Ch4rlty felllslrnl•on numbor 2111J42 IEng14nd Ind
Company r•ghtr•llon number RCfj00619
TOCH
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025

TOCH
LEGAL AND ADMINISTRATIVE INFORMATION
Tru8tee8
T Drummond ICh•r)
OPoo
D Child
P Gill
Mfs S K Rayat
MrRGNaik
T Chamock
(Appointsd 12 Odober 20241
(Appointed 12 Oclohr 20241
(Appoinled 12 Octobet 20241
Charity numbèr IEngland and Wal9¥1
211042
Company numb
RCW0619
Reglster¢d offlce
483 Green Lanos
Lr￿d0Th
N1348S
Independent examlner
Jefforns 8usiness Soljtions knmiied
Lumaneri House
8tythe Gate
8tythe Valt8y Park
Solihull
Wasl Mldlands
890 8AH
B•nk•r¥
The Co-OP0r•live Bank Pk
PO Box250
Delf House
Southway
Skelm&rsdale
WN86
Sollcitors
B P Cdlins
Collins Hous¢
32-38 Stslion Road
Ger¥8rds Cross
Bucks
SL9 8EL

TOCH
CONTENTS
Pag•
Trustees. report
Independent exami￿￿$ report
Str1en￿nI of frtancAal adivrti
Balanc* sheet
Notes to the finanaal 8lalemenl$
9-25

TOCH
TRUSTEES. REPORT IINGLUDING DIREGTQR'S REPORT)
FOR THE YEAR ENDED 31 MARCH 2025
The trustee$ present thgir annual report and financial stslemgnls for the year ended 31 Marth 2025.
Ttte accounts heve been prepared in accordance Wilh Ihe accoumng polKJes set OLrt In nrfe 110 4Kounls and
comply with the dlarity's Royal Charter, and the Slalemenl of Recommended Practtce {SORP). "Ac£ounling and
Reporting by Charitses" issued in October 2019.
ObJ•¢tSvM and a¢tSvlll•*
The obleuives of Toc H Temaln unchanged. We o)nlnue io provKe $uppon to 10(ai peopk ano the ¢ommunffj"e$
where they live to improve their quality of life.
Our new approacWstsblishing community initiatives that meet local needs and promote wellbeing. either dire¢Uy
under the Toc H banner or in partnership with local eharitiès in partieularty disadvarrtag•d ar•aws PTogrgs$ing
Al the heart of our woth 1$ a simplè but powèrfrjl mi$sion.' to ereate a sense of b•longing as a coynt•rforc• 19 th•
fragmentstion. èXGlvsion and polarisation whiGh GharnGterise5 muGh of our ¥ori¢ty. This has b¢¢n part of our history
from the beglnnlng. W& believe that belonging is not a p8$$r￿0 feeling, bvl somelhtrng thal must be activety nurtured
-through indusion, ¢onne¢ion, recognition, and a9¢ncy.
In¢iuslon Is our Staning point, we sm.ve io ouilo wnmunnies where no one is left trehin￿ere Oisparnies are
addrèssetl, drfferences are not just loleraled but acctsmmo(Jaled. and where cultural sensrtivity and th'sability
inclusion are •M￿ddad in èv¢rything w• do. Thi$ m¢•n$ waling environments that are open, responsive. and
welcoming lo all.
Conn•etlon is what bind$ vs. ￿ support the dev¢lopm¢nl of relatr'on3hip8 that ere dynamic and lastin
relationships that go beyond surface-1￿&1 intèraction or policy rhetoriG losler communiti'e5 that are emotion811y
rich. where people feel aenuinely affiliated, a¢¢epted, and ¢ared for.
Vlslblllty and rneognltlon are ess8ntial. We believe In ampllfylng the voices of those we work alongside. Everyone
should be seen, heard, and Value￿0t as a mattèr of tokenism, but through deep ￿$￿e¢t and aulhenlidty. Irs
About moving b8yond mark8ting narrati¥85 to gmbraco and honour wople's idenlrbes and INed experiences.
Finally, ag•n¢y is fundamentol. True befonging m98ns peoplg feel a sense of ¢ontrol over their INes and
circumstancés. We support individuals and communib'&$ to exercise influence. ¢re8le thange, and paitirypate
meanin9lully in th¢ dc¢48ion3 that aff¢Gt them. Belonging Gannot ex18t wrthout the powtsr to 8hape your own path.
Together with local community groups across th& country. we work lo bring this wsion to lifHuppob*ng iniliativos
thal build indusive, oonrbected, and empowered c4)mmunities wher• everyone belongs.
Our local and national d&v81opm8nt work continues to grow, wilh a numbèr of signfficant initiativo$ reffl•ding o
commitment io public benefit through the prevents'on or relief of poverty, the advancement of educatb)n, heahh and
wellbeing, Ihe promotion of community development and atszenship. the arts, conflict resolutson. and the fostenng of
religious and raaal hamiony. equalifv. and diversity.

