REGISTERED CHAIUTY NUMBER: 1183490
uith A¢￿￿￿tartts L
Rowan House
7 West Bank
ARBOROUOH
North Yorkshire
Y012 4DX

Chalnnan's Report tor 2024
Theyear began without 8 Vicar asthe R￿d Walkw had left St Ma￿8 in iat8 D8c8mb
2023 and Intepiiews forthe naw incumbentwere not held untilSeptemb8r 2024. A8 8
result. we tookthe opportunity in FebNary to review the m8k&up ofthe board and decided
to reduce the numberfrom 12 to 9 with fourtru8tee8 to be nominated bystmarfs PCC.
fourtrustees to be appolnted to represent ourwidercomrnuntyand, of course. the Vicar
as an eX￿ttic10trU$tee. This stllbleft us with onevacancyfor an appointed trustafr. and we
were pleased tOW8icome Emma Brathyto the board in Juneto fillthis vacancy.
In the absence of a Vicar. Inforrnal me*ingswere hdd with the Pccto discussvarious
Items of mutual Interest inciudingthef8Ct that ourlease on the buliding had ￿PIred and,
of couts& the ever*robLem8tlc Issueof apportlonlng running costs forthe bulldlng. Itwas
gener8Uy agreed th8tthe Centre occupied insufflo￿tSp8c8forth& fuiirange of se7vl¢es
w8wished to offw to our clients and that $ignifi(antbuiiding maIn￿anC8wO￿￿aS
required to makethe building fitfor purpose. We were fortunate to secure a grantfrom the
UK Prosperity Fundforafea8ibiiitystu(ty on the radthffjiopment of the Parish Houseand
this workwa$ on-going attheyear end.
The basement continued to suffwfioothngfoiiowing heavyrnin and wowere particulaTiy
fortunateto receNe a donation of 8 newfiood doorlrom Scarborough Vfindow Centre
whi¢h,sofar. hassolvedthis problem.
Rv¥d John Welts sadty died in March but. desplte thls, Church@Rainbow conttnues to
meet in the hallon Wednesdays undw the leadership ofjan Weus ably assisted byAndy
and Carol Brooke.
Faciiitles forthe homeless expanded and impFoved significanity durfngtheye8r. The
basement room was f￿blanded as Home@Ralnbow allowing the homo18SSto have
somawhere to caLi°home" and. atthe sameiime, gMngfamil5gs and 0th8rdl8nts of the
Centre b&ter 8cee8S to geThic85 such as appointments with support workers. debt advice
and thecalo. TheseChangeswernv￿ltoMed by all ourdlents and allowed us tt) offera
much wider range of to th8 homeless. This included drop4n sessions from the
local authority Housing Departrnent. MIND. H￿•zon8 Drug &Ac4>hoi Rohabllltation
SeNl¢e. Citizens Advice. the NHS Horneiess Support Nurse. Gamcare {tackllng gambknng
addiclioTr). thesexual Health Cllnic. th8Hepatitig Trust {for Hepatitis C testing), a mo bile
b8rt)er. HSBC Bank (to open bank accounts forthe hom818881 and Vision Careforthe
Homeless for ￿ test8.
MainprlzeOffshor8 Ltd kindlyfunded bgnded tops and fiaoces for ourstrff and volunteers
which were greatly appreciated by 8iL tspecially in the Cool￿ morrths. thelr help we

ear Ended 31 Deeem
r 2024
Pvlge
Reference Ind Admlnistrntlve Dttalls
Report ofthe TrnS￿$
Independ¢rt Ex4miTheV5 Report
Statement of Finoncial Activities
Balance Sheet
C&qh Flow Statemeni
10
Notes to th¢ Cuh Flow St•t¢meni
Notes ¢0 the FinBnci81 Staternents
12 to 20
Dethlled Stsiem¢ni of Flnan¢l•l Aeilvltles
21 10 22

also intend to launch a -11)0 Club" of ￿￿￿te sponsorn and 8UPPOrteTr to provide a
regular income 8tr94m to cover wy4ay Nnning costs as it is increa8ingiydifficultto
Secure grantfundlngfor runnlng costs 88 mostgr8nt*ivlngtrusts PTefertofund nv
projects. We also 8tsrted to sell good quality s￿nd-hand dothingon4in8via Winted as
an altematlveto openingJ¢t another¢harityshop on the high and this initiati
seems to be goingweiL
The community run Fiivj Community Ffidge closed eartier in the sTrar and NYC approached
us to run a food bank in as there was no otherproNision in thetown. In July. with
finanual assistancefrom NYC. we opened a food bank in the Fiiey Methodist Church
which runs lor2 days a week.
We were sadto see CarolTumer. a volunteer rec8ptionist with 9 Y￿[$ of service to the
Contre. declde to retlre following alithe Chrfstrnas events. Carolwlllbegreatly missed
even though she has Promised to com8 backto help at Chri8tm88 nextyear.
Based on ¢osts we decid￿1 to changeour 8UdIto￿ for 2024 to Agqulths and wo hopeto be
able to build a strongretstionshipwith them in the comingyear5.
The year ended with a sm811 surplus of income overaypend1￿re and the Rainbow Centre Is
in a strongfin8ncial position goingfotwanl despitea v8duclion in generaldonation8
prob8bty caused bythe current financialcrisis lacing manyof ourregulardonor3.
Howard N￿on
Chairoftruste88

