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2021-03-31-accounts

Registered Company Number: 05016359 Charity Number: 1102345

HOME-START SOUTH WORCESTERSHIRE

REPORT AND ACCOUNTS

FOR THE YEAR ENDED 31 MARCH 2021

HOME-START SOUTH WORCESTERSHIRE

REPORT AND ACCOUNTS - CONTENTS FOR THE YEAR ENDED 31 MARCH 2021

Page
Trustees Annual Report 1 - 6
Independent Examiners Report 7
Statement of Financial Activities 8
Balance Sheet 9
Notes to the Statement of Financial Activities 10 - 13

Home-Start South Worcestershire Report and Accounts for the year ended March 2021

Contents:

Report of the Trustees Constitution Management Committee Home-Start, a brief explanation Chairman's Report Manager’s Report Treasurer’s Report Reserves Policy, Risk Management and Management Committee responsibilities

Financial Statements

Trustees Annual Report 2020-2021

Legal and Administrative Information

Status

The charity is constituted as a company limited by guarantee and is, therefore, governed by a Memorandum and Articles of Association (incorporated 15[th] January 2004). Charitable status for the new company was granted on 26[th] February 2004. The organisation became a registered charity (unincorporated) on 1[st] June 1984 (as “Home-Start Worcester”) and that charity (number 515178) transferred its assets and liabilities in to the new incorporated body on 1[st] April 2004. (‘ʻHome-Start Worcester & Wychavon”). The Charity was renamed “Home-Start South Worcestershire” on 29[th] May 2014. The operation of the Charity is vested in a Management Committee which is set out on page 3.

Directors

The Directors are the Trustees of the charity and its first members. Directors will be appointed at the Annual General Meeting and at their first meeting will appoint a Chairman for a three-year period, a Vice Chairman and Treasurer.

Company number 5016359 Charity number 1102345 Registered office 52, Prospect Close, Malvern, WR14 2FD Business address 52, Prospect Close, Malvern, WR1402FD Charity’s bankers: Unity Trust Bank plc Four Brindleyplace, Birmingham, B1 2JB Accountant Gordon Whittaker

The individual reports as set out on pages 6 to 8 complete the annual report of the trustees of the charity as required by the Charity Commission.

Page 1

Management Committee 2020-21

The trustees of the Charity are also Directors of the Board of the Company. The Board has appointed Jess Bird as its Company Secretary. Directors are appointed at the Annual General Meeting and at their first meeting will appoint a Chairman for a three-year period, a Vice Chairman and Treasurer.

Chairman Mr Graham Hughes

Vice Chairman Mrs Pauline Thorpe

Treasurer Mr George Salmon

Trustees/Board Members Mr Graham Hughes Independent Representative Mr George Salmon Independent Representative Mrs Pauline Thorpe Independent Representative Mrs Sally O'Halloran Independent Representative

Advisor Mrs Laura Elliott, Health Visitor, Worcs Community NHS Trust

Staff Ms Jessica Bird Charity Organiser Miss Carolyn Dixon Office Manager

Structure, Governance and Management

Constitution

Home-Start in South Worcestershire was originally registered as a charity no. 515178 in 1984. In view of the large contractual liabilities of property ownership the trustees decided to register the charity as a limited company and this was done on 01.04.04, company no. 5016359, new charity registration no. 1102345. The Charity was renamed “Home-Start South Worcestershire” in 2014 to reflect the combined service across Worcester City, Wychavon and Malvern Hills.

Aims and Objectives

Aims

The aims of the charity fully reflect the legal objects and purposes that the charity was set up to further.

Objectives

The objects of the charity are:-

To safeguard, protect and preserve the good health, both mental and physical, of children and parents of children

To prevent cruelty to or maltreatment of children To relieve sickness, poverty and need amongst children and parents of children To promote the education of the public in better standards of childcare within the area of South

Ensuring our work delivers our aims

Each year our aims, objectives and activities are reviewed, based on the outcome of our work in the previous 12 months, to ensure they still reflect and further our aims and legal purposes. In our planning, setting objectives and determining our activities the trustees have paid due regard to the ‘General Guidance on Public Benefit’ published by the Charity Commission. In so doing, the trustees consider the activities planned and how they further the aims and objectives they have set. The success of activities is reviewed each year in the context of benefits they bring to those groups of people we are set up to help.

How our activities deliver public benefit

Our activities described in our objects are undertaken to further our charitable purposes for the public benefit.

Page 2

Structure and management

The structure and management of the charity is as set out on pages 1 and 2 under “Legal and Administrative Information”. Key members of staff are also shown in that section.

Appointment of trustees

The directors of the charitable company are trustees as defined by the Charities Act.

The Articles of Association define how directors are appointed, either by the members at a general meeting (after requisite notices have been given) or by appointment of the existing directors.

