REGISTERED COMPANY NUMBER: I)S368531 (England 4nd Wales)
REGISTERED CHARtTY P4UMBEIL l Ilb8855
REPORT OF THE TRUSTEES AND
ITED FINANCIAL STA TEMENTS FOR THE YEAR ENDED 31ST MARCH 2022
FOR
HOMLSTART F.AST SUSSEX
A COhtPANY LIMITED BY CUARANTEE
W￿d88t¢ Accounting Scrviccs Limited
Charterrd certifi￿ Accountsnts
Unit 43, Newhaven Enwrise Centre
Newhavcn
BN9 9BA

HOMV3TART EAST
NTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR
ED 3tST MARCH 2022
Report of the Tru
Ito6
Independent Examinevs Rep)rt
Sta*ment of Financial Actxvities
Batanee Sheet
910 10
Notes to the FinaNia] Statements
iito20

HOME-START EAST SUSSEX
REPORT
FOR THE
THE TRUSTEES
R EfiDED31ST M
The WIM) ar¢ a]so di￿10[5 of the d)￿Ity forthe purpM)ses of the Companies Act 21M)6, present their report with
the finanGiaJ Statements of the ¢har5ty for the ytarended 31 Mar¢b 2022. The f￿ancial staternenLS hawe been prepared
in accordan¢e with the charity's Memorandllrn and A￿tle4 thc Companies Act 21X)6 and the provÈsiorLS of Accounting
and ReFK)rtin8 by Charities.. SthtemeD( of Rtcommend¢d PNti¢e applithle to charities prewttg their &counts i
ac¢tsrdance with the FinanGia] Rewrting Stsndard appli¢abl¢ in the UK and RqxLblÈc of Ireland {FRS 102) {effective I
janu￿ 20E9).
Ch8lr's Overvlew 2O21n2
l am ple￿ed to introduce the Home-stsrt Fast Annual Re￿rt and Financial Sltstowts for2021122 aftertwo
very Challenging years.
A year ago. my oveThi¢w T)Oted the yedrhad *arted with the fiN Covid kKkdown and ended with the third This
is being presented whcn a]1 Covid restrtdion5 have Ixen e&sed and when we sIM￿]d be IIK>king forw￿ to better times.
Ironly things were that c&sy. The negative impa¢¢ of the k)ckdowtL8 livc on for many ofour familie5 and their existing
challenges are now [￿M￿lUnded by escalating inflauon and Ereatrr than ever finaTrciaJ worries. Hom¢-Stsrt will be
doin8 its best to offer 5uppK)rt in these dilTieult times but let no one thulk it will be easy forourvolunte¢rs our staff, or
our fatnilie5.
The year und¢r review w&s characknsa by the ev¢r-dw)gti)g lan¢tscape of rAndemic restrictions. HSES stsff hAd
worked tirelessly the previousyear ￿ adaw our practices to tnable suppTrrt aL a thstsrt¢e and 3]though there were times
toward the end of the year Wh￿ we could hav¢ retyrned to hom¢*Vj5ititE8 or holdin8 groups F¢rg)n instead of using
Zoom, we took cautio￿5 apFmaches w eThswe th¢ safety of everyone involved. We fxe the comin8year ¢xpe¢titJg to
able to offer more and more of our 5uprx>rt in perwn yet Mill ensurtng safdy.
Though it was not an e&sy year. there are many p)sitrve things to reF￿. Kate LawTeDce, the CEO of HSES, w&s
extremely su¢ce&sful in applyin8 for fim¢ls from a large nwnt*r of trusts and organisations- so much so that she h&8
ensured th¢ ¢ontinuatioll aTLd growth of our incre&singly dtvetse ran8e of supw)rt thwughout the 2022123 fLnanciaJ ye&r
and, in Pa￿ for subsequ￿t ycar& New staff have W arp)inted to exknd the s¢a]e and range of our Work aTLd to
tsckle the sigttificant ￿ rn a(bnini5tration that has accomrAnied it. The data contatned lal£r in this report ijjdicates
we reccivcd 455 referrals and wotked with 288 individua]s who n¢¢¢kd ow help.. their 5en5itive r*rsonal data will be
managed se¢urely with metieulous accuracy aDd ¢*e by our n¢w ¥knin soff.
The yetr saw the introd￿lI0n of ow fjrst fimded one-￿￿1DVA (Irtdeyendo￿D0￿￿￿1c WwlenceAdvi5erJ service
to enhat)c¢ the group eAablished through the Loths gnd IPkn's th Cknrge? programmes. Alongside this
d¢velopmettL we began to plan forLotsLS BIo&fOm for individuals WIM) have moved thmugh and who now wish to
b¢tom¢ pEq supp)rters for the future. Thi5 i5 now to FK funded for fiveye4rs from April 2022 thanks to Natio]￿￿
Lottery.
The Being M4m grou{￿ established in 2020121 provide SJP￿rt to frst time mothers and their new-FM)rn babie
continued to be 4)pr￿lat￿l. Towards the end of the year, we had to (J)nfront the enduring difficulty in Securing funds
ftsrthe volunteer home-visiting serviee which is the b￿tr￿k of our early intr1v￿lIOt) setvices. We concluded th81 th¢
best way foTward was to amajgamate being Mwn ￿7th tllls service and to r¢-fLW kntb to illelud¢ gTOUPS and one-to
ot)¢ family $upport foi primary ¢areTS with a baby under 12 month5. The new apExoacl Bang F￿￿{lY. is to be launchcd
in April 2022 aTKI we Im)￿ to have 8IMMfi news re8￿18 ful￿]n8 by thislime ne￿ year.
An Equality, DiveT5ity and I￿]UsIon cl￿OrdInator was aFy)inted during the year to Cn5wc that our s¢rvice5 were
reaching as wide a ratsge of clients &% p)ssible and lo advise on aciion that might be need&1 to achieve this. W¢
identified the need to be more Tractive with certain gmups and have paTthertd Brighton Switchboard to develop
and achieve reCo8rÈj￿d quality thxlarth in re5￿tof the LGBT+ eommunity.
txtring the yw. we welcoTn¢d Cheryl Titherly WJ the Bo2rd of Tn]s*es S&￿y, lost Sarah tast and Ken Stsrnes
who ne¢d¢d to focus their lives on new aff&s of acAivity. Both had made significant ￿￿tribUtiOnS to Board business for
sY)me Yea￿ and Ken had i*en the Hoftor￿ Trea8urcr stncc 2016. 1 offer my th8nks to them and to Derck
Andrew& on¢ of our lon8cst-servingvolunle￿S and trusteE who h&5 s*pr£d in on &tern￿rary basts until wc can
appoint a new TTrasur¢r.

