
## Annual Report 2020-21 

## **Chair’s Introduction** 

To say 2020/21 was a challenging year would be an understatement. If we cast our minds back to April 2020, we were fearful about contracting Coronavirus, little was known about it and the country had just gone into its first Lockdown.  None of us knew how the pandemic would impact on our own personal lives, never mind how South Kent Mind would continue to exist or operate. 

Our new Covid-19 world was unknown territory for us all. Trustees were worried about income, how long it would last and where new income would come from. Trustees and staff were concerned about how South Kent Mind would continue to function. 

As we closed the Centre at the end of March 2020 it became clear we would have to find another way in which to operate and provide our services. Remote working was introduced, service referrals took place over the phone and we moved some of our services online. Fortunately, we received a number of grants from Kent Community Fund, Dover District Council, Folkestone & Hythe District Council, Garfield Weston, John Swire Trust and National Mind which assisted us in this. And thanks to Adam Colthorpe’s technical skills – our then Director of Communications and Technology – we were able to introduce welfare calls and held craft, writing and other group meetings over Zoom, which still continue. 

Sadly, both our shops, in Hythe and Cheriton, had to close. Our Hythe Shop reopened for a period over the summer of 2020 and did a roaring trade in facemasks among other items, thanks to our shop manager Kerry Duncan and volunteers, and Trustees are pleased that it was able to reopen in April of this year. 

However, Trustees decided, after much soul-searching, to close our Cheriton shop permanently in June 2020 thus making two shop staff redundant. This decision was based partly on the impact of Lockdown and partly due to the fact that the lease had come up for renewal. Also, the shop’s location did not sit well with our strategic aim of developing hubs in Deal and Dover. 

In early July 2020, we appointed an Interim Chief Executive Officer (ICEO) for a sixmonth period to replace Bernie Mayall. Bernie accomplished a great deal during her period with South Kent Mind in transforming the organisation, including considerable work towards achieving the Mind Quality Mark, for which we are most appreciative. 

Our new ICEO, Steve Inett, was tasked with maintaining organisational and financial 

stability. 

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Working remotely for the most part, Steve quickly got to grips with what needed doing and set about a modest restructure of the organisation.  This involved changing a number of job titles and their roles to ensure operations were more streamlined and, thankfully, resulted in just one staff redundancy. He also created a new post of Volunteer Co-Ordinator, which has resulted in a number of new volunteers who are involved in a range of activities including digital befriending, art, yoga, walking, peer mentoring and creative writing groups. Adam Colthorpe, Director of Communications and Technology resigned at the end of August 2020 and was not replaced, due to budgetary constraints. Adam’s commitment and passion for the organisation was immense and his input and efforts had a significant impact in the repositioning of the charity. 

In October 2020 it became clear we would need to extend Steve’s contract for three months while we recruited a new CEO, to which Steve agreed. 

The financial element of the ICEO’s role was not so easy as many of the funds for which we had anticipated applying were closed until December 2020 due to Covid19.  However, various statutory grants and funds were applied for and we secured a number of these which were sufficient to ensure South Kent Mind was solvent until the end of the financial year, March 2021. 

I am pleased to report that in late March 2021 we appointed a successor to Steve, Simon Dolby, who joined us in our very first full-time Chief Executive role! Simon has been busy getting to grips with the Organisation and focussing on much needed grant applications and many new projects. 

Our Board of Trustees has seen some big changes too. Paul Curd, our Chair, resigned at the beginning of June 2020. Paul oversaw quite a number of changes and invested much of his time into strengthening governance at South Kent Mind, for which we are indebted. I took over as Vice-Chair and then Chair in August 2020 in an effort to regain stability. Sadly, due to work commitments, from the end of May 2021, I too have now resigned as Chair, although I remain a Trustee. We are currently actively seeking a replacement. In the meantime, Sheridan Hammond our Vice Chair is holding the reins. 

We regret to advise that former Hon. Secretary of the charity, Pam Comber MBE, has passed away recently following an illness. Pam’s contribution to help improve the lives of local people with mental health problems cannot be understated. Pam was instrumental in helping to secure the Resource Centre premises, which the charity still works from, and which she was present at on the opening day in January 1993. Pam continued to help develop and steer the charity, obtaining grants for refurbishments and being the administrative link between staff and Trustees. In 2007 Pam was awarded an MBE for her services to mental health, a much-deserved award reflecting her dedication and commitment to the charity. Pam was talented in other ways too, one of which was needlework and when she managed to find the time, made all sorts of crafts which were sold at the Centre on open days. She supported fundraising events in the community, in-store collection days at supermarkets, arranged raffles in addition to all the administrative, management and committee duties required and much, much more besides. Pam continued to support the charity as recently as May this year and had only officially retired a few months 

2 




earlier. Pam’s voluntary work supporting mental health (for over 30 years at least) was truly inspiring and she touched so many people’s lives. We have named the meeting room the Pam Comber Room, in recognition of her work and support. There will also be a plaque hung in that room in her honour and a Volunteer Award in her name – to be awarded at our next AGM. 

Two other long standing Trustees decided to retire – Norma Smyth and our Honorary Treasurer David Jarman – and I’d like to thank them both for their commitment and support for the organisation over many years. 

Other Trustees who resigned mostly due to the impact of Covid-19 on their personal and work situations include Gavin Baker, Julie Hanbury, Bonny Malhotra, Gary Nice and Keely Spicer, whom I also thank for their input. 

Although many Trustees resigned in the past financial year, we did gain five new Trustees. They are: Ray Campion, Stewart Martin, Paul Mercer, Sarah Morgan and Frances Tammer and Dawn Hughes – who has since resigned. We now have a strong board of eight Trustees, including Vice Chair, Sheridan Hammond, Trustee Tony Vaughan and a new Hon Treasurer – Paul Mercer.  They are, I believe, well positioned to guide South Kent Mind going forwards and support staff in achieving our strategic objectives. To this end we re-established a number of sub-committees, Finance and Income Generation during the year and created two new ones, Property Management and HR which are working well. 

Financially, despite everything that was thrown at us during 2020/21 in terms of the pandemic, the changes in trustees and staff, and the closing of the Centre, our hubs, our shops and the Abercrombie Cafe, I am pleased to report that, to our great relief, we made a small surplus of just over £26,000 thanks to our many funders and donors, which has set us in good stead for the year ahead. 

During my year as Chair I have been bowled over, not only by the commitment of our Trustees, but also that of our ICEO, Steve Inett and our new Chief Executive, Simon Dolby and thank them for all their generous support. In addition, I would like to thank our staff under the leadership of Managers, Michelle Godfrey and Karen Bush, our outgoing Finance Officer, Beverley Stone and indeed all our staff who have, by hook or by crook, in many cases kept the South Kent Mind show on the road. It hasn’t been easy, but where there is a will there is a way, and during 2020/21 they found that way. I would also like to welcome a number of new members to the team, Kat Segmen, who has replaced Beverley Stone as Finance Officer, and Rebecca Jackson, who has joined us as Fundraising Officer in recent months. 

Equally, our volunteers have been vital in keeping our services ticking over and in developing new services, and I would like to thank Martin Cooper for all his hard work as chair of our Service Users Group and to Tom Langlands who devoted so much time volunteering as an engagement officer, to name but a very few. 

## Penelope James 

**Penelope James Chair of the Board of Trustees (August 2020 – May 2021)** 

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## **Our Aims and Objectives** 

## Purposes and Aims 

Our charity’s purposes as set out in the objects contained in the company’s Memorandum & Articles of Association are to benefit the public by promoting the preservation and the safeguarding of mental health and the relief of persons suffering from mental health disorders within the area covered by South Kent Mind – from Deal to Dover, Folkestone to Romney Marsh and rural villages in between. 

Our vision is that everyone with a mental health problem has somewhere to turn for advice and support, and to that end the Trustees have made it their mission to improve the lives of all people in south Kent experiencing mental health challenges. 

To do this, the charity aims to 

- **Build Resilience:** We empower people towards resilience by raising awareness, educating, and providing early intervention opportunities aimed at preventing problems occurring or reoccurring wherever possible, or reducing their impact if they do. 

