Charity ￿￿traI)DI •¥mb¢r 1197214
TPCARING SPACES CIO
ANNUAL REpoirfAND UNAUDITED FINANCIAL ￿ATEmENTs
FOR THE YEAR ENDED 31 DECEMBER 2925

TPCARIPIG SPACES CIO
LEGALANDADMINISllUTIVE INFORMATION
ECI
C Fergu￿￿ D￿1¢
Cbarity number
119n14
Prlttdpl *ddrtM
Unkt I, Bughun Mews
Btythe Road
W14 OFfN
IDdepeDdeDI ¢urnlDer
David Howard
I Park Ro
Hampton Wick
Kingst￿ Uwn ThamLq
KTI 4AS

TPCARING SPACES CIO
CONTEwrs
PA
TnLStees refMIrt
lThIe￿NICnt exarnin&5 rei
S￿tInent of finllncial activitie4
Bal￿e strttt
Notes to th¢ finaKial
8-15

TPCARING SPACLS CIO
TRUSTEES REpoirr
FOR THE YEAKEIVDED 31 DECEMBER 2025
The Tn￿te¢S pr¢s¢ni I￿lT *￿UaL rep￿1 financial stst¢m¢nts for year e￿￿d 31 DecemL%r 2025.
finarKial statemcnts have been in aCCqyd￿ with the ￿¢0￿11￿8 policies set in note I to the
flnancial stat¢m¢nts aTrJ ¢c4nply with ihc Charitys CIO Foundaiion. the CharitiC5 Ath 2011 and 'Accounting
and Reporting by Charities: Statrmenl of ReC￿me1)ded Pra¢(ice applicable ￿ charities preparing their
accounts in xcordatKe wilh the Fina￿la1 Repxting s￿￿Jard appli￿1¢ in the UK aTMI Republic of Ireland
IFRS 102)" (¢ffedive l January 2019
Jee¢lves *nd *¢thThi
Th¢ charity's primary Obj￿¢1¥¢ is ¢0 Sup&K￿ chatilies *MI community Wisatic￿ by Yedesignin8 and
Improvi￿ their physical spaces so thai are wann. I￿]USiVe and uplifting for the c4)mmunities they serve.
TP Caring ￿¢S Seeks to a s¢￿ of home and a deparnve from in￿1￿￿1(￿1&1.
Particul￿ ernph&sis is placd on owisalii>rks w(Yking with iThJividullls who vultRrnble. mar8inalised, or
experiencing hardship.
lkning 2025. th¢ Trwtees ensured all ￿1vIlle$ furt1￿￿ the ¢haTity's purposes and deliveted
lear public ben¢fiL
The TTu5￿ hav¢ paid due regwd io guidanc¢ is￿1 by the Charity Commission in d¢¢iding what activities
the Charity should w)derth.
A¢bleveme*ts *Dd wforniaD¢e
In 2025, TP Caring undertook a major kYojc¢t in SUFV¥t of The Upper Roorn. a Charity pyoviding ￿¢.
support and a daily three-¢outse meal to P￿p]e experie￿1￿8 IKMneles5Kss and those stru88lin8 wilh menlal
I￿1th i5SUCS.
The wij¢¢i focused on redtsigning reviving the entrw fr￿1 thxy, Stsirt45c. downstair51oo aml stora8¢
of The Upper Room's W￿lse& Prll￿ to refurbishmeThL these Spa￿5 were drnb, tired and unw¢lMming.
Whil¢ functional. they did ￿t reflca the Warni￿ care and iodividual atteffl1￿ slKJwn daily by The Upper
Room's staff and volunteer
The team sought lo ¢reaie Bn ¢Dvirorm￿nI that IMM￿18¢¢1> communicates welcome, p)siiivily, di￿lty
respect. The redesi￿￿ sp¥¢s wtr¢ int¢nded to feel cared for. joyful and homely. refiecting the Comp￿s1on
and professionalism of the team who wtrk with Thc UFver R(*)m's community. The rmpleted project h&$
resulted in a SI￿lfi¢￿￿1Y improved ¢DviriJM)enT that firt irnprtssirns 8rn1 the charity'5
vital work.
It has a150 bun i￿l¢la1 io ihe Charity in ternis of creating a resr¢¢tsblc awj inviting eTthnce that can i
prrAnoted in iheir marketing initiatives and when thry are applyin8 for 8rants to grani appljcatjons.

