Charity Registration Number '. 1205914
ROCPSW
A CHARITABLE INCORPORATED ORGANISATION
TRUSTEES, REPORT
AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED
31 IANUAFIY 2025

ROCPSW
LEGAL AND ADMINISTRATIVE INFORMATION
FOR THE YEAR ENDED 31 JANUARY 2025
Trustees
PETRISOR POHRIB
CLAUDIU MIHAIL BALASA
DAN CRISAN
Charity Number
Reglstered Office
1205914
22 Warren Drive North
KINGS REACH
SURBITON
KT5 9LQ

ROCPSW
CONTENTS
FOR THE YEAR ENDED 31 JANUARY 2025
Trustees. Report
Receipts and Payments
statement of Assets and Liabilities
Notes to the Financial Statements

ROCPSW
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 JANUARY 2025
The trustees present their annual ￿port and financial statements for the year ended 31 january 2025
The trustees who are also directors of the charity forthe purposes of the Companies Act 2006, present their report
with the financialstatements of the charity for the year ended 31.01.2025. The trustees haveadopted the provisions
of Accounting and Reporting by Charitie5.' Statement ofRecommended Practice applicable to charitie5 preparing their
accounts inaccordance with the Fin3ncial Reporting Stand3rd applicable in the UK andRepLJblic of Ireland IFRS 1021
leffective I january 20191.
For the accountingJeriod 01.11.2023-31.01.2025 the charitywa5 entitled to exemption from audit under section 477
of the Companies Act2006 relating to small companies.
The members have not regul￿d the company to obtain anaudit of its accounts for the above period in question in
accordance withsection 476.
This report was approved by the trustee and signed on its behalf by..
PETRISOR POHRIB
Trustee
Date .' 14 August 2025
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ROCPSW
RECEIPTS AND PAYMENTS
FOR THE YEAR ENDED 31 JANUARY 2025
Cate9orles
Receipt5
Bank donations
Vnrestrlrted
funds
Restrlcted
funds
Endowment
funds
Total funds
Last year
28,479.00
28,479.00
Cash Donations
27.950.00
27.950.00
Sub totallGross income for ARI
56,429.00
56,429.00
Total rn¢èipts
Payments
Start up costs incurred in
generating new source of future
income
56.429.00
56.429.00
912.00
912.00
Bank charges
Rent collection. property repairs
and m3inten3nce charges
Charity management &
administration
Charity running cost
Donations
180.00
180.00
8,990.00
8,990.00
686.00
686.00
2,151.00
2,151.00
1.852.00
1,852.00
Printing Stationery
Religious activities
236.00
236.00
2,599.00
2,599.00
Subtotal
17.606.00
17,606.00
Asset and investment purchases
Fixtu￿$ & Fittings- Additions-
C05t
19.283.00
19.283.00
Sub total
19,283.00
19,283.00
Total Paymènts
36.889.00
36.889.00
Net of receiptsllpaymentsl
19,540.00
19,540.00
Cash fund5 last year end
Cash funds thls year end
19,540.00
19,540.00
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ROCPSW
STATEMENT OF ASSETS AND LIABILITIES
FOR THE YEAR ENDED 31 JANUARY 2025
Catt9ori•s
Dttails
Unrèstricted funds
Restrlcted
income fund5
Endowment
funds
Cash funds
Cash at bank
and in hand
19.540.00
Total Cash Funds
19.540.00
Details
Fund to which asset
belongs
Cost loptionall
Current value
loptionall
Assets retalned for the
Charity's own use
Fixtures &
Fittings
Unrestricted Funds
19,283.00
The financial statements were approved by the Board on 14-Aug-2025 and signed on its behalf by..
PETRISOR POHRIB
Trustee
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ROCPSW
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JANUARY 2025
l. Accounting Policies
The principal accounting policies adopted by the Charity, which is a public benefit entity, in the preparation of the
ccounts are as follows.
1.1 Basls of preparatlon
These accounts have been prepared under the historical cost convention, as modifi'ed by the inclusion of charitable
properties and fixed asset investments and investment properties èt valuation.
These accounts have been prepared in accordance with 'Accounting and Reporting by Charities.. Statement of
Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting
Standard applicable in the UK and Republic of Ireland IFRS 1021" (effective I january 20191 (Charities SORP IFRS
10211, the Financi31 Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 and the Charities Act
2011.
These account5 are presented in pounds Sterling and rounded to the nearest pound.
1.2 Going concern
The Trustees have prepared linaNcial projection5, taking into consideration the CLJrrent economic condition5 and
have, at the time of approving these accounts, a reasonable expectation that the charity has 8dequate resources to
continue in operational existence for the foreseeable futu￿. Thus they continue to adopt the going concern basis of
accounting in preparing the accounts.
2. Income from Donations and Legacies
Analysls
Unrestrlcted funds
Total funds 202S
Total funds 2024
Bank donations
Cash Donations
28.479.00
27.950.00
28.479.00
27,950.00
56,429.00
56,429.00
3. Expenditure on Raising Funds
Analysls
Total funds 2025
Total funds 2024
Start up cost5 incurred in generating new Source of future income
Fient collection, property repairs and maintenance charges
912.00
8,990.00
9.902.00
4. Expenditure on Charitable Activities
Total funds 2025
Total funds 2024
Analysls
Bank charges
Charity management & administration
Charity running cost
Donation5
Printing and stationery
Religious activities
180.00
686.00
2,151.00
1,852.00
236.00
2.599.00
7.704.00
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5. Cash at bank and in hand
Totsl fvnd$ 2025
Totsl fund$ 2024
Cash 3t bank and in hand
19,540.00
19,540.00
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