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2021-03-31-accounts

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Company No: 4258543

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SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED

COUNCIL OF MANAGEMENT AND TRUSTEES REPORT AND ACCOUNTS , For the year ended 31st March 2021

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[ CHARITY COMMISSION
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Company No: 4258543

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SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED

"ANNU AL-REPORT AND ACCOUNTS For the year ended 31st March 2021~OO

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Contents
Page
Information on trustees and Professional 1
Advisers
Report ofthe Board of Directors 3
Independent Examiners Report 14
Statement of Financial Activities 12
BalanceSheet 13
Cash Flows Statements 14
Notes/ScheduletotheAccounts 15to20

Company No: 4258543

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SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Information on Trustees and Professional Advisers —__For the year ended 31st March 2021 oo ae Reference and Administrative Details of the Charity, its Trustees and[Advisers———___]

Sandwell Asian Family Support Service (also known as SAFS) is a registered charity (1989) and Company Limited by Guarantee (2001). The company registration number is 4258543 and the registered charity number is 1098917. The liability of each individual member serving the committee is limited.

The registered office and operating address is:

Sandwell Asian Family Support Service Limited (SAFS) Windmill Community Centre Messenger Road Smethwick West Midlands B66 3DX

The members of the Management Board, who are the charity trustees, that served during the period and up to the date of this report were:

Honorary Officer/s:

Chairperson: Jatinder Kaur ) Vice Chairperson: Sanjiv Verma ) Treasurer: Raksha Patel Company Secretary: P K Dhatt ) Other Board Members: D Rai B Kaur R K Sumal D Sandhu

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Principal Staff:

Chief Executive: Parpinder Kaur Dhatt

Finance & Performance Manager: Kate Whiteside

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Company No: 4258543

SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Information on Trustees and Professional Advisers For the year ended 31st March 2021

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we Accountants/Independent Messrs. Hallbrookes (Accountancy)Ltd. Examiners 1 Dibble Road Smethwick West Midlands B67 7PP 4 Bankers: Barclays Bank Pic Soho Road Branch 351-359 Soho Road Birmingham B21 9SE Scottish Widows Bank PLC PO Box12757 67 Morrison Street Edinburgh EH3 8YJ Solicitors: Irwin Mitchell Riverside East House 2 Millsands Sheffield $3 8DT

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Company No: 4258543

SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Report of the Board of Directors For the year ended 31st March 2021

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Structure, Governancenee and Management———————

The charity is constituted as a Charitable Company Limited by Guarantee. It is governed by the regulations set out in its Memorandum and Articles of Association and is managed and governed by voluntary Board of Directors/Trustees.

New Board Members are elected annually at the Annual General Meeting (AGM). The AGM is held in December. Board members are elected for a period of one year.

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The Chairperson leads the Board of Directors and ensures that they understand their responsibilities as charity Trustees. The Chairperson is supported by a Vice Chairperson and a Treasurer.

The Board of Directors meets up 6 times a year to review the strategic work plan, organisational objectives, and financial position and to approve organisational policy and procedures. The Board of Directors also organise sub-groups, task and finish groups as and when the need arises for the organisation.

The Trustees of the charity consider that the board and the senior management team comprise the key management personnel of the charity in charge of directing, controlling, running and operating the charity on a day-to-day basis.

The day-to-day work of the charity is managed by the Chief Executive Officer, 1 Finance and Performance Manager, 1 Care Manager, 1 General Building Management, 44 workers (part time and full time) and supported by 1 volunteer.

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The pay of all staff is renewed annually and increased in accordance with average earnings where appropriate. In view of the nature of the charity, the directors/trustees benchmark against pay levels in other similar run charities with similar roles and responsibilities.

All trustees give of their time freely and no director received remuneration in the year.

All new trustees are provided with the “role of Trustees” booklet published by the Charities Commission and are made aware of their roles and responsibilities with their new assignment.

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The Management Board is aware of the potential risks to the charity, including financial risks and has implemented strategies to control or minimise these risks. Assessments have been undertaken of the major risks, including funding, personal, health and safety, operation risks, governance and compliance with law and regulations.