TOCH
TRUSTEES. REPORT (INCLUDING DIRECTOR'S REPORT) ICONTINUED)
FOR ThE YEAR ENDED 31 MARCH 2025
E¥¢8well, Newport
The Eveswell Communlty Centre Is an avo￿tion of longstanding Toc H ￿ti￿ty. buijding on the legary ol our local
branth established in the 19505. The Centre 1$ now under the $leward$hip of a Strong h)cal management group,
with a growng number of ini*atNes cwroduced by communrty members to support tsmilies, Y￿ng peop￿. and
oldèr osidents. We #ts d￿elOping a long-tèmi. 8eo-fri•ndly plan to ensure the Centre remains 8 valu8t4e and
8UStainable asset the ￿mmunty.
Plllgwenlty {Plll. Newport
In Pill, wo af8 wc¥kn'n9 In ¢kJse partnership with the Pil Trust, an (ryanisation with a welknslablish&d programme
SUPF¢rting individuals expwiencing food inse¢ufity. as wem as wider work with ra￿lIeS and cFHlthen.
81￿kPOOl
are colloborating wrth St Peter'$ Chvrth, which has 8 strong history of wothng wth people eXperIen￿ng
homal8ssn8ss. Our In￿l¥•Man1 has he*ed •xpand the portfolio of activities available through the Church Centre.
Thombury, East ￿adlOrd
The TtrK)mbury Charrty Is Currently in the woce$s of regist￿l￿g wth Ihe Charity Commission and will take on the
management of the Thombury Centre. Toc H is sur4)orting this Iransition and working dosely with the new charity to
establish a sulle of Tevitalised ￿mMun￿ F￿i&Ll3.
D•nry, Falklrf(
Denny ￿MaInS one ol oyr Original Toc H bianc*¥e$ and is undertaklng an asset transfer pYoce$s lo secLfe the fijlwe
of ts dub for indiwduals with learning disabilities. This is a vit81seN￿ in the Falknrk 8re8, and our goal is to protec4
and expand 11$ provts1￿ through pemianent premises and long-terrn 5uslanability planning.
High 8r¢x>ms. Kent
Brooms Comrnunty Certre, developed from one of our original bran¢he$. ¢urTenlty fo¢u$es on children and
yo￿9 pÈopte. We ale a¢Xivety exFloring the expansion of this worft lo develop 8 fvlly-fledged family gnd thIld￿n'S
Other Ongolng Lo¢01 Worft
We wntinbje to maint#in and $uppNt lo¢a inrtialwe$ In Co$by. S•ltbum-by-th•4¢a, Mlll Hil. Looe Icornwalll.
and Barton-upon-Humb•r. each deliv￿1￿9 gra55rools community engagernent and support.
Welrslde Host•l. Lake Dlstrict
Our hostel al Weirside has $een strong usage this year, provldlng temporary actonynodation for asyhjm seokors,
familY4s with ehildr•n. and oecasionally wsllors $•O￿n9 affordable xcess to Ihe Lako DiKtrict.
Em•rying Worf(
We are exploring areas of woth in Darfagton ￿•￿t Midlands). the Wel$h Valoy•, and L•k•ster, in
response lo emerging comrnunty n8•cls and opportunities for Covaboratic￿.
SIr8t8￿5 lorachiowng8ims andobiectives
The truslees have reviewed the guidan(% on public benefft issued by the Charrty Commission and consider that
To¢H's aims and adivities. as set out above, fiAfiI the uileria. The InJgt¢es do not an1￿1pate arty change In the
futwe lo thls operational approa¢h.
The Charity has set aside funds for the tran$i1Sonal aTrangemants ￿qUIred by its new slrate9y. We h8ve set aslle a
prowrtion of oui assels as wothing cap*tal fof the transibon lo the ngw strategy. Thesa funds ar8 b•ing usod io
ern￿(ry our ExevJtive Team and lo provide developrnenl funding the firgt three years of the plan.

TOCH
TRUSTEES, REPORT (INCLUDING DIRECTOR'S REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Achlèv•m•nts p•rfomwi¢•
SJgnrf￿anl aclNilies and aotsevemonts againsloty'edlv
This year has had three main elements in term of our achrevernenl and perfom8n(*'. ensuring org8ni8alion
works effectively and efftiently. what we have c811ed Thygiene, work. S￿nd is Ihts tÈevelopment work Ihal we have
done wrth l¢xal projects. Then, third, promoting the organlsat*)n to new partners so Ihat we can expand our portfofio
of actiwty
Enswing our oryanisa￿o￿ Is fft for puYpo8• has b••n a m¥Jw fo¢u$ this y•v. This ha5 inv(4￿d undertaknng
comprehenswe heahh and safety, aThJ whefe necessary fire audrts auoss all our propertie5 and en8uiing each is
correctly registefed with thè L￿d R•gisty. Thèrè have been $om8 ¢osts assoc4aled with this work. We have
ewed and strengthened our sal8guardin9 Ptoeedures lo ensure they meet the highest standards. In addilion, we
have Imptem$nled robust financ431 systems lo support accurate and transparent accounting. parttcularfy where we
re involved in government-lunded programrnes Ihal require enhanced audit processes. ￿ have also èstablished
Sy51trrns lo support our partners in areas such as HR and safeguarding, further enhan¢ing our ¢olleclive ¢apa¢ity lo
deliver safe and effective services. Thls has aE50 induded the last phase of d￿Ing our soual en*rprtse work In
Newport which is now ccrfnplele.
Then second a key strand of our w￿k Ihls year has foarsed on devefcs)ment attos5 several sites and partnerships.
In Evesw811. N•wport. we h¥ve undErtakEn Signifi￿nI development, 3UPPOrted by funding from the Community
0￿ernh1p Fund (Ministry of Housing, Communitie5 Lctal Govemment} and the Communty Fa¢iliti•$ Fund.
an iniliativè of thè Welsh Govemmenl. This Investment will allow fof the complete renovation of Ihe Eveswel
Communlty Centre, ensuring it remains fft for purpose for the next 20 10 30 year5. The works indEfde full insulotion,
the installation of sc4ar pan•l$, and tho creation of an ectsfriendly green roof.
As part Df the wdevelopmenl. the buAding wdl be Iransfefred lo Toc H Nya an a55et transfer from Nev4POrt City
Ctsunal under a 25.year lease. In parallel. we are supporting the k*ral Management CommFtte8 lo dtvelop a
str8tegi¢ plan and establish sy51ems Ihat wil enab]e both the expansion and enhanc•menl of services offered
through the ¢entre, through a W0￿S$ of c&production with the local ￿mmunIty.
In Plll, also In Newport, we Wliinue lo support the Pill Trust with fundrnising to sustain their excellent work wlh
hjcal familie$. We are currently develoF¥r*J proposals lo extsnd this work, induding rasponsès to rising food
insecwity in INJht ofthe imminent dosure of Newport Foodban
In Blackpool, two futxled piojecis rame lo a dose during the year. We have slnce refowsed our efforts on
supportwlg young pec¢)le and are wothing towards a larger-5cale initiative. This w￿1 indude renowdlir)n al St
Peter's Church C•ntr•, a mLthvused commurNty hjb siluated in one of Ihe most deprived areas in Eft￿and.
In Thornbury l&¥t 8radford}, we have sutr*5sknIy Taised fvnds lo support the transition from Ihe curr8nt tènant
to a newly fotmed chariiy. which is in the process of registering with the Charity Commiss¢on. We will ￿ntInUe to
support th￿ charity in developing new initialves at the Thornbury Cgntrn, and the o)ming year, we pk3n lo
explore worfi foujsing on social Gohesion and tackjing community polarisalion.
In Denny (Folklthl, we have respcfflded to ¥nportanl changes under the Dlsclosure Iscetlandl Aet, working wrth
our volunl?ers to ensure our work with thildRn and vulnerable adums Yemains lully c))mpliani W8 8Lso supported
efforts to secure funding for the annual holmlay for partK4pants al the Toc H Cluwn experienc* we ¢onlinue 1¢
enttan(* each year.
Al Hlgh Brooms IK*ntl.. we have launr*ed new work supporting n￿r0dVerSe child￿n and Iheir famih"es. The
Community Centre remains 8 valued anLf welkused lacifjty. hosting a rangè of groups and local e￿nts. W8 4re
currenity exploring options lo further develop family serytces in this area.

