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2025-04-05-accounts

('.hariyy regisrrarion number., I11)1068 Sk}, Full of Stories Annual Kepon 3Tid 1.in￿1cl￿l SiJtLtDenLs for ihe Year Ended 31 ¥larch 202.

Sk?" Full uf Sti)rie¥ Contents Keference aiid Adminisiraiivc Delails Tru5tees' Rcport 2to3 Independent F.¥4Sniner'5 Report StatcrocDt of fillaDcial .IctiVllLCS Balance Sheet Notc5 to the Financial Srarernents 8t0 16

Sk}. Tr'ull ol Storie5 Reference and .4dmini5trative Detai15 ru%tees Mr ,{ KollchLtIi Ntr P.4rlboroiiih R¢V￿rend H E Sherman Charits Registration iN4U￿ber 1191068 Prin¢ipal Offiec 2 I¥L%tcrn Terrace Il'esi Siictt Sotnplin l.anLiII BN l_i OALI P3ge I

Sky Tr'ull of Storieg Trustees, Report Ihe ITusiees presciir IliL aniiual rcporr iogcilicr willi the linanLldl slalenienl% of rlic ilikrtry for Ihc Jear cndcd 3 I larch 2025. Objectives and activitits Ptshlit heiiefii l-iir lh¢ hen¢fil of Iht piiblic. to projnote Sucidl inclusioi! of ihusc wlili arc in nL'ed bj redson of phisical or mentdl disdbilil). age, SULldl L)r eiunL)miL PlJSlliun LTrf 50mL' QthLr di5advaniagL, bi.- 'I'he adv￿￿lmL,nt of" education particTp&lii)n In tIIL' PL'rliirtning ari%, partlLular hut nL)l L'Xilus1i-Ll} thTiiu¥h rnU51L tnultl-SLns(IfY StL)fv'l¢lling and praLtitiunLr trai￿ing wviknhops., Ihe actii'c pwmuiion oif soLial inilusivn for thc publiL benefjl b> d¥lLrrin¥ PiopIL frDiii bLLullijli￿ SLILialls c.xiludLd, assisiinLTr IhL llLcds of Ih05L PLDpli who arL SOLldllN ¥KLluded dnd 5uppL)ftin¥ IhL'm tu inlL'gtdlL' Iviih sL)LILty'. rhe Irust¢¢S Lonfitn] that IhL'I' hav￿ complic(I with IhL FC4uircments of scction 17 of thL' Chdrilics Act 201 I to hdl'L' IIUL rtgard to IhL piibliL bLnLfJi guid￿￿ CL PLiblishLd bv IhL Q harit) Coiwnis5ion for LilL*I￿ld a￿d 11.'ale5 Achievemettts and perfur]wThtf Skj l ull Ol. Storie% iuntinuL.d runnin¥ ¥i'c¥kl} SLs%ions tsfr. mu%iL and PLrfi)mdnie throughout the Jear. Nl-'e receiN'ed granr tunding in 20?_3 10 organiqe an outdoor le.%liial ei'¢nl ai H]shdo¥￿Th G2Tdens but this d¢laN'¢(I due to IL)gyistiLal rL'as0￿. It WdS aiT¢L'd w'ith IhL funilcrs that thi gratit miJnL}' fvr ihat cNcnt could bc IISLd lor an indlior Li'L'nl iji 7024 ro LLIL'braiL oiir IL'n-)'L'ar JIlliii L'rsaTh. -1.hdt LILnt SLhL4dulL,d lo t2kL plaiL in JunL' 024 al ihL' I)avillii)rt .4trium buildin¥ In 11 i)rthing and protn(Ition planning L(ImtnLnied In ilprTI. 'IThti L'v¢nt wa5 a gr¢at 5UILL55. and tiLkL't5 wLr¢ svld uul two ￿￿￿kS bLfurc. l £0 pL'opl¢ ￿lih ILJThing disabiliiiL% li nd Iheir Larcr5 and fatnil} members altLndid on Ilit daJ. "I"hcN Onjo￿ed It￿e mu%ic. food and a musiL workshop. Il"e LollaboralLd ¥silh SLVLfdl oiliLI loidl or¥dlIlSdtion5 to pldii and dclivtr IhL ¢i'¢nl. .Ifricth XILylil PL'NL'r hLTrsILd dn ..Ifriith Driini W lTrr￿.hUp. ￿ld SIipLfstdr..lrts dncl BIIIL. Sk) Iqiisic both p[u￿idl.J PLrliirtnanLL'S thL' daTr Wc hircd & p()rt&blL' Lhan¥in¥ plaLL'8 t()Il¢t ronm which was stdttnncd outsid¢ tbc eniic so uur Ju(licncc rnCmbe￿ with profound phTrSiC to leam lecliniqu¢& about sen50ry theatre and performanie from an e51ab115hed conipany. e contiiiued to prTr¥ ide Mtekl) sesiion% through rhe <iuluIiiii aTid wiiiiL'r. Soine issue% arnse %¥iili the W'est Il'orthin£ Bapti%1 c.hurch I'Lnue whcre wc havc bicn running ihL SeSS1(TrDs Iur 10 ve&rs. &nd li se¢tnL'd Jt ()n¢ piiint i¥¢ hav¢ to Lhanfle ¥¢nu¢ L)r canLel 50Tn¢ session5. SuTne nL'i% usL'rs ot. th¢ Ntnue wtitt affLclcd bN" the Trenue. L hoslLd a SULLL'9%tul C.hnstmdS Plirt), ai ihL' VL'niiL 'I"hL' NL'W YLar b¢gan wih u4 lu()kin¥ lo build on tho SUCLCJS uf tbL' tcn-NL'ar anniicrsaTh parh. planning to hosi 50mc laroer evcnts Cotnbining lil'c music and

