Registered Company Number: 4566150 ffngland and Wales)
Regtstsred Chirity Number: 1100136
REPORT OF THE TRUSTEES AND
AUDTTED FLYANCLIL STATEIIENryS FOR THE YEAR Ef4DED
31st TrfARCH 2024
FOR
NORTH EAST LtNCOlJ¥4SHtIiE WOMEN'S AID
Xeinadin Audit L￿￿tted
Beckei House
36 Old Jewry
don
EC2R 8DD

NORTH EAST LLYCOLLISHIRE WOMEN'S AID
cO￿TENTs OF ThE FLNAI%CLIL STATEMENTS
FOR THE YEAR ENDED 31%t MARCH 2024
Page
Report of the TTUStees
I to9
Report of the Independent Auditors
Iotoll
St&tement of Financial Activitie5
12
Balance Shc¢t
13
Cash Flow Si*em¢nl
14
Notes to tbe Cash Flow Statement
15
Notes to the Financial Statem¢nts
16to26
Detailed Statement of FiJ]ancial Activitics
27to28

NORTH EAST LINCOLNSHtRE WO.MEN'S AtD
REPORT OF TKE TRUSTEES FOR THEYEAR ENDED 31st
MARCH 2024
The trusteeg wbo are also director8 of the Charity for the purposes of the Companies Act 2006, present thcir ryortwith the financial
gtatements of the cbarity forthe yeat ended 3 Istmarch ?024. The twstee3 have adopted thepn)Nrysions of Ascountirtg &llÉtReporting
by Charities.. Statement of Recotnwended Pra¢iice applicable to chatities preparittg tbeir Accounts in acwrdance with the Financial
ReportinE Standard applicable in the UK and Repub]ic of Ireland (FRS 102) (eff￿t1ve 1st January 20191.
REFERENCE AND ADMINISTRATIVK DETAILS
Re￿tered Company number
4566150 ￿ngland alld Wale8)
Re£Istered Charlty number
1100136
Registered office
28 Dudley Street
Grimsby, N E Lin¢olnsbire
DN312AB
Trustee5
J w￿ll]sleY
K Goodwiu
L Clayton
C Robittson
J Trench
Social Housiug Charity CEO
Contracts Manag￿- Xvbite Rose Fore9( Kirklee$ Coollcil
Farmer
Propety Surveyor
Retired
Company Secret
D F Farman
Amditors
Xeinadin Audit Limitcd
Beck¥t House
36 Old Jewry
London
EC2R 8DD
SolicÉlors
Witkin Chapm80
Cartergate House
26 Chanty Lane
Grimsby, N E Ltn¢olllshire
DN312LJ
STRUCTURE, GOVIRTr4ANCE ￿ND MAfiAGEi*tENT
Goventhig doeument
The charity 18 colltrollcd by its governing docu]]]e￿￿ a of tn]8L and constitutes a limited company, limited by gu&r8ntee,
ag defined by the Compani¢5 Act 2006.
The organisation is a charitable cotnpany lllnited by guaratttee, illcorpoEHted on [7th Ootober 2(K)2. It 18 registered as a charity with
the Charity C0￿MiSSIOn. The company established ￿t￿er a Mejnoraodum of A&swiation which establisbed the obje¢t8 and
powers of the charitable C4)mpany is govErned ulldcr its Articles of AssociatiDlI. It has no share capital. In the event of the
ompally being wouttd up tnttllbers are rwuired to contribute arnounr noi exceeding £5 each.
Page I

NORTH EAsf LtNCOLNSItIRE w0￿￿ri,s AID
REPORT OF TR￿sTEEs FOR THE YEAR ENDED
31st TrL4RCH 2024
STRUCTUR& GOVERNANCE AND MANAGEMENr
Reerultment and Appofintment of trustees
The Articles of A￿o¢latio￿reqUi￿ members to eLect trusieeg at thc Annual General MeetÈng. Th¢ Executive Committee should bave
& mits1tnu￿ of three members but is not subject to allv Olle third of the trnstecs (orthe Dumber neare8t to one third) retire
by rotsiiolk atLd call then be re-eIec￿d. All ￿eMberS are ciruL]ated with illvitations to nomi]]ate lrnstees prior tcp the Annual Genernl
Meeting advisino them of the retiring trusiees and requesiillg TJOllLinatiOnS for the AnDual Genera] Nleeting.
L Clayton and C Robinson r￿]￿e by rotstion and being ¢h￿ble. offer tbemselves for re-£lectio]].
IDductloD and traltthig of llew trustees
In order to s&feguard the anon)Thity of the Cliellt group and to safeguard tbe inter&gts of the organisation, prospectiv¢ new trnstees
Inust meet the following in(lucts"on ￿quire[￿ents.
ajob description and applicatitsn fonn will be provided
application form to be filled in and returned (including information about ski118 and knowledg¢)
meeting will be arranged Chair alld C￿'et Exeeutive Officer
references and DBS check ulldertakert
- following the checks, the new tsustee will spend some timevisiting and meeting with the stsff and voluntecrs from the
organ18ation to understand the woik uttd-rtaken by Womert'8 Aid
if acceptsd, the new TNstee will be inNYted to be an observer at tbe next two ]neetings
a recommendaiiotbfrroposal will be made tts tbe next Management cott￿ltte¢
a Trustee mentor will be apwittted for support in future ￿e￿ill¥S
infotmation flle will be gtven to the new Trustee (including inductiotL and training programme)
new Trn8tee8 will be co-opted on to the Board during the yearand stand for election on to th¢ Board at the next AGM.
Ea¢h new trustee will receive a file detoiling her rights and responsll)i]ities. Th¢ fll¢ conlaills the following..
the roles and responsibilities of charity ttustees
the duties and liabilities of directors of lill)ited cK>mpallies
job description$ for trustet, chair, secreiAry and trea5urtt
details of the service8 provided by North East Lincoillshi￿ Women's Aid
a copy of the Memoralldums and Articl￿ of Ass(KiatiDn
cUrr￿ll bu8in¢s9 plan ally ￿¢ent Miews (in¢luding misgioTh SIXt¢￿ent)
tnJ$tee wontacl d¢tails
organisation poli¢ies and puK¢dures (illcluding coofidentitility aod CODflicl of interest forn]s)
t¢rms of r¢fer¢Thce
Code of Conduct
Tw8tee Agre¢w¢at
latest annual report including auditeiuindqxndenily examined ￿￿oUnt5.
During iiiduction Trustees are also invited to visii the refuge and meetkey employees. They are atso requested to attrnd appropri&tr
external and internaI training events where these wi]1 faci]itate ihe undertakints of tlLeir role.
Organisational structure
North Easi LincoInshire Women's Aid has & Management Cotnmittee wthi¢h meets tnonthly and is responsible for the strategic
direction and policy of the chariry. At present the C'on]mittee ha5 five members whtcb include people frotn a variety of professional
backgrounds relevallt to the work of the charity. TILe secretary also 9xts on dLe CoD]ruittee but bas no voting rights.
A scheme of delegaiitsn is in place and day ￿ day respoLsibility for the provision of the 5erYices rests with tbe Ciiief Executive
Officer. The Chair ig responsible fcir -nsuring that tbe charity deLivers thE services specified and that key iodi¢atOTS are met. The
Cliief Executive Officer has reswtibibility for the day to day and operational management of the services, superwsion of thB Staff
team (8DJne of which is utidertaken by other delegatEd stslffj and also ensuring that th¢ teani Continue to develop thEir skills and
workiDB practices in line with good prdctice.
Wider nehvork
The ch￿lty is not pm oFa wider networ
Rel&ted p&rtle8
During the period under revlew there were no related yarty trattsactiotss exGept milli￿1 expeD5e ￿l[￿bur8e￿¢llts.

