CHARITY REGISTRATION NUMBER: 103218
FOYLE WOMENS INFORMATION NETWORK
FINANCIAL STATEMENTS
31 MARCH 2025
Crossan & Co
Chartered accountants
8 Columba Terrace
Derry
BT47 6JT

FOYLE WOMENS INFORMATION NETWORK
FINANCIAL STATEMENTS
YEAR ENDED 31 MARCH 2025
Page
Trustees, annual report (incorporating the executive committees,
report)
Independent examinerfs report to the trustees,
Statement of financial activitios (including income and
expenditure account)
Statement of financial position
Notes to the financial statements
10-16

FOYLE WOMENS INFORMATION NETWORK
TRUSTEES, ANNUAL REPORT
YEAR ENDED 31 MARCH 2025
The members present their repcrt and the unaudited Financial Statements of the charity for th¢ year
ended 31 March 2025.
REFERENCE AND ADMINLSTRATIVE DETAILS
Registered charity name
Foyle Women's Infornlation Network
L'harity re￿$trAtiOn Dumber
NIL'103218
Principal office
Foyle Women's Inforniation Network
Diverse City Community Partnership
Holywell
8-14 Bishop Street
Derry-Londondeny
BT48 6PW
The trustee8
Th¢ m¢mb¢rs who served the charity during the period were as follows:
Marie Coyle (Chairperson)
Jean Gorniley
Helena Downey (Treasurer)
Emma Burns
Emma McGinley
Ann Donnelly
Patricia Lew51ey-Moon¢y OBE
Siobhan Brinkley
Brighton Dean
I,ynn C.raivford
Joyce McLukie
Seeretary
Catherine Cooke
Independent examiner
Noel Crossan F.C.A
8 Columba Terra(x
Derry
BT47 6JT
B2nkers
Meadow Bank House
143 -145 Strand Road
De
BT48

FOYLE WOMENS INFORMATION NETWORK
TRUSTEES, ANNUAL REPORT{conflnued)
YEAR ENDED 31 MARCH 2025
STRUCTURE, GOVERNANCE AND wAGEmE￿
Governin
Document
Foyle Women's Infonnation N¢twork is an unincorpornted organisation and accepted as choritable
under reference NEC103218. The charity was established under a constitution which sets out the
objeots ￿ld p¢Jwtsis.
Recruitment and a
intment of the Executive C'ommittee
All members of the Committee shall retire annually but shall be eligible for election or appointment
again. Nominations from rnembeTh of the orgAnisation for MeMbe￿hIp of the, c.ommittee. miist Fe. in
writing and must be in the hands of the designated officer at least seven days before the AGM.
anisation Structure
The Committee eonsists of eleven members. The Executive Committee are responsible for the
strategic direction and policy of the organisation. Committee members are from a variety of
professional backgrounds relevant to the work of the charity. The Committee as a whole was
approved by the AGM and continues to monitor its membership.
oB￿￿cTIvEs AND ACTtvtnis
Princi
al Activiti
The principal activity of the charity is to offer encouragemenL suppor¢ and inforn]ation to women in
the Foyle area. Our main objective is to increase the capacity, visibility, and voice of women
throughout the North-west. The strategy used to meet th¢ objective includes working closely with
local women's organisations and developin8 relationships with women's organisations regionally>
nationally, and internationally. We review our aims, objective& and activities each year to ensure that
they remain focused on their stated purposes.
What we do
At Fovl¢ Women's Inforniation Network. wp. aim tr)".
ducate
Working with local organisations and individual& we provide educational facilities so that all our
stskehold¢rs have an qual opportunty to develop their full potential.
We provide individual and Community support to our Stakeholders, off¢ring the opportunity for
women to make a brighter future for themselves.
De.velo
Partnershi
We work together with a wide range of groups to maximise our abÈlity to realise our mission.
Delivcr
We aim to deliver services that are of the highest quality, which are well planned and managed. We
aim to be ¢ffective, efficienL and accountable in au our work.

