Company RwlBtrnlon Numb•r: 03579654
Charfty N￿n￿r 1070681
SHOC, SLOUGH HOMELESS OUR CONCERN
COMPANY LIMITED BY GUARANTEE
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED
31 MARCH 2022
Knights
11 Milbanke Court
Milbanke
Way Bracknell
Berkshire
RG12 1RP

SHOC, SLOUGH HOMELESS OUR CONCERN
COMPANY UMITED BY GUARANTEE
REPORT & FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31MARCH 2022
CONTENTS
PAGE
Members of the Board and Professional Advisers
Trustees, Annual Report
Accountants, report
Statement of Financial Activities
Balance Sheet
Notes to the report & financial statements
10
IIPage

SHOC, SLOUGH HOMELESS OUR CONC&IN
COMPANY UMITED BY GUARANTEE
REPORT & FINANCIAL STATEMENTS
FOR THE YEAR EN[￿ 31 MARCH 2022
Registered charity n8
Charity number
SHOC, S￿￿h Hometess Our Concem
1070689
Company registseon number
RegiSte￿j ofr
03579654
Quakers Meeting House
74 R4slone Road Sjough
Be￿$Thire
SU 2PX
Trustees
Mr. R B Waite
Mr. WA Madge
M$. F Garrcé
Mr. J Cannon
Ms. C Al-Hashlml
Mrs. R Odedra
Miss P Soares
Ms. N Valbis
Ms. A McGuiTe
tountsnts
Knights
11Milbanke Court
Milbanke Way
Bracknell
Bethshlre
RG12 1RP
Bankers
The Royal Bank of Scotland
67 Hth3h Street
Slough
Berkshire
SL1 1BZ
Metm Bank
1 Southampton Row
London
VK1B SHA
CCLA Investment Management LimWÈd
The COIF Charitres 08Fosft Fund
St Aphsge House
2 Fore Street
London
EC2YSAQ
Solicitors
Messrs Fairthild Dobbs
1 8u15trade Way
Geffad Cross
BL￿kinghamshITe
SL97QT
21PaBe

SHOC, SLOUGH HOMELESS OUR CONCERN
COMPANY LIMITED BY GUARANTEE
REPORT & FINANCIAL STATEMEIITS
FOR THE YEAR ENDED 31 MARCH 2022
TRUSTEES. REPORT FOR THE YEAR ENDING 31 MARCH 2022
The trustees Iwe pleasure in presenb'ng thelr report and the unaudited report & financial statements of Il* £￿ty *x
the year ended 31M¥ch 2022.
REFERENCE AND ADMINISTRATIVE DETAILS
Referen￿ and 8dmin15tratlve detsils are shown in the Sehadule of rrmibus of the board an¢J prof￿91c￿al advisers on
Page 2 of the reFQrt and flnandal slatements.
THE TRUSTEES
The trustee5 who served charity during the pertod ￿re as follows:
Mr R B Waite
Mr WA Madge
Ms F Garrod
Mr J Cannon
M5 C A*ashimi
Mrs. R Odedra IAppDlntrr*nt May 20221
Miss P Soares
Ms N Vallois
STRUCTURE, GOVERNANCE AND MANAGEMENT
SHOC is a ¢harltsble company 16mlted by guarantee. It Is governed ty a Memor8ndurn and ￿tideS of AssocK4ton.
SHOC has seven directoryJ wffto rrttt S times a year ¥Ath the CEO and the ExecutNè Team. The wc4ect ThHnager runs
the Day Centre and refers wt icy matters to the CEO fordecision.
APPOINTMENT OF DIRECTORS
Thè recruitment process is run by the Chair of Trustees and overseen by the CEO. Tho Bowd identifies the 8ki118 ¥thich
rt needs wlthin i( and then sdvelyseeks people ¥Ath these skn'lls to apply to become • Trustee ofthecharity. Can¢Jthtes
are wuir&S to complete an appltcation form setting out details about theMse￿tt arhd their suitabllty for1Nsteeship.
These applKalions a￿ treated on a c￿￿dential basis, reviewed by Ihe Chair of Trustees and the CEO and matrhed
against the sllls crlteda estsblished ty the Board. Prospective tnmtees are invited to attend a nurnbwof Board reeting
as ab cbseNer. The directors are elected by Ihose attendlng the TnJst88 Meeting.
DIRECTORS. TRAINING
Because poor 9ovemance Costs more than ￿rning to govern well. the Board invests in its govemance capacty.
Trainlng and re-training are used to orient new members aswell a5 inLYease e￿5￿"ng members, skillsand und•rstsnding.
Both Chair and Vice Chair recei￿ specific IRining os necessary regarding chairing meetr'ngs the Board attend an
annual day away. Outside monitoring a5SY8tance Ss alsa arranged 80 that the Board can exercise confidenlcontrol over
organlsab'onal performance. Mechanisms are used to en¥ure the Board's ability to listen lo the bEnef￿arleS, viewpoints
and valués. Govemance costs are prudentthough notat theexpenseofendaThJerfng the deVèlopm￿t8Th1 molntenance
of SUpe￿r capability of Ihe Board.
31Page

