RKGISTERED COMPANY NUMBER: CE032091 (England and W4les)
REGISTERED CHAIUTY NUMBER: 1202844
REPORT OF THE TRUSTEL8 AND
FINANCIAL STATKMENrs
FOR THE YEAR ENDED 31 MARCH 2023
FOR
MRS CAWLEY'S LirrLE STARS
Uoyd Dowson Limited
Medina House
2 Statton Avenue
Bridlington
East Yorkthi
Y0164t2

MRS CAWLEY'S LrrrLE STARS
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ELYDED 31 MARCH 2(125
P*Et
Report of the T￿51t¢S
I to 2
ststemen¢ of Flnanclll Attlvitles
B*l&nte Sbeet
4 to 5
Notes to the FinADeial Statements
6 to 9

MRS CAWLEY'S LifTLE STAILS IREGISTERED NUMBER: CE0321191)
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
The t￿SleeS who are also directors of the chaTity for the purpises of the compani￿ Act 21K16. present th¢ir re￿￿ with
the fina￿la] statcm¢nts of the charity for the year ended 31 Mar¢h 2025. The trustees havc adopt￿ the provi8ions of
Accounthng and Reporting by Clwities.. Statement of Recommended Pracli¢¢ applicable to cbaritie8 preparing their
a¢￿unts in a￿OrdanCe with the Financial ReFrf)rting Stsndard applicable in the UK and Republi¢ of Ireland (FRS 102)
(effective l January 2019).
OBJECTIVES AND ACTIvfnES
The objects of the CIO aTe kn aavawe in life and relieve needs of w¢ially and econ(>mically disadvaDtaged young
rw1¢ aged O ¢0 I l in England including (twt not limitrd to) those attending Collingwijod Priw SchwL so as to
develop their capabilities that they may grow io fidl mawrity as individua]s and Members of society in partiwlar. but ll￿1
exclusively by.
(a) eIth￿tIng young perwns are pupits at schools by elw1￿ that du¢ attention is givell to the physical
edu￿tiOn of sueh pupils as well &s to the development and occupation of tl)eir minds aod o view to
furtherng that object to provide funds and io &$8ist the orEanisation and provision of facilities which will
enable and encourage such pupils lo participate iti recreatio
Ib) in th¢ itit¢rests of social welfare to organise or provide facilities forrectEation for persons who by reason of
their youth or social Ènd economic ¢ircums(allces have need of such faciliti
(c) to help young people face complex Iransitions to adulthood. incl￿1n8 Ibut D)t exclusively) those young
people who are wially exeluded or marginalised" and
(d) s￿h other objects at)d purposes in England being objects atrj purposes exclusively charitsble in acco
witb the laws of England and Wales.
Publ1¢ bellefit 5tatemeDt
Th¢ TnLs*es CODfLrnJ th8t they have complied with the duty in section 4 of the Clwitics Act 2006 to have due rcgard to
the Clwity Conynission's gen¢ral guidance on public benefiL 'Charities and Public B¢n¢fit.
ACHIEVEMENTS AND PERFORMANCE
Donation$ have b¢en made in the period to establish ¢h¢ rharity and to provid¢ fimds to allow the cbaritabl¢ obj¢dtv¢s 10
be d¢livered.
Th¢ Statement of Financial Activity shows a net d¢fi¢it for the year of £3,590 and the Balance She¢t shows n
unrestricted assets of £13.110.
Reserves policy
tn￿eeS mainlain a reserve poli¢y at a l¢v¢l to ensure tbat the charithble objectives of the CIO can be tnet in the
absence of any donatio7)s for at least a year.
STRUCTUBI, GOVEILNANCE AND MANAGEL¥IENT
Govern5Dg dotllmeDt
The charity is opernted under the Thles of the CIO Association Wnst1￿li0n adopted 26 April 2023.
M#wdgement
Overall nwmgement of the charity is th¢ r¢sponsibiJity of th¢ Trustev.
REFERENCE AND ADMINISTRATIVE DETAILS
ReglsteTed Company number
CE032091 (ETbglw]d and Wales}
Reglstered CbarRty number
1202844
Pag¢ I

MRS CAWLEY'S LITTLE STARS OiEGISTERED NUMBER: CE032091)
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2025
Reglslered office
81 Fairfield Avenue
Kirk Ella
Hull
East Yorkshire
HUIO 7UN
Trusttt8
S O Cawley
M K Cawley
5 L Cawl¢y
Battkers
National westmi￿4teff Bank PIC
Hull City Centre
Hull
HUI 3YN
This report has been prepared itt accordattee with the special provisions of Part 15 of the Conwies Act 2(X)6 relating
to Small companies.
a3/.1./a0￿kn........
AppToved by order of the Ertlard of trustees on ..... ..... ..
and signed OD ils beha]f by..
MKCawky-
Page 2

