REGISTERED COIAPANY NUMBER.. CE031534 (England WKI Wal•s}
REGISTERED CHARtrY NUMBER: 1202119
Report of the Thistws arbd
Unaudlt•d Flnanclal StatOm￿ts for th• Y•ar End•d 31 March 2025
for
Tho Blg Dlfforenca
CBM Accountants Limite(I
130 Boumemouth Road
Ch8ndlerfs Ford
Easllelgh
HampshlrB
S053 3AL

Th• Blg Dlfference
Cont•nts of the Financlal Statsm•Thts
for the End•d 31 Mar¢h 2025
Refernnco and Admln15tratlvfr Dotall8
Roport of th• Trusts•s
2 to 4
Independont Examlnets R•port
Statomnl of Flnanclal ActlvRIos
Stat•ment of Financlal Posltlon
7 to 8
Stat•mnt of Cash Flo
Nots$ to th• Slatomen¢ of Cash Flows
10
Not•s to th• FIn￿¢*I St*tem•nls
11 to 1T
D•tslled Statomont of Rnanclal A¢Uvltle8
18 10 19

The Blg Dlff•ron
R•for•nco and Admlnlstrailvo
ft>r the Yoar Endgd 31 March 2025
TRUSTEES
A James
M Spradbery
C Ward
Mrs S N Lews (ros￿jn8d 1611125)
Dr S Choi (resigned 16111251
N J L8page {app)inted 31925)
REGISTERED OFFICE
Fomier Housing Offke
Wcnlston
Soulhamp
S019 9AD
REGISTERED COMPANY
NUMBER
CE031534 (England arwj Wa19s)
REGISTERED CHARITY NUMBER 1202119
INDEPENDEpif EXAMINER
CBM Ac¢))unlarrts ￿Mited
130 Boum8moLth Road
ChaThJlets F￿d
Eastletqh
Hampshlro
Page 1

The Big Dlffef•nce
Roport of th• Trustees
forthe Y•ar Endod 31 March 2025
Th8 Trnstees of The Blg Dmerence fthe Chaw) present Ihelr annual report for the pertcdj ended 31 March
2025. Th8 T￿￿teaS have adopteil the provisk)ns of Accounting and Reporting by Charitt85: Statement of
RecommerKled Pr8CtKe applirAble to chariknes preparing thelr a¢￿Unts In accordonGe with the Fwwnd81
R8POrtiTrJ Standard applrrable in the UK and Republlc of Ireland IFRS102118ff8Ctlve 1 January 2019>.
STATUS AND ADMINISTRATION
The Charity is a Charity Incorporat8d Organisalion ICIOI. registered tharmy INo.1202119) that was Incwrated
on l March 2023.lts reglstered offlce i8 Shown on page 1 of this report.
The prwdent Truslees and any past Trusteas who served durirttJ the perlod ¥e $h(rM) pagg 1, togglhgr
the names of the prindpal external aths8TS as at the dat8 of lh8 signing of thi5 report.
OBJECTIVES AND ACTivmES
Obj8ctl¥es and alm•
Objecllves
The Charity$ (bloc￿$, as set c4rt In Its ¢￿StitU￿(￿. are..
For the public benefft. the prevenlon and rellef of poveity, in partityjar but not exckL%i¥ely by
' The collecbon, provl&on andlor dlstrfbullon of surplus food arKI d)thing, and essenlial h￿sehO￿l items. the
provlsion of meals in the uk:
. ProNidiThJ such rel￿1 to lkne th18ble to afford ba81c fc**J ¢c*ts other essential items to lkne in needs.
PurFose. aims and a¢tNlties
Th8 trustees are satisfied that the chaTrty complwng Y￿th Tis consthutlon 8fKJ is fulfilling its objectNes and that wlth
the hard work of our CEO Sanlay Mall and his team of 8t8ff arNJ volunteers The Big Drfferen￿ h88 become one
of the krjr est provid8r off(x)d to those In ￿ed In SwthamFéon.
ACHIEVEMENTS AND PERFORMANCE
Charitable actlvhles
Achlovom•nt and P•rformanc•
We opened ow first sockl supennarket the Northam Ccrfnmunity Centre in June 2024 arnl In J￿Y 2025 we
opened oursecond one in Shirteywarren.
Thr￿gh ts hard Work of lh8 CEO we have Iwht 12 f*x*a Slwpl￿ ￿ board during Il* ￿r, has
help8d to s￿k the new social supermarket.
We have an extraordinary Increase In th8 volume of fo(*l dlstrliKrt8d from c.25 tonnes to c.50 tonnes par
month. This enables us to supp¢)rt up to 800 indNiJual$ and famllw per waek ￿th food through the s(Klal
SUPgnnarf(ets. and in excess of 50 communty charity groups and 30 schools. We estimat8 Ihat apF￿0XIrnately
S.0(￿• peoF4e a week benefit from I(￿d supplled by the BhJ Dlff8renco.
We rfBtrlbu￿ 11.000 Eastsr Bu¢kfjts to 36 s¢￿01S and thi[dren￿ Ch￿IlleS a¢ri>ss ScwthamKAon.
Environmental benefits..
o the charlty operates electrlc vans to reduce our cartK)n fwtprfnl.
o By acceptkng food from some supplters that would othop*ise ha￿ b88n thrimn away. estimate that wa have
savfjd 6Tr) tonnès of food frcth landfill this year.
r vohjnteer base has conUrrt￿ to grryw durlng the year.
Page 2

