Ch￿I.1ty registratioll llutttber 1048919
CompaThy reg15trAtlon number 03048461 IEllglalld Wales)
CRAWLEY OPEN HOUSE
ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MEIRCH 2022

CRAWLEY OPEN HOUSE
LEGAL AND ADMINISTRATIVE DIFORMATION
Truste
JamesAbdool- Chair
Richard Burrett
ichael Bolton- Treasurer
Clare Hiley
Sue Milcs
Annemarie Roberts
Babgk Jala¢
Eli2abeth Walker
Hejjrietta BeJJn¢tt
Sara Heald- Vice Ch&ir
B8lvittderAknluwalia
Daryl Gayl¢r
Key MRDggement P¢rsonM¢l
Charlie Arratoon
Malcolm Nichoios
Jan¢ Nulty
Clare Fox
My¢&ll Eba]Jks
lan Wilkins
CEO
Head of Operatiojjs
HR &Admitt Manager
Rcscttlcmcnt Man8gcr
FIostel M&nager
Fundraising and Rclationship Manager
Seeretsry
ichael Bolton
Cbxtlty ttumber
1048919
Company number
0304846L
Regtstered office
1-7 Station Road
Crnwley
W¢5t Sussex
RHIO IHT
Audltor
Ri¢hardPlace Dobson S¢rviGes Lirnited
Ground Floor
1- 7 Ststion Road
Crawlcy
West Sussex
RHIO IHT

CRAWLEY OPEN HOUSE
CONTENTS
PAge
chairn￿￿'S statement
Trust¢cs' r¢port
Statel￿ent of Thisle¢s' responsibilities
lrtdep¢ndent audilovs report
8-10
Stat¢m¢nt of financial actLVities
sbeet
15- 16
Statementof cash flow5
17
Notes to the financial stat¢Jnents
18-33

## **CRAWLEY OPEN HOUSE** 

## **CHAIRMAN'S STATEMENT** 

## _**FOR THE YEAR ENDED 31 MARCH 2022**_ 

This year’s annual report shows our stakeholders how we have performed over the last year, as we continue our work ensuring strategic direction, clear governance and value in the work of the charity. 

Despite the economic uncertainty and challenges that the Covid-19 pandemic presented again this year, I am delighted to report that our performance throughout 2021/2022 has remained strong which is testimony to the partnerships we have built as well as the review of our services to cater for the changing needs. 

During 2021/2022 we carried over our programme of investment in future services and inside this report you will get an understanding of how we’ve spent our income on improving and maintaining our services. This has been a continuation of the work we started in recent years. 

Online fundraising during the pandemic gave us a wider audience but this year it has been nice to have some face-to-face contact with our supporters and we look forward to this becoming the norm once again. 

This report is designed to show how our money is spent, how we are performing compared to previous years and demonstrate our overall financial governance. I hope you find the report and accounts informative. 

James Abdool **Chairman** 

Date: 20/09/2022 

page 1 



CRAWLEY OPEN HOUSE
TRUSTEES, REPORT (JNCLUDING DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2022
The Tiustecs prcsent th¢ir r¢ptsrt and a¢cou￿tS for the year ended 31 Mav¢li 2022.
Tli¢ A¢COI]nts liave been pr¢par¢d in a¢Coi'da￿ce with Ibe accounting poliGi¢s scl out itt Jiole I to tlie accounts alld comply with
th¢ ¢harity's memoTaDdutn and arttclcs of aSs￿latIOn. tlic Companies A¢1 20Q6 atth tlLe S¢&lem6nt of Recoii]Fn¢ndcd Pra¢ti¢e,
"Accounting and Rq)oitiLg by Charitie8", issued in Maich 2005.
Objecllves End actlvitles
Purposes and #ljns
The Tru51e¢5 T¢Vl¢W the aims, objectiyes #Ad a¢tivities of the charity vach year. This r¢port looks at th¢ a¢hievemerÈts at
outcomes the ¢haiity h2s njade through thts reporting p¢riod. The Trustees report thc 511Gcess of eath kty 8Ctivsty and the
benefits th¢ Gharity has brought to peopl¢ that il is ￿ct up to help. The review atso helps the Ti'ustees ensurc the charlt￿S akms.
objectives aDd activities ￿Mained fo¢us¢d on its stated purposes.
About Crnivley Open Hvuse
Crawl¢y Oprn House started ils joiirn¢y in 1982 when di>or5 first opcned oll a proj¢¢t in Sp¢n¢ers Road known as the Cyawley
Comtnytsity Resouirc5 C¢ntrc. lii thc willtcr of 1990 we delivered fjrst ov¢rnight accommodation providiiig em¢￿eTh¢y
Id wcathci. beds ro those that were 8leepiiig roiigb. In 1994 we launch a peiTnanellt h05tel iMbt¢a(l of cold
w¢alher shelter. Portakabins on¢e used to house con¥t￿￿￿oi} workers building the channel t[￿1¢1 weLf conv¢rted to pix)vide
tw¢lvc single aii(f four double rooms plw att offi¢¢, & shower. a lokiet and a I￿111￿lY bloGk. tll 1996, the hostel and r¢50urce
ceiatre merg¢ to fom) Crawley Open Eloiis¢.
Since thes¢ early d&ys we Ilave growli to provide acconimedatiots. Support al￿ seNEc¢$ for those in thc Crawley arca suff¢riDg
tlie effects of lioin¢l¢ssness. iinempluytnettt, lonelitiess, discritnÈnatio￿ or otlier foill￿ of social exclu5ioll. l-his hasn't changEd
alld OLir support is availablc to &nyolle in ueed. alld sometlLne5 bc a$ little as a ni¢&l or f¢elin8 listeiied to.
The TiusEEes have paid due regard to guidanc¢ issued by the Clwity Conllnission in d￿ldIng what aetivitiu the charity
should uiid¢rrak¢.
AcbievempntS RDd performance
The last yeai. h&s again been challenging foi. everyortt and noijc inor¢ so than the homeless coiDmunÈty the growillg
pressures the locol cornmunÉly faced in the midst of Ihe ¢ontiiiucd glob81 pand¢rnEG, and thc %ad cvcnls in Ukraine tIMt are
having effects on communities arou1￿ the wnil(L Oil tDP of our llor￿al swvices we have continued to adapt lo new ways of
working so that we b¢st scrv¢ ovi. ¢liciit8 and pwote¢t our staff,
Riversld¢ House
TIK hostel and day celllre 81 RÉverside House is the heart of Crawley Open House wh¢r6 wc hav¢ our 24 bed hostel and
opeTate a 7 clay-a-week day ¢¢i)ts'e. The day Cent￿ ofYBfs illeXPCAiSiVC food. hot thiiiks and shelter to every visitor. In addition,
it ottei3 general advEc¢, htsu%ing and rcscttl¢tneDi supptsrt, mental licalth and Eub5t&n¢¢ misuse support alld counsellin& as
w¢ll as a visiting do¢tor, Chiropodist and hairdr¢ssei'.
TIK Day Cen(re remained cl()sed for ￿U¢h of tlie year &nd wh¢n it ¢Ven￿ally r¢opened we operated art appointn)e￿t system
artd other amendments to provide the ¥llost vital services to those in most need.
Th¢ occupallcy of tbe hostel again exceeded 99/0 and it 15 sad ihat we have lo turn away i¢quests for a rik)m every day
cause we are thll. Over the year w¢ provided ILOStcl aceommod8ti0tt for people who would oth¢rwise have been homele5S.
Wc attacb great importallce to helping Clients find MO￿ ￿rmanent accommodation suitable to th¢ir needs, and during the year
w¢ were able lo res¢ttle 58 in this way. It was encouraging to see 491/10 of the hoslel residmls successfi]Ily moved on to longer
t¢nn acco1￿mOdatIon. This 18 slightly down on 14st ycar duc to pcople stayirtg longer in the hostel as a cons¢qucnc¢ of the
pandcmi¢,
The buildtrng woi'k at Ibe n¢w Resource Cenlre wa8 on schcdule for most of th¢ programm¢ but towards the cnd of the year
suffereil delays diie ro the supply of k¢y Coinponellts. The knioGk on cffect pushed tlie opening OLIt $¢Yeral mollt]]s and into the
new Financial Year, On¢¢ ¢oJnplet¢ it will beliefit fiDm a new wwksbop, M￿lI1-uSe 5paG¢, kit¢h•i, hot desks iti all otTices, as
wcu a$ a llew laundryi shower facilities at￿ donatlOIL S¢atiotL
page 2