At each Annual General Meeting one third of the directors have to retire and those that retire are eligible for re-election.

Trustees’ induction and training

New trustees undergo a process of orientation to ensure that they are aware of their legal obligations and are made aware of the importance and content of the Memorandum and Articles of Association. They are also introduced to their co-trustees as well as the key members of staff.

The Trustees are given, on appointment, access to the Home-Start UK intranet, which includes direction to the Charity Commission’s booklet for new trustees, the last year’s annual report and accounts and HomeStart’s policies and procedures.

What is Home-Start?

Home-Start is a voluntary organisation in which volunteers offer support, friendship and practical help to young families under stress in their own homes helping to prevent family crisis and breakdown, and emphasising the pleasures of family life.

How are referrals Managed?

Management of Referrals is undertaken according to the Policy agreed by the Board of Trustees each year.

Who Are the Volunteers?

Volunteers are people from different age groups and backgrounds who all have parenting experience.

Who Can Be Referred?

Any family living in the area, with at least one child under 5, who may be experiencing stress for a variety of reasons.

What is Home-Start UK?

Home-Start UK oversees the network of local Home-Start schemes, provides policy, training, information, guidance and personal support for existing HOME-START schemes and assists the establishment of new ones.

Page 3

CHAIRMAN’S REPORT

(written Dec 2021)

Someone recently said to me what a waste of a year 2021 had been and 2020 had been no better. We are all starting 2022 in an equally difficult situation although Professor Whitty et al are saying the worst of Covid is nearly over.

Unfortunately, the advice from government to work from home if you can is not good advice for our HomeStart volunteers. Unlike all other agencies we do exactly the opposite as our volunteers do their voluntary work in other people’s homes.

We are very fortunate to have Jess our Charity Organiser and Carolyn our Office Manager who both have enthusiastically kept the agency up and running both working from home and in the office when possible. They have volunteers waiting to take part in the introductory programme when we can get back into our normal working pattern and no shortage of referrals. During the furlough period they both continued to accrue annual leave which they can now take in addition to their current annual leave entitlement which will use up some of the inevitable dead time.

Financially we appear to be secure for the foreseeable future following the sale of our office building. The Board have decided to postpone applying to the larger funders such as the Lottery whilst we still have substantial reserves to keep us going.

It is unfortunate that we have been yet unable to come with any sort of an agreement with Citizens Advice regarding their demands for payment for rent and utility use. We have been advised that we have a very strong case which the Chairman of CA refuses to accept and has alleged on several occasions that we are in breach of differing sections of the licence agreement which we have been able to satisfactorily refute.

We advised the Judge that we would be content with a determination based on the paper evidence submitted so far but this needs both parties to agree so as the chairman of CA said to me at our last zoom meeting “see you in court”.

I must at this point thank Jess and her personal and professional contacts for their help and advice in preparing our case. The next and hopefully last episode will be a telephone hearing with the judge in February 2022. The Judge has the authority to make a final decision following that hearing without the need for a formal hearing at court if appropriate.

Finally, once again I thank the members of the board and the staff for their unstinting support and the past present and future volunteers who are what Home-Start is all about.

Graham Hughes Chairman

TREASURER’S REPORT

Financial Report 2020-2021

At the start of the year the charity had liquid assets of £17,409.87.

The significant financial event in this year was the sale of 52 Prospect Close for a capital sum of £255,000. This achieved the strategy adopted by the trustees.

At the close of the year liquid assets had risen to £258,357 the trustees resolving to use this sum to provide a service as long as possible or until another source of funding was identified.

George Salmon Treasurer

Page 4

ORGANISER REPORT 20-21

This year has been trying on many fronts, not least because we have been unable to offer the home-visiting service to families since March 2020. Staff have been furloughed initially full time and then returned to work part time when this was allowed. Our volunteers of course have been with their own families and we very much hope they will return when it becomes possible. 50 per cent have to date let us know they will be able to come back. Of the others, increased work and family commitments, health and other reasons meant that some have had to bring their time with us to a close; we are very grateful for all they have done for the families we work with and will be delighted to see them back again in future if they wish. All the very best to every one.

The sale of the building at Prospect Close in Sept 2020 has to some extent secured our funding for the service in the near future, however it is a great shame that our future use of the office space at no 52 is still endangered by the extraordinary legal challenge which has been thrown at Home-Start by the Chair of Citizens Advice South Worcestershire.

I am confident that in time reason will prevail and we will continue to be welcome in our current "home". However, I am personally deeply disappointed that the working partnership between the two charities which we originally envisaged has not materialised, and that the terms of our carefully constructed agreement have been so gravely misunderstood by the Chair and Board of CASW. Unfortunately, time, and other resources have inevitably been diverted to defend our case; happily on our side at least, no actual charity funds have been expended on this as Home-Start South Worcestershire has access to top class legal support on a pro bono basis thanks to the generosity of our Friends, and our Trustees continue as always to give their time freely and generously.

