CHARITY REGISTRATION NLT￿gBER
1192756
UPSIGN NETWORK
TRUSTEES, REPORTS AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDING 30 JUNE 2024
ACCOUYTAX7.ONF. I.IMITF.D
Chartered Certified Accountants
& Busincs5 Advisors
20-22 Wenlock Road,
London, England,
NI 7GU

UPSIGN NETWORK
TRUSTEES, REPORT AND UINAUDITED FINANCIAL STATEMENTS
TrOR THE YEAR L.)DI￿G 30 JUNE 2024
coriTENTS
PAGE
Reference and administrative details
Trustees, Annual Report
Sialemenl ol Financial Activities
Balanc¢ shc¢t
Notes to the financial slalements

UPSIGN NETWORK
REFERENCE LYD ADMIYISTIL4TIVE DETAILS
YEAR EYDED 30 JUNE 2024
Th¢ Irust¢¢s pr¢s¢nt th¢ir rq)ort and th¢ financial stat¢rn¢nts of thc charity for th¢ y¢ar ¢ndcd 30 Jun¢
2024.
REFERENCE AND ADNqIP*lSTRATIVE DETAILS
Registered charity name
UPSIGN NETWORK
Charlty reglstrgtlon number
1192756
PTlncipal offlce
10 Penrith way
Ay[￿bUry
HP217JZ
Trustees
Dr Ja￿.1vad Arshad Da￿ PhD
Dr Khalid Mahm<M)d
Ms Nosheen Ramzan
Bankers
Noiional Wcslininsicr Bank Pl¢
Chaiham Cusiomer Service Centr¢.
Wdierside Court Chatham Maritime
ME4 4RT

UPSIGN NETWORK
TRLSTEES AI%NUAL REPORT
YEAR EYDED 30 JUNE 2024
The report of the trustees for the year ended 30 June 2024
Introductio
The trustees present their annual rewrt and accounts for ihe year ended 30 June 2024.
There have been expenditures of £6.563 And income of £7,540 during the yeAr.
Name, reglstered offlet and cons￿lutIOn of tbe charltv
Thc full namc of ihc charity is UPSIGN NETWORK.
The legal registration detai15 are:
Date oftomiation
The Registered Office is
ctmrity RcLTiStrytiun Number
Th¢ telephon¢ numb¢r is
I l December 2020
10 Penrith ￿'ay, Aylesbury, HP217JZ
119?756
07508672210
OBJECTII'ES AND ACTII'ITIES
The contribution ofvolunteers
Thc charity has drawn upon ihc pool of volunie¢rs wiihoui whom ihe level of work ihal wc undcriakc
would be significantly leks.
Summar). of main Activitles of the charitv in relation to its objecls
Upsign N¢iwork was ¢onsiiiui¢d und¢r thc goi'crning do¢um¢ni daicd I l D¢¢¢mb¢r 2n20. Th¢
objLCtIVL of Up8igFn NLiwork is lo adiance ihc educaiion of ihe public in ihc subjects of SCiLIiLL.
teclinoloby. the hunianilie% and such other acadeiiiic disciplines as Ilie Irusiees in (heir di￿re(lOn Ihink
rit. includinb but not Cxclusivcly. by fost¢ring n¢iworking and collabordlion b¢￿'¢¢n univ¢rsit1¢5 and
othcr insiiiuiiollb in the UK dnd Pdki5tan dnd by organising evcnis. workshops dnd seminars.
Thc charity opcratcs on a non-profitable ba$i$.
Rlyk management
Thc trustccs havc cxamincd thc major slrdlcgic, businc55 and opcrdtional risks which thc charity fa￿5
and conlimi that the 8ystcms haie been esiablished to enable regular re￿}rt% io bc produccd go ihai ihc
necessic ry Steps Clc n be tlc ken to lessen ihese risks.
FIINANCIAL REVIEW
There tutdl expenditure incurred was £6,563 and total income generated £7.540 during the year
ending 3U June 2024.

UPSIGN NETWORK
TRUSTEES ANNUAL REPORT i¢¢Jtiittwd)
YEAR ENDED 30 JUNE 2024
REspof*SIBILITIES OF THE TRUSTEES
Th¢ charit￿5 trusl¢¢s ar¢ r¢sponsibl¢ for prqTraring lh¢ Trust¢￿ Annual R¢port and th¢ financial
statements in accordance wilh applicable law and Uniied Kingdom Accouniing Standards (United
Kingdom Generally Accepied Accounting Prdciicel.
The law applicable 10 charities in England and Walcs requires ihe Iruslees io prepare financial
statements foi each financial year which give a true and fair iiiew of ihe state of atTairs of ihe charity
and of the incoming resources and application of resources of the chariry for that year. In preparing
these financial statements, the trustees are required to..
select suitable accounling rrtTrlicies and then apply them consistently.
obscrvc the mcthods and principlcs in thc Charitics SORP.
makc judgments and cstimatcs that are reasonable and PTudcnt;
statc H'hether applicablc accounling standards. have bccn followed, subject to any matcrial
dLPdrturLS dis¢1(Trs¢d and ¢xplain¢d in th¢ findn¢iJl Slai¢m¢nts.' dnd
prcparc ihe financial siatcm¢nts ()n the guing ¢oncem basis unlcss it is inappropriate ¢0 prebumc
that the Charity will coniinue opcraiion.
The trLLStee% are responsible for keeping proper accouniing recoriLs that disclose wilh reasonable
accuracy at any time the financial position of ihe ¢harily aiid enable them io ensure that ihc financial
%tdtLm¢nts iomply with th¢ Chdrili¢s A¢1 2011 and th¢ Charity IAi¢ounis dnd RLporlsl R¢biulali()ns
?O()N. ThL Iru.%lLCS arc dlso rLSwll5ible for ￿reb￿uardlnbI Ihc dssets of the Lhdrily Jnd hcnLC for lakin
rcasonable.sleps for the prel'enlion and dctcction of fraud and other irre¥ulariiics.
Signed by ordcr ofthe trustec5
Dr Khalid Mahmood
Trustee
18 Dec 2024
Date..