-START EA
SUSSEX
REPORT OF THE TRUSTEES
E YEAR ENDED 31ST MARCH 2022
Jt h&$ l*en abusy ¢hailenging year. I￿t HSES has math gimyj rmgrw on 4 rnng¢ of fronts. None of this would be
Fossible without the dedicatiot) of the staff team with their-can do" approach. the loyal band of volunteers, 4)ur fi]nders.
and the trustees to all of whom I offer my ¢bank5 and very wish¢s for the conkitigyear.
Cbrastine Moon
Chair, HSES
FINANCIAL REVIEW
The charity's r]naDccsthmu8lM)Utth¢year hwe remained stron8 thie to severa] key factors..
l.Th¢ extretne effort the CEO h&$ giv¢n ￿ Biigting the needs of the wtth the aims and crileriaof sn AtTry of
funders and thus delivering prop>sais whÉch ￿[fil these requirements.
2. The CEO'$ obility lo ]nanage staff. finance, 8nd systems ￿ t￿%￿re sofvency and q￿tty seTri¢es ore maintsincd even
at the most ehailen8itl8 of ¢ime&
3. A strong Board of TnL*es who ¥e Wwtive of the CEO. xtiD8 as"criticat friends- and f(KLtscd on the long-term
success of the scheme.
For the year under revi¢w. we *e therefore rerA)rting 8netwlus of£14.854 and rtserves at year-en<L £82.314 ar¢ ¥
solid fin8ncial base for 2022123. even tkn{￿h ourconting￿I liabiltiies have increa*1 from £34,(KK) to £71,(K)O because
of chan8ing bllsiness need
D¢r¢k Andrcw5
TTeasur¢r
OWECTIVES AND AcrivrriLS
HoM￿Start L&%t Susscx believes that every Child and livin8 in should live in 2 safe and nurtiwing
family wh¢re every tnember enjoys a rx>sitiYe life.
Homtrstart East Sus5￿ {HSES) is a small kKaJ tndewkdent registered charity afflliated to Home-start UK and
SafeLives who provide us with rxTrlicy 8uidance and qua]ity stsndards. Since 1996 th¢ ¢tharity h&s 5UPPOrted and
empowered over 25Tr) vulneT8blc and diSad￿ltag￿ familie5findividuals. The wrp)se of the chArity is to f￿11118t¢ the
increased s&fety, Well-ki￿ eoDfidenc< and independence of local families that have experienced adve￿ty. The
charity supry>ns fatnily m¢mE*rs to build safer. stmn8er. atsd more ￿illeD1 r¢l*ion5htp& encouraging clients to make
decision& art for th¢mselv¢5 and tske baGk control of their lives. HSES h&s betn awarded SafeLiv¢5 L¢ading Lights
aecreditsti¢)n- the gold star Stsndard for &)me5tic ab￿￿ 5crvices. This means that all our services have ¢mwwemi¢nL
re$ilience, and di¢nt safety at their coff.
In 2021- 22 H¢)rn￿Start E&%t SussvA ran and one W[atA￿ service..
Lotus non-(xisas i*)me￿i¢ atwse ￿Very wograme.. &we¢k group female victim-$urvivor5 to
re¢tsvet and move foThwgrd with their liveg *MI keep knsefves gnd their children safe in bjture
Who's in Charge? pe0￿me. 9-week that swp(¥ts exwaetteiug Child to parentth]Be and
violence to help improve parent-child relationships
{llil
B¢in8 Mum progrdmm¢: gTOUP forvu1ner￿l¢ new fwst lime Mums whose babies ar¢ at risk of
(iv)
Vtsluntttrhom￿ViSiIin¥ service s4)EKKting vulnerable families pre￿h(m)I children

