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2021-08-31-accounts

COMPANY REGISTRATION NUMBER : 04147006

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE FINANCIAL STATEMENTS 31 AUGUST 2021

Charity Number : 1088283

Edmund Carr LLP Chartered Accountants 146 New London Road Chelmsford Essex CM2 OAW

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

FINANCIAL STATEMENTS

YEAR ENDED 31st AUGUST 2021

CONTENTS PAGE
Trustees' Annual Report 1
Independent examiner's report 7
Statement of financial activities (incorporating the income and 8
expenditure account)
Balance sheet 9
Notes to the financial statements 10

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

TRUSTEES' ANNUAL REPORT

YEAR ENDED 31st AUGUST 2021

The trustees, who are also the directors for the purposes of company law, present their report and the unaudited financial statements of the charity for the year ended 31st August 2021.

REFERENCE AND ADMINISTRATIVE DETAILS

Registered charity name Chelmsford Counselling Foundation Charity registration number 1088283 Company registration number 04147006 Registered office 42 Cedar Avenue Chelmsford, Essex CM1 2QH THE TRUSTEES Rita Askwith (Chair) Philip Gardiner (Treasurer) Val Garrett Anna Mason Rosalind Park

Head of Centre and Company Secretary

Laura J Eynon

Management Team

Laura J Eynon Head of Administration Heather Robbie Head of Training Sarah Warwick Head of Counselling

Advisory Council

Mr. Robert Cowlin Miss Amanda Timcke Mr. Robert Aldrich

Consultant Psychiatrist

Dr. Alex Lita

1

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

TRUSTEES' ANNUAL REPORT (continued)

YEAR ENDED 31st AUGUST 2021

Trustees Annual Report

Chair of Trustees Report (covering period 01/09/2020 to 31/08/2021)

Objectives and Activities

Foundation or CCF means Chelmsford Counselling Foundation, CCF’s activities are governed by its Memorandum and Articles of Association dated 24th January 2001.

Mission Statement: It is the purpose of the Foundation to offer a professional and affordable psychodynamic counselling service and to train counsellors to nationally accredited standards.

Statement of Public Benefit

The Trustees confirm that they have had regard to the Charity Commission’s guidance on public benefit during the year.

The Foundation’s purpose of existence, as outlined in our Mission Statement, is to provide counselling to the general public and to train psychodynamic counsellors. We achieve this through:

The British Association for Counselling and Psychotherapy (BACP) accredits our courses. The IAPT scheme has been accounted for separately as it is a fixed contract and not part of CCF core work.

Our counsellors are trained to explore with clients how much they can afford depending on their income. The fee is regularly reviewed.

The foundation offers a wide range of counselling courses: an introductory Certificate in Counselling Skills to a Diploma in Counselling Skills and a Diploma in Psychodynamic Counselling. The latter leads to a recognised professional qualification that is accredited by the British Association for Counselling and Psychotherapy (BACP).

To summarise, the public benefits of our work are:

1) To offer counselling to all members of the community who we are qualified to help.

3) To offer a training that leads to a professional qualification in psychodynamic counselling that can lead to BACP individual counsellor accreditation.

It is important to state that no private benefits result from the activities of our organisation, and to the best of our knowledge, no detriment or harm arises in anyway as a consequence of our work.

2

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

TRUSTEES' ANNUAL REPORT (continued) YEAR ENDED 31st AUGUST 2021

Structure, Governance and Management of Achievements

To carry out these roles the foundation relies on the service of paid and unpaid staff. They are:

Management comprising of Head of Centre and the managers

Head of Centre

Laura Eynon continues to hold the position of Head of Centre. Laura has continued to be highly efficient and extremely hardworking to ensure that the high standards, expected of CCF, were maintained during an incredibly challenging year. The foundation has managed to adapt and function smoothly for the benefit of our students and staff. Laura’s organisational skills were needed as in January a completely new IT system was installed; the old system proved unable to cope with off site working. The transition was mainly smooth! Laura also submitted a grant application to the Essex Community Fund and the application was successful and CCF was allocated £16,746.00 and an application form was sent to the Cranfield Trust to help with our Strategic Planning. A new fire alarm system has also been installed. Laura has also had to prepare, along with the other Heads of Department, in anticipation that CCF will be able to re-commence training and counselling in house and this has meant re-assessing the use of rooms and the safety of clients, students, and staff and making sure that it is as Covid-safe as possible. This transition started in July. Thank you, Laura,

