REGISTERED CHARITY NUMBER: 1197259
REPORT OF THE TRUSTEES AND
FINANCIAL STATEMENTS FOR THE YEAR ENDED 1ST SEPTEIWIBER 2024
FOR
CURRY ON THE STREET
Ainsworths Litnited
Chartered Accountants
Charter House
Stansfield Street
Ne15011
Lanca5hire
BB9 9XY

CLWiY ON THE STREET
CONTELYTS or THE FINI ANCIAL STATL.N1EN'rs
FOR THE YEAR ENDED 1ST SLPTEfwlBER 2024
Page
Report of the T]ustees
I to4
Independeni Examiner's Report to the MembeTg of
Cuny on the Street
Siaremeni of Financial Activities
Balance Sheet
Notes 10 the Financial Staternents
8 to 12

CURRY ON THE STREET
REPORT OF THE TRUSTEES
voK"rHE YEAR kliDED 1ST SEPTEMBER 2024
FINANCIAL STATEMETr4TS AND TRUSTEES, REPORI.
The irusiees present their annual ieport and unaudited flliancial statements of the charity for the year ended I, September
2024.
The financial siatements comply with the Charities Act 2011 and Reporting by Charittes. Statement of Recommended
Practice applicable to charitie5 preparing their accounts in a¢cordan¢e with the Financial Reporting Stat]dard applicable
in the United Kingdom and Republic of Ireland (FRS 102) (effective 151 January 20151- Iciwities SORP IFRS 1021).
REFERE)L CE AND ADMINISTRATIVE DETAILS
Registered Charity number
1197259
Registered offlee
24 Clifford Street
Barnoldswick
BB18 6AG
Trllstees and key management
JFOY
G Whiteoak
J Whiteoak (resigned 21° December 2023)
S Martin
T Harmson
M Afraz
K Monk {appointed during the year}
Independent Examiner
M Sunter FCA
Ainsworths Limited
Chartered Accountants
Charter House
Siansfield Street
Nelson
Lancashire
BB9 9XY
Bankers
Santander
3 Church Street
Colne
BB8 OEB
Page I

CURRY ON THE STREET
REPORT OF THF. TRUSTEES ICONTINUEDI
FOR TFIE YEAR ENDED 1ST SEPTEIWIBER 2024
STRUCTURE, GOI'ERNANCE ATr4D fwIANAGEMENT
Organisational status
Curry on the Street wa% registered as a charity on 21, December 2021 under the provisions of the Charities Act (Charity
number.. 1197259) and is governed by a Irusi deed.
Organisational structure
The Board currently consists of the trnstees and is responsible for key policy decisions and the effective governance of
the organisation overall. The trustees take care of the day to day rL￿￿l￿g and legal requirements of the charity alld the
Board meets on a regular basis.
Reerultment and appointment of tLeTrY trllstee5
Trustees are appointed lo reflect the skills required to.%upport the Board and its range of activities. The tru.%tees themselves
appoint new trustees to the Board and provide appointees with a full orientation on ihe services provided, the deci%ion-
making processes of the charity and the roles and responsibilities of a tn￿tee, including their legal obligations under
applicable laws.
Risk ￿anagement
The trustees have examined the major strategic, bu.8iness and operational risks which the charity faces and ¢onfinn that
systetns have been established to ensure that regular repons are produced and that necessary steps can be taken to address
any issues arisEn8.
ORIECTIVES AND ACTIVITIES
Th¢ principal activities of the charity are to relieve poverty. promote good nutrition and reduce social isolation amongst
those in our conununity who are suffering social, economi¢al or emotional distress by the provision of emergency food
parcels (refe￿al proce5s}, wann clothing and by serving nutritious curry and rice weekly in the town Centre of Nelson and
inside premises in Burnley and Colne, Lancashire.
Public benefit
In setting out the clwity's objectives and planning of activities the trustees have gEven careful consideration to the Charity
Conunission's general guidance and section 1715) of the Charities Act 2011. The trustees are confident that the charity
offers services of real and practical use to the local population and therefore complies with the responsibklity placed on
all charities under the Charities Aet 2011 to demonsirate a public benefit.
ACHIEVEftriENTS AND PERFORMANCE
This past twelve months, Curry On The Street have been inundated with individuals and fa]nilies needing help, support
and advice. referrals are coming in fast frorn social services. hospitals, the Job Centre, and the YES Hub to name a few.
We are always helping where we ¢an with food parcels, hot food, clothe5, coats, sleeping bags. furniture and tents. On a
regularly weekly basis, we see around 300 service users coming to our centre and also through our outreach work.
We help to get people in rehab fordjug and alcohol addiction, and also support people to be rehomed where possible. We
follow their progress through.
We continue to work with Pendle Council with the Household Support Fund. Businesse8 and organisations continue to
support our charity, as do individuals and some schools. We are part of the safe, warn) spaces initiative.
We signposi where necessary and have close links with the relevant organisations to provide the appropriate support.
We have a social media page, including Facebook and Instagram, and a live website Iwww.curryonthestreet.co.uk)-
We feed ¢hildren all thn)ughout the holidays. providing breakfast and lunch, and coniinue to feed all children for free, as
well as the homeless and people who are in financial difficulty.
Page 2

