Chaiity registration number 1180339
PRESS RED CIO
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 28 FEBRUARY 2024
TveeAccountaKy Limited
Chartered certifi￿ Accountants
3rd Floor Eastgate
Casue Streel
CastlefIeld
lanchester
PA3 4LZ

PRESS RED CIO
CONTENTS
Page
Trustees report
Independent examinevs report
Statement of financial acliirities
Balance sheel
Notes lo the financFal statements
7-15

PRESS RED CIO
LEGAL AND ADMINISTRATIVE INFORMATION
Trustees
T Napper
M ithite
G Hall
LNwman
Y Grlffilhs
S Ward
M Wlson
(Resigned 23 Marth 2023)
(Resigned 8 January 20241
Chalr
T Napper
Senlor management
MButh
Operalions dlrector
Charity number
1180339
Prlnclpal address
The Message Trust
Lan¢asler House
Harper Road
Sharslon IrwJusknalArea
Manchester
M22 4RG
Independent eknminer
Tree ACC￿nIanGY ￿Mited
Chartered Cerbfied A¢<¥#unlants
3rd Floor. Eastgate
Casue Street
Casllefield
M3 4LZ

PRESS RED CIO
TRUSTEES REPORT
FOR THE YEAR ENDED 28 FEBRUARY 2024
Thg IrustFes Ffesenl iheir annual report logelherwlh Ihe finandal statements for Ihe yearended 28 Febnjary 2024.
The finand81 slalements have been prepaTed in accordance with the accounting policies set out in note 1 to the
financial slalemenls and comply with Ihe charity's goveming documenL the CharitiesAct 20118nd 'Attoundng and
Repo￿ng by Charibes.. Slatement of Recommended Praclice applicable to charitses preparing their accounts in
a¢xord3nce wllh the Fin8nci81 Reportrng Stand￿d applicable In the UK and Republic of Ireland IFRS 102)"
(effective l January 2019).
Objectives and activities
The object of the CIO is the promotion in actr)rdan￿ vllth chrisb.an principles and frjr the public benefit of freedom
from violence and abuse against women and girf3 in par￿￿lar. but not exdusively, by la) running awarpne5S-raising
and educabonal programmes and events.. {b) signposting affwxed iftdividuals io sources of help-, Ic) providing
encouragemenl and a platform for charibes and oryanisations already Working in these a￿3$., artd Idl highlighting
opporiunilies and providlng tralnlng for Indiwdualsto kke actw.
Press Red is a UK-based CIO wth Ihe expressed aim of luming off the silence around Violen￿ against women and
glrts. Press Red works ￿th people of all frdilh$ or none. eduGaDng. equipwng. and empowering on the issues of
violence and abuse against women and girls. We make pegple awaie of the ir)justices which are happening both
worldwlde 8nd on our doorstep. providing them with ihe too15 and resource5 they need to make a difference. We zre
a lorce for change. 18ading a movement of people. djurches. and organisations who iefuse lo ac￿p1 the 51alu5
quo. and are committpd lo helping bring hope and healing inlo haming situations. We do this because we beligve
thal11 Is unacceptsble that any woman orchild is abused.
Public benefrt
The INstees confimi that they have complied thg requirements of sectk)n 17 01 the Charilies Act 201110 have
due reg¥rd lo the public benefrt guidan￿ published by thp Charity Commission for England and Wales.
ObjaetiV•S, 5ts3tegies andactivilies
During the year. Press Red executed acti¥iti¢s awss ils 4 key programmes. delivering these to groups in d)urches.
Workpla￿5, schools and youth groups. For èath of these programmes ihere has been training provided lo those
who deliverlhe cJJur$eslevents 8n(J Ihe supporting rrwterials have been enhanced and updated.
GRID Leadership Breakfasts are 'in-person' events tv engage dwrch. business and local publio sector leaders lo
Infomi on Issues such as domeslio 8buse. FGM, ￿li9￿u3 perSwjJ￿n of women and thild marriage.
School Lesson Programme supports the PSHE curriculum in secondary 5choo15 and sixth fom7 coIIBges by
presenting lessons ihiough the medium of musi& Shared 51orie5 and parbapatory exercises. This deliver5
oulcolnes that contribule towards keeping pupils safe and raising awareness of good, wholesome and positive
ftiendships. self-worth and value. Mongsde il helps pupils recognise unwhglesome and potential abusive atts'ludes,
behaviours and relallonships wlh practi￿1 steps to avoHI and prevent suth 51tuab"on&
Control is a powerful dramatssation th81 challenge5 one's understanding of thè fom15 of dom85bc abuse and 115
prevalenG9 in society. As part of the Press Red's activilies to raise awareness of wolence and abuse. this help5
peoFIB lo Ihink through the issues and aach production also indudes a Q&A time that promotes open dlscussion
8n(J opportunity for concems to be voiced.
Disruplor is a bystander intervention programme delivered through a hybrid onllneldassroom course. It equips
people lo know how lo respond to stluations where there is abuse occurrtng, to recognise se￿sM in different social
and wwk settings, and to provide the necessary lools and skllts lo positively challenge antl 'spe8k up, In siiuallons
they encounter. This progiamme has been deveh¥ed in partnership with Exeter Universfty and the material
presenled is used under li￿nCe frDm Ihem.
Press Red has run social media campaigns as a key tool in ￿ntinuIng to challenge the silence cfi matters of
olence and atr4Jse against women and Press Red aclively uses these thannels to reach a Mde audienre.