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Company No: 4258543

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SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Report of the Board of Directors For the year ended 31st March 2021

————————Qbjectives and_Activities for the Public Benefit The objects for which the Company is established are in particular but not~ exclusively, within the Metropolitan Borough of Sandwell and its surrounding areas.

The relief of individuals of South Asian Origin and descent, not exclusively to those who havea disability and/or long-term condition by the provision of services and support to the said individual.

SAFS mission is to enhance the quality of life and to improve the health and wellbeing of individuals from the South Asian and other communities, who have a disability, by providing quality care and opportunities.

SAFS strives to provide a professional service to all its individuals/service users and is committed to continuous development and improvement.

During the year 1st April 2020 - 31st March 2021, the charity provided the following Services:

Adults Care and Support Service/s

The domiciliary care and lifestyles service is home care, community-based care and a centre-based drop in service to aduits that have a physical and/or learning disability and limiting/life threatening illness. These services are provided 7 days a week and focus on both indoor and outdoor activities. For our Adults services SAFS can accept Personal Budget and Direct Payments and all services are based on achieving personal outcomes for individuals in accordance with individual support plans and Individual progress plans. The CEO is the responsible individual and registered Manager with CQC (Care Quality Commission). SAFS is also monitored by the Sandwell MBC and Birmingham City Council Adults Department who receive regular monitoring information.

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SAFS also offer where appropriate, advice, guidance, and emotional support for both the individual and their parents or carers. The care, support and wellbeing services are managed by the Care Manager.

Children’s Care and Support Service/s

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The domiciliary/personal care at home service and a personal assistant (PA) support service is provided for children aged between 0-18 years of age that have a physical and/or learning disability and life threatening/life limiting conditions. The service is provided to family’s resident in Sandwell and Birmingham. A team of trained and experienced care staff undertake specialist personal care to children with complex health needs. SAFS also offer where necessary advice, guidance, and emotional support for the parent/carer and the family. The Service is managed on a day-to-day basis by the Care Manager. The CEO is the registered Manager as well as the responsible individual with CQC (Care Quality Commission).

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Company No: 4258543

SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Report of the Board of Directors For the year ended 31st March 2021 -_———————Early Help intervention.& Preyention and Family Support The Early Help Intervention and Prevention and some emotional/Family Support service provides support to families who have a child or young person with disability, life limiting or life-threatening conditions. This service is part of early help offer by SMBC which offers; advice, guidance and provides translation and interpretation support and offers emotional support and a parenting support programme where necessary. This service underpins all the services we provide at SAFS and is an integral part of the work we do. There is currently no funding for this service. It is provided on an adhoc basis as and when families request it. It is overseen and provided by the Care Manger and the services team.

Carers Support Service - siqnposting and navigation service to BAME carers A signposting and navigation service for carers, supports carers from the Black, Asian and Minority Ethnic (BAME) community by way of advice, guidance, various workshops and support sessions on emotional health and wellbeing. The focus of this project is early intervention and prevention for carers and to work collaboratively with any professional individuals to sign post the carers to the services if necessary. A support group for parents and carers provides regular support. During the pandemic, weekly weifare calls were made and doorstep visits where needed — on government lockdown and local restrictions lifted and each time government guidance was forthcoming, and the vaccine take up — all this information was shared daily weekly and it is still continued to be shared with all our families and parents and carers.

SAFS @ Windmill Community Centre.

SAFS has managed the windmill community centre since April 2016. We have a couple of anchor tenants a nursery, a boxing academy, and a community gym. We also have a SMBC run youth club and we also have a number of user groups who hire the rooms on a regular basis where various activities are provided by way of sports, self-defense, wellbeing services. We have one off private bookings throughout the year by way of birthday parties, christenings, naming ceremonies and pre-wedding parties. We have several faith groups who use the centre as their ‘place of worship’ and this creates another dimension to the use of the centre as its created a ‘spiritual and calm and safe’ space for the diverse communities near and afar. The statutory and corporate sector have also hired out space for meetings, training and seminars.