eitsurv theatrL. W'e began Ns'OFk ilrt5 QoutiLil .IppliLalitsn tv vrganii.¢ J lai¥¢r ei'Lnl at Il'orlhing Th¢al¢i as a colli& boration ￿.]lh .%upe￿[ar Ans othcr local OTOUP%. I)lannIn￿ and dTr8cussion abolit Ihi% evcnt Lontinued until the End lif the findnLldl Page 2

Sky Full of Stories Trustee5' Report (continued) 'illancial review Polio re.¥erves Sk> full of stories requires a le￿￿1 of Ire¢ 1¢5¢r4'vs Iu 5<iftguard Ihc operation of Ihc charity trnm llnexptcted dLlays in the receipi of grants, dundlivn% and other fuiiding and wiforeseen expenditllre. The TrtL%tees 2re w()rkinu toward) improiing thi le￿cl of frcc reseTr¢% dnd having rci'icM'c(J the ri%k% 10 i%hiih th¢ ihdrilv might b¥ %uhj¢Lt Iv, have dLiidcd thai ilie current leTrel uf Itscr¥es ai¥ suflicient. Cwoing Concern TheFe are currently Dn uncert3intie.s about the L￿￿llY Lolltinuins a gOiDQ con¢¢ru. Structurey gDI'ernXlJtQ Artd tnanagement IHre nfgoverning doc.umvnl Sky Full ol StcTrries i¢gi5tL'ILd with thc Charity Conunission as a ch￿Il￿bIc Incorpor&icd organi￿110Th IC.101 Lin 28 AuBFUSt 2020. Or£onisutioiial strui-iure I hL charit? is rtuist¢rL'd as d Cbarilablc Incorporated ()rganisation and its Goi'crning Documcnt is filed with the Cliarit) C'ointni55ion. TIIL dJ%'.ILTr-ddF pro&ision dnd ￿1<￿1￿£L.111Lnl of %LrviLe% 1% in tlie hand5 o)i-Ih: L ridtll'L DireLlvr. -I'hL' Lhiiritx, tru51L'L'S. Ihrough rL'¥ular ni¢ttins5 1() rtceive repons fTTrm Ihc C.'rtraLli-¢ DiT¢Ct()r. exerLise irilical support and tn5urt due diligcncc in thc chariiy's atlairs. I'h¥v jt)Inili' ha%-e rtspon5ibilili for SCLkiIi& IFii%te¢. with apprvpriatc skills ￿ and whcll rhc scrviccs proN'ided bfr thL Gharity ¢Apand. .fylajvr ri.fks (Jftliu.ie ri.sk.i' Risk of break In the £harii! s serwiCLS duL' 10 gjLknL'ss or dbsenLL u1- th¢ CrcatlTrL' DirLLior %rnJll nunibLI of paid ivorkirs. volunteers 2. RJ5k Lil diop in InL(itnc dub ti) r¢duL¢d financial CTfcum5tances ot partlLlPallts, thu4 preveniiiig the Lhdriiy fr()rn fulfilling Its aiTllS and obJ¢cliv¢s. Good Lommuniidlion M'itli the Iriislees. lu.¥eilier w'ith nL'twvrkinbT and relalioiiships with uiheis ￿OrkIn¥ in the fi¢ld. pro)vidL P()teDtidl lo draw on siippon if needed aIJnudl rL'port Wd5 appiuvcd by IhL trustccs of tht charity on ird F"ehruaTh 2026 and Si¢Tned on il) bLh<ilf bj." Re￿trend F. %herman Trusiee Page i