PRESS RED CIO
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY2024
Flnanclal r8view
The chanly has a surplus for thg year of £8.658 [2￿23 defi(it £21,432). Al the balance Sheet date the charity h8d
restricted reseNe5 of1£8621 (2022123 £740} and unrestrided reserves of £17,29812022r23 £7.038).
Golng ¢oncern
The charity has been fu11y-opefali￿al through Ihe ygar Ihe challenging enwronmenl for oblaining funding is
cOn￿nuing and makes longer term planning more drfficulL Individual donatiDns have generally remained steady bul
the abilty and proces5 10 5ecJJre grants has remained slow throughout the year. Whilst thls appears to be rellecied
across the sector. it has led to the continued tight conlrol on expendilure and keeping the core operaltng costs to a
minimum. The main operational activitie5 continue lo be handled by the Operats"on$ Director who is worklng ot7 a
contract basis.
Resenf8spoli¢y
Press Red acknowledges that. in order lo inuease its resilien¢¢ against unexpected events, it is appropriate and
pnjdenl for il to retain a certain am¢)unt of finanaal reserves. 11 is therefore the p0￿cY of Press Red lo keep
approximately one month's runnlng cosis in reserves to o)ver unforeseen emergencAes. Thls amount wll be
l¢ulaled based on Press Red's total predieted expendiiure over the rest of Ihe budyelary year (excluding any
variable Outgoings). As of the dale of this policy. no 5tep5 need lo be taken to achieve this level of reserve5. Thls
policy will be reviewed on an annual basLs.
Funds In d•fKit
At the balance sheet date the leS￿l*d funds are in defic
Principal funding sources
The Principal sources offunding are from ￿d￿Idual8 grants.
Structure. govemance and management
Nature of govemlng documènt
The charity 15 a Charitable Incoryjorated Organisabon and ig 9)vemed by ts ConsUtuilon. The charity wa6
reglslered with the Charity Commlssion on 16 Odober 2018.
Recruilment and appointment of truslees
Apart from the fir61 charity trustees. every trustee must ke appointed for a temi ol three years by a resolullon
ssed at a properly convened meettng of the charity truslees. Tnjslees are able lo serve more than one term. In
selecting Indlvlduals lor appointhienl as chaiity tnjstees. the charity trustees must have regard to thp skills.
knowledge and experience needed for the effectwe administration of the CIO.
Organisailonalstructurn
The final defisions for the charity lay vAlh the trustees. the day 10 day operatlons aro wlh ihe CEO who dBleyales to
the staff. Any major deosions. such as staff, financial, legal are laken by Ihe CEO to the Trustees.
Indu¢tlon and tKalnlng of tntstees
During ihe reporting period the inJslee$ were kept up lo date 8s ￿ their obligations with releren¢è to the Charity
Commission guidance on public benefit. No new truslees were appointed during the year. and tLVO 12) trustees
resigned.
Arrangements for sètting key manag•m•nt pavsonnel remuneration
This is done by tha trustees in accordance wth govemment standards.
Flnanclal instruments
Objectives and pollcles
The charity has basic financial inSlrumen￿ At pre5er* we do not feel Ihat there is unreasonable risk to the
Drganisatson or r(s structure.

