REGISTERED COMPANY NUMBEK. CE111￿14 (Ethgl*nd and W8ks)
REGISTERED CHARITY NUMBER: I1￿561
RT OF THE ]RUSTEES
STA
FOR THE YEAR ENDED
VE
657 Liv¢rwMTrl Road
Irlam
tanushiTe
M445XD

DRtVEN
oKrENT
OFT
NCIAL STATEMENTS
Rewrt ofthe Tn]s*es
Ind¢p¢ttdent Ex0m1￿15 Ryrt
stateme￿ of FinaDC1￿ Aeiiviues
Balallce Sheet
5 to 6
Noies to ihe Finall¢1￿ State
7 to 11
Detaikd Stswnen¢ of Financial Activiti&q
12

RT OF THE TRUSTEES
Ended 31 March 20
The uwsttts who are a150 diyectot5 of the dwity fw the of the CotTrwie5 Act 2(￿￿, P￿￿Tri their retK>rt with
the financial 5tstemetits of the charity for the yew crt￿1 31 M3r¢h 2025. The tnLStes hI￿r a￿ted the pro3rysions of
Accounting and Rqx)rting by Clwities: of R￿)ll￿ed Pradice applicable io charities prepanng their
accounts in accordance FinatKi21 Rwung StsDJard atpltcable it) the UK and R2public of Ireland (FRS 102)
{effective l Jatwary 2019).
OWECTRVES AND AcfiviTIES
Objectlvtt And ¥ln
Our primary Obj￿tiVe is lo off¢r a sustaithle lrnns￿ servic¢ irMliV￿Ual$ who have difficulty ac¢es5in8 ￿gUlar
transtMrtatioD. We aim io bridge the transtmynalion gap thrI￿gh a nNyJel that relics on volunteer drivers. ensuring ihe
service is &ffordablG c4)mmw)ity41rivffj and taikved to the oe•Js of WCES.
Key activiti45 overthe p&st y£arha￿l i￿1￿]￿.
- Sp￿18} fw]s on elthrly Ca￿ by pn)viding transTXMt to elderly cttiztos may stha88le with md)ility or acce55ing
public rransp)rL
Aehkverne￿ts and
the past year. we have maintained ourcontribwiom within the community. K¢y achicYtsn¢nts iTKlude:
. Volunteu numb•3". The numbuof Vol￿Wdriv￿s 5 from 12 overthe yeaT.
Yo￿nteer contributions
Our volunteer drL"v¢rs are the toCkE￿ of OUT (*ganiS￿o￿L Trir conunitm¢nt to PIV￿ding safe and reliable
tran$￿tion to those in need has bettl ex(wi(Mwl. Over the year. v0h￿tecT$ have Co[￿[1bUtd more than 1721 bouts of
their time. drtwing o%'w 16.(MX) miles.
We colltinue to offeT training and suptx)rt ￿ our volunteus th¢y have the rttessary skills knowledge. aTMI
te5ources LO p¢rfornJ their roles safdy and confithntly.
FINANCL4L REVIEW
Flnawisi revlew
The fmancial p)sitioD ol Dri%'en rnnai￿ stable aThl sustaina)le. Our fund￿￿ caxnes prin]arily from tortimuNty
th)n￿l0￿$. grant4 aud serviLY fees. wbith are kept low io ensure ar¢essibility.
Granis alld (k)oatiotts fro]ll GMCVO a￿j a)alfields Reg￿￿￿10n Trust haTre been ID allowing us ￿ expaThJ
our services aMI acquire additional resou￿ i￿h]dIng new vehicles and training for volUt￿er drivers. We aim lo
secure a(klitI￿al funding thccontinutd w¥th aThJ S￿￿tai￿71ty of (m￿ sthvice&
for the
tA)king forwar4 our plans foT the rthl year t￿lude.
. ExpaDdin¥ourwiee atra to covera￿lti[￿oI njrai a￿1 ￿￿ll￿¢d ￿ll￿￿￿tilli¢s.
serviccs.
. Djversifying fiuwjing sow￿8 tOeT￿llE I￿￿.￿em7 ￿trTn￿llity a￿1 th tEliantton BraTrt5.

