dlted Flllanclal StaterneDts fo
theye
2024
CCW Lirnityj
2951297 Church Street
Blackpool
FYI 3PJ

¢od¢Dt
ommunit Advocae
Network
for the Yt*r Ended 31 Mareb 2
Bap•rt ofthe Trurte
1 tr) 3
Bal￿¢¢ Skeet
6 to 7
8 to 13
l4 tr1 15

IDde
endent Commllni
North
Advocac
Network
ort of the Tru
for the Year Ended 31 Mareh 2024
The tTUStCC5 who arc &150 directors of the charity (or the purposes of the Companie¥ Act 2006, present their rq￿rt with the
rinancial ststements of the Charity for thc year endcd 31 March2024. The trustec5 havc adoplrd the provisions of
Accounting and Reportin8 by Charities.. Statement of Recommended Praetiee applicable to charitics prcparin8 thcir
accounts in ￿cOrdance with the Finaneihl Reportin8 Standard applicable in the UK and Republic of Ireland (FRS 102)
{¢ff¢etiv¢ l January 2019).
OBJECTIVES AND ACTIVITIES
ObJectlves And Alm8
The key objective and aims of the CIO are tr) relieve persons who have learning diffjculties, men￿1 health problems,
physical di5abiliiics, visual or sensory impairn)ent or who may be in need of reliefby reasons of their age, youth or social or
economi¢ circumstances by thc provision of 4n ¢ffectsv¢ advo¢8¢y s¢fvL¢¢ primarily I￿t not cxclusively, in Lartcashire and
thc surrounding
Throughout the p¢riod the CIO continued to deliver existing projects through p&id staff, volunteers and student8, while
seeking new opportunilses through partnership worknng. The lon8er-term objective corttinued to be to extend ex(ernal
clicnl advwacy 5ervi¢¢s, to explore And secure new Amding opwrtuniiies while seeking ￿rther fijnding from ¢urrent
stakeholders to enable the CIO to continut the c5tsblished work it has b¢eome known for while dcvclopin8 new iniuatives
in line with And appropriate to the owerall airns.
SI¥Dltlcani Aetlvltl
The tnL5tee5, in p&met7hip with the Chief Executive Officer develop and implement ihe srr8tegi¢ business plBn &nd
deierniine. monitor review the general polici¢s of the organi8tt1ion. A schernc of delegation 18 in place ￿ clarify and
support dccision making re8pon$ibili¢ies.
Board rneelings take place bi-monthly and are arrnng¢d to accommodate maximum atteTraance of trustees includin8 flexible
dates. times and virtual or in person attcnd•nce. Benveen meetings. decision making and ratification of documcntg is
Tried out by emailing trustees for feedb&ck.
The day-to-dRy operational a¢tivity of the CIO is devolved to the Chief Executive orri¢er who is responsible for recruitment
of sthff and volunteers to drliver projects. The organisation offers work placement opportUnLties to health and sociHI care
and medical university $ttLd¢TLLs who assi¥t in ¢he operational activiry.
Pastoral and clerical functions are ctirried out by senior mcmber of staff. responsible for employed And voluntrer advoc&ies
and students and an administraior. The full team undergo induction. training and development opporninities which are
i(kntified through one ￿ one meetings And clinical supervision.
FINANCL41, RF.VIF.W
PrEncip81 funding $our¢es
Our principal source of income is from fund5 5ccured thTOU8h applications to trusts and foundations. The provision of
student doctor and social worker placements for universities brings some additional revenue.
Reservey policy
It 15 ihe policy of the CIO to maintain suffici¢nt fvnds to cover manag¢m¢ni and admini$traiion costs for be￿e¢n three ond
six months. At th¢ year end, more than five months were Teserved.
STRUCTURE, GOTrTRNANCE AND iVIANAGEMENT
Governing doeumeDt
The charity is con¢rolled by its governing document. a deed of trust, and constitutes a limi￿ ¢ornpany, limited by
gurntee. &% defined by the Companies Act 2(K)6.
Page I