- **Provide Relief:** We listen, give support and advice, provide comfort and relief through a wide range of services across South Kent and aim to develop and grow our provision/services accordingly. 

- **Aid Rehabilitation:** We support people on their road to recovery so they can reintegrate with their communities and provide wider support with a long-term view of ensuring a positive, healthy, inclusive and productive environment. 

Our aims fully reflect the purposes that the charity was set up to further. 

## Ensuring our work delivers our aims 

The Trustees of South Kent Mind review our aims, objectives and activities each year. This report looks at what we achieved and the outcomes of our work in the previous 12 months. The report looks at the success of each key activity and the benefits they have brought to those groups of people we are set up to assist. The report also helps us ensure our aims, objectives and activities remain focussed on our stated purposes. We have referred to the guidance contained in the Charity Commission’s general guidance on public benefit when reviewing our aims and objectives and in planning our future activities. In particular, the Trustees consider how planned activities will contribute to the aims and objectives they have set. 

## The focus of our work 

Our main objectives for the year continued to be to promote better mental health and wellbeing across south Kent. The strategies we used to meet these objectives included: 

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- Providing a range of services which are reflective of relevant quality standards and address the potential problems related to mental ill-health. 

- Working in partnership with other agencies to secure the widest range of services available that best match the needs of our client population. 

## MIND 

During the year we have continued to develop our relationship with Mind, both with national Mind and with local Kent Minds. Sharing experiences and issues have been invaluable to our development and have assisted us in improving our services. 

## National Mind Federation Agreement 

We also had some input into and signed the new Mind Federation Agreement which replaced the old Community Partnership Agreement from April 2021.  The 6-year Agreement covers a number of areas, principally: 

- It focuses on the shared values of local Minds and the MQM Quality Standards 

- It lays out clearly the expectations of all local Minds, including fundraising 

- It details the relationship with Mind Retail 

- It strengthens the Mind response on risk and safeguarding 

## Mind Quality Mark 

One important element of being a member of national Mind is achieving the Mind Quality Mark (MQM): a set of standards which focus on Leadership & Governance, Sustainability & Growth, Influence & Engagement.  It is an organisational tool which supports local Minds and their ongoing improvement. 

After much hard work, we were awarded the MQM in November 2020. It will ensure that South Kent Mind has a positive impact on the lives of people experiencing or at risk of developing mental health problems. It will also ensure the best quality standards of service coupled with a feeling of optimism and drive amongst all staff and volunteers. 

## How our work delivers public benefit 

Our main activities and who we try to help are described below. All our charitable activities focus on the prevention and treatment of mental ill-health and are undertaken to further our charitable purposes for the public benefit. 

Who used and benefited from our services? 

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Our objects and funding limit the services we provide to those people resident in south Kent. The adult population of south Kent is approximately 170,000[1] and at any one time: 

- 23,800 (14%) will have a common mental health problem such as anxiety and depression; 

- 8,500 (5%) will have longer term and more complex mental health problems; and 

- 11,900 (7%) will have mental health problems associated with their physical health needs[2] . 

Demand for our services is ever increasing receiving many self-referrals, referrals from our funders Live Well Kent, signposting from G.P practices, DWP, Primary and Secondary services to name but a few. Individuals are offered an initial assessment of their personal needs to ensure everyone seeking support is offered a personcentred approach. 

Equal access to our services is an important issue for us. We are aware that BAME (Black, Asian, & Minority Ethnic) communities are disproportionately represented in the deprived areas within South Kent Mind’s catchment area. We believe equal access to our services is vital to our success and that successful outcomes must be shared by all communities that use our services. 

## **Main Areas of Charitable Activity** 

The Impact on Our Services of Coronavirus Covid-19 

In terms of our service delivery, the Coronavirus outbreak meant we had to adapt quickly and completely reorganise the way in which we worked. We immediately responded to the government guidelines of social distancing and self-isolation and set up a remote network to enable service users to access support by telephone or online. This service had totally replaced our face-to-face support at our Folkestone Centre or via our hubs.  Sadly we had to close our Dover hub, but we have plans to reopen a new hub going forward. 

We were able to offer telephone and video support for our person-centred wellbeing services and also live streaming and print at home for creative self and Active SELF activities. There were extra costs involved in our immediate response to providing these services, and were incurred against the backdrop of seriously reduced funding, as we had to close our charity shops during the Lockdown periods and thus lost a significant source of income. We are most grateful to national Mind, Charities Aid Foundation, Kent Community Foundation, Dover District Council and Folkestone & Hythe District Council and others for their financial support during this difficult period. 

> 1 ONS Clinical commissioning group population estimates 

> 2 East Kent Adult Mental Health Strategy 2016-2021 

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Understandably, very few events took place during the year due the various Lockdowns. However, our FotoFolkestone project was well supported. Unfortunately, although people were generous with their photos, the exhibition was only open for a month due to Covid-19 restrictions, but received some good reviews none the less. 

We also launched the Abercrombie’s Café at the Centre and were about to begin running cooking workshops and other events just as Lockdown hit, resulting in the cancellation of all planned activities. It was agreed to transfer any remaining funds to our Hythe Shop (with the consent of the funder). 

However, we are currently working on plans to reopen the Café now Covid restrictions have been lifted. 

## Our Impact 

In the year ending 31 March 2021 we have: 

- Assisted 326 new service users in Folkestone & Hythe District, Dover/Deal District. 

- 100% of referrals **attempted** contact within two working days following initial referral 

- 100% of referrals with contact within five working days following initial referral 

- 72% of those who were contactable and ready to engage received a service within 7 working days 

- 100% of service users provided with brief advice or intervention on physical health, alcohol use, smoking, healthy eating, and sexual health 

- 4 new peer leaders were trained and supported in collaboration with the new Recovery College in Folkestone 

- Continue to build relationships with IPS employment providers to help support referrals 

- Facilitated and supported local mental health awareness raising events/sessions in Dover and Folkestone 

- 82% of service users show maintained or improvement in their mental health and wellbeing 

- 95% of users would recommend our services to their families and friends 

We know that our interventions work: we use the Warwick-Edinburgh Mental Wellbeing Scale (WEMWBS), a validated measure of mental wellbeing, to measure the impact of our services. WEMWBS was developed by researchers at the Universities of Warwick and Edinburgh, with funding provided by NHS Health Scotland, and is a 14-item scale of mental well-being. It covers subjective well-being and psychological functioning, and is scored by summing responses to each item answered on a 1 to 5 Likert scale. The minimum scale score is 14 and the maximum is 70. We record the results scored by people when they first start using our services 

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to give a baseline score, then again during their time using our services and then again when they leave our services. This helps us track progress and outcomes. 

A sample of our recent outcomes over the last 12 months includes: 

- 82% of beneficiaries stated that the activities had helped to improve their mental health and wellbeing 

- 63% are now feeling optimistic about the future 

- 74% are now dealing with problems well and are thinking more clearly 

- 75% are showing improved wellbeing scores 

- 98% feel they have choice and are in control of their plan 

## Partnership working 

We work closely with several local organisations to provide added value to the services we each deliver. For example, we worked with the Samaritans to ensure our SafeTALK programme dovetailed with the work that they do, with Take Off, a userled peer support service based in Dover, and we have developed links with Talk It Out, a small user-led group in Deal to augment the services they provide. We are also exploring ways we can work with a new provider in the area, Hestia, and as mentioned above we have forged links with Social Enterprise Kent, the Recovery College run by the Kent and Medway Partnership Trust, the Three Hills sports centre, the Chequers Cookery School, Deal and with the Romney Marsh Day Centre. 

## **Structure, Governance and Management** 

## Governing Document 

The organisation is a charitable company limited by guarantee, incorporated on 23 August 2001 and originally registered as a charity on 9 March 1989. The company was established under a Memorandum of Association which established the objects and powers of the charitable company and is governed under its Articles of Association. In the event of the company being wound up members are required to contribute an amount not exceeding £1. We plan to review our governing document in the coming year. 