TP CARING SPACLS CIO
TRUSTEES REpoKr (coKriNUED)
FOR THE YEAR ENDED 31 DECEMBER 2025
Th¢ pioj¢ct prcscntcd several logisti￿] and Wical chailrye& The entrance ard s￿Ir¢￿ featurcd a dothle.
height c¢ilin& requiring careful planniTr8 ar(MllMI acce4 safety and in5ts11ation.
In additio￿ The Ukw R(M)m 4wat¢s an esse￿1141 daily s¢¢vi¢e providing focrfl aftd car4 and il Critical
refurbithLYtt works did not disruN me41 pDvisN)n or restrict access for membets of the community.
Th¢ Tnmees wothEd cl(* with The RI￿1 to CLK)rdinate timiny and rn5urE continuity of wvice
througFN)ut the project. These challenges reinf¢)rted the of flexibility, sensilivity aNI ¢ollaiM)ration
when working within live charitsble environmcn
Rel*lionthips S¥pwbrters #Dd tkjoors
rkniftg 2025. TP Cating Spaces continll¢d to develop and strengthen relatifft4LiP5 With key supporters aThl
donors whose gencrosiry enables the ch8rity's work. The Trustees wc particularly gratefvl fw ihe ongoing
N)(ri ofMCB DEvclopment4 Frn & Ball, Winch Clmst(* F*r and The Ra￿1n8 Trust
The5E Partn¢rship5 are buili on sharrd values a collecrive belief in the iMp￿rta￿e of envinmmients that
prom￿¢ dignity atMI w¢llking. The Tnkn remain hugely thankful for the C4)ntin￿l enc(Af4&¢menL Iru5t
and supp)rt of all partners and
FuDdralJlxt •Jd Ow•ilon*l R¢vkw
TP Caring Spaces did ￿t TrK¥S( its customary ¢•rol CLY￿rt in 2025. Lhje to incffeased demands on
the imeriois business founded the ch¥ity. year Wds quieter in ter0￿ of fundraising project
delivery.
The TNstets ￿ed this Ftriod io COTLs01idal¢ strcn8ihen partnership5 and prepare strategically for Iu¢LWC
aciivity. This approach ensured the chanty 15 well positioned io deliver impactful projects in the cotning year.
P¥Nic Benefit
The Trustees confim) thai the activities undenaken duriTrg 2025 Fyovided clear public benefit. By improving
th¢ physical environmeni of a fr¢)nt]ine h)meleS9￿ and m¢ntal hcalth charity. TP Cwing SpaK4 help¢d
promoie re5pecL wellbeing and security for vulnerable individuals, whil¢ $￿ppr￿lDS thc w(Yk of th(6e who
care for them.
FtstMr¢ Pla
Lookin8 ahud to 2026, th¢ Tr￿le¢S are delighied to wnfilm that TP Caring Spxes will be working in
partnrT5hip with The Ra￿SIng Tn￿ and Winch Design4 lth of whom have pled8ed further th)￿tiO1￿ in
siipith of sekcted woj¢¢i&
As originally intende￿ the chwity will work with a range of ￿M￿MunitieS and charitias to ensure that P￿rt￿$
are able to contriixrte to a diverse aThJ w(xthy sele¢11￿ of
The TnMees arr a150 wepving f(r nwj em￿1ve muc1￿￿eded proj¢¢ts in 2026: one SUp￿rting the JTU
ward at Harefield H05pilal. and an￿heT for GTeat Orniond Stred Hospital.

