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2026-06-30-accounts

Charity registratiott numbèr 1180339 PRESS RED CIO ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 JUNE 2026 Tree Ac¢ountst)cy Umited Charte￿d ¢t￿fied Accountants 3rd Floor Eastgatè Castl• Str••t Castl8fi•ld Manchester M3 4LZ

PRESS RED CIO CONTENTS Page Trustees report Accountanfs re￿l Statement of ffinanaal aclibilies Balance sheet Notes to the financial stat￿nIS 7-12

PRESS RED CIO LEGAL AND ADMINISTRATIVE INFORMATION Trustees T Napper G Hall Y Griffths M Wlson Chair T Napper Senior management M Bucknor Operations direGlor Charlty number 1180339 Princlpal address The Message Twsl Lancaster House Harper Road Sharslon InduslrialArea Manchest PI22 4RG Accountsnts T￿eAC￿un1anCY L¥nited 3rd Floor. Eastgate Castle Street Casllefietd IA3 4LZ

PRESS RED CIO TRUSTEES REPORT FOR THE YEAR ENDED 30 JUNE 2026 The ts7JStees present Iheir annual report tcgelhw with the fmantial statements forthe year ended 30 June 2026. Tho fmarKial Statements have bBen prepared in aox1rd3￿£ wilh the awounting pdicigs set t)ut in note 1 to I finano81 slalements and comply wilh the chari￿$ governing doJJmenl. the Charrts Act 20118nd'Accc4Jnling and Reporting by Charities". Statemenl of R¢￿rnMended Practse applicable to cknarities weparuig their acuunts in acc4)rdanTr with the Finan(xal ReFKJrbrg Standard appfThbte in the UK and Republic ol Ireland (FRS 1ff2)" (effective 1 January 2019). Objectives and activities The otiiecl of the CIO is the promotion in accordance with Chrislian princgpfes and fcf the public benefit of Ireedom from vlojence and abuse against w(Knen ano girfs in particular. bul nol exWusiveJy. by la) njnning awaieness-ralsing and educational programmes events". (bl signposting aff¢iaed individuals to sources of help., (cl providing encouragement and a plaifomi for chariti.es 8nd org8nisatrJns al￿adY woth.ng in these areas., and (d) highlighting opportunities and providing tralning for Individ￿ tot P￿$$ Red Is a UK-b8sed CIO the expressed aim of bjming off the silence around Violen￿ against women arKJ glrfs. Press Red works people of all failhs or none. educating, equipping. and empowewing on the issues of vkjlence and atJse against women and 9lrts. We make Feopte awafe of Ihe injuskes which are happeniThJ both worf¢thYKle and on our doorstep. providing them wth the I0￿S and resour¢es they need lo make a diffeience. We are a force for change. leading a movernenl ol peo￿e. thLFrchès. and organisations who refuse lo accept the slalu5 q￿. and are cornmilted to helping bring hope and heaffing into harrowing siluation$. We do this becausewe believe th it Is unacc8Ptable that any woman or thild Is atAased. Public benefit The trustees (Jnfimi Ihat they Ewe umipled with the requiremths of se¢b"on 17 01 the CharitiesA¢t 201110 have Ijug rggwd lo the publt¢ benefft guidaKe published by the Charity Commlsslon for England and Wales. Objectives. sirntegies anda¢iivilies L)uring the year. Press Red incxeased the number of prf¥rammes rt operates from 4 to S. deliverlng these to groups In churches. workplaces. schools and youth groups. For ea¢h of these pfogrammes there has ￿en traSning provided 10th05e who delbvef the cowseslevents and the 5￿portir9 materia15 have treen enhanced and updated. GRID Leade¥ship Breakfa51s are 'iFwerson' events to eTrJage thurch, bu&ness and local public Sector leaders lo infomi on issues such as domestic abuse. FGM. relwbjus ￿rSerI￿1l0n of women and child marriage. School Lesson Prcgramme suppcffts the PSHE ojrriculum in secondary schools and sixth fomi colleges by presenling lessons through Ihe medium of mu$io Shared stories and parbupatory exer￿Se$. This delivers outcomes that conlrthte lowaids keeping pu￿1S safe and raising awareness of good. wholesome and postuve frtend5hips. self-worth and value. Afryshle il helps pupils rerxgnise unwhole50me and potential abusNe atbtudes, behavl)fS and relallonshlps with wathcal steps to avo¥J and prevent such situations. Conliol is a powerful dramatisalion that chatlenges one's understanding of Ihe fomis of domest￿ abuse and 115 pfevalenee in $oc4ety. As part of ihe Press Red's a¢iiwties to raisè awareness of viofencÈ and abuse, Ihis helps peopb to think Ihrou9h the issues and each producl)n also I￿￿￿eS a Q8A time Ihal PTomole5 open discussion and Opp(￿tY￿￿ for concems to be volce Disruptor is a bystander inleNentIc￿ pro9ramme ddrrfered through a hybr￿￿ onlinelclassrc*)m course. It equips people to know how lo respond lo situat10￿ Whe￿ there Is abuse ￿rring. lo recognSse sexlsm in dfftwenl sodal and wryk settings. lo provTrde the necessary lools and skills lo po&lNdy challenge and 'speak up, in situalN)n5 they encounter. This pr¢yJramme been developed in partnership with Exetei UnNersity and the material present&J is used under from them.