## Recruitment and Appointment of Management Committee 

The directors of the company are also charity trustees for the purposes of charity law. Under the requirements of the Memorandum and Articles of Association, directors may be elected by ordinary resolution at an annual general meeting or appointed by resolution of the other directors. A director appointed by the other directors must retire and seek election at the following annual general meeting. A third of all other directors must retire by rotation at the annual general meeting. Retiring directors may be re-elected, and there is currently no maximum term of 

8 




office for directors. 

All members of the Management Committee give their time voluntarily and received no benefits from the charity. Any expenses reclaimed from the charity are set out in the accounts. 

In an effort to develop and maintain a broad skill mix, members of the Board of Trustees are requested to provide a list of their skills (and update it each year) and in the event of particular skills being lost due to retirements, a specific recruitment drive attempts to attract individuals with those skills to the Board. 

Sadly, this year we said goodbye to the Chair, Penelope James who led the Trustees and the Charity as Vice Chair from June 2020 and as Chair from August 2020 to May 2021. Penelope took over at a difficult time and during her tenure ensured organisational and financial stability was maintained. Penelope will continue as a Trustee. 

## Risk Management 

The Board of Trustees established a risk register which is reviewed and updated annually.  Where appropriate, systems or procedures have been established to mitigate the risks the charity faces. Internal control risks are minimised by the implementation of procedures for authorisation of all transactions and projects. Procedures are in place to ensure compliance with health and safety of staff, volunteers, clients and visitors to the centre. The implementation of the Mind Quality Mark ensures a consistent quality of delivery for all operational aspects of the charity. These procedures are periodically reviewed to ensure that they continue to meet the needs of the charity. 

## Organisational Structure 

South Kent Mind has a Board of Trustees that meets bi-monthly and is responsible for the strategic direction and policy of the charity. At present the Board has eight directors from a variety of professional backgrounds relevant to the work of the charity. Members of the senior management team also attend Board meetings but have no voting rights. 

A scheme of delegation is in place and day-to-day responsibility for the provision of the services rest with the Chief Executive along with other members of the Senior Management Team. The Chief Executive is responsible for ensuring that the charity delivers the services specified and that key performance indicators are met. 

## Financial Review 

The financial result for the year ended 31[st] March 2021 was an actual surplus of £26,755 against a planned deficit of £700. This therefore amounts to a further unplanned profit of **£26,055.** 

9 




## Principal Funding Sources 

The principal funding source for the charity is currently the contract income, of £106,200 from Kent County Council via Porchlight (who oversee community mental health services on behalf of the county council). In the financial year Porchlight themselves provided further grants totalling £3,940 from their own innovation funds. A further £34,161 came from voluntary giving either by donations or through fund raising events. The balance of funding is generated by the contribution received from commercial activities (mainly charity shops). 

## Principal Costs 

The main expenditure is the provision of paid expertise and skills with employee costs of £214,785 and subcontractors’ payments of £7,149 accounting for 74% of total expenses. The decrease in employee costs of £12,665 from the prior year relate to Lockdown and the impact of the Covid-19 pandemic. 

## Reserves Policy 

The Board of Trustees has examined the Charity’s requirements for reserves in light of the main risks to the organisation. It has established a policy whereby the unrestricted funds not committed or invested in tangible fixed assets held by the charity should be between: 

- a minimum of three months running costs. This will enable the Charity to be able to respond to short-term fluctuations in the levels of funding and to have sufficient liquidity to meet short term liabilities. 

- an optimum reserves level of nine months running costs to ensure that any services and projects undertaken can be sustained for a reasonable time. 

If at any time the Treasurer has cause to believe that the policy will be breached then it will be reported at the next Board of Trustee’s meeting and corrective action agreed. 

Our expenditure for 2020/21 came to £282,121 and therefore the target reserve is between £94,040 to £188,081 in general funds. The Board of Trustees is confident that this level of reserves would enable the Charity to continue to deliver its current activities even in the event of a significant drop in funding. Our year-end unrestricted reserves stand at £126,555, which is within the target level. Although the strategy is to continue to build reserves through planned operating surpluses, the Board of Trustees is aware that the optimum target level of reserves is unlikely to be reached for at least five years. In the short term the Board of Trustees will consider the extent to which existing activities and expenditure could be curtailed, should such circumstances arise. 

## Plans for Future Periods 

The Charity plans to continue the activities outlined above in the forthcoming years subject to satisfactory funding arrangements. However, these services are provided predominantly at or out of our Centre in Folkestone. South Kent covers a large geographic area and public transport connections from outlying areas to Folkestone 

are 10 




infrequent, and in any case many people with mental health problems find public transport a challenge. This means that there is a significant disparity in who is able to access our services. We therefore have ambitions to develop the services we currently provide in our Folkestone premises and to replicate them across the rest of south Kent.  This will ensure everyone with a mental health problem has somewhere to turn to for advice and support and we are doing all we can to better meet the needs of people with mental health issues on the Romney Marsh, in Dover, Deal and the surrounding villages. For example, we have done our best to address the unmet need in Deal and Dover by opening new outreach ‘hubs’ there, but this is unfunded beyond our Live Well Kent contract delivery and depletes our limited resources. There are similar unmet needs on Romney Marsh, where the population is dispersed over a wider area. 

Following the Covid-19 Lockdown we completely reorganised the way we work, as set out above, to replace our face-to-face support. This has become the seed of our proposed ‘MindfulNet Project’ aimed at refining, improving and expanding our telephone and video support for our person-centred work (wellbeing / counselling) and live streaming and print at home for creative and physical activities. This will enable us to reach those people in the community who suffer from a mental health problem but who live in remote and rural areas. Thus, the most vulnerable and isolated people within the community would have access to support from their homes. 

We anticipate that post-pandemic there will continue to be a significant increase in demand and our MindfulNet project combined with providing pre-recorded activities to watch on demand will enable us to reach as many beneficiaries as possible, offering interventions which will help some of the most affected people to feel more integrated and access to support that will offer relief, support rehabilitation, and build resilience. 

We also have ambitious plans to develop an employment, training and education service. While this will initially focus on our community café, as set out above, we would hope to expand the scope of the service to cover retail and other work areas in due course. 

The overall outcomes of our services will be that: 

- More people will have better mental health – by improving individual wellbeing. 

- More people in crisis with mental health conditions will recover – bearing in mind that ‘recovery’ does not necessarily mean ‘cure’. 

- More people will have increased access to employment, education, training and recovery. 

- More people will experience reduced social isolation and increased community engagement as a result. 

- More people with mental health conditions will have good physical health – our services focus on an individual’s physical, psychological, spiritual and 

11 




social wellbeing. 

- More people will have a positive experience of the support we provide – by ensuring we continue to provide high-quality services through increased engagement of service users in the areas of monitoring and feedback on service performance. 

- There will be positive knock-on outcomes for the families and carers of people with mental health conditions. 

- Fewer people will experience stigma and discrimination – we aim to reduce negative attitudes to mental health conditions. 

We will continue to use WEMWBS to monitor these improvements. 

## Fundraising 

Our fundraising plan hinges around diversifying our income generation to include not just grants and tenders, but also increased community and corporate income. We now have a broad offering to corporates which includes bought-in wellbeing services and workshops, a range of ways to involve us as their Charity of the Year, payroll giving, a new Ambassador scheme and a new awards event where organisations can sponsor categories. 

A Community Committee will be formed to allow volunteers to take an increased lead in helping South Kent Mind to attract increased numbers of community fundraisers. 

Rebecca Jackson, our new fundraising officer, will play a key role in developing both aspects of our community and corporate. 

To further increase our capacity, our Finance Officer will support the grants application side and we have applied to the Department of Work and Pensions to take on a Kickstarter post – a government funded junior role – who will create proactive fundraising posts and host community fundraisers. 

New markets will be explored with a new mental health and wellbeing service for schools developed. 

