Registered Charity Numbér
1207180
The Registered Company Number is.. 12024686
THE VALUE ADDED CENTRE
Trustees, Report and Financial Statements
For The Year Ended
31 May 2025

THE VALUE ADDED CENTRE
Report and accounts
Contents
Page
Charity information
Tnjstees, Report
ststement of Trustees, ￿sponSIbl1111eS
Ind8p8ndent Examinerfs report
Statement of Financial Activiknes
Balance sheet
NOt¢￿schedule to the financial statements

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Charity Inforniation
Trustses
Gbeminiyi Daniel
Janay Mwanza
Anthonia Justin
Ameena Lonaigh Antoinette Edwards
Independent Examiner
Daniel Dele-ojo
Chartered Certified Accountants
Untt One
Kings Estate
Broaway Parade
Hornchurch
RM124RS
Bankers
Metro Bank
One Southampton Row
London
WC1B SHA
Prlncipal address
47 Ravenscar Road
Surbiton
KT6 7PJ
Registered number
1207180

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Report of the Trustees
The trustees present their annual ￿POrt together with Ihe financial Statements of The V8lue
Added Centre (the ¢harity} for the year ended 31 May 2025. The Trustees confirm that the
annual report and financial statements of the charity comply with the cu￿ent ststutory
requirements, the r4uirements of the charity's goveming document and the provisions of the
statement of Recommended PraCt￿e ISORP}'Accounting and ReF)0t￿ng by Charities"
issued in March 2005.
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Statement of Trustees. Responsibilities
The Charities Act requires the Board of Trustees to prepare financial ststements for each
financial year which give a true and fair view of the state of affairs of the charity as at the end
of the financial year and of the surplus or deficit of the charity. In preparing th09e financial
statements the Board is fequired to.. -
select suitable accounting policies and then apply them Consistently.,
make judgements and estimates that a￿ reasonable and Pfudenl., and
prepare the financial statements on the going COn￿M basis unless it is
inappropriate to presume that the charity will continue in business.
state whether applicable accounting standards and statements of
recommended practice have been foltowed, subject trj any material
departures disclosed and explained in the financial statements.,
Th8 Trustees are also responsible for maintaining adequate accounting records which
disclose with reasonable accuracy at any time the financial F)OSition of the charity and whi
are sufficient to show and explain the charty's transactions and enable them to ensure that
the financtal statements compty with regulations made under the Charib'es Act. They are also
responsible for safeguarding the assets of the charity and hen￿ for taking reasonable steps
for the prevention and detection of fraud and other irregularities.
The Irustees are also responsible for the contents of the trustees. report, and the
responsibility of the independent examiner in relation to the trustees, report is limited lo
examining the reFK)rt and ensLtring that, on the face of the reporL there are no inconsistencies
with the ffgures disGlosed in the financFal statements.
This report was approved by the board oftrustees on 7 April 2026 and signed on its beha￿ by:
Gbeminiyi Daniel
Chair