Inde
endeDt Comm¥ni
AdvocAcv Network
ort of the Tru51
for tb¢ Ytar Effjd¢d 31 MArth 2024
The ¢¢)ft5titution of the organisation was amertded and Si￿ed by t[￿tC¢S on 22 April 2022 and WR5 Submit￿1 to the Charity
Commission with a request for o ¢h8ng¢ ID ftom a Gh4rity to Ch8rilabl¢ IncoTPOTated OrganL5ation ICIOI.
wlication was succcssful. and th¢ new constitution WB5 adopted on 31 August 2022.
Retntltmeni and appoilltmetst of Dew trustees
OUT In￿￿eS are T2CrtLiied from th¢ wider ¢omrnuniti¢s Tcfl¢¢t the divmity of the localities ih&t ICANN geTve5.
liecruitmen¢ of tyu5tecs llr¢ targeted to reflect identifjcd skills nccded to cr￿ure th¢ Ixxrd ¢4n demortstraie cxpenisc in th¢
VQriOU5 talents Identified throllgh skills Audil protesses. Where po8siblt the trustecs consider thllt th¢ ski118 aftd
experience of thc Board should comprise of include individuals with onc or mOTe of the following back8rounds'.
- Legal
. FinanciaVAccDuntLn8 Back￿oll￿d
Safeguarding
Su$tyinÈbility
- Educatsorbryrnirun8 Experience
- Volunthry Sector ExpcricrKr
- Senior Managerial or Busin¢s5 Exp¢rien
- Experiertce of equal opportuThitie8 ordiyability n¢¢ds
Ioductlon ATrd tr•lDlni ofn¢w tr￿1
Induciion and aw&r¢nes5 trainin8 is offeTed ￿ tsustees on appointment to ll5515t tkm to b¢Gomr f82niliar with thcir rolc5
to provide them with the knowledge they need to moke 8 POSltive contribution to the 5tratCgiC TnRrta8ement of the
oryAnlAtion.
Rlik mxn4ement
The trustees are responsible for over%e¢ing risk faced by the i)Tgani$8don. tk*il¢d *ttentioft of risk is d¢l¢g•tcd ID th¢
Head of Servic¢s. Ri5k5 are idenuficd. 855essed and mitig&tcd thTough¢Jut th¢ yBAr aTrJ a fornal review 1$ und¢rt4ken
OMU411y. Identified categories of ri¥k are..
- fjov¢rnan¢¢
- Operaiional
Financial
Environm¢Dtal Or External Facior5
Compliance (Law and Rcgulaiionl
Tlwough the risk m##4¢m¢ni pmceM¢5 ¢s￿blished by thc CIO, rhe tNstre8 are 8sti$fied that the major risks identified have
been ddequatcly mi128aied but reCo￿lse that Lt is only pos8ible t¢ Provide reasonAble, but not 8b$olute ll68w￿Ce th&t all
major risks have been adequately martage
REFERENCE AND AD￿1￿lS￿ATtVE DETAILS
Registered CompADy ntlmber
CE0301 13 (Eft8lxthd #nd Walcsl
ReBlsttred Charlty humber
1200225
Pag¢ 2

dent C
mmutti
ttwork
North
Rt
rt of the Tru¥te¢i
for the Year ETKled 31 March 2024
Howick HIxLse
Howi¢k Park Avenue
Penwortham
Preswn
La￿a$hire
PRi OLS
Trn￿¢
Ms S Pa*1
Mrs P Hill c￿11 (¢urTMttiy on ie&ve du¢ lo illnes8)
S C&Yy (rEsiBrxd 30.324)
Mr5 P A Sowden (appointed 6.7.23) (rrlignol 30.11.23)
Mrs A D wh￿￿Y (•ppoint•l 6.723)
Mr T M Smith (appointed 6.7.231
Pth M A Smith (appointed 6.723) (￿tin8 chair)
IDdepood•Dt ExAmkn•r
Pfyul iltsnm FCA
CCW Lirnited
295r297 Church Stre¢t
B1Rckp￿l
FYI 3PJ
AA)roved by onlerof th¢ Imrd oftsij1￿I on... ....
8ip*d ￿ ity b•FAlf by:
MrsMASmith-
Pa8¢ 3