HOMLSTART EAST SUSSEX
PORT OF TH
USTE&S
R THE YEAR ENDED 31ST MARCH 2
We were ajso able to offu one-twie tDVA to clienLs attending our service5 that had expttieneed dornestic
abuse including child to went violente. Thrs inclth safety plamiing, *lvicc rel*an8 to cour4 Iegal supporL child
eontscL li￿sOn with social servicts and sch(x>ls, a¢tessiTJg health services, pareniing children wlK> may be ￿UmatiSed
by dom¢stie abwe, benefits, housing. a[￿ emotional S￿)￿[￿ We ajso e￿ated ¢li¢nts to high-risk services such as The
Portal and MARAC if neceswy.
In 2021- 22 Home-stsrt Suwx h*J 8n of 7 employ¢¢& on¢ Sub￿%￿ts￿*d worker. 9 trths artd approx.
20 volunteers:
Chief EX￿ul1ve. IServRcts MaDa8er and SafeguardiDg Lead)
Cltent Safety and Quality Assurance Nltyger
Client Diversity and Inclusion C(K>rdtnator
Voluntrer Family Supwrt Service c£￿In&tor
Whole Fa￿tIlY IDVA'S
PYo8rèmmcs Facilitator
Programmes Assislant
S¢rvic¢s Administralor
SJb¢ontr&ted Financial Controller
ACHIEVEMENTS AND PERFORMANCE
The LotU5 pro8fdmme supw>rted 55 fern￿¢5 withl 10 Childre￿ across 5 progra￿¢$.
Who's it% Charge? supwrted 30 pareE)ts and weT5 with 77 chilrf acn)s$ 3 wogrntmnes.
Being Mum suwM>rted 44 mothers and their 44 babie% xros8 5 pnw2mmes.
Volunteer family sutwrt service SUPFKJrtol 81 thildrert livin8 in 40 lamilic8.
We were able to provide One-t¢￿(me IDVA to 119 cliaAs with 234 children.
Thrtt staff rncmkrs 8aincd the SafeLivts IDVA qualification.
We WOTk¢d in pthership Thith two Brighton lJntVff5ity MastCT5 who carrid out an independet)¢
evalu8ti¢)n of our services to help u5 irnrffove curreot services and dev¢Jop qU￿lty new ones.
Set up a fomial paTtsLership wkth LGBT+ srrtiajist ch8rity Brights)n Switchboard to develop a LGBT+ quality
standard S￿C]rICallY forthmesti¢ abuse service
Feedback from our Clients confmed that 92% felt their mental health and wellbeing had improve¢ 91%
re￿rted th* their social 5UPPJrt hJJ iTnprove4 94% feli their risk of harm had tEduce4 84Yo feli the service
had a positive impa¢ton their ¢hildr¢n aThJ Th wM)rted that the service had had &p)sibve in]paGt on their
lationship with their rArtner.
91V/ts overall TM)sitive outeom&% all servic¢s.
THE FUTURE
The long-ternj quality and security ofour ¢x]rr¢nt seryitts and the developrnentof quality new Services are our highest
priority. In 2022- 23 we will ￿=
Pilottns & group ￿¢￿ supw1 S¢tvi¢¢- Lo¢uts Bl£￿Tn Projcit LA>tu3 Blo&3om will bc a peer 31JPFK>rt 8TOUP for
clients that have attended on¢ of our (trwe¢k lJ)ius grow. Ex clients will be trained to facilitste a
follow-on 8roup forother ex-Lotus clients.
Extendin8 EDVA %rvic¢ ￿ th* any trans8¢Dduornon-binary resident of Eas¢ Sussex or Brighton &
Hove can a¢ce&4 IL
Reviewtn8 lo¢￿ gaps in service Frovision and setup ncw pik)t Servic￿ that ate within the scope of our
Obj￿.
Ensurin8 our eontinued yjccess by re8ular monitorin8ofour fJnan¢ial p)sitiotK ol￿Oing hamessing of ow
t￿ented teams. skills and-can4k)" attibJd¢ and remainin8 a learning or8anisation.

HOME-START EAST SUSSEX
RTOF THE TRUSTEE
R THE YEAR ENDED
1122
srRUCTURE, GOVERNANCE AND MANAGEMEKr
The Board of Tnjstees goven)s the ¢haTity in accordance with the comtony's Mfflnoranthm and Articles of Association"
it sets the objectives 8nd provides l¢adetship and strategic diredion. The B08nl delegates the day-to-day rnana8ernent of
the charity ￿ the Chief Executive OtTJcer. She is ￿lS￿l by a small team of matnty part time ￿aff.
The BoaTd of Trusttts met via on ftve occasi¢)rL5 during the ye& received regularreFM)rts from th¢ Chief
Executive Offt¢¢r. stsff. and the Tye8surer.
Threc sLEt￿)MMItte¢s d¢aling with rnat*rs of finance, &)mmunity fimdraising and Fytsonnel advise the Board &$ and
when requtred. Ea¢h meets x¢ordingto need and the Board ITh acts)Yd•)¢e with its re5￿tive fcnns of
reference.
Risk MoJva8ement
The regularly revimv the m8ior risks to which the tharity is Twin8 pthicular att￿t￿on to fmatJ¢ial
matter4 child attd adult safeguarding reputstional risL 8nd twg)naJ safery. The tt?￿ are satisfied that the
Folicies in plac¢ to manage and mitigate identified risks are appnwjate.
APPRECIATION
Wc conclude our rep)rt by thanking everyone involved iti helping Home-start Fa%t s￿SSeX supwrt those families livin8
in E&8t Su55ex and Brighton & Hov¢ whffj forvarious Teason4 struggle to with the challenges of everyday life.
Thes¢ familie& 8t no costkn themselve& havc IKnefituxl gr￿uY from. and oursuppwL A bemefit made p)&8sble
by th¢ generous 5uprA)rL fm8neial and in kiniL recei&¢d from the following <lonor wups.
Our volunteets who give ftreely oftheirtime ￿ wovide a hornc visiting Sup1￿ 5erviL% to th0￿ itk need
Our various filnders forthetr fjtianciai $upp)rt atld ￿nfIde￿e in our ability tts deliver a Ya]uable benefit to the
community
All the indivithLal& local tra(kr& otheror8aThisation4 and fimdraiws fortheir donations
OurpartneT5 from various a8encias fortheir help with training and forsharin8 hclpful infotThation and advicx ¢m an
on-80ing basis
Our small team of paid &aff. for thetrhard worL ¢jediCatio￿ and eommitmmt in cr￿0￿1]t￿1ng 8nd m8nB8in8 the
efforts of a]1 * ensure thatour charity temains frt forpurw5e and all fun¢ls received are spcllt wisely.

