Ch•rily 1057505
Con¥wDV numb￿. 02959566
Redbrfdge Carers Support Servlte
(A tomp8uy Ilmited by guarantee)
Trnstees, rtport *nd financial st*tement$
for the year ended 31 March 2023
•A(IZW'
.1.212023
COMPANIÉS HWSE

Redbridge C*Ters Support Service
(A company limited by gu8raDtee)
Conlcnts
Lesal ond thinistratiye inf0m￿t10th
Trnsiees. report
Awjitort f¢port to Ihe tnL#ces
10-12
Ca811 flow stJRmEnt
ij
Stsi¢￿DI of financial a¢tlViti¢s
J4
Balance sheei
15
Notes ro the firtknci•l statenlents
16-23

Redbridge Carers Support Servlce
(A company limited by guarantee)
Legal and admlntstrative information
Charity numb¢r
1057505
Company r￿StrAtIOn •umbtr 02959
Registered office
12 Cl¢ments Courf '
Ilford
IGI 2QY
Trustt%s
DebraHa*in￿Hcnry (Chair)
Bthré Tahir (Vice Thair)
Nicbolas Hurnt (fres¥Jrer)
Aolony Sobets
Baryy Bates
M£delaine Bak¢r
Dr Sudarstthn Kapur
S¢er¢¢4ry
Caiherin¢ Ellets ¢YKe¢ffe
Audltors
L¢vy+Parts)ets Limited
7-8 PaTade
Wt*¢rn AveD
London
WS 3RA
Bankers
Caf L¥d
25 Kings Hill Avenu¢
Wey Malling
Kent
ME194JQ
HSBC Bank Ple
126 High R¢)ad
Ilford
IGI IDA
Page I

Redbrfdge C*rers Support Senryte
(A company limited by guar4nt¢e)
Legol and admiuistrative informatlon
Solicitors
Elfward Oli¥er & Belli$
19 BrOad￿Y Mark
Fertepiece Rood
Ba￿1￿￿51de
ljlord, E$5ex IG6 2JW
P*g¢ 2

Redbridge Carers Support Senke
(A company limited by guirantee)
Report of the trustees (Incorporaling the dtrectors, report)
for the yexr ¢nded 31 March 2023
Tlie mLSittS PTtsciit thcir reFK>n 8iKI the fthancial ￿￿[eme￿￿ for th¢ year eaded 31 Msrch 2023. Th¢ trnstees, wh) Are
81$0 dI￿￿tarS of Kcilbridgc Carers Suppxt Smi¢c for the p￿r￿￿c$ of IAW. And sctved duriog thc ycar ond
up to tlr d3t¢ of thi5 reportale 5tt0W on pag¢ ]- 2.
Structur4 govcrnaDce #ud Jn#ua2elllClIt
Covoroln2
R¢dbridb* Carm SuppDrt Ser¥icc (RCSS) 1$ ¥ ¢ornpany limited by guarn￿￿4 Conyhy nufflbu 2959566. and a
sist¢red Clwiry, ￿arity nu]ythr 1057505. Its wn51itis1ion is 5elout ID its M¢morw)dum •nd Artic1¢5 ofA55Lriation.
RCSS w¥ irttsrpordffd on 17th A)J8w4t 1994 24 a Company Limit￿ by Guarante¢. Th¢ cornpany was tSlabli4hed undcr
a M¢mor)ndurn of A5SOCiaiion svhi¢b e5tablislKd the objects Wld p)wer5 of the (Otry￿nY and 15 gowetned under 115
Articlts ijf ￿.￿ciall0￿. In Ibe event ofih¢ ¢onyny being woiu)d up nxmbers are ffqUi￿d 10 contrilxlie an 8inouni
xc¢edin8 £1. The Compwny atl0)n￿ rtxiylrnlion with th¥rilits on 15th Augu# 1996.
Ourmissloo Ststement
'Ovr mission is io makE a positive difference to the li￿5 of unpoid weT5 Rn the divrse ¢0)Thn￿l¢lCS of Redbridge by
viding them with a ran8e of5uYice4 sw and r¢¢ogniliOO.'
OrgAni5Ation•l Strwctvre
Undcr thc r4uircmcLts thc Board ofTThMccs cortstms of no ic&s 5 aud Th) ￿￿1¢ 20. Tbis ytar I1￿re WC￿ ughi
membEIS L>f tbe BoJrd ￿1]0 t￿l every Sffj weeks. TtU5ree5 awe respoDsib]e for the Str￿gIC dirKlion Jnd policy of the
cknrity. At pre5eJU BoaDJ niember$ con* from i varieTy of backgrounds relevant to the Bobwnttrt￿ and work of the
charily. The majorily arc carcrs or ¢x ¢ar¢rs. Tr Sctretary also sils on the Board but hag no voting rithis. Sr•JT
repres¢Dtslives also attend Board to gtve Teports but have votimg rights.
A s¢hem¢ of dclegation is in plate th¢ wnsibility of the wjvision Ex¢culLVe Dittttor is re4>onsibk.
for ensuring that the chJTity d¢liveTsthe 5eTVbCts wified and that key FtrforTh]￿ indicators urr met.
Our St4ff
C&therirK O%eeff¢, Exe¢uiive Dkrecior
Harrier Offtisu Opcration%
Dorls Holder. Oftic¢ Managtr
Ano8 Mylva8anAnL FJnftr￿ OtTK¢r
Rahi Raju. Community Support 0[r￿trIMA & W¢llberDÈ Proiea M8rtAgtt
Sylvi¥ Williams. Commufftity Support o*fictr
Jahan MrCrE4dy, Con￿lun1ty Supw)rt Offittr
rio? Paiel, Older ￿Ter1 He41th & Ivellbeing CoDrdiDaior (left De¢enkn2022)
Sue Gr¥n(. Dem¢rfia CaT¢f5 Support Workgr (left Apr?120)2)
KasiJ Kucgynska, Project MattagEr. Worku18 for CareT5 Projeei
J¢t￿lfer lottaty Enw10￿ets1 PersoMI Advisor, w0￿*￿8f0r Carers ProittT (joined May 2022)
Jecvan ClJire. Admin Coordinator. Working fijr Cafets ProJ¢ci lioined Au¥u4 2022. left Novwber 2022)
Jayne K)"ng, Admin Coordinator, Worknns for Carcr5 Projeri O"oined D￿rnbeE 2022)
Mohiim Akthar, Admin Coordinator. Wtitkifig for C4rers PtOjC¢i
Page 3

