ENEW COUNSELLING LTD
(A COMPANY LIMITED BY GUARANTEE)
IIEPORT AND FINANCIAL STATEMENTS FOR
THE YEAR ENDED MARCH 2025
Jr.-
i,J'

REP4EW COUNSELLING LTD
REFERENCE AND ADMINISTRATIVE INFORMATION
INDEX
Page
REFERENCE AN D ADMINISTRATIVE INFORMATION...............--..........................................................
REPORT OF THE COUNCIL...-............-..-..--..--..-.-................--..-.....................................................
STRUCTURE & GOVERNANCE,...,,.......................................,...,...........,..........................,...,...,...,...,..,,..,...,..,,..,,..,
OBJEcrs, AIM & MIssioN OF RENEW COUNSELUNG LTD...................................................................................
AC￿￿￿e$ OF RENEW COUNSELLING LTD....,...,..,..,,..,..,,..................,......................,........,..,...,,.....,,..,...........,...
ACTI￿Ty 202412025 (APRIL- MARCH).
AIM OF RENEW COUNSELLING LTD...................................................................... .
STATEMENT ON Pu8uc BENEFIT..................,........ ..................... ... ......................
FINANCIAL REVIEW .. ..
FUTURESTRATEGY,,..,,..,..
13
TRUSTEE5' RE5PON5181LITIES STATEMEvf........................................................,,..,...,,..,............,....................... 14
10
INDEPENDENT AUDITOR'S REPORTTOTHE MEMBERSAND TRUSTEES OF RENEW
COUNSELLING LTD LIMITED..-.-........................................~..-..-........-....................,...,.........,,..........,..... IS
STATEM ENT OF FINANCIAL ACTIVITIES.........................................................................................18
(INCORPORATING AN INCOME & EXPENDITURE ACCOUNT)
BALANCE SH EET.,....................
.19
CASH FLOW..................................................................................................................................... 20
NOTES TO THE ACCOUNT................................................................................................................21

RENEW COUNSELLING LTD
REFERENCE AND ADMINISTRATIVE INFORMATION
FOR THE YEAR ENDED 31 MARCH 2025
Patrons
The RL Revd. Dr Gull Francls-Dehqanl, Blshop of Chelmsford
The Rt, Revd. Alan Williams, Blshop of Brentwood
The Lord Petre
Member5 of Councll and
Charlty's Trustees
TIM Rose- Chalrman
Jo Rassell - Treasurer
Ruth O'Neill
Matthew Cooper
Deldra Armsby
Emma Plunkett
Sandra Stockwell
Key Staff Appolntments
Chlef ExecutlvÉ and Company Secretary- Nlkkl Schuster
Counselling Managers - Llsa Brown
Counselling Manager (Schools Servlce) - JustSne Colley
Programme Leader (Tralning}- Karen Ilott
Sensor Off ices Manager- Emma Smlth
Head of Comms and Fundralslng - Ellena Grace
StatUS
Renew Counselllng Ltd Is a company Ilmlted by guarantee, company
number 4099810. reglstered In England and a registered charity, number
1084940.
Reglstered and Prlnclpal
Offlce
Sadler5 House
2 Legg Street
Chelmsford, Essex CM1 IAH
Accountancy Consultant
Paul Thompson F.C.C.A
Thompson Accountancy Ser4lces Llmlted.
Sulte 9, Hadlelgh Buslness Centre, 351 Lon(Jon Road, Hadlelgh,
Essex SS7 28T
Audltors
Clemence Hoar Cummlngs
1-5 Como Street
Romford RM7 7DN
Bankers
Barclays Bank plo 75 High StreeL Brentwood
Sollcltors
Pretty5. 1 Legg StreeL Chelmsford. Essex CMI 1 JS
Investment Advisers
Royal London Asset Management 55 Gracechurch Street London EC3V OUF

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL
FOR THE YEAR ENDED 31 MARCH 2025
Structure & Governonce
Governlng Document
Renew Counselllng Ltd Is a company lim5ted by guarantee and also a reg15tered charlty, It5 governlng
document is the memorandum and articles of association. The Directors of the Company are the Trustees
of the charlty and are known as the Renew Counselllng Ltd Council,
Recrultment and Appolntment ol Trustees
Trustees are recrulted having regard to the age, gender, cultural and skllls mix requlred to maintain good
governance and the ethos of the Charlty, Trustees are appolnted by Members, vote at the Charlty's
Annual General Meetlng. All Members of Renew Counselling Ltd are entltled to vote. The Trustees also
have the power to co-opt up to three people to the Council. An Inductlon process Is In place to ensure
Trustees understand the work of Renew Counselling Ltd and thelr responslbllltles as Trustees. Thls
Involves.. Understanding the charlty's purposes, Readlng our governlng documents and galnlng an
understandlng of the rules, meetlng the trustees and flndlng out how we operate.
Organlsatlonal Structure
Renew Counselllng Ltd Councll meets four to slx tlmes a year. Councll Is responslble for governance and
approves all the strateglc and operatlonal plans for Renew Counselllng Ltd. There are trustees,
committees covering operations. finance investments and fundraising. A Chief Executlve Is appointed by
the Trustees to manage the day-to-day operatlons of the charlty.
Rlsk Management
The Council of Renew Coun5elling Ltd, in consultation with the Senior management team, has developed
a proces5 for regular revlew, assessment and management of risk wlthln the organlsatlon:
By antlclpatlng future trends, opportunltles and rlsks, Councll endeavours to make best use of Renew
CounsellSng Ltd's resources. respondlng posltlvely to changes In the external envlronment and
contlnulng to dellver hlgh quallty servlces representlng best value for money.
An In-depth analysls of the major rlsks facSng Renew Counselllng Ltd has been undertaken. The Rlsk
Revlew document Is revlewed on a quarterly basis. The Chief Executlve reports to Councll highllghtlng
any rlsks and the strategles that have been Implemented to mlnlmlse rlsk, All Councll members are then
Involved In the ongolng Identlflcatlon and management of rlsk and a record Is kept of development
actlvlty requlred to reduce rlsk. This record Is monitored and kept updated to ensure that strategies are
In place to mlnlmlse Renew Counselllng Ltd's exposure to flnancial, legal, professlonal, ethlcal and
employment risk,
The principal risks and uncertainties identified by the charity are as follows:
Rlsk Identlfled
safe
uardin
matter5
Goin Concern
Reduction In cllent and student
numbers
Actlon taken to rnltl ate the rlsk
R ulaKI
(late licie5 and mandato
annual trainin
for all staff
Diverse income streams and
rudent Investln
of reseNes,'
R@gular marketlng of services to malntain cllent and student numbers
The Reference and Admlnlstrative Informatlon set on page 2 part of thts report The flnanclal statement5 comply wlih current
statutory requiremenrs, the memorandum and artkles of asKKiatK￿ and the ststen￿t of Recomrnendpd Practice - Accounting and
Reporting by charltles Isecond Ediik)n 2a19}.

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL (continued)
FOR THE YEAR ENDED 31 MARCH 2025
Related Parties
Renew Counselllng Ltd works closety with a range of voluntary, statutory and community organlsatlons
in order to ensure a high quality comprehensive service for our own cllents and for the purposes of
contrlbutlng to the planning and delivery of servlces for people wlthin our communltles, Where posslble
we contrlbute to consultations on the development of services through varlous local strateglc plannlng
structures,
Objects, Aim & Mission ol Renew Counselllng Ltd
The Object of Renew Counselling Ltd
Renew Counselling Ltd is established to improve emotional and mental health by providing counselling
and psychotherapeutlc support.
In furtherance of the sald objects, but not further or otherwlse, the company shall have power:
(a) to provlde hlgh quallty. affordable. accesslble and responslve counselllng and psychotherapeutlc
Interventlons to anyone of school age and above and to couple5 in East London and Essex.
(b} to traln counsellors to a hlgh standard
(c} to supenilse and traln other professlonals who are engaged wlth emotlDnal and mental health
Issues
(d) to take over the assets, IlabS1Stles and general undertaklng of the West Ham Central Mlsslon
The Mlsslon of Renew Counselling Ltd
Through a range of professlonal counselllng and other support servlces, we seek to enable people to:
Galn Inslght Into, and understanding of, the Issues In thelr Ilves
Explore posslb511tles for change
Develop thelr own choices and solutlons
Dlscover ways of gettlng to where they want to be
Use support and develop strategles to enable them to deal wlth future dlfflcultles
Through such actlvlty we alm to enable people to lead more fulfllllng Ilves and contrlbute to the wlder
development of family, community and society for public benefit.