SHOC, SLOUGH HOPAELESS OUR CONCERN
COMPANY LIMITED BY GUARANTEE
REPORT & FINANCIAL STATEMENTS
FOR THE YEAR ENDÉD 31 MARCH 2022
TRUSTEES. REPORT FOR THE YEAR ENDING 31 MARCH 2022 (CONTINUED)
OWECTIVES AND ACTMTIES
PRINCIPLE ACTMTY
SHOC creates public benefft by providing, wthin a saf& fn'endly enwonment a comprehensi¥8 P￿kage of to
homelessness, ¥oual exclusion. and heatth issues and lo help peLyl8 maintain tr£ir 8cmM￿￿yJ8tion. The long-tam
aiTh is to enable people to be reintsgrate¢J into mainstream socyaty.
PUBLIC BENEFIT
In accord8ncewth theabove oblectlves farthis year. and with due regard to the published charitycommission guidan
on the operallon of the Public Benefit requiremnt of the Charities Act 2011, the Directo￿ have undertaken appropriate
aGlr¥ities in furtherance of those alms for the public benefft. Th15 ye*8 activities. achievements and futwe plans are
summarlsed below.
ACHIEVEMENTS AND PEFRFORMANCE
The Ststernent of Financlal Actwities is set out on page 7
Everyone ha8 the right to a 1￿me or at least a bod for th• nighL
Our day ¥ervft£ exists becau8e Slouglt has no dear pLan to end rou￿) skeplng, 80 we WIN continue to provlde life6aving
8eNic*& unb'l we end the need for anyone lo sleep fough in Slough.
Thks year we helped 280 people sleeping rough in Slough.
Ew doy ￿ assist on avgrage 26 people. provided 5,413 hot meals. 2.336 Show￿8, 1,407 ilems of dothing and
2.187 hours of coa¢hing. 69% of our guests had a drug or alcohol PrOb￿M, 48% of OUT guests had a tr￿ntaI t*aN
problem, 35% of our gL*5ts had a probkm with their health and almost hdf of our guests h&J no recourse lo puUic
fund& We ware able to access trea¢r￿lI for haff wr g￿sts bvt onty 9% moved off th streets into howng.
Next year h&¥e plans to work c108er th Slough 8orough Coun￿1 and our pwtner Tririty to Fyovide more howng
O￿on5, help ff￿re people off the streets and to help crèate a houslng pathway that wlll end roioh sleeping in Sough
for 9000.
Reserrfes al 31st March 2022 was £102.68812021: £164,008).
During this finanaal year we have been successfvl in receiving grants to cover the irnpxl oflhe COVED 19 pandembG
while the organisats'on is exploring a new business as usual model of operations. The Trustees aim to operate on a
break-even basis tsking one year WI￿ another after woviding the appropnate range of services to our clients. have
reported a def c4t of £61,320 for the financial year ended MarGh 2022 (2021.. £18,457 surplus).
RESERVE POLICY
A8 SH￿ Is almost entirdy thjnded from 8hort-term grants which may not be renewed the pJiGy is lo retain in excess of
3 months operating Costs in cash within our unrestricted rese￿85 which at current level8 ofexpendifvre requires a figure
in excess of £55.826 {2021'. £50.(W)01. On 31st March 2022. unrestricted generd reselves were a)Dve the level required
to meet the Board's pollcy.
41Page

