OpenCharities

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2025-07-31-accounts

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

Yellow Scarf CIO Charity Number. 1190615 Mob.: 07340 634 326 E-mail: info@yellowscarf.org

Yellow Scarf CIO: Trustees Annual Report for period ended 31 July 2025

Charity Details

Charity Name : Yellow Scarf CIO

Charity Number: 1190615

Principal Office:

Church House, Market Place, Evesham, WR11 4RW

Email: info@yellowscarf.org

Website: www.yellowscarf.org

Key Management Personnel:

TRUSTEES

Name: Mr. Ian. C. Charles Name: Mrs. Anna Majewska

Name: Igor Zyszkiewicz

Name: Rafal Gregorz Piekarczyk Name: Yellow Scarf Support CIC

www.yellowscarf.org

info@yellowscarf.org

07340 63426

Yellow Scarf CIO Charity Number. 1190615 Mob.: 07340 634 326 E-mail: info@yellowscarf.org

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Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC
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Objectives And Activities:

Yellow Scarf CIO continues to be guided by its mission to promote mental health, social inclusion, and recovery from addiction. Our objectives remain rooted in creating opportunities for people to live healthy, safe, and meaningful lives.

The charity’s primary areas of focus include:

These objectives are pursued through direct services, educational initiatives, and partnerships with local and national organisations. Trustees confirm that all activities have been carried out with regard to the Charity Commission’s public benefit guidance.

www.yellowscarf.org

info@yellowscarf.org

07340 63426

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

Yellow Scarf CIO Charity Number. 1190615 Mob.: 07340 634 326

E-mail: info@yellowscarf.org

Review of Activities 2024–2025

The past year has been both demanding and transformative. Despite growing challenges in the fundraising landscape, we successfully maintained and expanded our core activities.

Key achievements include:

www.yellowscarf.org

info@yellowscarf.org

07340 63426

Yellow Scarf CIO Charity Number. 1190615 Mob.: 07340 634 326

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

E-mail: info@yellowscarf.org

Partnership and Strategic Development

2025 marked a significant deepening of collaboration with Yellow Scarf Support CIC, our professional therapy arm. This partnership allows us to combine charitable outreach with structured therapeutic services— creating a holistic model that addresses both social and psychological dimensions of recovery.

Through shared expertise, digital infrastructure, and coordinated communication, we can better respond to complex community needs while maintaining high ethical and professional standards.

www.yellowscarf.org

info@yellowscarf.org

07340 63426

Yellow Scarf CIO Charity Number. 1190615 Mob.: 07340 634 326 E-mail: info@yellowscarf.org

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Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC
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Financial Review

Despite the tightening fundraising climate, Yellow Scarf CIO remained financially stable through effective cost control and continued access to grant funding.

Income and Expenditure Summary (FY 2024–2025):

While income levels remained strong, the rise in professional fees, maintenance, and training costs contributed to the modest year-end deficit. Nonetheless, the organisation retains sufficient reserves to sustain operations into the next financial year.

www.yellowscarf.org

info@yellowscarf.org

07340 63426

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

Yellow Scarf CIO Charity Number. 1190615 Mob.: 07340 634 326

E-mail: info@yellowscarf.org

Plans for the Coming Year

In the face of a more competitive funding environment, our focus will be on consolidation, partnership, and innovation.

Key goals include:

www.yellowscarf.org

info@yellowscarf.org

07340 63426

Yellow Scarf CIO Charity Number. 1190615 Mob.: 07340 634 326

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Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC
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E-mail: info@yellowscarf.org

Structure, Governance, and Management

The Board of Trustees meets quarterly to review operations and financial performance. Weekly coordination meetings ensure that projects remain responsive and transparent.

Trustee recruitment follows formal procedures including submission of CVs, reference checks, and interviews aligned with Charity Commission standards and HR best practices.

Acknowledgements

We extend heartfelt thanks to our volunteers, therapists, and community partners who made this year’s work possible. Special recognition goes to Yellow Scarf Support CIC for its invaluable contribution in extending access to mental health services for Polish-speaking communities across the UK.

Together, we continue to build bridges—between charity and therapy, between community and individual growth.

www.yellowscarf.org

info@yellowscarf.org

07340 63426

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

Yellow Scarf CIO Charity Number. 1190615 Mob.: 07340 634 326 E-mail: info@yellowscarf.org

Current Trustees:

Name: Mr. Ian. C. Charles Name: Mrs. Anna Majewska Name: Igor Zyszkiewicz Name: Rafal Gregorz Piekarczyk Name: Yellow Scarf Support CIC

Appointment of Trustees

The procedure for appointing a new Trustee requires candidates to submit a formal letter and CV for review by the Board of Trustees. Appropriate due diligence is undertaken, including reference checks with the candidate’s prior consent. A structured interview process is conducted to assess the candidate’s skills, experience, and suitability for the role, in line with Charity Commission guidance and good governance practice.

Signed on behalf of the board

I.C. Charles

Trustee

03 March 2026

www.yellowscarf.org

info@yellowscarf.org

07340 63426

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

Yellow Scarf CIO

Charity No. 1190615

Trustees' Report and Unaudited Accounts

31 July 2025

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC Yellow Scarf CIO Contents

Pages
Trustees' Annual Report 2
Independent Examiner's Report 3
Statement of Financial Activities 4
Balance Sheet 5
Statement of Cash flows 6
Notes to the Accounts 7 to 12
Detailed Statement of Financial Activities 13 to 14

Page 1

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

Yellow Scarf CIO

Trustees Annual Report

The trustees present their report with the unaudited financial statements of the charity for the year ended 31 July 2025.

REFERENCE AND ADMINISTRATIVE DETAILS

Charity No. 1190615

Trustees

The following trustees served during the year:

I.C. Charles

A.M. Majewska R.G. Piekarczyk I. Zyszkiewicz Yellow Scarf Support CIC

Accountants

Solutions Accountancy & Bookkeeping Ltd 1 The Mews Little Brunswick Street Huddersfield HD1 5JL

Objectives and Activities, Achievements and Performance and Plans For Future Periods.