Redbrldge Cgrers Support Sengce
(A company limited by gu¥dr•ntee}
Report of the trustees (incorpoNting (he directors, report)
for the year ended 31 M#r¢h 2023
Re¢rn1tD￿ot 4Dd AppointllKnt of Bolnl otTTh51e¢s
The dir¢¢iors Company are also ch&tiry mtsiees for the purposts of Chriiy ]Lw aNt under th¢ companys Articles
ar¢ knowm as memb¢r$ of the B(Jard of T￿t￿. Undcr the requir¢m¢nts of thc Memoranthrn )nd Articli% or
Association T￿￿1¢£S &re elected ai ihe owDisation's general meeiing. Each year one.Ihird of the Tnw¢¢5 OT, if
Iheir ttumber ¥% wi thff¢ or a nwhipl¢ of three. th¢ tsumb¢r io one-thErd shall retire from office. They may be
T¢v¢lcc￿d.
Th¢ Tnwe¢s n)eei every 5-6 ￿ck$. The ckn.ror JOIN CTrAiTS. Vice (hir atMI TregSLwer gre dewd by ftllow Tw51ees
gt ihc firsi gcr)er•l mectithg foll￿￿ng the annuol general n*ell￿ Tr Audii and R￿k Sub8ri)Ltp nKYis quarferly and
reports 10 the Board. The day.to4iywwag¢nxN of th¢ CTharity is dele88￿￿ tr) Ilje Extt4rti¥¢ Dir¢¢tor.
Risk MllTh*%eM￿l
RCSS operate a full I￿Sk R¢8iSttt oullinins risks aThl rniliption in k¢y atEa5- Operniyow)l. Governonce, Finan¢¢, Le8al
& Re8ulaiory Compli)nee aJ)d Exienml. The kisk Rcgisrer hs reviewed atsnually by the Board io sei our risk pwfile attd
assci% ttny tm¢i&4ng or iThcrnYsing thrcat5 or risks. Sraff conduct risk ty¢wicnL8 for all activitiL￿ thosc Jrc rcvicwTd
and sigDed off by Senior Mul￿¥¢￿¢￿1 Te4m. The Trustees bav¢ asse￿1 risk aNf acl¢d to put in plJ¢e sy$ten￿ ¢0
Inili8Aie itwse risks. The Trusiees. Audil & Rbsk Stsb8roup rneets qwterly ￿ revie￿1 risks, policie& and procedures.
Over lh¢ y¢¥r th¢ wiup ILa5 bEen rcvicwin8 arrfl revisi￿ IL4 polKi¢s rcguding busi￿9 riskK HR ri5k¥: financi&l Ti¥k%.
premises risks, liealth aThl safety and other ideniifKd risk fauoTS.
Objectives &Dd activitAes
The purpose of the clwity is th¢ provision of PTxiKal help. en￿10￿￿1 advteè, Infom￿] lldvocacy. bealrh artd
wclllxing 3¢tivi¢ie¥ infomtrtion io unpaid Cart￿ in thc I￿ndOn Botoogh of Rdbridgg (and n¢1￿￿0￿1n¥ bowoub)IL
as part of ithe Working for Cdrcr5 prDjcri). By uDpaid carers, we peopk who give belp and 5uppon io a relarive, a
child, a SPOLts¢ or a Partner. a frie[*4 or a neigh1￿1￿ due io di5abiliry. ilhKss or fr8iltylvulnernbiliry, cartnoi Ma1￿8t
in i.hc ¢omtThJnity With￿ help. We wrk strttegi¢ally with parts7os xrtiK% ￿1 scctors rts an￿lIfy thc voi¢¢ of our
users and ensurt their vie￿5 pnd eAperiencE5 ate rEflect￿ iThpolt¢y Jnd decision nJak"os.
Carc¥s e&n any agt mjy or may uoi be livin8 with th¢ F¢rson n(*ds c*re. RCSS is on ind¢r¢ndenL ¢8rcr-led
or8aDisotion wvrking with c4feTr for ￿(er%
P*y4

Redbridge C•rers Support Senffe
(A company limited by guarantee)
Report of the trustees (incorporating tbe dirtttors. report)
for theyear ended 31 March 2023
Our R*nge ofS¢rYi¢￿ Athities:
Emoiional Support
Prdetical Supporl
IVelfar¢ Bell¢fi15llkbt A¢Jvir
Trlome Visits
W¢lfarc Chc¢ks
Adwc¢, b1fonr￿Iio￿,.S¥gnpoStlti￿ and Reftrr4ls
Infomial Advocacy
RcfL'rral A¢¢tss 10 Servic
Referral and 14CCGSS to Respite Care
Supp)rt for Older Cartrs
Support fo¥ Dement7ti Cartrs
Training
Vorkingfor CarrTS sup￿rting ￿r¢r& who wnt to rethm w employ)KnL tr•jninBandlorvolu￿C¢rln8
Volunteer Befrieodin8
Hcdlth & Wcllbeing Actiyi
Advice Surgeries
Employmenr, Ed￿*t10Th atml Tr¥ioing Advi¢e
Co¥nplern¢ntary Th£tapics
Support GTtkups
Carers 8ulleriTh ron￿￿11Yea1Ied The Redbr¢d8e N¢wslen
V¢hite
llllorniatson Picks
GiiTing Cftrers a Voice via ConsultAtiO￿n￿o8en￿t Aciiviries
For)mts and Evenls. includirtg Caicrs Weck •Dd Car¢r¥ RighL% Day
MH &. W¢llbving Supw)rt lor ca￿T5
Support for Youn8 Adult C8rers
Achlei'ements and perfonnaDce
Rtdbridge Corers Support Service ¢Xi5LS fo S￿Ort lo￿ c4rets wilh iheir urine rtspoDsJbilitie& Morc than onc im 20
pcople (21 J95 T￿lIk1￿) ij Redbridge wext F￿VIdEn# unpaid cale ag of 2021. CeD%us dits show&.
A ¢aTer is a person wkn proiid¢s ￿paid caT¢ And 5UPPOrt io someone •htho is ill. disabled, frail or elderly. CArers C￿ b¢
mothcT% fathcrs, son& dau￿1¢T& $istcTh brothers. friermls or F*rf]*ts. A c4rcts' rnlc wi often bc ￿Tes$(￿l. dcmanding
lim¢ Conswni￿S. as well a5 physically tir￿￿ aod menlalty dr4inin& Tbe hug¢ positive aDd Cyntrib￿l0￿ th41
Page S

Redbridge C*rers Support Service
(A company llmlted by guaraotee)
Report of the trustees (incfjrporating Ibe direclor5' report)
for the year ended JI Mxreh 2023
Cbair's R¢porf- D¢brn H55¢in￿￿tAry
Ivt rL.ficci anDthcr diffjculi ￿r. as rartss knd thEir familie• kn fresh Challeng￿ in th¢ cost￿f-11Vl11g trisi$
Strive to recover from the lasting of Col￿-19. 41¢ ￿Y tribute io their SIrr4￿h and coumst and TeGognis¢ ihe
amazing coniribution thai cgrers make every dfty in our conth)uniiies. This significani coniribution is also rccosniscd in
Ihe nciv CarÉ75 Ch&rttr Str21£￿. (Tr Chartcr h•&. JIL￿ fomlly laurthed t% we draft this Amwal Report). Thc
Charter￿411 acl a5 a fvmework lor the idenlificalion, recognitio￿ 2nd SUP￿ foT caTEf5 in K¢dbridge. We ivill continue
io Work closely with the cow￿11 Qnd rtakeholdets to aL5ure ¢4refS art iftvolyed in the develtspsnefjt •Thl on80in8 I￿￿1¢￿
of thi% ifflporlanl Strnicgy.
T￿lS h&s been a busy yeai in the developD*N of rttw serviees Èneiudin8 our very. succ¢ssfi]l MH & WellbeinB Pilo¢ And
in ourchttnging workforce. We pltascd io WekOn￿ Jcmifcr Jttwi Cknirc and Ja>ryJc King 10 thc Woiking
for CareTS Team to h¢lp brin8 the proje¢t io a ¢o]r4Trldion in lis final months. It LS wlh sadness that wc said a
fond f£w¢well ro Tirto Pmel Ai¥d Sue GrnnL Both of whoin were ittsmrnt81 IA developing services for older cayers and
errtrs ofsomeone with den*nii& both le)ve a Posiiive lewy. and them every su¢¢ess for ihe fulurt.
A$ l Thrrle ihi5 report in Noventher. I MU￿ Tefer ty the RCSS stsff, Work lirelessly to support ￿rers, eThiring they
a¢hieve b¢$¢ p)ssible tyJi¢omes &5 often as ts p)ssible. They display levels of ￿7¢￿1•0￿ alld inspiraiion rwcly seen. as
they givg theTnstlves and their time tir¢lwly. I w￿l¢l￿rtedlY giv¢ thank5 to our volu]rt￿r% WLttwut whom ivr ivould
stniggle io deliver ihe quolity of serrice5 ￿ oifer. Thank you for your coDiiDued wpport of our carer5 and stbff.
SiiiHlhrly, I would like its give huge thaJ)ks to Cath¢rioe OYeeff¢, ow Ex¢culi￿ Dire¢ior. aftd the iiCSS M8nag¢meni
Tedm who dedicate thttnselves to d¢livuin¥ mca•inBful ou¢OTrts for carers aryl tornrnit to trLwing that c¥rcrs hav¢ u
VOICE that 1$ li¢ar(L
L￿1 but not ityith rcE#rds to the RCSS BoJ)rd of Tru#cc&" I wreciai¢ and vilue thcir ¢tsmbsncd Cffoffls, IKodd
range of experienc¢ and *i5dom in 51rntEsi¢4lly Buidins RCSS to￿$ posiiive Outc0Th￿ Tk TNyees Jr¢ very proud
of RCSS* achieveirtnts rhis year. None of ihis be possible wiihout (he financial swpport of our corv coiitrkct wilh
the tourtil. ftsnders of our various projcets as wcll as our IT￿1¥1&￿al dort0￿ I would like io thank ￿ foll￿ting for Our
nlracts and grants..
The Li)ThJon Borougb of RtsJbr* (Cartts SLWPOrt SeNices Corttrnct. Rtdbridge GTani Flmd)
Mtslberry Ttusi (Carers of P￿pIc with DeroeDti•)
Charity of SirRichrd w11￿ingtOn £for which the MeTceVs co￿VanY 1$ Trntee), (Older Carer5Conne¢t)
Ivorking for Cattrs, led by Caytts Tr￿￿¢ fibMl¢d by the European Social Fund and The National Loiiery Cijn)murtity
via CarLrs Trust
Garfield Wtsion (Support for Yowi8 Ad￿11 Ctrers)
On¢ Pl¥¢ Ea# (MH & Wellbeing Suppor¢)
CCG (ad[nirri￿C¥￿ by Lortdon Bomugh of Redbridg¢. ¢aretseOviD vatCinUiOD Pffjicti)
thr¢rs Tnw (Grnnts for Carers)
We would also lik¢ io thank Jll those wlK> hve Tnade indivi(hLal donaiion$ througlw the year. YO￿ siwofL no rnatter
how siiiall, is tnuch 4ppre¢ioled.
W¢ ihank themall for th¢iT ful￿1
Page 6

