REGISTEREDCOMPANY NUMBEK. 112883306 (England #Dd W*les)
REGISTERED CHAIUTV NUMBEIL. 1031011
Umudit
FioA
or the Year
*A014XiIEJ*
1WI2024
c￿MPANIEs HOUSE
West. Chartued Acowntants
Office 2 Greswolde House
197b Road
Knowle
SolQLuII
Well Mkdlands
B93 OPU

r the Year Ended 31 Jul 2
P*g¢
R¢port of the Trusttts
Indtpthdut Ex*miner'$ Report
St#temerttof Aettvi(ies
B814nte Sheet
Notes to th¢ FinAnog1 Ststements
Detsikd St•teThent of Fityanoial A¢tivilie5

rtoftheTru
forthe Y r End
31st Jul 2023
The tnjsw who are af50 dirrctOTS of the clwity for the purpw of the Companies Act 2006, present their with
the financial statrnenrs of the charity for the year ended 31st Jyty 2023. The trustees have &lopied the provisions of
A¢￿￿ntitl8 and Reixytin8 by ChzritÉes.' Statement of Re¢ommend￿ Pr*ice applicable to charities pr¢parin8 their
a¢¢oiithts in a¢wrdan¢¢ with th¢ Fmancial Re￿1￿8 St*blard wli¢abl¢ in th¢ UK and Re￿blIC of Ireland (FRS 102)
(effeaive I. J￿￿ary 2019).
O&VZCtIVES AND AcftvrriLS
Objectivts ¥nd •im5
The Chartty exists to improve understanding ajjd provision of psyclthuapy in the West Midlands. ThE Charity off¢r5
ttvo rout￿ to qualifleaiion as a psychotherapisi &$ well &$ CPD events ftir pwfessionajs and outreach events for the
publi¢. WMIP also open*$ 4 referral service and an onlin¢ directory of therdpists 4nd also Sup￿￿ members to develop
and M￿r￿aIn th¢ms¢lv¢s irt s•f4 effeuive artd ethicaj prxtic&
Significant activities
The West Midlands Instiftrte of P5yclthryy (WMJP) is a gw of pyofessionatly vained p5ycl¥Jthuapists offering
psychother*py tothe community of the West Midlands t¢Y￿d.
W¢ can help with a brr>ad rang¢ of mentsl IKaJth aDd ¢rnotKMd difficuJtie4 wcoff¢r.
- Referyal setvi¢e
-tndividual psy¢hoth¢rapy
-Clini¢a] Sup¢rvision
We SUp￿rt continuitkg profe55ionaJ developm¢nt thTh)ugh avawiety ofcvuts rtetwotknng wup5:
- CPD events
. Memb¢rs grwps tndude. an81￿1C film 8rouw r¢*ling8Toup& seminarg
The In$¢iWte ofYeTS=
- a trnining for Anaiybcal P$ythoth¢rapi5
- a ￿llabOraTion with the Bimiit)gh2m Trnsi of PsyCh)anal￿iC Psychothuapy (B1PP) to offer a rn￿lfied training for
Child a￿d Adolesc¢J)t Psy¢hotherapists io traiD as AdultPsy¢hoth¢rapists
- Infant Obserwion
WMtP used to trwn Psy¢hoartalytic P5ythothryists •fKt many ofour n*miws are ￿ad14t¢S of that trainin&
Public btnefit
In preparing this Tew¢ the Board of Trustee5 has due regard to the Charity Commission's guidance on public
benefit. This sets out the acceprable charitsble which ajlow an or8anis3tion to ¢laim thaTitsbl¢ s¢aftts. Th¢
Trustees eonsider that th¢ ￿mS activities of WM]P meetthese rtquirt4nerts underth¢ following headtngs..
a) The advancement of education: by promotin& susthittiDg ard inueasin8 iTrlividual atKI r4)Ilective knowledge aT
urtdeTStandin8 of thtyjry. skills and expertise thTwgh wiatim ￿yd￿Y training.
bl The ￿vanCernent of health or the saving of live5.' by improvit)g ¥ttss to psyth)therapy, including som¢ low-fee
referrals 8t￿ by upl￿dIng pw stsndths of ryxtice through tsainiJ)& CPD and the work of our cthics
committee.
The individual work of many of our rnemb￿ ith delivering seThices to vulnerable #NJ disadv*)t8ged gw sych as
r¢fvge£s, victims of dome51ic and 5exua] abu%. infants atmj theiT primary earers. tlwjsc struggling with addictions etc. is
rther way in thich WMtP wids value by suwwting fr(ffii-lit)e worker&
ACHIEVEMEKf AND PERFORMAJYCE
IVMtP has ¢oniinued ty improve syst￿n5 and to improve communicatTh.

