• Sllsto
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SISTER CIRCLE LTD.
ANNUAL REPORT
Board of Trustees, Annual Financial
Statement, year ending March 31st 2023
REGISTERED OFFICE:
THE BRADY CENTRE
192-196 HANBURY sfREEf LONDON EI SHU
Iiiiiniiii
*ACIA4F20•
1311212023
COMPANIES H(KJSE
A07
24
CHARITY REGISTRATION NO. 103J764
COMPANY REGISTRATION NO. 289T150

SISTER CIRCLE LTD.
Trustees, reports for the year ended 31th March 2023
THE DIRECTORS. WHO ARE ALSO TRUSTEES. PREsE￿r THEIR REPORT AND AUDITED
ACCOUNTS FOR THE FINANCIAL YEAR ENDED 31ST MARCH 2023.
DIRECTORSffRUSTEES:
ANNIE KARLIN (CHAIR)
DONG CHEN ITREASURER)
AYA4N GULAID
ALISHA ESMAIL
CAMILLA HAMPTON
CHARLENE CHANDRASEKARAN
JOANNA FOWLER
KATHERINE BRINTWORTH
WENDY OLAYIWOLA
CHIEF EXECUTIVE.. KAREN WINT
INDEPENDENT EXAMINER:
GOLDWINS
CHARTERED ACCOUNTANTS
75 MAYGROVE ROAD LONDON NW6 2EG
BANKERS:
CAF BANK
25 KINGS HILL WEST MALUNG KENT ME19 LIQ
REGISTERED OFFICE:
THE BRADY CENTRE
192-196 HANBURY STREEr
LONDON E15HU
CHARITY REGISTRATION NO. 1033764
COMPANY REGISTRATION NO. 2897150

SISTER CIRCLE LTD.
Trustee5' reports for the year ended 31th March 2023
The Bo*d of Trust￿$, who are ￿s0 Direct(Ks for the wrposes of company law. are pleased to be
presenting their annu8J report fvwncial statements for the year ending Marth 31st 2023.
Structure, Governance. Management and GovemirG cAx￿ment
SISTER CIRCLE is a regi￿ered charity crynpany limited by guarantee. incorporated on the14th
February 1999, with a MemorarKlum of Association thich established ￿ rt)jects and powers of the
charitthe eompany,. and is govemed urKJer its Artic* of Assockatton. In the event. of the corrpany being
wound up, members are required to contribute an an￿nt not exceediro one
The charity was formerly krM)wn &s Wc￿'S Health ￿ Family Services and Tebranded in 2023. There
were no changes to the Goverrir¥J docLmm¢ntstion for chartty at the dats of iswe of tlis AMLAII
R9POrt.
RecNilment and responsitxlihes of Trustees
The company is govemed by a Board of Directors who are also krvm as Tnjstees for th8 purposes of
charity law and under the company's Artic￿ of Association are knovm members of Marpgement
Committee. of Trustee ffeetings need at least thr99 Trustees, for a qucffum.
Recruitment is by advertisement fvough nationJ websites, and by neTh￿rking and targetiThJ specfflc
gr￿pS to attract a dwerse Trustees, meT￿rShiP ￿th expertise arKJ experierw relevant to the
advancement of the charity's rn1￿0n. The Trustees have the pow to co-opt members to fill specialist
roles.
The Trustees are resEx)nsible settj'ng the strat89¢ dir￿tion of the organisation, policy develow)ent.
senior staff recrLAtment and financial management. There are ev￿entlY nine Trustees from a vartety of
professiond backgrounds to swport the delrvery and success of the charity.
Risk Management
A risk register is re￿Wed at each Board meetirvJ wPich inclLNJes strategies to manage risk, thk% includes
financi￿ reporting. The Board receNes vrritten reports as wel as presentations made by the Chief
Executive stsff to ensure transparerw ￿ good goverr)arte.
Statement on Public Bgngfit
The Trustees eonfirm that Ilw have complied the Charity Commission's generai guKlarcg on public
benefit and that the purpose and aims of SISTER CIRCLE are for the greater good. All our charttable
activities focus on empowering women wtth kTr￿￿edge and confidence to develop socid connections.
access the health services they need to improve the he8Jth and wdlb&n9 themsthes and their family
and prevent futuie harmful practices.