CRAWLEY OPEN HOUSE
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT) {CONTINUED)
FOR THE YEAR EIVDED 31 MARCH2022
Movfron
Providittg move-on 8c£ommod&tion is a kcy part of our work to lielp pe¢4)le move &u¢ce&8fidly into long-lerm, Secure rented
acwmmo(lation.
Last year we opened our n¢w Laing rool￿$ gs a Th¢w fjrst stage move-on optsoll. The eight ittdividu&l bedrooms, with shared
living areas, are a way of allowing pe4Jple to build on thc progress they've Enade in our hostel. With support in place lo
encoiirage people to live more iodep¢ndently wc ale able to offer Inc￿￿ed freedom and privilcg&% to tsllr Laing rcsidcnts.
They have pi'oved 5ucce5sfid wÉth thc right residents a[￿ the team have lelmt how to integi3te these clients within the
residcntial tcam and managed them aecording to their individual nccds, It bas b¢en a woithwhile inyeslment IDd clearly a key
part of thc cknarity going forwaifj.
Acr055 our fiv¢ Move-on housts we offer twEnty-tlwe¢ rooms at Affordablc Y¢nt to people looku￿ to move forw&rd inlo
l0llg-tCT￿, scciirc, itidcpcndent livillg attd work.
At this point, Move-on iccommodatiott and giving people the skills they need ti> preveni them retu1￿1￿8 to homel¢ssiiess in
th¢ full￿¢ is a CO￿¢￿tOne to our work. W¢ now bave aiEll05¢ as iTJany movc-on beds as wc do hoslcl hcds which is a
r¢mathble achievcinent alld r¢pr¢s¢nts our cominitinentto botll loDg.term aiid sliori-tetm solutions for people in lleed.
Outrea¢h Teim
Outr¢a¢h, i.e., actively Eoillg out into tlic commuiiily to find, idettttfy and support those who are sleeping Tough, continues lo
bc important part of our work. W6 We￿ d¢li¥httd (o secure rui¢wed funding froin Ci'awlcy Bomugh Coull¢il for our
OutrvJcli Tram which will allow u5 to Continue to deliver this valuable worfi to the most vulnei'able in our ct)mTnunity.
Re8tttlem¢nt Outr¢ath
This teAm WO￿ with people who arc iti ac¢ominodalion but wbo are at risk of losing their housing for whatev¢r r¢asort.
Clicnts might hav¢ a 8hort-terAll crisis. OT * Ivttger-lerni Issu4 and necd help with issues sii¢h As food pov¢ity, financial
itiseciirity> aiilisocial behavior and a lack of iiidependcllt liv￿8 skills. Many of tli¢sc sttuatians would dctcrior&tc qllickly aod
end in hon)elessness without support tts keep thiJi8s orn track. This team have # PL"ov¢n track re¢ord of &irly it)terventions (bat
have prcvcnlcd someone vulnerable frojn becoining hoilltlcss in the [￿St plo¢¢ and, as is wramottiy said, p1EveJ￿tioll is
Iindoubtedly better than curc.
Overvlew
Oui. yw. Wds again hampered by the Covid-19 pand¢mi¢, and tbe as80cialed r¢stiiction8. For th¢ fi￿1 half of ibe year fa¢¢ to
face contact was minimdl, with ev¢￿ts. tOWS 4nd c<)miKimity activitics virlually noll-existenr. Our fu￿rtraiSi￿g adapt¢d
accordiiiglys Wlth mure trllst applicatlolls writleji glld 'Yirtu&l' evellt5 a￿allged over so¢ial media olong witb tarseled eoMilirLg
amongst our ¢orporat¢, illdiyidual. plare *)f wership and school databases.
We W¢T¢ again struck by tbe 8he¢r breadth, diversity 2nd gen¢ro$ity of those wlio ¢hoose lo suppoit our work- fro￿7 t]ie 8
y¢ar old doing o Sponsor￿ tuii aroui)d their Crawley n¢iglibourhood, t1￿0￿￿17 coinpanies. sclioo15 and places of worship
rai5lLi¥ vital fuiids in all 50Tts of creative way5. to the lo¢al Irusl donatittg a subslantial in inemory of a lat¢ faniily
tnember who loved the Charity. We are extremely b1r￿d to b¢ surround¢d by such a 8upportiv¢ community, and w¢ never
take it foi. grant¢d.
Our l in l(KIO regular givitig scheme gr¢w ste&dily thi5 Y￿r, to around 375 individuals doDating monthly. We are very grat¢ful
for this regular, Stable iiicofft¢ which has allowed us to plall and budget effectively, in UllPTedictabl¢ economi¢ till)e8.
pagc 3

CRAWLEY OPEN HOUSE
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARC112Q22
M*Jor Glfts
We finished fundraisijig for tlie co115truction of the Iiew Re80urcc Centre thatda to so]ne extreill¢ly generous capital grants
frol￿ tlie ScrewfLX FoundatLOlI, Iht Au5tiii & Hope Pilkitigton Charitable Tnist, St Christophei 5 Trust and the BernaTd Surkley
Foundation ill thc summer of 2021.
Somctimes it is hauler to rdi8e core funds than it is to flnd grants tawards capital pmjecls, we saw some wottderful
doiiatiotEs tliiy area. compani￿ itt¢luding L¢g&l & G¢neral, Waitros¢, Skipton B￿lIding S￿l¢ty, Co Op, PiEmier Energy,
Ellioi Scott Grnupj Irwiii Mitchell and Lcnmark found out more abolit us and cliose to support us with siLeable donations, for
which we are vexy Ihankthl. Sp¢cial tnenlion must be made to Colltrol Ene￿Y Costs Lfd who auain inanaged and paid for all
tlTre utility costs iiieurred at River8id¢ House thi'oughout tbe year- a wothdeiful ad of kindii¢8s.
Sever81 Thusts also helped with core-fijnding grallts, incEiidillg the LE￿bi￿ Th15t, tbe B&CE Charitable Tk7]8t, MCKS
Ch2rit2blc Thust. the Susscx Ma50n5 al￿ the Albert Vall Den BerglL Trust. Huge ttkallks to thejn and their Trustecs. Other
otable flnaiicial gifts canic fiDtn our fri¢nd5 &t tlie East Gritt51ead Foedbank attd th¢ wonderful young people iiivolvcd ill the
summer NCS progranuLie5 locally.
Many plac¢5 of worship alld their ¢oThgregaljollS tMv¢ g¢n¢rously given to Crawley OpeAi Holi8¢ for a long time, and tbi5 ycar
has been no different. Vill¢ christia￿ Fellowship, St Giles Horsted Keynes, Haywards Heatli Methodist, Holy Trintty
Ciickfield, the Christadelphians in Horl¢y, All S&ints Lilldfield, Crawley URC and the Langl¢y Green Mosqu¢, &moiwt many
oiheo 5UPPOrted us with large financi&l gifts.
Donations Are not &ll fI￿ancIal. Sevci?I companies sent voliinte¢TS to help Sort food. do some garitenÈng at the move-oD houses
and wtap Christmas gifts for oiir r¢5id¢rtts. Other local fLlm5 attd org8nisation5 broL4ght collections of food, care packs, facc
tnasks & PPE, new clothing & beddin& 51e¢pillg ba¥5, toiletries, ¢leaThin¥ pidubls uthrr csseniia15. Th¢re loo many ro
Inentioii thein all, but special thallks to Hybywie Battk, Morrisons Oxted, Sigtt*ture Avtation, NatJdo'8. Cgridort, Gyeggs,
Master I'-ryEr ITround Hill, Co Op Pout)d Hill. St Margar¢t's W¢st Hoathly, Appl¢gr¢¢n S¢rvi¢G8, Gcins of Faith, Bridg¢ham
Cliiuc. Nestle. DHL aixl Thales for Ih¢ir consiste￿t and wonderful help.
Kvents
Purt way through the year we bappily saw a ￿turn to a world where ¢onJmunity events restarted. We benefitted from an open
gwxlett in Shipley, a sponsortd bik6 lid¢ from Horley to Ch¢lmsfoiYl, th¢ Southern Sheeting sponsor¢d Bre¢on B¢wons
Challenge, tlie East Grinstead 51e¢p out and bhari¢y feasts, Sl Wilfrid's School fi]ndraising cvents, a t￿]cket ctsllectiojj at
Crdwlcy Town FC 8tLd a young lady rnnning the London Marathon for i￿. Between ihem ihese activities rais¢d wx)und
£20,000 which is amazillgl
It) May 2021 w¢ ran th¢ last of our lockdown vir(ual events badged 'Hulldred For The Homeless,. where over 50 people were
sponsored for carryiiig out a inul(ttude of different cliallenges. It was especEally well supported by Kiln8tolle Property, ITW
Lid, Bridgeliam CtitLi¢ *Dd Homes Partnership, lllong with an i￿presSIve squa15 n)ai'athon fiY)m our own Tn15t¢e Henrietta
Bcnnett. Iluge thanks to everyone who took part and raised a n]a5sive £16,$00 includiiig GiftAid.
The SI￿ at]nual Crawley Opeli House footgolf lournarnciit look plac¢ it) July 2021, and 31 ie2nJs tODk part in a fijtx and
Competiti￿ ¢v¥ninB. Wiijtters of the 2 rounds of play were ILG and Caqxnt¢r Box, and around £3,500 was rais¢d. Thattks
awain to Gatwi¢k Foolgolt'for hostillg u5 for frer.
We were pleased to t8ke a staiid &t th¢ inaiigural Crnwl¢y Prid¢ f¢stival inAugust 2021, alld Siwpoit this import&Dt cotE)r(itsllity
eveiit.
Our biggesl fijndraising event ofih¢ year was in M&r¢h 2022, wb¢n we beld a Big Sleep Out in Queetts Square And in several
hom¢5 and the premisc8 of Southern She¢ling Ltd and Caridon. 35 participatlts slept out iu Crawley, itt¢luding 16 from ILG.
raisittg oveA' £18.500.
pabJe 4