Refer to the Trustee's Annual Report.

Statement of trustees' responsibilities in relation to the financial statements

The charity trustees are responsible for preparing a trustees' annual report and financial statements in accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practice).

The trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the charity and to enable them to ensure that the financial statements comply with the Charities Act 2011, the applicable Charities (Accounts and Reports) Regulations, and the provisions of the Trust deed. The Trustees are also responsible for safeguarding the assets of the charity and hence taking reasonable steps for the prevention and detection of fraud and other irregularities.

Signed on behalf of the charity's trustees

I.C. Charles Trustee 03 March 2026

Page 2

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC Yellow Scarf CIO Independent Examiners Report

Independent Examiner's Report to the trustees of Yellow Scarf CIO

I report to the trustees on my examination of the financial statements of Yellow Scarf CIO for the year ended 31 July 2025.

Responsibilities and basis of report

As the charity's trustees you are responsible for the preparation of the financial statements in accordance with the requirements of the Charities Act 2011 ('the Act').

I report in respect of my examination of the charity's financial statements carried out under section 145 of the 2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent examiner's statement

As the charity's gross income exceeded £250,000 your examiner must be a member of a body listed in section 145 of the 2011 Act. I confirm that I am qualified to undertake the examination by being a qualified member of CPAA.

I have completed my examination. I can confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the financial statements to be reached.

Vicky Newham CPAA

Solutions Accountancy & Bookkeeping Ltd

1 The Mews

Little Brunswick Street

Huddersfield

HD1 5JL

03 March 2026

Page 3

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC Yellow Scarf CIO

Statement of Financial Activities

for the year ended 31 July 2025

Notes
Income and endowments
from:
Donations and legacies
3
Charitable activities
4
Total
Expenditure on:
Charitable activities
5
Other
6
Total
Net gains on investments
Net (expenditure)/income
7
Transfers between funds
Net (expenditure)/income
before other gains/(losses)
Other gains and losses
Net movement in funds
Reconciliation of funds:
Total funds brought forward
Total funds carried forward
Unrestricted
funds
Restricted
funds
Total funds Total funds
2025 2025 2025 2024
£ £ £ £
52,488 60,000 112,488 35,802
2,500 154,729 157,229 184,507
54,988 214,729 269,717 220,309
53,295 224,501 277,796 171,777
21,033 - 21,033 6,348
74,328 224,501 298,829 178,125
- - - -
(19,340) (9,772) (29,112) 42,184
- - - -
(19,340) (9,772) (29,112) 42,184
(19,340) (9,772) (29,112) 42,184
25,952 30,352 56,304 14,120
6,612 20,580 27,192 56,304

Page 4

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC Yellow Scarf CIO

Balance Sheet

at 31 July 2025

Charity No. 1190615
Fixed assets
Tangible assets
9
Current assets
Cash at bank and in hand
Creditors:Amount falling due within one year
10
Net current assets
Total assets less current liabilities
Net assets excluding pension asset or liability
Total net assets
The funds of the charity
Restricted funds
11
Restricted income funds
Unrestricted funds
11
General funds
Reserves
11
Total funds
2025
£
679
679
29,141
29,141
(2,628)
26,513
27,192
27,192
27,192
20,580
20,580
6,612
6,612
27,192
2024
£
-
-
58,788
58,788
(2,484)
56,304
56,304
56,304
56,304
30,352
30,352
25,952
25,952
56,304

Approved by the trustees on 03 March 2026

And signed on their behalf by:

I.C. Charles Trustee 03 March 2026

Page 5

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC Yellow Scarf CIO

Statement of Cash flows

for the year ended 31 July 2025

Cash flows from operating activities
Net (expenditure)/income per Statement of Financial Activities
Adjustments for:
Depreciation of property, plant and equipment
Increase/(Decrease) in trade and other payables
Net cash (used in)/provided by operating activities
Cash flows from investing activities
Payments for property, plant and equipment
Net cash used in investing activities
Net cash from financing activities
Net (decrease)/increase in cash and cash equivalents
Cash and cash equivalents at the beginning of the year
Cash and cash equivalents at the end of the year
2025
£
(29,112)
340
144
(28,628)
(1,019)
(1,019)
-
(29,647)
58,788
29,141
2024
£
42,184
-
(5,682)
36,502
-
-
-
36,502
22,286
58,788
Components of cash and cash equivalents
Cash and bank balances 29,141 58,788
29,141 58,788

Page 6

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC Yellow Scarf CIO

Notes to the Accounts

for the year ended 31 July 2025

Basis of preparation

The financial statements have been prepared in accordance with Statement of Recommended Practice: Accounting and Reporting by Charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic if Ireland (FRS 102) issued on 16 July 2014 and the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland (FRS 102) and the Charities Act 2011.

Change in basis of accounting or to previous accounts

There has been no change to the accounting policies (valuation rules and method of accounting) since last year and no changes have been made to accounts for previous years.

Fund accounting

Unrestricted funds These are available for use at the discretion of the trustees in furtherance of the general objects of the charity. Designated funds These are unrestricted funds earmarked by the trustees for particular purposes. Restricted funds These are available for use subject to restrictions imposed by the donor or through terms of an appeal.

Income

Recognition of Income is included in the Statement of Financial Activities (SoFA) when the charity income becomes entitled to, and virtually certain to receive, the income and the amount of the income can be measured with sufficient reliability.

Income with related Where income has related expenditure the income and related expenditure is expenditure reported gross in the SoFA.

Donations and Voluntary income received by way of grants, donations and gifts is included in the legacies the SoFA when receivable and only when the Charity has unconditional entitlement to the income. Donated services These are only included in income (with an equivalent amount in expenditure) and facilities where the benefit to the Charity is reasonably quantifiable, measurable and material.

Volunteer help The value of any volunteer help received is not included in the accounts. Investment income This is included in the accounts when receivable.

Page 7

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC Yellow Scarf CIO

Notes to the Accounts

Expenditure

Recognition of Expenditure is recognised on an accruals basis. Expenditure includes any VAT which expenditure cannot be fully recovered, and is reported as part of the expenditure to which it relates.

