HOMELESS AcfioN
I￿1￿*r￿ known a5 ThE Ashley Foundation)
IA Cwpany Llm6ted by Guaranieel
CONSOLIDATED FINANCIAL sfATEMENTS
FOR THE YEAR ENOED 30 MAY 20Z3
Cok)wny P￿mber..336671l
*ACWF7JKX*
081U212024
COMPANIES HOUSE
A13
#117

HOMELESS AcfioN
IForrnerly Inown a5 The A5hleyFoundatiMI
Financial Statements
For the year ended 30 May 2023
Contents
Pate
ftefefe￿e and AdMIn￿rat￿le o￿all$
Trustee< Annual Report
Independent Auditorfs Report
Coo%JLldaied Yaiemeni of FI￿￿£131 ktk4ltlES
io
(c￿5011d•t£d 8al#nte Short
li
Ststernent ofcash Fknvs
12
Notes to ihe Flnafi¢ial 5t*ement5
13-31

HOMELESS AcfioN
IFormerty knowrs as The Ashley F￿ndatIon)
Reference and Administratlve Details
For the year ended 30 May 2023
Refvred CharllyN•me:
YthAction IFom%rty knowD asThe Ash* Founda¢iothl
ch&y￿ Registraioon Numbw..
1063208
Compw Aeg15tMlon 14urnber.
3366712
Principil *)lfte:
81 Abin8do• Street
Blackw
Lancashire
FYI IPP
R¥lstered OlfitÉ'.
81 Abin8don Stre
Wackpool
lart¥shire
Fyi IPP
Tiu5t•e5.'
Mfs L Edwards-
Dr M O'Donnell
mrAoWf￿kl
r S Robinson
PAWS E Wirrerb
Soli¢iior%
Napthens
Jubiliee House
East Beach
Lytham St Annes
iancashire
FY85
Lws Bank
2>27 Birlty Street
Bkickpool
FYI IEG
Ats￿10r.
Mrtchdl Charteswth (Authtl iiNaied
3rd Fb)r
44 Peter Street
Manchester
M2 5GP
IIPa8e

HOMELESS AcfioN
IFormerly known •sThe Ashley Foundaiior41
Trustees, Annual Report
For the year ended 30 May 2023
The Trustees are pleased to present their annval direttors. rewrt iogeihe¢ with the financial siatements otthe chèrity
fortheyear ended 30 May 2023. which are also prepared io meei the requirementsfor a directors. reportand acrounts
for corn￿￿￿5 purposes. On IO. March 2023 the nameof the charity was changed from The Ashsey Fwndation to
ome￿$ Action.
The linancwl Matemeffls comFdy Tmth Charitles Act 2011. the CompafiTes Act 2Lh)6. the Memtttsndum and ArtKles
of Assttiation. and Accountiniand Rtp)rtin8 by Charities.. St•tÈment tsf Rettymmended Praalce 3th￿abIttO charities
parirvd their accourbts m ac<ordaDce with the Finanaal ReFOrt1￿ Standard apF4Trble in the UK and Republ￿ of
Ireland IFRS 1021 leffertl¥e l January 20191.
ObJe(tfve5 and artl¥*1¢5
The Wbncipal obiectNÈof tht charitythro¢*outthE ￿lyWa5 t￿ re%ef of pryerty bythe PTO¥iS[L￿ ofaccomrTh)dation
to persons in need ènd pro¥tiYinE support to ¢I￿nIS to assist thern wilh the ￿￿er issues of homÈEe55ness. This W¥5
¥cbleved by the operatkjn of 13812022 2011 hostel 1￿m$ spread a(ros$ 3 sites12022.. 61 in Blockpcol, Sursderl•nd, and
Blackbum. and 8212022.. 881 sdf-contaifted Move On ft•ts atyoss 19 sitÈs12022..201 ir5 B￿Ckpo￿ and Sunderland. The
woperties are cKcv*d undpr ijrffering arrangerrents (rKIL￿1D8 0￿0 ants owated. leased artd oper¥ied •n
v￿rated on behalfofiAher partie5 via managem*)t agreeff*nts.
In the htssiels, daily support is P￿￿lE¢ to the dwts •551#￿thern with d•lty IPrfir4 5kilk. The ch.ents in the l&ts are
supported to Ive IndepEndontty..
Ourin8 the Covid wndemic a￿dI￿nI1 a¢ctyrwThx￿thjn w•$ in both 8k¢kp¢¢)14nd Sundedand. The Provi￿0￿
of arwrnmod*ion In th SundeAarkd¥ia Creati￿ Use of exi5tiry acwmrrK*Jat￿ lsonyiry.
In SeptembÈr 2019 the Charity opened a Cwnrr¥Jnity Café & Hub in B￿ck￿001 to provKk opportunities for cUeMs to
experience pr4rtbral Wofk exp¢f*Nce. AS 4 result¢f the COVID.19 restrirtK)ns ihis was able EO operate fully until
Mafch 2020. 11 then r￿opEne{l ful￿ in In May 2021 aDd contlnw to prty•*le ¥ahJable caterinB t￿￿rk expe¥lence and
In De¢tmber 2022. the Charity prffithngout ofhM5eturltySUPPNt5eNcestoafatllityoperated by OL•tkph)tsl
Qjèstal Hotssini.
TheTcusteesat¢¢leorthattheobiettiveSandactNbt￿¢1Th¢As￿IEvFthM￿tK)nareurr￿dOuIf01pUbI1ctseftetrt. They
have rtferredto Ihe euidart£e £ontainerf inthe Charity Commissth)n genernl iuldance on wblic ￿ne1￿ when reviewin8
the purposeand Objea￿sandwhefi pLinnfft8ihefutureaCtM￿$. 1nparticulai.theTr￿Iee5WlII consKlerhow planned
acti¥itles w(11 Wntrlt￿te to theairns aftd obiittiwe5 they have set.
Provts10fi of accornmothtknb. During ihe yearaccoMr￿t￿￿￿&S wovthdfor253 hLtr7*te55 IndI￿dL￿715 In Blackpjol
120Z2.. 2931. 167 in Sunderland 12022.. 1971 ond 123 in 8la¢kbum 12022= 2301. NUM￿r$ iedLted in BL3ckpwl &
Surtderland due ro Incrt•sed lewh of suyas a resuk of an i￿reaSe in comple¥ cases and a change in e¥i¢Lion5 ky)liry
toBether with the C￿5¢10￿$ deCI￿on to sF*nd more tlme with residents in the hostel to improve thEir o¥rcome5. The
reduction in Blatkbuin ts as 3 resuk of Canierbury House & un￿ House dÈ£Klln8 renew thelr management
48reewnerit5 a5 the endof 2021-22.
There continues to be high demand for accomrfX)datioh Irom the lttèl authtirit*s and h4gh occupancy levels were
achleved.
PartfiershSp wofkln8- Ouring the yt•r Cont￿￿1 cl0sdy￿lb our aurhorities and other wovlders IA
blackpool. Sunéerland and 8*kburTh.
Hortel Do¥elopments-lTh ayeeN*nt w6th Blackpool C￿n£￿ we have Pu￿hased ad&tvJnal accOmft￿Jd3lt•n to enable
us to Èx￿rtd Elm House and pro¥idE an additional 18 tr*ds. irKludin8 disabW farilit*5 afvd additional Fe£rÈation
facilities for our residents. W 15 expeaed thot this will be ready in Autum 2023.
21Page

HOMELESS ACTION
IFormÈrly known 45 Th¢ Ashley Found*tionl
Trustees. Annual Report {C*nm￿
For the year ended 30 May 2023
Resthnt5 Support- Dwing the year we have developed our support PrC￿s￿D fof our resldenrs. Ovr alm Is to w￿rk
closelywith all our r25idènts toen•We them to 0￿￿1n en¥>byn*nt. whe¥e aPPTopriatE. and to live indepÈthdently. W
hove inrroduced classe5 In Maths. English. tr skills. toJd8eting and ITle skills. a￿llEs1de re(￿atIonal èrtivifies includlng
E¥m, boxin& walkin8 and ￿nd￿laft$. To wport our **Tk, we *tre ¥ery fortunatÈto retewè grant furnding from the
KnowYourNeI8h￿￿[fvoO￿ fuhd via the ComrnuTrity Foundat*￿, fora wkntot#rryoutthi5 WOA. Due to the succe55 01
the pilor, we were SLKcessfully awardeda further grant in September Z023. ag3in from the Know Your Nelthbourhood
National Fund for 2 years fundin8 to continue V4ryth this Wofk.
The aim of the yarbt is io i501¥tion. we are providin8 5VPPOrtihrou8h 5kills*vrkshops iTr¢ludln8 fin•n¢e. IT. Life
Skilts, 5POrt5 and ￿ls￿e, wlunteerin8 andiob tfa*)in8 inclL¥lin8 Construction and hairand beauty.
Mlnlbvs-we werewery lortufiate to receive supportfrom Blackp￿1 Council the KrKM¥ Yow Ne￿hbOUrhood F4Jnd
via thé cOrNnun￿ Foundation to puichèsea 5mill minibu5 lOtTrnsportow residenis io apwintments and activitles.
Fih*n¢i*l r•fi*w
Thesiatemerts of finBncial xtivrtie5 Ire set￿t ¢)n pw IOLrfthe ￿ncIal siatemm
Cwsolhlated incow* for the year was £3.285.74812022: £3.65&249L and cons0￿dIttO expenthture for the year was
£3,027.10712022.. £3A12,92BI.
The ovwall consolldated surplu5 for1￿ ￿ar was £258.64112022- defiot of £156.6751.The year £wer year redLKrion I
the deficlt 55 larBeNf due to the impact of the acquisiiion of the BL4ckw)ol Fty)stels which resulted in th¢ termination of
¢heonerous Man•gernert A8reen*nts e*t¢red inio tythe pwwsTrtJ5ttes in Oecember 2017
Re5eryeslRe¥•rve5 polky
Total rtsÈrves as ai 30 May 2023 ore £3.038,2911202?-. £2.779.6501. of wh￿h £3.030.57612022.. £2.768.0421 Jre held
In Èenerol ufvresirtted resefft5 and £7.715 12022.. £JI,E4)81 are held in re5trKted re5er¥es. Within the un￿St￿l￿ed
reserve5 are desien3tedfund5 10ts11•)8 £142.02612022." £88.7081. See note 24 for fvrther detsiis.
Re5eive5 are defined a5 unrestrthd funds that are f￿ty avaikble io spend on chamable purposes. Reserves should
teheldt05tTr*èanunexpeded neeLlforfvnd5. coverlnrfunf0￿5ee￿ day-tLTrday oper3rkinalc05ts,ashorrfall in incorne
or to luwil our obligations. Our reserves kk)licy tsdesi8ned to reftett the undeilyin8 risks facing the tharityand toensure
Ihat we have appropriate level of iexrves 10 5aleEuard our DpÈratws •nd 5eMre5 tg horrele55 peopte, pèrtirul•r
the operbin8 and Snit*l operatlnt of new buildings. kcordingly, we aim as far a5 rea50nabty praC1Ka￿e. io m4intain
reserve fund5 of up to 5VA mDnth5 operation31 running costs. This FOIKY Is re¥wd Based on the eeneral
reserves ol £0.7S3 million (net of funds rep￿Sent￿ by property èhd èssc<rated borrowin8 aod dÈsi8nated fut)dsl. 3.1
morths reserves are in place. The Tntsttes t￿s￿lerthe level of reseffts to be at thÈ ft￿rnent but ¢oiitin
to ￿leW and monitorthis.
Golng wrKern
Fofiawing i reviEW of the finarKFal POSition 41 ihe dare of sigftifts theseaccrAtnts and profrrtions for the fdJowin8 12
m￿th$the Trvsiees consider rhai the charity isa goin8 cof*cern.
Trathng subsidiary
The choriws wholty owned subsidiary. Shop 2023 Ifom*rty kn¢)wfi Is HON￿leSS A¢tion ci.Q. ceased operating ils
charr(y Shop in March 2020 a5 a resuh of ihe Co¥id-19 ￿ndemIc. and the kase which eTrded in August 2021 wa5 not
nwed. fv frustees are in the pr￿e$S013ppIVW￿ to Companies House to have the SLthid41ry compatyy dissofved.
31Po&e

