Trustees. Annual Report for the period
P.eriod start date
Period end date
Daffll Mon01th YeafJ)
24
Day31
lonlh12 1 Year202
From
Section A
Reference and administration details
Charity name
Ripple Effect- Lancaster
Other names charity is known by
WA
Registered charity number {rf any)
1177095
Charlty's prlnclpal address | 9 First Terra
I Sunderland Point
. Morecambe
i Postcode LA3 3HR
Names of the charity trustees who manage the charity
TnJ>tèè namè
Olfiee (if ary)
Narne of person lor body) entitled
to appolnt trustee lif any)
¥Jholo ye•r
1 Carole Roberts Treasurer
2 Julie Vallance
Secretary
3 Brian Holmes
Trustee
4 Tom Vallance
Trustee
Names of thè trustees for the charity, If any? (for example, any custodian trustees)
! Name
| Datss acted if not for vthole year
INIA
Names and addresses of adviser5 {Optional information)
Type of adviser
Name
Address
TAR
March 2012

Section B
Structure, governance and management
Description of the charlty's trusts
Type of goveming document | The present constitution of the Ripple Effect Charity was approved by the
charity commission on 6th September 2022
,' To pmvide relief to Refvgees and those seeking Refugee status
thmugh the provlsion of clothlng. sleeping bags, food. tents and
, such other lten￿ of aidas the trustees may in thwr absolute
, discrefyon deterniine.
How the charity is constituted ,
l The Chatity is constituted as a Charttable Incorporated Organisation
Trustee selection methods We still have four Trustees and the roles have remained the same. Carole
Roberts Treasurer, Julie Vallance Secretary.
Tom Vallance responsib￿ for our website
Brian Holmes - Chairperson
Additional governance iMues (OP￿onal information)
A Health and Safety Checklist would nonnally be completed by
volunteers before commencing volunteering tasks.
Other charitieslagencies worked with over the year, to help with aid
donations and transportab'on of aid to Gree
SJ Bargh's transwrtation and ltyistics
Amiadillo storage facilty
Roberts recyding centre
Offene Amiour- charity in Chios, Greece re￿Iving our aid
CESRT- Chios Eastem Shore Response Team
YasaTrans transportation to Greece
Refugee women's ￿ntre
The Cfverton Crafy Sewing Group
Care4Calais
Women's aid Preston Hospital
Insurance Details
PolicyBee LLP
A 14 Brightwell Bams.
Waldringfield Road.
Ipswch
Renewed 9th March 2024
To be renewed Marth 2025
TAR
Mar(* 2012

Section C
Objectives and activities
TAR
Marth 2012

' To provide relief to Refug*s and those seeking Refugee status
through the provision of clothing, sleeping bags, food, tents and such
i Other items of aid as the trustees may in their absolute discretion
I determine.
The Trustees continue to give their time voluntarily and re￿1ve no
beneffts from the charity. Any expenses reclaimed from the charity are
set out in the treasurer's reFJOrt.
The Trustees review the aims, objectives and actFvities of the charity
each year. This report looks at what the charity has achieved and the
outcomes of rts work Sin￿ January 2024 to December 2024
infonnation is regularly updated on social media and our website.
., The Trustees report the success of each key activity and the benefits
the chanty has brought to those groups of people it is set up to help.
The review also helps the Trustees ensure the chartty's aims,
objectives and activ￿eS remain focused on its stated purpose.
i The Trustees confirm that they have referred to the guidan￿ contained |
in the Charity Commission's general guidance on public benefit when
reviewing the Charty's aims and objectives and in planning future
activities.
.4CHIE'J&l4t-_N I S AND DtRFORTrAANCE
' Continued to collert and receive aid, throughout these three
' months. Aid was sorted, boxed. latelled aNJ stored, ready to be
collected or shipped when requested.
Toula from the Offene A￿e chanty. contacted us to ask for hèlp to
provide leggings and joggers for refugees in Chios Greece. We agreed
Summary of the objects of the I to send a money donation to enable them to source these ttems locally.
charity Setout in its governing
document
i A number of aid pallets sent to Offene Amie Chios, Greece.
Summary of the main activities |
undertaken for the publlc
benefit in relation to these
objects (include within this
section the statutory
declaration that trustees havè
had regard to the guidance
issued by the Charity
', Anne and Eric collected many of our full aid boxes, to be taken to Caré |
Commission on public benefft) , 4 Calais. where the aid we had collected, would be distributed in the
TAR
March 2012

