www.sacmhf.co.uk
A N N U A L R E P O R T 2021/22
SACMHF is a company limited by guarantee Registered in England 4004120 Registered charity number 1082017
CONTENTS
| 01 | Statement from the Chair |
|---|---|
| 02 - 06 | Chief Officer Report |
| 07 - 10 | Health & Wellbeing Manager's Report |
| Ujima | |
| Tech Connect (Digital Inclusion Support) | |
| 11 - 13 | Office & Finance Manager's Report |
| 14 | Communication Officer's Report |
| 15 | Wellbeing & Recovery Worker's Report |
| 16 | Men's Wellbeing & Recovery Worker's Report |
| 17-18 | Kickstart Apprentice - Joseph Hill |
| 19 | The iMATTER Youth Service |
| 20 | Building Futures Service - Ex Offenders |
| 21 | Co - Production |
| 22 | Statistics |
| 23 | User Satisfaction Survey |
| 24 | Staffing & Management Structure |
| 25 | Aknowledgment |
Statement from The Chair
It is my delight and pleasure to extend my greetings to fellow Board Members, staff, service users, Funders and supporters of Sandwell African Caribbean Mental Health Foundation. I want to congratulate you on the performance of the last year and the marvellous work and contribution that the organisation has given to the wider Community.
As an organisation we are pleased to welcome the new members to the Board and I know the organisation will benefit from the contribution that will come from them in the future, and I am sure that Sandwell African Caribbean Mental Health Foundation will be able to achieve the plans and objectives to be able to deliver the best services to its service users and the wider community.
We have seen the organisation grown in strength and delivery to the community and Service users and the credit must go to the staff and managers at the organisation.
Therefore, in my role as Chair I am delighted to be able to work not only with the Board of trustees, but also with the Chief Executive Officer, Patricia Johnson, Sandwell Council, Councillors and the staff at the Kummba Centre to be able to deliver the plans for the organisation.
I know that the future is in an uncertain place, as we see the pressure that has been placed on our society in terms of increase in all areas of life, but I am confident that the organisation is in a good place and will be able to overcome the difficulty that this time has posed.
We will move forward together, plan together, and deliver together, as an organisation our focus is on delivering to our service users and wider community, and I believe that if we remain focused on our objectives we will achieve this.
BISHOP DONALD WILLIAMS
Chairperson
01
Chief Executive Officer Report
The year commenced with the usual rigor and energy employed to identify funding to support new service development and funding to support the core functions and operations within the charity. Working through the pandemic and adapting our delivery models had served us well since March 2020 and this method of implementing a flexible approach benefitted the people who use our services greatly. It is important to note that this could not be done without the commitment of our growing paid and unpaid staff team and for this I thank them for operating fully within an uncertain and at times during the pandemic scary external environment during the pandemic .
Strategic Developments
Llyods Bank Foundation
The covid-19 pandemic has been challenging in many ways. Like many other organisations we were required to implement a raft of changes designed to support the continuation of our service delivery. Many of these challenges concerned upgrades to our IT capabilities. This came at a huge cost to us, and our funds were depleted as a result.
The pressure to increase our core funds was ever present and we managed to successfully secure a grant from Lloyds Bank Foundation over two years. Recognition of our work was received from the grants manager and his chief executive officer.
From Struggle to Freedom
We commenced our programme of events for Black History month in October 2021. This formed a series of Black History Seminars the final one of which is yet to take place. The seminars sit under our strapline of ‘From Struggle to Freedom’. The evening seminars have been well received and created much discussion.
Struggle to Freedom Seminar taking place at Kuumba Centre
02
Nicola Richards MP For West Bromwich East
We were approached by Nicola Richards MP for
West Bromwich East to ascertain if we needed any support from her and her team. Nicola had got to know us during the early stages of the pandemic, and she came to visit us at the Kuumba centre. This led to Nicola speaking to Mat Hancock who was the then Health Secretary about our work in the House of Commons.
Since then, Nicola has delivered a surgery at the centre to support the people who use our services. The surgery was welcomed and carried out safely. It would be remiss of me to not mention Harry Lofthouse, a caseworker from Nicolas’s office. Harry has been a huge support to us dealing with some specific issues on our behalf. Their support for us has endured the last couple of years and we have benefitted much from their efforts.
Independent Income
Our annual strategic development Planning Day 2019 prior to the onset of the covid-19 pandemic focused on income generation.It was agreed that planning should commence to develop a trading arm of the charity. This would serve to add a independent income stream to our revenue.
The covid-19 pandemic slowed our progress but in 2021 we were able to return to our plans which commenced with an application to the Social Investment Business for a grant to provide business planning support and additional hours for the Business Development Manager to increase his hours to support a greater focus on developing the trading arm.
The application to the Social Investment Business’ Enterprise Development Programme (EDP) was successful and we are working through that programme now. The Foundation for Social Improvement provided the business planning support and the EDP provided peer support, finance support and regular up-date meetings with the grant officer. The grant officer is part of the Association of Mental Health Providers and our charity have now become members. The trading element of our charity is underway, and I will be able to report more fully next year.
03
Governance
Being part of the EDP meant that we received professional advice pertaining to areas of development that would support the sustainability of a trading arm. One of these areas was to augment the board of trustees as our board was small. The Lloyds Bank Foundation have an initiative where charities can advertise their trustee recruitment adverts and Lloyds Bank Foundation would match them to the Lloyds Banking Group employees who were looking for Trustee positions. Through this initiative we recruited Richard McDonald who had finance, marketing, and mortgage experience. He was a good fit for us, and he is an active contributor to board activities. We were on a roll, and we subsequently recruited Bobby Pujeh who is a senior lecturer from Wolverhampton University and who has a nursing background. Since taking up his position as Trustee Bobby has enabled us to widen our role in the student placement programme with the university which will allow us to increase the level of prevention work, we do with the people who use our services.
Kickstart Initiative
We continue to be members of Communities in Sync (CIS) which is a local consortium that is comprised of local charities/enterprises who work together to deliver a range of health and wellbeing services. The governments chancellor announced the Kickstart scheme to support to increase the employment opportunities for young people.Had we not been members of CIS we would not have been able to benefit from the chancellor’s scheme. This demonstrates the importance of working as part of a consortia for small charities like SACMHF. We recruited and supported two Kickstart employees for funded period. Their work was outstanding, and we were delighted to be able to participate in this opportunity.
04
A snapshot of beneficiary outcomes
Our work means nothing if we cannot report on the achievements of our beneficiaries. This year will represent the first year we will report fully on our impact. This report will be published later this year. However, the outcomes below are designed to show what people can achieve with robust culturally sensitive mental health support.
CASE STUDY 1
Case1 (C1)is a young lady who was referred to the service to receive support to reduce her social isolation and better manage her mental health. C1 was lacking stability in her life and had little social support. During her time with Sandwell African Caribbean Mental Health Foundation, she has secured a place at her local college to study Paramedic Science, she has settled into a new home and maintained positive mental health and wellbeing, even sharing this with other services users by holding her own mindfulness session.
CASE STUDY 2
Case 2 (C2) is a 31 year old male of African descendant. He spent most of his time living in residential supported accommodation. He needed social interaction and activities during his day because he would not leave the building unescorted. In his early days when he got his flat, staff had to meet him at his home. With time and patience staff encouraged C2 to go to the local shops and then later to attend a gym. C2 became more independent and started visiting other places; He became more confident in visiting Kuumba on his own and other local venues. As his confidence improved, he started doing several courses; SIA (security), First Aid, that lead him to start work at various events; Door supervision, G9 summit and football matches. C2 has started work as a carer and has plans to start his own cleaning services in the future.
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Case study 3
Case 3 (C3) is a young black British born male - who after losing his grandmother became very withdrawn and started to isolate himself. He was referred to the Kuumba Centre by his mother. Staff rang and spoke to C3 about his wellbeing and encouraged him to pursue his future in education. After a short period of time C3 applied to university and started working part-time. Staff keep in touch with him fortnightly and support him on his life's journey into university. C3 still receives wellbeing calls from staff and welcomes the support.
CASE STUDy 4
Case 4 (C4) is a mature female aged 68 year old who is a Black British Caribbean who has mobility issues and has been using the Kuumba for several years. C4 has been involved with different activities over the years, attending, holidays abroad, day trips, cultural activities, Ujima and various workshops within the centre. C4 has been an advocate for the Kuumba, attending seminars outside of Sandwell. Recently she attended a couple of workshops by the organisation “POhWER” (advocacy), where she made a good impression with them. They asked her if she would consider applying for a post as a volunteer. Case 3 applied for the post with support from the Kuumba Centre and was asked to attend a 2nd interview and passed. “POhWER” offered her the post and supported her into the role.
We are following a new trajectory where we work towards a mixed income economy where independent income is significantly increased becomes a reality. This has and will continue to warrant a steady focus and diligent approach to our ongoing operations and strategic flow. The external environment has shown that inequality and systemic racism has been allowed to co-exist and as a result Black communities report a tendency to have poorer experience and outcomes than their peers across a range of sectors. There continues to be a need for our culturally responsive mental health services, and we will endeavour to raise awareness in those who fail to acknowledge why we exist. Our key focus is the sustainability of our charity enriched by the participation of those who use our services.
Pat Johnson
Chief Executive Officer
06
Health & Wellbeing Service Manager's Report
Wellbeing & Recovery Team (Outreach)
The Outreach service aims to encourage well-being and recovery by supporting individuals to regain their independence, confidence and improve their mental health and well-being.
Due to the COVID-19 Pandemic the Outreach Team had to change the way they supported individuals, due to government restrictions regarding social distancing. Outreach Support changed from one to one, face to face to virtual support via Zoom and telephone contact.
Post Pandemic
Having survived the pandemic Kuumba has come out the other side fighting fit and ready to continue to provide bespoke support to all who access our service.
Outreach is now back to how it was prior to the pandemic, our outreach service aims to encourage well-being and recovery by supporting individuals to regain their independence, confidence and improve their mental health and well-being.
This is achieved by a Well-being & Recovery Worker’s support, this is achieved by weekly meet ups at a place where the individual feels safe, initial meet up to write a recovery plan that will focus on areas of improvement or change in order to achieve set goals.
Caring for Carers (Bereavement Support)
Caring for Carers Bereavement support is a project covering the Birmingham area that is delivered in partnership with 4 other organiSations who are members of Communities In Sync. These are:
Sandwell African Caribbean Mental Health Foundation
West Bromwich African Caribbean Resource Centre
Crossroad Care
Ideal for All
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The project supports people through loss and bereavement by providing one to one wellbeing support tailored to individual need. The project also connects Carers to other Carers through social media groups.
Wellbeing support can also be accessed through various activities such as a Healing Garden where bereaved Carers can enjoy the plants and tranquility of the garden. The Memory through an object activity allows clients to remember their loved one’s memories through an object such as a photograph, or something that holds sentimental value.
"Wellbeing support can also be accessed through various activities such as a Healing Garden where bereaved Carers can enjoy the plants and tranquility of the garden.."
Winter Pressure - Mental Health Partnership
This service is designed to assist Sandwell residents who require support with their mental health needs, which may include people who are currently on a waiting list for support from the Black Country Healthcare NHS Foundation Trust. Once a referral has been received, we will complete the triage process which will determine which service or combination of services a person will be referred to. The community based mental health support service will be delivered by a partnership of 7 CIS member organisations which are listed in the graph to the right.
Every individual referred to the service will be offered a range of bespoke service which maximises the likelihood of continuous engagement throughout the duration of our intervention and improved mental health and wellbeing.
08
UJIMA
UJIMA means ‘collective work and responsibility’ in Swahili.
Due to the pandemic UJIMA was on hold because of government restrictions, Ujima is now back up and running.
UJIMA is a User-led service which aims to use volunteering, peer support and mentoring to deliver community meet ups and other social activity to help recovery and encourage independence, that receives some support from the staff team at the Kuumba Centre.
Ujima’s activities include:
Working with Kuumba Staff to help develop new and existing services.
Organising social activities for us to enjoy.
. Involvement in focus groups and consultations about Health & Social Care Services we use.
Community meet ups to support each other, e.g a breakfast club. .
"THIS IS A GREAT SERVICE THAT ENABLES US TO BOND AND SOCIALISE TOGETHER
We have a user forum meeting once a month for all members to discuss activities and the work we want to be involved in.
The group leaders meet weekly to work in smaller groups with members who have volunteered to work on specific areas e.g monthly activity schedule.
UJIMA UJIMA UJIMA
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Tech-Connect (Digital Inclusion Support)
This project was designed to support service users and carers to become less socially isolated. Initially the project was led by staff but now a service user has become a volunteer and has taken over the coordination of the project as they have become more cognisant with the project and have participated and completed training.
"THIS PROJECT WAS DESIGNED TO SUPPORT SERVICE USERS AND CARERS TO BECOME LESS SOCIALLY ISOLATED "
Tech-Connect Peer Support Hub
Tech-connect Peer Support Hub is coordinated by a Service User/Volunteer who has completed the training and is able to facilitate the Peer Support Hub following guidance/direction from SACMHF and will be recruited to a part time Project Leader post.The Tech-connect Peer Support Hub runs once a week, every Wednesday, this will help to eliminate social isolation.
Dawn Reid Health & Wellbeing Service Manager
10
Office & Finance Manager's Report
Historically, Sandwell African Caribbean Mental Health Foundation (SACMHF) has delivered bespoke mental health services to Black African & Caribbean people but not exclusively for more than 2 decades. We have a rich history of supporting people who use services (PWUS) to manage their mental health, promote recovery to live a fulfilled independent life.
Financial Overview
I am excited to report on our journey over the last 12 months. The staff compliment has grown, this is down to 2 successful 5-year grants from The Oak Foundation, the first grant secured in the latter part of the last financial year and the other in the second quarter of this financial year. 3 posts have been created; a brief overview of the new roles is listed below:
Updates of these new initiatives will be included in this report.
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Income & Expenditure GRANTS Sandwell MBC Sandwell MBC prior year reclassificalion Sandwell MBC IT National Lottery- Buildin8 Futures Henry Smith City of Birmingham National Lottery- Covid 19 response Oak Foundation Epic Probation Service Other income Client income 135,460 135.460 62,889 3,711 58.332 37,433 14.3751 29.001 64,000 24.019 2S,81XJ 16,312 9.667 92,125 15,(I 14.693 28,694 1,272 7.250 413,723 361,779 2,446 329 5,717 370,271 Fundraising Donations Sundry Income 413,723. STAFF COSTS Wages and Salaries 254,669 180,102 SUPPORT COSTS Rent and rates Insurance Heat, light and water Telephone and communications Post38e and stationery Advertising Sundries Repairs and renewals Travel and subsistence Office expenses Training Volunteers expenses Computers and IT Legal and professional Depreciation 10,770 1,505 6,870 6,183 306 5,48S 389 12,818 2,692 14,551 13,244 130 22,765 28,736 3,191 384,304 9,707 1.133 6,585 2,209 2,524, 595 7,858 5401 6,546 218 1.015 14,525, 16,713 996 261,051 GOVERNANCE COSTS Auditor's remuneration Other incoffle 2,300 13 2.313 150,359 13 4,813 18,846 NET (DEFicrriisuRPLUS FOR THE YEAR BEFORE EXCEPTIONAL ITEM EXCEPTIONAL ITEM Rent and rates 12,954 NET IDEFICITIISURPLUS FOR THE YEAR BEFORE EXCEPTIONAL ITEM 18,846 137,405 12
office 365
More and more IT advances are now stored in secure cloud storage. Most of the stored backups on hard drives and disks are now becoming a thing of the past. There are less risks of data being stolen or lost completely to fire. SACMHF has migrated to cloud software Office365. The benefits include:
cyber security
Along with advancements in technology cybercriminals are a continued threat to any business, stolen money or information can be devastating. We were advised by our IT consultant Officetek of the latest threats. SACMHF purchased a comprehensive cyber security package to mitigate against any potential security threat.
summary
Once again SACMHF has had a positive year maintaining stability and growth along with providing learning and work opportunities. Moreover, making Investments in digital technology and cyber security. SACMHF is working towards creating its own source of independent income, this will help with cashflow when grant funding schemes meet their timeline. This source of income can sustain bespoke culturally responsive services for the Black community providing continuity of care.