PRESS RED CIO
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY2024
Slatoment of In￿t￿> rnsponslbllilies
trustees arg f89pon￿e fcf p￿paring the IDJ51eeg report and the fin￿Kaal stalèments in ac£gJidance the
Uniled lfjngthm Ar￿Unting Standards (UAled Gener81ty Attepted ALwJnb"ng Prnc*cel and appli<¥t4e
8nd regulauons.
The law appficable to charÈb45 re￿i￿S th8 trustees lo weparo finandal Slalanents lor eath financi81 year Y*ich
QN9 a iwe and fair vSew of the state of affairs of the dJ¥ity arKI of Ihe irKoffling resc4￿CeS and applicalton of
resource5 Qlthe chadty forthal peric*J. In ￿parIrrfJ Ihese finanual statements. the truslee5 are required lo:
• 8elect wlable ac￿l￿1n9 Fdrdes arKI then appty ttEm ￿nsI•,.
* obseNe tho rnethod$ aNJ wini>pks in the ChJilies SORP:
. makejudgements and e5tvnales Ihat are reas￿ble arKI pnthrt
stalé whetherappllcable acuuntriy Sta￿￿#[d$ have been fdlowed, 5ul4ed to any materfal
deparlum thsdosed expjarned in the fina￿al slalemenb: and
. prepare the finanual statements ¢)n the 9c¥ng Conce￿ basi5 unlgss il is th)appwi* to preswne that the d￿rffy
wlll conlKiue Ni tyJsEnes&
The inJstee8 are responsli Jle for WiThJ proper a(xwntsvJ reoyds that di8dose Vllh ai 8ry
time Ihe ffinanCi￿ postion of the thaity and enatye to ￿SUre Ihat the financial staterrnnts ￿)mplY with tr
Char(bes Ad 2011. the a￿l¢able char￿eS IAco>Jnts and Rep￿ts) Regulations. and the wovrsions of the
)n3bfution. The truslees a￿ also respowble for saf￿¥d11￿ the assets of Ihe dtsrfty aThJ hence for tskty
reasonable steps for the preventica and detecti￿ of fraud othw iffegularthes.
The tW8lees rewtwds ap￿ tythe 8owd ofTn
T Napper
Chalr and Trusteg
l.L4 .L¥.12og.¥