TOCH
TRUSTEES. REPORT (INCLUDING DIRECTOR'S REPORTI IGONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
In lin& our commitment lo supporting displac*d communities, we (vgani8ed a residential week for Ukrainians in
the UK und•r thè Hom•s for Ukraln• scheme. This provided fafflilies with an opportunity to ￿nneCt, Share mutu81
pport, ond partieipotc in a rangc of cnriohing ad4wtic￿I￿￿Ud1￿9 mindlulne6$ 6è6¢ion6, ￿n•eing on Lake
￿e￿ere, Irchery. arHI throwFng. The wpBk wa5 very WBII tetzivvd, we plan lo rEpE41 IhE Vvenl in 2025,
Then third we are exploring new work. We are p8rtlcularty conc•m•d lo support thiklren and families and are
dr8￿ng up Wans io Ilevelop ihls work In OUT exttfrng hub5. We are also explorfng thp pu55ibility vl fDGu55ing i
dweloping work of socwl (*hes￿n and address¥ig the polarisalion whith has ￿me lo ¢*wa(aorbse w wety in
rocent years.
Flnanclal M¥l•w
Vve are beglnnlng to ¥ee a relum on the work we have ¢Jgne in building Ihe mgdel vf oy¥rotivn. ho￿ a
8urplus of £356,411 this year which is largely due to the dosure of the social enterprise in Newport bui al80 from the
focus we have bgen 9iving to the'hygiene. work we have been doing. Our aND IS to break even in 25rd6.
R•sorwo$ policy
We anbdpate oui income coming from three main sources..
Individual giving from members and other SUPPOrters as wtsll 8$ events In￿Me from adiwty w• will d•wlop
over the first th￿e years ofthe plan.
fyranl# from Charilable Trusts And Foundations
. Grants from public bodies induding local authoribes. CCG'S, Cenhl Government etc.
Structurni gov•rnan¢• •nd man•g•m•nt
The irusiees, Who are also Ihe airectors for the purpose of ￿rnpanY law. and who serve¢J dumng the year and up io
the date of signalLtre of the finanaal statements were..
T Drummond Ichairl
P Dimoline (H￿ Tieasurw)
D p￿18
D Child
R Barker (Vi¢¢ ¢h•ir)
P Gill
Mrs S K Ravat
MT R ti NaiK
T Chamock
(Re￿gned 12 Othb8r 2024)
(Resigned 12 Ofaober 2024>
(Appointgd 12 Octob8r 20241
(Appoinied 12 o￿ober 20241
(Appointed 12 October 2024)
R￿C￿lm*nI 4pwntment oltwsto8s
None LTrfthe trv5tep5 has any benBfi(aal intere51 in thE t9Mp￿Y. AM of lh¥ Iru¥l¢¥s ale olthe cvmpariy.
The th8rity 1$ gOV8rned by ts, Royal Charter and 1$ an on￿1pOrated assodatkn.

TOCH
TRUSTEES. REPORT (INCLUDING DIRECTOR'S REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Organisali017al slrvclij
The Trustees rryet for six fijll board meetings during the year enctecj 31 March 2025.
The Finance and General Purposes Cgfflmittee has been gi￿￿ delegated authorty by the board to make essential
operabon%l deusKins. The Finance and General Purposes Cc¢mmrttee consists tsl
-Tht Chair
-The Vice Chair
-The Honorary Treasurer
-Tle Ch*1 Executive Offi¢er
All decisions iaken by the Finance and General Purposes Cc*mrnittee are reported lo the next full m*iirwJ of the
board for scrutiny and ralificatton.
The tru51ees' report was approved by the 8oard ol Tfuslees.
T Drummond (Chair?
D Child
15 September 2025

TOCH
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF TOC H
I report to the tru8letr8 on my examin•tion of the financA41 stslfjmgnts of TOG H (the charity) for the year ended 31
Marth 2025.
R¢sponsibiliii"es and basis of rnPOIE
As the Iwsteès of tho ¢harity land also its directors for the purposes of company law). you are responsible the
Preparation of th• finanaal $tatem•nls in arAxJrdance the requirements of the Companies Act 20C6.
H•￿n5 satF8fied myself that the finanrAal atatem•nl¥ of th• thority are not T¢quircd lo be audited under Part 16 of
the Companies A¢t 2006 ¥ntJ are èllglblg for Independent examination. I report in respect of my examination of the
d￿ri￿$ finantyai $l&lements carried oul under seGtKJn 145 of the Charities Acl 2011. In carying out my examination
I have followed the Directions givgn by the Charity Commission under section 145{5)(bl of the Charlties Act 2011.
Ind•pendont •xamlnoff• Btatemont
Sln¢e the tharity's gr05s income exceeded £250,000, I￿ independent examlner musl be a member of a body Ilsted
in se¢U'on 145 of Ihe Charitbes Ad 2011. 1 ojnffim that l am qualffied lo undertake the examinolion be¢ause l am a
m¢mb¢r ofABEoryation of Chart•r•d C•rtffi•d Aeeountsnt#, which is on• of th• list•d bodi•s.
I h3￿ cffipleted my examination. I (￿n￿mI that no m8ttors have 4%me to my ottenti￿ in ccnn•¢tion ¥￿th th•
examination giving me cause to believe that in any mel?ri81 r&5￿1..
accounting reo)rds were not keDt in resDe(* of the ¢*arity as required by sectiijn 386 of the Companies Act
2006.
the financial statements do not a￿rd witti those records; or
the financaal statement5 do not ctynply ￿th the accounting requirements of section 398 of the COm￿nI8S Act
2006 other than any requirement that the finants81 statements give a true and tsir ¥iew, whith is nrA a Matter
considered a5 pan of an inaepenaeni examination,.
Ihe financial slalemenls have not been prepared in accordance with the methods and prinuK4es of the
Slatèmenl of Recommended Practice for accounting and reporting by tharities ¥pplicable to charitie$
preparing their accounts in accordance with the Fin4noal Repo￿.￿9 Standard applicable in thè UK ar
Rppijhbt ttl Irèland IFRS 1021.
I hab* no c4ncorns and have wme auoJ8 no other matters in conneth.on w6th the examlnallon lo whlth attenllon
s￿￿k1 b¢ drawn In thls report in order to enable a proper understandlng of the Iln¥n¢t81 stslemenls to be re8¢hed.
Mv Mark Jam•s Eden
J•froms Bu8ln¢u 3olutlon$ Llmltsd
Chrt•rnd G•rtsfi•d AGGgyntsnts
Lumaneri House
Btythe Gate
B￿he Valley Park
Solihull
Wesl Midlands
B90 8A
Date..
ybJ.::..l......