ende
Inde
ndent
North
tTthpeMdent exAmln¢r's r¢port to ¢IL¢ tn￿le￿ of Tnd¢peDd¢nt Advo(gty Nemrk North Ut•Rn) I'tbt
Comp*xyry
I r¢port to the clmrity trustees on my exkniits&tion of the ￿0￿1￿ of thecompmy for thryc￿ ewjed 31 March 2024.
Responslbilitits and baois of report
As thc charity's tr￿ttes of the Compony {attd also its dire¢rorn for th¢ purposes of wmpary lawl you ￿¢ responsible for the
preparatioth of tk wccounts in aCcOr￿e wÉth the rrquiremtnts of the Cornpgnies A¢¢ 2006 {'the 2￿6 Act.).
Having satisfied myself that the accoun￿ of the Company arc nol TCqUiTrd w bc a￿lIted under Part l6 of ihc 2006 A¢t Ortd
arc ¢ligibb¢ for indepmdent exirnin8lian. l ￿pOrt in Tf5PCft of my examination of your chariW$ Kcounts &8 carried out
nder Section 145 of thc Charities Act 2Ql l ('the 2011 Act). In my examination I hav¢ followed thr Dire¢iionJ
given by the Charity Commission urk4er Section 14515) (b) of the 2011 A¢L
lodeptDd¢nt ex•mlneVi $t*tement
I have ¢omplctcd my examination. I coftfirni that no matten have come to my attefttiLin in ¢OM¢¢ii¢m with the ¢xarnhn4DoTh
6ivin8 me cause to b¢liw¢:
¢counting Tecords were not kept irt ffespe¢tof ComP￿Y as required by Se¢tion 386 of 2CQ6 Ac¢ or
the accounts do ￿Cord with tlwjse recor&8: Dr
the •¢Gowits do tLOt comply with the xcounting of Se¢tiort 396 of the 2006 Aci other than any
U1￿Ment that thc accounts giv¢ a true and fair view which li th matter coMsid¢r&l gs part of an indrwthni
examittAiion' or
the aecow)ty have noi be¢n pTEps￿d Én •C¢Ord￿rg with trK ard principlcs of the Statrmenl of
Recomm￿ Prnc¢ic¢ for ￿COUntIng and TfpoTling by charitim (appli¢able to ehorities preparing their accolm￿ in
¥¢othn¢¢ with th¢ FinllTKial ReFOrting Stknderd appli¢tibl¢ in the UK ard R¢public of IrelAnd (FRS 102)).
I bave no con¢¢mi httvc come aCTD89 no othcr mattcn in coThKction with the ¢umin•iion to which itt¢nuon 9hO￿ld be
drawn in thi5 rem inordeT to enable a prop¢r underywxiin8 ofthe accounts kn b¢ rrarhrd.
ul iion¥ort FCA
The Instityt¢ of ch￿￿[￿j A¢¢ountsnts in Ensland aftd Wit
CCW Limited
Chartered Ac¢ount•nts
2951297 CILurch Street
Bl4¢kpool
LAneathire
FYI 3PJ
DA¢e'.
Page 4