We recognise again the commitment and support of all our volunteers and look forward to more peaceful times in the near future.

Carol C, Elizabeth C, Deborah D, Rachel D, Steve D, Suzanne D, Jacquie G, Petra K, Helen N, Emma P, Delia T, Eileen T, Catherine S, Kate W, David W, Charlotte C, Tricia F, Tracey G, Helen R, Mel W, Tracy J- B, Nicola D, Angela J, Ro F, Zita M, Di C.

We also thank all donors whose kind gifts enable us to keep our service afloat in difficult times:

Lady Morella Wiggin, Charities Trust, Claines United Charities

Lastly I would like to thank Carolyn our Office Manager without whose steady hand and first class admin

Jess Bird

Home-Start South Worcestershire

Reserves Policy

Notes in the Financial Statements set out the policies adopted by the trustees in respect of the various funds.

Risk Management

The trustees have examined the major strategic business and operational risks which the charity faces and have enabled systems to be established which will produce regular reports such that the necessary steps may be taken, in good time, and with appropriate professional advice, to minimise the impact of any of the aforementioned risks.

Page 5

Statement of Management Committee’s Responsibilities

Company and charity law requires the Management Committee to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity and of the surplus or deficit of the charity for that period. In preparing those financial statements, the Management Committee is required to:

select suitable accounting policies and then apply them consistently; make judgements and estimates that are reasonable and prudent;

state whether applicable accounting standards and statements of recommended practice have been followed subject to any departures disclosed and explained in the financial statements; and

prepare the financial statements on the ongoing concern basis unless it is inappropriate to presume that the charity will continue in business.

The Management Committee has overall responsibility for ensuring that the charity has appropriate systems of controls, financial and otherwise. They are also responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the charity and enable them to ensure that the financial statements comply with the Companies Act 2006. 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.

This report was approved by the Management Committee on Monday 11 Dec 2021, and signed on its behalf by Graham Hughes, Chairman:

Graham Hughes - Chairman

Page 6

INDEPENDENT EXAMINERS STATEMENT

FOR THE YEAR ENDED 31 MARCH 2021

The charity's trustees are responsible for the preparation of the accounts. The It is my responsibility to:

My examination was carried out in accordance with general Directions given by the

In connection with my examination, no matter has come to my attention.

  1. which gives me reasonable cause to believe that in, any material respect, the requirements:

  2. to keep accounting records in accordance with section S130 of the 2011 Act; and to prepare accounts which accord with the accounting records and comply with the accounting requirements of the 2011 Act; have not been met; or

  3. to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Gordon Whittaker

Dat20 January 2022

Page 7

HOME-START SOUTH WORCESTERSHIRE

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 MARCH 2021

Notes
INCOMING RESOURCES
Donations and Legacies
2
HMRC Job Retention Scheme
Investment Income
3
TOTAL INCOMING RESOURCES
RESOURCES EXPENDED
Charitable Activities
4
NET INCOMING/(OUTGOING)
RESOURCES
5
LOSS ON SALE OF PROPERTY
TOTAL FUNDS BROUGHT FORWARD
TOTAL FUNDS CARRIED FORWARD
Unrestricted
Funds
£
1,524
18,085
8,483
28,092
34,216
-6,124
-132,454
397,935
259,357
Total Funds
2021
£
1,524
18,085
8,483
28,092
34,216
-6,124
-132,454
397,935
259,357
Total Funds
2020
£
630
0
17,519
18,149
47,350
-29,201
0
427,136
397,935

Page 8

HOME-START SOUTH WORCESTERSHIRE

BALANCE SHEET AS AT 31 MARCH 2021

Notes
Fixed Assets
Tangible Assets
7
Current Assets
Debtors
8
Cash at Bank and in Hand
Creditors: Amounts Falling Due Within
One year
9
Net Current Assets
Net Assets
Funds
Unrestricted Funds
10
Total Funds
£
3,042
259,042
262,084
3,436
2021
£
709
258,648
259,357
259,357
259,357
5,003
20,807
25,810
7,276
2020
£
379,401
18,534
397,935
397,935
397,935

The charitable company is entitled to exemption from audit under Section 477 of the Companies Act 2006.

The members have not required the charitable company to obtain an audit of its financial statements for the year in accordance with Section 476 of the Companies Act 2006.

The trustees acknowledge their responsibilities for:

These financial statements have been prepared in accordance with the special provisions of Part 15 of the Companies Act 2006 relating to small charitable companies and with Financial Reporting Standard for Smaller Entities (effective January 2015).