TP CARING SPACES CIO
TRU￿KEs REpoirr (coiYrMJED)
FOR THE YEAR ENDED 31 DECEMBER 202J
Flthi*clAI revlew
txjring the FffiCMJ the ch¥ity in¢om¢ res0￿¢￿ of £30.894 {2024 £67,453) and a i(rtal expenditwe of
£25.937 {2024 £80.516) rEsulting in net Surp1￿ of £4.957 (2024 deficit of £13.063).
li is the policy of the Charity that unrestri¢i¢d fund5 which havc not Fttn designa¢¢d for a spff ific ￿¢ should
be maintsined at a levej equiva]ent to betweeTh thrtt six monih's cxwidittwc. Tr Trumees consider that
reser4es ai thi$ level will ensure thaL in the evem of a significant drop in tIKy will b¢ able ￿ continue
the Charity's current activities while considerntim is given lo ways in whi¢h addilional fvnds rnay be Aised.
This level of r¢seTVeS has bccn maintained Througkn￿ the year.
The Tr￿SleeS have assessed the major risks 10 7which the Chariry is exwwd. are satisfied ihat systems g
in plac¢ lo miligak cxFKEurc kn the risks.
The Charity 15 a charitable inerAP)ra¢ed olg￿lSaIl(￿.
Thc Tn￿tts who s¢Thed durin8 the yeAraKI up ￿ the d* of 5i8natiire of the fmancial Sts*ments w
N Turner Hot)ourable
E Clarkson
C FergUS￿ Davie
Nonc of Tr￿￿ee$ has any benefxial interesi in the cornpany. All of the Tnwers arr memlxr5 of the
company and guarantcc to coniribJ* £1 in the event of a winding up.

TPCARING SPACFS CIO
TRUSTEFS REPOIN (CONTINUED)
FOR THE IE4RENDEIJ 31 DECEMBER 2025
5tatetyeot of Ihltces rtspoo•lbllltl
The Trustees are responsibl¢ for preF4ring the Tn￿le¢S Rep￿ and tt* fina￿la] stai￿nentS in accord&)ce wilh
applicable18W Atxl United Kingdom Accounting Stsndaryts (United Kingdom Gen¢r8lly Accepted Accounting
Practice).
law applicable to ¢harities in Eng14Th1 and Wales r4thTts the Th4teu to prepare fin￿¢la1 staknents for
each financi￿ year which give a tn* and fair view of the stat¢ of affai￿ of the Charity and of the in¢oming
resou￿¢$ arml application of rc50urccs of the Charity for that yw.
In ￿eparing th¢s¢ finantial 5taturKnL% the Tlusttts are required to:
- select Suitable acc(>unting p)licics atKI then apply them c(msi*nily:
- observe the metlxth aTrJ winciples in the awiiics SORP.
. make judgements and e5tifftates that are reaqxjable and
- thle wlther applicable accounti￿ Sta￿ have been followe(L subject io any material departures
disc14)sed aThl explained in th¢ fina￿]41 stster￿. a]Ml
. Frepare the financial Sts¢em¢nty on th¢ stil￿ conc¢m basis unless it is in4VWate to pre￿ne ihat th¢
chariry will con¢inue in operalico.
The Trustees ar¢ r¢swJnsil)l¢ for keeping suffKient ¥¢OWWing re¢(Yd5 thpt disc105c with reasonable accuracy
at any time the financial POSiiiw of the Charity and enable them to ensure that the fina￿la1 stateTnertts
c(Knply with the Ch¥ities 2011, the Charity (Accounts and Reports) Rcgulalion5 2008 and the provisions
of th¢ bwt deed. are 2150 responsible for safeguarding the of ihe Clwtty aTKI h¢￿e for tskin8
reasixjable slep5 ￿ the preventim aT]d d¢tcction of fraud and (*her irrewblarities.
C F¢r8U50n tknvie
12.1 gl.2G......-..-.