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL (continued)
FOR THE YEAR ENDED 31 MARCH 2025
Our values
We believe that:
every human belng Is
rf unlque
O valuable
O destlned to Ilve fully- whatever that mSght be
We wlll:
be non-judgemental - whatever the issue
respect age, gender, ethnicity, sexual orlentation and falth
provlde the 'space' that counselllng gives
offer a response tallored to Indlvldual need
We are committed to:
honouring the Chrlstian faith and vislon that founded our organlsatlon
worklng wlth other professlonals through our tralnlng courses
worklng wlthln the Brltlsh Assoclation of Counselllng & Psychotherapy {BACPI Ethlcal Framework
reflect these values In our structure. relatlonshlp5 and as an employer
Activities of Renew Counsellln9 Ltd
In order to achleve the above alms Renew Counselling Ltd uses both strategic and L)perational planning
processes, establlshlng prlorltSes for development of the work.
The prlmary objective Is the dellvery of accesslble. professlonal counselllng 5ervlces for chlldreni young
people and adult5, Renew Counselling Ltd a150 delivers professional training in counselllng chSldren and
adolescents. Servlces are currently provlded across Mld and South Essex and East London Boroughs In
our own centres and in schools across the reglon.
We provide professional tralnlng In counselllng to HE Dlploma and HE Degree level from our tralnlng
sulte In Chelmsford as an Academlc Franchise partner of Anglia Ruskln Unlverslty,

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL (continued)
FOR THE YEAR ENDED 31 MARCH 2025
The Role of Volunteer5 at Renew Counsellln9 Ltd
Tt Is important tc mentior the slgnlflcance and the added value of belng a voluntary organisatlon and to
recognise the huge contribution made by individuals in meeting our charitable aim.
A number of people provide various professional and support activities to enable us to provide services
for those In our local communlty. It Is dlfficult to quantify thls In terms of a 'monetary value, In any
meaningful way, however without the support of such people Renew Coun5elling Ltd would not be in a
posltlon to respond to the needs of as many people as It can, The support Is therefore of Immense value
In terms of our capacity to make a dlfference In the communlty.
Having a proportlon of voluntary counsellors withln the organlsatlon Is a way of meetlng the Increased
demand In servlces where fundlng Is limlted or the cllent's abllity to contrlbute is restrlcted, Allled wlth a
pollcy of offerlng placements for tralnees across all areas of our work we have developed a more dlverse
staff group wlth the potentlal of developSng personal and professlonal growth through these dlfferent
roles and transltlon between them. The move away from purely paid coun5ellor515 In accord wlth our
status of charlty and a Thlrd Sector organlsatlon.
We are partlcularly Indebted to the followlng groups who made a regular commltment throughout the
year:
People who have provlded admlnlstratlve and receptlon support on a voluntary basls enabllng us to
dellver servlces to people at thelr tlme of need.
People who provlded professlonal counselling I therapeutlc supports In terms of dellverlng servlces to
Indlvlduals I groups on a tralnee or volunteer basls.
People who have glven tlme and expertlse through varlous advlsory and plannlng commlttees,
professional consultatlons and also organislng actlvities.
In addltion Renew Counselllng Ltd would like to acknowledge the voluntary contrlbutlon made by most
of Its pald staff members who demonstrate commltment and dedlcatlon to the servlce over and above
contracted hours.

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL (continued)
FOR THE YEAR ENDED 31 MARCH 2025
Actlvlty 2024 / 202S
A total of 1088 clients were seen by Renewing Counselling
over the year 202412025
8C
70U
600
684
400
300
376
300
200
lao
27
Adulls
Couplcs
Chlldrcr¢ & Young School cllents
Peni)Ip.
673 cllents seen at Renew
Counselling Sycamore Centre
19
306 cllents seen at Renew
Counselling Bridge Centre
287
88
366
210
Adults
YounLI People & Children
C.ouplcs
AdLIIts
Your)g People & Children
Couples
109 clients seen at Renew Counselling Brentwood Centre
200
c&Yp
Adults
loo
c&Yp
Adults

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL (contlnued)
FOR THE YEAR ENDED 31 MARCH 2025
A total of 13,851 Counselling sessions were offered
at Renew Counselling 2024-25
Schools
3205
Couples 1 93
Yc)un6 Peoi)lo & Chlldren
4516
Adults
4940
iooo
?0
31J)O
4UUO
5000
601111
Adults • Young People & Chlldrcn • Couples
Schools
A total of5367 Counselllng Jesslons
were offered at Renew Counselllng's
Sycamore Centre In 2024- 2025 accross
the followlng cllent groups:
A total of 4373 Counselllng sesslons
were offered at Renew Counselling's
Brldge Centre In 2024 - 2025 accross
the following clienl groups..
906
counselllng
sessions
were also
offered at
our
30
63
1156
2454
Brentwood
Centre to
YuLiiig
people LinLI
1889
4148
Adults
Youiiq Pcoplo & Children
Couples
Youiig Peoi)le & Cl)il(Ireii
Couples
2024125
Number of students enrolled at
Renew Counselling Diploma IHE)
Counselling - Children & Young
Person in April 2024
Number of students on Renew's
Coun5elling Diploma (HE)
Coun5elling . Children & Young
Person for April 2025
15
12
io
! io
13
11
Year I
Year2
Year3
Yea[4
Dlploma Diploma Diploma Dlplom
Degree
Year 1
Year 2
Oiplorna Diploma
Year 3
Year4
Diploma Dlploma
Degree

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL (continued)
FOR THE YEAR ENDED 31 MARCH 2025
Alm ol Renew Counselling Ltd
Our aim is to enable people to easlly access affordable counselling, In order to do thls we wlll..
Make Informatlon about our services easy to find by contlnuously updatlng the Informatlon on
our webslte and by regularty malllng information about our services to local health
professlonals, Ilbraries, educatlonal establlshments, youth servlces, local churches and
communlty centres
Provlde tralnlng and Informatlon sessions to local churches
Malntaln good relatlonshlps with other key stakeholders in the field of mental health
Develop and expand our seNices where possible conslderlno suggestSons made by our exlstlng
servlce users
Contlnue ta offer counselllng at a range of communlty locatlons such as Ilbrarles and to extend
these where possible
Contlnue to provlde counselllng servlces durlng evenlngs
Ensure that we can provlde accommodatlon for cllents wlth disabllltles - elther In our prem15es
or by hlrlng suitable alternatfve rooms If the degree of disability prohibit5 the use of Dur own
Provlde Interpreters where the Tange of languages spoken by our own counsellors Is
Insufflclent - Includlng BSL and ESL if necessary
Ensure we seek funding to support those on low-incorne or beneflt through the provlslon of
funded counselllng
Contlnue to develop our tralnlng courses and obtsln BACP accredltatlon fDr our Dlploma Course