PRESS RED CIO TRUSTEES REPORT (CONTINUED) FOR THE YEAR ENDED 30 JUNE 2026 m￿￿C and acting productions arè an effedive way lo communicatè arKI thallenge view5 and action5 we see in gveryday life. The P￿$$ Red le8m develops ils own mateiial. writing songs and spoken word pieces for productions in various forums. The Book ol Ruth IBelikebDazl production wa5 rolled out during Ihe year with a particular message lo men to become allies in and see the opwtunty they have to put a stop lo abuse and wolence against women. Press Red has run soual media campaigns as a key t(KJl in continuing to challenge the silence on matters of ¥￿Ience antl abuse against women and Press Red actrlety uses Ihese channels lo reath a wtde audien￿. Financlal revlew The ¢harity has 8 SUrplu￿(defj￿tI for the year of1£8.769112024r25 surplus {£7,66n. At the balance sheet date the charity had restri￿e¢l reserves of £0 (2024r25 £{0)) and unresiricted reserves of£0 {2024125 £8.769). Basls of preparatlon- noTrgolng ¢on¢em These finanoal statements have been prepared a basis other than that of a wing c))n￿rn. The truslees have confirmed their intention lo i*ase all charitable aclmlies and fomalty wind-up Press Red CIO after diseJJssions thin thè charity meètings. Consequenlty, Ihe fLnancBI statements have been prepared on a break-up basis. AJI operalK)n81 assels have been fully distributed or realised prior to the peiiod erKI. There are no a5sels or Ih?bilities al the balance sheet dale. Reserves poll¢y The Trustees agreed that any remaining fvnds in the F¥ess Red bank a(£ount after all outstanding bills and obligations are settKgd. induding paymenl ol final accounting fees. have been grfted lo the d)arily "Resloied" Restored w0￿S loward Ihe same charilablè ènds as Pres5 Red, serving women and girts knn9 Violence and abuse. Ftsnds in deficit At Ihe balan￿ sheet date there are no furKls defi¢ Prin¢ipalfunding sources The priniipal swrces offuriding are frcrfn 1nd1wd￿IS and grant& Structure, governance and manag•m•nt Nature of governing document The charity is a Charita￿e Incorporated OrganisatK)n and is governed by the Conslilution. The charity was regislered wlh the Charity Commission on 16 Ortober 2018. Recniitment and appointment of trustees Apart from the firsl charty Iruslees. every Irusiee must be appointed for a term of ￿[$ by a resolution passed al a properfy convened meeting of the charity trustees. Trustee$ 8￿ able to serve more than one term. In sefecting indNiduals lor applinlmenl as charity trustees. the tharity Iruslees musl have regard Io ihe sknlls. kn¢xvledge and experience needed lorthe effectr¥e admirislration of the CIO. Organlsallonalstru¢¢ure The final ijeasions for the charity lay with Ihe Iruslees. the day lo day operatr-ons ale wth Ihe CEO who delegates lo Ihe slaff. Any major deci5ion5, such as stsff. finanaal. legal ale taken by the CEO to Ihe Trustee5. Inductlon and Iralnlng of trustees During the reporting period the trustees We￿ kept w trj date as lo their oblvJations witl) relerence lo the Charity Commission guidance on public benefrt. No new truslees wèrè appointed during the year and one 11) trusiee iesigned.