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Independent Examlnots Roport to the trust0￿ of the charity
Report olthe Independgnt Examlner to the trust00
on the flnanclal ststernents of the charlty for tho year Onded 31 May 2025
l ￿port on the financial statements of Ihe Charity on for the year ended 31 May 2025 which
have been prepared in accordance with the Charities Act 2011 and with the Financial
Reporting Stalldard for Smaller Entities IFRSSE). effective April 2008, adapted to meet the
needs of unincorporated organisations, as modrfied by the Ststemenl of Recommended
Practice for Accounting and Reporting issued by the Charty Commissioners for England &
Wales, effective April 2005 as revised in June 2008. (The SORP}, under the historical cost
convention and the accounting policies set out.
Respoctlve responslbllltle8 of tTustso9 and examlnor
The Charity's trustees are ￿sponsible for the preparalion of the financial statements. The
Irustees are satisfied that the audit requirement of Section 144{11 of the Charities Act 2011
(the Act) does not apply, and that there is no requirement in the governing document or
constitution of the Charity for the conducting of an audit. As a ￿nSequenCe, the trustees have
electsd that the financial statements be Subject to independent examination.
Having satisfied myself that the Char￿ is not subject to audit and is eligible for independent
examination. it is my responsibility to-. -
a) examine the accounts under section 145 of the Act"
bl lo follow the prO￿d￿resI81d down in the General Directions given by the Charity
Commission under section 145151{bl of the Act,. and.,
cl to state whether parhcular matters have come to ry attention.
Basi8 of oplnlon and 8cope of work undertaken
I conducted my examination in accordance with the General Directions given by the Charity
Commissioners for England & Wales In relation to the conducting of an independent
examination, ￿ferred to above. An independent examlnation includes a review of the
accounting records kepl by the Ch8rty and of the accounting systems employed by the
Chalty and 8 comparison of the financial statements presented with those records. It also
includes consideration of any unusual items or disclosures in the financial 5tatsments and
seeking explanations from you as trustees concerning such matters. The purpose of the
examination is to establish as far as possible that there have been no brea¢hes of the
Charitses legislation and thal the financial statements compty wrth the SORP, on a test basis,
of evidence relevant to the amounts and disclosures in the flnancFal statements.
The prO￿dureS undertaken do not provide all the evidenGe that would be required in an audit,
and information supplied by the trustees in the course of the examlnation is not subjected to
audit tests or enquiries, and consequently I do not express an audit opinion on the view given
by the financial statements, and in particular, l express no opinion as to whether the financial
statements give a true and fair view of the affairs of the charity, and my report is limited to the
matters set out in the statement below.
I planned and perfomied my examination so as to satisfy myself that the objective5 of the
independent examination are achieved and before finalising the report, l obtain Yrritten
assurances from the trustees of all material tnatt8rs.
Independent Examinals Stat•mont, roport and oplnion
Subject to the limitations upon the scope of my work as detailed atx)ve, in connection with my
examination, l ¢an confirm that this is a report in respect of an examination carried out under
seGIKJn 145 01 the AGt and in aGGordance with any direction$ given by the Commission under
subsection15){b) of that section which are applicable.,

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and that, no matter has come to my attenlion in connectton with my examination whi¢h gNes
me reasonable Cause to believe that in any matefial respect the requirements
{1} to keep accounting records in accordance with section 130 of th8 Act,.
(li) to prepare financial statements which acwd with the a¢￿Un￿n9 ￿cOrdS and compty with
the accountlng requirements of the Acl and,.
{iii} that the financial statements be prepared in accordance with the methods and principles
set out in the Statement of Recommended PractiGe- Accounting and Reporting by Charities
have not been met- or to which, in my opinion. attention should be drawn in my report in order
lo enable a proper understanding of the accounts to be reached.
Daniel Dele-ojo FCCA
For and on behalf of Timi and Co.
Chartered Certified Accountants
Unit One
Kings Estate
Broadway Parade
Homchurch
RM12 4RS
The date upon which my opinlon is expressed 1$ on 7 April 2026.

THE VALUE ADDED CENTRE
Statement of Flnancial Activities
for the year ended 31 May 2025
Unre•trKthd Re8trkted Totsl
Funds
Funds
Funds
2020
2025
Incomlng resourcès
Incoming resourees fmm g•neratedfunds
Voluntary Income
77,970
77,970
Total Incomlng resources
Tl,970
77,970
Costs of chaiitabl• Ktlvitios
70,171
70,171
Totsl resources expended
70,171
70,171
Net Incomlng resources
before transfers between funds
7,799
7.799
Net Incomlng resourcos before
Other recognised gains and losses
7,799
7,799
Net movement In funds
7.799
7,799
Total fiinds bmught ft>rnard
Totsl Funds carrled forward
7,799
7.799

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Balance Shefrt
as at 31 May 2025
2025
The assets andllabilith of the d￿lIty."
Current as69ts
Dgbtors
Cash at bank and in hand
Total curtvnt ass•ts
205
8,549
amounts due Y￿thin on8 year
17501
Net¢urr¢ntassgts
Tolalassets l•M eumntllabllluos
7,799
Not liabilltle8
Th fun(ts ofthe ¢harty.'
Unrestricted income fund$
Unfestricted rèvenue 8￿MUla￿d ￿ndS
7,799
Totsl uTrrgstrlGtsd fund8
7,799
Total charlty fvnd8
7,799
Gberninryi Danlel
Trustee
Approv•d by th• IM>ard of trust¢•s on 7 Aprll 2026