CURRY ON THE STREET
REPORT OF THE TRUSTEES (CONTINUED)
FOR THE YEAH ENDED 1ST SEPTEMBER 2024
ACIIIEIIEMENTS ￿5'D PERFORI.IANCE {COLYTI) UED)
We Iiave given out hundreds of Coals. blankets, sleepsng bags, e￿. We have also furnished houses for families who have
nothing. We give out free sanitary protection and toiletries when we are able.
We have been to primary and secondary schools infomiing the classes of what we do. the children get involved and ask
questions with a keen interest.
We also offer courses for adults from Lancashire Adult Learning.
We continue to welcome yOungs￿rS who come to us undertaking their Duk¢ of Edinburgh Award, or through the Prince's
Trusi.
We hosted & big Christmas dinner celebration in 2023 and are doing the &qme in 2024. This will be held on
23rd December.
Future plans
The next 12 monthb., we will continue to try and source pla¢es where our homeless can shelter. We will work on reducing
social isolation further, by opening for more hours and starting more communiry groups.
We are a diverse centre and are proud of this. We wani to work more and more in diversiry and with asylum seekers.
rethgees, etc.
We also offer COLwse5 for adults from Lancashire Adult Leaming, and will continue doing ihis for the foreseeable fuwre.
FINANCIAL REVIEW
The attached statement of financial activities shows how funds were raised and applied during the year.
This statement separates funds which the charity controls itself (unrestricted funds) from those thai have to be spent in a
manner detemiined by the donor (restricted funds).
During the year ellded I, September 2024 incoming resources amounted to £95,904 while iesources expended atnounted
to £54,919. The net result for the year was a surplus of £40.985 which wab an increase on the surplus returned for the
previous year.
The trustees consider the r¢sults for the year to be satisfactory.
Reserves poliey
It 18 the policy of the chariry to maintain unrestricted funds. which are free reserves of the charity, at levels which equate
to an excess of it.% projected needs for the forthcoming year, thereby pioviding sufficient funds to cover management,
administration and support cosis and enable the ongoing development of projects. The trustees believe the net asset
position is sufficitnt to satisfy such requirements although these levels of free reserves are reviewed on a regular basis.
Page 3