FOYLE WOMENS INFORMATION NETWORK
TRUSTEES. ANNUAL REPORT{continued)
YEAR ENDED 31 MARCH 2025
ACHIEVEMENTS AND PERFORMANCE
FWtN was established in l994 by Derry City Council who recognized that women were working away in
th¢ir local ¢ommuniti¢s however there was no cross over or engagcment between or across the divide and
thus the network was established to bring women togeth¢r to build relationships and begin the road to
reconciliation.
'I lie tocus of the charity's work is to provide a supportive place for women and women's groups to meet
fitsjii dll Ilie dittbieiil iielglibowlio()ds ￿ld veitU¢S L)veJ Deiiy/Loiidoiidei'ry. Su¢li gaLlierh]gs have provided
opportunities for women to discuss health issues, educational matters, and politics. Women are also given
the platforni to ty new idcas, make new contacts and friends and to offer and exchange information.
Courses delivered durin
eri1￿.
Dance and Movement
Exercise
Yoga
Meditation
Music
Crochet
G&T Club
Well-being
Crafts
Flower Arranging
Multi-crafts
Quizr
Bingo
Book Club
Our Wednesday morning G&T club has been meeting every week it is a drop in youth club for
rw¢led tsenagers everyone is welcome for a cuppa and a nice bun along with an opportunity to
h¢ar fmm on¢ of our weekly contributors we aim to hav¢ a d7fferent topic each week.
eaee Plus Pro
eet
Keep your eyes peeled for this new venture. Launching in January 2026.
FWIN will enable 600 women to undertske training devised by Queens University. which will
increase their peace and r¢conciliation capability.
600+ women to be recruited.
Consortium for re
And rural are&8.
FWIN ar¢ on¢ ofthe 7 partners involved in the ¢onsortium which engages with a range of key
decision makers and funders on behalf of the women's sector, provides support to groups and
distributes infornlation and provide bespoke training> carry out research and have better evidenoe
of issues which iM￿t wom¢n for example BrexiL welfar¢ reform ¢tG.

FOYLE WOMENS INFORMATION NETWORK
TRUSTEES. ANNUAL REPORT (continued)
YEAR ENDED 31 MARCH 2025
Information ¢omJnunication and en
ement
FWIN send out waeekl inforn)ation bulletins on a Friday- we also lauftched a new membership
drive following our AGM in October and if you're not a member then please sign up for great
benefits.
EVAWC Endin
vioReno8
ainst Jvomen and
The Forn]at.. Weekly 2-hour sessions over 6 weeks.
Topics by Week:
o Week One: Welcome and an introduction to Ending Violence Against Women
wid Gli Is (EVAWG)
o Week Two: Coercive Control - What Ét is. spotting the sign4 where to get
help.
o Week Three: Types of violence and abuse that affect women and girls -
spotting th¢ signs. where to get help.
o Week Four: Abuse within the home and how it impacts children - Digital
abuse, signs of Child abuse. effects on children. how you can support children
and young people.
o W¢¢k Five: PSNI Community Impact Team Guest Speakers - We hear from
Constable Josie Crawford who shares her personal experience that led her to
juiii ilIL PSNI. TILe team dlso thlks through und¢rstanding the Justlce system's
role in prevention and Protectio￿ how to report abuse yourself or on behalf of
someone else. and what happens nexl Q&A.
o Week Six: What you can do to support viGtims. Q&A, and conclusion.