Social
's with Hol A
Re
eYe4rE
ber 2024
TRUSTEES
Mr5 E Br￿ Tntstee18pN>int¢d 18.9.24)
E J Smart
D J KDowelden TrtI￿ee
Mvs P L Bttrton TnL5tee
H New￿ Trus
Msj H Jeff¢rxJn
J M Trthble (resigned 6.625)
G Parkins {resI￿d 213251
REGISTERED OFFICE
The RaÈnbow Centre
le Road
NrKth Yo￿lIe
YOII ITH
REGI￿ERED CHARITY
NUMBER
11834e
INDEPENDEKT EXAMINER
Asquith ACC￿nIants Ltd
7 we￿ Bank
SCARBOROUGH
North Yorkshire
Y0124DX

Soci
with Hol A
e Year En
The trustees present their report with the financithl ststcrnents of the dlarity for the Ye￿ 31 December 2024. The
tnts¢e¢s have adopled the provisions of Aeeountin8 #nd Repcffting by Chviiies.. Ststernent of Recommended Practice
appli¢able to charities weparin8 th¢ir wxounts in xc(ffdance with the Financia] Reporting Standard opplieable in the
UK and Republic of Ireland (FRS 102) {effeaive l Janwy 2019).
OBJECflVES AND A￿1VITIEs
Objertfvu ind #Ims
The charity, known lotslty ¥ Th¢ Rainbow C¢ntr4 wa5 ¢styblished with the obje￿1¥e of w￿￿tIn8 the b¢n¢fit of the
inhabitants of Searbwou8h albd th¢ wM)W￿Lng area by r•Jvan¢ing eduC￿lon, social welfare leisure-time
oeeupation ihrough wwia¢in8 tO8dher lorni people, k￿[ I￿Oni1￿ volunw other Lw8Anisition5.
A¢tlviiles undertaken by the dwity kn xhi¢v¢ these (W5 u¢ provided thmugh a mu]ti-•thivity eommuthity eentre
baxd in a church h￿1 buikling known as Parish Hoyse. The seplices offered Incl￿1¢ A community c&fe. odvi¢e, and
support for the homeless and vulnerable as well as health and wellbein8 intuventions aimed at tmwoving qU￿fjty of
life. Many other commurtity and chltrch groups use the centre re8ul•rly.
Publlc bthtflt
We have referred io guld￿¢¢ eontlined in the cl￿ Commitsiott$ 8enernl 8uid**e ott wblic benefit when
revi¢win8 our aimj and obj¢cli¥¢5 and in p1W￿1n8 ¥tiviti¢&
All detsils relating to how the chvity hu these PUry￿ 4r¢ in¢lydEd within th¢ ch•rithbl¢ xtivit¢s sec¢ion
of this report.
Volutttee
The Rainbow Ckn cThJld 0￿¢ withcwt the Supp￿ of volunteer& whoge ￿ntribUtIon to the Centre is
imme&wrgble.
I Pw2

Stm
for
202
ACHIEVEMENTS AND PERFORMANCE
Charllgble aetlvllles
2024 h¥ been 8 yew of signific4nt rt ad4xaiK)n. And strffigthened impact fv the Rainbow Centre. Building on
the fOund¥tiO￿ laid in 2023, the Centre has expnded its xryi¢¢s for homdess and vulnerable people. broadened
outreach into widtt Community. en1W￿ its finaDcial stsbility thr￿¥h new fundin8 5tram5 and a remarkable
legacy 8ift.
ongoin8 challen8es. ineludin8 i￿r￿Ing dematsj fw services and the need ￿ review lon8-t¢nn premises
options, the Centre ha5 ¢x)ntinu¢d to provid¢ a platt of wrlcorne, safery. pTArfieal supFw)rt to those in cri51S.
Cli¢nt Support and Homeless Services
Our Home@Rainb)w iniiiativ¢, llunthed in late 2023. beume fi￿lY ¢5tsblished during 2024. All visitors •ccessin8
Horne have access to free food hot drinks for the duration of their stay as well as being able to use our shower artd
IAundry f•eiliti¢S lo enabl¢ them ¢0 slay ¢le¥n. AthJitIo￿lly. we have a mobile barber vi51tin8 the Centye once a fortni8hi
providing ha1￿￿ts and 8mominB a5 well a5 wxess lo an NHS Homeless SuppM Nurne looks after all their medic
ne¢d$ and ¥yointm¢nts.
W¢ have many PArth￿hIP droppin8 into the eentre w wovidB 5UPP)rt inctudin8 th¢ housing department frorn
the local authority, Min4 North Yorkshire Horizms Dru8 Akohol Rth•bilitytion S¢rvice, CStiws Advice Bweau,
GamCare18amblin8 SUPPOrtI. Sexual Health ClinK and th¢ HeWi¢is C Trus¢ - ¢￿h providin8 SUPPOrt for 5pecir
1$8yes whlth our hom¢l¢ss clients may be fxin&
Our provision expanded thrrfi the develow¢ of sev￿1 ini¢iativ¢s'.
In Fe￿, wtykinl in kwtsxrship with Sheher Ind HS8C. ￿ trI￿led a proje¢1 ￿ ￿loW thos¢ withoui fixed
addr¢sges to op¢n 4 b￿k *cwurtL whith is needed ￿ be able io apply for a teii**y, Ipply for b￿efity ¢* vt • Job.
Followin8 its success. HSBC intends to roll the pmiea out Kross atl their branches in the UK.
Sexual health clinics W￿1*un¢l￿d in with upthk
Vision Care for the Homel¢55 introduced free eye tests Jun¢ f¢*r wr homeless clients or those livin8 in
i•npornry ￿CommOdAtIOn. Since s¢artin8 on I l June, the omic1￿ service h85 3 ¢linies with 21 Irtendees. Of thes<
7 referrals have b¢¢n made for further imie5tigation Into optiC81 eondition4 A ¢￿PIC of which coukl ￿ve led ¢0 i of
Sight if undi•gwd.
- [￿rIng 2024, the community Iivu screening teun held 2 liver sereening elinics in July and December, durin8 which
they screened in exc¢$5 of ICQ people. Of these. 12 people referr*J for firthr inve51È8otions ￿ they identified
Issues which may requi￿ m¢di¢il interveniion.
From Augusl North Yorkshire Art weekly art thulpy 5¢55ions for clients oc¢e55in8 our %rvi¢¢. Rather th
fornial thffapy se5sion5, thex infomul to ha%* played • vithl role in supporting those with menthl
health issues or potr MÈT￿1 health.
Flley Foodbank
Following the closure ofFiley Comrnunity FridBt. we wefe appr(*hed by North Yorkshire Council with 4 propos•l for
funding to open a rO￿lb3nk in the towTh. In Juty, Filty F￿dbank wed in Filey M¢thrAJL51 Chur¢h.
Northern Gu Network
In October. we were awarded 8 12-month Contr￿ Worth £96.480 with Northern Gas NeTh¥ork under th¢ir'Centr¢ for
w￿th, initiative. As a eerttre fLW Wtmith, we are abl¢ to wovide immediate support to fuel rnor hougehold5 by
providing holistie x)lutions fortheirprobk
Supp)rt It Christinas
Pa8¢3

