OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-03-31-accounts

Registered Charity No. 1089632

Annual Report and Accounts 2021 — 2022

0

Tilehouse Counselling, Registered Charity No: 1089632

Contact details The Coach House Rear of 84 Tilehouse Street Hitchin Herts SG5 2DY

counselling@tilehouse.org www.tilehouse.org Tel: 01462 440244

Bankers

CAFCASH Ltd. Kings Hill, West Malling Kent ME19 4TA

Management Committee

Richard Hull BA Hons PGDip Christine Skeen (Treasurer) Dr Clare Grimshall Roisin Mooney Dr Leon Van Huyssteen Consultant Psychiatrist – resigned 01.03.2022 Peter Roberts

Independent Examiner – Martyn Smith The Mobile Accountant

1

Annual Report: Overview from the Chair of Trustees

Firstly, and most importantly, the trustees and I want to thank the hard work and invaluable contributions to the charity of the director of the service, Sue Barnes, and Kim Kirby, Maggie Kelly, Pamela Firth, and all our outstanding counsellors.

Given the extreme disruption and innumerable problems caused by COVID-19, things have continued to be hard but everyone rose to the challenge magnificently.

I was extremely proud that Tilehouse was able to continue offering its much-needed service (now more than ever!) throughout the pandemic. Thank you, everyone.

I was also extremely grateful to the efforts of the trustees this year, particularly Peter Roberts who has provided his vital expertise to the clinical governance committee. And as always, we continue to be eternally grateful for the input of our consultant fundraiser, Catherine Farrell.

I am delighted that the team was able to continue developing our new full fee-paying counselling service, which is essential, as long-term it will be required to further subsidise our charitable work.

The charity is also tremendously grateful for the support that we have received from funders, local businesses, patrons, benefactors, and anyone else who has been able to provide any kind of donation, large or small. We would not be able to offer our mental health services without you.

Richard Hull Chair of Trustees

2

TILEHOUSE COUNSELLING

Tilehouse Counselling is a charity that provides professional, affordable counselling for adults and young people (aged 13 to 18) in Hitchin, North Hertfordshire and surrounding areas. All the counselling is provided by professionally trained counsellors with many years’ experience.

Where we are

We are based in the centre of Hitchin within walking distance of the train station and bus stops. Our counselling rooms are pleasant, comfortable, and insulated from outside noise.

Seeking counselling

Over the past year adults and young people come to counselling for many different reasons including:

Most people contact us initially by ‘phone, but we also get email enquiries and enquiries through a link from our website.

What we provide

Confidentiality

Counselling is confidential. The only circumstances in which a counsellor would speak with somebody else is if they have good reason to believe a client or person is at serious risk. This is to engage extra support for the person in counselling and is done with their full knowledge.

3

Who pays for the counselling?

Counselling is free for young people (13 to 18) with no income and an affordable contribution to the cost of counselling is asked of our adult clients—this is agreed with the counsellor during the first session.

Tilehouse Counselling is a charity and the majority of our funding has to be raised. We do this by applying for grants and seeking the support of individuals and organisations.

How our clients hear about us

Most adults and young people approaching Tilehouse Counselling have heard about us through their GP, health visitor, school, Community Mental Health Team, hospital or through word of mouth and our website. Others are signposted to us via Single Point of Access, Stevenage Wellbeing Team and CAMHS.

There is a noticeable increase in awareness of our service through the internet, and our website. In addition, many other local organisations in the voluntary sector pass on information about us and signpost adults and young people to our service.

Counselling contracts offered.

We saw clients for an initial two to four session assessment period after which we offered up to a year of further counselling. However, in some circumstances counselling was extended beyond the maximum contract period when there was a need. Shorter term work (four or twelve session contracts) enabled clients to do a more focused piece of work, knowing they could return to the centre if they wished to in the future.

The issues our clients brought to the Centre

Adults came to the Centre with a variety of issues, recurring themes being anxiety and depression, violence in relationships, and abuse/neglect in childhood and beyond. Young people had issues around drug and alcohol abuse, self-harm, poor school attendance, academic and exam pressure, bullying and isolation, gender identity, sexual risk taking and getting into trouble at school and/or with the Police. Typically, our clients reported low self- esteem and a lack of confidence, making it difficult to lead fulfilling lives or to function satisfactorily on a daily basis.

This year our clients are still experiencing additional difficulties as a direct result of the pandemic. Adults were presenting with extreme anxiety, stress, redundancies, financial difficulties and parenting issues. Young clients were reporting anxieties around home schooling, fears of school attendance, exam pressure, eating disorders and substance abuse.

4

Client contributions to the cost of our service

Counselling for young people is free. For our charitable core counselling adult service, we ask our clients to make an affordable contribution towards their weekly counselling sessions between £20.00 and £55.00.