PRESS RED CIO
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF PRESS RED CIO
I ￿p(¥t to the trustees on rny examination of Ihe financ4al ststemenls ol Press Red CIO (the charrty) for the year
ended 28 Fgbruary 2024 whith are $8t oul on pages 5 to 15.
Responsibilities and basis of report
As the Iru5tees of the charity you are responsible for the preparatw)n of the financial slalements in accordance with
the requirements of the Charitles Act 2011 Ilhe 2011 A¢fJ.
I report in respect of my examirÈalton of the charity's financial 51at8ments carried oul under section 145 of Ihe 2011
Act. In carrying out my examinalion I have followed all the app￿Cable Direthons given by the Charity Commission
under seclion 145(5)OJl of the 2011 Acl.
Independent examinerfs statement
Your allpnlion is drawn to the fact that the charity has prepared finaT￿[al statements in accordance wlh Accounting
and Reporting by Charilies preparing Iheir a¢￿￿nIS in accordance wtth the Finandal Reporting Standard applicable
in the UK and Republic of Ireland (FRS 1021 in p￿feren12 to theAceiiunting and Reporting by Charities- Slalernenl
of Recommended Practice issued on 1 April 200S whith is referred to in the extant reguEalions bul has now been
withdrawn.
l understand Ih81 this has been done in or(ler for finano¥al statements to promde a true and fair wew in accordance
with GenerallyAccepted A￿untIng Pra¢Xice effedive for reporting periods beglnnlng on or aftei 1 January 2015.
I have CDM￿eted my examinab"on. I r￿fIrM thal no matters have come to my attention in connedion with the
examination gNing me cause lo befieve that in any material respect..
accounting records were not kept in respect of Ihe charity as requi￿(1 by section 130 of the 2011 Act; or
Ihe financial statemen15 do not accord wlh Ihose records- or
Ihe finanaal slalemenls do not comply with Ihe applicable requremenls 0)￿MIng Ihe form aftd tont&nl of
accounts set out in the Charitses (Accounts and Reports) Regulations 2006 other than any requirement that the
accounts glve a true and (alr view whlch Is not a matter consldered as part of an independent examination.
I have no cone£ms and have come 8uoss no other m8tters in ¢onneclion wth the eyaminab.on ID which attention
should be drawn in this report In order lo enable a proper understsnding ofthe ￿nancIal statements to be reached.
Nicholas Hynes FCCA
Tree Accountancy Limited
Chartered CerlthedA¢countants
3rd Floor, Eastgale
C8sde Street
Casuefield
M3 4LZ
Dated: ..l.¢a

PRESS RED CIO
STATEMENT OF FINANCIAL ACTMTIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 28 FEBRUARY2024
Unrestricted Restricted
funds
funds
2024
2014
Total Unrestiicted Restrictsd
funds
funds
2023
2023
Total
2024
2023
Notes
Incomo from:
Donallons and legacles
Charilat4e aclfvittes
33,416
10.WO
43.416
43,997
17,418
43,997
17,416
Total income
34.3
10.(TrJO
44.396
61.415
61.415
Gharflable acuvilles
24,136
11,602
35,738
62,050
20,797
82,847
Net ineomellexpenditure)
10.260
{1.602)
8.658
(635)
120,79n
121,432)
Tf3nsfers beiween
Jnds
11.$501
1.550
Net mov•m•nt In
fvnds
10.260
11.602)
12.1851
(19.2471
21,4321
Reconcillation of funds:
Fund balances al l March 2023
7,038
740
9,223
19.987
29,210
Funfl balances at 28 February
2024
17,298
16,436
7,038
740
7,778
The 5tstement of finan￿al ath"vrtie5 ndudes all gains aTrJ losses reu)gnised kn the year. All income and expenditure
derive from conllnulng acti¥ilie$.

PRESS RED CIO
BALANCE SHEEr
AS AT 28 FEBRUAR Y2024
2024
2023
Currnnt ass•ts
Debtors
Cash at bwk 8fKI in hand
218
18.618
218
Credito￿. amounts Falllng d￿￿47th1n
ong yoar
18.836
10
8.978
2.4tKI
1.2Q)
Nei ￿rrent¥3s81s
1&438
7.778
Tho funds vfthe charity
RestrT(*ed *Jnds
Unrestrb#ed fvnds
12
(8&21
17.298
740
7.038
16.436
7,T18
The finawal stalements apwoved by the tsusteoscm..al. .
T Napper
CIMtrand Trust8e