The Blg Dlff•renc•
Report of the Trustws
forlhg Year Ended 31 March 2025
ACHIEVEMENTS ANO PERFORMANCE
Trustses and Sub£ommitt•e membors
The Chartty ts grateful to everyone volunlarSty glve their valu*)le time, not onty to $8Ne on the vario
commiitees that are n8cessary to ensure tho Chariltes activities arg carried i>ut in a safe ar¥J onjoyabla
qnvironménL txrt also wider support that allows it to fulfil its char118ble c&j8CtIvgS.
Wrfhjut *xh a￿lstan(*. the charNYY￿UId be unable to operate
FINANCIAL REVIEW
Flnan¢lal posltlon
The maln sources of inu)me of the Charity we grants and donatll￿ from LK)th organ￿atiOnS and Indlvidual8.
Overall. the incoma ft* the pwknj Was £721.570 [2024: £231,368]. Th6 21725 irKLYn8 fncludes £358,622 food
donatfons In klnd.
The maln costs vwe food dona1¢y￿, consumanoy f￿. office costs and vehicl8 runnlwj expense5. iknrall. th8
expenditure was £545.970 [2024.. £60,569]. The 2025 costs Indudes £327,327 donations from the charfty.
The net effect WBS to sh¢y4V a surplug on unre8trScted fLWKls of £175.6(KI12024: £170,799]. Restrkted fvnds were
£Nil [2024: £NilJ.
Invoslm?nt policy and oblectiv•s
The Constitutlon of the Charrty States that tt has the rxiwtr Yo dgposlt or Invest furKls In arw manner as the
Trustees shall in their absolute dlscretion think fft to the extent that the Trusts8s shall have thg samg full and
unreStr￿ted powers Nkvesting arwj transwgn9 knv98tments In 811 ￿peCts #s rf Ihey were beneficially absolute
Res8f¥os policy
The Trustees reserves polw Is to ensure that sufficlent free rwaerves are mdntalned such that the overtlead cost
of fUnn￿g and maint8in4vJ the Chadtyare covgred for at least 8 ￿r.
The Charity has total funds ￿£346.399 [2024.. £170.7991 a￿ ofwhkh are unr8slrfcted
FUTURE PLANS
The cha￿ty has estabN5hed links wm churches In South Wales, ￿ere similar f(*)d F*)verty bsues 8x18L and
inlonds lo devekjp this relallonshlp further in the coming ￿ar.
We intend to imwO￿ Ihe Norlham Hub by eslabllshiw a cl98n room for food pr8paralion armj pad(IrKJ.
The CEO is actively wryklng lo brfng more 8uppNer¥ on bo8rd. The conunual flow of food Is ciilical to tho onwing
operation of the chaiity.
We will work to Increase the numberof grants secur&J $0 that the chattty ts185s raliant on Inccffle from the social
supgrmarkets.
STRUCTURE. GOVERNANCE AND MANAGEPIEifr
Governlng document
The Chaiity govemed by its Constlbjllon which was ethpted ￿ 1 March 2023. The Tntstaes of the Charty ere
responsible forthe overall govemance of the Chority 8nd meets at least three times a yBar.
Recrullment and appolnlment of new trusts•s
The Charity look5 to its mernbe￿ to volunteer for the various roies. Where more members vofunteer than trwe
ar8 rotes fhen an eleclion will take place. Where a vacancy arises a member who vrAunleers may te c(wled
peTh1ing an election at the next AGM. Tru*998 are offwed tralnlng in tsir role vth8re required.

