Charity Commission number.. 1196593
YES MANCHESTER CIO
TRUSTEES REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025

Yes Manchester CIO
Contents
Page
Trustee5 Annual Rew)rt
Independent Examinerfs Reporl
Slaternent of Financial Activities
Balance Sh881
Statement of Cash Flows
Notes to the Financial Stslements
7-15

Yes Manchester CIO
Trustees, Report
For the Year Ended 31 Mareh 2025
The trustees present their rewrt and ffinancial statements for the year ended 31 March 2025.
The Charitable Incorporated Organisatson was ￿nStItuted 16 November 2021 and is registered with
the Charity Commission under charity number 1196593.11 was fom)ed lo take on all the activities,
obligations, assets and liabilities of Your Employment Service CIC (company registration number
08467469).
The financial stslemenls have been prepared in accordance with the accounts'ng policies sel out in
note 1 to the financial statements and compty the CIO'S goveming document. the Charities Act
2011 and "Accounu'ng and Reporting by Charities.. Ststement of Recommended Practs'ce applicable
to charits'es preparing their accounts in accordance with the Financial Reporting Standard
applicable in the UK and Republic of Ireland {FRS 1021 {effective 1 January 20191..
Objectives and activities
Yes Manchester CIO helps North Manchester residents lo access employment, volunteering and
learning opportunities, improve their digital skills, and achieve financial independence by
providing supportive, whole-person infomialion. advice. and guidance for unemployed and under-
employed individuals in North Manchester.
The charity's purpose and vision is to"creale work ready communities by empowering people lo
overcome poverty and exclusion through employment, training and digital skills"
The charity's mission is to '$upport individua15 to build ¢onfiden¢e. develop skills. raise aspirations
and remove barriers lo accessing new or better work. training or volunteering opportunities
across Greater Manchester. Inspiring people to be the best they can be- Their values are lo be
always positive, community focused and person cenlered.
The ¢harilable obje¢l$ are the ￿lief of unemployment arKI the relief of povety.
The trustees have paid due regard to guidance issued by the Charity Commission in deciding what
activities the CIO should undertake and regulady review our adherence to operating within the
framework of our charitsble articles.
Achlevements and perforniancfr
Yes Manchester CIO has delNered signrficanl impact to communities of North & G￿ater Manchester
over this financial year despite challenging and continued financial headwinds both internally and
in the external funding market.
In the year 2024125, we engaged with 742 new customers. delivery support through appointments,
digital sessions and dropins with significant fooffall across our core cenlers and outreach
locations.. We supported 293 people into meaningful employment and training opportunities
through the delivery of core seNices. A 25QA inuease in impact compared lo 2023124 Of those
stsrting work, >80Va sustained their emFtynent at 26 weeks..
Yes CIO have continued to develop existing employer partnerships through relationships with
employers including Procure Plus, Manchesler City Council and DWP, alongside establishing new
routes into employment, bringing more opportunities lo communities across the charity's footprint
in North Manchester.
The demand for Yes's Services continued to remain high over the course of 24125 with a wailing
list in operation of around 2-4 weeks. A testament lo the quality of seNice and impact we make
to support those who need our help the most in our communities.
Pay2 1

Yes Manchester CIO
Trustees, Report
For the Year Ended 31 Mareh 2025
Financial review
During the year, the total incoming resources were £358,913 as compared to £387.518 in the
previous year.
Totsl resources expended in the year were £351.449 as compared to £391,974 in the previous
year. The surplus for the year was £7.464 as compared to a deficil of £4,456 in the prior year.
The charity's financial policies requires that it should have sufFicienl reserves to provide for 3
months activity plus any statutory redundancy liabilty-
The Iruslees considers that reserves al this level will ensure that, in the event of 8 significant drop
in funding, they will be able to continue the CIO'S current aclivitses while consideration is given lo
ways in which additional funds may be raised. This level of reserves has been maintained
throughout the year.
The Iruslees have assessed the major risks to which the CIO is exposed. and are satisfied that
systems are in place to miligale exwsure lo these risks.
structure, governance and management
Governlng Document
The CIO is governed by its constitution adopted 16 November 2021.
Governlng Body
The Iwslees who served during the year and up to the dale of signature of the financial statements
were..
Daniel Matthews
Lisa Fish
Rebecca Ord
Kirsly Evans
Dan￿1 Holden
Samuel Curti$
(Appointed 24 January 20241
(Appointed 24 January 20241
Trnstees are appointed in accordance with the charivs constitution. Professi)nal adwsers
and other appointments are appointed at the Annual General Meeting or by the Board
of Tru$tees.
All Iruslees are required lo complete an on-line course inlr(xJueing the ststutory responsibilitses of
the role on appointment and are professionals and l or have an interest in the CIO. The Iruslees
are able to use other trustees or third party advisors if needed.
The Board of trustees meet a number of limes throughout Ihe year including the AGM meeting.
The day to clay running of the charity is the responsibility of Ihe managemenl team.
The Iruslees. report was approved by the Board of Trustees.
Daniel Matthews
Chair of Trustees
Dated.. 28 January 2026
Pagp 2