Fees are negotiated in the first counselling session and reviewed at the four session assessment. If a client’s circumstances change during the counselling then we do re-negotiate so that the client is able to continue with the work

5

Tilehouse Counselling

Trustees’ Report for the year ended 31st March 2022

Review of the financial and salient features of the

accounts

The charity's overall financial position was satisfactory over the year. At 31st March 2022, it held a total unrestricted fund balance of £200,633 detailed in note 10 of the accounts.

The trustees confirm that there have been no material events affecting the charity's finances between the balance sheet date and the signing of these accounts, and that the charity's funds are adequate to meet ongoing obligations.

Reserves

The trustees aim to hold unrestricted income funds in reserve to enable the organisation to continue operating when there are delays in grant aid decisions or payments. This is particularly important in relation to our commitment to counselling clients where it would be damaging and unethical to bring ongoing work to a premature conclusion. In the current funding climate, the Trustees attempt to hold in reserve 6 months operating funds, and will review these levels in the light of operating conditions.

Intangible income and gifts in kind.

Tilehouse Counselling has received various donations from supporters this year, for which we thank them.

Trustees responsibilities

The Charities Act 1993 and the Companies Act 2006 require the Trustees to prepare statements for each financial year, which give a true and fair view of of the state of affairs of the Charity at the end of the financial year-end of incoming resources and application of resources in the year. In preparing those financial statements, the trustees are required to;

Independent Examiner

Martyn Smith has expressed his willingness to act as the charity's independent examiner.

Approved by the Management Committee on 04th August 2022 and signed on their behalf by

Richard Hull Chair of the Management Committee

Page 2

TILEHOUSE COUNSELLING

STATEMENT OF FINANCIAL ACTIVITIES

(Incorporating an income and expenditure account)

FOR THE YEAR ENDED 31 MARCH 2022

2022 2021
Restricted Unrestricted Total Total
Income and Expenditure
Notes £ £ £ £
Income Resources
Grants 2 203,013 203,013 272,611
Furlough Scheme - 18,096
Fundraising Other Sources 12,508 12,508 29,140
Bank Interest 2 2 5
Rent 504 504 36
Service income - Donations 73,860 73,860 83,365
Service income - Fees 53,590 53,590 14,315
Total Incoming Resources 203,013 140,464 343,477 417,568
Resources Expended
Direct Charitable Expenditure
Counselling Project 287,535 287,535 304,654
287,535 - 287,535 304,654
Other Expenditure
Fundraising & Publicity 33,803 33,803 39,671
Charity Management & Admin 66,609 66,609 67,903
Total Resources Expended 3 387,948 - 387,948 412,228
Net Incoming/(Outgoing)
Resources for the Year (184,935) 140,464 (44,471) 5,339
Transfers Between Funds 184,935 (184,935) -
Net Movement of Funds (44,471) (44,471) 5,339
Funds at 1 April 2021 - 245,104 245,104
Funds at 31 March 2022 - 200,633 200,633

Page 3

TILEHOUSE COUNSELLING

BALANCE SHEET

AS AT 31 MARCH 2022

----- Start of picture text -----
2022 2021
Notes £ £ £
Tangible Fixed Assets 7 0 0
Current Assets
Debtors and Prepayments 8 435 3,108
Cash at Bank & in Hand 246,608 290,298
247,043 293,406
Current Liabilities
Creditors and Accruals 9 46,411 48,302
Current Assets Less Current Liabilities 200,633 245,104
Net Assets 200,633 245,104
Funds
Unrestricted Funds
General 10 200,633 245,104
200,633 245,104
Restricted Funds 11 0 0
Total Funds 12 200,633 245,104
----- End of picture text -----

Audit exemption

For the year ended 31 March 2022, the company is entitled to an exemption from having its accounts audited in accordance with the Companies Act 2006, section 477, relating to small companies.

The director acknowledges her responsibilities for:

i) ensuring that the company keeps proper accounting records which comply with the requirements of the Companies Act 2006 with respect to the accounting records and the preparation of the accounts

ii) the members have not required the company to obtain an audit of its accounts for the year in question in accordance with section 476 of the Companies Act 2006

These accounts have been prepared in accordance with the provisions applicable to companies subject to the small company regime.