SHOC, SLOUGH HOMELESS OUR CONCERN
COMPANY LIMITED BY GUARANTEE
REPORT & FINANCIAL STATEMEIITS
FOR ThE YEAR EPLIED 31 IMRCH 2022
TRUSTEES, REPORT FOR THE YEAR ENDING 31 MARCH 2022 (CONTINUED
FINANCIAL REVIEW
RISK REVIEW
Major risk8 Identified by the directors or trusteas Include.. seujring new g￿ts to ffijnd the servic4s arKI financral sell-
SU8ts'nability. InSurar￿e policw are in place C4)vering employers and Publ￿ liabilty, trustee's liatillty. bulldkng and
nt¢rrta.
PLANS FOR FUTURE PERIODS
Next year we have F￿5 to work closer Slough Bwough Coundl and our partr￿TS Trinlty to provide m(xe houslng
¢)ptions ond help m¢*e people oflthè streets and to help create a IK)u$lng pathway thatwll end rowJh pJ¢•pNI9 in sfough
for gc4)d.
RESPONSIBIUTIES OF THE TRUSTEES
The IN￿tee5 are re8p)nsibJ• for weparing the Trustees Annual Report and the re￿rt & fin￿¢1¥1 Blat•m•nts in
aLr0rdan￿ with appllcable law and reguW'on& '
Company requires the trusfeeg to prepare a report & finanryal statements for each finarKil year. Under that law ihe
trustees have elected to prepare the repNt & financi818tatements In ￿ordance wth United Kingdom General
AC￿pted Accounting PrxtKe Iunlted Kingdom Accounting Standards and applicable law). The report & financial
statemnts required by law to gNe atn* and fairvlew ofthe State ofaffairs ofthe charfty and of the surplus (*deffic4t
of the charity for Ihat pwbd.
In fft￿n9 these reput & finarKial statenwts, the ITh￿ are required to: ¥eknt 5uitabk xc¢)untlng poltcieg wd
then •p￿Y them consistenmy,. makelud9ements and estimates that are reasonable and prudent,
prepare the report & flnanc5al st*ments on the going concem basis unkss it is inappropriate tQ P￿I￿ne that the
charty wll continue in operation.
Tw5tee¥ are reSp￿SitIe for keeping proper ￿tOl)nting ree*>rd8 whk* di8clcAe wilh reasonable atturxy at any time
the finar￿la1 powb'on of the charity and which en8Ne them to ensure that mF<Jrt & Ilnancial 8tatery*nts conyty with
C¢Jrnp3n*s kt2006. The
Trustee8 ore al¥0 resp)n8ible for safegUard￿g the assets of the charity and hence frjr I*Nig rea80nabk steps for the
prevenknn deteclion of fraud aNI other Irregularbtles.
Signed fAder oltrt trustees
Ms A McGuire
Charity Secretsry
Oate: 7th Novemter 2022
SIPage

SHOC, SLOUGH HOMELESS OUR CONCERN
COMPANY LIAIITED 8Y GUARANTEE
REPORT & FINANCIAL STATEMENTS
FOR IHE YEAR ENDED 311AARCH 2022
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF SLOUGH HOMELESS OUR
CONCERN (SHOC
I report to the Gharity trustees on my examination of1he ac¢ounts of the Company for the year eNlèd 31 March
2022. whlch are set out on pages 9 to 1.
Responsibilities and ba818 of report
As the thariW$ Irustees ofthe Company {who a￿ 8160 the (threctors ofthe company for the puiposes of company
law), you are responsible for the preparation of Ihe accounts in accordance with ts ￿quIrernents of the
Companies Act 2C#36 fthe 2008 Art).
Having satisfied myself that the accounts of the Company are not wuired to be a￿lited for this year under Part
16 of the 2008 A¢t and are eligible for independent examination. I report in ￿$￿￿t of my examination of your
charivs accounts as carried out under section 145 ofthe Chantr'es Act 2011 {'Ihe 2011 Acf,). In ¢arrylng OLrt my
examination. I have followed the Direcb'ons given by the Charity Commission (under 5eth.on 14515)(b} ofthe 2011
Independent examinerf8 statement
I have completed my examination. I confirm that no matsrial m2tters have ￿rne to my attention which give5 me
cause to believe that..
. accounting records were not kept in a¢¢ordan¢e bmth section 386 ofthe Companies Act 2006; or
. the accounts do not accord with suGh ￿¢￿[d$,
or
. the accourrts do not comply with relwant accounting requirements unds section 396 ofthe CornpanEs Act
2006 other than any requirement that the arKount$ gr¥e a 'true and fail view which is not a matter Considered
a5 Part of an independent examination..
or
. the accounts have not been prepa￿d in accordance with the Charities SORP FRS (102).
I have no concems and have come across no oth8r matters in connection vAth the examination to which attenthjn
should be d
in this report in order lo enable a proper understanding of the accounts to be reach*S.
Knights Chartered Acc￿￿￿nts
11 Milbanke Court
Milbanke Way
Bracknell
Berkshire
RG121R
Date.. 11 AJOJe￿￿ IDZ
61Pa8e