CRAWLEY OPEN HOUSE
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Summ8ry
It remains a ehallenging cnvironm¢n¢ ill which to funds, willi the growing eost-of-living crisis, the Ukraine war
ulldcrslindobly diverting donatiolls and a damagcd local ¢¢otkon)y ijs a re8uIt of tht p8nd¢mi¢. We rejnaill pri>u¢¢ive, cffalKve
and pjigagcd with a broad raAge of donoiE alld pot¢ntiJl donoiB in order to keep bringing in Ibe funds required to support the
Charity &nd its crucial activities.
Flnanclal position
During the year th¢ charity had llet inooming r¢sources of£956.375, {2021.. £503,398). This bigh Icv¢l of n¢t xncoll)c reflects
the iinpacl on th¢ fiiiancial slaiem¢nts of development aclivily during the year. wher¢ restiiEtcd gratt18 used for the
developmcnts are recoEiiised En income but dcvelopillent ¢xpeiiditure is capitaliscd. It also r¢fle¢ts tlie continuing iinpact of
the Covid-19 pandeiJic. witli very gencrous doiiatiolls attd grallts froin our supporttiE together with a teMpor￿Y rcductiun irt
50Tn¢ expcrtscs.
Reserves pollty
The charity r¢vicwcd its reserves polscy attd has aTnended it to take better accoullt of its expanding opci?tions, the way
thcy Éur tutLded attd the forward-looking risks to th&t fLinding. The revised irserves po]icy is to hold umrstricted reserv¢5 of
betwe￿ thrc¢ and six months, projected coir cxpendittTfe.
As at 31st March 2U22. iirJT¢strsdcd fvnds w￿e £630.000 artd projected COTC expEnditure for th¢ fInaneial ye4r 2022_23 is
£1,370,OQn. Rcscrvcs are therefore towaiYJs the top end of th¢ Th￿￿te¢s, target ran¥¢. The Ti￿st¢eS consider this to be an
approprt&t6 level of reSe￿¢S givui th¢ fjnaucial Pr¢￿U[¢S everywhere Én th¢ UK economy which are likely to li￿paCt both th¢
charity's ill¢om¢ attd expetsses.
It is tliepoli¢y of tli¢ Gbarity to hold a desigtthted fund to a level represetttitkg th¢ value of the oe¢iipi¢d proy¢ty.
As a( 31 March 2022, the chaEity &dded a fi]rdier £20,000 to lh¢ designated fund Gtrated to hclp n￿ct the costs of its
redevelopmenl plat]s. This is expected to be the final addition. It crcatcd a dcsignaied fund of £150,000 to facibtate the
p1￿C]iase of an idditiollal MoY¢-oll piDpcity and a desig￿ated fiwd of £2aO,000 towards tlie ¢xpected increase ill ¢h¢ cosl of
Sas &nd ¢leGtTIGlty wh￿1 the CUiiEnt fixed r8te contta¢t ¢xpires. Sn￿ller desi￿aterf fvnds 8r¢ held a5 cycli￿] m#inlenall¢e
for ihe leased Move-on bouses tl* new LJTng Move-on rooms.
Covld-19
Tlic Try]%lecs havc 8iV¢t) ¢onsideration to tlie Chllrilies SORP CStalwrt¢nt of Recommended Pra¢tice'l Comlliitteds advic¢ in
its publicatioll 'Implicatiotts of COVtD-19 Colllrol Measur¢5 atld Charity Financial RcpoTting' and to the risks arisittg as a
r¢sull of the Cor0￿&v1[uS partdetnic. The Charity is aclivcly mortitDYillg and Jnanaging the Situation as it develops. We have
adxp(cd our opcratiorts •id Collsidet that th¢ tharity IIAS adequate re8erv&% and oommitt¢d future ￿'an15 SUPPDrtivc and
Ivent fundeT5.
The Trustecs hav¢ ¢xan]in¢d the major strategie, business and OPBrationil risks which tlie charity faces and cotifiiTh that
system8 or¢ Established to ¢tLable w8￿1&r ryoits to be pJDduced so tlial th¢ ne¢essary stq)s can be taken to I¢s8eii th¢8e risks.
Plans for the Fiiture
We have 2 key proj￿1$ eannarked for thc year ahead. In particular oiyler. ￿ want to (l) complete ihe ￿n0vatiO0 of our 2
utlits on Stepliwison Way into Ihc new Resource C¢ntt¥ (tnd, (2) grow our portfolio of second stagc move.on houses.
We will emdeavor to reiDStat¢ the services that have halted durix)g tho Covid-19 palldcllLi¢ #nd as always adapt to the ,￿W
ornlal" that we now find ourselves liv￿8 With.
pagc 5

CRAWLEY OPEN HOUSE
TRUSTEES, REPORT UNCLUDING DIRECTORS, REPORT) (CONTINUED)
FOR THE YEAR E]VDED 31 MARCH 2022
Sts'iictum ¥overn9nce and Matsageme￿t
Thc charity is a company liniiled by guaraiitec. does iiol liave share capital and wa5 iHCOTpora¢ed on 21 April 1995. Th¢
Trustees l Diirctors ar¢ ip]x)ioied at anijual gcncrnl meeting or during the year at TTUStees' IneeÉings.
Qawley OpeTh House has ¢haritable statu$ and its ¢harity r¢8istratioT] niunber is 1048919.
The twslees, whD arc alsts thc directors forthe purpose of company law, 8T￿ who served dwyng th¢ year are..
J&me8 Abdool
Ri¢haid Burrell
Mic1￿e1 Bollo
Clare Hiley
Sue Miles
Le51ty Copus
Harlyn Collins
la]J Lollins
Jokn Fliggins
Stephen Joyce
Nigel Iloxall
Gabri¥lle Field
Dr Elizabeth WBlker
Hwiricttb Benn¢tt
Sara Heald
BalvilldcrAhluwaiia
Babak Jalaci
Ajuiemarie Roberts
Chair
Tre&5UTEr
Resigned 30 May 2021
Resiglled 21 Api"il 2021
Resigned 15 S¢pt¢nib¢r 2021
Rcsigncd 12 Julie 2020
Rtsiglled 13 May 2020
R65igned 14 July 2020
Rcsigncd 3 Jalluary 2022
Appointsd 16 Mgr¢h 2021
Appoint¢d 25 March 2021
Appoillied 16 Mar¢h 2021
Appointed 16 March 2021
Appoint￿ 16 MarLI1 2021
Appointed 16 NOv￿nb¢i' 2021
This iH¥ort has beell prepared ll? accordance with th¢ Statement of Recommcllded 143¢ti¢4 Acwurntillg and reptsrt￿g by
Cbarili<s" issvcd in Match 2005 and in accordattGe with th¢ special provisiot)s of part 15 of the Companies A¢t r¢latiog to
si￿&1[ ¢ntiiies.
Dlselosure of Informatlott to gudltoy
Each of the Trustee5 h&% tojifirmcd that ther¢ is no iDfonnAtioll of wliich th¢y are aware whiGh is relevant to the audit. but of
which the auditor is Linaware. They have fuith¢r confkrmed 11101 they have takell appropriate steps to ide￿tify &ich TElevattt
iDfoiTration alld to establith that tbe auditors are aware of yuch inforjnation.
The Trustees rcport Vds approvd by thc Board of Thstees.
James Abdool
page 6

CRAWLEY OPEN HOUSE
STATEMENT OF TRUSTEES, RESPONSIBILITIES
FOR THE YEAR E]VDED 31 MARCH 2022
Compaiiy law Tryuires tlie Thhstees io prq)are accouijts foT each financial y￿r which g&ve a Irue and fair view Df die charitable
company's state of affaiiE at thc end orth¢ year and of ils incom6 and exptndiliire for that period.
In PTepaTing thf)se accounts, the Trustees fquÈTrd tD.'
sclc¢t suitable accountittg policies and then &pply ihem wnsi8telltiy',
- make judgerDents and estim&les that are reasonable and prudent;
state wheth¢r appli¢ible 8￿0￿nting standgTds havc bcen followcd, subje¢t to atty material dq>artiires discloscd and ¢xploined
iti the a￿Ou￿￿..
pr¢pare Ihc a¢¢ovnts the goittg ¢on¢em basis ￿￿1￿$ it is inappropriat¢ to presume that the ¢harilable coinpally will continue
business.
Th¢ Twslecs are responsible for keq)ing prop¢r atcollllttng records which disclose witlE reasonabl¢ ac¢urACy At atty time the
rinatt¢ial posEtion of ilie chai'irable co]npany ond to enable thcm to ensure tliat th¢ ac¢oullts coinply WI￿ the Cotnpanies Act
21X>6. Thcy are atso iEsponsible for safeguarding th¢ assets of tlEc chatit3ble cotnpany and [￿lle¢ for taking r¢asonable $tep$ foi.
tlJ¢ preventioll attd d¢t¢ctioll of fraud ultker irtEgularities.
page 7

