Charity registration number.. 1194750
Services for Empowernient and Advocacy
Annual Report and Financial Statements
flir the Year Ended 31 March 2024
Cojnmunity Accounting Plus
Units l & 2 North West
41 Talbot Street
Nottin¥hatn
NGI 5GL

Services for Empoiverment and Advocacy
Contents (¢ontinu¢d)
Reference and Administrative Details
Trustees, Report
2to4
Siatement of Responsibilities
Independent Examiner'5 Report
Statement of Financial Activities
7t08
Balance Sheet
Notes to the Financial Statements
Ioto 16

Services for Empoiverment and Advocacy
Refer¢n¢¢ and Administrative D¢t#ils
Tru5t¢es
Mark Weig5htman
Julie Ann Ford
David Simms
Dr Miltoii Nyamtowo
Jerry Hall
C18ir Marshall, Service Manager
Senior Management Team
Charity Registration Number
1194750
Prineipal Office
Suite 201
Merchants Court
21-23 Castle Gate
Nottingham
NGI 7AQ
John O'Brien. employee of
Community Accounting Plus
Units l & 2 North West
41 Talbot Street
Nottingl)am
NGI 5GL
INdepeThdent Examiner
Page I

Services for Empoiverment and Advocacy
Trust¢¢s' Report
The trL15tee5 present the aniiual report together M'ith the financial ststeTneJits of the charity for the year ended i I
March 2024.
Trustees and officers
The trustees and officers serving during the year and sin¢e the year end were as follom's..
Trustees..
Mark Weightinan
Julie Ann Ford
Rachel Hudd {resi.
David Simms
ned 30 April 2024)
Dr Milton N J'amtowo
Sarah Bull (resigned I l April 2023)
Ashreeii Seethal (resigned I l November 202J)
Stuart West (resigned I l April 2023)
Jerry Hall {appointed 24 July 2024)
Objectives and activities
Objects. uims
Our primary focus is on enabling people in Housin& Health, and Social Care settings to have a voice and
actively participate in the services they receive. By allowing iiidividuals to express their opinions and be heard.
we believe it can drive positive change at the grassroots level.
Provide relief to people who are disadvantaged and in need of housin& care or support throiigh.
{1) The provi%ion of adv￿acY service% which help disadvantaged people to express their views, provide
feedback alld make complaint%, alld uphold their rights.
{2 The provision of services that help disadvantaged people to develop their ¢apacity alld lif¢ skills and enable
them to participate more full). in $￿Iety-
13) The provision of assistance and support to organi%gtions who deliver services to disadvantaged people to
help them to better understand their service user's need5 and aspiration5.
Page 2

Services for Empoiverment and Advocacy
Trustees, Report (¢ontinu¢d)
Objectives, 51Tulegies andartivilies
We continued to deliver Advocacy and Participation 5etTrice5 to people who use FramewoA('s Housin¥,
Health, Care and Support Service5 and siipport FrameThoTk with a Service User Advisory, Group meetingl which
enable clieiits to access Senior decision Inaker5. We provide a quarterly report on our advocacy activity
including advocacy case studies. We have expaiided and ii)creased our physical presence across Framework's
services recently ii) Nottinghamshire, Derbyshire. Lincolnshire and North Lincolnshire;
We continue to work with Nottii)gham Trent University and the University of Noiiii)gham Social Work
Departments. offering participation inpui from those with lived experience of Health. Housing and Social Care
services into both the retruithjent of students and the delivery of course content. We also continued to deliver
training to Health and Social Care students at Nllttingham Trent University. We have recruited eight new 'lived
experience, volunteers to contribute to this activity.,
We have recruited 3 peer mentors and a service lead to work on our contract M'ith Rough Sleepers in
Nottinghamshire. Our mentors liaise with current rough sleepers to gain an insight into the issues and barriers
they face and ways to make services more accessible.
Public benefil
Help to resolve disputes between health, housii)g and social care setvices and their clients.
We brii)g added value to services by ensuring positive or i)egative experiences and feedback ale shared through
fomal and informal processes with service operational teams to in)prove service delivery, ii)fluence and shape
services for Client needs.
We have an impact in communiiies where there are rough sleepers and homelessness by employing people with
lived experience to share their experiences with people who are disengaged and help them to overcome barriers
to services.
We partner with boih Nottingham Universities to support the education of social work students by providing
volunieers who have faced issues with mental health, homelessness, otTending and subsiance misuse.
The trustees confirm that they have complied ￿'ith the requirements of section 17 of the Charities Act 2011 to
have due regard to the public benefit guidance published by the Charity Comjnission for England and Wales.
Financial review
Following a few years of making a deficit, this year we are happy to report that there was a surplus at the 31
March 2024 of £8,819.
The trllstees will continue to seek new project5 which are suitable and beneficial to the cornmllnity of people
'ith Severe aiid multiple di5advanta¥e, which are consi5teiit M'ith the charity'5 aim5 aiid objectives and which
deliver public benefit to all ineinbers of the community. The reduction in funding from Local Authorities
bwenerally and the reluctance of other poteiitial funders to fund non-5tatutory advocacy meaiis that different
approaches to fundraising are required if the charity is to remaii) sustaii)able with adequate levels of funding and
this is iiow a priority w'hich is being urgently addressed.
One of the objectives of the charity is to grow our team of volunteers and mentors to work with universities and
help educate students in social care, law and psychology to understand lived experience and accessing services.
Page 3