__________________________________________________________ 

3 Mill Bay www.southkentmind.org.uk South Kent Mind Ltd Folkestone, Kent contact@southkentmind.org.uk Registered Charity No: 1089472 CT20 1JS 01303 250090 Company Reg in England: 4276323 

12 



Registration number 04276323
Charity number: 1089472
South Kent Mind Ltd
Report and unaudited finanel&l ststements
for the year ended 31 March 2021

South Kent Mind Ltd
Company iDforniAtion
Trustees
Norma Sm)rth
David Jamw)
Paul Curd
Sheridan Hammond
GaryNice
Anthony Vaughan
P¢n¢lope James
ShubhsntATh Bontly Malhotra
Julie Hanbury
Keely Spicer
Raymond Campion
Dawn Hughes
Paul Mercer
Stewart Martin
Sarah Morgan
Frances Tammer
resi￿ed 21 January 2021
resigned 14 D¢cember 2020
resigned ? June 2020
resigned 06 October 2020
resigned 26 April 2020.
resigned 27 October 2020
appointed 24 November 2020
appointed 24 November 2020
appoint¢d I l December 2020
appointed 30 November 2020
apppointed 26 January 2021
Appointed 26 January 2021
Company number
04276323
Charkty NumE¢r
1089472
Registered otTice
3 Mill Bay
Folkestone
Kent
CT20 IJS
Accountants
PG Ikmon LLP
134 High Street
Hythe
Kent
CT215LB
Business addres5
3 Mill Bay
Folkeslon¢
Kent
CT20 IJS

South Ken¢ Mind Ltd
Independent examlner's report to the trustees on the unaudited financial statements of
South Kent Mind Ltd
I report on the accounts of South Kent Mind Ltd for th¢ y¢ar ended 31 March 2021 set out on pages 2 to 12.
Respective responsibilities of trustscs and Independenl eJaJniner
The charity's trustees (who are also the directot3 of the company for purposes of company law) are responsible
foT the preparation of the accounts. They consider that an audit is not required for this year under section
144(2) of the Charities Act 2011 (the Act). and t5iat ind¢pendent examination is iieeded. It is my
responsibility to ¢xamine the a¢count5 urkder section 145 of the Aet. to follow the procedures laid down in the
General Directions given by the Charity Commission under se¢lion 145(SXb) of the Act, and to state whether
particular Jnatt¢rs have come to my attention.
Basis of independent examlner's Statement
My examination was carried out in accordance with the General Directions given by the Charity Commission.
An examinaiion include5 a review of the accounting records kept by ihe charity and a Comparison of the
accounts presented with those records. li also includes ¢onsid¢ration of any unusual items or disclosures in the
a¢¢ounts, and s¢¢king explanations from you as directors concerning any such matters. Th¢ procedur¢s
undertaken do not provide &ll the evidence that would be required in an audit and consequently no opinioll is
given as lo whether the accounts present a'true and fair view, and the report is limited kn thos¢ matters Set out
in the stateinent below.
Independent examiner's 5tatemenl
In connection with my examination, iio matter has come to my attention:
(i) which giv¢s me reasonable Cause Éo believe that in any material r¢s￿¢t the requiremenis..
lo keep proper accounting records in accordance with Section 130 of the Charities Act 2011- and
to prepare &ccounts which accord with the accounting records, comply with the accounting
requirements of the Charities (Accounts and Reports) regulations 2008.
have not been met. or
(ii)to which, iii my opinion, attention should drawn in order to enable a proper undejstanding of the
accounts to be r￿hed.
Phlllp Gambrill
Chartered Certified Accountant
Independent examiner
PG Lemon LLP
134 Fligh Street
Hythe, Kenl
CT215LB
Date: 28 September 2021
Page I

South Kent Mind Lld
ProfAt and loss aceounl
for the yeAr ended 31 March 2021
2021
2020
R￿t￿Cted Unrestrleled
Funds
Funds
Totsl
Total
Note
Income
155.212
153,233
308.445
251,518
Expendlture
Charitable expenditure
Futtd raising expenditure
Management & administration
& charitable operations
{5,442)
(2,545)
(123,814)
(9.589)
(58.931)
{81.800)
(15,031)
(61.476)
{205,614)
(62.792)
(77.462)
(220.923)
Surplus l (deficit) on
Operallng Income
23,411
2,913
26,324
(109.659)
Other int¢r¢sl receivable and
profit on investments
431
431
1,475
Surplus l (defieit) f4)r the year after tAX
23,411
3,344
26,755
{108,184)
TrAn$fers betiveen funds
12
Retsilled surplus l (deficli) for the year
23,411
3,344
26,755
(108,184)
Retained surplus brought forward
11,577
201,027
212,604
320.788
Totsl funds carried fonY4rd
34,988
204,371
239,359
212,604
The notes on pages 5 to 12 forni An intsgral part of thue financlal statements.
P4ge 2

South Kent Mind Ltd
Balance sheet
as at 31 Mareh 2021
2021
2020
Notes
Fixed assets
Tangible dsseLq
Current a&sets
Debiors
Cash at bank a￿d in hand
262.166
259.926
9.949
162,051
17,745
128.273
I72,￿0
146.018
Creditors: amuunts falllng
due within one year
(20,994)
(19.527}
Net eurrent H55ets
151.rM)6
126.491
Total assets less current
liabilities
413,172
386.417
Net a55ets
413,172
386.417
Capital and reserve5
Funds and R&serve
413,172
386,417
TotAI reserves
413.172
386,417
The tnjstees, sratements required by Sections 475(2) and {31 are shown on the following page which forms
part of this Balan¢¢ Sheet.
The Dot45 on pages 5 to 12 forni an integra] part of th&se flnancial sthtements.
Pmge 3

South Kent Mlnd Ltd
Balance sheet (continued)
Directors, sta¢ements required by Sections 47512) and (3)
ror the year ended 31 March 2021
Foi. Ihe Ye￿ ended 31 M4wch 2021 the company was entiiled kn cxemp(ion from 2udil under section 477 of ihe
Companieb Act 2006 rclating to.small companie%.
Trusrees, r&8ponsibiliti&8'.
• The members have not requircd the company io obtain an audit of irs accounts for the year in qu¢suon in
accordance with section 476- and
. Th¢ tsustees acknowledge (h¢ii re.4por]5ibilitses for complying with the requirements of the Act with respect
to accouniing records and the preparation of accounts.
These accounts have b¢¢n prepared in accordanc¢ with Accounting and Reporiing by Charities- Stat¢men( of
RccotnTncnd¢d Pracuce appli¢able 10 Ch￿ItieS preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland IFRS 102) (effective l January 20161
(CharKties SORP IFRS 102), the Financial Reporting Standard applicable in the UK and Republic ot. Ireland
(FRS IQ21 and the Companies Act 2006.
These accounts We￿ approved by the Inistces, and are Signed on Iheir behalf by..
Trustee
Trustee
Reglstratlon number 04276323
CEkTrLiofvI
The on pages S to 12 forni an integral part of these financial statements.
Page 4

South Kent Mind Ltd
Notes to the finAntlttl ststements
for the year ended 31 MAr¢h 2V21
Aceountlng polici&s
1.1. Bgsls of preparation
The financial sthtrm¢nis have been prcpared in accordancc with Accouniing and Reporting by Charitics..
Statement of Recommcnded Praciice dpplicable to charities preparing their &ccounts in accordance with
the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 102 Secuon l A)
((Ch&rities SORP IFRS 102)) , the Chariiic5 Act 2011 and the Companies Act 2(K)6.
South Kent MtND m¢¢ts (he definitiOD of a public benefit cntiry under FRS 102. A55ets and liabilitics a
initially recognised at hi4torieal cosi or transaction value unless othcrwi5e Sta￿d in the rclevant accounting
policy note.
12. Income recognltlon policies
ILems of 1￿coMe are recognised included in the accounrs when all of the following crileLia are tneL'.
- the chajity has entitlemeni to the funds:
any perforniance conditions aiiached 10 the itcms of income have been mei or are fully within the
control of the charity;
- there is sufFicierti eertainty that receipt of the income is considered pmbable. and
- Ihe amoun[ can be measur¢d reliably.
Inter&%[ on ￿ndS held on dcposit is included when rc£civable and the amoun¢ can be measurcd reliably
by the charity: Ihis As nornially upon noiiflcaiion of th¢ interest paid or payable by the bank.
IJ. Fund ace(bundng
unr¢S￿l¢trd ￿ndS are availabl¢ to spend on (iLtiviries that ￿rther any of the purEM)ses of chariry. Restricted
funds arc grants and donations which the donor has specifi¢d are io be solely used for particular areas of the
charitys Work or for specific projects being undertaken by the charity.
IA. Expendlture
Expenditure is recognised there is a legal or constnjctive obligation io make a payment 10 2 third party,
it 1,% pr()bable Ihat settlement will k required and the atnount of the obligation can be measured reliably.
Expenditur¢ is classified undcr ihe following aciiviry headin¥s'.
¢haritable expenditur¢
fund raising expenditure
- management & administration c()sis and charitable op¢ralions.
Page 5