NORTH EAST LPiCOL)5HIRE WOMEN'S AID
REPORT OF TRLSTEES FORIHE YEAR ENDKD
31st IIARCH 2024
STRUCTURE, GOVERNANCE ALYD m￿NAGEmENT
Rlyk mattagemertt
The I￿￿teeS h&ve a duty to identify and review the nskg to wbich the ¢Fthrity is exposed and to ensure ippropriate Collirols are in
place to provide reasonable a55urauGe against fraud aDd Error.
The tNste¢8 h&v¢ a risk m￿agement strategy whith comprtscs:
All A[￿U81 review of the risks the Charity fakne
the establishment of systems and prwedures to mitigate those risks identified in tbeplan
the implementation of procedures destgoed to minimise aoy poteotial impact the Charity should those risks materialise.
completion of an illternal fmancial control ¢be¢kJisi devKsed for charitie&
Risk a8sesBmeThts are used to identify trailling needs and are illeoJEK)rated into the monitorin8 and eVa￿￿tiOn system which feeds
illto service d¢veloprnent.
OBJEcfIvEs Af4D ACTivIfIES
ObAectIV￿ and *im8
Objects
The charity'8 Dbjects and principal activities aTe:
to reliev¢ the distres5 alld 8uffen.llg of women, men and children Call5￿ by exposure to dome8ti¢ abuse
to relieve any woman, man or Child in necessitous ¢ircumsianc&8 by the proyision of temwrary &ccornmoth"O￿ by makillE
grants of money for, orbypro￿￿Xllg items. seryices or fa-ilities
to preserve and protect the mentsl and physical health of wolnen, men al￿ cbildren in necegsitous circutrtL#tsnceg
to educat6 the publiG in the causes and eff￿15 of doEll65UC violence aud the prevention thereof, alld to undertake or contribute to
resear¢h iti such matters and publi8h tbe ustsful results of such reseatrlL
Aims
The clwity has the general ain) of improving the live8 and safety of womw men and Children particularly tbose affected by
domestic abuse.
TFAe charity has the following specific aims..
to improve health and well being
tt> increase Safety atLd security
to develop leamllLg arLd positive aGhieVe￿¢￿t
to enable PQbjtivc contnbutson
to enable independent li£esiyles and improve ￿o[lo￿l¢ well-being
to M￿]Mise inter-agency working
to mailltain a quality service with a firrn finaDcEal found&ion
to raise awartness of domestic abuse irtNortb Fast Lincolllshire.
Objectives
The main objectives of the ¢harity for the yearwere to..
piovide 24 hour emergency accottllllcthtion by way of the refue-
provide and develop quality 8ervic&s to raeet the needs of wotnen, men aDd cbildrEn
offer full-tin)e daily support
provide childcare facilities
provide ¢hildren'3 senTices
proTr'ide Outrea¢h services
offer Drop-ln factlities
provide fundr&i$ing acuvities
ensure go￿1 networking alld inter-agency wo)&w
provide a WomEn's Centre
provide training, lean)illg aryd volullte¢ring opp)rtwiities
provid- ou-line support and u￿ornIabO
provide and promote awareness-raising events and traÉning
pro￿dE safe and aff(Trrdable housitig for 5uThivors of domestic abuse.
P￿¢3

NORTH EAST LINCOLNSHtRE WOMEI¥'S AID
REPORT OF TH£ TRUSTLLS TrOR TIIE YEAR ENDED
31stMARCH 2024
OBJECTIVES AND ACTIVITtEs
Objectives
WE liave referred to the guidance contained ill the Charity Comrnission's general guidallce on public benefit wben reviewing our
flims and objectives and in platming our SJtLue Activitk&%.
HoTrv our actlvlties deliver public benefit
The refuge accomm(%Jation is available to any womao and childreo fleeillg domestic abuse regardless of geographical Iwauo
E￿￿ ability to pay bul priority is giken to residents in Nortb East Liticolnsbire. We try to acconynodat¢ wojncn with no recoursc to
public fLm(ts, but this 18 r¢stri¢ted according to our fvndTaising incolne airailable. This &c¢ommodatim together with the full-time
daily sthpportoffered. improvGq the hea]thand wellbeillg of the residenty inCre&￿S theirsaf¢ty andsecurity and enables independent
lifestyles and improves econornic well-beillg.
We provided an cxc£llEnt 96rvice duting the yeat to tbe ¢hildren ill the re￿8¢ ￿'bO have been exposed to domestic abuse ihrough
th¢provision of Children's workers. Thi5 service is available to all GhildLrn who h"v¢ in the refvge butullfDrtLEnat¢ly, we ￿ainlY rely
Dn inc0￿C from our own futhising efforts ￿ provide p05ts. The benefit they provide to these children ill terms of the aim5
f improving he￿th and wellEting, developing leamitig and positiv¢ &cbieve￿ell1 sud ellabling ￿sItiVe contribution are therefore
reliant on colltiuuallv Seeking aJteruatiF¢ forms olfundiag.
The Outreaob SeNi¢es ar6 only &vailable to resiiknts of Nortb Ea8l Liuco]nshire due to re8tri¢tioThs of our fiu)ders - North East
Lincolnshire Council Housing ReLthd sUp￿rt . HoweN'ff. simtlar services are available other r6gions of th6 county. Ollr
OutreaGh s¢rric¢ w&5 estsblished al￿ expanded in rewgnition of the fact that not all th0￿ who have experienced domestic abuse
Wish to ]iv¢ in a rEfugE alld therEfore suptK>rt is offErcd iu the coll￿0￿1ty. These projecLS m¢¢t th¢ ai]ns of in)proving health and
well-beiog, increasing safety and security.. developing l-arning and positive achiev&mettL Enablin8 EK)sitive c(>tttribUtiO￿ enabling
illdependent lilestyle tmd tmproying ecollO￿lE well-beiDg.
Our DropIn facilities and on-line support are available to anyone experiencing domest&c abu9e attd this advice and guidance is
available to increase the safety alld security of th0￿ using these sery1￿& and thereby should improve their health and well-being.
Fundraising activities alone enable the facilities in the Women's (kntre to be provid&L Tbe Wotnen's Centre provid¢# a welGoming
aFJd friendly for w0￿ell to get adTrice alld iof0rnJatio￿ It 15 ai'ailabl¢ to ALL women in North East Lincolnshire. It is
r¢co8llised that women-onLv 8pace5 provide a safe place for to dEvelop learning aud positive achievement where they feel
more safe and secure. Otherag¢ncies provide serYAc&8 attd adb'iGe ￿510￿S wttbiti the C¢utre thus I[￿XI￿￿]n¥ itklEr-agency working.
One panicular project that bas continued for some of this y•r ha5 been women's probation seTri¢es. This includes intthryews,
SUPPOrt 8essioll8 and support grLMps ftsr wlw have offelldd OF8rc at risk of offending.
We continually 8trive to raise awareness of dowe5tio abuye iD North East LirycohLqhire. We ain) to ittcrease &wareness in all sectors
of 80ciety in th6 hop¢ that we ¢all itnprove tb- IRves alld safety of victillLS and children aff￿ted by domestic abuse. This 18 done by
delivering training. lletwo￿itig and lnter-aEU￿Y wDrkiDg.
We are developing a POTtfolio of Jffordable. quality, social housing in North East Lincolnshire for sunTivors of domegtic abuse who
marginalised ill tbe housing markeL Some of th￿ propertieg were previously Iollg-t¢￿ll ¢wpty homes.
All of these services can only be proTrided by n)aiDtainiag a quality 8¢ry1￿ with a fm financial foundatio]L
Strategle5 and actlvitles that contributed to acbieving these objeetlves
Refuge
The refuge buildillg contillues to provide 15 units of very sewre 24-hour eMuge￿oY accoTDmodation (aldwugh 16 to 17 wornen can
be a¢commodat¢d iffl&ts are shared). This aTrdllge￿ellt supports the reqUIre￿¢￿ts of refi￿eproVjS1onbaSed on thenumber ofpeople
resid¢ni irLNi Orth Easi Lin¢olnshiTe.
We ¢ontittue to See a bith demand for 911 Women's Aid 8¢r¥i¢es. A high quality service is provided by the refuge staff, rnat￿ged
by a Support Manager.
Page 4

NORTH EAST LINCOLNSHIRE WOMKN'S AtD
REPORT OF THK TRUSTEES FOR THE YEAR ENDED
31st IIARCH 21124
OBJKcfivES AND ACTivrriFS
Strategies and acti￿tIeS that eontrfbuted to achieving these DbJectlv&%
Childre
Women's Aid receives no core fjthding for Children's Services and as 8uch is mainly dependellt on raising and donations to
sust&irL this element of its service. These fund5 a]ong with the iucome fi￿￿ our sbops has enabled us to etnploy two part time staff
froty JEmuary 2024 (previously threc part time sraft) for the Hideout (the ¢hildren's areal. We ctrntillue to be gratefijl to our
fundraisers for their 8UPPOrt iu rdi%illg fvnds for the servtces offered to chiidr¢n in the re￿ge. some of which helped meet tbe cost
of a 2023124 update of tlLe Hideoutplay area.
Outreach
The Wo]nen's Aid Outrea¢b s¢rYice offers swrt to women and unable to come into the ￿£uge. Regular Drop-In se￿I￿nS
including se&8ions at GP sllrg¢ries, are now fimded through out 0￿7￿ revenue streams. The service will be extentted from August
2024 when more of this skork i8 funded through a new contra¢1 of seNices WLth the IL)cal Authority.
Fundralsing Incom¢ Gen¢ration
Fl￿dEal51n8 18 always a priority forus. The Cprganisation maiDS heavify reliani on additional ￿lld$ io subsidiqc the dclivery of
ils sersoGes. Ourretail incoFne remains integral to our fimd-raising efforts, offering us ¥'aluable. regular income gencrntinn. WA has
£ourcharity 8hops acro8s Nortb East Lincolnshire which are suppor(ed tbmugb dooauons frorL the public. A small i-am of paid staff
LanagE the shop8 Witb the help oran 'anny' of volunteers. Ebay depar￿¢ aod ittcome claimed through Gift Aid all help boost
ur rEtail Inc0￿e.
Women's CentrE
The cost of rLuJning the Centre is met tbrough SJrtdraisiuE illcome and solne room hire fee8. Th¢ facility 16 Stafted by a volunte
reception tea￿. It is iised to deliver training and evellts and dropin services. Activities and courses are deliv-red ill the centre
tncluding the Freedom progT&mtne and tbe Owll My Life COUT5e mostly paid for thn)ugh fundraising.
R4ise Aivarene5s of Domegtle Abuse
We coutinue to.. build good relationships with stskeholder ag¢n¢ies' be involved with the Domestic Abuse Strategic Group; updatE
domestic abuse literat4we Andonlille information- and ¢ODtribuie 10 ourlocal s￿tegY.T￿eSe allhelp in raising awarsn¢ss of doinestic
abwe in Nortll East Lincol￿%￿lre. Wc deliver six domestic abus¢ trailltllg sessi(ms to our local safeguardtng teatll, and lo¢al
agencieOpractitioners who are looking to raise awarenesb withiti their orgaDisations. Our workshops are all &c￿rEdIted by CPD with
2.5 POiJLts tst learning. We have our own w-bsite that allows peopl- to joia a mailing list to receive infornulion on domestic abuse.
We also provide a Practilioner Resource page on websitr in partnersbip with North East Lineolnshire Council,
The Freedom Programme is l￿W being dEIivEred ? se&sions per W¢wL This is a life etthattcing oppOrts￿ltY for women both ittside
and oiitside Df our Scrvices which enables them to make positsve cboices for their future. It i) a twelv¢-week rolling programme.
Glieuts cau self-rcfer or be referredby attyoDe else. We also deliver awarene&s sessions for agency staff which alwayy extremely
popular. Chargc8 ftsr Freedom awarelless da}￿ go to￿￿d$ Freedom pro￿all)rne for elients, r￿Sts. We also deltver a 12-week
programme aftcr Freedom, Called 'Owtt Mv Lrf¢ this programtne explores self-esteeni. SElf-worth and self-b¢]ief ￿ ￿bUIlding a
llew tuture after the abuse. Simitarly, fecdback to this progran]me is rated'ex¢ellent'.