end ni Comrnunlt Advo
North
Staternent of Flttanclal Activitieg
r the Year Ended 31
024
Peri
31.8.22
YearETthd
31.3.24
Total
fvnds
31.313
Total
fithds
uT￿¢stri¢t¢d
nds
Restricted
nds
Notes
INCOME AND ENDOWMENTS FROM
Dot)*¢ion8 and legacies
2.964
3.128
Ch*Tltsbie *ctfvltl
Chtiritablc
30.022
166,902
196.924
324 ?l6
Total
166 902
199 888
EXPFNDITURK ON
Cbgrliable *ttlvldei
Charitsbl¢
329 473
193 536
NET tNCOMFJ(EXPENDITURK)
(45,078)
(84,507)
1129J85)
133,808
RECONCLLIATION OF FUNDS
Total brought forW￿d
24J,900
132.923
376.823
243,OlS
TOTAL FLfNDS CARIUED FORWAR
l98 822
247,238
376 823
For o breakdovrn of tiinds ¢arried forward sec note I l on page 9
Thc Thorcs form p3rt of these flnancial statcments
Page 5

Inde
endent Cornmunlt Advotac
North
cann
NetY40rk
alance SI￿
31 Mireb 2024
31J24
Totsj
3lJ.23
TDthI
Uftrestri¢red
Restricted
Notc5
FIXED ASSETS
T2ngtble assets
1,605
I.605
2,(K16
CURRELYT ASSETS
DebtOTS
Cash at bank and in haftd
800
8(Q
248 256
l.784
375 783
21)0,641
48.415
249,056
377,567
CREDITORS
Amounts fallin8 du¢ within one y¢
,423)
(3.4231
P.750)
NET CURRENT ASSETS
197218
374817
TOTAL ASSETS LESS CURRENT
198.823
48.415
247,238
376,823
NET ASSETS
198 823
?47 238
376 823
FUNDS
Unrestric*d
Restsi¢*d funds
198,823
243.9
132 923
TOT.IL FUNDS
247 238
376 823
The charitable compftny 15 en(irled 10 exemption from Audit under Seciion 477 of Ihe Cornpanics Act 2006 for the year
ended 31 Marth 2024.
The mernbc￿ have noi required the company w obrain an audir of its finBncial 5tatemcnts for th¢ yur ¢nded 31 March 2024
in accordance with S¢¢tioft 476 of th¢ Compthits Act 2C¥)6.
The ttustces 8cknowlcdge their responsibilities for
la)
¢n$uting that Ihc chllritable cornp&ny keep5 ACCOUThting Teeords that comply with Seciion5 386 and 387 of the
Companies Aci 2006 and
pry&ring financial statcments which 8ive a true and fair view of the sta* of affairs of the charitablc GOTllpAlly 2$ at
the end of each finanGial y¢#F OF its surplus or deficit for cach financial year in oecordance with the
requir¢rncn15 of Sections 394 and 395 and which otherwise comply with the requirements af the Companie5 Act
2006 relaiin8 lo Financial SEai¢mertts, so f2r as applJ¢able to the ¢hariubl¢ ¢OTnpany.
Ibl
The no*s fomi p4rt of thes¢ financial sta￿￿en[S
Pige 6
ODtinued...