Donna Campbell
Office & Finance Manager
13
Communications Officer Report
Overview
Over the past year our online presence across digital platforms has grown significantly, (with a strong emphasis on social media). We have now introduced Instagram as an additional social media platform and we are now reaching out to the wider public with various vehicles of communication.
The COVID19 Pandemic highlighted how SACMHF delivered services digitally and methods of communication to our service users had to advance to meet individual’s needs. During this period SACMHF held 32 virtual support groups – this reinforced the level of engagement online from our People Who Use Services (PWUS). As a result of this, SACMHF had to increase the use of social media and virtual support groups. These virtual support groups included Zoom meetings, Wellbeing checks (via phone calls), our PWUS received a total of 14,378 telephone support call minutes during this period, online surveys and consistent information being put out onto our website, text messages and social media channels.
Website
We have recently revamped our website which also plays a key role in communicating the work we carry out as an organisation, who we are and how stakeholders can reach us in terms of services we provide internally or for funding opportunities to explore what we do. Our new website aims to be more modernised, with a fresh look (in line with our branding style), more accessible, easy to navigate and ‘mobile friendly.’ We also have plans for our website to be more interactive with animation elements - in terms of the user experience.
SACMHF Mental Health Campaign
The launch of SACMHF’s first video campaign took place in November 2021, which concurred alongside International Stress Awareness Week. We promoted our campaign #LETITOUT on all social media platforms and had some great feedback.
February we took our video campaign to the next level and it was shown as a 20 second advert on Birmingham Live TV reaching around approximately 25,000 people. You can watch our #LETITOUT campaign on the home page of our website.
Suzanne Huynh
Communications Officer
Our Social Media Platforms
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@sacmhf1
@KuumbaF
@sacmhf
Wellbeing & Recovery Worker's Report
The past year has been an especially difficult one for the service users due to the changes brought about by the Covid-19 pandemic. They had to deal with a big change in how their support was carried out and dealt very well with the transition. Outreach staff worked well as a team to ensure the inclusion of all service users regardless of digital capabilities and did well maintaining a positive sense of community and wellbeing.
Networking
One important part of the role of outreach worker is to network with and work alongside other organisations so the service users receive a well-rounded support. Over the course of the year, many organisations had to change the way they worked, and a lot of our networking was carried out virtually. As we are heading towards the end of the pandemic, we are glad to be able to do this in-house again. It means the service users have the opportunity to find out what resources are available in their local area and meet the people providing them. This year we have carried out networking in the form of workshops, presentations, and events.
Pohwer, Healthwatch, Sandwell Welfare Rights Team, Citizens Advice Bureau are just some of the organisations Sandwell African Caribbean Mental Health Foundation has worked with to resolve queries and issues regarding mental health treatment, welfare benefits eligibility, housing, and finance issues and more recently, dealing with the costof-living crisis.
The summer months are now upon us, and we have many events planned for our service users and the local community. Our events help to raise awareness, provide our service users with a sense of community, and help to reduce social isolation that is often the result of living with long term health conditions.
"THE SUMMER MONTHS ARE NOW UPON US, AND WE HAVE MANY EVENTS PLANNED FOR OUR SERVICE USERS AND THE LOCAL COMMUNITY. . "
Terri Bonner
Wellbeing & Recovery Worker
15
Men's Wellbeing Worker Report
As we move into 2021 with the Covid-19 restrictions partly lifted, the Outreach service was able to book outreach appointments with PWUS, as many felt isolated and preferred face to face interaction. The Outreach service began working with the Probation Service and introducing their clients to the Men's Group providing them support with their mental health issues. The Men's group met up to plan activities in the community abiding to Governments guidelines.
The Men's group has had a regular number of men attending the different activities, based within the Kuumba Centre and in the community. The Men have drawn up a schedule list of events and activities chosen by the group over a three-month period, depending on the weather. Each group member had chosen activities they would like to do. Later the group collated the lists into one, with the Men's group wellbeing walks as a fortnightly event.
The Men's Group wellbeing Walk and Talk group visited local places and venues. These included: (see below locations)
We are planning to visit Coventry to view the Two-Tone Museum (Ska music, Specials, The Beat) and the Transport Museum. Other activities include Bowling, visiting the Cinema, visiting Stratford Upon Avon plus attending a local football match – West Bromwich Albion.
"I THINK I WILL ALWAYS BE A PART OF THE MEN'S GROUP BECAUSE IT IS VERY EFFIECIENT & BUILDS ME UP TO EXPERIENCE A BRIGHTER FUTURE "
Norman Nelson
Men's Wellbeing Worker
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Kickstart Apprentice Joseph Hill
Intro
On the 26th July 2021 I started an administration assistant role at the Kuumba Centre and immediately felt comfortable and supported by a friendly and helpful team. My role consists of multiple things ranging from paperwork to greeting service users, archiving to accounting, I enjoy the variety of work my role offers as well as the ability to work and liaise with everyone in the office. I must highlight again how friendly and helpful the team are. This is my first job, and I did not feel like I must hesitate to ask for assistance. I also feel I can be open and honest with my co-workers and managers creating a workplace environment that is extremely comfortable to be in Interview and getting the job:
My interview day was extremely soon after I’d applied, just around 3 days after. This gave me confidence going in, feeling that SACMHF were very interested in what I had to offer. When I arrived, the staff made me feel welcome and settled and while in the interview Donna (the Office and Finance Manager) was attentive and helped settle my nerves while also orchestrating the interview respectfully and professionally. I was informed that I’d gotten the role a few days later and started the week after that.
time at kuumba
During my induction I met the team and got a good idea of how things worked. As the first month went on, I started to feel it was going smoothly. I was handed more responsibilities and was able to advance complete my tasks. In my 3rd month I was given access to the business drive, showing me that management trusted me enough with such delicate and important data. As my role expanded, I felt very much at home within the organisation. My time here has given me confidence to move forward in the working world. I have been able to do more than I ever thought and feel comfortable doing it.
The team are an amazing group of people to work with, all have their own story, and it has been great being able to work with everyone. From day one I felt accepted and have been able work at my pace and fulfill what has been requested of me. The management encourage me and deliver a great level of professionalism as well as a friendly, warm touch to how they go about things.
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Skills Gained
During my time at SACMHF I have gained many valuable skills, mainly telephone and archiving skills. I had never archived anything before, and my telephone skills were sorely lacking when I started but now, I feel extremely confident going forward. Other skills I have gained are, knowledge of Microsoft Excel, logging information, stock taking, booking, financing and minute taking. Financing is something I’d never thought I’d be into, but since I have started doing it, it has been a nice change to my more literature-based skill set. I like to see if I can gain as much experience and skills from an opportunity, so being given the ability to branch out of my usual skill set is something I have really enjoyed. I tend to the petty cash book and look at the expenditure every month. As for minute taking it leans into my media and literature background, this is possible because I can record the correct information into such a depth that is understandable and relevant. As well as these Admin skills I have also been able to flex my media muscles by helping the Communications and Campaigns Officer with projects. The main one being the promotional video that I helped pitch and create.
I have worked on the company’s website posting a page about Hate Crime and how to report it allowing me to show what skills I had gained before starting the job. Finally, I have gained vital networking skills. I went to Dudley College on the 23rd September 2021 to represent SACMHF at Dudley College Student Union’s Freshers Fare. This was an amazing experience for me and one of the highlights of working here. As well as attending an event I also helped plan one with the rest of the team. We came together to organise the Cultural Well Being Festival for Black History Month 2021.
"My time at Kuumba has been amazing and one of a kind. I can’t think of a better start for me on the job ladder."
conclusion
To conclude, my time at SACMHF has been amazing and one of a kind. I can’t think of a better start for me on the job ladder. I’d like to thank all the staff and management for being so helpful, kind, and friendly. I just want to say thank you for the opportunity presented to me.
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The iMATTER Youth Service
An existing funder the Oak Foundation worked with us to look at gaps in service provision that we were finding in our external environment. At the time the work area that had increasing levels of unmet need was support for young people with mental health needs exacerbated by the covid-19 pandemic and the aligned protracted lockdown and other measures.
The constraints imposed on our movement was particularly evident in this group and we secured funding from the Oak Foundation to set up a service to offer targeted culturally responsive support for young people between the ages of 11 to 25 in the local Sandwell region.
It was our aim to offer support to two local schools. Following a change of staff, the service was relaunched and is now known as the iMatter Project. Two local schools have been identified and the cohort of young people is growing to the point where we submitted a funding application to Henry Smith to augment the service with additional staff to make the service offer more robust. The outcomes data is very promising, and our focus will be managing the demand and co-producing the development of the service and embedding the voice of young people in our decision-making forums and tailoring our marketing to ensure that young people can see themselves in the services we offer.
"IF everything was perfect YOU would never learn and YOU would never grow."
- Beyonce Knowles
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Building Futures Servicesupporting Ex-offenders
The year commenced in earnest with new funding secured from Probation service. This funding was helpful in underpinning the work this service offered. The Probation service team were vociferous in working alongside us to help continue the achievement of successful outcomes from the people who use the service.
In addition to this during the year we secured a short-term service to support ex-offenders who reside in Approved Premises. Despite the covid-19 restrictions the service coordinator was able to offer some face-to-face support and the delivery was augmented by online and telephone support. This blended nature of the support offered became a feature during the pandemic and this service benefitted from a flexible approach to delivery.
The Building Futures service was originally funded solely by the National Community Lottery Fund. This reporting period represented the third and final year of the project delivery. The exit strategy was not to continue the service fully. Much work had been done to look at the continuing needs of this user group and our focus turned to the accommodation needs of this group of beneficiaries and others. This service came to an end in March 2022 but some of the learning from delivering this service would transition into the development of a housing offer. Watch this space!
"THE BUILDING FUTURES SERVICE WAS ORIGINALLY FUNDED SOLELY BY THE NATIONAL COMMUNITY LOTTERY FUND. "
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Co-Production
The term Co-production refers to a way of working where we as service providers and service users work together to reach a collective outcome. The approach is value-driven and built on the principle that those who are affected by a service are best placed to help design it."
We provide services and projects that are Co-Produced with our service users to ensure that the work we do is centered around the service users that we support, giving them the ability to shape our charity and our offer to them.
Co-Production meetings at SACMHF are held quarterly, with a manager in attendance.
The importance of Co-Production is that it gives all SACMHF’s service users a voice and involvement in the service that they use, we find it also gives the service user a sense of involvement and control.
"CO-PRODUCTION GIVES ALL SACMHF’S SERVICE USERS A VOICE AND INVOLVEMENT IN THE SERVICE THAT THEY USE, "
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2021/22 Statistics Gender Age li ll**ft i*iii Etkni¢ity Black Caribbtsn 8iackAfrka While& BLa¢k CaribbeaD OEh2r Etmlc Back8rowJnd5 011 B1k Ba¢Wwds A$ts NVhlLe & BlackAfrKan Member Category Hospltaj Admissions 75 50 25 FWUS 22
User Satisfaction Survey
Some of the comments from people who use our services
Allowed me the chance to spend time with people who understand me
I'm honestly glad I found you guys - I feel content. I feel if I need to talk or just a change of scenery I know I can come to Kuumba Centre. Thank you, I appreciate you.
Support worker has been there when I needed someone to talk to and offered me advice in my low moods
I wanted to thank staff for continuing to still support us through Zoom during the Covid
The Kuumba Centre is making every day better for me.
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Ill 111 jii
Acknowledgment
We would like to thank the people who use our services for their unyielding support and their contribution to the development of the organisation. Our thanks extend to the staff who have worked throughout the covid-19 pandemic putting themselves at risk to maintain our service provision, for this we are grateful. We work closely with many third sector organisations, individuals, businesses, and suppliers who have helped us to become a better organisation and we feel lucky to have been able to work with them all. Thanks a bunch!
With Many thanks to:
Sandwell Metropolitan Borough Council National Lottery Community Fund The Oak Foundation The Henry Smith Charity Birmingham City Council Esmee Fairbairn Catalyst 4 Change National Probation Service
African Caribbean Community Initiative Aum Consultancy-Hansa Pankania Alcumus Chris Knott Insurance Consultants Ltd CMF Quality Consultant Communities In Sync Dr Brickstock Foundation for Social Improvement Fircroft College Godfrey Mansell & GP SM Brookes Chartered Accountant Oscar Sandwell Officetek
Sandwell Council for Voluntary Organisations Social Investment Business TIC
Tamarind Centre - Marcia Jarrett West Bromwich Probation Service University of Wolverhampton West Bromwich African Caribbean Resource Centre Xpressive Arts Ltd, Patricia Barrett
Healthwatch Sandwell Iizuka Jackie Taylor (Cllr) Nicola Roberts (MP) Peninsula Probation Service QSR2 Solutions, Edgar Hassan Red Fire & Safety Race Equality Foundation QBQ Research - Quaye Botchway
In Memoriam
Part way through the year one of our team members passed away following a terminal illness. Norma Gardener was a trusted and much-loved member of the team. Although Norma worked part time Norma’s character meant that even on her days off, she would come to work complete pieces of work and her efforts never went unnoticed. Our charity has benefitted much from her contribution and locally Norma was known for her passion for supporting the wider Caribbean communities and she was intrinsic in the early development of West Bromwich African Caribbean Resource Centre.
Norma’s passing has been a huge loss to the community and our charity. We miss her and will continue to do so. Norma has left a huge mark on our organization, and she has blazed a trail for us to follow and left a legacy of community work and volunteering underpinned by passion and a genuine desire to help others who need support. Rest in peace Norma, we will never forget you.