CRAWLEY OPEN HOUSE
INDEPENDENT AUDITOR'S REPORT
TO THE TRUSTEES OF CRAWLEY OPEN HOUSE
Opllllon
We bave audited the financial statenicllts of Crawley Open Hou$¢ (th¢ 'th8tity') for the year ended 31 March 2022 wh5ch
Comprise the statement of finan¢ia] aelivities, the balance sheet, the Statem￿lt of cash flows aTLd notes to the flnancial
statements, including significant a¢countittg policies. Tlle finatEcial reportimg fv&tnework that has b¢en applied irt Ihctr
prq)aration is api)licablc law and lJnitcd Kingdom Accounting Standards, i￿Cl[l￿1ng Finan¢iJl Repotti￿￿ Stattd&rd 102 The
Fi17ft11cial R¢porti#g Stdrtdard applicttblÉ iii the UK and Republtc OfI￿laR1d (United Ksngdom Generally A¢¢ep¢ed A¢wuttting
Practice).
In our opinion, the fiDAn¢ial statem¢nts'.
givc a tNe and fail. view of tlie state of the chai'iiable company's affairs &s at 31 March 2022 2nd of its incoming
resources and &pplicatioii of resources, foi. tlie year then ended..
baye beeii propcrly pr6par¢d ill a¢¢ordaiice with u￿1t¢d Kitjgdom GenerallyAwepted Accoutstlllg Pfactice. a]]d
hav¢ been prepaTed in accordance witli the r¢quircm¢nt8 of th¢ Conipanies A¢1 2006.
Bas15 for oplnion
We cOnd￿ted our audit iii awordajice widi Intemational Stindards oth Auditing (UIC) {ISAs (UK)) and applicable law. Our
responsibilities under those standard5 art furtlier descri￿a in the Amthioi-s re&pov$lbilllie,r foi. Ihe aiidil of ihe fiKllncial
slutenieiif5 se¢lion of our report. We are illdq)¢ndent of Ihtt bharity in decordance with tht etjiical irquirements tliat are rel6vant
io our audil uf ilje finaJJcial statements itt the UK, including tli¢ fRL's Ethical Stattdaid, 8nd we bave fulfilled Oilr other ¢thical
r¢spmsibilities ITh accordance wilh these irquir¢mrDts. W¢ b¢li¢ve that the audit evidence we have obtsilled is S￿tTlGiCrL¢ and
appropri&tc to provide a basis for our opioiott,
Concluslon$ relatfirtg to golng eoneer
In auditEng tbe firtaD¢iil statements, we have concluded that the Trust¢¢s' us¢ of th¢ going con¢¢rn basi$ of accounting in the
prepaTatioiJ of tbG fin8n¢ial 8tot¢ments is appropriate.
Based on the WO￿ w¢ haye perf017ned, ￿ havt not idcntificd siiy matcri&l iit)certainties relatin8 to evejits or conditioiis that.
iiidividiially or Collectively, may cast sigtlificant d¢)ub( on the charity's ability to cO￿tInue as a goiiig ¢onc¢m fot a peTiod of at
least ¢w¢lve Jnonilis from the ffftall¢i#l statan￿lts K¢ avthorised for i8&ue.
Our re￿onsIbIl￿tICS 8tid the rcsponsibilities of the Thwtees with iespect to goillg COllCCllI are described in tbc r61¢vallt se¢tlOllS
of this report.
Other inform4tloll
Th¢ oth¢r inf0m￿tIon coniprises tb¢ infomation iIicluded the annual repott other than the f￿ancia[ st&tevttellts alld our
auditor'.q rcEK>rt thcrcoll. The TNst¢es are responsible for tli¢ other infortt)ation ¢Olltained withÈn th¢ an￿Val report. Our opillioji
oil the flliancsal 5tatcm¢iils does not ¢ov¢i' the other information MIMI we do not express any forin of assutance conclusion
thereon. Our responsibility 1$ lo rcad ilie other ￿f0A￿all01i ood, in doit)8 80, consider whether tli¢ other infonDalintL is
maieiially inconsistent wilh the financial statemeE]t5 or t)ui kntswledge obtaÉn¢d in tlie course of tl]e audit, or otherwise appears
to be njatcrially mi5s1atB(L If we identify sucl) material in¢ottsistencse5 or apparent tnat¢rial mis5tat¢mcnts, we are irquir¢d to
dcl¢rn)ine wlicthcr this gives rise to 4 mal¢rial lliisstat¢m¢nt in ti)¢ financial slatemellts th¢mselve5. If, ba50J on th¢ wod( we
hav¢ pcrfonned, wc ¢on¢lud¢ that there is a mat¢iial Ftiisslatemcnt of thts oihei. inforn]alion. we are requii'ed lo report that fg¢t,
Wc ljave nothittg to report it) tliis regard.
Matters on iyhieh we are r¢quffired to report by ex¢eptlon
Wt have nothing to report iE] r&spert of th¢ following matt¢n in v¢latton to whick the Charities (Accounts atid Reports)
Regulatious 2008 r¢quire us to report to you if, in our opit)ion:
thr iijfomation given iii th¢ financial 5tHt¢rnct)ts is in¢onsistent in any material irspect with the Trnst¢cs' report. or
sufficient accounting records havc nDI beell kept; or
th¢ finan¢ial slateineiits are not in agretincjit with tlie a¢¢ounting ￿COrdS. or
we h2vc not Lrcciv¢d all the Inforn￿lI0￿ rxplatiatioiis w¢ requÉre for oui. audit.
page 8

CRAWLEY OPEN HOUSE
INDEPENDENT AUDITOR'S REPORT (CONTINUED)
TO THE TRUSTEES OF CRAWLEY OPEIN HOUSE
Re￿OnsIbIlItieS of Trust¢es
As cxplained Tnore fully in thc statement of Trustees, respottsibililies, the TnJstce5, who are also thc dire¢tors of tli¢ ¢harity for
the PiiiFOS¢ of ¢ompatty law, are re5ponsibl¢ for the preparation of the financial statements 83)d foi. b¢iiig satisfied that they give
a trlle and faEr view, aLd for such illt¢mal control as the T￿StetS detennine is ne¢cssary to ettable the preparation of fin&ncial
statemellts that are fire fi'om material misstatement, whcther due to fraud or EITor. Ill prcparittg the financial statements, tb¢
Tru5tscs are r¢sponsible for a5SE5sing thB charity's 8bility to continue 85 a goitsg ¢ott¢em, disclosing, as applicablc, tnalttry
r¢lalcd to going concern and using th¢ going ¢on¢ern basis of accouihting urtle￿ th¢ Tn]stees either intend to liqutdale the
¢harilable ¢ompany OT lo cease operation4 or have no realistic allern8live but to do $0.
Audltor's r¢spotislbllltle5 for the #udlt of the fingnclol 8t&tement5
We ]Mve been appoi11t￿ 8$ 8udttor ￿nder seclioTh 145 of rh¢ Chartties Act 2011 8nd report in a¢¢ord￿le¢ with the Act and
rel¢vant regulations made or havÉng effect Ihcreuttder.
Our obj¢etiYes arc to obtsiti rcttsollable assurallt¢ #boui whether the flnancial statements a5 a whole $re fr¢e from Inal￿7￿]
isstatcmuit, whether due to fraud or eLTor, and to issu¢ an Gwditoi's r¢port that llicludes oiir opTnioii. Reason2ble assurallce is
bigb level of a55uI)n¢¢ but is iiot a ￿lara￿tte Ihdl ¥tt avdit conducted iii accordattce with ISAS (UK} will &lways detect
￿￿terIal missta¢¢m¢ol wheti it ¢xis15. Misstatemeiits ¢80 atise f¥om fraLid or eETor are GoJJsidercd m8tcrial if, iiidÉvidually or
in the &ggrcgJte. Ih¢y ¢ould reasonably b¢ ¢xpe¢lcd ta itjfliicllce the econoftnic decisions of iiser$ taken on the basis of these
fu￿￿ClaI 5ta*m¢nts.
The extent to which our pro¢¢dures are capable of deie¢litxg ittegii13rities, includiiig fraud, 15 d¢toiled b¢low,
Itte￿IlarItIe5, includillg fraud. are iD8tances of na￿cOTnpIiallc¢ with laws and ie8ulatiolls. The objectives of our audit are lo
obtain svfficiettt appropriate audit cvÉdellce regarding Compliance with laws and regulations that have a dw¢ct ¢ff¢¢t on the
d¢tcmiiJiation of material amouiils and dts¢losures in th¢ fEDaiicial statements, lo pErl4)rm audil procediires to lielp id¢Jilify
illstallces of Iiots-compliance witli other laws at￿ tegulalions that illay hav¢ a material ¢ff¢ct the fIlla￿cIal 5tatcinent5, and lo
respond appropriately to identified or suspected non-compliance wit& laws ond regulatkoi￿ id¢ntified during tb¢ audit.
In rclation to fralld, the obje¢tive$ of our audit are lo identify ood assess th¢ i'i5k of matei'ial missial¢mettt of the fiijancial
stateIllents du¢ to fraud, to obtain suffi¢i•it appropriate audi¢ evidett¢e regarding the a$s￿sed risks of nTraterial n?ssstatemeut5
du¢ to fraud through debignÈng atjd iinpleiiicntitig appropriate r¢sp0115es aiid to ￿Spond appi'opi'iately to fraud or &u$pccted
fraud ideiltificd duTUI8 the audit.
Howrver it is tlie PTiiDary t¢spollsibility of manag6in¢ni, with tlie oversighi of IliDse Lhar¥td with governance, to ¢￿Ule that the
entity's operations ar6 conducted lli accordanGG willi Ilie provisions of law8 and regulations a￿d for tlie prrv6ntion and dBIG¢lion
of fraud.
tn Id¢￿tIfyittg aiEd a4ses*irtg tlie risks of material misstatement in re8P¢Ct of inBgulJrities, iocluding fraud. the audit Engagcmtnt
team madc ellquiries of ma￿ag¢Thent, and tho8¢ ¢harged willi goY•Mance, rex￿ding th¢ proc¢dur¢s relatlO8 to identifyfftn
evaluating and COEnplying witli,.
laws aDd regulotions Snd wheth¢rtbey w¢re aware of any instan¢es of non-complÉaiirc-
2. deteetittg &nd ￿8pondIng to the risks of fraud alld whether they have knowledge of any a¢lu&l, suspected or alleged
fraud,.
the intemal controts e5tablishd to mitigate risks Yelated to fraud or noll-compliai)¢e with lows and regulatsons.
As & iEsull of these ptocedures w¢ coJ]sider the Tt]ost significant laws attd regulations that have a dircct impa¢t oft th¢ finaTh¢ial
slatem¢nts are FRS 102. Gcncral Dats Prote¢tiotJ Regulations, Compun¢¢s Aet, Charities Act 2011. Charittes Statement of
Recoinmcndcd Practice employment law and r¢8vlatioJs. We p¢Yform¢d audit procedurcs to detect non-¢oll)pliaThce, which
may have a mataial impact on tlie fingncial statements. These itJclud¢d reviewing finanGitil slatement disclosurcs and
Evaliillting advice re¢¢iv¢d from ext¢nial advi8017. Thet¢ w¢tr na BIBnificant Lawy 8t￿ regulatÈoiis we deemed as havitig aj
indirect impÉtct ots tbe financial 5tat¢Di¢tsts.
pag¢ 9