MRS CAWLEYIS LITTLE STARS
STATEMENT OF FINAFICIAL ACTivfTIES
FOR THE YEAR ENDED 31 MARCH 2025
Period
26.4.23
Year ended
31.325
Ullrestrieted
funds
31.3.24
Notes
IP4COME AND ENDOWMENTS FROM
Donatio￿5 and le8acies
23.471
Other trading a¢tivities
2,$42
Total
6J88
23.471
EXP.ENDTfuRE ON
Raising fund5
9.978
6.771
NET INCOMFJ(EXPENDfnJRE)
(3￿90)
16.7(N)
RECONCILIATION OF FUNDS
Totsl fimds brougbt forward
16,7110
TOTAL FUNDS CARRIED FORWARD
13.IXO
16,7(M)
Th¢ notes form part of thes¢ fi￿181 thteDMts
Page 3

MRS CAWLEVS LITlll STARS (REGISTERED NUMBER: CE032091)
BALANCE SHKET
31 MARCH 2025
31J.25
Unrestri¢ted
fuDds
31.3.24
Tota]
fimds
Notes
CURRENT ASSETS
C&sh at baDk
16,7111
18537
CREDrroRS
Amounts falling du¢ withtn one year
(3,600)
(1.837)
NET CURRENT ASSETS
13,110
16,700
TOTAL ASSE73 LESS CURRENT
LL4BILrriES
13,110
16,7
ET ASSETS
13,110
16,700
FUNDS
Unrestii¢ted funds
13,110
16,7
TOTAL FUNDS
13,11(1
16.700
The ¢lJaritable wmpany 18 ￿ltIed to exemption from audit under Swlion 477 of the Conwes Act 2006 for th¢ year
ejyjed 31 mA￿h 2025.
The members have no¢ required the comparty to obtain an audit of its financial $ta¢enKnts for the year ended
31 Marth 2025 in ￿Ordance with Section 476 of the Comp8nies Act 2006.
The trus*¢s athiowledge their reSpo￿lbilItieS for
{a)
ensuring that the ¢haritsble Company keeps acc4)unting Tttords that comply with Se¢tioThy 386 and 387 of the
CotDpanies Act 2006 and
preparing financial statements which give a thie and fair vtew of the stst¢ of affait¥ of the clwitable ¢ompany as
at the end of each f]nan¢ial year and of its sU￿1￿S or deficit for ¢ach financial year in accordance with the
requireD1￿ts of Sfftions 394 #nd 395 and vknicb otherwise comply with the requirements of the Companies Act
2006 relating to financial stal¢ment& so far as applicable to the chan"tsble Company.
(b)
The notes fonn part of these financial statements
Page 4

MRS CAWLEY'S LITTLE STARS (REGISTERED NUMBER: CE032091)
BALANCE SHEET- ¢ontinued
31 MARCH 2025
These fjnancial statenlents have been prwaTd in accordance with the provxsions applicable to charitsble ¢oJnpalli¢s
subject to the small compati1&8 re8in
The financial sMtem¢nts were approved by the Board of Tn￿e9 and aut1￿ for issu¢
.aEI i./ak...................
and w¢re signed on its behalf by.
ey. Trustee
MKC
awky- Tru
Th¢ notes forni part of the8¢ fujancial siatements
Page 5

