REGISTERED COMPANY NUMBER,. CE031 IJI (Englalld ftnd Wxle5)
REGIStli RED CHARITY NUMBER: 1201576
REPORT OF THE TRU%TEES AND
UNAUDITEID fi INANCIAL STATEMENTS FOR THE YEAR ENDED 30 JUNE 2025
VOR
MANTECH MAKING A DIFFERENCE
B1￿kthOr￿s
Chartered Ac¢ountants
Adtt)iral House
Waterfront Fast
Brierley Hill
Wesi Midlands
DY5 IXG

MANTECH MAKING A DIFFEREI NCE
cor4TEI NTS OF THE FINAP4CIAL STATEMENTS
r(OR THE AR ENDED 30 JUNE 2025
Phge
Report of the Trllstees
Statement of Fin9nciAI Activilies
Balance Sheet
Notes to the FlnaThei21 StAtements
7 to 10
Detailed Statement of Finaneial Activities

MANTII CH MAKING A DIFFEREI P4CE
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 30 JUNE 2025
Tlie trustees who are also diretylors ofthe charlty for the purposes of thc Companies Act 2006, present the￿ report with thB fin2n¢ial
stsltrn¢nls of th¢ ¢hariLy for the year ended 30 June 2025. The trustees have adopted the provision5 of Accounting and Rewrting by
Charities.. Statement of Recommended Practi¢e applicable to eh2rEties p￿parIng their a¢¢oullts in a¢¢ordance wtth the Financial
Reporting Standard applicable in the UK and Rtpubli¢ of Ireland IFRS 1021 l¢ffective l January 2019).
OBJCI crtVES AiYD AcrivrriES
Obje¢tlv¢s Ind aims
For the piibli¢ ben¢fit, the relief of those in poverty, particularly but not ex¢lusively those who arc hDmel¢ss Dr at risk of
homelessness, by the provision of ¢old weath¢i' items a￿1 sitnil&r fDod e55enlial item4 and by the provision of advice and
sigTrposting.
Significallt activities
The ¢hai'ity ¢aiTies out the following activities in fulfillillg its objectives..
l. Idemtlfy the Equipment Need5 and SupplyitlE OUtie4cb ChArities with e&senti41 food and dr¥nks
Bssential cold-weather gear for the homeless ￿nclUdes..
ClottLing:'fhermal 50clts, gloves, hats, scarvcs, themial underwear. and coats.
Illxnket5 8leEpirtg B&g8: InS￿lat¢d, watcrproof slceping bags &nd fleece blankels.
FootweAI-: Waterproof boots or sturdy winter shoes.
Sljelter Items: Emergen¢y thermal blankets, bivy sack5. or small portable tent&
Personal Items: Hand ￿arMerS, reusable Nvater bottl¢5, #nd rain ponchos.
Supplying Outreach: Chai'ities with essential food alld drinks.
2. fiind ReliAble Supplier5
Bulk Wlinle%ale: Look for wholesalers for example, and agree bulk purchasing and Donations
Existlllg Suppli¢J's: we have collaborated with our exi5titkg supply network in China to source cold weaiher equipment at a
discounted price or make donations free of charge this has generat¢d 95 0/D of curTent sto¢k which we have distributed over 700
e55ential life suppoiting weather tterns over the CDursE of the last year.
3. Fundkng the Supplits
DonxtlOD . Each f5nan¢ial year Mantecli UK Ltd tnakes a donation to support ihe ¢harity additionally money is generated via
pei%onal donatÉons, Tuck shop sales and donated it¢ms sold on vinted.

