REGI￿ERED CHARITY NUMBER: 1206567
REPORT OF THE TRusfEES AND
FINANCIAL STATEMENTS FOR THE PERIOD 16 JANUARY 2024 TO 31 MARCH 2(12S
FOR
UNIFORM FOR ALL
P B Syddall & Co
Chanered Aeeountants
Grnfton House
81 Chorley Old Road
Bolion
lanc&%hire
BLI 3AJ

UNIFORM FOR ALL
CONTENTS OF THE FINANCIAL STATEMENts
FOR THE PERIOD 16 JANUARY 2024 TO 31 MARCH 2025
Pa8e
Report of the Trustees
I￿2
Independent Exomin&s Rewt
Swement of Finan¢i41 A¢tiviti¢s
Balan¢e Sheet
Notes to the Fina￿l￿1 S¢atemtnts
6t07
Detsiled Ststement of Financial A¢tivities

UNIFORM FOR ALL
REPORToFTHETRu￿EES
FOR THE PERIOD 16 JANUARY 2024 TO 31 MARCH 2025
The tru5te¢$ present their rewjrt with the financial of the charity for the period 16 January 2024 to
31 March 2025. The trustees hav¢ adopied the provisio￿$ of the Sra*meDi of Recommended Prnctice ISORP)
'Accourttin8 and Retthin8 by Clwitics, issued in Ma￿h 2005.
REFERENCE AND ADMINISTRATIVE DETAIIS
Registered Charity number
1206567
Prlnclp#l *ddrus
9 Green Hill
Bacup
OL13 9NY
Tru$tttJ
J A Waller
J Nealon
R Hughes
G Du(fy.McConnack
Independent examlner
Adam J Syddall MA FCA
Institute of Chanered A¢¢ountsnts in En8land and WAI¢s
P B Syddall & Co
Chartered A¢counlants
Grafton House
81 Chorley Okl Road
Bolton
Lancashire
BLI 3AJ
STRucfuRE, GOVERNANCE AND MAJY AGEME
Governlng docurnent
The charity is controlled by its gov¢rnin8 thumenL a deed of tn￿t and con*itute a charitabl¢ In￿r￿rnt¢d organisation.
Related p*rtl
There were no r¢l*ed F4rty trBnsactions in the year.
Rlsk rn•n•gemeTri
The trustees have a duty to identify and review the risks to which the chariry b exp)s>J and to ensure appropriate
controls are in place to provide re￿Onable assurance a8ainst frwd and oThr.
O&JEcfivES AND ACTIVITIES
Obj¢¢tiw¢s and alms
The preveniion or relief of poverty in Kochd41e Borough particularly for youn8 people by providing.'-
- recycled and good quality school unifomi
- other clothing and foon¥ear items to individuals in need
- lo ¢harilies or oth¢r organi￿lOn$ working to prevent c* relieve p)vuty that they could not otherwise afford
Public benefil
The trustees have given due regard io the guidan¢¢ published on the tharity cornmission website gnd are satisfied that
the clwity has met the conditions rel￿1￿8 10 pjblic benefiL
P88e I

UNIFORM FOR ALL
REPORT OF THE TRu￿EEs
FOR THE PERIOD 16 JANUARY 21124 TO 31 MARCH 2025
ACHIEVEMENf AND PERFORMANCE
Cb4rltxble a¢tlvities
We wntinu¢ to serve Rochdale, Heyiv(rf Middl¢ton and Pennine families with r¢cycled uniforn￿. We Cwrently have
items for 76 PTiTrwy SCh￿IS and 25 secondary Sch￿￿. Our prtxnises at Globe How4¢ are 3(Kl 4uare fed. At our busiest
lin￿, r￿¢]Ying 120 requests in 2 days.
Throughout th¢ yepr w¢ have given 15.OCKJ uniforms and h¢lp¢d 2.000 families. The avernge eost per iiem is £15
(newl and &% such we have saved families a totsl of £225.000. The avernge weight of ¢o¢h item is 200 grams. therefore
we have saved 3.3 10tt8 of textile wasie from landfill.
FINANCIAL REVIEW
Reserves poliey
The Charity l¢x)ks to maintain general reserves of £5,000. As at the ye#T end the ¢lwity had 8enern] reserves of £3,384.
Th¢ truste¢s continue io wotl( hard with funding applications.
FUTURE DEVELOPMENTS
The charity i$ ¢xtr¢mely dependent upon the voluntary houvs in by the ¢h•ir of Dits*es. The charity has applied for
nding to give paid ¢mploym¢ni of 16 hours per week io another unrel*ed party. bui sadly this was declined. The
trustees will need to give careful con5iderntion as io wh¢th¢r the charity can coniinue in its current fonn without fityther
fvndin8.
Approved by order of the board of trty%tees on ..............
. and $I￿ed on its behalf by..
J A W4ll¢r - Tn￿tte
Pa8e 2

