CHANCE TO CHANGE FOUNDATION
Company number". 12071926
Re8lstered charity no: 1189198
Annual Report and Financial Statements
for the year ended 30 June 2023

once to Chortoe Foundotlon
Compt7ny fto.. 12071926
Otrurtyno.. 1189198
Annual Report of the Trustees
The Trustees are pleased to present their report on the activities of the Chance to Change Foundation
I'the Foundation'l covering the perlod l July 2022 to 30 June 2023.
Objectlves and Actlvltles
The Foundation's charitsble objects are set out in its Memorandum and Articles ofAssociation, whlch
state that.. The Objects of the Charity are. for the publTrc benefit. to prornote the care. resettlement
and rehabilitation of offender5 and ex-offenders and the preventlon of crime in particular but not
exclusively by providing educatlonal and awards programmes wtthin wisons and by acting as a
resource for those people on leaving prison..
Achlevements and Perforniance
After making Its first grant In 2022 to support a INe music project at HMP Pentonville called Muslc In
the Vllle. the Foundation was proud to support more Innovative and much valued projects at HMP
Pentonville in 2023. These included provldlng professional trauma counsellin8 to prisoners inside the
prlson. The Foundatlon also made tts first ever grant to an Individual, supportln8 a former prlsoner
with travel costs to a professional trainin8 course. The Foundatlon also focussed a great deal of effort
on preparln8 for a malor new initlatlve whlch will launch In 2024, the establishment of a bicycle repair
workshop and tralnlng fac115ty at HMP Pentonville.
Flnanclal Revlew and R￿r¥e$ Polky
2023 saw the Foundatlon successfully raise funds from three new Institutlonal and corwrate donors.
Thls new fundlng will support a significant Increase in the Foundatlon's charltable actlvltles at HMP
Pentonville in 2023124. Thanks to these new donations. at the end of the flnancial yearthe Foundation
held cash reserves of £43.53212022' £4,953). all of whlch was available to fvnd fvture activities In
furtherance of Its charltable objects.
The Trustee5 gratefully acknowledge the generous flnanclal support of the SaTd Foundation. the
Goldsmlths, Company Charity. and Eden Gardens Entertainment Ltd.
st￿￿Ure. Governance and Manwment
At the end of the period the Board had three members: Mr Jonathan Aitken. Mr Shaffiq Din, and Mr
Daniel Bird Iwho acted as the Chairman). As a small charity in its start-up phase, the Foundatlon is
managed and run by its Trustees. who a￿ unremunerated.
Publlc B¢nefft
The Trustees have complied wlth the duty in section 17 of the Charities Act 2011 to have due regard
to the Charity Commission's general guidan￿ on public benefit. The Trustees consider that the
Foundation's aim to promote the care. resettlement and rehabilitation of offenders. and therefore
foster a reduction in reoffendin& supports 111 the advancement of citizenship or communlty
development and121 the advancement of education. both of whTrch are'public benefits. as defined In
the Act.

unce to Chonge Foundotlon
CompGnyno.' 12071926
Ojurttyno." 1189198
Approval and Sl8nature
Thrs report was approved by the Board of Dirertors on 25 March 2024 and signed on its behalf by:
Danlel Blrd
Dlrector arTrd Trustee

(*t7nce to Chonge Foundotlon
Componyrto.. 12071926
orAtyRo." 1189198
Reference and Administrative Informatlon
Company re8iStratlon numhr
12071926
Charfty re8lstrntion number
1189198
Registered office address
83 Barkston Gardens
London
SW5 OEU
United Kingdom
Board of Trustees
Rev Jonathan Attken
Mr Shaffiq Dln
Mr Daniel Blrd
Bankev$
Natwest
66-68 St John's Road
London
swii ipz