The enclosed courtyard now houses an accessible sensory garden/space for the children, adults with disabilities, their families, the centre tenants, regular user groups and hirers.

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Company No: 4258543

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‘SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Report of the Board of Directors For the year ended 31st March 2021 _—s~=é‘iRANlevees and Performance-(April-2020-—March 2021) During this year SAFS has had many successes and achievements namely the

following:

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Company No: 4258543

SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Report of the Board of Directors For the year ended 31st March 2021

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Financial Review

The trustees consider that the performance of the charity for the year ended 31st March 2021 has been good, despite the pandemic.

A summary statement of financial activities for the year is shown on page 12 of the accounts. This shows that during the period total income of £690,196 was received and after expenses the net surplus of £62,345 had been added to the reserves brought forward from previous year.

It is the policy of the trustees to ensure that the highest quality of service provision is available to all beneficiaries.

During the year SAFS continued to receive funding from Sandwell Metropolitan Borough Council (SMBC) and Birmingham City Council (BCC) - Adult Services and

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Company No: 4258543

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SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Report of the Board of Directors For the year ended 31st March 2021

~~ Children Services-Departments-and-direct-payments_from_serviceuser s . This enabled SAFS to further develop and provide existing services for children’s and adults with disabilities. SAFS’ registration with the Care Quality Commission (CQC) and OFSTED enables a high standard of service provision to be delivered. Additional funds were received from SMBC and BCC during the pandemic by way of business support grants and direct care and support continuation funding, workforce capacity fund and infection prevention control funds.

The staff deserves praise for their enthusiasm, commitment and professionalism in providing a service that meets increasing and wide-ranging individual families and individual child/adults needs. Staff are also faced with extra challenges when _ referrals are received from children and adults who have complex needs. This in turn reflects in some care packages requiring extra commitment and monitoring. During the pandemic the staff were exceptional and worked throughout the uncertain and difficult time and all our families were extremely grateful and thankful.

It is the trustees’ view that it is prudent to ensure that there are sufficient free reserves to provide financial flexibility over the course of the six months ahead and to cover unplanned emergencies repairs and other expenditure.

The trustees have forecast the level of free reserves (bank and cash reserves) as being £469,387 (as at 31st March 2021). The running costs for the next six months after April 2021 are approximately £293,000. The full reserve of £469,387 would be , used for the running costs of the organisation, effective management and further enhancement and development of the organisation and to ensure that registration requirements (CQC or Ofsted) with the regulatory government bodies and Local Authority monitoring requirements and service specifications are met.

The trustees have regard to the liquidity requirements of operating the charity and have kept funds in interest bearing deposit account.

Despite the increasing pressure on public expenditure, the charity is expected to generate funds from various funding bodies indefinitely

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Company No: 4258543

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SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Report of the Board of Directors For the year ended 31st March 2021

—————— Plans for future-periods-and-Public- Benefit. future-periods-and-Public- Benefit. Benefit.

—————— Plans for future-periods-and-Public- Benefit. future-periods-and-Public- Benefit. Benefit. = = SAFS’ services both in Sandwell and in neighbouring boroughs continue to be at the | The forthcoming year brings many challenges and opportunities for SAFS. Extended | forefront of our plans. The need to review our services in Sandwell and to expand | our work to new and emerging communities, to secure additional external funding | continues to be an area that needs to be addressed as all contracts have now become tenders and we will now have to compete for these as and when they are | advertised. A review of our strategic objectives is imminent to plan for the future. The current strategic plan is being reviewed annually to ensure additional work undertaken is captured and to address any gap and improvements. The Windmill Community Centre is also included in the strategic plan. However, a separate development plan for the Windmill Community Centre has been produced together with a business strategy and a funding strategy to ensure it is self-funded as is also a going concern. A ‘Branding’ exercise has been carried following the community mapping and feasibility study; and SAFS@Windmill Community Centre is currently being used. ,

All services have been reviewed in line with tenders and income received for the sustainability of the organisation. SAFS has plans to develop its services, possible Out of School services to children and young people in order to respond to the needs of the local community and to include holiday and youth provision. Our communitybased care services, centre based and lifestyle drop into adults with learning or physical disabilities is. continually developing and changing, and we have secured a call off contract with Birmingham City Council for supporting living for adults with disabilities. There is also a growing demand for SAFS domiciliary care services and in particular to provide care for children and young people who have complex health needs. SAFS will continue to develop support and wellbeing services for parents and carers and sustainable funding is required to meet the increasing demands of our Family Support service. SAFS will continue to develop and train existing staff to ensure they comply with CQC, the new care certificate workbook (skills for care), OFSTED regulations and the Early Years framework.