HOME-START EAST SUSSEX
REPORT OF THE TRUS'rbbs
FOR THE YEAR F.
D 31STMARCH 2022
Rtgl$t¢red Company f+iumber
05368531
Registered Charlty Number
108855
Registered office
EnterpiiEe C.entre
Denton Island
Newhavcn
Easi Sussex
BN9 9BA
Trustees
MT D A Andrews
Mr M A Brewer
Mrs H Edwards
Mr5 M P Jack50n
MrssjL￿t
Miss C E Moon
Ms J M P Rice-oxley
Mr K Starnes
Ms C T Tithcrly
Resigned 15 October 2021
Chair
Resi￿ed 19 March 2022
Apwinted 18 March 2021
Independent examiner
Philip W¢wdgalc, FCCA
Wood8ate Accounling S¢rvi¢¢s Limited
Chart¢Ted Ccrtified Accountants
Unit 43, N¢whaven Ent¢rprise Centre
Newhaven
E&st Sussex
BN9 9BA
Chief Executive Offjcer
M8 K Lawrente

HOM&START EAST SUSSEX
REPORT OF THE TRUSTEES
FOR THE
NDED 51￿ MARCH 21Y22
STA TEMENT OF TRUSTELS, RESPONSIBILITIES
The trustees {wlK) are a]so the directors of Home-start East Sussex forthe purtrf)stt of&)mpany law) are re5tM)n5ible for
rparing the ReEK)rt of the and the fi1)a￿l#l statrments in accor￿¢¢ wth applicable law and UDited Kin8dom
Accounting Stattdart% (Unit¢d Kingthm Generally Accepted Ar[¥￿￿ting Practice).
Company law rw]ir¢s th¢ tru*¢es to preTwe financial stakn￿ts fore￿ fj]ian¢iai which gÈve a frue and fair view
ofth¢ St￿ of affair5 ofthe charitabl¢ Corn￿)y and of the incomin8 r￿U[eeS appli¢attoD of resources, includin8 the
tncome and¢xpendibJre. ofthe charit8bl¢L))mpany lor thatyear. b [Kepar1￿ thes¢ fiwial swments, the trustees are
required to
sel¢¢i suitsble accounting rM>lici&s and then aN)ly them ¢onsi*ently"
observe the methods and prittciples ill the Cbarity SORP,
make judgements and estimates that are re&sonabk and
swe ￿thether applicable UK Accountttl8 StaTkdards have iren folw subject to any rnat¥ia] d¢partures
disclosed and expl￿ned in the financia] statrTneDt% and
prepare thc f￿anCIal slatrments on the goin8 corKernFAsis unless it is Inap[w￿ w presume thatthe charitable
¢ompsny wÈll continue in bJstnex8.
Th¢ trustees are rtSFoll5ible for keepin8 adw &u)w)ting rel￿ dis¢los¢ with re￿nable accuracy at any time
the f￿anCial p)siiion of the charity and enable them to that the financial st*ments comply w5th the ComtWJi¢5
A¢t 2￿j6. Thcy are al￿ resrM>nsible for safe8uardirtg the assds of the charity aTvJ hence for taking reasonable steps for
th¢ pr¢ventb)n and detection of fraud and other irreguknts.
Approved by tsrder of the IM>8￿ of on 22 sept￿P￿r2022 and SI￿)] ￿ its kha]f by:
Miss C E Moon - Chairof Trustees

EP
DENT EXAMINER.
HOME-START EAST SUSSE
T TO THE TRusfEES OF
Ittdeptndemt U8miDtr's report to th¢ trustees tsf Horntrstart E*st s￿*￿£Z
I r¢w)rt to the Trusttts on my examination of the fJnan¢i8t ststements of Homtrstsrt E&st su￿￿ {th¢ Charity) for the
ye4r end￿ 31#Mar¢h 2022.
Responsibiliti¢s b45i5 of report
As th¢ TnJs*es of the charity (and alw its directors for th¢ of o)mp8my law) you are re5pon5ible for the
preparatÈon of the financi￿ sthtements in aCcorda￿t with the rquirements of th¢ Companies A¢t 2006 (the 2(K)6 Act).
Having Satisfied myself that the financial 5taternents of the charity are not r¢wirtd to be audit￿ under Part 16 of the
2006 Act and are eligible for in{kw￿ent ex&Tnlnatio￿ I re￿rt in re¥ttt of my ex8min8tion of the charity's financial
statements Lwrie(l out undtt seaion 145 of the CharÉties Act 2011 {the 2011 Act). In Lwing out my examination I have
followed a]1 the applicable Directions 8iven by the Charity Commission uyjdtt ￿tIOn 145(5) (b) of the 2011 Act.
Independent ex8mthtr'$ sl*temeDt
I have completed my examination. I c￿rIrnith3ETh) mattershave¢ometo my attetrti(M] Èn connection withthe examination
ving me cause to FEl%eve that in any materia] res￿1..
a¢¢owiting ￿rdS were not kept in r£&peitof the Com[￿Y ¥ requirt41 by seaion 386 of the 2006 A¢L or
the financi￿ statements th) noi a¢¢oTd with ttk)se re¢ord5" or
the rtnancia15tatcments do not comply with the a¢￿￿lting Tvquyr¢m¢nts of scdion 396 of the 2006 Act other
than any requirement the accounts give atrue and fairview whi¢h is noi 8 m8tt¢r ¢onsideT¢d &% part of all
independent examin¢tioo' or
the financia] ststemenLS have Dot b¢en pYep¥ed in accord￿ wth the mdhtyjs and prineiples of the Statement
of Recommended Practice for accountin8 and rep>rting by chartties 3pplieAblc to ¢harities prepattog their
8¢¢ounts in a¢coTdanct with the FiEJan¢ial Rewrting Stsndard 4ylicablc in thc UK and Rcpublic of Irel8nd
IFRS 102}.
I have no ¢(￿¢emS and have corne acro&s no other rnatter5 in with th¢ exomination to whi¢h att¢ntion should
be drawn in this reFQrt in order to enable a I￿0P￿ understsndin8 of the aC￿unts to ￿ reatheAL
Philip Wi)odgate: FCCA
Wtsodgate A¢¢ounting Servic¢5 Limited
Charterd Certifled Ac¢ountst)ts
lJnit 43, Newhav¢n F.nierprise c￿tre
N¢whaven
East Suss¢x
BN9 9BA
Datc.. 22 Septcmbcr 2022