HOMELESS ACTION
IForrDefly known a5The Ashley Fovnd*tHwthl
TTUStees' Annual Report
For the year ended 30 May 2023
51ryrtlire*8o¥ernaii￿, and ma￿¥emeNt
fj¢veFninz
The charity was #Korporated in May IYJ7. The Ash￿ FtyJndatK)n is a company linwted by 8uaTrntee 6ovemed by its
Memoramdurn and Articles of A55OCiation d•ttrf 7 May 1997. as by 5petial Tesduthtins dated 4 September
1997. 4 JanL43ry20fJ). Sjanvary 2012. and 11 June 2021.
Go¥ernah¢•
Introdudlon
On 20 March 2020.the CharityC¢)mm6skniopeneda5tatutory¥wuiryirbtotheaff•ir50f the charityandon 13 January
2023- wbfished it5 ftndln8s. The report can be fcwd on the Chaiity Cornmisslm websrte.
In accvrdance ￿th ArtKlÈs 31 & 32 of the cornwny'5 of AsscKréti¢>n Mrs EliiabÈth Warren and Mr Sknon
R•binx)n iesi6ned as Direct¢)rs in March 2023 and *tte r¢elerted fori lurther temi oloifire.
Appointmefttof tNstees
Other than in ihe Exiepllonal orcumsiances outh"rbEd in ihe (hairty Cmmi5sKn K¢eport . whÈn new Tru5tee5 are
required, Fo)sitKJns be advertised lo£alty. and a fom￿1 selection proce$5 will take place. Thls WIH also Involve the
poienti31 new trusteelsl visitin8 k*al hostds and [￿ts and also attenthng a irustee lI￿lIng io gakn an appreciaiion of
thew¢+rkiny olthe chwbty.
7n￿ee Induc¢loftaNI tralnl
Tfvstee Ind￿t￿ inw)*ves vislts to See the p￿mIses3nd to meet the manaiement a*d stsff tean￿. together wfth tirne
spEnt with the Chief Exerutiveand Sen￿1 Man￿er5 ro better and rnort fLrfty undE￿tand ihe actwities of the ¢h•rity.
Ref•ted partie5
In additlon tothe tntsteeswho ser¥td duringtheyear.tt*Trn#ees￿$pIer(helo1￿￿ty@•￿dlVI￿valS1Od oreanisations
to related parrie5 fw the pwpv5es of di%tlo$ure of rekited party irnhsartthis.. Mrs W Swlft and Shop 2023 C.I.C
Ifc¥m¢rly Hoffefess C.l.C.i.
Details of relatsd party transaC1￿•S to diSchX￿ kn accordan￿ wtth the reledant reB15￿￿on and 8Lldance
can befound in 23 on Pa8e 26.
FundraisimB 5tand*rds
The chèiity dc*s not c?rryout s*nrfKant fundrnlslr¢ attwnie5.
R*ftrth¢e •ryl •dmimistrati* d*t¥ls
Reference and adnynisirat￿e detsils a￿ shown in the sche&Jle ￿ memtersof the boafd and profe5Yonal advisers L
page l of ihe financlal statements.
Dk•rt•F5 and frusi
The dI￿￿oIS of thechèritable company (the charity) are its tfusttesfof the PUTpose of£hafity lawand throu8hotst this
eport are ¢olleciwety ieferredtc as Ihe tru5tee5. The trustttswhostr¥ed thE coryarry durin8iheperiDLlofthe ieport
wert asfolbw5'.

HOMELESS ACTION
IFormeity known a5 The A5hleyFoundailonl
Trustees. Annual Report ICMtlNed)
For the year ended 30 May 2023
Key m¥n•¥eTh*nt ptystyind..
Chair.. Mrs L Edward5
Dr M O'OoDnell
Mi A Oldf*ld
Mr 5 Robin
Mrs E Wèfren
Key managen￿t personnel.. PflrK*lthff
(Thief Elec¢A￿e Ofter: Mrs W Swrfi
Tvu5tees' responsibilities
ThÈtrurtee5 Iwho area150 director5 of No￿￿￿55A￿KJn forthe pur[￿01 company lawl are responsi1￿e for preparing
the Trusiees, Annual Report •nd the tinancial 514ternents in accordance with applicable law and United Kingdom
ACc￿lIngS1and3Ids (Vnited Kin8¢kmGene(a¥y kcepted ACc￿ntFnl Pr¥dicÈl.
Company law requires the irusiees to prepare li￿nC￿l staiements lor eath lithancial year which ¢ive a true and fair
vlew ofihe state of the affalrs of the charrffable cornpanyand the group and ¢lihe incomlng resource5 and appllcation
of rewurces. inclwjlngtheincomeand eXp￿￿￿ture. of the chritab*Eroupforih¥t peTiod. In wÈparin8 th*5È finantièl
staieirents. Ihe iru51ees are required to=
selert Suitab￿ accountir* polities and then applythem o)nsistthtly;
observe the rnethLMlsand prin(ipk5 in the CharitiEs SORP.
makE judgements and tstimates that are reasoThabfe and pnJdeTht"
slate whether applicablE UK ac£ovntinB standarLls been Idlowed. Slkniect to any material departure
disclosed and expLaSned in the financial SEatemenis.' afid
prepare the financ￿) staiemenis on the gofj￿ corKem b•sis unless it is inapwopriète ￿ assume thai the
chorirabfecomponywill continue in b￿1fte$S.
The irvstees are responsible keepin8 woper accountln8 ￿CordS that dtsclose with reasonaNe accurxy at any time
the financial Positi￿ of the charitable company and enabk them to ensure that thE finafic*l Statements tompty with
the Companie5Act 21x16. They1￿ 4lsoresponsit4efor5afe8vardinetheasset50f rhechèritablecoffwny andthptroup
and hence for ia*iThg reasonable steps frK the prevention detection of fraud and other irregulacities.
Insofar as the £urrenl Int5tees •re aware, and subjert to the findiry ol the (harity Comn¥i$5ion investi8atk)n wh*h
commerKed on 20 N•arch 2020 inio ￿nIS and iTrnsattions durin8 Lhis and prewu5 linancval years..
there is no feknant authi irrfLVmtion dwhKh the charit•bleconyanVsa￿yitVrs 15 Un￿￿¥re.. ahd
the Irustee¥ h4vv taken all 5ttps they (wht to hwe iaken w ff¥ke themse￿5 aw•re ol any re￿ant audit
information and to estaNish thai theaudiw i5aware of that inlorNotion.
AppTob*d byihe Board on
and sIAn¢d behall by:
Mr5 L Edwards. Char
Trustee
51PaBe