l%)rou
SIM
'swithH I A
forthey
31 Decemi*r 2024
In December. we held annual a]ristrna5 huK* foT the I￿)Ck$S 8￿j vulnerable. The e￿n( sponsored by McC8in'5
PLC, was atiended by 150 people.
December saw the culmination of a 3-rnonth fiukning ump2ign aimed at raising money ￿lleCting10YS a￿1 gilb
for LMLr annu¥J Big Thrismias Giveaway.
We provided:
- food vouchu5 for 238 families feeding in ex¢ess of 6￿) people.
- di#ributrd over 2J(K) toys lo 420 children.
In 2024. WL..
. Served over 4,(￿ meals k) the kne]ess
- Supplied 6.264 foLxI ptrcels kn i￿livith1a1& coupks and families
- Helped pwle 13236 times with their problems
- Handed out beddin& elothing 8ThJ kitchert equipmem 2J96 times
- ProvÈded 1.881 pg)ple with ener&v voucher5 w bill a¥sisianL%
Outreach and Community DeVelopn￿l
The Centre extended its work btyond Parish House:
' S¢hools' en888ement at Friarage School supported vulnerable families he5itatrt to access the Centre direcdy.
' A baby bank wa8 establisw wtth S¢th>orough ChTiAian Fellowship. providingessentials for infants while alleviating
Rainbow Money Dei* Advice
2024 wa$ 4y¢8r of prow and sathiess foT ltsiniw Mcw. Etrly in the year, we w¢kom¢d Victoria &% oiir Iiew
administr*or. tkspite stru8Blin8 with her heal¢K the br￿( Breat dCd1¢￿10￿ ownership. and wannth to the role,
quickly becorniD8 a hu8e ble55ing to the *am. TT88icaJly. Victoria became unwell wwards the end of the year and
passed away while in h95Pital. She is deeply missed by staff. vol￿teCT% ¢lients alike.
Throu8lKJut the year. we sought fo Streng￿￿1 our work on budgding SUp￿t to help cliertts build long-*mi finaTKi&I
reshlience. Howeyer. eha]lenges aTouTrJ recruiting VolUntre￿ ¢lieni w¢nL tirne. and fimding meant this of
the Service did not progress as hoF¢d It remairts • FVi(Kity fw futwe development.
In 2024, we SUP￿)rted 245 clients at the RaIn￿W Centre a fiETther I I clients at Westway O￿n Arrns. (a Small
charity opeming nearby in E&stfield). dealirtg with £IJ60,789 of debt. Of the5< 102 Cli•￿ had their debts written off
through insolven¢y or Creditor agreement& giving than th¢ for a fresh stsrt. The rnajority of clients were
referred by parther agencies or came to U5 thrt￿gh word of mouth - a retl¢¢ts)n of the trust and reputgtion the service
has built in the community.
Rainbow Money a150 continues to plty a rt*ion81 Tok within Community Money Advice ICMAI, with C18ire. our
Rainbow Money Mana8er. ¢¢)ntributing ￿ the developrnent of the besp)ke c45e MaT￿gement system used ￿rO$S the
CMA network. Loca]ly, we Tunain the s￿8h thxate for Aets 435. throtsgh which 69 ¢lients rece¢Y¢d £l1.785
in direct support for e55entia15 such 85 ccthr% washing M￿h1n* and even fi￿￿1n8 for a taxirflriving course ¢0 help a
client rewrn ￿ work.
2024 h&$ been 8 tran5forn]ative yetr f￿ The Rainbow Centre. We have strength¢n¢d parthuship5, expanded S¢TVi¢N.
seeured Si￿lfie8ftt new fimding, and ffstor¢d a of dignity and hope th many of the most vulnerable in our
cornmunity.
Page 4