HOM￿START E
T SUSSE
ATEMENT OF FINANCIAL AcfiviTIES
NCOR
RATING AN IrnCOME AND EXPENDfruRE A
FOR THE YEAR ENDED 31ST MARCH 2022
2022
2021
UnTa5trict¢d R¢stri¢te41 Tots] fimds Totsl funds
fi￿(ts
Not
INCOME AND EPIDOWMENfs FROM
Dottations and lega¢2es
70.732
105.406
176.138
144,956
Other tr￿1]￿8 activities
Inv¢sttnent i￿Ome
28
28
139
TotAi
70.760
105.406
176,166
145,09S
EXPENDITURE ON
Charitable Activities
114
161
03 ￿12
125 148
Totsl
47,1
114J03
161J12
125,148
PIET INCOMFJIEXPENDrruRE)
23.751
(8.897)
14.854
19.947
Transfers beNeen fimds
15
{11￿)
NET MOVEMENT IN FUNDS
21.687
(6.833)
14.854
19.947
RECONCILIATION OF FUNDS
Total tsnds brought forward
fA),627
6,833
67,460
47,513
TOTAL FUNDS CARIUED FORWARD
82
67.460
The stst¢m¢nt of finan¢i81 activiti&% include5 all the and l¢)kes reewised in the yw.
All inc4)me and eX￿dItuTe derive from continuing aaivities.
The stsiement of finan¢iai a¢tiVIti￿ also complits with tlK Tequirements for att income and ¢xp¢tt¢JÉtLEre acCo￿nt UDder
the Compaaies Act 2(K>6.

-START EAST
STERED NUMBEIL 05368531
BALANCE SHEET 31ST MARCH 2022
2022
2021
UDt&%trict￿I R¢stricted Tots] fimds Tot￿ funds
FIXED ASSETS
Tangibl¢ assets
12
712
712
949
CURRENT ASSETS
Debtors
C&8h at bank
13
1.060
150 334
172
122.864
50,(
172,864
151.394
CREDITORS
Amouni% falling due wtthin OTK ycar
14
{41262)
(SO.￿>)
{91262)
(84,8831
FIET CURREP4T ASSETS
TOTAL ASSETS LE&S CURREIYT
LIABILITIES
*2J14
82J 14
67,460
NET ASSETS
82
FUNDS
Unrestrtcled funds
R¢stri¢ted funds
16
82J14
60,627
TOTAL FUNDS
82

HOME-START EAST SUSSEX
GISTERED
BALATri
AT31ST
SHEET- CONTINUED
2022
The company is entit]ed to ￿eMPtIon from audit under Section 477 of the com[￿leS Act 2006 for the year ended
31st March 2W22.
Th¢ Mcmi￿ have not required the company to obtsiD an a￿j]I of its fjnancial sfatements for the year ended
31st March 2021 in d¢￿Jrdancc wtth Se¢Aion 476 of the Companies Act2CN)6.
The trustees acknowl¢dge thew resp)nsibilities lor
lal
Cn5UTing that the charitable comFAny keq)S ¥IxTr￿ting recorts that compty with Sections 386 of the Companies
Act 2006 and
preparing fin8ft¢ial 5tatemthts which give a true al￿ fair vtew of the stsleof aff8tts of the charitable company as
the end of ea¢h fmart¢ia] year and of its Su￿1￿5 or deficit for each financial ye8r in accordance with the
requir¢Tn¢nts of Section5 394 and 395 and wbich otherwise ¢omply with the requirements of the Compani&8 Act
2006 relating to financial statements, so far &$ applicable kn the dJari¢ablc compAny.
Ib}
These fjnancial statements have wepared in a¢¢ordonce with the speci81 wovtsions applicableto eompsnies subie¢t
to the small wmpany's rc8itDe.
Th¢ fin8n¢ial statrmertts were approved by the Boord of Tr￿ts on 22 Septern￿ 2022 aÉJd wert sigDe4J on tts b¢h8]f
by=
Miss C E M(x)n- alairof Trustres
MrD
And
Company re8iStration nuttLbcr05368531