CURRY ON THE STREET
REPORT OF THF. TRUSTF.ES (CONTI)UED)
FOR THE YF.AR EIYI)ED 1ST sEPTE￿[BER 2024
Risk a55e55ment
The trustee8 review the major risks faced by the Charity during their regular meetings and confimi there are systems in
place to mitigate them. Internal risk8 are minimised by the segregation of duties and procedure8 for authorisaiion of all
trgnsa¢tions.
Acknowledgements
The irnslees would like to express thanks to all the charity's employees and volunteers.
STATELTrIEL¥T OF TRUSTEEES, RESPONSIBILITIES
Under charity law. Ihe trUS￿eS are iesponssble for preparing the Report of the T￿SteeS and the financial statements for
each financial year which show a true and fair view of the stale of affairs of the charity and of the excess of income over
expenditure for that period.
In preparing these fmancial statements, generally accepted accounting practice entails that the trustees..
select suitable accounting policies and ihen apply them consistently,.
make judgements and e.%timate8 that are reasonable and prudent.,
state whether the recommendations of the Statement of Recommended Practice have been followed. subject to
any material departures disclosed and explained in the financial statements,.
state whether the fil￿ncIal statements comply with Ihe irnst deed, subject to any material departures di￿108ed
and explained in the fu￿ncial $tatetnents,' and
prepare the fu￿ncial statements on the going eoncern basis unless it is inappropriate to presume ihat the charity
will continue its activities.
The trustees are required lo act in accordance wilh the trust deed of the charity, within the framework of tNst law. They
are responsible for keeping proper accouniing records, sufficient to disclose at any time. with reasonable accuracy, the
F￿ancIal position of the charity at that time, and to enable them to ensure that, where any statements of accounts are
prepared by them under the Charities Act 2011 and Ihe appli¢able Charity (Accounts and Reports) Regulations, those
stalejnenis of accounts comply with the requirements of regulations under those provisions. The trustees also have a
general re5ponsibilily for taking such steps as are reasonably open io them to safeguard the assers of ihe Charity and to
prevent and detect fraud and other irregularities.
The trnstees are responsible for the maintenance and integrity of the charity and fmancial infomiation included on the
charity's website.
Charity require￿entS
This report h&8 been prepared in accordance with requirements set by the Charities SORP (FRS 102).
ON BEHALF OF THE BOARD.
J Foy- Trusiee
Dated.. 17tb January 2025
S Martin - Trnstee
Dated.. 17 January 2025
Page 4

INDEPE)DENT EMMINERS REPORT TO THE I¥IEMBERS OF
CURRY ON THE STREET
I ieport on the accounts of Curry on the Street for the year ended 1° September 20?4, which are set out on pages 6 to
12.
Respective responsibilities of the trustees and examiner
The charity's t￿SteeS are responsible for the preparation of the a¢¢ounts. The charity's trustees consider that an audit is
not required for this year under section 14412) of the Charities Act 2011 (rhe 2011 Act) and that an independent
examinaiion is ne¢ded.
Having sati.%fied that the Charity is not subject to an audit under section 144{21 of the 2011 Act and is eligible for
independent examination, it is my responsibility to..
Examine the accounts L￿der section 145 of the 2011 Act..
To follow the procedures laid down in the general Directions given by the Charity Commission under section
145{5llb) of the 2011 Act. alld
To state whether particular maiters have come io my attention.
Basis of independent examiner's report
My examinaiion was carried out in accordance with the General Directions given by the Charity Commissioner. An
examination includeb a review of the accounting records kept by the clwily and a compatistsn of the ac¢ounts presented
with those recordb.. It also includes con5ideiation of any unusual itetns or disc105ure5 Ln the accounts. and the seeking of
explanations from you a5 trustees conceming any such matters. The procedures undertaken do not provide all the
evidence thai would be required in an audit and. consequently, no opinion 15 given as to whether the a¢counis present a
'trne and fair view, and the ieport is limited to those Matters set out in the statetnent below.
Independent examlner's Statement
In connection with my exalnination, no matter has come to my attention..
Nvhich gives me reasonable cause to believe that, in any material respect, the requirements..
lal 10 keep accounting record8 in accordance with section 130 of the 2011 Act; and
Ib) lo prepare accounts which accord with the accounting records, comply with the accounting
requirements of the 2011 Act have not been mei,. or
To which, in my opinion, aiteniion should be drawn in order to enable a proper understanding of the accounts
to be reached.
Mark Sunier FCA
Ainsworths Limited
Charter House
Stansfield Street
Nelso
Lancashire
BB9 9XY
Daied.. 17, Janua
2025
Page 5

CLRRY ON THE STREET
STATEFwlELYT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 1ST sEPTE￿IBER 2024
Unrestricted
funds
Restricted
lunds
2024
2023
Notes
lÈNCO.MbNG RESOURCES
Donations and grants
Trading operations
22.715
11,859
61?30
84,045
11,859
61.955
Total incoming re$our¢vJ
34.574
61J30
9S.904
61,955
RESOURCES EXPENDED
Charitable activitLeS
54,919
54,919
42.436
Total resources expended
42.436
I¥ET MOVEMENT IN FUI¥DS
34,574
6,411
40,985
19.519
RECONCILIATION OF FUNDS
Total funds brought forward
36.874
697
37.571
18.052
TOTAL FUNDS CARRIED FORWARD
The ststement of f]nancial activities includes all gains and losses recognk5ed in the year.
All income and expenditure derives from continuing activities.
The notes fomi part of these f￿anCIal statements
Page 6