South Kent Mind Ltd
Notes to the financial statements
for the year tnded 31 March 2021
ontiTrued
AS. Tanglble flxed assets and depreclation
Individual fixed assers costing £ IIX> or mf)rc are capTtalised at cosi and are deprcciared over their useful
ccollornic lives Lg follows..
Land and buildings
Furnishings
Centre equipment
Not depreciated
15% reducing balance
15% reducing balan¢e
15% redu¢ing balance
Tmprove-
ments
5% siraighi line
The trustees do not consider it necessary to depreciate freehold land and buildings.
The leasehold property was revalued at 31 March 2015.
I￿. Debtors
Trade dnd other debiors 2re recognised at the settlemcnt amouni due aftcr any trdde discount offered.
Prepayments are valued ai th¢ amount prepaid after taking accoun( of any trade disu)unts d￿.
1.7. Creditors and provisions
Creditors and provisions are recogni$ed where ihe charity has a present obligation resulting from a past
event tha( will probably result in the transfcr of funds to a third paxiy the amount due 10 seiLte the
obligation can be measured or e&iitnated reliably. Creditors and provislolls 4]re normally recognised at their
eiil¢Tn¢nt amount afier allowing for aiiy trade dibLounts due.
1.8. Penslons
The pension costs charged in the financial siaiemwts represeni Ihe contribution payable by th¢
company during the year.
The regular ¢osr of providing reiirement pension.% and related bencftts is charged to the profit and loss
account over the employees, ￿rViCe lives on the ba515 of a constanf percentage of earnings.
Page 6

South Kent Mind Ltd
Nntes to the financial statements
for the year ended 31 March 2021
. iununued
Analysis of incolne
Charitable Income
Restrlded Unrestricted
2021
2020
Cbaritable grdnts and donations
Porchlight- Live Well conirdct
Centre income
Shop inrome
Abercombie cafe income
Fundrdising ev¢nts and other income
Gift aid income
Membership.subscriptions
48.732
106,2(Ml
49.808
98,540
106,2(X)
3,857
26,248
34.160
107.8QO
3,064
82.955
3,073
9,110
7.277
3,857
26.248
4,056
4,1156
25
154.Y.32
83.994
238,Y26
247,473
Other income
RÉstrlded Unrestrlcted
2021
2020
Property income
Other rental inLume
Other income
280
3.075
66.164
3.355
66.164
4.04.5
28
69.239
69.519
Inves¢meni blcome
Restrlcted Unrestricied
2021
2020
Bank intrrest received
431
431
1,475
431
431
,475
Page 7

South Kent Mind Ltd
Notes to the flnancial statements
for the yegr ended 31 March 2021
. continued
Analysls of expenditure
Charitable expendlture
Re8trlrt¢d Unrutricted 2021
2020
Lighi and heat
Repairs and maintcnance (inc. property Tnanagementl
Travelling and sllbgisience
Centre aciivities dnd counselling
Communiiy activities & groups
Subconiraci labour
VolunteerltTust¢¢ expense5
Cleaning maierials and consutnables
National MtND affiliation fee
210
46
2,484
2.123
2.694
2,169
5,149
6.260
2,493
2.651
1,932
39,2711
2,873
1.469
687
1.095
(165)
860
4.161
?.988
675
797
687
7.149
675
797
687
5.44?
9.589
15,031
62,792
Fund raising expenditure
Restrfcted Unresttlded 2021
2020
Shop salaries (in¢l. erfs Nll
Shop expenses
Shop and siorage garage rcni payable
Abercrombie expenses
Fund raising expenses
39,325
8,828
9,913
[86
679
39,325
X.X28
12.413
186
724
43,504
8,298
16.8CK
7.738
1.122
2,500
45
2.545
58.Y31
61.476
77,462
Management and Administration costs
and eharltable operations
Salalle.8 lincl. ¢r'5 Nl)
Stalf money purLhase pension ¢osts
Staff supervision. training & recnJitmen(
Ra￿%
Insurance (persunnel and bulldings)
Printing, postage and siaiionery
Pmmntion
Telephone
Wcbsitc and computer ¢osis
Project planning
Consultancy fees
Accouncancy
Restrlcted Unrestiicted 2021
2020
119,424
56.036
3,110
3,241
539
3.711
1.23?
175.460
3,110
3,336
539
3.841
,232
183,946
2.911
4,293
931
3.021
3.779
1,640
2.020
6,122
5?6
2.083
4,272
95
130
312
3.853
3.296
?.2fA)
3.608
6.053
48
4,27?
48
4,?72
Page 8

South Kent Mind Ltd
Notrs to the flnancial ststtments
for the year ended 31 March 2021
. continued
Bank chargés
Generat expeTL%e.
Depreciation un furnishing
Depr¢¢iation on FF & equipment
Depreciation on shop equipment
Depreciation on improvements
845
326
516
1.596
209
60.1
1,392
1,603
631
940
210
603
326
536
1,596
209
603
123.1114
111.¥00 205,614
220,923
Pension costs
The company operates a d¢fin¢d contribution pension s¢heme. the scheme and its asseis are held by
independent managcr5. The pension charge represents ¢on(ribuiions duc frotn the company and
amount to £3.110 (2019.. £2.911).
Land and
buildings
rreehold
Tanglble flxed assets
Furnl.
shings
Centre
Shop
eqllipment equipnient
Improve•
ments
Total
CosUrev4luatlon
At l April 2020
Addiiion.s
245,(
14,380
23.620
4,984
5,865
200
112,474
401,339
5.184
At 31 March 2021
245,0
14.380
28,604
6,065
112,474
406.523
Depreciatlon
At l April 2020
Charge for the year
10,8(
536
17.965
1,596
4,673
209
107,969
603
141.413
2.944
At 31 March 2021
11,342
19.561
4,882
108,572
144,357
Net book values
At 31 Ma￿h 2021
245.OIH)
3.038
9,043
1,183
3,902
262.166
Ai 31 March 2020
24.S.OIM)
3.574
5,655
1,192
4.505
259,926
Page 9

South Kent Mind Ltd
Notes ¢0 the flnancig41 statements
for the year ended 31 Mareh 2021
. ￿ntinUed
Debtor5
2021
2020
Trade deb¢or5
Chher debtors- approved grants
Prepayments. and accrued income
8.810
11,986
5.759
1.139
9.949
17.745
Creditors: amounts falllng due
Ivlthln one year
2021
2020
Trade creditors
Other iaxes and wial security costs
Other creditors
AccNa15 and defe￿d income
794
2.209
14,871
3,120
9,054
2,863
4,490
3.120
20,994
19,527
Corporation taxation
The chartty is ¢xcmpt from tax on income and gains fa]ling within section 505 of the Taxes Act 1988
or scclion 252 of the Taxation of Chatgeable Gains Acc 1992 ¢0 ihe extent these are applied to ils
h￿itable objectives.
P4ge 10