Th• Big Dlff•r•nc•
Report of the Trustsos
forlh• Year Ended 31 March 2025
srRUCTURE, GOVERNANCE AND MANAGEMENT
Declslon maklng
The frAlowing matters are spec#f￿lfy reserved fry 8pproval by tho Trustees, unless th8 Tn￿188$ to
de￿gate any $uch matters from time to time..
- Any prfwsal to amend the Memoranthjm and Artl¢les Assock8tion'. Instruments and Rules Govgrnment
- Accounting Reference Date or rnater￿1 aC￿un11ng P￿iCIeS.
- Hanning Applvbons reflecting a s19nff￿anI ¢haNJ8 ol use and prolert8:
- Sales or wrchases of Ihe Chaiitys prop• assets",
- Any decL8ion to Mny or defend legal action a civil (3s8.'
- Response to 1￿mInal chargesldlegallons of c¥lmlnal activity which have wilh the Charity..
- Apw)intmen( v8rktK)n of temis or removal of any Charity Post:
. Expansron of ￿1vrtIeS core tthiness.
- Fomiallon of a subsdiary,
. Amendment to P8nsh)n schemes:
- Material change to general tsmi$ of employment. stsff ben8fft8 or HR pollcy..
- Appn)val of annual budgets:
- Approval of Annual Rerx)rt & Accounts induding settlng of reserve all￿ations.
- Revrew & approv81 of ￿e￿Ied aultK)ribes arKI auth¢xisation limtts:
- Variattins in authorisaticiTr leve15 for pUrI￿￿e￿51￿ttIrIng contracts (limits to be Pl￿ on totsl value of
¢ontracl and on ccwtract Fengthl;
- Any t*rning by the Charty.
- Anygranl of guarantse or indemnty In respect of a thiTd ￿91￿8 oWtfon$ {Induding oblh3atlons of staffj"
- Investment m8na9ement polIc￿¥.,
- Cash management ￿liCIes (ir￿￿dIng apwoved list of counteryrties),"
- Any contract with any Trustae or member of stsff C￿ wilh any person orentity connected wlth any of them:
- Op8ning of new banking relationship"
- Re￿ipl of grfts from a potentialty ￿desirabl8 donor and
- Receipt of payTnents in exchary for sponsorshipthming rTghts.
Rl$k manag•mont
The Charitys 4)prcoch to risk manag8mont is desvJned to ensure that It remain5 alert to those extemal and
internal fadors that could afled its abilty to operate &ffecllvely. or even at all. The work eSta￿lshirv the risks
fadng the Charity and 8nsurlng suitabk mttkJalirrfJ action b8¢ng 18ken Is challgrging. Nevertheless the Trustees
feel their iisk Mantyemont schedule is as complete as possible whllst being aware that wgilance is eJvAys
needed.
Thls repc¥t has been wepared in accordance wlth the specHI pmvisions of Part 15 of the Companies Act 20C
relating to small com￿￿.
A￿￿￿Ved byLYthr of th8 board oftrusta88 on.......... ..... ........................... arKI signed on Its behair ty.
slee