; In planning all activities SAFS has worked to the Charity Commissions guidance on public benefit. Our main activities and our beneficiaries are listed on pages 4, 5, 6 and 7 of this report. All of these charitable activities are undertaken to further our charitable purpose for the public benefit.

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Company No: 4258543

SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Report of the Board of Directors For the year ended 31st March 2021

____Statement.of_Trustees’ Responsibilities _

The trustees (who are also directors of Sandwell Asian Family Support Service Limited for the purposes of company law) are responsible for preparing the Trustees’ Report and the financial statements in accordance with applicable law and United Kingdom Accounting Standards, including Financial Reporting Standard 102 “The Financial Reporting Standard applicable in the UK and Republic of Ireland” (United Kingdom Generally Accepted Accounting Practice).

The trustees are required by law to prepare accounts for each financial year, which give a true and fair view of the financial activities of the charity and its financial position at the end of that year. In preparing these financial statements, the trustees are required to:

The trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of charity and to enable them to ensure that financial statements comply with the Charities Act 2011, the applicable Charities (Accounts and Reports) Regulations. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

Accountants/ Independent Examiners

Messrs. Hallbrookes (Accountancy) Limited are willing to continue in office as Accountants for the ensuing year 2021/2022.

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Approval

_ This report was approved by the trustees on A6-!2- 2021. ana signed on their behalf.

rs Jatinder Kaur Chairperson

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Company No: 4258543

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; SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Independent examiners report to the Trustees of Sandwell Asian Family | Support Service Limited | report to the charitytrustees-on-my-examination-of-the-accounts.ofthe. | Sandwell | Asian Family Support Service Limited for the year ended 31st March 2021, which are | set out on pages 12 to 20. | Responsibilities and basis of report As the charity's 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 been satisfied 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, | report in respect of my examination of your charity’s accounts as carried out under s. 145 of the Charities Act 2011 (the ‘2011 Act’). In carrying out my examination | have followed the Directions given by the Charity Commission under s. 145 (5) (b) of the 2011 Act. independent examiners’ statement

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Company No: 4258543

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SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED

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|||||||||||| |---|---|---|---|---|---|---|---|---|---|---| |INCOME| |AND|EXPENDITURE|Restricted|Unrestricted|Designated|Total|Total| |Notes|SisitMarchFund|3istMarehFund|SisiMarchFund|31stFund March|34stFundMarch| |Income|Resources|2021£|2021£|2021£|2021£|2020£| |Donations and|legacies| |Income from donations and|legacies|2|3125|132308|0|138431|66188| |income|from|other trading|activities|3|it)|9311|0|9311|28256| |investment|Income|4|0|10288|0|10288|22681| |income from charitable|activities|8|§27931|7235|0|535166|‘618129| |Total|Incoming|resources|631086|189140|a)|680198|733264| |Resources|Expended| |Expenditure on|raising|funds|314|0|0|314|2593| |Charitable|activities|454232|429904|0|‘584136|676259| |Governance|43401|0|(e)|43401|32882| |Total Resources Expended|8|497947|129804|0|627861|711834| |‘Net movements|in funds|33109|29236|0|62345|21420| |Funds|at|31st|March 2020|0|§33353|26156|‘559509|‘§38089| |Transfer between funds|-33109|33109|0|0|0| |Total Funds|at|34st|March|2021|14|0|696698|20160|621664|889609|