SHOC, SLOUGH HOMELESS OUR CONCÉAII
COIIPANY UMITED BY GUARANTEE
REPORT & FINANCIAL STATEMENTS
FOR IIE YEAR ENDED 31 MARUI 2022
STATEMENT OF FINANCIAL ACTIVITIES (INCLUDING INCOME AND EXPENDITURE} FOR
THE YEAR ENDED 31 fdlARCH 2022
T•thi
T4*1
F¥nd•
Ftsn
111•J•
1&710
292.425
141
146
21&026
214 yrd
44TIT
(X43WI
14457
The Stknnt ol ktivths irdudel •11 g•ln8 and losses in the yeor and thereth a stslement of total
8nL*ed gatrw and k)￿e1 has nol been prepAred.
71Paee

## SHoC 

## **SHOC, SLOUGH HOMELESS OUR CONCERN COMPANY LIMITED BY GUARANTEE REPORT & FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2022** 

## **BALANCE SHEET AT 31 MARCH 2022** 


**----- Start of picture text -----**<br>
NollB  2022  2021<br>I  £<br>FlxedASRb;<br>Tangibe Assets  10  756  3,779<br>CurrentA1111815<br>Debtors arxl prepayments  11  718  693<br>Cash at bank end in hand  149.6 54  l9 U96<br>150,372  193,089<br>Credi ton: Amounts faDing due wltfl n one ymr  12  14. [+] l f8l<br>Net Cunent Asse1S  101,932  160,DO<br>Total__,. .._ c:umnt /labll tim  102,68 J6f,009<br>Nat AsllllD  10  fill  iM009<br>Income fund<br>Unrestricted funds  13, 14  1 [0] ?.ffl  16,(i<br>102,68 J6f,009<br>1D1g i  /f( l(lg_<br>**----- End of picture text -----**<br>


**For the year ending 31 March 2022 the company was entitled to exemption from audit under section 477 (2) of the Companies Act 2006. The members have not required the company to obtain an audit in accordance with section 476 of the Companies Ad. 2006.** 

## **The directors acknowledge their responsibility for:** 

- **1) ensuring the company keeps accounting records which comply with Section 386; and** 

- **2) preparing accounts which give a true and fair view of the state of affairs of the company as at the end of the financial year, and of its profit or loss for the financial year, in accordance with the requirements of section 393, and which otherwise comply with the requirements of the Companies Act relating to accounts, so far as is applicable to the company.** 

**These report & financial statements were approved by the members of the committee on the 7[th ] November 2022 and are signed on their behalf by: .** .. **..** . **..** . **..** . **.** .. **.** .. **..** Ji f11V1 � **William Alan Madge** (f 

