Charlty tsumber: 1057505
Comp4Dy Jwmber: 02959566
Redbrldgt Carers Support Service
(A company IiD)ited by guaranlee)
Tn￿ttts' report and financial statements
for the year ended 31 March 2022
ABJUR￿7•
2911212022
CC)MPANIES HOUSE
#12

Redbridge Carers Support Service
(A cornpany limited by guarantee)
Contents
Pagt
.i*gal #md administ￿l¥t infoKmaiioD
Trustrc5' ryrt
Auditors, ¢0 the
9-11
Cash flow Sts1en￿nt
Staitmtni of financial actiViliC5
Balance 51
14
No￿5 EO ihe financial
15-21

RedbTidge Carers Support Service
(A company limited by guarantee)
tkgal and administrative Inforn￿tioll
Charlty number
1057505
Company registration number 02959566
12 Clenyrtts Court
Lane
liford
IGI 2QY
Debra HaMings.Henry (Chair)
Bushra Tahir {Vic¢ Owir)
NithJl&* (Tresurer)
Antony Sobers
Bates
Harbans Singh (J
Madelaine Baker
Dr s￿jarSha￿ Kapur
Res1￿cd on 31112r2021
Catherinc Ellen O%eeffe
Audito
Ltvy + Partners Limi*d
7.8 Ritt PaTadc
W5 3RA
Bankers
CafBank Ud
25 KiThg5 Hill Avenue
West Malling
Kent
ME194JQ
Solicitor5
Edward Oliver & Bellis
19 Broadway Market
Fcnccpiece Road
Batkingsid¢
Ilford. F55ex IG6 2P*V
Page I

Redbridge Carers Support Serviet
(A company Ilmited by guarantee)
Report of the truste￿ (incorp)rating the directors. rew•rt) '
for the year ended 31 March 2022
The tru5¢ces presen4 their report and the fLnantial ststements for the year ended 31 March 2022. The tswstees. who are
a150 direcior5 of Redkn'dge Carers Supp)rt SeThice for the pllryx)ses of compahy law and who seryeA during the year atKI
up to the dale of thLS report arc %E oui on pagc l.
Strnctur4 governance m•D2g¢men¢
GoveTn£ng Docurneht
Redbrid8e Cartrs Support Seryice (RCSSI 15 8 cowy limiwj by guaranter. Company nutniKr 2959566. and a
regislered Charity. (J￿ry numbcr 1057505. conuitution is sa tyjt in its MerTh)randum and Artirlcs of A5soriati¢)n.
RCSS was inr¢>rw)rJt¢d ort 17th Augu51 1994 as a Company tAmited by Guarantee. The company was tsiablished undtr
a Merry)randum of ASS￿14¢10￿ which s¢ts th¢ objecTS and powers of the comparty and is 8overned undtr iis Articlcs
of As50ciaTiOn. In the eveni of th¢ rornpany b¢ing wound up metnbers are ￿Uired to coniribuie an amount noi
exceeding £1. The Company auaina ￿815￿￿tion with th¢ Charities 15th A￿￿1 1996.
Our M￿10￿ Statement
,￿r mission 1$ 10 make a positive difference ￿ the lives of U￿aId carers in the diveTSC COtnrnunitie5 of Redbridge by
providing them with a range of s¢ryi¢¢& SUPKM)rt and recogmtion..
Org*nAs*tt•tsal Strudure
Utlder the requiremetlts the Board of Tnjsw con5i5ts of no Iw 5 and uo than 20. This yedr there w¢re eight
members of the Board who every 545 wceks. T￿￿tr¢s a￿ re5WbT15ibl¢ for the S¢Tw¢gi¢ di￿lI0n and poli¢y of the
ch￿ily. Ai pre5eni Board members cornc from J Varieiy of ba¢kgrounds relevanT the gov¢rnan¢¢ and WO￿ of the
chariry. The rnajoriry are carer5 or are ex wer5. The &cretsry also 5its ¢)n th¢ Bo￿4 iw[ no V￿l￿g rights. Staff
representaiivc5 also auend Board TrKaing5 w give repon5 h3V¢ Th) ¥￿iDg righrs.
A schenr of d¢le8a(ion is in place and the day-L041ay responsibility of the provision. The EKccutive Dircaor is
reS￿)nsIble for ensuring tha( the (l￿11Y delivers the serviccs specified 3ThJ that key PErformance indicators