Redbrldge CareTS Support Sen
(A company Ilmited by gUArantee)
Report of tPLe trustees (incorporating the dirtttors, report)
for th¢year ended 31 March 2023
Extetttive Dlrtetor's Rtport And Forwd P]aA
14m plr85¢d io rw & successfijl outry>rn¢ in thc #ward ofB ocw 3-5 yellr contraci with Rdbridge CouKil
etsmmencing Fcbruary 2023. This follo￿ a y￿r of TNrkrt sb¥ping and eorysvltati¢)n 10 r¢vicw wmmi&%i(Jntd %¢rviLc% 10
fo¢￿% on Il)e priorilies Ihai tnatter 10 ¢ar¢ts and service Use￿ Carets iTrtre iDvolved in this process vi4 focu5 group5
our 111giA C&r¢ts Week ¢v¢nt iy Jw* 2022. Thss e¥w gave carers An opp>￿1￿ i¢* ialk dirteity io LBR ConNMissioners
Il the supp¢)rt tly Val￿ 8T￿ th¢ gaps iu services. This c￿￿]￿1¥¢ pm¢w coniinu&s iD the d¢sign and r¢%'icw or
the i)eiv Carers Chaner. RCSS 4r¢ ¢omnwtted to ertswing th¢ voice5 of carer5 aT¢ heard and th¢y have a say in how IIKal
rvTces &re shAF¢d and delivertd.
W¢ aTt also wnjniitted io d¢velopiDg and 5tTenstheniDg porfn¢r5hips a¢ro55 all s¢clor5 Val￿ to our woik and
iiriprov¢ SILPI￿ paihways for carers and their rlew¥Jen(s. Worktll8 Straleghcally. we will sirive io unlock opportuDities
10 tmprove serviees via place-b&sed pannethips wiihin Iniegr8ied Care Boards, as s Network P&rrntt of (arcrs Trllsi
and a commiksioned pro￿der. Ow gwl iu
- is lo eApa]xl our rMAreach wid Cornm￿lty wnrk to reach
nd engage more t8rers. Also. to build on our organisaiional review and engage all key 5takthlders in the conrinu81
impmyemenrof ourservie¢& (hw key aThJ opern¥iOtwl obieciis*$ are li￿ed below..
Continu¢ ¢0 cnsure &￿thin￿ble cwc atbJproje¢t incon* from a di¥etsc range of fioxlcTS.
LrarD from our support woth and wctiviti¢s to iDwve serv&c¢5.
Coiiiittue to use ex1ernal ew odvtce from a ran8e of Profe￿10081&
Cortinue to build lJsting relatioryships our funtsr8.
Contiaue ¢0 L*Kwtions Jnd 5POD50rth"p5 to fvJ¥l gxial a¢tivÈtie5 to urers rt4>il
S¢ek fuThJin8 to pn)mDie new innovAiiV¢ wajs of supportingelrus.
S¢ek cotwni¥ funding via our net￿rk￿%￿bersh￿> with TntsL
Build on our projects and pri¢)rilise fiuther fill￿l￿g io develop ¢orArnuniry seThice5 for Ca￿r5 8re
isola￿d, hotssebow￿ ot ¢xelud¢&
Deirelop ind implcmeol an elknive ¢yJtre#th str*egy ￿ Tc•ch grtd engA8e rtM)ff ¢4r4s rtorn all communiiies.
seek ftmding to fi￿de￿loP and 5u&tiin ow IAH. counselling. oTh1 coachinsservie
EAyatML Irain and ￿pport ourth"veTse pool of volunRer
m￿lm1$C opportunili¢s ts) d￿loP and iOVMYe Èervi￿$ vtl Swic ITVJ prtrmth%hip work.
Involve key S¢ak¢bolder5 ifi the Wntin￿￿$ mi¢w and improver*M of serYK
Contittue to seek fiftftncial suppcrfr and gotsjs in kind from the corwjraie 5tt10r atrj build on o¥r exisiing relationships
Ihrough Carer4 Trny and il%o1gcal b￿1￿￿%¢￿¢￿]￿ieS.
Pa￿7