PRESS RED CIO
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 28 FEBRUARY2024
Accounting policies
1.1 A¢¢ounttng Conventlon
The finandal Statements have been prepared in aixordance wtth ihe thartty's Accounting and Rewrting by
Charities. the Charilies Ac# 2011. FRS 102 -The Financial Reporttng Standard 8pplScable in the UK and
Republic of Ireland. I'FRS 1021 and the Charities SORP"Accounting and Repurting by CharSttes.' Stalemenl
of Recommended Pradice applicable lo charities preparing their accounts in accordance with the Financiaj
Reporbng Standard applScable in the UK and Republic of Ireland (FRS 1021" (effeclSve 1 January 2019). The
charity is a Publio Benefrt Enlity as defined by FRS 102.
The charity ha5 taken a(Ivanlage of the provisions in the SORP for chariltes nol lo prepare a Statement of
Cash Flows.
The financial statements have departed from the Chaiibes (Accounts and Reports) Regulallons 2(MJ8 only lo
the Èxtent required lo provtde a tnEe and fair view. This departure has involved fouowng the Statement of
Recornmended Practice for charities apPI￿ng FRS 102 rather than the version of the Stalemenl of
Recommended Pratxlce whith is refer￿d to in Regulations but vthich has since been wilhdrawn.
The finand81 statements are prepared in sterling, whith Is the functional c#Jrrency of the charity. Monetary
amounts in thgse financ4al slatemenis are iDunded to the nearesl £.
The financ4al statements have been preparèd under Ihe htthrical cost convention. The prinapal acrDunling
poliiies adopted are set oul below.
11 Golng ￿ncern
At Ihe time of appwng ttie financial slaterr*nts. the tnjslees have a reasonable expectation th81 Ihg ¢harKy
has adequale resources to continue in Dperational existence for the loreseeable fijture. Thus the tru51ees
continue la adopt the going concern basis of accounting in prepaiing the finan￿al staiements.
1.3 Charltsble funds
Unrestrided fvnds are available for use at the discretion of the truslees in fullherance of Iheir charitabl&
obj9¢11ves.
Reslrided funds are subject to specafic CondiD(￿S by donors or grantors as lo how they may be used. The
puipose5 and uses of the restricted funds are set oui in lh9 notes io the fln8n￿al slatements.
Endowment funds are subject to specffic c•)n(Illlon5 by dOr￿S Ihat the capital rnu51 be mainlalned by the
charity.
1A Income
Volunlary income Induding donatfons. gifts. legacies and grants that providè CO￿ funding or a￿ of a general
n81ure 15 recognrsed when the charity has entiuement to the rncome. it is probablè Ihat the income will be
receiv9d 8nd the omount can be measured with sufficient rellabll ity.
Cash donations are recognised on ieceipL Othei donallons are reccsnised once thp charity has been notifled
of the donalion. unless performance condilions require deferral of Ihe amount. Income tax recoverable in
rejalion lo donations receiveil under GrfiAld or deeds of covenant is recognised at the time of Ihe donation.
LegacAes a￿ recognised on receipt tr othenyise rf the tharfty has been notified of an impending di51ributton,
the amount is known. and receipt Is expected. If the amount is not known, the legacy is treated as 8
¢)Jntingent assel.
Grants are reoognlsed when the tharity has an entitlernent lo the funds and any condillons linked lo the
grnnts have been met. whe￿ performant% condlllons are att8ched lo thp grant and are yel lo be mel. the
Income is recognised as a liability and induded on Ihe balance sheet as deferred income to be released.