INDEPENDE￿ EXAMINER'S REPORT TO THE TRUSTEES OF
UNIFORM FOR ALL
I report on the accowts for the period 16 January 2024 to 31 March 2025, which are set out on pages ftiur to seven.
Responsibilities and b*si% of report
As th¢ charitys trusttts you are reswJnsil)l¢ for the t*eparation of the accounts in accordance with the requirements of
the Charities Act 2011 (kn¢ Acn.
I have examined your charitys accounts as required undeT se¢tion 145 of the Charities Act 2011 Cthe Ac¢). In ¢aTrying
out my ¢xaminalion I have followed the Directions given by the Clwiry Commission under se¢tion 145(5Xb} of the
2011 ACL
My role is to state whether any tt18*ri41 n￿lleTS have corne to my attention giving me cause to believe..
accountin8 records weTe not kept as required by seaion 130 of the Act. or
the accounts do nol accord with those record8. or
that the a¢¢ounts do nol comply with the a¢¢ounling requirements of the Ad; or
thai there i$ fvrther Inforn￿ll0n needed for A proper understsnding of the accounts.
Independent ex*mlntr'J stattment
I have completed my examination and have no Conce￿ in resFttt of matters (l) to (4) listed abov¢ and, in
conn¢¢tion with following the Directions of the Charity Commission J have found no matters that requir¢ drnwing to
YOUT attention.
Adam J Syddall MA FCA
Instiiute of Chartered Accountants in England and Wales
P B Syddall & Co
Chartered Accountsnts
Grafton Houx
81 Chorley Old Road
Bolton
Lancashire
BLI 3AJ
D4t¢".
Page 3

UNIFORM FOR ALL
STATEME￿ OF FINANCIAL ACTIVITIES
FOR THE PERIOD 16 JANUARY 21)24 TO 31 MARCH 2025
Unr¢s¢rie¢ed Restrleted
fund
fvDds
Total
funds
INCOMING RESOURCES
IneomlnE resourees from gener*ted funds
Voluntary income
Incoming re￿￿rr¢S from cb#rltable acdviti
Charitsble activilies
8.784
8.784
7.734
7,734
Total rewutt¢4
8.784
7,734
16018
RESOURCES EXPENDED
Ch8ritable ietivlti¢s
Charitable activities
Gov¢rniM¢e eosts
4,861
539
6,161
11.022
540
Tot*1 rejourees expended
6.162
11.562
NET INCOMING RESOURCES
IA72
4,956
TOTAL FUNDS CARRIED FORWARD
3J84
lJ72
4.956
The no￿ forrn part of th¢8¢ fman¢ial staten
Page 4

UNIFORM FOR ALL
BALANCE SHEET
AT 31 MARCH 2025
Unresiricied
Trd
Restrieted
nds
Total
funds
Noies
CURRENT ASSETS
Cash at bank
3.924
lJ72
5,496
CREDITORS
Amounts falling due within one >rar
(540)
(540)
NET CURRENT A&SETS
3J84
lJ72
4,956
TOTAL ASSETS LESS CURRE
LIABILITIES
3J84
lJ72
4,956
NET ASSETS
3J84
lJ72
4,950
FUNDS
Unrestricted funds
Restricted funds
3J84
lJ72
TOTAL FUNDS
4.950
The financial $tstements were apwoved by the Board of Tnty*es on .
behalf by..
l...l.'Septr.a.o.25
. and were 5i8ned on its
J A Waller-Tn￿tee
The Dotes forni part of these find￿la1 5tatanents
P8ge 5