LYORTh LIST LINCOII4SHIRE WOMEN'S AID
REPORT OF THE TRUSTEES FOR THE YEAR ENDED
OBJECTIVES AND ACTivrriES
Strxtegies and actlvltles that contrlbuted to Aehlevlng these objeclives
Volunteers
Wotnen's Aid 18 hugely dependent on its volunteers. A regular social media onlxne pr&sence has helped illmarketing ibe services of
Ille tsrganisatioll and in recruiting new voLunteers. Our volunteer leanLS are a valuable asset to the organis&tion and we continue to
be grateful to all those giving their t1￿¢ up to volunteer for us.
It is estiniated that in 202312024 Tiverton S(reet shop voluoteeTS provided a service valued at 6,800 hour8 representing £70,856 in
wages, if it had been paid work. The Haillton Avenue Sbop provid￿ 18,865 voluoteer hours in total valued at £196,573 in wages,
the NunStho￿- shop provided 4,896 volunteer hours valued at £51,016 ia wag*s and tbe Willows shop provided 4,896 volunte
hourg valued at £51,016. Committee membe[8 WOEk-d for 118 bours valued at ¥1,230. In addition, ther were 423 hour8 provided
by Ebay volunteer8 valued at £4.408 alld a180 1.033 hours provided by Re￿ge and Il'omell's Celltre volunteers valued at £10,764.
Out tr)tsl voEunteer ]Lours were 37,031 wbicb equates to £385,863 of tllwaid work.
ACHIEVELIIENT AND PERFORhLINCE
Ch8rlt&ble Actlvltles
The llkaiJ] area8 of oharitable activity are the proNi8ion of:
re￿ge acconlllltxlation
outreach support
érop-itt and telephone advice.
In addition to this we have:
a WomEn'g centre offeritig advice. trainitlg and awareness sessioDS and volwiteeriog opportunities
suppott and artivities for childre
dispersed housing
website &nd social media platforn]8
harity 8hops.
Corporate P8rtnership Progrdmme
A relatively new Cotpor&te Parttteryhip pro.frramme includiog ao ambassadoc scheme has helped the WA to parts)er and collaboiate
th local bll.8invsses, giYÈtig the￿ all opwrtuDity to exerciqe theirphilat￿r0pi¢ Yalues al￿eth09 of'givkng back,. More infDrm&tion
can be found on oiirwebsite.
Internal Exlernal Factor$
In early 2024 tbe organi8atioo was 8ucces8ful in teDdeTing for fithdiug forfive year5 of delivery of North East LitLcolnshire
Womeu's Aid servir¢s from Safer Acconunodation Duty fuDding from the. DEpart￿ent of Lcvelling Up, Conutnmitie5 alld
Housing. The new corAtra¢i of seryÉc¢s is to begin in August 20?4 and will anclude TUPE arraUge￿sllts for some Blue Door staty
who will move a¢ross to Women's Aid.
The WA Housing Development Project continues to progress w¢lL It has 13 prop¢rti¢s w￿.¢￿ ￿ rented out to WA s¢ryice users.
Trnstees decided to set up a tt3ding ami iu.March 2024 (W'omen's Aid Prop•ly Managewent Ltd) for the purpose of operating a
landlord property management 8ervic¢. ai(n is lo pmvide more atyordable hou5iog for servic¢ user5 by pioperties
owtted by other landlords.
The rerttaind¢r of a two yeargrant from Lloyds BaTJk Foundatioll wag drnwn down in20?3124.
Page 6

NORTH EAST LINCOLNSHIHE WOMETr4'S AID
REPORT OF THE TRUSTEES FOR THE YEAR E￿,DED
318tMARCH 2024
FINANCIAL REVtEW
Reserves
The trustees reviewed the charity's Reserves tsking into a¢¢ount themain financi￿ risks faced by tbe o￿a￿lS&￿01￿ IW establisELed
a policy for tbe Reserves, highlighting the reaso￿5 forholding a reserve balance:
Provide continuity of servic&9 in the event of a large. unexpected variatiott in income
Manage rnajor unexpeeted repairs or rllaintetL8nce
Develop the 8erVI￿ and gra5P OPPOTtt]nities as they arise
Meet redundancy pa￿lleD18 in tbe eveut of a re.stsucrnre
The policy is revie%hYd annudly or io the event of Significant financial cbanges.
The urrestricted reservES are regarded as tbe capital fimds (£2.897,875) les5 the tangille fixed assets 1£2.920,867). Long terni
liabiliti¢8 (£353,713) have not beEll included as thry 5eGured the assets tbems¢lves. However, an allowance h￿9 been
made tor loan rq)ayllLenty due wiillln one year. ThLS IEaves arlloullt of £330,721 of UDre5tiiEted reserves available. L8rge items
to bc purcha86d ill tILe vear ittclude a new d(mie5tiG abuse Hub {£181,000) and the cost of tlk¢ renovation of & Refug¢ fiat {£25,000).
There is algo a provi$iotL for EM185ible VAT on tbe pllrch￿ of the Hub {£24,000). TTro mi)llths of shop takings have been included
in reserve8 as this itLcon]e 15 needed to cover tILe rellt and rates of the shop5 plus provide Continuity of actiiitie8 io other projects
includi￿g core $er¥iGe8, Ghildren's SerV￿c£S alld the WO￿¢￿.9 C¢ntre (£82,045). This Icaves reserves of £18,676 which be used
to fiind property ￿paIrS and rnaiotenance.
PrilleRpal Funding Stsurtes
The principal sources of finding for the cE￿ity are Housi])g Related Support grdnt (Ioc41 govemment grant) and housillg benefit
(rent). These funds allow u8 to ￿lfil ourrnain objrtives ofproviding sllpportand a¢c<nnmodaiionaad raising awareness of domestic
abus¢. We bav¢ also had Safer A¢¢ou]m(xlauon Duty fundmg from the Department of Levelling Up, Communitie8 and Housing
during the year. A Ref¢rral Support Worker continue5 to rai"e y)lic¢ ref¢rra15 tt> optimise engagement for doraesti¢ abuse, tbis is
currently thI￿ed by North East LinwiDshire Coullcil. The workload has grown coosiderably duriDg the year wtth the number of
r¢ferrals increasing month on moath.
Our Clll'ldren's servibes knave been fwded from shop ill¢oJne and fimdraisillg and we also le￿ a Children's Services charge for
r#sidents in the re￿ge based on the number of Fhildren they bave living with them. In addition. the previtsus Complex Netd8
Support grant was used to partly fund the Childreo's wo)l(e(s costs.
Shop inGotTh¢, fundroiying illCOllL6 and inGotn¢ from delivered training cour¥e5 bavebeEn Used to equip and run cours¢s trdining
It th6 Women's Centre. Shop income attd fundraisi￿￿ jDcom= plus inc0￿e fr(>m rented propertl¢5 alld reseryes have be¢n used to
fulld the post of Hou8in8 Developll￿t mallager and to ]DaiUtaill the Thted properties.
Grallts used dutiDg tb6 year includ¢; funditig frDm the crill￿ Reduction Fulld to me¢t the remaining ¢apitalised ¢i>sts of wuipmeut
n¢ed¢d for providing dorn¢yiic abuse droTrin surgertes; 8 graiit fro￿ th¢ Nat Il'e8t Safe Lives fwid to help survivors of domesti¢
abuse move forward and to promot¢ wovery aud r¢sili¢nce', fundivg lo weet th¢ Temaining capitalised costs of wets to enable u8
to move to remote arAd digital working- from iE]e Humbe￿Ide Office of the Police and Crime Commissioner C19 Emergency Fund,
Additional grnttts were spent durAng the year to continue to provide fiM)tL fuel and other essenttals for those in need froni NELC
Housing Supwrt grant. Also, all Awards for All grdtti has kn used to provide family activities and an Access to Work grklltt to
fLwd Support Worker's costs.
We have received many generous COlltnl)ution8 from individuaL8. Orga￿lSatiOn5 and local busilles5e8 during the year.
Page 7