DRIVEN
REPORT
F THE TRUS
e Year End
l March 2025
FI.YANCL4L REVIEW
Conclusion
We aTe incredibty PMMI of what we have achieved this year. il ts a tcstameni ￿ the dedicats.on of volwitecr5,
stsff. aTMI sup[￿¢1￿. DrTven continues to provide essential servic£s thai make a real difference in the live5 of
our commutllty Mcmi￿ts. Wc l(M)k fotward to building on thjs &lLCC¢ES aod fUrt￿r expanding our seThices in the comin8
We would like to extrnd i)ur g￿l￿th to every￿￿ involved in SWJEM)rnng our missioo 3￿j we are extibj for the fvtLWe.
STRUCTURE GOVERNANCE A]¥D MANAGEMENr
None vf ihe tn]st￿. nor the ChaIm￿[4 ￿re1ve an) salary or fu]an¢iaJ temuner&ion fvt their woth and involvement on
behalf of Driven.
% an organisation wc are coo]miued to cominws utjprovemeot iti lille with the sthndards of gwj governance
ex[￿cted by the Ch8Tity COMEDI￿10￿. Ckn8es in Irg]51ation tegu]atioLs will bE monilored. aud ourpoli¢ies alld
p￿vI￿r¢S will ￿ ass(￿d and ￿le￿.ed to er6ll￿ that Driven is opwatiT)8 within thE legal fr8mewoTk. The board 0
whole has rqM)nsibili¢y for t￿UTing ￿lIcI¢S aThJ poccdures ate in li￿ with legisiatiOD and regulations changes.
REFERENCE AND ADI¥lINIsTRATTr￿ DETAILS
Registered Company number
CE015534 (Engialld and Wales)
Rewed Charity
11110561
Reglstered olllte
CF3 BuildiD¥
Wigdn lrtvestrn¢nt Centre
WateJ¥ide Drive
Wigan
WN3 5BA
Tru51ee5
Mr H Gerdrd
Mr P Gany
Mr H Thorne
Mt5 A CaddiLk
Company Seeretsry
lThdepetsdent Ex*MI￿er
Cadishtad AccouDtsD¢y Setvicts Limited
Brita[￿l£ House
657 Livery￿1 Road
Irlam
Manchester
tan¢ashire
M44 5XD
Approved by ordtt of the IK•rd of trustres on....
29-1,,1.2.g..........
aTKI sI￿j ¢)D its by:
Page 2

AMINERS RE￿)RT
THE TR
tndependetst ex•ther'5 to the Inisttts of Drtvew ('the Comp*ny'
I rewrt to the charity tru5teeson my exami￿1￿ of the xcounts ofthe CoEnpny fw thye4r eE)ded 31 March 2025.
Respottsibililles Imsis orr4￿rt
A5 the chariry's tr￿1¢¢$ of tbe CoTnpany (s￿1 also its diredm for the tw(6es of comparty law) you aff ￿s￿n517)It for
th¢ prepa￿ of the aG¢ounts in 3cronLince with th¢ reqLEiTements of the ComrAni¢s Act 2(Kkn ('Ihe 2(M)6 Aci,).
Havin8 satisfied myself that the a￿Ounts of the Cornp￿y a￿ r￿ulTed audtfrd UDdtt Part 16 of the 2(M)6 Act
and are eligiblr for indqKTKknt examivatioru I rcpjrt tn resp￿1 of my examinatM)n of your Chari￿5 xcounts carTied
out under Sedion 145 of thc Charities Act 20I I (Yhe 2011 Act'l In (Z￿Ellg out my eAaminalioD I have followed the
Directio￿* given by the Charity Commission Secuon 145(5) (b) of th¢ 2011 ACL
IDdepend¢DI examiner's stxteiiitni
I have completed my ¢xaminalioD. l umjfum that ￿ marter5 bavr come to my att¢ntion IEL coDnection with the
examination giving me ca￿¢ ￿ Ixlieve:
accounting r￿r&S were ]K)t kept of the CompJDy as rc4uirryl by ￿tiott 386 of the 21MK) Ac4 or
the accounts do not a¢Yord with th¢Jse ￿.
the accounts do not comply with the a¢¢ounting TE4wi￿ of 396 of the 2(KJ6 A¢t other than any
requirement that the give a 2nd fair view which is a Tnatter cortsidered &% ofall indepcthr
examination. or
th¢ have oot FrfEparryl in aco)nkn with fv mthyjs a￿1 prirKTples of the SratenKnt of
Recommended Pta¢titt for xcvuffling awj I¢[￿1￿ by ¢hariiie5 (a￿lIcAble lo chan.iies prepanng their ac¢ounts
in accordance with the FInall¢t￿ Rewrtitig StsndaTd aN)licable iti the UKalld Republic of Ireland {FRS 1021).
I have no concerns a]Ml hai'e come acros5 no other mattw5 in ConT￿lon with the exarntnation to Mthich att•ition shijuld
Mr l.L. Fr05t (FCCAI
The AS￿lation of Chthtrryl Certified Attoun
BTitantsic Ilouse
657 LiveTP)ol Road
Manchester
IAnc&8hire
MM 5XD