HOME-START EAST SUSSEX
T&S T() THF. FINANCIAI. STATEMENTS
OR THE YEAR Ef4DED
022
ACCOUNTING POLICIES
Aeeounting conventlo
The financial statements have be¢n prepared in a¢¢ordance with the charity's Mernorandum and Articles of
Association, the Companies Act 2006 and"AGcounting and Rcporting by ChaTitie5-. sta￿ment of Recommended
Pra¢ti¢e applicable to charitics prcpaTin8 their accounts in a¢¢ordan¢e with the Financia] Reportin8 Standard
applicable in the UK and Republic of Ire1$￿d (FRS 102) l¢ffe¢tive l January 20191" The Charity is a Public
Benefit Cntity as delined by FRS 102.
The charity ha5 taken advants8e of the provisions in the ORP for ¢hariiies applying FRS 102 Upjate Bulletin I
not to prepare a Statement otcash Flows.
The financial 5tatementsare prepaT¢d in sterlin8 which is the fvnctionai currency of th¢ charity. Monetary arnounts
in these financial statem¢nts ar¢ rounded ty the nearest £.
The financial Siatements have been prepared Und￿ the historieai cost convention. Th¢ prin¢ip8J 8¢Gounting
polici¢s adopted ￿t set out below.
Coing eoncern
Due i() additional 5UPPKkrt from funder5, SUPTK)rters and government assistance followin8 the outbreak of COVID-
19 the trustexs at the time of 8pproving the finanGial Statements have a r¢asonable expectation that thc charity h
adequate resources to contlDue in operational exist¢n¢e lor the foreseeable fvture. Thu5. the trustees continue to
adopt the going concern basi5 of aecout)ting in preparing the fjnancial statements.
Income
All inGom¢ is recogni5ed ill the Staiement of Financial Activities once the charity has entit]¢m¢nt to th¢ fynds, it
is probable thar the income will be received, and the a￿Ount can be m¢a5ured ￿lIablY.
Donations are accounted for a5 they are received by the charity. Don8tions r¢ceived in the year that r¢late io
spe¢ifi¢ purposes have been included En restricted fund
(irants are reco8nised on an accrual's basis. accounted for in relation to the period to which they relate. Where
grants atr weived during the year under review but relate to a later ￿]0d, the amount is <kfeTred.
Investment income is accounted for on a receivable b&sis.
All other ineome is accounted for on a r￿e7vable basis.
Expenditure
Expendiiure is uccounted for on an accruals basis and has been classified under h¢adiiigs thai 3ggre8at¢ all cos¢
relat¢d to the ¢ategory. Where ¢08L8 cannot be directly attributed to particular headings, they have been allocated
to activities on a basis ¢ottsistent wth the use of resources.
Charitable expcnditure ¢omprises those ¢￿ts in¢vrred by the charity in the delivery of its activities and setvices
for its beneficiaries. It includes Eoth c05t5 that can be allocated dIr￿t]Y to Such activities and those ¢tssis of an
indirect nature necessary to suprK>rt them.
Gov¢rnan¢e ¢osts in¢lud¢d as part of the charitable exFenditt]re Include costs of the preparation ¢xarnination
of the stalutory aLLounL%', Ihe costs ol'trustee s meetings and the cost of any legal advice to trustees on governance
or eonstittttional matters.
TaDglble fixed assets
Depreciation is provided at th¢ following annual rates to write off each asset over its estimated useful life.
Compui¢r equipment
- 25Yo reducing balance

HOm￿sTART EAST SUSSEX
TES TO THE FINANCIAL STATEMEf4TS- CONTINUED
FOR THE YEAR EPIDED
In2
ACCOUNTING POLICIES- tontimwed
Critic*i *eCDWltint ¢$￿￿&t¢S *od Judgements
In the application ofthe chaTity'saccountit)g p)li¢ie& the tr￿ are requirtdto make judgements, estimates and
a5$11mptions aFK>ut the caThying amount tsf assc(s and liabilitie5 that are not Teadily apparent frorn other sources.
The esttmatrs and &wciated &wmptions art b&sed ort historical experience and other factot3 that are considered
tt) ￿ relevanL Actual rtgjlts rnay differ frorn th¢s¢ ￿]ma￿&
The estimates and underlyin8 &8￿ptiOns are reviewed on aD on80iD8 b&sis. Revisions to a¢¢ouniing esumate5
are reCO￿lS¢d in thc PCTi[￿ in which the estima* ts revis•J where the revision affects oniv that ]xr]0￿ or in the
period of the revision atKI fvtAJre where the revision affecLs tx)th ¢urm)i at)d fvtttre pert(Ml
Unrestricted fi]nd58r¢av8ilable forw atthedisctrtlijnofthetr￿t￿s in furthe￿￿Ce of th¢ir¢haTitabk objectives.
Restrict¢d funds are subject to strcific conditions by the th￿or$ as to how they may ￿ ￿Sed. The purp)ses and
ses of the ￿$triC*d funds are 5etout in the notes to the finan¢iai $tat¢m¢n
En¢hwment fund8 are subject to sittific ¢onditions by ¢knrLors that the witsl M￿St be malntsin￿l by the chpjity.
DONATIONS AND LEGACIES
2022
2021
Donations
8,153
136.803
176 138
176 138
144.956
Grants Ye¢¢ive¢ included irb the ab)v< are *% follows..
2022
2021
Small Gmts and Awards
Allen Lane Foun¢tsLiOll
Children in Need
Ltsmic Relief
EasttM)ume Boyough Cow)¢il
Edward Goslin8
Garfield Wcstor
Henry Smith Charity
CarEng for Families
MS lJ)n¢line5s Fund
DCmSIPe￿5
M8soni¢ Charirable F￿d
Nationkl Lottery Awards forAII
National Lottery Emer8ency Reswjnse Fvnd
Nationwid¢ Communtty Fund
Narwesi Circle Fund
People's Postcode Trust
Sussex Community Foundation
Suss¢x Police and Crime Commissi¢Jn¢r
Sussex Police at)d Crime CommissiorterEmer8ency Covid 19
Th¢ Kelly Family
Wealden District Council
5.132
1.704
2.(K>O
30,556
2.600
3.500
4,000
7,500
1,0
7.5(K)
42,1
5,828
24.011
25.0(KJ
25
20.(MK)
10,000
20,000
6,104
43,066
176.138
136.803

HOME-START EAST SUSSEX
NOTES TO THE FINANCIAL STATEME[￿TS-
FOR
HE YEAR ENDED 31ST MARCH 2022
ED
OTHER TRADING ArnvmES
2022
2021
Fundraising events
Trath"n8 Income
INVEsfMENf INCOME
2022
2021
Dep)sit dc¢tsU￿ interesi
28
139
CHARITABLE ACTIVITIES COSTS
Direct Costs Surwt Costs
(See nok 6) (See note 7)
Totyls
Personnel cosLs
Direct S¢ryiC£ Costs
O¢¢upall¢y ¢osts
Admit)istraiion costs
Cory)orate costs
Depreciation
Governance LX>5ts
128,410
3,642
3,583
2l.5(
2.612
128.410
3.642
3,583
21,506
2.612
237
1.322
237
lJ22
J59753
161