**William Alan Madge Trustee Company no.03579654** 

**sr page** 



SHOC. SLOUGH HOMELESS OUR CONCERN
COAIPANY LIIITEO 8Y GUARANTEE
REPORT & FINAIICIAL STATEIAENTS
FOR THE YEAR ENDED 31 IIARCH 2022
NOTES TO THE FINANCIAL STATEMENTS IUITHE
YEAR EPIDED 31 MARCH 2022
1 Ac¢ouDlthg pofKI••
Company Inforni•tlon'
oddr•tstsflhe olPrt¥1sgr¥eFtw Ihe l•g•l WKI a¢knN¥btra￿lnfirt(￿ pw. Tre naiureoftrw ¢*wlY8
ratityw pn"n￿￿1 •(knlbe• ¥¢ day t￿l￿ding prx*i¢al •upport to end 1￿me1¢¥￿*s• In Slough.
1.1 Acmunlkng Mnv•nllon
Th• rnport &ln8ncbl 8tsl•m•n18 havg h•n ￿par1d under the hl$loriethl c¥)st￿n￿nI1on Jnd n J(told￿Ce with
•Fplicatl• Unl￿￿ actfjunling sland•rd•. th• Stat•nèntof Reee4nm•nd•d PrJ¢fjr•"Arxfjurfrffj Reportlng
C￿11￿￿. 2CN (SCNgP W wwj C￿ll￿nIeS Art m.
flrAndal 8latom•nts w• Pr￿l¥d In stwlng. *thich l• the fvn(*cxwl (x4rr•n¢y ofllw chwltth •. Pl(¥*y
I￿￿nIS in thett fmrK4•1 ¥• M￿d•d kn th•n•w•st pouThl (È).
fln8ndal staternents hab* I￿en prepared under the h+8￿1¢4 cost rthv•nlon, moth"fiedto indu41 ts rBvalu¥l
ol froehohj wopth and ts indLKlo in¥•¥tr￿t prop•iti•s and c￿rt￿n IMnd•l kwtrlrnnts at f•'r¥•lu•. Th• ￿ndp91
•¢>)wn10ng wliries •r• Betout beb*.
1.3 Charltabl• ftmd•
Uno*iL*gd gèntrnl fun¢J•- th••e•relund8 whkh C￿ bè uo•din accothc• ￿th the olarllabkn cèl•d•ql ts dlgcTrlon
ofth• direc#orn.
1A
an be rneaNured Mli*ly. and il i• More likety tsn not that incr￿e will be rec4lved.
C￿h￿on&bon5 ar¥ recopnlwd Onr8￿￿4. Otherdonatloni rewised cffjc•the Chtyh•6beennobhdoltr*donation
url•M Ftrfomia￿ candMon• of th¥ wrtwnL In￿m• tax re￿ti￿ to doMlon8 rec4i¥ed
uThlor Glft Aid of¢own•rrt kn r¢ra)gn*•d •t th• kn ofU* dMJbon.
91page

SHOC, SLOUGH HOMELESS OUR CONCERN
COMPANY LIMITED BY GUARANTEE
REPORT & FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 IIARCH 2022
NOTES TO THE FINANCIAL STATEMENTS ItR THE
YEAR ENDED 31 MARCH 2022 (CONTINUED)
1.5 Exp•ndltur•
EX￿lIu￿ IB acojurrtod filr on w g(uua1 ba8*. IfKlusl¥8 01 VAT. Cerfain expethire 1$ thdly attthrtable to
spedk actr¥iti88 has be￿ Oll￿aled to th05ecoBI ¢at•gorfj8s.
1.6 Ca•fft flow ¥Jtal•m•nt
IN$tet$ hJ¥e taken alhantage of the exqrnpbon Sn Fir*oncial ReportlTrJ Stsndord 102 (re¥ised) frvm I￿￿¥JIng • wh
fiow stakn￿t In fv rewjrt & fin*Kial slatements on groLThI8 thalU* charfty ts smdl
1.7 T•nglble faed as8•ts
Tangble ffixed assets Are knitialty rnoar4Jred at f4)st •nd eubsequenty nwasur•d 01 Ll)St or ￿￿e11)n. ￿t of
d•predathy6 And wy lrnplnn¢nt10s￿.
Depredallon is recogni6wJ 80 as lo wr518 off the cost or valual*)n of as¥ets l•s8 their residual value8 0s*r their
on the foll￿￿Thg bales..
The gain or k4s O￿Trg on tr* dsposd ol an as￿ 1$ d*tewrnined a8 the dlfference bolW8￿ th• sae woc••d$ tr*
cwryirtg wal￿ olthe asset rec¢4Jni$ed in n81 IncoThrfax￿th1Yré} fcf the year.
ObYrth• Thm¥lrAngtym) of the lease
25% cffj a 8tr8lght-fm8 basls
25% on • itrnight-line baals
Flxtsres and thg8
Eqlti￿e￿t
1.8 Hollday pay a¢¢ru*l•
The ￿)IldayS period fvr all staff 1$ frrjn 1¥ ￿￿ary lo 21￿ Decxmbèr arKI th• c4>mpan*8 rA)Jky ￿ utllse entiuen
wlthin the perfod. A 18 ffl8￿ ¥1 the •x>)unt for unused hclhdayB atthe •nd ofth•fflnAndal yw.
IOIPage