MRS CAWLEYIS LrrTLE STARS
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
ACCOUNTING POLICIFS
Basls of pr¢p*rlDg the IiDan¢lal stalejnents
The fllnncial $￿terneDL$ of th¢ d]aTithbl¢ company, which is a public benefit entity under FRS 102. hav¢ l*¢n
pr¢par¢d in accordan￿ with the Charities SORP (FRS 102) 'Accouniing and Reporting by Charities.. Statement
of Recommended Practice applic4ble to clwities preparing their accounts in accordattee Mpith the Financial
RqK)rting Sta￿dard applicable iti the UK attd Republic of Ireland IFRS 102) (efftdive l January 2019),,
FIna￿la￿ Reporting Standard 102 'The Financial Reporting Stsndard applic&ble in the UK and Republic of
Ireland, and the Compani&8 Act 2(M)6. The financial statements hav¢ been Prepared und¢r the ljistoricd wst
¢oiiv¢ntion.
In¢orn¢
All income is recognised in the Statrment of FintiticiJl knivities 01￿¢ the ¢harity has ¢￿ItIC￿ent to the fiuKls, it
is probable that the illcon￿ will be ttc¢ive414ttd the amount ¢an be measured Teliably.
Exp¢lldltur¢
Liabilities are Tecognised as expenditure Ls soon &$ th¢rc is a legal or ConStn￿tive objigation ¢ommitting the
charity to that expenditure, li is probable that a transfer ofeconotnic benefits will be required in settlement and
the amoullt of the obligation Can be measured reliably. ExpendItll￿ is accounted for on all ac¢ruals basis and h
been classified under headings thot aggregate ail ¢os¢ r¢la*d to the calegory. Where cosls carnot be directly
attnbut¢d to particular headings they have been allocat¢d to a¢tivities on 8 basis consista)t with the use of
T*x4tion
The charity is exenty from corporation tax (Trn IL8 ¢lwitable activities.
Fwnd attOUDtiwg
Unr&8tricted fimds can be used in accordance the charitable objectives at the disctttion of the tsuste¢&
R¢stri¢ted fimds can only be used for pirtieular restricted PUryK)ses within the obje¢ts of the eharity. Restri¢tions
arise when specified by the donor QT when funds are rdised for particular r¢stri¢ted pU￿s.
Donated good4 servi¢H and fac￿]11e5
Donated professional Se￿1¢eS and dollated facilities are recognised as incom¢ when the charity ha8 control over
tbe itm any ¢owlitions a&sociated with the donated item h8ve been meL the r￿e10 of economie bettefit from
the use by the chaTity of the item is probable and that ewnomi¢ benefii can be measured re]iably.
OTHER T114DING ACTIVITIES
Period
26.4.23
to
31.3.24
Year ended
31J.25
Fundraising evellts
1542
Page 6
Ilitiued...

MRS CAWLEVS LITTLE STARS
NOTLS TO THE FINANCIAL STATEMENTS- eontSnued
FOR THE YEAR ENDED 31 MARCH 2025
RAISING FUNDS
Rai5illg donations and leg4¢les
Period
26.423
Year ended
31.325
31.3.24
Support costs
1.800
TRUSTEES, REMUNERATION AND BETrIEFirs
There were Do ttustees, remujmtion or other ben¢fits for the year ended 31 Mwrh 2025 nor foT the period
ended 31 March 2024.
Tru8tet3' e4bellses
Thue We￿ no trusttts, ¢Kp¢nses paid for the year ended 31 March 2025 Th)r for the period ¢ntsJ
31 March 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
UnTestriet¢d
INCOME AND El+lDOWMENY8 FROM
DonatioL% and legacies
23.471
EXPENDITURE ON
Raisiti8 funds
6,771
NET INCOME
16.700
TOTAL FUI¥DS CARRIED FORWARD
16,71XI
Page 7
ontinued...

MRS CAWLEYIS LITTLE STARS
NOTFS TO THE FINATrICIAL STATEMENTS- ¢ontlnued
FOR THE YEAR ENDED 31 MARCH 2025
CREDrroRS: AMOUNTS FALLING DUE wrrHIN ONE YEAR
31J25
31.3.24
3,0110
1,837
MOVEMENT IN FUNDS
Net
movement
in funds
At 1.4.24
31.3.25
Unrestritted Ivnd
General fund
(3,590)
13,110
TOTAL FUNDS
16,700
(3A90)
13,110
Net movem¢nt in funds, in¢luded in the abov¢ ar¢ a5 foll¢)ws:
Incoming Resowces Moven)eni
expended
in ￿ttits
UDre5tricted funds
Generdl fiwd
6J88
(9,978)
(3,590)
TOTAL FUNDS
6J88
(9,978)
(3,S90)
Conwaratives for Jnovement ID hnd8
Net
ovement
At
31.324
UnrestrAeted fuLd$
General fim
16,700
16,7
TOTAL Fuf4DS
16.700
16,7
Compardtiye nei movement in i￿luded in the above ¥r¢ as follows:
Incoming Resources
Movement
Unrestrieted fund$
General fund
23,471
(6,771)
16,700
TOTAL FUNDS
23.471
(6,771)
16.700
P4g¢ 8
contitsued...

MRS CAWLEY'S LtTfLE STARS
NOTES TO THE FINANCIAL STATEMENTS- ¢ontillued
FOR THE YEAR ENDED 31 MARCH 2025
RELATED PARTY DISCLOSURES
Thcrc wete no related party transactions for the year elld￿ 31 March 2025.
Page 9