SISTER CIRCLE LTD.
Trustees. report5 for the year ended 31th March 2023
The Charity's Vision
Every woman has access to the hethcare servTrces she needs to have good mental,
physical arKJ social wellbeing to thrive.
Our Objectives
SISTER CIRCLE is a multi-cultural ctjmmunty health charty with a long history of working closely
wtrth the disadvantaged ethnic rrinority women and their families in East Lond¢)n. to improve their
health and wellbeing in a meaningful and sustainable way. by them the gjpport and
confidence they need to do it for themselves.
Onè of the key ways we do this. is to train local volunteers to support women through pregnancy
or when they have experienced female genita cuttirKJ. We believe. a relationship between one
woman and another who finds herself living with multiple comp￿xIt1e$, can be transforming for
both women. It can lead to each empoweriry themselves to create change arKI in tum. building
locd comrwnty capacity.
The charty's objectives are:
al To advance education. knowledge and empOwer￿Trt amongst women residents in Tower
Hamlets and other East London boroughs, across all coMrwnit￿, before. during and after
pregn￿￿Y and suNv¢ys of Femde Gw)ital Cutting IFGC>.
bl To preserve and protect the Wth of wthatxtants of the London Borwh of Tower
Hamlets and elsewhere.
cl To promote equality and diversity by challenging discrimination and encouraging services to
meet the diverse needs of the local communits'es" the sharing of experiences in order to bring
about equdity in health and wellbeing. and good relat￿nStr￿ps across locd communities.
which often includes employment aJK4 further e¢￿￿tiOn in health￿e.

SISTER CIRCLE LTD.
Trustees. reports for the year ended 31th March 2023
Maternity
Mates
Tailored 1:2:1 antenatal, labour, birth and posnatal support (6-12 weeks). Delivered
by trained local voLunteers with shared experiences, cultural and social knowledge.
Our programme is integrated within maternity service, working closely with
maternity teams across Bart's Health NHS Trust, acting as a bridge between
pregnant women and maternity services. Our Maternity Mates are there for
pregnant women who find themselves struggling due to difficult circumstances. We
listen, and we support them with whatever they need
Her
Health
Tailored 1:2:1 health advocacy support (two languages) integrated within Slyvia
Pankhurst Clinic, Mile End Hospital, for over eight years. Survivors of female genital
cutting who are pregnant and non-pregnant receive tailored support.
A Women's Conversation Cafe (sexual and reproductive health} provides six week
educational sessions with health specilaists. A secure and safe space for women to
share their experiences.
Supporting women to access gyneacological serrfices: Cervical screening, menopause
clinic. psychosexual counselling services.
Healing
Conversations
Trauma Counselling for women who have experienced gender absed violence and other foms
fo trauam with counsellors. This is delrvered in four languages. ensuring as many women as
possible, in need of counselling can access this support.
Peer SLPPOrt for worrEn wF¥) have experienced birth traLTha arKI pregnancy loss. led by
volunteers and staff with shared experiences. Wotking in paTtr*rsh'p with OCEAN service aat
East London Foundation Trust.

SISTER CIRCLE LTD.
Trustees. reports for the year ended 31th March 2023
wel￿n9 of Employees a￿1 Vdunteers
The Board of Tnjstees take the wellbeir¥J of the ctrtarity's enTAoyees and volunteers seriously and have
continued to invest in the provision of a dedicated spaces specidists for t(Jth employees volunteers.
Qkjr traurna couselors IHea&ng converSatK￿ progra￿) we avaiktAe 0￿-to-OThe 5￿pp￿t. Secondary
trauma is a re￿ty when support￿￿ others vjith conwex Ives as employees and volutnegrs do.
We trialed Ipaidl wollbwng twng off for each ery￿bye8 aKI together wilh thè erwAoy8es designed a permanènt
ofFer to rr￿t their needs.
We would like to take ttis opFortLmty to THANK:
our volunteers for their passiM, commitrnent and dedIcatic￿. We ccwld simply could not reach and
support the women who need extra support at Critic￿ times in lives. v￿ut our volunteers.
• our staff ￿ have worked tirew to our pr￿￿ r￿et the needs ol the wcxnen we
swport.
the women who d&Jicat8 their to tyro deli￿1r9 ¢Jutsknthng trair¥rvJ lor our v(4utneers.