CRAWLEY OPEN HOUSE
INDEPENDENT AUDITOR'S REPORT (CONTINUED)
TO THE TRUSTEES OF CRAWLEY OPEN HOUSE
The audit etigag¢m¢nt tcam identified th¢ risk of manag¢ment override of rontrols as the area wh￿C tlic financial stitements
wei'e most SU5¢¢Ptible to malei'ial mi5slat¢iMent duc to fraud. Audit proc¢duttq p￿￿orrned included but wcrc not limit¢d lo
testing manual jounjal elltiies alld other adjugtmellts at]d ¢v&lualit]g the rdtionale in relation to any STgnificanl, un￿s￿al
traJ]sactions and ti?nsaction8 tlltc￿d into outside of the i￿rIlla1 course of busin¢ss.
A fiirther de8criplion of our respoEisibilitiCS is ¥4vailabl¢ on the Financi&l Reporting CDUtitil'È wcbsite at.. http8-.Ilwww.fw.org.ukl
allditorsresponsibililies. This descrsption fortll5 part of ouj. auditor's report.
Use of our r¢port
This r¢porl is mad¢ solcly to the ¢bgrity's Twstees, as a body. ill aCcOrd￿lce with Chapter 3 of Part 16 of Ihe Companics Act
2006 alld lo the charity's tru*ttes, as & tKkdy, iti a¢cordan¢e with part 4 of the Charities (Ac¢ounrs and keportsl RegulatLOtIs
2008. Our audit woi"k has been ulldertaken so that we miglit stale to the charitV8 Trusl¢cb (hose inattei% we are ieqEiiied to state
ta them in an aiiditors, repoit for no other piiTpose. To tlie full¢st extent pennitied by law, we do not accept or 85sume
r¢spons*bility to anyone oihcr thali thc Charity and tlie ¢liarity's'L'ru5tecs a5 a bodyF for oui. audit work. for this report, or for th¢
opinioll5 we l)ave fornied.
Richard Place Dobson Services Llinlted
Ch&vteYed A¢¢ounlatht$
Stfitutory AudltDY
1- 7 Station Road
Crawley
West Su5S6X
RHIO IFrr
Dit#
RiC1￿[d Place Dobson Scrvi¢es Liinited is eligibl¢ for appointsnent as auditor of the charitable company by virtu6 of its
elL8ibility for appointment &5 auditor of a ¢OmP4Llly Ut)der section 1212 of thc Companics Act 2006.
paE¢ 10

CRAWLEY OPEI¥I HOUSE
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR Tll- E YEAR ENDED 31 MARCH 2022
Cui'rent fin*ncl41 year
Unrestrl¢ted Uortstrltted
funds
fu￿d$
general deslgrtated
2022
2022
Restricted
nds
Tot81
Total
2022
2022
2021
F4tstes
Ineomt aiid endowmeiits from;
Grants alld donatlOllS
A tivilie5 in fuTthcrancc of Ib chaiit
986,668
242,724
1,229,392
806,815
Atneiiity In¢oJne
42,273
222.764
601.933
27.364
447
3,362
42273
222,764
601,933
27,364
447
3,362
32,562
222,764
500,611
17,375
2,359
6,635
Supportillg People
Housitlg B¢nefi¢
Othcr trading activities
Investment income
Other in¢ome
Total incoEne
1,884.811
242,724
2,127,535
1,589,121
enditurc on:
RaÉsing [L￿d$
34.691
34.691
31,803
Cbaritoble Ktiviti
Outreach projects
114,842
114,842
t14,226
Hostel atld day ¢eJitre
830,428
11,801
2,209
51.713
125,476
1,007,617
869,103
57,835
12,756
Move-on accomodation
Lo¢&l Assistance Nctwork
2209
Tot41 ehAritable txpendltsre
844,438
51,713
240,318
1,136,469
1,053.920
Thtal re50ur£es expended
879,129
51,7L3
240,318
1,171,160
1,085,723
pagejl

CRAWLEY OPEN HOUSE
STATEMENT OF FINANCIALACTIVITIES (CONTINUED)
INCLUDING INCOME AND EXPENDrruRE ACCOUNT
FOR THE YEAR E]VDED 31 MARCH2022
Net Lllcomlng resources bcfore trJn$f¢r$
1,005,682
151.713)
2,406
956,375
503,398
Gr()ss Irallsfcrs between fuLds
(835,307)
835,307
Net In¢ome for the yeirl
Nel movement kn fund$
170,375
783,594
2,406
956,375
503.398
Fund balances at l April 2021
459.343
1,806,536
17,731
2,283,610
1,780,212
Fund balknces at 31 March 21J22
629.718
2,590,130
20,137
3,239,98S
2,283,610
Th¢ stat¢ment of fEll&noial activities includcs all gAill8 alld losses itcogtiisa iu the year.
All iuctsm¢ &tJd ¢xpclldithre deiivc from contitiuing a¢tivities,
The statement ot fiThanci41 artivities also complies with the Tequircmenls for income &nd expendittw¢ account under th6
Componi¢s Act 2(K)6.
page l2

CRAWLEY OPEN HOUSE
STATEMENT OF FINANCIAL ACTtVITIES (CONTINUED)
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 A£4RCH2022
Prlor ftllaneiol year
Unr¢5trlcted Unrestrl¢te41
fund$
general d¢signAted
2021
2021
Restvltted
funds
Totsil
2021
2021
Note5
Ineome and endowments from:
Grants #rtd dotmtions
A¢tivilies in furth￿anCe of thc tharit
Atllenity IncoTn¢
450.151
356,664
806,815
's ob'ects
32.562
222,764
500,61
17.375
2,359
5,075
32,562
222,764
5110,611
17,375
2,359
6,635
supp￿1111)g P¢opl¢
Housiiig Bciiefit
Other trading activities
Inv¢5tm¢nt ittcome
Oth¢r incom¢
1,560
Totgl In¢ome
1,230,897
358,224
1,589.121
Ex
endltur¢
Raising funds
31,803
31.803
Qhai'itable activiti
Outrea¢h proje¢i$
114,226
114,226
Hostel and day cetttre
810.383
57,835
10,640
48,080
869,103
57,835
12,756
Movc-aiTr aG¢om￿atIoll
Local Assistance N¢twork
12,756
Total eharltable ¢ipendlture
868,218
10,640
175,062
E,053,920
Total resoiirces expend¢d
900,021
10,640
175,062
1,085,723
Net Incomlng re50urees befor¢ tronsfer5
330.876
110,640)
183,162
503.398
Gross ITan5f¢rs b¢lw¢¢n fulld
{270,929)
450,591
{179,662)
Net Income for the Y￿rI
Net mov¢m¢nt In funds
59,947
439,951
3,500
503,398
Fut￿ balanc¢5 at l April 2020
399,396
1,366,585
14231
1,780,212
Fund bAlance5 at 31 Martb 20ZI
459 J43
1,806,536
17,731
2,283,610
page 13

CRAWLEY OPEN HOUSE
STATEMENT OF FINANCIAL ACTIVITIES (CONTINUED)
INCLIJDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR E]VDED 31 MARCH 2022
The statementof fiiiancial activiti¢s includes 011 gains &t]d Ioss¢s ir¢ostti5ed in the year.
All Incon￿ and eXpelldi￿re dcrive from continuing a¢tivities,
The st&ttm¢nt of flliallcial activities also complies willL the requiren)enls for an iii¢oine aiid expenditure a￿o￿llt iwd¢r th¢
CompaDies Act 2006.
4ge 14