HOMELESS ACTION
IFoffflerly krxi¥m as TheAsh* Fo•Jndall¢￿1
Independenl Audltorfs Report to the Members of The Ashley Foundation
For the year ended 30 May 2023
Opinion
We hève authled the linarKk71 stateft*nts ol The Ashle¥ Fovndaiic47 for ihe year ended 30 May 2023 which cornprise
the Group 5tatemtnt of Fina*co1 AciivitiE5. Ihv GTDUP ar￿ Parent C¢wfiy StatÈrr*nt of Flnanclal P051tlon. the Cèsh
Flow Stètement ènd the Notes ttsthe Financial St•le￿nts. ir￿Uding1 Summary ¢*f &"8niticant Accounting Polkies. The
financi41 reporting frarnework ihat has teen ar￿1￿￿ in their prepafation is appli(able law and United Kin8&)rn
Acrourtiing Standawds (United KiThgdorn Generalty Attepted Accountifig Pratt￿e}. includinc FRS 102 The Financial
Reportin8 applicable ifi the UK and RewblK ol Ire14fbrf Iunited KinB(k+m GenÉrall¥ Accepted Ac¢ountin
Pr4¢licel.
In our opinlon the financbal statvrents..
give ¥ tfue and lair View of the slate ol ihe 8roup's and the c￿rItable compaAV'S affair5 as Ot 30 hAay 2023 and
ol r(s incomit)g resources and applicatK￿ of resources. ir*luOin8 its incomE and Expenditu￿. for the yeèi then
e*ded.,
have boen prO￿rty yepared in accwJarKe ￿th VnitÈd Kih¢dtsm GeTreraltyknepied ￿tte￿ntIl8Prnrt1ce. •nd
have beeN prepared in è¢¢ord4nce with requirements of the Compan*5Act 2￿6.
8•5isfor oplni
We cofiducted our avtht in arcordance Wilh appI￿ab￿ law and Iniernational Stsndards on Ayditire IUKI IISAS IUXII.
Our responsibllfties under rlw starbdaros are furtber described In the I￿110(.$ responsibilii*s lor rhe audit of the
f￿ancial #ai¢ments section of our repcrft. We are independent of the 8foup and rh¥itabJe company in accordance
with the ethi(al fequirements th* are relevant to our of the finlntial statement5 tn the UK, includin8 the FRCS
Ethical Standard and 14* hav* fullilled ow other eihkèl reSw)nsibilff￿ in accordance Ymth thtse reqvirement5. We
believtihèiihe3udit evidencewehaveobiained is SLrfficieM and appropriaie io wovide è bè5isfor our oplnion.
Condusions rÈlitintto ¢ofngcontÈm
In audiiing the flThancf315tsternents. we have conduded that the Tru5tees' of ihe 8c*n¢concem basr5 of accountlne
the preparatfon ofihe financ41 State￿nts isapprowiaie.
Basedon thvwryk￿thaye Perfor￿￿￿.**hoYe notkleniif*d•nymiieri•luncerralntles rek7tinKtoeventsorronditkJn5
that. indiv¢(lually or co1￿cti￿e1¥, may cast Sranif￿a￿I th)ubt on the cornpany'5 ability io conibrbue a5 a KoTnE concern for
a peilod ofat leart tWe￿e mnihsfrom whÈn the fina￿la1 ￿llements3￿ authori5ed for15sue.
Our responsibilit￿5 and the resp)nsibtlst*sof the Yru5tee5wilh respect to eoinccrmcern are th￿ribed in the relvrfant
sections of this ieport.

HOMELESS ACTION
(Formerly known as The Ashley Four*ationl
Independent Auditorfs Report ta the Members of The Ashley Foundation
For the yearended 30 May 2023
Other Information
TheothBf informatK)n cornprises the inlormath* ￿tIl￿￿ed Inihe annual repryt othwthan financi71 stateffenis and
ourauditor'sreportthereon.The Trusiees are resp)nsibleforiheothÈrinlormation contained wiihlnthe annual report.
Ovr opinion on the financial statÈmÈnts ¢loes oot cover the t>ther inforMat￿n and, extept to the extent ¢)therw15e
explicifjy stated in our report. 44*do noi expre55aThyfoirnof assufaftce concltssion thereon. Our responsibility isto read
the other infomiation and. in doin8 50. torI￿der whether thE othEr inlormatM)n is maierièlfy inconsistent with the
financial staten*rbts or ¢)ur knowledEe obtalred in the course of audyi. or othprwi5e appvors to be rnaterially
misstated. If Identlfy such material inconsiMerKies or apparent mater441 mrsstatements. we are required to
determine whether thi$ 8Nes rise to • rnaitri41 mi%ttètement Sn the fiTh0n¢￿1 ststements themsefvÈs. If, ts5ed on ihe
vork we hove perforffed. we corKlude that t￿le isa rnatefial misstaternent of th15 Other Snforrnation. we ère requlred
to report that fact.
We ha%t nothlnE to rewrt ￿ thi5 reeard.
Oplnlons on other matt*s presthw bythe(omp**s Acl 2006
In our op6nkn. based on the undertaken courye oftheaudit..
the infom￿t￿)ffi given In the To￿teE$. ReFrft fty fin•rKi•l year for wthith the linaftckil statÈrrents are
prepared ts con515tefit wtth t￿ linanclal state￿nis." and
Ihe Tru5tees' fte￿rt has ljeen wepared in accordaKe T4Vrth leyl requKement5.
Matten on T¥jh￿h tA**re rtquir¢d to report tytxt¢ption
In the light of the knowledge and urKlerstandlng of the ¢CA￿panY ah(5 its envir￿￿TrI obtalned In the coutse of the
audlt, we have not h1¢ntir￿d m4terK41 rni59tatements ifi the Yrustee5' Repon.
We have noth?n8 to rep)rt ￿ respert of the matters Wtr*￿ the Companies ki 2C¥)6 reoukes us io wep¢)rt to
you rf. in our OPinK)n-.
adequate aC(￿j￿ting recwdshave teen kept.0rrftsrnsa￿Uate lorourau¢*t ha¥e not tten receivedfrom
branches noi visited ￿ us. or
thegroup financSal statew*nts are not In agreem￿1 with the a¢wntine recordsand returns.or
certain 6lsclosuresof Trustees. left￿ne￿I10Th specthEd bylaw I￿ not mède..
we have not rece￿ed all the InfomMtlon and explanattohs we fft0ul￿ for ouraudll.. or
the Trustees were not entIt￿rf to Pre￿re the financ￿1 5taten*fits in ac£rMtsnce W￿h the small COmp4n￿5.
re8ime ¢•ke athan¢4Ee of ihe small Compan￿5. exempl￿￿5 in P￿parin&the Trusree< Report and from the
reouireff*ni to pfepare a Strate8* RekxY(.
?IPèeo

HOMELESS ACTION
IFormerl¥ known as Yhe Ashley Founditionl
Independent Auditorfs Report to the Membets of The Ashley FoundatiDIl IComln&*lJ.
For the year ended 30 May 2023
Resptynsibilitles of Trustees
As explèined rn¢re fulty in the Trustees. rtSkx*nsibilit*s ttbternent. the Twstee5 ère responslbie forthe prepafatlon of
the tinancial statement5 3nLS for being sati5f*d thar ihey £p4e a true ènd fair wew. and for S￿h internal rontrol a5 the
"rettors determlne is necessary io enable ihe preparat¢on of fIr4r￿la1 thternen15 that are Iree from material
mlsstatemefit. whetheT d￿ io fv•ud ot ettor. In wepaflhB the finin¢i415t•temÈnts. the Trustees are resFonsible foi
assessi￿ the company S 3bili(Y i¢* conDnuE 45 a giyriE ccffjcern. dscknsinL 35 ¥ppIiE•bk. rr4tters rÈlateO tr* 8Olllg
concern and usin8 ihe goin8 concern basts of accouotine unless the Tiustees either iniend to liouthie the company or
toce3se operation5. or h4ve no realistic alternat￿ but to do 5Q.
4uditorfs respoMbi*t*s for1￿•￿tht of the fiDaThrlal stat•i)etlts
Out obie¢ti%*5 are to obtain reas¢n•ble assurarttt about whether the fmoncial statements •) a whote ère free from
matefiol misstate￿01. wh￿her due io fTrud LY error. and to issue an Audftor'5 Rek*rt th•t int1￿leS our opinioTh.
Reèsonable assu¥ance is a hi8h lerfel of assurance but Is fict a gvarantee that an a￿rt conduaeé in 3ccoidaDce with
ISAS IUKI will ahvays detect a rnaterk81 misstatEmeftt whÈn it e￿Sts. Mi5Statements can arlse from fraud or error and
ère£ofis*O2ied material rf. indNiduallyorsn theaBve8ate.theycoubd reasonab￿¥bE￿#le￿t0Infknenc*th¢ e￿10M1¢
declsi0Th5 of users iaken on the bas150f thue fIna￿tal staieD*Dts.
Irre8ularilies. Includlne fraud. are Insiancesol n0n<onwlian￿wrt￿.1*￿s¥rtd rewl*ions. We des*n procedures in Ilne
wfth our respon5iNlllie5. abm. lib detert m*eii•l in re¥)ect of i￿￿KUlaritIES, inrludirylriud.
The eitent to whlch our pr£Éedure5 are£apabJeof detettw)8 irreguL3(iL*S. includin8 Iraud. 15 detailed below.
Extent to whiththt •udil wa5 consider￿ c*p*blÈof dEtettiry irrEw￿l11￿$. lntlud1￿frIud
We idenify and assess the risks of material msstaieftydnt of the financrdl statements. wheiher to fraud or eiror.
and then de$48n and perform audii pr4xedures responslve io those risks. intlLKlthg c4Jtair41ne audit thtidence that 15
strffklentand appr¢wate to prty4hle a baslsforcwf opknk
Id¢niifykn8 and a55e551nipoteJthl rlsksw•lot•dto irrryukrfU•5
In identfying and èssessth8 Tisks ol material NwsstatemÈnt ih resp￿ of Irwularit￿$. irKludiry frnud and non-
cofflpIKafi¢e with Iow5 4nd re8ulation5. weron5iderEdthefoMowinE:
the naiure ofihe sertor. Conttol environ￿nI Iwne55 perform3rKe:
the orEan&tk)n'so%thi a55e55rreni of ihe risk5thèi irregutsriiiesmayocrureiiheras a rÈsukof fraudor error..
the results of our enquirie5 Df marwEemtni and rnr*ersof the8oartl of Trwtees (rfth•"r own IdentlfKatbpn
nd 3ssessN*nt of the iisks ol Irreeulartties-
any matterswe Identi￿ havhiKobtainedand rv4ewed ibe￿￿nisaIioO's¢kn￿rrentoyi￿0fthe￿ pollciesand
procedures relatin8to-.
identifyin&evaluètingandcoDithnEwrtb tswsondregulationsand Whether1￿vwereJWqreoI ony instance5
ol noTh<￿p1￿￿£e.'
detecting and rÈspohdinK to the risb of lrnud ahd wheihtr tl*y h•ve knowle* of any actual. susperted or
alleged frnud-
the inttwnal contwb estsbllshed to Mit￿ale rtsks offvaud orrnn￿Mpl￿ln¢e￿rtfv laws and r*gulati¢tts- and
the mattets d￿￿$st1 •mng the Jud￿ e￿age￿thI team rÈeordify8 how andvthere fraud might o¢¢ur In the
financial $t•temtrtsandany poterthil irvli¢aiots dfr¥LKJ.