Sky &'iill of Stories Statement of Trustees, Responsibilities 'I'lic Irust¢L-s are- rL-sponsiblL liir prepdring the trustees, repi)M and Ihe fiiianLial 5tdltm¢nls in accor(lanc¢ willi Ilie [Iniicd Kin¥dDrn ,Iccnuntin? Standards ILlni1ed Kiiiodom (JLiILfdlly AcitplLd .4cLoiiniing Prailjivl applictLbl¢ law and regulation5. The laii appliLable 10 iliariiiLs rt4Liires the Iru5tees l() PreP￿e linanci411 sraleni¢n15 lor ¢ach f￿￿￿¢781 N'ear i¥liiLII EINC a Iruc and fair I'lei￿ of the %iatc ol allairR nf the LharTtN' and ¢if the iDLoiving re50ur¢es arid applicaliosi ot. r¢source% of thc chantN' for that PLriod. In preparing th¢.4c financi<il statcm¢nt5, thc trusECCS arc rcquircd to.. obsen'e Ihe meihodg and pnnciples in lh¢ C'haTilies SOKP.. mak"¢ judgement5 and estirnate% Ilial are reasonable and prudLnt'. statc whether appliLable JLL()uDtiDST 5taTh(larJs have been followcd. subjccr io anTr matcrial dcparNres d15Llo%ed e.xpldin¢d In the financial sialemen15.' and picpare the financial statements on ih¢ going ioneern basib unli's5 It is inappropriate to prc5UTnc that thc. -haritN' ￿111 Lunlinue in bu%ine%s 'I'hc tnJsiet% art respon%ible fDr keeping prL)per dLLounting IL'Lord4 that di%LI()s= with reasonable 3ccura¢y al an titnc thc f￿anCIal posiiton ot rhc chanly cD&ble thern l() Ln.%urL' that thc financial stalernent5 complTr with the Charities .4ci 2011. the f.hanties IALcounts and R¢purt5) KLJuiilations ?008, and the proN'isions of the LLTrn%liluli()n The Iru5tee5 ar¢ also rLspiinsiblc fur s8fLgyuardini) thc assLlS af the chanty and hence for takin¥ ie&sonablt slepq for Ihe prel'eiiiion ii¥id dLfcLlton ut. fraud dIid LTrihLr irriguliritie4. Fhc trustee% are re%ponsible lor lh¢ TnaintL'n3ncc and in1c￿ll￿ of th¢ worporatc and fin4?ncial information IllLluded on the Lhaiiiable con1p￿I￿,S wLbsitL'. LL'gpisldlion L)OVL'min¥ Ihc preparatiorl aod disyeminaiii)n Lif fiiiaiiiial sialLmL'iJls ma¥ dillL'r tiom le¥islJtion ID other juri£diLlion.4. 4pproved bv ihc Iruslc¢s vf thc charilj. on ird February 20?6 and %igned on its behalf bv." K¢i¢rend I l L Sherm Trustco PagTre 4