Yes Manchostor CIO
Independent Examiner's Report
For The Year Ended 31 March 2025
I report on the accounts of the company for the year ended 31 March 2025, which have are sel out on pages
410 15.
Respectlve responslbilities of trustees and examlner
The charity's trustees are resp)nsible for the preparation of the accounls in accordance with the
requirements of the Charities Act 2011.
l am qualified lo undertake the examination by being a member of the A$S￿latIOn of Chartered Certified
Accountants.
It is my responsibility lo carry out an independent examination of the accounts in accordance with section
145 of the Charities Ael 2011 and the Charity Commission's Directions.
8asls of Indepèndent examinèr's report
My examination was carried out in accordance wth the general Directions given by the Charity Commission
under section 14515llbl of the Charities Act 2011
An examination includes a review of the accounting records kept by the charity and a comparison of the
accounts presented with those records. It also includes consideration of any unusu81 items or dis¢lo$ures in
the accounts and seeking explanations from the Iruslees conceming any such matters.
The procedures undertaken do not provide all the evidence that would be required in an audit and
consequently no opinion is given as to whether the accounts give a "true and fair view."
Independent examlnerfs statement
In connection with my examination, no matter has come lo my attention..
111 which gives me reasonable cause to believe that. in any material respect, the requirements of the
Charities Act 2011
lo keep proper accounting records- and
lo prepare 8ceounls which a¢¢ord with the a¢¢ounting re¢ord$ and comply wth the a¢¢ounting
requirements of the Act
have not been met.. or
121 to which, in my opinion, attenlK)n should be drawn in order to enable a proper understanding of the
accounts lo be reached.
JA4
oA4S
JM Hitton-Jones
Hilton Jones Ltd
Hollinwood Business Centre
Albert Street
Oldham
OL8 3QL
28 January 2026
Page3

Yes Manchester CIO
Statement of Flnanclal Actlvltles (including Income and Expendlture Account)
For The Year Ended 31 March 2025
Unre5trict•d Restricted
Fund5
Fund$
2025
2024
Notss
INCOME FROM
Don8lions and legacie5
Charitable activits'es
Other incorne
10
20.500
31,828
10
327,075
31,828
306,575
387,518
TOTAL INCOME
52.338
306.575
358,913
387,518
EXPENDITURE ON
Charitable aclivits'es
42.960
308,489
351,449
391,974
TOTAL EXPENDITURE
42.960
308,489
351,449
391,974
NET INCOMEIIEXPENDITUREI
9,378
11,9141
7,464
14,4561
NET MOVEMENT IN FUNDS
9,378
11.9141
7,464
14,4561
RECONCILIATION OF FUNDS
Tol81 funds broughl forward
15
107,090
1,914
109,004
113,460
TOTAL FUNDS CARRIED FORWARD
15
116,468
116,468
109,004
The statement of financial activilies includes all gains and losses recognised in the year. All income and
expenditure derive from continuing actiVi￿.es.
Th8 notes on pages 7 to 15 forni part of these accounts.
Page 4