cial Action
'5 With Hol A tl
rt of th
for the Year E
While ehallenges r¢m#in
particularly around premises and m¢¢ting ever-growing demand
Ihe 8¢n¢r05ity of
supporters and the dedication of 5thff and volunteers have positioned the Centre to eontinue building a brl8hter fvtyr¢ in
2025 kyond.
FIIYANCIAL REVIEW
Flninelgl posltlo
The Sth*ment of Finattcx￿ Adivities $how$ an ov¢rnII surplu$ for the year of £181,77312023: £90.577 sU￿lUs).
Total reserves held at the year end were £445.53812023: £263,763. Of the$4 £nll {2023.. £979) related to restricted
funds. Unrestricted fvnds totalled £445.53812023.' £262.786h of whlch £445.538 {2023- £260.509} are Ilquid regources
available to support the ¢harity'S diy to day activities.
The trU￿e¢S consider that An appropri&* level of free reseNe$ is £168,(#)O. The hlonce on the unrestricted fijnd ¥¢ th¢
year end is sufflcieni to meet this requirement and io provide brid8in8 SUPPOrt in the eveni of a 8ap of fundltt8 actlvilies
currently fin￿eed by restri￿ed Ineorne.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlngdoeument
Scarborough Social Action Centre (St Ma￿$ with Holy Aposilesl. also known as The Rainbow Centr< 1$ a re8iStered
Charitable ittcorporattd or8anI￿1OTh ICIOI which was registered on 19 May 2019. The activities ond net ossets of the
nincorporftted Charity number lo710￿. also known as korborough Soci41 Action Centre (St Mary'5 with Holy
Apostl¢$l, w¢r¢ trwsf¢rred ty ihe CIO on 30 December 2019.
Approved by order of th¢ bts4rd of tw4ees on ..... .......
H New¢on- Trust¢¢
Page 5

t Exami
S¢xial Action
Independent eumlner's report to tbe trnjtees o
S¢*rborn•gh Soeknl Aetlott Ctntft Cthe Charlty,)
I report to the chariry trustees on my ex*nination of the accounts of the {j￿rIty for the year ended 31 December 2024.
Rryonslbllltles and bg91s of report
As the charity's tru￿e¢S of the Ctharity you are rcspDnsibk for the pr¢pAM1￿ of the in aK0rd￿ with the
requirements of the Chariiies Aci 2011 I'the Aet,).
I report in respect of my ¢xarnination ofyour charitys xcounts ¥ c¥ried out under ￿]0￿ 145 of the Chvities Aet
2011 (the 2011 Ad,). In carryin8 Out my examinati￿ I have followed the DirertÉons Si￿n by the Chartty Commission
und¢r Section 14515) (bl of the 2011 ACL
Indepettdtnt ex*mItte￿I JtsltlllQttt
Since your chvity's 8ross irKome exceeded £250.(I)O your exkniiner must be a rnembel of a li#ed body. I confi
th￿ I ￿ qualified to undcrt8ke th¢ examiThati￿ becwtse l am 8 memb¢r of th¢ A550cialion of ChaN¢r¢d C¢rtified
Aceountsrtty. whl¢h is one tsf the li#¢d bodie&
I h4v¢ wmplet¢d my examination. I wifirni no motters hve c4)me to my aitention in LY)nnethLM) with th¢
examination 8ivin8 me cause to believe:
4¢wunting T¢Mrd5 wue not kept in resPErt of the as required by Sertion 130 of the Art or
the accounts do not xcord with those records: or
the eceounts do noi tomply with the ¥pliL¥ble wuiremèmts CO￿¢MInI the fomi eorttettt of ¥¢oynts sei
out in the Charities {Aeeounts Repxts) ResUL￿10n$ 2008 other than Any r4uirement the ￿￿1n15 8iV¢
thie flir view whieh is Tb)t • matter considered as w of kn independent examination.
I h•v¢ no ¢￿¢¢m5 and hJv¢ ¢offl¢ TKross no (*h¢r rnatten in eo)Wdion with the ex*mlrt•tiM to which itteniion should
be drnwTr in this repKJrt in ￿der fts ¢n•bl¢ 4 proptt Unders￿Ing of the •c¢ounts ￿ be reached.
Mr Chris￿pher Dile Mallinson FCCA
The As9￿1?110n of Chortered Certified Account￿ts
Asquith A￿OUn￿￿¢s L
Rowan House
7 West Bank
SCARBOROUGH
North Yorkshire
Y0124DX
Date: ...
1.S."...Odzkn<...292&
PA8e6

Social Acti
iih Hol A
Stm
aneial A
iv
31.12.24
Total
funds
31.12.23
Tothl
fund$
Unrestricted
fund
Restricted
rund
Notes
INCOME AND ENDOWMENTS FROM
Donations artd le8acie5
479J24
2,419
481,943
369.773
Other trading ACtivltie$
Investhient income
24,917
24,917
20.201
TolAI
511801
EXPENDITURE ON
R41$lng funds
47.506
47.506
48.659
ChArltAbie aetlvltkl
Activties und¢rtak¢n dire¢¢ly
Support e05ts
247263
3,398
250,661
254.188
Total
ET INCOMEIIEXPENDITURE
182,752
(979)
181,773
90,577
RECONCILIATION OF FUNDS
TotAI fvnds brou8ht forward
262.786
979
263.765
173.188
TOTAL FUNDS CARRIED FORWARD
263 765
The Dot¢5 form port of these financial statements
Page 7

h Soci
IAC
swithH I A
Balance
31.12.24
Total
funds
31.12.23
Total
funds
Unrestricted
fund
Restricted
fund
Notes
FIXED ASSETS
Tangible assets
12
1.662
1.662
3256
CURRENT ASSETS
Stocks
Debtors
Cash at bank ¥nd in hand
13
14
250
12,359
508 149
250
12.359
508 149
17.208
256701
520,758
520,758
273.909
CREDITORS
Amounts fallin8 due within one year
15
176,Bf21
(76.882)
113.4001
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT
LIABILITIES
445,538
445.538
263.76S
NET ASSETS
445 538
263 765
FUNDS
UnTestri¢ted fiuKIs
Restricted fvnds
16
445,538
262.786
979
TOTAL FUNDS
263 765
The t￿t¢S fonn part of these financial stst¢m¢nts
contittued...