HOMELESS ACTION
(Fofmerty known asThe Ashlty Foundath>nl
Independent Auditorfs Report to the Members of The Ashley Foundation Iconiinuedl
For the year ended 30 May 2023
s a resdi of these pro¢edwe5, we considefedthe ¢)pp￿￿￿￿*S •fid incentr¥esthat may exist within the c￿n￿nY fc
fraud and thntified the 8reatesi potenti•l forlraud in the fdb)¥ringafea:
The e5timotion of the housing benelil accrual. In comwn wth aU audtts under ISA5 IUKI. we are also reqUI￿d to
pertorrn srttific prcKedu￿s to ¥*spond to the risk ol mafia8eff*rf overwide.
We also obralned an understsndin8 of the ￿gaI and re8ulatw ffarnework ihat the organisation operates In, focu51n8
¢n wovisions of I￿Se laws 3n(I re8ul•ion5 thlt h•d a diiect effect on ihè deterrTNnatlon gf m•terial arnDunt5 and
di5clowre5 in the financial staiemÈnts. The key tsws and regulat￿n5 we (onsldered hi this coDie*t included the House
Multlple Q<¢upatKtiTh reEvlotKtn5. and the Se*rtive licensing 5cherne5.
In additlon. we considÈTed prristons of other latws and regulatKTrns thai do not have a dlrect effect on thÈ financlèl
5taterNents but cgmpliance with vihich m4y be fundampntal to the company'$ ability to operate or io avold a material
pe￿1￿y. These irKluded Data Piotedion Re8ulat￿Qs.
A further destnption of our responsibilitie5 for the audrt of the financial staten￿￿t5 Is brated on the Financial Report
Council's Web￿le at..
This d¥triptiDn lorms part of ourAuditor's RÈpDrt.
U5eotour R•pryl
This Report ss made 5deiyto the charitWe cofflpjnrfs ffembefs. as a br*Jyi ￿ arCOrdan￿ with Chapter 3 of Pèrt 16 tyf
the Compant* Act 2CIJ6. Our èudit wjrk has been undertaken so that we nwghi slate to the charrtable ¢ompanrfs
￿rnb￿s those mètter5 weare requiredto statetothemin an Audbtorfs Repmandlor noothÈr purF¥>se. Tothefullest
extent permirre(S by law, we do not accept or a55urre responsibilityto anyone ￿her than ihe charitable compèny and
Ihe charitable companrfs m¢mbtrs as a t￿. forouf audft work.lorthis Rewrt. or forthe opinions we have formed.
J¥ml*let Johnston (SenlDrSt*￿0ry Auditoil
For and on behalf of Mltthtllthitlesworth IA¥dltl Llmlted
Chartered Aceourtants Sl•tutoryAydbi•rs
3rd Flour
44 Peter Stweei
rtanchester
M25GP
2 February
2024
91Pè8È

HOMELESS ACTION
IForm¢rly known as The Ashley Foul￿atIon?
Consolidated Statement of Financlal Activities {Ir￿l￿dI￿ tsn5O￿dl1￿I •nd Exptndiiure At<¢)untl
For the year ended 30 May 2023
Notes R¢strthd UNestritt*d Total Ful￿ ReSt￿tted Unrestricted Total Funds
Fund5
nds
20
Sund5
Fyhds
2022
Ibxome
Don*lon5 and le8acle5
42.650
s￿13
12.4C
10.432
22.810
Intome from d￿ritablI
artivliles:
OF*rat4on gf xcommodation
andr4fé
3.223.012 3.223.012
3,623.770 3,623.770
Imome from
activities
Cornrner£ial iradifig opÈratv)h
Ihvestment in¢eAr*- boThk
interest
Rental income
9.713
4.560
9.713
4.560
L779
7,860
1.779
7,8fAI
Total Inr•ni1￿ resourcès
42.650
3.243.(88 3,285.748
12.408 3.643.841
3,656.249
Expendlture
C05t of r•lsln8 fvnds".
Comm¢r¢iil tr4dlry ¢¥evotkJn
13.1441
13,1441
EXper￿ltUre0n (harkab
artfvltles:
O￿TatIOn of4ccvrnmodat
and café
146.5431 I2.￿.5641 13.027.107)
124.2361 13.785.548) 13.809,7841
Total empendlture
146.5431 12,980.5641 13.027.1071
P4.2361 13.738.6921 13.812.9281
122.7Tr)1
22.700
Netlrftynlnc r¢sow¢es f
thF year
13.8931 2K4.534
258.6dl
134.5281 1122.1511 1156.6791
Total fund$ brov8htftyward
11.608 2.768.042 2.779,650
46.136 2%90.193 2.936,329
Vot•l l￿d$ urri¢dfovw•rd
7.715 3.030.576 3.038.291
I1.￿ 2.768.042 2.779,650
The Stbternent of FinarKial Actr¥ities include5 all yin5 and k)55es ￿ Ihe year and t￿reFOre i Stit*meffl d Total
Reco8nlsed Gain5 and Losses ha5 not been prepared_
The note5 on pa81$ 13 10 31 IDrm part ofthe5e thandalstaternwrts
IOIPage

THE ASHLEY FOUNDATION
Consolidated Balance Sheet
As at 30 May 2023
Group
1023
Group
2012
Char
1023
Cha
1022
Fimed a55ets
Tan8lWe as5eis
Investments
17
2.448.142
2321.175
2,448.142
2,321.175
Total fixed assets
2.448.142
2.321.1?S
2.448.143
2.321.176
Cyrr¢ntasse¢s
Oebtors
Cash èt bank ènd in hand
19
350,558
756.269
182.435
773.313
350,558
754096
182.435
771.940
Tot•1 arty*nt assets
L106.827
955.748
1.105.454
954,375
Credltors: Amountslalllby duÈwlthln
e year
io
12202011
12LY).3501
1219.1211
1199.2701
886.626
7SS.398
886.333
755.105
Total •55ets le55 (urrent liabllltles
3.334.768
3.076.$73
3.334.476
3.076.281
rJedbn: Amoyntsfalllr¢due aft
more than one year
21
12%.4771
12%.9231
1296.4771
1296.9231
3.038.291
2.779.650
3.037.999
2.779,358
The knnds0lthe<￿rlfy
Ilestricted income ffunds
UTrre5tri£ied sncome fund5
25
24
7.715
3.030.576
11.&)8
2.768.042
7.715
3.030.284
11,608
2,767,750
T•tallunds
3.038.291
2.779.650
3.037.999
2,779.358
For theyear ended 30 M•y 2023 the gfOUP was eniffted toex¢nyK)n fri)m audit under secth)n 477 01 the Companip5
Act 2W6 rdatifvd to srn3llrornpanie5 buta5 this ¢4yryny154 ¢h¥rty. Il i4 wi4ed to audit under the CharltiesArt 201>.
The members havE fflat required the company to obtain an aullit ith accordante with secti￿ 476 of the CompaniÈs Act
20C6. The directors acknow*dee their re5ponsit4lity for complying the requtrement5 of the wth fespert to
accountln£ records and fof the Yeparat￿Of accounts.
These accounis ha¥e been wepared in accordance wWh ihe pro¥Isit￿￿ ap￿kable io companles sub]ert io the smèll
companvès regime.
Th¢ financlal statemerttswer* appro4*d bythtBo•rd olTrwiees i)n
be￿￿bY.
- 2024•thd •re s*nedMihe5r
L Edward5
Ch*lr•lTrusteeJ
Chai4ty Number.. 1063208 Company Number.. 3366712
The noie5 on pays 13 t• 31 foim p•n oltht5e fth•nci•l sMeff*nts
IIIPa8e

HOMELESS ACTION
IFormÈrJ¥ known 45 The Ash* Fwndaiionl
Statement ol Cash Flows
For the year ended 30 May 2023
Group
Ch•rity Chèrity
2023
2022
1023
20
sh generated fromllv5ed iThl operniir
artNltles
28
170,050
1192.4241
170.050
1193.7791
Cashfflow frnm In4*5Un8 actNIti¢s
Interest income
Purchase tsf iangible fixed è55ets
9.713
1.779
1179.4691 11.011.098)
9.713
1.779
1179.4691 11.011.098)
Cashfftowfrom Iti¥estlni•tllvhbtS
1169.7561 11,009,319)
1169.7561 11.l*J9,3191
(ashflow IromflnarKlryad￿tles
Rep•ymeThtsof
117.3381
1343A691
117.3381
1343.8691
C*sh used In lknartillÉ•¢li4ryli
117.3381
1343.8691
117.3381
1343.8691
Oe(rease In cash •KI ￿$h equl¥*ferts kn
the year
117WI 11.$45.6121
.117.0441 11.546.9fj81
C*sh and(a5h equiva￿Trts at ihe be8lnnln8
of the year
r13.313
2.318.925
ni,940
2.318.908
Total ush¥Thlfash equiwlents •tthÈw
ofthÈ ytar
756.269
773.313
754.896
771,940