Christine Skeen Treasurer

Page 4

TILEHOUSE COUNSELLING

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 MARCH 2022

1. Accounting Policies

Page 5

2. Grants Receivable

2. Grants Receivable
All the grants listed are restricted income
Herts C C Community Wellbeing
National Lottery
Herts C C Community Foundation
Herts C C Locality Budget
Garfield Weston
Letchworth Heritage Foundation
Hitchin Youth Trust
Jarvis
Children in Need
Valiant Charitable Trust
Robert McAlpine
Mercers
Mrs Smith & Mount Trust
SB and LS Foundation
Amateurs Trust
Total Grants
2022
£
27,202
54,648
1,010
1,000
15,000
6,952
12,060
2,000
39,424
5,000
11,667
3,300
3,750
5,000
15,000
203,013

TILEHOUSE COUNSELLING

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 MARCH 2022

5. Staff Costs and Numbers

5. Staff Costs and Numbers
Salaries
Social Security Costs (Employer's NI)
Total Emoluments paid to Staff
The average number of staff employed during the year was:
Director (full time)
Counsellors
Admin & finance co-ordinator (part time)
Cleaner (part time)
Counselling supervisor (part time)
2022
2021
£
£
272,108
290,217
16,079
17,951
288,187
308,168
2022
2021
1
1
13
13
1
1
1
1
1
1
17
17

6. Trustees' Remuneration and Expenses

The trustees received no remuneration

No amounts were spent on Trustee training . No expenses were reimbursed to Trustees.

7. Tangible Fixed Assets

Cost
As at 1 April 2021
Additions in year
Disposals in Year
As at 31 March 2022
Depreciation
As at 1 April 2021
Charge for year
Release on Disposals
As at 31 March 2022
Net Book Value
At 31 March 2022
Office
Equipment
£
17,137
0
-
17,137
17,137
0
-
17,137
0
Total
£
17,137
0
-
17,137
17,137
0
-
17,137
0

Page 7

TILEHOUSE COUNSELLING

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED 31 MARCH 2022

----- Start of picture text -----
8. Debtors and Prepayments 2022 2021
£ £
Accued income 435 3,108
Debtors and Prepayments
435 3,108
9. Creditors and Accurals: Amounts Falling Due Within One Year 2022 2021
£ £
Deferred income 40,014 38,934
Creditors and Accruals 6,397 9,368
46,411 48,302
At Transfers to At
31 March Incoming Resources Restricted 31 March
10. Unrestricted Funds 2021 Resources Expended Funds 2022
£ £ £ £ £
General Funds 245,104 140,464 (184,935) 200,633
Total Unrestricted Funds 245,104 140,464 - (184,935) 200,633
Transfers
At from At
31 March Incoming Resources Unrestricted 31 March
11. Restricted Funds 2021 Resources Expended Funds 2022
£ £ £ £ £
Grants Received 0 203,013 387,948 184,935 -
Total Restricted Funds - 203,013 387,948 184,935 -
----- End of picture text -----

Page 8

ort of Tlhho th• Inde nd•nt ¥e Counsellln mln•r to the Truste•s xamined the aecwTrts the ststement pages lo h been prepared t41 lh• basts of th• cwnling polL$ selojl page Ilve examln•r of ctyJnts.. thty t￿9￿1•r fvl the wjrt requTh￿ ￿J¢r 43121 d0•5 not appty I havo been seC1h￿ 43 olthe Chan1￿ Act 1993 and reF#Xt In ￿¥danc• Ih thè regulaboTr rn￿e sXth￿ 44 ofthal Act 11 VJ my nsibilty to examire the a¢crMJnt5 Fwfryrmg an 8￿J( Io to Trujteu. sl¥ of the Examln•rfs stat•m¢nt This re￿rt Is In respect ol an exaMNI￿n eArt Lffthr Sect￿1 43 of the Chantss Aci 1993 and In %cordarK• wth (t¥eclKms gNen by the under S•cbon 4317llbl. An examiThalhM Includes a revth olih• tteount rectytjs kept ty the chartyTwslees of the counts wwnled vmh I￿4￿ rectyls. It atso irthjts a revv ol the aeeounls and makir¥J ewuns a are rwswi Examln•r• $t4tern•n Based on my examinatrJn. Tr) m•ltsrhg1 ry attM¢ have fiot teen kept wth 41 oflthe Chanbe5 1993, or that th• ￿OUnts pwenled do not those rec￿16 or compty wlh th• xtounbng wuirements of the Chanbes kt 1993 No mattw ha$ comè to my atten￿ my •xninatyon to in rny opnbw. attenkn stthAd be th•n a WOF undeTStanding of the at￿nIs. In the ofthe xc4Jnts th? finanr#d yr quesbon are In 4reemwtwith r￿d5 kept by thè comp• under Seclbjn 221. aTrJ regard io, aTrJ w the basts of. the ihe infom7atK￿ contained In those r￿￿$, tho¥e ￿(￿nts ha¥e tn dr&vn up in a rrwinw ¢on$iNtenlwth the of Ihts N£t 1Fecrf￿d in sut•eciw161, so l¥as aWK*le tothe compwy. In the qjinth of the repybry xcountanL havry regard onty to. and on Ihe basis ol, the inforniatth conlained in the acctyjnts.ng kept by ¢￿panY undef S￿tr)n 249A(S lor the financiaT yeaf in que51KJn, 3ThJ dhl not wthin sec￿ 249BI11 lal to IQ atany knt•thin ￿. MartynASmthAFA