Yes Manchester CIO
Balance Sheet
As At 31 March 2025
Unrestrictod
Funds
Restricted
Funds
2025
2024
Notes
FIXED ASSETS
Intangible Assets
Tangible Ass915
14.808
4,009
14.808
4,009
17,098
7,582
11
18.817
18.817
24,680
CURRENT ASSETS
Debtors
Cash at bank and in hand
12
10.850
84,916
10,850
188,067
21,799
155,662
103,151
103.151
95.766
198,917
177,461
Cr•dltor$'. Amounts lalllng dut
wlthln one y8ar
13
5,500
95.766
101,266
93,137
NET CURRENT ASSETSIILIABILMESI
97.651
97,651
84,324
TOTAL ASSETS LESS CURRENT LIABILITIES
116,468
116,468
109,004
NET ASSETSIILIABILMES)
116.468
116.468
109,004
THE FUNOS OF THE CHARITY
Fieslricled income lund5
Unrastrict8d incomg fund$
1S
15
1,914
107,090
116,468
116,468
TOTAL CHARrrY FUNDS
116.468
116.468
109,004
For the period in question the company was entiljed to the exemption conferred by secb'on 477 of the
Companies Act 2006, and ihat no notice has been deposited under section 476 in relation to its accounts for
the financial year. The directors acknowledge their responsibilib'es for cornptying wlh the requirements of the
Companies Act 2006 with respect to accounting records and the preparation of accounts.
These accounts have been prepared in accordance wlh the provisions applicable to companies subject to
the small companies, regirne.
trustees on 28 January 2026
Daniel Mathews- Chair
The notes on pages 7 10 15 fom part ofthese accounts.
Page 5

Yes Manchester CIO
Statement of Cash Flows
For The Year Ended 31 March 2025
RECONCILIATION OF NET MOVEMENT IN FUNDS TO NET CASH FLOW FROM OPERATING
ACTIVITIES
2025
2024
Nel movement in lunds
Add back dep￿cIa￿'0n
Oecreasellincreasel in debtors
Increaselldecreasel in Creditors
7,464
5,863
10,949
8,129
14,4561
5,863
23,179
12,9291
NET CASH USED IN OPERATING ACTMnES
32,405
21,657
CASH FLOVIS FROM INVESTMENT ACTNinES:
Purchase of fixed assets
19501
NET CASH PROVIOED BY INVESTING ACTMTIES
19501
INCREASEIIDECREASEI IN CASH AND CASH EQUIVALENTS DURING THE
YEAR
32,405
20,707
CASH AND CASH EQUIVALENTS BROUGHT FORWARD
155,662
134,955
CASH AND CASH EQUIVALENTS CARRIED FORWARD
188,067
155,662
Page 6

Ye5 Manchester CIO
Notes to the Financlal Statements
For The Year Ended 31 March 2025
1 Accountlng Pollcles
1.1 Basls of pr•paratlon and ass•ssmènt of golng eonc•m
The accoijnts (financial staiemenisl have been prepared under the hislorical cost convention with items
recognised at cost or transaction value unless otherwise stated in the relevant notes to these accounts.
The financial statements have been prepared in acry)rdance with the Statement of Recommended
Practice.. Accounting and Reporting by Charities preparing their accounts in accordance with the Financial
Reporting Stsndard applicable in the UK and Republic of Ireland IFRS 1021. effective 1 st January 2019,
antl the Financial Reporting Slandard applicable In the United Kingdtwn anLI Republic of Irèland IFRS
The charity conslitutes a public benefit enknty as defined by FRS 102.
The trustees consider that there are no material uncertainb.es about the tharitys ability lo continue as a
going concem.
1.2 Funds $tTU¢turn
Restricted funds are funds whith are to be used in ac¢ordanc8 wilh 8pè¢ific ￿$t￿CtIonS imposed by the
donor or trust deed. The￿ are O restn"c¢ed lunds.
Unrestricted income fvnds comprise those funds which the Iruslees are I￿8 to use for any purpose In
furtherance ol Ihe Charilable objects. Unres¢rict&d funds indtjde designated funds where the Irusle8s. al
their discretion, have created a fund for a specific purpose.
Furthgr details o18a¢h lund are ¢Jisdosed in note 15.
1.3 Income rocognltlon
All income is re¢ogni5etl once the ¢h8rity has enlillemenl lo the income. it is probable that the income will
be received and the amount ol Income receivable Can be measured ￿118bty.
Donations are recognised when the charity has been notified in wrib'ng of both the amount and settlement
dale. In the event that a dOnat￿n is subject to ¢ondilion5 that require a level of performance before the
charity is enliyed lo the lunlls, the income is deferreil and not ￿COgnIS￿j until either those conditions are
fully met, or the lullilment ol those conditions is wholly within the control of the charity and 11 is probable
that Ihose conditions will be fulfilled in the ￿porting penod.
Inleresl on funds held on deposit is in¢lude<l when receivable and Ihg amtxjnl can be measured reliably
by thè charity,. this is normally upon nobfication ol the interg$t paid or payablè by thè bank. Divid8nds aro
recognised once the dividend has been dedared and notification has been received of the dividend due.
1.4 EX￿ndItur¢ R¢wnltlon
Liabilities are recognised as èxpènditure as soon as there is a legal or constnjctive obligation committing
the charty to ihat expendiiure. it is pr(thbl8 that seillèment will bè raquir8d and tha amounl ol the
obligation can be measured reliably.
All expenditure is accounted for on an ac¢ruals basis. All expenses including support costs and
govemancg costs are allo¢ated or apportioned lo the applJ¢able expenditure hgadings. For more
inforniation on this attribution refer to nole 1.6.
Page 7