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Company No: 4258543

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AS!
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Statement of Financial Activities
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For theyear ended 31st March 202%0000
Balance Sheet Notes 31st March
2021
£
34st March.
2020
£
Fixed Assets
Tangible Assets
. 10 40729 44249
CurrentAssets
Debtors and Prepayments 12 124927 147550
Cash in Bank and In Hand 469387 400387
Creditors: amounts due within one year 11 13189 32677
Net CurrentAssets §81125 515260
NetAssets 13 621884
So
859509
SES
Financed by ,
General Funds ; 595698 §33353
Designated Funds 26156 26156
Restricted Funds 0 0
TotalFunds 14 621854 §69509

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

Responsibilities of directors/trustees:

These accounts have been prepared in accordance with the provisions applicable to companies subject to the small companies’ regime and In accordance with FRS 102 SORP.

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App for and fn behalf of the Trustees on...}6.7.12.7-.202)|
Jatinder Kaur KOs ,
airperson
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Company No: 4258543

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SANDWELL AS s ORT SERVICE LIMITE Statement of Cash Flows For the year ended 31st March 2021

For thethe For thethe year endedended 31st March 2021
Note 31/03/2021 31/03/2020
£ £
—_————————GCash-used-in-operating-activities__.. ==
74330
142561
Sn
Cash flows from investing activities
Interest income 335 640
Purchase oftangible fixed assets -5665 -11516
Proceeds from sale of fixed assets 0 0
Cash provided by (used in) investing activities -5330 -10876
Change In cash and cash equivalents in the reporting year 69000 131685
Cash and cash equivalents at the beginning ofthe year 400387 268702
Total cash and cash equivalents at the end ofthe year 469387
400387
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1) Reconciliation of netmovement in funds to net cash flowfrom operating activities
31/03/2021
£
31/03/2020
£
Net movements in funds 62345 21420
Add back depreciation charge ‘9185 10431
Deduct interest Income shown in investing activities -335 -640
Decrease (increase) In debtors 22623 107568
Increase (decrease) in creditors -19488 3782
Net cash used in operating activities 74330 142561
2) Analysis ofchanges in netfunds 01/04/2020 Cashflow 31/03/2021
£ £ £
Net Cash
‘Cash at bank and in hand 400387 69000 469387
; Total 400387 69000 469387

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Company No: 4258543

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SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Notes to the Accounts For the year ended 31st March 2021 SnACCOUNTING QLICIE

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Basisof Accounts

The (accounts) financial statements have been prepared in accordance with Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standards applicable in the UK and the Republic of Ireland (FRS 102) and the Charities Act 2011 and applicable regulations.

Incoming Resources

Income is recognised when the charity has entitlement to the funds, any performance conditions attached to the items(s) of income have been met, it is probable that the income will be received, and the amount can be measured reliably. Income from government and other grants, is recognised when the charity has entitlement to the funds,and performance conditions attached to the grants have been met, it is probable that the income will be received, and the amount can be measured reliably.

Donated facilities are recognised as income when the charity has contro! over the item, any conditions associated with the donated item have been met, the receipt of economic benefit from the use by the charity of the item is probable and that economic benefit can be measured reliably. On receipt, donated facilities are recognised on the basis of the value of the gift to the charity which is the amount the charity would have been willing to pay to obtain services or facilities of equivalent economic benefit on the open market: a corresponding amount is then recognised in expenditure in the period of receipt.

Expenditure

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Expenditure is recongnised once there is a legal or constructive obligation to make a payment to a third party, it is probable that settlement will be required and the amount of the obligation can be measured reliably.

Allocation of Costs

Direct Activity Costs comprise those costs that contribute directly to an activity and are Allocated to the relevant activity.

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Support Costs comprise those costs that are necessary to deliver an activity but in themselves do not produce or deliver an activity.

Governance Costs are those costs incurred to meet statutory and constitutional requirements.

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Company No: 4258543

ANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Notes to the Accounts For the year ended 31st March 2021

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Office Equipment . 20% on rbb Fixtures & Fittings - 20% on rbb Minibus - 20% on rbb

The charity has secured a tenure of 25-year lease from the council and pays a Peppercorn rent of £1 annually. A gift in kind for the donated facilities for the use of the leasehold premises is shown at the value of £60,000. This is recognised within incoming resources as a donation and an equivalent charge included within resources expended.