NORTH EAST LINCOLfiSUIRE WOMEN'S AID
REPORT OF ThE TRUSTEES FOR THE YEAR EE4DED
Jlst MARCH 21124
FufuRK DKVELOPMENTS
We hav¢ the follovnllg key strategic drivets for 2024Q5.' -
Successful implementaiion of our ell￿a￿ed ￿tt[o[lO of servtces
Successful tenovation alld opening of our new Hub facility
Further develop our Housing Pmjcct alld new lattdlord mauagemellt gervice
Contillue to develop our Cotpornte Atnbassador programtne
Begin development of transfomiing th¢ R¢fug¢ into 12 unit5 of ￿￿0)￿0d4(1oll (i￿ludIng the sat¢ of the Am]¢xe)
Develop fi￿draiSIng ideas and activities
Page 8

NORTH EAST LINCOLf4sHIRE WOMEF4*S AID
REPORT OF TUE TRUSTEES
FOR THE YKAR KNDED 310 MARCH 2024
STATEMENT OF TRUSTEES, RESPONSIBILITIFS
The tri￿TeeS Iwbo are also the dire¢loTS of North East Lincolnshire Wotncn's Aid for tht pu￿oseS of cotllpany law) are responsibl¢
for preparing the Report of the Tm51e¢s and the fioThciai srntements in &ccordaoce with applicable law and Ullited Kingdom
Accounting Staodards (United Kingdorn Generally Acwited Accountillg Practice).
Company law requires the twstees to prepare financiat Statments for each fmancial year which gtve & In￿ fair view of the stAte
of atraxrs of the Oh￿itable company and of the inwming r¢50urces and application of resource5, including the income
expendittwe, of the charitable company for that period. Jn preparing those flnancial slatements. the trustr£s are Tequired to
select suitable accounting policies and then apply them CODS15￿ty.
obs¢rve thB lliEthods and priticiplcs in tbe Charity SORP.
make judgements and estimates that are reasonable and prud¢D¢
prepare thef￿allE￿aL statements oll thegoing ¢oncernbasi8unle&% it is itiappropriate to presume thatthe charitable company
11 continue itL business.
The tmstees are re4pollsible forkeeping ptoperaccountiniy records ￿th1¢h diklose with reasomable accuracy at any time the flnancial
positioll ot the charitable compatty aud to enable tbem to e[￿ure thai the fillancial Stat¢￿ents comply with the Companies Act 2006.
Thcy 8re also responsible for safeguarding the of the ¢baritRble company and hence for takmg reasonable steps for the
prevention and dthtiGn of frdud alld otbcr ittegularities.
STATEMETr4T AS TO DISCLOSURE OF INFORiVtATION TO AUDTTORS
So far a5 the ItU8tecs are &war6. there is no relevant audii ttifornation (as def￿￿ by Secti0Tr418A of the Companies Act 2006) of
which the charitable GOD]pany's auditor9 att unawBre: find eacb trL￿￿ has tsk¢n all the steps that they ought to have taken as &
trustee in order to ￿ake them aware of all) audit itlforniauon alld to esrablish the chariiable company's auditors aTe aware of
that inforniatioD.
AUDITORS
The auditor8 will be decided at the forthcoming Annual GeDeTai Meeting.
ON BEHALF OF THE BOARD:
odwln- Cbairperson
Date:
altnsley- Tr
tee
Dale:
2qth i02*
Pag¢ 9

REPORT OF TItE fNDF,PF.liDE.YT ALwrroRS TO TE￿ MEMBERS OF
r40RTH EAST LTh'COLP*SHIRE WOM&Y'S AID
Oplulon
W= have audited the financial statements of North Eost Li]Lcolrtshire WoLllen's Aid (Ébe 'charitable company,) for the year ettded
31 March 2024 which cO￿p￿Se the Staiement C>f Fillan¢ial AGtivitiV6. thE Balancc SheEt and notss to the finallcial statements,
including a sumnwy of significant Rc¢ounting p)li¢ies. The finAttBial rqx>rtiug frameworktbat has beell applied intheirpreparation
i8 appli¢able law and Un[￿d KxTrgdottt Accouttting Standards (United Kingdom Generally Accepted Ac¢ounting Pr&ctic¢).
In our opinion the tinancial slatements..
give a true and fair view of the slate of the ch￿Itable COM￿n> s affairs as at 31 Ma￿h 2024 2nd of its incoming
resouroes and application of resource5. including its result, for tbe year then ended.
have been properly prepèsed iti accordantt with United Kitlgdotu GEne￿IlY Accepicd Accounting PraGticE; &lld
hav¢ been prepared in accordance widL the requiTernents of the Companies Lt 2006.
Basis for opinlon
We conducted our audit in a¢¢ordance with International Standard5 on Auditing (UK) USAS (UK)) and applicable lam,. Our
feSFonsibillti￿ under those &talldards are further duGribed ill th- Auditors. resputisÈbilitie5 for the audiÉ of the finallcial statEments
sectLDll of our report. We are indepelldent of the cbarit8ble COllLpall5' iti aceordance with the ethical requirements that are releyaot
to our audit of tbtr finaucial statetuents in the UK, itiGludiDg ￿ FRC'S Etbtcal Staudard, and we have filfilled our other ethical
respollsibililies in ac¢(>rdance with thege requiremellts. We beli¢ve that th¢ audit evid¢uce we have obtained is sufficient and
appropTiate to provide a b&8is for ow opinio
Coneluslons rel&tlng to going collcern
tn auditing the financial statements, we have wnoludcd that the troste&g' use of the going coll¢ern basis of aGwuotill8 in the
prep8rntion of the fl1￿￿01￿1 statefflellts is ippropria
Based on the work we bave performeQ we bave not identified ans. material uncert&inties relating to events or ¢ortditiolls th&l
individually or collectiN'ely, ll￿Y c&qt significant doubt on the charitable Company's ability to continu6 as a going Goncem for
period of at least twelve n]onthg fro￿ whell the fillallciAI s￿eMents are authori￿ forisslle.
Our responsibiliti¢s and the responsibilities of th¢ trustees with rnspect to goillg concern are described ill the relevaat sections of
thi8 reporL
Other inform8tlo
The trnstees are responsible for tbe otlLer iDfornwtion. The other inforniation Comprises the information included in the Allnual
Reporu other than tbe fjnancial statements and our Report of the Independ￿t Auditors thereon.
Our opillian oll the financial statetnents doe5 not wover the other inf0m￿tion alld. except to the extent otherwise explicidy Stated in
our report, w¢ do not express any f(mn of assu￿nCe concttlsion therton.
In Gonllection with ow audit of tbe fiDall¢i￿ statement& 0urrE5poll51￿17Ity 15 to thE othEr inforllBtion and. in doitig so, oon5ider
wbether the other infonnation is matetially inconsistellt the f]nanci81 stateitients or our knowledge obtaintd in the audit or
oth¢rwise appsars to be ￿ateIl4￿Y mi85taled. If we ￿dentify su-h Jllaterial inconsist￿￿￿ les or apparent material rnisst&toments, w¢
are required to deternine whether this gives ri8¢ to a nwteri7&1 mi¥8wrement in the financial statements themselves. If, based on tbe
work we have perfonJ)ed, we ¢on¢lude that there is a rnawial missiatemernl of this other Illforniaiio￿ we are required ts) Trport that
facL We have nothing to report in this reoard.
Opinions ou other matter5 prescribed by the CompaDif4 Act 2￿)6
In our Dpinion, based on the work mdenaken in the course of the audit..
Ibe inforniation giv=n in the Reptsrt of theTrustees forthe financial year for wl)ichthe financial slatements areprepared
ig consistent with the fmaucial sthl¢llkents' and
the Report of the Trustees b¢en preparEd in aCCorda￿ce applithl¢ l¢gal rapire￿t￿t&.
Matters on whl¢h Ive are req￿Ired to report by exception
ItL the light of the knowledge alth understallding of the charitable compÈny attd its ellvirotiment obtailled itt the couw of the audit,
we hav¢ not idellti*iea niateriai misstatemellts in the Report of tbe Tn￿.
We have nottLing to rwrt in respect of the following matters wbere tbe Companies Act 2006 requires us to report to you if, in our
opinion..
adequate aGcounting records have not been kept orretrjrns *d￿Uate forour8udit have llotbeen received from brattchey
not visitedby us. ckr
th¢ financial stateD]ellts are not in agreemettt with the accouutÈDg records and retslln5" or
certain dis¢losur¢s of trn6tees' remurwation specified bj law are not made; or
we have not re¢¢ived all the iuforni&iion and explaDations w¢ r¢quire for our audiL' or
the trnsle&8 were not elltitl￿ to take advantage of the small LX)mpanies exenwtioll from the requirement th prep￿e a
Strategic REPOrt or in Preparing the Report of the Trustee8.
Responsibilitie$ of trustee5
As explained more fully in the St&tetnent of Tn￿lee5, Responsil)iIities. the ttustees (who aTe aLso the directorg of the charit&ble
GO￿panY for the purpoges of collyally law) are responsible for the prq)ardtioll of the fiDaTrcial 5t8tements and for beiDg sati8fied
that they gkve a true l￿d fair TrTr¢w. for such internal colltrol as the tru5tces determin¢ is to ¢nable th¢ pryaratioTh of
fin&ncial stattjnents that are free fr￿ material misstatejncnt, whether due to fraud or ern)r.
Page 10