SISTER CIRCLE LTD.
Trustees, reports for the year ended 31th March 2023
OVERALL FINANCIAL RP4llEW
Funding for overheads continues to be challengi)g, ccmbined with cost of liviro and increases in ￿nt of our
office space, the pressure is red for a smdl charity like ours.
Our actual income during the year was £616.936 (2022: £521.9691 and the actu￿ expenditure was
£656,03812022.. £493.2421.
The totd funds available to the charty is £319.681 of which £187,150 are restricted. £40,000 are
designated and £92,531 are unrestricted reserves. The reserves are ne￿ to meet the working revenue
requirements of the charity. The cuffent level of reserves is E132.531.
Reserves policy
Thp. Tryistees have examined the charity'b requirements tor reserves considering the main risks to the
organisation resultirvJ from shortfall in funding and time expired project. that are not refunded. They have
established a policy whereby any surplus ar)d unrestricted funds held should be be￿een 3 and 6 months
operating costs. Sufficient reswves are needed to ensure that projects are TKIt hampered by delays in
receiving grant income and to fund any reveThJe shortfal.
There is also the need to bear the cost of cover the lTri es of matemty leave and redundancies which. in a
not-for-profit charity, are never funded by grants or contracts. In addtion to this. the charty has a
commitment to trying to pay its stsff appropriate ￿arleS for the work undertaken. Commissioning
contracts do not dlow for tkus approach. therefore dternatNe financing appraoches will be required in the
coming years.
We would like to be in a position to increase our reserves. to ￿￿2ther the unexpected eventualities., and
investment in strengthening the organisation's capacty and Capabiltties. for expansion to reach more
women with support programmes.
Income fundrrising
This year. we focussed our efforts on strenghtening the capacty of the charity. enhan¢ing aspects of our
programmes and solidify pro(kntive partnerships wsth other organisations to enahn￿ the support we
provide to women.
We are grateful to our funders for ￿r contiwed support and to wr new supporters for C￿sIr￿ Sister
Circle.

SISTER CIRCLE LTD.
Trustee5' reports for the year ended 31th March 2023
Statement of Tnjstees and Directors Responsibilities
The Trustees are responsible for preparing the Trustees. Annual Report and the financial statements in
accordance with the applicable law and Unrted Kingdom Accounting Standards (United Kingdom Generally
Accepted Accounting Practice).
Charity law requires the Trustees to prepa￿ financial statements for each financial year that give a true and
fair view of the stste of affwrs of the charity and of the ircoming resources and application of resources of
the charty for the year. In preparing those financi￿ statements the Trustees are required to:
select suitable accounting poliaes and then apply them cor￿Isten￿.
observe the meth¢xls and principles in the Charities SORP;
make judgments and accounting estimates that are ￿asOnable and prudent.
prepare the financia statements on the going concem basis unless it is Inappro￿At8 to presume that
the charity will continue in LXJSir￿.
They are also responsible for safeguarding tre assets of the charity arKJ her￿e for taking reasonable steps
for the prevention and detection of fraud and other irregularities. The charity has a safeguarding policy and
conduct safeguarding training. trustees review the policy on an blaT￿la1 basis.
Approved by the board of trustees 29n112023 and on behalf by:
Annie Karlin (Chair)
Dong Chen (Treasurertrrustee)

SISTER CIRCLE LTD.
(Previously known as Women's Health and Family Services)
Independent examinerfs report
For the year ended 31st March 2023
I reF￿t on the chartty trustees w ry eXarr￿Tra￿Jn of the aCc￿nts of the Crynpany for the year ended 31 March 2023.
ReSponSi￿lItieS and basis of rewt
As the chartty's trustees of thg Company larKI also its directors lor the purposes of cowy lawl you are responStr)￿ for
thH pipparatlon of tts3 dLLxJunts in accixdance wilh Ihy rwuirW￿ts of the CompaThe5 Acl 20061'th8 2¢X)6 AG'I,).
Having saiisfied myself that the accounts of tre Company we not reryAred to be aL*Jited Lfftder Part 16 of the 2006 Act
and are eliglble for independent exam1iatl￿, I reiffi In respect of my examintion of your charity's accounts as carr￿d
Olrt under section 145 of the Charttres Act 20111.the 2011 Act'l. In cany1￿ out my examw)ation I have fdlowed the
Directions given by Charity Cornmiss(￿ Sect￿ 145151 Ibl of the 2011 Act.
Independent ex*ninerfs statement
Slne.e the Companrfs gross incomp. exceeded £250.000. I confirm that l am quafrfied to undertake the examination
because l am a member of the ICAEW. which is one ol the listed bodies.
I tiavp r:nrnrA*ted my p.xaiTNnation. I confirm thai rK) rndtters have. cor1￿ lo my 4rttwrtl1￿ iii LV[lI￿LIi0n with tsi
oxprnination giviro me cause to believe".
1. accixintirg records werè Thjt kept in respect of ts Cryny as reqbired by Sect￿ 386 of the 2006 Act" or
2. the acccunts do not accord wrth those records" or
3. the accounts do not cOm￿Y wth the acC(￿tIr￿ requirements of section 396 of the 2006 Act ot￿r than ￿Y
requirement that tr* accounts give a 'true and fair wew v4hidi is not a n￿tter congdered as part of an Ir)dep￿dent
examination., or
4. the accounts have not been prgpwed ￿ ac￿d￿9 V￿th thLF liw1￿15 and ￿nci*S of Stateinent of
R¥Lommended Pra¢tlkne f(K and reportiw by thariti6)- app￿cable to dwritros preparin9 th￿r accounts in
a•ftordance wth thK.& Bnanr.ial ReFyNting.St¥rfard a￿)1￿￿￿ in tl¥J LIK anA of Irelar¥J (FRS 1n?i.
I hav6 no concems havè tome across no other matters in cOn￿tIOn wtth the examination to th att￿tion should
b8 drawn in this report in order to enable a woper underst￿n9 of the acC￿nts to be reached.
2g11r2023
Anthony Epton BA FCA CTA FCIE
Goldwins
Chartered accountants
75 May9rove Road
West Hampstead
London NW6 2EG

