SENFOCUS
TRUSTEES REPORT AND ACCOUNTS
28" FEBRUARY 2025
SENFOCUS
38 Richmount Gardens
LONDON
SE3 9AE
Phone: 07921026523
Emall: iifiiL.
Webslte: 'Il 11 1,'s1'iif(*i-Ii%.ro.i)kf

SENFOCIIS
REPORT OTr TIITr. TRI,:STlTr.Tr"ts TrOR THL VEAR LNDED 28
FF.BRIIARI' 202
Thc tru%l¢¢% ol ¢kniiiy present i1￿1r [c￿)rt with the financial qatciwnls
of th¥ Lharily for ihe year eNIL￿d ?8 Fcbmary ?O)S Thc ITUStcc> have
adoptL.d ihL pri)vision% ol. Stsi¢meDt uf ReLvmmcnded PraLtILe ISORP)
'ALLoiiniingi and RLlX)rting by Charilics. in March ?005.
REFERENC'.L AliD,IDIIII%ISTIL4TIN'E DETAILS
R¢¥I￿tered C'h*rit)' Number: 1206695
Rezisttred
S(ILiili-Etsi Lond()n Communitv SDA Church
71) 1 l¥r()n RVJ
HirnL I lill
Lvndon
SF.?4UIIII
Trustees
MrN Tililopc OdiTO
Mr Adesola Sewo
Mr oladlpu￿ Adcown
Mr l..mnianuLI ()nal>Jnj4)
Trnsicc IC"hairl
Independent Tr.xami*ers
X-siar M41nagcm¢iii Servicc5 Limiicd
53 %axi'illL Rc)ad
Qry)in&Tlon. Kent
BR5 3AN
B*nker5
Nalw¢%i Ilank

STRUCTUR4 GOVERNANCE AND IAANAGEMENT
• Governin% document
ThL ¢I￿rIty is conlrolld by Its goi'crning d￿umcnI. Ihc Conslilulion and
Lon%lililtL% a Lharil!,. by thL LknriliLS ALI ?01 I.
. Membership of trnstee boanL
ThL 1rnsieL'S of thL Lharily arl also voluntary intsteL"s for ihc purposcs of
chJrily law under ihe charity'% Con%lilulion are kTh)wn as mem￿￿ of
• Indyetiott ¥nd trxininE oftrns1tt5
All iru%lLL% JfL lainiliar u'iili tl)L pfaLtiLal *ork of ihL' Lharity and lioi'i
Iindert4?kcn irninfftng io wnx)rt ihcir rolc.
• Organisational stryetknre
Tl)L I.rUbl￿ Board iii¥Cts quartfTly and a quancrly bTanch Ic¢dback ¥￿.￿rt
is bijs'¥n al L-JLh mieting. ThL" C hair of I￿. InL%ieL* Imiard. Mr% C)din> has
thL additioiial rcsponsibiliiy for thL day to day owaiional Inaiiagciiicni of
thL Lliarity 4Up￿)rf￿d by an athninistralivk ￿lrL.1ary and uilK'r profL*%iI)tMI
wlio work on a i¢mporary basi
• Rh%k m*naRtment
-I'hc I ru%lLL% havc a duty lu idcniily dnd ￿￿le￿. Ihc ri%k% lo wl)iLh thc Lharily
1% Lx1X)￿d and io ¥n%ure appri>prial¥ wniA)l% are in placc tu prtivi&.
rL"i%ibn:IhlL a¥rJin%i fnud and ¢rror.
IiitLrnal Lonirol risk5 are niini1ni￿d by ih¢ implLYnLnlalioii of Pff*CdurL￿ for
auilii)risalii?n of nll irarnsaLlic)ns and pft)jcct%. pr￿edul￿.￿ an<1 rilk
a%4¥'ssm¢nt% arL" in plxc Io ¢D5ure LY)InplianL¢ il'iih Health and Safely of
vi?lunieL"rn: children. and %'i%iiOrn io t1￿ charily-