25
@sacmhf1 @sacmhf @KuumbaF
Kuumba Centre, Boulton Road West Bromwich, West Midlands B70 6NWSACMHF 0121 525 1629 Info@sacmhf.co.uk www.sacmf.co.uk
Certificate Number 15992 ISO 9001
Sandwell African Caribbean Mental Health Foundation (A Company Limited by Guarantee) Annual Report and Financial Statements Year ended 31 March 2022 Charity number . 1082017 Company Number . 4004120 Feltons Chartered Accountants Birmingham B1 3JR
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guaranteel Report and financial statements Yèar ended 31 March 2022 Contents Page Reference and administrative details Report of the trustees Indpendenl auditor's report on the financial statemenls Slalemenl of financial activities incorporating income & expenditure account 13 Balance sheet 14 Cash flow statement 15 Notes forming part of the financial statements. incorporating Statement of accounling policies 16 Other notes lo the financial statements 19 The following page does not form part of the statutory financial statements: Detailed income and expenditure account 24
Sandwell African Caribbean Mentsl Health Foundation {A Company Limited by Guarantee) Reference and Administrative Details Chair Bishop D R Williams Chair Trustees R'd G S Brown R A McDonald El Musa Pujeh Mr N RrigUeS Ms M Wilson Treasurer (appointed 10 Maith 20221 laptK)inted 9 June 20221 Iresigned 17 January 20221 Vice Chatr Company secretary Patricsa Johnsc Key management personnel Patricia John51)n Donna Campbell Rebecca Gardnef Dawn Reid CEO Regislered office Kuumba Cenlre Boulton Road Wesl Bromwich West MKltands B70 6NW Charily number 1082017 Company registration number 4004120 Auditor Fellons 8 Sovereign Court 8 Graham Street Birmingham B1 3JR Baftkers Unily Trust Bank Nine 8rindley Place 4 002ells Souare Birmingham B1 2H8 Solicitors Kapasi 8 Co 1 st fl(MN, 17 Birmingham Streel Oldbury West MKJlands B69 4DT Page 1
Sandwell African Caribbean Mental Health Foundation (A Company Limited by Guarantee) Report of the Irustees Year ended 31 March 2022 Thè Trusteos prtrserit their report and the financial statomgnls ol the charity lor the year fjnded 31 Morch 2022. The truslees have adopted the provisions ol ihe Slatement of Recomtnended Practice ISORPI "Accounling and Reporting by Charities" in pparIng the annual repKKi and financial 51alemenis of ihe charily. The financial statements have been prepared in accor(Jan with the accounting wlicies set out in rleS lo the accounts and comply wilh the tharilY5 9ovemtng dfKument, the Charities Act 2011 and Accounting and Reporting by Charities.. Siatemenl of Recommended Praclice applitable to charities preparino their a¢counls in accordance with the Financial Reporting Slanda¥d applicable in the UK and Republtc of Ireland publishèd in Oclobef 2019 Truslees of the charity Details ol the trustees who seryed duriThJ the year and to the dale Ihese accounls ate apwoved are included in the Reference and Adminislrative details on page l. Oblectives and activilies Our charity delivers serviGes predominately bul not exdusively for Black Alan Caribbean people recovering from mèntal illness. theii lamilies, carers. and the wider community. In platlning the aclivitie5 for the year Ihe Irustees have consiolered the Charily CownmEssi's guidance on public benefit. including the guidance 'pubSic benefit." running a tharily IPB21'. The strategies employed lo achieve Ihe charivs aims and objecttves afe descrid in the strdlegic report below. Strategic Report Achievements and perfomiance lincludin9 principal risks and uncertainties, development and perlormance and key perfom)ance indicalorsl The y8ar cornmenoed with the usual rigor and energy empbye<l lo identity furKJing to support new sttrvsce develop¥nent and lunding tt) supporl Ihe core functions and operations wilhin Ihe charity. Working Ihrough the pandemic and adapting our defivery models had served us well since March 2020 and this method of implementing a flexible approach benefit1 Ihe people who use our ServIS gally. It is importanl to note Ihal this could not be done without the commitmenl of our growing pa and unpaid staff team and lor Ihis I thank them operaling lu11y within an uncertain and at limes dvriro the pandemic scary extemal environment. Strate 1¢ Develo ment5 Lloyds Bank Foundation The covid-19 pandemi¢ ha5 been ¢haiienging in many bydys. Like many Other organisations we we¥e required 10 implement a raft ol Changes designed lo support Ihe c0nlinuall of 5etvice delivery. Many ol these challenges concerned uradeS to our IT capabilities. This came al a huge (Xbst to us. and our funds were depleted as a resLtIt. The Pressu lo increase our core funds was ever present and we managed to successtully secure a grant from Lloyds Bank Foundalion ovty ¢0 years. Recognilion of our wotk wa5 received Ifom Ihe 9ranls ffianager and his chief executive Offir. Page 2
Sandwell African Caribbean Mental Health Foundation (A Company Limited by Guarantee) Report of the trustees (continued) Year ended 31 March 2022 Strate ic Develo ments continued From Struggle to Freedofn We commenced our programme ol evenls lor Black History monlh in 00{ 2021. Th"s fortned a series of Black History Seminars the final one of which is yet lo take place. The seminars sil under our strapline ol 'Frotn Struggle to Freedom.. The evening seminars have been well received and Cated ffluGh discussion. Nicola Richards MP for West Bromwich East Wo were approached by Nicola Richards MP l(v Wesl Bromwich East to ascertain il we needed any supporl from her and her team. Nicola had got lo know us during the eady stages ol the pandemic, and she rame to visit us al the Kuumba centre. This led lo Nicola speaking to Matt HaruKk who was the then Heallh Secretary aboul our work in Ihe House of Commons. Since then, Nicda has delere a suigery al the centie to sui)tM)rt the people who use our seNc&s. The surgery was welcomed an(f carried oL¢l salely. 11 would be remiss ol me lo not meniion Hatry LofthDuse, a caseworkei from Nicolas's office. Harry has been a huge stjpport lo us dealin9 with some speofiG issues on ovr behall. Their support for us has endured the lasl ¢ouple ol yeais and we have belItted muth Irom Iheir eftorts. IndeDendenl income Our annual strategic developrnenl Plannrng Day 2019 prior lo ihe onsei of the COV-]9 pandemic focused on in¢ome generation. It was agreed thal plannin9 strK)uld comrrtence to develop a Irading arm of Ihe charity. Thi5 would serve to add a independenl Jncorne stream to our revenue. The covid-19 pandemic slowed our prvJiess bul in 2021 we were able to return lo (xjr plans whith commer wilh an application to the knial Irtrveslment Business for a grant lo provi(Je business planning support and additional hours lor the Business Developmenl Manager lo increase his hours lo support 3 greater fiKus on developing Ihe trading arrn. The appli¢ation to the Social Inveslmenl Business. Enterprisè Development Programme IEDPI was successful 3nd we are working through that progranime now. The FoLtndation for Improvement provided the business planning suppori and Ihe EDP provided peer suppofL finance SUPPDtI and fe9ular ijp-dale meetings Wlth the grant officer. The granl olficer is pari ol the ASsla110 of Mental Health Pioviders and our charily have now bgcomo members. The trading elemenl of our thatily is undemay. ar1 I will be able to report more fully next year. Governance Being part ol the EOP meant Ihat we ieceived prolessional a¢Jvice pertaining lo aieas ol developrnenl Ihat would support the sustainabilily of a trading arm_ One ol ihese areas wa5 lo augfftent Ihe board ol Injslees as our board was small. The Lloyds Bank Foundalion have an inib"ative where charities can ailvertise their tnjslee recruilmenl adveris and Lloyds Bank Foundation would match them to Ihe Lloyds Banking Group employees who were looking lor Truslee positions. Through Ihis inilialive we recruiled Richard Mcoonald who had finance. marketing. and mortgage experience. He was a 9(K>d fit for us. and he is an aaive conlributor to tx>ard afylivilies. Vve were on a roll, and we subsequently ¥ecruiled Bobby Puieh who is a senior leclurer froffl Wolverhaffipton University and who has a nursing backgrout)d. Since laking up hi5 Position as Tmstee Bobby has enabled us lo widen our iole in the ytudent placemenl programrne with the university whth will akn us to intxease the level ol prevention work, we do with the people who use our seryiGes. Pagè 3
Sandwell African Caribbean Mentsl Health Foundation
(A Company Limited by Guaranteel
Report of the trustees {continuedl
Year ended 31 March 2022
Kickstart Initiative
We Gonlinue lo be members of C(Mnmunilies wi S¢ ICIS) whKh is a 1 con50rtium that is UJfnpri5ed of local
¢h3rilieslenterprises w) work 10gethe¥ to deliver a range of health and wellikein9 se¢vi¢es. The govemments
chèncellor annOUed Ihe Kj'ckstart stheme to support to irKxea5e the employment opportunit$ loi young people.
Had we not been members ol CIS we would not have been able lo benefit Iroffl the chancellorfs scheffle. This
dsmonstrates the importance ol working as part ol a consortia lor smèll charilies like SACMHF. We recruited ancl
supported two Kickslart employees for Iijnded peiiod. Their work was ouislanding. and we were delighted lo be able
to participate in this opportunity.
Asna
shot of Beneficia
Outcomes
Our work means nothing 51 we nTrol report on the achievements of our be[Claries. This year will rerKesent the
rirsl year we will report fully on our impact. This report will be puNished later this year. However. the oulcomes
below are deSned lo show what people can achieve wilh robust culturally sensitive mental health suppori.
BS- BS is a young lady who was relerred lo Ihe service lo re support lo reduce her social isolalion and
better manage her menial health. She was lacking StalttY in her lile and had little social support. During her
lime with Sandwell African CaribLan Mental Heatth Founoation. she has secured a place at her local college
to Study Paramedic Science. 5etiled into a new home and mainiained positive mental health and wellbeing,
even sharing this with other sernices Use by hokjing her own mindfulness session- thanks BS.
FM- FM has hèd a difficull few years. but has kept pyshtng on. seeing her two children successfully off to
university. Though she has only been with Ihe semce lot a shorl lime. she has already secured a new job as a
carer. This is a positive step towards increasirKJ her ¢onfiden(E. selfsteem and eslabli5hing a new soctal
circle. Go(xl luck with Ihrs new chapter FMI
DB-This lady ts a long slanding and well-likèd sèrvice user wtrK) has kindly chosen to volunteer weekly at the
Kuumba Cenlre, leaching oiher service users basic c(xnpule¥ skills. l( is always nice to see someone sharing
their skills and wsitive progress with others_ D8 has come far and has coniribtjted lo several consultation
events and given some g
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Report of the trustees (continued) Year ended 31 March 2022 Asna shot of Beneficia Outcomes continued LS is a 31year old male of Alllcan desndant. He spent mosl ol his lime liwng in fesidenlial sUPPOrted accommodaiTori. LS needed social tnleraclion an(J activities during his day otherwise he would not leave his home unescoried_ In his early da when he got his Ilal. staff had to meet him at home. With litne and patience staff encouraged LS to use the tocal shops and then later to attend a gym. LS became more independent and started visiting other places." Kuumba independenlly arKI other local venues. As his confidence improved, he started doin9 several cOrSe5 including SIA Isecurityl. Firsl Aid. which lead him lo siart work as a Securily guard al various evenis. H8 has since worked al Ihe G9 summit and a variely of loolball matthes. LS has plans to start his own deaning business in the future. imatter Youth Sèrvice An exisling lunder the Oak Foundation wothed with us to Icmjk at gaps tn service pfovision that we were finding in our external environment. Al the time the work aiea thal had irtreasing leve15 01 unmel need wa5 SUPPOrt lor young Ptx>ple with mental health neèds exacèrbated by the covi1>19 parl(leM antj the aligned protracled lockdown 2nd other measures. The conslrainls irnw5ed on our wnovement was parbcularty evidenl in this group and we secured funding from the Oak Foundation to set up a Ser¥e to oflei tafgeled cullurally responsive support for young FEople belween the ages of 11 10 25 in the local Sandwell region. 11 was our aim to offer supwrt lo two IcKal sthooEs. Following a change of siafl. the service was ielavnched and is now known as Ihe imatter Projeci_ Two local 5chtx)Is have been identilied and the cohort ol young people is growing to the poinl where we submitted a funding apicatiOn to Henry Smith io augment thè service wth additional slall to ake the service offer more robust. The l¢omeS data is very pfomis5ng, and our focus will be managing the demand and co-prodtJGing the development of the seNice and efftbeddin9 the voice of young people in our (Jecision- making lorums and lailoring our marketing lo ensuie that yourbg peOe can see Ihemselves in Ihe services we offer. Buildin Futures service su Th¢ year commenced In earnest wilh new funding secured from Probalion servi. This lunding was IElpful in undefpinoing the work Ihis service offered_ The ProbatK>n sere team were voolerous in working ak)noside us lo help continue the achievement of successful oulcomes Irc¥m the people who use the sèrvice. ortin ex-offenders In addilion lo this dLbring the year we secur8d a slKM14em) service lo suptx>rl ex-olfenders who resi¢Je in Approved Premises. Oespile Ihe covid-19 res11>5 Ihe seNice CODrdinator was able to some lace-lo-lace support and the delivery was augmenled by online and lelephone suprt. This blended nature Df the support offered beeame a feature during the pandemic and this seThice benefitted from a fiexible approach lo delivery. The Building Futures service was originalty funded solely by the National Community Lotlery Fund. This reporting period represented the third and final year ol the Pfojecl delivery_ The exil strategy was nol lo continue the service lully. Mijch work had been done to Iwk at the continuing needs of this user group and our locus tijmed lo the accommodation needs ol this group of benef¢ciaries ar otheTS. This serVe came to an end in March 2022 bul some ol the leaming from delivering thi5 Se[ would transl1 inlo the devekwmetht of a housing offer. Watch this spacel Page 5
Sandwell African Caribbean Mental Health Foundation {A Company Limited by Guarantee) Report of the trustees {continued) Year ended 31 March 2022 Financial revlew {including resèrves poli¢y} The financi21 iesults ol Sandwell Alrican Garibbean Mental Health Fjndat1On are detailed in the following pages. 11 IS Considered Ihal the finances are sound and well eslablished. The princtP31 furmling sourcè is 8 gr2nt from Sandwell MBC. All Èxpenditure of this income is planned lo lulfil the objectives and strategies of the chaty. During the year ended 31 March 2022 lotsl resources expen¢Jed werè £389,117 and the defiot of expenditure over income was £18,846 which included depreciation of £3.191. The Iruslees continually monitor the feserves of the charilable company. This proces5 encompasses the nature of income and expenditure streams and the need to match comMilment5 wilh inGome and naiuie ol reserves. The trustees regulady review the level of reserve5 and aim lo maintain nstriCted reserves al a rninimum ol E100.000 lo cover shortfall in fund1j flows_ Investment powers and policy Any surplus funds ale deposrled wilh Unily Trust Bank. Plans for future periods Moving lorward the year ended with renewed hope that Ihe pandemic was coming lo an end as we managed a safe return lo increased use of the ceri¢re by benefi¢iaries. Slaff fesuffled is9 themselves with co-produclion activities and opening up the centre lo evenls an(1 some new programmes. For the lasl lew years a slrale9ic priority has been to suslau) the organisat¥)n through wK¥easing income whK* will become the main wiority as we move forward. Structure, Governance and Management Governing document Sandwell Alrican Cafibbean Menlal Health Foundation is a company 15mil8d by guarantee governed by its MemorandLsm anil Articles ol Association dated 12 April 20 and is regislered as a charity wilh Ihe Charity Commission. There are ojrrently 5 members. each ol agrees lo contribule £1 in the event ol the charity winding up. Appointment of tSteeS As set oul in (he ArtiGles of Assoc¢ation. the Charity rFbay by ordinary resolulion appoint a PEfson who is willing lo acl as a truslee either lo fill a vacancy oc as an additional Iruslee and may also detern7ine the rolation in which atty additional trustees a lo relire. ND person may be appoinied as a trustee unless they have attained the age of 18 years or in circumstances such Ihat, had they already been a truslee. ihey would have been disqualified from acting Ljnder the above provisions. Page 6
Sandwell African Caribbean Mental Health Foundation (A Company Limited by Guarantee) Report of the trustees (contsnuedl Year ended 31 March 2022 Trustee induction and training New trustees are txiefed on Ihe4r legal obligalions under ¢hariiy and company law and the Charity Commission guidance on public benefil. and are inlcwmed ol the contenl ol the Memorandum and Artides of Association. the committee and decision-making processes, Ihe business plan and the receni finanal peflomiance ol the charity. Organisation The board ol Ifustees adminisleis the charity. The tx)ar(J nomially mee15 six limos a year and there are sul> ¢ommillees covering business developmeTr( incliJdin9 impact. user salislaction,finance and fundraising slialegy and ihe communication5 plan which nomally meel four limes a year. A Chiet Execulive is appointed by the Iruslees to manage the day-lo-day operations ol the charily. To fatiliiale efiective operalions. the CtrH"el Execulive has delegatod aLrthorily, withtn terrns ol delegation approve(I by the trusiees. opeiatK)nal matters induding finance and fundraising. human iesou¥¢Ès. and business developmeni_ Related parties and Covoperalion wilh other organisations None ol our trustees receive remuneralion or olher benefbl fM Iheif work with the charity. Any connectK)n between a twslee or senior man3ger of ihe charily wtth a clrent or supplier musi be disdose(I to Ihe full txjard ol trustees in the same way as any other conlfactual relationship wilh a related party. Related party transactions in the Gurrenl year are described in rx)te 16 to Ihe awunts_ Pay policy for senior staff The board ol diieclors. who are the Trust's Iruslees. and Ihe senior management ièam l¢yJether compfise Ihe key managemenl personnel ol Ihe charity in chaige ol ¢Jirecling and operating the trust on a day lu day basis. No director received refnuneralion in Ihe year and details of directors. expense5 and relaled party transadions are disclosed in notes 6 and 16 to Ihe accounts. The pay ol senior slaFt is reviewed annually and r[MallY Increased in accordance with average eamings. Risk n7anagement The Iruslees have a fisk rnanagernent w)lry which comprises". an annual rev¢ew of ihe prinapal risks and uncertainties that the charity faces- the establishment ol polics. systems, arml piocedure5 lo mitigate those risks Klentified in the annual review.. and the implementalN)n ol pryKeduies designed lo mitigale or manage any polential impact on the charity Should those risks m3lerialise. This work has idcntif19d Ihal ljnancial SLtsi8inabilTrty is ihe major finaA¢ial risk for the Gharity. Kcy clomenls in (he managemenl ol Ilnancial risk are a regular review ol available liquid funds to 5etlfe debts as they fall due, regular liaison with the bank. and active management ol operational debtor and credilor balances to ensre sullicienl working capital by the Trust. Attention has also been f¢Kus5ed on non-financial risks as fTrre, health and safety, empknymenl matters and data proteclion. These risks are managed by ensuring acuedil3lion is ID dale. havi Tobugl polici@s in place. and regular awareness training lor staff woking in Ihese operatn31 aa$. Page 7