Expenditure on These comprise the costs associated with attracting voluntary income, fundraising raising funds trading costs and investment management costs. Expenditure on These comprise the costs incurred by the Charity in the delivery of its activities and charitable activities services in the furtherance of its objects, including the making of grants and governance costs.

Grants payable All grant expenditure is accounted for on an actual paid basis plus an accrual for grants that have been approved by the trustees at the end of the year but not yet paid.

Governance costs These include those costs associated with meeting the constitutional and statutory requirements of the Charity, including any audit/independent examination fees, costs linked to the strategic management of the Charity, together with a share of other administration costs.

Taxation

The charity is exempt from tax on its charitable activities.

Cash and cash equivalents

Cash and cash equivalents comprise cash at bank and on hand, demand deposits with banks and other short-term highly liquid investments with original maturities of three months or less and bank overdrafts. In the statement of financial position, bank overdrafts are shown within borrowings or current liabilities. In the Statement of Cash Flows, cash and cash equivalents are shown net of bank overdrafts that are repayable on demand and form an integral part of the company's cash management.

Trade and other creditors

Short term creditors are measured at the transaction price. Other creditors and provisions are recognised where the charity has a present obligation resulting from a past event that will probably result in the transfer of funds to a third party and the amount due to settle the obligation can be measured or estimated reliably. Creditors and provisions are normally recognised at their settlement amount after allowing for any trade discounts due.

Page 8

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC Yellow Scarf CIO

Notes to the Accounts

2 Statement of Financial Activities - prior year
Unrestricted Restricted
funds funds Total funds
2024 2024 2024
£ £ £
Income and endowments from:
Donations and legacies 2,802 33,000 35,802
Charitable activities 57,346 127,161 184,507
Total 60,148 160,161 220,309
Expenditure on:
Charitable activities 41,676 130,101 171,777
Other 6,348 - 6,348
Total 48,024 130,101 178,125
Net income 12,124 30,060 42,184
Net income before other
gains/(losses)
12,124 30,060 42,184
Other gains and losses:
Net movement in funds 12,124 30,060 42,184
Reconciliation of funds:
Total funds brought forward 13,828 292 14,120
Total funds carried forward 25,952 30,352 56,304
3 Income from donations and legacies
Unrestricted Restricted Total Total
2025 2024
£ £ £ £
Donations Received 52,488 60,000 112,488 35,802
52,488 60,000 112,488 35,802
4 Income from charitable activities
Unrestricted Restricted Total Total
2025 2024
£ £ £ £
Grants 2,500 154,729 157,229 184,507
2,500 154,729 157,229 184,507

Page 9

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

Yellow Scarf CIO

Notes to the Accounts

Expenditure on charitable
activities
Grants
Donation Paid
Governance costs
6
Other expenditure
Bank loan and overdraft
interest payable
Employee costs
Motor and travel costs
Amortisation, depreciation,
impairment, profit/loss on
disposal of fixed assets
General administrative costs
Legal and professional costs
7
Net (expenditure)/income before transfers
This is stated after charging:
Depreciation of owned fixed assets
Independent Examiner's fee
8
Staff costs
No employee received emoluments in excess
9
Tangible fixed assets
Cost or revaluation
Additions
At 31 July 2025
Depreciation and
impairment
Depreciation charge for the
year
At 31 July 2025
Net book values
At 31 July 2025
Unrestricted
£
52,845
450
53,295
of £60,000.
Restricted
£
224,501
-
224,501
Unrestricted
£
1,600
10,497
1,873
340
4,426
2,297
21,033
2025
£
340
675
Total
2025
£
277,346
450
277,796
Total
2025
£
1,600
10,497
1,873
340
4,426
2,297
21,033
£
1,019
1,019
340
340
679
Total
2024
£
171,777
-
171,777
Total
2024
£
168
668
1,809
-
1,631
2,072
6,348
2024
£
-
684
£
1,019
1,019
340
340
679

Page 10

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

Yellow Scarf CIO

Notes to the Accounts

10 Creditors:

amounts falling due within one year

Loans from trustees
Accruals
11 Movement in funds
Restricted funds:
Restricted income funds:
John Martin
Gambling
Main Grant
MIG-S-GA
EWACIC
CCI
Total
Unrestricted funds:
General funds
Total funds
2025
£
1,953
2024
£
1,809
675 675
At 1 August
2024
(616)
11,953
19,015
-
-
-
30,352
25,952
56,304
2,628
Incoming
resources
(including
other
gains/losses
)
£
8,280
60,000
71,869
50,000
6,000
18,580
214,729
54,988
269,717
Resources
expended
£
(7,664)
(71,453)
(90,634)
(49,750)
(5,000)
-
(224,501)
(74,328)
(298,829)
2,484
At 31 July
2025
£
-
500
250
250
1,000
18,580
20,580
6,612
27,192

Purposes and restrictions in relation to the funds:

Restricted funds:
John Martin Help for Eastern European Citizens Living in Evesham
Gambling
Main Grant
MIG-S-GA
EWACIC
CCI

12 Analysis of net assets between funds

Fixed assets
Net current assets
Unrestricted
funds
£
-
(55,771)
(55,771)
Restricted
funds
£
679
82,284
82,963
Total
£
679
26,513
27,192

Page 11

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC Yellow Scarf CIO

Notes to the Accounts

13 Reconciliation of net debt

Cash and cash equivalents
Net debt
At 1 August
2024
£
Cash flows
£
At 31 July
2025
£
58,788 (29,647) 29,141
58,788
58,788
(29,647)
(29,647)
29,141
29,141