OBJECTIVES AND ACTMTIES
Achievements 2025:
INANC"IAI. ITr:IV
-I'hL r¥%uli.% li)r iliL ycar and ihe finanLial p)siiion of ihe chariiy are shown in
the annLxLd finanLial slatcmLnls. Th¢ lolal in¥omin&y rcwurLLS for ?0?4 was
£73.6l)3. Therc ha% been an increase in aciii'itTh thanks to ihc funding. from
GrL'Lnwich C4)unLiI. Fulurc activilics will dwnd on ¢xlra funding from il
C"vun¢il and addiliunal sup5m￿ fft)m i￿. ol.our ￿Tr.1¢￿￿.
ReserTres policy
Th¢ chJriiy 1% keeping an appropriate Ic￿e1 of ￿TI.e5 lo protcrt ilsclf again%1 any
unforL4¥Ln ￿￿￿nIU￿1ll1￿5. '1'1)L' ihJriiy li&N II)L objLxiivL Io th4uifL' a bi¥&>¥r vLnuc
Ii) alLumi)io￿ll thL' nUM￿r i)f applying foT our Servic￿1.
Princip81 fundin% sourres
At pre.%Lnt ilic clurily 14 fun(kd ihrougli ihL London Bon)u&h 4)f GrcL'nwicli and
Lxifil SUl4X)rt from ￿%c￿ H'hiLh its nol biuarnnicd. Iv all il% prinLipal

The lrn%lLL% arL' fL'%pon%iblc for prcparing finanLial ￿leMentS in acLordancc ￿'ith
applicablc law and United Kingdom Gcnerally Acccptcd A¢￿V￿ling Prnciice (UK
CJAAP).
Ch.Irily law rcquircs ihL- lo prLpre financial ￿aiLM￿ni% for caLh
tinancitil y¢ar. Under that law thc tnLsILx% hal'c clccicd io prepare il
rirbanLidl stalLIIILnts in ￿LonIan￿C Thiih ihc Unilcd Kingdom (iLllLrdlly
ALLLpIL<I ALLounling PrJLtiL¢ {UnilLxI Kiiigdoin ALLvuniinb* SutvJard% arld
appliLdblL law). TIIL finanLial 51al¥￿)in1ts arL ￿qUir￿d by lilm, 10 bViVL a truL
and lair vicw. of ihe siaie of alTairs of I1￿ charilahlc company and of i1￿.
surpluts ur dLfi¢ii of ihL charitsblL company for i1￿1 pcriod. In preparing
Iho%L linanLial %taliin¢nl%. IhL Iru%lLC% dfL fLxiuifL'd io:
s¥ILLI %uiiJblL acLountin4 ￿￿]iL]L% and ihLn apply them LY>n%i%lcntly:
niakc Judg￿M¢ni% and ￿lm￿l￿t4 ihat arc rcawnable and prudenl.
prLpar¢ ih¢ financial sutLinLnls on ihL going conc¢m basis unless it is
inapprvpriatL 10
prclumc thai ihc ilwrilabl¢ L￿mP￿￿Y H'ill Li)nlinu¢ in
bu5inL"K4.
Tli¥ Iru%lix* are rL'wn%iblL for kiepinb pnwr aCLvunlin¥ rL*'ord4 whicli
￿.111} r¢￿nabl￿ ￿LUr￿lY al any tiinL ili¥ fiNn¢ial w%iiiibn of fk.
Lli'irildhlL L(Trinpany a￿1 li) enable tIiLXn to cn%urL ihJl ihL lin&inLial
lJliinL'nl% Lumply wilh IhL Charitie% ALI ?01 l. Thcy Ilsv rL'SW)n%iblL
l(?r S411L￿￿tIlUrdlnbI ih¥ Ill. IIK. Lhariiy and hL￿)Ll fc)r takinup rLaM)Wl4thlL
4ILP% for ihc prL'%'cnlion and dcl¥Ylion of linud and other irrcgularilics.
A. STATEMENT TO DISC'LOSIIRE OF I.%FORMATION TO
SD lar IhL Inl%teL'% arc a￿'ar¢. Ihcw is no r¢l¢i'ani infonnation of ￿h1¢h
thL Lliarily % ]ndL"PLndL￿I LxJminLP% unam'arc. and LJLh irustLx. lia% takcn
all ihL %ILps ihai i￿Y oub'hi io hlli'e iakLn a tru%lee in (wdcr lo InakL Ihem
arL C)r Jny L.xaminaiiun infi>nnalic)n armj io V*lablish ihat thL' Lllarily
indLPLndLnt cxamirKr% aM'dfL' iifiliat infi)rniatic)n.
Tlii InLIL￿1K1¥nl LXJllliTKf*. X-siar Mandbiiincnt SL"TrILL% LiLllhtLd ivill F
pri)￿)%￿￿ lur r¥-JppulnimL￿I at tlK forthL"omin¥ Annual (iLnL'rdl MLxliii¥.
()N' Bfr.11A1.Tr' Ol* TllTr. BO,IRD..
DatL". 01 JO.11?O?S
Mr% Trili¥ily Odiro
C'h*ir tsf I.rnSte￿ Board