Redbridge Carers Support Service
(A company limited by guarantee)
Report of the trustees (incorporating the directOTS' report)
for the year end￿1 31 March 2022
Our StalT
Glynis Donovan. ￿eCUtIve DirccIor Irciired D£￿mbEr 2021)
Cathy O'Kceffe. 0￿ra¢bon5 Di[￿lOr￿C(VtsyC Dirccior lapFK>intcd ED 1st January 20221
Harriet Owjsu, Projcci Manager. Working for Carcr5 ProjccdOF¢rJtions Managcr {alp)in￿d OM 1st January 20221
Doris Hold¢r. Office Mana8cr
Anna Mylvaganam, Finance Offictr
Kate Stewart, Young Adult Carers Projeci Manager (left Septernber 2021)
Rani Raju, Commtsrtity Supwt WotkerlMH & Well￿1￿8 Projeci MaTha8er
Sylvia Willianks. Commynity Support Worker
Jahan MCCre￿dy, Cornmunity Supp)rt WtsTker
Tina Patrl. Older c￿erS Healih & Wellbeing C¢Jordinawr
Sue Grani, Dementia Carer5 Support Worker & Yowig Aduli Car¢rs Suppon Wtsrker
Kasia Kuczynska. Senior Employmen( Personal Advi%)rTrrojea Manag¢T Working for Car¢r5 Proj¢¢t lappoin*d PM 1st
January 2022)
Josephine AkiTrroye. Employir￿1 per￿nal Advi50r. Working for Carer5 Proiccl (lefi Seo¢mkn 2021)
Mohima Akthar. Admin CoordinaLor. WorkJ"Thg for Carer5 Projeci
Khalila Ardba Working for Carers Employ￿￿￿( Personal Advisor (joined tkctmber 2￿21)
Carla Gobey Working for Carers EmplOY￿n( Personal Advisor lJ"oined t>ectmber 2021)
and Appoithnt ¥JfBoarJ of Tn￿e
The dircctor5 of th¢ ¢OTllP4ny aTe also ¢haTity truswes for the purtx)s¢s ofchariry law and under the company's Articles
arc known a5 metnbers of Board of Tntstees. Under the r¢guirements of the Memorandum and Articles of
A$50cia¢ion Truste¢s arc ¢kctrd at the organi5ation s ADnual genetal meding. Each year one-third of the TnLStees or, if
their 15 no¢ three or a tnujtiplc of thr¢e. near¢st io r*K-third shall retire from office. Thty rnay be
re-electcd.
The Trusrees meet every 5ffj weekk The Chabr or Joint Q•ir& Vi¢e Chair •NI Tteasurer are ¢lea￿ by fellow TnLStees
ai the f￿5[ general meeung following the anrlual generdl mEeiing. The Alldit and ￿'sk Subgroup me¢ts quarterly and
rewrLS to the Board. The day.t(Hlay manage11￿￿1 of the ch￿Iry is dclcga*d to th¢ Exe¢uliv¢ DI￿¢Or.
Rjsk M8￿8¢1￿c￿l
RCSS opcrate a fvll Risk R¢wst¢r ￿tIlnIng risks aud mitigation in key arts8- o￿all0￿al. Governance. Finat)cia]. Lzgal
& Regulalory CompliarKc and ExieTnal. The Risk Register is T¢￿¢wed annually by the Board io sd our ft$k profile and
as5e5s any c￿￿Tsing or increasing threa15 or risks. Stsff conduct risk a>sessrr¢nts for 011 adivities and tlw are reviewed
and SL8ned ofl by Senior Managemcni Team. Thc Trullxs have a5SC5scd risk5 10 the 5cryicc and acred 10 put in place
SySLtms io Mit18a￿ thosc risks. The TruMtts' AudiL and Risk Subgroup mcets quaTrcrly to TCVICW risks, policies and
procedurts. Over the year this group has bten TevitWln8 and revising ir5 p)licies regardin8 busine&s risks. HR risks.
rinaneial risks, prcrnises risks. he￿th and safery #t￿1 other idtniified risk faaors.
Pagt 3

Redbridge Carers Support Service
(A eompany limited by guarantee)
Report of the trustees {incorporatin8 the directors. report)
for the year ended 31 Marth 2022
Objectiv&s and adivbties
Th¢ purpose of the charity is the provision of practical help. ¢￿￿onal 5UPWrt. advice, informal advocacy. health and
wellbeing activities and infornution to unpaid carers iTh th L(JndoTr Borough of RedbridRe lat)d neL8hbouring trf>roughs
as pan of the Workin8 for Carers proj¢til. By unpaid carers. we rttean people ￿ yve help and support io a relaLiVe.
hild, a SPOLLse or x panrter. a fri¢tKI or a n¢ighixyty who. du¢ io disability. illness or frailiylvulnerabiliry. ¢annot manage
in the cotwnunity wthoui belp. Wc work strategically with partn¢ts across all ￿tOrS io anwlify the voic¢ of our service
Users arwj ensure their views and cKFeriences are rtflcc*d in p)li¢y orNJ dE¢ision Tn¥kin8.
Carers can be any a8e and may or may noi be living with peTr)n who theed5 care. RCSS is ao indepeThlenL ¢8rer-led
organiwion workithg with carets for carers
(hr RaDge ofservices amd Activtties:
Emotional Support
Praciieal SuptX)rt
Welfart BentfitslDtbi Adviet
Hotne Visits
Welfate Cht£ks
Advic¢. Information. SignpDMinE and Refcrrnl$
Infor[T￿l Advocacy
Supp)rt for Older ca￿r5
Supwrt for Dctncntia Car¢r5
Training
Working for C3rer5 SUPEK￿ling wcr5 who want to rrturn to employrrtnL trainin8 andlor volunittring
Volunteer B¢fricEKiing
Hcalth & W¢llb¢iDg AcTiviIi
Advice Surgeries
Employment, Education arld Training Advice
Cornplernentary Therapies
Support Groups
ca￿rS BulleisT4 fornjally called The Redbridge c￿ET New51¢tt¢1
Websiie
Infornaiion Packs
Giving Carer5 a Voice via Consultauor￿EnsagCrnCnI Aaivitics
Forurns and Evenis. including Carers Week and Carers. Right5 Day
MH & Wellbeing SuP￿rt for Carer5
Support for Youn8 Aduli Carers
Achievements 8nd perforniance
Redbrid8e Carers Support Service exists ￿ support Ic￿1 carers with their carin8 resp)nsibilities. There are 27.(KK) -
30.IM)O carers in Redbrid8e- arourtd one in of the loca] population Isourcc.. Nauonal Census 20111.
A carer is * person who ptovid¢s uE)p*d cate atsd sup]x)rt io sott￿Y￿e is ill. disabl￿. frad or elderly. Carer6 can be
mothers, fathers. soths, d#ughier$. sis¢¢rs. bioth¢ts. friethds or pattnets. A cartts. ml¢ can often be siressfijl, demandLng
and iirne consuming. as well as physically tiring and men￿llY drainin& The huge posirive impa¢T and ¢oouibu¢ion that
unpaid carers make is often unrecognised.