SISTER CIRCLE LTD.
Statement of financial aclivllles
(incorporaling an income and expenditu￿ a<xount)
For tho year •nd•d 31 March 2023
2023
ToL*l
2022
Totsl
Donations
6.940
23.392
4.460
Charitsble activilies:
Grants received
10.630
573.842
584N72
517,486
Irweslmenl Inc￿n0
2.132
2,132
23
Total Incom•
19,702
7,234
616.936
521.969
Eyndllur• on:
Raising funds
6.144
144
1,961
Charitable activities..
53.274
596.620
849.894 491.281
Totsl •xp•ndltsv•
596,620
656.038
493.242
N•t In¢¢wne I l•xp•ndltwo) for th• y••r
Nel gal￿ l (losses) on inveslments
(39,711
(39.102)
28.727
Net Incom• l (•xp•ndltw•) farth• y••r
P9.ll•)
614
(39,102)
28.727
Transfers bglween funds
92.365
{92.3651
N•t mov•m•nt In fund•
191.751)
(39,102)
28.727
R•¢ondllatlon of fund•:
Total funds brought lo￿ard
79.882
278.901
132,531
187,150
319,681
358,783
ThB attad￿d nc485 form part of Ihese fin￿cIal ¥WaTwI&
91Page

SISTER CIRCLE LTD.
Balance sheet
As at 31 March 2023
2023
2022
2022
Flxod •ssets".
Tangible assets
2.746
Debtors
Cash al bank and in hand
11
84OQ8
8,187
383.175
53.500
311,265
364,765
Uabllltles:
Creditots.. amounts fallirvJ due withln or* year
12
(K554)
18.728}
N•t curr•nt a•s•ts l (Il•blMlles)
317.621
356,037
Totsl not •Mots1 (Il•bllltl••)
319,601
358.783
Funds
Restricted funds
Unrestri¢tod fvnds:
Designated funds
General fvnds
Total unrestricte¢J funds
14
187.150
278,901
40.000
39.882
92J31
131S31
79.882
Totsl fund#
319,681
358.783
The Trustees eortsider thal the c4)mp8ny is entiued to exerytion from the requirement to have an audit under the
provisions of section 477 of the Companies Act 2006 and fflernbe￿ have not required the charitable company to
obtaln an audit for th¢ year in question in acciKdance ￿ secti1￿ 476 of the Act.
The Trustees acknowledge their Te5ponsibilities for Comp￿n9 with the requirements of lh8 Companies Act 2006
with respect to accounting records and for preparing financial $tatements which gwe a true and fair vlew ofthe stsle
of affairs of the company as al 31 March 2023 and of rts net In￿mIng110￿90lngI resources for the year in
acconlance with the reqU1￿ments of $8ctions 394 and 395 of the Act and which othe￿ise comply with the
requirements of the Companies 2006 ffjlats.ry to financial SL￿eMents. so far as applKable lo the company.
The financFal statements have been prepared in accordance with the special provisions relating to companies
suty'ecl to the small Companies regime within Part 15 of the cOmpan￿sACt 2006 and in accordance with Accounting
and Reporting by Chariti&s.' Ststement of Recommended Practice applicable to charities wgparing their 8ccounts
In accordance with the Financial Rewling Standard applicable in the UK and Republic of Ireland (FRS 1021.
Approved by the board oftrustees ￿ 20th November 2023
arKI signed on the￿ behalf by:
Ann1• K•rfln
Dong Ch•Th
Chalr
Company rngl•trthn l)289T150
The attache¢J notes form part of the ffinancial sLitements.
10jPage