Taxation:

The charitable company is exempt from corporation tax on its charitable activities.

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Company No: 4258543

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||||||||||| |---|---|---|---|---|---|---|---|---|---| |SANOWELL|ASIAN|FAMILY|SUPPORT|SERVICE|LIMITED| |Notes|to the|Accounts| |a Seen| |2)|DonationsGrants|fromandGovernmentsleqacies|75431|5555| |Donations|60000|‘60633| |138431|66188| |3)|Other|Trading|Activities|9311|26256| |4) Incomefrom|Investments|10288|22681| |6)|535166|618129| |TOTAL|;|680198|733264| |8)|TOTAL|RESOURCES|EXPENDED|fBasisof|Care|Windmill|Day.|Total|Total| |Costs|directty|allocation|Services|CentreGost|Itings|Governance|2021|2020| |allocated|to|activities|£|£|£|£|£|£| |‘Staff Costs|Direct|256596|34823|37363|328782|376121| |Recrultment/Freelance worker|Direct|1638|1638|6911| |Travel|Direct|1565|1585|7668| |Rent|Direct|60000|60000|60000| |WCC-light/heat/repaire/cleaning|Direct|35081|35081|34925| |Day Trip/Project Activities|Direct|846|846|‘2788| |Sensory Room|Maintenance/repalrs|Direct|0|19762| |Training|and|Subscription|Direct|4823|4323|3936| |Advertising/Marketing|Direct|7186|7186|1060| |Accountancy|Direct|4935|4400|9335|8572| |Professional|fees|Direct|594|‘594|1128| |Repairs|&|Renewals|Direct|116|116|228| |Telephone|Direct|4447|4447|4366| |Depreciation/Disposals|Direct|578|578|855| |Other Costs|Direct|12996|12896|17353| |Support Costs| |allocated|to|activities| |Premises & Administration|(per|unit)|20831|20831|15361| |General|office and|finance|staff|(per|unit)|118760|118760|131552| |Lega! and|Professional|(per unt)|12166|12166|9875| |Equipment|(per|unlit)|8807|6607|9577| |Total|resources expended|464848|128904|(')|43401|627861|711834| |7)|movementsNet|of funds|for|the|year|Yearended|Year|ended| |SistMareh|31stMarch| |2024|2020| |This|Is stated|after charging:|£|£| |Depreciation/ioss on|disposal|9185|10431|

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Company No: 4258543

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SANDWELL ASIAN FAMILY SUPPORT SERVICE LIMITED Notes to the Accounts For the year ended 31st March 2021

8) ANALYSIS OFSTAFF STAFF COSTS, TRUSTEES REMUNERATIONAND EXPENSES, STAFF COSTS, TRUSTEES REMUNERATIONAND EXPENSES, STAFF COSTS, TRUSTEES REMUNERATIONAND EXPENSES, STAFF COSTS, TRUSTEES REMUNERATIONAND EXPENSES,
COST OF KE EMENT
PERSONNE
scammer
Year ended Year ended
31st March 31st March
2021
£
2020
£
Staff Costs and Trustee's Remuneration
Salaries and Wages
441321
493650
Pension Cost 6221 7275
The number of staffwhose emoluments fell within the following band were:
£60,001 to £70,000 2021
1
2020
1

The key management personnel of the charity comprise of Chairperson, Vice Chairperson, Chief Executive Officer, Finance Performance Manager and Care Manager. The total emolument paid during the year of the key management were £153656 (2020: 172915). The required definition of emoluments is total gross pay Including employer pension and national insurance contributions.

The trustees received no remuneration. One trustee who is also a volunteer had been paid expenses from the charity during the year amounting to £33.80.

9) STAFF NUMBERS

The average monthly head count was 29 staff (2020: 34) and the average monthly number of full- time equivalent employees (including casual and part time staff) during the year was 23 (2020: 26).