Sear
Stm
wi
The fin8neial #Jtem¢nts w¢r¢ approved by th¢ Board of Truth attd issue on
L.Q.....L￿.fr...?o..￿￿d were &gnoJ (ffl its behalfby:
H Newton. Tn*e¢

ol
C￿h Flow
for the Y
31.12.24
31.12.23
C¥Jsh nows from 4)perAtIDg ithltl
Cash 8enernted from op¢rntions
Net cash wovided by opuatiwg xlivities
C*sb ntsws from Invtstlnu #tllvltl¢•
Purch8se of tan8ible fixed assets
Inler¢51 T￿e1ved
{1058)
Net cuh wivided by investin8 xiiviiies
Change In e*$h Ind e*sh ¢q#lv*J•ts l•
lht r¢portlng perlod
Cash and r•$h eqylv*le#ts At the
beOnnlDg of the reportl•g p¢rlod
251.448
96102
256701
Cash And Cash equfvalents At the ¢Thd or
the reportlog perlod
Page 10

Social Act
's with Hol A
tothec hFI
for the Year En
RECONCILIATION OF NET INCOME TO NET CASH FLOW FROM OPERATING
AcfiviTIFS
31.1224
31.1223
Net Intoffj¢ for tht r¢portIng￿ (u per th¢ Ststemeul of Fkn*•el*l
Aftlvltl¢s)
Adlusttnenti for:
Dweeiation char8es
Loss on disposal of fixed a55ets
Inter¢51 re¢eivr
Incre&se in siocks
Decre&s&lincre&8e) in de￿01$
Increase in Credi￿rS
181.773
.577
2,562
3.976
345
(3.4501
17.360)
1250)
4,849
1591)
Net euh provlded by operntloos
ANALYSIS OF CHANGFS IN NET FiJNDS
Al 1.1.24
C45h flow
Ai31.12.24
Nel eAih
Cash ai b￿ Ind In hknd
25
508 149
256701
508 149
Tot•1

ded 31 December 2024
ACCOUNTING POLICILS
Bath of preprthg tbt Ilth*•el#l sl*tethe#ts
The financial stetements of charitable incorp￿d orgmi5ati(th, whith is a public benefit eniity under FRS
102. have E¢en prepared in aceordatKe with the Ch8rilies SORP (FRS 1021 'A¢eounun8 and R¢porting by
Chtrities: Ststement of Recomm¢nd¢d Practi¢¢ appli￿1¢ w tharities weparM)g their wxounts in xcordance
wilh the Fittab)ci81 ReF￿1ft8 Standtrd applicable in the UK and Rryblic of Irel¥Dd {FRS 102) (effective I
January 2019),. The finttThci￿ ststemtnts have been under the histori￿1 ￿$¢ Conv￿tIon.
Ineome
All itt¢ome is r¢¢ogniseil in Sw¢m¢nt of Fin•ncial Adivitim once th¢ chxity has entitlement to it
is &YobHbk that the incorne will be Itceifvrd and the anmmmican be measurtd TeliAbty.
Income from sovernment and other whth 'capital' yattts or 'rtvefiue' pits. i$ r¢cwised Rt fvir
¥￿tse whett the ehlrity has entitlerneni b) the futmls any perfomilnee ￿nditiOnS attaehed to the 8rants h•v¢ been
mel. it is Probabl¢ that the irKom¢ will b¢ rw¢ived and the wnoun¢ be m¢p5ur¢d r¢liably. If enti¢l¢m¢nt IS
not met then the5¢ ¥nounts qre defefftd.
For legacie& entitlement is taken u th¢ ¢wli¢r of the on which either. the eharity is aware prob&te has
been 8r8nted, the estate has t¢en fin•lised #nd notifiution hts been by the executorfsl to the Trust th
distribution will be rnad< or when a di5tribthion is receiv￿ from the esthte. Receipt of a lew. in whole or in
pa¢ is only considered wobabk when the amount ¢Jn b¢ me45ured r¢li•bty 4Dd th¢ charity Iw b¢¢n notifi¢d of
th¢ ¢xKytor's itttenlion io m&e a di￿ributi(￿. Where legxie5 hove been nolified to the chHTity. or the ¢harity 1$
awwe of th¢ ywtin8 of probth*. the critrria for income rec4Wition have not be￿ meL then the lewy is
¢re*d a5 a ￿￿tin￿en¢ US¢t and dls¢loaed if mawi•l.
Income received in ￿¥*￿¢¢ of pmisiofi of specified services ts d¢ftTred until the criterii for incomB
re￿8n}llOn are meL
ExpeAdllure
Liabilities are recO￿lS¢d u eX￿di¢￿t ￿ soon u there li A Iwl or conslnKlive obli8a¢iott ¢omrnittini the
charity io ihat expendiiure. 1¢ is prob•bl¢ thwt a tr￿sfer of ¢wy)mic benefits will be required in settlement and
th¢ amoun¢ of th¢ obligation can be rneasur•J ff li•bly.
Expenditwe is x¢oun*d for on Irt accrnals bLsis has been clusified under he￿1￿¥S th•t a8ye8•te all cost
related to the cal¢gory. Wh¢r¢ ¢osts cannot be diredty anributed io p8rti¢ul8r headings ih¢y have beett all￿11ed
advitie$ ￿ a b&8is congi*rt with tl* us¢of
Expenditure on tharitsble acliviiies ineludes the costs of ￿1¥111¢5 underth to fvrtlw the purp)xg of the
chtrity and their &SSLxiatrd support
Support ¢osts are those functions ￿1$¢ the of the th￿lty do not dir¢eily undertake
thjritable ¥ctivitie& SUPP￿ costs include administrative gov¢rn•nce costs. Govemknet costs eomwis¢ •ll
¢osts involving th¢ pyblir ¥¢oyotsbllity of the dwrity a￿1 its cornpliwK¢ with r¢gul•iion Ind 8ood pr4¢11¢¢
Tan￿ble fixed gsRts
Deweciation is provided followin¥ rffder to write off ¢￿h &sset over its estimated useful
Fixtures and fittinp
Motor vehicles
. 20%0￿￿
25% on reducing balance
Page 12
¢otttinued...

