 148,809)
30.567
113.961)
16.606
15.294}
NET INCOME/(EXPENDrnIRE)
NET MoveMENT IN FUNDS
MECONCXUATION OF FUNOSt
Total fuThds ￿￿Ught forward
30,567
113.961}
16,606
15,294)
532
15,308
15,840
21,134
TOTAL FUND5 CARRIED FORWARD
14
31,099
1,347
32,446
15,840
The notss on pages 8 to 11 fomi part of flnandal statements.
Page S

Cuppa Squad
Comparatlve Ststement of Flnanclal A￿l￿tIeS
For The Yeor Ended 31 March 2025
2024
unrqgtr1et￿ R¢sirfet¢d Tot•1
fund$
fvnd•
lund#
INCOME AIID ENDowMeNTS FROM:
Donallons and 18gode5
Investments
7.158
12
36,345
43,503
12
7,170
36,345
43,515
EXPEIIDmiRE ON:
Ralstng funds
adtsble athtles:
Hypo boxes
{6.8131 {41.7811 (48,5941
(2151
(215)
16,813) {41,9961 (48,8091
357
{5,6511 (S.2941
EXPENDITLIRE
NET MoveMEMf XN FUNDS
RECONCILIATION OF FUNDSI
Total fitnds brought forward
TOTAL FUNDS CARIUED FORWAIiD
357
(5,6511 (5.2941
175
20,959
21,134
14
S32
15,308
IS,840
The notes on page$ 8 to 11 lo￿ part of these finarKlal statements.
Page 6

Cuppa Squad
statement of Flnancial Position
A$ At 31 March 2025
2025
2024
nd$
lund•
Trnglbl• A¥Sets
io
449
449
185
H9
449
18S
CURRENT ASSETS
Debto
Cash at bank ond In hand
xx
994
29,650
1,347
1,347
31.003
15.650
30.650
31,997
16.159
Crqdlloroi Amount• P•lllnB D¥• Wlthlft QM Y￿￿
1504 }
CIJRReNT ASS￿9 (LZABIUTIES)
30,650
1,347
31.997
15,655
TOTAL ASSETS CIIRRINT LEA￿u71￿1
31.099
1,347
32,446
IS.840
NeT ASSETS
31.099
1,347
32,446
15,840
FIJND$ OF THE CHARITY
Re5trlcted Funds
Unre5tr1rted Fundi
1,347
31,099
15,308
532
TOTAL PUt4D8
32,H6
15,840
On b•h•ll olth• board
20 Nov 2025
K Walker
Oate
Th• nota• on 8 tt+ 11 fr*rrn pjrt of the8e flnandal $th￿nIs.
9¢7