SISTER CIRCLE LTD.
ststement of cash Ilows
For th• year ended 31 March 2023
2023
2022
2022
Cash flows from op•v*tlng actlvltl•*:
Net cash provided by I Iu5ed in) opernting acbwt*s
{13.0981
1,529
¢￿h flows from Inv•stlng •ciMdM:
(Purchase) of fixed assets
Cash provld•d by l (us•d In) knv•stln9 actlvl
Ch•ng• In c*#h and c*th •qulval•nts In th• y•ar
113,098}
1.529
Cash and cash equrvalents at the beginniry ofthe year
311.265
309.736
Cash and ¢a•h •qulval•nts at th• of th• y•¥
2M,167
311.265
a) R•¢onclllatlon of not InGom•llexp•ndttw•) to n•t
2022
N•t (•xp•ndltur•l for th• r•portlng p•rlod
18$ per the stateFnenl of finpAKial ad1V￿"e$I
Oepreciation
(Increasey decrease in debtors
Increase in ￿edItOrS
Not Gash provklod byl luwl In) op•rntlng •¢llvlM•s
139.102)
28.727
687
(31.508)
56.825
(13,098)
915
19.976
(48,089
1.529
b) Analys1• of cash and cath •qulvthnts
Ak31
Mavch
2023
Ai 1 April
2022 Cash Ilows
Oth8r
change5
Cash at bank and in hand
311,265
113,0981
8.167
Total cash and cash equivaknts
311,265
113.0981
298.167
11 IPage

SISTER CIRCLE LTD.
Notos to tho flnanclal stalements
For th• year ended 31 March 2023
1 A¢¢ountlng pollcl•8
Basls of prnparatlon
The financial statements have been prepared in accordance with Accounting and Reporting by Charities..
ststemenl of Rewmmende(1 Practice applicable to charrttes weparing their accounts in accordance with the .
Financial Reporting Standard applKable in the UK and RepublK of Ireland {FRS 102- effective 1 January 201 S}
(Charities SORP FRS 102) and tho Companies Act 2006.
The d)ar*able company meets the dofinition of a public benefft ontty under FRS 102. Assets and liabilities are
inilialty recognised al historical cost ortrwlsaction value unless otherwise ststed in the relevant accounting policy
or note.
Golng conc•rn
The Iruslees consider that there are no material uncertainties about the charitable companYs ablllty to continue
8s a going ￿nceffl. The trustees do not cons*Jer that there are any Sou￿$ of estimation uncertainty al the
reporting date that have a sKJnffj¢ant risk ol causin9 a material adjustment to the canying amounts of assets and
liabilbtses within the next reporting perK>d.
Income is ￿Cognised when the charity has entitlement to the funds. any perf0m￿nCe condltions attached lo the
Income have been mel, it 1$ probable that the inwme will be receNed and thal the amount can be measured
reliably.
Incom8 from government and other grants. whether'capital. grants or'revenue. grants. i% re¢ognised when the
charity has gntillemenl to the funds. any performance conditions attached to the grants have been met. it 15
probable that the income will bg received and the a￿￿nI Can be measured reliably and is not defrrred. Income
received in a¢fvanc6 for the provIs￿)n of specffied sepAce ￿ defeffed until the crileria for income reccvanition are
Int•rnst r•u
Interest on funds held on dewsil is included when receNable Ihe amount can be mea$ured rellably by the
charity.. this is nonnally upon nottfication of the interest Pa￿ or payable by the bank.
Fund 4¢￿￿nI1nq
Unrestricted funds are available to Spend on actNibes Ihat further ￿ of the purposes of charity. Deslgnale
funds are unrestrictsd funds of the charty which the trustees have decided at their discretion to sel aside to use
for a spKffi¢ purpose. Restn"cted fvnds a￿ donations which the donor has $pe¢ified are to be solely usod for
parllcular areas of the charitys work or for specTfic projects being undertaken by the charity.
Expondltur• and Irrn¢o￿rII)1• VAT
Expenditure is reccgnised On￿ the￿ is a legal or ￿nstrUCtive oblwjatw to make a payThnt to a third party, bt is
probable that settlement will be required and the amounl of the obligation can be rrnasured reliabty. Expendlture
is classrfied under the following activty headings=
Costs of raising funds comprise of trading costs and the costs inirred by the tharitable company in inducing
third parties to make voluntsry contribullons to il. as well as the cost of any adivilies with a fundraising
purpose.
Exp¢nditure on charilable activib8s include5 the costs of delp￿ring seryices. exhibrtions and other
educational activities undertaken lo further Ihe purposes of the Charity and their assouated $UpF￿ ¢osts.
Other expenditure represents those ilems not falling into any other heading.
Irre¢ov8rable VAT is charged as a cost against the activty for wh￿h the expenditure was incurred.
12jPage