PRESS RED CIO TRUSTEES REPORT {CONTINUED) FOR THE YEAR ENDED 30 JUNE 2026 Arrangements for sètting key M￿agement p8rsonn¢l r¢munerallon Flnan¢lal instruments Objocbvos and policies The charity has t4STC fmancial Instnrni4 At WE5mt do ntst feel that 15 unrpa5cffiat4e risk to the organisation or its strndxre. ststwnent of trustees Tr5pon6ib51id The trustees are re5pJnsiNe for preparing Ih8 IJLtees' iet•%t the finanLyal slatem&7ts in ￿cOrdan￿ ￿1th the Untted lfjngJom Acc¢unling Stsrnlard5 (Un￿ed Ifjrwd￿n Generally Acwted ACcA)Ur￿￿ P(a(r} and applicabje law and regulations. The law apF4icable to tharities ￿ the trusteès lo preFore finznri?I slatema￿ fef èath finandal year gNe a true ènd fair of the sl of affairs of the and of the resource5 and applTrcatiDn of resour(>s ofthe charity for that period. In preparirrfj Ihese finanoal stal￿[1t5, the tnjstees arg required to: . select surtable aC￿unIt[Wj policies and then apdy them • obseThe the nkth¢yYs a￿[ principtes in the Charttie5 SORP: . make judgements and estimatgs that are rea$￿￿1e and txuda b Slate whether ap￿1¢¥ble accounting standads have been fc4fmd. subiecl to any material departures discjosed and expl8ined in the fin3nc¥al statemth5: and . prepare the finangal statwnerts on the gung o)rtem basts urfess it is M¥ppropnate to presune that the charity 11 contlnue in buslness. bme the finanrial [yU￿tion of tho charity and erlAe them ta ensu￿ that the finaThial staÈem2nt5 wmply with thg Charities Ac 2011. the apphcable Chaiitss IActoJnts and Rep￿s) Re9ulati¢)r4 aThJ the pri)M5iorts of the constilubon. The Imstees are also resrAin%l)fe for saleguatding the assets of the charity aTrY hencE for tsklr reaS￿￿e steps forthe FY8Venti￿ and dth¢ti￿ offraud and crtherirregulwth"e* The trustee5 re[￿rtY￿S arwi¥ed ty the Board rfTfL￿tee TNap Chalr and Tr￿tte