ance to Foundotion
Cornponyno.. 12071926
Ofrarltyno.. 1189198
Independent Examiner's report on the accounts to the Trustees of
the Chance to Change Foundation
Responslbllltle5 and basts of report
I report to the Trustees on my examination of the accounts of the chan￿ to Change Foundatlon 1.the
chariv) forthe year ended 30June 2023.
As the charitvs trustees Ivtho are alx) the dlrectors of the company forthe purposes of company lawl.
you are responsible for the preparation of the accounts in accordance with the requirements of the
Companies Act 2LKIfj 1.the 2CX)6 A￿).
Having satlsfied myself that the accounts of the Company are not required to be audited for thls year
under Part 16 of the 2CL16 Act and a￿ eligible for Independent examination, I report In ￿SpeCt of my
examination of your chariws accounts a5 carried out under section 145 of the Charities Art 20111.the
2011 Act'l. In carrylng out my examlnation, I have followed the Dlrections 8r¥en by the Charlty
Commission under sectlon 145151{b) of the 2011 Act.
Ba$ls of Independent examlnerfs statsment
My examination was carrled out In accordance wlth Beneral Dlrecttons given by the Charity
Commission. An examination Includes a revlew of the accountin8 records kept by the charity and a
comparison of the accounts presented wlth those records. It also includes consideration of any
unusual items or dlsclosures In the accounts and seekin8 explanation5 from the trustees toncernlng
any such matters. The procedures undertaken do not provide all the evidence that would be requlred
In an audlt, and consequently no oplnlon Is 8l¥en as to whether the accounts present a 'true and falrf
vlew, and the report Is Ilm5ted to those matters set out in the statement below.
Independent examlnerfs statement
I have completed my examination. I confirm that no materlal matters ha* come to my attentlon In
connection with the examination which 8ive me cause to believe that In, any materlal respect:
the accounting ￿CordS were not kept in accordan￿ with section 130 of the Charitles Act,. or
• the accounts did not accord wlth the accountlng records: or
the accounts dld not comply with the applicable requirements concernin8 the form and
content of accounts set out in the Charitie5 (Accounts and Reports) Regulations 2CXJ8 other
than any requirernent that the accounts give a 'true and fairf view which is not a matter
consldered as part of an independent examination.
I have no concerns and have come across no other matters In connectlon wFth the examination to
which attention should be drawn in this report In order to enable a proper understandlng of the
accounts to be reached.
Signed:
lol
2024
Mr Benjamln Wllllam Tho
a5 Dugmore

(Jgnce to Chonge Fwndatlort
Qjmponyno.. 12071926
Chorityno.. 1189198
Cha￿￿ to Change Foundatlon
Statsment of financial Artivitles
i￿OrPOratIng Income and Expendlture Account
for the year ended 30 June 2023
Re5tr1rted Unr¢strfrted
Funds
Funds
Total
2023
Total
2022
In¢ome from:
l)onations and le8acles
Total Incom¢
11,880
11,880
31,OLKJ
31,1
42,880
41880
5,100
5,100
Expendlture on:
Ralslng funds
Charltable actlvltle5
Total expendlture
12,5651
{1,7491
4,314
12.565)
11,749)
4,314
11041
12,0831
2,187
Net Income
26,686
38￿66
2,913
Net movement In fvnds for the y•ar
26,686
38,566
2,913
Reconclllatlon of funds
Funds brou8ht foThvard
4,966
2,053
Funds carrl¢d forward JO June
11080
31.652
43,532
4,966
The statement of flnancial activTrties includes all Balns and losses recognlsed In the year. All Income and
expenditure derive from continulng actlvitle>
The notes on pages 7 to 9 form part of these flnancial statements.

Chonce to thonge Foundutton
Compony no.. 12071926
Orurltyno.. 1189198
Chance to Chaft8e Foundation
Balano Sheet a5 at 30 June 2023
2023
2022
Nots
Flxed assets
Totsl flxed assets
Current assets
Debtors. prepayments and accrued income
Cash at bank and in hand
Total current assets
43,532
43.532
4,966
Llabllltle$
Creditors falling due withln one year
Net assets
43.532
4.%6
Funds of the chartty
Restricted funds
Unrestricted income funds
11,880
31,652
4,966
Total charlty funds
43,532
4,%6
For the perlod ended 30 June 2023, the Company was entltled to exemptlon from audlt under sectlon 477 of
the Companles Att 2006 rdating to small companles. The member has not ￿qUIred the Company to obtsln an
udlt of Its accounts for the perlod In questlon In Jccordano wlth sectlon 476.
The Director5 aCkno%￿ed1* thdr responslbllltle5 for compfying t*lth the reqUI￿rn￿ts ofthe Act wlth respect to
a¢countSng records and the p￿paratIOn of accounts. The accounts have been prepared In accordance wlth the
prov5slons appllcable to companies subject to the small companles, regime.
The Flnancial Statements on pages 4 to 8 were approved bythe Board of Dlrertors on 25 March 2024 and slgned
on Its behalf by..
Danlel Blrd
Dlre¢tor and Trustee