MA wfECH MAKING A DIFFEREI NCE
REPORT OF THE TRUSTFfi.S
FOR THE YfiAR EP4DLD 30 JUNI 2025
OBJEcfivES AND ACTivrriES
4. Coordinate wlth Helping Hands
UnderstAnd Distributton Needs.. ConJnunic#te with Helping Hands out rcach charity to detemiine th¢ llumber of individuals
served and the best logistics for delivering items.
Stock MADAgement: Work with Helping Hands to track inventory and ensure regul&r supplies dllring the winter and S￿[nmer
months.
5. Engage Volunteers fn)Th Mlntech uk Ltd
Sot'ting Pxtking: Recruit volunteers to sort and pack the cold-weaihEr items into kits.
- Distribution: Organize te&ms to di5trEbute it¢ms dir¢ctJy* Morking alojigside Helping Hands.
Aivareness Campaign5: SpTead the word through social media, flyer5. and local events to encourage mor¢ community
invglvetrtenÈ.
6. Monitor and Folloiv Up
Feedb%Lck Loop: Collect feedba¢k from Helping Hands an(1 humeless individuals to refin¢ th¢ pro8ratn and adjust our support to
have maximum effect to meet the need5 of th¢ most vuln¥rable members of our society .
Public benefit
The trustees have ¢omplied with the duty section 1715) of tbe 2011 Charities Act to have du¢ regard to gukdance published by the
Charity commission in rtspect of publi¢ benefit atid in plgnntng the activities for the yw., have kept this in mit)d.
ACHIEVEMENTS AND PERFORMANC
Charitable fictivities
Wc be¢ame a major supplier of essential life supporting provisions foi. hElping hand5 Outreach charity for example:
Tent￿cOld weather jacket5 J shues1b00t￿ sleeping bags I thermal ¢lothing l underwear I h&ts and gloves I personal hygiene I food
and dritlk.
Helpiug Hands
Why & hoiv it Started..
In 2018. on a Cold Thursday night. Clare and Nick met in the rniddl¢ of Birrnirtgham with a trolley full of Nick's motheqs
homec￿k¢d lasagna, lea and coffee, and supplies donated by frien(ts. Their intention was simple, to provide help aEJd support for
people who were les5 fortunate than them. People who didn'l have hot FO￿ or a bed to sleep in.
Sin¢¢ that niglrt. HHOB {Helping Hands Of Birmtngh8m) has grown to oveT 20 a¢live volunteers who meet Iwice a we¢k sn
Birmingbitm city center. We are easy to swjt, wcaring high viz pitth ja¢ket5, we n￿ke our w&y through the city, reaGhing oul lo those
in need, not jthst providing hot ftjod, toilctries, and clean clothes, but a friendly ¢ar and warm ¢ollvers&tion.
Every peniiy Count5
OIIT W)rk is made possible by the grnerous donations Ihat we receive. We are passiollilte and dedicated to helping the most
vuln¢iable people within our ¢ommunEty in Birmingham. None of our volunteers are paid for the wot* that they do.
IOOO/o of all dollations go to those that are in despeiEte need, people who &r¢ living on the street5 or livin8 in severe PDvcsty. If you
can help please see vaTiOUS ￿ys that you Can donat¢ below.
Support for tlio$¢ in desperate need
l.iving on the street Es dangerous and isolating. If you are hom¢l¢ss, yoit aFE 20 times more likely to b¢ a victim of violence and l D
times more likely to tske your own Sif& We provide support to those livin8 this harsh redlity.

tIlAh'TLI Cll ￿lA111￿C. A l)Ilirri RLI NCL
REIIORT or'riib. TIIUSTfi Eb
bDII Tlll:, Yr.AR Ei fs'DED 30 JUNI E 2025
riyill%CIAL Rb.iyIr.ii'
Resoi'i'cx PDlit)'
Rcsci'i'es liold
Reserv¢51)¢ld at tli¢y&iT eiid iv¢rc £10,853.
AccoiinlinLI II*si5
Thc%c finaaciiil %ldlcincnl¥ IiuvL bL'ClI l)I'Lpqred oli rec¥ipl% .'iiid payiiiciils J)£L%iS In dLcnrdaiicc ivilli Ilic i'¢qUir¢n￿lits. Df (li¢
wlien il is i'e¢eii-rd, r￿111}¢1. Iliai) ii,lieii il is carned. Lxptrtdiiurc 1% rc¢nrdcd ivhcii il 18 poid, r*tliLr Ihaii wlicn il 1.% iiicurrcd.
Tli¥ Clilliily is Iloi requirLtJ lo prcporr aceniiils-bith,d ￿t¢￿VIllS iiiid Ik1s clioscii lo prcparc r¢¢eipls oiid P1L ynKJil$ ￿￿OIU11& for Ilic
period ¥iid¢d 30 Jttiie 2095.
STRUCTURL, GOIIERN'ANCE AN'D MANAGIMEN'r
Goi'L'rniMg docunient
Thc ¢h)I'ii)I IS Loiilrullcd b), ils gov¢niiiJki dockiill¢nt. a dccd of Inisi, 2nd constituLes n littii￿d comi?Ilny. liinilthl by IIS
defiiied by tlie Coiiipazjics Aci 2006.
oci'ultnient ivd Appointinonf ofn¢iY trllsttes
Tlic CIILITlty looks to Fetruii ncw I[￿st¢eS 54,110 spccifLC ircas ofexpc¥lÈsc ihlr t will be ofossi51atlLe lo Èlic ¢ltariiy.
Iici fiERfh'cf. AIS'D ADMlh'lSTRA1'111f. DrfAILS
Reg15tercd Coliip.Tr￿)' number
CEU311 I I Iliigland apd IV3le51
ReEl&tei'cd ChAI'Ity nurnber
12Q1576
Regi$ttr¢d offiLe
Unil IA l-l%l)ryVOD<Ls Wliarf
Mucklo%i,14ill
klalcsoive
W¢%1 Midl#iids
tJ62 8r)J
Trust¢ts
N Carl%vrigJl
N CJ l.iadoptsiilos
Mts J L TullLII
Appn)v¢d lly ordcrofihc board ofirusiecs .
go/4/7.6