Page 12

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC Yellow Scarf CIO

Detailed Statement of Financial Activities

for the year ended 31 July 2025

Income and endowments from:
Donations and legacies
Donations Received
Charitable activities
Grants
Total income and endowments
Expenditure on:
Charitable activities
Grants
Donation Paid
Total of expenditure on charitable
activities
Other expenditure
Bank loan and overdraft interest
payable
Employee costs
Staff entertainment
Staff training
Motor and travel costs
Travel and subsistence
General administrative costs,
including depreciation and
amortisation
Depreciation of
Equipment expensed
General insurances
Information and publications
Software, IT support and related
costs
Stationery and printing
Legal and professional costs
Audit/Independent examination
fees
Unrestricted
funds
2025
£
52,488
52,488
2,500
2,500
54,988
52,845
450
53,295
53,295
1,600
1,600
1,762
8,735
10,497
1,873
1,873
340
1,302
528
1,060
1,536
-
4,766
675
Restricted
funds
2025
£
60,000
60,000
154,729
154,729
214,729
224,501
-
224,501
224,501
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Total funds
2025
£
112,488
112,488
157,229
157,229
269,717
277,346
450
277,796
277,796
1,600
1,600
1,762
8,735
10,497
1,873
1,873
340
1,302
528
1,060
1,536
-
4,766
675
Total funds
2024
£
35,802
35,802
184,507
184,507
220,309
171,777
-
171,777
171,777
168
168
668
-
668
1,809
1,809
-
-
515
-
1,082
34
1,631
684

Page 13

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

Yellow Scarf CIO

Detailed Statement of Financial Activities

Yellow Scarf CIO
Detailed Statement of Financial Activities
Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC
Accountancy and bookkeeping
Other legal and professional
costs
Total of expenditure of other costs
Total expenditure
Net gains on investments
Net (expenditure)/income
Net (expenditure)/income before
other gains/(losses)
Other Gains
Net movement in funds
Reconciliation of funds:
Total funds brought forward
Total funds carried forward
1,220
402
2,297
21,033
74,328
-
(19,340)
(19,340)
-
(19,340)
25,952
6,612
-
-
-
-
224,501
-
(9,772)
(9,772)
-
(9,772)
30,352
20,580
1,220
402
2,297
21,033
298,829
-
(29,112)
(29,112)
-
(29,112)
56,304
27,192
1,188
200
2,072
6,348
178,125
-
42,184
42,184
-
42,184
14,120
56,304

Page 14

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Adjustment of Profits Computation Turnover from Trade or Profession - Profit Per Accounts - - Adjusted Trading Profits

For period 01/08/2024 to 31/07/2025

Page 1

Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC

Corporation Tax Calculation
Adjusted
Trading
Profits
Bank, etc.
Interest &
NTLR Profits
Property
Business
Profits
Non-trading
Gains on
IFAs
Chargeable
Gains
Current Period Profits
-
-
-
-
-
Brought Forward
Losses/Deficits used in
this Computation
Pre
1st
April
2017
Trading Losses
-
NTLR Deficits
-
-
-
-
Property Business Losses
-
-
-
-
-
Non-trading Losses on Intangible Fixed Assets
-
-
-
-
-
Post
1st
April
2017
Trading Losses
-
-
-
-
-
NTLR Deficits
-
-
-
-
-
Property Business Losses
-
-
-
-
-
Non-trading Losses on Intangible Fixed Assets
-
-
-
-
-
Sub-totals
-
-
-
-
-
Corporation Tax Calculation
Adjusted
Trading
Profits
Bank, etc.
Interest &
NTLR Profits
Property
Business
Profits
Non-trading
Gains on
IFAs
Chargeable
Gains
Current Period Profits
-
-
-
-
-
Brought Forward
Losses/Deficits used in
this Computation
Pre
1st
April
2017
Trading Losses
-
NTLR Deficits
-
-
-
-
Property Business Losses
-
-
-
-
-
Non-trading Losses on Intangible Fixed Assets
-
-
-
-
-
Post
1st
April
2017
Trading Losses
-
-
-
-
-
NTLR Deficits
-
-
-
-
-
Property Business Losses
-
-
-
-
-
Non-trading Losses on Intangible Fixed Assets
-
-
-
-
-
Sub-totals
-
-
-
-
-
Corporation Tax Calculation
Adjusted
Trading
Profits
Bank, etc.
Interest &
NTLR Profits
Property
Business
Profits
Non-trading
Gains on
IFAs
Chargeable
Gains
Current Period Profits
-
-
-
-
-
Brought Forward
Losses/Deficits used in
this Computation
Pre
1st
April
2017
Trading Losses
-
NTLR Deficits
-
-
-
-
Property Business Losses
-
-
-
-
-
Non-trading Losses on Intangible Fixed Assets
-
-
-
-
-
Post
1st
April
2017
Trading Losses
-
-
-
-
-
NTLR Deficits
-
-
-
-
-
Property Business Losses
-
-
-
-
-
Non-trading Losses on Intangible Fixed Assets
-
-
-
-
-
Sub-totals
-
-
-
-
-
Total Profits
-
-
-
Trading Losses carried back from later period
-
-
-
-
-
Current Period
Losses/Deficits used in
this Computation
against General Profits
Pre
1st
April
2017
Post
1st
April
2017
Qualifying Donations
-
-
-
-
Used Against Total Profits
-
Charges Surrendered as Group Relief
-
Group Relief
Group Relief for Carried Forward Losses
Profits Chargeable to Corporation Tax
-

For period 01/08/2024 to 31/07/2025

Page 2

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Corporation Tax Payable
Financial
Year
Amount
of Profit
Rate of tax
%
Tax
2024
-
-
2025
-
-
Corporation Tax
-
Marginal relief
-
Corporation Tax Chargeable
-
Corporation Tax Payable
Financial
Year
Amount
of Profit
Rate of tax
%
Tax
2024
-
-
2025
-
-
Corporation Tax
-
Marginal relief
-
Corporation Tax Chargeable
-
Losses Memorandum
Pre 1 April 2017
Post 1 April 2017
Adjusted
Trading
Losses
NTLR
Deficits
Property
Business
Losses
Non-trading
Losses on
IFAs
Adjusted
Trading
Losses
NTLR
Deficits
Property
Business
Losses
Non-trading
Losses on
IFAs
-
-
-
-
-
-
Brought Forward
-
-
-
-
-
-
-
Used in this Computation
-
-
-
-
-
-
-
Surrendered for Group Relief
-
-
-
Current Period
-
-
-
-
-
-
-
Surrendered for Group Relief
-
-
-
-
-
-
-
Carried back to Earlier Period
-
-
-
-
Terminal loss/April 2020 -
March 2022 loss carry back
claim? [Y/N]
N
Carried Forward Losses After Reliefs Taken
-
-
-
-
-
-
-
Company in a group? [Y/N]
N