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL (continued)
FOR THE YEAR ENDED 31 MARCH 2025
Statement on Publlc Benefit
The object, alm, mlsslon, achievements and performance sectlons of this report clearly set out the
actlvltles whlch Renew Counselllng Ltd undertakes for the public benefit.
The Trustees conflrm that they have complled wlth the duty in sectlon 17 of the Charltles Act 2011 to have
due regard to the publlc beneflt guidance published by the Commlsslon In determlnlng the actlvltles
undertaken by the Charlty.
The Councll of Trustees makes the followlng ObSe￿atIon on the two key prlnclple5 of publlc beneflt.
Prlnclple 1: There must be Identlflable beneflt or beneflts
la
It must be clear what the benefits are:
The clear beneflts provlded by Renew Counselllng Ltd are dellvered through the seNlce dellvery
areas of counselling centrès and assoclated project5 provldlng profe5slonal accredlted
counselllng and tralnlng - InStlal and contlnulng professlonal development to those worklng wlth
chlldren and young people whSch are descrlbed elsewhere in thls report and reflected In the
allocation of resources expended set out in the Statement of Flnan£lal Actlvltles.
1b
The beneflt5 must be related to the alms:
Renew Counselllng Ltd alms to support people In East London and Essex who are experlenclng
personal, emotional or mental health problem5to overcome or respond tnore effectlvelyto them.
All beneflts derlved are con5equentlal to thls alm,
1c
Beneflts must be balanced agalnst any detrfment or harm:
Our service delivery rnodel PTinclpally uses qualified counsellor5, we also have counsellors who
have progressed sufflclently In thelr tralnlng to be able to undertake placement actlvlty, who are
required to have regular clln5cal supervlslon and work to the British Association for Coun5elling
and Psychotherapy (8ACP} Ethlcal Frameworkforthe Counselllng Professlons 2018 to ensure that
there Is no detrlment or harm caused, Renew Counselllng Ltd Is accredlted by the BACP which
requlres that our pollcles, practlces and structures are such as to meet the standards set out In
the Ethlcal Framework for eth Counselling Professions 2018. Thls ensures that cllent welfare and
wellbelng are paramount. Risk is constantly reviewed In clinlcal supervlsion, rlsk reglsters are
malntained withln Counselllng centres and referrals made to statutory mental health servlces
where necessary.
Prlnclple 2: Beneflt must be to the publlc or a sectlon of the publlc
The beneficiarles must be appropriate to the alm:
The beneficiaries are children, young people and adults living within East London and Essex,
which directly accords with oui object and aim.
10

2b
Where the beneflt Is to a sectlon of the publlc. the opportunlty to beneflt must not be
unreasonably restricted by geographical or other restrictions: or by the ability to pay any
ftes charged:
The reports from the Counselling Centres demonstrate thatweare dellvering services to children,
young people and adults across East London and Essex. A small amount of this work is funded
by statLJtory bodies, and through grants and is therefore 'free at the point of delivery, to clients.
Where clients approach us directly for counselling which doesn't fall within the remit of such
contracts fees are calculated on 'an ability to pay, basls, although the true cost of ses51ons Is
made clear. A minimum fee operates in order to ensure that clients properly 'own,' commit to
and value the therapeutlc encounter. The Councll of Trustees are content that thls Is In accord
with the BACP Ethical Framework for the Counselling Professions 2018 and that our fees do not
preclude from recelvlng counselling. Indeed clients who are unable to acces5 counselllng and
therapy elsewhere are enabled to do so through Renew Counselllng Ltd.
2c
People In poverty must not be excluded from the opportunlty to beneflt:
People In poverty are the reason forthecharlty's existence as Is set out In the object. As reported
above many of our cllents are unable to access professlonal accredited counselling and therapy
elsewhere,
2d
Any prlvate beneflts must be Incldental:
In order to provlde counselllng and therapy to a professlonal level and support the extenslve
service that are delivered, Renew Counselling Ltd employs and remunerates staff, This benefit to
staff Is Incldental as thelr employment Is essentlal to carry out our charltable alms.
Financial Revievv
The statement of financial activitie5 show15 a deficit of (£161.034) for the year compared wSth a deficit of
{£27,410) for 2023124.
Renew Counselllng Ltd has been partlcularly fortunate In 202412025 to recelve a number of generous
donatlons and legacles whlch have contrlbuted both to supportlng work wlth those that cannot afford to
pay the full cost of counselllng.
Income generated
The Income recelved by the charlty Sn the year is broken down as follows:
Contrlbutlons recelved from cllents:
Donatlons from supporters and legacles
Investment Income (Includlng rental income):
Grants, Tralning and Servlce Level Agreements:
£416,164
£ 16,362
£ 240,194
£ 204,656
Renew Counselling Ltd is indebted to the generoslty of the numerous Indlvlduals, churches, communlty
groups, grant making trusts, companies, and statutory commissioners for the continuing Support Df its
work. In particular we would like to thank our anonymous supporters and the following:
li

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL (continued)
FOR THE YEAR ENDED 31 MARCH 2025
Income generated 202312025
Trusts & Foundotlon5
The SMB Charltable Trust
Ebenezer Trust
LCVS
Wldford Lodge School
Essex Community Foundation
Statutory
Mld Essex CCG
Basildon and Brentwood CCG
Essex County Councll
Fundralslng approach and performance
The charlty undertakes fundralslng actfvlty to Its SUPPOrters via dlrect malllng two or three tlmes each
year In Ilne wlth the Fundralslng Code of Practlce set by Fundraising Regulator. Our fundraising promlse
Is,,
When you supportyou con be sure of thefollowing..
We wlll never 5ellyour ccnlact detalls to anyone
We wlll only contoctyou Ifyou hove expressed an Interest In our work
fyou ask us to change how we communlcate wlthyou. or stop, we wlll respect that
We try hard to ensure no one ever Jeets pre55urlsed to support our work
Our overall fundralslng was more focussed thls year. In Ilght of the pandemlc, we were fortunate to
recelve support from Essex Community Foundatlon, who supported us wlth appllcatlons to their fund
partners.
No complalnts were recelved bythe charlty or a person actlng on Its behalf on actlvltle5 by the charlty or
by a person on behalf of the charity for the purpose of fundraising.
Key Management Remuneration
The trustees consider the senior management team, consisting of the Chief Executlve, Counselllng
Managers, Senior Offlces Manager and Pathway Leader {Tralnlng), cornprlse the key management
personnel of the charlty of dlrecting and controlling, running and operating the Charity on a day to day
basls. All trustees glve thelr tlme freely and no dlrector recelved remuneratlon In the year.
The pay of all staff Is revlewed annually and normally Increased in accordance with average earnlngs to
reflect a cost of livlng adjustment.
The total emoluments of the Senlor Management Team are £176,316. (2024,, £168,90DI.
12

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL (Continued)
FOR THE YEAR ENDED 31 MARCH 2025
Investment pollcy and objectlves
Renew Counsellin9 Ltd hold5 funds in Inve5lment property and stocks and shares as a result of
endowments made to the charlty over Its long history. The endowment fund Is utilised to generate much
needed income to enable the charlty to extend its services to those who cannot afford to Meet the full
cost of counselllng, Our investrnent managers are instructed to maximise income while safeguarding the
value of the assets under management and to invest onty in those holdlngs, whlch are compatlble wlth
our soclal and ethlcal standpolnt.
Investments performance against obj'ectives - Renew Counselling Ltd derives investment Income from a
portfollo of equitles and bonds managed by Investment managers (detalled on page 2) and rents from
freehold property in Plaistow E13 and Chelmsford, Essex,
Fund Accountlng and Reserves Pollry
Funds whlch are represented by the legacy of property over the long hlstory of the charlty are accounted
for in the expendable endowment fund. The charlty depends upon the Income generated by Its
expendable endowrnent te fund the provlslon of counselling to those In need who are unable to
contrlbLtte to meetlng the fLJII cost and wlthout thls Income Renew Counselling Ltd would not be able to
carry out its current charltable actlvltles. In accordance wlth Accountlng and Reporting by Charities
Statement of Recomrnended Practlce (revlsed) the endowment fund Is excluded from the reserves of
Renew Counselllng Ltd.
It remalns the policy of Renew Counselling Ltd that flee reserves (i.e. funds not commltted or Invested In
fixed assets) should be at a level of between three to slx months expendlture, whlch equates to between
£266,874 and £533,749. At thi5 level. current activities could be contlnued Sn the short term In the event
of a slgnlflcant drop In fundlng. In such clrcumstances there would be an urgent need to conslder how
the funding could be replaced andlor the act5vltles changed. At present the surplu5 of free reserves,
stands at zero {2024: £121494). The free reserves have decreased and are below the mlnimum target set
by trustees. However, the Charlty has a cash Investment wlthin the expendable endowment, and the
trustees have agreed to call upon the cash balance, or sell the Charity'5 investment property over the
next 6 months, If requlred to alleviate any operational or cash flow Issues that arlse, The Charlty Is also
worklng to Increase Income through its trainin9, schools and contract stieam5.
Future Strategy
To develop our work wlth eating disordered clients
To Increase the number of students on our tralnlng courses
To ensure the sustainability and further development of the charity through developlng our
fundraislng and communlcations strategy
13