MANTECH MAKING A DIFFERENCE
REPORT OF THE TRUSTEES
FOR THI YEI AR E￿,DED 30 JUNE 2025
N Cartwright- Trust¢e

MAf4TECH MAKING A DIFFEI REf4cE
ST ATEMEI N'T OF FINANCIAL ACTIVITtEI S
FOR THE AR NDLI D 30 JLINE 2025
Period
13.1.23
Year Ended
30.6.25
General
fund
30.6.24
Total
fuud5
Iyotes
INCOME AND ENDOWMENTS FROM
Donations and legacies
6,999
11.223
Other truding a¢tivittes
3,740
1,900
Total
10,739
13,123
EXPENDITURE ON
Chai'itable aetivities
Charitable activities
9,626
2,798
Other
379
206
Total
10,005
3,01)4
NET INCOME
734
10,119
RECONCILIA'I'ION OF FUiYDS
Total ftjnds brought foiward
10,119
TOTAL FUPIDS CARRtED FORWARD
10.853
10,119
The notes form part of these finaticial Sfatements

qAN'I"II Cl I IlqIllCIN(i il l)11,"I,'I,:Illi Nl".
11A1,AN'C'I,' ,5111:,
'iII .1 ilyl-, 21124
-111.(tr.25
7O.(1.24
NfiT c.uiiiir.N'f ASSlil'
TOTAI. ASSL'fs Lli SS CUItIlENI' LIAIIII.ITIr.
Nf4-I' ASSEI..
IINI)S
'roi'AI. fiiND.S
Il>,¥.f I
tCOTda17ee iTriili Se¢iioii 476 ilit Coiiipai)ie& Aci 2(106.
'nic Ini%icL
ALI 200() anJ
(bl
so far as i?ppIicl4 bl¢ lo Ili¢ ¢}￿r&¢able coiiipJtty.
TIILSX fJnanG5al 8iaiLiiiciII.% IJqiL beeii prcpai'id in q¢eor(lan¢c iviih Ilic piDI't%ioiis 0111)liioblc 10 chariioble coiiipanics subj¥cl lo I1￿.
Thc liiidi]Lliil.%14iiciiiiiils ii'LrL dPlJIX)V¢￿ by Ili¢ BvJrd ofTruslces uiid duiliorise(I for isbui u
stbtrThcd oil ils belialf by..
N LnriivribTlil TnisECC
Tlic nol¢s foJTn pllrl of Ilir%¥ fiiianLial ￿￿1¢111c￿lS

MA wfECH MAKING A DIFftEI RENCE
NOTES TO THI FINANCIAL STATEMFNTS
FOR THE YEAR ENDED 30 JUNE 2025
ACCOUNTING POLICILS
Basis of preparing tlie financial stgtements
The financial statements of the charitable Cokmpany. which 15 a publiG benefit entity urd¢r FRS 102, have been pirpared in
accordance with the CharitiE5 SORP (FRS 102) Accountifjg and Reporttn8 by Charitie5.' Statement of Re¢ommended
PrdGtic¢ applicable to charities pi'eparing their accounts in &ccordanc¢ with the FinAnci&l Repoiting Standard appltcable ill
the UK and Republic of Ireland IFRS 102) (effective l January 20191,, Financial Reporting Standard 102 'The Financial
Reporting Standard applimble in the UK and Republic of Ir¢land' atld th¢ Companies A¢t 2006. The financial statejnents
h&ve been prepared under th¢ historical cost conventloll.
llleome
All incomt is recugnised in the Slatement of Fin&ncial Activities o￿t the charity has ¢ntitlement to the funds, it is probable
that the income will be received attd the amoutjt can be measured reliably.
ExpeHditure
Liabilities are r¢¢ognised as expenditure as soon as there is a legal or Constructive obligation committing the charity to that
expeiiditur< it is probable that a transfer of economic benefits will be required in settlement and the amount of the
obligation be MeaSl￿ed reliably. Exp¢nditure is occounled for on an ac¢nJals basis and has beell classified under
headings that aggreg&t¢ all cost related to the category. Where costs callllot be directly attributed to partirular hEadings they
have bee￿ allocated to activiti¢5 on a basi5 fOllS55tEnt with th¢ use of resoiirces.
Taxation
The charEty is exempt from corporaiioD tax on its charitable activities.
Vund actountiTJg
Unrestricted funds can be used ill accordanc¢ wTrih the charitable objectives at the discretion of the trustees.
Restricted funds tÉn only be llscd for particular restTi¢t¢d purposes within the objects of the charity. Restrictions arise
when specified by the donor or whett funds are raised for particulai. r¢sti'icttd purposes.
FurtheT explanation of ths nature and purpose of each fund 15 ￿cluded in the notes to th¢ financial stateTnenls.
OTHER TRADING ACTIVITIES
Period
13.1.23
to
30.6.24
Ye¥i' Ended
30,6.25
Facebook Mark¢tpl*¢e Soles
Vinted Sales
3,252
488
1,326
574
3,740
1,900