PRESS RED CIO CHARTEREDACCOUNTANTS, REPORTTOTHE TRUSTEES ON THE PREPARATION OF THE UNAUDITED STATUTORY FINANCIAL STATEMENTS OF PRESS RED CIO FOR THE YEAR ENDED 30 JUNE 2026 In order lo assist you to fvffil your dUt￿S uThder Ihe Charibes Act 2011. we have PfepaFed lor your approval Ihe financial siatements of P￿sS Red CIO for the year ended 30 June 21r26. whlch comprise the $18lemenl of finanaal aclNilies and the relaled noles from the charity's accounting records and from informab.on and explanations you have gwen us. As a pr3clising rnember firm of the As50ciab"on of Chartered Certified Ac(zJuntants. we are subject to its Èthical and other profession81 requirements which are detailed at vNM.accagbbal.COFnlrutebook.html. This report is rnade lo the tharity's IIu5tee5. as a body. in accordance with Ihe lemis of our engaggmgnl letter. Our work has been undertaken solety ID prepare for your appmval the finanaal slatements of Press Red CIO and statè those matlers thal we have agrged lo state lo th& chaiiws Iwstees. as a body. Sn this ￿port in a(£ordance with the requirements of the Association ol Charlered Cèrttfied Accountants as detsiled al vMw.ac£aglobal.comlcDnlenU daMlACCA_Global￿e¢hn{C41Ha1xfil-aud1I-exemPf-c0Mpanle$-1an-24.p￿f. To ihe fUl￿st exlent permitted by law, we do not accept N assume responsibility to anyone other than Press Red CIO and the d￿vIl￿S trustees as a body for Oill Work or for thi5 report. 11 is your duty to ensure thal Press Rèd CIO has kept adequate ac(x)unllng records and to prepare $￿tUtOry financial statern￿ts that give a true and fair ￿eW ol Ihe 8sse15. liabilili2s. fjnancial pOs￿"0n and deficit of Press Red CIO. You consider that Press Red CIO is exempt frffil thè S￿UtOry audit requirement lor Ihe year. and Is Th)t re4uwed lo obtain an independent examinerfs rep)rt. We have not been inslructed to carry ovl an audbt or a rewew ofthe fin3Th￿al slalemenls of Press Red CIO. For this reason, we have not veiified the accuraGy or completeness of Ihe accounting records or informalion and eXplana￿On$ you have gNen to us and we do not. therefore. express any opinion on the statutory ffinancial slaternenls. Tree AccountsnGy Umited Chartered Certified Acwjnlants 3rd Floor. Easlgate Castle Slreel Casllefield M3 4LZ Dated....2

PRESS RED CIO STATEMENT OF FINANCIAL ACTIVITIES INCLUDING INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 30 JUNE 2026 Unr¢$trfcted Unrostrl¢tsd Rostrtcted funds funds funds 2026 2025 2025 Total 2025 Notes Incom• from: Donations and legacies Charitable athvities 17,168 2.570 27.669 1.152 27,669 1,152 Total Incomè 19.738 28.821 28.821 Ch#rit8bk a¢b￿lIeS 28.S07 36.488 36,488 Net •xpenditur• {8.769) (7,667) 17,e67) Transfers betsveen funds {862) Net movement in funds {8.769) (8.529) 17.86n Reconciliation of funds: Fund balances al 1 March 2025 8.769 17.298 (8621 16,436 Fund balances at 30 June 2026 8.769 8.769

PRESS RED CIO BALANCE SHEET AS Af30 JUNE 2026 2026 2025 urrent assets Cash at bank in hand 9.669 Creditor5: amounts falling within one y¢ar Net currpnt assets 8,769 The funds ofthe clwrity Unrestrided funds 8.769 8.769 f?1o71.Zc26 The finanriJ stalemenls appro¥ed by the trustèes on...... . ... TNap Chair and TfUSte•