PRESS RED CIO
NOTES TO THE FINANCIAL sTATEMEP￿s (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY 2024
Accounting poliGies
(Continuedl
1.6 Expendlture
Expenditu￿ Is ￿cognIsed once there is a legal or constructive obligation to transfer ÈCDnomic beneffil to 8
third party, (( 1$ probab]e Ihal a transfer of economlc benefits ￿11 be required in settlement. and the amount of
the obligation can be measurEd reliably.
Expenditure is dassif19d by acliwty. The costs of each acbvity are made up of the totsl ol direth ￿$1S an(F
shared costs, induding support cos15 involved in undertaknng eath acbwty. Direct costs attributable lo a single
act5￿lY are allc¢ated diredty to that actmty. Shared costs which contribute ta more than one acb.vty and
support eosts which are not atribulable to a single a¢JJth ale apportloned between those activities on a basis
consistent wilh the use of resources. Central staff costs are allocated on the basi5 of tim& spenl, and
Ilepreclauon charges a￿ allocated on the portton of the asset'5 use.
Support costs
Support costs indude cenlral funcllons and have been allocated to adivity cost categories on a bas13
conslstent with the use of rÈ5ources, for example, allocati1￿ propeity costs by Iloor areas, or per capital, staff
costs by Ilme S￿nI and other costs by their usage.
Chwitable activifyes
Charitable expenditure comprises Ihose costs In￿rred by the cha￿Y In Ihe delNery of its aclNtties and
services for its beneficiarie& It inrludes both costs that can be allocated drectly to such activities and Ihosg
costs ol an indliefA nattjre nece53ary to support them.
Governance
Govgman¢x GDSts incjude the costs atlribulable lo the 4*arity's compliance with constiluttonal and Si￿ul0ry
requirements. induding audi( str*egic management and trusleE'S meeting and reimbursed expenses.
1.6 Tangible flx8d as$ets
Tangible f￿ed assets 8re inlllally measured al cost aThl 5ubsequenty measured al cost or Yaluallon, net of
depreualion and any impairment losses.
Deprect8llon Is re¢ogni5ed so os lo write off the cost or walualion of 8ssel$ less Iheir residual values over their
useful lives on the follo￿ng bases-.
Fixiures and ffttlngs
3 year straght line
The gain or1055 arising on the disposal of an asset is delennined as the differertce bets¥een the sale proceeds
and the carrying value of the asset. and is recognised in the slatement of financial activities.
1.7 Cash and cash equival&nts
Cash and cash equivalenls indude cash in hwd. deposlls held 81 I￿11 wlth banks. other short-lemi liquid
investments with original malurilies of three month5 w less. and bank overdrafts. Bank overdtafts are Shown
within boffowlngs in Current liabilities.
Financial instNments
The charity has elected lo appty the pr￿1$ton$ of Secllon 11 '8aslc Flnanaal Instruments. and Section 12
'OtheT Finanaal Instruments Issues, of FRS 102 to al of its financial instruments.
Finano31 instrurnents are recognised in the charivs balance sheel when the d)arfty be￿MeS party lo the
contractu81 promsions of the inslwmenL
Financial assets and liabtlities are offset, with the net amounts presented in thè finanoal slalpmenls, when
there Is a legally enforceable right to sel off Ihe recognised amounts Bnd there is an intsnb.on lo settle on a net
basis orto realis8 the asset and settle Ihe liability simuliangously.

PRESS RED CIO
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY2024
Accounting policies
(Continuedl
Basie financiala55ets
Basic financial as5e15. which indud& debtors and cash and bank balances. are in1lial￿ measured at
tr8ns8dion price induding transaclion costs and zre 5ubsequendy caNied al amortised cost using the effectlve
Interest method unless the arrangemenl constrtules a finanung transaction. where the Iran5action is
measured at the presenl value of the future ￿CeIpts discounted at a martet wale of interest. Financial assets
dasslfied as re￿1vable within one year are not Zmortised.
Basic financial liabilities
Basic financi￿ liabilities. indudlNJ creditors and bank loans are initially reeognised al transaction pric& unless
the arrangement constitute5 a finanang tr3ns8dion, where Ihe debt instrument is measured al Ihe pre3enl
value of the future payment5 discounted al a maiket rale of inlerest. Finanual liabil￿9$ classified as payable
thin one year are nol amfmtised.
Debt inslrumenls S￿ subseqvenuy carried at arnoitised cost, using the effective inlerosl ralo method.
Trade cTedilors are obligalions to pay fw goods or semces that have been acqui￿d in the Ordinary course of
operations from suppliers. Amounls payable are dassÉfted as current kbilities if paymènt is due wthin ong
year or less. If nol. they are presented as nOr￿￿ent Ilabilities. Trade ueditors 8rÈ recognised initially
Ir4nsaction price and sub5pquently measured al amoJ1ised cost using the effective interest method.
1.9 Taxauon
The charity Is considered lo pass the iests set oul in Paragraph 1 Schedule 6 01 Ihe Finance Act 2010 and
Iherefore il meets the definibon of a charitsble company for UK Corpor811￿ tsx purposes. Accordingly. the
charity is potentially exempl from iaxation in respect of incorne 01 ￿pIlar gains received wilhln categories
covered by Chapter 3 Part 11 of the Corporation Tax Act 2010 or Section 256 of the Taxation ol Charg8abl
Gain5 Act 1992. to the exlenl Ihat suth income or galns are applied exclusively io charitable purpose&
1.10 Employee benefits
The o)st of any unused holiday enlltlement is recognised n the pwiod in which the employee's servtces are
received.
Temiinalion beneflts are recognised immedialety as an expense when Ihe charity is demon51rabty committed
to tominale the employmènt of an employee or lo pro￿de lemiinalion beneffts.
1.11 Retlrgment benefits
Payments lo defined contsibulion retirement beneft sthemes are charged as an èxpense as ihey fall due.
Income from donation5 and legaci8s
Unrestricted Restrlcted
funds
funds
2024
2024
Total Unrestricted Restricted
funds
funds
2023
2023
Total
2024
2023
Donations and gifts
Grants
11.416
22.C(Kl
11.416
32.0
42.497
1,5(>J
42,497
1,500
10.LhJO
33.416
10.000
43,416
43,997
43.997