W tmidl
nd¢d 31st Ju
FINANCIAL REVIEW
Fin*ncio1 positio
ArJaly(iui Psychotherapy Training (APD
WMKP Central
These two sets of XCOLmts are then mmbtned before the txjnsolidatrd a¢counts we submitted to Companies House and
also to the Charity Commission.
The two tiwning4 th¢ WMTr kninistrW a￿4 accou￿ Westiharterd Ac¢ountaTh￿ have a]1 helF*d ys in thi5
proce5S.
Because of our size as a charity these a¢¢ounts *e subi¢a to "wdit" West-charterd Accounrvnts do act as
"independent examincT5"
The a¢￿￿ts show th¢ folh)wing:
Account
Income
ProfiV(-Lw)
N¢t Assets * ¢nd of period
£35.518
£33,985
£37.113
£35.498
£-1595
£-1,513
£17,532
£21275
Central
Consolidated 2022-23
£69.503
ConsolÉdated 2021.22 £64,371
£72.611
m,791
£-3.108
9.420
£38,507
£41.915
The nei rtsult in 2022-23 was that WMtP as a wknle made a ioss of £3108.
Th¢ loss has redu¢¢d by £6J12yearort year.
Membership Numbern art ¢¢mdy 96 with £27.807 fortheye•r.
Committee ¢4)5ts of£42.702 are slightly atrx>v¢ those in¢uned ow¢rthe 2 y¢ary.
Net assets ￿ the yttrend are £38.807 decre￿ by the loss of £ 3.108 iTKWtt4.
This level of [￿1 as5rt5 15 suifi¢ient to fund the ￿1vIll¢S of th¢ present. However, it is necessary to WOTk to
break even during ea¢h financiaf
M¢mb¢Ys subscriptions
Professionat
Clini¢ai Associate
Student
Affiliate
Retired Hotlorary
£473
£242
£177
£1tr2
£nil
£225
£165
£95
Bryart Anmm
WMIP TNsurer
. RLs¢rve5 plicy
The lrustees consÉder that the l¢ve] of reseryes is sufficient to furwj the *ivities of the Ch￿lty aJLd WOTk hard
towards a¢bievill8 break even during e&lt finwci81 penc41.
Pa8c2

Trusttts
for the Year E
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governiog do¢￿￿e￿t
The charity is controlled by its goveming a deed of trusL and co￿ll￿tr8 a limited limiteA by
The ttustres have the p)wtt at atty titne to app)illt atty to be a ttustee. either to fill a casua] vaw¢y or as an
addition to th¢ existing tr￿ste￿. Any tr• $0 8ppoin*J shall IK>ld office only witil the following AGM and shall then
be ehgÉble forre-electiorL
REFERKNCE AND ADMINisfRATIVE DETAllS
Reg5stsred Company th￿￿btr
028833C￿ (Ell￿ znd Waks)
ReKister¢d Ctharity nwDber
5031011
Registered office
Offic¢ 2 Gr¢swold¢ Howe
197b Ststion Road
Knowle
Solibull
West Mid18￿
B93 OPV
Tru5ttts
DiallaJill Hou15to
￿￿11 Aidan Jolth Manin (Its￿1 IV3Q023)
Reverend Mary Kenl (Tesignryl 18J3r2023)
Bryan Charles Arnott
PauliDE ￿gbar
Phillip Edward S¥leh (ap￿*￿ted 11612023)
Indtpthdent Exabnl
Susan West FCA
Office 2 Greswolde Ho
197b Sthiion Road
Knowle
Solibull
B93 OPU
Admipistr*¢ioD
JooLs Rogus {ap￿]nt￿l August 2020)
66 Stuirrells Road
Birrningkn B28 OLB
Ap￿Vedby okn of theb)Atd of r￿Ste￿4 on 2(*h Marth 2024 and OD its by:
6 c.A
Bryan ChaT1¢5 Al￿.T￿￿e¢
Page 3