HOMELESS AcfioN
IFoime¥ly known as Ashlty Found•ti¢nl
Notes to the Fiftancial Statements
For the year ended 30 May 2023
thnparty In￿rMat￿n
Home￿$$ A¢rM)rb IForn*rty kTrO￿ a5 The Ashlty FoLm¢Jationl 15 a prTriaie comp•fiy I￿rted by Euèrontee.
dorrmclled and incorF¢)rated in England ar￿ WalES. The re8lstered Offi￿ Is 81 Ablngdon SireeL Blackpoc4.
Lancashwè. FYI IPP.
Ar￿￿10￿8 polides
The prlnclpal accounting poliC￿S adowed. iuL*ements and key sources of estlmatron urtcert•iNty in ihe
pfep•r¥tK>n of ihe linancial staterreThtsare as foll)ws=
Basis of prtpar*tion
The fbnahtk81 statemtnts have been prepartd in ac(ord3ncÈ with ACC¢￿11￿8 and RtportinB by Ch•rities.'
Staten*nt of Re(omry*nded Prathce applKoble io chariltes preparinE ih•r accounts in accordance with
FInanc￿l Reportin8 Standard appli£•bk in ihe UK and RepuNt of Ireland IFRS1021 leffecti¥e l October
20191. ICharitie5 SORP IFK510211. the FinanC￿TrI Aewrting StaTrdaid •pplicaWe in the UK and Republic of
IreLiTrd IFRS102I aDdihe CryaThle5Att21Y
Thefinan¢ial 5t•ten*nts a￿ Prep￿ In sierlin& whith 15 the fwittion41 cyr￿r￿ ofthE charity. Monetary
arrovnts in these f(nancial Statementsafefo￿ded to the nearest £.
Horneles5 Art￿n rreets the delinllw of a publir btnefrt entity under FR5102. Assets arsd lyablltties are
InltSallyrecoenised at historical¢ost(*iraftSact￿n value unkssothemsestated In the relevantAccountinB
Poli¢y notelsl.
Ibl Groupfi￿nClal sLttemeMs
The finanoal stèiements consdklate the re5L4ts of the tharity and r¢s wholty owned subsldvdry Shop2023
CIC (Formerfv *nown as Homeless Action CIQ on a line by Ilne basis. A separate State￿nt of flnanclal
actNILies anl Incorre ¥nd Expenditure Account f¢wthe charity has not been presented because the tharity
ha5 taken athtaDta4e of ihe exemptkn afforded tysenion 408 01 ihe Cornpanie5 Aci 200&
Goln¢Conttm
At the time of •pprovbnA the finl￿ra1 slat¢n*rts the Trustees have a reasortaNe exPerta￿￿ thAt the
harity has adEqtsaie re50uices io continue in operat￿11 exi5ttnce fw the fove5eeable flrture. Thu5, the
Trustees contlnue to adopt the going CLxKern bays of accounting ￿ preparingthe flnanoèl statements.
Idl Fund5 ¥trw¢we
General funds are unrestiicted funds, wh*h are available for use at ihe di￿re1￿)n of the Trustees i
furtherance of the ger*ral objecti¥esof theihirity.
Restricted funds ace fvnds subJe£i to Speci￿ resirinve contlrt6ons imp￿Sed ￿ the donor or by the
purpose of the contract / mon￿5 received. The purw)se and of restrirted funds 15 set otrt in note
24 10 Ihe finandal ststemenr
Oesignattd funils I￿ funds whKh hive be¢A allo£ated LY designated for sp¢¢ifk purpose5 by the
charily out of unrestrKied lunds.

HOMELESS ACTION
IForm¢rty known 45 The Ashley Found*tionl
Notes to the Financial Statements
For the year ended 30 May 2023
Atcourtifig polir*s
1*1
InromE r*¢•8nbtiiin
Income Is feco8Aised When the charity has entitlen*nt to the fund5. any ￿rfOrMance ronditions
attach￿ tothe itenrfsl of ifi£orne have been met, it is probab￿ that the incomewill be recei¥ed. afid
the can be rrea5wed relrdbPrf.
I￿Orne from dorbattons and grants that provide iorefunding or ère of a 8eneral nature is re£oBnised
where there 15 entnleTh*nt. cerrainty of rec¥0 aDd arr¥wN (an n￿sur&d with SUlf￿1￿￿t
liability.
Income Iromgovern￿nland other8r*nis. whdher'capital. 8rnntsor'￿èThut. Irant% Is ￿0¢￿¥sed
when the charity has eniitlement io the funds. arry Ferformance conditions attoched to the grants
have met. tt is Pmbab￿ that the in¢on* Yiill te received. and the ar￿Unt (an measured
ell8bly and ts not dÈfÈrred. Grants are deferred tts (Utu￿ ￿riodS when this Is s￿lf*d ￿ the
funder or other preronth"lions ofthefund are rr*t.
For le8a£ie5, entitlE￿￿nI is iaken as earlier of the date on which either." Ihe charity is aware that
probote has been yantEd. the tstste ha5 been finali5ed and notif*•tioh has beefj n*de by the
executorlsl to the Tw5t that a dlstribution wll be mède. or when a dt5tributW 15 Te¢eived frorn the
estatè. Rtceipt of a lÈgaty. in ￿Ole oi in pa.rt. ￿ ontytohsidÈ*ed probable when the amount can bt
mpasvred rèliably. andthe tharity has been notilipdolihe exttut•rf5 intention to makea distribution.
Where legacles have been I￿l￿ed iothe £harfty. or the charity is awa￿ of the 8Trnting of pmboie.
anisthecrlteiièlor income recognition have not been then the Ls a ireated as a contlngent
¥sset and disdosed if mitewial.
In¥e5tffleTrt is recoGnf5ed ocewable bass.
The rhèrty has servicea8reerrents In place with other grnilar O￿an15￿tIonS. The incorne from these
i% showo on a ¢r055 basis ¥rith eNFenditLwe I￿uded in Expenditure on Ch•rf(able
tivit*
The chath has Mana￿￿En1 Ove￿nts in ￿￿et￿lth Fak￿ ￿￿u$￿&AS$rKIlt1on ac to rnin48e the
provision of accomnw>lètion for ihe homtless in w¢Jpert¢es ffi Sunderlaod. Falcon ts ihe leaseholder
of these propertres. The ten￿$ of the a8reerneThts resvk in the Charlty rece￿1￿8 Income from Falcon
equal to the amDuntsthat Fakon reter¥e •s ho￿￿￿E berdit from the council. This incoff* is included
in Incorne from charrtab￿AcIiWi1Ies. ExFendrf(ure incvrred in providinethe svvicerequired underthe
terms of the a¢rttments is induded in EX￿nd￿lure on Charitable Aciivities.
141Pa8e

HOMELESS AcnoN
(Formerly known as The Ash￿¥ FoundatioDI
Notes to the Financial Ststements
For the year ended 30 May 2023
Att¢urttMVd poficles IC•rttl**dJ
Igl Expendhure
Expenditure is recogni5ed once ihere Is a legal or COn￿ruCt￿e obllgathjn io make a paY￿ent to a
third party, it 15 probable that Sett￿￿￿nI will be req￿Ired, and the awjnt of the obli80ti0rt can be
measured rellabty. EX￿ndr(ure isclassified Un￿ ffolknvin8 actrdity headin8S.'
Costs of rais¥ntfund5 4lt the thrert•nd indirertcostsof rai5inefundsforcharitablepuryw)ses,
1Thclvdi￿ apt*inR forgranis.
haritabte expenditure ¢ornprK5es thost C05ts iTrturred by the charity in the delivery of its
attivllies and seThices for Its benelickifies. It incI￿JeS both coststharcan be allocated d1￿￿1¥
to such attiviiies and those ￿$ts of afi Indw¢¢t n•ty@ n¢re5$1tytO SUPPDrt them.
Support costs inclvde costs of the preparation and examlnath)n of the statutory finaTKial
staten*nts. Ihe c¢)sts ol Twstee and thr c05t of any legal advi￿ to Trustees on
eo¥É¥Mnte or constitvtion•l rnètters.
IXhere¥pendlture rewesents ihose items fvlling ifito anyothef headln8.
Ihl H¥od a51e15
IndiTrridual T￿ed ossds wsting £ICWornwxt are iniiialty recorded ai c05t.
Depreciatksn is pro¥ided on all tafi81b￿ fixed assets at the rates ltsted t¢Sow so as to write off the
fost orvaluJiion. les5 anyestimated re￿d￿￿1 value. ¢wer theirexpected useful economii life..
Frtehold land and b￿l￿ng$
ant machinery
oit¢ee4uiw)ent
Motor vehKk5
2% per•nnumoA tott
IO% per annum on c05t
33.3% PETannum on tts51
16.7% per annum on c05t
Investments
Fixed a55et Investmentsafe incI￿led at market valL* at the Balancesheet dale.
ftea115ed 8ain5 and b55es on investments are cakulaied as the difference tetween 5Jle5 proceeLIs.
and their morker Valve ai ihe start of ihe year. orth•r subsequent cost, and are charged or credited
to the state￿nt of Fin•nci•l Artivilie5 in the F*rK¥Jof di5P05al.
Unrealised gains and h)sses rep￿sent the rr*Yement in market values durin¢ the year and a
credited or thar8ed to the Stattmeht of Fin•rfi*l Nd*4ilies based on ihe marktt V41ue at th¢ year
til
OpeTaiim¢ l*•ses
Rentals p4yablÈ opevatlhi ¥Te Ststeffeni of Financhil Actl¥itie5 on a
stièi8ht-line ba51s over the lea5eierm.
Penwns
The ch¥wity operate$•na￿oenr0lrr*￿t￿e￿ed¢or￿tr￿U1K￿D xherreforalelielbleemployeesin lithe
. with the current leesbiion.