Independ•nt Ex•mlnefs Report lo the Trust•es of
Th• Big Diff•r•nc•
Indgp8ndent oxamln8rf8 report to the trusto8s of The 819 Dlff•ren¢e ￿he Cornpan￿)
I report to the charity trustees my examination of the accounts of the Company for the year 8nded
31 March 202S.
Responslbllttl•s and basls of r•port
As Ihe charitys trustees of the Company land also its dlr8Ctors for the purF*JSes of Comp￿nY law) YDU are
responsible for th8 preparatv)n of the accounts in accoritanctr ￿th the requirements of the Companies Act 2CN
2006 Acr).
Hthng sgtisfigd mysew that the aC￿unts of the Cc￿panY ara not requked to be audlted urthr Part 16 of the
20C6 Act and arg 81igible fw irMleperKJenl examinalion, I report in respect of my examintvjn of your chartys
a￿￿nts as cathed (Mrt urKler Sectk)n 145 of the Chaiibes Act 2011 (Yhe 2011 AcV}. In carrylng fJrt my
ex￿nIn8110￿ I have folhywthj the Dlrectirms grven ty th& Chaftty Commisslon under Seclion 14515) Ibl of the 2011
Independent •xamlnorfs ststement
Sinc* w)ur tharitys gross income exc8aded £250.0(hJ ycw eXamU￿r must be a member of a listsd bc#Jy. I can
c(Mfflmi that l am quaI[f￿d to undertake the éxamlnatbn trEcau8e l 8m a memb8r of the A880datlon of
Acwunling TeChn￿lan$. w￿ch is one of thg ILsted bodies.
I have c(Nnpleted my examination. I conflmi that no matters have come lo my 8ttenti¢xt In conrth wtlh the
examinalKin giving mg cause to believe".
accouniing records wwe not kept in respect of the Company as raquired by Seciion 386 of the 20C6 Actr.
Ihe accounts do not acCo￿j with those records; or
the aCt￿nIS do not comply w6th the accounting requiTgmgnts of Sect￿￿ 396 of the 2006 Act other than
any requirement that the accounts give a true and fair wew is Tr)t a matter co￿ld￿8￿ as part of an
independent e￿lM￿3￿￿1.' or
the accounts have not been prepared a￿)rdance the methods aThJ pr￿l￿e8 of the Statement of
ReLommerK18d Pr8clice for a￿OUnting aThJ rek)Orting by th8rities lapplThble to Charit￿ preparing thelr
accounts in aLD)rdan￿ Voith the Finanual Reporting StarKlard applrcable in the UK and Republic of
'Ireland IFRS 102)).
I have no concems and have cnme across no other matters in connection wth the examination lo vthith attenlion
shwld b8 drawn In thi8 report In order to enable a proper understsrKllng of the accounts to be reac1￿￿.
Graham Bennett
The A8sociatron rrfAtxountlng TechnKians
CBM A?￿un￿llts Umlted
130 8oumemouth Road
CharKll8rfs Ford
Eastleigh
Hampshire
S053 3AL
DatB'.
Pagg 5

The Blg Diifwanc•
Statement of Flnanclal Acllville$
for th• Y••r Endod 31 March 2025
Perlod
113123
Year End8d
3113125
Unp88trictsd
funds
311W24
Total
funds
INCOME AND ENDOWMENTS FROM
Don8tions aThJ legac
594.338
231.368
Olhor tradirKJ activibes
Investment income
126,430
Totsl
721.570
231,368
EXPENDITURE ON
RaSslng funds
545,970
60.569
NET INCOME
175,600
170.799
RECONCIUATION OF FUNDS
Totsl fwds brought fonvard
170.799
TOTAL FUNDS CARRED FORWARD
346,399
170,799
The notes f(*m part ofthwtse finan(yal Stat￿nents