Yes Manchester CIO
Notes to the Financlal Statements
For The Year Ended 31 March 2025
1.5 Irrecoverable VAT
Irrecoverable VAT is charged against the expenditure heading for which it was incurrèd.
1.6 Allocatlon of $upport and gov¢rn•n¢• ¢osts
Support ¢osts have bggn allo¢ated t*twesn governance Costs and other support ¢osts. Govgrnan¢e
¢osts comprise all costs involviny the publi¢ a¢¢ountability of the charity and its complian¢e with
regulabon and good practice. These costs indude costs related to independent examination and legal
fees together with an apportionment of overhead and support costs.
Governance costs and support costs relating lo charitable acb"vities have been apptsrtioneij b8sed on type
of expgnse. The allo¢ab"on ol support and 9oveman¢e costs is analysed in note 7.
1.7 Cost¥ of ral$lng lund$
The costs of raisino funds consists of activits'es. marketing and DBS costs.
1.8 Charltabl• A¢tl*dtl
Costs of charitsble a¢livilles Include governance costs and an apportlonmenl ol support costs as shown
in note 6.
1.9 Tanglbl¢ flx•d a•s•ts and deprt¢latlon
All a55ets costing Tnore Ihan £500 are capitalised and valued at historical cost. Depreciab'on is charged
on the fdlowing basis..
Fixtures and fith'ngs
Computers
FA3
1.10 Reallsed galns and loss
33.33% on cost
25% on cost
25% on cost
All galns and losses arg takon to the Slatement of Financial A¢tivib"gs as they arise. Realised gains and
losses on investments are calculated as the difference be￿e&n sales proceads and their opening
carying value or their purchase value il acquired subsequent ￿ the first day of the financial year.
Unrealised gains and losses are calculaled as ihe difference be￿een Ihe fair value at the year end and
their varying value. Realised and unrealised investment gains and losses are combined in the Statement
1.11 Penslons
The charity does nol have any employees and. therefore. does not have a pension scheme.
1.12 Debtors
Trade and other debtor5 are Tecognised at the setllemenl amount due after any trade discount offered.
Prtrpayments are valued at tho 8mount prep8id nel of any trade discounts due.
Paje 8

Yes Manchester CIO
Notes to the Financlal Statements
For The Year Ended 31 March 2025
1.13 Credltors and provlsk>ns
Creditors and provisions are recognised where the charity has a present obligation resulting from a past
8vent that wll probably result in the transfer of lunds to a third party and the amount due to 58ttle the
obligation ¢an be measured or esb"mated reliably. Creditors and provisions are normally rg¢ognistsd 81
their settlement amount after allowing lor any trade discounts due.
2 R•lat•d party tran$a¢tl¢n$ and trnsttts. ¢xpèn$•$ and r•mun•r*lon
The trustees all give freely their time and expertise without any fomi of remuneration or other benefit in
cash or kind 12023.. £nill. Expen5e5 paid to the trustees in the year lotalled £nil12023.. £nill.
3 D¢n•tlon$ and L•ga¢l•$
Unr•5tr1ct•d
2025
R•strlct•d Total Funds Total Funds
2025
2025
2024
Donations
10
10
10
10
Previous rgPOrtin9 period
Unr•81￿Ct•d
2024
R••trlct•d Total Funds
2024
2024
Donations
4 Incom• from Charltab￿ actbvltb•s
Unrnstrld•d R•strt¢t•d Total Funds Total Funds
2025
2025
2025
2024
Places for People
Manchester City Council- Work Club
Manchester City Council-Housing. Work & Skill:
Manchestar City Coun¢il-Cost of living
WEA
One Manchester
Revision
National Lottery Community Fund
Other Grant
10,IX)O
8,860
55.(K)O
15.(K)O
8,632
10,719
72,(X)O
126,364
10,000
8,860
55.000
15,000
8,632
1Q,719
72,000
126,364
20.500
327,075
20,500
20,500
387,518
387,518
306,575
Previous reporting period
Unrt$kn¢t¢d
2024
Restri￿￿ Total Funds
2024
2024
Other Grant
387.518
387,518
387,518
387,518
Page 9