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the Financial S
ments for the
ear ended 31 Ma
2025
1. ACCOUNTING POLICIES
Accountiny convontion
The financial slalements have been prepared in aco)rdance with the Finanryal Reporting Standard for Smaller
Entities IFRSSE}. effectNe April 2(M)8, and all other applicabte acojunting standards, as modffied by the
st8tement of Rec￿mmèr￿l8d Pract￿* for Acithnting and Réporting issued by the Charity Cornmissioners for
England & Wales, (revised June 20081.
Incoming r8source$
All incoming resourc8s arè included on the Slatoment of Firwicial A(aiwtvas when the charity Is legalty entiued to
the income and the amount can be quanlffied witti reasonabb accuracy.
R•sources gxpendad
Expenditure is aecounted for on an ae£xJ81s basis and has teen dassffi¥l und8r headings that aggreg8te all cost
related to the category. Where c0515 ¢annot be diredy attributed to part￿lar he8dings they have been allO￿ted
to arANi11o$ on a basis ￿nSIStenI wrfh the u8e of resources.
Taxation
The thafty is exempt from tax on its charitat4e actNiiw.
Fund accountsng
Unrestricted funds can be u88<1 in aciy)rdance wth the ¢haritable objgcti¥8s at the discrntion of the trustees.
Restrithd funds can only be twd for p8rtioJlar re8triLted purposes wthin the obJ'e¢ts ofthe charity.
Restrictions 8risè when spec4fi&J by th¢ domr or when frjnds are raised for parlicular reslri¢ted puws.
Further explanation of the nature and purpo8e of eath fur¥J is induded in the nots$ to the f1nanry815tatem￿ts.
Hir• purchase ond lèasing eomrnilments
Rentals paid undtsr oparating leases are th¥rg&J to the stat8ments offinanryal activities on a straight line basi5
ovgr tha period ollhe lease.
2. TRUSTEES. REMUNERATION AND BENEFITS
Thare were no trustees, wnunerallon or other b9neffts for the year ended 31 May 2025.
Trustees, Expen$
There were no trustees. expenses paid neitherfor the year endgd 31 May 2025.

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Schedul8 to the Ststement of Financial Activllles
for the year ended 31 May 2025
Status of thls schedule to the Statament of Flnancl•l Actlvltle8
The sctÉdules on the followirrfj pageg are required by the disdosure requirements of the
Staternent of Recommended Practice for A￿U￿tIng and Reporting issued by the Charity
Commissioners for Eng18nd & Wales, effective April 2005 and revised in June 2008.
As such, they form a part of the accounts requlrerj by Ihe charl￿eS (Accounts and Reports)
Regulations 2008.
Unrestrlcted Rèstrlcted Totsl
Funds
Funds
Funds
2025
2025
2025
Incomlng Resources
Voluntsry Incomo
Don8tlons
Totsl
Total Donatlons Recelv•d
77,970
77.970
77,970
77.970
Total Voluntsry Income
77,970
77,970
Total Incomlng ResourGes
77,970
77.970
Charltable expendiluré
Support costs ol ehai?table actfvities
ctsupport¢osts
Pmmtses Costs
Rent payable
Insurance
40,790
4,818
45.608
40,790
4,818
45.608
Teleph￿e and internet
Courier Serv%ces
851
1,650
3,924
457
851
1,650
3,924
457
Equipment oxpenses
Bank charges
Professlonal f￿5 in supportof charltable actlvltle¥
Accountancy fees other than examinerslauditors
Consultancy fees
750
750
16,931
17,681
16,931
17.681

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Schedule to the Statement of Flnancial Actlvlties
for the year ended 31 May 2025
status of thls $chedule to thè Statemont of Flnan¢lal Activltlos
The schedules on the following pages a￿ required by the dlsclo8ure requirements cl the
Stslemenl of RecommerKled Practice for Accounting and Reporting issued by the Charity
Commissioners for EnglaThJ & Wales. effectNe Aprll 2005 antj r￿Sed in Juno 2008.
As such, they form a part of the accounts required by the Charities {Accourts and Reports)
Regulations 2008.
Unrostrfctsd Rostrlct•d Totsl
Funds
Funds
Funds
2025
2025
2026
Totsl Support costs
70.171
Support costs forgrnnts pald
Total Expended on Charitable Activities
70.171
70,171