The Big Diff•rence
SL￿ement of Flnanclal Posttlon
31 Marth 2025
2025
Unrestrthd
funds
2024
Totsl
fund5
FIXED AS8Ers
Tangible assets
11
52,641
55.017
CURRENT ASSETS
stocks
Debtors
C8sh at bank
12
13
40,290
437
258.103
117,222
117,222
CREDITORS
Amounls fall1￿ due wrfhin on8 year
14
15.072)
{1.4401
NEf CURREKf ASSETS
293.758
115.782
TOTAL AsS￿s LESS CURRENT
UABILrriES
346.399
170,799
NEf AssErs
346.399
170,799
FUNDS
Unreslricted funds
15
346,399
170.7gg
TOTAL FUNOS
346.399
170.799
The charitable company 15 enti118d lo exemption frcrfn autht und8r Section 477 of Ihe Companigs kl 2006 for thg
year ended 31 March 2025.
Th8 members have not requlrgd the company to obtain an aud￿ of Ils finarrial stBtements for lh8 year gnde(i
31 March 2025 in accordance SoclK)n 476 of the Companies Act 2006.
twstees ackncwWge the* responsiblllttes for
enS￿l￿g that th8 charitablg company keeps a(xx￿rtting records that compty wilh SectK)ns 386 387 of
the Companie$ Act 2006 and
preparing financial statements which giv8 a tnjè and fair vitiw of the stste of 8ffairs of the Charrtab
company as at the end of each finandal year and of ils surplus or defidt for each finandal ￿ar i
accordance ￿th tho reqU1￿ments of S8clions Y34 and 395 and which otherwise compty ￿ the
r8quwements of the Companw Ad 2(M)6 relating to fknancAal statements. so far as applicable to the
charilable company.
la)
{b)
The notss fcffti part of these financial statements
Pagg 7
conlinued...

Th• Blg Dllleren
St*¢m•nt of Flnanclal Pasitk•n- continu•d
31 March 2025
These fin8ndal statements have been prgparBd in awdance *ith the provbk)ns applirable to eth8rttable
companies subject to the small compani88 reglme.
The tlnanaal Statements were awroved by the Board of Trustees ar￿ au11￿￿ for Issue on
I3...TrAnkl￿... ....IQU.. and wer& signed on its behalf ty.
am
njs
ee
The not98 forni part of these financL81 statomer
P*J8 8

The Big Diff•rnn¢•
Staterne￿ of Cash Flows
forth• Y•ar End•d 31 March 2025
Per
113r23
lo
3113124
Ygar Ended
3113125
Notss
Cash ffows from oporatlng acllvllles
Cash ger￿Ated from operations
155.386
180.099
Nel cash prowld8d byoperthrvJ acllvitEs
15&386
180,099
Cash flows from Investlftg acthillla
Purcha86 of tanglbie Ilxed assets
Intwl receNed
(15.307)
802
162.87TI
Net used kn Investing activities
(14,505)
162,877)
Change In ¢a8h and cash aquivalents
In th• reportlng perfod
Cash and cash oqulvalonts at the
boglnning of tho reporting period
140.881
117.222
117.222
Cash and Cash •quival•nts at thg •nd
of the reportlng pwiod
258.103
117.222
Th8 notss fomi part of th88e fmancA81 statemgnts
Pag8 9

Thè Blg Dlffernnce
Notes to the Statsment of Cash Flows
forlho Year End•d 31 March 2025
RECONCILL4TION OF NEf INCOME TO NET CASH FLOW FROIA OPERATING ACTivmE8
Period
113123
Year Ended
3113r25
3113124
N8t Incomo forth• reportlng portod {a* per th8 Slalement of
Financlal Actlvlties)
AlJu$tments for.
Deprapation charg8s
Interest receNed
Increase in stocks
Increase in debtors
InLTeas8 in credita
175,6t
170.799
17,683
(8021
140,290)
1437)
3.632
1.440
cash proVId￿ by opèratfons
155.386
180.099
ANALYSIS OF CHANGES IM NET FUNDS
At 114124
Cash At 3113125
Net cash
Cash al bank
117.222
140.881
258.103
117.222
140,881
258,103
Total
117.222
140,881
258.103
The r*)tes ft)mi part of these financ*1 statarnonls
Page 10