t ExamiTrerfs R
titute f
rttothe
Indep¢ndent exarninerfs reptsrt to thttnuteu of Wcrf Midl*lld5 Irthte•fPsychotherapy ('the Compgny,)
I rep)rtto the clwity tru5tee5 on rny examination of the of th¢Company ￿th¢yesff ¢nd&l 31st July 2023.
ReSpon￿bIlitIeS *nd bA$iS ofreport
A5 th¢ tharity's trustres of the Company (and 8150 its direc￿ for the purp)ses of eompany law) you ore respM$ibl¢ for
the preparation of accouDts it) xcordance with th¢ requirements of the Companie5 Act2006 Cth¢ 2(K)6 Acfj.
Having Satisf￿4 my5¢1f that th¢ xuxmts of th¢ Company xe not rtquired ￿ be audited under Part 16 of th¢ 2￿ A¢t
and are eligible for ind¢•nt examination, I irt ffspect of my examination of your charity's a¢counts &% carried
out under secti￿ 145 of the Charities Ad 2011 (Ih¢ 2011 As*). In c4nyiD8 Out rny exam1r￿tion I hav¢ follow¢d th¢
Directions given by the Charity Commi55ion undersec￿￿Th 145(51 (b)of th¢ 2011 Aa.
Indep¢ndent examiD¢es ststeme•t
I hav¢ o)mplded my examination. l eonfirni matter5 havc c￿e ￿ my attention in conne¢tiOD with the
examination 8iVin8 me cause to believe:
xcounting re£ords were tLOt kept in re5Fedof the Cornpany as requircd by Section 386 of th¢ 2006 ACL
ihe a¢counts do rkx acwrd with records; or
the dccowits th) not wmply with the ¥Lvuniin8 reqLtiremuJts of Section 396 of the 2006 Ao other than any
requiremenr that the wJuThts give a true and fair view whith is not a rnatter considcred as w of an indyndent
uamin*ion' or
the accounts hav¢ noi F*¢rth prepar¢d in a¢cordan¢¢ with the metlth and PTÉnciples of the StatemeDi of
Rttomm¢nded Pra#i¢e for ac¢ountlll8 and wep)rfin8 by ¢hariti¢s (applicable to charitie5 preparing their accounts
in a¢¢ordar*¢ with the Finn¢ia] Re￿11￿8 standardapp1l￿k in the UK Rtpubli¢of Ireland (FRS 102)).
I hav¢ Th) concerns and have tome across no ¢xher matters in Conneoion with th¢ exomination to which ottention should
be thawn in this irt order ￿ fnable aproprr undern￿dIng ofthe io be re¥hed.
Susan WestFCA
West. Chart¢rtd A¢¢ourttarits
Office 2 Greswoldc H(yJse
197b Ststion Road
KrM)wle
Solihull
Wesimidlands
B93 OPU
20th Mar¢h 2024

Fin
Inco
oratin
for thtytar E
l A tivitie5
mt gnd Ei
nln
ditsrt A
Period
.10.21
Ye4r Ended
31.7.23
Utsrestrieted
fthnds
31.7.22
Totsi
fvnds
INCOME AND ENDOWMENfs F110M
Othertradin8 aclivitics
69J03
61,496
EXPENDITURE ON.
Raising fiuLd5
28A03
Other
42.870
Totsl
70.916
NET INCOMVffjXPENDITURE)
{3,108)
(9,420)
RECONCILIATION OF FUNDS
Totat fvnds brou8hi fon¥ard
41 915
51 J35
TOTAL FUNDS CARRIED FORWARD
38107
41,915
The Thx¢s fomi part of these fwum¢ial statements