HEPORT OF THE PiDEPENDES'T.4Li>fTORS TO THE MEMBERS OF
ORTU EAST LifiCOLfiSHIRE TrI'"OMEN'S.41D
In prtparing the financial statements. th¢ truytces are respousible for a&sessing the -I￿1¢able company's ability to continlle as a
goiThg Gollcern, disclosing, as applicable, matters Telawl to going concern attd using the going concern basis of accounting tmle89
the trustees either illtend to liquidaie the chaTitsble compally or to GE&se opcrntions. orhave no realistic altemative but to do so.
Our resPQll5ibilities for the audtt of the fuLaneiAI stAtements
Our objectives are to obtain rea50uabk assurance about whether tILe financial slaieiiients as a whole free from material
mis8tat?menL whether due to fraud Dr error, aod to i*5ue aRewn of the tndependentAuditors tbatincludes our optllion. Reasonable
assurance is a high level cFf a58urance, bu¢ is not a guarantee that an audit cDndu¢ied in a¢cordatL¢e with ISAS (UK) will always
detEct amaterial misstatementwhenit exists. MIssta*men¢s¢mari￿ frow frdud orerrorand are collgidered matorial if, indiirydually
or in the aggregate, they could ￿asonablY be expeC￿d to infiuence the ecollomic dect5ions of ￿￿er5 taken on the basis of thes
financial 8tatemellls.
The extent to which ourprcKedures are ¢apable of detrcling irylarities. includill8 fraud i5 dEtailEd bEIow.
Our approach to ideniifying and a8sEs5xng the risks of mater(al misstatement in respect of irregularities, including fraud u(>Th-
ompliance with laws and regulations, wa$ as follows:
The engag¢mellt ￿rtller eDsured that the engagement team collecliyely had the appropriate conip¢teryce, capabilitie8 and sktlls
to identify or recognise lloo-compliance witb applicable law6 and regulaticFns'
We identified the laws and r¢gulations applicable to the business through discussion5 Wttb the management and from our
knowledge and experience of the sector.
We focuseLI on specific laws and regulations which we cousiderEd may h&ve a direct material effect on the financial statements
or tbe operdtions of the company, ]￿lUdIng relevant legis]ation sucb &$ the Fitiancial Rwrting Stwdard &pplicAble in the UK
alld Republi￿ of Irelalld (FRS 1021 (issued on 16 July •014 and utKlated with the second edition i]J October 2019) and the
Companies Act 2006..
We asses8ed the extent of compliallce with thE lawy and reguIauons identified above through makillg et4uirie5 of wanagemellt
and inspe¢ting legal corrtspolldcncc. and
Identified laws and regulatiODS w¢re communirnted within dlc audit team regularly and the team remained alert to irLStances of
non-eompliance throughout the audit.
We assessed the susceptibiliry ofthe c(ryy's flllaucial statrments to Materi￿ mi6statenLent, includmg obkniniDg an undcrstanding
of how fraud might occur, by..
Making ellquiries of Jnauagement a8 to where they considered there was susceptibility to fraul their knowledge of actyal,
suspected aTAd alleged fraud,.
Considering the internal ¢¢￿trOl8 in pl￿ to mitigate risks of fraud and llon-Con]pli￿Ce with laws and regulations,.
To address the risk of fraud thr(>ugh Matt￿ement bias and override of ¢ontro15, we..
Performed gmlyticrtl ptt)cedures to identify attyunvsual or unexFttt£d relatiollships"
TestecE journal erttries to identify Ullubwal traDsactions'
Ass¢ssed wh¢th¢rjudgemeDts and assumptions made tn deterniining th¢ ￿0￿nI1￿g estimates were indioativ¢ tsf potential bÉa8'
inycstigated the rationale behind sigllific8nt or uttusual trallsactioos
In respottge to the risk ofirregularities and non-compliaoce with ]aws and reglllat￿, we desigDedprocedure8 which included, but
were not lin]itrd io..
AgreeitiE tinattcial swtetttrnt disclosure8 to underlying supFx)rtiDg doaun¢ntatioll:
Reading th¢ minute5 of ￿eetingS of those charged with gov¢rnance'
A fiirther dcscriptioll of ourrespon8ibilities for the audit of the fitJall4<ial stateirients is located on the Financial Reporting Council's
website at www.frc.org.uWauditorsre4)onsibilities. This d¢scr4)iion for￿$ part oFour Rcport of tbe tnd-pendent AudAtors.
Use of Our report
Thi8 report is made solelylDthe charitable company's members, as abod), ioaccordan¢e with Chapter 3 Df Part 16 ofthe CtsmpitniEs
Act 2006. Our audit work hab been undertak=tt so that we might Sta￿ to the cl)aritabl¢ =.ompany's manbers thDSE n￿tter$ we are
required to state to them in aD auditors. teport and for no other purpose. To the fullest extent pemiitted by law, we do rLOt accept or
assume respoi)sibility to anyone other than the oharitable co]npally alld th6 clharitable ￿InpanY'S ll￿Mbers as a body, for our audit
worL for thig fEPOti or for tbe opiniotL8 we have fom)ed.
Scott Nixon (Senior Sta￿tOry Auditor!
for and ollbehalf of Xeill&l]n Audit Lunitfd
Becket House
36 Old JesTrry
London
EC2R 8DD
Date oi IiiKL)£LF
Xeinadin Audit Li￿lted 15 eligiblE to aci as an auditor in terms of 8ection 1212 of the Companies Act 2006.
Pagell

TrIORTH EAsf LINCOLI%SHtRE WOMEN'S AID
STATF.NTF.liT OF MANCIAI, ACTIVITIES
FOR THF. YF..4R F.YDFD 31yI MARCH 2024
2024
Total
fund5
2023
Total
funds
Ullrestricted
funds
Restricted
nds
INCOME AND ENDOWMENTS FROM
ome and endO￿l￿ent¥ fro
gEu¢rated fund&
Doiiaiious and l¢88cie$
Other trdding activiti¢s
lucome from irAv¢strnent8
Incorn¢ from ¢haritable ￿tIViti¢8
77,617
578,230
4.358
4ll,833
136950
5.062
214.567
583.292
4.358
521.033
193,219
474,601
2,869
454.364
109,200
Total Income alld endowments
1.072.038
251,212
1,323.250
1,125.053
L￿￿1 NDITURE ODI
Costs of generpting funds
Costs of generating voluntary income
undr&ising trading.. cost of goods sold
other Costs
Charitable &ctivitfies
Other expellditure
454
454
127
431,962
513,604
13,262
2.591
222.674
434.553
736.278
13.262
362.518
733.908
12.676
io
Total expeDdlthre
959,282
225,265
1.184.547
1,109.229
L¥¢t ADcom¢ before
Ér&nsfcrs
112.756
25.947
138,703
15,824
Tr￿SferS between funds
19
29.660
(29,660)
et illcome
beforo other gY¢ins and losses
142,416
(3.713)
138,703
15,824
G41Ds on revaluatlon of Axed a￿ets
r4et movement In fund8
Total funds brought forward
14ry.416
2,755.459
(3.713)
48,182
138,703
2,803,(AI
15,824
2,787,817
TOTAL FUNDS CAIiRIED FORWAIiD
2,897,875
44,469
2942.344
2,803,641
The statemellt of financial activities include8 all gain5 and losses r￿gllised in the year.
All incoming resources and resources ￿pellded dertve frotn Continued activitiG8.
Page 12