HOMELESS ACTION
(Formerly known a5 The Ashley Foundail•nl
Notes to thè Financial Statements
For the year ended 30 May 2023
Aecountimt polities
Oebtors
oiher debtor5 are recognised at the settlerneffl due. PreptymEnts are v•}￿d •t the amount
prepaid aftertakln8 any ¢￿SCOun1 due.
Iml Cash at bank and In hand
Cash at bankaDd In haftd i￿lL￿leS (ash Sht)rt-te￿ liquid ￿vestM*￿t&
Cred￿5 •nd provtslorts
Creditors and prtr4isK>ns are reW8n￿ed where ihe thèrity has a preseni oblieation resuhing from
past event that will w¢Jbably rewlt in 4 trnnsfef of lunds to a third party at ihe amount du¢ to settle
the obli8ation and can ￿ measured or estimaled relièbty. Creditor5 •nd prov*w)n5 •re norm411y
re(ognisedai thEW Settkn￿Tht amunt after lor any trnde discouThi due.
FIMA¢i* *Btvwnen¢s
The charity only has fiThonciol a55et5 and liabllitles of a klnd that qualify as basic financial instruments.
84sic fin4nckil in5trument5are inii*ity rÈ£o8nised at transaction value and subsequently n*asur¢d at
their seill￿TrE val￿.
Lwlst¥ts￿ olthe tharitv
The charlty Is a PfNate c(Mmpany knf(ed ￿ ￿ar?nIet and con5eouentty does rbtst hove5hare capital. Each of
the members Is liable to wntiibute In orr()wt noi exceeding £10 toward5 Ihe asset5 of the chariiy in the
event of IKIuidati￿. The number ol members * the year*nd w35 seven12022- ¢i8htl.
Judgtments and key S￿1£￿01*$t1ffla1lM v￿ertaknty
In the ￿p￿IcatiOn ol tht charit(s accouniing pditios. Twttees are required to make ludymÈnts.
emimates and assumptksns ak*ut the tarrying amwni of assets and lialy.liiies that are readity 3ppareTrt
frc#n other sour£es. The estimbte5 4nd asw¢i•ted assuMpt￿)￿S are based on hSsiorical experierKe and other
lattorsthat are thnSHleTed to be rele¥aThi. Artual fesulis may drffer from iheseestimèie5_
The esifjm7ies and underlylne assurytp)ns are revie**d on an b￿15. Revt5kns to accovntlng
estirnates afe recoBnised in the per￿1 in whKh the estimate Ss re¥ised wbece the rewision affects only that
period, or in tht ptriod of the re¥￿•¢￿ and knyre Per￿d5 whÈte the revisvx affetts both current and fthure
period5.
)61pb8e

HOMELESS ACTION
(Forl￿rIV known 85 The Ashlty ￿￿ndItIOn1
Notes to the Financial Statements
For the year ended 30 May 2023
Giants. donatiom. and
le8a¢les
Re5tvKted iknrestrkted Total Fund5 Re51rKt811 Unrestrlrt¢d Toi•l Fynds
Funts
2021
Funds
Funds
2022
Dmations and le¢acies
Appeals èfid don•t¢ons
813
813
1.476
1.476
fjrants
42.650
47.650
12.408
8.956
21.364
f•i¥l pw S￿¢m*DI offunds
42.650
5A13
12.408
10.432
22.840
The income fromBrants. donatthsand Wcies wès £48.46312023= £22.8401 of which £5￿13 was Un￿strirted
12022.. £10.4321 and £41.650 re51ricted12022.. £12.4081.
Incornlry resour￿5 from
tharkable aetivslies
estriL1ed Unrestiilted T•tsi Funds Rtsiiitted Unrestrthd Total Funds
Funds
Furyls
2023
Fund5
Fwids
.2022
(hwltsble
Housing benefrt- hostels and
fvis
Incory* from hostels and flats
Residents, contribution5-
I￿le1$ and flats
Emergency Bed$ 5¢heme
Cornrnvniry Café & P￿Ibiakl
oiher kncome
2.951.345 2.951.345
1.837.780 1.837,780
1.517.6C6 1.517,605
150.058
35.043
64.445
12.121
150.058
35.043
64.445
22,12)
145.966
45,058
54,637
22,723
145.966
45,058
54,637
22.723
3.223.012 3.223.012
3,623.770 3,623.770
ctivities
171Pa¢e

HOMELESS ACTION
IFormerty known as The Ashley ￿￿ndIt￿tiN
Note5 to the Financial Statements
For the year ended 30 May 2023
Incorneeavned from comrnerclal tradirya¢¢l¥tttes
The wholty owned trading subS￿lary Slw2023 OC known as HoTr*kss ACtiC￿ CICI (Company
Number.. 08044728, reÉi%tÈt*dofficÈ.' 81AbinÉdon Street. alackpwl. LbncashiTe. FYI IPPI previously operated
¥ charity shop prw4inE clolhin8ar*lfvrMure t¢*tl¥)se Én needand to raise funds for The Ash￿ Ftsunthti¢￿.
Thfj5 c105ed in March 2020.
Thtsvmrnary tlnarKial resuhs ol ihe stjbsltharywefe:
2022
Shop taklngs
Grani I￿ome
Cost clsaksand adnlnfjsirath)n costs
13.1441
Operatlng profft
13."1441
The3s5etsand liablliiiesof the SLth4dk4ry coryany **re:
CUr￿taSSe1s
Creditor5'. affloynts fallingd￿ ￿y1hITIOne year
1,373
11.0811
1.373
11.0811
292
292
Aufry•¢e sh•r*upilal aNI reserye5
292
292
Restrirted Unrestrirted YO￿ Funds Aestritted Unrestri¢ttd Tot•1 Funds
nd5
FuThls
Funds
2021
Bank tntere5t
9.713
9.713
J.779
1.779
Totsl inve5¢ment I￿offie
9.713
9.713
1.779
1.779
181PaBe

HOMELESS AcfioN
(Formerly known as The ASh￿Y Foundatim)
Notes to the Financial Statemeftts
Forthe year ended 30 May 2023
Expondrtur•onth*itsbl¢ •rfl¥ltlts- Currem yur
Community
Café & Mub
Attom Totsl Funds
Provision
2023
Wages andsalarfeswsts
Sufting costs
PrerrMses£osts
ServKe char8es- BlJrkbum Hostels
Office costs
Food rosts
Other costs
Laundry and (￿an1r¥ costs
Mutor and travel costs
Oepreciation
)vernance costs
5upw¢ wsts
52.643
iio
10.347
1.053.657
9,168
885,679
418,386
17.297
86",208
10,132
10.164
16.209
49.168
?.560
352.767
J.IC6.300
9.278
89G.026
418.386
17.748
125.483
14.Z71
14.411
16.2C8
49.168
7.$60
352.267
451
39.275
41,139
4.247
111.212
2.91$￿95
3,027,107
E¥pendllure onth*ril•bleadivitle5. PdoT year
Communlty
Café & Hub
om Toial Funds
Prw151on
2022
Wages and sèlar*s costs
5tsffift8 costs
Premi5escosts
SeThice char8es- blackbtrm Hoste
off￿2£O*ts
Food c05t5
Othercosts
laundry and £leaningcosts
Mororand iravel ¢t>Sts
Legal COMS
Loan interest
Depreciat
Governancecosts
Supp)rt costs
57.020
244
1.021377
3.239
1.296,720
884.298
17.677
63.188
15.195
8.367
10.952
793
13,220
32.231
7.350
338,407
1.079,397
3.483
1,310.3ZI
884,298
17.948
83.311
16.534
11.531
10.960
793
13.220
32,231
7,350
338,407
271
20.123
1.339
3.164
Toial
95.770
3.714.014
3.809,784
ExpendrtLtreoncharitableartI￿t￿ WO5 £3.027.10712022". E3.809,784lof whKh £2.980.584was unre5trirted
12022= £3.785,5481 and £46.543 ￿StrICted¢2022.. £24.2361.
191Paee

HOMELESS ACTION
IFormerly knowfj as The Ashley Found4tionl
Notes to the Flnanaal Statements
For the year ended 30 May 2023
5umm•ry ofanaws ofempenditure and relathd
im¢¢me for ¢h•rItab￿ attivities-(uTr*rt year
Community
Gifé & Hyb
Attom Trt*l Ftsnds
Prwsitin
24123
C0515 (not¢ 91
Grant SLtPKOrt I￿re 51
IlJ.212
112.41011
2.915A95
135.2401
3.027.107
147,6501
Net cosi. otl*rlMome
98.802
2880.65S
2.979.457
Summary ofanafysls ofewnditure and rdated
in¢ome for ¢h•ritable a¢tiVbt*s- Prforye*
C¢mmunity
fé&Hub
Atcom T•tal Funds
Pioviiion
2021
Costs IrL0te 91
Grani supp).rt- reststed Inote Sl
95,770
112.4081
3,714.014
18,9%)
3,809.784
121,3641
Net tost. other in(•me
83.362
3,705.058
3.788,420
ii.
An3lysi5 ofy%*rn3nre 8nd support f05ts- ¢￿￿n1¥ell
The charityalloc4te5 itssupport C05tsas 5htswn tab￿ beknwèThd then lunher4pportl¢￿5 lhose c05r5 to
the charitawe actb¥ll￿$ undertatr*n 15ee we IOI. Unless ststed othe￿tse. support C0$15 a￿ dlrectjy
ttributed to the actiwity.
Genwal
Support f*¥uth•bKe
Total
1023
Support cost
8ank£harBes
Wages and Salar￿ corts
Stoffins costs
Bad debt
PrerrH5e5 Costs
Office tosts
Food cv5ts
her costs
L4undry •nd ¢￿anIng(￿sts
Motor an(1 tra¥el costs
Accountancy costs
Audit C05[5
Le8al cosis
Trustees, exper￿e$
Loan inieresi
Oepteciailon
746
217,469
4.822
11.5501
22.501
25.038
185
9.882
319
754
30.925
746
217.469
4.822
11.5501
22.501
25.038
185
9.882
319
754
30,925
7,560
19,621
7,5f
19.621
18.221
3.334
3.334
352.267
7.560
359.827
20IPaÈe