TPCARINC SPACLS CIO
TO THE TRusfEES OFTPCARING SPACES CIO
I report to ih¢ Tns*es on my examination of the fiwxial ￿erne￿ts of TP CaTing Spaces CIO (the CIMrity)
for the year ended 31 tknber 2025. which set out on pa8es 6 10 14.
Rexp￿dbIlleir1 •Rd b•sii of report
As the TNstees of the Chariry you are rwtL%ible for the prePaTati￿ of the fllwKial s￿ernents in accordance
with the requiremet*s of the Charities Act 2011 (the 2011 Acl).
I in respect of my examination of the Charity's financial st*ernert5 carried utbler section 145 of the
2011 Ad. In caTrying my examinaiion I have followed ail the aFWiLzble DiTcci1￿$ ￿1ven by CFwity
Commission uThJer se￿10￿ 145(5Xb) of the 2011 Act.
lodependeot eiamlMer'5 StAtemen¢
I ha￿ complded my examination. I confirm th￿ no matters have come to my attention in ccfflnectioft with
the examination ￿ving me cause 10 Ixlieve that in any material re5￿t..
accowiiing records wete not W in res￿et of the Ch¥ity 4s requiTrJ by se¢tion 130 of the 2011 Acl. or
2 the finan¢ial sthtrments do not ￿1rd with those records. or
the fina￿111 5tat¢mwLs do rn)t F(xnply with thc applicabl¢ r¢quirrmcnts conccrning th¢ form and content
of a¢￿￿nts set out ID the chwit1￿ {Ac¢ouDts and ReFwts) Regulariorts 2(X)8 other than ￿Y requiremenl
that the 8iYe a tn* fair view whKh 15 nl)t a matler ¢on5idered J5 of On independenl
examin￿10ft.
I have no c¢MCen￿ and ￿ve come acros5 rny other matter5 in COTU]edion with the exam1r￿tIOn to which
attention should ￿ drawn in this rep)rt in order ￿ U￿ble a WKl¢r5tanding of th¢ fIn￿la1 slat¢m¢nts
be reached.
Vi
Davld HO￿ld
I Park R(wJ
H8mpton Wick
Kingst<￿ Upon Thames
KTI 4AS
12-05-2026
Dalcd,.

TP CARING SPACLS CIO
AT£￿E￿r OF FINANCIALAcllviT1ES
INCLUDING INCOME AND EXPENDrruRE ACCOUNT
FOR THE YE4R ENDED 31 DECEMBER 2•25
Totxl IIDrt8lrleted
f•llds
2025
dq
2•25
2025
2024
Donaiions and Iwies
Charitable ￿tIVItieS
10.(KK)
30.894
27253
402IK)
Totsl iDeom¢
20.894
10,0
30.894
67,453
diture
Charitsble activities
25,937
25.937
80516
Net (eJpendit•re)fimeome for the yelrl
Net m•)vemetht im fuds
(5.043)
10.(KJO
4,957
(13.063)
Fund balonc¢s at l January 2025
A5 originaily reported
Prior year *jJ￿ent
As restated
70.032
(JA835)
53,197
70,032
(16,835)
53,lYI
83.095
83.095
Fotsd ba]•Deei at 31 Dte¢thbzr 2Q2S
48.154
58,154
70,032
The stlltement of financial ￿1Vi￿¢S all gains and Io85es re¢o8nised in the year.
The statement of financial aclivitics all gairn and losses reco￿1¥¢d in the year. All I￿)Me and
expenditure derive from continuing Kliviti¢s.

TPCAIUNG SPACFS CIO
BAL4NCE SHEET
ASA T31 DECEMBER 2Q25
202S
1•14
Cllrrent
Debtors
Cash at bank and in hand
533
61,114
38,185
37.511
61.647
75,696
Credithrs: *mo¥•ts falli¥ vl¢hl*
one yur
12
{3,493)
(5,664)
Net curr¢D¢ islets
S&154
70,032
Net Aiiets tJtludi4E pemsi•m liabilty
58,154
70.032
The fund¥ ofthe Ch*rlty
Restricted incotne fimd5
13
10.c
48.154
70.032
58,154
70,032
The fina￿1*1 slatements were approved lly Ihe TnLqees ....
C Ferguson Davie
Trustee