5kv P ull of Stori¢s llldependent b"xaminer's Repurt to the trustee5 of Sky Tr"ull of Stories report to the Iru5tets on niy exaniiiialioii LTrf the JLLtsLints ul. Skv Full ol Siuries for the !eiL r ended 31 IltdfLh 2024 Respon5ilTrilitac.4 and basis Trf report As Ihc charirv trusicos of SkN' Full L)f Storie5 >'ou are responsible for the preparation of the acc()unts in aLLI)rdanL¢ wilh the requirenieDls uf the Charilie5 Act 2011 {'Ilie ALI'I. I report in respect ol. iiiy e¥aminalic)n of the %ky l'ull ot- Slorie5'4 aLLOUll￿ Larried i)iil under qeitiL)n 145 ol- the 2011 Ail and in Larrying ()ul m>" c.xaD]ination I haN'c follo￿.ed iTrll thc applicable Direcrions given bi. the ("harirJ' C'unllnission undcr sL'ilion 14515llbl olthL ilct. Ind￿1)endent e%aEJ]iner'¥ %tatenJent I have cnmpleied exaniination. I cthnlim that nu tnal¢rial Tndllcis hai'e come ID Tll), (IttEntivn in Lonncction '1lh the cxamination biiving nic iau%e t() b¢li¢v¢ Ilial in arjy niat¢iial re5pe.'l-. accounting r6cr)rd% were n(>t kept in respeci ol- 5k), Full Lbf SioriL'S ds rtqU1ILd by ￿L'￿tIOn 130 olthL' Aci: or the aLLuunls du not aiLord with IbosL' rLLords', Dr the actounis do not complv w"Ith lh¢ aciiiunting rcquiTCtncll15 concLttung thc foTtll aDd cotktcnt of account5 stl oul in the Charities 1.4c£ounl5 and RLports1 Rcgulations 2008 othcr than anv rcquircmcnt that the aLLouiIIs tplve d 'lrue and lair vitm iihich is not a nialtor Lortsid°red a5 part o( an iDdep¢nil¢nl CK&ltninaliLTrn. hnuld be dra￿ Tcpnn iii nrder t(Tr enabl# a propL'r undLr%ldndinu nlEhL 4¢¢(?unt% tv bc rcachcd. Idi1he￿. sL)II B_%L F(-p Indepcnd¢nl E-'xaininer W'i5ton Hnuse I Il"iston Avenue 4'arthing W'¢51 Su%%¢x BF%1 4 7Ql. ZOQ l)ate'. ge5

Sky Tr"￿11 of Stories Statement of FinanLial AetiN'ities for the Year Ended 31 .March 21125 IlllreEtricted ReEtDcted fijnds Totgl Note Income b_ndowments fro￿.. 2,731 2,731 30.340 Charitablc aLliVltie% InwLSiniLlli inLOTno lotal inLome 30.i63 2,731 Eipenditure ou.. Ch I he note% Dn pag¢% 8 to 16 fi)rm an inlL¥rJl part i)l- IhesL' financi471 staiements. PagTL 6

Skn- Full of Stories (Registration number: 1191068) BalallLL. ShL'L.t as at 31 March 2025 2(124 Tr'iie(185sers Tanrriblc assets 12 999 Currellt a55ets DLbto)rs Cash ai bank and in hand 13 14 -19U -.1,450 1.725 4,450 Creditors.. Am(itsmt% falling due within one )ear 15 11,6821 1? 7881 L¥iet current a58ets 1,66? 4¢1 a55Cts 2,66 FuDd8 of the charity.: Restriited 1￿come fulld Resirictcd lunds 16 713 3.557 Llllrestricted incojne fund5 LtJrLsiriitLd Iulldb 471 18961 lotal fund% 16 1.184 2.661 'hc financial staicnicnts on Pl<ge5 6 to 16 wer£ approved bv thc truste¥s, and authorised for issiie on ala Febiudry 2112C) ￿1￿ si¥ned L)ii Iheir btthdlf b}-. Keh'erend Fl F", Shernian Trustcc The not¢￿ on pagc% 8 tt) 16 forrn <ln integral pan of these finanLiJI 5t3t¢nienls. Pa4te 7