The Statement of Financial Activities were approved by the Board of Trustees and signed on their behalf by:

Chairman - Graham Hughes

Date 11 December 2021

Page 9

HOME-START SOUTH WORCESTERSHIRE

NOTES TO THE STATEMENT OF FINACIAL ACTIVITIES

FOR THE YEAR ENDED 31 MARCH 2021

1 Accounting Policies

Basis of Preparation

The accounts have been prepared under the historical cost convention and in accordance with "Accounting and Reporting by Charities" - Statement of Recommended Practice (SORP 2005) and Financial Reporting Standard for Smaller Entities (FRSSE).

Tangible Fixed Assets

Depreciation is provided at the following annual rates in order to write off each asset over its estimated useful life.

Plant and Machinery etc

15% on reducing balance

Pension Costs and Other Post-Retirement Benefits

The charitable company operates a defined contribution pension scheme. Contributions payable to the charitable company's scheme are charged to in the period to which they relate.

2 Donations and Legacies

Donations
3 Investment Income
Bank Interest Receivable
Property Rental
Unrestricted
Funds
£
1,524
1,524
Unrestricted
Funds
£
4
8,479
8,483
Total Funds
2021
£
1,524
1,524
Total Funds
2021
£
4
8,479
8,483
Total Funds
2020
£
630
630
Total Funds
2020
£
19
17,500
17,519

Page 10

HOME-START SOUTH WORCESTERSHIRE

NOTES TO THE STATEMENT OF FINACIAL ACTIVITIES

FOR THE YEAR ENDED 31 MARCH 2021

4 Costs of Charitable Activities By Activity Type

Staff Costs
Staff Expenses
Staff Training
Volunteers Expenses
Volunteer Training
Subscription
Printing Postage and Stationery
Telephone and Internet
Insurance
Professional Fees
Sundry Expenses
Repairs and Maintenance
Depreciation
Direct
Costs
£
28,890
475
0
0
24
294
0
1,214
537
73
1,427
237
33,171
Support
Costs
£
1,045
1,045
Total Funds
2021
£
28,890
475
0
0
24
294
0
1,214
537
1,045
73
1,427
237
34,216
Total Funds
2020
£
30,789
1,617
58
542
248
294
88
1,236
1,209
798
73
1,505
8,893
47,350
5 Net Incoming/(Outgoings) Resources For The Year 2021 2020
£ £
This is stated after charging:
Depreciation 237 8,893

6 Staff Costs and Emoluments

No salaries or wages or expenses have been paid to trustees nor for the previous year.

Page 11

HOME-START SOUTH WORCESTERSHIRE

NOTES TO THE STATEMENT OF FINACIAL ACTIVITIES

FOR THE YEAR ENDED 31 MARCH 2021

7 Tangible Fixed Assets
Freehold
Property
£
Cost
As at 1 April 2020
428,869
Sales
-428,869
As at 31 March 2021
0
Depreciation
As at 1 April 2020
50,414
Sales
-50,414
Charge for Year
As at 31 March 2021
0
Net Book Value
As at 31 March 2021
0
As at 31 March 2020
378,455
8 Debtors
Trade Debtors
Sundry Debtors
Prepayments
9 Creditors: amounts falling due within one year
.
Trade Creditors
Social Security Costs and Taxes
Income Received in Advance
Accrued Expenses
Fixtures and
Fittings
£
17,464
17,464
16,518
237
16,755
709
946
Totals
£
446,333
-428,869
17,464
66,932
-50,414
237
16,755
709
379,401
2021
£
0
2,853
189
3,042
2021
£
83
2,031
0
1,322
3,436
2020
£
4,375
628
5,003
2020
£
260
2,025
4,104
887
7,276

Page 12

HOME-START SOUTH WORCESTERSHIRE

NOTES TO THE STATEMENT OF FINACIAL ACTIVITIES

FOR THE YEAR ENDED 31 MARCH 2021

10 Movement in Funds
Unrestricted Funds
General Funds
Property Maintenance and Development Fund
Operating Fund
Net movement in funds, included in above are
Unrestricted Funds
General Funds
Property Maintenance and Development Fund
Balance
1 April 2020
£
2,752
351,683
43,500
397,935
as follows:
Net Fund
Movement
£
-6,124
-132,454
-138,578
Incoming
Resources
£
28,092
28,092
Fund
Transfers
£
219,229
-219,229
0
Resources
Expended
£
34,216
34,216
Balance
31 Mar 2021
£
215,857
0
43,500
259,357
Movement
in Funds
£
-6,124
0
-6,124

11 Going Concern

The financial statements have been prepared on a going concern basis as the trustees believe that no material uncertainties exist. The trustees have considered the level of funds held and the expected level of income and expenditure for 12 months from authorising these financial statements. The budgeted income and expenditure is sufficient with the level of reserves for the charity to be able to continue as a going concern.

Page 13