PRESS RED CIO
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY2024
Income from donations and legacies
(Continued)
Unrestrlctsd Restrl¢ted
funds
fvnds
2024
2024
Total Unrestricted Restricted
funds
funds
2023
2023
Totsl
2024
2023
Donations and gift5
Donations
Gia aid reclaimed
Regular giving
6,681
574
4.1 61
6.681
574
4,161
20,348
4.884
17.265
20,348
4.884
17.265
11,416
11,416
42.497
42.497
Expgndlturn on charftabl• actlvltle$
Support
costs
2024
Support
costs
2023
Direct costs
Staff cosls
DeprecAation and impainnent
Telephone
Insurance
CM3uttanvJ
DDnor relatiDns
Project rnanagement
so￿al medla
Head of volunlgers
Admin
Chief execyjtive
Oiher resources
Computer
Atxounlancy
90
56,238
58
145
96
2.423
5,940
11.153
132
179
2.382
202
562
1,415
1.922
513
218
24,737
8.202
272
1.250
35.738
82,847
Analysis by fvnd
Unreslricted funds
Resiricted funds
24,136
11,602
82,050
20.797
35,738
82,847
10-

PRESS RED CIO
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUAR Y 2024
Net movement in fund
2024
2023
Net movgment in funds Is slated after chaoingl(crediting)
Fee5 payable for the Independenl review of the fmanL¥al $talements
Depreciation ol ovmed tangible fixed assets
1.21x1
1.21XJ
58
Trustees
None of the tN91ees (or any persons connected wth Ihem) received any remuneration or benefits from the
charity during Ihe year.
Employees
The average monthly numberof ern￿OYeeS during the yearvrn5:
2024
Number
2023
Numb•r
Employment ¢osts
2024
2023
Wages and salaries
Other pension costs
55,260
978
90
90
56,238
1 (2023- 1) of the above employees parliripated in the tlefined Contribution Pension S(*emes.
Gonlribulions to the employee pengon sthemgs for the year totalled £90 (2023- £9781.
wtlh the exceptson of Ihe Chid Exe(xrtÉve and Head of Vdunteers the charity used consullanls lo perfom the
Nnning of Ihe charity.
There were no employees whose annual wemuneradon was more Ihan £60.DOO.
Taxation
The chgrfty Is exempt from tsxalion on its ac11￿lIeS because all its income is applied for tharttable purposes.
11

PRESS RED CIO
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY2024
Tangible fixed assets
Flxtur6s an
Illng$
Cost
Al 1 M8rch 2023
1,276
Al 28 February 2024
1.276
Depre¢latlon and Impalrnient
At 1 hdarch 2023
1.276
At 28 February 2024
1.276
Garrylng amount
At 28 February 2024
Debtors
2024
2023
Amounts falling due within one yer.
Olher debtors
218
218
10 Cmditors: amounts falling qlue wlthln one year
2024
2023
AccnJal3 and deferred income
2,400
1,200
11 Retirement ben•fft schemes
2024
2023
Dgflned contribution schenws
Charge to profil or103s In respect of defined ¢xnldbullon schemes
90
978
The charity opgratgs a der￿ed ￿ntribUtion pens*)n scheme lor all qualrfw.ng employees. The assets of the
Scheme are held separalety from those of the charity in an independenlty admlntslered fund.
12-