Redbridge Carers Support Service
(A company limited by guaraotee)
Report of the tru5tee5 (incorporating ltse diree¢ors' report)
for lh¥ ye8r ended 31 March 2023
lrtctt85¢ 11)e profile, 1￿0g￿lU0n aNI civi¢ inw)IvetWht of ¢arers by trfdillthinioB end devel(f*in8 fUrtI￿r aucial links
with loo)1 ￿1111¢1&1]s. deeision.mllkcrs business Icad¢rs.
Seciwe funher fundin8 10 s￿￿al￿ posi11￿ he41th and wrllbeing ouicomcs forc8r¢rs.
Re¥erY¥s PoliL7
Th¢ TrtBRes reco8ni5¢ the nee4 for • T¢5eThes ￿liCY. To this C￿j ih¢y knve desiBDated an Opu8lioJ*l Reserve
Coniillgeney Resttve, iti effeei are the kvel of reserves the Trnstees believe they need. Over ihe coming year as
pru¢kmt m¢awr¢ thc B(kird T¢vicw¢d th¢ ICVEI of its ￿5¢rY￿ and iKTEasc41 them to r¢fl¢cl ribk. Thii 1$ tg cn5wc ihis
fund is sufvient to n*et th¢ Ileu￿ of rNJ*niial Bxpcndill￿e yndlor 1055 of inGoroe, irKlwling ￿ *rn)inatiOI) and wind
do￿ wsts ofihc chuity.
Strict trthnspor¢n¢y Is M#lotsIft￿ to Aytrld ¢Mtiirt of IDltr#st l• re4￿ of=
TThSte￿ Mrs￿ry Bales aJ¥J Mts Bushta Tahirare regisfere4 who also access RCSS, seTric¢&
Trustees Mr NiC1￿18S HUN and MYS S￿￿1$h¥￿ KaFW are regiaered ca￿S RCSS.
RESPONSIBIUTIES OF ThE TIIIISTEES
The ¢ntst¢t5 (wtlo Dre llLso the dwttiors of RefY)ndge CBfUS Support SKryi¢e foT the purposes of CoMfv￿Y latyl are
responsible for preparing the frusiees Attththl Reporf aThJ the financial S￿1¢￿￿￿1$ in accordance applicable laiv and
Umit¢d KÈDgdotn Accoun¢in8 StaThJard5 (Unit¢d Kingdom Generally Ac¢¢ptrd Accounting Pr4dic¢}. Comymny law
fequires th Ill￿[¢¢5 to prepar¢ finwKial Mtemcms for ea¢h financial pr which pye a true and f8ir vicw of the stale of
ffairs of ihe ch8ririblc c¢)mpaKy and of the incomlng resourcts and applicstion of rtsouwes, inclLMling ihc ittcome
xpcrEdifvTe. of thc tharitabl¢ toliipany that wriod. In preparing ihe5e financial staternerts, the tnth'tecs ¥re regtsircd
io:
scl¢ct suitable accountu￿ ￿1]¢1¢$ drbj then apply thern¢oosistcwly.
ob5¢rv¢ principle5 in the Clwit*s SORP.
mak¢ jud8emenis ¢s¢imtes tha¢ we reasonabk 8od ￿udeN1.
Siiiic whcihcr wb¢xble UK A¢¢ounti￿ Sthodalds ha¥e bttn f￿￿we￿. sufy¢rt ￿ aoy ￿￿1￿18] d¢p*nwes diSe.lostd
and explained rn ihe firmncpal 51atemenrs.
tt the financial thc s(>in8 conc£rn b¥is wilw it is inappmpriate ro pre¥uwE that the charitsbl
company •AiII contiTrue ift opeTatiOll.
The trustee5 are re5poDs￿le for keeping properarc¢)w)i1￿ rEwryis thai dixloseTrirh rea￿￿￿le accurtsry al th¢
financifjil posiiion of the charitsble compaoy ADd ei)able Ihem to eth5ur¢ tlkqi r]K finaiKial Maiemenis coniply wlh the
Companies Aet 2006. The trusttts are al￿ rwnsible for $•re8￿￿1n8 the asseES of ihe charithble ¢4￿panY And hence
for taknng rcasondbk st¢ps for lh¢ PTEvcnlion and det¢ctKJn of fraud aThJ othrr irrcyuldrilic
In 50 ftÈr4s the mJsre¢s are awur,
is no rel¥vaut *udit infonnxtion of ￿"¢h thc chArithblc Compan￿& aLKlil¢x IS u￿￿￿¢. aTMI
Page 8

Redbridge CareTS Support Service
(A comp¥)ny limited by Euarant¢e)
Report of the trustees (ineoryoNtiThg the directors. report)
for Ihe yelr ended 31 MArcb 2023
the inM¢es h&ve iakeD all steps that they ou8hi io have EAk¢n io m8k¢ ilKnE¢lv¢s of anv r¢lev8m a￿111
infornjttion and 14> ¢5rAblith thai thc audiioi is aw8rc of thai infornk21io
AudltTrrs
Levy + Parfners Limited ba￿ espttesBed their williD8rn¥ ￿ e4)ntinu¢ io and a r¢soLut*)n 10 wwjini thrm will
b¢ proposed Jt ¢he amjual geD¢NI meetin&
On of IlLr bDard
Cutherlne Ellen O'Ke¢lf¢
SetretAry
D•t¢ . 18 2•23
Page 9

Redbridge Careres Support Service
(A company limited by guarantee)
Independent audltor's report to the members of Redbrid2e Carers Support Servlce
For the year ended 31 March 2023
Opinion
W¢ hiv¢ audited thL financial star¢￿nE5 of RcdbridB¢ CaT¢T5 Supwirt Servir¢ fvr thr year enda 31 Mar¢h 202J. ¥vhich
comprise the S&wemellt of Finaocial Activiries. the Balance Sheei and ihe relat¢d Do*& The fina￿1￿1 reponirJ8
fr8m¢wrk that has been applied io ￿1r rntion is gppliubl¢ law Uniied Kingdom Accoulliing SiandaTds.
includin¥ FinarKial Rworting Staftdard 102 Thc Financtal Re￿rtIn& Sthrthrd applirabk ID tht UK aTKI Re￿b]IC tsf
IrEland (Unit¢d GEneTrJly AweAI Attountins Prn¢ti¢e).
Irk ow opinion. the fiTr8ncial 5tat¢Tnet
give • rrne and fair Vi¢w of the STa* of the clthritabl¢ ¢omp8nf$ affairs &$ ￿31 March 2023, aftd ofits ineornirtg
riwurc44 and uppliution of Tcsowe4 for thc ycar tkn cnilc(i'
huv¢ bE¢n properly prÈpat¢d itj a¢toftlance wtth UniiEd Kin8doTn Gernlty AcC￿led Accounting PTactiCE; aTh5
hfftve been prwred in accordthce wilh the reqtsirtmenis of the CoA4>8ni¢s Aci 2006.
Bas1$ for opinioD
We conducted ¢xr &udii ifi acc￿0￿ce with Inwnaiional &andards on Auditin8 (UK) (ISAs (UK)) artd applicablc Isw.
Our responsibilities widcr ihose staTrAurds are Fllrther deKribed in the Audiinrfs Teswjnsibilities for Ihe Judrl of the
fi￿#7￿ClaI SE8iem¢nts seaion of our repon. We aff thdependent ofihe chaTitsbk ¢ompany in accordanc¢ the ￿￿1¢al
reoiiirenkcrttl i1￿1 are relevAnr io our gudit of Ihe r)rtanc2al srA[eme￿$ ia th UK intludittg the FRCS Ethical Siandsrd,
2nd is'c havc fulfilled our other ethical respon%Èbilities iti arulrdanrc with thcsc ￿￿1t¢]￿ts. W¢ ts¢liryE that th¢ audit
evidence ￿ have obiwned is $ufficien¢ and DpprOprIa￿ to provide a b&sis forouropinioD.
Concluslons rel&tlng to golng conte
IY¢ have nolhinsio report in T¢4￿0f th¢ followin8m￿tr5 in rdaEioThtyJ whirh th¢ ISA5 (UK) TequiT¢ YS to Tel)Ort to
you where..
th¢ Irusie¢5' use of the going wtKern ba515 of a¢¢ounTin8 ID the pr¢parnlw)n vf the fmJnrial is not
Appropri4ie' ot
the IrusiLes have n¢A diseloscd in thc finwial sthiwwis any iderfificd EMieri&l uncerlAinliCS ihai Jknay c&*t
igniticani doth abollt th¢ ¢haTithblE Compa￿￿S abiliiy io coniinue to adopt the going ba515 oFattowhtins foT
period ofAi least tt¥elve months from ibe dale wlKn the fit)aKial sweD*I15 allthori5¢d for 2w¢.
Qther Inform*tlon
The olh¢r irtformabon co{￿rI%￿ th¢ infomution i￿1￿1¢d in ihc r¢￿1( odKr than thc fi￿nCIal statcmtmls aNI
oiir auditorfs report ther￿￿. The Iru*e5 are Wspj￿Sib]e for oth¢r iftforn?ation. (hjr opinion on the finan¢iul
stsiemenrs dou noi eover the inforn)Aiion gnd, exceN to the ext¢nr Oihcrt￿sC ewliciily srare(t in ow report, we do
1101 Expre%s any fomi (If concl￿10n Ihercon In ¢onntL*ion with our a￿111 of thc linuneial sraiemenih. our
r¢5ponsibiliry is io ￿ad ibe other infomjaiion and. in doius so. ¢oTrsider thther ike otkr Infonna￿ON is Inateriallv
inco1￿1$￿[ with th¢ fingnciql staiernTS or ow kthwl¢dge obr8ined in the 8udit or tithernise appears io be n￿[erio1]Y
ffttsstsird. If we idcntify such mateTial In¢onsi5tv￿1cS or apparcnt matcrial nrisStaleTDcnlS. arc rcquircd to dctcrniin¢
wbether ther¢ is a material mis8ts]tenKnt in the fiDartial 5tstefflents or a malerial Tni55tsle[n￿t of Ihe other infornuiion.
1£ on WO￿ we ha￿ s*rfom*4 we cImch￿¢ ihtthett is 8 Thaterhal MI￿al¢m¢￿t0f this oiber 1nf0rrti￿,
rc rcquirtd io rtport th•t fa¢1.
IV¢ knv¢ D(thins to T¢￿￿ in ibis r¢8llrd.

