REGISTERED COTrIPANI' NIIMBER: N1614396 (Northern IrelaNd}
REGISTERED CHARITY NUhqBER.. 1007.$5
of the Trustees and
unaudit￿ Financial Staicmcnis for thc Period l Janua
20?1 to 31 March ?022
for
No Morc TrGffik
ASC Wylie UBU Ltd
Qualified Accountants. Tax & Busin￿% Advisors
7 Lisburn Street
Roval Hilliborough
Co. Dou"n
BT26 6AB

No More Traifik
Conlenrs of the Financial Sratemenis
lor th¢ P¢ri(Kl l Janua
20? I to 31 March 2027
Pag¢
RerK)rt of the Trustees
Indq)cndenl Exatninds Rcport
Statement of Financial Activities
Balance Sheet
Notcs to the Financial Statements
8 to 13

No More Traifik
istered number.. N16143961
n of the Trnstees
for the Period l Janua
20? I to 31 fvIarch 202?
Thc mcmbLrs ol. thc Board prcscnt their annual rC￿rt and tlii unauditid financial statcmcnts of thL company for thc ycar
ended 31 st December 2020. This rewrt has been prepar=d in accordance with Ihe special provisions for small companies
undcr Part 15 of thc C(TrTtbpani¢s Act :OU6.
OBJECTIVES AIYD ACTII'ITIES
Objectives and Aims
Ilun]an tratTicking is thc d￿4)llOn, moi'cmcnl and ¢Aploitation of liuman b¢ings for profil. It is thc fast¢sl growing fotm of
organis¢d crim¢ and occurs in Tr¢arly all countrics globall),. and including Northern Ireland. R¢ccnt infonnation provid¢d by
the PSNI and the Department of Ju%iice sugge.sts ihat people of all ages. llationalities. socioeconomic backgrounds. religions
and genders are vulnerable lo being irafFILked froin ￿'Ith1o or from iheir own countries.
No Mnre Traffik was established bv a small nwnber ot members following a su¢¢essful local campaign standing against
human trallicking in Belfasl in May ?011
Th¢ v￿rra1] aim of hMT is Io ￿'OTk ioivards a ￿a￿1k-free S￿l¢ry by raising
awarentss and equipping iiidiv1duals and communities to slop human trafficking.
The charity's purposes are sei out in the objects coniained in the comrAnv's M￿￿Orandum of Association. NMT was
esiablislied for the advaIicemenl of ediiLation, the adi-ancemeni of healih. the relief of poverty and ihose in need, the
Jdvoncement ot iommunity dei'elopmenl, the advoncement of hwnan rights. #nd the improvemeni of COTnmunity.
The activities of th¢ Trust are rcvicwed on an annual basis to ensure thai they reflect the company's objectives and aims and
thai they advance public benefit.
ACHIEVEMENT AND PERFORi¥IANCE
Charitable Actii'ities
On I Scptimber 2021 the charity became a subsidiary of Hope for Justice. a charirv Tegistered iii EnL*land & Wales aiid all
fiinds and activities were transferred io Ihat Charity and are re￿)rt￿ within its Report & accounts.
Fif4ANCIAL REVIEW
Financial Position
During the period, the charity received up to 30 August 2021 £7.880. Afier that lime no further donauons were received as
th¢ charity was part of Hop¢ for Justic¢.
The company made a deficit ot £14.20£12021.. r2.276.21) during Ihe period. There was a balance in reserves at the end of
the y.ear of £550. (2021= £14.745}. none of which were re5tricied {£?0?1.. 4.636).
FUTURE PLANS
The charity ￿111 remain dormant as part of the Hope For Justice group and that charity will be furthering the aims of No
More Traffik.
Page I