SHOC, SLOUGH HOMELESS OUR CONCERN
COMPANY LIMITED BY GUARANTEE
REPORT & FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31MARCH 2022
MOTES TO THE HNANCIAL STATEMEPITS ICOMflNUEDI
FOR THEYEAR ENDED 31 MARCH 2022
1.5 Expondiluro
Expenditure is acv)unled for on an a¢xnRI basis, indusive of VAT. CertaSn expenditure is thredy attiibulabl8 to
specific activities ¥nd has been allocated to those cost &egori¢$.
1.8 Cash flow statement
The tnJstè8s have laken advantage of the exemptlon In Financial Reporting Standard 102 Irevisedl from induding a cash
flow statement in the rerx>rt & fmancial statements on the grounds that the charty is small
1.7 Tanglblo Ilx¢d assets
Tangible fixed asse1$ are inthalw m8asured at (zjsl and subsequenlty measured at Cost or valuati￿, net of
depreciation and any impaim)enl losses.
Depreiyalion 1$ rfjcognised so as to wrile off the cost or valuation of assets ￿$$ their resldual values over their usthl
lives on the following bases..
The gain OT ks$ 8ri$ing on the disposal of an a8sel is detemiTn•d as the dIffe￿nCe befvRen the salè prrteeds and the
carrying value of the asset and is r•¢ognised in net incomellexpendituie} forthe year.
Leasehdd Improvements
Fixtures 2nd fittings
Equipment
Over the remaining tern of tha lèase
25% on a straighl-line basis
25% on a straight-line basis
1A Hollday pay accruals
The hdiday$ peric￿ for •ll Staff 1$ from 11t January to 31* De￿rn￿r ¥nd thè companls Fdicy to utilise holiday enlillement
withln tha ￿riod. A promsion is made in the ￿CoUnt for unused holmlays al the end of the fjnancial year.
IIIPage

SHOC, SLOUGH HOMELESS OUR CONCERN
COMPANY LIMITED BY GUARANTEE
REPORT & FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31MARCH 2022
NOTES TOTHE FINANCIALSTATEMENTS ICQNTINUEDI
FOR THE YEAR ENDED 31 MARCH 2022
2. Volunlary Income
Toial
JSA¥
athEsAd
irAy FtyJnJBu
146
¥3
HNViCCts•J 19
Lottery 19
Humdess thk
ODn&*ns
v￿% Faff
14707
37.731
Trn¢thk
14.5
14512
73Y7
7>567
714
3. InGorning re8oureo8 from activiti¢$ for gerv4r*ting tunds
21
0145
6L45
zxo
Invesknent incorne
20
2021
8anklrt&Tr
121Page

SHOC, SLOUGH HOMELESS OUR CONCERN
COMPANY UMITED BY GUARANTEE
REPORT & FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31MARCH 2022
S. Funthalslng ¢08t ef goods 801d and othor ¢08ts
Toiaf
146
NOTES TO THE FINANCIAL STATEhlENTS ICONTIMUEDI
FOR THE YEAR ENDED 31 AIARCH 2022
6. C¢>sts of charftable activitiÈ& by fund typ•
•19•A
221*51
214
7. Net Incomirvjrfoutgoingl r•sourc•s for the yearafter charging:
Th15 6 after charglTr4:
2022
2021
D•pr4clatl3n
3,024
8. Staffing
20
202J
¥trtge rrKYtW number l emr*es ¢knrwJ the ￿r was:
M Ilme stsff member
2QZi
Wages and sakrtes
I seaJrtyoJ5ts
Pen*1 t￿n$t
151,994
11,195
199
IZ8SJ
Tr* di￿￿¢*5 are ox61dered tobe ttE key cl the th?rtty orxl bky retnur*Rkn120X: Nfj). t¢Wher
seThYr ManaGemert Team d the p)r￿t thfty.
The Serk( Plana￿￿￿Trt Team we remunerareo parent thJrfty4Tra rEc2ive rKJ remwattcfi f¥cffi NtrY￿je$S Ow Gxorn IsFKIQ12021: Mr).
There We￿ rK> ￿kne$Wh)se arnL4I [emu*raik￿ wa5 nxye.
9. Taxation
Slough Homeless Our Concem (SHOC) 18 # reglstered charity and is therefore exempl from liabilty to taxation ￿ 11$ i￿)me and
capiial gains.
131Page