Services for Empoiverment and Advocacy
Trustees, Report (¢ontinu¢d)
Poliry on reserves
The SEA Board of Directors is coinmitted that the fund5 generated bj. SEA'5 activities should be used for the
benefit of local people and that SEA should iiot biiild up reserves over and above the level needed. However, the
Director5 acknowledge the need to build up a level of reserves that will ensure that the or¥yani5ation can tneet its
legal and statutory responsibilities and ensure the sustainability of the organisation.
It is the inteiition of the Board to build up reserves to ensure that it can..
Fund the development of costs of new activities that will add value to the work of SEA;
Respond to anticipated additional expenses e.g. covering long tem] sickn)ess or parental leave for a member of
siaff.,
Maintain SEA'S activities for a period of time if funding is reduced or comes to an end:
Close down in a planned way, meeting all its obligations to staff and creditors.
The calculation of the required level of reserves is an integral part of the organisaiilin's planning, budget and
forecast cycle. It takes into account..
Risks associated with each stream of income and expenditure being different from that biidgeted;
Planned activity level;
SEA'S commitments.
Reserves Policy
It is the aim of the SEA Board that the organisatioii moves to a position that it holds a general reserve equivalent
to six inoiiths runiiing costs to ensure that the organisation could continue to operate during a period of an
unexpected reduction or cut to its funding.
During the financial year 2023-24, the orga]iisatioii's income was £206.900 (2022-23.. £191,712) and at the end
of the year it held a general reserve of £126,559 {20?2-23.. £117,740).
Review of the Reserves Policy
Board member5 will review the Reserves Policy and the fund5 allocated to reserves annually a5 part of the
business and financial plannin¥ cycle.
Structure? governan¢¢ and management
Nfjlure uf¥overiiin¥ documenl
The CIO Foundation is operaied under the rules of its constitution adopted 9 June 2021.
Page 4