CRAWLEY OPEN HOUS
BALANCE SHEET
ASAT31 MARCH 2022
2022
2021
Noles
Flxed a$$tts
Tangible asscts
14
2,258,824
1,361,525
Current a85ets
Debtors
Cash ot bank haJLd
Is
32,541
1,546,421
36,147
1,45S.984
1,578,962
1,492.131
Creditors.. amounts fallillg due wlthln one
year
17
(483.712)
{570,046)
Net cu￿nI assets
1,095,250
922,085
Tot#1 95sets le55 curremt IfAbl]lti¢$
3,354,074
2,283.610
CreditorB.' amounts falllng due Aft¢r more
than olle year
18
(114.089)
Net #S5ets
3,239,985
2,283,610
ItL¢oMe fullds
Restricted ￿llds
Uwestricted
De5ign4tEd funds
General uJJres(rictcd
19
20.137
17,73L
20
2,590,130
629,718
1.806.536
459,343
3.219.848
2,265,879
3,239,985
2,283,610
page IS

CRAWLEY OPEN HOUSE
BALANCE SHEET {CONTINUED}
ASA T 31 MARCH 2022
The ¢ompany is entitled to the exemption from tbe audit requirement contaille41 in scction 477 of the Compani&9 A¢1 2006, for
th¢ Y￿l. ¢nd¢d 31 March 2022, although an audit has bc¢D ¢ar¥i¢d out under Sectio￿ 144 of the CharitiesAct 2011.
Th¢ dire¢tors a¢knowl¢dge iheir responstbilili&% for complysng with the requirements of the Coinpallies Act 2006 with i¢spe¢t
to accaunting i'ecoimls and the p￿p8]Y110L of financial slat¢m¢nts.
Th¢ membcrs have not r¢quir¢d th¢ company to obtain an audit of its finaD¢ial stIteille￿ts uNder lh¢ requirern￿ts of th¢
c￿llpanies Act 2006. for th¢ year io question iii aCcorda￿ce seGtion 476.
These financial statem¢Thts hav¢ been prepar¢d in accordanc¢ with tli¢ provisions applicable to comp&tti¢s subject tts the stt)all
Comp￿li¢S v¢gime.
2Dloq.IzL
The fIn&￿Cial statemcnts were approved by the Trnsfees on..
Jxmes Abdool
Comp8ny regl$trAdon number 03048461
pag¢16

CRAWLEY OPEN HOUSE
STATEIWENT OF CASH FLOWS
FOR THE YEAR ENDED 31 MARCH 2022
2012
2021
NDtes
Casli flow5 fiom operat1#¥ #Ltlvlttes
Cash gen¢rnted from operatioiis
25
909,026
667,847
InYe5tlng aCtI￿￿OS
PuTLhase of tattgible fixed assets
InY¢stm¢nl ill¢ome received
(944.639)
447
(318,994)
2,359
Net eish used In InvestlRg activities
(944,1921
(316,635)
FillRnclll&i ¥LtlvltiL'$
Rq)&ymeiit of batth lo&ns
125,603
Nel cash gÈnorAted Iroml(u8ed in) flllAnclug
#ctlvltles
125,603
N¢t itterease ea$h tash equivaltllts
90,437
351,212
Cash and casb equivalettts at begi￿ling of year
1,455,984
1,104.772
Cash and ¢ash equlvalrnts at end of yegr
1,546,421
1,455.984
pag¢ 17

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS
Folt THE YEAR ENDED 31 MARCH 2022
Accountlng pollcies
Chavlty Inforrnatio
Crawley Open Hous¢ i5 4 ¢h&rilable company. regi5teiEd England &iJd Wales. The registered office is Grauiid Floor, l-
7 Station Ruad, Crnwley, West Sussex, RHIO IHT
1.1 A¢countlng coDYentio
The fill&n¢ial slalcmettts have been prepared in ac¢ordan¢e with th¢ ¢harity's Memorandum and Articles of Association,
the Comp#ni¢s A¢t 2006 aDd 'AccOu￿¢[ng and R¢porling by CharitiG8.' Statcment of Recollunended Pta¥ti¢e applicable
to charities prcparing theu. IlCCOllDts itt accoithin¢e with the Financial Rqx)rling Standard 4ppli¢able itj the UK atHI
Republi¢ of Ireland {FRS 102) {effectiv¢ l January 2019)". The charity is a PLthlic Benefit E%ntity as defined by FR8 102.
Thr finan¢iAI slalemcnts are prq)ared itt sterlin& whs¢h is the ￿nctional CUTLEncy of th¢ chsTity. MgllEtary amounts in
these fithancial statetnents are roundd to Ihc ncartst £.
The financial 5tateEllCllts have b¢¢n pr¢pared uJder the histori¢al Cost ¢oiiv¢ntion. The princip&l accounting poliGi¢s
&dopt¢d are Kt out below.
12 Golng ¢one¢r
At the tine of apprDving the fillancial slateiiients, t116 Ttuste¢s have a reasonable expectatloll the chaTity has
adequate r¢soui¢es to continue in Operatio￿￿1 ¢xislellCe for the fore8ccablc futurc. Thlls the Th￿tee$ colltittu¢ to adopt
the goi[￿ conccTt] basi5 Of accounting in preparing the fiithii¢ial slatemettts.
1.3 ChAritable funds
Unrestrieled fiind5 can be iis¢d in a¢¢ord8nc¢ with the oharitable obje¢tiYes at the discretkon of the Th15tCe5.
Desigtsated fvnds are uJJrestrict¢d fiiiids carmarked by theThst¢es forpaiticular purposes,
Re$lL'lCtcd fund8 ¢an only be used for P<irliLiilai' restricted purpo￿5 WlthEn tli¢ objects of ike charity. Restrictlolls aTiSE
whell SPCGified by tlie donor or wli¢n funds al'e raised for particular rtrlrictcd purposes.
Furth￿ ¢xplanalion of the natuie And purpose of each fund is included th¢ notes of the finAtt¢ial statements.
1.4 1n¢om¢
All incom¢ is recognised iti thc Statement of Financial Aclivili¢5 on¢e the charity ljas entitl¢ittctst to the fithds, it is
probablc that the income will be r¢¢eiYed and ihe a￿loUrnt cali be measured reliably.
Donatiolls and similar iTr¢omitsg resources are inGludcd ID the y￿r in which they are ff¢¢ivable which is when the charity
becomes et)titled to the T£50ur¢e.
GraDts are included in the A(xouiitllig pers(￿ to which th¢y relate.
Activities in furtheTan¢e of ¢haritable objeGts includcs rental income aod is included ￿ ¢he year in which it IS Teoeivable
whi¢h is when the ohg1.ity bccomes cntitled to theyesollrce.
oibcr incojnillg re60wgces illclud65 kitchen rec¢ipts, placement fees and re￿ndS of oYerch&ig¢d expenses 011 of whi¢h a
included in til¢ a¢￿Ul1t$ wben (he charity becoines enlltled to ihe ￿SoUrces.
pag¥ 18

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH2022
Accoullttn¥ pollcles
(Contlllued)
1.5 ExpeAditur¢
LiabilLtI¢S 2re recognised as exp¢ndittiJY as soon As there is a Ee8al or con5tnictivc obligatiDn Con￿nittIng the charity to
that ¢xp¢ttditure. it is probably that a Iratssftr of ecojiomic benefits will be required in settlement alld the aiiiount of the
obligatlojl C8n be measiired reliably. Bxpetkditure is accouiited for on an aGcruals basis aiid h9s be¢ii Classified und￿.
headitkgs that aggregate all cost relatd lo the ¢ate80ry. Where costs e#t]llOt be dire¢tly 8ttribut¢d to p￿ticular headings
they I￿ve been allocgted to a¢tiVAties ott • basis C￿lS$SteJit with the use of resources.
Grants offtred subject to ¢onditions which have not been met at the year datc are t)ota as & cotntt)itm¢Trt but rLOt
acCn￿￿ as expelldithre.
Support ci)sts are (hose thnctions that a53iSt the work of th¢ ¢lwity but do ￿0t directly undertake charitabl¢ activities.
Support Costs ijkcliide back 0￿]¢¢ Lysls, fitsance, persojjnel, payroll a￿d gov¢rn#n¢e costs which support the charitable
COth]Pdtty'S activities. Thes¢ costs have i*en allocated between the diffrKtLt rbarilabl¢ a¢tiviti¢s. Thc basu on which
support costs have becn allocated ore set ollt in ￿0t¢ 9.
Governatice costs illclude those ¢(Ksts asso¢ialed with meeting thc constitutional and statutory requirement8 of the charity
and ittclude the ¢xt¢Tllal auditors f¢es and l¢gal ￿ld profwional costs.
1.6 Trnglble flxed assets
D¢pre¢ialion is provided at the following annual rat¢s in order io ffiYt¢ off each ass¢t ov¢r its extllnat¢d 11sefiil life.
Land buildings
Fixlur¢s, fittillgs & eqUipm¢￿t
Computers
Motor vehieles
2Q/o Straight lin¢
33/ts s(i?ight line
33% 5ti•ight IiTJe
25/0 Strai8ht line
FKchold Lind 18 not depreciated.
It ha5 bE¢n de¢id¢d by the TrL￿ that (Inly itett￿ of a value of £l.000 and over will k capitalised as anything smaller
is not de¢med material.
1.7 C*$h and eRsh equlv&l¢nts
Casl) at baiik in hand includes cash alld short terjn higbly liquEd 4nv¢sITncnt$ wtth a sliort maturily of tliree months or
I¢s5 Irom th¢ dale ()f i¢quisition orop¢niiig of the deposst or sitnilar &ccouttt.
1,8 Flllancial in5ti'uments
Th¢ Charitable CoiKpany (bnly h￿5 fitiaiicial assets and f&iian¢ial Itabiliti¢8 of a kiEJd that qualifits as ba51¢ finatL¢ial
si]slruTnenls. Basic financial instruments are illili&lly recognis¢d at ti•n$aclioii valu¢ &nd sub5equeAtly measuted at their
Settlement v&lue.
1.9 Taxatio
The Chatllty is exempt from Co￿01?tion Éax on Èt5 chavitable activities
I.JO Pro￿$10￿5
Creditors and provisions are ir¢o8llised whet¢ the cbai'ily has & pirsent obligation resulting ftDm a past event ¢liat will
probably irsult in the transfer of funds to a third party and tl)e amount di￿ lo s¢ltle the obligation can be measuyed or
estimaled reliably. Creditors and piovision$ ar¢ nornially recogllised at th¢ii' settlern¢nt 2moiint aftcr allowing for Any
discounts due.
P0Ee 19