RENEW COUNSELLING LTD
REPORT OF THE COUNCIL (continued)
FOR THE YEAR ENDED 31 MARCH 2025
Trustees. Responsibilitles Statement
The trustees (who are also dlrectors of Renew Counselllng Ltd for the purposes of company law) are
responsible for preparlng the Report of the Councll and the financlal statement5 In accordance wlth
appllcable law and United Kln9dom Accounting Standards (Unlted Kingdom Generally Accepted
Accountlng Practlce).
Company law requlres the Trustees to prepare financlal statements for each flnanc5al year whlch glve
true and fair vlew of the state of affalrs of the charitable company and of the Incomlng resource5 and
appllcatlon of resources, Includlng the Income and expenditure, of the charStable company for that
perlod. In preparlng these flnancial statements. the trustees are requlred to:
Select sultable accountlng pollcles and then apply them conslstently;
Observe the methods and prlnclples In the Charltles SORP;
Make Judgements and estlmates that are reasonable and prudent.,
State whether appllcable UK Accountlng standards have been followed, subject to any materlal
departures dlsclosed and explalned In the flnanclal statements,.
Prepare the flnancial statements on the going concern basls unless It is Inapproprlate to presume
that the charltable company wlll contlnue In buslness.
The Trustees are responslble for malntalnlng proper accounting records that dlsclose with reasonable
accuracy at any time the financial position of the charitable company and enable them to ensure that the
flnanclal statements comply wlth the Companles Act 2006. They are also re5ponslble for safeguardln9
the assets of the charitable company and hence for taking reasonable steps for the prevention and
detectlon of fraud and other Irregularltles.
In so far as we are aware:
There Ss no relevant audlt InformatSon of which the charitsble company's audltor is unaware; and
The trustees have taken all steps that they ought to have taken to make themselves aware of any
relevant audlt Informatlon and to establish that the audltor Is aware of that Informatlon.
Audltors
The annual general meetlng confirmed the appointment of Clemence Hoar Cummlngs as audltcrs,
This report has been prepared In accordance wlth the Statement of Recommended Practlce: Accounting
and Reportlng by Charitles (FRS 102) (Second edltlon effective 1$1January2019- Icharltles SORP (FRS 102))
The Trustees have prepared thls report in accordance with the speclal provlslons of Part VII of the
Companies Act 2006 relatin9 to small companies.
Approved by the Councll of Renew Counselling Ltd on l De(tyrttrSand signed on its behalf by:
Tim Rose
(Chairman)
14

INDEPENDENT AUDITOR'S REPORTTO THE MEMBERS AND TRUSTEES OF RENEW COUNSELLING LTD
LTD LIMITED
Independent auditor's report to the members of Renew Counselling Ltd
Opinion
We have audlted theflnanclal statementsof Renewcounselling Ltd fortheyear ended 31 March 2025 which comprise
the Statement of Financlal Activitles. the Balance Sheet and the Statement of Cash Flows and notes to the financlal
statements, Includlng a summary of slgnlllcant accountlng pollcles.The flnanclal reportlng framework that has been
applled in thelr preparatlon Is applicable law and Unlted Klngdom Accountlng Standards, Includlng Flnanclal
Reportlng Standard 102 The Flnanclal Reportlng Standard appllcable In the UK and Republlc of Ireland Iunlted
Klngdom Generally Accepted Accountlng Practlce).
In our oplnlon. the flnanclal statements,
glve a true and falrvlew of the state of the charitable Company'saffalrs as at 31 March 2025 and of the charltable
company's net movement In funds, Including the income and expendlture. for the year then ended,,
have been properly prepared In accordance wlth Unlted Klngdom Generally Accepted Accountlng Prartlce,. and
have been Pfepared in accordance with the requlrements of the Companles Act 2006.
Basls for oplnlon
We conducted our audlt In accordance wtth Internatlonal Standards On Audltlng {UK) IISAS (UK)) and appllcable law,
Our re5POTlSlbllltle5 under those standard5 are further described In ihe Auditor's responsSbllltles for the audlt of the
flnanclal statements sectlon of our report. We are Independent of the charlty In accordance wlth the ethlcal
requlrements that are relevant to our audit of the financial statemenls in the UK, Includlng the FRC'S Ethlcal Standard,
and we have fulfllled our other ethlcal responslbllllles In accordance wlth these requlrements. We belleve that the
audlt evldence we have obtained is Sufficient and appropriate lo provide a basls for our Dplnlon.
Concluslons relatlng to golng concern
In audltlng the flnanclal statements, we have concluded that the trustees. use of the 9oln9 concern basls of
accountlng In the preparatlon of the financial slalements is appropriate.
Based on the work we have perfarmed, we have not identified any material uncertalntles relatlng to events or
condltlons thaL Indlvldually or collectlvely, may cast slgnlflcant doubt on the charltable company's ablllty to contlnue
as a golng concern for a period of at least twelve months from vthen the flnanclal statements are authcrlsed for
Issue.
Our re5ponslbllltles and the responslbllltles of the trustees wlth respect to golng concern are descrlbed In the
relevant sectlons of thls report.
other Informatlon
The trustees are responslble forlhe otherlnformatlon. The other Infomiatlon cornprlses the Informatlon Included In
the Report of the Councll. Our oplnioTr on the financial statemenls does not cover the other informatlon and, except
to the extent otherwlse expllcltly stated In our reporL we do not express any form of assurance con¢luslon thereon,
In connectlon wlth our audlt of the financlal statements, our responsiblllty Is to read the other Informatlon and, In
dolng so, conslder whether the other Informallon Is materially inconsistent with the financial statements or our
knowledge obtalned In the audlt or otheThvlse appears to be materlalty mlsstated. If we Identlfy such materlal
Inconsistencie5 or apparent material misstatement5, we are required to detertnine whether there is a material
mi55tatement in the flnanclal statements or a material misstatement of the other information. If, based on the work
we have performed, we conclude that there is a material misstatement of thi5 Other information, we are required to
report that fact. We have nothlng to report In thls regard.
15

INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS AND TRUSTEES OF RENEW COUNSELLING
LIMrrED (Continued)
opinions on other matters prescribed by the Companies Act 2006
In our oplnlon, based on the work undertaken In the course of the audit:
the information given in the Report of the Council (which includes the directors, report prepared for the
purposes of company law) for the1Snancial yearforvthlch the financlal statements are prepared Is consistent
with the financlal statemenls; and
the dlrectors, report Included wlthln the Report of the C¢uncil have been prepared In accordance wlth
appllcable legal requirements.
Matters on whlch we are requlred to report by exception
In the Ilght of the knowledge and understandlng of the charltable company and Its envlronment obtalned In the
course of the audlL we have not Identlfled material misstatements in the Report of the Councll (whlch Incorporates
the dlrectors, report).
We have nothing to report In respect of the followlng matters In relatlon to whlch the Companles Att 2006 requlres
us to report to you If, In our oplnlon..
adequate accountlng records have not been kept by the ¢harltable company,. or
the charltable company flnanclal statements are not in agreement wlth Ihe accounting records and returns,.
or
certaln dlsclosures of trusteés, remuneratlon speclhed by law are not made,, or
we have not received all the informallon and explanatlons we requlre for our aud1( or
the trustees were not entltled to prepare the flnancial statements In accordance wlth the small companles,
reglme and take advalltage of the small companles. exemptlons In preparing the trustee5' report and from
the requlrement to prepare a strateglc reporL
Responslbllltles of trustees for the flnan¢lal statements
As explalned more fully In the trustees. re5ponsibllSties statement set out on page 14 the tru5tee5 Iwho are also the
dlrectors of the charltable company for the purposes of company law) are responslble for the preparatlon of the
flnanclal statements and for belng satisfied that they give a tnje and falr vlew, and for such Internal control a5 the
trustees determlne 15 necessary to enable the preparallon of flnanclal statement5 that are free from materSal
mlsstatement, whether due to fwaud or error.
Ln preparlng the flnanclal statemenls. the trustees are responsible for assesslng the charltable company's ablllty to
contlnue as a golng concern, dlscloslng, as appllcable, matters related togolng concern and uslng the golng concern
basls of accountlng unless the trvstees elther intend lo liquidate the charltable company or to cease operitlons, or
have no reallstlc alternatlve but lo do 50.
Auditor's responslbllltles lor th¢ audlt of the financlal statemént$
Our objectlves are to obtaln reasonable assurance about whether the financial statements as a whole are free from
material misstatement, whether due to fraud or error. and to Issue an audltols report that Includes our oplnlon,
Reasonable assurance Is a high level of assurance but Is not 3 guarantee that an audlt ccnducted In accordance wlth
ISAS (UK} will always detect a materlal mSsstatement when It exlsts. Mlsstatements can arlse from fraud or error and
are consldered materlal If, Indlvldually or In the aggregate, they could reasonably be expected to influence the
economic decisions of users taken on the basls of these flnancial statements.
Irregularities, including fraud, are Instances of non-compliance with laws and regulatlons. We design procedures In
Ilne with our respon5ibilitles, outllned above. to detect material misstatements in respect Df irregularitie5, including
fraud. The extent to which our procedures are capable of detectlng Irregularlties, including fraud is detailed below,,
Based on our understanding of the charrtable company and the environment in whlch It operates. we identlfied that
the princlpal rlsks of non-compliancewlth laws and regulations related to the regulatory requirpments of the Charity
Commission. and we considered the extent to which non-compliance mlght have a materlal effect on the financial
statements. We also considered those laws and regulations that have a direct impact on the preparation of the
financial statement5 such as the CompaniesAct 200& the Charities Act 2011, payroll tax and sales tax.
16

INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS AND TRUSTEES OF RENEW COUNSELLING
LIMITED (Continued)
We evaluated management'5 incentives and opportunities for fraudulent manlpulatlon of the financlal statements
{including the risk of override of controls), and determined that the principal risks were related to the posting of
Inappropriate Journal entrles and the recognitlon of income at the year-end. Audlt procedures performed by the
engagement team included:
Inspecting correspondence with regulators and tax authorities:
D5scusslons wlth management Including conslderatlon of known or suspected Snstances of non-compliance
with laws and regulation and fraud..
Evaluatlng management's controls deslgned to prevent and detect Irregularltles;
Reviewlng minutes ofTrustees meetings during the year;
Identlfylng and testlng Journals, In partlcular journal entrles posted around the year-end,. and
Challenging assumptions and judgements made by managemenl in thelr critical accountlng e5tlmates.
Because of the inherent limitations of an audlt, there Is a rlsk that we wlll not detect all irregularltles. Includlng those
leadlng to a materlal mlsstatement In the flnanclal statements or non-compllance wlth regulatlon. Thls rlsk Increases
tlie more that compliance wllh a law or regulatlon Is removed from the events and transactlons reflected In the
flnanclal statements, as we wlll be less Ilkely to become aware of Instances of non-compllance. The rlsk Is also greater
regarding irregularities occurring due to fraud rather than error. as fraud involve5 intentlonal concealment, forgery,
colluslon, omlsslon or mlsrepresentatlon.
A further descrlptlon of our responslbllltles for the audit of the financlal statement5 Is located on the Flnancial
Reporllng Councll's webslte at:
Thls descrlptlon forms part of our audltor's
report.
Use of our report
This report 15 made solely lo the charitable company's members, as a body, In accordance wlth Chapter 3 of Part 16
of the Companles Act 2006, Our audSt work has been undertaken 50 that we mlght state to the charltable company'5
members those matters we are requlred to state to them In an Audltor's report and for no other purpose. To the
fullest extent permltted by law, we do not accept or assume responsiblllty to anyone other than the charitable
company and the charltable company's members, as a body, for our audlt work. for thls report, or for the oplnlons
we have formed.
Davld Belbln Bsc BFP FCA DChA
Senlor Statutory Audltor
Clemence Hoar Cummings
Chartered Accountants and
Reglster Audltors
1-5 Como Street
Romford
RM7 70N
17

RENEW COUNSELLING LTD
Stslement ol Flnanclal Aetlvltle$
For tha
@ar andèd ]1￿ Uaich 21)25
lInr￿lGtsd
Funds
ExpondAble
Unrothiclfftd IDÉr￿n8IedD Restricte41 Elldowmvnl
Notei
2Q25
Totol
2024
Total
INCOME ON:
Donations and l•Gaclfjs
In¥estrn•nl Ineom•
1Q302
24fy191
113$2
240,194
18,393
339.889
Ch•rltabl• acllyltl•b'.
Grw13. Iralnlng & Se￿¢0 l•wl •gr￿MInIS
Fi85 r•c•lwd
204,6Sff
441164
200.003
802,906
411.1
30.fj00.00
Total Incom•
677.376
3O.ODD.00
gJ7,37e
1,061,241
EXPENDITURE FROM,.
Co* of g•n•ratlng fvnd8
CoBis ol 9gn$r8lln9 wlunlory I￿om•
Charllabl• 8¢tl¥ltl••
Coun6elllfig seAIce8
Educallon and irnlnlNd
117,753
14,1771
(21,9301
121,8061
178*9)01
1230.997>
124IM)
(B14.S711
I230,9￿)
1841,8421
1226,4041
Tolal •xpondltur•
4,177
1,017 498
Net exp•ndltu
leo 122
27,410
Net qxpelldlturo bolore
Ofhor rgcognlMd golnsllo•Mi
157.274
,177
1BO.122
27.410
Othqr r•cognl••d 04lns Il<Jtt••
Qalnlllo&81 on m￿lu￿tIon I ol lrn•slm•nls
Rao116od G8lnlllo561
(9131
2,418
N•t mov•m•nl In fund•
V6T.2741
1,329
1S,OPDI 1101.0301
124,9921
Tr4n¥f•r• b•M••n lund•
1.Sfj1,735
{1.329l (1.061,7)151
Funds broughl f¢N4ar
131.692
5.Y49.479
,011,IT1
5,90Q163
Fundg oarrled forward
24.2$3
1.061.7
4182,654
J,72CI,136
5,881,171
All Incom• and •xpendllur• from ¢oJ)1ln￿rwj ￿11￿1106. ¢h•lly has n•llh•r opw*lons nordSW￿l￿￿d 8ny of 11$
Comm￿¢&d n6w ono8 In thè y•ar.
Nts $epar3t$ inoome •xwndllure QCCOLml Bg iew*ed ￿je1 Ihe coM￿nIeS Aci 2006 h99 t￿ V•8•nl•d. the nel
mgwmgnl In bJnd$ ¥x¢ludlng Iho endowmenl d•lkll1£169.669112024.'1È27.410K •8 delnod lh•
Ccmpanl6$ Ael. wllsed and thè Im•slmonl mÈnwm•nl foès £4.176 <))24: £3.7741
Th• nDI•s on pages 21 Ic 32 6)rffl an Inl•yal part d thes• Fln*Klal si*emnts.
18

RENEW COUNSELLING LTD
Company Number. 04099810
Balance Sheel
A8 at 31st March 2025
Notès
2024
Fixed a559ts
T8nglble flxed assets
Inva8tm8nl propgrt188
In*8tment8 at market value
1,$6S,114
4,125,000
7,959
5,708,073
1,596,933
4,125,000
18,872
5,740,805
Current assets
Debtors
Cash
89,965
121,905
211,870
94,851
221,386
318,037
10
Curr•nt Ilabllltl
Credltors
175,496
151,133
N•t curr•nt a89018
,375
184,904
rm 118bllltles
Bank loan
11
(24.312)
(24,538)
Nel assets
1720.138
5.881,171
Expendabl6 Endowment Fund8
12
Unrestricted Funds (Generel)
12
Unrestrlcted Funds (Deslgnated) 12
Totsl Fund8
4,182,654
(24,253)
1,561,735
S720,136
5,749,479
131,692
5.881.171
Appro*d on b&hall cfthe truste8s on ........
Tr•a$urer
Jo Ra8$¢11
Chalrman
T Rose
The financi81 st8t8tnonts have been Prepared in accordance wlth the special Provisions relating to companies
subject to the small companies regime Wblhin Part 15 of th8 Crmpanies Act 2006
The notes on pages 21 to 32 form an Inte￿al part of th￿ Financial Stalements.
19