INDEPENDEMf EXAMINER'S REPORT
TO THE TRUStEES OF SEMFOCU
This re￿rt is made sdely lo the Tnthes wOh Se(IKm 145 01 Chaiil*sAd ￿11. My
work has i%en wthflaken 50 that we rIW￿lS￿l* to the (tsity's Intsioes thrtse matterswe am req￿red to
slale them in an Indewdenl Exarninw's Teptsrt aTh1 for othei To thè fullesl &xlenl peTmilted by
law, we do a¢￿PIor rep4XWt4lity b any(Th other than the c￿￿[th Ihe Churths twusl*s
lor our examinalion w￿.
R•sp•¢tiv• ¥•$P￿Ibl1ItIts d Trust••sand Ex*nThi
The Charity's twuslees ore lor the pw*alkyt ol the TW ¢xffisider thal an au(lil is
not r¢quired for Ihis year {￿der sec1•￿ 144 of the Chdtthes Act 2011 (the Chantse5 klll atx* Ihal an
independBnt ex0mmo￿Ort is rnthj.
It is our [eSwn￿tX'lIIY b-.
Exam*)e the Sed1￿ 145 di1¥2 Chuwilitska
To lolow Ihe priJcethJres l&hJ ￿eTaI Dlraclkwts lyrf Ihe Ch*lty Cthnmlssk
lur¥Jef SedK¥) 14515Xbl of thg Adl: aThJ
ol Ind•pgndort Examinerfs rnpthl
Our examinaiK)n was c8rr*d out in ￿COld￿l*l￿ the Gelml Drt¢lK¥n i•¥en by the Chwity
commissi￿r.
An exam*)atTh ofth• ieLuds kept by Ihe Chw¢h and 8 gxnparison ol thtt
accounls pr88anled wlh IIw)8• roo)Tds. 11 also iNJwle8 ol any unusual it•n8 ¢y ¢Jixknur¢s
the acwjnts and seeking •xplthMli)ns Iwm a8 trusl8es conc*wr*r¥J mattews.
The PFor8dure¥ Thjtprryth all lkne e¥id8rKe be rewif•J in an audil, and
Ilmlttd lo m&tters 8•t wt in the sta*rnenl bdtMT.
Indep•ndent Examlnerfs $ts*meftt
• to keep a￿oUnti[¥￿ accord￿ *ilh Sec1￿ 130 ofthe Charii*s Act,. and
requ¥ement5 01 Ch8nbes kt
Have not been nbt,. ¢x
2. Tr) our opii¥Jn. alknnlvm shtyJkJ oTd8r b) enaFAo a pw uthrnl8nding oflh8
a￿￿unt5 to be ￿d￿J.
EMMANUEL 14TIM. ACCA
X-star Management serv￿ Lmnilpd
53 Saxville Road
Orpington. Kent
BRS JAN

SENFOCUS
ATEME*￿ OF FINANaAL ACtJVmES
FOR ACCOUNTS PERIOD ENDED 28th FEBRUARY 2025
NOTE GENERAL RESTrICTED TOTAL
2025
TOTAL
2024
INCOMING RESOUR
Grants Reclved- Greenwich Councll
Frants from Go London
Fees Income
Investment Income
77.293
5.280
77.293
5.280
2.189
2.189
TOTAL
8L573
84.762
IIESOURCES EXPENDED:
CHARITABLE EXPENDITURE:
8ullding Projects
Management & Admlnlstratlons
TOTAL
77.841
77J41
77.841
77Wi
NET RESOURCES EXPENOEO:
2,189
4.732
6,921
NET MOVEMENTS FUNDS
8ALANCE BROUGHT FORWARD
NET RESOURCES EXPEhlSEO
TOTAL
8ALAN(E CARRIED FORWARD
2.189
4.732
6.921

SENFOCU5
BALANCE SHEET AS AT 28TH FEBRUARY 2025
2025
2024
Nonlurrent Assets.
Tangible Non-current Assets
other
Total Non-CurrentAssets
&ioi
8.101
Cuffent Assets:
Cash at Bank
Debtors
Prepayments IRent DeFK>siII
Gift Aid Receivables
Total Current Assets
5.893
CREDITORS:
Amount falling Due within one year..
AccTua15
loans
Other Ciediiois
Total Cur¥ept Uabllltle5
6.573
7,073
Net Current Assets
6.921
FUNDS:
Accumulated Funds
Surplus for Ihe year
6.921
6.921
Signed bv:
Name.'M5 Felicity Odiro
Posltion: Chairman of Trustees Board
Date: OS/0112025