TOCH
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2025
Total Unmtri¢t•d Ro%trl¢t
lund¥
fvnds
2024
2024
Tot#1
funds
fund5
2025
2025
2024
kneome and endowments Irom:
Donation8 and leg8rye8
Ch8ritoble adivitiès
Enlerpfise Income
Invèstrnenls
Other inc(Jme
,831
437,858
6.89S
528,687
6,89$
47.250
20.000
.895
67,250
6,895
13,396
35,120
22,322
13.3
35.120
22.322
66,932
128,085
66,932
128.085
Totsl In¢om•
285,848
444,751
730,599
118,088
26,895
144,983
Exp•ndlture on:
Rasing funds
6.600
6,600
Rel>el to PQOf and aged
Advance educatSon
Faullties for recrnallon
or other l¢i$ure limè
Enterprise Expenthtwe
1 S7,890
20.245
73.007
230,897
20.245
188.727
25.476
5.430
194,157
25,982
100.330
100,330
139.540
150,175
6.986
146,526
150,175
Total ch*rlt4ble
•xppndllure
278,465
73,007
351,472
503.918
12.922
516,840
Matwial cnsts
Other expenditure
3.257
4.107
3,257
4,107
14
4.B46
4,846
Total expendllure
283,311
79,607
362,918
511.282
12.922
524,204
Net gainsl(losses) on
Inveslrnents
15
111.2701
(11,270)
7289
7,289
N•t inoorn*ll¥xpgndrtur•l
(8.7331
365,144
3S6,411
138S.9051
13.973
(371,932}
Transfers be￿een
funds
(1.23
1,237
14.4221
4.422
Net movem•nt In
fund8
f1
(9,9701
366,381
356,411
(39).327)
18.395
1371,9321
R•con¢lllatlon of (und¥:
Fund balances at 1 April 2024
735,603
27.007
762,810
1.125.930
8,612 1.134,542
Fund ￿lanceS at 31 Ma￿h
2028
725,633
393,388 1.119,021
735,603
27,CKJ7
762.610
Thg 51atsmenl of financi41 actMt•s ￿}dud@S all gain$ and lossès rèr￿gnI5èd in Ihg year. All inccrfne and expenditure
derwe frNn conlinung acti¥Tties.

TOCH
BALANCE SHEET
AS AT31 MARCH 2025
2025
2024
Notes
Fixed assets
Tangible assets
Inveslmenl property
Investments
17
18
19
141,967
146.443
420.000
388,730
530.697
566.443
Current assets
Debtors
Cash at bank and in hand
20
384,274
212,130
24,233
186,737
596,404
210,970
Credltors.. arnounts falllng due wlthln
one year
21
18,0801
114.8031
Net current assets
588,324
196.187
Total assets less current liab511ties
1,119,021
762,610
The funds of the charity
Restricted Income funds
Unrestricted funds
24
25
393.388
725.633
27,007
735,603
1,119,021
762,610
The cornpany is enlilled lo the exemption from the audit requirement contained in section 477 01 the Companies Aet
2006. for the year ¢nded 31 MarGh 2025.
The Iruslees acknowledges her responsibilities lor ensuring that the charity keeps accounting records which comply
WIM spciion 386 01 Ihe Aci ana for preparlng ffnanclal siaiemen15 which give a true and fair View of t￿e 51ale ul
affairs ol the company as al the end of the financial year and ol its incoming resources and applicaion of Tesources,
including ils income and expendilure, for the financial year in a¢cordance ¥Mlh the requirements of sections 394 and
395 and which otherwise comply wth the requirements ol the Companies Act 2006 relating to financial statements.
so far as applicable lo the company.
The members have not required the company to obtain an audlt ol Ils flnancial statements for the year in question in
accordance wlh section 476.
These finanoal slalemenls have been prepared in accordance with the provisions applicable to companies subject
lo the small ￿mpanieS regime.
The financial statements were approved by the Iruslees on 15 September 2025
T Dwmrnond IChaiTI
D Child
Company registration number RC000619 (England and Wales)

TOCH
NOTES TO THE FINANGIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Accountlng poll¢l
hanty information
Toc H is a privale company limitgd by guAr4nté• incorpor8led in England ¥nd Wales. The registered office is
483 Green Lanes. London. N13 4BS.
1.1 Basi¥ of preparation
The accoun15 have been prepa￿d in accordance with the charitys Royal Charter. dated 10 June 1971 {as
amended 11 December 2013), the Charities and Truslee Inve5trnent IScoll3ndl Ad 2005, the Charrt*s
AccKJunts (Scotlandl Regulations 2006 las amended). the Companies Act 2006 and 'A¢counting and
Reporting by Charities.. Slalernenl of RecDrnmended Practice applicable to tharilies preparing their accounts
in aeA)rd2nt* with the Financial Reporting Standard applieAble in the UK aftd Republic of Ireland IFRS
1021. las amended for 8c¢ounbng p&riods ¢omm&n¢ing from 1 January 2019). Thg charity is a Public Bon&fil
Entity a8 deffined by FRS 102.
Th9 charity has tskgn advantage Df the provi#ion$ in thè SORP for tharitiÈ$ app￿n0 FRS 102 Upd3ts Bullotin
1 not to prepare a Statem¢nl of Caah Flowa.
The finanoal statements are prepared in sterling, whith 15 the fun¢tional currency of th¢ tharity. Monetsry
amounts in these finanoal slalements are rounded lo the neaTe61 £.
The financial statements have been prepared under the historical east eortvèrbtion, Imadifièd to indude the
Tevaluation of freehold prope￿e5 and lo indutjtr inv&51ment properties and ¢ertain finanaal in$lr(Thonts at fair
Valuel. The prinapal accounting poliriès adopted sèt out bèlow.
A subsidiary, Toc H Trading Community Inte￿$t Company IC.I.C), was in¢orporaled on 11 August 2023 as
private cornpany limited by guarantee. The Toc H trading Community Company IC.I.Cl wa5 established to
explore trading opportunities that could generate addits'onal income lo support the charitable activities of Toc
Howovor, after initial planning and assessment, the intended tr¥din9 mod•l did not prov8 wablè, and thè
ants'cApaled opportunities did not materialise as expected. A$ a re$utt, the d¢d$lon was made lo wlnd down the
CIC, and il was formally struck off the register dissofvfjd on 27 May 2025.
In alrythn￿ with the relevant Charity legislation. TOG H has taken ex¢mption from pr¢paring con¥olidal¢d
a¢¢ounls, as the nel income of the group (after eliminating ir￿ra4jr0vp transadionsl during the accounting
Period i*d not èxcèed the audit threshold.
1.2 Golno tone•rn
Al the time of eppro¥in9 the findntsal ststementb, Ihe tru8t8e# hov¢ a r¢a8onable ?xp¢ctation that the ¢haiity
h85 ade9uale resourees to eontinue In operational exlstenc* for the foreseeable fiJ(ure. Thus the trustees
continue lo adopt the going ¢on¢em basis of a￿Unting in preparing the financAal Statement8.
1.3 Charltsble funds
Unrestricted funds are available for use al the discretion of the trustees In lutlhèr¥rt¢o of their th*it4bl¢
obj'ectives.
RgSlrf￿ffd ¥re subject to 5pecmc o¥ndlttolls by dDnLifs oi grantor5 a3 lo huw Ihgy may b8 usgd. The
Pufposes and uses of the ￿$trIcted fvnd$ are sel oui in the notes lo the financial slalemenls.
Endowment fvnd5 are subJ"eGt to speufiG conditions by donors that the caprtal must be maintsined by the
eh•rity.

TOCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Ac¢oundng pglicies
(Conthued
1A kn¢ome
Income 1$ recognised when the charity Is leqalty enb'ued 10 It after any perfomiance ¢c41ditsons have been me(
Ihe amounis can bg m8a¥yred reliabty, aixl rt is probats￿ that ￿C*Mo be received.
Cash don8lions a￿ re¢ognised on reGg￿t. Other donallons are recogni5ed once the chaity has been notlfied
of the donation, unles5 performanc• conditions require defeffal of the amounl. Incorne tax recoverat4é in
relalion to donattons received urxler GiftAid or deeds of (￿venant Is recognised at1he time of th• donation.
L8gaL¥es to whtth the charity 15 errtil￿d ale I￿uded in the slalwnent of finawal activities unless they are
in¢apgbl¥ of me¥$uremenl.
1.5 Exp•ndlturn
Expenditure is rec(￿nised onGg Ih•r8 is a legal or conslructive obligation to transfer er11￿m￿ benefrt lo a
third pary, 11 is probable th81 a transfer ol ec4nomic benefits wll be required in settlement. and the amount
the obligation can be rneasufed reliably.
ExpeNliture is Gta$sifigd by acttvly. costs of 4aL* activity are made up ol the tot81 of dir&t costs and
shared cosis, induding wpp¢rt livolved in undertakir¥J each adiwty. Dired costs 8Wibutable to a single
actiwty are alk¥cated dlrecll¥ lo that actlwty. Shared costs whith wntribufe to more Ih4n one aGiNity and
support Costs whith are not 4ttributable to a ￿n9￿ activity aré apportioned btheen those actiwties on a basis
nsistent with the use of re5ource5. Cerrtral staff Go5t¥ are all[￿ated on the basis ol time spent. and
depreeAalion c*orges are allocated on the Poftion oftht assef s use.
Restricted ftmd$ are to be used for sppL4fied purpo$e$ laid down by the donor. Expend￿re for those
purposes L8 ch8rged lo the fvnd. toge￿ with a fair allocation of overheads and support rJ)sts.
l.e Tangible fixed
Tangible fixéd 8ssets aré inthlly measured at Go¥t and subsequently measwed at CO8t or valLRtion. nFt of
d¢preciatign and ￿Y impaim)•nt losses.
Oepreciation 1$ rewnised so as lo write off thg cost or Valuation of assets less their residual values over the
u$¢fvl lives on Ihe follmng base&
Land and buildings
Fixtures, frttings & equipmenl
Plant and machinery
20% Straipy line
2￿A Strai*rt line
Tho 98in or10¥o 4Fi&in9 on thc dispos41 of ort Ostct is detcmiincd os the dAlerenoe betr￿en the sale pro
end the carryrig value olthe asset. and 1$ reGognl$ed in the *aiement olffinanoal act11th￿s.
1.7 Investsnent pro￿ty
InNw51Nenl wcpety. whith 1$ propety hebj lo eam rentals andlor lor capital apprec4#txin. is initialy
tEwgnised at cosL which Indudes the purchase cosl and any direclty attllbjtable expenth'lwe. Subsewenty
il is measured * fair vakne al the r￿￿ng end date. The surplus or deficit cn revaluation is re(xJgnised in
profft or loss.
1.1 Flxed a$set Investments
Frrted asset investment5 are initmlly ￿￿5￿re￿ at lrnn8adion pri¢e exduding transaclion eosl$, and afe
subsequenlly measured at fair value al each reportbng dale. Changes In lair v81ue are rec(¥Jnised In net
in¢omel{4xp•ndilure) thè year. TransacAion coslg are expensed a5 incurred.
10-

TOCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
A¢¢0￿￿n9 polkl¢$
Icontinuodl
1.9 INy#lmi¢nt tyl fixed
Al oath reporting gnil dale, th¥ ¢h8rity reviews Ihe ¢miing amounts ol it$ lanyiblg a$¥ets to determine
wh8ther IheTe is any indication that those assels have suffered an irnpaimionl loss. If any SUL* ind%*ion
exist$, the recoverable amount of the assel is estimated in order lo *Jdemilne Ihe exlenl of the impairnienl
loss lif any)-
1.10 Cash and cash •qul¥al•nts
Cash and cash 8quivalents inrjude cash in hand, deposits held at call wilh banks, other shorglem) liquid
investment$ with Original maturities of three months or less. and bank overdrafts. Bank overdrafts ore shov
within bO￿￿￿9S in ￿Tr￿n1 liaLilitigs.
1.11 Financial instrurnents
The ¢haity has elected to ¥pply the pmw$ions of Secti(m 11 'Ba$ic Financ481 In8lrumenls' and &Glion 12
'Olher Fin8na81 Instruments Issues, of FRS 1 (r2 to all of ils finanry81 Instruments.
Flnanci41 instnjmenis are r8th)gnlsed in the tharitys Sheei when ihe C￿rity become$ paty to Ihe
ntracfual provisions of the instrument.
FinanGig1 as3el$ ond liabilities are off¥el. with Ihe net mr￿Unt￿ prexnted in the financial Ststements, vthen
there 1$ 8 leg81ty enfor¢e8ble right lo set off the recognised amounts and there is 8n inl8nb.on to Settle on a net
ba?1¥ or lo regli8e th¢ a¥5¢1 and ¥¢ttl¢ the liability ¥imuttgneousty.
8•si¢ lknan¢l•l•$$¢ts
Basic finantyal assel$, whlckn Indude deblLV$ and ca$h and bank balances. are Initially measured at
transadion price including Iransadion costs and are subsequenlty rArrie(l al amortlsed cost usng the effective
interest method unle95 the ¥rrangement constitutes 8 finanung tr8nsaL#ion, where the tran5aclion is
measured at the present value of the future rec*ipts discounted al a market rate of inier85t. Financial as59ts
dassrfied as recewable wrthln cffle year are not amortised.
Basic financ4al liabililies. induding creditors and bank loans are initialty TeLYJgnised al transathon price unless
the arrangemenl ¢onstliulg5 a financlng transaclion, Whe￿ Ihe debl inslwmenl is measured at the present
value of the fLrture payments di¥cuunted al a rnarket Tate of Interest. F￿an¢Val liabilities classified as payabl?
Ihin year are not afflortised.
Debt instwments are subsequently carried at amorti$ed ecst, using the thive in18rest rate melhod.
Tfa¢Je ¢re<litor¥ are obliy*ion$ lo pay for good$ oi serviw that ha￿ bpen acquired ryi the pri14n￿ ol
operatsons from supph"ers. Amounts payable are dassrfied as currenl liabilrties if paymenl is due Mlhin one
year or less. 11 not. they afe presented as non*currenl liabilities. Trade uedilors a￿ reco9nised Initi￿ty at
transadion prick and sub$equenity measured al 8mortis¢d using the effe￿¥ve interest method.
Derecognition olffnJnciJl li•*ilftie¥
Finan¢ial liabilities are derecognised when the ¢tprity'$ ry>ntr8¢tU81 obliyab'w$ expire or ore (th'stharged or
¢ancell8d.
1.12 Employee benefits
The rnst of any unu8ed hdiday $ntitlement Is recoyni$ed in the period in which thè empk¢yee'$ $ervi¢e$ *e
re￿1V￿1.
Tarmination b8nafils are recognis8d immethatety as an exp•ns8 when the tharty is dafflonstrabty commrtied
lo tenxinate lh* errploym•nt of an gmploy** ￿10 provide lemiin8tion ￿nefits.
11

TOCH
NOTES TO THE FINANGIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AIARCH 2025
Ac¢ountlng poll¢les
(Contlnu•d)
1.13 R•urnm•nt bon•tlt•
Paymgnts lo definéd t￿11rIbUtIOn fètirwn￿￿ benefft scheme$ arn chargod ai an expènsè as thèy fall duè.
1.14 Branch
Biandi¢& fot lh¢ pavt rlo their owm lundraising and are 8upwrted by the G¢ntral $lJudure. Brand￿5
entirety fun by volunteers.
The new wcrk we have developed are ￿￿erred to as Hubs fundraising with hubs is done centrally and they
have sessional based staff who prO￿￿e a rdnge of serwGe$ to the local ryimmunty.
1.16 Fund A¢¢ountlng
Restricted funds are lo be used for 4Jeafic purposes laid duwn by the donor. ExpendTture for those pu￿58$
is ¢hargod lo the fvnd, together with a fair allocation of ovetheads and support costs.
Unre5trlcted fund5 are donatiorbs and Dthfi in￿1￿1￿9 ￿ul￿5 r￿￿1¥￿￿ ow g¥iIEroled expeiidilure ￿ the
general objectives of the charity.
Income Ivom don•tion¥ and l•yel
Unr•strl¢ted Re•trlcted
fund•
fund•
2025
2025
T•)t•l Unr••trl¢t•d R•strl¢l•d
lunds
funds
2024
2024
Tol•l
2025
2024
Donations and gifts
Legaries
Grants
13
80,000
10.818
13
80.uuo
448,674
247
38,142
10,861
247
36,142
30.861
437,856
20.IMI
90,831
437,856
528,687
47,250
20.OtyJ
67,250
Grants
COF Grant
AwaTds forAII High
Broom
Awards forml Newport
Moondance Newport
Sharèd Pro6p¢rity
NEWPgrl
Cloth Work•rs
The Henry Smith Charity
Cloth Workèrs
Oth¢r
300.000 3(K).0￿)
26,250
19.991
19.883
26,250
19,991
19.883
17,400
13.440
9.410
9.400
22.282
17.400
13,440
9.410
10,000
10.000
10,c#)O
10.000
10,861
10,818
33.1
10.861
10,818
437,856
448,674
10,861
20.000
30.861
12-

TOCH
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
Inmmo Imm donations and legacies
(Contlnupdl
L•gacy iftcome:
Al the balance sheet date. the chArlty hod r8C8Ned formal notification from 801iotor of it8 entitlement to a
Iggary undw a will. Allhou9h probate had not yet been gr8nted as at the year-end. the execulors confirmed
that Ihe eslale had suffKienl assets to meel tho le9a¢y and that no maitrial uncertainties remained. In
a¢¢Ordan￿ with the Charities SORP {FRS 1021. the legacy of £80.000 has Iherefore been reco￿lS¢d
li the financial statemanis as 3 debtty, as the tharity had entittemenL the receipl was probable. and the
ount codd be measLw•d reliably.
Grant income:
During th& year, tho charity Sè¢LrtI the COF grant of £300,000. This grant was awarded fc4lovring a forrnal
application process, for which associated c4)5ts 01 £6,600 were inGtsrred disdosed under the cost of
r4i$in9 lunds (see Note 81.
Grant income is lurther anatyswd wilhln Restrided Funds (see Note 241. which Provides a fvl dex¥iptson of
Ihe income.
lfteomè from ¢hotltsbh activitieB
Brnn¢h
activities
2025
Branch
•Gtiviti•*
2024
Other incA)m&
6.895
6,895
Analys1¥ ty fund
Restricted funds
6.895
6,895
6,695
6.895
Income from ontèiprfs• Incom•
UnrMtricted Unr•¥trict•d
funds
funds
2ll2S
202d
Non-charitabte trading adivities
13,396
13-