Th• Blg Dill￿nCe
Notos to th8 Fknancial Statsments
forth• Year Endgd 31 March 2025
ACCOUNTING POLICIES
8asls of preparfng thè firmnelal ststèm•nts
Thè financial stat8merJls of the chwitable ccmpany. is a public benefft eniity under FRS 102, have
been prep8r￿j in accordance ￿th the Charit*s SORP (FRS 102)'Accounting and Reporbng by Charities..
Statement of Recommeniled Practice applicabi8 to charthgs pre￿Nng their accounts in accordance
the Finandal Rewrt(ng Standard 8pplicabl& In the UK and Rerwblic of Ireland IFRS 102} (effec￿0 1
January 2019).. Financial Rep(xting StarKlard 102 The FIn￿c￿l ReportsTrJ Standard applicable in the UK
and R8publlc of Ireland, and tha Ccrfnp8ni8s Act 2006. The financlal statements ha￿ been prepaT8d und
fh8 historical cth8t convent¥)n.
AN incune is recognised in the Ststement of Financial Activibes once the charity has wttitl8ment to Ihe
funds. it is probable that Ihe incom8 ￿11 be r￿gIVed and the amount can be measur&J relrabty.
The vahje of food donatlons Is recognised as Glfts in kind when recewed and webjhed in. w7th
equiva8nl amount re￿nI￿1 as charitsbie expendittthre, after adiusting for th8 value of stock. Th& v￿ue
esllmated b88ed upon the Trussejl Trust (industy stand8rdl recommendation of 1kg thnated goods ￿ng
equivalent to £2.37.
Expenditur•
Liabilltles are r8co3nL8ed as gxpendiiure as s￿7 as there is a legal or constructive obwon eommnting
the chaiity to that expénditure. it is probable thal a transfer of aconomic benefrts will be required in
seitlement and the amount of th? obtiqation ¢8n be measurgd reliabty. Expenditur9 is ac0￿ntsd for on an
accnlals basis and has been Classrf￿ under he8dings that aggregate all cost ￿lated to the catsgory.
Where costs canrw)t b8 dlrecuy atirit)uted to partscular headlrNJs they have been alktated to activi￿ on a
basis consistent with the use of resour￿$.
Tanglbh fixed a$￿ts
D8Pr8cIaU(￿ FS Provlded at th9 fouowng annual rates in order to wrfta off e&h asset o¥w Ns eslimatwj
Useful kfe.
Plant and machinery
Motor vehlcles
Computsr equipment
25% on cogt
25% on cost
33% on cost
stocks of donated food and gwjs for diStribu￿n have been eslimated bas8d up)n TDJss￿ TTh￿t
Ilndusty slandard} reeA)mmendatton of 1kg of donaled good being equlvalenl to £2.37.
TaxatloTr
The charty is exempt from corp)ra￿n tax on its chwitable actNibes.
Fund accountlng
UnrestriL*od fund8 can be used In accordarte the charit*de objeclivgs at thg dlscretlon ol thg
Reslricled funds can onty be used for particular restricted purposes wilhin the objects of the thartty.
Restricttons arise vthen $￿Ified by tha donor or when ftjnds are raised for partKular restrictsd purposes.
Further eyplanati￿ of th8 natwe and PurF￿a of each fvnd 18 Induded in the notes b tho fmancAal
stelements.
continued...

Th• Blg Dlfferenc•
Notes lo Ihe Flnanclal S¢atem•nts- contlnued
forthe Yoar Ended 31 March 2025
ACCOUNTING POLICIES- conllnu•d
Hlrn purchase and l•aslng commilm•nts
Rentals paid under OFerating 18ases we charged to the Ststement of Finan¢ig1 Actimties on a Stra￿ht
basis over the perlod of the laase.
P•n8lon Costs and oth•r post+etlr•mont beneffts
The charitsbl8 company operatss a defined conthbution schem6. Contsibutions P3Ydble to the
charitable compan￿$ pension scheme are Char￿ to the Slatement of Flnanoal A￿fv￿eS In the ￿riOd to
which they r8lato.
DONATIONS AND LEGACIES
Peric4Y
113123
Year Ended
3113125
3113124
G¢ts in kirKI
Grants
Project income
Above Bar Church
Indlviduals
gan￿￿0￿8
358.622
34.500
128.227
15.158
51.899
15,078
21.006
29.009
172.207
594,338
231.368
Grants r8cewed. included in Ihe abov8. aro as folkn￿:
1r3123
Year Erwjed
3113125
3113124
Other grant income
Grants forfLKed assets
65.350
62.877
128.227
OTHER TRADING ACTivrriES
113123
Year ErKled
3113125
3113124
Panty income
126,430
Page 12
continued...