Redbridge Carers Supp)rt Service
(A company limited by guarantee)
Report of the trustees (incorpornting the directors. rep)rt)
for the year end.ed 31 Marth 2022
Chair's Report- Debra Ha4ink*Htt
Thi5 yw conunued io PT¢settt challeTh8es with the l&sting of COVID 19 a￿1 ￿der pressures in the health and
SOCLal care Sectors. li is clear that th¢s¢ diffi¢ulL tinys have gready impacitd carers and wt have seen an iKrea5e both i
the demand for our servires 3nd in the ¢omplexÉty of t￿ed. Our skJ"Iled and dedicaied staff continue io rise to tl
challenge in providing high qualiry. individu31iscd compa&sioE)*e supp)rt for our servAce usus. l 8Lve praise aThJ
thanks io all s(aff and volunteers for their innovaiive ar￿ inspiraliorta] suppyt for earers.
We pay tyibuL¢ to Exe¢uiiv¢ Direclor GI￿)15 Donovan ral￿d in D¢centhr. Glynis was IDs￿Men[al in
building thc suete$$ and Sustsinabiliry of RCSS and in &sublishing i￿l and influeTrtial styo¢gi¢ partrterships to
give carers a stronger voice. We will tontinue to build on this rA)siiive legacy. The Workitlg for C¥ers Team expand
io welcorne new Employrneni Personal Advi50T5. Khaiifa Araba and Carla Gobey. Wt said goodbye to Josephine
Akintoye Employrneni Personal Advi50r and thank her for her tK)sitive eontribution. Kare Siewan Young Adulr C¥ttr
Projeei Manager also rnoved on w pasDJre5 oew Icaving a legaey io her dedicated work supporting this often
unde]Tepresentrd gr¢xLP. Wc continue io develop supp)n for YACS and LO fuThdraise &$ parn of the may￿.5 Appeal
2021-22. We are gra￿ful Lo ihe Worshipfitl Ihe Mayor of RcdbTidge CouEicillor Roy Emmett for this optrf)rwniiy.
The COVID 19 pandemic presented many challenges. bui aJ50 opponulliti¢s in th¢ ys¢ of whnology io engage. for sthff.
carers and TnJs*es. Trllstres coniinuc io regularly via elLs￿l￿g good governance and business planning
prevail. The Tn￿letS are very proud of RCSS'5 achievements this ye¥. None of this would be possible wthoui LhE
ritsanria] supwjrt of OLLr eore coftrraci with the council. funders of ￿ vari(xts proje¢ts as w¢ll as our indivbjual donor5. 1
would like to thank thc following frKour ¢ontya¢ts and granLS'.
The London Bor(wJ8h of Redbridge (Cartr5 Support SrJvitt5 Contsatt: Redbridge Grant Fund)
Mulbcrry Trusi (Carets of People with Denxntia)
Cltariiy of Sir RirhaJd Whiiiingtoii (for which th¢ Mercer's Cowy is T￿￿tre}. (Old¢r Carers Conn¢¢¢)
Working for Cdrers, led by Carers TDJ5t (urmkd by thc EwoFKan Social Futhl and The National Lottcry CornmuTriry
Futhd via Cartrs Tr￿st
Garfield Weston (Support for Youn8 Adulr Calu5)
One Placc East {MH & Wellb¢irtg
CCG {admini5trred by London Borough of R¢dbtidge- carers COVID vattination projeci)
ca￿rS Tntsi for Caters)
Stripe (Donaiions via ihc RCSS wrb5ilc}

Redbridge Carers Support Servlte
{A company Ilmited by guarantee)
Report of the trustees {incorp)rating the directors. report)
for Ihe year ended 31 March 2022
Exe¢utSve Dlrrf¢or'$ Report Forward PlaD
Echoin8 our Chair's report. we faced and COF¢d with ¢hallcnges of cO￿D and ai the time of this repoo begin work
to review and stren8ihen our risk managefflcrK io safcguard Suff and scrvice users &$ ￿ resume face io face Work.
planned organisaiional review will be an OPF*)nuniry to Teflecl on recent challcnges. Icarn from our experiences and
refresh our operaiiortal plan. Wt will coniinut io listen io our cartrs ￿ erLsurc thtir views and txpentnccs infonn the
dcv¢lopTtrnt and delivery of our setviees.
This Ye￿ the delivery of larger￿ MH and w¢llb¢ing 5UPP(rt ￿ ¢atets h¥ bEen a kcy developmeni IE) Ivork. Most
recently OUT new Mentaj Health ar￿ Wcllbeing projcrl Én pannct5hip with One Placc East and funded by the CCG. This
14 month project will SUp￿rt c8rer5 of someone with a MH iuncss to access l-l Cour￿lI1￿B and waching. LLarning
from the projeci WRII feed into wider research io improve MH services for carers. AT the iifK of ￿por￿ Ihi5 prvj¢¢t
is in the early siages of developmefti, but we are confjdeni bn ihe delhvery of positive for panicipants and in
building and SUSLainitt8 this work in the looger *rtn. In *rnLS of our overa]I workplan. cornmuniry 5UPP)rt work
conunues io deliver posttive 3nd signifLcani OU￿orneS for carers through l-l adyicc. referrals. 5UPPXL peer groups and
activitt&s. Our diverse projecLS add value ￿ our core work in iarge*d 5UPFOrt for older carers. young aduli carcrs
and carers of someone with demeniia. In 5th year the Working (or Carers Projeci continues io improve ernployability
outcomes for ullpoid ¢ar¢rs and carers.
Looking foEi¥ard, RCSS will COntiE)u¢ io expand and develop Innov￿lYt new seryices io sUPWrt carers from the diverse
¢OTnmunities of Redbridge. To iTiVeSI oyi stsff artd volunieers and build capaciLy to reach more carers. Our
aim is to 5UPP)rt carers in being tnore active in their eo]ntllunilies and io encourd8e more eivAc and S￿lai aciion.
AJnplifyng the voic¢$ of raTcf5 and vajuing the extsaordinary positiviry of Yotunieers and thetr passion for suppr￿U￿8
those in need within our wnmunities. Our key fundtaisith8 (￿j￿tiveS for the eomirtg year are listed below..
Continue to ¢nsurt sustaithable effe and projeci itt00￿ from a dIVe￿e range of fuTrJers
i£arn frorn our projccts to itDpmc stivice5
Continue 10 use exiernal expen advice frorn a range of wofcssiona15
Continue io ￿lId l&Hing re]*ion5hips with w funder5
Contsnu¢ to $e¢k dortwtons and swJE)sorships sttial activities 10 8lVt cartr5 a break
Seek fijnding w promot¢ new iDnovau¥e way5 of supp(KtiDg ¢arns. intluding a blended approach io virtual and face
to face support
Setk £¢￿S0n18 fundin8 via our nctsvork mcn*crthip with Carrr5 Tw5t
Build on (w projects PTiorilise fvrtkr funding to develop services for isolated. frail carers tn Redbridge by
expanding horne and COmrnLTnity scrvi¢e5 for (he most vwlrbttable earers
Seek funding to furthcrikvclop a[￿ $￿thin our coul￿111ng and Coaching services
Setk funding to furtherexpand. rrdin and suroort our diverse pool of voluniett5
Continue 10 seek financial support and giKwls in kiThJ fv)m ¢0[￿[¥* seaorand t￿lId on our existing relationships
throueh Carer5 Tru51 and also I￿31 INJ￿.￿c￿S1Co￿1eS