TOCH
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
Incom• from inve*tment•
Unl•￿1¢1•d Unr•strictsd
funds
runds
2025
2024
Rental iicomè
Interest Teceovabl
66.294
838
33.341
1.779
66,932
35,120
Other incom•
Unr¢$lri¢t¢O Unr•stri¢tsd
funds
lund•
2026
2024
Nel g•n on diswsal of tangitle fixed assets
Membership Subscription
Other income
87.415
16.320
24,350
22,322
128,085
22,322
During the year, the ¢harity disposed of an investment property Ih8t had previousty been carried at fair valuè.
The propety was sold for £507,415. resulting in a galn on disposal ol £87,415. which has been le¢￿￿$9d In
the Statement of Finanual Activitiès.
Em￿nditUrn on rdising lunds
ReBtrtcted
funds
202$
ReBtrtcl•d
lunds
2024
Fundrnislng •nd publklty
Other fundraising eosts
The Charity incurred £6.600 in (*sts lo support the preparation and Submiss￿ of a SuccessfL￿ gMI
applitalion. The charity 5ecuTed a grant of £3CiJ.000. This grant was awarded follovling a fom)al athicatKJn
proce55, for whKh assoaated costs of £6,600 were In￿rIed and db¢k*$8d undgr the cost of fai$whg funds
(see Note 241.
14-

JO%QC12
Iriuifilri r
)v)r4
¢DI00N￿
orrn
r*
oinov)QLL_

TOCH
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
Grnnts payab
Rollef to
Advance
poor and •du¢atlon
ged
202S
2025
2025
Grants lo institutions..
Awards forAII HvJh 8￿(￿n$
We5thill Grant 81ackpo
Sha￿5 Prosperity
Hedley Foundali
Henry Smith Grant
Cloth Worker5
John Paull 11 Foundation
Whitehead Monkton
8ramwell Tnjst
Kent Comrnurmty
12.126
5.127
3.840
3.000
12.128
5.127
3,OCQ
2.5CO
9,4CQ
1.463
1.483
S58
390
1.525
1,525
39,949
39,949
Grants lo indivi¢bJ31s
1,900
1.￿0
39.949
1,900
41,849
10 Support co•ts allocatsd to aclfvltieg
2025
2024
Subsistence costs
General travel experwe$
Truslees axpènses
Eqtsipmenl purchases
Officè costs
Sundry expenses
GMrThgnce costs
1,676
8,770
2,552
6,353
9.578
4,gJO
23,327
14,617
15,005
9,285
9.896
20,587
64,947
62,453
Anaty*ed between:
Relief lo pwr and aged
Advance education
F8Lrytitie$ for recrea4￿ or other leisure IKne
29,228
6,495
29,226
28.104
28.103
64,947
62,453
16-

TOCH
NOTES TO THE FINANCIAL STATEMENTS ICONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
10 Support costs •No¢ated to a¢tlYltl¢•
ICoTrtinuedl
2025
2024
GoY•man¢• costs compiis•:
Examinerf5 fees
Legal ¥nd prof¢8¥ion41
5,520
9,485
4.660
15,927
15,005
20.587
Key.
CA 1 ICh8ntsNe a¢bwty 11- Reliel lo poor or aged
CA 2 IChaiilat4e a¢￿￿ty 21- Advance educafion
CA 3 ICharilat4e advity 31- Faaalies for recreation or other leisur• lim•
BarAS of allocation- CA1& CA3- 45%,CA2-10%
11 N•t mov•mwrt In fund8
2025
2024
The nèt movement in funds Is stated aft•r chargInty(c￿ditIng).
Fees payable for the independent examination of Ihè charty's financial
statements
Deweclalion of owned tangible fixed assets
IPToffllnoss on dlsposa of tangible fixed a$set$
5,520
6.654
187,415)
d.880
5,670
3.966
12 Tru8tses
7 trustees were Teimbursed a total of £2.824 travellirwJ arnj subsi5ten￿ expenses 12023 - 2 truslees wère
rnimburstsd 8 totsl of £4,180) during the year.
None ofthe trusteas receivad any ramunaralion or benafits from lh8 thaity during the year.
13 Employee•
The average Mc￿1hty number of employees during the ye¥ was".
202S
Numbor
2(J2a
Number
Admiristration
11
Employmtnt ¢o¥ts
2025
2024
Wage8 and salaries
Social security Costs
Other pension costs
1 $5,919
7,822
10,107
175.6
18.019
12.234
173,848
205.859
17-

TOCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
13 Employees
ICortlnu•d)
There were no emphyee5 who80 8nnu81 remun8rntion was more Ih•n £60,000.
14 Othtrr tynd[￿1•
Unrestrict•d Un￿StrICted
funds
lynds
2025
2024
Net loss on thsposal of tsnlbl8 r￿ed as$el$
Intercompany loan written off
Flnancing costs
4,653
193
4,846
4.107
Toc H Trading C.l.C. ￿aSed OFeraliong and was formally dissolved on 27 May 2025. The loan written off 4)
the year relate¥ lo thi$ enlity, and no further èclThiitses or transactions of th• C.l.C. wll be r8wrt•d in these
finanaal Statements.
15 Gal￿ and 10$6e$ on Investments
UnTe$trlctsd Unrnstrl¢trd
funds
funds
2016
2024
Gain￿(105s¢S) Jri5ing Dn..
ReVa￿atron of Snve$lm¢nts
Sale of investmenis
111.270)
7.289
111.270)
7.289
16 Taxation
The charity is exempt from taxation on its actiwties be¢au% all its in¢ome is aPF4ied for t*arikble purposes.
18.

TOCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
t7 T4n9ibl• fix•d •88ets
Land and
bulldlngts
FI￿U
lllngs &
*qulpM•nt
p*rtand
rnachlnèry
Cost
Al 1 Awil 2024
Ad¢*tsons
123,342
16,240
1,875
21.945
161.527
2.179
Al 31 Marth 2025
123,342
18,115
22.249
103.706
Depr•¢latlon •nd Imp41mient
At 1 April 2024
DeprerAalion charged in the year
5.913
3.438
9.172
3.216
15.085
6.654
At 31 2025
9,351
12,388
21,739
Carying amount
Al 31 March 2025
123,342
8,784
9,881
141,967
Al 31 Mar¢h 2024
123,342
10,328
12,773
146,443
18 Inve81ment property
During the year. the chaity dNJo$ed of an investment propety that had weviousfy he￿ carri¢d at falr value.
Tho Pfoperty was sold for £507.415. resul￿ng in a gain on d$S￿SaI of £87,415, which has been rerjognised in
the Statemlnl ol Finan041 Adiwli98 ($•8 Note fjl.
The investment propety has been sold during the financi￿ year to 31st Marth 2025.
2025
2014
Fferhuld
420,tIJo
19-