L¥ORTH EAST LThCOLf*SHIRE WOMEN'S AID
BALANCE SKEET AS AT 3l¥t MLRCH 2024
2024
Total
funds
2D23
Total
fund$
Note
Unrestricted
funds
Restricted
rullds
IXED ASSETS
Tangible assets
14
2.920.867
1,700
2.922,567
2,889,868
cLtRRETrIT ASSETS
Debtors
Cash ai bank and in hand
15
78,653
283,772
78,653
327,787
49,252
400,652
44,015
362,425
44,015
406.440
449,904
CREDITORS
Amouots falliug due within one year 16
(31.704)
(1.246)
(32.950)
(175,589)
NET CURRETrfT ASSETS
330.721
42.769
373,490
274.315
TOTAL ASSETS LESS
CURRENT LIABILITIES
CREDITORS
llOu￿ts falling due
after more than one year
3.251.588
44.469
3296,057
3,164,l83
17
(353,713)
(353,713)
(360542)
DIET ASSETS
2.897,875
44,469
2.942,344
2,803,641
Fuf4DS
19
2,897.875
44,469
2,755,459
48,182
RESTRicfED FLfNDS
TOTAL FUNDS
2942.344
2,803,641
iements were approved by the Board of Tn]stees on 29th OctobEr 2024 alld WEfe 5igll¢d on its b¢haif by..
J lTraImsJey- Tr41S
ee
The noles forni part of these fi0p￿la[ stateujents
Page 13

NORTH EAST LINCOLNSHtRE womE￿'s Am
CASH FLOW STATEMF.NT
FOR THE YEAR EL)DED 31st MARCH 2D24
2024
2023
Notes
Cash llows from operating activitiel
Cash gellerated from operationg
Interest paid
(8278)
264,167
Net cath from operating activities
(8278)
264,167
Cash flows from Inve8dn% activities
Purchase of intAngible fixed assets
PurctMse of tangible flxed a&sets
Sale of intallgible fixed assets
(64.587)
(294,340)
Net cash from imiesting acti￿ticS
{64.587>
(294.340)
Casb flDw% from flnaneiDg aethltle$
Lo&n repayments iti year
Nei cash from fatsancitig activities
(DecreAse￿IllereaYe In cash equIv￿¢llts
Cjsli eA8h equivalellts at b¢girtnillE of
l'ear
(72,865)
(30,173)
400,652
430,825
Cash cash equ£valents at elld of year
327.787
400,652
The notes forni part oEthese EJwL¢ial statements
Page 14

ORTH EAST LINCOLT4SHIRE WO3IEN*S AID
NOTES TO THE CASH FLOW STATEMENT
FOR THE YEAR ENI'DED 31st MARCH 2024
RECONCILIATION OF PROFIT BEFORE T￿￿TION TO CASH GENEIL4TED FROM
OPERATIONS
2024
2023
Profid(Loss) before taxation
Depreciatiott charges
Fitiance costs
138.703
31.888
15,824
32,769
170.591
48.593
DccEeasdlinoreasel iti *(Kks
DL*reasellin¢reasel in trade and other debtors
(DecreLseyincrease in trade and other creditors
(29,401)
{149,468)
8,489
207.085
Cash generxted from operatlons
(8,278)
264,167
CKSH AND CASH EQUIVALEP4TS
The amounts diwlosed ots the C&8h Flow Statement itt W of ¢ash and cath equivalellts are in r¢spe¢l of th¢se
Balance Sheet all￿u￿tS..
Year eRded 311t MY4rch 2024
31.324
1.4.23
Cash and c&8h equivajents
327,787
400.652
Year ended 315t March 2023
31.3.23
1.4.22
Cash and cash equivalEJJts
400.652
430,825
The notes fornL ￿ of these financial statetnents
Page 15

IqORTH EAST LDicOL￿sH[RE WOMEN'S AID
IYOTES TO THE FLy￿rycL4L STATEMENTS FOR
THE YEAR E)DED 31st IMARCH 2024
ACCOi]NfiNG POLICIES
B%&i5 of PTeparing the a¢rouDts
The financial statements of the charitable compally. which is & public benefit entity under FILS 102, have been pr4)ared i
accordance with tbe Charities SORP (FRS 102}'Accouniing a￿d ReportiDg b). Cbarilles: Statement of Recommended Pracliee
applicable to charitiey preparing their a=counts in a¢c0tdall￿ with the Finallcial RepoTting Srandard applicable in the UK and
Republic of Ireland (FRS 102) (effective ISL Janu8ry 2019)., Financial Reportillg Standard 102 'The Finattcial Reporting
Standard applicable in the UK and Repubiic of tttlalld. and the Companies Art 2006. The fmancial Statements have been
prepared under ihe historicaI ¢osr conv¢nlio]L
Ill preparitig thc aGGouDts. the trustecs have ¢onsidcred wh¢th¢r iu applying the accounting policie5 required by FRS 102 and
the Charitie5 SORP FRS 102 the reState￿ent of cornparntive items Bpa8 required. The trustees have concluded that no
sub8equellt rcststemettt of item5 hag been requird in making the transiuon to FRS 102. The tranyition date was l April 2015.
In¢omiDg resources
All illconiing resources are included on the Statement of financial activities the charity 18 legally entitled to the illcome
alld the awouol ¢an be quantified with reasonable accuracy. The following specific policiG% are applied tt) particul&r categories
of income.
Voluntary income is accounted forvknen re£eiv#ble.
Contract services and trainang are aceounted for whell receivabl¢.
Charitv 8hDP income is accouttted for when receiYeiL No account is taken of goods tbat are donated for salE through
the shop. neither is any a¢¢ount taken of sto-k on h2od at tbc end of the fll)ancia] year.
Bank interest is accourtted for when receive(L
Other income is accounted for when reeeitred.
Grants we accoullted for where entidenLent is not ¢ooditional on the delivery of a specific perforniallce by thE charity
and are recogni8ed whett the oharity be¢omes ullwiditionjlly entit]ed to the grant,
R¢$our¢es expended
Expenditure 18 a￿o￿nt¢d for on an W¢Ll￿15 b￿lS and has been cjassified ulldtr I￿l￿gS that aggregate all oo8t rel8t¢d lo the
cat¢gory. Where costs cannot be directly attributed to paTucular headings. they have be6n alloca*d to acllvities on fl basis
consi$t¢nt with ike use of resources. Expenditure includ&5 VAT as the chaTity is not able to reGovEr VAT, except in the case
of the charity shops which have been regisiered for N'.4T stnce l* Septsmber 2014.
Costs of gcnerdtitig cO￿Prise the costs a&8ociated wryth generating voluntary income gnd the eosts of traditig
for the charity's shopg.
Co8t8 io r¢spect of ¢baritabl¢ ac¢ivitses comprise those cosLs iticurred bv the clmrity itt the delivery of its activitics
services for Ats b¢neficiaries and includes costs that canbe allocated ditrctiy to ￿tiVItieS and those Costs of
an indittct uatur¢ necessary to support them.
G0Vex￿nce costs include those costs with complyillg with the charity's constitutiDnal and stthtory
requirements and costs ass(Kia*d with the strategic managtyeut of the oharity.
Alloeatlon and apportlojunent of eosts
All co$t$ are allo¢ated between the expenditure categories on a basis designal to reflect the use of the relevant r¢souTceg. Costs
relatitsg to a particular wtivity, strAown in the statement of financial a-
-tivitie8 are allocated directty wlLer¢as other costs are
apportioned on an appropriate basis.
Tanelble fjxed assets
DeprixiatiDll is provided at tbe following aooual Tates in order to wite off ea¢b }￿et over its use￿1 ecoftomic iif¢",
Equipment
- at varyittg Tates on Cost
Fixtures and fittings
- at varying OD cost
Motor vehicle
- at vtryittg ntes coat
It 1$ the charity's policy to maintain its freehold and leasehold pro￿185 to a high standaTKI. The expected uyethl ecollomlc life
of these assets is expected to be over 50 Irars and the canYi￿o value of the propertie5 is Co￿sIdered to reflect their residual
valu¢s. Therefore, these assets are noi depreciated the annutl costs of maintaining the properties are charg¢d to the SOFA
in the year tbey arise.
Taxatson
The Charity is exempt from corporation tax on its cljaritable activiti&8.
P&ge 16

NORTII EAST LtNCOLNSHtRE WOMEN'S AID
NOTES TO TH￿ FITrIANCL4L STATLMg)TS- CONIINUXD
FOR I'ILE YIGAR 31st MARCH 2024
I. ACCOUNTING POLICIF% - eontinued
Fund A¢COUDring
Unregtricted fimds can be used in ￿cOrdanCe with the obaTit&ble ObJ￿IlVe5 at the discreti(￿ of the trustees.
Restricted fiLrtds catt only be used for partioulat Eestrtcted pury08es witbTn the objects of dLe charity. Restrictions arise WE
8pecified by the donor or wlLen fuDds are raised forparticuittr r&gtricted puwoses.
Further explanatioll of the nature aud pwose of ea¢h fill￿ is included in the ootes to the financial Statements.
PeusiOTi ¢05ts and other post-retirement benefits
The charitable company opera(es a defjned contribuuon p¢Dsiou 8chetDe. Cglltribution5 payable to the charitable Gompatty's
pension scheme are CiWg￿ to the StateJJM¢ of Trinall¢ial AvfiVitt¢s in thep¢riod ¢0 which they relate.
D0Tr4ATIONS AND LEG.￿CIEs
2D24
2023
D(Trnations
Grants
63,929
150.638
27,117
166,102
214,567
193.219
OTHER TRADING ACTIVITIES
21124
2023
Charity shops
Profit on disposal of assets
Genera] fundrdi8ing activities
Room hire
Children's 8eNice8 charge
Electricity generatioll
557.322
447,693
9,200
5,963
3,603
6,095
2,047
13,004
4,189
6,718
2,059
583,292
474,601
4. INCOME FROM INVESTE*qEYrs
2024
2023
Ittve8tmeni income
4,358
.869
S. INCOME FROM CIL4RrfABLE ACTIvrriES
2024
2023
Housing benefits and rent
Housing Related Support re.. R¢fvge al￿ Al￿¢
Housing Related Support re.. Outreach Seryi
Rented properties ren(al income
Ti'ailling income
OLher in¢ome
255231
49,140
109200
98,155
8,699
608
216,271
49,140
109200
67,255
1?,120
378
521.033
454,364
Page 17