Redbridge Carers Support Servfice
(A company limited by guarantee)
Report ol the trustees (incorporating the directors, report)
for the year Lnded 31 March 2022
Incttase thc profilc and the needs of carers including maintsining and dcvclopin8 further crucial links with local
polit1¢12ns. decision-makers and busiTKSS leaders
S¢¢ure fvrfher fvndiog LO Swstsits positive health atrj wellbeing 11￿Comts for carers.
Reserves Policy
The TnJ¥¢e$ re¢o8nise th¢ n¢ed for a reseTves w)licy. To this end thty have dt5i8na(ed an OpcTaiional Rtstrve and a
Cottt%ngert¢y ReseTre. whi¢h in effect are the level of resthves the Trnllees believe they need. Over rhe coming year &s a
PTud¢ni Btsard reviewed th¢ level of its res¢Th¢s athd it)crtased them io refleei risk. This is to ensure this
fund is sufficieni ro the im of cl￿ndi￿re andlff loss of in¢onY. ith¢lyding th¢ iemiinaiion and wind
dowj cobts of the charity.
Strict traI￿rencY is w4intained to avoid connict rfiTh¢erest IM of:
Trusites Mr Barry Ba*s and Mr5 Bushra Tahir arc regis￿ed carcrs Tw1¥) atso acress RCSS, serri¢es.
Trustee Mr Nicholas Hutsi and Dr Sudarshan Kapur are res￿*[¢d carers with RCSS.
RESPONStBILrriEg OF THE TRUSTEKS
The tJJ￿2eS (who are also the direciors of Redbrid8e Carers Supprt Service for the purpose5 of cornpany ]¥w) are
re$ponsible for preparin8 the Tnksiees Annual Re￿rt and the financial staiements in accordance with applicable law and
United Kingdom Accouniing Srandards Iurtiied Kingdom Generally Accepted AccounEinB Prac(icel. Cornpany law
requires the tnjstees to prepare financial siaiements for each financial year which ghvc a true and fair view of Ihe.%iare of
affairs of the eharithble company and of the irtoming resourc￿ and applicarion of Tesoiirces, irKluding the incorne ar¥J
expeftdiiijie, of the charitable company for thai period. In wepann8 these fina￿al sts*meDts. the (Tusiees are requiTed
'seleci suitable accountin8 rK)iicies and then apply them Consi￿￿￿Y.
observe the methods and w￿lpIt$ in the (hriiies SORP.
make judgements and eMimates that aTe reasonable aml pnjdeoi.
siaic whether applicable UK Accouniing S￿HlaT& ha￿ been followed. wbject io any material depatwres dis¢losed
and explained in the financial 51arements.
Prepare the fjnancial swements on the 8OiD8 concern b&sis unkss ti is inapprowiatr w presume thai Chari￿bIe
eompany will ci)ntinue in operation.
The thLStees are re4x)fLsible for keeping pmw accounting records disclose wih rwonable accuracy ai any iirr£ the
firtantial poxition of the ehaTitable tompany artd ethable them io eTLSUte thal the firtancia] stsiements comply with Lhe
Compw*ies Ac¢ 21K)6. Tr trusiees 3re also TeswJn$ible for safeguarding the assets of the charitsble Company and ￿n¢t
for ￿kIng reasonable sws for the prevethuort and detection of fraud and otlw irreglllarities.
In so far &$ the trusoes are aware..
there L5 DO relevani audii infvtrn4tion of whi¢h the ¢haTiTabk to]t4)anys auditor is utsaware: and

Redbi'idge Carers Support Serviee
(A conipan) limited by Euarantee)
Report of the Irustees (incorporgttng the directors. report)
foi. the vear ended 31 Mai'ch 2022
Ilie ITU51te5 liai'¢ tak¢n all sitps that They oughi io habc iak-cn iOTnake th¢m$¢I￿¢S aHareof anj relevant audii
intoiTraiion and to esiabli5h ih)t the auditor 15 a%bare of informalion.
Aiidi¢or$
Lei,). + PJnllrrs Limit¢d hav¢¢xpr¢$5ed their %%illin*ne$5 t(pwntinu¢ ith office 8nd aresolulion 10 rc-appoini Ihcm will
be piDp05¢d ai the annual Eeneral meetin8.
On behalf of the board
c￿hel1ne Ellen (YKeefte
Setreinry
Page8