No More Traifik
istered number.. N16143961
n of the Trnstees
for the Period l Janua
20? I to 31 fvIarch 202?
STRUCTURE, GOITRNANCE MANAGE141ENT
Governing document
NO MORE TRAFFIK INMTI is a companv limired bv guardntee. iniorimirdted on I I rh September 2012. registered with
Th¢ Charily Cominisiion for Northcrn Ireland NIC1007i5. and r¢cognis¢d as a charit> by HM R¢vcnuc & Custoins,
reference number X"T3R674. The cotllP<iny wa£ e%t41blished under a Mewnorandum of As%ociation which established the
objeLts and p)wers of the Lompany and is govenied under its Articles of Association.
The directors of the compan) are also charit* trustees tor the purposes of chariry law and under the company's Articles ot
A5sociaiion knowi as mcmbcrs of th¢ Board. Th¢ Board ar¢ r¢sp)nsibl¢ for th¢ strat¢gic dir¢clion and polic}, of lh¢
charity. New mcmb¢rs are apFoint¢d to Ihe Board b5, th¢ ¢xistin? mcmb¢T5 at th¢ .4nnual General Me¢tin8. The company
may from tirne to time in General Meeling increase or reduce ihe number of meinbers of the Board and deieTmiiie in what
rotation SULh increased or reduced number shall go oui of O￿lee. and may make the app)iniments necessary for effecting
any such increase.
Recruitment and appointment of Dew trustees
All previous Injstees re.signed on I September ?021 and the new trustees were aprM)inted on tell same date.
This was approved by order ot the board of trustees on l DecemiKY 2022.
REFERENCE AYD.4DM1NISTRATII￿ DETAILS
Registered Companv number
N1614396 INDnhem Ire[￿d)
R￿istered Charity Dumber
100155
Regi$tered oifice
Gar￿eY Studios
8-10 Longstone Sireet
Lisburn
AnlTiin
BT28 ITP
Trustees
Mrs C V J¢iikii)s (r¢sign¢d 119,'2021 }
P T Kcrnoghaii (r¢signed 119,12021 }
Mrq G R Brown (resigned 119,,
021)
Ms H J WamcKk (resigned 119i?0211
JW Raxter {re%iTrned I l9,1?n? i }
N Coss¢y Chicl'Financial Otliccr {appointcd 119..'?0211
Ms E Jon¢s Chief Opcrating Officer lappointcd li9.1?011)
T Nelson DirectOT {appoinred 119,'2021)
D Palmer Director {apwinted 119..'20211
C Prest Director (8ppointed li912021)
Independent Examiner
ASC Wylie UBU Ltd
Qualified Account￿t￿, TLX & B￿S￿￿e¥S Advisors
7 Lisburn Street
Royal Hillsborough
Co. Down
BT26 6AB
Page 2

No More Traifik
istered number.. N16143961
n of the Trnstees
for the Period l Janua
20? I to 31 fvIarch 202?
Approvcd by ordcr of thc board of irustccs on 16 Fcbruary 2023 and signcd OD its IKhalf by..
N Coss¢y- TTUSt¢c
Page 3

Inde
ndent Examinerfs Re
No More Traifik
I rep)rt on the accounts of the company for the ￿riod l January 2021 to 31 March 2022. which are sei out on pages five to
thirteen.
ort to the Trustees ot
Respective responsibilities of charity Irustees #nd examiner
As thc charitv's trustccs land also thc dircctors for thi purposos of company lawl you arL rcsponsiblc for thc prcparation ot.
the ￿CoUntS in accordance w'iih the requirements of the Companie) Acr ?IM)6.
Having %ati%fied myself thai ihe charity ]% nol subject to audit under cotnpany law and 1% eligible for independent
examination. it is Iny reswnsibility to..
examine the accounts under Section 65 ot the Charities Aci
follow th¢ pr{K¢du￿5 laid in th¢ g¢n¢ral DIr￿li0n$ giv¢n by ihc Charily Cotnmission for Northcrn Ir¢land
und¢r Section 6519)(bl of the Clwrilics Act
state wheiher particular matters have come to my attention.
Bas15 of the independent ex*miner'$ report
I hav¢ ¢xamincd your charity. accounts as r¢quircd under S¢clion 65 of lh¢ Charili¢s Act and my examinalion ￿a5 carricd
out in accordanc¢ with th¢ gencral Dircctions gii'cn by thc Charity" Commission for Northern Ircland under Section 65(9)(bl
of the Charities Act. The examinaiion included a revieu. of Ihe acLountii)¥ records kept by the charitv and a comparison of
the accounts presented with ihose reLords. It also included consideration of anv unusual ilems or disclosures in the aLLwnts,
Jnd seeking explanations frotn you as charity I￿￿te¢S co[￿e￿ing any such malters.
My role is to slate whether any material matters have come to my attention giving me causc to believe..
Thdt accounting records. weie not kept in aCL0rd￿Ce with Section 386 of the Companies Act 2006
That the accounts do not accurd with those accour.ting records
That thL accounls do not comply ￿'It1] accounring rcquircmcnts of Scction 396 of thc Companics Act ?(K>6 and
with (he methods and principles of the Charitiei Sratiment of Recomirended Practice applicable to charities
preparing their accounts in accordance wth the Financial Reporfing Standard applicable in the UK and Repiiblic ol
Ireldnd
That there is further infonnalion needed for a proper underst￿ldIng of the accounts to be reaLhed.
Independent examiner's statement
hai'¢ compl¢t¢d my exatnination and have ¢onc¢rns in ￿￿pect of thc mattcr5 {1 I to14) list¢d abov¢ and, in conn¢ction
with follo￿.ing the DiTections of the Charity Conimission for NoTthern Ireland, I hai'¢ found no matters that ￿vire drawing
to your attention.
ASC Wylie FCA
ASC Wylie LIBU Lid
Qualified Accountants. Tax & Business Adviwrs
7 Lisbum Strccl
Royal Hillsborough
Co. Down
BT?6 6AB
Date..
Page 4