Yes Manchester CIO
Not•s to thè Financial Stat•m•nts
For Thè Year Ended 31 March 2025
S Nat Incam•
2025
2024
Nel income is stated after charging..
Déprèciation- ownèd assèts
Accountancy
5,863
5,500
5.863
5,500
6 Expendlture
Servlces
2025
2024
Exp¢ndltur• on ¢harltabl• actlvltl•s
Employment costs
Staff welfare
Staff training
Premises expensgs
Insurance
Computgr running cosls
Travelling expenses
Printing, postage and ststionery
Catering
Telephone
North Man¢hèsler Business Nelwork
Depreciation
Governance costs
support￿sts
273,923
273,923
121
3,504
7,516
4,424
35,426
518
618
172
3,035
328,734
839
3,995
3,839
22.662
505
296
120
3,018
30
5.863
13,356
8,716
391,974
7,516
4.424
35,426
518
618
172
3.035
5,863
14,585
1.867
351,449
5,863
14,585
1,867
351,449
2025
2024
Reslricled funds
Unrgslricled funds
306.489
42,960
351,449
30
391,944
391,974
Page 10

Yes Manchester CIO
Not•s to thè Financial Stat•m•nts
For Thè Year Ended 31 March 2025
7 All¢)catlon of gov•rnane• and support costs
The brèakdown of support c(tsts and how thèse were alloc2ted betweèn govemancè and other support
costs is shown below.
General
Support
Basis of apportionment
2025
Accountancy
Legal and professional
Sundry èxpenses
type of expense
type of expense
type of expense
5,500
9,085
5,500
9,085
1.867
16,452
1.867
1,867
14,585
Previous reporting period
Gener41
Support
Ba818 of apportlonment
Gtsv•rn•n
2024
Accountancy
Legal and professional
Sundry expenses
Irrecoverable VAT
type of expense
type of expense
type of expen$e
type of expense
5,500
7,856
5,500
7,8S6
2,829
5,887
22,072
2.829
5.887
8.716
13,356
8 Analysls of staff costs
2025
2024
Wages and s81aries
273,923
273.923
328,734
328,734
Charitabl8 activ￿8$
273,923
273,923
328,734
328,734
2025
2024
Average number of employees
Number of employee5 with benefits in excess of £60,000
2025
2024
Total employment benefils. including employer pension ￿ntribull0￿S of the
key management personnel
The charity considers its key management personnel comprises the Irustees.
Page11

Yes Manchester CIO
Notes to the Financlal Statements
For The Year Ended 31 March 2025
9 Independent Examlner Fees
2025
2024
Ind8pendent eX8min8tion fees
5,500
5,500
5,500
5,500
10 Intanglbl• Flx•d Ass•ts
Softwaro
Totsl
Cost
Al 1 April 2024
Al 31 March 2025
Dopr¢¢latlan
At 1 April 2024
Charge for Year
Al 31 March 2025
Net 8ook Vllue
Al 31 March 2025
At 1 April 2024
22,898
22,898
5,800
2,290
5,800
2,290
11 Tanglblo Flxod As8•ts
Flxtur•$ and
flttlngs
Computers
Total
C¢$t
At 1 April 2024
Al 31 March 2025
11,914
11,914
4,679
4.679
16,593
16,593
D•pre¢latl¢n
At 1 April 2024
Charge for Year
Al 31 March 2025
7,699
2,978
10,677
1,312
595
9,011
3,573
12,584
1,907
N8t Book Valu•
At 31 March 2025
1,237
2,772
4,009
At 1 April 2024
4.215
3,367
7,582
Page 12