CURRY ON THE STREET
BALANCE SHEET
AT 1ST SEPTENIBEIi 2024
2024
2023
Notes
FIXED ASSETS
Tangible assets
2,113
1,541
2,113
1,541
CURRENT ASSETS
Cash at bank
77.143
36,730
77,143
36,730
CREDITORS
Amounts falling due within one year
NET CURRENT ASSETS
700
700
76,443
36,030
TOTAL ASSETS LESS CURRENT
LIABILITES
78,556
37,571
NET ASSETS
78,556
37,571
FUNDS
Restricted
Unrestricted
7.108
71,448
697
36,874
TOTAL FUNDS
78,S56
37,571
The financial statements were approved by the Btsard of Trustees on 17 January 2025 and were sagned on its behalf by..
JFO
Trustee
S Martin
Trustee
The notes fonn part of these financial staiements
Page 7

CURRY ON THE STREET
NOTES TO THE FINANCIAL STATEIllF.NTS
FOR THE YEAR ENDED 1ST SEPTE￿1BF.R 2024
ACCOUNTI,NG POLICIES
Statutory Infor￿￿tiO
Curry on the Street 18 registered with the Charity Commission in England. The regiS￿red charity number and
address can be found in the Report of the Trusiees on page l.
Basis of preparation
The accounts Ifinalleial statements) have been prepared in accordance with the Statement of Recommended
Practi¢e.' Accounting and Reponing by Charities preparing theit accounts in accordance with the Financial
Reponing Standard applicable in the UK and Republic of Ireland IFRS 1021 and the Financial Reporting Standard
applicable in Ihe United Kingdom and Republic of Ireland IFRS 1021 and the Ch2rities Act 2011 and UK
Generally Accepted Practice.
Consolidation
The chaiity has elected to take exemption from the requirements to prepare consolidated accounts as permitted by
Charities SORP IFRS 102}.
Cash fio
The charity is exetnpt from the requirement to prepare a cash flow statement as ir qualifies as a small entiry.
Ineoming resourees
All incotning Tesources are included on the Statement of Financial Activities when the charity is legally entitled
to the incorne and the amount can be quantified with reasonable accuracy.
Income fFtstn donations, legacies. fundraising and similar incoming resources are Included in the year in which
they are receivable.
Any incotne received for specific purpose is accounted for as restricted funds when receivable.
Resources expended
Expenditure is accounted for on an accruals basis (inclusive of attributable value added tax which cannot be
recovered) a￿d has been classified under the principal categories related to the cost.
Costs allocated to activitie8 in the ￿rt￿erance of the ¢harity'q objects are those directly associaied with achieving
the charity's goal￿. Governance costs are those incurred in connection with the management of the company's
a8sets, organi8ational administration and complian¢e with constitutional and Statutory iequirements. Where c05t5
al￿0t be directly attributed to particular headings they have been allocated tts activities on a basis consistent with
the use of resources.
Fund accounting
Unrestricted fund8 are available for use at the discretion of the In151ee5 in tlie furtherance of the general activities
of the charity. Surplus funds ¢an be allocated to restricted piojects if the tNstees believe they are rquired.
Restricted funds are funds subject to specific restriction imposed by the donors for the puryose of any appeal in
which the funds are raised and can only be used for particulat pL￿}05e within the objects of the charity.
Tangible fixed assets
Depreciatiot) is provided al the following annual rates in order to write off each asset over its estimated u%eful life.
Fixtures and fittings
15 % reducing balance
The notes forn] part of these financial statements
Page 8