UNIFORM FOR ALL
NOTES TO THE FINANCIAL sfATEMENf6
FOR THE PERIOD 16 JANUARY 2024 TO 31 MARCH 2025
ACCOUNfiNG POLICIES
A¢¢ounting conv¢ntS0
The fman¢ial $￿ernents have been prepared under the historical cost convention. and in accordance with the
Financial iieporting Siandard for Smaller E￿illI¢S (effective April 2008), the Charities A¢t 2011 and the
requirements of the Sthtement of Recornmended Practi¢¢, Accounting and Reportin8 by Charities.
Incomlnz resourees
All incoming resources are included on the Statemert of FitiatKial Activities when the ¢harity 15 legally entiiled
io the income and the am0￿1 can be quantified with rt&%Mable accuracy.
ResouT¢eJ expended
Expendilure 15 accounied for on an acmls bL%is and has been Cl￿SIfIed under headin8s tha¢ aggregate all cost
related to the category. Where ¢05ts Cann￿ be directly attribuied io parti¢ular headings they have b¢¢n allocated
to activiti¢$ on a basis conSi￿eThI with the use of res0w￿.
T•x*¢lon
Th¢ charity is exemw from tax on its charithbl¢ •¢tivi¢ies.
FvTrd *£eountlD¥
Unrestricted funds ¢an be wed in ￿e0rd￿tt with the clwithbl¢ objectives ￿ th¢ dis¢re¢ion of the tsw*es.
Re5tricied fi￿d$ con only be used for parti¢u14r restricted purpos¢s within the objects of the tharity. Re9tri¢tions
ari5¢ when specified by th¢ donor or when funds are rnised for particular restricted Purposes.
Further explanation of the and of each fund is irtr1￿ in the now to the financial stht¢meni$.
TRUSTEES, REMUNERATION AND BENEFITS
Ther¢ were no tr￿$te¢s. remuneration or oth¢r benefrts for the period ended 31 March 2025.
Trnstees, eIpeng
There were no tDJsttts' expenses p•id for the wiod ended 31 March 2023.
CREDITORS.. AMOUNTS FALLING DUE WITHI]Y ONE YEAR
Other ¢r¢ditors
540
MOVEMENT IN FUNDS
Net
movemeDt In
funds
Al 31.3.25
Unrestrlcted fundi
General filnd
3J84
3J84
Restrleted fuuds
Township Flu￿￿18
1.572
lJ72
TOTAL FUNDS
4.956
4.950
Page 6

UNIFORM FOR ALL
NOTLS TO THE FINANCIAL STATEMEiYfs- CONTINUED
FOR THE PERIOD 16 JANUARY 2024 TO 31 MARCH 2025
MOVEMENT IN FUNDS- continued
Net movement in fund4 I￿luded ID the above aff 4$ follows:
IDeothini
Rtsourcu MovemeDt in
elpended
fuDd$
Unr¢stri¢ted funds
General fvnd
8,784
(S,400)
3J84
Restrlet¢d funds
Township Fundin8
Restri¢t¢d fund
1.734
1162)
(6.IKIO)
lJ72
7,734
(6,162)
1,572
TOTAL FUNDS
16,518
(11062)
4.956
RESTRICTED FUNDS
At the year ertd th¢ Charity had £1,572 remiining in the Rochthle Borough Council Township Fundin8 8rant.
Thij is restrictrd io b¢ spenl on uniform sw and office supplies.
Page 7

UNIFORM FOR ALL
DETAILED STATEMEIYT OF FINANCIAL AcfiviTIES
FOR THE PERIOD 16 JANUARY 2024 TO 31 MARCH 21125
INCOMING RESOURCLS
Volwntary income
Donations
8,784
Incomlng r¢¥ourees from ¢barlt*ble athltl
Grants
7,734
Tot•1 IncomiDg rejources
16018
RESOURCES EXPENDED
ChArltable *etlvttl¢s
Uniforn)s
Laundry
5.621
361
5.982
Governance C￿ts
Ac¢ountsn¢y
540
Support eojts
Management
Insurance
Trav¢lliDg
Volunie¢r lunches
Repairs and renewBIs
Adv¢rti$in8
Sundries
1,819
572
1,369
84
Flnanee
Bank chary¢s
Inform*tlon tethnology
Computer costs
36
1,014
Total regources expeDded
11.562
Net Income
4,956
This page does not fonn part of the statu¢ory fthanciAI stst¢ments
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