Sobeflstas CIO Forthe ye¥ended 28 Fetyary 2025 Statements OttYustèeS NSPOfLsINlltles The Trustees are responsible for preparfjnRtheTrueeS' reportand the finandal Statements in accordan with the CharitfjesAct 2011 and the Charltles {ACcnts and Reports) Regulation5 2LK)8. The law applicable to cha¥itle5 in EnKland and Wales requi$ the Trnstees to prepare financial statements loreach finarbcial yearwhith Efve a true and falr view of the state of affairs of the charity and of its iKomin8 resourcesand appllcation of restyJrees forthat perlod. In preparfng these financial ststements. the Trustees are required to.. select suitable accountiThg policies and then apply them consistentlv., prepare the financial statements on a reip1S and PaentS basis In accordance with the Charlties Art 2011 and the Ctharities (Accounts al Reports) Regulations 2CQ8,. makeludgments and accountin8 estimates that ale reasonable and prudent,. Prepa the fin•rKlal staterner on the Bn¥ concern basis urdess It s Inapprowlate to presume that the Charlty will continue in tWJ5ines5. The Trustees art re5wnsfjble for keeplre adequate accountlnB retordsthat are sufficlent to show and explain the charws trarartIOnS and dlsclose with feasonable atturacy ai any tlme the finantlal posltlon of the charty. and to enable them to ensure that the financial statemeThiS comply wlth the Charities 2011 and the ChaniS governing documenl. They are also pOnSIble for safeguardln8 the assets of the tharlty and for taklng rea50Thae eps forthe preventlon and detection of fraud and other Irregularltles. Approved ty.. Chrlsfjna Jane Hallett Date.. I12n025 16/ /"
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Soberlstss CIO Forthe ye•r ended 28 Febryary 2025 2024 Donatson Other Income 39.287 95,036 134.323 134,323 Accountancy fees Advertislng and PR Bank charges Low value purchases Management fees Other legal and prof Interest Software SubseriptlOn5 Training Telephone and intemet Travel and subStent Web hostin8 -1620 -13.783 -73,200 -3.711 -1682 -35.956 -7.517 -224 -2013 -1,034 -141,244 4,921 The trustees approve the ReipES and Payments Account and confirffl that they have made avallable all relevant records and infoimition for its prepalaiion. on behalf of the trustees Chrlstina Jane Hallètt Date.. 1611212025
Soberi5tas CIO Balance Sheet As at 28 February 2025 2025 Debtors Bank Current account 2.719 2,719 2.719 Creditors Bounce Back Loan Accrua Sean Kilbane Loan -5,027 .979 .7,582 .13.588 Nèt assets -IOB69 Unrestrlrted Funds Deficit Brought Fop*ard Net Profit .3,948 -6,921 -10.869 Total funds -10.869 These accounts have been prepared in accordante wrth the Charities Act 2011 and the Charities (Accounts and Reports) Re8ulations 2(K)8 Christina Jane Hallett Date 1611212025 16 [121