OpinioA% on other matters PTe5crib¢d by the Companies A¢t 20Q6
In opinion. b8sed on thc ur%knsk(* In th¢ ¢oursc of ihc audil".
lh¢ informaiion given in the TnJsredReport. ￿]Ch inchkdes th¢ Dire¢iOts' Rem prepaff￿ for the purposes of
vompany l#w for th¢ hn)rtciBI y¢4r for the finane¢Jl blatcrnents arc prtpar¢d is consi%ienl iviih the financial
sta*mEnts" and
the Direciors, Report included withia TrU￿e￿. Rerffi hove beeo in I¢￿rdance with 8pplicAble leEal
TINuircmcnts.
M*l¢ers on iyhlth we 8re reqtyired io report b). eAception
In ihe lighi of the knowltdse and U￿le[star￿1ll8 of the charitable conyany •nd its enYiroDllMI obthwed in Ihe course or
the #udii, have rtoi id¢oiif*d ￿￿181 missthtemeDis in the Direciors, Report includLxl within thc Tntstees, Reporr.
We hv¢ nothingw rewn ID respectof the followin8 mallen ￿re the Companies Act 2CQ6 Tequires to reponio you
if. in our opinion:
adcquoie ¥ceourtting reconk hav¢ not bcm k¢pi or rdurns 8dcqua* our tsudil havc not bcL¥L fccLivLxI from
branches not iysited by u5.
thr financial 5th1¢ments arE not in a8r¢ement with the accouming T¢￿(d$ and retwn
Lortsin di5closyrr5 of If￿lted rernunctètion ¥K¢if￿d by law arc nDt madc:
wt have nor ￿ck1ved all infornwion and exp]artaiions w¢ rewire forcrfjr audiT: or
the tFU5*cs We￿ not ¢MirfeJ to prepare the st#tthKTL% in JCCwda￿e ihB yma]l ¢ompanic5 regin￿.
Responslbllldes of truslees
A5 ¢xplained fully itt the Tn￿. RespoD5ibiliiies StaienKN set out on pa8e 9 the trusrees Iwho are iilso tb¢
direciors of the eh*ritsble co1￿1￿Y for Ihe pthposes ofeornpAlly law) art resp)nsiblc for ih¢ pr¢p8rn1ion of thc finan¢iAI
Stal¢Tr￿ts a￿1 for bring S7ti$f￿ that thcy giv¢ a tnK aNI fair vicw. and forsuth intcrnal contFDI as thc Inth'tc
d￿￿rnIn¢ is necusaryto erobk ihe Preparation of fina￿ll4 ￿atemEnts thai arr frEe fromwAf¢Tial misstèten)¢nL thther
diie io fraud or error.
In preparing the ritta￿L[￿ 5¢diemeNs. the tt￿sleeS are rewsible for &wsiDg the chariTable cthnpgnys ability 10
LoniinuL going cotsccrn, disclosing. 25 8ppIic2blc. maiicrs rtIa￿d to going conccm and using ihc goingcon¢L'm basi&
of tnistC¢5 Cither iTrtcTrJ w liquidjie th¢ company orto c¢as¢ op¢rniion8, or have no reali511C
olt¢rnartve bui to do so.
Paeell

Auditor's re5prfvnslbilities for the audvt ofthe finaKial st4temcnts
Our obj￿￿YeS art lo obtsio Tfa50nable ￿ur￿￿¢£ a￿}￿ 7thtKT financial a5 4 whok ar¢ fr¢¢ from
material misstar¢m¢iii, whetherth* 10 fr4ud or em)r. atsj io issue hn audiior's Ig￿rtIhIr illtludcs our opinion.
Re8son&blc I￿nCe is i htgh kvel of k&$ur￿, il is IKII a 8U8rtntee ih81 an audit cottducied ID S￿OrdanCe ivtth
ISAS (UK) alivays detect a ma￿rIal misstrJt¢m¢nt when it exists. Ml$4atem￿ts can ar•s¢ from fratul or error and are
on5idered niateriAI if: individually or in the a88ryatt. the.y could rrasonthly be up¢¢tC41 to influence tht economic
decASiOnS of users t)ken on th¢ basis Of th¢se fiftancial sTriements.
IrT¢gulari*irb. includinB fvaud. are of nonryconT•liance laitys andTc¥ulaiionk W¢ d¢$ign proc¢dur¢% IJJ line
with our responsibiliii¢5, oullmed above, ¢0 detect mat¢rial missiatements in respect ofitTe8ularities, in¢ludiu8 fraud. The
exleni io which our procedures Are capble of dcl¢ctin8 Irregul￿[1¢& including fr•ud is d¢tailed below.
. Disc￿lOn with thg ￿tyge￿nI of knDWTr instsntc$ oFnon-cornpliance with la￿ and re￿lati￿r
- Undcr51anding of nwikigemenfs intrrnal control desI￿d io prevcnt inr4u]arilie&
- Design audit pro¢¢dures around iesiing of expense5.
. rcsiin¥ transALtions cnlCToI of the nonllxl ¢C￿sC of b￿5.1￿¢￿¥.
Id¢iilifyin8 Bpd iesting ofjournals ¢noie&
A fvrther description of our re$ponsibiliti¢s for the audit of the fitrdn¢ial siotemcnts is10¢otcd on tht FinaTrEial ReporhD8
Cowi¢il's w¢lisiTe ar.. ww.ft¢.or8.Iiklaudiiotsrwsibililits This d¢stwIpii￿ fornts pan of our audiiorfs report.
Usc Of our roport
'This r¢rx>rt is wnjde soiefy.to the ¢kntsbk ¢ompanrfs as a I￿. in accoT4latste with ChrAtr 3 of Partr 16 of
Ihe Coinpanies Act 20(￿. Our audii WOTk been wMlertak¢n so that ￿ might stsie io the ¢bari(able Com￿￿Y
rtxmbers those maittts we art re4uir¢d 10 sthte io ts￿rn in •tt audiioes report atsl for rto oiher pwse. To th¢ fulkst
sILni pcrTnilt¢d by law. w¢ do or wyJn5kThtlity to an>YTrn¢ other thaft th¢ clsiritable ww)aTry's
nwmbcT5 a5 3body, for ous audItwo￿ for this tepoTL or lor thE opintots we have foTmNV.
Arvind Joshi FCA.cf&DehA (Senlor StAtutory Audltor}
fr.ur OD b¢h4lf uf Lw + Partners Limited
Jnd Chartered Ae¢ounts*ts and Ststsiory A•ditors
7-8 Rilz Pargde
Western Avtnwe
London
W5 3RA
Date". 18 December 2023