PRESS RED CIO NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 JUNE 2026 AGwunting policies 1.1 Accountlng convention The financaal stalemenis have been prepared on a basls other Ihan that of a going concein. as detailed in nole 1.2 bebw. Excgpl for this tleparture, the finan(ial statements have b&en prepared in accordance wilh the charitys Accounting 8nd Reporting by Charib"es, the Charilies Art 2011, FRS 102 "The Financial ReFWJrting Siandard appllcable in the UK and RepUbr￿ of Ifeland" fFRS 1027 and the Charities SORP'Accounllng and Repor￿n9 by Charit5'. Slalemenl of Rermrrended Practice applica￿¢ to thariliès prèparing thetr accounts in accordaiice byith the Financaal Reporting Standard applicable in the UK and Republi¢ of Ireland {FRS 102)" (effeclNe l January 2019). The tJ)arity bs a Pubjic B￿erit Enffiy as defined by FRS 102. The charity has laken advantage of the provi5icffls In the SORP for choribes nol to prepare a Statement of Cash FICI￿. The finanaal slal¢ments have dgparted from thg Charities (Accounls and Reports) Regufalions 2008 only to Ihe extent required lo provide a true arKI tsir vrew. This departure has involved folbwing the Ststement ol Recommended Practice for charitie$ ap￿Ying FRS 102 raiherthan the version of ihe Stslemenl of Rgoomtngndgd Practice which 15 referreil to in Ihe Regulatbons bul whith has Sir￿ bppn withdrawn. The finanaal stements are prepared in sterfing. whith is the fijnciitinal ¢￿TenCY of Ihe Charity. Monelary amounts in these financial statements are rounded lo the nearesl £. The financial stateme￿$ havè been prepared under Ihg hi51oricxl o)st convenion. modrfd for the preparation ￿ a b￿k-uP bass as delailerl w) notè 1.2 bekyw. 1.2 Non - going ¢onrem These financaal statements have been prepared on a basis other Ihan thal of a going ￿ncern. The Iru51ees have confirmed their intention to cease all charitable actmlies and fomialty wind-up Press Red CIO after iscusslons withln Ihe charity meetings. Conseque￿. Ihe financial ststemenls have been prepared on a break-up basi5. All operational assets have been fulty distrib￿ed or realised prior ￿ the pe(M)d end. 1.3 Charitsble lund$ Unrestricted fvnds are available fow use at Ihe discxeon of the trustees in furiherance of their charitable objectivès. Reslrfcted funds are sutye¢t lo Specif￿ condrt•)ns by don￿$ or grantors a$ lo hLw Ihey may be used. The purposgs and uses of the restricted funds are set out kn the notes to the finaniial stslements. Endowment ￿fid$ are subJe(a to speufic ￿ntht￿$ by donors that the capiral must be m8iniained by the charty.

PRESS RED CIO NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 30 JUNE 2026 Aeeounting policiès (Continued) 1.4 Income Vduntary income in¢tuding (Jonations. gtfts. legacies and grants Ihal promde c￿e funding or are of a general nature is recognised when the ehanty has entilment lo the income, li is probable Ihat the income will be cewed and Ihe amount can be measured sulfKienl reliabilty. Legaues afe fecc3nisefJ on (ecipl of Olhemise if the chity has n￿lfied of an impending distribution. thè arnounl is known, and receipt is expected. 11 the amount is not known, the legacy is t￿ated as a contingeni asseL Grants are recognised when the charity has an enirt￿ment lo the funds and any condthons linked to the giants havè been mel. Where perfornance ¢onditsons are atla¢hed to the grant and afe yel to be met. the incxjme is recognised as a liability and induded on thg balance sheel as defe￿ed income to be released. 1.5 Expendlture Expenditure is reownised once there is a Jegal or constructive obligation to transfer economic benefit to O third party, fl is probable that a transler of economic benefrts will be requirod in settfemenl. and the amount ol the obli9atton can be measured ￿lIatsty- Expgndilure is classified by acli¥ity. The costs of each a¢tNIty are made up of the total of direcl c#)sts and shared costs, induding 5UPPOrt costs inVo￿ed in undertaking each adNity. Oirect costs attsibutsble to a single activity are allocated directy to Ihat acliwty. Shared costs which contribute lo more than ¢)ne aclivty and support cosls which are nol attributabte lo a single act￿llY are apportioned between those activities on a basis consistent with the use of resources. Central staff cx)sts are all￿ted on Ihe basis ol b.me spent. and deprecration charges arg allocated on the portion of the asset's use. Support¢ost Charitsble a¢tsthtres Charilable expenditure comprises those costs incuffed by the charity in the delivery of it5 actmlies and semces for ils benefic¢aries. 11 incfudes both costs that can be 8llctated diredy io such acwties and Ihose 9515 of an indi¥ecl nalure nec&ssary lo support theffl. Governance Governance costs indude the costs a￿lbu￿ble to Ihe charl￿5 compliance wlh consliluiional and statutory requirements. including au(l. sliategic managennt *)d tr￿￿ee.$ rneeiing and reimbursed expenses. 1.6 Gash and cash equivalents Cash and Ga5h equivalents indude cash in hand. deposits held al call with banks. olher short-temi liquid investments with orwJinal maturTiies of three months or less. and bank overdrafts. Bank overdfafts are shown thin borrowings in current lia￿li￿eS. Bas1¢ flnan¢Sal assets Basic finanaal assets. which indude debtors and cash and bank bal8nGes. are initially measured al Ifansaction price IncludiThJ transaclK)n ¢x)sls and a￿ subsequenity carried at amortised cost using Ihe effectNe intere51 methc¥J unless the arrangement constilules a financing transaction, where thè Iransa¢bon is measured at the present value of the fuiure receipts discounted al a maiket rate of interest. Financi81 assets classified as receNable wlhin orte year are nol amortbsed.