TPCARING SFACLS CIO
NOTES TO THE FINANCIALsfATEME
FOR THE YEAR ENDED 31 DECEMBER 2025
AeeountlDR Wkles
Ch•rity iDfonN•tio•
TP Caring spa￿ CIO re8islered as a Charithble CtrgJni5ation on 20 tkcember 2021
a￿1 is governed by its ¢<rtjfuiion fomKd under an &sxKIatic￿ m(xlel.
1.1 Accou¢lDz e•mv¢nUom
The financial 5taternetts have been prepxed in accord￿ with the Charitys Clwity's CIO Fourndation.
Ike Charities Act 2011, FRS 102 'Tr Financial ReF(KIl￿ Standard Applicable in the UK and Rewthli¢
f Ireland" ("FRS 102") and the Chariiies SORP'Accountin8 and Rep(*ting by Charili¢s: Ststement of
Recommended Practi¢¢ applithle to charili¢s FYq>aring their acccdmts in accordance with the Financial
Reporting Stsndard appli￿ble in the UK and Republic of l¥¢land {FRS 102)" {effe£tive l j￿￿ary 2019).
The Charlty is a Public Benefit Enlity as d¢fi￿d by FRS 102.
The Charity has taken ￿Vantag¢ of the ￿0ViSiOnS in the SORP charities Th)t to pyepare a Sts*ment
of C￿h Flow&
The fIna￿la1 ststem•ts are prepated in steATn& which LE the functional currency of Ik ChaTity.
Mon¢lary am(Ku)ts in these financial Sthkments are round¢d lo the rmesl £.
The financial stalements have been ryepar￿l under the hi￿1¢81 Lxtst conventicrfi.The princip81
accounting wlicies adopmed are out below.
la Going eo•¢eTn
At the time of apwoving the fiTwKial 5tatrrn￿ Tn￿ a reas(rt￿￿e exFeclation that the
Charity has *quale resou￿ to conlinu¢ in owa¢ic￿I exisiaKc for the foreseeable fijture. IIMLS the
Tn￿eeS cortinue to *lopi the going concern b￿15 of acc￿1￿ in weparing the financial ￿￿Men1%.
13 Charl¢*bk fllod$
Unre5tri¢led flmds xe available for use at tk discretion of the TruAees in furt1￿￿ of their chariiabl¢
obi¢¢tiv¢&
Restricted fijnds are sthitti lo $￿CIfIC ￿ndI￿Orts by th)nors or grantor5 &5 to how they may b¢ ￿d. Tr
and uses of the restTthI fvrthts are set (MJt in the notes ts) the financial sta*ments.
EndowTherf fimd5 are s￿ye¢l to s￿¢ifiC ¢L￿dItio￿% by kn that th¢ capital rn￿t ix m8irtained by the
Charity.
1.4
Income is rwised whem the Chariry is k￿llY erfitled to it after arvj performarnce conditiOJLS have
t¢en mei ik am(rtThts can be me&sured relialAy, and li is proL*ble that income will received.
)tified of donatio￿ unless PerfOrnw￿ ccrfjditions require defertal of the amounL I￿oMe
recoverable in rel*ion to donati(w r¢c¢ived whJer Gift Aid (v deeds of covenant is recognised at th¢
tiTh]¢ of (he &It￿tiOn.