Redbridge Carers Support Servlee
(A ¢ompany limited by guarantee)
C2$h flow statemeDt
for the y¢&ir ended 31 Marth 1023
2023
2012
N•tcs
NLI ouigoing for the y¢ar
Interesr r￿eivable
Deprecit¢iiOO fjIKi iinpainDeni
ITKrcas¢ iv dcbto
Incre4StI(lknrcase) In eTtditors
(31.262)
(2JiO)
3214
(3.433)
1385
(32.741 j
(519)
3.718
(37.5521
{834)
ct Cash outljow from optrating Ktivitics
{32￿06)
(67,9281
Reftvns on investn*niS Ind ser4icingof
Capital expeTrdiNir¢
20
2.310
5-19
(3.3041
Decre￿ In ush In Iht yeAr
(30,196)
(70,7131
Reconclliiition uf net tth Ilow to movem¢ot lth net funds
2J
Decre*se in cash in the year
Net ftsnds it l April 2022
(30,1961
28? 524
(70,713)
353.2.17
Net funds at 31 March 2023
252J28
282.524
Represented by:"
Cftsh at bank. and in hand
Bank ovwdrafts
253.847
1,519
283.213
089
2)2,328
282.S24
P•ge 13

Redbridge Carers Support Service
(A Company limited by gu3rantee)
StateLneDt of financial aetlvitie51incorporatiDg the intome aDd expendithre a¢￿￿￿t)
For the year ended 31 March 2023
2023
2(122
Total
Cunds .
Notes
In¢omlng resourees
Incoming r¢50ur¢c5 frnm Sen￿￿tingfi1rtds'.
Voluntary in¢ort
Invesuneni incort
270.386
2JlO
176.260 446.646
2,310
5Q7.573
519
Tgtsl in¢omiug TcJour£cs
272.696
176360
448,956
508,092
Rttourt(s cxpended
cI￿l￿bI¢ Xtivitits
GoY(Ynm¢c. financtt knd proftssionaj 1*9
230J99
8.263
241556
471.955
8.263
53Q.803
10.030
TO1￿ resoure¢s expended
238.662
241.556
480.218
540.833
Nct IDcomingl(ovtgoing) re￿￿rr¢s for the y￿r I
Nct iDtotllr){expenditure) tor the y￿r
34.034
(65 ?90 131.262)
{32,741)
Toial fvsKls broughi foTh¥ard
245.5C
71,446 316,946
349,687
Total futtds ¢vried forw4rd
279,534
6,150
?X5.684
316,946
Thc stal¢ll]eDr of rtnanrial activities in¢lud¢s ali gait)s alld lossts iti th¢ >vr ood thcrelore a separate sia*emeni of
r¢¢ognis¢d gains artd losses has noi bccn prepared.
All of th£ abov¢ All]ouJ)Is ￿13[¢ io ¢oDtiTwinB 8Ctivilie&
Tht nott5 P•B¢S lfj to Z) form intcgr4] p8rt gf thcse fiDgKi•I 5tst¢Th¢nl5.
P•gt 14

Redbrldgt CareTS Support Servlce
(A company limited by guarantee)
Bulance sheet
as at 31 March 2023
2(123
2022
Notes
F.Ixed asfe¢s
riill8ibl¢ a55ets
Current assets
Debiors
Cash al baJk and in hatMI
ij
4,316
14
57.994
253.847
54,561
283,213
Jli.841
337,774
CToditors: •m•unts falling
due within one year
15
(27,258)
(25,144)
Net urrent *wts
284.583
312.630
etassets
285,684
316.946
Fund$
Resrricted incom¢ fvnd5
Unrestricted funds
Jo
6.150
279.534
71.446
245.5ty)
Total funds
285.684
316,946
Th¢ finoKial sta¢eThents ore prepared ill 8ff(irdwnce the s￿la] pmvisioD5 of P* 15 of the Cow'es Art 2￿6
re]#rins io sfflall ¢￿￿partIeS.
Th¢ fiDaJ¢ial 5tatEtDeots apprr*v¢d by the board OJJ 18 Dec¢mber 2023 and SI￿￿d on its b¢balf by
Debr* Haltitt￿Htllry {Ch*ir)
Dlrector
The no¢e5 •D Pages 16 to 23 form itt inl¢gral part of these st*t¢mcnts.
hee IS

R¢dbridge Cgrers Support StrYl¢t
(A ¢ompaD)' Ilmited by 8u&rAntee}
Notu to fJnin¢ial $t*t¢mtnts
ror the year ended 31 March 2023
Attountlng polldes
Tl)e prillcipal iiEwunling polirie5 are surthotirffjed below. The a¢couNing polici¢s hav¢ b¢¢n appli￿ consistently
througknui lh¢ y¢8r th¢ pw¢cedin8 y¢8r.
1.1. Basts of &ctountiug
The fiftancial wtrmrnts ar¢ prtpored th¢ histOTi&LI wiventtoTh and in accordance with the 5iatsm¢nt
of Recotnmeiuled Prxti¢e R¢portin8 by ch￿illeg is**d itt M8rcb 2005 (SORP 2005) and the
Compam'es Act 21XJ6.
Incoming r¢x)Mr¢¢s
All iJxon)ing resoiwces ore inclimkd in miefn¢nr of fin¥Dcial a¢iisryties when th¢ is entitled to lh¢
income and the try￿)unt C8n be quantifjed with reasonable 1ccu￿y. The following specific policies are 3pplied 10
particular ¢o*kwries of irK(K)%.'
Volui)Mry illcome ts rt¢¢ived by Wdy of gran￿ doDatioos aTKI Eifis alld 15 In¢J￿IEd ID fvll in the slZtenkDt of
finartciAI aciivities wh¢D receivabl¢. Gr￿1$ *lRre eniiil¢rn¢nt is rtot ¢oDdiiional on ihe deltvery of A specific
rornw￿ by I￿ ¢harily, art rccognK¢d kn thc clthriiy upronditjo￿lIY ￿￿1[lea sr*nl.
Dtsnak4f seryice5 •nd fa¢ilitie5 are included ai the valtse lo the charity ￿there thks can bc quanthfied. The Vali￿ or
scrvi¢Q% providcd by has ttot ttcrt irtludtst
Gif18 dowia for Are included •s res(XLtrts wiihiD attiyities for g￿tr&¢Ing fimds ihev 8r¢
sold_
Gran￿, in¢l￿51ng grnftts for the pu￿11&$e oc f￿¢d a55ew 4Te recognised in full in the stat¢n%nt of finart¢lAI
aaivilic8 in ih¢ year in whieh arc r¢¢ciYabl¢.
IDCOLne from invosunents ￿ Itt¢]￿ iti the Itar in li is rtt¢ivable.
1.3. Resomrtts ¢xpendtd
ExpeDdittwe is recwised OD a¢c￿l basis a5 8 liability is incuffed. EXpe￿i￿re in¢lud&s any VAT wthi¢h
anaot b¢ fidly alld 1% reported as ¢xptThlJlwL' to which il ￿lait&
Costs of generaiEng fu￿£ conwrise ihe c05L8 associAt¢41 with 8ttiX¢itt8 voluniary irtome and ihc costs ofv8dirtE
for ￿T￿raISi￿ PUT￿1%￿$ in¢luding thaTitys shop.
Chllrii&ble expendityre ¢onyises rl)ose cosrs incwred by the thjriry in the deli￿ry of ils Aclivilies and seNic¢s
ror its knrfi¢'iariL4. It includcs b￿h tosts that rkn be allocaicd diTtetly w such aetiviliu and ihts.¢£ costs of ¥n
i￿jirect natuN" necessary to supprt tbETh.
Suppon Are those cox5 incurr)J diff￿ in Aw)n of expMKlinJre on ihe objec￿ of lh¢ Chariry include
prf)j¢ci maoageTttht.
1.4. Tangible r￿ed #sse¢5 4Dd depr¢d•tSon
T#ngibl¢ fixEd 455ets aTe 5tat¢d at COSL le55 d￿￿K141￿0￿. ikpTtt4ation 15 provided at rates takulated
to Wtil¢ off th¢ less residual valuc ofea¢h assd over its ¢Wed usefjjl life, as foll
FI￿Ur&% arKI equipTh
33% rArLI￿t li
eE6