Yes Manchester CIO
Notes to the Financlal Statements
For The Year Ended 31 March 2025
12 Debtors
2025
2024
Trade debtors
10,850
10,850
21,799
21,799
2025
2024
Restricted
Unrestricted
10,850
21,799
21,799
10,850
13 Credltors: amounts falllng duo wlthln ono y•ar
2025
2024
Trade creditors
Other laxalion and soclal securlty
Other creditors
Accrua15
Deferred income
7,802
4,661
41,636
5,500
41,667
101,266
11,2471
1.657
45,560
5,500
41,667
93,137
2025
2024
Reslricled
Unrestricted
95,766
5,500
101,266
93,137
93,137
14 Deferred Income
2025
2024
Deferred income comprises renial income and grants invoiced and received
in advance.
Balance as at 01 April 2024
Amounl released to income eamed from charitable aclivities
Amount deferred in year
Balance as al 31 March 2025
41,667
141,6671
41,667
41,667
41.667
141,8671
41,667
41,667
Page 13

Yes Manchester CIO
Not•s to thè Financial Stat•m•nts
For Thè Year Ended 31 March 2025
15 Analysls af eharltabl• funds
Anaty$l$ Of movements In unre$trl¢ttd fvnd$
Asat
1 April
2024
Asat
31 March
2025
Incoming Resources
R•sourc•s
Expèndéd
Transfers
General lund
107,0
107.0
52,338
52,338
42,960
142,9601
116,468
116,468
Previous reporting period
Asat
1 Aprll
2023
Asat
31 March
2024
In￿rnIng Resource$
R￿Qur¢0¥
Expfyndod
Tran$fgrs
General fund
111.516
111,516
387,518
387,518
391,944
1391.9441
107,090
107,090
General fund
The unreslricled funds ol the charity
15 Analys1$ Of movements In r•strfcted fund$
Asat
1 Aprll
2024
Asat
31 March
2025
In¢omlng R•$ouTc•$
R•sourc•s
Expond•d
Transf•rs
Places for People
Manchester City Council- Work Clu
Manchester City Coun¢il-Hou5ing.
Manchester City Coun¢il-Cost of liv
WEA
One Manchester
Revision
National Lottery Community Fund
1.914
10.000
8,860
55,000
15,000
8,632
10.719
72,000
126,364
111,9141
18,8601
155,(K)01
115,(K)01
18,6321
110,7191
172,(K)01
1126.3641
1.914
,575
{308.4891
Previous reporting period
Asat
1 April
2023
Asat
31 March
2024
Incoming Resources
Resources
Expènded
Transf•rs
Place$ for Peoplg
1301
1.914
1301
1,914
Page 14

Yes Manchester CIO
Not•s to thè Financial Stat•m•nts
For Thè Year Ended 31 March 2025
16 Analysls af nèt assèts b8tw••n funds
Unrestricted Restrictsd
2025
Intangible fixed assets
Tangible fixed assets
Cash al bank and in hand
Other net current assetsllliabilibesl
Total
14.808
4,IX19
103.151
5.500
116,468
14.808
4,009
188,067
90.416
116,468
84,916
84,916
Previous reporting period
Unr•itrf¢t•d R•stri¢t•d
2024
Intangible fixed assets
Tangible fixed assets
Cash al b8nk and in hand
Oth8r nét current ass8tsllliabilitiesl
Total
17.098
7.582
153,748
71,338
107,09)
17.098
7,582
155,662
71,338
109,004
1,914
1,914
17 Golng Con¢•rn
The charity's main source of Income Is grant funding and invostmgnl Income. The trust88s conslder,
having re9ard to reserves Ihat il is appropriate to prepare Ihg a￿Unts on a going ¢on¢em basi$ and.
consequenuy. the acc(wJnts do not indude any adjustments that wouhl be necessary if the funding
incorne should cease.
18 Post Balance Sheèt Events
The Trustees do not consider Ihal there have been any events since the balance shefrl dalg that
significantly impact on the financial statèmants.
19 Flnanelal Instrumènts
The charity only has financial assets and financial liabilities of a kind that qualify a5 basic financial
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