SISTER CIRCLE LTD.
Notes to the financlal statements
For the year ended 31 MarGh 2023
1 Accountlng pollcl•* (¢ontlnu•d)
Allocatlon of support ¢o¥ts
Support costs are those functions that assist the wtyk of the ¢harity bLrt do not dlrectty undertake charitabl
activrtles. Support costs include office Costs, finan￿. pètsonnel. payroll and governance Costs which support the
charity's artlstic prc¥arammes and activities. These costs have been alkncated betsveen cosl of raising funds and
expgndilure on charitable activities. The bases on supp(fft costs have Lwn all￿ated are sel out in note 6.
Tanglbl• fix•d *#s•ts
Items of equipment are caiytalised where the purchase price exceeds £500. Depreci8tty is provided at rates
calculated to write down the cost of each asset to its estimated rnstdual value over its expected useful lrfe. The
depreciab'on rate in use is as follows:
01r￿e equipmenl
25% redUcK￿ balance
D•blorn
Trad8 and other debtors are recognis8d at the settlement amount due after any trade dlscounl offered.
Prepayments are valued al the amount prepaid T￿t of any Irade dislwnts the.
C8•h at bank and In h•nd
Cash al bank and cash in hand includes cash and short tenn hvJhty Ilquid investments wilh a short maturity of
th￿e months or less from the d*e of acquisrtion or openirb3 of the deposit or similar ac¢ount.
Cr•dllor# and provl#lon8
Creditors and provisions are recognised where the charlty has a present oblvjalK￿ resulting from a past event
that will probably resuli in the Ir8nsfer of funds to a third paty and the amount due lo settle the obligation can be
measured or estimated 1e1￿bty. CTeditOTS and provisions are nonnayry rerngnised attheir settlemenl amount after
allowing for any trade discounts due.
13jPage

SISTER CIRCLE LTD.
Notes to the financial statements
For the year ended 31 March 2023
2022
Unrestricaed
2022
Restricted
2022
Total
Income from:
Donations
Charitable activibes."
Grants recebved
Other trading activities
Investments
4.460
4.460
91.5(Kl
425.986
517.486
23
23
Total income
95.983
425.986
521.969
Expenditure on".
Raising funds
Charitable activitles..
1.961
103.402
1.961
491.281
387.879
TOL4 expendlture
105.363
387.879
493.242
Nel income l expendilure before gains l {bsses}
Inveslm8nts
(9.380)
38,107
28,727
Transfers between fvnds
Net movement in fimds
19.380)
38.107
28.727
Total funds fopw•rd
89.262
240,794
330.056
Totsl lunds carried fopward
79.882
278,901
358.783
141Page

SISTER CIRCLE LTD.
Notes to the flnanclal staternents
For the year ended 31 March 2023
2023
Total
2022
Total
Donations
6.940
23,392
30.332
4,460
23.392
30,332
4,460
2023
Total
2022
Total
CCG Tower Hamlets Imalemty Males)
Towar Hamlets Publt HealthlVAWG
Henry Smith Charity
Bart's NHS Tfust Imatemty Matès)
CCG Newham {Matemity Matesl
London Catalyst- Health Researth
HSF - Health Research .
Lloyds Bank Foundation
Tampox Tax
Glasspwl Charity Tru51
Cty of London
City of LOnd(￿- Wave 3
Comic Relief
Schroder Charity Tnjst
CCG NEL IMMH)
80.317
133.860
80.¢)00
42.829
96,317
80.317
133,860
80.000
52,329
96,317
77,248
73.456
17,5
31,290
85,858
4.088
4.088
30,000
9,9)0
1,130
10.175
11,303
50,000
96,660 96,660
115.858
4.000
24.100
33.684
33.684
10.630
573.842
584472
517.486
2023
Total
2022
Tolal
Bank interest
2.132
2.132
23
2.132
2.132
23
151Page