Sandwell African Caribbean Mevrtal Health Foundation IA Company Limited by Guaranteel Report of the trustees {continued) Year ended 31 Mah 2022 Trustees. responsibililles The Irustees (who arn aLso ijireclm of ts caritawo CCInrry for the pwpjses of c¥xYw lawl are reswjnsiblo for pparing the Trtstees. Annual Repori {incluthng Ihe Strategic Rewrtl aThJ Ihe finanoèl statements in accordance with apfli¢aNe law aThl Llnrted A(MInI1 SlaThJaEds {United Kingdom Generalty Accepted Accounting Practice). Company18w requwes the trustees to pre[0 fnThal statements for eath finanual year. vthich give a Irue and fair view of the state of affairs ol the thafrtable company and of the fjNx)ming iesoL¢rces an¢J appfic8tx)n ol resources, induding the incotne and expenthÈure. of Ihe tharsiable l}Y kn th81 period. In prepai¥ng these fironcial stslemenis, the tr%1¢e5 arè iequired lo.. selecl suilabbe acctsJnting rKdicies Ihen appty Ihem c(msk%lenty, observe the Mell aThJ prrriples sn the Charilies SORP 2019 IFRS 1021: make judgements and esttmates that are reason8blé INt.. stste whether applicable aL%wntry staThJards have fckned. SLtY1 to ary Materi departures disclosed and explained in the finarb(aal strtents: prepafe the finanfyal st8temenls on the gty.ro o)n(xn basis unless rt is Ipral9 lo presun th8t the charity cInue opÈrakn. The trustees are resF0nsI8 keewng adequale acc$y11rVJ rec5 thai disck)se with aSOnable accuFaGy at any time Ihe financial posilKJn of the Charilab company and enat4e Ihem to en$ thal the financFal stst8mEnts comply with the Companies Act 2006. They are also tesponsJ)k for 581eguarduvJ the assets of the ¢h8ritsble ¢panY and hènce for t¥king re8sonabk 5tep5 for Ihe F8vOntth and dotecl• offr8) ar1 (Ah8r iff8gUL3rrt. Dis¢losure of Infornialion to the audllors VVÈ. the direclors 01 thè company hehj offTh al th• dale of aptKoval of these Fin8n¢iAI Ststements as sel out on page 1 confwm, so far as we are a¥are, thaL there is m relevanl auim Informatic ciryanYs axlftLVS a w]aware: aTr we have taken au the steps that we LW9ht 10 have laken as direcior5 in ordor lo make oursefves 8ware o18ny relevant audil [l¥Mat and lo eslablth the comp3 aLJilor5 aro awar¢ of Ihat infomiatiorL In approvry thè Tntst8es' Ann1 Repxl. we a150 apFffo¥e the Slregic ReFQrt induded therekn. our capacity as company directors. This re[)rt has been preIed in Ord wilh ts spe¢ya FYovis*Jw of Part 15 01 the CTrmpanies Acl 2006 re18tfftg lo small companiès. On behalf of the board. PWJP 8
Independent Auditor's Report to the Members of Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Opinion We have audited the firkancial stalements of Sandwell African Caribbean Mental Health Foundation Ithe 'charitable company I for the year ended 31 March 2022 which comprige the Statement of Financi21 Activities. the Balance Sheet. the Stalernenl of Cash Flows and notes to the finanaal statements, irjUdIg significani accounting policies. The financial reporting framework that has been applied in their preparation is applicable law and United Kingdo Accounting Standards, including Finanual Reporting Standard 102 "The Financial RetKlrting Standard applicable in the UK and RepL¢l1C of Ireland" (United Kingdom Generally Accepted Accounting Practlcel. In our opinion the fmancial statements give a true and lair view ol the state ol the cha¥itable company's affairs as al 31 March 2022, and of its incoming resources and appli¢alion of resources. including its tncoffle aftd expenditure. lor the year then ended", have been properfy prepared in accordance vAlh United Kingdom Generally Accepted Accounting Pra¢lice- and have been prepared in accordance wilh the requifernents of Ihe ComparÈies Acl 2006. Basis for opinion We conducted our audit rn accordance with Inlemational Standards (M Aucliling IUKI IISAS {UKII and applicable law. Our responsibilities under those s12ndards are further described in Ihe Auditor's responsibiltties for Ihe audit ol Ihe fir)ancial slalements section of Our report_ We are independent ol the charilable company in ac¢oidance with the ethi1 requirements Ihal are relevant to our audil ol the financial slalements in the UK, including the FRC'S Ethical Standard, and we have lulfilled our other elhical responsibililies irk acc(ydance wlh these reouirèmenls. We believe thal Ihe audit evidence we have obtained is sUfflent and appropriate to prOVe a basis lor oui opinion. Conclusions relating lo going concern In auditing the financial slatemenls, we have Co[Uded that the trustees. use of Ihe going concem b3sis or accounting in the preparation of the financial statemenls 15 approptFale. Based on the M)rk we have performed. we have rt identifie(J any material uncertainties relating lo events or conditions that, individually or colledively, may cast Significant doubt on the charitable company's ability to Continue as a going conr for a peri(Kl ol at least Iwelve mnihs Irom when the financial statements are authorised for issue. Our responsibilities and the Fe5ponsibilrfies ol the trustees with respect 10 90ing concem are descfTbed in the relevant sections of this repoft. Page 9
Independent Auditorfs Report to the Members of Sandwell African Caribbean Mental Health Foundation {A Company Limited by Guarantee) (continued) Other infomation The other inlomiation comprises the inlormalion included in the Injstees annual reFort, other thall the financial statements and our audilor's repoTI Ihereon. The trustees are responsible for the other inlorrnalion Contained wthin the annual rewrt. Our opinion on the Iinancral statements does nol cover the othei information and. except to the extent OtheiSe explicitty s131èd in our pOr( we do nol express any form of assurance nclUsion thereon. Our responsibility is lo read the other infomialK)n and. in doing so. consider whether the olher inlom)ztion is materially inconsistent with the financial statements or our knowfedge obtained in the course ol the audit or otherwise appears to be materially misslated. If we identify such malerial incofisistencies or apparent material misstslèmenls, we ère required to determine whether Ihis gives rise to a material misstalemenl in the financi21 staternents themselves. If. based on the work we have performed. conclude that there is a material mis51alement tsf this other information, we are required lo repori ihat lact. WÈ have nothing to report in this regard_ Opinion on other matters prescribed by the Covnpanies Act 2006 In our opinion. based on the Tk undertaken in the course of the audit- (he inftsrmation given in the Trustees. Report for the financial year for whiGh Ihe financial slalemenls are prepared is ¢onsislenl wth the financial statements-, and the Trustees. Report have been prepared in accordance with applicable leg31 requirements. Mattèrs on which we are required to repi>rt by exception In the light of our knoedge and UndStandIng ol the company and ils environment obtained in the course of the aucsil, we have not identified material misstatements in the Twslees. Repcfi. We havo nothing to rewrt in respeGt of Ihe loll(r•ving mattefs in relalÉon to which Ihe Companies Acl 26 requires us lo report lo you if. in our Opini.. adequate accounting records have not been kepl, or Ihe financi21 statements are not in agreemen( th the acCOnting iecords and relurns". or certain disclosures of trustees. remuneration specified by law are not made, or we have not received all the inlormalion arbd explanalions we require for ¢JJr audtt: or the trustees were not entitled to prepare Ihe financial stalemenis in accoruance wtth the small companies regsme and lake avalaye of the small companies. exemptions in preparing the Twstees. Report and from the requiremenl lo prepare a Slralegic Report. Page 10
Independent Auditor's Report to the Members of Sandwell African Caribbean Mental Health Foundation {A Company Limited by Guarantee) (continued) Responsibilities of trustees A5 explained more fully in the Truslees, Reswnsibilities statement {sel oul on page 81, the Itustees (who are also the d?reclors ol the charitable company loi the wrposes ol company lawl are responsible lor the preparation of the financial staterrTrents and for being satisfied that Ihey give a true arbd 131r view. and lor such internal wntrol as the Irusttses d&tem)ine is necessary to enable the preparation of financial statements thai are free Iiom material misstatement. whether due to fraud or error. In preparing the finanual statements. the Iruslees are responsible lor assessing the Charitae company's ability lo continue as a going concern. disclosing. as applicable, mattèrs relalod lo going concefn and usin9 the going concern basis of accounting unles5 the trustees either intend lo liquidale the charitatje company or lo cease OperatioS, or have no realisti¢ allemative bul to tto so. Auditor's responsibilities for the audit of the financial statements Our objectives are lo obtain reasonable assurance aboul whether the financial slalements as 3 whole are Iree from material misslalemenl, whether due to fraud or error. and to issue an auditor's report thal includes our opinion. Reasonable assurance is a high level of assuran. but is not a guaranlee that an audit conducted in accordance with ISAS IUKI will always detecl a material misstatemeal when il exists. Misstatements can arise from fraud or error and are considered material il. individually or the aggregate. they could reasonably be expefjled lu influence ihe economic decision5 01 users taken on the basi5 of Ihese financial statements. Irregularities. including fiaud, are instan(ts of fton-compliance wilh law5 and regulaiions. We design piocedures in line with our responsibslilies. outlined above. lo delecl materi81 missialemenls in iespecl ol irregularil*s, Including fraud_ The specific proCedUS lor this eng3gernent and the exlenl lo which these are capable ol detecting irregularities. rncluding fraud is delailed below". We reviewed the company's control and risk mana9efflent predUS and planned our work based on our assessrnent ol those controls and pr(Kedures; This reviow included an assessment of the risk of malerial misstatement due lo errors. Iraud and management override of controls for all material areas in Ihe ftrnancial stslemenls.. We made enquiries of managemenl and Ihe company s lawyers regafding any actual or potential lil¢galion andlor claims., Financial statemenis disclosures were reviewed and checked for compliance wth applicable laws.. Detailed lesling was conducled on balances Iransactions induding unusual ilems and Ihose of individual signifiGance to the finanual statements". Data analytic5 were used in le[ to identify unusual or significant trends: Communications wtth management and those charged with governance regarding rèlevant matters was undertaken throughout the audti and on completion. Page 11
Independent Auditor's Report to the Members of Sandwell African Caribbean Mental Health Foundation (A Company Limited by Guarantee) Auditor's responsibilities for the audit of the financial statements Icontinuedl Because of the inherent limilab.ons ol an audit. Ihere is 2 risk that we will not delect all irregularities. including those leading to a material misstatement in the financial sialemenls or non<offlpliance with regulation. This risk increases the more that compliance wth a law or regulalion is MoVed the evefits and Iransaclion5 reflected in the rinancial statements. as we will be less likely to become aware ol instances of non-cofflpli3nce. The risk is also greater regarding irregularities occurring due to fraud rather thar) error, as fraud involves intentional Concealment, forgery, collusion. omission or mrsrekKesents¢J"on. A further description of Ouf restKJnsibililies for the audit ol the financial statements is located on the Financial Reporting Council's website al W¥w.fvc.org.uklaudilors$pOSlb1lIle$_ This des¢ription forS part of our audilo¢s report. Use of our rèport This report Is made soldy lo t charitable companvs rnefters. as a body. in accordance with Chapter 3 of Part 16 of the Companies Act 201. Our audit work has been undertaken so that we fflighl slate lo the chaiitable company's members those matters we are required lo sl2le Io them in an audilo<s report and lor no other purpose. To the lullesl extent permitted by law. we do nol accepl or assume responsibility to anyone other than the chaii13ble company and the charitable companvs member5 as a body. lor our audit work. lor Ihis pOrt, or for the opinions we have formed_ David W Farnsworth FCA (Senior Statutory Auditor) For and on behall of Feltons. Statutory Auditor 8 Sovereign Court 8 Graham Streel Bitmingham B1 3JR Dale QJL Page 12
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Statement of financial activities for the year ended 31 March 2022 UnTestri¢ted Restricted fvnds Ivnds Total Total 2022 2021 Notes Income Grants and Donalions 286.310 75.798 362.108 413,723 Income from Charitable aGlniilies.- Fund raising Sundry income 2,446 5.717 2.446 5.717 Total incomÈ 294.473 75,798 370.271 413.723 Exponditure Gharilable aclivilies.. Operational and support costs 3(10.842 88.275 389.117 276.318 Total expenditure 300,84 88,275 389.111 276,318 Net movèment in fund5 16,3891 112,4771 118.8461 137.405 Recon¢ilialion of lunds Total funds broughl forward 12 107.992 83,138 791.130 53.725 Total funds carried forward 101.623 70.661 172,284 191.130 l income and expènditure dèrives from continuing aclivities. The 518tement of financial activities includes all gains and 1055es reeOIsed during the year. Page 13
Sandwell Afrl¢an Caribb&an Mentsl Health Foundatlon IA Company Umlted by Guarnntoe) Company Number: 4004120 Balance •hoot •8 at 31 Mar¢h 2022 I Charity numljor: I101? 2021 Tanglble assets Curr•nt ass•ts Debtors Cash al bank ar•J h) hgnd 12.762 l.B18 168,709 205.369 229.707 232,499 Cyedltors: èmounts lalllng due wlthlTr one year 10 45.847 42.887 Net current as8 159.522 189,812 172.284 197,130 FundB of tlhi ch•rfty: Ro8trktsd fundB General fur¥J Unreltricted General fijnd 12 70.1 83,138 12 101,623 107, Tgtsl fttnd• 172,264 191,130 aTrJ e ts beha ¢b4 Marda Wiknl V• Ch Page 14
Sandwell African Caribbean Mental Health Foundatiorp IA Company Limited by Guarantee) Statement of cash flows for the year ended 31 March 2022 Notes 2022 2021 Cash flow trom operating activitiès 15 146.5631 84,154 Cash flow from investing aciivities Payments to acouife tangible fixed assets 114.4351 1941 Net Idecreaseifincrease in Gash and cash equivalents 160.9981 84.060 Cash ènd cash eouivalenls at 1 April 2021 229,707 145.647 Cash and cash equivalent5 at 31 March 2022 168 709 229.707 Page 15
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statements for the year ended 31 March 2022 1. Accounting policies al General Information and basis ol preparation Sandwell African Caribbean Menfal Health Foundaiion is a charilable company limited by guarantee. In the event of the charity being wound up, the Itabilily in respe¢l ol the guarantee 15 limiled lo £1 per member of the charity_ The addres5 of the regisleied office is given In the charity inlormolion on page l ol these financial stalements. The charity constrtules a pubjic tner11 entity as defjned by FRS 102. The financial sialefflents have been prepared in accordan with Accounting and Rew>rting by Charities.. Statement ol Recomrnended Praclice applicable lo charitie5 preparing IheTrr accounis in accordan with the Financial Reporting Siandard pplicable in the UK and Republic of Ireland issued in October 2019, the Financhil Reporting Siandard applicable in the United Kingdom and Republic ol Ireland IFRS 1021. Ihe Charities Acl 2011, the Companies Act 2006 and UK Gene¥ally Accepled A¢Gounling Practice. The financial slalements are prepère(J on a going concem basis under the hiStOral ¢ost convenlv)n. The rinancial sialémenls are presented in sterkThJ which Is the functional currency of the chafily. The 519nificant accounting policie5 applied in Ihe preparab.on ol Ihese financial slalements a sel out below. These [licieS ave been cDnsislenlly applieij lo all year5 presenled unless otherwise slated. bl Going concern The financial slalemenls have been prepared a going concèin basis as the Irusteeg believe that no material uncertainties exist. The tnjsiees have considered the level ol lunds held ènd the expected level ol income and expendilure lor a peii(Kl 0112 mwlhs Irom the date of a11$19 these financial slalements. The bu¢Jgeted income eX[oI[ure is sutricienl wFth the level ol reseeS lor the charity lo be able lo continue as a going Goncern. cl Funds Unrestricted funds are available for use at Ihe (lisuelion ol the twslees in furtherancè ol the general objectives ol the charity and which have nol been designated other PLwposes. Reslricted funds are funds which are lo be used in accordance wilh speciflc ¥estrictions imposed by donors 01 which have been raised by Ihe charily lof parti¢uiar ptsrsM)se5. The cosl ol raising and administering such lunds are charged against the specific lu[. The aim and use of each rèslricled fund is set out in the notes to Ihe financial slalements. d} Income recognition All in¢oming resources are ded in the Stalemenl ol Financial Activitses {SoFAI when (he charily is legally entitled lo the income after any performance condifion5 have been mel. Ihe amount can be measure(I reliably and il is probable Ihal the income will be received. Grants Tecetvable Granis are included in the Slatement ol Financi81 Aclivits"es on a receivable basis. The balan of
ncome r1Ved for specific purposes but not expended during the period is shown in the relevant
funds on ihe balance sheet. Where income is feceived in advarte of entitlemenl of receipt its recognition is deferred and included in creditors as deferred income. Where enlillemenl occurs befofe irume is received. the inuJmÈ is accrued. Page 16
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statements for the year ended 31 March 2022 {continuedl 1. Accounting policies Iconlinuedl dl Income recognilbon Iconlinuedl Donations Donations are recognised on a leceivab basFs where there is wtainty of receipt and the 8mounl can be reliably measvred. If there are conditions altached lo the donation and thi5 requires a level ol performan before enlitlemenl can be oblained Ihcrb TrfKxMne is deferred until those conditions are fully me( or Ihe fulfilment ol those Gorbditis is within the ¢trol ol the charity and il is ptobable that they will be fulfilled_ Inteiest receivable Interesl on lunos held on deposit is induded when Ceivable and the amounl can be measured reliably by the charily. this is nomially uwn nobrtiOn of the interest paid or payable by the bank. Other income Othei inGome is recognised in Ihe pericY il Is fecwvable and lo the extent Ihe go(Mls have been provided or on ComptIOn ol ihe setvice_ èl Expenditure recognttion All expendilure is accounted lor on an accruals basis arKI has been classified under headings thal aggregate all cosls related lo the category. EXPe[lIre is recognised where Ihere is a legal or tonstiuctivÈ obli931ion lo make payments lu third portie5. 11 is probable thal Ihe 5elllernent will be required and the a¥nounl ol the obligalion can be measured reliably. 11 c2tegorised Under ihe following headings: Costs of generaling funds These are cosls incurre(l in attrlIng voluniary income. and Ihose incurred in irading aci¥viiie5 that raise funds. Charitable activities These are eosts incurted in actwitiès undertaken to further thè putty)sès of the tharity and Iheir ass(Kialed supwrt ()s(s. Governance costs These include the cosls altribulable to the tTL15t'5 comlance with (x)nslilutM)nal and statuiory requiremenls. inclu(Jing slrate9i¢ management an(J Irustees. meelings and reimbur5e(J expenses. Irrecoveiable VAT is charged as an e%nSe against the activily lor ch expendiluie arose. fj Alocation ol support Costs Support cost5 are those thal assisi ihe Vrk of Ihe charily but do not difecily represent Charitatre aclivilies and include olfice costs. 9overn8nce costs and administr81we payToII costs. The bases on which suppori costs have been allocaled are sct out in rK>le 3.