SkTr' Full of Stories INotes t() the Financial Statemen,Is for the Year F,nded 31 Tr¥larch 2025 I ,IccoitDtItt￿ policies StateD]ent of tompliance Tlie liJ)dtlLidl sldl¢tn¢nt5 h4ve betn prepared in acCord￿lLe with thE sec()nd editit?n vf rhe Charilit¥ SratCDICDt of RLil)mmLnded PraLIILe 145ued OctiibLr 2019. Ihc FinthLial Repurting £idnddrd dppIiLdble thL L TritL'd Kin(rdLTrm dnd Kepublit of Ir¢land (FR$ 10?) aIid thi C'liarirics ALI ?01 I. Basi$ of preparatiun SkN ￿1] of storie% mcetg thi dctinition ut. a public bencfii entiry uiid¢r FR8 102. Tlie aicounis Ilinancial 5tstcmenls1 hak'e been prep￿ed un(li'r thl historical cost coni'cntion ￿lIh itLms recii¥ni%L'd dt L()5t ()r Erdn%dCtILin valiie unles4 ()therw'15¢ Stale(l in thL rclL notclsl to these aecounts. These Jirvunls haTrL bL'Ln PTL'parcd on a ieceipts and payments bas15. Going ¢i)nttr The m]stees consider Ihdl IhL're arL D(} material uncertainties about ilie iharity's abiliry to iontinue hs a bToinb conccrn. and endoThment5 '()lUntar￿ InLomL inLIuLlinLT donation5. ujft5, IcTraciei ￿ld grdnis Ihdl provid¢ core fiJndinB or aTe of a general nalure i5 rccognisLd on 3 leLeipt4 ba%1%. Grunr5 receivable GrantE are recognised vn & recL'ipls bas￿. Inve.Jlmfnl income DividLndE art r¢coiTrnis¢d onie the dividL'nd ha5 been deLldied and DvlifiLaliun biLn rL'LCiVL'd of thL dii'idcnd diie. EIptDditure All iusls &rL' all()catL'd to the applicable expendiiurL, IIL'dLliiig Ihdl abgryL¥dte sirnil&ir ID that Cate￿OrY. Il'htre 0Sts c￿LIt bc direcrlN arrrihuted rD panicular hL'Jding% thL.￿. hak-e heen allocatcd on a ha.qis confisrciii with th¥ Use i)( resuurLCi, Ityltli iciitral sldft L()Sl.8 dllL)Lated ()n IhL' b￿15 of iimL spent. and depreciation charges all()cated on IhL' portion L)f-the Is￿et'S u8e. Other %iipport costs iifL dlloLalLd bdSLJ 011 the %pie4d ()r %ldll' ILi%l%. CIIiiTIt¢Tble uctiviri¥.5 c.haritable expendiiure ioniprisLs 1110sL 1nlL￿ed hv the charit) In Iht delivL'r! of its aLtii'iriLS ￿ld scrvicLs indireci nature neiessary iu suppurt Iheni Support cost5 5upptsrt c()%t% InLILid¢ ctntial funiliuns and hakL been dllLTrLdled Iu alli￿11} ¢05t LalcgoriL'5 d basis Loll5lStcnt willi the Li%e (Il- resouriLS. for L.XdnipIL. alloLdling prL)pertV Lu%Ls b) tIL)vr arL'as. or pcr Lapita, staff iosis bw the time spent and otlitr costs by IhL'if USdLFL'. Page 8