Managers

Managers are responsible for running the day-to-day business of the foundation. They are responsible for initiating new projects, appointing staff and ensuring that counselling and training run smoothly. They are the line management to staff and carry out their appraisals. Counselling is at the heart of the foundation and our counselling service is accredited by BACP.

Heather Robbie remains Head of Training.

Sarah Warwick remains Head of Counselling.

Heather has been our Head of training for two years and in that time has been very proactive in introducing changes and improving the Training Course programme. Heather has been involved in collaborative talks with other Counselling services and Harlow College. She has also forged a useful relationship with the BACP regarding training matters. It is with regret that we have accepted Heather’s resignation as Head of Training as she wishes to stand down and her energy, hard work and enthusiasm will be sorely missed. Heather has kindly agreed to stay as Head of Training, if necessary, until the end of November 2021.

3

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

TRUSTEES' ANNUAL REPORT (continued)

YEAR ENDED 31st AUGUST 2021

Sarah continues to maintain a strong relationship with the IAPT management team and has been assured that a finalised contract will be in place to take us though until March 2022, although this has not yet materialised. A DIT training place has been secured for a former CCF counsellor. Our waiting times for both CFD and DIT remain very good and feedback is extremely positive at our review meetings with IAPT. Our work with The Next Chapter project finished in 31/03/21 and our counsellors felt they benefited from the additional training and experience. It is hoped that we may be able to take a joint relationship with Next Chapter further should more funding become available. When time permits Sarah intend to explore the idea of introducing a more time limited model for appropriate clients.

The transition back to ‘in the room’ counselling has been facilitated well by Sarah and Sue, her assistant with the booking diary being completely revised to provide ‘in the room’ and ‘remote working’ spaces.

Heather and Sarah have continued to be an amazingly efficient and enthusiastic team.

It is with great credit to CCF’s management team that CCF has continued to offer counselling to our clients and a robust training programme for our students. All staff have been trained to appropriate standard, recommended by BACP, and we are now transitioning back to “in house” counselling at CCF. The administrative staff have been able work at the foundation with restrictions since the beginning of this year and this has been important as it has kept the telephones “staffed” for support for current clients and prospective clients.

Staff are those persons who provided services for the Foundation in any paid or unpaid capacity. This includes, but is not limited to counsellor’s, seminar leaders, tutors, co-leaders, supervisors, volunteers, and administrative staff.

Staff are essential to the running of the Foundation. They support management in carrying out the business of the Foundation which is to offer counselling and to train counsellors (see Mission Statement above).

On behalf of the Trustees, I would like to recognise and thank all the staff who work for CCF, in whatever capacity, to ensure that CCF has been able to maintains its high standards despite another extremely challenging year.

Trustees/Directors are those with legal and financial responsibilities for the Foundation. It is the role of the Trustees to plan and initiate strategic thinking and plans for the future which ensures that the Foundation will remain a viable business. Trustees aim to support the Head of Centre and the Managers in their task of running the Foundation. They offer a considerable amount of their time and expertise to achieve this. Potential Trustees are identified using advertising or recommendation form current members of the Foundation. Any names put forward are first discussed by the Trustees, and then passed on to the Head of Centre to establish any potential conflict of interest or boundary issues. Suitability regarding expertise at the given time will be taken into consideration.

4

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

TRUSTEES' ANNUAL REPORT (continued)

YEAR ENDED 31st AUGUST 2021

The Foundation has a regular bi-monthly Board meeting which has been online this year. Trustees meet separately, four to six times a year, again online. Managers and Head of Centre meet every fortnight but at the moment as often as required, again online. The office in CCF continues to follow the Covid-19 requirements, the building has more frequent and thorough cleaning and has been constantly re-assessed for when staff, students and clients return to the building.