Re new Counselling Ltd and the for the year ondèd 31 March 2025
Con801idalod Statement of Cash Flows
2025
2024
Notes
Cash flows from operatlnq actlvltl•$
(99,675)
(3S,5961
Cash flow8 fyom Investlng actlvlll•8
DI￿￿endS and Intere81
Purchase of property, plant and equipmenl
Sale of property
194
189
(7,0811
Nat cash provldod byl(u8ed In) InV•￿Ing acllvltl•8
193
{6,872)
Chan00 In ¢osh and Cash •qulval•nts In the r¢porflng p•ilod
Cash and ¢a$h oqulvalont8 at tha b•glftnlng of the réportlng p•rlod
Cash and cash oquival8nts at the end of Ihe rèporting period
{99,481)
221,386
121,905
(42,4681
263,854
221,386
NOTES TO THE CASH FLOW STATEMENT
2D26
2024
Reconclllatlon of Net expcndlturo lo Net Cash Flow from Operatlng Acllvltles
N618XP8nditure for th8 r8POrting period
Depreclatlon charges
Interest and DI￿dendS
Decre888 in debtor8
{De¢rea8eyln¢rease In ¢￿dItorS
{16D,120)
31,820
1194)
4,884
24,135
(27.409)
37.342
(189)
4.612
(49,962)
11
Net ca8h provid•d byl (u80d in> operallng acllvltl••
(99,875)
35,596)
Analy81$ of Cash and Cash Equlval¢nts
2025
2024
Cash at bank and In hand
10
121,905
221,388
121,905
221,386
The notes on pages 21 to 32 form an Integral part of Ihese Flnanclal Statements.
20

RENEW COUNSELLING LTD
Notes lo Ihe accounts
For thè
ar ènded 31st March 2025
1. ACCOUNTING POLICIES
Th8 principal aGcountlng polici8s ark)pled. juthJgm8nts armj key 8<)urces of estimation uncertainty in th8
preparatlon of the flnanclal stalements aro as foll0v￿.
Ba818 of preparatlon
The ffinancial statements ha%fj b88n pwepared in accordance with Accountirw ar￿ Reporting by Charitles:
Statement of Recommended PraGtIGe appllcable to charttles preparfry their accounts In accordance wtth
the Flnancial R8POrtln9 Standard applicable in the UK ar¥J Republic ol Ireland (FRS 102)
{Charttles SORP (FRS 102}) Second Edlllon 2019. the Flnanclal Reporllrs Standard appllcable In tha UK and
Republic of Ireland (FRS 102) and th& Compani8s Act 2CK)6.
Th8 Charity me8t8 the d8finilion of a public b8n8fi1 enlily und8r FRS 102. A88818 and liabilitieB are initially
recognlsed at hlstortcal cost or transactlon NBlue un16SS OtheTh￿se slated In th6 rele%Bnt accountlng
pollcy nata(8).
Préparatlon of account8 on a golng conc•m bad8
The trustees conslder lhe￿ no materlal uncertaintles. The re￿oW of our Ilnanclal posltlon, resems levals
and kntur8 plan8 gi￿8 Truste8s confid8nc8 tha charily r8main8 a goirvJ conc8m lTrx th8 fDre888ab18 ￿tUr&.
{1) Income rocoonltlon
Incam8 camprises donalions, ir￿lUding und8r Gift Aid, gran13, g0￿Mment gtanls, 18gaci8B, f888
recelbEd from counsolllng and I￿SnIng. and In￿sIment a￿1 rental income fThxn endovrnd funds.
Donatlons. legacles and grants a￿ recognlsed when r￿￿P1S16 probable. can be m8a5ur8d acGNately
nd legal &ntitit8d to the Income. All olher Income18 credlled lo Ihe slatement of financlal aCtI￿tIeS
on an acGruals basls. kn af*lStlon. Renéw C￿ncelI1ng recal￿S hélp and support In th8 fonn Of ￿lUntary
88818t8nce and don811ons olgoods. (Jvlno lo fh8 dfficully 01￿luIr@ Ihls help Bnd support, 3uoh Stems
are not Sn¢luded In th¢ ftnanclal 8lalemenl8.
(111 Exp¢ ndltur•
All expendltur• Is In¢luded on Iho stalemonl of Qnanclal ac11￿1108 on an accruals bas[$ and Is
recognl8ed when there18 8 leg81 or construcli* obllgatlon Io pay for expendlture, All costs he
allo¢at•d botw¢8n tho •xpondlIu￿ categorfas ol tho Stalemont of Flnanclal AC11￿118$ on a basls
deslgned lo reflect the use ofthe resource.
Costs relstlng to a partlcular acti￿lY are allocated direclly, others are 8PPOrtloned on an approprlate
Cosl of g8neratlng frJnds Includes Iha costs assoclaled wllh allracllng ￿lUnlary and Invastment Inooma.
Charftable expendllure comprises those cosls Incurred by the ¢h8rlly In the dellY¢ry of coun8elllng
so￿¢￿$ lo 11$ beneficlarlos, and educallon ai)d Iralnlro acti￿11•$.
Gowmanc& ¢o$ts Includo thos• eosls asslxialod Mrfth me•tiNJ the constitutlonal and Slatutory
requlrements and those linked with the slrategSc management of the charlly.
The charfly Is not reglslered fi)r VAT and 8¢¢￿dIn@lY expendtture Is gffjss of Irre¢o￿rable VAT,
(111) Flxed assets
Exp9nditure on IT equipment is included in the balance sheet al cost
Expendlture on oth8r ffixed assets is ￿atten off lo the slatement of financial actlmlies in the year of
acquisition.
21

RENEW Col￿5&uNG LTD
Notes to the Accounts
Contlnued
For the
ear ended 31st March 2025
(iv) Depreciatlon
Depreci81ion is Charged on freehdd prowly eX¢I￿j1ng1end to vthte ¢)ff the ¢ost of bulldlngs o*r
50 years,
Depreclallon Is charged on rr equlpment to wiite off the cost ow three years.
(v) Invo*monts
Llsted In￿stMentS are Included on balance sheet al market ￿lue al Ihe balance sheet dale.
Galns and10s80s cn rakgluallon and on the sal6 of listed Inw8tmanl8 are Intsludod on the Statement
of financial actiMtie8. No unlisted in￿81Ments 8r8 h81d.
In￿StMent property Is Inltlaity m6asured at cosl, IncludlrffJ rolated transactlon costs. Includlns related
transactlcn costs.
After Inltlal re¢ognltlon. In*slmenl property Is canled at falr ￿lue detem)Ined annually ellher by
external waluors or by iha In￿1￿&S and deThlad from the CLmnt markat rant8 and InKestment property
yields for COMp8￿bIg re81 est8te and 8djusted if nece888ry for 8ny diffet8nc8 in the natur8, location
or condltlon of the speciflc asset. No deweclatl¢)n Is p￿￿ded. (J)anges In falr ￿lue are recognls8d In
the Statement af Financlal ActI￿lIes.
(￿) Fund Accounllng
Funds held by the charlly 818 ellhw..
Unr8slrictad g8n8r81 lundB Nthich c8n ￿ ￿ed In Mfjlh Ren8w Couns8lllng'8 obl8cl8 8t th8
dlscr8tlon of the trustees.
Restrlcted fvnd5 that can be used only br Certaln r6strfcled purposes ￿rfthln Rgnew Counselllng s objects.
Expendable Endowment Funds which repr88enl Ihose assets that ha¥e b8en endowed to the Charfty
and which 8re h8ld to 9en8r8le Ir￿ome to 814)port the Op￿ting cos18 of Renew Councelling.
The Ch8rlty would nol be able to C8rry fAIt Its ¢urMt ¢h8rftable act1￿11¢5 ￿thout the walueble
contrfbutlon of the In￿GI￿ent Income g￿erated from Ihe expendable ertdowment.
Flnanclal In8truments
Tre charlty only has finenclal assets w)d finarKlal Ilabllltles of a klnd that quallfy as ba$lc flnanclal
Instruments. Baslc financlal Instrum¢nts. Includlng trad• and olhar deblors and cr8dltors are Inltlally
accounted for at their Ir8ns8Ction pric8.
Operatlng leasa8
Rental charg88 ar8 charged on a stra6ghl lin& basis 0￿r Ihe life of the lease.
Funds
Unrestdcted fvnds are donatlons and ￿1￿ Income reco1￿1￿0 or gerwted for the obj9Cts of the ¢harity.
Designated funds are unrestricled fuwKls 88￿￿8[ked by Ihe tnJst88s p8rlicular purposas.
Restricted ftjnds are those funds thich are to be used in accordance with specific instructions Imposed
by the donor or trust deed.
Transfer funds 8gre8d lunds th81 h&e b￿n mO￿d beith￿ Unrestricled and Designated fijnds
22