For period 01/08/2024 to 31/07/2025

Page 3

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Marginal Relief Calculation
Financial years
beginning 1 April
Associated
Companies
2024
-
n/a
-
n/a
x
2025
-
n/a
-
n/a
x
Exempt dividends or distributions per accounts
-
Exempt dividends from group companies
-
n/a
x
n/a
=
n/a
n/a
n/a
x
n/a
=
n/a
n/a
Total Marginal Relief =
n/a

For period 01/08/2024 to 31/07/2025

Page 4

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Calculation of Brought Forward Losses Restriction

Qualifying profits: Post 1 April 2017 profits chargeable to corporation tax Trading
profit
-
Non Trading
Profit
-
Total
-
Deductions allowance (5,000,000) - (5,000,000)
Relevant profits
50% of relevant profits [if relevant profits > 0]
Deductions allowance
-
-
5,000,000
5,000,000
-
-
-
-
-
-
-
-
-
-
5,000,000
Relevant maximum post 1 April 2017 brought forward losses available 5,000,000
Total profits in the period
Deductions allowance: Post 1 April 2017 brought forward losses claimed
-
-

For period 01/08/2024 to 31/07/2025

Page 5

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

HM Revenue & Customs

Company Tax Return CT600 (2025) Version 3

for accounting periods starting on or after 1 April 2015

Your Company Tax Return

If we send the company a 'Notice' to deliver a Company Tax Return it has to comply by the filing date or we charge a penalty, even if there is no tax to pay.

A return includes a Company Tax Return form, any supplementary pages, accounts, computations and any relevant information. The CT600 Guide tells you how the return must be formatted and delivered. It contains general information you may need to deliver your return, links to more detailed advice and box-by–box guidance for this form and the supplementary pages.

The forms in the CT600 series set out the information we need and provide a standard format for calculations.

Company information

1
Company name
Yellow Scarf CIO
2
Company registration number
CE022689
3
Tax reference
5900511337
4
Type of company
8

Northern Ireland

Put an ‘X’ in the appropriate box(es) below
5
NI trading activity
6
SME
7
NI employer
8
Special circumstances

About this return

This is the tax return for the company named above, for the period below

This is the tax return for the company named above, for the period below This is the tax return for the company named above, for the period below This is the tax return for the company named above, for the period below This is the tax return for the company named above, for the period below This is the tax return for the company named above, for the period below This is the tax return for the company named above, for the period below
30 from DD/MM/YYYY
35
to DD/MM/YYYY
01/08/2024 ct2025v1 31/07/2025
Put an ‘X’ in the appropriate box(es) below
40 A repayment is due for this return period
45 Claim or relief affecting an earlier period
50 Making more than one return for this company now
55 This return contains estimated figures
60 Company part of a group that is not small
65 Notice of disclosable avoidance schemes
Transfer Pricing
70 Compensating adjustment claimed
75 Company qualifies for SME exemption

For period 01/08/2024 to 31/07/2025

Page 1

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

- About this return continued

Accounts and computations
80 I attach accounts and computations for the period to which this return relates X
85 I attach accounts and computations for a different period
90 If you are not attaching the accounts and computations, explain why
PDF accounts attached with explanation
Supplementary pages enclosed
95 Loans and arrangements to participators by close companies -form CT600A
100 Controlled foreign companies and foreign permanent establishment exemptions, hybrid and other mismatches -form
CT600B
105 Group and consortium -form CT600C
110 Insurance -form CT600D
115 Charities and Community Amateur Sports Clubs (CASCs) -form CT600E X
120 Tonnage Tax -form CT600F
125 Northern Ireland -form CT600G
130 Cross-border royalties –form CT600H
135 Supplementary charge in respect of ring fence trades - form CT600I
140 Disclosure of Tax Avoidance Schemes -form CT600J
141 Restitution Tax -form CT600K
142 Research and Development -form CT600L
.
143 Freeports and Investment Zones -form CT600M
.
144 Residential Property Developer Tax (RPDT) –form CT600N
.
96 Creative industries –form CT600P
Tax calculation -Turnover
145 Total turnover from trade -
150 Banks, building societies, insurance companies and other financial concerns
‘X’ i hi if h i h
i 14
put an n ts box you do not ave a recognsed turnover and ave not made an entry n box 5
Income
155
Trading profits
-
160
Trading losses brought forward set against trading profits
-
165
Net trading profits –box 155 minus box 160
-
170
Bank, building society or other interest, and profits from
non-trading loan relationships
-
172
Put an ‘X’ in box 172 if the figure in box 170 is net of carrying back a deficit from a later accounting period

For period 01/08/2024 to 31/07/2025

Page 2

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

- Income continued

175
Annual payments not otherwise charged to Corporation Tax
and from which Income Tax has not been deducted
-
180
Non-exempt dividends or distributions from non-UK resident companies
-
185
Income from which Income Tax has been deducted
-
190
Income from a property business
-
195
Non-trading gains on intangible fixed assets
-
200
Tonnage Tax profits
-
205
Income not falling under any other heading
-

Chargeable gains

210
Gross chargeable gains
-
215
Allowable losses including losses brought forward
-
220
Net chargeable gains -box 210 minus box 215
-
Profits before deductions and reliefs
225
Losses brought forward against certain investment income
-
230
Non-trade deficits on loan relationships (including interest) and derivative contracts
(financial instruments) brought forward set against non-trading profits
-
235
Profits before other deductions and reliefs -net sum of boxes 165 to 205 and 220
minus sum of boxes 225 and 230
-

Deductions and reliefs

240
Losses on unquoted shares
-
245
Management expenses
-
250
UK property business losses for this or previous accounting period
-
255
Capital allowances for the purposes of management of the business
-
260
Non-trade deficits for this accounting period from loan relationships and derivative
contacts (financial instruments)
-