I would, again, like to thank all members of CCF who have contributed to the success of the Foundation during the past year. It has their dedication and commitment to counselling and training that has enabled us to continue to provide high quality counselling and training in such challenging circumstances. Their ability to adapt and find answers to all the difficult situations they have faced has been amazing.

Rita Askwith

Chair of Trustees

Treasurer’s Report for year ended 31st August 2021

The year just ended was, like the previous one, difficult, as restrictions due to the Covid-19 pandemic continued to affect the way our organisation operates. To comply with Government advice, and for the protection of our staff and our clients, access to the premises in Cedar Avenue has had to be strictly controlled. However, remote working, for example holding counselling sessions with clients by telephone and holding meetings over the internet has worked very well and this is reflected in our financial results for the year. Our total income from all sources was £330,424 and expenditure was £328,463, giving a surplus of £1,961. The corresponding figures for the previous year were income £283,630 and expenditure £320,766, the deficit then being £37,136.

The main sources of income during the year were (a) the core activities of counselling and training and (b) external contracts, in the ratio of approximately 80% and 20%. Our contract for IAPT (Improving Access to Psychological Therapies) has expired but we are continuing to provide the service while we wait for a formal decision about contract extension or renewal. New work initiated during the previous year was continued with funding from Police, Fire and Crime Commissioners, working with an Essexbased charity, Next Chapter, concerned with matters of domestic abuse. We were grateful to receive support from the Essex Community Fund which was set up to help small organisations during the restrictions of the pandemic, and this allowed us to purchase special ventilation equipment and to add to our counselling bursary.

Expenditure during the year included the usual costs for staff salaries and for maintaining the premises, but in addition a new IT system was acquired which enables staff working off-site to have better access to the office network, and repairs were carried out to the Garden Room. Improvements in health and safety are always implemented as quickly as possible.

The year’s financial results mean that the balance sheet as at the end of August 2021 shows that our total equity is £866,675. Our principal asset is the property in Cedar Avenue, which is currently valued at £715,811. Cash reserves in savings or deposit accounts were £273,550. For security, we limit the amount of funds held in each account.

5

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

TRUSTEES' ANNUAL REPORT (continued)

YEAR ENDED 31st AUGUST 2021

It has been a difficult year and our positive financial results are due to the hard work and dedication of my colleagues and all our staff, to whom I should like to express my thanks.

This report was approved by the trustees on 28 January 2022 and signed on their behalf by:

Rita Askwith

...................................

Rita Askwith Chair of Trustees

6

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES YEAR ENDED 31st AUGUST 2021

I report to the charity trustees on my examination of the accounts of the company for the year ended 31 August 2021 which are set out on pages 8 to 16.

Responsibilities and basis of report

As the charity trustees of the company (and also its directors for the purposes of company law) you are responsible for the preparation of the accounts in accordance with the requirements of the Companies Act 2006 (‘the 2006 Act’).

Having satisfied myself that the accounts of the company are not required to be audited under Part 16 of the 2006 Act and are eligible for independent examination, I report in respect of my examination of your company’s accounts as carried out under section 145 of the Charities Act 2011 (‘the 2011 Act’). In carrying out my examination I have followed the Directions given by the Charity Commission under section 145(5)(b) of the 2011 Act.

Independent examiner's statement

Since the company’s gross income exceeded £250,000 your examiner must be a member of a body listed in section 145 of the 2011 Act. I confirm that I am qualified to undertake the examination because I a member of the Institute of Chartered Accountants in England and Wales, which is one of the listed bodies.

I have completed my examination. I confirm that no matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:

  1. accounting records were not kept in respect of the company as required by section 386 of the 2006 Act; or

  2. the accounts do not accord with those records; or

  3. the accounts do not comply with the accounting requirements of section 396 of the 2006 Act other than any requirement that the accounts give a ‘true and fair view’ which is not a matter considered as part of an independent examination; or

  4. the accounts have not been prepared in accordance with the methods and principles of the Statement of Recommended Practice for accounting and reporting by charities applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102).

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Raymond Crace

........................................