FOYLE WOMENS INFORMATION NETWORK
TRUSTEES. ANNUAL REPORT (contlnuedj
YEAR ENDED 31 MARCH 2025
F￿rfANcIAL RE￿￿w
Totsl incomin8 resources for the year were £118.000 (2024: £104,248), of which approximat¢ly 96%
(2024., 970/0) was generated from grants and contracts and 4Vo (2024: 30/0) from donations and
rundraising aclivilies. Tolal resourLes ¢xpended by th¢ ¢harAty were £103.224. (2024: £105,458).
Approximately 98¢/0 (2024: 9W/o) of this was expended on direct charitable artivities and 20/0 (2024:
Iyo) on governance costs.
RESERVEI) POLICY
The Executive Committee consider it prud¢nt to hold monies in reserve in the event that unforeseen
circumstances should lead to financial difficultics which might put the future of its employment
capacity, users, well-being and general charitable work in jeopardy.
A fornial policy on reserves has been agreed by the Committee members which stipulates that free
reserves be maintained at a level which ensures that the charity's core activity ￿Uld continue during a
period of unforeseen difficulty. Free reserves are defined by the Committee as those funds freely
available for use as the charity so deternines and thereby excludes any r¢strictcd or designated fijnds.
The Committees, policy 15 that the number of free reserves should reflect six months expenditure plus
any additional core costs. Based on 2024125 expenditure of £103,224 that amount would be £51,612.
Free reserves on 3 1st March 2025 are currently holding at 3 months. Committee continues to strive to
build a general level of reserves that has six months of expenditure in reserve so that they will be able
to continue the current activities of the Ch￿lty. In the short tsmi, the Committee have also conSide￿d
the extent to which existing activities and expenditure should be Curtaile￿ should circumstances arise.
PLANS FOR OUR FUTURE PERIODS
The focus of the charity's future work is to provide a supportive plaLY for women and women's groups
to meet from all the different neighbourhoods and venues over DeTryILondonderry. Such gatherings
have provided opportunities for women to discuss health issues, educational matters, and politic3.
Women are also given the platforni to ty new idea5, rnake new wntacts and friends and to offtt and
exchange infonnation.

FOYLE WOMENS INFORMATION NETWORK
TRUSTEES. ANNUAL REPORT (coni)nued)
YEAR ENDED 31 MARCH 2025
TRUSTKES, RESPONSJBILrriES STATEMENT
The trustees. who are also committee member4 are responsible for preparing the trustees, report and
tlie fiiiaiiLiaI &*(al¢m¢nts' in accordance with the applicable taw and United Kingdom ALcounling
Standards (United Kingdom Generally Accepted Accounting Practice.)
CharÈty trnstees are required to prepare financial statements for each year which give a true and fair
view of the state of affairs of the charitable company and the incoming resources and application of
T¢sources, including the income and expenditure. for that period,
In preparing th¢s¢ financial statements. the trustees are required to:
select suitable acwunting policies and then apply them consistsntly.
observe the methods and principles in the applicable Charities SORI)
make judgements and accounting ¢stimates that are reasonable and prudent.
prepare the financial statements on the going eon¢ern basis unless it is inappropriate to
presume that the charity will continue in business.
The trustee5 ar¢ T¢sponsible for keeping adequate records that are sufficient to show and explain the
charity's transactions and disclose with reasonable accuracy at any time the financial position of th¢
charity and enable them to ensure that the financial statements comply with legislation. They are also
responsible for safeguarding the assets of the charity and hence for taking the reasonable steps for the
prevention and detsction of fraud and other irregularities.
INDEPENDENT EXAMINER
Nuol Crossan r.c.A hos been rtrappointed as the tndependent examiner for the ensuing yeor.
The trustees, annual report and the strdtegic report were approved on 5 February 2026 and sign¢d on
behalf of the board of trustees by:
Catherine Cooke
Charity Secretary

FOYLE WOMENS INFORMATION NETWORK
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF FOYLE
WOMENS INFORMATION NETWORK
YEAR ENDED 31 MARCH 2025
I report on the accounts of the clwity for the year ended 31 March 2025 which are set out on pages 8
to 16.
RESPECTtVE RLSPONSIBILITIES OF TRUSTEES AND ELIMINER
li
As the ¢harity directors you are responsible for the preparntion of the accounts. The charity's trustses
consider that an audit is not required for this y&qr and that an independent examination is needed. It is
tli¢ ts'ustees. resp0115ibility to.
- exomine the Lccounts under section 65 of the Charities Act 2008.
- follow the procedures laid down in the general directions given by the Charity Commission for
Northern Ireland under section 65(9Xb) of the Charities A¢t 2008.
- state whether particular matters have come to our attention.
BASIS OF INDEPEfADENT EXAMtNER'S STATEMEIYT
My exarnination includes a review of the accounting records kept by the charity and a comparison of
the accounts presented with those records. It also includes consideration of any unusual itsms or
disclosures in th¢ accounts and seeking explanations from you &8 trustees enncerning any such
matters. The Pro￿dureS und¢rtaken do not provide all the evidence that would be required in an audkt
and consequently no opinion is given &% to whether the accounts present a Yrue and fair Vie￿ and the
report is limited to those rnatters set out in the statement below.
]NDEPENDENT EXATrtINER'S STATETrtENT
In connection with my examinatioffj no matter has Gom¢ to my attention:
(l) which gives me reasonable cause to beli¢ve that in any material respect the requirements..
to keep 2ccounting rec.ordq in Re.cordaneTr. with ger.tinn 27 of the c.harities Act (North¢rn Ireland)
1964" and
to prepare a￿unts which accord with the accounting rpxords and comply with the accounting
requirements of that Act
have not been met; or
(2) to which. in my opinion. att¢ntion should b¢ drawn in order to enable a proper understanding of the
accounts to be reached.
ered accountants
lurnba Terrace
BT47 6JT