For period 01/08/2024 to 31/07/2025

Page 3

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Deductions and Reliefs-continued Deductions and Reliefs-continued Deductions and Reliefs-continued Deductions and Reliefs-continued Deductions and Reliefs-continued
263
Carried forward non-trade deficits from loan relationships and derivative contracts
(financial instruments)
-
265
Non-trading losses on intangible fixed assets
-
275
Total trading losses of this or a later accounting period
-
280
Put an ‘X’ in box 280 if amounts carried back from later accounting periods are
included in box 275
285
Trading losses carried forward and claimed against total profits
-
290
Non-trade capital allowances
-
295
Total of deductions and reliefs –total of boxes 240 to 275, 285 and 290
-
300
Profits before qualifying donations and group relief –box 235 minus box 295
-
305
Qualifying donations
-
310
Group relief
-
312
Group relief for carried forward losses
-
315
Profits chargeable to Corporation Tax –box 300 minus boxes 305, 310 and 312
-
320
Ring fence profits included
-
325
Northern Ireland profits included
-
Tax calculation
326
Number of associated companies in this period
-
327
Number of associated companies in the first financial year
-
328
Number of associated companies in the second financial year
-
329
Put an ‘X’ in box 329 if the company is chargeable at the small profit rate or is
entitled to marginal relief
Enter how much profit has to be charged and at what rate

Financial
year (yyyy)

Amount of profit
Rate of tax
%
Tax
330 335 - 340 - 345 -
350 - 355 360 -
365 - 370 375 -
380 385 - 390 - 395 -
400 - 405 410 -
415 - 420 425 -

For period 01/08/2024 to 31/07/2025

Page 4

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

- Tax calculation continued

Corporation Tax -total of boxes 345, 360, 375, 395, 410 and 425 430 -
Marginal relief 435 -
Corporation Tax chargeable -box 430 minus box 435 440
Reliefs and deductions in terms of tax
445
Community Investment Tax Relief
-
450
Double Taxation Relief
-
455
Put an ‘X’ in box 455 if box 450 includes an underlying Rate relief claim
460
Put an ‘X’ in box 460 if box 450 includes any amount carried back from a
later period
465
Advance Corporation Tax
-
470
Total reliefs and deduction in terms of tax -total of boxes 445, 450 & 465
-
Coronavirus support schemes and overpayments (see CT600 guide for definitions)
471
Coronavirus Job Retention Scheme (CJRS) received
-
472
CJRS entitlement
-
473
CJRS overpayment already assessed or voluntary disclosed
-
474
Other coronavirus overpayments
-
Energy levies
986
Energy (Oil and Gas) Profits Levy (EOGPL) amounts liable
-
987
Electricity Generator Levy (EGL) exceptional generation receipts
-
Calculation of tax outstanding or overpaid
475
Net Corporation Tax liability – box 440 minus box 470
-
480
Tax payable on loans and arrangements to participators
-
485
Put an ‘X’ in box 485 if you completed box A70 in the supplementary pages
CT600A
490
Controlled Foreign Companies (CFC) tax payable
-
495
Bank levy payable
-
496
Bank surcharge payable
-
497
Residential Property Developer Tax (RPDT) payable
-

For period 01/08/2024 to 31/07/2025

Page 5

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

- Calculation of tax outstanding or overpaid continued

500
CFC tax, bank levy, bank surcharge and RPDT payable –total of boxes 490, 495,
-
496 and 497
501
EOGPL payable
-
502
EGL payable
-
505
Supplementary charge (ring fence trades) payable
-
510
Tax chargeable - total of boxes 475, 480, 500, 501, 502 and 505
-
515
Income Tax deducted from gross income included in profits
-
520
Income Tax repayable to the company
-
525
Self-assessment of tax payable before restitution tax and coronavirus support
scheme overpayments –box 510 minus box 515
-
526
Coronavirus support schemes overpayment now due –total of boxes 471 and 474
-
minus boxes 472 and 473
527
Restitution tax
-
528
Self-assessment of tax payable – total of boxes 525, 526 and 527
-
Tax reconciliation
530 Research and Development credit -
535 (Not currently used)
540 Creatives tax credit -
541 Audio-Visual expenditure credit (AVEC) and Video Games expenditure credit
(VGEC)
-
545
Total of Research and Development credit, creatives tax credit and AVEC/VGEC –
total box 530 to 541
-
550 Land remediation tax credit -
555 Life assurance company tax credit -
560
Total land remediation and life assurance company tax credit –total box 550 and
555
-
565
Capital allowances first-year tax credit
-
570
Surplus Research and Development credits or creative tax credit payable –box 545
minus box 525
-

For period 01/08/2024 to 31/07/2025

Page 6

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Tax reconciliation-continued Tax reconciliation-continued Tax reconciliation-continued Tax reconciliation-continued Tax reconciliation-continued
575
Land remediation or life assurance company tax credit payable –total of boxes 545 and
-

560 minus boxes 525 and 570
580
Capital allowances first-year tax credit payable -boxes 545, 560 and 565 minus boxes
525, 570 and 575
-
585
Ring fence Corporation Tax included
-
586
NI Corporation Tax included
-
590
Ring fence supplementary charge included
-
595
Tax already paid (and not already repaid)
-
600
Tax outstanding -box 525 minus boxes 545, 560, 565 and 595
-
605
Tax overpaid including surplus or payable credits -total sum of boxes 545, 560, 565
-
and 595 minus 525
610
Group tax refunds surrendered to this company
-
614
Audio-Visual expenditure credit and Video Games expenditure credit surrendered to this
company
-
615
Research and Development expenditure credits surrendered to this company
-
Exporter information
During the return period, did the company export goods and/or services to individuals, enterprises or organisations outside
the United Kingdom (UK)?
616
Yes - goods
617
Yes – services
618 No – neither
Indicators and information
620
Franked investment income/Exempt ABGH distributions
-
625
Number of 51% group companies
-
Put an ‘X’ in the relevant boxes, if in the period, the company:
630
should have made (whether it has or not) instalment payments as a large company under the Corporation Tax
(Instalment Payments) Regulations
631
should have made (whether it has or not) instalment payments as a very large company
(Instalment Payments) Regulations
under the Corporation Tax
635
is within a group payments arrangement for the period
640
has written down or sold intangible assets
645
has made cross-border royalty payments
647
Eat Out to Help Out Scheme: reimbursed discounts included as taxable income
-