SandwÈll African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statements for the year ended 31 March 2022 (continued) 1. Accounting policies Icontinuedl gl Tangible fixed assets Tangible fixed assets are slated at cost or valuation less accumulaled depfeciation accumulaied impairment losses. Cosl includes cosls diiectly attributab lo making Ihe asset capable of operaling as intended. Depreciation is provi(Jed on all iangible f4xed assets, al iaies calculated lo wrile off Ihe cost. less esbmaled residual value. ol each assel on a sysiemab"c b35is over ils expecled useful tile as lolknws.. Office equipment - 20% per annum on a reduang balan basi5 h) Debtors Operalional and other debtors are recognised al ¢he selilemenl amount due after any tiade discount ollered. Prepdymenls are valued at Ihe amount prepaid nel ol any trade discoullls (Jue. il Cash at bank and in hand Cash at bank and tn hand indudes cash and short term highly liquKJ inve51ffterils wilh a short maturity of three months or less from the date Dr acqui&lion or opening ol the (leposrt or similar account_ j) Liabililies Liabilities are recogni5ed when there is an objigation al Ihe tsalan sheet dale as a result ol a past event. il is probable Ihat a transfer ol economic benefit will be fequired in settlement. and Ihe amounl ol the selllement can be estifflaled reliably. Liab¢lilies are recognised at the amouni that Ihe charily anlicipates il will pay lo settle the debt or the amount il has re1Ve(l as advance(I payTnenls lor the g(KKls or services il must provide. kl Operating leases Rentals payable Under opeiating leases afe char9ed lo Ihe SOFA on a straighl line basis over the periixl ol the lease. 11 Taxation The charity 15 an exempt charity within the meaning of schedule 3 of Ihe Charilie5 Act 2011 and is consideied lo pass Ihe tests Sel oul in Paragraph 1 Schedule 6 Finance Acl 2010 and iherelore il meets Ihe definition ol a charitable company for UK c(¥poration tax (pOS•S. ml Pènsion benefits The chariiy opeiales a defined con1riltl0n plan lor the benefit of its employees. Conlribulion5 are expensed as they become payable. Page 18
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statemènts for the year ènded 31 March 2022 Icontinuedl 2. Donations and legacies Unrestricted Restricted funds funds Total 2022 Total 2021 Grants Donations 285.981 75.798 361,779 329 413,723 286.310 75.798 362.108 413.723 2021 total 270.871 142.852 413,723 3. Expenditure on charitable activities Co activity Total 2022 Total 2021 Operational and support costs Slaff costs Support costs nole 41 Govornance cos15 (see note 41 254.669 129,635 4.813 389,117 254,689 129.635 4,813 389.117 180,102 93,903 2.313 276.318 2021 total 276,318 276.318 Total expendilvre on charitable aclivities was f389.117 12021 £276.31810l *thich E300,84212021 £197.4341 was unreslricied an(J £88.27512021 - £78.8841 was reslricled. sUprt costs afe allocaled on a usage basis. 4. Analysis of support and governance costs General support Govemance function Total 2022 Total 2021 Renl and rates InsLJran¢e Lighl and heal Telephone PoslagL and staltonery Advertising Repairs and renew315 Travol and subsistence Training VoluDle8r expenses Computer and IT cosls General oKice costs Audit and accountanty servrces Legal and othef professitsn31 Sundries Depreuation 10.770 1.505 6.870 6.183 306 5,485 12_818 2,692 13.244 130 22.765 14.551 1Q.770 1,505 6,870 6,183 306 5.485 12.818 2.692 13.244 130 22.765 14.551 4.800 28,749 389 3.191 22,661 1.133 6,585 9.785 2,209 2.524 7.858 540 218 1,015 14,525 6,546 2.300 16,726 595 996 4.8(Ml 13 28,736 389 3,191 129,635 Pe 19 4,813 1.448 96.216
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Noles to the financial statements for the year ended 31 March 2022 Icontlnuedl 5. Net lexpenditureyincome for the year Nel lexpendilureyincoffle is slated after charging l {creditingl= Total Total 2021 2022 Depreciation of iangible fixed asset5 Operaling lease rentals Premt8es Auditors remuneralKJn 3.191 996 10,770 4.800 22.661 2.300 6. Trustees and key management personnel 1UneratIOn and expenses The trustees neilher f1Ve nor waived any remuneTah"on during the year 12021 reimbuised expenses during Ihe year12021 . EnAI. £nill neithei re they The Trust consKJe¥s its key managemenl personnel are as listed on page 1. The total amounl of employee benefits (including employèr pension conlTibutions aThJ emplOr natthal Insuran conlribulionsl received by key management personnel was £121.601 12021 . EI 18.0591. 7. Analysis of staff ¢05ts and numbers Staff costs Total 2022 Total 2021 Wages and salaries Social security cost5 Defined contribution pension schemes 230.942 17.731 5.9 165.143 8,763 6,196 254.669 180.102 No employees r*Ve lolal employee tnefitS of fflore than £60.IXK). Staff numbeis . The average monthly number of empbyees and full lime equtvalents during the year as follows". 2022 Number 2022 FTE 2021 Number 2021 FTE Charitsble activilies Management Page 20
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statements for the year ended 31 March 2022 Icontinuedl 8. Tangible fixed 255ets Office equipment Total Cost Al 1 April 2021 Additions 37,375 14.435 37.375 14,435 At 31 Mèrch 2022 51,810 51.810 Depreciation Al l April 2021 Charge for the year 35.857 3.191 35.857 3,191 At 31 March 2022 39.048 29.048 Net book values Al 31 Maich 2022 12,762 12.762 At 31 March 2021 1.518 1,518 9. Debtors Total 2022 Total 2021 Debtors from operations Prepaytnenls and accmÉd income 60 36,600 2.000 792 36.660 2,792 10. Creditors - amounts falling due wlthin one year Total 2022 Total 2021 Creditors frorn operations Taxation and social security Accyvals and delerred income Deferd income Oiher creditors 5,863 3,130 7.1(Kl 22.843 6,911 15.887 3,731 2,300 20,000 969 45.847 42.887 Deferred income represents tErformancÈ relaled grants received In the year vthere the relevant Ser¥e$ or outputs will nol be delivere(S until luture or as a result ol other ieslrith.ons imposed. Page 21
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statements for the year ended 31 March 2022 Icontinuedl 11. CommSlments under operating leases Al 31 Ma¥ch 2022 the charity was commilled to making the lollowng payments under rwn- ¢ancellablo operating lÈa5es Total 2022 rotal 2021 Within one yèar Within two lo five year5 inclusive In over live years 11,0(X) 33.000 11.000 44,000 44.000 55.000 12. Analysis of funds Balance at 1 April 2021 Balance at 31 March 2022 Incoming resources Resources expended Restricted funds Gencral fund Sandwell MBC IT National Lottery- Building Futufes Henry Smith Grants Birmingham City Council National Lottery- COV 19 restK)ns6 7.015 1.015 39.846 10.232 24.019 25.800 110,4491 136,0321 53.416 16.312 112.0701 7.630 22.657 83,138 9,667 75,798 129.724 88,275 2,600 70.661 Unrestricted fund$ General fund 107.992 107.992 294.473 294.473 1300 8*fj21 1?00,842 101,623 10"..623 Total lunds 191.130 370,271 1389,1171 172,284 Name of fund Description. nature and purpose of fund Restricted general fLFnd Money given to the charity where the donor requite5 that a grant or donation spent for a Specif project. The nature purpose of each of the mapr reStrted lunds ts explain&l beknw: National Lottery- Bu119 Futures Ex-cillenders with pwr wellbeing and those wlh mental heallh issues who are Irorn an ethnic backgfound and in need of reselllemenl support in the commur4ty. Page 22
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee} Notes to the financial statements for the year ended 31 March 2022 Icontinuedl 12. Analysis of funds Icontinuedl Henry Smilh Ftjnding lo support the C serveS whith a part lunded by Sandwell Melfwlitan Council. These gervtrces include Ujima user-led 121 5etvice. (treach clienl and lamity support service and Care for You Carers support SeICe. Grants Birmingharn Cily Council This service supp)rt5 bereaved carer5 sn Brimingham and is delive in partnersh¥) wlh local organisatiS who are part of 3 local consortia of which SACMHF is a parl. called Communilies in Syftc. Nstsonal Lottery Commynity Ftrnd ICovi(k39 Relief Fund) To deliver a counsollin9 SerVe lor a six-monlh perKKI. Unrestricted 9eneral funil The fe reserves ol the charity vknith are r1 designated for particular purposes. 13. Analysbs ol net assets between funds FurKI balanS al 31 March 2022 are represented by.. Unrestricted Restricted funts lunds Total funds Tangible fixed assets Currenl as5els Current liabilib-es Total net assets 12,762 133,525 144.6$41 101,623 12,762 205,9 145,8*7' 172.384 71.844 11,1831 70,661 14. Capital cornmitments There woro no capital commitments at 31 March 202212021- £nill. 1 S. Reconciliation of net lexpenditureyincome to net cash flow from operating activilies Total 2022 Total 2021 Net {expendituYirff lo¥ Ihe yeaf Depr8ciation Ilncreagel I decrease in debtors Increase I Idetre3sel In creditors 11e.8461 3.191 133.8681 2.960 137,405 996 11.9511 152,2061 Net Gash flow frown operating activities 146.563 84,154 16. Relaled party transactions No felated party transactions took pce in Ihe perw)d ol account. Page 23
Sandwell African Caribbean Mental Health Foundation DETAILED INCOME AND EXPENDITURE ACCOUNT for the year ended 31 March 2022 2022 Z021 INCOMING RESOURCES Grants S3ndwell M8C 53ndwell MBC prror year redassifficati Sandwell MBC IT Natlonal Lottery- Bvildiryg F¢Jtures Henry STnith City of Birmingham National Lottery- Covid 19 response Oak Foundation 135.460 135.460 62.889 3,711 S8.332 37.433 14.375 29,1 64.WO 24.019 2S.800 16.312 9.667 92.125 15.(X)9 14.693 28.694 Probation Service Other income Client incomè 1.272 7,250 413.723 Fund raisifig Donations SuThJry incorne 361.370 2,446 329 5.717 379.271 413,723 STAFF C05rs Wage5 and salarie5 254.669 180.102 SUPPORT COSTS Rent and rates Insurance Meal. light 3nd water Telephone and (ommunicatiorss Postaee and stationery Advertisirng Sundries Repèirs and renewals Travel and sub51Stence Office expenses Training VoluntÈer expenses Computer5 and IT Legal and professional Depreci2tiors- fixtures and fitti¥i85 10,770 1.505 6.870 6.183 306 5.485 389 12.818 2.692 14.551 13,244 130 22.765 28.736 3,191 9.707 1,133 6.585 9.785 2.2 2,524 595 7,858 540 6.546 218 1.015 14.525 16.713 996 GOVERNANCE COSTS Audiior's romuneration Other 384,304 26151 4,8 2,3rA) 13 4,813 2.313 NET IDEFICttllSURPLV5 FOR THE YEAR BEFORE EXCEPTIONAL FfEM EXCEPTIONAI fFEM Rent and raies 118,8461 ISO.359 12.954 NET IDEFICITI/suRPLIIS FOR THÉ YEAR AFTER EXCEPTIONAL ITEM 118,8461 137,405 rhts poge does notlomi purt olihe stotutoryfJnonti015totementk Page 24
Sandwell African Caribbean Mental Health Foundation (A Company Limited by Guarantee) Annual Report and Financial Statements Year ended 31 March 2022 Charity number . 1082017 Company Number . 4004120 Feltons Chartered Accountants Birmingham B1 3JR
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guaranteel Report and financial statements Yèar ended 31 March 2022 Contents Page Reference and administrative details Report of the trustees Indpendenl auditor's report on the financial statemenls Slalemenl of financial activities incorporating income & expenditure account 13 Balance sheet 14 Cash flow statement 15 Notes forming part of the financial statements. incorporating Statement of accounling policies 16 Other notes lo the financial statements 19 The following page does not form part of the statutory financial statements: Detailed income and expenditure account 24
Sandwell African Caribbean Mentsl Health Foundation {A Company Limited by Guarantee) Reference and Administrative Details Chair Bishop D R Williams Chair Trustees R'd G S Brown R A McDonald El Musa Pujeh Mr N RrigUeS Ms M Wilson Treasurer (appointed 10 Maith 20221 laptK)inted 9 June 20221 Iresigned 17 January 20221 Vice Chatr Company secretary Patricsa Johnsc Key management personnel Patricia John51)n Donna Campbell Rebecca Gardnef Dawn Reid CEO Regislered office Kuumba Cenlre Boulton Road Wesl Bromwich West MKltands B70 6NW Charily number 1082017 Company registration number 4004120 Auditor Fellons 8 Sovereign Court 8 Graham Street Birmingham B1 3JR Baftkers Unily Trust Bank Nine 8rindley Place 4 002ells Souare Birmingham B1 2H8 Solicitors Kapasi 8 Co 1 st fl(MN, 17 Birmingham Streel Oldbury West MKJlands B69 4DT Page 1
Sandwell African Caribbean Mental Health Foundation (A Company Limited by Guarantee) Report of the Irustees Year ended 31 March 2022 Thè Trusteos prtrserit their report and the financial statomgnls ol the charity lor the year fjnded 31 Morch 2022. The truslees have adopted the provisions ol ihe Slatement of Recomtnended Practice ISORPI "Accounling and Reporting by Charities" in pparIng the annual repKKi and financial 51alemenis of ihe charily. The financial statements have been prepared in accor(Jan with the accounting wlicies set out in rleS lo the accounts and comply wilh the tharilY5 9ovemtng dfKument, the Charities Act 2011 and Accounting and Reporting by Charities.. Siatemenl of Recommended Praclice applitable to charities preparino their a¢counls in accordance with the Financial Reporting Slanda¥d applicable in the UK and Republtc of Ireland publishèd in Oclobef 2019 Truslees of the charity Details ol the trustees who seryed duriThJ the year and to the dale Ihese accounls ate apwoved are included in the Reference and Adminislrative details on page l. Oblectives and activilies Our charity delivers serviGes predominately bul not exdusively for Black Alan Caribbean people recovering from mèntal illness. theii lamilies, carers. and the wider community. In platlning the aclivitie5 for the year Ihe Irustees have consiolered the Charily CownmEssi's guidance on public benefit. including the guidance 'pubSic benefit." running a tharily IPB21'. The strategies employed lo achieve Ihe charivs aims and objecttves afe descrid in the strdlegic report below. Strategic Report Achievements and perfomiance lincludin9 principal risks and uncertainties, development and perlormance and key perfom)ance indicalorsl The y8ar cornmenoed with the usual rigor and energy empbye<l lo identity furKJing to support new sttrvsce develop¥nent and lunding tt) supporl Ihe core functions and operations wilhin Ihe charity. Working Ihrough the pandemic and adapting our defivery models had served us well since March 2020 and this method of implementing a flexible approach benefit1 Ihe people who use our ServIS gally. It is importanl to note Ihal this could not be done without the commitmenl of our growing pa and unpaid staff team and lor Ihis I thank them operaling lu11y within an uncertain and at limes dvriro the pandemic scary extemal environment. Strate 1¢ Develo ment5 Lloyds Bank Foundation The covid-19 pandemi¢ ha5 been ¢haiienging in many bydys. Like many Other organisations we we¥e required 10 implement a raft ol Changes designed lo support Ihe c0nlinuall of 5etvice delivery. Many ol these challenges concerned uradeS to our IT capabilities. This came al a huge (Xbst to us. and our funds were depleted as a resLtIt. The Pressu lo increase our core funds was ever present and we managed to successtully secure a grant from Lloyds Bank Foundalion ovty ¢0 years. Recognilion of our wotk wa5 received Ifom Ihe 9ranls ffianager and his chief executive Offir. Page 2