31st Jul 2023
2023
2022
Tothl
fwids
Debtors
Cash at bank
41710
47,906
4&679
47,906
CREDrfoRS
(9172)
(5J60)
NET CURREiYf A&SETS
42.346
LL4BILITI
42J46
CREDITORS
Arr￿Unts falling due DK)r¢ than(m¢ y
{431)
NET A&SETS
41.915
Unxestrictul fiu
34107
41.915
TOTAL FUNDS
41.915
The ¢lJarAtable o)mpany is ents.tkd to extswtion from a￿lIt undtr Sectirn 477 of the Cwie8 Act 2LKJ6 for the year
ended 3 Isi July 2023.
The membus have ryuimj th CfAWMDy to Att 8￿j11 of its f￿1￿¢181 statements for the year eoded
31st July 2023 ID aLwwdJDce with Wion 476 of th¢ C(ffDpaDies Art 21KJ6.
Tbe trLLStees acknowledge theirwtsibilttits
(a)
enwrirjg that the cbaritable company keq)S x¢￿ting YfxrAd5 d￿l comply with Se£ti(os 386 and 387 of the
Comjmtiies A¢t 21x16 artd
preparing financial 5taterntNs which give a true and fair view of thB swe of affai￿ of the charitsble Company as
the end of eath fin￿181 year aNI of its swplus or deficit for each FnwKiai year ID accordance with the
r￿U]reMents of Sections 394 aDd 395 alld vknich otlKThvise comply with the Tequirements of the CollLpaDie5 Act
2[￿ rdakng th fil￿nCIal so FJr¥s aEylicabk to the clwitabl¢ CuDp￿y.
Ib)
subject tothe small compaD1￿ reg1D￿.
The finaTKial sraternents were approved by the Board of TnLStets and auttK)risal for I￿lle Ort 21kh March 2024 aThl were
signed OD its belwlf by:
.C.Awff
Bryattcharles Arnott. Tn￿ee
Page 6

ror the Y
r Ended Jl$t Jul 2
ACCOUNfiNC POLICIES
Blsis of prtparingtht fingnciil 5t•tements
The financial ststeme*ts of the dwitable comp/ny. whith i5 8 public benefit entity under FRS 102. ha￿ been
ep￿ed rn accordan¢¢ with th¢ Ch*iti¢s SORP (FRS 102) 'Accounting and Rewrtirtg by Chatities.. Statement
of kecommtndcd Practice applicable ￿ charilies pw3riDg their accounts in accordan¢e with th¢ Financial
Rep)rting Stsndard appllcable in the UK aNJ Republi¢ of hrland (FRS 1021 (effective l January 2019),,
FIna￿tal Rqx)rtin8 Standard 102 Tr Fin￿￿la1 R¢p)rttng Stsndard applicable in the UK and Republi¢ of
Ireland. artd the Companies Act 2￿. The financial statements bav¢ be¢Th wepared under the historicDI Cost
¢4)nveDtion.
All income is re¢ognised in tte Statement of Fina￿181 Activiti¥ once the tharity has erItitI￿nellI to th¢ fimds. it
is probable that the irKorne will be received amouni w be rneasurpj relrably.
Expenditure
Liabilities aTE r￿ognised a5 expenditurt as sfy)D as thefe is a 1¢8al or ¢onstnJoive obligation c4)mmitting the
charity to that expenditt]Te, it is prnbable a transfer of ¢¢onomi¢ benefits will be rnluired in settlement and
the a￿L￿nI of the obligation can be Me*sW￿ reliably. Expethlitwe is acwunta for on an xcruals basi$ and has
br￿ classified under headings aggr¢g* ￿1 rost relattyj to the ¢at¢gory. Where costs catmot be diredly
attributed tt> parttcular headiTr￿ they have bcen aJkKa*d fo xtivities on a basts o)nsis¢nt with the use of
TAngible fjxed ws¢ts
Dwiallon is provided * the following wmual rat¢s in to write off each &$5et over its estimated usefi¢l
FixDJres and fittin
. 33% on r¢du¢ing bal*K¢
Taxatio
The charity is ex¢mpt from corwration tax on its charitsble activitie
Fund account￿g
un￿1￿cted fvrtds Can be used in acc(othw with the chwilable objectives * the discretion of the trustees.
Restricted funds can only be wsed for ￿tiCUlar restric*d pww)5es within the objects orth¢ charity. R¢stri¢tions
arise wheTh SFrfifid by theilonoror when bJnd5 are rais￿ f￿particularrtStrILth1 purposes.
FurthuexplaTration of the natwe and putw6eof eath is includgj IA the Tr3te5 tr)the financial statements.
Debton •nd ¢r￿At0
Debtors rec¢ivabl¢ within one year #nd ryedit(o payable within one ye•rar¢ reCI￿ded attransadion ￿lUe.
OTHER TRADING ACTivmFS
P¢riod
1.10.21
Y¢gr Ended
31.72J
31.7.22
Members subscriptions
Traioing & couw ftes
27807
41.696
21880
38.616
69
61,496
cot)tinued...