HOMEIESS ACTION
IForn*rly known as The Ash￿ FotsndaiTronl
Notes to the Financial Ststernents
For the year ended 30 May 2023
ii.
Anal￿$91¢￿m1n¢* •fid 5UPPDrt wsts. Pr¥*yt*
The thèrity allc<ate$41$ 5UPPOrt t¢>stsa5 5hwn ih thtt•bk beky*4 ond Ihen furt￿rIpPOrt￿)Th$ thost toms to
the charitable acrhiitie5 undertaken (see note JOI- Unless stated otherwise. SUp￿rt ttssts are directly
itributed tozhe aciivity.
General
Support GOv¢ma￿t
Total
2022
SuP￿rt ro
Bank chafges
Wage5 and solaries costs
StaffinÉ costs
ead debt
Prernlses costs
Office costs
Food £osts
Other costs
Laundry and ¢￿anIn#￿Sts
M￿OraThd travel costs
Ac£ountancy£osts
Audit £05ts"
Legal ctsst5
Twstee5' expens
Loan inte￿$t
Oepr*¢i•tk)n
900
l87.Ci19
21.431
3.217
22,527
24.412
iio
2.136
510
L226
40.746
7.350
28,762
187.ClJ9
21,431
3.217
22,527
24.412
170
1.136
510
1.226
40.746
7.350
28.762
443
4,918
443
4.918
338.107
7,3SO
345,7S7
12.
Tturterf rernntration and e¥pqrfjes
The Trustee5were fiot pid. ohd MrdKI they reter*athyothef ￿ne1￿5 fromernpltyrnentwhh ihecharmyor
its subsidiary ￿ theyearl2022= £Nill.
Expenses tOtsllbnE £Nd12022-. Ilill were paid to no12022.' r￿) Trusiees ifb ihe ￿ar 10 30M￿ 2023 In ￿$￿ett
of motorand travel cosrs.
IIIPaÈe

HOMELESS ACTION
(Forrnerty known as Ihe Ashley Foundationl
Notes to the Financial Statements
For the year ended 30 May 2023
13.
Nol K*•mel{expendiiurel
2013
2022
Net Incomellexpendilurel is stated after£￿￿1￿¢..
Oper*tin8 leases
Management agreen**ts
SeNKe char8e5- 8L4ckbvrn Hostrls
Auditorfs remuneration- statutory
Bank interest pay•ble
Deprec&it￿Tr
90.696
453,012
418,386
7,560
18,121
52.502
196,178
835,753
884.298
7,350
13.663
37.149
14.
Anaty515 ofstaff <oll5 and le￿￿e￿on ol rnaniyment per￿￿
2021
WaEe5 and salaries
Nati¢)nèl insurnfice COfitribLrtKJns
Employer5. Ptnyon tt*niribthi005
1.227.449
82,558
13.762
1.168,247
84.835
13,324
Totll rtiff
lJ23.769
1.266.406
The a¥era8e number ol eMplo￿e$ dvrln8 the year w•5 2812022= 381 with all empl￿ee5. time involved in
providSn8 •ther suwort to the govemafice of the chafity w sup￿rr servÈces to chacit•Ne actlvities. The
ch8rity tonsiden its kty fft•nagtment personntl comwise the Trustees and the Chief ExecLStive Offlcer. The
total ernpbymtnt te￿rIts irbclwjing empl￿￿5 pEn5itiA Contributions of the key management personnel
was £115,723 12022.. £115.2701- One employee 12022= tsnel had etyknee benelns lexduding pen5iDn
contributions) in *xte55 of £60.(￿. This empbyee recel¥*d remuneratknTr kn the bandlD8 ÉICQ,tsJO
£iio.orKI12022.. £I10.OC￿. E120.OLQI.
Durin¢ the year payry*rtiS totallihi £Nil12022.. £12.3101 mède In resFect of terM￿*￿n payments to
emplweeslfomieremployees.
15.
PeO￿on(￿Sts
The charity opeTrtes an auro eThiolfflent defined toht1ib￿ith scheme for èll eligible efnplorfees in lifie with
current ￿e4513t￿n. It L% a defi￿ d ctyi1ribuli￿ 5cherre and conlributK)ns are charged in the 5t•ten*n¢ of
financrdl artMt￿ as ih¢y act￿. Ihe enWtye¢s charge for ihe year for the £harlty vRs £J3.762 12022..
£13.3241.
16.
Cowirailon lax
The cornpany is a registered rha¥ity •nd i4. thetefore. exemwlromtaxaiion.

HOMELESS AcfioN
IFormerly kr￿￿￿ as The AshFey FoundatioDI
Notes to the Financial Statements
For the year ended 30 May 2023
17.
TInntblef￿ed a$s￿5- Group
Plint and
Mathihery
In(￿din&
Motor
V¢hi¢le5
Frtthold
Irrterest kn AssÉts tn Flmves.
i•nd
Buildirys Constr￿￿n E4yiprr*nt
C•st
As at 30 May 2022
2.453.(*15
IB.187
.096
27.499
2.531,288
179,469
151.970
D15PX)5aLs
As al 30 May lOZ3
2,453.1Kl5"
151.970
18.187
87.595
I710.757
Dep￿14t￿n
As at ao May 2022
Charge forihe year
rh5posals
149,469
49,
I1.2￿1
826
49.354
2.612
210.113
52,502
As at 30 MFY 2013
198.533
12.116
51.966
261615
Plet book Value
Asat 30May 7023
2254.472
151.970
6,071
35."629
2,448.142
s at 30 May 2022
2.303.536
6.897
10.742
2.321.175
231PaEe

HOMELESS AcfioN
IFurmerly known as The Ashlty Found¥llonl
Notes to the Financial Statements
For the year ended 30 May 2023
17.
T¥m¢ibfe fixed èssets-Ch•rity
Pl•nt •r*l
Machlnery
irbdydlnt
Motor
Vehk
Fr*ehold
Interest In
ASStts
FiKlures.
Land and
course of Flrtlr¢s
ulldwy ConrtN(￿n Ewipment
rotal
Co
s at 30 IAay 2022
Additions
D65khJsals
2.453.(*
18.187
2.531,288
179.469
151.970
27.199
A53t 30 May2023
2.153.(K
151.970
18.187
87.595
2.710.757
Depreti•ti*)n
A5 ar 30 May 2022
Char8e for the year
rhsposals
149.469
49.
11,290
826
49.394
2.612
2JO.J13
52.502
As ai 30 Ma¥ 2023
198.533
12.116
51.966
262.615
Net book Ydlue
Asat 30 May 2023
2.254.472
151.970
6.071
35.629
2.448.142
As at 30 May 2021
2.303.536
6.897
10.742
2.321.175
Invellments held as ffixed assels
The ¢h•rity holds ont4Y(linary share of £1 its vthofv ¢)¥med Ir4dir4 sthirftrary compjny Horneltss A¢ttii
CIC whKh L% Incovporated In England andWale* TheattNit*santl re5Urtsof this COM￿nY￿e summoiised in
note 7.
19.
Debio
fyoup
23
Groyp
Ch¥
2023
Charity
1022
2•22
Housln8 benefrt re¢eN•b
Trade debtors
prepaY￿nis, aCCfL*d income& other
debtors
280378
42.524
82.958
72.7(
280.37B
42.524
82.958
72.708
27.656
26.769
27,656
26.769
350.558
182.435
350,558
182.435
241PaAe

HOMELESS AcfioN
IFofmerly known as The A5h* Fo￿￿tion1
Notes to the Financial Stslements
Forthe year ended 30 May 2023
20.
Creditaf5: Amounts I•l￿ry willMnonÈyeaf
6rwp
zoij
fjrwp
zou
Charity
1023
Charity
2022
Bank bans and ovefdrafts
Arnovnt5 due ro Sup￿lerS
Ta%*￿Tr and national insurance
Other creditor5
A(cru￿Sand deferred incoff*
15,817
38,756
21.669
3.lJ9
140.740
32.709
20.380
24,737
3.618
118.9C6
15*17
38,756
21.669
3.119
139.660
32.709
20.380
24.737
3.613
117.826
220.201
2￿.350
219.121
199.270
C￿dItors.. Aff￿nts fallin815ue wilhihL￿eVeat1r￿lUde5 the IdlDWiTr8 li#bilrL*s. on which security ￿en
¥Nen ly¥ the chariLV and8roup'.
Group &
*rity
2023
Gioup &
2012
Bank loan5
15.817
32.709
The bank loans are secured by3 first leEal charge over 8143 Abinedon Street. 254 Homby Road. 39 and 45
Bèirstow Streei I Wo￿trtOn Avenue. 1761178 Wltsom Road. 10 Kn¢>wlÈ Avenue. The Warehouse back
Cocker knet. 23 Ccckerstreet and 264-266 Llickson Road." allof whichare situated in Otsckpo￿.
TlierÈ tsfurthersewrity provhled bya fixed and fWJ•tkne¢harye o%*rithe otheiassets of the charity.
21.
Credltors.. Amounts l•if&y due aftev rnore than
one par
Group &
Chailty
2023
Group &
Charlty
2022
Bank looThs
296.477
296323
lrfluded in crethtty5 orethefdlo*ryfi8 •rN)unts d￿)fter r[￿re than fi¥e year5..
Group &
Ch¥rity
2023
Group &
Ch¥ity
20
Afterr￿￿e than fNe years byinstalments
234.820
230,408
251Page

HOMELESS ACTION
(Fofmerly known asThe Ashley
Notes to the Financial Statements
Fof the year ended 30 May 2023
22.
Operatir¥ lease ￿p￿Tr￿MeThts and manozement 1£rttn￿ts
As* 30M•y2023 ihecharity had￿j￿lan￿ThBCornrnlIn￿n15tOTfutVre miniffwmlease Ply￿￿t% Uhtltrnon-
cancela￿e ¢Jperatlne leases mana8emefit agreements as follows".
G￿p&
Charlty
2023
Group &
Charity
2022
Less than one year
Within t￿>10 twe ye•r5
•erti¥e years
490,934
1.958.556
4.7CQ.636
453.012
1,812.047
5.257.683
7.150,126
7.522.742
23.
Related part1•5
Controlliry entity
The charlty15'cofbtrdled bytheTru5tees whoare all directory of.the cLryany.
Related partytfansartions ihthe twrent year:
DurSn8 the ¥ear the Charity pawj nK)tor costs toialffin8 £21,39912022- £1.1641 io Modern Cts55ic Car5. an
entity Whe￿TrUStee Mr S Ro￿NS0n is a memberof key mana8eff*ni.
Pre¥tyJus yearreiited portytran5aaKms were".
The net amount byihÈ Chafitvs subsidiary Shop2023 OC IFoTmeth *nDwfi as Homdess Actth C.l.Q
to Ihe Charity a5 at 31 A￿￿512022 was £3.217. As the company ha5 ceased io iradE the Diiertors con51dtr
that ￿ recoveryof the ouiStandin8 baknce is therefrffe * has ￿en written off.
261Pa8e