ear Ended 31 December 2024
ACCOUNTING POLICIES- ￿ntInued
Stotk8
Stocks are valued at the lower of cost and realisable value. after m#kin8 due allowan¢¢ for obK*lete ond slow
movin8 Items.
Taxitlon
The ¢hority is exempt from coryorntion tsx on its charitable activities.
Fund #eeountlttg
Unr¢stri¢ted fvnd5 be used in a¢¢ordan¢¢ with th¢ ¢hari¢able obi¢¢tives al the dixretion of the trustees.
Rcslri¢ted funds Can only be u%d for porticuklr reAtrleted Fwrposes wiihin th¢ obje¢ts of the Charity. Restrictions
arise when Specified by ihe donor or when ￿ndS are rnised for particular restricted purposes. The Cort of
raising and adminisiering such funds are charged against the specific fund. The aim and use of eath restric*d
nd 1$ w out lrt the notes to the flnancial siotements.
Further explan￿10￿ of the natUT¢ Ind purpos¢ ofeach fund is included in the notes io the firwicial S￿ementS.
Designated funds comprise unre$trl¢t¢d fund$ h&ve been S￿ aslde by the trustees f¢v porti¢u14r Pur￿$¢$.
The aim and use of c￿ desi8nated fund is 5¢t out in th¢ notes to ihe fin&nelal statements.
P•n¥lon ¢o•ti •nd oth•r poit-r¢tlremthit bentnts
The eh8ritJble comparty operntes & defined contribution Fnsion ￿heM¢. Contributions payable to the
ehtritAble ¢oMp￿Y'S pension s¢h¢me ar¢ chorged ￿ the Sts*ment of Finoncl•l A¢¢lvli1¢5 in th¢ period ¢0 whlch
Ih¢y relat¢.
DottAt*d s•rviett f*ellltle8
Donit¢d prof¢ssional $ervices and donated ft¢iliti¢s Ire rttognis¢d &% Ineome whett the chariry has control over
the item, Any eonditions associated with the don8t¢d il¢m have be¢n m¢¢. Ihe reeeip¢ of economi¢ benefii from
the use by the ¢haTity of the it¢m is probable and tha¢ ¢wnomi¢ benefit be mth5ured r¢llably.
No gmoun¢ 1$ Included in the flnancial s¢a¢em¢nts for volunwr Ilme in line with the SORP (FRS 102}. Further
dethil is 8iv¢n In th¢ TrnsLee& Annua] ReporL
On re¢¢ip¢. donated professl¢)nil seThices and dona¢¢d fKiliti¢s ar¢ r¢co8nised on the buis of ihe fair value or
the gift to the ¢harity which is the amouni the charity would have been willing to pay to obtsin xrvi¢¢s or
f￿111¢1¢> of ¢qyivalertt e¢onomlc benefit on the open markel: a ¢orrtspondln8 kniount is then ttco8nised in
exp¢ndilur¢ in the perfod of reeelpt.
FSx¢d a5S¢t gift5 in kind wr r¢eo8nised when receivable and are included •1 fair v•lue. The Income Is not
deferred over the life of ihe ￿$¢t
Glfts ID klnd dongi¢d for dI$tTlb￿é1On or res¥Jle
The Rainbow Centre receives gifts of food aftd second-hand clothing throughout the year ftir dislribuiion to
beneficiaries. It 15 not P0S5ible to pyt a valye on ihese items and the Statement of Financiai Activities does not
In¢lud¢ any In¢om¢ or expenditure In respe￿ of them.
Jud8ements and key sources of estlmatlon UDCQrt8lnty
The trustees consider that no judgements. apart fnjm those involvin8 ¢Stim*e$ hav¢ been made in the proc¢95
of applying the above ￿COUntIng policies which have had a signifiwt ¢ff¢d on 8moyDts r¢wBni5¢d in the
financial ststsments.
The Itt￿tee$ consider thai no key assumptions conc¢rning th¢ future and other key sour¢es of estimation
un¢ertaiThty at the reporting date have been mad¢ which have a 5ignificaD¢ risk of ¢au5ing a rnaterial adjusttnent
to the carrying amounts of assets and liabilities within ¢he next financial year.
Page 13
continued...