Skry Full of Stories l%otes tD the Fillancral .4itatements for tbe Year Lnded 31 1.larch 2U25 (¢ontinued} Cjoycrllallce costs ThLSe include the LOStS &ttribut&bl¢ TO th£ chants's complianLc with L(Trnslituiional and siarutory rcquircmcnts. includiDL7 audit, strategic manaLieiiient and trustees ineeiings anil r¢itnbursed eXpe￿e5. GoverDnJenl gr#ntS Gi)werntnent are rL'C()I￿1￿L'd on J rL'ccipl% ba515 are measured al the fair valuc of the ￿Set rc¢cived. Gr￿15 ar¥ LldSSified ￿ relating either to rcNL'nuc or to assets. rxxAtiun I'IIL Lharih. is considered to pt?ss the teQs set out in PdrÉi¥fdph l SchL,dule 6 of the I'inance .4ct 201 O and thtret(Jre it meets th& delinitiDn otr a chariiable iompanv l()r IIK cnTPL)ratiLJn PUTPOSCS. AccordiDglv, thc h￿ilY IS P￿tentIallY tx¢nipt liom ta.Uliun ￿ r¢gptLt Lif incomL' ur Lapiial gaini rcccived w-ithin catcgorics covtred bl, Cliapter 3 Pan I l of Ilie CiirpL)ratioii Tix .4LI 2010 or SLblioii 256 of rhL -I'Lxtitiun o)f (-harbteablc Gains .4ct 1992. to Iht exttnl Ihai such income i)r gains arL' appIILd L'xLlusivel} to LhaTitabl¢ purpose£.

n¥ible rued a%stt

Indii iduHI ti.xtd assets LOStlll£ I I UU.IIU or more are initially recorded al cost. Depreciation and amThrti8ation residual k'aluc. oi'cr their cypccied Usc￿1 cconomic lifc follow%'. stsset clp55 Plant &. Machintr OffiLe Lqiiipmeiit Depreciation meth()d rxttr Strainht l.inc %tTJighi Idine "I'rgde dehtors Trade dcbtor5 aTe amounts duL' fr()ni cu.stL)mL'rs fL)r mCT¢handisL kTrld (Ir seTriie.s pertLTrrmed In thc ()rdinar¥ course of businc%s. Trade dcbtor4 are recogniK¢d initially at thL tTAn%aLtI(?n pnue. 'l-hey are Subsequentl￿ TneaburL,d dl amorlisL,d c051 using Ihe ellcciiTre intcrcsi methii(I, le%5 provisiTrn for inipairmeni. ,I provi%ion Ii)r Ehc impairrncnt of trad debt015 15 eslablished ￿h¢n Ih¢r¢ 1% IibjeLlive evidenLe that the Lharitv will not bL ablc to colleci all amounts duL C'ash and caslj equifvalents ('aqh and ca%li equ1￿.al¢nl￿ comprise ca%h on hand and call deposit5. alld c>rlicT sh(Trrt-ierni highl}- liquid inNestmints thai are readil} coni'Lrtibli to a knui¥Th ainount of cash and Ure subject 10 an insi￿]ri￿an1 Lir change ill value. Page 9