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Stateinent of Financial Activities
for the Period l Janua
20?110 31 fv1arch 202?
Period
to
311)122
Year Ended
31112120
Total
funds
UnreNTricied
lund
Re¥tricted
fund
funds
Noies
INCOME AND ENDOM'MENTS FROM
Vol￿ntary Incom¢
7.154
7,154
7,208
Charitable activities
support co%t%
Direct costs of charitablc activili&
TDtal
3.557
700
11.465
725
725
EXPENDITURE OL¥
Cost of generating voluntary income
397
397
356
Charitable activities
Supporl losts
Direct cosrs of charitable acriviiies
Management & governance cosi8
4.7?7
12,267
4,727
16.903
5.788
6,9)C 9
4.636
57
57
22.084
98
Total
4.636
NET INCOMEI{EXPENDITURE)
(9,569)
{4,636)
(14,2051
(2,276)
RECONCILI.4TIOY OF FLNDS
Total tuniL% brought forward
10.119
4.636
14,755
17,031
TOTAL FUNDS CARRIED FORWARD
550
550
Th¢ not¢5 fortn part of th¢￿ financial 5tatcments
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istered number.. N16143961
Balance Sheet
31 Mar¢h ?0".2
2022
Total
funds
2020
Total
funds
Unrustrictcd
fund
Rcsirictcd
fund
No1¢5
FIXED ASSETS
Tangible assets
4,034
CURRENT ASSETS
Stocks
Debiors
Cash at bank and in hand
3,000
556
5)6
556
-556
14,071
CREDITORS
Ainoiints falling duc within on¢ year
(6)
{6)
1950)
LYET CURRELYT ASSETS
550
550
TOTAL ASSETS LESS CURRENT
LIABILITIES
550
550
17,155
CREDITORS
Ainounts falling due after more than one
year
10
(2,400)
NET ASSETS
FUNDS
$50
550
Unrestricted funds
Restri¢ted tunds
TOTAL FUNDS
550
10,119
4.6.36
550
Th¢ ¢harilabl¢ company is ¢nliil¢d to ¢xemplion from audii und¢r S¢ctiom 477 of the Companies A¢1 2(N16 for th¢ period
¢ndd 31 March 2112?
The membetB have not required the company to obtain an audii of its financial statements for the periLNI ended 31 March
2022 in acrordancc with S¢ction 476 ofih¢ CoT[wni￿ Aci 2006.
Th¢ not¢5 fortn part of th¢￿ financial 5tatcments
Page 6
continued...