Cuppa Squad
Notes to the Flnanclal Statements
For The Year Ended 31 March 2025
1. 4enqr*l Xnf•vmallon
Cuppa Squad Is 4 tharIto￿e Incorwrated oryanlsation regist*d wlth the Chartty Comrnlsslon. reglstwed th¥ity number
1175348. The pHnclpal address IS 13 St Pauls Sguare, Blrmingham, B3 IAB.
2. A¢¢ountlng Pollcl
2.1. B•sl8 Ot Preparatlon ol Flnjndal Ststements
The financlal statements have been prepared In accordance wlth the Charfues SORP IFRS 1021"kcountlJg and
Reportlng by Chartties.. Statsment of Recommended PTrcty¢e appll¢abl¢ t• ¢harltles preparln9 thelr accourtts In
attordance ￿th the Flnandal Repordng Standard app￿ble In the UK Republic of IRJand (FR5 1021 (effe¢ty¥e I
January 20191", Flnanctal Reportlfig stsndard IOZ Tr Anandal Reportlng Standard appllcablE In the UK and Repltbllc
of Ireland. and the Charftles Act 2011.
The chadty Is a Publk Benefit Eft￿ty as defined by FRS 102.
2.2. Fund AcMuntlng
UTrre5ts1cted fuThJs ¢¥n be used In accord4nce wlth the tharltable oblectlves at the dl¥ryeYon ol the trwstees.
Restricted fund5 are to be used for spednc purposts as lald down by the donor.
Further explanatlon of the nature )nd purpose of each fund 1$ Induded In the notes to Ihe flnandal slatements.
2.3. Ineomlng Resources
All Income 1$ recognlsed In the Statement of Flnandal Actlvltles ono the thartty eThYtlement to the fvnts, It Is
probable that the Ineorne wlll be recdved and the amount can be measured re￿ably.
Expended
LIabIll￿¢S are recognlsed as expendliure ès soon 05 there ts a legal or constructyve obllgatlon commlttlng the ¢ho￿ty to
that expEndi¢ure, It Is probable that a trnnsfer of economlc benefits wlll be requlred In settlement and the arnount ol
the obllgatlon ¢an be measured rellably. Expendlture Is accounted for on an acrru415 ba$1$ and has be￿ classthed
under heading$ that aggregate ?11 cost related to the ¢*gory. whe￿ costs canrtat be dire¢lty ambuted to parucullr
headlngs they have beett allocated to actIvI￿$ OTh b basls conslsteTht wth the use of resouv¢e$.
2.5. Tan9lbl• Flxed AF¥èts and D•preclallon
langlble flxed assets are meosured at ¢ost less a¢oJmuL)ted dep￿¢14￿0￿ and any acoJmulated Impalmient10sses.
Depretlathn Is provlded at rntes cakutsted to wrfte off the c05t of the flxed assets, less thelr esumated resldual value.
ovtr thelr e¥pECted usefvl hves on the followlng bases..
ompLrter Equlprnent
iooh stralght Une
2.6. Taxatlon
The (harlty 15 exernpt frnm w as all Its Income Is tharlt¥ble and appl￿ for dwrlt4ble purpoges.
2.7. P•nsk>n•
The chartty operntes a defined penlan ¢ontrfbutkn 5theme. Contrfbuuons ère charyed 10 the Slatement ol Ftnandol
AdNlties as they become payable In attordant• wlth t￿ njleg of the ¥heme.
3. Incom* frnm gon•tloM and Legades
2025
T4101
funds
Donakng and 9lfts
Grnnts
76.461
6.582
76,461
14.402
7,820
83,043
7,820
90,863

Cuppa Squad
Notes to the Financial Statements (contlnued)
For The Yaar Ended 31 March 2025
2024
lunds
fvnd#
funds
Donatlons and g1ft5
Grnnts
7,158
7,158
36,345
36,345
7,158
36,345
43,503
Investment Income
2025
unro$trk￿ Llnrostrf¢t•d
lund$
24
ank Interest recdvab¢•
250
12
Net Inq>m•l(Expendlture)
The net Irthmel{expendlturel Is stated after tharglngllcredlUrvJ):
202S
2024
DWaUon ol tanglble nxed a56ets- owned
35
Is
Anatysls of Expendlturo
2025
Sypport
{s¢e note 7)
kn151ng
74.$07
2014
Athltl
deftak
dlrectty
Support
(see note 71
Total
Ralslng funds
Hypo boxes
48,594
48,594
215
215
215
48,594
48,809
Pagè 9

Cuppa Squad
Notes to the Flnanclal Statements (contlnued)
For The Year Ended 31 March 2025
2025
Ratslno
Employee costs
General adrnlnfj5tsal
Depreda￿0￿
50.874
35
74.507
2024
Employee cost5
Premlses expenses
GeneRI odmlnlslrnt
Depredatim
34.307
IIW2
Is
2Q25
2024
Wages and salarle5
Other pen￿on costs
32.775
947
48.993
33,571
No •mployoe5 ￿l￿ed benefits I￿￿K1* emww cost5) for the repwdry p¥lod of mwe rh8Th £6Q,000.
Avwaqe numberof ernploy¢es ￿rN¥j the year w•s: 212024: 2)
10. Tawlble Asxts
E4ulpment
s at l 2024
Addltlor
200
299
As at 31 March 2025
499
As at l April 2024
Provlded durlng the p¥lod
15
35
As al 31 Msrth 2025
..CONTINUED
P49• 10