South Kent Mlnd Ltd
Notes to the flnaneial statements
for the year ended 31 March 2021
. continued
Unro5tricted
Revaluation Restricted Funds Re UnrestrlLted
Reserve
Funds Fixed Assets Funds
Reserve5
Total
At l Aprll 2020
173,813
11.577
23.411
83,000
(5,184)
118,027
8.528
386,417
26.755
Movement oll reserves
At 31 March 2021
173.813
34.9R8
77.816
126.555
413.172
The to￿1 fund5 caLTied fon¥ard on the sthtemeni of financial activiues exclude the
revajuation reservc. The decrease in the chariiy's reserves was part of the Boanl's
strategy to invebl. in a manag¢m¢nt struLture and operaling environmeni, io allow il to
meet compliance, service user and funder r¢quirements in lh¢ long term.
io.
Company limited by guarantee
The legal staws of (he charity is a company limiied by guarantee and has no share capiial.
Page 11

South Kent MIDd Ltd
Note8 to the fln*ncial statements
for the year ended 31 Mareh 2021
. ¢ontinued
11. Rthicted Funds
At
At
l Aprll IncoTning
Outgoing 31 March
2020
resourees TrAnsfers r&%ources
2021
Mitid ￿ Grant
5,Tr)0
(4,157)
R Cwickshaok Foundation Grant
(Various Expenditure)
18
18
Porchlight
ILive Well contract)
1,666
106.480
(86.892)
21,254
Porchlight Innovation Fund
(BME projec¢}
2.768
(1,678)
1.090
KCC Communiry Grant
1,567
(380)
1,187
Kent SFrt)rt
475
(259)
216
Resilience Granr
15,000
(13.077)
1,923
Porchlight Innovation Fund
(Young person)
3,446
(1,107)
2,339
Porchlight Innovation Fund
(DDJmming)
1,179
1.179
Ifc Emergency Funds
26,690
(24.251)
2.439
KCF (Empliryment PToject)
2.51K)
2.5(M)
11,577
155,212
{131,801)
34,988
Page 12

South Kent Mind l.td
Detalled tr&dlng proflt and 1055 a￿)ll￿t
and expen5e5 schedule
for the year ended 31 Mareh 2021
Unrestrieted income
Ch￿[￿ble gr4llLS and donattons
Property income
Other rental income
Centre income
Shup in¢on
Cafe income
Fundraising evenr5 and other income
Gift aid
Membership subscriptions
Other income
49,808
19,533
3,075
3,857
26,248
4,045
3,064
82,955
3.073
9,110
7,277
34
4,056
25
66,l64
153,233
129.091
Unrestiieted expenses
150,320
216,542
1150,320)
(216.5421
Opernting sUrplu￿(de[Idt)
2,913
(87,451)
Other Income and expewes
Bank de￿sIt interest
431
1.475
431
1,475
Net Surplus for the year
3.344
(85,976)

South Kent Mind Ltd
Unrestricted expendltu
for the year ended 31 Mgrch 2021
2021
2020
Unrestricted expetLses
Subcontracr labour
Salaries {incl. er's Nl)
Siaff money purch&ge pension costs
Shop salaries lincl. er's ND
Staff supcrvision, training & ￿¢[ull￿ellt
Abcrcrombie expenses
Abercrombie Set up expens¢s
Shop expenses
Shop and storage garage reni payabl¢
Raies
Insurance (personnel and buildings)
Lighi and heat
Repairs and maintenance (inc. properly management)
Printing, postag¢ and Sthiionery
Telephone
Websiie 2nd cotnputer cosis
Fund raising exp¢nses
Travelling and Subsistence
Cenire actlvities and c(Trunselling
Legal and prufessiondl fees
Volunleerltrus(ee expenses
Cleaning materials 4nd con.sumables
AccountallLy
Bank chargcs
Gencral expenscs
NaLional MtND affiliation fee
Depreciation on furnishing
Deprcciation on FF & equipment
DepreLiauon on shop equipmeni
Depreciation on itnprovements
2,988
56,036
3,110
39,325
3.241
186
2.609
90.775
2,911
43.504
2,313
3,645
4,093
8.?98
16,8(Kl
931
2,904
3,632
6.260
2.394
1.025
5,942
1.122
1,991
795
83
2.873
1.409
4,272
1,392
1,498
687
631
940
210
603
8.828
9.913
539
3,711
2,484
2,123
1.232
-3.296
2,200
679
(165)
48
675
797
4,272
326
687
536
1,596
209
603
150,32Q
216,542

Registration number 04276323
Charity number: 1089472
South Kent Mind Ltd
Report and unaudited finanel&l ststements
for the year ended 31 March 2021

South Kent Mind Ltd
Company iDforniAtion
Trustees
Norma Sm)rth
David Jamw)
Paul Curd
Sheridan Hammond
GaryNice
Anthony Vaughan
P¢n¢lope James
ShubhsntATh Bontly Malhotra
Julie Hanbury
Keely Spicer
Raymond Campion
Dawn Hughes
Paul Mercer
Stewart Martin
Sarah Morgan
Frances Tammer
resi￿ed 21 January 2021
resigned 14 D¢cember 2020
resigned ? June 2020
resigned 06 October 2020
resigned 26 April 2020.
resigned 27 October 2020
appointed 24 November 2020
appointed 24 November 2020
appoint¢d I l December 2020
appointed 30 November 2020
apppointed 26 January 2021
Appointed 26 January 2021
Company number
04276323
Charkty NumE¢r
1089472
Registered otTice
3 Mill Bay
Folkestone
Kent
CT20 IJS
Accountants
PG Ikmon LLP
134 High Street
Hythe
Kent
CT215LB
Business addres5
3 Mill Bay
Folkeslon¢
Kent
CT20 IJS

South Ken¢ Mind Ltd
Independent examlner's report to the trustees on the unaudited financial statements of
South Kent Mind Ltd
I report on the accounts of South Kent Mind Ltd for th¢ y¢ar ended 31 March 2021 set out on pages 2 to 12.
Respective responsibilities of trustscs and Independenl eJaJniner
The charity's trustees (who are also the directot3 of the company for purposes of company law) are responsible
foT the preparation of the accounts. They consider that an audit is not required for this year under section
144(2) of the Charities Act 2011 (the Act). and t5iat ind¢pendent examination is iieeded. It is my
responsibility to ¢xamine the a¢count5 urkder section 145 of the Aet. to follow the procedures laid down in the
General Directions given by the Charity Commission under se¢lion 145(SXb) of the Act, and to state whether
particular Jnatt¢rs have come to my attention.
Basis of independent examlner's Statement
My examination was carried out in accordance with the General Directions given by the Charity Commission.
An examinaiion include5 a review of the accounting records kept by ihe charity and a Comparison of the
accounts presented with those records. li also includes ¢onsid¢ration of any unusual items or disclosures in the
a¢¢ounts, and s¢¢king explanations from you as directors concerning any such matters. Th¢ procedur¢s
undertaken do not provide &ll the evidence that would be required in an audit and consequently no opinioll is
given as lo whether the accounts present a'true and fair view, and the report is limited kn thos¢ matters Set out
in the stateinent below.
Independent examiner's 5tatemenl
In connection with my examination, iio matter has come to my attention:
(i) which giv¢s me reasonable Cause Éo believe that in any material r¢s￿¢t the requiremenis..
lo keep proper accounting records in accordance with Section 130 of the Charities Act 2011- and
to prepare &ccounts which accord with the accounting records, comply with the accounting
requirements of the Charities (Accounts and Reports) regulations 2008.
have not been met. or
(ii)to which, iii my opinion, attention should drawn in order to enable a proper undejstanding of the
accounts to be r￿hed.
Phlllp Gambrill
Chartered Certified Accountant
Independent examiner
PG Lemon LLP
134 Fligh Street
Hythe, Kenl
CT215LB
Date: 28 September 2021
Page I

South Kent Mind Lld
ProfAt and loss aceounl
for the yeAr ended 31 March 2021
2021
2020
R￿t￿Cted Unrestrleled
Funds
Funds
Totsl
Total
Note
Income
155.212
153,233
308.445
251,518
Expendlture
Charitable expenditure
Futtd raising expenditure
Management & administration
& charitable operations
{5,442)
(2,545)
(123,814)
(9.589)
(58.931)
{81.800)
(15,031)
(61.476)
{205,614)
(62.792)
(77.462)
(220.923)
Surplus l (deficit) on
Operallng Income
23,411
2,913
26,324
(109.659)
Other int¢r¢sl receivable and
profit on investments
431
431
1,475
Surplus l (defieit) f4)r the year after tAX
23,411
3,344
26,755
{108,184)
TrAn$fers betiveen funds
12
Retsilled surplus l (deficli) for the year
23,411
3,344
26,755
(108,184)
Retained surplus brought forward
11,577
201,027
212,604
320.788
Totsl funds carried fonY4rd
34,988
204,371
239,359
212,604
The notes on pages 5 to 12 forni An intsgral part of thue financlal statements.
P4ge 2