Redbridge Carers Support Seryite
(A company Ilmited by gu&r8ntee)
Notes to fin¥N¢ig1 st*tements
for the year eoded 31 March 2023
IS. Defined ¢onlributk•n ptn$lon sehetDes
The pensioft ¢￿($ ¢hawd in the fiwrti81 stht¢m¢nLS re￿¢￿ the contnll￿Jon pa￿ble by the charity during (h¢
VoluDt*ry lttcomt
Uwre5trirted Rertri¢t¢d
fund$
2023
2022
Donations
Specific Variou$ FUNIS
Working for CaTEf5 PT￿J￿1- ESF a￿d Th¢ NLCF
Lo￿1 Authoriiy Conuacts & Grants LB of k¢dbrÉdg¢
Gftrfield WeS￿n Fu￿d
Covid V%riDati¢)n Proied- LB ofRthidge
The Thariiy of Sir Dick Wthitlinyon
OEK Place l•si (MH & Wellbtsi#B Projea)
Mayorfs Appe41
T.hc Mulbcry TTU
Redbridge Grani Fund
3.531
3J31
2,740
152,622
240,775
23,964
3,574
151.946
229.676
Is,000
11,274
49,610
11,246
277
4.0(Kl
7.0
2.740
152.622
240.775
16,898
16.898
19,080
4,000
7.000
19.080
4.1KlO
270J86
176260
4146,646
507,573
ESF del￿1¢5 as Ewopean Social Fwld ll￿J NLCF as NaiioN•l CommuTrity Fund.
lttvc5tmcnt income
Vnrestrict¢d
2013
Totsl
2022
T•tsl
Bank lijl¥rt￿ weeivable
2JlO
2JlO
519
2JlO
2,310
519
Costs o(ch*ritAbl¢ thttiviti¢s- b> fulld type
Uar*stri¢ted Restrltted
funds
fuNds
2112J
Tolal
2022
Totsl
EmploymeDr and itoinin8 ¢O#s
Runninu cost5
Pr¢mi&¢% ¢osts
Capilal costs
128.948
fj1.519
3fi718
3.214
227268 356.216
14288
75,807
36.718
3214
437,622
34.559
3,7J8
230.399
241.556
471955
53Q.803
P*8t l7

Redbridgt CJr¢rs Support ServS¢e
(A cDmp*ny limited by guar#Dtee)
Notes to financial staten*nts
It>r the year ended 31 March Z023
Costs of ¢h*rltable acdvFtles- by aetlvl¢v
Atlivlllts
Mndert8ken
dlrtcll) acthfilies
Support
2023
To
2022
Efflploymcrtt and trniniog
R￿￿l￿g C05LS
Pren)ises costs
Capital co%ts
356216
356.216
75.807
36.718
3214
437.622
54,9(
34J59
55.980
36.718
19.827
3214
92,698
19,827
359,430
471.955
i30,803
Governiucy, fmance And profusiDtt*l costs
Unrestrkted
funds
Z023
To¢*1
20Z2
Total
Others ANJ Bllnk chor8es
Audii Fees
PTDIc5sio￿I insiiiJJKe
275
4,800
3.187
277
4.8(M)
3.187
1.218
4.80Q
4,012
8,264
10,030
Anwty515 Qfsupport costs
EmploymentDepreti*￿Qn G•vernlln¢e
TrwiniTrg
1023
21Tr22
Total
I'otAI
cosi$
Auditor5, remunenlion
LLgal dnd Pfofessiortal fl
Der*ciaiion and inwairmeot
Other
356,216
356,216
4,800
3.187
3214
437,622
4.80
4.012
3,718
4.80Q
3.187
.3.214
277
356216
3.214
8264
367,417
450.152
P*#e 18

Redbridge Carcrs Support Service
(A cothpon). Ilmlted by gu&rAnttt)
Notes to fin*n¢ial stxtemtnt$
ror the year ended 31 Mareh 2023
Net outgol#g resourett for tho ye#r
2023
2022
Net ouigoing r¢swceg t5 Sljted thrchÈrÈing:
Depreciation And other onwts off ￿￿1b￿ fÈxed a5s¢ts
Audit¢)T5' rernuneratio
3214
4.80Q
3.718
4,800
Empknyees
Employment eosts
2023
2022
Wages and salaries
Socral stCUTity costs
Pert%ion cosrs
Otherc051S
328.477
19,127
5.283
i.329
391,375
33,0¥2
9.340
3.825
356,216
437,62?
No enwlo)re T￿e1ved eMoIwn￿ of more than £60.1￿0 (2022 .. N¢)a¢).
Number nf employees
The èv¢r8gc nx)#ibty of cmployecs (irttluding ￿ tru51tts) dwing the year. calcukniod on b&sis of
fvll time ¢¢wiiwlents, was as foll￿.
2023
Numbtr
2022
Npmbtr
Provjsion of serylces and ￿p￿)rt (IK1￿ part lime)
MI￿geT￿¢￿t and admini¢rattoo
13
14
14
TTustsos' Remuncr4tion •nd Bonrfits
The tr￿ste￿ rt¢eived no reALuf*rniAOrt5 orother t¢•*fhis durin8 th¢ year(2022: Nil).
No tr4￿¢5 reCei￿d payrtnt forprofes5ioml or Oth￿ 5UYVS 5twlied to the charity.
The trusrc¢5 I￿re Able io we s¢rVi￿suSed 8enerhlly bybencficiarics and JhcmEer5 of Ib¢ chariiy.

Redbridgt Caren Support Servite
(A comp4nv limlted by guarantee)
Nots$ to fin¥nci*l $t*temeDts
for the year ended 31 March Z023
ii.
Penslon costs
Tk wmpany operJle5 a &fJnEd contribution t￿$[0￿ ￿herne. Th¢ sclKme aod it5 assels •Te held by independent
m•n88Ers. The petisron chBrye cMtribulioThs frooj th¢ ￿MpAnY and was as follows,,
2023
2022
Plwion ¢krgc
5.283
9.340
AL Taxatlon
Ctsriiys *¢tiwti¢s f811 within tl* cx¢Thptiom affordtd by tl* provt$iorf of th¢ St¢tion 47A of tl
Corpor4tion Tax Act 2010. Accordingly. theTe is Th) tsxaTiQTh char%e in th¢s¢ ¥¢thwts.
Fixture%
rdngs #nd
equiprn¢nt
13. T•ttgib]e rued wets
Tot•1
Cost
At l April 2022 and
.At 31 March 2023
81.902
81.902
Depr¢cia¢ion
Ai l April 2022
77,587
3,214
77,387
3.214
At 31 mU￿b 2023
80.801
80,801
Net book i'alues
At 31 MAryh 2023
At 31 Morch 2022
4J15
4.315
14. Deblors
2023
21122
Other debtors
R¢M deposil
Prepaym¢nrs Attrued in¢ome
49.127
39.655
3,000
11,906
5,867
57,994
54,561