nde
ndeDt Commthnitv Adv￿#
Network
MZJM A sm1th-Acti￿ Ch

Ind¢
Communit Adyoc
rth
ote5 tv the F.
tstementS
he Year Ended 31 March 2024
An
AccouNfll¥G POLICIFS
BASIS of prepArln¥ the Iln*n¢hl stiterntntS
Thc finmcial $taterncnls of Ihc ohBfttable company, which is a public benefit entity und¢r FRS 102, have bttD
prepared in a¢cord4nc¢ with thc Chanties SORP IFRS 1021 'A¢counting and Reporting by Charitie5'. Ststcment of
Recommended PTaetice applicable to ¢hAriiies pwaring their accounts in accordance with the Fifiancial Reporting
Standard 4)plicable in the UK 2nd Republic of IrelAnd IFRS 102) {tffcctLVC l Janu&ry 2019),, Fin&nci&l Reporting
Stsndard 102 Yhe Findncilll Rcporting StandNrd 4ppli¢abl¢ in the UK Republic of Irelllnd, And thc Companics
Aci 2006. The financial statements have bttn prepared under the historical cost conventsoll.
In¢om¢
All income is recognLsed in the Si&ternent of FinAncial A¢tivities once the chority has ¢nudcmeni to the funds, Lt 15
prob8ble that the income will be received gnd the amount can br rn¢asured reliably.
Expendlture
Li4biliues STe recognised Is ¢xpenditur¢ 2s soon as there 15 a legal or conatruclive ob15gation wmmitting the ¢hwity
10 that cKpenitiMrc. it is probable that a tran3f¢r of economic bencflts will br Trquired in ￿ttlement And the amount
of the obligation can bt ￿￿&8ured reliably. ExpendiDJre 1$ 8c¢ounted for on In 4rGruals b&sis and been classificd
under headin8s thai ￿Te8￿te ail COBt related to the catt80ry. Where costs cannot bc directly attributed to particulor
headin89 they have b¢¢n all¢¢Nted LO activitie5 on a ba5i$ COnSi$tent with the use of Tcsour¢e$.
offered subjcct to Conditio￿ which hav¢ not been met at the yCAr ctyd date are notcd as a ￿mMIt[ne￿( but no¢
a¢¢rud a9 ex￿ndItUr¢.
TIn￿ble fixed gmets
Depreciation is PTovided at the following annual rntes in order ￿ write off each ll5Set over its estim&tcd usefvl life.
FiX￿re& and fithin85
200/0 on reducing ￿lanc¢
T*x¥tlon
Thc ¢harity i¥ ¢xempt from corporation tax or its charitable aeliviiies.
Fund Arcountlng
Unr¢sincied fiJrtd$ be used in a¢¢ordance wilh Ihe chariiablc objectives ¥Lt the di¥¢reuon of Ihe IDL%ICCS.
Rcslri¢tcd ￿ndS can only bc u5cd for pNrticular restiicted purposes Wlrhift the objects of the ¢hxrity. R¢5tTiciions
arise when specified by the donor or when ￿ndS Brc ftised for p8rtiCLKlar restrictrd purpoxs.
Further explanation of the naNre and purpose of tlleh fund IS Lncluded in the notes to the financi￿ $14tements.
P¢nsloll ¢OSti #nd oiher posr-retir¢ment b¢Defitg
Thc charitable company operate5 a defined conrribuiion pen%iort scheme. Coniributions payable to the chariiable
¢ompany's pension scheme are Charged 10 thc 5taiemenL of FinanGial A¢itvit1¢5 in thc period to which they relate.
Pagt 8
continued...

Indt
eshd¢n
munl
AdvocY4
tes to the Finan¢ial Stittrnertts-
onthi
ea
ded 31 Trlarch 2024
NET ￿¥coM￿(ExEE￿DllTVRE1
in¢0T￿lI¢Xpendltyre) jB after chargingl{¢reditin8}:
Period
Jl.8.22
to
31.323
Year Endcd
31.324
DepTeciation- ownvA Lssets
401
265
TRUSTEES, REMUNERATION AND BENEFrrs
Th¢r¢ wer¢ no trLWW' remunerntion or other benefits for th¢ yew endd 31 March 2024 nor for the wiod ended
31 March 2023.
Trnitttg, •xpeAs•i
Th¢rr were no truitees, expeniu piid for the ywended 31 MRTch 2024 nor for the pcriod ended 31 M4r¢h 2023.
srAFF COSTS
The av¢rn8¢ Monthly number of employees duTing the Ye￿ w49 28 follows..
Pcriod
31.8.22
Year Ended
31.324
31.3.23
TnJstee5
5&ff
Is
12
20
18
No employees re¢¢iv¢d ¢molum¢nts in excess of £60,000.
COhlPAL4TIVE$ FOR THE STATE￿NT OF FINAflCIAL ACTIVLTtEs
Unrestrictrd
Restricted
funds
Totsl
INCOME AND ENDOWMENTS FROM
Donations and leRaCjCS
3,128
3.128
Cb¥rit8ble *¢ilvltles
Chariisble
309,898
324.216
Totxl
327.344
EXPENDITURE or4
Page 9
continued...