South Kent Mind Ltd
Balance sheet
as at 31 Mareh 2021
2021
2020
Notes
Fixed assets
Tangible dsseLq
Current a&sets
Debiors
Cash at bank a￿d in hand
262.166
259.926
9.949
162,051
17,745
128.273
I72,￿0
146.018
Creditors: amuunts falllng
due within one year
(20,994)
(19.527}
Net eurrent H55ets
151.rM)6
126.491
Total assets less current
liabilities
413,172
386.417
Net a55ets
413,172
386.417
Capital and reserve5
Funds and R&serve
413,172
386,417
TotAI reserves
413.172
386,417
The tnjstees, sratements required by Sections 475(2) and {31 are shown on the following page which forms
part of this Balan¢¢ Sheet.
The Dot45 on pages 5 to 12 forni an integra] part of th&se flnancial sthtements.
Pmge 3

South Kent Mlnd Ltd
Balance sheet (continued)
Directors, sta¢ements required by Sections 47512) and (3)
ror the year ended 31 March 2021
Foi. Ihe Ye￿ ended 31 M4wch 2021 the company was entiiled kn cxemp(ion from 2udil under section 477 of ihe
Companieb Act 2006 rclating to.small companie%.
Trusrees, r&8ponsibiliti&8'.
• The members have not requircd the company io obtain an audit of irs accounts for the year in qu¢suon in
accordance with section 476- and
. Th¢ tsustees acknowledge (h¢ii re.4por]5ibilitses for complying with the requirements of the Act with respect
to accouniing records and the preparation of accounts.
These accounts have b¢¢n prepared in accordanc¢ with Accounting and Reporiing by Charities- Stat¢men( of
RccotnTncnd¢d Pracuce appli¢able 10 Ch￿ItieS preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland IFRS 102) (effective l January 20161
(CharKties SORP IFRS 102), the Financial Reporting Standard applicable in the UK and Republic ot. Ireland
(FRS IQ21 and the Companies Act 2006.
These accounts We￿ approved by the Inistces, and are Signed on Iheir behalf by..
Trustee
Trustee
Reglstratlon number 04276323
CEkTrLiofvI
The on pages S to 12 forni an integral part of these financial statements.
Page 4

South Kent Mind Ltd
Notes to the finAntlttl ststements
for the year ended 31 MAr¢h 2V21
Aceountlng polici&s
1.1. Bgsls of preparation
The financial sthtrm¢nis have been prcpared in accordancc with Accouniing and Reporting by Charitics..
Statement of Recommcnded Praciice dpplicable to charities preparing their &ccounts in accordance with
the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 102 Secuon l A)
((Ch&rities SORP IFRS 102)) , the Chariiic5 Act 2011 and the Companies Act 2(K)6.
South Kent MtND m¢¢ts (he definitiOD of a public benefit cntiry under FRS 102. A55ets and liabilitics a
initially recognised at hi4torieal cosi or transaction value unless othcrwi5e Sta￿d in the rclevant accounting
policy note.
12. Income recognltlon policies
ILems of 1￿coMe are recognised included in the accounrs when all of the following crileLia are tneL'.
- the chajity has entitlemeni to the funds:
any perforniance conditions aiiached 10 the itcms of income have been mei or are fully within the
control of the charity;
- there is sufFicierti eertainty that receipt of the income is considered pmbable. and
- Ihe amoun[ can be measur¢d reliably.
Inter&%[ on ￿ndS held on dcposit is included when rc£civable and the amoun¢ can be measurcd reliably
by the charity: Ihis As nornially upon noiiflcaiion of th¢ interest paid or payable by the bank.
IJ. Fund ace(bundng
unr¢S￿l¢trd ￿ndS are availabl¢ to spend on (iLtiviries that ￿rther any of the purEM)ses of chariry. Restricted
funds arc grants and donations which the donor has specifi¢d are io be solely used for particular areas of the
charitys Work or for specific projects being undertaken by the charity.
IA. Expendlture
Expenditure is recognised there is a legal or constnjctive obligation io make a payment 10 2 third party,
it 1,% pr()bable Ihat settlement will k required and the atnount of the obligation can be measured reliably.
Expenditur¢ is classified undcr ihe following aciiviry headin¥s'.
¢haritable expenditur¢
fund raising expenditure
- management & administration c()sis and charitable op¢ralions.
Page 5

South Kent Mind Ltd
Notes to the financial statements
for the year tnded 31 March 2021
ontiTrued
AS. Tanglble flxed assets and depreclation
Individual fixed assers costing £ IIX> or mf)rc are capTtalised at cosi and are deprcciared over their useful
ccollornic lives Lg follows..
Land and buildings
Furnishings
Centre equipment
Not depreciated
15% reducing balance
15% reducing balan¢e
15% redu¢ing balance
Tmprove-
ments
5% siraighi line
The trustees do not consider it necessary to depreciate freehold land and buildings.
The leasehold property was revalued at 31 March 2015.
I￿. Debtors
Trade dnd other debiors 2re recognised at the settlemcnt amouni due aftcr any trdde discount offered.
Prepayments are valued ai th¢ amount prepaid after taking accoun( of any trade disu)unts d￿.
1.7. Creditors and provisions
Creditors and provisions are recogni$ed where ihe charity has a present obligation resulting from a past
event tha( will probably result in the transfcr of funds to a third paxiy the amount due 10 seiLte the
obligation can be measured or e&iitnated reliably. Creditors and provislolls 4]re normally recognised at their
eiil¢Tn¢nt amount afier allowing for aiiy trade dibLounts due.
1.8. Penslons
The pension costs charged in the financial siaiemwts represeni Ihe contribution payable by th¢
company during the year.
The regular ¢osr of providing reiirement pension.% and related bencftts is charged to the profit and loss
account over the employees, ￿rViCe lives on the ba515 of a constanf percentage of earnings.
Page 6

South Kent Mind Ltd
Nntes to the financial statements
for the year ended 31 March 2021
. iununued
Analysis of incolne
Charitable Income
Restrlded Unrestricted
2021
2020
Cbaritable grdnts and donations
Porchlight- Live Well conirdct
Centre income
Shop inrome
Abercombie cafe income
Fundrdising ev¢nts and other income
Gift aid income
Membership.subscriptions
48.732
106,2(Ml
49.808
98,540
106,2(X)
3,857
26,248
34.160
107.8QO
3,064
82.955
3,073
9,110
7.277
3,857
26.248
4,056
4,1156
25
154.Y.32
83.994
238,Y26
247,473
Other income
RÉstrlded Unrestrlcted
2021
2020
Property income
Other rental inLume
Other income
280
3.075
66.164
3.355
66.164
4.04.5
28
69.239
69.519
Inves¢meni blcome
Restrlcted Unrestricied
2021
2020
Bank intrrest received
431
431
1,475
431
431
,475
Page 7