10) TANGIBLE FIXED ASSETS FOR THE YEAR ENDED 31ST MARCH 2021

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cOsT Fixtures/Fittinas &
Equipment
£
Fixtures/Fittinas &
Equipment
£
Minibus
Minibus
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Total
£
4st April 2020
Additions
131835
5685
,
37500
' 32764
0
32764
164599
5665
170264
DEPRECIATION
‘4st April 2020 90472 29878 420350
Charge forthe year 8608 §77 9185
. 99080 30455 129535
Net Book Value
31st March 2020 41363 2886 44248
31stMarch2021 38420 2309 40729

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‘Company No: 4258543

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SA ELL ASIAN FAMILY SUPPORTS CE LIMITED Notes to the Accounts

11) GREDITORS AMOUNTS FALLING DUE WITHIN ONE YEAR

. Year ended Year ended 31st March 31st March 2021 2020 £ £ Accruals 7730 27247 Pensions 1259 1294 Holiday Accruals 4200 4136 13189 . 32677

12) DEBTORS AND PREPAYMENTS - GRANTS RECEIVABLE

‘Year ended Year ended 31st March 31st March | 2021 2020 | ! Grants Receivable 120263 141920 Prepayments __ 4664 __ 5630 ; 124927 447660

| |

13) AN SiS OF NET ASSETSB UNDS

.

:

----- Start of picture text -----
||||||| |---|---|---|---|---|---| |£|£|£|£| |Tangible|Fixed|Assets|40729|40729| |Debtors|124927|124927| |Cash|at Bank|in Hand|443231|26156|469387| |Current|Liabilities|13189|13189| |Net assets at 31st March 2021|6956068|26166|~~|CO|6218684|

----- End of picture text -----

.

19

——— a a a a

Company No: 4258543

|

| |

Notes to the Accounts For the voar ended Sist March 2021

14) CAPITAL COMMITMENTS

Authorised but not contracted

RestrictedFunds . ) epppeg—
AstAnril Resources
2020
L4
@
) epppeg—
AstAnril Resources
2020
L4
@
Diitiolig
Resources
e
-—Ascat-——I.
ft —Agat-
SistMarch foFunds 31stMarch
2021
2021
e
4
e
-—Ascat-——I.
ft —Agat-
SistMarch foFunds 31stMarch
2021
2021
e
4
e
-—Ascat-——I.
ft —Agat-
SistMarch foFunds 31stMarch
2021
2021
e
4
e
AdultsServices (18-40) Personal Budget -SMBC 0 354039 343836 10203 -10203 0
Adults Services (18-40) Direct Payments/NHS/Managed AccountsSMBC
Children's Services -SMBC
0
0
52844
89066
64421
84003
“4877
5063
1577
$063
0
0
Adults& Children Services - Birmingham CityCouncil 0 21982 9647 12335 “12335 0
CarersGrant -SMBC 0 13125 6040 7085 -7085 0
Totat Restricted Funds 9 831063 497847 33409 33109 )
Unrastricted Funds
GeneralFunds §33353 159140 129904 $62589 33109 595698
DesignatedFunds ‘26156 0 0 26156 ie) 26156
Total Unrestricted Funds $$9509 189140 429904 §88745 33109 621854
Tota!Funds 689509 680196 627851 621864 9 621854

16) RelatedThere werePartyno Transactionstransactions reported/recorded where trustees have recelved remuneration from the charity (see note (8) above).

16) Other Transactions.

A transaction was declared In connection to the Chief Executive Officer as a person of significant infiuence as follows:

a close relative is a paid employee of the charity

This arrangement was disclosed to and agreed by the trustees under the charity's conflict of Interest policy.

17) Gontrol

The company |s controlled by the trustees. The trustees shown in the report are algo known as directors or members of the beard.

18) Governance Costs

The figure of £43,401 per (note 6) is a Govemance cost, which has been allocated to appropriate funds as outgoing costs per note (14).

“18) Transfers SMBC Adult Semoes Personal Budget, Children Services, BCC Services and SMBC Carers Grant surpluses have been transferred over to unrestricted as they can be used for general purposes.

;

General funds have been transferred to Adults Services Direct paymenta/NHS/SMBC to cover the shortfall.

: 20