Th• Big Dlfference
Nolos to the Financlal Stalth￿nts- ¢oThtlnued
forthe Year Endod 31 March 2025
INVEsfMENT INCOME
Period
113r23
Ended
3113125
31r3124
Deposlt Interest
802
RAISING FUNDS
Rai¥ing donatlon8 and legacle8
Pariod
Year ErMl8d
3113r25
3113124
Staff (xjsts
SutFcontractor costs
D8pre(¥ation
&w)rt costs
101.420
17,683
7.860
48.759
120.071
56.619
Other trddlng adlvNI
113r23
Year Ended
3113125
3113124
Purch88e8
42,
1.297
327.327
54.639
Gifts in kknd
Sus)Ix¥t costs
425.899
3,950
gregate amounts
545.970
P8ge 13
Conlln￿d...

Th• Blg Dilhren¢e
Notes to tho Flnancial S¢atements- continued
forthe Yoar Ended 31 Mar¢h 2025
SUPPORT COSTS
Management
Finance
Totals
Other tr*Jing activilies
53,174
1.465
54,639
NEf INCOMEIIEXPENDrrvRE)
Net In(#)mel{expendilurel is st*8d after chargIn￿(creditINj).
P8rrtyJ
Year Ended
3113125
lo
3113124
l)eprecialion- owned assgts
Other cyerating leases
17,683
7.860
TRUSTEES. REMUNERATION AND BENEFITS
There wer9 no trust8es' remuneratiDn or olh8r ben8ffts for thg year end&J 31 March 2025 nor for the
pericd ended 31 Marth 2024.
Trn$tses' •xpen8e8
There were no Irustses, expenses pa•J for the ypar ended 31 March 2025 for the pericmj ended
31 March 2024.
STAFF COSTS
Period
113123
Year E[￿ed
3113125
3113124
Wages and salarres
Social security c(Jsts
other pension costs
99.735
1.827
1,155
102,717
The average monthly number ofemploy888 during th8 yEar was as fonows:
113123
Ygar Endgd
3113125
SupFXXt staff
3113124
No emFdoypes recgived emoluments in excgss Of£60.(￿).
Page 14
1)3ntinu8d...

Th? Blg Dlffernnc•
Notss lo tho Flnanclal Statem•nts- continued
forth Y•ar Endod 31 Mar¢h 2025
10. COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTivrriES
Unrestricted
lunds
INCOIIE AND ENDOWMENTS FROM
DonatK)ns and legactes
231,368
EXPENDITURE ON
Raising funds
60.569
NEf INCOME
170.799
TOTAL FUNDS CARRIED FORWARD
170,799
11. TANGIBLE FIXED ASSETS
Plant and
mathinery
Computer
uipmont
vehi¢les
Totals
C03T
At 1 Apwll 2024
Addrbons
62.87T
2.500
62.877
15.307
3.541
9.266
At 31 Marth 2025
3.541
65.377
9266
78.184
DEPRECIATION
At 1 April 2024
Charge for year
7,860
16.031
1,172
17,683
At 31 M8rch 2￿5
23,891
1.172
25.543
BOOK VALUE
At 31 Marth 2025
3,061
41,486
8.094
52.641
At 31 Marth 2024
55.017
55,017
Page 15
conlinued...