Redbride¢ C#rtrs Support Service
(A company limlted by guaranttt)
Notes to fiTr*ncial statements
for the ye&r ¢￿ded 31 Marth 2023
15.
Credltors: amounts falllng due
within one yc4r
2023
2022
Barclwy Cs
Orher trx¢s and social security
Other ereditQT%
Aecrua]s atbj deferred In￿rne
1.519
6.737
14.131
4.871
689
13.194
8.546
1715
27.258
25.144
16.
Anafy$i$ of net assets belwten f¥ndJ
U*r¢strkted Restritted
fun
rund$
Tot91
runds
Fund baknnrc$ at 31 Mardt 2Q23 as wrE5cD￿d by..
Tangible fixai &%scts
Currerii as5CIS
Currenl liabililies
i.ioi
311,841
(27.258)
305.691
(27.258>
6.150
279,534
6,150
285,684
Unrestricted fund5
Al
l April Iwmlllg Outeolng
20Z2 ttsour¢d resourtes
At
31 MJr¢h
2023
Gcn¢rnl FLth¢L%
Desi8ttat¢d
155JOO
90,IyJ]
272.696 (238,662)
189.534
90.000
245500
272.090
{238,002)
279.534
Pagt 21

Redbrld£e Carers Support Seryice
(A compan), limlted by guarantee)
Notes to f￿anCIal $tatement8
for the year ended 31 Mareh 2023
18. RestrSe¢ed funds
At
l April ID¢4NniDg Oulgoing Jl
2022 resources resources
2023
Wofk&ng Cor C#r¢r5 Prnject- Europvdn So¢i•l
FUJMI and The NatioftAI IATrllery Community Fwxl
One Place Ea#- Mental HcJlth & Wclllxithg
Project
Specifi¢ Vari¢)us Funds
The Chariry of Sir Diek WhiititJ8liJn (for W￿.th
the fvlerttV5 Comp&ry 15 TnTrsiee)
Active Older C8rers Project. Mulbttry Tru
Youn8 Aduli C4r¢t5- GarfieEd Weston FuDd
93Y)1 152.622 (162523)
3,088 16,898
(19,986)
1.434
21.164
2,740
(I,(M)5)
(21:l64)
3.079
30.823
5,036
(31.752)
(5,036)
3.071
71.440 176.760 (241,550)
6,150
J9. Related plrtv tr¥nwtifjns
re arc TM) fflatEIl PDfry transxti0Th5 tk )Tat.
zo.
Gross Ilbws
2023
2022
Return$ on lthvesttheats alld s¢rvl¢iJb8 orriniA¢*
Inieresi reteived
519
Cipltal eXp￿dI(￿re
Paynents to 8cqiiir¢ tsngibk as5dS
21.
Angtysis of chahge5 in net funds
Optnlng
C*sk
ljows
Clfrskng
bal¥nce
C4sb ai bank and in hond
Barcltty Card
283.213
1689)
(29.366)
(830)
253.847
(1.519)
282 J24
(30.196)
252.328
-Nel funds
282,524
(30.196)
252,328
P¥Jgt 22

RedbridgL, Cartrs Support Service
(A ¢thmpany limited by guarantee)
Notes to fin#n¢i*l ststtmtnts
for the y¢4r ended 31 Marcb 2023
22. GoSng ¢oneern
TIKre mal¢rial Unc￿lD￿¢S abo￿ the charit￿$ ability to ¢(mtinue.
23.
Comp4ny Ilml¢ed by guaronlee
Redbridge Carrrs Supp)rt Seryice is a corwy limired by ￿￿antee and atcordingly ¢Joes tw)t have a share
tapiral.
Every n*mt¢r of th¢ ￿mpanY wndenth to contribw¢ such nuy ￿ ryired not exceeding £1 10 ilie
aSS¢fS ofihe ch8ritsble wany in the evem of being wourrtl up while h¢ or she is a mcnknr, or within otte
)rar dfttr h¢ or sh¢ ¢*sc$ ￿ t¢ ll mcrnbcr.
Pxgt 23

Redbridge Carers Support Service
(A eonwany limited by gwarantee)
ThL. following page5 do not form part of the $tstulory aceouots.

Redbridge C•rers Support Service
(A company limited by gu8rautee)
Detalled st*temen¢ of flnancial a¢tivilles
For the year ended 31 March 2023
2013
1022
In¢omLag resouree5
Jn¢omlllg resoure¢s from genera￿￿£ fonds:
Voltsniary
Donations
Specific Vatious Fthkls
Workin8 for Caref5 Proj¢¢r- ESF 9Th] The NLCF
Local Authoritv Contracts & Grants LB of Redbridge
GArfield Wesion FLmd
Covid Ilac¢inaiirJn ProJKI- LB of R¢dbridBe
The Charity ofsir Dick whittiti￿on
OnL PlaL'e Essi {MH & W¢llbcio8 PYrJic¢i)
Mavo¢s Appe81
The MulE￿ry Tnj
R￿bridge Grant FuJ41
3531
2.740
152,622
240,775
239(
3.-574
151.946
229.07C)
I5.0￿)
11,274
49,616
11,246
277
4.(KJO
16,898
19,080
7,000
507.573
Investhieni iiicoiJFe
BanL" inierell ffc¢ivable
2.310
519
2JlO
.$19
Total Incom5ng resovrees from generadng (uhds
448.9i6
so8.￿1
To¢*1 Sllcom5ng resource5
448.Y56
508.092
Rcsoureu expended
Costs of eenerarlng funds:
Fundr8i5ipg IradiAg:
cvst of ¥ood$ Sold und other costs
P*ge 25

Redbridge Carers Support Service
(A compaoy limit¢d by guaraotee)
Detailed slatemeD¢ of financial aclivitie5
For the year ended 31 M*reh 2023
2023
2(122
Charllable •etlvllles
Emplo)'ment and tralning ¢05ts
Siypo*i costs
Staff . Wagc% & SalarKs
Siaif- £1￿10￿1S NIC
Staff - Pension ¢(LSts
Staff trainin8 a￿1 YtcruithKnt¢4JSt5
328.477
19.127
5,283
3.329
391,375
33,082
9.340
3,825
356.216
437,622
Employment And tr¥illio% costs ¢ot41 expenditure
3￿.216
437.022
Runnlng ¢05ts
Aclivili￿ iiJidertakeR dire¢ity
Fundrw5inb C05L
ma￿etIn￿ promotion And publieily
Telephone ond iniernet
Otheroftice adrDini*aiiv¢ wis
IT and sotlw8re
Subwipiion and licences
Printin& posthg¢ aThJ 5tstioiKry
8.000
428
7.478
12.835
15.347
3,384
&508
24
5,932
4.?18
3,910
55,980
35.88S
Ev¢Dt5 and activilies costs
Trnvellin& subsis￿￿¢¢ 8rtd a¢¢otiMwJd
18.768
1.059
17.545
1.471
19.827
19,016
RunnlDg ¢o$ts to¢gl expendlthre
premi￿ c051s
AciiviliLr Tivdcrtaken d1￿Cl1Y
Rml
Rwes & w&t¢r
Lighr & heat
epaifs & maLnieiiAIM
Building insuronc¢
Offitt cleanins
75,8Q7
54,9ts4
24.0
2,510
2.296
&3
223
1.388
24,(
2.598
2.863
203
36,717
34,5)9
Premlse5 COSIS total expeodlthre
C&pltg1 Co￿5
36.717
34559
Pace 26

Redbridgt Carers Support Ser
(A compan} limlt¢d by EtyAr*ntee)
Detailed stglement. of financi21 activities
For the year ended 31 March 2023
D¢prKiatioD wid irnpairTKOt
3.214
3,718
3.214
3.718
Capttal c05tS total cxp¢nditsre
3214
3.718
Tot&1 eharltable Actfvlty expendltsr¢
GovcrTr4nce, fjnynce and proft55iowal costs
iippon co.¥15
Oihers and Bank ebAf8es
Audii Fees
Profc¥sioThal *nsur•K¢'
471.954
530,803
277
1,218
3.187
4.012
8264
10,030
Tothl governthne¢ costs
8,264
10,030
Net In¢omiiigl(outgoinE) resour¢¢y for th¢ year
{31262)
(32.741)
PaRc 2Y