SISTER CIRCLE LTD.
Notes to th• financial stat•m•nts
For the year end•d 31 March 2023
6 Anal￿# ol•xp•ndltur•
CuTh•nt year
B•sls of
•loGallon
Islr¥J
fund¥
Charltabl•
Support
2023
Total
2022
Totsl
Staff costs
Other Direct costs
Premises costs
Other office costs
Legal & professional costs
IT costs
Marketing costs
D8pr8ciation
Independent examinerfs fee
Insurance
Staff time
Dlrect
345.282
112.614
42.035
16.491
15.449
24.413
55.510
26.732
12.434
387.317
129.104
15.449
24.413
55.6(Kl
26.732
12.434
309.664
102,672
9,255
12,133
40.365
12.903
2.735
915
2,600
2.720
1.583
2.720
1.s83
457.9M 190,053
656.038
493.242
Support Costs all¢xation
6.144
191.909
(198.0531
Total •yndlluve 2022
6,144
6S6.038
493.242
Of the totsl expenditure. £59.418 was unrestricted (2022.. £105.3631 and £596.620 was restricted {2022'.
£387.8791.
Anatysl8 of •xp•ndllur•
Prlor year
Cost of
raisir¥J
funds
Basis of
Charitab
SuppxNt
2022
Total
Stsff costs
Other Direct costs
Premises costs
Other office costs
Legal & professional costs
ITcosts
Marketing costs
Depreciation
Independonl examinerfs fee
Insurance
Staff b'me
Oire
259,397
102.132
50267
540
9.255
12,133
23.742
12,903
2.735
915
2.600
309,664
102.672
9.255
12,133
40.365
12,903
2.735
915
2.600
16.623
378.152
115.090
493.242
Support costs
1.961
113.129
{115.0901
Totsl expendrture 2022
1.961
491.281
493.242
161Page

SISTER CIRCLE LTD.
Notes to Ihe financial stat•M•nts
For the year ended 31 March 2023
7 Not Incom• l (•xp•ndltuv•) forth•>
This is ststed after charging I lcffjditingl..
2022
Depreciation
Independent examingrfs feo
1.220
2.520
1720
8 An•tyslB of staff costs, trust•• rwnun•ratlon and •xp•nws,
and th• GO¥t ol k•y M￿a9•M•nI p•rnonn•l
Slaff costs were as follc*¥s:
2022
Salaries and w8ges
Social security ￿$ts
Penslon
other staff costs
343.424 282.231
246n
18.122
4618
4,643
14603
4,668
387.317
309,664
There were rK> empk)y￿S who rfjcer￿d annual erTh)luments of £60.0￿ or more12021". none).
The total employee beneffts induding pension contribu￿n$ of the key management pers(rf￿el were
£91.469 {2022.' £90.2831.
The charity trustees were not paid or received any other benefrts from employment with the charity in the
year12022.' £nill noither were Ihey reimbursed expgnse$ ¢Juring the y&ar12022: £nill. No charity trustee
receiv8d payment for professional or other services supplfft1 to the ¢harity12022: £nill.
Stsff numb•rn
The average numbef ol ernpknyees (head co￿1 based I￿ number of slaff empknyed) duriNJ the year was
2023
No.
2022
No.
Direcl Charitable a¢tsvil
Support
16
15
18
17
9 Taxadon
The charitable company is exempt from Corporat￿ fax as al its incomB is charitable and is applied
charitable purposes.
171Page

SISTER CIRCLE LTD.
Not•s to the Ilnanclal statements
For the year endod 31 March 2023
10 T•nglbl• Ilx•d u¥•ts
equipment
Total
Al the start of the year
Additions in year
37.165
37,165
At the end of the year
37,165
37,105
D•pr•¢I￿on
Al the start of the year
Charge for the year
34.418
687
34A18
Al the end of the year
35.105
35.105
Iirt b¢wk value
At th• end ol th• y•ar
At the start of the year
2.060
2.747
2,060
2,747
l of the above assets are used for chaiitable pUrFrf￿.
11 Dobtor•
2023
2022
Grants and other income receivable
Prepayments
Accrued income
41,166
17YJ
3.612
4173
8.722
008 53.S
12 Crodllows: Jmounls falllng du• Twlthln on• ywr
2022
Taxation and socAal se(yJrity
Accrued expenses
Deferred income- Grants receNed in advance
Other creditors
6,759
9,408
47,000
2.387
65.554
5.240
2.200
1.288
8.728
D•f•vr•d Incom•
23
2022
Balance al Ihe beginning of the year
Amount released to income in the year
Amount deferred in the year
Balance at Ihe end of the year
47,IJOD
47.000
181Page