HOME-START EAST SU
TES TO THE FINANCIAL STATEMENTS- coKfiNUED
THE YEAR ENDED
DIRECT COSTS OF CHARITABLE AcrivrrIES
2022
2021
Stsff ￿$ts
ContraC￿S
R¢ni
In511fdnce
Light and he
T¢lephon¢
Postsge and ststionery
Sundries
Volunteer's cxrKns
Training. r(xxn hire 9￿d expens
Repairs maintrnan¢< and cleaning
IT tnainten8nce seThice$
Staff travel and cours¢$
Home-start UK fec
Publicity attd markeiing
Christmas event
DLIS ¢osts
Assets exF¢nsed
Licence costs
128.410
2,564
2289
1,019
83,065
12,187
7.416
16
1,474
813
203
42
11696
253
1,366
49
1.731
21
1548
728
735
45
.033
1.604
4,479
2,612
3,609
413
4(kS
5,631
2h28
65
1.215
159 753
123 536
SUPPORT COSTS
Totajs
ComputCT quEpm￿t
Governance tosts
237
237
1,322
122
12
122
237
A¢wuntan¢y fcts Include £12(H) (2021- £12CM)) in resF¢ia of the ttldyntknt examination of th¢s¢ financial
Sta￿)ents at)d £t)il (2021- £nil) in rest%rtof otherxcouttsncy service
Support L¥)￿ included in the abov& 8re &% follows:
FiD#nee
2022
2021
Govenw)¢e Govern8n¢e
Costs
Bank char8es
122
96

HOM&START EAST SU&SEX
TE
TO THE FINANCIAL STATEMENTS- CONTIPIUED
R THE YEAR ENDED
SUPPORT COSTS e•*ti*ued
2022
Cornputer
F4uipmenl
2￿21
Computer
Equipment
Deweciation of ￿SIbl¢ fix￿ assets
237
316
Governance costs
2022
2021
G)vernance Governance
Costs
Accountancy fees
Legal and prof￿10￿al fees
Board exwses
12¢M>
1200
1.21)0
NET INCOMEI{EXPENDATUREI
Net incomel(exr*Dditure) is ￿ated after chat8in81(rytiJiting)'.
2022
2021
Depreciation- own¢d a5%ts
Other oixr8ting leases
237
316
TRUSTELSI REMUNERATION AND BENEFITS
There were rx) tr￿stee$. remuneration orotherbenefits forthe yearended 31sL March 2022 nor for the year ended
31stMaFch2021.
Durin8 the year, no {2021- ￿Tre) truSteesrece]v￿ reimbursemenl oftrdvel andother Telated expenses amounting
£ntl {2021- £nil). At the Balanc£ Sheet dat4 an amtsunt of £nil {2021- £nil) was owed lo trust¢¢s tn rtspeci of
thes¢ ex￿￿Se5.

HOME-START EAST SU
NOTES TO THE
FOR THE YEAR
ATr4CIAL STATEMENTS- coNfINUED
DED 31ST MARCH 2022
io.
STAFF COSTS
2022
2021
w￿eS and salarÉes
128410
128.410
83.Q65
The avera8e monthly nwnt¢rof emp]oyffs dwing the yearw&% &8 follows:
2022
2021
Total
No employees received ertu)luments in excess of £60.0(KI.
COMPARATIVLS FOR THE STATEMEKf OF FINANCIAL AcnvrrIES
Uttrestri¢*d Restricted Tot0] fvnds
fiLTE(L8
JNCOME AND ENDOWMENTS FROM
Donalions and legaci&8
31357
112J99
144,956
Oth¢rtradin8 acttviti£%
lrtvestmellt inc(Mne
139
139
Total
32.496
112599
145.095
EXPENDITURE ON
Charitable Athltl
PeT50nnel cost5
Direct servi¢e costs
Occupatt¢y costs
Depreciation
AdministraLio* ¢OSLS
Corporate costs
Gov¢rnanc¢ ¢osts
11216
71,898
22.921
83,114
24.925
8.356
316
5.410
1,731
1,296
890
316
225
5.185
1,731
21K)
1.096
15.747
109,401
125,148
NET INCOME
16.749
3.198
19,947
Transfer between funds
(3.635)
3,635
Net movement ID fvtsds
13,114
6333
19.947
RECONCILIATION OF FUNDS
Totsl tsxds brnught forw*rd
47513
47,513
TOTAL Fuf4DS CARRIED FORWARD

Ho￿TART EAST SUSSEX
NOTES TO THE FINANCIALSTATEMENTS- CONTINUED
FOR THE YE
R ENDED31ST MA
TANGIBLE FIXED ASSETS
Computer
equipment
COST
Ai 1st April 2021
AdditiOTr%
2,232
At 3 1st Mar¢h 2022
2232
DEPRECIATION
At 1st April 2021
Char8e foryear
1,283
237
At 31st March 2022
NET B(K)K VALUE
At 3 1st March 2022
712
At 31st March 2￿20
949
13.
DEBTORS: AMOUNTS FALLIPIG DUE wfniiN ONE YEAR
2022
2021
Trade debtors
Other debtors
Prepayments and acirued income
14.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2022
2021
Tradc cr¢dÉtor5
8ocial Kcurity and other t&¥es
A¢¢ruals and deferred 5ncoTllt
A¢¢rued expenses
Other creditors
2.406
2,656
85.000
12IK)
1.023
3,708
78,496
1,663
{7)
91.262
84.883