SHOC, SLOUGH HOMELESS OUR CONCERN
COMPANY LIMITED BY GUARANTEE
REPORT & FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31MARCH 2022
MOTES TOTHE RIIANCIAL $TATEIAEKr$ IcopiriNUÈDI
FOR THEYEAR ENDED 31 IAARCH 2022
10. F￿td 4W•t•
L••Mhold
Improvements
Ewlpm•
Cost oi v•luath)n
At l Aprll 2021
3,095
11095
At 31 Marth 2022
At l 2021
charge for ￿ year
Di￿￿￿saI$
6,188
1250
2,128
316
1023
At 31 March 2022
901
At 31 March 2022
562
194
756
At3J 14arth 2021
812
$7$7
11. D•btorn
Am4Junt fallry duE
2021
Trade
Tr¥ty Homeles5
Prepwnrts
235
718
12. Credltorn f•lllThJ due within on• y•ar
2021
Trth ueditors
dl tay
Pensi
Trffj Ptoh
1,120
3,095
2J,452
139
142
141 Page

**SHOC, SLOUGH HOMELESS OUR CONCERN COMPANY LIMITED BY GUARANTEE REPORT & FINANCIAL STATEMENTS FOR THE YEAR ENDED 31MARCH 2022** 


## **NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 31 MARCH 2022** 

13. Unrestricted income funds 

|<br>**Ge Fods**<br>**Tot fund**<br>14. Analysis of net assets beteen funds<br>**Generl unrstced reseres**|_Blnc at 1_<br>_,r 2021_<br> <br>**Iom**<br>**Editr**<br>**£**<br>**£**<br>**Ble a 31**<br>**Mah 2022**<br>**£**|_Blnc at 1_<br>_,r 2021_<br> <br>**Iom**<br>**Editr**<br>**£**<br>**£**<br>**Ble a 31**<br>**Mah 2022**<br>**£**|
|---|---|---|
|||_164,XJ_<br><br>**161198**<br>**(223,3}**<br>**10?6**|
|||_16«_<br>**161**~~**1**~~**98**<br>~~**C**~~**2**~~**2,3 l**~~<br>**1oi6**|
|||<br>**Tagibe**<br>Cumt�/<br>Pt<br>**Liailte**<br>**£**<br>**£**<br>**755**<br>101,93<br>**755**<br>**101l9JJ**<br><br>**Toa**<br>**£**<br>**1026**<br>**10?6**|



14. Analysis of net assets between funds 

## **15. Ultimate controlling party** 

The ultimate controlling party is Trinity Homeless Projects, a company limited by guarantee registered in England, number 06047635 and a registered charity, number 1118222, which is the sole member of the charitable company. Its principal activity is that of providing housing to homeless people. Consolidated financial statements can be found on the Companies House website. 

## **16. Related party transactions** 

No payments were made in respect of any directors or their connected persons. 

At 31 March 2022, Slough Homeless Our Concern (SHOC) had a balance of £39,945 (2021: £21,452) payable to Trinity Homeless Projects, the parent and ultimate controlling party of SHOC. 'There was nil amount owed by Trinity Homeless Projects (2021: £250) for transactions which had arisen in the year. 

Trinity Homeless Projects raised a management charge of £6,360 (2021: £6,360) to cover the cost of running SHOC during the year. 

This amount is shown within administrative expenditure in the charitable expenditure note within the SHOC financial statements. 

151 Page 