Redbridge Careres Support Service
(A company limited by guarantee)
Independent auditor's report to the members of Redbridge Carers Support Service
For the year ended 31 March 2022
Opinion
We have audiied the financial suteEW)ts of R¢dbTidg¢ CaJers Support S¢TVi¢¢ for Ihe year ended 31 March 2022. which
comprise the Siaicmcni of Financial Acrivitic5. the Balance Shcci aT¥J the rela*d rHMes. Thc financial reponing
framtWOTk that h&% been applied in ttjcir prepardiion is applicable law and UThiied Kingdom Accouniing Siandards.
includin8 Financial Rcporting Standard I02 The Financial Reporting Stsndard applicable in the UK and Republic of
lieland (UrtLied Kingdom Generally Accepted Accouniin8 Praciic¢).
In our opinion. the finaKiai statrments..
give a ¢ruc and fair vicw of thc 5tatc of the charitsble conwany's affairs as at 31 Ma￿h 2022. and of its incoming
rcsourcc5 and applicaiion of rcsourccs. for thc year then endcd:
have been properly prepared aecordance with United Kingdom Generally Accqmed Acc(yrrin8 Practice: and
have been prcpared in accordance *ith thc rquircrncDts of thc C¢)upJuc5 Act 21￿.
Basis for opinion
We conducLed our audil In accordance with International Standards on Audiiing (UK) {ISAs (UK)) and applicable law.
Our ￿ponsIbilItieS under those stsndards are fUrtherd￿lTr￿ in the Auth"iorfs responsibiliiies for the audiL of ihe
finoncial statrments section of our retth. We are indeFndeni of the charithle company in accordance tht ethical
requirements thai ate relevant LO our audit of the finartiai stsiements in the UK incluth"nB the FRC'S Eth"Lcal Srartdard.
and we have fillfllled ourother ethic￿ resp)nsibilities in accordance with these rtquirements. We believe the audit
evidertce we have obtained is suffL¢iertt and appropri* to provide a b&sis for out opinion.
Conclusio￿5 rdating to going concern
We have noihing ro rcporn in rc5pccr of thc following mattu5 in re14Tion lowhich the ISAS (UK} r¢4Uirt tys io to
you whcrc..
the It1151tts' ts5e of the going concern basis of accoiinkng in the wepara11￿ of the finahcial ￿8¢eMents is not
appropriate: or
Ihe rru5Eees have disclosed in the financial s[are￿￿Tr￿ any ideTtiified material oncertainties that may ca
SL8nifLcani doubt aboui the charitable comparby's ability io conunuc io adow the going corKern basi5 of accouniing for
a ptriod of ai It￿ Lwelve months from ihe da* whtn the fIn￿KIal arc authorbscd for issue.
Other Inforniation
The other inforniation comprises the infornmiion included in the annual reEXlrt. othcr than the finaTKial siatrments and
our auditor's report ihereon. The tvjstees are responsLble lor the other infornuiion. Our opinion on the finaKial
stttements does not cover the other ]nforn￿10Th and. except ￿ the exoTht rrtherwise expliciily stsred in our re￿rn. we do
express any forn) of assuran¢e ¢oEKlusioTr th¢r¢on. Jn ¢¢)nn¢ciioTh with our auth"L of th¢ financia] $￿ementS, our
re5P)JISLbility is to read the othcr infonnaiion in doing $0. ¢onsider whether th¢ otkr inforniation 1$ materially
incon5151eThi with IIK financial stsicrnents or our knowledge (￿thIn¢d in ¢he audii or otherwisr appears LO be [Da￿TIo11Y
MiSs￿led. If we identify Such Tnaierial incons1sienci￿ or apwdreni malerial MisS￿leTt￿nts. we are requir￿ to dewttutte
whether there is a maieriai Miss[a*n￿￿[ in the fir￿cIal srarements or a ma1￿￿al missutement of the other informauon.
If. based on the Work wt have ptrforn)ed. we conclude thai there is a maicrial mi&sts*rr*ni of this other inforrnaiion. we
are required 10 re[￿ that faci.
We have ttothing to report in thi5 regard.

Opinions on other matters preseribed by the Comp4nies Act 2(M)6
In our opinion. b&scd on the work undertaken irt the course of the audit".
the iTr(onnaiion given in the Truste¢s' which includes tht Direttots, Rew>rt prcparcd for the purp)ses of
company law fof thc finaDcial year for which thc fil￿ntIal staiements ar¢ p￿pared is tonsisLtni wth'thc financial
statements: and
the Direcior5' Report inrluded within th¢ Trustees, Rewi have been in accorda￿e with applicable legal
requiretr*nts.
Matters on which we are required to report by exception
In Ih¢ IiBhi of Ihe knowledge and understsnding of the chariuble company and its environmeni thained in the course of
thc audil have tsot idtnlifjed nJaieriaL mi55&tetrtnts in the DArectors' Report iDcluded within the Trusrees, Report.
We have nLMhing 10 report in respe¢1 of the following where the Cowiu Aci 21X)6 requiTes tss io io you
if. in our opinion..
adequate ac¢ountin8 records bave not been kew or renuns adequate for our audit havc not iwi received from
branches noi visited by us:
the financial ￿a(C￿eMs dre r¥x in agreeTr*nr with the attounting retOTds and Yttums:
certain disc105ure5 of trustccs, remuncraiion $p¢cified by law art not made:
w¢ h&v¢ noi weived all the inf¢xmaiion and explanations we require for our audiL or
ihc rru5tees were noi cniiilcd io prcparc the fina[K￿l a¢¢oTdan¢e with Small ¢ompanies regime.
Respomibilities of tn
As explained more tully in the Tr￿￿te5. ResEh)nsibiliiies Siaiemcni sci oui on page 9 (who are also t
directors of Ihe charithble company for the purrN)ses of cornpany lawl are Teswnsibk for thc preparaiion of the financial
sratem¢tis and for being satisfted they ￿ve a true and fair view. and for such internal control as thc trus(ec5
de¢rmin¢ is necessary LO ¢nable the prepara(ion of financial ststrnxnts are free from maierial mi5swemEnL. whether
due io fraud or e￿0[.
In pr¢p2ring the financia] staoments. the IT￿￿S are reS￿nSIble for &s5es5in8 the ch3ritable company's abilyiy tv
toniinue as a goin8 concern. disclosing. as 4wbeable. matters relaied io going coThcern aTrd ￿l￿g thc going concern basi5
of a¢¢ourtting unless the rnLSte¢$ ¢ither in*nd to liqui￿e the company or io cease operation5. OT have no rca]istic
olt¢rnaiiv¢ but to do $0.
P*gt io