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR EIVDED 31 MARCH 2022
ccountlng pollcles
{ContlnuedJ
1.11 Employee bencfits
Th¢ costs ofshort-temi employee benefjts are Jrcognised as a liability and an ¢xpen$¢.
The cost of any unused holiday ¢ntitleD￿nt i$ reCO￿liSt￿ ID tliep¢riod in which the employee's scryices are ree¢tved.
1.12 Retlremertt b¢Aefits
The charity opcratcs a defilled contributs011s penssojk scheme. Contributions are cliarged in the accounts as tbey be¢om¢
payabLe Én accordance witlL the rnles of Ilie scheing.
1.13 Debtor$
Oth¢r debtors arc recognised at th¢ settl¢rnettt amouDtdue aft￿ any trad¢ discouDt offtttd. Prep8yinents are valucd at tlie
ainountprepaid net of arty trade discoui)Is du¢.
1.14 Donated good5
TheA¢ are considei'able gifts of food givcn to the ch￿'Ity wht¢h have beeo ¢stitt)ated 4t £33.705 (2021.. £31,500) for die
year.
Tke CbaTity received no volunteer ￿￿siStance this ￿#r or the previous year.
CrItI￿1 ac¢ountlmg e$tlmates and judgemcTht$
In the application of the charity's accounting polici¢s, the Tn￿teeS sre reqiiÉred to rnake ￿dgeMents, estimates and
s4sumplions &boul th¢ ¢atrying amount of asset5 and liabiliti¢$ that are llot readily appar¢nt fruni uili¥r sourees. The
estimates and asBo¢ialed assun4)tions are ba5td on historical cxperience and othcr factors that are ¢ottsidered to be
relevant. Actual rtsulis tnay differ from these ¢stimates.
The e51iiDatEE and underlying assumptions are reviewed on ongoing basis. Revisions to a¢coiittting estimates a
rccogllised itt the period in whTch thc ¢5tim8t¢ is revised where the revT5ion 8ffecls unly ihat pcriod, or in the rKiiod of
the rcw5ion and fu￿[¢ periods where the revision affccts both curnent amd thture periods.
Critical Judgements
Tknr main jiidg¢men¢ ind 8CeOUlJting cstimatC8 inluded i]k the accouttls a￿..
DcfeYr41 of gr4Dt liicorne
lllcojne is r¢co8lli5ed wh¢n ibe charity is entitled to the income alld this will be ba5¢d tbe work being Completed and
the￿ is tto iequirem¢iit to repay the grant.
Donated %tDck
Donal¢d itenis such as food are recO￿lSed in illcome alld expe1￿lture based on their fqir v&lue,
Volunteer time
Ilm¢ giv￿1 fir6ly to tlje ¢liarity by volunterrs is re¢ognis¢d lli itscome and eXp￿ditUre bascd on 811 estin￿tsd av6rag¢
hourly rate and total number of hOl￿S given by volUnte￿s.
pag¢ 20

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH2022
Grant$ donations
Unrestrlcted
fiinds
getteral
2022
Restrieted
funds
Totsl
2022
2022
Dolla(ioiJs and gifts
Grants
276,462
710,206
276,462
952.930
242,724
986,668
242,724
1229.392
Unrestrictsd
fiinds
g¢nerdl
2021
Restrieled
fLmds
Thtsi
2021
202]
DoLatiQllS alld gifts
GrAnls
310.608
139,543
3 10,608
496,207
356,664
450,151
356,664
806,815
DuiiDg th¢ year the charity ir¢¢ived various grants to be used cither for g¢neral or $peeifi¢ Pliryoses wh5Gh includc the
following..
DonAted goods oiid servltes
InGludcd witbsll the donations and gifts above arc the following non cath donations..
Dott&t¢d t(K>d £33,705- 12021.. £31,SaOI
VoluTrte¢r tulle- £Nil12021.. £Nil)
paB¢ 21

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR EIVDED 31 MARCH 2022
Activlilts lllrtlierance of the eh9rlty's objeets
In¢¢j￿iE
Supportlllg Housln8]Jenent
People
2022
Tot41
2022
2022
2D22
Income from Charitable 8ctivities
42.273
222,764
601,933
866,970
A￿l¢￿tI¥l￿¢￿￿e
Supyortlng Houslng Ben¢llt
People
2021
Thtsi
21121
2011
2121
IncoTnC from Cbaritable a¢tiviti¢$
32,562
222,764
500,611
755,937
32,562
222,764
500,6II
755.937
rundr9bing IncoTh¢
Unrestrlcted Unrestticted
funds
fuiid5
general
g¢nerdl
2022
2021
Futtdraising cv¢nts
27,364
l7,375
Investment income
U￿reStrICt￿d Unrcstrieted
funds
fullds
general
g¢neYal
2022
2021
IDl¢rest reccivable
447
2.359
pa8¢ 22

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH2022
other income
Unrestricted Unrestricted
fuaids
futtds
general
genei?I
2022
2021
Resrri¢ted
funiL8
Totul
2021
2021
Other ittcome
3,362
5,075
1,560
6,635
RAi5ing funds
Unre5trlcted U]Thi¢ied
funds
futtds
general
getteral
2022
2021
Oihcr fundi'aisirk8 Costs
Slaff costs
4,691
30,01i0
1,803
30,000
Costs of R)isiThg Fvnds
34,691
31,803
pw23

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH2022
Ch8rAlable activities
Oiitr¢a¢h Hostel Aiid
Move-o
projects
day ¢eiitreaccomodatlo
Locxl
A$slst4nce
Nettvork
2022
Total
2022
Total
21J21
2022
2022
2022
Staff ¢osts
D¢pre¢iation and imp&innGnt
Other cl)aiilabl¢ a¢tiviLy ¢osts
108,746
622,367
40,874
334,776
731,113
47,341
340,872
713,845
33,061
285,195
6,467
6,096
114,842
998.017
6,467
,119,326
1,032.101
GY#iii futtding of activities
(5¢¢ note 10)
SliaJE of governance costs (see
ole 11)
2209
2,209
11,426
9,600
5,334
14,934
10.393
114,842
1,007,617
11.801
2,209
1.136.469
1,053,920
Attxlysls by fund
ut￿eStriCted fiinds- general
Uiireslrictcd fimds-
desigiat¢d
Restricted fiEnds
830,428
11.801
2,209
844,438
868,218
51,713
125,476
51.713
240,318
10.640
175,062
l 14,842
114,842
I,￿17,617
11,801
2.209
1.136.469
1,053,920
page 24

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR EIVDED 31 MARCH 2022
Charit4ble a¢tlvities
(Continued)
Vor the year ellded 31 March 2021
Outrefich Hostel and
Movc.o
projects
day ¢entreaccomodation
Ltbc81
Assls¢Anee
Network
Total
2021
Staff costs
Depreeiatiotx aud impaitm¢nt
Other Charitablc activity ¢osts
104.780
607.73S
27.959
223,796
lJ30
713,845
33,061
285.195
5,102
51,953
9.446
114,226
859.490
57,055
,330
1,032.101
Grant fuiidittg of activities (see note 10)
Shalt of 8ovcnian¢e ¢osts (see not¢ I l}
11,426
11.426
10,393
9,613
780
114,226
869,103
57.835
12,756
1,053,920
Analy515 by fimd
U]N¢51tittcd funds- general
U]]Texti'icled ￿lld$- desigoated
Restricted funds
810,383
10.640
48.080
57,835
868,218
LO,640
175.062
114226
12,756
114,226
869.103
57,835
12,756
1,053.920
GrY4ttta payabl¢
Great¢r
Challge &
Loc&1
A5SLStan¢e
Network
2021
2022
Grants to indiyiduals
2,209
11,426
2,209
11,426
pag¢ 25