PRESS RED CIO NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 30 JUNE 2026 Accounting polieies Icontinuedl Bo$1¢ Ilnanclalllabllltles Bas￿ financjal liabil￿e$. induding ueditots and bank loans ole inilialty recwnised at transacon pri￿ unless the ariangemenl cmslitulès a ffinanong tsansaclI￿. thg debt instnJmèTht ts rneasuied at the PTesenl V21ue of the future payments rfLscounted at a market rate of interest Fina￿la1 liaknlibes dassified as paYa￿e within one year are nol amortise Debl instruments are Subseqlth￿y C8Thied al an￿￿1$ed LSt. using the effective interest rale melhod. Trade credrtor5 are obli9ations lo pay for goods or seTh￿￿5 that have been acquired in the ordinary course of operations from suppliers. Arr￿ntS payable are dassified as cuffent liablitie5 rf payment is due wilhin one year or less. If r￿1. Ihey are presented as non-ojrrent liabilibes. Trade creditors are reccgnised initially al transaction prKe and subsequenly measwed at amortised ￿)st U￿n9 the elleciNe inleresl rnelhod. 1.7 Taxation The charity is coTrsklered to pass the tssts sel out in Paragraph 1 schedu￿ e of thg FinancE Act 2010 and therefore it meets thè definrfion Of a ¢h*Itab￿ ¢ompany for UK ¢4Wab.￿1 tsx purposes. Ar￿￿)rdIng￿. the charity is polentialty exempt frcyn tsxatlon In resm of I￿orne ￿ capital gaSns received within catggori9S covered by Chapter 3 Part 11 of thp Corporaliun Tax Act 2010 or Sethon 256 gf the Taxation of Chafgeable G8insAct 1992. to the exteni that suth income (x gains are applied exdusively to thariÈabk purposes. 1.8 Employee benefits The c051 of any unused holiday entillement is recognised in the perictyj in wtr￿h the employee's serwices are received. TerminalM beneffts are recognised irrthediately as an expense when the d￿￿ty is derrTh5trabty committed to lemiinale the employment of an employee or lo prolide temiination beneffts. In¢ome fr¢m donations and lego¢ies UnrpstriGted Unrestrtctèd fvnd$ funds 2026 2025 Donations at7d gths Grants 17.168 13.669 14.000 17,168 27,669 Donations and gifts Donations Gfft aid redaimed Regular gi￿￿9 12.523 238 4,407 7.679 5.560 410 17.168 13,669