Raymond Crace FCA

146 New London Road Chelmsford CM2 0AW

1 February 2022

7

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

STATEMENT OF FINANCIAL ACTIVITIES (INCLUDING INCOME AND EXPENDITURE ACCOUNT)

YEAR ENDED 31st AUGUST 2021

Note
INCOME from:
Donations
2
Investments
3
Charitable activities
4
Other
5
TOTAL INCOME
EXPENDITURE on:
Charitable activities
6
TOTAL EXPENDITURE
NET INCOME /(EXPENDITURE)/
NET MOVEMENT IN FUNDS
RECONCILIATION OF FUNDS
Total funds brought forward
Total funds carried forward
Total Funds
2021
£
5,802
495
321,727
2,400
330,424
328,463
328,463
1,961
864,714
866,675
Total Funds
2020
£
10,051
613
269,510
3,456
283,630
320,766
320,766
(37,136)
901,850
864,714

All of the above amounts relate to continuing activities All funds are unrestricted.

The notes on pages 10 to 16 form part of these financial statements.

8

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

BALANCE SHEET

AS AT 31st AUGUST 2021

Note
FIXED ASSETS
Tangible assets
12
CURRENT ASSETS
Debtors
13
Cash at bank and in hand
CREDITORS: Amounts falling due
within one year
14
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT LIABILITIES
NET ASSETS
FUNDS OF THE CHARITY
15
Unrestricted funds
Revaluation Reserve
TOTAL CHARITY FUNDS
£
£
726,883
53,234
273,550
326,784
(186,992)
139,792
866,675
866,675
612,770
253,905
866,675
2021
£
£
715,631
57,473
274,797
332,270
(183,187)
149,083
864,714
864,714
610,809
253,905
864,714
2020
£
£
715,631
57,473
274,797
332,270
(183,187)
149,083
864,714
864,714
610,809
253,905
864,714
2020
864,714
864,714
610,809
253,905
864,714

For the year ending 31 August 2021 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

Trustees' responsibilities:

The members have not required the company to obtain an audit of its accounts for the year in question in accordance with section 476;

The trustees acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.

These financial statements have been prepared in accordance with the special provisions for small companies under Part 15 of the Companies Act 2006.

These financial statements were approved by the trustees on 28 January 2022 and are signed on their behalf by:

Rita Askwith

...................................

R ASKWITH (Chair of Trustees)

Company Registration Number: 04147006

The notes on pages 10 to 16 form part of these financial statements.

9

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

NOTES TO THE FINANCIAL STATEMENTS

YEAR ENDED 31st AUGUST 2021

1. ACCOUNTING POLICIES

Basis of preparation of financial statements

The financial statements have been prepared in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102), Accounting and Reporting by Charities: Statement of Recommended Practice applicable in the UK and Republic of Ireland (effective 1 January 2019) (Charities SORP FRS 102) and the Companies Act 2006.

Legal Status

Chelmsford Counselling Foundation Company Ltd is a charitable company limited by guarantee. It is incorporated in England and Wales and its registered address is 42 Cedar Avenue, Chelmsford, Essex CM1 2QH. The company meets the definition of a public benefit entity under FRS 102.

Going Concern

The Trustees have considered the impact of the Covid-19 pandemic in their assessment of the charity’s ability to prepare accounts as a going concern. Because of the uncertainties surrounding the effects of the economic slowdown it is difficult to predict the impact on the charity, but having taken all the factors into account, the trustees are of the opinion that the charity has sufficient resources to continue trading for the next 12 months from the date of signing these accounts.

Fund accounting

Funds held by the charity are either:

Unrestricted general funds - these are funds which can be used in accordance with the charitable objects at the discretion of the trustees.

Designated funds - these are funds set aside by the trustees out of unrestricted funds for specific future purposes or projects.

Restricted funds - these are funds that can only be used for particular restricted purposes within the objects of the charity.

Income

All incoming resources are accounted for when the charity is legally entitled to the income. Fees and deposits received for courses commencing after the period end are recognised as deferred income and included under creditors. Government grants relate to furlough income received.