once to Change Foundatton
Company no.. 12071926
Chorityno.. 1189198
ChaKe to Change Foundatlon
Notes to the Financial Statements
for the year ended 30June 2023
Accountlnz Polkles
Ba￿$ of prep•ratlon
The flnanclal statements have been prepared in accordance wlth Accountlng t7nd Report￿4 by Ojarltles..
Stotement of Recommended Pn7rtice opplicoble to chorities preparing their occounts In occordunce wlth the
Financial Reportln9 Stgndardopplicuble In the UK ond Republic of Ireland (FRS 102). the tharltles Act 2011 and
UK Generally AccÈpted AccountlnB Practlo. The charity meets the definition of a 'public benefit entity, under
FRS 102. The flnandal statements are Prepared under the hlstorlc cost conventoon except where othen¥lse
stated.
The malorlty of the Foundauon's assets arKI Ilabilltles are denomlnated In Pounds Sterllng. The functlonal
¢urrency of the Foundation 15 therefore consjdered to be Pounds Sterllng and the Flnandal Ststements are
presented In that currency.
Income
Income Is recognlsed when the charity has eniitlement to the funds. It is probable that the income will be
recelved and the amount can be Measured rdiably. The full analysis of Income 15 shown In the Statement of
Flnanclal Activitles.
Glft rè¢elwdble Is recoBnlsed lthen the donor makes a donatlon wlth a valld Glft Ald declaratlon. Glft Ald
recelvable but not yet clalmed at year*nd is accounted for as accrued income. Any Glft Ald welved In respect
of a donatlon Is credlted to the same fund as the Inltlal donatlon unless the donor or the terms of the appeal
have speclfled otherwlse.
IA
Expendlture and Irr•¢0¥ernb￿ VAT
Expendlture 15 recognlsed once: there Is a legal or constructlve obl*atlon to makn a payment to a thlrd party
arbsing from a past event- It Is probable that sethement wbll be reqUI￿d. and the amount of the obli8ation can
be measured rellabty. Expenditure relates elther to ralsing fund5 (the costs assoclated wlth fundralsSn8101 to
charltable a¢tlvlties Igrants made to the Hun8arian Foundation along with the 5UPPOrt and governance costs
assoclated wlth provldln8 those
The tharbty Is not re8iStered for VATand Irretoverable VAT15 therefore tharged as a cost a8alnst the actlvlty for
whlch the expenditure was Incurred.
IA.
Debtors
Debtors Ilndudin8trade debttys and loans recefvablel are rneasured on Inltlal reco8nltlon atthecash settlement
amount after any trade dlscounts or amounts advanced by the chadty. Subsequently, they are measured at the
value of the cash or other consideration expected to be received.
Golng ¢on¢ern
The Board has revlewed the Foun(Jatiorfs forecast intome and expenditurefor the comln8 period. In the current
'start up, phase, all the Foundation's expenditure is disuetlonary. so the modest level of cash reserves Is not
considered a risk. Combined with the prospett of significant new donations in the year ahead. the Trustees have
therefore concluded that it is appropriate to continue to adopt thegoing concem basis in preparing the flnanclal
statements.

ance to Chortge Foundo(It
Compjny f￿.. 12071926
thorttyno.. 1189198
Chance to than8e Foundatlon
Notes to the Flnanclal Statements
for the year ended 30June 2023
Analysls of wendlture on dbarltable acti¥ltles
Restrlcted Unrestrlc
Funds
Funds
2023
2023
Total
2023
Totsl
2022
stsff and admlnistrative costs
Dlrett charitable expendlture
Grants to Individuals
Grants to Institutions
Total
15211
16501
15781
{521)
(650)
1578}
11,0831
11,(NxJi
1.748
1.749
Remunerntlon of staff• Trustees and key management personnel
Durln8 the year. the charlty had no pemianent paid employees. There were no key management
personnel, and no employee received a salary In excess of £60,OLTh). The average monthly headcount
was nll.
The charlty's Trustees We￿ not paid any remuneratlon nor ￿ceIved any other benefits from the
charity or any related entity- Trustees are entitled to reimbursement for reasonable travel costs
Incurred in the course of their dutles. No such ￿0Mbursements were made In 2023.
The charity did make payments to two temporary members of staff during 2023. The flrst was a part-
time bookkeeper and admlnlstrator {Included In the 'Staff and admlnlstratlve Cost￿ Ilne wlthln
'Expenditure on charitable actNities'). The second was a professional fvndraiser who vmrked on
major fundraisin8 bid to the Goldsmiths, Foundation (included in 'Expenditure on ralslng funds'l.
Cash at bank and In hand
2023
2022
Cash at bank and in hand
Total
43,532
43,532
4,966
All of the charivs cash was held in a Sterling currentaccount with no notlce perlod orother restrictlon
on the Trustees, ability to draw down on the balan￿.

Chonce to Chonge Foundot1017
Componyrto.. 12071926
ChuTrtyno.' 1189198
Cha•Ke to Change Foundatlon
Note5 to the Flnandal statements
for the year ended 30June 2023
Analys1$ of charitable fvnds
Current accountlng perfod
Balanc•
Balance
Income Expenditure 3Q06.23
01.0722
Unrestricted Income fund
Gold5miths' restricted fund
Total funds
4,966
31,OCX)
43,532
11,880
11,880
4.966 42,880 43.532
4314
14,3141
Prevlous acc<wntlng perlod
Balanc•
01.07.21
Balan
30.06.22
Income Expendlture
Unrestrlcted income fvnd
Totsl funds
2.053
1053
5,lThJ
5,1
12,1871
2J87
4,966
4,966
The unrestrlcted Income fund Is used to meet the costs of all charitable actfvltles, as well as other
operatlonal and fundralsln8 tosts.
The Goldsmlths, restrlcted fund holds the proceeds of a grant awarded to the Foundatlon by the
Goldsmiths. Company Charity. The donor has restrlcted these fvnds such that they can be spent solelv
on the creatlon of a blcycle repalr workshop and trainln8 facility at HMP Pentonvllle.