Sandwell African Caribbean Mental Health Foundation (A Company Limited by Guarantee) Report of the trustees (continued) Year ended 31 March 2022 Strate ic Develo ments continued From Struggle to Freedofn We commenced our programme ol evenls lor Black History monlh in 00{ 2021. Th"s fortned a series of Black History Seminars the final one of which is yet lo take place. The seminars sil under our strapline ol 'Frotn Struggle to Freedom.. The evening seminars have been well received and Cated ffluGh discussion. Nicola Richards MP for West Bromwich East Wo were approached by Nicola Richards MP l(v Wesl Bromwich East to ascertain il we needed any supporl from her and her team. Nicola had got lo know us during the eady stages ol the pandemic, and she rame to visit us al the Kuumba centre. This led lo Nicola speaking to Matt HaruKk who was the then Heallh Secretary aboul our work in Ihe House of Commons. Since then, Nicda has delere a suigery al the centie to sui)tM)rt the people who use our seNc&s. The surgery was welcomed an(f carried oL¢l salely. 11 would be remiss ol me lo not meniion Hatry LofthDuse, a caseworkei from Nicolas's office. Harry has been a huge stjpport lo us dealin9 with some speofiG issues on ovr behall. Their support for us has endured the lasl ¢ouple ol yeais and we have belItted muth Irom Iheir eftorts. IndeDendenl income Our annual strategic developrnenl Plannrng Day 2019 prior lo ihe onsei of the COV-]9 pandemic focused on in¢ome generation. It was agreed thal plannin9 strK)uld comrrtence to develop a Irading arm of Ihe charity. Thi5 would serve to add a independenl Jncorne stream to our revenue. The covid-19 pandemic slowed our prvJiess bul in 2021 we were able to return lo (xjr plans whith commer wilh an application to the knial Irtrveslment Business for a grant lo provi(Je business planning support and additional hours lor the Business Developmenl Manager lo increase his hours lo support 3 greater fiKus on developing Ihe trading arrn. The appli¢ation to the Social Inveslmenl Business. Enterprisè Development Programme IEDPI was successful 3nd we are working through that progranime now. The FoLtndation for Improvement provided the business planning suppori and Ihe EDP provided peer suppofL finance SUPPDtI and fe9ular ijp-dale meetings Wlth the grant officer. The granl olficer is pari ol the ASsla110 of Mental Health Pioviders and our charily have now bgcomo members. The trading elemenl of our thatily is undemay. ar1 I will be able to report more fully next year. Governance Being part ol the EOP meant Ihat we ieceived prolessional a¢Jvice pertaining lo aieas ol developrnenl Ihat would support the sustainabilily of a trading arm_ One ol ihese areas wa5 lo augfftent Ihe board ol Injslees as our board was small. The Lloyds Bank Foundalion have an inib"ative where charities can ailvertise their tnjslee recruilmenl adveris and Lloyds Bank Foundation would match them to Ihe Lloyds Banking Group employees who were looking lor Truslee positions. Through Ihis inilialive we recruiled Richard Mcoonald who had finance. marketing. and mortgage experience. He was a 9(K>d fit for us. and he is an aaive conlributor to tx>ard afylivilies. Vve were on a roll, and we subsequently ¥ecruiled Bobby Puieh who is a senior leclurer froffl Wolverhaffipton University and who has a nursing backgrout)d. Since laking up hi5 Position as Tmstee Bobby has enabled us lo widen our iole in the ytudent placemenl programrne with the university whth will akn us to intxease the level ol prevention work, we do with the people who use our seryiGes. Pagè 3
Sandwell African Caribbean Mentsl Health Foundation
(A Company Limited by Guaranteel
Report of the trustees {continuedl
Year ended 31 March 2022
Kickstart Initiative
We Gonlinue lo be members of C(Mnmunilies wi S¢ ICIS) whKh is a 1 con50rtium that is UJfnpri5ed of local
¢h3rilieslenterprises w) work 10gethe¥ to deliver a range of health and wellikein9 se¢vi¢es. The govemments
chèncellor annOUed Ihe Kj'ckstart stheme to support to irKxea5e the employment opportunit$ loi young people.
Had we not been members ol CIS we would not have been able lo benefit Iroffl the chancellorfs scheffle. This
dsmonstrates the importance ol working as part ol a consortia lor smèll charilies like SACMHF. We recruited ancl
supported two Kickslart employees for Iijnded peiiod. Their work was ouislanding. and we were delighted lo be able
to participate in this opportunity.
Asna
shot of Beneficia
Outcomes
Our work means nothing 51 we nTrol report on the achievements of our be[Claries. This year will rerKesent the
rirsl year we will report fully on our impact. This report will be puNished later this year. However. the oulcomes
below are deSned lo show what people can achieve wilh robust culturally sensitive mental health suppori.
BS- BS is a young lady who was relerred lo Ihe service lo re support lo reduce her social isolalion and
better manage her menial health. She was lacking StalttY in her lile and had little social support. During her
lime with Sandwell African CaribLan Mental Heatth Founoation. she has secured a place at her local college
to Study Paramedic Science. 5etiled into a new home and mainiained positive mental health and wellbeing,
even sharing this with other sernices Use by hokjing her own mindfulness session- thanks BS.
FM- FM has hèd a difficull few years. but has kept pyshtng on. seeing her two children successfully off to
university. Though she has only been with Ihe semce lot a shorl lime. she has already secured a new job as a
carer. This is a positive step towards increasirKJ her ¢onfiden(E. selfsteem and eslabli5hing a new soctal
circle. Go(xl luck with Ihrs new chapter FMI
DB-This lady ts a long slanding and well-likèd sèrvice user wtrK) has kindly chosen to volunteer weekly at the
Kuumba Cenlre, leaching oiher service users basic c(xnpule¥ skills. l( is always nice to see someone sharing
their skills and wsitive progress with others_ D8 has come far and has coniribtjted lo several consultation
events and given some g
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Report of the trustees (continued) Year ended 31 March 2022 Asna shot of Beneficia Outcomes continued LS is a 31year old male of Alllcan desndant. He spent mosl ol his lime liwng in fesidenlial sUPPOrted accommodaiTori. LS needed social tnleraclion an(J activities during his day otherwise he would not leave his home unescoried_ In his early da when he got his Ilal. staff had to meet him at home. With litne and patience staff encouraged LS to use the tocal shops and then later to attend a gym. LS became more independent and started visiting other places." Kuumba independenlly arKI other local venues. As his confidence improved, he started doin9 several cOrSe5 including SIA Isecurityl. Firsl Aid. which lead him lo siart work as a Securily guard al various evenis. H8 has since worked al Ihe G9 summit and a variely of loolball matthes. LS has plans to start his own deaning business in the future. imatter Youth Sèrvice An exisling lunder the Oak Foundation wothed with us to Icmjk at gaps tn service pfovision that we were finding in our external environment. Al the time the work aiea thal had irtreasing leve15 01 unmel need wa5 SUPPOrt lor young Ptx>ple with mental health neèds exacèrbated by the covi1>19 parl(leM antj the aligned protracled lockdown 2nd other measures. The conslrainls irnw5ed on our wnovement was parbcularty evidenl in this group and we secured funding from the Oak Foundation to set up a Ser¥e to oflei tafgeled cullurally responsive support for young FEople belween the ages of 11 10 25 in the local Sandwell region. 11 was our aim to offer supwrt lo two IcKal sthooEs. Following a change of siafl. the service was ielavnched and is now known as Ihe imatter Projeci_ Two local 5chtx)Is have been identilied and the cohort ol young people is growing to the poinl where we submitted a funding apicatiOn to Henry Smith io augment thè service wth additional slall to ake the service offer more robust. The l¢omeS data is very pfomis5ng, and our focus will be managing the demand and co-prodtJGing the development of the seNice and efftbeddin9 the voice of young people in our (Jecision- making lorums and lailoring our marketing lo ensuie that yourbg peOe can see Ihemselves in Ihe services we offer. Buildin Futures service su Th¢ year commenced In earnest wilh new funding secured from Probalion servi. This lunding was IElpful in undefpinoing the work Ihis service offered_ The ProbatK>n sere team were voolerous in working ak)noside us lo help continue the achievement of successful oulcomes Irc¥m the people who use the sèrvice. ortin ex-offenders In addilion lo this dLbring the year we secur8d a slKM14em) service lo suptx>rl ex-olfenders who resi¢Je in Approved Premises. Oespile Ihe covid-19 res11>5 Ihe seNice CODrdinator was able to some lace-lo-lace support and the delivery was augmenled by online and lelephone suprt. This blended nature Df the support offered beeame a feature during the pandemic and this seThice benefitted from a fiexible approach lo delivery. The Building Futures service was originalty funded solely by the National Community Lotlery Fund. This reporting period represented the third and final year ol the Pfojecl delivery_ The exil strategy was nol lo continue the service lully. Mijch work had been done to Iwk at the continuing needs of this user group and our locus tijmed lo the accommodation needs ol this group of benef¢ciaries ar otheTS. This serVe came to an end in March 2022 bul some ol the leaming from delivering thi5 Se[ would transl1 inlo the devekwmetht of a housing offer. Watch this spacel Page 5
Sandwell African Caribbean Mental Health Foundation {A Company Limited by Guarantee) Report of the trustees {continued) Year ended 31 March 2022 Financial revlew {including resèrves poli¢y} The financi21 iesults ol Sandwell Alrican Garibbean Mental Health Fjndat1On are detailed in the following pages. 11 IS Considered Ihal the finances are sound and well eslablished. The princtP31 furmling sourcè is 8 gr2nt from Sandwell MBC. All Èxpenditure of this income is planned lo lulfil the objectives and strategies of the chaty. During the year ended 31 March 2022 lotsl resources expen¢Jed werè £389,117 and the defiot of expenditure over income was £18,846 which included depreciation of £3.191. The Iruslees continually monitor the feserves of the charilable company. This proces5 encompasses the nature of income and expenditure streams and the need to match comMilment5 wilh inGome and naiuie ol reserves. The trustees regulady review the level of reserve5 and aim lo maintain nstriCted reserves al a rninimum ol E100.000 lo cover shortfall in fund1j flows_ Investment powers and policy Any surplus funds ale deposrled wilh Unily Trust Bank. Plans for future periods Moving lorward the year ended with renewed hope that Ihe pandemic was coming lo an end as we managed a safe return lo increased use of the ceri¢re by benefi¢iaries. Slaff fesuffled is9 themselves with co-produclion activities and opening up the centre lo evenls an(1 some new programmes. For the lasl lew years a slrale9ic priority has been to suslau) the organisat¥)n through wK¥easing income whK* will become the main wiority as we move forward. Structure, Governance and Management Governing document Sandwell Alrican Cafibbean Menlal Health Foundation is a company 15mil8d by guarantee governed by its MemorandLsm anil Articles ol Association dated 12 April 20 and is regislered as a charity wilh Ihe Charity Commission. There are ojrrently 5 members. each ol agrees lo contribule £1 in the event ol the charity winding up. Appointment of tSteeS As set oul in (he ArtiGles of Assoc¢ation. the Charity rFbay by ordinary resolulion appoint a PEfson who is willing lo acl as a truslee either lo fill a vacancy oc as an additional Iruslee and may also detern7ine the rolation in which atty additional trustees a lo relire. ND person may be appoinied as a trustee unless they have attained the age of 18 years or in circumstances such Ihat, had they already been a truslee. ihey would have been disqualified from acting Ljnder the above provisions. Page 6
Sandwell African Caribbean Mental Health Foundation (A Company Limited by Guarantee) Report of the trustees (contsnuedl Year ended 31 March 2022 Trustee induction and training New trustees are txiefed on Ihe4r legal obligalions under ¢hariiy and company law and the Charity Commission guidance on public benefil. and are inlcwmed ol the contenl ol the Memorandum and Artides of Association. the committee and decision-making processes, Ihe business plan and the receni finanal peflomiance ol the charity. Organisation The board ol Ifustees adminisleis the charity. The tx)ar(J nomially mee15 six limos a year and there are sul> ¢ommillees covering business developmeTr( incliJdin9 impact. user salislaction,finance and fundraising slialegy and ihe communication5 plan which nomally meel four limes a year. A Chiet Execulive is appointed by the Iruslees to manage the day-lo-day operations ol the charily. To fatiliiale efiective operalions. the CtrH"el Execulive has delegatod aLrthorily, withtn terrns ol delegation approve(I by the trusiees. opeiatK)nal matters induding finance and fundraising. human iesou¥¢Ès. and business developmeni_ Related parties and Covoperalion wilh other organisations None ol our trustees receive remuneralion or olher benefbl fM Iheif work with the charity. Any connectK)n between a twslee or senior man3ger of ihe charily wtth a clrent or supplier musi be disdose(I to Ihe full txjard ol trustees in the same way as any other conlfactual relationship wilh a related party. Related party transactions in the Gurrenl year are described in rx)te 16 to Ihe awunts_ Pay policy for senior staff The board ol diieclors. who are the Trust's Iruslees. and Ihe senior management ièam l¢yJether compfise Ihe key managemenl personnel ol Ihe charity in chaige ol ¢Jirecling and operating the trust on a day lu day basis. No director received refnuneralion in Ihe year and details of directors. expense5 and relaled party transadions are disclosed in notes 6 and 16 to Ihe accounts. The pay ol senior slaFt is reviewed annually and r[MallY Increased in accordance with average eamings. Risk n7anagement The Iruslees have a fisk rnanagernent w)lry which comprises". an annual rev¢ew of ihe prinapal risks and uncertainties that the charity faces- the establishment ol polics. systems, arml piocedure5 lo mitigate those risks Klentified in the annual review.. and the implementalN)n ol pryKeduies designed lo mitigale or manage any polential impact on the charity Should those risks m3lerialise. This work has idcntif19d Ihal ljnancial SLtsi8inabilTrty is ihe major finaA¢ial risk for the Gharity. Kcy clomenls in (he managemenl ol Ilnancial risk are a regular review ol available liquid funds to 5etlfe debts as they fall due, regular liaison with the bank. and active management ol operational debtor and credilor balances to ensre sullicienl working capital by the Trust. Attention has also been f¢Kus5ed on non-financial risks as fTrre, health and safety, empknymenl matters and data proteclion. These risks are managed by ensuring acuedil3lion is ID dale. havi Tobugl polici@s in place. and regular awareness training lor staff woking in Ihese operatn31 aa$. Page 7
Sandwell African Caribbean Mevrtal Health Foundation IA Company Limited by Guaranteel Report of the trustees {continued) Year ended 31 Mah 2022 Trustees. responsibililles The Irustees (who arn aLso ijireclm of ts caritawo CCInrry for the pwpjses of c¥xYw lawl are reswjnsiblo for pparing the Trtstees. Annual Repori {incluthng Ihe Strategic Rewrtl aThJ Ihe finanoèl statements in accordance with apfli¢aNe law aThl Llnrted A(MInI1 SlaThJaEds {United Kingdom Generalty Accepted Accounting Practice). Company18w requwes the trustees to pre[0 fnThal statements for eath finanual year. vthich give a Irue and fair view of the state of affairs ol the thafrtable company and of the fjNx)ming iesoL¢rces an¢J appfic8tx)n ol resources, induding the incotne and expenthÈure. of Ihe tharsiable l}Y kn th81 period. In prepai¥ng these fironcial stslemenis, the tr%1¢e5 arè iequired lo.. selecl suilabbe acctsJnting rKdicies Ihen appty Ihem c(msk%lenty, observe the Mell aThJ prrriples sn the Charilies SORP 2019 IFRS 1021: make judgements and esttmates that are reason8blé INt.. stste whether applicable aL%wntry staThJards have fckned. SLtY1 to ary Materi departures disclosed and explained in the finarb(aal strtents: prepafe the finanfyal st8temenls on the gty.ro o)n(xn basis unless rt is Ipral9 lo presun th8t the charity cInue opÈrakn. The trustees are resF0nsI8 keewng adequale acc$y11rVJ rec5 thai disck)se with aSOnable accuFaGy at any time Ihe financial posilKJn of the Charilab company and enat4e Ihem to en$ thal the financFal stst8mEnts comply with the Companies Act 2006. They are also tesponsJ)k for 581eguarduvJ the assets of the ¢h8ritsble ¢panY and hènce for t¥king re8sonabk 5tep5 for Ihe F8vOntth and dotecl• offr8) ar1 (Ah8r iff8gUL3rrt. Dis¢losure of Infornialion to the audllors VVÈ. the direclors 01 thè company hehj offTh al th• dale of aptKoval of these Fin8n¢iAI Ststements as sel out on page 1 confwm, so far as we are a¥are, thaL there is m relevanl auim Informatic ciryanYs axlftLVS a w]aware: aTr we have taken au the steps that we LW9ht 10 have laken as direcior5 in ordor lo make oursefves 8ware o18ny relevant audil [l¥Mat and lo eslablth the comp3 aLJilor5 aro awar¢ of Ihat infomiatiorL In approvry thè Tntst8es' Ann1 Repxl. we a150 apFffo¥e the Slregic ReFQrt induded therekn. our capacity as company directors. This re[)rt has been preIed in Ord wilh ts spe¢ya FYovis*Jw of Part 15 01 the CTrmpanies Acl 2006 re18tfftg lo small companiès. On behalf of the board. PWJP 8