NORTH EAST LLYCOLNSHIRE WOMEN'S AID
r40TES TO FTYAYCLIL STATEMENTS. CONTINUED
FOR THE YEAR ENDED 31st MARCH 2024
COSTS OF GENERATING VOLUNTARY IiICOME
2024
20Z3
Fundraising expen8es
454
127
FUNDRAISING TRADING: COST OF GOODS SOLD AND OThER COSTS
2024
2023
Staff costs
Pre￿15¢5 Gosts
Voluntecr expen
otTice cc>st8
Fulldrai5ill8 exp¢nses
Sulldry expellses
Vehicle expenses
LEgal fEes
DeprEGiatioll
Support costs (see Not¢ 9)
181,734
107.625
4,659
9,112
31,378
7,103
4,519
150,593
98,818
4,905
3,670
15,925
5,863
11,729
1,305
10,872
58,838
11,921
76,502
434,553
362,518
CHAR￿ABLE ACTIvrriES
2024
2023
Support costs
Totsl8
Direet Costs
(See 9)
Tot8J$
Refilge and Ann¢xe
Outreach service
Other trading fiythising
Children'8 servi¢&s
'om¢n's Centre
Training
Recovery W0￿er
Referral SuptK>rt worker
Core seryices
Housing project
Pruperties
275,425
141.89
28.251
24.380
18.719
17.272
43964
29,660
4.572
6,010
1.966
1.470
319,389
171,552
32,823
30,390
20,685
18,742
J08,919
159,2•8
60,625
33,271
24.040
16,660
599
6,115
43,600
79.692
1,159
2.763
90,696
373
41,051
7.814
43.814
98,510
373
Page 18

ORTH EAST LIf4COLNSHIRK WOMEN'S AtD
i¥(yrEs TO TETE FIN￿)CIAl. ST.4TEIIENTS- CONTINUED
FOR THE YEAR EhTIED 31&t MARCH 2024
9. SLTrPORT COSTS
Support Costs are charged via transfets to the differentprviects from Core services and are a]located according to the budgeted
expendiwre orincome of the projects. The ba]8nce is allO￿ted to Core service8.
2024
2023
Refuge and Atmexe
Outreach Service
Shops. Ebay and Gift Aid
Other trading fvndraising
Children's seNice8
Women's Centre
Training
Referral Support Worker
Core Services
Housing pmject
43,964
29,660
76,502
4J72
6,010
1,966
1,470
46,400
27,796
58,838
4,463
3,473
2275
1.095
I,078
43,599
7,187
41,051
7,814
213,￿9
196.204
Th¢ Support C051s consist of
Staff Costs
Utiliti¢s and office costs
SutLdry expenses
158.265
50.868
3.876
154.935
38.771
2,498
213.009
I96.204
10. OTHER EXPLNDITiiB
2024
2023
Con)mittee ¥xpenses
Auditor's remuneration
Legal aud EtR expEDsey
Restrncturittg Sage
Registered offic¢ fee
1,495
3,764
5,258
2.600
145
1,386
10,188
957
K45
13.262
12,676
11. NET INcOl￿NGl(0￿TGOL￿G) RESOLliCf
N¢t r¢8ources are stated after charging:
2024
2023
Auditor's remwier8tion
Depreciation- owned assets
3.764
31,888
10,188
32,769
Page 19

NORTH EAST LINCOITrISIIIRE W"OMEN'S AID
NOTES TO THE FINANCLIL STATEIIEY+rrs- cor4￿4￿ED
FOR THE YEAR ENDED 315t MARCII 21124
12. TRUSTEES, REMUNEIL4TION AND BENEFrrs
Trust¢¢s' Expenses
21)24
2023
Nutllber of tThstees who werepaid eXP￿￿S
Nature of eRP¢nSe.'
Trav¢1
92
loo
13. STAFF COSI
2024
2023
Wag¢s saIaries
R-dundaDcy costs
Social Security costs
Pensioll costs
635,303
5.569
46,042
19.019
589.683
4213
41,928
17,446
705.933
653270
The average Tnonthly nurnber ofemployees (fi￿1 ii]ne equivalent) duriog the yw was follows:
2024
2023
Management and adtnitiisti*ion
Suppon
TrainiDg and fi￿draiSIng
24
24
No employee eamed more tliaD £60.￿) per 8Dnum. Tolttl paid to key owlagemeot during the year amouttted to
£113,334.
14. VALUE OF Tr"OLUTrtrEERS
If volunteers had btctt paid w(Jrk at Dlillimutn wage the value of their ]￿UrS would be as follows..
2024
2(124
Value
2023
Hour$
2023
Value
Hours
Iiverton Slwp
Hainton Shop
Nunsthorpe Sbop
Willows Shop
Committee menLbers
Ebfvy
Refuge and Womell'9 Centre
6.800
18,865
4.896
4.896
118
423
70,856
196,573
51,016
51.016
1230
4.d108
6,650
14.798
3.264
396
150
384
63,175
140,581
31,008
3.762
1.425
3,648
Page 20

T40RTH EAST LLNCOLNSHIRE WOMEN'S AID
NOTES TO TILE FIN￿)CIAL STAITrMkN'I:S- coN'r￿￿uED
Tr'OR'A'HL YEAIi EhlPED 31st MARCH 2(124
15. TANGIBLE FIXED ASSETS
Freehold
property
Ithehold
prtsperty
Equipment
COST
At 1st April 2023
Additions
Di4)08als
1.489.187
11.670
1,340.343
68,014
4,624
(6,151)
At 31st March 2024
1.500,857
1.340,343
66,487
DEPRECL4TION
At 1st April ?023
Charge for year
Released on ¢JisposAIs
1.918
264
5.744
792
53,462
6,797
(6,090)
At 3 1st Ma￿h 2024
2.182
6,536
54,169
NET BOOKVALUE
At 1st April 2023
1.487.269
1.334,599
14,552
At 3 1st Maroh 20?4
1.498.675
1,333.807
12,318
Motor
vehicle
fittiDg#
Tolal
COST
At 1st April 2023
Additions
Disposals
253.091
48.294
(15,219}
23,638
3,174,273
64,588
(21,370)
At 318t March 2024
286.166
23,638
3,217,491
DEPRECIATION
At 1st April 4023
Charge for year
Releaged on dispwls
fj15.489
19,966
(15,196)
7,793
3,985
284,406
31,804
(21,286)
At 31st March 2024
220259
11,778
294.924
NET BOOK VALUE
At 31ot fvlarch 2023
37,602
15,845
2,889,867
At 31st March 2024
65907
11,8(A)
2.922,567
Pag¢21

NORTH EAST LINCOLNSHIRE WOMEN'S AID
E40TES TO THE FINA￿'clAI. STATF.MF,f*TS- coffflNUED
FOR THE YEAR El*DED Jlst MARCH 2024
16. DEBTORS: AMOUNTS FALLING DUE ￿THIN OLYE YEAR
2024
2023
Trade debtors
Other debtors
13,835
64,818
3,605
45.647
78,653
49.252
17. CREDITORS: AMOUDITS FALLtNG DLIE wrrHLY YEAR
2024
2023
Trade credit(￿S
Otber Creditors
Bank l(ians
8,598
17,524
6,828
48241
2l,079
106269
32,950
175589
18. CREDITORS: A￿Tou￿*Ts FALLING DLT AFfER MORE THAN OhT YEAR
2024
2023
BaDk loans
353.713
360,542
19. SECLRED DEBTS
The following secured debts a￿ iocluded witbin creditors:
2024
2023
Bank loans
360,541
466.811
The bank loans are se¢ured by a first legal charge over our freelLold rented prop¢rti¢8 from 235d August 2021, 181 November 2021
and 215t March 2022.
North East Lincoittshire Council have a legal charge dated 11 Julle 2021 aud 4th fvtay 2022 over three properties in connectioll with
E￿pty Homes 8nLttL8.
Page 22