TATEMENT OF FINAN
ALA
eYearE
31 March2
li
31..1.25
UnrE5tricÈ&l
Tota]
Notes
INCOME AND F.NIX>WMEKtS FROM
Donations and l¢gaci
26.130
33.610
Other tradit]g xtiyities
Other income
45.794
1.550
35.441
Total
73,474
69.051
EXPENDrruRE ON
Raising funds
69.656
81.466
Ch8Tlt*ble *etfvAtle5
(4,161)
Totsl
65,495
81,466
IYET INCOMFJ(EXPENDITURE)
7.979
(12.415}
RECONCILJATIof4 OF FUNDS
Total futmjs brougbi forn'ard
(9.844)
2,571
TOTAL FUNDS CARRIED FORWARD
(1.865}
(9.844)

BAL￿N "E SHF.FT
h202
31.3.24
Total
fuDds
Unrestiictcd
nd
IXF.DA&8ETS
Tangible
14250
10.063
CURRKNT ASSETS
Debtors
Cash ai bank and in band
3,915
21.(￿7
3.785
2.177
24.982
5,962
CREDrroiL
Amounts falling due WEth￿ one year
(41,(P)71
(25,869)
{16.115)
(19.9071
TOTAL ASSETS L￿8 CURRENT
LIABILITIES
(1.86S)
(9,844)
ASSETSI(LIABALITIFS)
(1.865)
(9.844)
FUNDS
UnTE5tri¢*d fund5
(1.8651
(9.844)
TOTAL FUNDS
(1.865)
19.844)
The charitabk COTTW IS e￿1tkd to fr(Kn a￿Jit under Section 477 of the Couwi¢s Act year
0￿d 31 March 2025.
The memixry bave not requirtd the c￿Y w obkniti att audil of its f￿a￿ClaI state￿ents for the yw ended
31 MaT¢h 2025 in 476 ofthe Cowits Act 2￿￿.
The tnjstres &knoWl￿ge their resrKxL%ibiliiies for
(a)
¢llsuring that the charitable coo]w keeps wmmting records that comply with Sections 386 and 387 of the
Companie5 Act 21M)6 and
preydring fi￿ancIal s￿¢￿ellts which give and fair view of the of affajrs of the chan"table cotnyany &s
at the end of eAch fjnancial ytar and of its suwlus or deficit for each r]L8ncial year in 8¢¢0rdancc with the
requirements of SL%tions 394 aTNJ 395 and v41u.ch (AhLYwise rojryly with the D4uIr¢tn￿t5 of ￿ Cotnpanirs Act
21N)6 Yelating to finwial statenKnE far as a￿lICable to the ¢kntable conww.
(b)
(x)nlinua...

DRFVEN
BALLN
31 March 2025
niin
These financial slaiements have been kve￿[￿1 in atcordw with the provisions 3pplie2ble lo chan"&ble Companies
subje¢t to the $n￿ll companies regime.
wtre apprnved by the B￿[d of Trus*e5 aTKI authorised for issue on
were si8wJ its belthlf by:
H T￿￿￿. Trustee
M]5 A Caddick-