South Kent Mind Ltd
Notes to the flnancial statements
for the yegr ended 31 March 2021
. continued
Analysls of expenditure
Charitable expendlture
Re8trlrt¢d Unrutricted 2021
2020
Lighi and heat
Repairs and maintcnance (inc. property Tnanagementl
Travelling and sllbgisience
Centre aciivities dnd counselling
Communiiy activities & groups
Subconiraci labour
VolunteerltTust¢¢ expense5
Cleaning maierials and consutnables
National MtND affiliation fee
210
46
2,484
2.123
2.694
2,169
5,149
6.260
2,493
2.651
1,932
39,2711
2,873
1.469
687
1.095
(165)
860
4.161
?.988
675
797
687
7.149
675
797
687
5.44?
9.589
15,031
62,792
Fund raising expenditure
Restrfcted Unresttlded 2021
2020
Shop salaries (in¢l. erfs Nll
Shop expenses
Shop and siorage garage rcni payable
Abercrombie expenses
Fund raising expenses
39,325
8,828
9,913
[86
679
39,325
X.X28
12.413
186
724
43,504
8,298
16.8CK
7.738
1.122
2,500
45
2.545
58.Y31
61.476
77,462
Management and Administration costs
and eharltable operations
Salalle.8 lincl. ¢r'5 Nl)
Stalf money purLhase pension ¢osts
Staff supervision. training & recnJitmen(
Ra￿%
Insurance (persunnel and bulldings)
Printing, postage and siaiionery
Pmmntion
Telephone
Wcbsitc and computer ¢osis
Project planning
Consultancy fees
Accouncancy
Restrlcted Unrestiicted 2021
2020
119,424
56.036
3,110
3,241
539
3.711
1.23?
175.460
3,110
3,336
539
3.841
,232
183,946
2.911
4,293
931
3.021
3.779
1,640
2.020
6,122
5?6
2.083
4,272
95
130
312
3.853
3.296
?.2fA)
3.608
6.053
48
4,27?
48
4,?72
Page 8

South Kent Mind Ltd
Notrs to the flnancial ststtments
for the year ended 31 March 2021
. continued
Bank chargés
Generat expeTL%e.
Depreciation un furnishing
Depr¢¢iation on FF & equipment
Depreciation on shop equipment
Depreciation on improvements
845
326
516
1.596
209
60.1
1,392
1,603
631
940
210
603
326
536
1,596
209
603
123.1114
111.¥00 205,614
220,923
Pension costs
The company operates a d¢fin¢d contribution pension s¢heme. the scheme and its asseis are held by
independent managcr5. The pension charge represents ¢on(ribuiions duc frotn the company and
amount to £3.110 (2019.. £2.911).
Land and
buildings
rreehold
Tanglble flxed assets
Furnl.
shings
Centre
Shop
eqllipment equipnient
Improve•
ments
Total
CosUrev4luatlon
At l April 2020
Addiiion.s
245,(
14,380
23.620
4,984
5,865
200
112,474
401,339
5.184
At 31 March 2021
245,0
14.380
28,604
6,065
112,474
406.523
Depreciatlon
At l April 2020
Charge for the year
10,8(
536
17.965
1,596
4,673
209
107,969
603
141.413
2.944
At 31 March 2021
11,342
19.561
4,882
108,572
144,357
Net book values
At 31 Ma￿h 2021
245.OIH)
3.038
9,043
1,183
3,902
262.166
Ai 31 March 2020
24.S.OIM)
3.574
5,655
1,192
4.505
259,926
Page 9

South Kent Mind Ltd
Notes ¢0 the flnancig41 statements
for the year ended 31 Mareh 2021
. ￿ntinUed
Debtor5
2021
2020
Trade deb¢or5
Chher debtors- approved grants
Prepayments. and accrued income
8.810
11,986
5.759
1.139
9.949
17.745
Creditors: amounts falllng due
Ivlthln one year
2021
2020
Trade creditors
Other iaxes and wial security costs
Other creditors
AccNa15 and defe￿d income
794
2.209
14,871
3,120
9,054
2,863
4,490
3.120
20,994
19,527
Corporation taxation
The chartty is ¢xcmpt from tax on income and gains fa]ling within section 505 of the Taxes Act 1988
or scclion 252 of the Taxation of Chatgeable Gains Acc 1992 ¢0 ihe extent these are applied to ils
h￿itable objectives.
P4ge 10

South Kent Mlnd Ltd
Notes to the flnaneial statements
for the year ended 31 March 2021
. continued
Unro5tricted
Revaluation Restricted Funds Re UnrestrlLted
Reserve
Funds Fixed Assets Funds
Reserve5
Total
At l Aprll 2020
173,813
11.577
23.411
83,000
(5,184)
118,027
8.528
386,417
26.755
Movement oll reserves
At 31 March 2021
173.813
34.9R8
77.816
126.555
413.172
The to￿1 fund5 caLTied fon¥ard on the sthtemeni of financial activiues exclude the
revajuation reservc. The decrease in the chariiy's reserves was part of the Boanl's
strategy to invebl. in a manag¢m¢nt struLture and operaling environmeni, io allow il to
meet compliance, service user and funder r¢quirements in lh¢ long term.
io.
Company limited by guarantee
The legal staws of (he charity is a company limiied by guarantee and has no share capiial.
Page 11

South Kent MIDd Ltd
Note8 to the fln*ncial statements
for the year ended 31 Mareh 2021
. ¢ontinued
11. Rthicted Funds
At
At
l Aprll IncoTning
Outgoing 31 March
2020
resourees TrAnsfers r&%ources
2021
Mitid ￿ Grant
5,Tr)0
(4,157)
R Cwickshaok Foundation Grant
(Various Expenditure)
18
18
Porchlight
ILive Well contract)
1,666
106.480
(86.892)
21,254
Porchlight Innovation Fund
(BME projec¢}
2.768
(1,678)
1.090
KCC Communiry Grant
1,567
(380)
1,187
Kent SFrt)rt
475
(259)
216
Resilience Granr
15,000
(13.077)
1,923
Porchlight Innovation Fund
(Young person)
3,446
(1,107)
2,339
Porchlight Innovation Fund
(DDJmming)
1,179
1.179
Ifc Emergency Funds
26,690
(24.251)
2.439
KCF (Empliryment PToject)
2.51K)
2.5(M)
11,577
155,212
{131,801)
34,988
Page 12

South Kent Mind l.td
Detalled tr&dlng proflt and 1055 a￿)ll￿t
and expen5e5 schedule
for the year ended 31 Mareh 2021
Unrestrieted income
Ch￿[￿ble gr4llLS and donattons
Property income
Other rental income
Centre income
Shup in¢on
Cafe income
Fundraising evenr5 and other income
Gift aid
Membership subscriptions
Other income
49,808
19,533
3,075
3,857
26,248
4,045
3,064
82,955
3.073
9,110
7,277
34
4,056
25
66,l64
153,233
129.091
Unrestiieted expenses
150,320
216,542
1150,320)
(216.5421
Opernting sUrplu￿(de[Idt)
2,913
(87,451)
Other Income and expewes
Bank de￿sIt interest
431
1.475
431
1,475
Net Surplus for the year
3.344
(85,976)

South Kent Mind Ltd
Unrestricted expendltu
for the year ended 31 Mgrch 2021
2021
2020
Unrestricted expetLses
Subcontracr labour
Salaries {incl. er's Nl)
Siaff money purch&ge pension costs
Shop salaries lincl. er's ND
Staff supcrvision, training & ￿¢[ull￿ellt
Abcrcrombie expenses
Abercrombie Set up expens¢s
Shop expenses
Shop and storage garage reni payabl¢
Raies
Insurance (personnel and buildings)
Lighi and heat
Repairs and maintenance (inc. properly management)
Printing, postag¢ and Sthiionery
Telephone
Websiie 2nd cotnputer cosis
Fund raising exp¢nses
Travelling and Subsistence
Cenire actlvities and c(Trunselling
Legal and prufessiondl fees
Volunleerltrus(ee expenses
Cleaning materials 4nd con.sumables
AccountallLy
Bank chargcs
Gencral expenscs
NaLional MtND affiliation fee
Depreciation on furnishing
Deprcciation on FF & equipment
DepreLiauon on shop equipmeni
Depreciation on itnprovements
2,988
56,036
3,110
39,325
3.241
186
2.609
90.775
2,911
43.504
2,313
3,645
4,093
8.?98
16,8(Kl
931
2,904
3,632
6.260
2.394
1.025
5,942
1.122
1,991
795
83
2.873
1.409
4,272
1,392
1,498
687
631
940
210
603
8.828
9.913
539
3,711
2,484
2,123
1.232
-3.296
2,200
679
(165)
48
675
797
4,272
326
687
536
1,596
209
603
150,32Q
216,542