Thtr Blg Dlfferen
Note$ to tho Flnanclal slaton￿nts. contlnugd
fvrlho Yoar End•d 31 ￿?￿h 2025
IZ STOCKS
2025
2024
Sfyks
13.
DEBTORS: AMOUNTS FALLING DUE ￿ThIN ONE YEAR
2024
Trade debtur8
437
1& CREDITORS: AMOUNTS FALLWG DUE MTHIN ONE YEAR
2025
2024
Trade uedltors
Other creditors
Accruals and deferred Ino)me
631
3,878
5,072
1,440
1& MOVEMENT IN FUNDS
Net
Transfer5
movemont b&tvfftn
In funds
fu￿lS
At 114124
31r3r25
Unrestrlctsd fund$
General fund
Functional flx9d asset fund
115,782
55,017
175.600
2.376
12.376}
293,758
52.641
170,799
175,6LIJ
346.399
TOTAL FUNDS
170,799
175.61
346,399
Ngt movement In fvnd8. I￿ude*j In the atrw are 88 folows:
Incoming Resources Movement
resources
expended
in furKIs
Unro5tricted funds
Ganeral fund
721,570
(545.970}
175.fAIO
TOTAL FUNDS
721,570
{$45.970)
175,600
Page 16
continued...

8lg Dlffer•nc•
Nota$ to the FlnwKlal Statemonts. continued
forthe Y•ar Ended 31 March 2025
MOVEMENT IN FUNDS- contlnued
Comparatl¥es for movement in fundy
Net
movement
In fund$
At
3113124
Unrestrtctsd funds
General fund
Funclional ffixed asset fund
115.782
55,017
115.782
55.017
170.799
170.799
TOTAL FUNDS
170.799
170.799
Comparaltve net mo¥ement in knnds. induded in th8 *we arg as f(4r(hv8:
IncomirvJ
Resour￿ Movement
resources experbjed
kn furK
Unrestricted fvnds
Gèneral fvnd
FUnd]L￿al r￿ed asset fu
168.491
62.877
152,7091
(7.860)
115.782
55.017
231,368
{60,569}
170,799
TOTAL FUNDS
231,368
(60.569)
170,799
16. RELATED PARTY DISCLOSURES
There ¥4pre no related trans8dlons forthe year ended 31 March 2025.
Page 17

The Blg Diff•rence
D•tallgd Statement of Financlal Act(vllie8
forthe Y•ar End￿ 31 Ma￿h 2025
Period
113123
Year EThJed
3113125
311W24
INCOME AND ENDOWMENTS
Donations and legaci08
Gtfts in kind
Grants
Project inwme
Above Bar Church
Indrwduals
Organlsabons
358,622
128.227
15.158
51,899
15,078
21.006
29,009
172.207
231,368
ot￿r tr8dlThg actlvltle8
Pantry incx)me
126.430
Invoslment income
Deposit a£￿Unt interest
Total incoming rw8ource8
721.570
231.368
EXPENDITURE
Raising donat•ons and10gacl•s
Wag8s
Social Security
Pensions
Sulxontractor e£Jsts
Plant and machinery
Motor vehicles
C(mputer equipment
98.436
1,155
968
480
16,031
1.172
120,071
7,860
Olh•r tradlng actlvlti
Purchases
Wages
Gits in kind
42,636
1,297
327.327
371,260
Support costs
Managemgnt
Other operatingloases
Carried fonvard
This page do88 not form part of the stalthwfinanctal stst@ments
P￿18

Th• Blg Dlffwenc•
D•ta119d Stat•m•nt of Flnanclal **tlwllle•
for th• Y•ar Endod 31 Ma￿h 2025
Period
Year Ended
3113125
3113124
Managem•nt
Brought fotW8rd
Rates and vmter
Insurance
Light and heat
Telephone
Postag8 and stalronery
Motor and trav61 expenses
Consultancy costs
Subscrptions
Repairs and m8intanaTh
AC￿u￿t￿￿faes
SeTrice (*arges
Cleanh
Health and safety costs
IT 80fiwdre and corL8ufflables
AAfverttskng
7.088
2,181
1,400
1.188
1,030
13.624
16.833
35
1.778
48.767
2,070
1.502
471
1,166
2,156
53,174
52.709
Financ•
Bank charges
Tc481 resouTc8s expetsjed
545,970
60,%9
Net incom•
175.600
170,799
This page d￿$ r￿tf￿ part oftho stabjtoryfinancral statements
P8ge 19