Servi¢es for Lmpowerment and Advocacy
Statement of Responsibilities
The fr￿81t¢S are re5p)nsible for prqyaring tnsiees, rep)rt the fitwKial statements in ac¢ordanee with the
Uniied ￿Tr8doM Accounting Standards (United Kingdom Genernlly Accewed Accountin8 Practice) and
applicthblL law and ￿8￿lationS.
The law applicable io ¢hariiies requiTes the inNtts io prepare financial swements for e4ch fitw)cial year which
gi¥c a trn¢ and fair view" of the state of affair5 of the charity ond of the incomlng rebouT¢ts and applicalion or
re&ourLcs (Jf th¢ ¢harity for ihat ￿riod. In pr¢parin8 thtse financial stalLMen￿ the trustces are r¢quiT¢d 10..
elect suitable accounting ￿)liCieS and then apply ¢hem c(XL&iMently'.
ob5CTYe ihe meihods gnd principlcs in the chan.iies SORP:
m4kL' jud¥em¢nts dnd ¢stiTU3¢¢5 that arL' fL'a%onable aThl prudcttL"
state whether I)￿11¢able ac¢ountin¥ starylarts h&we been followe& subject to wjy mat¢Tial departures
disclo%¢d and CKplaincd in tlK. financial s￿￿￿ents. and
Prepare th¢ financial statements on ihe Boing concwn tr*sis unless it is inappropriate to presume that ihe
chdn'ty will coniinuc in busin¢ss.
The trustee4 ure responsibl¢ for keepiTh8 proper a¢couniing records thai disclose wilh reay)tJabl¢ accuracy ¥1 any
time thc fin￿￿1￿1 position of th¢ charity and enable them io ¢￿￿r¢ that Ihe financial statcTnents' comply with th¢
Charities ALI 2011. the Chariiies (Ai¢(Trunts and Reports) R¢%ulations 2008. and the provisions of ihe
LYJns¢itulion. The trnslces are also responsible for saf¢guaTdin8 the ￿se15 of Ihe ch￿lty aThJ hcnce for thking
rL'a%onabl¢ sleps f4Y the prevention Bnd detection of hud and other irre8ul8riti¢s.
Th¢ Irusteos arc responsible for thc Main￿nanCe and inlc8rity of the cor￿rate and financial information
incluLled on th¢ ¢haritabl¢ company's websilc. LeBi%laiion ¥overninB the prq>aration and disseminaiion of
Approved by the tsustees of the cljarity on 13 September 2024 8Dd siwul on its behalf by..
Pagc 5

Services for Empoiverment and Advocacy
Ind¢p¢ndeni Examiner'$ Report to the trust¢e$ of S¢rvi¢¢s for Empowerment and
Advocaey
Independent examiner's report to the tru5tee5 of Service5 for Empowerrnent and Advoeacy
I report to the trustees on my examination of the accounts of Service5 for Empom'etynent and Advocacy (the
Charity) for the year elided 31 March 2024.
Responsibilities and basis of report
As the trustees of the charity you are responsible for the preparation of the accounts in accordance with the
requirements of the Charities Act 2011 ('Ihe Act'l.
I report in respeci of my examination of the Charity's accounts carried out under section 145 of the 2011 Act
and in Cgrrying out my examiiiation I have followed all the applicable directions given by the Charity
Commission under section 145(5Xb) of the Act.
Independent examiner's Statement
I have completed my examination. I confimi that no matters have come to Iny attention in connection with the
examination giving me caiige to believe that in any Inattrial respect..
l. accounting records were nllt kept in respect of the Charity as required by section 130 of the Act,. or
2. the accounts do iiot accord with those records,. or
3. the accounts do not comply with the accounting requirements conceniing the ftsTn) and content of acLouiIts
set out in the Charities {Accounts and Reports) RegulatlOl15 2008 other than any requirement that the
accounts give a 'true and faiW view which is not a matter considered as pan of ali independeni examinaiion.
I have no concerns and have come across no other matters in conneciion with the examination to which attention
should be drawn in this report in order to enable a proper understanding of the accounts to be reached.
JuTiii O-Bri¢ii MSL, IAIA. fccA. FCIE, employee of Cominunity Accounting Plus
Fellow of the Association of Charity Independent Examiners
Units l & 2 North West
41 Talbot Street
Nottiiigham
NGI 5GL
Date..
21111r2024
Page 6

Services for Empoiverment and Advocacy
St#t¢m¢nt of Finan¢ial Activities for the Year Ended 31 March 2024
Total
2024
Total
2023
Unrestricted
Restricted
Note
Income and Endowments fro￿.
Donations and legacies
Charitable activities
Investment income
176,001
19,682
176,001
29,466
175,869
15,307
5i6
9,784
Total Income
197.116
9.784
206,900
191,712
Expenditure on:
Charitable activities
{188.642}
19,784)
(198.4261
(217.553}
Total Expenditure
{188,642)
(9,784)
(198.4261
(217,553)
Net movement in ￿1)dS
8,474
8,474
(25,841 }
Reeoneiliation of funds
Total funds brought forward
117,740
117,740
143,581
Total ￿lldS catTied fonvard
126,214
126,214
117,740
All of the charity's activities derive from continiiing operatiolls diiring the above two periods.
The funds breakdown for the period is shown in note I l.
The notes on pages 10 to 16 form an integral part of these financial statements.
Page 7