TOCH
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
19 Flxed a￿frt in¥•¥bnents
Inve•trn•nts
Co81 orvaluauon
Al 1 April 2024
Addrtions
Valualion changes
400,000
1112701
Al 31 March 2￿25
388,730
Carrylng amourt
Al 31 March 2025
388,rJo
Al 31 M8fL* 2024
20 Debtow¥
2025
2024
Amounts falllng due wlthin on• y•ar.
Gift aid recoverable
Amounts owed by sub8hliary undertakings
Oiher debtors
Prepaymenls and 8¢¢rued In￿Me
3.339
4,6S3
11,098
5,143
384,274
384.274
24.233
Prepayments and *¢cL￿d income #idude £80.(KIO of legacy income and £300,000 of Brant incume. Furth
del8ils are Provided in Nole 2.
21 Cr•ditors: amounts falling du• withln one y••r
202S
2024
Note•
Defvrred inwme
Trade creditors
Other credilors
Ar%ruaL
22
1,853
4,120
2.280
4,020
4.383
945
5.282
8,080
14.803
22 D•f¢rred Income
2025
2024
Arislng from Advon¢e reni re¢¢ived on INerside
1,853
4,120

TOCH
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
22 Deferred tneomè
(Continued)
Deferred irKtsme FS iftdvded in the finawal stal*ments as frjllows..
2025
2024
Deferred in¢fjme is induded within..
CurFent Ikpblrtie8
1,853
4.120
Movements in the ye8r".
Defeffed income at 1 April 2024
Released from prewous periods
Resowc¢s dsfeyred in the year
4,120
12,2671
2.519
OeleThed inojme at 31 Marth 2025
1.853
4,120
23 Retirement benefit 8¢heme8
2025
2024
Dèfinèd eontrllwtlon •¢h•m•$
Charge lo profft QT k)85 in respect of deffined c¥)ntribulion ¥c1￿Me5
10,107
12,234
Th¢ thanty operate8 a defned contribu11￿ pen*on Btheme for all qualtying ernployees. The assets ol the
are tteld separalety from Ihose ofthe tharity in an independenuy administered fvnd.
21

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111121

TOCH
NOTES TO THE FINANCIAL STATEMENTS (GONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
24 Rmtrlctsd fvnd•
IContlnu•d)
Down•nd
Tho fund for speofic proJeds lo carry out h Downer#Y
C•ntral and Local TOG H
Thero arg numcrous smoll bolanoes t? EUPPOrt l¢)oal Community
Bl•¢kpool- W•$thlll
A¢tNilies for Ihe relief of the pw and aged induding support groups. befriending, after school and pre school
adi￿*10S for Irpw incDm# fAmiliA#
Newport - In¢lydlng Awarth for All, Nath)ftal Lott•ry. Shar•d Pvo•p•rlty. Slmon Glhon Tr4th(
Moondan¢o, Newport Coff
Cornfflunty ftKYJS aG*vTDes 10 suppm me pcmy ana aged. Parn￿lartY supporn.ng young (*ildren and yiyjng
people. Improwng the faulilj'es lor the cffjmmunity use_ PrNding after sthool and hdiday actilthies. Proiiding
befr￿dIng opportunities ￿mmUnity Support pro9tams.
N•tlonal Grld
Gommunty foujsed activ￿e¥ in NtrNPOrt to support me poor ana aged. Infrasintrture costs to SLtpp)n
r•cr•ation, leisufe and learning acbwties. Training opportunities to support th• advanc8 of 8ducation related lo
eneTgy effi(aency and c0nseTr7l￿n.
The Henry Smlth Gharlty
Cornmunty focused activiti'es at High Brooms to support poor and 4g•d. Particularfy supporfi'ng young
families. Infrastructure costs lo support Tecrealion and leisure a¢tiwti•s.
H￿1•Y Foundati•n- W¢lr•ld¢
To support Uknaini8n Refvg¢• lamdie$ ac￿8$ crtrtdoor aCts￿tieS arml recreation.
L•lc•#t•rnhlre UkraInl￿ Communlty Gr￿l- W•lrald•
To support Ukrainian R8ftJgeè families ac￿￿$ txrtdoor acti￿118$ and recrealion.
John Paul 11 FOUnd￿On
Communty foGused a(aivltw in Middiesborough supporting poor and ag8d access wrKnunty adivities.
Brnmwell Tn￿l- Brndfonl
ActNities for the relief of th8 poor and aged induthng support groups, communlty Part.￿l3rfY
supportlng young people.
The H•nry Smlth Ch•rlty
Communty focused all1￿￿e8 at High Broc￿¥ to 5UPPDrt poor and aged. partK¥larty young fomithes.
Infraslwclure costs lo SUp￿rt rec￿ation leb$u￿ 8divitses.
-24-

TOCH
NOTe3 TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
25 UnmtrlGt•d fund•
The unrB51riGted funds of the tharfty wmprfse the unexpended balances oldonauons and grants whlcth are
not subject lo speufic conditions by donors and grantors as to how they may be used. These indude
designated fvnds which have been set aside oui of unifjslrictsd fvnds by the twslees fw specific purposes.
At l Apiil
2024
Incoming
ve•our¢••
R•sourt•8
•xptnd¢d
Tran•fev•
G•ln• and At 31 Ma￿h
20Z5
Gèntrral funds
735,803
285.848
1283.3111
(1,237)
111,2701
725.633
Pr•vlou• y•ar:
At 1 Apvll
2023
In¢omlDg RMourc•B
•xp•nd•d
Trnnsl•r•
Galns and At 31 M•r¢h
2024
Gener￿ funds
1.125.930
118.088
(511,282)
{4,422)
7,289
735.603
16 Anaty•l• 01 net a81•ts b•tw••n fvna•
Unrnstrl¢t•d R￿trIct0￿
lunds
funds
ZQ25
ZQZ5
Total
2025
At 31 M•￿h 2025:
Tangible assets
Ir+¥e8trnents
CuThenl assetsloiabrfities)
141,967
388.730
194,936
141,967
388.730
588.324
393,388
725,633
393.388
1.119.021
Unrn•tri¢tsd R￿trIcted
funds
funds
2024
2024
Tot•1
2024
At 31 March 2024:
Tangible assets
Investment prO￿￿'￿S
Current aswslfjiobi1￿esI
146,443
420.000
109.100
146.443
4?0.000
1￿,107
27.007
735,603
27,007
762,610
27 FlnanGi81 Gommiim•nM• guaranrees and conOng•nt Il•bllltl
The charity had no c4pilal commitments al 31 MarL* 2025.
28 Rvlat•d ￿rtY tsJn••cllon•
There was no related party transaction$ during the yoar.
25-

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