HOMELESS ACTION
IForm¢rly known as The Ashley Foynd*ionl
Notes lo the Financial Ststernents
Forthe year ended 30 May 2023
14.
Anatysii ol chèrithNt furtds-
Group
- unrtstrfaed ¢urt*knt￿•r
Translers
At30Mty
2022
lfitomlnB Resovrees
Res￿1£￿ Expended
At 30 May
Z023
General tunds
DeS￿nated Fund- Poplar House
Designated fund- Sunderland
2.679J34 3.189.780 12.980.5641
18315
7.668
2.886.550
25,983
36.446
2.531
12.302
48.748
2,531
15,OC#)
Destgnated Fund- l.WO Voltes
Desi8n¥¢ed Fund- M￿)1 bu5
Desi¢n4ted Fund- Black0(￿1
Hostels
Oesignoted Fund- 81•ckpLKJI Flats
23.348
23,348
26.416
26.416
Totsl fvads
2.76fi￿2 3.243.fYJ8 12.980.5641
3.030.576
Anaty515 of tharhable fvnds-
Group
. unrestrltted prior
At 30 May
IDcornl
2021 ftt3ource5 Re¥o¥rre5
iAtsthtedl ExptndÈd
At 30 Mo¥
2021
Translers
Gener•1 lunds
Desienated F¥nd- Poplar HOU5e
Designated Fynd- Sundedand
2.852￿￿ 3.618.852 13.788.692)
10.485
7.830
13.7161
2.679,334
18.315
24287
2.531
12.159
36.446
2.531
Designate¢S Fund- l.(WVoices
Desi8nated Fund- Mini bus
Des18nated Fund- Blackpool Flats
26.416
26.416
Total
2.89).J93 3.643.841 13.788,6921
22,700
2.768.042
Anatysisol th•rE￿blE fvnd¥-
Charlty
. unrestrt<xed thrrent year
At 30 M•¥ Incorn￿l Resou1tt5
2022 Iles0w￿ Expendtd
AI 30 May
zoz3
Translers
General fund5
2.767.750 3243.C88 12,980.5641
3,030,284
Total fufftds
2,767.750 3.243.(IJ8 12.980,5641
3.030,284
Analysis ol ch•fftable lunds-
thawity
- wnr¢Sit￿¢d pvi¢ryt4r
At 30May
1021
Incofflln¢ ftesources
ftesouice5
Eynded
At 30 May
20ZZ
TraThsfers
General lunds
2,886,755 3.643.841 13.785.546)
22,7C
2.767,750
Tot•1 lunds
2.886,755 3,643.841 13.785.$461
22,700
2.767.750
271p32e

HOMELESS ACTION
IForrnerty knoMTn a5The Ashley Found•iiMI
Notes to the Financial Ststements
For the year ended 30 May 2023
Is.
Analysis ol thaiitable funds. Group
& charity. re5ts1rted-Cvrrtni Trt*r
Al 31 M4V
AE50urres
2022 Resour￿3 ExpÈThd
At 30 May
Tr•nsf
Merbtal Heakh Support
Cfjrnmuniry Foundation Grant
The P4al￿nal Loitery Comrnvnity
Fund- TheA5hley Fwndar¢on
Cornmunlty Qfé •nd Hub
30,240
122,5251
7.715
12.410
124.0181
Tot*lfvhds
ii.
42.650
146,5431
7.715
Name
Oe5c¥iffjion. and pul￿Se$ olthe fund
Mentol Nealth &Jppon
Support for ihe pro¥iswJn of rnentol he4th of our residents
in Warkpool. Thi5 grant Wa5 fully used by 30th May 2022.
CAynmwiiy Foundaiion Grant
Support thrwgh the prow5w of Skill workshops inrludin8
finances. Th. LrFe ski115, SPOrt5 and leisure. voluntwin& and
job tr3inim8 inchJdinÈ h•irdrÈssin8 aniF builthnÉ.
The National lottery CommwLriy Fund - The SwpDrt For runnin8 costs of the Cornmunity Calé & Hub
Ashley FowKlat40n Community Café & Hub
during the firsi three year5 of operation. Due to COVIO-19
the fundin8 per￿. in a￿e￿ent with the Natlonal Lottery
was extended ￿ six ff￿jnths. ond the final tranche of
Iwdin8 Wa5 recei¥ed in February 2023.
Anafysisof charltsbl¢lufids- Group At 31 M•v
&<harlty- prtoryear
1022 Resourus Expefided
At30Mav
2023
Tr¥nrf*rs
Mental Nealth Supkxjrt
The Nat•)nal Lottery Communitv
Fund- Tbe Ashley Foundaion
Community Café and Mub
122.7fyJl
23.436
12.408
124.2361
11.608
Total luDds
46.136
12,408
124.4361
122,7ts)1
11,608
26. Transfers
Any stjrpjus exFenditU￿ any of the re5trKted is fromgeTher•l lunrestrKledl furlds.
Where èpplic#ble •nd whtre not prohibted under any term5 sperbfied by the donor, any restr+ctÈd lunds
Ithere it 15 Lteemedthat the assocrdtedartivtty OTpuwJse has Ceased •re likewsetransfeiredto general fund5
at the discretion of iheTrv51ees.
281 Pa8e

HOMELESS ACTION
IFofmerty known a5 The Ashley Foundation)
14otes to the Fln3ncial Statements
For the year ended 30 Mav 2023
27.
Net assets bylurAI. Group.Cu¢reiiiyeaf
Rtstricied
Furx15
Unrestrieted
Fur¥ls
Tot•1 Funds
2023
Tangib￿ fixed asset5
Cash at bank and in hand
Other currenr 355ets Illia￿l￿*s)
Creditor5 of rnwe th•n yEar
7.71>
2.440.427
756.269
130,375
1296.4771
2,448,142
756.269
130,357
1296.4771
Net asxts
7.715
3.03.0576
3.038.29J
Net assets byfund- Group- Prfor year
RestrittÈd
Furrf15
UnrestrFtted
Fund5
Total Funds
2022
Tangible fixed assets
Cash ai bank and in hand
Othernet Current assets/ IliabiliL*sI
Creditor5 of ¢rore than one year
2.321.175
773.313
129.5231
1296.9231
2.321,175
773,313
117,9151
1296,9231
li.&
.2.76B.042
2.779.650
Net a55ets bvfvnd. Chaflty. CuryeDiyear
ReArtted
Unrostsicted
Funds
Total Funds
2023
Tangible fixed a55ets
Cash at bank and hand
Other net Current assets I Ilièbllltiesl
ediiw5 of than oneyear
7.715-
2.440.427
754*95
130.375
1296,4771
2,448,142
7S4,895
130,375
1296.4771
Nrt a55•ts
7.715
3.030.576
3.038291
Plet 455ets byfuDd- Ch¥ity. Trior ye•r
Resiricied Unrertrkted
Total Fur#ls
Funds
Fyhds IRest•tedl 2022 IRtst•tedl
TawiL4e fixEd assets
Cash af bank and in hand
Other net current assetsl Iliabllit*sl
credi10￿ of rnwe than ￿e¥ear
2.321.175
771.940
128.4421
12963231
2.321.175
771,940
116.8341
12%,9231
11.608
li.f
2,767.750
2.779.358
291Page

HOMELESS ACTION
(Formedy known 35 The Ash￿ Foundatiortl
Notes to the Financial StaterneTrts
Sow the year endÈd 30 May 2023
2B.
Retontiliiiion ol net ￿￿verneDt in fvnd5 to net ts5h Ilowtrom operating artivit
Group
2023
Group
2022
1023
2022
Net rr￿rnent in lunds
Add DepreciatK)n
DedLft Interest Inco￿ shown ￿ iove51in8
258.641
52.502
1156.6791
37.149
258,641
52,502
1153,5331
37.149
19.7131
1168,1231
36.743
11.7791
15.443
186.5581
19.7131
1166,1231
36.743
11,7791
15,443
191,0601
De£rtaselllhcrta5el in debtor5
I￿r¢I*l[ln(re?5e in ¢￿￿Or5
Net ¢ash ienerated Inlused b¥operatir¢
tt￿&10QS
170,050
1192.4241
170.050
1193.7801
29.
Net dth r￿￿till•tiON- Group-Cu￿rt￿l.r
30 Mav
2021 Cash fiows
30 May
2023
Cash
Loans f•llifi£ due one ¥ear
Loans (alllnE due after￿ year
773.313
132,7091
1296.9231
117.0441
16,892
756.269
lJS,8171
1296,4771
Iltt debt
443.681
443,975
Net debt ferondliatk)n- Group- Prlor year
JO Mav
2020 Cash lJo*s
30 Mav
20ZI
Cash
Loans falling due within oneyear
Loaths falling due éfterone ￿ar
2.318.925
135.8631
1637.6381
11.545.612)
3.154
340.715
773.313
132.7091
1296,9231
N*td¢bt
1.645.424
11.201.743>
443,681

HOMELESS ACTION
IFormefty kmwn as The Ash* Foundationl
Notts to the Finan¢ial Statements
For the year ended 30 May 2023
29.
Net debt ￿tartE11￿110￿ C•nlinued-Ch*vity
30 M•¥
2022 Clsh fttsws
30 Mav
2023
Cash
Lo#hs f•llint due w*hin oneyear
Loans fallin¢ due after one
771.940
lJ7.0441
16.892
446
754.896
115.8171
1296,477>
1296.9231
Net debt
442.308
294
442.602
Net debt Fe(Onclllat￿n- (h•ffty- Prknr¥ear
30 May
2020 Cash Ibws
30 Mav
2012
Cash
Ltsans fèlllng within one ￿r
ioansfallingdue alterone year
2J18.908
135.8631
1637.6381
11.546,96BI
3,154
340,715
771.940
132,709
1296,9231
debt
1,645A(
11.203.(V391
442.308