UPSIGN f*ETII:ORK
STATEMEP*T OF FIJ,LNCI,IL ACTII"ITIES
FOR THE YEAR EYDING 30 JUNE 2024
Lnre5trict Restricte Total
ed FuDds d Funds FuDds
Unrestri
cted
unds
Restri
ted
Funds
Total
Fund$
-2024-___________
-2023-____.______
Notes
INCOMING RESOURCES
Incomingi resource% from
generating funds..
Voluniary income
Inieresi income
TOTAL INCOMING
RESOURCES
7.540
3,500
3,500
7.540
7540
3.500
3.500
RF.SOURCF.S F.XPF.NDF.D
Charitable acrivities
Support cost of charitable
950
950
1,021
1,021
GenLral admini%iraiive cxpcns¢s
T()'I'AI. RF,SOURCF.S
EXPF.NDF.D
r*b:T INCOMINGI OUTGOING
Rb:S()URCF.S
FOR THE YEAR
5.612
5,612
3.448
3,4411
6.56J
4.469
4.469
977
977
969
909
RECONCILIATION OF
UNI)S
Totdl lun£ls brought forward
NE'f INCOMINGI OUTGOING
RESOURCES
FOR THE YEAR
TOTAL FUNDS CARRIED
ORWARD
2.5RO
977
977
(969)
(9691
2.588
The Statement of Financial Activitie5 includes all gain5 and10sse5 in the year and therefore a Statement of
total recobTnised ￿1n& and105se5 has not been prepared.
All of the above amounts relate to conlinuing activilies.

UPSIGN YETWORK
BALANCE SHEET
AS .4T 30 JLNF. 2024
2024
2023
CURRENT ASSETS
Cash ai bank and in hand
2.588
1,611
I,J611
CREDITORS: Amounts falling due within one !'e#r
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT LIABILITIES
NF.T ASSF.TS
2,588
2.588
Unre5triLtcd income funds
Total fund5 brought forward
TOTAL FUNDS
977
{9fi91
2.5110
2.588
The%e financial statements were approved by the member of the committee on the
¢ifc bigTn¥d on thlir bchull'by..
and
Dr Khalid MahmiM)d
Trustee
18 Dec 2024
The notes on page5 6 to 7 form part ofthese financial statements.

UP.SICN ￿F.T￿l'0RK
YOTES TO THE FINANCIAL STATEMEYTS
FOR THE YEAR ENDIfiG 30JLN4E 2024
ACCOUNTING POLICIES
Basls of a¢¢ountlng
The ljtthneial glalemenls hÈv¢ been prepared under ihe hisiorical eogt eonveiition and in
eeordAnee with applicable United Kingdom accounting sthndards. Ihe Siaiemeni of
Recommended Practice "Accouniing and Reixining by Chariiies" issued in March 2￿5 {SORP
21M)5) and the Charities Act 2011.
INCOMING RESOURCES FROM CHARITABLE ACTIN'ITIES
Unre51TlCted
Funds
Total
Unrestricted
Fund$
Total
2024
Voluntary income
Gift Aid
Total
7.540
7.540
3,500
3,500
7.540
INVESTMENT INCOME
Unrestrlcted
Total
Unrestrl¢ted
Fundy
Total
2023
Bank deposit interesl receii'ed
RESOURCES EXPENDED
COSTS OF CHARITABLE ACTIVITIES BY FUND TYPE
Unrestricted
Funds
Total
Unrestricted
Funds
Total
2024
2023
Direct charitable costs
Other
Total

UPSIGN ￿ET3}.0RK
NOI'ES TO'fHL TrlTrlIlNClIlL sTATE￿IENTs Iconiinued)
FOR THE YEIIR ENDING 30JLTr4E 21124
GOVERNANCE COSTS
Unrestricted
Funds
Total
Unrestrieted
Funds
Total
-2023-____________
Support Cost of ehgritable
actii'ities
Printing and publications
Travel
5,613
3,448
3,448
Cyeneral *dministr4tive expense$
Othcr admini.%trativc cxpcn4cs
950
950
1,021
1,021
TDtal governance costs
6.563
2.079
4,469
4,469
STAFF COSTS AND EMOLUMENTS
No ¢mploy¢¢s w¢r¢ hir¢d during ih¢ y¢ar and no paymcnts w¢r¢ mad¢ in (his r¢qp¢¢t during th¢ y¢ar.
The trustees worked voluntarily and did noi receii'e any remuneration for their services.
CREDITORS: Amounts falllng due M'lthln one ye*r
2024
2023
Ac¢ruals