rou
h Social Action
'swithH I A
Stm
Notes to
eFi
for the Year Ended
als
l Decem
24
DONATIONS AND LEGACILS
31.1224
31.1223
141,961
148.629
11.057
54,341
Gift aid
Legacies
Grants
2￿,1￿0
132
£nil12011: £35.9121 of th¢ ¥b¢)v¢ W05 to re5trid¢d fuTrJs.
The Rainljow Centre receives gifts of food sxond4wKI Clothing thr￿ghOul the yw ftir distribution to
benefKiartes. It is not possible to put a value on these items 8TrJ the Statemert of Firwici81 Activities does no¢
include arty income or ex￿￿JIll￿e in r+* of th¢m
OTHER TRADING A￿1VITIEs
31.12.24
31.12.23
Fundraising events
Cafc incorne
Room hire
Sale of ra8S
5,534
17.760
7.716
10236
200
All of the above itKLMne in the cunem and PIEVW ytsr attributsble io fund&
INVESTMENT INCOME
31.12.24
31.1223
Dep)sit interest
7J60
RAISING FUNDS
Other trading aetlvltks
31.1124
31.1213
Pur¢hases
Sthff costs
13,795
7.543
47
Page 14
eontinued...

Stm
'5 Wjth H
inanei
I Statem
ember 2
24
CHARITABLE ACTIVITIES COSTS
Support
sts (see
not¢ 71
Direct
Costs
Tota15
A¢tivti¢s undertaken directly
Stspport costs
250,661
250.661
34
80 ￿80
34
284.941
SUPPORT COSTS
Gov¢rnan¢e
M¥nag¢m¢nt
Tota]s
Sypport wsts
toih
ndent ex
2024
2.160
2023
3.000
Independent examination fees
Bookkeeping &%sistanee and adviee
Payroll ftts
Tothl
NET INCOMEJ(EXPENDITURE)
Net llicomel(expertdiiurel is stated after ¢har8ingllcrediting).'
31.1224
31.1223
Independeni examination
Depre¢iation- owned assets
Deficit on disposal of fixed assets
2.160
2,562
3,0Th)
3.976
345
TRusfEES' REMUNERATION AND BENEFITS
There were no trusttts. reMuner￿lon or other benefits for the year ended 31 D¢¢¢mber 2024 nor for the year
ended 31 December2023.
Trusttes, eApensts
There were no tnL4e¢¢ ¢xwses paid for the ycar ended 31 Dttember 2024 JK)r for the yew ended
31 Decembv 2023.
Page 15
¢ontinu¢d...

ncial Statemen
Year Ended
l Decem
STAFF COSTS
31.12.24
31.12.23
W88es and salaries
Social security costs
Other pen$iort eos
228,539
7.720
199.460
5.384
The aver4¢ mon¢hly nyrnberof employees durin8 ihe yeAr was aq follows:
31.12.24
31.12.23
General
Cofe
SuptKJrt Workers
15
No ¢rnploytt5 fecelved emoluments In excess of £60,000.
All members of sthff are employed on a part time basis. The full ¢lm¢ wuival¢nt number of stsff at JI
De¢¢mber 2024 w85 9 12023.. 7).
The total remunerntion of key mano8em¢nt PBrwnn¢l amounted to £32.01 S {2023.. £25.299).
In addition to paid stAff, volunteers are ¢nLeial to deliverin8 services and kttpittB the ¢hwity runnln8.
I1￿111ry and expense re1￿ing 10 the employefs costs of the defined contribuiion workplace pension sch¢m¢
gllocated between re$tricted and unresiricted funds in line wilh the fundln8 of the relevant 8t&ff memlxrn
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unr¢5¢ri¢t¢d
nd
Re5¢ric¢ed
fund
Total
fund$
INCOME AND ENDOWMENTS FROM
Donations and legacie5
333,861
33,912
369.T13
Other tt8din¥ 4ciSvltl¥
Investhjent Incom¢
20.201
20,201
Totsl
357512
EXPEIYDITUREON
Raising fund$
4&659
48.6J9
Charltable Actlvltles
Activiies under￿ken dirertly
215 170
254 188
Totsl
263 829
302 847
NET INCOMEI(EXPENDITURE)
93,683
13,106)
90.577
' Page 16
Continued...

rou
Soci
'swith Hol A
Stm
the Financi
for
hey
ii.
COMPARATIVES FOR THE STATEMENT OF FINAIYCIAL ACTIVITIES- eontlnued
UnT¢s¢ricted
Resirirfed
nd
fund
Total
funds
RECONCILIATION OF FUF4DS
Total funds brou8ht foTwwd
169,103
4,085
173.188
TOTAL FUNDS CARRIED FORWARD
262 786
979
263 765
12.
TANGIBLE FIXED ASSETS
Fixtures
mO￿T
vehi¢le5
fittings
Totals
COST
Ai l January 2024
Additions
Disposals
23.445
2,058
13.188
36,633
2,058
Ai 31 Decembw 2024
DEPRECIATION
At l J&nu&ry 2024
Charge for year
Eliminated on dispo￿1
20.189
2,362
13.188
33,377
2.562
Ai 31 Decemb¢r 2024
NET BOOK VALUE
At 31 tkcember 2024
A¢ 31 D¢¢ember 2023
13. STOCKS
31.12.24
31.12.23
Stocks
250
Ipa8e 17
¢oMinued...