ndsI
he Year Ended JJ t J 1 20
TRUSTEES, REMifNERATION AND BENEFITS
There were no tsuste¢s' mn￿￿ration or s)ther for the yearentsl 31g July 2023 nor for the period ¢ndeJ
31st July 2022.
Trnsteeg, expense5
Ther¢ w¢re no trustCC5' ex￿￿5 paid forthe Y¢tr￿jed 31st Juty 2023 Try for the ended 31stJuly 2022.
COMPARATIVES FOR TH£ STATEMEKfoF FINANCIAL ACTIVITIES
Unrestricted
fijnds
INCOME AND ENtK)wME￿Ts FROM
(hhertJading activities
61,496
EXPENDITURE ON
Rarsiog funds
28,046
42,870
Totsl
70.916
NET INCOMEIIEXPENDITURE)
(9,420)
RECONCIUATION OF FUNIXS
Tofal fullds broughi for
51,335
TOTAL FUNDS CARRIED FORWARD
41,915
TANGIBLE FIXED ASSETS
FixtUTe5
rittings
COST
At 1st August 2022 and 31st July 2023
i.ooj
DEPRECIATION
At 1st August 21)22 and 31st July 2023
I,IVJ3
NET B(M)K VALUE
Ai 31st Juty 2023
At 315t July 2022
continued...

Ingn
for the Year Endvj
tate
DEBTOK5.. AMOUNTS FALIJNG DUE wmiiN ONE YEAR
2023
2022
Prepayments
CREDITOILS: AMouNfs FAtLING DUE W￿mIN ONE YEAR
2023
2022
Other creditors
A¢£ruals and deferred income
41211
5.052
5560
9372
5,560
CREDITORS: AMOUNTS FALUNG DUE AFTER MORE THAN ONE YEAR
2•23
2022
AEGnw15 and defer￿1 irKon
431
MOVEMENT IN FUNDS
Net
K)vemeni
in filnds
At
31.7.23
Al 1.8.22
Unrestricted funds
Gene￿ fvnd
413lS
(3.108)
38007
TOTAL FUNDS
41915
(3.108)
38.80Y
Net movement in fund& included in thc ai¥)ve ￿ as foll
Incoming R¢g)ur
Movement
in fvnds
Vnrestrict¢d funds
Genertl
69
(72.611)
(3,108)
TOTAL FUNDS
69J03
172ffj11)
(3,108)
continwl...

Fingncigl
te
ded 31st Jul 2023
for the
MOVEMENf IN FUNDS-
Compar4tives for nkovement IA f•nds
Net
movement
in fijnds
At
1.10.21
At
31.7.22
Urtrtstritted funds
Gentr￿ fund
Bursary FurMI
51.175
160
(9.260)
(160)
41,915
51,335
(9,420}
41,915
TOTAL FUNDS
51,335
(9.420)
41,915
Compa￿1¥¢ nei movemen¢ in tncluded ifi th¢ above ar¢25 follow5:
Incornins
Resources Movement
expEnded
in fiLl￿S
ijnrestricted
General fijnd
Birsary Fund
61.496
(70,756)
(160)
(9.260)
(160)
61,496
(70.916)
(9,420)
TOTAL FUNDS
61,496
{70.916)
(9,420)
io.
RELATED PARTY DISCLOSURLS
There were no relaied pty rrans8¢ti¢Jns f¢x thy¢¥￿d￿j 31ll Juty 2t123.
Page 10 .

lands
temen
nded 31 t Jul 20
Period
1.10.21
Year Ended
31.723
31.7.22
INCOME AND ENDOWMENrs
Othtrtr•ding artivities
Member5 subscrTplions
Traintng & course fees
27007
41*96
21880
38,616
69J03
61.496
Tot•1 iNwmiThe
. 69503
61,496
EXPENDITURE
Othertrading actsvi¢x&
Venu¢ costs
5,116
572
750
2fj493
566
906
6,768
1.182
210
17,808
975
1,103
BJPAJP
Members. subscriplions
Trdining. course fees & expenses
UKCP expertses
BPCC m¢mtrtr ftes
2V03
28.046
Support co
Man4gemeoi
Insuranre
OfFice costs
Comminee & th1nistr￿1C
641
500
40,229
41on
43JJ3
41,910
Governance costs
Independent ¢xominatio
995
Total tt50urres eX￿ded
72,611
70.916
N¢t ￿Pendi￿re
(3,108)
{9.420)
This page does fcrfm pzrtofthe ststuw financial 5tatemenls
Pa8ell