PRESS RED CIO
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY 2024
12 Restricted funds
The reslrlcted funds of the tharity rnmprise the unexpended balances of donations and grants held on trus1
subject lo specrfic condibon5 by donor5 a5 lo hDW they may be used.
At 1 Maroh
2023
comlng
Soy￿eS
Resources
expended
Trnn$f¢rs
At28
February 2024
(20.057)
20.797
10.OUU
(11.602)
(21.6591
20.797
Rank Grant
740
lo.0￿)
(11.60¥
(8621
Previous year:
At 1 March
202Z
kneoming
resources
Resources
expended
TrnMlev¥
At28
F•brnary 2023
Control
GRID
Schools Worf(
Rank Grant
Granl re CE
(2.291)
3.311
40
18.227
700
2,291
13,3111
(20.7971
2.570
700
19.987
(20,797}
1.550
740
13 Unrestricted funds
Tho unrestricted funds of the charity comprise the unexpended balances of donation5 and granls which are
not subject to specific condrtlc￿S by donors and gr8nlors 8S to how they may be used. These indude
deslgnaled funds which have been set aside out of unrestricted funds by the twstsas for specific purposes.
At 1 March
Incoming
2023 resouKes
Resourtt$
expendgd
Transfers
A128
February 2024
Control
Schools
Disruptor
Grid
terature
General funds
680
10.542
4.230
86
1.080
(9.580)
10,K12
4,578
86
1,352
1300)
272
33.416
(24,1361
7.038
(24.138}
17,298
13-

PRESS RED CIO
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY2024
13 Unrestricted funds
(Continuèd)
PYevlou8 year:
Al l March
2022
Incoming Resources
resources
expended
Trnn5fe
At28
Fobruary 2023
Control
Schools
Disruptor
Grid
Llterature
General funds
680
10,542
4,230
86
1.080
(9,580)
10.542
1.080
44.797
9.223
(62,050)
11,5501
9.223
61.415
{62,050)
11.5501
7,038
The specific p￿￿ose$ forwhlch Ihe funds are to be applied are as follow5..
Control is a hard hiitlng drama about a ￿Uple kn an abusive relationshtp. 11 tharts Ihe course of their
relalSonship and shows how co8￿ve ￿)ntrOl begin5 and grows. Atong wilh the drama we have Fersonnel
present who can debrief and help anyone for whom il raises personal i55ues.
GRID is a breakfast evenl for leaders introduang them to variDus forms of alyjse against WDmen. The aim is
to raise awareness thal Ihis happens and start a conversalion in the be￿een Ihem about how they Gan
respond.
Schoob is going into schools to educate students about violence against women. This can take many forms,
both in the schools and meeting with glrfs who the school has Ide￿ified as being espeaally vulnerable t
abusive relalionships.
Rank grant Is for Ihe paymeni olthe CEO salary. The CEO salary 15 covered for a period of three years.
Grant is for the purchase DI equipmenl. This 13 for tablets conneLYed to Ihe GRID breakfasts. to use for
VIe￿ng Mdeos In small gTOUPS.
Literature involves selling books Ihat address vlolence and abuse against women and girts (VAWG) at 115
events. These are publldy avwl8ble published book5 authoTr with experience in thi5 field.
General funds covers core Gosts (admin. managemenl. expenses. hosting trainings and 9vents, safeguarding,
insurance. IT elc) and all other costs not funded through r851rÉcted lund income.
14 Analysis of net assets between funds
Unrestricted
lunds
2024
Restrlcted
funds
2024
Total
2024
At 28 February 2024:
Current assetsllliabflilies)
17.296
1862)
16.436
17,298
{B62)
16.436
14-

PRESS RED CIO
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 28 FEBRUARY 2024
14 Analysls ot net assets between funds
Icontinued)
UnTr5tricted Restricted
funds
funds
2023
2023
Totsl
2023
At 28 F8bruary 2023:
Current assetslffiabdities)
7,038
740
7.778
740
7,778
15 Relatsd party trdnsaclions
The￿ were no disdosable relaled party ITansadions the year12023- none).
15-