TP CARll¥G SPACF3 CIO
NOTES TO THE FINANCIAL sfATEMENfs (CONTINUED)
FOR THE YEAR ENDED 31 DECEMBER 2025
Ae¢ou•dog polk
(CoMd*Med)
8acies are retogniscd on receipt rff oiherwise if the (Jwity ha5 been notified of an IM￿ndIng
dis¢ril￿ti0n. the amouht is knw and rtt¢iO is ex￿¢& If the amount 15 not krnwn. t￿ legacy is
treated &8 8 cofi(ingentasseL
1.5 Expendltsr
ExFndiiiue is recognised (4Ke there is a le8￿ or ei)nsts￿ive obligation to tr￿f¢r ￿0[10M]C benefit to
third party. it is rY(thle that a transler of econorni¢ benefits will be required in settlem¢nE and rhe
amount of ¢lK obligati(m ian bc rneasured reliably.
ExFaituT¢ is ¢lwifi¢d by activity. The costs of eadb Xtivity are made up of the t(rtal of direct co
8nd sh8r¢d COS￿ i￿]uding 5UPPQrt costs involved in undertthn8 cxh aaiviry. Dired costs attributable
io a single activity are allocattd directty to a¢tivity. ShaTEd costs which contribute to moTe than one
activity and suprMXt e(hsts whi¢h aff n(rt artn￿u￿ble lo a single &iivity are aFPCff(ioned betw¢¢n those
activities a b*si5 Co￿5]stent with the ￿ of resource& Central staff C￿￿ts are allocated on the bwi5 of
time spent, and depreciation charges ￿ alk¢ated on the Portion of th¢ assd's ￿¢.
IA C*¥h #•d ¢*sh eqtsivalemts
Cash arml cash cquivalents include cash ift hatxl. dep)sits held ￿ call wtth bank5. other short-trrni liquid
investments with original maturities of three or les4 bank overdrnfts. Bank overdrafts are
shown within t￿rOWirgs in curreni liabililie
1.7 FlllaD¢lil
The Chariry has elttied to apply the provisi0r￿ of Seaion I I 'Bagi¢ Financial Instrwnents. and S¢¢¢ion
12'0ther Financiol 1Th￿nunents Iss￿, of FRS 102 to all of its financial I￿￿trume￿s.
Financial I￿$(nU￿nts are reco8nisal in th Charitys bli8￿e sheef when the Chwity becomes party to
the contractual txovisions of the ins1n￿￿.
Flnan¢ial a&*ts and liabilities arc off< with the ttt ammts prtsentrd in the financial sts*m¢n
wI￿n there is J 1¢8alty enfor¢uble righi to sel off the Tecogni5&J amounts and tkre is 8n intention lo
sdik on a n¢t basis LY to realise the 1s5et and s¢ttk th¢ liability simult￿￿s1y.
Basi¢fv4•elal a&Yets
B￿lC financial asse￿ which include debt0￿ and atMI bank belaftces. are initially me&sur•l at
lrnnsaction price including transxtic￿ costs are subscquenily carried ￿ amortised csxt using the
effective inlere5l Meth￿ unless the arlangement a finan¢in8 transactscrt where ihe
transaction is measured at the preKnt value of thc ￿(c]pts dI￿)Unted ai a markd rate of intertst.
FinanciaI Lssets clwifie41 r¢c¢ivable within one year are amortised.

TPCARING SPACES CIO
N(yrEs TOTHE FINANCL4LSTATEMENTS (COrnED)
FOR THE FEAR ENDED 31 DECEMBEJI 2Q25
A¢¢ouDtimi policies
(C•lltln•ed)
Ba5icfvaxciallla￿l
Basic financial liabililie4 inclthlin8 cr¢dilors and bank loans ar¢ initially rcw8ni5cd It tran5Xtion Fricc
unless arrangement constiiiiie5 a financin8 traILSacti￿ 4vhere the debt iiistrument is at the
present value of the futur¢ wmenis disccthed at a market rnte of int¢r¢st. Fina￿1￿] liabilities
classified &s pay4bk wiifr4n ffle year we not ￿lse￿
Debt insffillneffls att subseqwrtly wied at amortised crt using the effective iNere5t r&e mefhod.
Trade creditors we obltgJtions to pay for goc•15 or ￿l¢¢S thai have been acquired in thc ordinary
course of operations from suppliers. Amounts payaE4e are cla55ified &5 current liabilitie5 if payment 15
du¢ within one yw or l¢s% If not. Ilw ¥e F*esethed ￿ t)OtF¢urreni liabilities. Trade ¢reditor5 arB
recognised initially at tra￿SactiC￿ price and sthwtty rne49￿Cd at amortised cast ￿l￿g effcdive
initre￿ methtsj.
DerecozNbion oJfiMonclolliabiiiiles
Financial liabiliti￿ are duttwi5¢d WI￿ the Charity'5 con1￿Ul] dJli8atiQll5 cxpirr or aTC di￿h￿rg¢d
or cancelled.
The charity is from rax on intome gains falli￿ within secticrfj 505 of tlK Taxes Art 1988 OT
ciion 252 of the Ta￿•0￿ of Ch¥geabl¢ fjai￿ Ad 1992 to the ¢￿ent thal these arc applied to its
¢harithk obiccts.
Crlll¢al a¢4wNthig H¢kn•¢es j•deen￿ts
In the 4Jplication of the Charity's xe4x￿lIng poli¢i4 Tntstres are required io m&ke judgemenl
¢stima¢cs and wumpiions ab￿t the carrying *nount of %sets and liabililies thai are not readily
Jppar¢nt from other sowces. The c￿lmateS and ￿0CL￿ed ￿pIlOr￿ are bB5ed on historical
experi¢n¢¢ and other fadors ihat are C￿￿idered to be relevart. Actual results may differ from these
estimates.
The ¢stimatrs and underlying ¥SSUmF4ions rcviewed on an ongoing basis. Rcvisions to XC4)untin8
¢s(imates are rxo8nis¢d in the F#1￿1 in whith thr c5tirnatC 15 rryi5cd whur th¢ ￿151[￿ aff￿ts onty
ihat period, or in th¢ p¢riod of the revision and fiJNre puh)ds where the revision aff￿ts both current and
future wiod
lo￿ne fr•m donitlom a•d lepe
Total
mdb
2025
Dds
2024
2025
2025
2024
2024
lo.￿
30.894
27253
27,253