For period 01/08/2024 to 31/07/2025

Page 7

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Information about enhanced expenditure and tax reliefs

Research and Development (R&D) or creatives enhanced expenditure and tax reliefs

650
Put an ‘X’ in box 650 if a R&D claim is made by a small or medium-sized enterprise (SME),
including a SME subcontractor to a large company and/or for all creatives claims
653
Put an ‘X’ in box 653 if the claim is made by a R&D intensive SME
655
Put an ‘X’ in box 655 if the claim is made by a large company
656
Put an ‘X’ in box 656 to confirm that a R&D claim notification form has been submitted
657
Put an ‘X’ in box 657 to confirm that a R&D additional information form has been submitted
658
Put an ‘X’ in box 658 to confirm that a Creatives additional information form has been submitted
659
R&D expenditure qualifying for SME/R&D intensive SME relief
-
660
R&D enhanced expenditure
-
663
Creatives core expenditure
-
665
Creatives additional deduction
-
670
R&D enhanced expenditure and creatives additional deduction total box 660 and box
665
-
675
R&D enhanced expenditure of a SME on work subcontracted to it by a large company
-
680
Vaccine research expenditure
-
Land remediation enhanced expenditure
685
Enter the total enhanced expenditure
-
Information about capital allowances and balancing charges/disposal values
Allowances and charges in calculation of trading profits and losses
Capital allowances Balancing charges
Annual investment allowance 690 -
Full expensing 688 - 689 -
Machinery and plant - super-deduction 691 - 692 -
Machinery and plant - special rate allowance 693 - 694 -
Machinery and plant - special rate pool 695 - 700 -
Machinery and plant - main pool 705 - 710 -
Structures and buildings 711 -
Business premises renovation 715 - 720 -
Other allowances and charges 725 - 730 -

For period 01/08/2024 to 31/07/2025

Page 8

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Allowances and charges in calculation of trading profits and losses

Capital allowances Disposal value
Electric vehicle charge-points 713 - 714 -
Enterprise zones 721 - 722 -
Zero-emission goods vehicles 723 - 724 -
Zero-emission cars 726 - 727 -
Allowances and charges not included in calculation of trading profits and losses
Capital allowances Balancing charges
Annual investment allowance 735 -
Structures and buildings 736 -
Full expensing 733 - 734 -
Business premises renovation 740 - 745 -
Machinery and plant - super-deduction 741 - 742 -
Machinery and plant - special rate allowance 743 - 744 -
Other allowances and charges 750 - 755 -
Capital allowances Disposal value
Electric vehicle charge-points 737 - 738 -
Enterprise zones 746 - 747 -
Zero-emission goods vehicles 748 - 749 -
Zero-emission cars 751 - 752 -

For period 01/08/2024 to 31/07/2025

Page 9

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Qualifying expenditure

760
Machinery and plant on which first year allowance is claimed
-
765
Designated environmentally friendly machinery and plant
-
770
Machinery and plant on long-life assets and integral features
-
771
Structures and buildings
-
772
Machinery and plant - super-deduction
-
773
Machinery and plant - special rate allowance
-
775
Other machinery and plant
-

Losses, deficits and excess amounts

Amount arising

Amount Maximum available for surrender as
group relief
Losses of trades carried on wholly or partly in
the UK
780 - 785 -
Losses of trades carried on wholly outside the
UK
790 -
Non-trading deficits on loan relationships and
derivative contracts
795 - 800 -
UK property business losses 805 - 810 -
Overseas property business losses 815 -
Losses from miscellaneous transactions 820 -
Capital losses 825 -
Non-trading losses on intangible fixed assets 830 - 835 -

Excess amounts

Amount Maximum available for surrender as
group relief
Non-trading capital allowances 840 -
Qualifying donations 845 -
Management expenses 850 - 855 -

For period 01/08/2024 to 31/07/2025

Page 10

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Northern Ireland information

856 Amount of group relief claimed which relates to NI trading - losses used against rest of UK/mainstream profits 857 Amount of group relief claimed which relates to NI trading - losses used against NI trading profits 858 Amount of group relief claimed which relates to rest of - UK/mainstream losses used against NI trading profits

Overpayments and repayments

Small repayments

860 Do not repay sums of - or less.
Read the overpayments and repayments section of the Company Tax Return Guide for specific guidance on when and how to
make an entry in this box.
Repayments for the period covered by this return
865 Repayment of Corporation Tax -
870 Repayment of Income Tax -
875 Payable Research and Development tax credit -
880 Payable Research and Development expenditure credit -
885 Payable creatives tax credit -
886 Payable Audio-Visual expenditure credit and Video Games expenditure credit -
890 Payable land remediation or life assurance company tax credit -
895 Payable capital allowances first-year tax credit -
Surrender of tax refund within group
Including surrenders under the Instalment Payments Regulations.
900 The following amount is to be surrendered -
Put an ‘X’ in the appropriate boxes below
the joint Notice is attached 905
or
will follow 910
915 Please stop repayment of the following amount until we send you the Notice -

For period 01/08/2024 to 31/07/2025

Page 11

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Bank details (for person to whom a repayment is to be made)

920 Name of bank or building society
925 Branch sort code
930 Account number
935 Name of account
940 Building society reference

Payments to a person other than the company

943 Put an ‘X’ in box 943 if there is a R&D payable credit and one of the conditions listed in the CT600 Guide is
applicable
945 Complete the authority below if you want the repayment to be made to a person other than the company
I, as (enter status - company secretary, treasurer, liquidator or authorised agent, etc.)
950 of (enter company name)
955 authorise (enter name)
960 of address(enter address)
Postcode
965 Nominee reference
to receive payment on company's behalf
970 Name

Declaration

Declaration

I declare that the information I have given on this Company Tax Return and any supplementary pages is correct and complete to the best of my knowledge and belief.