ME-START EAST SUSSEX
NOTES TO THE FINAN
L STATE￿IENTs-
FOR THE YEAR ENDED 31ST MARCH 2022
15.
MOVEMEP4T IN FUNDS
Net movernent Transfers
in fuT¥h Ixtween fimds At 3113122
At 114rdi
UDrgstTitted
General fund
Desigtjated fund. Contingency res<Y¢
26,627
23.751
{39.064)
11,314
.627
23.751
(2.064}
82.314
Rtstiirted
Caring for Fatnilies
Nationaj Lottery- A￿ardS for All
Nationwide Cornmunkty Fund
Natwest Circle Fund
P￿p]e'S P05tcod¢ Tn]st
Sussex Community Foundation
Sussex Polsce and Crime Commi&sioner
The Kelty Famity
6.833
(6.833)
(2,064)
6.833
(&897)
TOTAL FUNDS
67.4(A>
Net movement in included in the aErf>ve are a8 follows:
Incomin8
Resources Mov¢m¢nt in
funds
Unrtstrirttd
General fimd
De$igttated fund- contingeD￿ reserve
70.760
(47.(M￿l
23,751

HOM&START EAST SUSSEX
TES TO THE FINANCIAL STATEMENTS- cor￿1￿￿ED
THE YEAR END
Incoming
R¢wurr¢s Movement in
eX￿Ided
fiJttd8
Restri¢t¢d fM*ds
Caring for Families
Nationaj Lottery- Awards For All
Nationwde Communtty Fund
Natwesi Circle Fund
Pwple"5 P05tcode Tnjst
Sussex Community Foundation
Sussex Police and Crime CotnmissÉoner
The Kelly Family
3996
(3.9961
14,8441
(25.IMKI)
1151KJl
(20.IMK))
(6.833)
(47.130)
(4.(KX)}
25,000
2,500
20.(KXI
(6,8331
(2.064)
45,066
114
TOTAL FUIYDS
161
Coartingent liabiltty for closute- 8n amrAml of £71,[￿ (2021.. £34.(MJ)) has e•rrÈed forwaTd to be designated
for the of coveriD8 all 5t8tsLtory and le8al obli82tK￿ shwld the ch2rily hav¢ c¢As¢d op¢rations.
15.
ComparAtlves for tyov¢Jntyt f•nd$
Nd movement
Transfers
in fiulds E¢¢we¢n fund5
Ai 114r20
At 31rJ121
Unrestrlrted fvnds
Genern] fund
Desi8naied fund. Contingency rtserve
13,513
16,749
(3,635)
26,627
47.513
16.749
(3.635)
60.627
Restrkttd f￿￿$
ildrcn in Nced
Comic Relief
EastEK)urne Borough Council
DCMS iA)ncline&s fund
DCMS/Pears
National Lottery Awards for All
National Lottery Emer8ency Rcsponse FuDd
Sussex Community Foundation
Susscx Police and Crime Comrni&%ioner
123
{530)
{103)
(59)
(59)
18
(417)
6.833
2 608) ￿608
{123)
530
103
59
59
(18)
417
6,833
3.198
3.635
6,833
TOTAL Fuf4DS
47.513

HOME-START EAST SUSSEX
NOTES
FOR THE YEA
FINANCIAL STATEMENTS- CONTINUED
NDED31ST MARCH2
Comp8ratiYe net movement ÈD fllTr￿ Included in thc a￿ve ￿ as follows".
ItWrnin8 Rth)ur¢es Movement in
UnrEstiitted
Gene￿ futKI
Designated fwid- Conti￿¢ncY re5ervc
31496
(15.747)
16,749
Children in Need
Comic Relief
E&8tbourne Borough CouDciI
DCMS Loneltness Fuftd
DCMSTrears
Nationaj Lottery Awards for All
National Lottery Erner8ency RwJns¢ Fw]d
Sussex Commuoity Foundation
sU￿K Police and Critne c{￿MISSIon¢r
30.556
(30.433)
{3:130)
(3,603)
(5.059)
(5.059)
15,810)
(24,428)
13.167)
28712)
123
1530}
(lo3}
{591
{591
18
(417)
6,833
3,$00
S.IK)O
5.828
24.011
io,(
112.599
(109.401}
3,198
TOTAL Fuf4DS
125 148)
16.
PENSION COMMITMENTS
Th¢ charitsble ÉxJmF4ny cotrtribLrt¢S to tmploye&8' defineA contnljution Fension schemes. The p¢n510n (x>st
charge for the year rwres¢nts 0)ntrib￿l0￿$ pwable by thc company to the schemes athd zmounted to £3,795
(2021- £3J6J).
17.
OTHER FINANCIAL COMMIThfENTS
Should the charity h￿t ¢¢a8ol oE*rntim 8$ at 31 Marrh 2022. thr estimate that ex￿di￿¢re totdling
£7I.(M)0 {2021- £34.(KKI) wou]d have to be rn*Je out otfimds eXt￿Ing at that date to ensure statutorv and
legal obliggtsons relating tts staff and rKopty under the clwity's contToI are ￿18r￿1 in thll.
i&
RELATED PARTY DISCLOSURES
Duri￿8 the year: donations were received from truAets atnountin8 to £282 {2￿11- £1.624). TrusLees' expense5
are dthled in note 9.
Remun¢rntion paid to key management perg)nMI tluring the y¢ar(In¢luding natioTwi insurnnce and pension costs)
amountrd to £41,945 (2021- £41:858).
19.
MEMBERS LIABILrrY
The charity is a FThtc comFony limtted by gu￿•T¥￿e a￿1 o)nsequ¢Trtty ¢kns not have share ¢apitsl. Eath of the
m¢mbers is li•ble to c¢￿tn￿llte an 8mountThTrt exceethn8 £1 tow8tds the of the eljarity in the event of
liquidation.