Services for Empoiverment and Advocacy
Statement of Financial A¢tivitie$ for the Year Ended 31 March 2024 (¢ontinu¢d)
These are the figur¢5 for the previou5 accounting period and are included for Comparative purposes
Total
2023
Unrestricted
Restricted
Note
Income and Endowments from:
Donatioiis and legacies
Charitable activities
Investment income
175.869
175,869
15,307
536
15,307
536
Total Income
191,712
191,712
Expenditure on..
Charitable activities
{?16,7761
17771
{?17,553}
Total Expenditure
{?16,7761
17771
{?17,553}
Net movement in funds
(25,064)
1777)
(25,841)
Reconciliation of funds
Total funds brought forward
142,804
777
143,581
Total funds carried fL)rward
117,740
117,740
The notes on pages 10 to 16 form an integral part of these financial statements.
Page 8

Servitts for Empowernient *nd Advocacy
{Registratlon number: 1194750
Bal*n¢e Sheet as at 31 .Mar¢h 2024
2024
2023
Currtnt awt
Debi(Trrs
Cash at bank and in hand
2.049
l2¥.(1$7
4.595
117.1x6
130.106
121.781
Credlttsrn: AwollTrts falliD¥ due Y4l¢hlN yujr
10
(.3.892)
14,041)
126.214
117.740
Fundj of the ¢h¥rliy:
Unrestrlcted fuThds
Unrestricted ￿￿{1$
126,214
117.740
126.214
117.740
The financial statem¢nL4 on p8es 7 to 16 were approvryj by thc trustrt5, and authorised fw issu¢ Ort 13
Sepiembcr 2024 and sI￿d on their behalf by:
Trord
The notes on pa8e5 10 to 16 fm an integral part of these fuwKial s￿ementS.
Pagc 9

Services for Empoiverment and Advocacy
Notes to th¢ Financial Statements for th¢ Year Ended 31 Mar¢h 2024
Aeeounting polieies
Statement of compliance
The financial siatements have been prepared in accL)rdance w'ith the second editilin of the Charities Statement of
Recommended Practice issued in October 2019, the Financial Reporting Standard applicable in the United
Kingdom and Republic of Ireland {FRS 102) and the Charities Act 2011.
Basis of preparation
Services for Empowennent gnd Advoc8cy meets the defiiiition ora public bellefit entity under FRS 102. Assets
and ligbilities are initially recognised at historical cost or transaction value unless otherwise slated in the
relevant accounting policy notes.
Exemption from preparing a cash flow statement
Under the exemption available to smaller chariiies the Board of Trustees has Chosen not to include a Statement
of Cash Flows within the financial statements.
Going eoneern
The financial statemejits have been prepared on a going concem basis.
The trustees assess whether the use of going concem is appropriate i.e. whether there are any Tnaterial
uncertainties related to events or conditions that Jnay cast signific￿lt doubt on the ability of the charity to
coiitinue as a ¥oin¥ LonLern. The trustees make this assessment in respect of a period Of one year from the date
of approval of the finaiicial statements.
Income and endowments
Voluntary income inLludiii¥ doiidtions: gifts, le¥dLies and grant5 that provide Lore fundin¥ or are of a general
nature is recognised when the Lhdrity has entitlement to the inLome, it is probable th(It the incoine will be
received and the amouiit can be n)easured witl) 5ufficieiit reliability.
Donalions and legacies
Donations and legacies are recognised on a receivable basis when receipt is probable and the amount can be
reliably measured.
GraNts receivable
Grants are recognised when the Lharity has an entitlen)ent to the funds and any Ltsndition5 linked to the graiits
have beeli met. Where perfotmanLe Londitions dre attached to the grant and are yet to be met, the income is
ieLo¥ni5ed as a liability and included On the bdlance Sheet as deferred income to be released.
Imveslnienl inconie
Dividends are recognised once the dividend has been declared and noiification has been received of the dividend
due.
Page 10