SISTER CIRCLE LTD.
Notes to the ffinanclal statements
For the year ended 31 March 2023
13 Analys18 al nol •8s•ts b•tsM•n fund•
CuTh•nt y••r
General
unrestricted
Total
funds
Des*Jnated Restricte(I
T8ftgible fixed assets
Net current assets
2.060
317,621
90.471
187.150
Net ••8•ts at th• •nd of Ih y•ar
92W1
40.000
117.150
319.681
Analysis of nel assets be￿￿en funds
Prior year
General
unTestri¢Xed Dosignaled Restrthd
Total
funds
Tangible fLxed a$sets
Not current assets
2,746
2.746
356 037
Nel assets at the erKI of tho year
19jPage

SISTER CIRCLE LTD.
Notes to tho financlal stat•m•nts
For the year •nd•d 31 March 2023
14 Mov•mwts In fund•
Atth•
start of
Curr•nt y•ar
Attho
Ond ol
Unmtrlct•d funds:
General lunds
39.882
19.702
59.418
92,365
92,531
40.000
Designated funds
R•slrf¢t•d funds:
CCG Tower Hamlets Imatemty Mates)
Tower Hamlets Public HeathNAWG
IMOPAC)
Henry Smith Charity
Bart's Heath NHS Tnjsl {MatemtyMate 37.052
CCG Newham (Maternity Males}
50.295
London Catalyst- Heath Research
HSF - Health Research
20,413
95.317
<20.0421
27.302
135.752
134.862
28,192
27,387
7.136
59.749
42.829
96.317
61.917
92.253
(17.964)
(54.359)
4.088
4,088
8.526
4.088
Lloyds Foundation
Tampox Tax
Glas5pooI Charity
Cty of London- Wave 3
Comlc Relief
16.17S
7.708
75.735
83,600
33,563
88,795
34.309
CCG NEL {MMH)
33.688
34.184
Total rnstrfctod
2n.901 ￿7.23¢ M620
192.385) 187,150
Total fiTh18
358,783 616.936 64038
319.681
Purpoms of r•strlct•d funds
The income of the charity Includes grants rece￿ed for SFeufic restrkled proJe¢Xs. The trustees, report
Indudes a tthef dgscriptK>n of the activit￿ of each proied.
The financial movements on the restricted fumls are summarised above. On completion of a prolecL any
small funding surplus or def￿rt deared by a transfer to or from unrestricted fvnds.
Purposes of d•slgn*tod lund•
During the previous years. Ihe trtjstees agreed that il would be prudent lo set up a designated lund to finance
any future liabilities that would be incurred on the dosure of the Organisat￿n. In this financial year. the Initial
£40.000 transfeffed is considered suffKtent for purpose.
20IPag.

SISTER CIRCLE LTD.
Not•s to th• financial stat•m•nts
For the year ended 31 March 2023
Movements In funds {conlIn￿dI
Prior year
Atthg
start of
At the
end of
the year
Inc0Th￿ Expenditure
Transfers
Unrestrlcled funds:
General fund5
49.262
95.983
105.363
39.882
Design8ted fund5
40.000
40.000
Total unreslrictsd funds
89.262
79.882
Movements in fund5 IconlFnu8d)
Prior year
Ati
start of tr
At tho
end of
the year
Income ExpeThJlturn Trartsfers
Restricted lunds:
CCG Tower Hamlets Imatgmty PAalesl
Tower Hamlets Public HealthNAWG {M
Henry Smith Charity
Barfs NHS Trust Imatemity Males)
CCG Newham Imatemity Mat8s}
Lknyds Foundation
Tampox Tax
HeaEth Research
City of London- Wave 3
Comic Relief
MM Hub
31,497
39.861
20.142
41.942
45292
8.526
10,000
69,748
73.456
17.500
31.290
85,858
80,832
86.015
30.506
36,180
80.855
20.413
27.302
7.136
37,052
50.295
8,526
5.520
8.176
5.058
75.735
33.688
4.480
8.176
19.534
14,476
40,123
115.858
24.100
24.0
Total restricled fvnds
240.794
425.986
387 879
278,901
Totsl ffi￿dS
330.056 521.969
493 242
358.783
15 L•9•1 st•tus of th• th•rlty
The charity is a company limited by guarantee and has ￿ share capttal. Each member is liable lo
conlrlbule a sum not exceeding £1 in the event of th6 ¢*arity being wound up.
16 R•l•t•d ￿rtY trnnsactlons
There are no r81aled paty transoclions to dischjse for 2023 {2022: none).
There are no donalions from related parties which are outsKIg the ncmTral course of busI￿sS and no
restricted donaliorts from related parttOS.
211Page