Renew Counsellln
Not88 lo the Accounts
Continuad
For Ihe
ear ended 31st March 2025
Employee beneflts
short lemi beneflts
Short term benefits includlng hollday pay 8re recognlsed 8s an eXp￿se In Ihe perlod In whlch
Ihe se￿Ce Is recel*d
Employoe tormlnatlon bon¢llts
Termlnatlon beneflts are accotsnted for on an accrual basls and In Ilne *rfth FRS 102.
Ponslon scheme
R8n8w c￿nSellIng operales a defined contrlbullon penslon scheme for the benefit of Its employees,
The a88ets of the scheme are held lndekW￿en1lY from Ihose of Renew In an Independently
adm5nlsiered fvnd, Th6 penslons costs ¢harged In lh6 ffinanclal statement8 reprasant the
conlrlbullons p8y8ble during lh8 year.
Logal 8talu8
Renew Couns8lllng Is a company Ilmll8d by guarante8 reglslered In England and Wal88 rBglslratlon
nurnber 04099810 and has no share c8pilal. In the e￿11 of Ihe chat(ty belng ¥￿Und up, the Ilablllly In
respect of the guarantee Is Ilmlled to £1 per member of Ihe charfty.
E6tlmate8 and Judgements
Estlmales and Judgements awe contlnually e￿lUated and are based on hlstodcal exp8rlenc8 and other
factors, Includlng expectallons of luture ewils that are belIe￿d lo be reasonabl& under the clrcumstances.
Although Ih88& estlmat68 are based on lh8 tT118tee6' best knth￿8dg8 of Ihe amounl, e￿ntS or actlon8 actua
results ultlm81ely dlffer from these esllmales.
The InNestment property h83 been valuse basls on a recent Sale of 4Jne of the propertles and the other two
dlued on a desktop basls
23

Ronow Coun8èllin Ltd
Conllnuéd
ar èndéd 31d March 2025
For th8
2. INCOME ON:
Unrosl￿¢téd R8slricted
2025
Total
2024
Tolal
Counselllng Acti￿lIeS
School8
30,443
30,443
41.824
Educatlon & Tralnlng
Anglla Ruskln UnI￿r511Y
174.214
174,214
158,239
Fee Income
416,164
30.000
446,164
602,906
3. Invath•nt Incomé
2024
R8nl rec8l%obl8
DI￿dend Income
240.000
239,700
189
4. EXPENOITURE FROM:
2025
2024
Totsl
Tot81
Cos18 dlr•ctly
allocated lo a¢tlvltles
Staff ¢0818 & f•&s
Communlcallons
R￿ruItMent
Volunteer Expenses
Audit Fe88
Dlrect
Dlrocl
Dlr8Gt
DlreLt
Direol
4,554
549.644 160.483
3.248
91,045
79J,826
5,084
5,743
794, 773
056
43to
169
14, 780
4,140
13,200
13,200
8upport coal•
allocal•d to o¢tlvltlq8
Admlnlstratlon costs
Premlses costs
Legal & Professional
Depreciallon
Bgnk Charg08
G0￿ManCe Recharged
Slaff Ilme 9,655 4,176
Usage
Usage
Usago
13.584 20,029
54.809 12,751
5.511
31,820
2.109
124
151.218 42,883 (197.398)
80,278
12,761
127,722
80,311
5,511
31,820
2,481
129,832
86,059
13,863
57,342
3, 508
248
Total expendllure
17,753 4.176
814,571 230.997
1,OB7,498
1.088,651
Resourc8s expendilure are directly all(Ka1￿ to thè &tNttes to V4hith rdate PDssible rather than on
a notional percentage basis a5 in pre¥10￿ yeas. A(kniThstration tsts Premlses costs ha￿ been
apportioned lo Iha usage. LwJal & Professlonal fees ar8 aCc￿rd￿￿ to the amounted charged.
Depreclatlon relates wholly to bulldlngs occwied ky c￿r￿ellIng S￿ICes. B￿k Charges hawE been
apportSoned as a percenlagg ol t1￿ total cA)sl.
24

Renew Counfellin
Ltd
Nol68 to tho Accounls
Continued
For Ihe
ear ended 31st March 2025
EXPENDITURE FROM:
2024
Tolal
Co*8 dlrectly
allocat•d to actlvltla8
staff costg & fees
Communlcatlons
Recrultment
Volunte8r Expenses
Audit Fe88
556,677 148,007
3,396
1,659
2,210
1,100
169
85,703
794,773
5,055
3,310
169
14,760
Dlrect
Dlrect
Direct
DIr￿1
14,760
Support CO8t8
allocated to actlvltles
Admlnlstratlon costs
Prem189S Costs
L8g81 & Profession81
D8preci8tion
Bank Charges
Govaman¢e Re¢herged
staff Ilme 9.931 3.774
U88ge
U88g8
Usage
13.722
61.999
13.863
37.342
22,63B
12.020
19.767
12.D20
12P,B32
86,039
13,863
37,342
3,508
351
3,163
175
149,282 39,980 {192,4251
Total Resources expended
17.831 3.774
841.640 225.404
I,OB8,051
25

RENEW COUNSallNG LTD
Notes to Ihe Accounts
Contlnued
For th8
ar 8nded 31st March 2025
5. Net Incom• for the Year
2025
2024
Th1818 818ted after charglng:
Depreclallon
Audltors, remuneratlon
31,820
13,200
37,342
14,760
6. Tanglble flxed assets
Freehold
Propeity
Equlpment
Sadlor8
Housa
Chelmslord
Total
Cost or Valuatlon
As al March 2024
1,7e8,OOQ
97.696
1,B66,69e
Di8P0881
Additlons
As at March 2025
Dopraclatlon
As at March 2024
Dlsposal
Charge for year
176,800
91.963
268,763
29,465
2,354
31,819
A8 at March 2025
Not Book Values
As at March 2024
1,$91,2CiI
5,733
1,596,933
As at March 2025
1,561,735
3,379
1,585,114
26

RENEW COUNSELLING LTD
Notss to the Accounts
Continued
For tho
8ar ended 31st March 2025
7. Inv88tm8nl Propèrtia8
Commarclal Rosldonilal
Property
Property
Totsl
Co8t or Valuatlon
As al March 2024
Rewdluatlon
3,4(K),￿o
725.CKJO
4,126,000
A8 at March 2025
3,41)0.1100
725,000
4,125,000
R￿lUatIOn
As at March 2025
Nel Book Values
As 8t March 2024
3.4(KJ.(xJo
725.000
4,125,000
As at March 2025
3,400.000
725,000
4,125,000
The Comm8rcial prop8riy w8s ￿lUed by mcl￿)￿all8 Suwor8 Llmlled on 9th Augu8t 2023 and
th8 Residant181 Proparty wa8 NBIu8d by D844d Marlln Group on 13lh Oclob8r 2023 th8
Iru8tees 8re the oplnion that Ihe ￿lUeS hthp rd ¢hanged s1￿&ficant1Y as 8131 Maroh 2025
27