Cuppa Squad
Notes to the Flnanclal Statements (contlnued)
For The Year Ended 31 Ma￿h 2025
Ilet Book Vwlue
As èt 31 Maffh 2025
449
As at l Aprll 2024
185
11. Debt•
2025
2024
Du• wlthln yur
Other lebtors
509
12. Credltors: Amounts P•lllrti Du• Wlthln On• Ya•p
20215
$04
13. PMBloo C•mmltffionts
The charfty operntes J d¢Aned contrfbLrtlon penilon 8ch•mo. Th• ol *¢h¢m• 4r• hold sepBrat•ly Irom thom Ol t
chorfty In )N Independently admlnJ8tered fund.
Dudng the y4)r the thlrye to the Bt•temqnt ol lI￿nd￿l •¢1fv1¥•s In r•sp¢rt of dafined Cr￿t￿tUtIon w41 £94712024:
£7961.
At the it4tem•rt of fln8ncl81 po$lUon dat• contrlbuUon8 of ENIL w•rt du• to th• fvnd •re Indudod In credltor*.
14. Mov•m•nt In Pund•
A• •t l Aprll
2024
Zn<om•
Ixp•nOl¢yr• March X128
Unra•trfrt•d lund•
Gener•l.'
Gtneral unrestrlcted lund
A••tridad fun41•
R¢strl¢ted lun
532
83.293
{52,726)
31.099
15,308
7,820
{21.781)
1,347
T¢)t•l fund•
15,840
9l,IlJ
174,S071
32,446
A• •t l Aprll
2023
A•at31
Ixp•ndltur• Plpv¢h 2024
Incarn•
UnM•trlcl•d fvnd•
nernl..
General unrestrfctqd fvnd
R•8irlctad fun
Re5tr1ct4d fund
175
7,170
(6,8131
532
20,959
36.345
(41,9961
15,308
21,134
43,515
148,8091
15,840
IS. knl•ted P•rty pl1d￿u￿
There arn no r•latad party tranM¢tlons 11urfng the reF*Jrtlng perfod.
P49•Jl

Cuppa Squad
Detalled Statement of Flnancial Artlvltles
For The Year Ended 31 March 2025
2025
TotAI
tundB
2024
Total
fun
INCOMÉ AND ENDOWMENTS FROM:
DonatiM$ affid hgaclaB
Donatlon5 and 9Jfts
Gnnts
76.461
14,402
7,158
36.345
90.863
43,503
Inwtments
Bank Interest re￿1vable
250
12
250
12
91,113
43.515
EXPENDmiRE ON:
Rai#in9 fund5
W¥ges and salarfes
per￿0￿ ¢osts
staff tsalnlng
Travel eXp￿Se$
(48,0461
19471
(32,775)
1796)
1370)
1366)
{2,4001
14541
14111
(1,8811
Computer sth8re costs
Insuran
PrfnUn9. Postsge )rtd ststtonery
Postsge
Meetlng costs
Advertlsing and marketlng rosts
Telephone & Internet
Accountaocy fte$
Legal fee5
(2821
(4241
(2211
(131
{I,oioi
{4,3481
(3731
{2,2641
{851
{13.7371
{3231
{1211
{397}
{35)
122)
1644)
(1,4481
12961
{2.0631
feES
Subxrfptlon$
Bonk ¢har9es
Sundry eXP￿Se$
Depreclouon
16,1751
(1841
(71
(1681
(15)
174,507)
148,594)
Charltable Actlvlll••:
Hypo box¢
Purchases
(215)
{215)
174.5071
148,809)
NEf INCOMÉ/(EXPENDmiRE)
16,606
15,294}
Pag• 12