Inde
en
mmuni
North
Ic*n
o the Finan¢ial
txtement5- EOlltAnued
h I'eir Ended 31 ￿l￿r¢b 2024
coTrtPARATIVES FOR THE STATEMEPIT OF TrINANCLIL ACTIVITIES. ¢onthiued
Unrestricted
fijnds
R¢5triclcd
TotAI
Cb8ritabk actiwlti*•
Clwithble
169
193 536
NET INCOMEI(EXPENDITURE)
Trwf¢rg b¢iwttn fun
(6,836)
140,6H
74.09J}
133.808
N¢¢ mov•mellt In fun
67.257
66,55l
I33,808
RECONCILIATION OF FU14DS
Total fjJnd$ broughi fo￿ard
176,643
66,372
243.015
TOTAL FUNDS CARRIED FORWAR
132 923
376,823
TANGIBLE FIXED ASSETS
Fixtur¢s
fittiny
COST
A¢ l Apitl 2023 and 31 Ma￿h 2024
DEPRECIATION
At l April 2023
Charge for year
2,731
401
Ai 31 March 2024
NET BOOK VALUE
At 31 March 2024
At 31 March 2023
PaEe 10
continued..

Illd
eudent Communi
,*4orth
Adv
l¢ann
Notes to the Statements- eoBt'
f r the Ye8r Ended 31
#rch 2
24
DEBTORS: AMOUNTS FALLING DUE wrritlN ONE YEAR
31.3.24
31.323
Tradt debtOT5
Other debtors
Prepa>rynents
360
624
8(M)
800
81X)
CREDITORS: AMOUNTS FALLING DUE ￿THIN ONE YEAR
31.324
31.3.23
Trade ¢￿dItorS
Accrued ¢xpenses
2.533
688
945
MOVEMENT JN FiINDS
Trllmf¢Ts
movemeftt
in fuadB
At
31.3.24
At 1.4.23
funth
UDrntrlrted
G¢n¢rai fund
D¢¥i¥n4¢d Lkw¢iopnMt Fund
168,900
145,077)
123.823
243.900
(45.077)
198,823
R¢itrk¢ed funds
Big Lottery Fund
Financial Lnclu5Lon
45,458
{24,9951
7.867
118,9801
(26,9911
(24,2651
20,463
7.867
7,198
RCP
LCC Forn Fillin8
LCC B¢n¢fit5
Cornmunity orpnis￿lon
26,178
23,683
3S,604
1,30
11,3081
I￿,031
132923
84.$081
48,415
TOTAL FUNDS
376 823
1129.5851
247 238
Pag¢ 11
coniinucd..

Ind¢ tttdetst Ctsmmunitv Advo¢a¢
rih
ItanD
Ne
Notts to tbe Finauclal Stwtem ts1s- ¢OlIt&Aued
e YeAr Ended 31 Mareh 2
MOVEMKNT IN FUNDS- eontiAUtd
Net nK>vemen¢ in Inc1￿￿ed in the &bovc are as follows..
Ineorning
resource5
Resourccs
expended
Movrm¢nr
in funds
Unrtitrktod fiwd•
Gcncrnl fuDd
32.986
{78,0631
(45,077)
Rutrkted fond•
Big Lottery Fund
FIn￿ClI1 Lnclusion
8A902
10,&x)
(I I1,897}
(2,133)
{18.980)
126,991)
(24,265)
(24.995)
7.867
(18,980)
(26,991)
(24265)
Rcp
LCC Fomi Fillin
LCC Benefits
Community Orynisation
251.410
84.508)
TOTAL FUNDS
199888
329 473)
129 585)
com￿rI￿V￿ for movement lrt
Net
movernent
in fi￿dI
TTrllsfets
between
Ai
31.8.22
A¢
3l.323
Unruirl¢i¢d funds
Gcncrdl fund
Dcsign8*d Dcvelopmcnt Fu￿￿
176.643
16,8361
1907)
75,000
168.900
75,000
176,64J
(6,836}
74.093
243,900
trkted funds
Big Lott¢ry Fund
FIn￿￿tal Inclusion
Rcp
PCCBF
HaSsall
LCC Forni Fillirtg
LCC Benefits
Community Champion5
26,706
4.166
27,650
4.350
3,500
18,752
12.9341
(I,4721
{L,913)
13.652)
59,058
72,896
9L}
45,458
{I,2321
26,178
12,437)
152
{33,3751
137,292)
91
25,683
35.604
140.644
1329?3
TOTAL FUPIDS
243.015
133,808
376 823
Page l2
conDnu¢d..