Sk). Full uf Sturies P*otes tf> the Financral Staten]ents for the l'ear Ended 31 .NlarLh 2025 (contlnued) BDrrowing5 Intcrc%t-bLaFing horrowings are iiiiiially reLurded dl tdll kalu¢. net ul. transd¥tjon iosls. Inlere5t-bt￿iThb b(IFroi¥in¥s arc 511bsequenilv carried at amortl5ed ¢o£i. H'irb thc ditTercnce bettitLn the proiLeds. nei tst" tra￿11Cli{7ll cos154 iTrnd Ihe aTn()uni du¢ ()n ied¢n]ption bcing rccognised a charrTC IL) Ihe Statement of Fipancial Aitivities over the period oit'ihe relevaijt borrowing. IniLrb.s1 bxycnsc 15 reiognised i)ii IhL basis L)[ the ¢flective intele￿I nietliDd and is inLILided In interest payabl ind 41milar Cliarb￿Ls. Bortowin£s arc Lld%%iliLd &% iurrtnl liabiliÉie% iinltss the ilJ&rily hd5 an uniondiliDnal ii¥ht lo defei settlemtnl nf the liahilitv for al ILaSt twcli'e rtioIith% dfter the r¢pi)rtin(7 ddlL. Trund 5tructiire Lnie5tncled In¢oiiJe tunds arc genernl funds that dt¢ ab'ailablt lor at the trustL'cs discretion In fLlltherance of Ihc i)bjL'ctiTres of the charitl. Rc51rieied Incumt I'unds tliotsL donated tor use In a partirulai aila ui foi speiific purposes, the use of H'hich Is r¢5tricted lo thal dfLd or PUTPOYC. Financial iD$trun)euts CIu5Jificulion The ¢haritl Vlll) has lin￿ntIal a%%eis Jnd Finan￿la1 liabilitics of a kind that qualifv- as basTr linanciiil inslrurnL'nl%. t3asiL Iin?Lncidl instrum¢nl% are iiiitialli. rLLog)nisLd at [r￿￿￿Ll10ll Naluv and subi¢qucntlv niia5LJfLd ai ihLii eiilL'tnL'nt Vdlue w'irli rhe eKLepiion LTrfr' bank ludlls i%'hiLli art %uh%¢quenili nieasured dl diiioriised Lost usiti4 IIIL effcLtiN'c interc5t rncihod. 2 Inct>me from (lonations and legaci¢5 Reytricttd fuo(J% Total 2024 2025 Cii<inls, iThcludinD capital granls., CJran15 IrvTn other charilie. 2,731 2.731 4.0%7 2.731 2.731 3 Income from charitable aetiiities Llnrestricted Total 2(b24 General 2025 Primiirl purpose tradin£ 30.340 31,067 iO.240 PaLTe l O

Skv Full of Stories r4ute4 the FinanLral Statements for the l'ear F,nded 31 l¥larch 2025 (cnntinu'ed) 4 lllie5trncDI income -I'otal ruDds Cleneral Inierest receivable and similar incLTrmL', Tnieiesi receivable bank depi)$11g 23 23 'I'otdl for 2025 23 23 tal for 2024 49 49 Pagc 11

Sky b'ull ol. Storiey 'otes to the Tr'inancial %iateinent5 for the Year Lnded 31 Nlarch 2025 (Ctsntinued) 5 Eipenditure on charitable a¢tii'rtie5 Jiirf stricted Re%tricted Tibtsl Total 2024 eroneral Mlisic Sessions Siaff LCISI% Allo¢atL'd sUPPOrt costs GO￿t[TranGL. LV.Et 6,71) .785 7.6i4 1.736 4,651 1,784 7.634 1.786 1.908 6 Other expenditure IJDrestricted fuDds General I'otal funds Siaff cn%t W'agcs salaries 12.000 12.000 TotAI for IU2) 12.1#10 12.000 Total for 2024 11,400 1.4QO

Skv Full of Stories .Nntes to tbe W"inancial Statemellts for the Year Ended 3 l .March 202) {contiDued) 7 ..inalv5ts of 20Tr'erllance and support costs (Foiernante ¢osl.5 L.'llrtstriLted -rDlxl 2024 GeDtral 202) Siaft. L()£t% Oihtr 51aff c0515 IndL'pendL'nt lX￿1nLr fL'es F.x2min21ion ol'th¢ r]n<incial stslctncnt5 .egal t¢e8 Dcprcciation. amonisalion and other similar costs Other g()Nern￿Le Los15 283 564 464 ?81 78? l59 528 266 ?81 159 1.786 1,786 1.908 8 Nel incomingloulgoing resource5 Net Ic)ulgi)Ingli inLLi¥ninb re5QlUTLe5 fL)r tlie ￿edr iDclude-. 2024 l)tpreLialion iTrl IixL.d aS￿et5 9 Trv¥ti'cs reniuner#tioD expeDsC% Na tr114tcc.4, nor iqnv pcrsoiis connccrcd Nsith them, havc recciicd an). rcmuncrati()n IThJTll Ihe Lhdrili, dunng the