Services for Empoiverment and Advocacy
Notes to the Fin#n¢i#l Stalements for the Year Ended 31 March 2024 (continued)
Expenditure
All expcnditiir¢ is r￿Qgnised once there is a legal or constructive obligation to that ¢xp¢nditur¢, it is probable
settlemcnt is required and the amount can be measured reliably. All costs are allocated to the applicable
expenditure heading that aggregates similar costs to that category. Where costs ¢annot be dirertly attributcd to
particular headiiig% they have been allocated on a basi% con%istent with the use of re.%oiirces, with Central staff
costs allocated on the basis of time spent, and depreciation charges allocated on the portion of th¢ asset's use.
Other support costs are all￿ated based oii the spread of stsff costs.
Chtsrltthble aeilvliles
c.haritable expenditure comprises those costs incurred by the charity in the delivery of its activities and services
for its beneliciaries. It includes both costs that cai) be allocated directly to such activities and those costs of an
indirect nature necessary to support them.
Government grants
Government grants are reeognised based on the accrual model and are measured at the fair value of the asset
received or receivable. Grants are classified as relating either to revenue or to assets. Grants relating to revenue
are recognised in income over the period in which the relaied costs are recognised. Grants relating to assets are
recognised over the expected useful life of the asset. Where part of a grant relating to an asset is deferred, it is
recognised as deferred income.
Taxation
The charity is considered to pass the tests sei out in Paragraph I Schedule 6 of the Finance Act 2010 and
therefore it meets the definition of a charitable company for UK corporation lax purposes. Accordingly, the
chariry is potentially exempt from taxatioii in respect of income or capitsl gains received within categories
covered by Chapier 3 Part I l of the Corporation Tax Act 2010 or Sectioii 256 of the Taxation of Chargeable
Gains Act 1992, to the extent that such it]coJne or gains are applied exclusively to charitable piirposes.
Trade debtors
Trade debtors are amounts due from customers for merchandise sold or services perfotined in the ordinary
coiir5e of business.
Trade debtors are recognised initially at the transaction price. They are subsequently measured at amortised cost
usin¥ the effective interest niethod, less provision for inipaitnient. A provision for the impaitnient of debtors 15
established wheii there 15 objective evideiice that the charity will not be able to collect all amounts due
ccordiiig to the original tetyn5 of the receivable5.
Cash and cash equivalents
Cash and cash equivalents coinpri5e cash on hand aiid call dep05lts, and other 5hort-teTm hi¥hly liquid
investments that are readily convertible to a known arnount of cash and are Subject to an iiisi¥nificant risk of
change iii value.
Page 11