DR
NOTF.
ANCL
IM -h2025
ACCOUNTING POLICIES
Basis of preparlog the fim0cl￿ stafrmetsts
The financhal siatements of the ehaTitsbl¢ C￿￿pary. which ts a pthlic iKnefit eniity under FRS 102. have ken
prepared accorda￿ ￿1th the Chan"ues SORP (FRS 102) 'Accouwing and RqK￿]llg by Chariti&%'. SLgiement
of Recommended Pncti¢e applicable to chan.ties prqjaring theit 8cc(wiL8 in accordanec wth the Fitwicial
Repotyng Starthrd applicable Tn the UK and Republic of I￿laIMi (FRS 102) (effecti￿￿ l January 20191..
Finan¢id Re[￿]tig SLgndard 102 Tr Financial Rewilllg StsThlard ar41lioble in the UK and Rcpublic of
Ireland. aDd the Lornpanies A￿ 2(Kkn. The ful￿121 statements bave l*¢D Pr￿ared undeT the hj'storical cost
vention.
me
All incoTne is TtCO8lli5ed Én the Sth*ment of FinarKial A¢ti*ities oKe thc charity has eJ)litlcTnent to the fimds, it
is Pro￿ble that the income will ￿ ￿ceived and amouth can bc n￿$￿ed reliably.
Eipellditsre
Liabilities are rtrogn1s￿1 as expendittwe as gx)n as there is • legal or coiLsmJdive obligation ¢ollunitttng tbe
clwity to that expenditUTE. il is probable thai of ￿￿mie will IK ￿uIred iu %ltl¢ment and
the amount of the obligation can be meawred TElJably. ExPth(titi￿e 15 aCc4)￿t¢d for on an accTuals basis and h&$
btcn cI￿lfied under beadings t￿1 aggregate all cost rela￿￿ to the category. Ivhert costs cannot be directly
attributed io particular he4dthgs they have beert allocated to aciivities on a basis c(xtsis*ni with the use or
Tangible ffted assets
DepTrciation is PTOTrI(kd * the folknving annua] rat¢s in to write off each ovu its estimated useful
life.
Motorvehiclcs
Computwequipmeni
25Y• on thing blliarte
21f/• On (x)51
T•x*¢lon
The ¢FJaTity is exempt from Ix>rpwdtiOD tsx itschaTithble aaivitiek
FuDd accouDikng
UDre5tri¢ted Cart in 8cc(ffthncewith the clwitabk objectives at the discrctii)n of the trnstees.
ReStr]th￿ funds can only IK usoj for rArtioJlar restricied ￿￿thIn ihe objects of ihe charity. Re51rictilMIS
arise when speckfied by the d(xThor whell fimds ate Tri%tiJ for partKular testrict&J putyosts.
Furthercxplanation of the natwe of e4th fimd is iTKI￿ in the T￿tr$ io the financial ststements.
Hire pur¢b&* and kniDg e•mmllments
Rents]$ ￿ld utth otffitÉDg leaw are £barg&l to of FiDwial Adivitics on a straight line basis
OV￿ the peri(xJ of the lease.
P¢Dslon eosts ¥Dd other T*)5¢￿et￿t￿￿ beDer￿
Thc chaTitsble cornpany OE¢rAtes a defined c0lltnlHJ￿X pension schune. contributio￿ payable to the cbaritable
cornpanys F*n5Lon xheme are cha￿ed kn the Statrnwi of Finan¢M] ActiVTiie5 in the p)iod to which they relate.
colltinued..

DRtVEN
for the En
31 March 2025
iyrHER TRADING ACTIVITIES
31.3.25
JI_3.24
FutKlraisin8 evenL8
45,P)4
35,441
RAJSING FUNDS
Raisi*g donations *nd leg*eits
31.3.25
31.3.24
SupFrf)rt costs
69.656
NET INCOMEI{EXPENDITURE)
Net It￿Me1{ex￿mIlttwe} is stated aftef ch￿ID￿(CrrIjit1Dg).
31.325
313.24
Depreciation- owued 8&geLS
Other operdting l¢as
Swplus on dist￿￿] of fixed &s
4.063
4,761
11,5501
3,469
4.070
TRUSTEFS, REh[Uro￿TION AND BENEFfrs
There We￿ tru5tees' r￿Illin￿on or other benefit5 for th¢ year cth 31 M￿h 2025 TM)r for the year aided
31 MaTeh 2024.
TrreweTr 00 extwses lorthe year er¥JgJ.11 M￿h 2025 ￿ for the yearththd 31 March 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIALACllVTfILS
Un￿$t￿(l¢d
fund
INCOME AND ENDOWMKNTS FROM
Don￿l0￿$ ￿ legaci£
33.610
Othei trading a¢tivib"es
35.441
Totsl
69.051
EXPENDrruRE ON
B2isitLg ILuJds
81,466
NET INCO.MEJ(EXPENDITURE)
{12.415)
RF.CONCILIATION OF FUNDS
Totsl filt￿ brou￿1 forward
2,571