YORTH EAST LTNCOLNSHIRE IVOMEN'S AID
NOTES TO THE FINANCIAL STATEMETrffs. CONTLYUED
FOR THE YEAR ENDED 31¥t MARCH 2024
20. MOVEMKNT IN FUNDS
N¢t movement
ill funds
TrAnsfers
between funds At 31.03.24
At 31.03J3
Unre8trlcted Funds
2,755.459
112.756
29.660
2,S97,875
Re8trlcted Fund$
Outreae
Criffle REdu¢tion Fwid- Other Drop tns
Fundraisiug - OtbttDonationg
NELC Housing Siipport Grani
Nat West Safe Lives Fund
Children's Servies- Donationg alld Fulldraisers
CbilcLren'8 Senrice8- Other
Complex Needs Support Grant
Women's Centre- ￿￿er
C19 Emergency Fund
Award¥ P'or all Grallt
Safer Accommodation Duty Funding
NELC Assessment of Police lief¢rrd]s Fwjding
Access to WcFrk Gr￿t
27.387
112
2.456
39,418
(29.660)
37,145
1,413
125
(410}
132
733
{4.489)
3,869
125
410
132
1,288
555
4,489
270
3.043
3.174
270
,639
(1.404)
(3,174)
6286
(6286)
48.182
25,947
(29,660)
44,469
TOTAL FUD4DS
2.803,641
138.703
2.942,344
Page 23

NORTH EAST LThCOLP45HIRE W0￿￿'s AID
NOTES TO TUE Flt*APiCIAL STATEMEI¥TS. COFITENUED
FOR THE YEAR ENDED 3J8t MARCH 2024
20. MOVE11￿NT IN FUIYDS (contlnued)
Net movement in funds, in¢luded in the above alr as follow3:
Incoming
Resources
Resources
expended
Movement
in Fund$
Unregtrlctsd Fwids
,072.038
959.282
112,756
Restricted Funds
Outreach
Crime Reduction Fund- Other Drop Ins
Fundrai8ing- Other Dc>natiOnS
NELC Housing Support Grallt
Nat West Safe Lives Fund
Children's servi￿es - Donati¢)L8 and Fundraisers
Children's Seryi=es- Other
Complex Needs Support Gtw
Women'$ C¢ntre- Other
C19 Emer8EllCy Fund
Awarib for All Grallt
Safer Accomtyodatioo Dury Fundillg
NELC Assessment of Polic¢ Referrals Fuoding
Access ir) Work Grant
109.2(
69.782
Iii
8,784
14,875
410
4,931
382
4.489
39.418
(iii)
1,413
125
(410)
10.197
15.(KK)
5.063
1,115
733
(4,489)
1,404
3.174
97,293
18,857
773
(1,404)
(3,174)
97293
12,571
773
(6,286)
251,212
225,265
25,947
TOTAL FUNDS
lJ23.250
1.184,547
138,703
Page 24

NORTH EAST LINCOLNL SHIRE WOMEL%'S AID
F40TES TO THE FINAhCIAL STATEMEYfs- coNtlNUED
FOR THE YEAR EIL DED 31st MARCH 2024
21. PURPOSE OF RESTRICTED FUNDS
Outreach- provides three to six montbs rLM￿l￿g costs foTthe outreacb service.
Crime Redu-tion Fund - grant to raise awarenc&8 of domestic abuse iti the cotn]nunity by providtng dotnestic abu8e droTri
surgeries in medical centres and odier plac&8.
Children's Services- f￿dIng for the provision of services for children who I￿e witshessed dojllestic abuss.
Fundr•ising- 0th6r DonatioDs- donations where it IMS been re￿￿￿ted monies raised are spent on sppKifi¢ areas or projects.
NELC Housillg Support Grallt- grdnt to provide help for vulllerable houkbolds for f(xid fuel bill5 and other essenlials.
Nat West Safe Liv¢8 Fund- grdllt to ￿Cti￿)S of ￿0￿0￿1¢ abuse PE￿Ctrated against thEm and ￿ belp survivors of domeqtsc
abuse move foLward and promote rKov¢ry 2nd rESiliellce.
Complex Needs SuppLlrt GTant- gran¢ from MiDisty of Housing, Cou]mullKties alld Local G(TrvemmentviaNELC Èo provide a
Intensive Domestic Abuse Support Ivorker and a CtLildren'5 Complex Case Support Worker.
Women's Centre- Other- fithditig for the rnm)ing costs of the Women's Centre.
C19 Emergency Fund- grant from Hutnberside Office of dLe Ptsjice and CY]me Cotnmissioner to purcl)ase a88ets to support the
move ¢0> remote and digitsl working to deliver supporl to Yictiuts of domestic abuse.
Awards for All Granl- grant to pri)vide family activitie5 tncluding trips. irt bouge ev￿ls. he81thy eating ond gardelling.
Safer Accommodation Duty Funding- Erom the Depath¢nt of Levelling Up, ConllnuDities a￿d Local Support via NELC to
enable the continuation of the domestic abuse service ai full capacity.
NELC A$se8srnent of Polict RdeTrals Funding- to optijnise ellgageme￿t for domeslic abuse by providing fl￿dIng for a referral
8uppoTrrt worker to tak¢ ￿lIce referralg.
Access to Work Graot- to fi￿d Support Wother's costs ag a Job aide.
22. RELATED PARTY DISCLOSURES
There wer6 no rcldkd party tratssactions thJriDg the ye4r.
23, OPERATING LEASE COiI(MrrMENTS
The following operating lease paYM￿ts 4re coromitted io be pti1￿.
Land and bui]dillg5
2024
2023
Expiring..
Within one year
Wtihin two to five y¢at
Over 5 years
32.4ll
30.186
95.213
6?,597
95,213
Page 25

NORTH EAST LINCOLNSHIRE WOMEN'S AID
NOThS TO THE Af*CI.4L sTATE￿h￿S. CONTINUED
FOR THE YEAR 315t MARCH 2024
24.ULTIMATE Co￿￿RoLLING PARTY
The charity is under the control of its Mallagemeni Comrniltee who control tbe overall strategy alld lotsg-t¢nn direction of th¢
ch&rity.
25. GOING CONCERN
The cliarity ha8 nol identified any material uncertaiaties inwact Ott its ability to ￿ntinue ￿ & going GoncenL
Page 26

NORTH EAST LLNCOLNSUIRE WOMEN'S AID
DETAILKD STAThMENT OF FIN.4liCIAL AcfiviTIES
FOR THE YLAR Ehl)ED 31ST MARCH 2024
2024
2023
INCOME Af4D EM>owTr￿Tr1TS FROLV
Donatiolls alld leg4de$
Donation8
63.929
150,638
27,117
166,102
214.567
193219
Otlier tradlng aetivlties
Genernl thndraising activities
Charity Sbops
Profit on disposal of assets
Room hire
Children's services ¢harge
Ele¢tricity getteration
13.004
557.322
S,963
447,693
9,200
3,603
6,095
2,047
4,189
6,718
2,059
583,292
474,601
llleome from thvtstments
4,358
2.869
Ineome from charltable &ctiTrTrtJe8
Housing bellefit8 and rettt
Hou8ing Related Support re.. Refuge and Anllcxe
Hou8ing Relatsd SuppDrt re.. Floating Support Service
Rental It￿Me from propertieb
Training
Other ittcome
255?31
49,140
109,200
98,155
8,699
216,271
49,140
109,200
67,255
12,120
378
521,033
454.364
Total Income alld endowments
1.323,250
I,125,053
EATENDJfuRE OTr4
Cost of generatlng voluntary income
Fuudrai8ing expenses
454
127
Fundraising tradi￿. Cost of goods 501d #ud Other eosts
Staff costs
Premises ¢05ts
Volunteer expen8¢5
Office costs
Fundraising experAS¢S
Sundry expense8
Vehicle expenses
Legjl fees
Depreciation
181.734
107,625
4,659
9.1 12
31,378
7.103
4,519
150,593
98,S 18
4,905
3,670
5,863
11.729
1.305
10.872
11921
358.051
303,680
This page does not fonn part of the statutory fin￿Cial statements
Page 27

NORTH EAST LINCOLNSHtRE WOMEN'S AID
DETAILED STATKMEYT OF ACTivfiIES
FOR THE YEAR EM>ED 31st MARCH 2024
2024
2023
Charltable actirftles
Staff costs
Volunteer expense$
Premises costs
Office cogt8
Benefici&ry expen
Vehicle expenses
Sundry expenses
Loan interest and ¢h&rge$
Leg￿ expenses
Depreciation of tsngible flxed assets
354,783
92
161.833
5.475
29.082
2.763
1,476
26.297
344.362
223
144,782
6,887
54.652
4J74
17,650
2292
18,878
17.970
599.771
596,542
Other expendltllrt
con￿littee expenses
Auditor's remuncratio
Lc8al and HR expenses
Restructuring Sage
R6si8tered office fee
1.495
3.764
5258
2.600
145
1,386
10,188
957
145
13,262
12,676
Support colts
Staff costs
Utiliti¢s and office cost8
Sundry expellses
158265
iO,868
3,876
154,935
38,771
2,498
213,IM)9
196,204
Totsl expcnditure
.184,547
1,109,229
Net income l (expenditllre)
138,703
15.824
This paEtr does not form part of the stathtory financial statements
Page 28