CURRY THE STREET
NOTES TO THE FIINANCI.4L STATETrIENI TS (CONTINUED)
FOR THE YEAR ENDED 1ST SEPTEiWIBER 2024
ACCOUNTING POLICIES (CONTINUED...)
Taxation
The ttust 18 a regi%tered charity and is th¢refore exempt frotn liicome Tax and Corporation Tax under the
proiisions of Section 505111 of the Income and Corporation Taxes Act 1988.
L¥ET INCOME AND EXPENDITURE FOR THE YEAR
Net income and expenditure Is stated after charging..
2024
2023
Depreciation
Independent exfimingr 5 remunerution..
Independent examination fee$
Other accountancy services
317
273
300
900
300
900
INCOME FRO￿[ DONATIONS AND GIW4TS
2024
2023
Donatiot]5
22,715
18,822
Gran¢s.'
Pendle Borough Council
Lottery Funding
Lancashire County Council
38,490
20,334
2,500
27,133
10,000
6.000
84,045
61,955
Incorne frorn donations and grants tOlalin8 £61,330 {2023.. £43,133) were restricted.
INCOME FROM TRADING OPERATIONS
2024
2023
Operations of catering activities
11,859
11,859
Income from trading operations totaling £Nil {2023.. £Nil} were restricied.
The notes fonn part of these f￿anCial slatetnents
Page 9

CURRY ON THE STREET
NOTES TO THE FIINANCIAL sTATE￿IENTs ICONTtNUEDI
FOR THE YEAR ENDED 1ST SEPTE￿IBER 2024
STAFF COSTS
2024
2023
Staffcosts..
Gross wages
Social security
Pensionb
5,521
5,521
The avepage numher of employeu duri￿g ihe year were asfollows..
No
No
Charitable services
Management and adrninistration
During ihe year, no employee received remuneration in excess of £60,000
The trustees and key management personal have received neither remuneraiion nor reimbursement of expenses
during the period.
RESOURCES EXPENDED
2024
2023
Vouchers and gifts
Food and consumables
Repairs and renewals
Staff costs
Miscellaneou5 expenses
Postage and stationery
Insurance
Accountancy fees
Training
Motor and travel
Utilities
Depreciation
1.566
24,601
5,973
S.521
691
1,799
241
1.200
77
7,641
5,292
317
20,693
10,189
2.628
490
73
199
1,200
38
6.585
68
273
54,919
42,436
Re￿OUrceS expended totalling £54,919 (2023.. £42.436) were re8tricted
The notes fomi part of these financial sta￿MentS
Page 10

CURRY ON THE STREET
NOTES TO THE FIINANCIAL STATENIENTS (CONTll¥UED)
FOR TIIE YEAR ELNDED 1ST SEPTEVI IBER 2024
TANGIBLE FIXED ASSETS
Fixtures and
ritting5
Total
COST
At 2 Septe￿ber 2023
Additions
Disposals
1,814
889
1,814
889
At 1° September 2024
2,703
2,703
DEPRECIATION
At 2. September 2023
Charge for year
Eliminated on disposal
273
317
273
317
Ai 1st Septetnber 2024
590
590
F4ET BOOK VALUE
At 1st Septe￿ber 2024
2,113
2,113
At 151 September 202J
I,S41
I,S41
CREDITORS: AfvtOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Other creditors
700
700
700
700
The notes fomi part of these financial statements
Page 11

cutIRY ON THE STREET
OTES TO THE FINANCIAL STATETrIENTS ICO)TINUED}
FOH'FHE YLAR ENDED 1ST SEPTEIWIBER 2024
NALYSIS OF NET ASSETS BETMf EN FLryDS
2024
Total
funds
2023
Total
Funds
Unrestricted
funds
Restricted
fund5
Fixed assets
Cutrent assets
Current liabilities
2,113
70.035
1700)
2,113
77,143
17001
1,541
36,730
(7001
7,108
71,448
7,108
78,556
37,571
io.
IOVEfwlENT tN FUNDS
Net
movement i
funds
At 2.9.23
At 1.9.24
Unrestricted funds
General
36,874
34,574
71,448
Restricted funds
General
697
6,411
7.108
TOTAL FU.NDS
37.571
40,985
78,556
Net movemeni in funds, included in the above are as folloms..
Incoming
resources
Resources
Recognised
expended gainsl(los$es}
Movement
in funds
Unrestricted funds
General
34,574
34,574
Restrieted funds
General
61,330
(54.919)
6,411
95,904
(S4,9191
40.985
The notes forni part of these financial statements
Page 12