Independent Auditor's Report to the Members of Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Opinion We have audited the firkancial stalements of Sandwell African Caribbean Mental Health Foundation Ithe 'charitable company I for the year ended 31 March 2022 which comprige the Statement of Financi21 Activities. the Balance Sheet. the Stalernenl of Cash Flows and notes to the finanaal statements, irjUdIg significani accounting policies. The financial reporting framework that has been applied in their preparation is applicable law and United Kingdo Accounting Standards, including Finanual Reporting Standard 102 "The Financial RetKlrting Standard applicable in the UK and RepL¢l1C of Ireland" (United Kingdom Generally Accepted Accounting Practlcel. In our opinion the fmancial statements give a true and lair view ol the state ol the cha¥itable company's affairs as al 31 March 2022, and of its incoming resources and appli¢alion of resources. including its tncoffle aftd expenditure. lor the year then ended", have been properfy prepared in accordance vAlh United Kingdom Generally Accepted Accounting Pra¢lice- and have been prepared in accordance wilh the requifernents of Ihe ComparÈies Acl 2006. Basis for opinion We conducted our audit rn accordance with Inlemational Standards (M Aucliling IUKI IISAS {UKII and applicable law. Our responsibilities under those s12ndards are further described in Ihe Auditor's responsibiltties for Ihe audit ol Ihe fir)ancial slalements section of Our report_ We are independent ol the charilable company in ac¢oidance with the ethi1 requirements Ihal are relevant to our audil ol the financial slalements in the UK, including the FRC'S Ethical Standard, and we have lulfilled our other elhical responsibililies irk acc(ydance wlh these reouirèmenls. We believe thal Ihe audit evidence we have obtained is sUfflent and appropriate to prOVe a basis lor oui opinion. Conclusions relating lo going concern In auditing the financial slatemenls, we have Co[Uded that the trustees. use of Ihe going concem b3sis or accounting in the preparation of the financial statemenls 15 approptFale. Based on the M)rk we have performed. we have rt identifie(J any material uncertainties relating lo events or conditions that, individually or colledively, may cast Significant doubt on the charitable company's ability to Continue as a going conr for a peri(Kl ol at least Iwelve mnihs Irom when the financial statements are authorised for issue. Our responsibilities and the Fe5ponsibilrfies ol the trustees with respect 10 90ing concem are descfTbed in the relevant sections of this repoft. Page 9
Independent Auditorfs Report to the Members of Sandwell African Caribbean Mental Health Foundation {A Company Limited by Guarantee) (continued) Other infomation The other inlomiation comprises the inlormalion included in the Injstees annual reFort, other thall the financial statements and our audilor's repoTI Ihereon. The trustees are responsible for the other inlorrnalion Contained wthin the annual rewrt. Our opinion on the Iinancral statements does nol cover the othei information and. except to the extent OtheiSe explicitty s131èd in our pOr( we do nol express any form of assurance nclUsion thereon. Our responsibility is lo read the other infomialK)n and. in doing so. consider whether the olher inlom)ztion is materially inconsistent with the financial statements or our knowfedge obtained in the course ol the audit or otherwise appears to be materially misslated. If we identify such malerial incofisistencies or apparent material misstslèmenls, we ère required to determine whether Ihis gives rise to a material misstalemenl in the financi21 staternents themselves. If. based on the work we have performed. conclude that there is a material mis51alement tsf this other information, we are required lo repori ihat lact. WÈ have nothing to report in this regard_ Opinion on other matters prescribed by the Covnpanies Act 2006 In our opinion. based on the Tk undertaken in the course of the audit- (he inftsrmation given in the Trustees. Report for the financial year for whiGh Ihe financial slalemenls are prepared is ¢onsislenl wth the financial statements-, and the Trustees. Report have been prepared in accordance with applicable leg31 requirements. Mattèrs on which we are required to repi>rt by exception In the light of our knoedge and UndStandIng ol the company and ils environment obtained in the course of the aucsil, we have not identified material misstatements in the Twslees. Repcfi. We havo nothing to rewrt in respeGt of Ihe loll(r•ving mattefs in relalÉon to which Ihe Companies Acl 26 requires us lo report lo you if. in our Opini.. adequate accounting records have not been kepl, or Ihe financi21 statements are not in agreemen( th the acCOnting iecords and relurns". or certain disclosures of trustees. remuneration specified by law are not made, or we have not received all the inlormalion arbd explanalions we require for ¢JJr audtt: or the trustees were not entitled to prepare Ihe financial stalemenis in accoruance wtth the small companies regsme and lake avalaye of the small companies. exemptions in preparing the Twstees. Report and from the requiremenl lo prepare a Slralegic Report. Page 10
Independent Auditor's Report to the Members of Sandwell African Caribbean Mental Health Foundation {A Company Limited by Guarantee) (continued) Responsibilities of trustees A5 explained more fully in the Truslees, Reswnsibilities statement {sel oul on page 81, the Itustees (who are also the d?reclors ol the charitable company loi the wrposes ol company lawl are responsible lor the preparation of the financial staterrTrents and for being satisfied that Ihey give a true arbd 131r view. and lor such internal wntrol as the Irusttses d&tem)ine is necessary to enable the preparation of financial statements thai are free Iiom material misstatement. whether due to fraud or error. In preparing the finanual statements. the Iruslees are responsible lor assessing the Charitae company's ability lo continue as a going concern. disclosing. as applicable, mattèrs relalod lo going concefn and usin9 the going concern basis of accounting unles5 the trustees either intend lo liquidale the charitatje company or lo cease OperatioS, or have no realisti¢ allemative bul to tto so. Auditor's responsibilities for the audit of the financial statements Our objectives are lo obtain reasonable assurance aboul whether the financial slalements as 3 whole are Iree from material misslalemenl, whether due to fraud or error. and to issue an auditor's report thal includes our opinion. Reasonable assurance is a high level of assuran. but is not a guaranlee that an audit conducted in accordance with ISAS IUKI will always detecl a material misstatemeal when il exists. Misstatements can arise from fraud or error and are considered material il. individually or the aggregate. they could reasonably be expefjled lu influence ihe economic decision5 01 users taken on the basi5 of Ihese financial statements. Irregularities. including fiaud, are instan(ts of fton-compliance wilh law5 and regulaiions. We design piocedures in line with our responsibslilies. outlined above. lo delecl materi81 missialemenls in iespecl ol irregularil*s, Including fraud_ The specific proCedUS lor this eng3gernent and the exlenl lo which these are capable ol detecting irregularities. rncluding fraud is delailed below". We reviewed the company's control and risk mana9efflent predUS and planned our work based on our assessrnent ol those controls and pr(Kedures; This reviow included an assessment of the risk of malerial misstatement due lo errors. Iraud and management override of controls for all material areas in Ihe ftrnancial stslemenls.. We made enquiries of managemenl and Ihe company s lawyers regafding any actual or potential lil¢galion andlor claims., Financial statemenis disclosures were reviewed and checked for compliance wth applicable laws.. Detailed lesling was conducled on balances Iransactions induding unusual ilems and Ihose of individual signifiGance to the finanual statements". Data analytic5 were used in le[ to identify unusual or significant trends: Communications wtth management and those charged with governance regarding rèlevant matters was undertaken throughout the audti and on completion. Page 11
Independent Auditor's Report to the Members of Sandwell African Caribbean Mental Health Foundation (A Company Limited by Guarantee) Auditor's responsibilities for the audit of the financial statements Icontinuedl Because of the inherent limilab.ons ol an audit. Ihere is 2 risk that we will not delect all irregularities. including those leading to a material misstatement in the financial sialemenls or non<offlpliance with regulation. This risk increases the more that compliance wth a law or regulalion is MoVed the evefits and Iransaclion5 reflected in the rinancial statements. as we will be less likely to become aware ol instances of non-cofflpli3nce. The risk is also greater regarding irregularities occurring due to fraud rather thar) error, as fraud involves intentional Concealment, forgery, collusion. omission or mrsrekKesents¢J"on. A further description of Ouf restKJnsibililies for the audit ol the financial statements is located on the Financial Reporting Council's website al W¥w.fvc.org.uklaudilors$pOSlb1lIle$_ This des¢ription forS part of our audilo¢s report. Use of our rèport This report Is made soldy lo t charitable companvs rnefters. as a body. in accordance with Chapter 3 of Part 16 of the Companies Act 201. Our audit work has been undertaken so that we fflighl slate lo the chaiitable company's members those matters we are required lo sl2le Io them in an audilo<s report and lor no other purpose. To the lullesl extent permitted by law. we do nol accepl or assume responsibility to anyone other than the chaii13ble company and the charitable companvs member5 as a body. lor our audit work. lor Ihis pOrt, or for the opinions we have formed_ David W Farnsworth FCA (Senior Statutory Auditor) For and on behall of Feltons. Statutory Auditor 8 Sovereign Court 8 Graham Streel Bitmingham B1 3JR Dale QJL Page 12
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Statement of financial activities for the year ended 31 March 2022 UnTestri¢ted Restricted fvnds Ivnds Total Total 2022 2021 Notes Income Grants and Donalions 286.310 75.798 362.108 413,723 Income from Charitable aGlniilies.- Fund raising Sundry income 2,446 5.717 2.446 5.717 Total incomÈ 294.473 75,798 370.271 413.723 Exponditure Gharilable aclivilies.. Operational and support costs 3(10.842 88.275 389.117 276.318 Total expenditure 300,84 88,275 389.111 276,318 Net movèment in fund5 16,3891 112,4771 118.8461 137.405 Recon¢ilialion of lunds Total funds broughl forward 12 107.992 83,138 791.130 53.725 Total funds carried forward 101.623 70.661 172,284 191.130 l income and expènditure dèrives from continuing aclivities. The 518tement of financial activities includes all gains and 1055es reeOIsed during the year. Page 13
Sandwell Afrl¢an Caribb&an Mentsl Health Foundatlon IA Company Umlted by Guarnntoe) Company Number: 4004120 Balance •hoot •8 at 31 Mar¢h 2022 I Charity numljor: I101? 2021 Tanglble assets Curr•nt ass•ts Debtors Cash al bank ar•J h) hgnd 12.762 l.B18 168,709 205.369 229.707 232,499 Cyedltors: èmounts lalllng due wlthlTr one year 10 45.847 42.887 Net current as8 159.522 189,812 172.284 197,130 FundB of tlhi ch•rfty: Ro8trktsd fundB General fur¥J Unreltricted General fijnd 12 70.1 83,138 12 101,623 107, Tgtsl fttnd• 172,264 191,130 aTrJ e ts beha ¢b4 Marda Wiknl V• Ch Page 14
Sandwell African Caribbean Mental Health Foundatiorp IA Company Limited by Guarantee) Statement of cash flows for the year ended 31 March 2022 Notes 2022 2021 Cash flow trom operating activitiès 15 146.5631 84,154 Cash flow from investing aciivities Payments to acouife tangible fixed assets 114.4351 1941 Net Idecreaseifincrease in Gash and cash equivalents 160.9981 84.060 Cash ènd cash eouivalenls at 1 April 2021 229,707 145.647 Cash and cash equivalent5 at 31 March 2022 168 709 229.707 Page 15
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statements for the year ended 31 March 2022 1. Accounting policies al General Information and basis ol preparation Sandwell African Caribbean Menfal Health Foundaiion is a charilable company limited by guarantee. In the event of the charity being wound up, the Itabilily in respe¢l ol the guarantee 15 limiled lo £1 per member of the charity_ The addres5 of the regisleied office is given In the charity inlormolion on page l ol these financial stalements. The charity constrtules a pubjic tner11 entity as defjned by FRS 102. The financial sialefflents have been prepared in accordan with Accounting and Rew>rting by Charities.. Statement ol Recomrnended Praclice applicable lo charitie5 preparing IheTrr accounis in accordan with the Financial Reporting Siandard pplicable in the UK and Republic of Ireland issued in October 2019, the Financhil Reporting Siandard applicable in the United Kingdom and Republic ol Ireland IFRS 1021. Ihe Charities Acl 2011, the Companies Act 2006 and UK Gene¥ally Accepled A¢Gounling Practice. The financial slalements are prepère(J on a going concem basis under the hiStOral ¢ost convenlv)n. The rinancial sialémenls are presented in sterkThJ which Is the functional currency of the chafily. The 519nificant accounting policie5 applied in Ihe preparab.on ol Ihese financial slalements a sel out below. These [licieS ave been cDnsislenlly applieij lo all year5 presenled unless otherwise slated. bl Going concern The financial slalemenls have been prepared a going concèin basis as the Irusteeg believe that no material uncertainties exist. The tnjsiees have considered the level ol lunds held ènd the expected level ol income and expendilure lor a peii(Kl 0112 mwlhs Irom the date of a11$19 these financial slalements. The bu¢Jgeted income eX[oI[ure is sutricienl wFth the level ol reseeS lor the charity lo be able lo continue as a going Goncern. cl Funds Unrestricted funds are available for use at Ihe (lisuelion ol the twslees in furtherancè ol the general objectives ol the charity and which have nol been designated other PLwposes. Reslricted funds are funds which are lo be used in accordance wilh speciflc ¥estrictions imposed by donors 01 which have been raised by Ihe charily lof parti¢uiar ptsrsM)se5. The cosl ol raising and administering such lunds are charged against the specific lu[. The aim and use of each rèslricled fund is set out in the notes to Ihe financial slalements. d} Income recognition All in¢oming resources are ded in the Stalemenl ol Financial Activitses {SoFAI when (he charily is legally entitled lo the income after any performance condifion5 have been mel. Ihe amount can be measure(I reliably and il is probable Ihal the income will be received. Grants Tecetvable Granis are included in the Slatement ol Financi81 Aclivits"es on a receivable basis. The balan of
ncome r1Ved for specific purposes but not expended during the period is shown in the relevant
funds on ihe balance sheet. Where income is feceived in advarte of entitlemenl of receipt its recognition is deferred and included in creditors as deferred income. Where enlillemenl occurs befofe irume is received. the inuJmÈ is accrued. Page 16
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statements for the year ended 31 March 2022 {continuedl 1. Accounting policies Iconlinuedl dl Income recognilbon Iconlinuedl Donations Donations are recognised on a leceivab basFs where there is wtainty of receipt and the 8mounl can be reliably measvred. If there are conditions altached lo the donation and thi5 requires a level ol performan before enlitlemenl can be oblained Ihcrb TrfKxMne is deferred until those conditions are fully me( or Ihe fulfilment ol those Gorbditis is within the ¢trol ol the charity and il is ptobable that they will be fulfilled_ Inteiest receivable Interesl on lunos held on deposit is induded when Ceivable and the amounl can be measured reliably by the charily. this is nomially uwn nobrtiOn of the interest paid or payable by the bank. Other income Othei inGome is recognised in Ihe pericY il Is fecwvable and lo the extent Ihe go(Mls have been provided or on ComptIOn ol ihe setvice_ èl Expenditure recognttion All expendilure is accounted lor on an accruals basis arKI has been classified under headings thal aggregate all cosls related lo the category. EXPe[lIre is recognised where Ihere is a legal or tonstiuctivÈ obli931ion lo make payments lu third portie5. 11 is probable thal Ihe 5elllernent will be required and the a¥nounl ol the obligalion can be measured reliably. 11 c2tegorised Under ihe following headings: Costs of generaling funds These are cosls incurre(l in attrlIng voluniary income. and Ihose incurred in irading aci¥viiie5 that raise funds. Charitable activities These are eosts incurted in actwitiès undertaken to further thè putty)sès of the tharity and Iheir ass(Kialed supwrt ()s(s. Governance costs These include the cosls altribulable to the tTL15t'5 comlance with (x)nslilutM)nal and statuiory requiremenls. inclu(Jing slrate9i¢ management an(J Irustees. meelings and reimbur5e(J expenses. Irrecoveiable VAT is charged as an e%nSe against the activily lor ch expendiluie arose. fj Alocation ol support Costs Support cost5 are those thal assisi ihe Vrk of Ihe charily but do not difecily represent Charitatre aclivilies and include olfice costs. 9overn8nce costs and administr81we payToII costs. The bases on which suppori costs have been allocaled are sct out in rK>le 3.