PRESS RED CIO NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 30 JUNE 2026 Expenditure on chaiitable activities Support costs 2026 Support costs 2025 Direct costs Telephone Insurance Tilhe Consultancy Donoi relations Project management Adminislraiton costs Other resources Independent examinaiK)n Accounlancy 245 17.288 150 2,576 30.155 4.088 729 276 950 28,507 36,488 Anaty$is by fund Unrgslricled funds 28,507 36.488 Net movement in funds 2026 2025 Net M0￿ment in funds is stslod after thargir¥llGtediting) Fees payable for thè i1￿ependttnt reviv￿ of the finanoal stalements 900 Trustees None of Ihe trustees lor any persons conneded wth thernl re￿IVed any remuneration or tsfjnefts from the charity during the year. Taxation The charity ig exempt from taxation on its acbWt￿S because all its In￿Me is 8pplied for tharil8ble purposes. Creditors: amounts falling due within one year 2026 202S Accruals and deferred income 10-

PRESS RED CIO NOTES TO THE FINANCIAL STATEMENTS ICONTINUED) FOR THE YEAR ENDED 30 JUNE 2026 Unrestrleted lunds The unrestr¢ted ftEnds ofthe tharity o)mFffje unexpended balance5 of donations and grants which are tx)I subjecl to speC4r￿ conditions by donors and grantors as kn how they may be used. These Indude designaled funds which have been sel aside out of unrestricied fuThJs by the trustees for Gpecific purposes. At l Ma￿h ¢omlng Resour¢e$ 2025 rtsgurGes •xp•nd•d Tr4nsfvrs At 30 Jun• 2026 Control Disruptor Liier81ure Generdl General funds 2.370 (1.511) (255) 859 12551 11JJ Ico 17,139 129 8.769 (22,S12} (4.229 {4,1tsJl 8.769 19.738 (28.50n Pr￿lOuS year. At1 March 2024 Incoming resources Resource3 expended Transfers At28 Fobruary 2025 Control Sthools Disruptor Grid leratu General (680) 110.W) (4,862) 4,578 1.352 I3￿) (1.￿) 117.998) 27.929 (862) 8.769 17298 28.821 (36,488> 8.769 11

PRESS RED CIO NOTES TO THE FINANCIAL STATEMENTS {CONTINUED} FOR THE YEAR ENDED 30 JUNE 2026 Unrestricted funds (Continued) The Spear￿ puiposes for which Ihe lunds are to be applièil are as follows.. Control is a hard hitbng drama atrxxrt a couple in an abu&ve relationship. It charts the tburse of their relationship and shows how coercive control begins and grow5. Along with the drama we have personnel present who can deb(iel and help anyone for whom it Kaises personal issues. GRIO is a breakfa51 event for leaders introduang Ihem to various foms of abuse against womèn. The aim 15 lo raise awareness that this happens and slart a conversalion in the be￿een them about how ihey can respond. schC￿ls is g￿r￿j into s¢hoo]s lo edu(gle slutlents aboul violence against women. This can take many fomis, both in the schools and meetirlg Wrth girfs who the schLKJI ha5 identif￿d a5 being espeualty wlnerable lo abusive relalionships. Rank grant is for the payment of the CEO salary. The CEO salary is covered for a period of three years. Granl is for the Purcha￿ ol eguipment. This is for tsblets rmnected to the GRID breakfasls. lo use lor viewng videos in small groups. Lrtéi8ture involves selling books that address violence aThJ at￿se a9ainst women and girls ￿AwG) al ils events. These are publicty available published book$ fr(Mn aulhors with experlence In this field. General funds covers core costs (admin. management. expenses. hosb.ng Ir8inings arld events. safeguarding, insurance. IT etc) and all other cosls not funde(I through restricaed fund income. Relatsd party transactions There were no disdosable related paEty transadions durng the year {2025- Th)ne}. 12-