Expenditure

All expenditure is accounted for on an accruals basis and includes VAT as the charity is not VAT registered.

Support costs relate to expenditure to support the charitable activities of the charity which cannot be directly attributed to either counselling or training.

Governance costs are those costs incurred in connection with the administration of the charity including compliance with constitutional and statutory requirements.

10

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

NOTES TO THE FINANCIAL STATEMENTS

YEAR ENDED 31st AUGUST 2021

1. ACCOUNTING POLICIES (continued)

Fixed assets

All fixed assets are initially recorded at cost or deemed cost under FRS102.

Tangible fixed assets costing more than £250 are capitalised in the accounts.

Depreciation

Depreciation is calculated so as to write off the cost of an asset, less its estimated residual value, over the useful economic life of that asset as follows:

Equipment 25% straight line Fixtures and fittings 25% straight line

The trustees do not wish to depreciate the freehold property as it is revalued every 5 years.

Debtors

Trade and other debtors are recognised at the settlement amount due.

Creditors

Creditors are recognised where the charity has a present obligation resulting from a past event that will probably result in the transfer of funds to a third party and the amount due to settle the obligation can be measured or estimated reliably. Creditors are normally recognised at their settlement amount.

Tax status

The company is a registered charity and is not subject to corporation tax on its charitable activities.

11

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

NOTES TO THE FINANCIAL STATEMENTS

YEAR ENDED 31st AUGUST 2021

2. DONATIONS
Essex Community Foundation
General donations
3. INVESTMENT INCOME
Bank interest receivable
4. INCOME FROM CHARITABLE ACTIVITIES
Counselling income
Training income
5. OTHER INCOME
Government grant
Room hire
6. COSTS OF CHARITABLE ACTIVITIES
Counselling - direct costs
Training - direct costs
Support costs (note 7)
Governance costs (note 8)
Total Funds
2021
£
4,492
1,310
5,802
Total Funds
2021
£
495
Total Funds
2021
£
153,025
168,702
321,727
Total Funds
2021
£
-
2,400
2,400
Total Funds
2021
£
98,767
72,608
153,979
3,109
328,463
Total Funds
2020
£
10,000
51
10,051
Total Funds
2020
£
613
Total Funds
2020
£
128,229
141,281
269,510
Total Funds
2020
£
726
2,730
3,456
Total Funds
2020
£
95,190
59,314
159,230
7,032
320,766

12

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

NOTES TO THE FINANCIAL STATEMENTS

YEAR ENDED 31st AUGUST 2021

7.
SUPPORT COSTS
Staff wages/costs
Other
8.
GOVERNANCE COSTS
Independent Examination fee
Accounts preparation
Fees payable to Independent Examiner
Other fees and expenses
Training and travel
9. NET INCOME FOR THE YEAR
This is stated after charging:
Depreciation
10. STAFF COSTS AND EMOLUMENTS
Total staff costs were as follows:
Wages and salaries
Social security costs
Employer pension contributions
Particulars of employees:
The average number of staff employed during the year (head count)
was as follows:
Number of administrative staff
Number of management staff
Number of counsellors
Total Funds
2021
£
110,257
43,722
153,979
Total Funds
2021
£
1,014
1,625
2,639
388
82
3,109
Total Funds
2021
£
4,228
Total Funds
2021
£
234,683
4,932
3,852
243,467
2021
No
3
3
27
33
Total Funds
2020
£
119,662
39,568
159,230
Total Funds
2020
£
967
1,595
2,562
3,582
888
7,032
Total Funds
2020
£
3,490
Total Funds
2020
£
231,139
5,595
4,099
240,833
2020
No
3
3
31
37

No employee received remuneration of more than £60,000 during the year (2020 - None). Total key management personnel remuneration benefits during the year amounted to £39,441. (2020 - £40,323).

13

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

NOTES TO THE FINANCIAL STATEMENTS

YEAR ENDED 31st AUGUST 2021

11. TRUSTEES' REMUNERATION

No emoluments were received or waived by trustees during the year. No trustees were reimbursed with travel expenses in the year (2020: 2 trustees - £157).