I understand that giving false information in the return, or concealing any part of the company’s profits or tax payable, can lead to both the company and me being prosecuted.

975 Name
I.C. Charles
980 Date DD/MM/YYYY
03/03/2026 03/03/2027
985 Status
Trustee

For period 01/08/2024 to 31/07/2025

Page 12

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

HM Revenue & Customs

Company Tax Return – supplementary page Charities and Community Amateur Sports Clubs (CASCs) CT600E (2015) Version 3 for accounting periods starting on or after 1 April 2015

Guidance

Guidance about when and how to complete this supplementary page can be found in the CT600 Guide.

For further information read What supplementary pages do I need to complete and include as part of the Company Tax Return? to find out what supplementary pages you need to complete.

Also, read the Important points about all supplementary pages and CT600E – Charities and Community Amateur Sports Clubs (CASCs) for further guidance about completing this supplementary page.

Company information

E1 Company name Yellow Scarf CIO
E2 Tax reference 5900511337
Period covered by this supplementary page (cannot exceed 12 months)
E3 from DD/MM/YYYY 01/08/2024
E4 to DD/MM/YYYY 31/07/2025

Claims to exemption (this section should be completed in all cases)

Charity/CASC repayment reference E5
Charity Commission registration number, or Scottish
Charity number (if applicable)
E10 1190615
Put an ‘X’ in the relevant box if during the period covered by these supplementary pages:
The company was a charity/CASC and is claiming
exemption from all tax on all or part of its income and
E15 X

gains (Also put an ‘X’ in box E15 if the company was a
charity/CASC but had no income or gains in the period)
All income and gains are exempt from tax and have
been will be applied for charitable or qualifying purposes
E20 X
, ,
only
Some of the income and gains may not be exempt or
have not been applied for charitable or qualifying
E25

purposes only, and I have completed form CT600
I claim exemption from tax
Name E30 I.C. Charles
Status E35 Trustee
Date_DD/MM/YYYY_ E40 03/03/2026

For period 01/08/2024 to 31/07/2025

Page 1

Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Repayments

To make a repayment claim for the period covered by these supplementary pages, please register and enrol to use the Charities Online service. See CT600 guide for further information. E45 Put an ‘X’ in the box if during the period covered by these supplementary pages you have over claimed tax

Information required

Enter details of any income received from the following sources, claimed as exempt from tax in the hands of the charity/CASC. Enter the figure included in the charity's/CASC'S accounts for the period covered by this return.

Non-exempt amounts should be entered on the form CT600 in the appropriate boxes.

Enter details of any income received from the following sources, claimed as exempt from tax in the hands of the charity/CASC.
Enter the figure included in the charity's/CASC'S accounts for the period covered by this return.
Non-exempt amounts should be entered on the form CT600 in the appropriate boxes.
Enter details of any income received from the following sources, claimed as exempt from tax in the hands of the charity/CASC.
Enter the figure included in the charity's/CASC'S accounts for the period covered by this return.
Non-exempt amounts should be entered on the form CT600 in the appropriate boxes.
Enter details of any income received from the following sources, claimed as exempt from tax in the hands of the charity/CASC.
Enter the figure included in the charity's/CASC'S accounts for the period covered by this return.
Non-exempt amounts should be entered on the form CT600 in the appropriate boxes.
Enter details of any income received from the following sources, claimed as exempt from tax in the hands of the charity/CASC.
Enter the figure included in the charity's/CASC'S accounts for the period covered by this return.
Non-exempt amounts should be entered on the form CT600 in the appropriate boxes.
Type of income Amount
Enter total turnover from exempt charitable trading activities E50 -
Investment income - exclude any amounts included on form CT600 E55 -
UK land and building - exclude any amounts included on form CT600 E60 -
Gift Aid - exclude any amounts included on form CT600 E65 7,995
From other charities - exclude any amounts included on form CT600 E70 -
Gifts of shares or securities received E75 -
Gifts of real property received E80 -
Other sources (not included above) E85 261,721
Total of boxes E50 to E85 E90 269,716
Enter details of expenditure as shown in the charity's/CASC's accounts for the period covered by these supplementary pages
Type of expenditure Amount
Trading costs in relation to exempt charitable activities (in box E50) E95 -
UK land and buildings costs in relation to exempt charitable activities (in
box E60)
E100 -
All general administration/governance costs E105 1,895
All grants and donations made within the UK E110 277,796
All grants and donations made outside the UK E115 -
Other expenditure not included above, or not used in calculating figures
entered on the form CT600
E120 19,137
Total of boxes E95 to E120 E125 298,828

For period 01/08/2024 to 31/07/2025

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Yellow Scarf CIO (UTR: 5900511337) Docusign Envelope ID: 92BF81EC-47A4-49A1-BB69-FE47709841FC - Prepared by: Solutions Accountancy & Bookkeeping Ltd on 03/03/2026 at 19:38

IRmark: U2J6M4F2KIIYEMRCKCAEQV5QQKBNWSXZ

Information required

Charity/CASC assets

Charity/CASC assets Charity/CASC assets Charity/CASC assets Charity/CASC assets Charity/CASC assets Charity/CASC assets Charity/CASC assets Charity/CASC assets Charity/CASC assets
Disposals in period Held at the end of the period
(total consideration received) (use accounts figures)
Tangible fixed assets E130 - E135 679
UK investments E140 - E145 -
(excluding controlled companies)
Shares in, and loans to, controlled
companies
E150 - E155 -
Overseas investments E160 - E165 -
Loans and non-trade debtors E170 -
Other current assets E175 29,141
Qualifying investments and loans E180
Applies to charities only. See CT600 guide
Value of any non-qualifying investments and loans E185 -
Applies to charities only. See CT600 guide
Number of subsidiary or associated companies the charity controls at the end of
the period Exclude companies that were dormant throughout the period
E190 -
.

For period 01/08/2024 to 31/07/2025

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