SandwÈll African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statements for the year ended 31 March 2022 (continued) 1. Accounting policies Icontinuedl gl Tangible fixed assets Tangible fixed assets are slated at cost or valuation less accumulaled depfeciation accumulaied impairment losses. Cosl includes cosls diiectly attributab lo making Ihe asset capable of operaling as intended. Depreciation is provi(Jed on all iangible f4xed assets, al iaies calculated lo wrile off Ihe cost. less esbmaled residual value. ol each assel on a sysiemab"c b35is over ils expecled useful tile as lolknws.. Office equipment - 20% per annum on a reduang balan basi5 h) Debtors Operalional and other debtors are recognised al ¢he selilemenl amount due after any tiade discount ollered. Prepdymenls are valued at Ihe amount prepaid nel ol any trade discoullls (Jue. il Cash at bank and in hand Cash at bank and tn hand indudes cash and short term highly liquKJ inve51ffterils wilh a short maturity of three months or less from the date Dr acqui&lion or opening ol the (leposrt or similar account_ j) Liabililies Liabilities are recogni5ed when there is an objigation al Ihe tsalan sheet dale as a result ol a past event. il is probable Ihat a transfer ol economic benefit will be fequired in settlement. and Ihe amounl ol the selllement can be estifflaled reliably. Liab¢lilies are recognised at the amouni that Ihe charily anlicipates il will pay lo settle the debt or the amount il has re1Ve(l as advance(I payTnenls lor the g(KKls or services il must provide. kl Operating leases Rentals payable Under opeiating leases afe char9ed lo Ihe SOFA on a straighl line basis over the periixl ol the lease. 11 Taxation The charity 15 an exempt charity within the meaning of schedule 3 of Ihe Charilie5 Act 2011 and is consideied lo pass Ihe tests Sel oul in Paragraph 1 Schedule 6 Finance Acl 2010 and iherelore il meets Ihe definition ol a charitable company for UK c(¥poration tax (pOS•S. ml Pènsion benefits The chariiy opeiales a defined con1riltl0n plan lor the benefit of its employees. Conlribulion5 are expensed as they become payable. Page 18
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statemènts for the year ènded 31 March 2022 Icontinuedl 2. Donations and legacies Unrestricted Restricted funds funds Total 2022 Total 2021 Grants Donations 285.981 75.798 361,779 329 413,723 286.310 75.798 362.108 413.723 2021 total 270.871 142.852 413,723 3. Expenditure on charitable activities Co activity Total 2022 Total 2021 Operational and support costs Slaff costs Support costs nole 41 Govornance cos15 (see note 41 254.669 129,635 4.813 389,117 254,689 129.635 4,813 389.117 180,102 93,903 2.313 276.318 2021 total 276,318 276.318 Total expendilvre on charitable aclivities was f389.117 12021 £276.31810l *thich E300,84212021 £197.4341 was unreslricied an(J £88.27512021 - £78.8841 was reslricled. sUprt costs afe allocaled on a usage basis. 4. Analysis of support and governance costs General support Govemance function Total 2022 Total 2021 Renl and rates InsLJran¢e Lighl and heal Telephone PoslagL and staltonery Advertising Repairs and renew315 Travol and subsistence Training VoluDle8r expenses Computer and IT cosls General oKice costs Audit and accountanty servrces Legal and othef professitsn31 Sundries Depreuation 10.770 1.505 6.870 6.183 306 5,485 12_818 2,692 13.244 130 22.765 14.551 1Q.770 1,505 6,870 6,183 306 5.485 12.818 2.692 13.244 130 22.765 14.551 4.800 28,749 389 3.191 22,661 1.133 6,585 9.785 2,209 2.524 7.858 540 218 1,015 14,525 6,546 2.300 16,726 595 996 4.8(Ml 13 28,736 389 3,191 129,635 Pe 19 4,813 1.448 96.216
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Noles to the financial statements for the year ended 31 March 2022 Icontlnuedl 5. Net lexpenditureyincome for the year Nel lexpendilureyincoffle is slated after charging l {creditingl= Total Total 2021 2022 Depreciation of iangible fixed asset5 Operaling lease rentals Premt8es Auditors remuneralKJn 3.191 996 10,770 4.800 22.661 2.300 6. Trustees and key management personnel 1UneratIOn and expenses The trustees neilher f1Ve nor waived any remuneTah"on during the year 12021 reimbuised expenses during Ihe year12021 . EnAI. £nill neithei re they The Trust consKJe¥s its key managemenl personnel are as listed on page 1. The total amounl of employee benefits (including employèr pension conlTibutions aThJ emplOr natthal Insuran conlribulionsl received by key management personnel was £121.601 12021 . EI 18.0591. 7. Analysis of staff ¢05ts and numbers Staff costs Total 2022 Total 2021 Wages and salaries Social security cost5 Defined contribution pension schemes 230.942 17.731 5.9 165.143 8,763 6,196 254.669 180.102 No employees r*Ve lolal employee tnefitS of fflore than £60.IXK). Staff numbeis . The average monthly number of empbyees and full lime equtvalents during the year as follows". 2022 Number 2022 FTE 2021 Number 2021 FTE Charitsble activilies Management Page 20
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statements for the year ended 31 March 2022 Icontinuedl 8. Tangible fixed 255ets Office equipment Total Cost Al 1 April 2021 Additions 37,375 14.435 37.375 14,435 At 31 Mèrch 2022 51,810 51.810 Depreciation Al l April 2021 Charge for the year 35.857 3.191 35.857 3,191 At 31 March 2022 39.048 29.048 Net book values Al 31 Maich 2022 12,762 12.762 At 31 March 2021 1.518 1,518 9. Debtors Total 2022 Total 2021 Debtors from operations Prepaytnenls and accmÉd income 60 36,600 2.000 792 36.660 2,792 10. Creditors - amounts falling due wlthin one year Total 2022 Total 2021 Creditors frorn operations Taxation and social security Accyvals and delerred income Deferd income Oiher creditors 5,863 3,130 7.1(Kl 22.843 6,911 15.887 3,731 2,300 20,000 969 45.847 42.887 Deferred income represents tErformancÈ relaled grants received In the year vthere the relevant Ser¥e$ or outputs will nol be delivere(S until luture or as a result ol other ieslrith.ons imposed. Page 21
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee) Notes to the financial statements for the year ended 31 March 2022 Icontinuedl 11. CommSlments under operating leases Al 31 Ma¥ch 2022 the charity was commilled to making the lollowng payments under rwn- ¢ancellablo operating lÈa5es Total 2022 rotal 2021 Within one yèar Within two lo five year5 inclusive In over live years 11,0(X) 33.000 11.000 44,000 44.000 55.000 12. Analysis of funds Balance at 1 April 2021 Balance at 31 March 2022 Incoming resources Resources expended Restricted funds Gencral fund Sandwell MBC IT National Lottery- Building Futufes Henry Smith Grants Birmingham City Council National Lottery- COV 19 restK)ns6 7.015 1.015 39.846 10.232 24.019 25.800 110,4491 136,0321 53.416 16.312 112.0701 7.630 22.657 83,138 9,667 75,798 129.724 88,275 2,600 70.661 Unrestricted fund$ General fund 107.992 107.992 294.473 294.473 1300 8*fj21 1?00,842 101,623 10"..623 Total lunds 191.130 370,271 1389,1171 172,284 Name of fund Description. nature and purpose of fund Restricted general fLFnd Money given to the charity where the donor requite5 that a grant or donation spent for a Specif project. The nature purpose of each of the mapr reStrted lunds ts explain&l beknw: National Lottery- Bu119 Futures Ex-cillenders with pwr wellbeing and those wlh mental heallh issues who are Irorn an ethnic backgfound and in need of reselllemenl support in the commur4ty. Page 22
Sandwell African Caribbean Mental Health Foundation IA Company Limited by Guarantee} Notes to the financial statements for the year ended 31 March 2022 Icontinuedl 12. Analysis of funds Icontinuedl Henry Smilh Ftjnding lo support the C serveS whith a part lunded by Sandwell Melfwlitan Council. These gervtrces include Ujima user-led 121 5etvice. (treach clienl and lamity support service and Care for You Carers support SeICe. Grants Birmingharn Cily Council This service supp)rt5 bereaved carer5 sn Brimingham and is delive in partnersh¥) wlh local organisatiS who are part of 3 local consortia of which SACMHF is a parl. called Communilies in Syftc. Nstsonal Lottery Commynity Ftrnd ICovi(k39 Relief Fund) To deliver a counsollin9 SerVe lor a six-monlh perKKI. Unrestricted 9eneral funil The fe reserves ol the charity vknith are r1 designated for particular purposes. 13. Analysbs ol net assets between funds FurKI balanS al 31 March 2022 are represented by.. Unrestricted Restricted funts lunds Total funds Tangible fixed assets Currenl as5els Current liabilib-es Total net assets 12,762 133,525 144.6$41 101,623 12,762 205,9 145,8*7' 172.384 71.844 11,1831 70,661 14. Capital cornmitments There woro no capital commitments at 31 March 202212021- £nill. 1 S. Reconciliation of net lexpenditureyincome to net cash flow from operating activilies Total 2022 Total 2021 Net {expendituYirff lo¥ Ihe yeaf Depr8ciation Ilncreagel I decrease in debtors Increase I Idetre3sel In creditors 11e.8461 3.191 133.8681 2.960 137,405 996 11.9511 152,2061 Net Gash flow frown operating activities 146.563 84,154 16. Relaled party transactions No felated party transactions took pce in Ihe perw)d ol account. Page 23
Sandwell African Caribbean Mental Health Foundation DETAILED INCOME AND EXPENDITURE ACCOUNT for the year ended 31 March 2022 2022 Z021 INCOMING RESOURCES Grants S3ndwell M8C 53ndwell MBC prror year redassifficati Sandwell MBC IT Natlonal Lottery- Bvildiryg F¢Jtures Henry STnith City of Birmingham National Lottery- Covid 19 response Oak Foundation 135.460 135.460 62.889 3,711 S8.332 37.433 14.375 29,1 64.WO 24.019 2S.800 16.312 9.667 92.125 15.(X)9 14.693 28.694 Probation Service Other income Client incomè 1.272 7,250 413.723 Fund raisifig Donations SuThJry incorne 361.370 2,446 329 5.717 379.271 413,723 STAFF C05rs Wage5 and salarie5 254.669 180.102 SUPPORT COSTS Rent and rates Insurance Meal. light 3nd water Telephone and (ommunicatiorss Postaee and stationery Advertisirng Sundries Repèirs and renewals Travel and sub51Stence Office expenses Training VoluntÈer expenses Computer5 and IT Legal and professional Depreci2tiors- fixtures and fitti¥i85 10,770 1.505 6.870 6.183 306 5.485 389 12.818 2.692 14.551 13,244 130 22.765 28.736 3,191 9.707 1,133 6.585 9.785 2.2 2,524 595 7,858 540 6.546 218 1.015 14.525 16.713 996 GOVERNANCE COSTS Audiior's romuneration Other 384,304 26151 4,8 2,3rA) 13 4,813 2.313 NET IDEFICttllSURPLV5 FOR THE YEAR BEFORE EXCEPTIONAL FfEM EXCEPTIONAI fFEM Rent and raies 118,8461 ISO.359 12.954 NET IDEFICITI/suRPLIIS FOR THÉ YEAR AFTER EXCEPTIONAL ITEM 118,8461 137,405 rhts poge does notlomi purt olihe stotutoryfJnonti015totementk Page 24