MANTECH MAKING A DIFFEREI f4CE
NOTES TO THE FIIYANCIAL STATEMENTS - continued
FOR THE YII AR EINDED 30 JUNE 2025
TRUSTEES, REMUNERATION AND BENEF￿s
There were no trustees. remuneration or Dther benefits for thc year ended 30 June 2025 nor for the period ended
30 June 2024.
Tru5tee5' exp¢nses
There weTE no tNstees' expensES paid for the year ended 30 JUR¢ 2025 noi. for the period ended 30 Jurte 2024.
COMPARATIVFS FOR THE STATEMEIYT OF FINANCIAL AcfiviTIES
General
fU￿d
INCOME AND ENDOWMENTS FROM
Donations and legacies
11,223
Other iradtng activities
1.900
Tolal
13.123
EXPENDll'uRE ON
Charitable aetivitie$
Charitable actiwtEes
2,798
Other
206
TotAI
3,004
NET INCOME
10.119
TiyfAL FUIYDS CARRIED FORWARD
10,119
MOVEMRNf Ip4 FUNDS
N¥l
mtsvement
in funds
At
30.6.25
At 1.7.24
Unrestricted fund5
General fund
10,119
734
10.853
TOTAL FUNDS
10,119
734
10,853

MANTECH MAKING A DIFFE< RENC
NOTII S TO THE FINANCIAL STATEMENTS - continued
FOR THE YEAR ENDED 30 JUNE 2025
MOVEMEiYT IN FUNDS - CODÉinued
Net movement in funds, included in the alK)ve are as follows..
Incoming
resourcts
Resources
expended
Moverntxt
in fllnds
Unrtstrieted funds
General fund
10,739
(10,0051
734
TOTAL FUNDS
10,739
(10,oos)
734
Comparativ¢$ for movement in funds
Net
movement
in fund5
At
30.6.24
Unrestricted funds
Gener&1 tulld
10,119
10.119
TOTAL FUNDS
10.119
Cornparative net movement in fund5, irtcluded in the above are as follow5.'
IucoThing
i'e5ources
Resources
expended
Movement
in furtds
Unrestricted funds
Gen¢rJl fijnd
13,123
{3,0041
10,119
TOTAL FUNDS
13.123
(3,0041

LWL4NTfi CH MAKING A DIFFERENCE
NOTES TO THE FINANCIAL STATEI MENTS- continued
FOR THE YEAR ENDED 30 JUNE 2025
RELATII D PARTY DISCLOSURES
Mantech UK Limit￿, a ¢ompany owned by a trustee, made dtsnations to the charity ITL the year of £7.00012024- £10.000).
10-

IVIANTECH MAKING A DIFFERENCE
DETAILED STATEMENT OF FINAf4CIAL ACTIVITIES
FOR THE YEAR ENDED 30 JUNE 2025
Period
13,1.23
to
30.6.24
Ye4r nded
30.6.25
INCOME AND ENDOWMENrs
Donsitaon5 and Itgacies
Donations
6.999
11.223
Other tr2ding activltie5
Facebook Marketplace Sales
Vinled Sales
3,252
488
1,326
574
3,740
1,900
Total incoming resources
10,739
13,123
EXPENDITURE
ClJaritAble aetivities
Charitable Dollations
Clothing, Shclt¢r & Bedding
Food & DriDk
6,000
994
2,632
1,654
1,144
9,626
2.798
Support costs
Finance
Bank ¢haYg¢s
19
Other
Sundi'ies
360
200
Total resources expended
10,oos
3,004
Net income
734
10.119
This page does not form part of the statutory financial s¢aletnet)t5