Services for Empoiverment and Advocacy
Notes to the Fin#n¢i#l Stalements for the Year Ended 31 March 2024 (continued)
Trade ereditors
'[ rade creditnrs are obligations to pay for goods or services that have been acquired in the ordinary ¢ourse of
hu%illess from suppliers. Accounts pa}'able are cla8%ified as ciirrent liabilities if the ¢harity does not have an
uncanditional right, at the end of the reporting perii)d, to defer settl¢ment of the creditor for at least M'elve
months after the reporting date. If there is an iinconditional right to defer %ettlement for at leasi ￿￿'¢Ive mi)iiths
after the reporting date, they are presented as non-current liabilities.
Trade creditors are recogni5ed iiiitially at the transaction price and 5ub5equently measured at amortised cost
usijig the effective interest method.
Pensions and other post retirement obligations
The charity operates a defiiied contribiition pension scheme which 15 a pensioii plan under which fixed
contributioiis are paid into a pension fund and the charity has no legal or constrLlCtive obligFatioii to pay further
contributioiis even if the fund does not hold Sufficient a5setS to pay all employees the beiiefits relatiiig to
employee service ii) the cutrent and prior periods.
Contributions to defined contributioi) plans are iecognised in the Stateinei)t of Financial Activities when they are
due. If contribution payments exceed the contribution due for service, the excess is iecognised as a prepayinei)t.
2 Income from donations and legacie5
Unrestrieted
funds
General
Total
2024
Total
2023
Donations and legacies;
Donations from Lompanies, trusts ai)d similar
proceeds
Grants: including capital grants.,
Government grants
Grants from other charities
1,750
1,750
291
59,344
116,234
174,251
174,251
176,001
176,001
175,869
3 Incorne frorn charitable activitie5
Unrestricted
funds
General
Restricted
funds
Total
2024
Total
2023
Contracts
Grants
19,629
19,629
9,784
15,039
9,784
Sundry
53
268
19.682
9,784
29,466
15,307
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Services for Empoiverment and Advocacy
Notes to the Fin#n¢i#l Stalements for the Year Ended 31 March 2024 (continued)
4 Investment income
Unr¢5tricted
Total
2024
Total
2023
General
Interest receivgble alld similar income;
Interest receivable on bank deposits
,43i
5 Grants and donations
Unrestricted
funds
Restricted
funds
Total funds
National Lottery Community Fund
9,784
9.784
9,784
9,784
6 Expenditure on charitable activities
Unre$trieted
funds
General
Restrieted
funds
Total
2024
Total
2023
Advocacy
Involvement, steering group &
Tneetiiigs
Equipment
Bank charges
Insurance
Legal & professional
Marketing
Membership fees
OtTice expenses
Rent and Services
23
23
130
36
944
,271
67
32i
1,635
17,042
244
230
4,431
5,919
86
791
,721
17,833
244
2,363
37,942
1,686
540
3,192
5,197
536
127,782
27,830
2,005
3.245
2,802
92
4,642
Board costs
Salaries Nl & pension
Evaluation
Stafl'trdining
Staff travel & expenses
Volunteer expenses
Team meetings & supervision
Sundry
Recjuitment
152,663
8,015
160,678
70
3.479
70
3,656
1,149
177
1,02i
51
126
411
411
433
395
188,642
9,784
198,4?6
217,553
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Services for Empoiverment and Advocacy
Notes to the Fin#n¢i#l Stalements for the Year Ended 31 March 2024 (continued)
7 Staff costs
The aggregate paj'roll costs were as follows..
2024
2023
Staff cost5 during the year were:
Wages and salaries
Social security costs
Pension Costs
145,256
9,572
5,850
120,227
3,555
4,000
160,678
127,782
The moiithly average number of persons (including senior management team) employed by the charity during
the year was as follows..
2024
No
2023
No
Number of persons employed
612023 6) of the above employees participated in the Defined Contributioi) Pension Scheines.
Contributions to the employee pensioi) sehemes for the year totalled £5,850 (202i - £4,000).
No employee received emollltnents of more than £60,000 during the yek)r
The total employee benefits of the key management personnel of the charity were £39.668 {202? - £15,74i).
8 Ind¢pendenl examiner'5 fee5
During the period, the fees payable (excluding VAT) io the charity's independent examiner Community
Accounting Plus are analysed as follows..
2024
2023
Independent examination
Other financial services
705
1,329
635
1,197
2,Oi4
1,832
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Services for Empoiverment and Advocacy
Notes to the Fin#n¢i#l Stalements for the Year Ended 31 March 2024 (continued)
9 Debtors
2024
2023
Trade debtors
Prepayments
1,036
4,595
2,049
4,595
10 Creditors: amounts falling due within one year
2024
2023
Trade creditors
Other tsxation and social securiry
Other creditors
555
800
2,537
1,461
1,818
762
3.892
4,041
I l Funds
Balanel #t I
April 2023
Ineoming
restsurees
Resourets
expended
B#lancc at 31
Mareh 2024
Gener&1
General
117,740
197,116
{188,642}
126,214
Restricted funds
National Lottery Community
Fund
9,784
(9,784
Total funds
117,740
206,900
{198.426}
126,?14
Balanee at I
April 2022
Ineoming
resourees
Resourees
expended
Balance at 31
Mareh 2023
Generql
General
142,804
191,712
{216,776}
117,740
Restricted
National Lottery Community
Fund
777
777
Total funds
143,581
191,712
{217,55i}
117,740
The specific piirposes for which the funds are to be applied are as follows..
The National Lottery Community Fund was to be spent on the core costs of the charity.
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Services for Empoiverment and Advocacy
Notes to the Fin#n¢i#l Stalements for the Year Ended 31 March 2024 (continued)
12 Analvsis of net assets between funds
Unrestricted
2024
Total fund5
General
Current assets
Curreni liabilities
130,106
lJ.89?}
130,106
l).892}
Total net assets
126,?14
1?6,214
Unrestrieted
2023
Total funds
General
Current assets
Current liabilities
121.781
14,041)
121,781
14,041)
Total i)et asset5
117.740
117,740
13 Taxation
The charity is a registered chwity and is therefore exempt from taxgtion.
14 Related party transactions
There were iio related party transactions it] the year.
15 Trustee5 remuneration and exp¢ns¢5
No rrusrees, nor any persons connected with them. have received any remuneration from the charity during the
}'ear.
No irustees have received any reimbursed expenses or any other benefits from the charity during the year.
Page 16