Auditor's responsibilities for the audit of the financial stalements
Our objeciives are io obtain reasonable &SSUTaKt abour the finan¢ial statements ￿ a whole are Iree from
material mi&51a¢emenL whether due io fraud or ern￿. and ro i&sue an audiwfs Tfport thal includes our opinion.
Reasonable a5suran¢e is a high level of&w]r￿. bui L( LS a guaramlee thai an audi¢ condwied in ¥cordan¢e with
ISAS IUKI. will always deieci a Materi￿ misstalemerti when it exis￿ MissthienKnts can arise froTn fraud or error and
considered nurerial if. iTMlividually or im the aggregate. they could reawnably be expec*d io influeTKe the econornic
decisions of ￿S iaken on the b/sis of these fJDanc2aE statrn*nts.
Itr¢gul#riti¢s. including fraud. are Ins￿nceS of non-c0Th￿l1anCC with laws and regulauons. We dc5ign prorcdur¢5 in lint
with our responsibiliti￿. w¢lined aik)ve. to de*ct mareria] rTusstsierrtnLS in respect of iTregulariti¢s. ]rKl￿j￿n8 fraud. The
exteni LO which our pr(Ktdures ¢apable of d¢wting irre8ulariiies. includin8 fraud is detailed trxlow..
- Di5CUS5ion with Ihe Tnanagerneni of knowrt instath¢es of non*ompliaEKt with laws and r¢guiauons.
- Understanding of managenKnl'5 internal ¢i)ntyol d¢¥"ig￿￿ io FY¢v¢ni i￿egUlarIties.
- Design audii pThKedure5 ar(￿nd tcsring of expEllSC5.
- Testing transactions eniered our5ide of the Cou￿¢ of thE imjsintss.
Iderttifytng and trsting of journals en¢ries.
A fvtther descritrtion of rwr reS￿)nsIbIlI11￿ for thE audii of th fina￿la1 sT1￿Ments i$ k¢at¢d ort the Financial Rewrtin8
CourKil's websiie ai: wwi¥.frc.or8.uklaudiiorsresponsibiliiies. Thi5 des¢Tiwion f(*ms part of our audiior's report.
Use of our report
This report is made solely to the charitsbk cijrnpany's ¥$ a tx)dy, in *Corda￿e with Cljapor 3 of Part 16 of
the Companies Aet 2(X)6. Our audii work ha5 been wid¢Ttskcn so thal w¢ might stste io the charitsblt company's
members those maNers we are required 10 them in an 3uditor'$ r¢pm atMI for rm) ￿her PUTfA)se. To ihe fijllest
exterti perniktted by law. we do accepi or &85ume respoThsibiliiy 10 •nyo]J¢ ither than the charitable company's
membErs as a body. for our audit work. for thi5 rewn. or (or the opinions w¢ hav¢ (M)￿..
Arvind Joshi FCA,CTAJ)ehA {Senior Sthtutsry Auditor
For and on beh•lf of Lery + Partners Limited
and Chartered Accouniants and St8tu¢ory Auditors
7-8 Ritz Parade
Western Avenue
London
W5 3RA
Date: 20 December 2022

Redbridge Carers Support Service
(A company limited by guarantee)
C￿h flow statement
for the year ended 31 March 2022
2022
21121
Net {ourgoinBllirKominB resourccs for the ycar
Interesi receivable
Depreciation and impalm￿Tri
Incrtast in dtbiors
(DeCre￿)lIn¢re￿ in crediiors
(32.741)
1519)
3.718
(37.552)
(834)
34.142
13,509)
4.355
(18,132)
25.289
Net Gqsh (oufflow)finnow from operating activid
167.928)
Reiurns on inveSth*[￿ aDd servicing of [￿arKe
Capiial exptr¥JinJre
19
19
519
13.304)
3,509
16.338)
(Decrtaseylncrease In cash Ih the year
170,713)
39.316
Reconciliation of nel flov to movement ID ne¢ funds
20
IDecrease)Ancrease in cash in the y¢ar
Ne¢ fwids at l April 2021
{70.7131
353.237
39.316
313.921
Net funds at 31 March 2022
282.524
353,237
Pagt 12

Redbridge Carers Support Servlce
(A company limited by guarantee)
Stalement of finan(ial aclivities (incorp)rating the income and expendilure account)
For the year ended 31 March 2022
2022
Total
2021
Totsl
l¥ot¢s
Jncoming re50urtes
Incoming resources from 8cncrnin8 funds..
Voluthtary irtcon
Inveument income
2rf1.917
519
246.656
507 J73
519
546,367
3.509
Total incoming re50urce5
261.436
246.656
508.092
549.876
Charl￿b]e aciiviric5
213.016
5.865
319,639
2.313
532,655
8.178
507,450
8.284
Totsl roourcLs expemled
218.881
321.952
540,833
515,734
N¢t incomin￿10￿1801￿g) resourres for the year I
Net incomel1exp¢nditu￿) for the year
42.555
175.296) (.I2.741)
Total funds brought fonvard
202.945
146.742
349.687
315,545
Total funds carried forwanl
245.5
71.446
316.946
349,687
The stattmeni of fLnancia] artivities includ&s all gains and losses ift thE year and therefore a seyarate swement of totsl
recognis¢d gain$ ond losses bos n(* been pr¢par¢d.
All of th¢ atK*ve amounts re￿¢ a¢Èiviti
The note5 on page5 15 to 21 forN an integral part of these financial statement&
P4ge 13

Redbridge C2rer3 Support Service
(A ¢ompany limited by guaraDtee)
Balance sheet
as at 3l March 2022
2022
2021
r4otts
Fixed assets
Tangible &sseLg
Current Assets
Debtors
Cash at bank and in ha￿1
l2
4.317
4,731
ij
54,560
283?13
17.008
353.237
J37.77i
370.245
Creditors.. amou￿15 falllng
due within one vear
14
125.144)
12i_289)
Nct current assets
312.629
344.956
Net gssets
349,687
Fvnds
Restricrtd incom¢ funds
UnreMiic#cd income fiinds
15
71.446
146.742
?U2,945
Total fuMds
316.946
i4Sb,687
The financittl st*emtnis an prepared in aecordante i¥'ith the special provisions of Part 15 of the. Companies 21M)6
reltttlfi8 tv small Companies.
The financial 8Ulten)eni$ 14.ere approved ￿. th¢ board 20 D¢eember 2022 and signed on its beha]f by
Debr4 Hastings-Henry {Chair)
.Dire¢tor
The Dotes on pages 15 10 21 form an iffjiegrnl p*rt of thtst finAneial st*teffjeDt5.
P*ge 14