FOYLE WOMENS INFORMATION NETWORK
STATEMENT OF FINANCIAL ACTIVITIES
YEAR ENDED 31 MARCH 2025
Unrestricted Re5trieted Total Funds Total Funds
Funds
Funds
2025
2024
li
INCO￿tING RESOURCES
Incoming resources from
generating funds:
Voluntary income
4J19
113,681
118,000
107,677
TOTAL INcoM￿￿c
RESOURCES
4J19
113,681
118,000
107,677
RESOURCES EXPENDED
Charitable activities
Governance costs
415
1,862
98,684
2,678
100,546
2,678
105,993
2094
TOTAL RESOIIRCES
EXPENDED
1062
101062
103,224
108,887
NET
li
COMtNGI(OUTGOIN
G) RESOIJRCES FOR
THE YEAR
RECONCILJATION OF
2,457
12?19
14,776
(1210)
Total funds brought forward
TOTAL FUNDS CARRIED
FORWARD
61A96
25.151
86,747
87,957
64,053
37A70
101,S23
86,747
The statement of fil￿ncial activities includes all gain$ 8nd losses recognis¢d in the year.
All income and expenditure derive from continuing activities.
The charity has no recogmised gains and losses other than those included in the results above and
therefore no separate statement of total recognised gains and losses have been presented. There is no
difference between the net incoming resources for the year stated above and their historical cost
equivalents.

FOYLE WOMENS INFORMATION NETWORK
STATEMENT OF FINANCIAL POSITION
YEAR ENDED 31 MARCH 2025
2025
2024
Note
FIXED ASSETS
Tangible assets
917
917
CURRENf ASSETS
Debtors
Cash at bank
10
5,873
80,557
116J25
86,430
(600)
CREDITORS: Amounts falling due within one year
(15,719)
NET CURRENT ASSETS
101,523
85,830
TOTAL ASSETS LESS CIIRRENT LIAB]LfriES
101,523
101,523
86,747
86.747
NET ASSETS
Restricted income fund5
Unrestricted income funds
12
13
37,470
64,053
25,151
61A96
TOTAL FIINDS
101,523
86,747
These financial statements were approved by the board of trnstees and authorised for issue on 5
Irebruary 2026 , and bign¢d VTI beh￿[ of the buard by:
Catherine Cooke
Secretary
The notss on pages 10 to 16 forni part of these Financial Statemen