No More Traifik
istered number.. N16143961
Balance Sheet- continued
31 Mar¢h ?0".2
The trustees acknowledge their responsibilities for
(al
cnsuring that thc charitablc company kccps accounting rccords thai comply with Scctions 386 and 387 of thc
Companies Ait 2(K)6 and
pr¢paTing financial slat¢m¢nt5 M'hich givc a tru¢ znd fair of th¢ stst¢ of affairs of the charitable company as at
the end of each financial year and of ils surplw% or deficit for each finwicial yur in accordance with the reqiiiremenL5
of Sections 394 and 39) and whiLh oiherwise coniplN' with ihe requirements of the Coinpanies Act 2(M)6 relating to
financial ststements, so far as applicable 10 the charitable company.
(b)
Thes¢ fjnancial statem¢nt£ hav¢ bccn prcpaT¢d in accordancc with th¢ provisions applicable io charitabl¢ companics subject
to the small companies regime.
The financial statem¢n15 WCt¢ approi'¢d by th¢ Board of Trusl¢cs and authori5¢d lor issu¢ on 16 FebTh￿ry 2023 and wc
signed on its behalf by..
N Cossey- Trustee
Th¢ not¢5 fortn part of th¢￿ financial 5tatcments
Page 7

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Notes to the Financial Statements
for the Period l Janua
20?110 31 fv1arch 202?
ACCOUNTIPIG POLICIES
Basis of preparin2 the financial statements
The tinancial itat¢m¢nts ol. th¢ charitabl¢ company. ￿'hICh 15 a public bcn¢fit entity under FRS 102, have be¢n
prepared in ac¥ordance H'ith the charitie.s SORP (FRS I O?) 'Accounting and Reporting by Cliarities.. Stateinalt of
Recominended PraLtice appliLable to Lhariiies preparing iheir accounts in ￿cOrdanCe wilh ihe Financial Reporting
Stsndard applicable in the UK and Republic of Ireland IFRS 10?} {eff￿t1ve l Januat), 20191,. Financial Reporting
Siandaid 102 Th¢ Financial R¢porting Standard 3pplicabl¢ in lh¢ UK and R¢public of Ir¢land' and rh¢ Companics
Act 2006. Th¢ linancial stat¢mcnt8 hai"¢ pr¢par¢d under th¢ hislorical cost convention.
Income
All income is re¢ognised in ihe St31emeni of Financial Activities once the chariry has eniiilement to ihe funds. it is
probablc that th¢ inconK will bc rcccivcd and the amounl can k mrasurcd rcliably.
Expenditure
Liabibties are recognised as expenditure as siK)n as there is a legal or constructive obligation committing the charity
to ihJt expendilure, it is pn)bable thai a transfer ol'eronomic benelits ￿1]1 be requirgj ii) settlement and ihe amount
ol. the obligation can be measur¢d r¢liabl}. Expcndilurc is accounlcd for on an accru815 basis and has iK¢n classified
under headings thai aggregate all cost rclatcd to thc caiegory. WheTC Costs cannot bc dircctly attributed to particular
headings they have been allocated to aciiTrities on a basis consisienr with the use of reS0￿rCe8.
Tangible fixed assets
Dcprcciation is proi'idcd at thc tollowing ar￿Ual ralcs in ordcr to writc off cxh assct ovcr its cstimatcd usctul lifc.
Stocks
Stock5 are valued at the lower of cosl and net realisable value. after making due allowance for obsolete and slow
moving items.
Ta¥a¢io
The charity is exempt from corporation t&x on its charitsble activiiies.
Fuiid accouiiting
Unrcslrict¢d funds can b¢ uscd in accordanc¢ with thc charitabl¢ obj¢ctlVC5 at th¢ discr¢tion of thc Irustrcs.
Restricted funds can ollly be used for panicular restricied purrrt)bes within the objects of the charity. Restrictions
arige ￿.hen %pecitied hy the dnnnr or M.hei Fund￿ are rail￿1 fnr particular resiritied pl￿pL}Ne￿.
Furth¢r ¢xplanation of the natu￿ and PUTPK)s¢ of cach fund is included in the notcs to th¢ financial statem¢nts.
Government grants
During the CUTtent financial year o Government Grant W0$ re¢ongnised as revenue in respect of the Corona Vin
Job Ritcntion Schcmc.
Page 8
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Notes to the Financial Statements- continued