Inde
mmuni
rtb
Adv
etwork
io the FiDanciai StaÈements- cotttitiutd
¢ Year Ended 31 iM#rth 2024
Compardtive nct movement in funds. inGlud¢d in thc above ose u follow
Incoming
resouT¢es
Rc50ur¢¢s
expeThded
Mov¢TD¢nt
Unre5trlcttd fun
Genernl fund
17.446
124.262)
16.836)
Rutrltt*d T￿nd*
Big Lott¢ry Fund
FinanGial Inclu$iort
RCP
PCCBF
Halsall
LCC Forni Fillins
LCC Benefits
Community Chwnpion
74.098
155.346)
(2,934)
(67,272)
(1,913)
(3,6521
110,942}
127,104)
911
l8.752
(2.934)
(1,472)
(I,913)
(3.652)
59.058
72,896
911
65.800
70.000
loo.￿)0
309 898
169,234
TOTAL FUNDS
193 5361
133808
io.
RELATED PARTY DISCLOSURES
There WEre no pty tron8•ction8 for the yEAr etsjed 31 March 2024.
P88e 13

Inde
eDdtnt Cornmuni
Nortb
Ad
etwork
cxnh
etalled
tsttlll¢At of FlnanclAI Activitles
r the Year Ended 31 imarrh 2024
Period
31.822
Year Ended
31.3.24
31.323
INCOME AND END0￿￿￿Ts
Donadom legaci
DonAtions
2.964
3,128
Charitable ltlivitl
162,426
315,638
Trninin8 income
196 924
324216
Tothl rewMr¢
199.888
327.344
Chxrlt8bk •¢dvl¢lei
Wlgeg
Social security
PeA8ion8
Insurance
Telephone
Postège and st•¢ion¢ry
Adv¢Ttising
SurJdrie5
Travel costs
Ren(
Professional fees
M4n&gctncnt rhRT8eg
R¢pwrs and
Computer 2nd 90tiwBff ¢xpen8e
Trnining ¢o$ts
Fixttwes and fittings
Grants to InSti￿￿OnS
243,781
13.555
5,62B
1,228
3.574
2,281
5,160
671
9,405
17,356
3.324
119.160
7.919
2,459
2,520
I,317
1,497
175
3.934
8,161
2.166
1,130
235
6Jl2
1.154
265
2.148
5,942
7.345
40I
327,812
192,126
Support tosti
Govtrnan¢e ¢o$tJ
ACCOUn￿ncY artd l¢¥al f¢es
1.661
1.410
Thi5 page does not forn part of the staNtory financial Statements
P￿¢ 14

Inde endeDt Co
VOCACV Network
No
l¢*
aiemeTtt of FlnaDclal Actlvltl¢s
for the Ye*r Endrd 31 March 2024
Period
31.822
31.324
31.323
329.473
193 536
129.5851
133 808
This p&ge th)e5 not fom portof the SI&￿tory finnncial ¥tatemeTLts
Pw15