CRAWLEY OPEL¥I HOUSE
NOTES TO THE FINANCIAL STATEMENTS <CONTINUED}
FOR THE YEAR ENDED 31 hlARCH2022
Svpport eo8t5
Support fiovernartce
eosts
2022
2021
Audit fees
Legul professional
Governan¢e costs
9.6QO
9,600
9.613
780
5,334
5,334
14,934
14,934
10,393
Analysed b¢lwe¢n
Charitable a¢liviti
14,934
14,934
10.393
12 Trustoos
L)uriMg thc ycar nonc of the Trustees (or any persolls COn￿e¢t¢d with them) re¢eived any irmuner#tiott or re¢eivd any
reiTr]b}tySeme￿t of expense5 roiating to th¢tr duties &s Tnistees aTEd dircclurs.
13 Ejnployees
The averag¢ MO￿th]Y nuni￿r of ￿1]p[￿ye¢S durit*g the y￿r was-.
2022
Number
2021
r4iimb¢
Riversidc
20
24
Employmtllt costs
2022
2021
Wages and salaties
Social security eosts
Oiher pensioii costs
684,693
62,905
13,515
669,159
61,478
13.208
761,113
743.845
Key N(aM%gement Remun¢r4tloRI
Theiz five key nianagcmettt posttions. Th¢ amount pfjid io key malthgement persotsnel during the yearwas
£204,333.77 {2021.. £209,278).
The nun]b¢r of employees whosc annu&l rtmuneratiott was more than £60,000 is as
follow5..
2012
Number
2021
NuMb¢Y
£60,000- £70,000
pllge 26

CRAWLEY OPEN HOUSE .
NOTES TO THE FINANCIAL STATE1v￿NTs (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
14
T8ngible flxed ￿sets
d Flxture5, fitting
bulldlngs & equlpTh¢nt
Compllters Motor v¢hlcle5
Tofal
C05t
At l April 2021
Additi￿15
1,516.282
918.322
32,2LI
24,999
2,127
1,318
47.576
1,598,196
944,639
At 31 March 2022
2,434.604
57,210
3,445
47.576
2,542,83S
DepreclAtlon amd Imp4lrmeiit
At l Apiil 202
Depre¢iatioll chgTged ii) th¢ year
196,588
33.604
15.621
6.336
2,127
22J35
7,400
236,671
47,340
At 31 March 2022
230,192
21,957
2,127
29.735
284,011
Carryln¥ Amount
At 31 March 2022
2,204,412
35,253
1,318
17.841
2,258.824
At 3l March 2021
1,319.694
16,590
25.241
lJ61,525
15 Dtsbtors
2022
2021
Amoutbts falllng due ivlthln one year:
Other dcbtors
Pirpaym¢ots attd ae¢rued income
21,501
11,040
25,107
11,040
32.541
36,147
16 Loan5 alld ov¢rdrafts
2022
2021
BBnk loall
125,603
Payable wiihin 0￿e year
Payable after olle year
11,514
114,089
The CIwraty received a loon from The Big Issue in May 2021 for £135.000 which is to bc repaid over 10 yeaTS.
pag¢ 27

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
17 CredEtor$; amounts (allÉng due wlthln one year
21122
2021
Notes
Ballk loa￿8
D¢f¢tred i￿¢On
Other creditois
Accnials and deferred iocome
16
11.514
239,169
190.709
42.320
4tr2,123
145,723
22,200
483,712
570,046
18 Credltor$: aMouttt$ f4111ng due Aner njore than one yeir
2022
2021
Notes
Bank loans
16
114.089
page 28

LVJ
P- o Tt

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR EIVDED 31 MARCH 2022
20
Deslgnated fund8
The in¢oine funds of tlie ¢harily illclude tbe followillg desi8llated fvnds wlii¢l) hav¢ be¢n %et o$id¢ out of unresirieted
fiJll(i% by ihe Trustees for specifLC purposes..
Re5sJirree5
¢xp¢Trded
Ball￿￿e at
l Aprll 2021
Rt50urees
txpendtd
Transfers
l Aprll 202D
31 Mare
Land attd
BuÈldi118 Fund
Mijiibus Fund
1.055,956
20,000
263,738
120,0001
1,319.694
(43,408}
802,523
10,000
2,078.809
10,000
cotlditiollillg
foi. oific
DLv¢lopment
projectfulld
Move on
hou￿5 ¢y¢li¢al
T¢pairs fiind
L&in¥ Ruvins
¢ycli¢&l repallE
Jid
Move-on
property
puKhase fvnd
Gas and
Elcctricity
Fu2Jd
15,000
110,640)
(4,3601
260,585
{8,7011
251,884
1147.216)
104.668
15,044
4,914
19,958
{7,891)
15,000
27.067
10,000
10,000
{414)
io,ooo
19.586
205,000
205,000
(55,000)
150,000
200,000
200,000
1,366,585
(10.640)
450,591
1.806.536
{51,713)
835 J07
2.590,130
The Land and Building ft¥nd repre￿nts the value of the lund attd buildings o¢¢upi¢d by the ¢harity.
The mitJibu$ ￿nd was for the r¢pla¢anent of the mittibus. A peopl¢ carri¢i' w&% pur¢has¢d in 2021.
The air Collditioning fvnd was tv wovidc air conditionijig in c￿*￿1n hostel offices. It Enstallcd in 2020.
The develcpiTt¢iit proj￿1 fund is to ensure that the charity call ￿l¢¢t$s￿llY ¢omplete its developmettt pro￿t. The
fml phase is the R¢sour¢e Cenlir wliich f&llished in Jilli6 2022.
The Moye-on hous6s cyclital iH)&irs fund is to mc6tthe Cost of repair$ otk the charity's leased nK)ve.on houses.
The Laing Rooms ¢ycli¢al repairs fil￿d is to meet the ¢ost of repairs on rhe t)ew tAittg i￿0Ve-On rooms.
The Move-on property pujrhase fund is to enable th¢ cliaTity lo purrbas¢ a fither property for os a ittove-oD hous¢.
The purchase completed inApril 2021.
Thc Gas and Ele¢trEcity fund repteseiirs Ili¢ fvtJd8 set aside to cover the expeclcd incrcasc Ihc cosl of gas atjd
electricity when the current fixed tate ¢oiilra¢t ¢xpires.
paLr¢ 31

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
21
Analys15 of net assets between fund$
General luiids
Designated
funds
202Z
R¢stri¢ted
funds
2022
Total
2022
2022
Fiind balall¢es at 31 March 2022 are r¢pre5Vkted by..
Tangible as8et5
Cutrenl ass¢tsllliabilitics)
Long term li&biliti¢s
180,015
563,792
(114.089)
2.078.809
511,321
2,258,824
1.095.250
(114.089)
20,137
629,718
2.590.130
20,137
3,239,985
Geller41 fundj
Designated
fullds
2021
Restricted
fund$
2021
Tht#l
2021
2021
rui)d balances at 31 M8r¢b 2021 are represellted by..
Tangibl¢ as8et$
Cuirc￿t assctsl{liabililies)
41,831
417,512
1.319,694
486.842
1.361,525
922,085
17,731
459,343
1,806,S36
17,731
2.283,610
22
Related pArty ti'Ansactlon$
There were no dis¢losable related party transa¢tioiis during tlie year (2021 . iiot)e
23 Registered Soclal Hou81llg Provlder
IEL February 2022 Cr&wley Op¢n Housc became registered uiider th¢ Homes alld Regenc￿tiO￿ Act as a provider of
R¢gi$tered Social Housing.
A$ the Charitable CoMpa￿Y was ollly registered for one month of this f￿￿￿e121 year the ar¢oullls have been prepared
followitlg the ChaTitie5 Stateinettt of RecoinineJ)d¢d Prattice {SORPI. For Ib¢ next fiIian¢ial year for the activity where it
is relevant the Housing SORP will bcused.
At the year cjid the number of units UDdei' mattagemettt was 31.
24 CovAd-19
During th¢ year. Covid-19 had a major impact on the operatIOlls of Crawley Opcn House. However. ther¢ was no
mal¢rial advtrse fillaDcial impact and the charity'5 financial positioii at the end of tlie finoneial year r￿n￿l￿ed 5trollg. The
Trustees expect opcratLOllS to r¢iurn to ll¢ar to near nornal during the y¢ai 2022. 23 with no adv￿%¢ op¢ratToii&l impa¢t..
PaE¢ 32

CRAWLEY OPEN HOUSE
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH2022
25 Cash Eencrated from opcrAtions
2022
2Q21
SuEylu$ for th¢ year
956,375
503,398
Adj￿$t[￿entS for..
Inv&ttm¢nt ineotne recoBnised itt $lalLmellt af financial activitles
D¢pr¢¢iation ind impatrmcnt of tangible fixed a5scts
(4471
47,340
12,359)
33,061
Movements irn working ¢api¢al:
Dccirase/{illcr¢asel in d¢biors
Its¢r¢￿e in ¢r¢ditors
(De¢reaseyinciYase itt defe￿d income
3,(A)6
65,106
1162,9541
113.761)
11,441
136.067
C4sh getlerated frnni Dper2tloiis
909,026
667.847
26 Analysts of challges in ttet lunds
At l Aprll 2021
Cadi ftows At31 Mnr¢lL 2022
Cash at bank ind tn hand
1,455,984
90,437
1,546,421
I￿&￿S falliiig due withiii one year
IA)ans falling di￿ jfter more than one ￿ar
(11,5141
(114,0891
(11.514)
(114,089)
1.455.984
135,1661
1.420.818
pagc 33