SENFOCUS
NOTES TO THE FINANCIAL STATEMENT- 2￿ FEBRUARY 2025
ACCOUNTING POUCIES:
The financial statements have been prepared in accordan￿ with applicable accountin8 Standards and
the Charities SORP.
The financial staternent5 have been prepared under the historical cost convention except for the
valuation of investment assets. which are shown at market value. The finaEicial statements indude all
transactions. assets and liabilities for whKh the Charity is responsible in law.
Restri¢ted Funds represents donai*)ns or grants received for a specific object or invited by the Charity
for a specific object. The funds may only be expended on the specific object for which they were given.
Any balance remaining unspent at the end of each year must be carried forward as a balance on that
fund.
Genernl Funds {Unrestri<tedFundsJ are pneral funds which can be used for ordinary purpose5.
INCOMING RESOURCES:
Voluntary fee contributions are recognised when received.
Amounts receivable under covenant are ￿¢08n1$ed only when honoured by the covenanter.
Income tax recoverable on covenanted or gift aid donations is recognised when claimable.
Grants and legacies are accounted for as soon as the charity ts notified of its entitlement. Funds raised
by the fete and similar events are accounted for 8ross.
RESOURCES EXPENDED:
Grants and donations are accounted for vlhen paid over. or when awarded. if that award creates a
binding or constructive obligation (¥) the board of trustees..
FIXED ASSET5:
Other fixtures. fittings and oflice equipmeTri are stated at COSI when inturred.
DEPRECIATION:
Flxturos and FilllrrfJs
EquSpn*nt

SENF(KUS
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 28FH FEBRUARY 2025
2025
2024
INCOMING RESOURCES
General Restricted
Total
Total
Grant - Royal Borough of Greenwich
Go London
77.293
5.280
77.293
5.280
Fee Income
2.189
2.189
Refunds
Investment Income
82.573
84.762
RESOURCES EXPENDED FOR THE YEAR ENDED atsr DECEMBEII 2024
2025
Mgt & Adm5n
2025
Total
2024
Total
RESOURCES ExpÉf4DED:
LESS EXPEt45ES
Difett Cost
Cleaning
Health
Insurance
Office Expenses
PostagelPriniing
Professional Fee5
Rent
Repairs & Maintenance
Training
Accountancy
Transport
ebsilellT
Subscripiions
Travel
141.634
17
550
362
2.607
50
46.848
4.907
5,775
930
14.634
17
550
362
2.607
so
46.848
4.907
5,775
930
63
150
104
77J41
63
150
104
77￿41

SENFOCUS
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 28Th FEBRUARY 2025
Fèes:
rolates lo voluntsry fees contributKJn tO¥Wdrds the aclNtss of the chaiity by willing
users, usually not more than £5 per usew per sessK)n.
Grant:
This relat6S to grants received from the Royal Greench Counca.
Direct Costs:
Diiecl costs relate to direct exp8NJiture on our aclrwit*s such as food. snacks. tools et¢
Professional Fees".
This relates to vamus prof8ssxffi* pa#J to provwje Iherapeulr Se￿￿8$ as wel as
management services.
Repalrs and Malntenance:
This relates io cost of replacing proken toys and equipment.
Tralnlng:
This relates to cols of train¥￿ undertaken by management.
io

SENFOCUS
NOTES TO THE ACCOUNIS- 28Th FEBRUARY 2025
TANGI8LE FIXEO ASSEts:
Equlptmert Furniture & FTOTAL
COST/vALUATION
Bal as at 0110312024
Addilboris
Bal as at 2810212025
4.913
3.188
8.101
4,913
3.188
B,ioi
DEPRECIATION:18ays- SL 25%1
Balance a5 at 0110312024
Charge lor ihe year
Balance as al 28TH FEBRUARY 2025
NET BOOK VALUE
Bal as at 0110312024
Bal as ai 2810212025
4.913
8.101
8,101
5. Bank & Cash B•lance>
2024
Natwest 8ank
5.893
5.893
6. Creditors .' (Amount Fallin8 thje within one year}
2024
2023
Accruals
Loan