RENEW COUNSELLING LTD
Notesto the Accounts
Conllnuod
For thè
ar •nd•d 31st March 2025
8. Invostmonts
Invethenls
Investments
at market
value
at market
value
2024
2025
Al 31 March 2024
Nat g8ln (1088) on sala and rnK8luallon
18.872
913
16.464
2,418
At 31 March 2026
17.939
18,872
Inv•8tm•nts al m4rk•l valu• ¢omprt••:
Su8ts1nable Worfd TnMI
17,969
16,464
17,959
16,464
9. D8btor•
2026
2024
Debtors £rfslng frcTh cper8tlThJ acthllles
Olher debtors
Prepayments and 8ccrued lrtomts
$4,2D2
7,445
35.673
84,891
9,760
Total
97,410
94,851
10. Cath al bank and In hand
25
2024
Cash 8t bonk 8nd In h8nd
121,905
221,3B6
Tot81
121,905
22
11. Crodlt¢rs', amountsfalllng du• wllhln one
2025
2024
Crodltors arfslng from op6ratSro ac11th8
Othor ¢redltor
Bank loan
Other laxatlon and so¢lal securfly
Defarred Income (See Below)
Accruftls
37,843
6,487
5,556
18,859
6,349
11,110
9,760
8B,254
17,001
121,293
11,781
Totsl
182 940
151,133
Bank108n18 ￿r 10 ye8rs Int6￿81 rate of 2.5%. 8ThJ the final rep8ymant dat618 241081203D, wthlch18 pald
In monthly Inslalmants. The gcrtemménl ¥ThtsranI￿ 11))% 01 th6 loan
CMdltor$', amountsfalllng due wlthln one y•ar
2025
2024
Bank loan
24,312
35,648
2025
2024
Balance brought forward
Arnount relBasgd to incowno
Amount defe￿ed in the ye
Balance carried forward
88.254
(88.254)
121,293
121,293
131.158
{131,158)
88.254
88,254
28

Nrkns to tM Atcou
Forl
8bx%d 318t March 2025
12. knaly81¥ ol Fund8
31 ￿r¢h
2024
At 31 March
2025
InconlTrJ
E>pendltsJre
Transfers
8trl¢t•d Funds
Couns8lllnp Ser￿Ces
Educatlon & Tralnlng
Total Restrl¢led Funds
30.C
(28,671)
{1,329)
UnréAlrlctèd Funds Includlng da•lgnatod funds
Counselllno ser￿Ces
{1.076,444)
Net Sales & purchases of Sn%*stments
1,018,946
R￿lu110n Ggln
202,ci)O
Adfvgtmenl for Inveslrnent Propertles
(12,810)
877.376
<1,034,85))
1.583,064
329,348
1,018,948
202,000
<12.810)
Total Unro8trlct¢d Fund$
131692
877 376 LLI
650
(4,1781 {1,581.7351
1537 482
Expondabl8 Endowm•nt
Nel sales & purchases cf Inlrstrnents
Nel galn on the sale and rel¢￿a￿an ol:
Invoslmnts
3,533,938
(s81,￿0)
1,9eB.027
1581.900)
3.133.876
3.133.876
1,939
(914>
Othor Translers
Ad￿Stment for Inv881ment Prcoerlle8
(339,288)
1339.2BB)
Unraslrlct•d eX￿ndItur•
914
4 1B2 654
Total Fundg
5 881171
1087 497
6 720 130
Funds held under E>pendab￿ EndovKngnl ¢orTh)rise of fiy4d ass* and InR8bwrts.
Transfer betA*n E¥Jendable EndoYm8nl f￿d and lh8 DèsWaletJ UN88tricled fund rewn1888 th8 f8cI Ihal S8dl8r8
Hou6018 not held as an Incorno g￿eratIng 8ssd. bul 88 *) 8ss81 used by Ihe charity b c8rry oul Its char118bl8 8Cto￿lIes.
alysls of Nol A88•ts b•tW•on F￿dI
Urffffitricl
Reslricted
Funds
E>pend8ble
Total
Fund balanc&8 a8 al 31st March 2025
are represent￿ by:
FI>￿ Assdg
Current Assets
CLJrrent Llabllllles
Llabillfjes arising alter 1 y
1,643.378
193.911
(175,4￿)
24.312
4,1 e4,PJ95
17,959
5,708,073
211,870
1175.405)
24,312
5 720 136
4 182 654
29

RENEW COUI4SELLING LTD
Notes to th8 Accounts
Continued
For the
ar ended 31st Mar¢h 2025
13. Tran8action8 wilh trusteos and conn•cl•d p•r4ons
Tru8te88 receivb no remun8r81ion and Ih8re VtrPS no re1mbUrs￿OnI of ex￿$8$
16. Indomnlty Snsuranc?
The chartty has a professlonal Indemnlly pollGy for Its counselllng act￿{tIeS and charlly Indemnity insurance
at annual pr8mlums of £3,420 (2024: £2,569).
17. Staff Costs and Numbers
Staff Costs were as follows..
25
2024
Salarles and wages
S￿181 securlly Costs
Penslon
714,316
44,173
78.049
836,538
707,222
40,471
74.842
822,536
Tho number of employ44$ who* emolumonts for
tho year fall wlthln the followlng ￿nd&Were.
2025
Numbor
2024
Numbor
£80,001-£70.000
Of thls, 1 employee are accrulng penslon contrlbutions tofalllng £8.778 (2024.. 1 employee, accrulng £8,197).
The total empl¢yee benefi13 of Ihe key management personnel of Renew w8r8 £161,280 (2019,, £179,197).
Th8 8*rage number of employ888 during Ihe year, calculated on Ihe basls of fv1141me equlvalents,
was as follows:
2025
2024
Chlef ExecutlNp
Counselllng staff
Eduoatlon & Tralnlng
FundRlslng
Admlnlslratl¢n & Support
10
23
24
The avarage number of actual empl¢)Ye￿ (fu1145me, par141me and sesslonal) was 57 (2024; e6).
Renew Counselllng Ltd operates a Group Personal Penslon scheme Ilvouth Now Penslon
Th18 Is a Salary sacrlllce arrangement, the cost for Ihe yeaf was £30.251 (2024: £29,941 }.

RENEW COUNSELLING LTD
Notes to the Accounls
Continued
For the
ar endèd 31st March 2025
18. Operating Lea8e Commitments
At the year end, the company was commltted to make the payments in tctal In respect of
qulpment
2024
Land and bulldlngs
2025
2024
2025
Income
Leas88whlch explm:
Wlthln on6 year
withln two to ffiwa years
214,000
214,000
Expendlture
LoaseswhlGh ¢xplr•:
withln one year
Wlthln tV40 to fiva y8ar8
6.552
20,500
6.552
20.500
24,700
20,500
19. Related Party Tran8actlon8
A Truste8 donating £50 8 monlh tot81 amounl £600 weceI￿d In Ihe year (2024: £600).
31

REMEW COUNSELLING LTD
Statement of Flnandal Activltlos
For the
nco
orati
an Income and Ex
ear ended 31st March 2024
onditure Account
20. Comparalivo Con801idated Stalement of Financial Aclivities (2024):
Expendable
lknr•arl¢¢•d Re*i¢ted Endowment
Nol•s
2024
Total
INCOME
Donatlons end lega¢les
InNestment Income
1&383
18,383
239,889
Charltablo acllvlll•$:
Grant8, tralnlng & s8￿Ce1&Y￿1 agr8emonts
Fees recelyad
200,083
602,906
572,906
30,000
Total In¢om•
1,031.241 30,000.00
1061,241
EXPENDITURE FROM:
Cost of g¢n¢ratlng funds
Costs of generatlno wluniary I￿oMe
Charllabl• actlvltloj
Coun88lllng sgrb4c85
Educallon and tralnlng
{17,831)
{3,774)
121,805
(791,784)
1225,404
(49.8581
(841.6421
(225,404)
Total •xpendltur•
N8t exp•ndlturo b•for•
other rqcognlwd gaIn￿l08T*S
19,85B
(3,774)
(27,410
Othor r•¢ognl•d 94ln8 IIoM••
Galnllloss) on re￿lUatIOn I dSsposg1 of Inwslments
ReallBed Galnl(Ios8}
Unraallsed G8lnl{1038}
2,418
2,418
N•t movement In fund¥
(3,776
(19,808)
(1,358)
124,9921
Transfers b¢fvie¢n fund$
119,838
19,858
Funds brought foward
155,328
5,750,835 5,906,163
Fund8 carrl•d forward
131,692
5,749,479 $,881,171
32