TP CARINC SPACES CIO
PKYfES TO THE FINANCIAL sfATEMENfs (CONTINUED)
FOR THE YEAR EIVDED31 DECEMBER 2025
Cb•rl¢Abl¢ *e¢fvltle%
2025
2024
37.710
2.490
(￿er income
40.200
EXp￿dI￿re om ehArltsble *thit
2025
2•24
Direct eojts
6.1138
64.347
Cther direct costs
Bad and doubtful debts
20.783
I.5(￿j
22.283
70,385
Sh•Te ofsUPP)rt zoverm￿te cojts (see Dot¢ 6)
Supwt
714
2.940
5.741
4J90
25,937
80516
Attafy¥l¥ by (und
Unrestrlctrd funds
25.937
80516
11

TPCARING SPACFS CIO
NOTES TO THE FINANCIAL STATEMENfs (CONTINUED)
FOR THE YEAR EM)ED 31 DECEMBER 2025
Support c(Ats
2025
2024
costs
Bank fee
Printing aTrJ statiorAry
Comwrter nmning cos¢
Trnvelling exixnses
Advertising & markding
Sundry Exw
P05ts8e,fr¢ight & courier
Legal & Pmfessional
103
103
202
3.690
525
304
100
103
90
727
506
566
25
2Q
IndepeDdenl exarninalion fees
4.390
714
1940
3.654
10.131
Analysed betwec
Charitabl¢ Klivilies
714
3.654
10.131
Net Trov¢m¢4t ID f•nds
2•25
2024
Th¢ ￿ movtsnent in futth is statd after ch￿1￿1{(¥td1tingj.
Trustees
None of the TNstees (or any t￿0￿$ with them) received any reJnuTh￿ or benefits from
t￿ c￿lty during ihe year.
Ernployees
The average M￿thlY nwnber of *y¢¢s Ihe year w&5:
2025
F4umbtr
2024
Nmmber
12-

TPCARING SPACES CIO
NOTES TO THE FINANcIALsTATEME￿fs (CO￿lNUED)
FOR THE FE4R ENDED JI DECEMBER 2025
{CoDlhued)
Employment t￿ts
1•2S
2024
Wages and ￿laric5
Social security cosis
(kher pension costs
5,376
532
130
6.038
10 T*ulloA
The charity IS Exem0 fvom t•xation on its adiviiie5 iycawe all its iwxne is applied for charitable
li Debtyn
2•25
2024
Amomjts f•lltht d*e within olle year.
Prepayments and *¢[￿ed income
533
475
2•25
2024
knounts (1lllM8 d•e After tb*u ••e yar.
Prepayments and
37,710
Totsl deb¢ors
533
38,185
12 Credltor¥: Am••Dts falling dv wl¢kl• one yr4r
2•2S
2024
Tr*le CTeditrrt5
A¢¢n￿lS atml defefftd I￿)rne
552
2.941
2,724
2,940
3.493
5.664
13-