FOYLE WOMENS INFORMATION NETWORK
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 MARCH 2025
I. STATEMENT OF COMPLIANCE
These f￿ancial st&temeDts have been prepared in complianex with the Charities Act (Northem
Ireland) 2008.
2. ACCOUNTING POLICIES
Bssis of accounting
Th¢ financial statements hav¢ b¢¢n pr¢par¢d on the historical cost basi$, as modified by the,
revaluation of certain financial assets and liabilities and investsnent properties meaSU￿d at fair
value through income or expenditure.
The finan¢ial statements are prepared in sterlin& which is the functional Currency of the entity.
CoiDg Concern
There are no tnat¢rial uncertainties about the ckwAty's ability to continu¢.
Fund Accounting
Unrestrictsd funds are available for use at the discretion of the trustces to further any of the
charity's purposes. Designated funds are unffstricted funds eamiarked by the directors for
particular future project or commitmenL
Restricted funds are subject¢d to restrictions on th¢ir ¢xpenditure d￿lar¢d by the donor or
through the temis of an appeal, and fall into one of two sub-classes: restricted income funds or
endowment fvnds.
Incoming resour
All incoming resources are included in the statement of financial activities when entitlement has
pasBod to the oharity; it is probable that th¢ eoonomio bonefits osSOOiQted with tho transaotion will
flow to the charity and the amount can be reliably measured. The following specifiG policies are
applied to parttcular categories of income:
incom¢ from donations or grants is recognised when there is evidence of entitlement to
the gift, receipt is probabl4 and its amount Can be m¢asured reliably.
legacy income is re¢ognised when rec¢ipt is probable, and entitlement is established.
income from donated gocKls is measured at the fair value of the goods unless this is
impractical to measure reliably, in which case the value is derived from the cost to the
donor or the estimated resale value. Donated facilities and services are recognised in the
accotsnts when received if the value can be rèliably méasured. No aTh1o1￿ts are ihcltsded
for th¢ contribution of general volunteer&
income from contracts for the supply of servi￿$ is recognised with the delivery of the
eontracted service. This is classified as unrestricted funds unless there is a contractual
requirement for it to b¢ spent on a particvlar purpose and returned if unspenL in which
¢ase it may be regarded as restri¢te(L
10-

FOYLE WOMENS INFORMATION NETWORK
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 MARCH 2025
2. AccouNfING PoLIC￿s (continuedl
Resources expellded
Expenditure is reCO￿lS¢d on an accruals basis as a liability is incurred. Expenditure inGludes any
VAT which cannot be fully r¢cover¢d, and is classified under headings of the statement of
financial activities to which it relates:
expenditure on raisin% funds includes th¢ costs of all ￿ndraising activitl&8. event8.
non-charitable trading activities, and the sale of donated goods.
• expenditure on charitsble activities includes all costs incurred by a charity in
undertaking activities that further its charitable aims for the ben¢fit of its
beneficiaries, including those support costs and costs relating to the governance of
the charity apportioned to charitsble activities.
. other expenditure includes all expenditure that is neither related to raising funds for
the charity nor part of its expenditure on charitable activities.
All costs are allocated to expenditure categories reflecting the use of the resource. Direct costs
attTibutable to a single activity are allocated directly to that activity. Shared costs are apportioned
between the activities they contribute to on a reasonable> justifiable. and consistent basis.
Tangible assets
Tangible assets are initially recorded at COSL and subsequently ststed at cost less any
accumulated depreciation and impainnent losses. Any tangible assets carried at revalued amounts
are recorded at the fair value at the date of revaluation less any subsequent accumulated
depreciation and subs¢quent accumulated impainnent losses.
-11-

FOYLE WOMENS INFORMATION NETWORK
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 MARCH 2025
VOLIINTARY INCOME
Unrestritted Restricted Total Funds Totsl Funds
Funds
Funds
2025
2024
Donations
Donations & fundraising
C7rants receAvable
DSD Cornmunity Investment Fund
19
4J19
3,159
25,137
(CIF)
25J17
2271
37,661
5,138
1,715
25J17
2271
37,661
5,138
1,715
45,120
Choice
Training for Womcn Network - RISP
Dept of Foreign Affairs
Tampon Tax
CRC
Derry City & Strabane Council
DEL-ESF
Halifax Grant
Job Start
John Moore Grant
CT
Arts Council NI
Kilcooley (WIP)
Honorable Irish Society
ROSA
CFNI
31,261
2.929
5,333
2.401
46
5,966
4,500
1.814
1,150
1,150
2A09
532
4,427
7,415
130
963
1,800
1,527
21,125
2,509
532
4,427
7,415
130
963
1,800
I,S27
21,125
150
5.000
4?19
113,681
118,OIMJ
107,677
COSTS OF C￿￿RITABLE ACTIvftIES BY Ft)ND TYPE
Unrestricted Restricted Total Funds Totsl Fun(ts
Funds
Funds
2025
2024
Core Programme Costs
1,862
101,362
103,224
105,993
-42-