Section E
Financial review
Brief statement of the
charity's policy on reserves
' Surplus funds remain in a savings account. (￿r aim is to have sufficient
, funding at any time to enable us to transport cMJr aid.
Detsils of any funds materially
in deficit
Further financial revlow details (Optional Information)
You may choose to include
addrtional information, where
', Pnnapal fvnding comes from our own ftjndraising events.
relevant al)out'.
l Goods are donated and those that are suitable for our purpose are
I distributed to those in need via various sources.
the charity's principal
sources of funds (induding
, Anything that isn't suitable is recycled to raise fiJnds- Roberts Recycling
for dothes. Table top sales, Facebook Marketplace sales and similar.
any fvndraising).,
Most of our expendrture has been spent on shipping our aid. Provisionof
how expenditure has
aid is our key object.
supported the key objectives
,, only maintain a small saviThJs account alongsid8 our current account
of the charity.,
. as our funds are never suffiaent to tie up long temi.
investment policy and
objectives including any
ethical investment policy
adopted.
Section F
Other optional information
Section G
Declaration
The trustees declare that they have approved the trustees, report above.
Signed on behall of the Charity's tntstees
Signaturels)
Full narrrfs)
iihie VALWNe£
Position leg Secrelary. |
Chair, etr)1 £1
( I￿.
TAR
March 2012

CHARITY COMMISSION
FOR ENGLAND AND WALES
Receipts and payments accounts
CC16a
For the perlod
from
To
Section A Receipts and payments
Unrgsthcted
funds
Restrlcts
d funds
End0￿?￿ent
funds
Totsl funds
Last y•ar
11&81P5tf
tolh•n*ru5t£
to ne•Mt£
iothe neargst £
'A1 Recèlpts
DorHtions
Fund R81S
Bankinterest
1271
1,916
1079
41
1,079
41
Sub total(Gmss income forAR)
A2 Asset and Investment salgs.
{$ee tablèl.
3.187
Sub to
2.OLXI
3.187
A3 Paym•nts
Insuran
Refreshrwt*H09Prtalrtymwnkyou
Ichristmasl
Swe Unil &xp&idilure it BID £85
d pUrth￿S
Sum Up Card re*r purdw5e
AKI transp)rtslyJn
b Site wnlensn
Pr￿tiry & St*onery
267
79
79
8$
450
3T
97
3,205
374
65
65
Sub total
29
1929
4,512
A4 Asset and Investmènt
purehas¢6, (sle tsblel
Sub total
2,929
1929
4.512
Net of ro¢wpts/{payments) .
A5 Trdnsfers between funds
A6 Cash fund¥ last yearend
Cash funds this year end
929
929
1,325
3.164
1235
2,385
2.235
Section B Statement of assets and liabilities at the end of the period
Unrestricted
fund$
nBirest£
Gategories
Detsi18
Restricted funds
Endowment
funds
to ne•r06t£
ii) twrost É
81 Cash fvnd8
CCXX R1 accourrts ISSI
1810112024

1207
Total cash funds
1235
unreS￿eted
fvnds
Restrictod funds Endowmenl
fun(Is
to no*qgt£
Details
B2 Other mon•t#ry assets
to r*rpst£
D•tsi
B3 Inve8tment assets
C09t loptkmaTI
CurwEn¢¥alu•
loptiornll
()•tsils
FuNJto *thich as
B4 Assets retsined for the
charlty's own use
Co81{0￿[￿nary
Curr8rtv8lue
loptionall
Detsils
FuThJ to *thiEh
lialylty reltss
85 Liabllitie$
Amount
loptyonaty
When due
lopyonal)
s￿Jned by on8 or tsvo b￿Sle•S or¢ tréhall
of all th8 trustees
Print Namè
Date of approval
£(515•
06 EfL
Datè