for the Period l Janua
20?110 31 fv1arch 202?
NET INCOMEI(EXPENDITURE)
Net incomel(expenditure) is stated after charginglcrediting)..
Period
to
311.1122
Year Ended
31112120
Depreciation - owned absetS
Grdnts payable
744
TRUSTEES, REMUhlRATION AND BEP*EFITS
During the financial year a salary was paid io one of the T￿$(ees.
Trustees, expenses
There iyere no trustees, expenses paid for the period ended 31 MarLh 2022 nor for the year ended 31 December
2020.
STAFF COSTS
The avera8e T[￿nthlY llUTnber of employtes dunn8 thr wod was as follows:
Period
111121
to
31131?2
Year Ended
31112120
Adminisrrdiion
No ¢mployees reeeiv¢d etnoluments in excess of £60.OIX).
COMPARATII'ES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unresiriri¢d
fund
R¢slrici¢d
fimd
Total
INCOME AND ENDOIIMENTS FROM
Volunthry Income
7.208
7.208
Charitable activities
Suppurt costs
Direci costs of charitable llctivities
Total
3.557
700
11.465
700
EXPENDITURE ON
Cosl of g¢ncrating voluntary incom¢
356
356
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Notes to the Financial Statements- continued
for the Period l Janua
20?110 31 fv1arch 202?
COMPARATIVES FOR THE STATEMENT OF FIYAL¥ICIAL ACTII'ITIES- CODtinued
Un￿$(riCtcd
Rcstrictcd
fund
fimd
Total
funds
Charitable actil'ities
Support costs
DiT¢CI Costs of charilabl¢ actiN'iti¢s
Manag¢m¢nt & governanc¢ costs
5.788
6.999
5,788
598
13,741
598
13,741
Total
NET INCOLIIEI(E.XPENDITURE)
{2.276}
12,276)
RECONCILIA TION OF FUNDS
Total funds broughi fonvard
12.395
4,636
17,031
TOTAL FUNDS CARRIED
FORWARD
TANGIBLE FIXED ASSETS
Plani and
machinery
Compuier
equipTn¢nt
Totals
COST
At l 2021
Transfer to ownership
At 31 March 20?2
DEPRECIATION
At l January ?021 and 31 March 2022
NET BOOK VALUE
Ai 31 March 20?2
At 31 Decembvr 2020
2,400
2,977
5,377
1,343
1,343
1,343
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Notes to the Financial Statements- continued
for the Period l Janua
20?110 31 fv1arch 202?
STOCKS
20?2
2020
Siocks
DEBTORS: AIW1OU￿Ts FALLIYG DUE WITHIN ONE YEAR
2020
Other debtors
Accruals
68
i)
67
CREDITORS: AMOUNTS F.4LLtNG DUE W'ITHI1% ONE YE.4R
20?2
2020
Arcnjals and d¢f¢trd inCQTn
95
io.
CREDITORS: AMOIINTS FALLING DUE AFfER MORE THAN ONE YEAR
2022
2020
Other creditors
MOVEMENT IN FUPIDS
Net
iiiovenieiit
in funds
At
3113122
Unrestricted funds
General fund
10.119
(9.569)
550
RestTlCted fund5
R¢strict¢d fvnd
4,636
(4.636)
TOTAL FUNDS
14.755
14!05)
550
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Notes to the Financial Statements- continued
for the Period l Janua
20?110 31 fv1arch 202?
ii.
MOVIMENT IN FUNDS- continued
Net movement in funds. included in ihe above are as follows..
Incomiilg
resources
Re4ource5
expended
Movemeilt
in fwids
Elnrestricted fund5
Gcn¢ral lijnd
7,879
117,448)
(9,5691
Reslrieted funds
Re%tricted tund
(4,636)
(4,6361
TOTAL FUNDS
2? OS4)
14 2051
Cotnparative5 for moiement im fund5
Net
moNement
in funds
At
31112120
At 111120
Llnrestricted funds
General fund
12.395
(2.?76)
10.119
Reslricted fund5
Restricied fvnd
4,636
4,636
TOTAL FUNDS
17,031
Comparative net movement in funds. included in the aFM)ve are as follows.-
Incoming
rcsourc¢s
Resources
cxp¢ndcd
Movement
in funds
Unrestricted funds
General fund
11.465
(13,741)
(2.2761
TOTAL FUNDS
13 741)
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Notes to the Financial Statements- continued
for the Period l Janua
20?110 31 fv1arch 202?
12.
RELATED PARTY DISCLOSURES
There were no relaied party trdnsactions for Ihe period end￿ 31 March 2022.
Page 13

This document was delivered using electronic communications and authenticated in
accordance with the registrar's rules relating to electronic forni, authentication and
manner of delivery under section 1072 of the Companies Act 2006.