FOYLE WOMENS INFORMATION NETWORK
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 MARCH 2025
COSTS OF CHARITABLK AcfIvTfIES BY AcfIviTY TYPE
Activities
undertaken Totsl Funds Total Funds
directly
2025
2024
Cor¢ Programme Costs
103324
103,224
105,993
GOVERNANCE COSTS
Unrestricted ReBtrict8d 'l'otal th unds 'l'otal kiunds
Funds
Funds
2025
2024
Accountancy fees
Bank Interest & Charges payable
Foreign cuffency gainlloss
Insurance
600
254
600
254
600
276
2078
2078
2,018
2,894
2,932
2,932
li
NET )ThCOThttNGI(OUTGOllYG) RESOURCES FOR THE YEAR
This is stated after chargingl(crediting):
2025
2024
Exchange (gains)llosses
S'TAFF COSTS AND EMOLIYMEIYTS
Total staff Costs were as follows:
2025
2024
Wages and salaries
69,035
74,297
69,035
74,297
Particular5 of employees:
The average number of employees during the year. was as follows:
2025
2024
Number of staff
No employ¢¢ received remuneration of more than £60,000 during the year (2025 - Nil).
-13-

FOYLE WOMENS INFORMATION NETWORK
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 MARCH 2025
TANGJBLE FIXED ASSETS
Equipment
At l April 2024
5,066
Additions
% at 31" Marcb 2024
DEPRECIATION
At l April 2024
At 31 March 2025
4,148
4,148
NET BOOK VALUE
At 31 March 2025
918
At 31 March 2024
918
10. DEBTORS
2025
2024
Other debtors
Grants payablelreceivable
40272
40272
5,873
5,873
11. CREDITORS: Amount$ falllng du¢ within on¢ y¢ar
2025
2024
Bank loans and overdrafts
Other creditors
Accruals and deferred income
600
600
600
600
-14-

FOYLE WOMENS INFORMATION NETWORK
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 MARCH 2025
12. RESTRICTED INCOME FUNDS
Balance at
l Apr 2024
Incoming
Outgoing
Balance at
resoure￿ 31 Mar 2025
DSD Community
Investment Fund (CIF)
Derry City Council
Choice
De.pt of Foreign Affair
ROSA
CT
Dept Employment &
LeaTning- ESF
Training for Women
Network- RtSP CIF
CRC Grant
John Moore's
Halifax Grant
Honorable Irish Society
Kilcooley (IW)
Job Start
ACNI
CF
Tampon Tax
2,037
46
25,317
1,150
2271
27?17
1150
2270
6,410
1,527
7,415
37
46
2,410
1527
7,415
1,138
1,527
7,415
1,527
7,415
7.914
501
37,661
38,000
502
4,434
2037
7,575
4,427
2,509
1,800
963
532
130
21,125
1,715
2,509
2,681
1,800
963
532
197
11,250
2,118
67
125
403
10,000
25,151
113,681
101,362
37,470
13. UNRESTRICTED INCOMT FUNDS
B21ance at
l Apr 2024
IneomiDg
resources
Outgoing
Balance at
resournes 31 Mar 2025
General Funds
61A96
4J19
1,862
64.053
-15-

FOYLE WOMENS INFORMATION NETWORK
NOTES TO THE FINANCIAL STATEMENTS
YEAR ENDED 31 MARCH 2025
14. ANALYSIS OF NET ASSETS BETWEEN FUNDS
Net current
TaDgible
2s$etsl
rixed assets (liabilities)
Total
Restrided Income Funds:
DSD Community Investment Fund
Unrestricted Income Funds
917
63,136
116025
64.053
86,747
Total Funds
917
15. CONTINGENCIES
A contingent liability exists to repay grants received should Lyrtain conditions not be fulfilled by
the charity. In the opinion of the Trustees, the ternis of the Letters of Offer have been, or will b
complied with and no liability is expected.
16. RELATED PARTIES
There were no other related party transactions incurred during the year (2025: nil)
16-