12. TANGIBLE FIXED ASSETS

COST OR VALUATION
At 1st September 2020
Additions
Disposals
At 31st August 2021
DEPRECIATION
At 1st September 2020
Charge for the year
On disposals
At 31st August 2021
NET BOOK VALUE
At 31st August 2021
At 31st August 2020
Freehold
property
£
712,576
-
-
712,576
-
-
-
-
712,576
712,576
Equipment
£
17,989
8,376
-
26,365
15,520
2,603
-
18,123
8,242
2,469
Fixtures &
Fittings
£
19,313
7,104
-
26,417
18,727
1,625
-
20,352
6,065
586
Total
£
749,878
15,480
-
765,358
34,247
4,228
-
38,475
726,883
715,631

The freehold property (42 Cedar Avenue) was revalued at 28th April 2017 at £700,000. The valuation was carried out on the basis of vacant possession (comparative and investment) market value. The valuation was carried out by Chartered Surveyors. The historic cost is £270,398.

14

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

NOTES TO THE FINANCIAL STATEMENTS YEAR ENDED 31st AUGUST 2021

13. DEBTORS
Trade debtors
Accrued Income IAPT
Prepayments
Sundry debtors
14. CREDITORS
Trade creditors
PAYE and social security
Deferred income
Accruals
Other creditors
2021
£
44,323
4,115
3,046
1,750
53,234
2021
£
6,422
2,654
155,108
22,749
59
186,992
2020
£
51,947
2,495
3,031
-
57,473
2020
£
4,215
3,886
152,794
22,292
-
183,187

Deferred income relates to fees and deposits received in advance for training courses commencing in September 2021 and income on a PFCC contract with performance related conditions that have not yet been fulfilled. All amounts deferred at 31.8.2021 were released in the current year.

15. UNRESTRICTED INCOME FUNDS

General unrestricted funds
Designated funds:
Freehold property
Revaluation reserve
Operational contingency
Balance at
01/09/2020
£
61,463
458,671
253,905
90,675
864,714
Incoming
resources
£
330,424
-
-
-
330,424
Outgoing
resources
£
(328,463)
-
-
-
(328,463)
Gains/losses
& transfers
£
-
-
-
-
-
Balance at
31/08/2021
£
63,424
458,671
253,905
90,675
866,675

The freehold property fund and revaluation reserve represent the value of the freehold property held by the charity but not immediately available as free funds.

The operational contingency reserve fund is allocated to ensure continuity of counselling services.

15

CHELMSFORD COUNSELLING FOUNDATION COMPANY LIMITED BY GUARANTEE

NOTES TO THE FINANCIAL STATEMENTS

YEAR ENDED 31st AUGUST 2021

17. ANALYSIS OF NET ASSETS (between restricted and unrestricted funds)

Unrestricted income funds:
Designated funds
General funds
Total funds
Tangible
fixed assets
£
712,576
14,307
726,883
Other net
assets
£
90,675
49,117
139,792
Total
£
803,251
63,424
866,675

18. COMPANY LIMITED BY GUARANTEE

The company is a company limited by guarantee. The members of the charity are the trustees. In the event of the charity being wound up, the liability in respect of the guarantee is limited to £1 per member of the charity.

19. RELATED PARTIES

There were no related party transactions that require disclosure during the year.

20. PRIOR YEAR FUNDS NOTE

UNRESTRICTED INCOME FUNDS

UNRESTRICTED INCOME FUNDS
General unrestricted funds
Designated funds:
Freehold property
Revaluation reserve
Operational contingency
Balance at
01/09/2019
£
98,599
458,671
253,905
90,675
901,850
Incoming
resources
£
283,630
-
-
-
283,630
Outgoing
resources
£
(320,766)
-
-
-
(320,766)
Gains/losses
& transfers
£
-
-
-
-
-
Balance at
31/08/2020
£
61,463
458,671
253,905
90,675
864,714

The freehold property fund and revaluation reserve represent the value of the freehold property held by the charity but not immediately available as free funds.

The operational contingency reserve fund is allocated to ensure continuity of counselling services.

16