DRIVF.N
NOTF.
TO THE
ANC
ed31 M h2025
COMPARATIVES TrOR THE STATEMENT OF FIIYANCIAL ACTIVITIFS- eontinutd
Ut]restricted
TOTAL FUNDS CARRIED FORWARD
19.8441
TAi¥GIBLE FEXED A&SEIS
Motor
vthicle5
CoTnPUter
equIp￿eltt
Totsls
COST
'At l April 2024
Additions
Disp)sa]$
37,625
8.250
14.5(Kll
40.635
8.250
(4.5(￿
At 31 Mardl 2025
41.375
3.010
44.385
DEPRECIATION
At l ApDI 2024
CILarge lor yvdr
Eliminat￿ on dwM)5al
27.562
4.063
(4JIK))
3,010
30.572
4.063
(4,51MII
At 31 March 2ff25
27.125
3.010
30,135
P4ET BOOK VALUE
At 31 March 2025
14250
14250
At 31 Marth 21r24
10.063
10.063
DEBTORS: AMOUNTS FALLING DUE WTfH¥N ONE YEAR
31.3.25
31.324
Trnde debtors
3.915
3.785
CREDITORS: AMOUNTS FALLING DUE wrriiiN ONE YEAR
31.3.24
Bank loans a￿1 oyertjrnts (see 10)
Trade crtditor5
Social secwity aul otheT tsxes
Otherereditots
Acwls and deferrul irtorne
Accrued expenses
16,lknl
.934
23
1,472
19.958
20.(KM)
1.032
1.712
1.625
1S(M)
41,1￿7
25.869

DRtVEN
NO
TO THE FINANCIAL sfA
for the Year Et)ded 31 MaEth 20?5
LOANS
An wlysis of the Tnaturity of loans is given beknv:
31..1.25
31.3.24
Amounts faIlU￿ due within one ye8T OD demand..
B8nk loa￿%
16.061
20.(KK)
MOVEMENT IN FUNDS
Nei
movement
At 1.4.24
31.3.25
Unrutrlcted hnds
19,844)
7,979
(1.865)
TOTAL FUNDS
19.&141
7.979
11.8651
movtmth¢ in included in th aiM)ve are follows:
in fun(L8
Unrtttritted f•nd¥
General
73,474
(65.495)
7,979
TOTAL FtJr4DS
73,474
{65.4951
7,979
Comp8rntlves for movement
Net
Dx>vemenl
in ftuKis
At
31.3.24
At 1.4.23
nrestricted hDd$
General fund
1571
112.415)
(9.844)
TOTAL Fu￿D5
2,571
(12,415)
(9.844)
C(Mnparative Det ]novenYnt ill ]￿l￿ded in ￿ alMJve are as follows:
In¢omiD8 R¢50urce5
MovemeDt
in thnds
Unres¢rieted hnds
General futyj
69.051
181.4661
112,4151
TOTAL FUNDS
69.051
(81.466}
112.4151
Pa8e 10
eoniinutyl..

NOTES TO THE F￿AN
IAL STA
f rthey Ended
l March 2
ii.
MOVEMENT IN FUNDS- cont10￿ed
A CUTreni year l2 months alld wioryear 12 months coMbll￿d T￿1¢1￿ is &s follows:
Net
movemeDt
ith funds
At
31.3.25
At 1.4.23
Unrestrkted f•nds
General fuNI
2.571
(4,4361
(1,¥651
TOTAL FUNDS
2571
(4,436)
(1.865)
A ¥urrent year 12 months and prior ye4r 12 n¥)ntlkS combined net in Includ￿ thE a￿v¢ are
as follows=
IncomiDg
Resources
extthded
MoveTneDI
in funds
Uttrestrictsd f¥ndJ
General fiind
142525
{146.W>l }
{4.4361
TOTAL FUNDS
142525
(146.961)
14.4361
12.
Th￿￿tre nO￿lated parry trdtLsxkn for the yearuKkd 31 Morch 2025.
Pagell

DR
DETAILED STATEMEKf OF
for the Year Eiuled 31 M h 2
25
31J25
INCO.ME AND ENWWMENTS
Donations and legatle8
Grartts
26.130
33.610
Other trading aclivities
Fundraising events
45.794
35.441
Other intome
Gain on sale of tangibl¢ fixed asscts
1,550
TO￿ Ineomlng rosourtts
73.474
69,051
SUp￿rt costs
Other
WJges
P¢nsiuDs
Other operating leases
2Y,-ry8
11$9
4.761
3.938
42.069
498
4.070
4.6(4)
1252
75
2,362
317
2.270
2,082
16,662
169
.510
3.470
Tclepbone
Posta8e and stationery
SundTie5
Re[￿][S attd renewa15
Other legal arml professiooal
Ar¢ounta
Motor expe￿
Trdvel ond subsistence
Computerexpen5
Dwreciation of tangible fix￿ a55ets
116
81
321
611
1,594
18.397
618
962
4.063
65,495
81,466
65.495
81.466
Net Inetsmel(expendttsre
7.979
(12.415)
This page d￿S fixEn part of the ststutory financial
P¥ge 12