TPCARING SPACES CIO
N(YfLSTO THE FINANCtALsfATEMENrs IcoNriNUED)
FOR THE FEAR EJVDED3J DECEIIBER 2025
13 Restrkted funds
The r&8tricted fijnds of the ch¥ity ¢(￿prISe the uwJuMl¢d bnlances of doMions and yai*s held I
In￿ subje¢1 lo S￿]r￿ Conditi(￿ by donor5 to how ¢lw may ￿ used.
At l JaA¥Ary
2025
At31
2025
Har¢fi¢ld H05Pital Projea IWirKh Designs DrmtiM)
10.000
10,0(
This rutrictyl futsj compri3¢5 a donation fmm Winth Designs to suprrtxt the refurbishment of Thvo
family wailing T¥yJms on ihe Interfjive Tknpy Unit at Harefield Hospital. The funds are restricted to the
red¢5ign and redecor*ion ofthes¢ repl*ing worn fiJmitur¢ and iinryoving comfort and dé¢or to
create Pd wclcoming envin)[￿eN f(Y familie5 of CTtlicdly ill Irwv4)lani P&ients.
14 Unrestrkted fuBd¥
The wi￿5trICE￿ fiuKIs of the charity c4JmExise the bftl8nces of d(xwti(%L5 aryj grants Mlhich
arc Trx subjec¢ lo specific conditions by doMrs and graniors as (o how they may be used. These t￿l￿de
designaied fumls which have be￿ set aside out of wyestrictal fundg ty the biLs*es fw speeifi
purpO￿S.
Al l J**ury R¢so•rw Prlor ytsr
At31
2025 rewvrtt4 ¢x￿ded adjus￿¢￿1 Dttember
21125
General funds
70,032
20.894
(25,937)
(16.835)
48,154
At l Januxry R¢sourr¢4 Prior y￿r
At31
21n4 n4o•rtes e4btnded adJllslm¢n¢ Def¢JBber
2024
83.095
67.453
(80516)
70,032
-14-

TPCARIPIG SPACES Cto
NI￿ TO THE FINANCtALsfATEMEKrs (copiriNUED)
FOR TIIE YE4R ENDED 31 DEC&IIBER 2025
15 Autylkn ofllet amets bEtw¢rn
U•rE￿ta R¢strkted
Totsl
2•25
2D2S
2025
At 31 Iletember1025:
CuTreni aSse￿(lI￿bIlIti￿)
48.154
10.o(A)
58.154
48.154
10.0
58,154
Totsl
rumdB
2•24
funds
2•24
2024
At 31 Deeembey 2024:
CwT¢nt a55Ct4(liabilitiu)
70.032
70.032
70,032
70.032
16 Pritsr year *dj￿(Ment
tkning the year, the charity iden¢ifKd Ihat online tickd irtome Telaiing to the 2024 Caml Concert had
been received in 2024 bui had t*en in¢orrect]y treated ￿ accnKd income at JI De¢emb¢r 2024. As a
resuli both debt￿ and income for the year eThJ¢d 31 tk¢¢mber 2024 weff overstate4J by £16.835. This
balance been reversed in the current yeaT. With a corre5tKxMlin8 *aj￿8￿)ent recognis&l in the
Sthiemenl of Financial A¢uvities. The &ljuslrneni reduces the opening fund balance for 2025, but does
not affect the cbarity's underlying totsi resourc4 w the wrec¢1￿ relaks solely io timing and
¢lassificali(m.
17 Related PaTty tr*n4•¢¢w)
There were disclos)ble ￿lats1 party lr8nsacii￿￿ duri￿ ytar (2024. rtone).
18 ONts¢*ndlDg GMirx*tees Given by the lTh*tity
Thwe w¢re no gwantees given by the ch¥ity durin8 year.
19 ￿￿t3¢%￿dI4 t￿1
There is Th) 0￿￿t￿ling delA * the end of the ye4r which is si4)jeet lo a charge on the Charity5 &wts.
15-