'ear. No Irusltes hal't receivL,d rL'imbutsed exptnseE or any otliei henefit£ frorn the tharily durJn¥ the 10 %talf co%tS Tlie agLbregale pajroll Lusts were As follow£ 202) 2024 latf cost% duiing tbe Near were= Vdges salarie ()thir sraff cost% 12,000 1.7S5 11.400 The ni()nthly ai'¢rd¥¢ nuTnb¢r uf p¢i.41)ns IliiLluding SL'llior niandgLiJ)eni leddL'fs1iip teanil eniploytd bv the harity di)ring rlie year expressed a8 full tirne equiTrdlL'nls W'25 fullowg.. P￿e 13

Skv Tr ulF of SturiL's P*otcs to the Financlal Statements for tbe Year Ended 31 Ik1arch 2025 (eontinuLd) 2024 Full '] itne Emplovees N't) enJpln)ee rciLived enioliimenls of more than £60.000 during Ihe ycJr 11 Taiatio 'hc chariry is d fL'815tered charity and is IhLfLfore exempt from t2.KatiL)n. 12 TaEJkwible filed assets Fllrnilurc and eiiuipmeijt -1 olal .41 l April ?0?4 ,Idditiong 2,55.3 )?4 2,55.S At 3 1 NIarch ?0? j .3,477 ?.477 Depreciation At l April ?.0?4 QharbrL' for the >'Lar 1.55.1 782 7¥2 Eli 31 WlarLh 202) 2,336 2,i36 Iyet buuk value 41.) l .¥ldfLh ?Q?S .141 tlt 31 Nlarch ?024 999 W9 13 Deht(>rs 2025 l)tlier dL,biors 39Q 14 (.asb and Lash equiv&lenis 2024 Cash at bank 4.451) P3Ec 14

Sky Full of Stvries Notes tu thL Financial Statements for the l'ear Ended 31 hTar¢h 2028 (eontinued) l fj C.rcditors= falling due witbith one )e#r 21125 2Q24 Oiher tixati()n and SOLldl %ecurity OthLr cr￿ditOrS ccruxls 380 iJoi 12Y4 1,682 16 ￿undS Balanc￿ at 31 .March BalaDce at I April 2014 [DrO￿ill¥ Kesuurees expeDded Transfers Ut)restrttted fund5 GÉnerol (ietkeral Fund 18961 30,36i 179.9?Ql 924 471 Restritltd futtds PL)%liude S()LlttN 'I'ru%i U55LX C'.ommunity Foundation l)dyjd Iluol l.oundAtiL)ii 2,057 12.n531 I,foo 2,731 19241 709 Toial restricted f￿ndS 2,771 14,6fj11 ￿924) 71) TolAI fuDds 2.661 InLI)uJiiig resources Resources exyended Balance at 31 .MArch 2¥24 ,Ipril 21123 Inre5trictod fund% GeptL'rol CiL'fiL'ral I'und 230 li? ?42} 18961 Reslritttd Pii%t¢()d¢ %Dci¢l)' Tlubl Sussex Comniunits. Foiindation MaL)ic littlc uanl 2,057 1,500 f oo 1,-SOf ToÉdi rvstyitted fuu(ts 4.U57 liOOI Tvtlll fuod¥ 230 2.661 Page 15

Skv Full of Stories -Notes to the Tr indllcial statements for the l'ear EDded 31 fv1Mreh 2U25 (continued) 17 ..knalYS￿ of net as$et% hetWCCD funds ',Dre$tricteil -l-otal funds at 31 Nlarch 2025 Restrieted funds GenoFal 'I angiblt fixL,d as%LtS Q urrEiii ￿￿et% 713 1.72% 'I'utal tjct asscis 471 713 Ilnrestricted fun(ts General -rot411 fuDd% At 3IM*rc 2024 Reslricted fund$ I'dn¥ibl¢ fixed assets C.iirrent ￿Se1.5 Currcui liabilili¢s 999 893 17 7881 3.557 4.450 12.7881 utal net asEeL% 18961 2.661 Pagc 16