Redbridge Carers Support Service
(A eompany limited by guarantee)
Notes to financial statements
for the year ended 31 March 2022
-.A'c¢ounting policies
The principal ac¢ounting ￿licIeS are surnnwised below. Tr xctyJnun8 policies hayc applied Consis￿nI]Y
throughout the ye* al￿ th¢ prr¢rdithg y¢4[.
1.1. Basis of ac0￿￿ting
The financial stsiernents arr prepar￿ WKkr thc hi4orica] c(& tonveniion and in accordance WL(h ihe Siaiemcni
of Recommended Praaice'Accounung arxl Reporting by Clwilies. iksued in Match 2(KJ5 (SORP 20051 and thc
Companies Aci 2￿)6.
Incomlng resources
All incoming resources are in¢luded in the of firtancial activities the charity 15 cntiilcd to the
income and the a￿K)UnI can qua￿lfied with reasonable acturacy. The followin8 spcrrific policics are applied to
pariicular Ca￿goneS of income:
Volunthry Ir*0￿ is received by way of gran￿ dortauons and gifLS and is inclu(kd fiLII in thr $W¢trtni of
firtancial activities when receivable. Grants where entitlew*ni is not condiuonal on the d¢livery of a $￿IfiC
performance by the charity. Ort retognised when the chan.ry t*¢0￿S uttcoruliiionally eDiirlcd io ihe grdni.
Donated 5ervi¢e5 aNJ fa¢iliti¢S are irtludvA ai the value to the charity WI￿re this can i% qUa￿Vried The value of
strviees provided by volunteers has TWX been iYt¢luded.
Gifts donated for resaje arc included as incoming rts(Mtrcts within activities for generdung fullds wheD they are
sold.
Granls. in¢ludins grants for the purchase of fixed &%scts. arc rccogni5cd ITh full in 5¢*tTKnt of financial
a¢tivilies Ért the y¢ar in whieh they are rtttivablc.
lrt¢ome from invesrments is included in ihe year in thich li is r￿¢￿vable.
IJ. Resources expended
Expendilurr is retognised on an acen￿l bw"s as a Itabiliry is inDJrred ExFrTwJiuw¢ in¢lude$ any VAT which
¢annot be fully Te¢overed. and is reporte41 as part of the expendiDJTe w which ii relaw.
Costs of gerterating comprise the costs ￿￿K181ed with awacting volwiiary and the cos$ of trading
for fvThJraising wtposes irtluding the charity's shop.
Charitsble expenditure c(wises those costs iocurml by the chan.ry in the delivery of ils artivi¢i¢s' And setVi¢¢b
for it5 bcneficiari¢5. 11 I￿ludeS both costs that allwaied directly to such acuvi(ies and those costs of an
indirect naiure newsary ro supp)ll ihern.
Supp)rt COS￿ those costs incurted ditectty in SUPE￿ of cxpeTrJimre on ihc objects of the chariry arLd ittcl
PTOjeCi manageTnenL
1.4. Tangible fixed a&sets and depreciation
Tartgible fixed ass¢ts are staled at tosi less accUmul￿ed thpreciation. Dcpreci81ion is provided ￿ rdies ¢al¢ul*¢d
to wriie off the less residual value of ea¢h &ss¢t over its exrttted usehl life. as follows:.
Fjxtyjres. fittings and equip￿rn¢
33% straight lint
P•gt 15

R¢dbTidge Carers Support Seryice
(A company limited by guarantee)
Notes to financial statements
fortheyearended 31 Mar¢h 2022
Voluntary lo¢omf
Unrestricted
fund$
Rotrirttd
fund$
2022
To¢al
2021
Total
Donations
SpecifiG Variou5 FutMIs
London Communil). Response- City BridgeTTU
A¢tii'e Oldu Cartrs ProJecl-CiiY Bridg¢ TWSL
YounÈ Adult carers-Wthr￿ LLtrv
i.574
7,032
T2.126
48.736
95.492
Narional Loiieiv Communiltr Fund
ers of someon¢ ￿lih Demeniia
Local AuLhoritv Coftlraas & Grnnts London Borough
Gartield ￿'¢s[On Fund
Covid Vaccinaiion PTOjCa-LBR
CMCKYCa￿Sc￿¥K￿£htinh' 0fs1rRth￿ WhiuiDgton
Onc Plac¢ East-MH & Wellbeing Proje
Mai'or's App¢￿- Young Aduli CaTers
The Mulbcrry TnJst- Carets ol"I)emi￿la
Redbridge GraDI FuThl
151.946
151.946
140,119
229.676
?29.676
15.(KK)
11.274
49.616
11.246
277
236,676
15.000
49.C>16
11.246
277
260.917
246.656
507.573
546,367
lttYtst￿e￿t income
Unr¢5tricted
funds
2022
Totsl
2021
Tot¥1
Bank intuest re¢rivable
519
519
519
51
3.50Y
Co$t$ of charitable artivitie5
by typt
u￿reStricted Restrirted
runds
funds
2022
Tot•1
2021
Total
Emplo¥'menl and irdiningc05¢5
Running costs
Premises c051s
Capithl costs
189980
{i:2441
24.084
2,196
•4) 8]7
59.048
15252
1.522
43 798
5S,80i
39_i36
3.716
417.453
45.372
4U.270
4.35)
21J.l)I6
i19639
512.657
5U7,450
Page 16

Redbridge Carers Support Sen4ce
(A company limited by guaranÉee)
.Notes to financial statements
for the year ended 31 Marth 2022
Costs of charitable activities- by activity
Ae¢1vI￿¢S
fythdi￿g Supprt
directly a¢tivities
2022
Total
2021
Total
Employ[￿￿1 ahd tyaining cos
Runirtg costs
Premises c0515
Capital costs
433.798
433,798
55.805
39.336
3.718
417.453
45.372
40.270
4.355
54.516
39.336
1289
3.718
93.852
1289
437516
532.657
507.450
Governanee costs
Unrestridtd RtstTided
funds
2022
2021
Tol*l
Office expenses- (Xl
Audii Fec5
Support. Proftssional- Ihher
121
4.8(M)
3,378
4.8
2.313
8,284
5.865
2.313
8,176
8.284
Analysis of supw•rt c(ksts
2022
2021
Tr*iniTrg
Totsl
Tot81
Staff cosis
Auditor5. rrmuncration
Other professiondl fees
Deweciation and imwrn*ni
433.798
433,798
4.8(M)
3.378
3.718
417,453
4.8(M)
3.378
8,284
4,355
3.718
433,798
3.718
8.178
445.694
430.092
P•g¢ 17