Scarborou
Social A
the Finaftei
l Dcccm
r 2024
DEBTORS: AMOUNTS FALLING DUE WITHIN OliE YEAR
31.1224
31.1223
Oth¢rdebtors
P￿PaYMents inwm¢
1.280
IA652
556
12
I& CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.12.24
31.12.23
Tr#de ¢reditors
SOCI￿ security and other thxes
Other creditors
2284
3.164
59.432
1.206
3.071
2,289
16.
MOVEMENT IN FUNDS
movement
in fvnds
At
31.12.24
At 1.124
Unre8trleted
G¢neril fund
262.786
182.752
445,538
R¢strltt4d
ReMrS¢ted Funds
(979)
TOTAL FUNDS
181773
445
Net movement in funds. included in Aixjve are •s follows:
IrKomin8
Resource5
Movement
in funds
iJDrostrleted
Gener81 fund
511.801
1329.0491
182.752
Restrkted
Restiieted Funds
2,419
(3J981
(979)
TOTAL FUNDS
332 4471
P•8e 18
continued..

Searborou
Social Action Ce
MOVEMENT IN FUNDS- fQDtIDw¢d
ComparAtlves for movement In fund8
Net
movemen¢
in ffijnds
At
31.12.23
At 1.1.23
Unrestrlcted funth
Gener￿ fijnd
169.103
93.683
262,786
Reitrltted fuDd$
Restricttd Funds
4.085
13,106)
979
TOTAL FUNDS
173 188
263 765
Comporative net movernent in ￿ndS included in th¢ ¢bov¢ #¢ Is follows:
Rex>ur¢¢s
expended
MOV￿ent
in funds
resource5
Unr¢￿TI¢l¢d funth
Generd fvnd
357,512
(263.8291
93,683
Restrltted fundi
Restricted Funds
35,912
139.0181
13,106)
TOTAL FUNDS
393 424
302 8471
A current year 12 months and prior year 12 months combitted posiiion 1$ 8$ follows:
N¢t
movement
in funds
At
31.12.24
At 1.1.23
Unratrltted
O¢n¢r•l fund
169.103
276.435
445.538
Restrlded
Restrieted FuThd$
4,085
14,085)
TOTAL FUNDS
272
173 188 aso
445 538
Page 19
eontlnued...

l Action Cen
Notes to the Fi
ror ihe Year En
tem
IDec
24
16.
MOVEMENT IIY FUNDS- contlnued
A eurrent y¢or 12 month5 4nd prior y¢*r 12 Tnonths eombin¢d nd mov¢m¢n¢ in funds included in the ab)ve are
as follows..
Incoming
resources
Resour￿$
expended
Movement
in fund5
Unres¢rl¢ted
G¢nera] fund
869J13
(592.878)
276.435
Restrleted fullds
Re5tri¢kd Funds
38.331
{42,4161
{4.085)
TOTAL FUNDS
635 294)
17.
RELATED PARTY DISCLOSURLS
There were no rel￿ed party IransActions for the yw ended 31 D¢c¢mber2024.
Pa8e 20

Year Ended 31 D
mber 2024
31.1224
31.1223
INCOME AND ENDOWMENTS
DoD¥tillDS kgA¢les
Donations
Gift aid
Legacie5
Grants
141.961
7.469
200.0
132313
148.629
11.057
54J41
155746
481,943
369.T13
Other tr•dthg •¢tlvltlu
Fyndraising events
Caf¢ incom¢
Room hire
Sale of r4$
5.534
17.760
7.716
10236
200
24,917
20,201
lttv¢s¢m¢Dt ID¢oth•
Deposii aceount Int￿
Totsl In¢ornln¥ rew•r¢
314,220
393.424
EXPENDITURE
Other tradlng •¢thfltl
Cafe purthw
Cafe wages
Social st￿￿5ty
13.795
32.808
903
7.543
41.116
47J06
48.659
Ch•rlt•bk •dlvltl
Wi8es
So¢iil 5¢wity
Pensions
Insur8n¢¢
Sundries
Parish House
Motor expenses
163.716
6.817
3,730
1,370
1.182
9.437
141.401
5.384
2.518
3.354
1.352
10.477
2.771
L 11
Travel aThl ￿bSis￿nce
Staff trainin8
Telephone
Offi¢¢ ¢xp¢ns¢s
Activites
Depre¢iation of fixtures & fittiny
7.506
48
3207
11514
34,416
2,562
249J71
777
4.829
16.851
33.913
3.318
232.9¥)9
This p88e 410¢5 Jh)t of the s￿U￿ry fin8ncig1 #at¢rnents
Pa8e2l

Stm
Detsiled Statement of
f r the Ye4r Ended
l DeCem￿r 2024
31.1124
31.1223
Ch4rit8bl¢ a¢tiviti¢s
Brought fon¥ard
Dep￿la¢lOn of motor vehieles
L0551 Iprofitl on asse¢ disposals
249.571
232.gJ9
658
345
250.661
233.912
Support eorts
MaDHge]Btnt
Wag¢5
31015
16.943
Gthvern•D¢¢ Costs
Ind¢pend¢nt examinalio
Trusttts, indemnity insurattce
2.160
105
3.¢x)o
333
Total resources expended
Ne¢ Income
181773
This page does not fomi part of the staiutory fin8ncial statements
Pw22