Redbridge Carers Support Senice
(A company limited by guarantee)
Notos to finaneial statements
for the year ended 31 March 2022
Net (outgoing)fincomingT¢s•urrts for th¢ year
2022
21121
Nei louigoinwincorning resources i$ stated after charging".
tkprecixtion artd othtt amourtts wriuen off [an￿ble fixed
Auditors, remunerarion
3.718
4.8
4,355
Employees
Employment costs
2022
2021
Wagcs and sal*ies
433.798
417.453
No employcc rec¢ivd of than £(￿.(￿K) (2021 .. None).
Number otemployees
The average monthly numbtrs of enwloyee5 (iTKluding th¢ mL*L%) diiring year. ¢al¢uJated ort th¢ basis of
11 ttme equivalen￿ w&s as follows..
2022
Number
2021
Number
Provision of services and SUP￿ {includes part lime)
Man3genKnt and adminisw￿lo￿
14
14
15
io.
Trvslees. Remuneration and BeDefJts
trustr¢s' r¢ttiv¢d no remur*Mions (x d￿illg the yedr12(r21: Nil).
No iru5ttt5 rcccived pay[l￿t for FK0fusiot￿ or othtr stTvices SEwlied ￿ the chariry.
Th¢ tru￿¢¢$ wue able io use SeTvi¢e$ used generally by ￿neficiarieS and mtrnbtrs of chan"ty.
ii.
Taxation
Thc Charitys aciivities fall within ￿ elem￿10￿5 affordcd by thc FKovi$ions of thr k¢TlOrt 478 of the
Corporation T&x Ac¢ 2010. Accordingty. there is fto ta￿1¢￿ ¢ha￿e in th¢5¢ a￿{)￿￿￿.
P*gt 18

Redbridge Carers Support Service
(A company limited by guarantee)
Notes to financial statenjents
. for the year ended 31 March 2022
Fixthru.
ritling5 and
equipment
12.
Tangible r￿ed assets
Tothl
C05t
Ai l April 2021
Addiiions
78.599
3.304
78.599
Ai 31 March 2022
81.903
81,903
Depredatlon
At l Awil 2021
CTharKe for (he year
73.868
3.718
73,868
3,718
A¢ 31 March 2022
77386
77J86
Net book vglues
At 31 March 2022
4,317
4.317
A(31 March 2021
4.731
4.731
13.
Debiors
2022
21121
Other de￿or5
Rent d¢p)sit
Prepayrt*rtts artd acen￿d incomt
39.655
1,578
3.0
12.430
11.9C15
54,561
17.008
14.
Creditors- amounts falling due
Ivlthln one ye*r
2022
2021
Barclay Card
Accruals and deftrreil incomE
689
24.455
25.289
25.144
25.289
Page 19

Redbridge Carers Support Service
IA company ]iJnbted by guarantee)
Notes to financial s¢ateTnents
for the year ended 31 Mairh 2022
Is.
Analysis of net assets be¢we¢n f•Jnds
Tot*1
funds
runds
Fund balances at 31 March 2022 as zeryesentrd by..
T3ngibl¢ fix¢d assets
CutTeni asset5
Curreni liabblitiC5
2J36
243,270
(25,144)
1.781
94.503
4.317
337.773
{25.144)
220,662
96,284
316.946
16.
Unrestrkted funds
At
At
l April Incorning Outgoing
2021 rtswrcts resourcts
31 Marth
2022
Getleral Funds
Designaied Fund
112.945
261.436
(218.8811
155,5(N)
202.945
261.436
1218.8811
245.5(N)
17. Restricted funds
At
At
l April Incorning Outgoing 31 March
2021 re50urye5 re50urce5
21)22
Covid V8ccinauon Prnjea- London Bor￿£h of
Redbridge
Workin8 for Careres Project- European Social
Fund attd The National iA)ttery Community Fund
Youn8 Adult CaTers- The Naiional Loituy
Communiry Fund
Specifi¢ Various Furtds
The Charity of Sir Dick Whiiiingion (for which
the Mercer's Comparty is Tnlsieel
AcLive Older Carcrs Projeci- MulbcryTrusf
Young Aduli Car¢r5- Garfi¢ld W￿10￿ Fund
One Pl3¢¢ E*%1. Mental Health & Wellt*ing Projeci
Fixed Assets
11.274
11 L.274)
13.758 151.946 (155.803)
9,901
7&898
(76,898}
6.797
3.574
15.282 49.616
18.937)
{42.632}
1.434
22.266
33J88
16.765)
19,9641
18.158)
11.5221
30.823
5.036
3.088
11.1021
15.
11.246
420
146.743 246,656 {321.953)
71.446
18.
Rda¢ed party ¢ran5ac¢ions
There arc no rclaicd party transactions during the year.

Redbridge Carers Support Service
(A eompany limited by guarantee)
Notes to Ilnancial statements
for the year ended 31 M#r¢h 2022
19. Gross cash Ilows
2022
2021
Retun￿ on investments And seni¢lng of Iln4nce
In*re51 received
519
3.509
Capitsl expenditure
Paytnenls io acquire tsngible asst
(3.3041
{6.338)
Analysis of change5 in net fund5
Cash
C105ing
bal%inte
Cath ai bank and in hand
Barclay Card
353.237
{70.024)
1689)
283.213
{6891
353.237
{70,7131
282.524
Net fund5
353,237
{70.713)
282,524
21.
GoiDg concern
Thcrr arc no matcriai unccrrainiics about tlr clwity5 ability to continue.
21 Company limited by guarantee
Redbridge Carers Support Scrvicc i5 Itmitrd by gpJar4ntcc 4rKL accordingly d(xs not havc 4 51Eare
apital.
Every ffKmbcr of the coryany undertakes to contyibutr such anw)wJi as may br not cxcc¢ding £1 to th¢
&scis of the chariiablc company in thc evcDI of its being wound up whik he or she is a T￿Mber. or within on¢
year after he or she ctasc5 10 ￿ a member.
P4ge 21