Charftty regLstradon Dumber IIIS)12
CoThp*lly re£￿tration Dumber05776865 (Engl¥nd W*les}
RELATE WEST SUSSEX
ANIYUAL REPORT AND UIYAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024

RELATE Wf4 ST SUSSEX
LEGALAND ADMINISTRATIVE INFORTrtATION
J Bats (frE&8urer)
R H￿j8¢tts
R SimmoL8
E Skyrme
A Peannan (Chair)
E Willian
(Appointd 16 May 2023)
(Appointed 19 March 2024)
(Resigncd 19 S¢pternEtr 2023)
[R￿￿Ened 16 Janauary 2024)
S Whiuaker
L Phillips
CharRty number
1115012
Co￿p￿Y number
05776865
Registered offlee
1-2 Glenwles C(MJrt
Brighton Road
Crawl
Wesi Su&8ex
RHIO 6AD
llldepelld¢llt e￿Liner
HardingACA FCCA DChA
Richard Pl&e tknbson Servicts Limited
1-7 Station Rijad
Crawley
West Sussex
RHIO Ikfr

RELATE WEST SUSSEX
CONTENTS
Paee
Trt￿t¢¢￿ rE[￿rt
IndeFndent examinels re￿)rt
io
Statement of fin8n¢ial &tivitias
11- 12
Balance sheet
13
Statement of flows
14
Not&5 to the f￿￿claI ststemenls
15-27

RELATE WEST SUSSEX
TRUSTEES, REPORT IINCLUDING DIRF,CTORS' RKPORT)
FOR THE YEAR ENDED 31 h£4RCH2024
The tntstces who are also direclots of the charity for the purposes of the Companies Act 20(￿Y prcscnt their report with the
financial statements of the ¢harity for the year ended 31 March 2024. The trustees have adopted the provisions of A¢wunting
and R¢porting by Charities: Ststernent ofRecomtnended Practice applicable to charitie5 prcphring their a¢counts in accordance
with the Financial Rq￿rtIng Standexd applicable in the UK and R¢public of Irelattd {FRS 102) (effective l January 2019).
Objeetives aDd activities
The obje￿5 of the cturiry stated in the Arttcle5 OrA5￿)CiatE(￿ a￿.
l. To educate the public ¢onc¢rnin£ th¢ b¢n¢fits of s¢cure couple relatiiynships mattiage and family Itfe in order to improve the
eniotional, sexual at)d spiritU81 well-being of individuals ithich is derived from eomrnlt￿d relationships.
l To se¢k to enhartce the good health. both mentsl and physical, of adults and Children by in¢reasing public awareness of th¢
iKn¢ftt of Cornmitted couple r¢lationsl)ip4 marriage and family life and working to prevent poverty. hardship and distttss
used by the break(iown olsuch telall0￿sblps.
3. To provide counsellin& advic4 educaiioL guidance and relief to adults anivor ¢hildten in relation th any aspect of
contemporary life or work which may prejudice their physkcal or men￿1 well bel￿ or infiuence either directly or irtdire¢lly,
their preseni or fulure family or couple rel&tonship'
4. To relieve those Én need by reason of ag< i114eald4 dÉsability, financial hardship or other dis&JYantage'
S. To promote research into all of the above objects and to make the results available io the public.
Vlslo
Relate's vision is of a future in which healthy relationship5 forni the heart of athriving society.
Mlsslon
Relate's purpose is to help p￿pIe make those ￿ ￿￿￿e5 which enable them to engage in comtnitted and loving
relationships for the benefit of themselves. their family and g)ciety.
To develop and support healthy relationships by:
- Hclping ¢oupl¢& families and individua]s to make ￿latI￿ShIpS work better,
- Delivering inclLL5ive, high*uality services that are relevant ￿ every sthge of life:
- Helping both the public and policymakers to improve their utxlerstsnding of relationsbips and what makes
them flourish.
R¢lat¢ 8ims to deliver its services with culttral sensitivity And without d1scrimiwio￿ The Charity's principa] activity is the
provision of ¢ounselling for covples, individual4 familics and young people ex￿lencing ￿latIonShIp difficu]ties. and the
provision of s&xual therapy.
Publlc beD¢flt
Our aim is to provide our services to clients iITes￿]Ve of ag4 disability, gender, maritsl stat￿, sexual orientation, rac4
ligion or ability to pay. We do a]1 we can to Sllp￿rt Clie[￿ on limited incomes and we ha￿ k*¢D able to provide services to
¢hildren and to some disadvantaged couples and familie5 at reduced costs.
The tru5tces have patd due regard to guid8ll(z Is￿￿1 by the ch￿1￿ Commiwon in deGiding what activities the charity should
undertake.

RELATE WEST SUSSEX
TRUSTEES, REPORT UNCLUDING DIRECTORS, REPORT) {CONTtNUED)
FOR THE FE4R E2VDED 31 fvIARCH2024
Aehievemellts and perfornaD¢e
Overvlew
202312024 ¢ontinu¢d for Relate West SUSS￿ on a Stable fooling following th¢ ￿riod of bu5inff)s planning and ￿fitshed focus
and dir¢¢Eion which w&s in 202Y2023. The year ended on a surp1￿% thonks in large part to the record-breaking
perfomiance of ow charity shop. Although we began th¢ year with a focus to grow our wntract work and explore (he opening
of a s¢¢ond charity shop. thesc things did ￿rne lo fruition. In by the end of 202312024. it was c(thed that 56•/0 of
our PCN contracts would not be renewed due lo funding constraints Mrythin the NHS.
Very early in the year, we llexed our approach and changed contingertcy planning around the threat of the lost contracts
and concentrating on developing our paid counselling s¢rvi¢¢s acr0&8 West Su&sex. Key stsff changes within the organisation
led to widescale recrnitrn¢nl and training of new team mLYnbers, and we look the opportunity 10 rtview our internal process¢&
our pricing, our subsidie4 and our staff and counscllor packages. The r￿Ul1 wa5 a tnor¢ ¢ffectiYe, Str¥arnlincd ivay of workin&
a IOYTr increw in our prices after holding them StsX￿Y since pre-covid yeats, easier to access to our bursaries and subsidie4
and ￿tter packages at￿ improved remunerdtion for counsellor aNI sraff team&
By the end of the year. our ￿ld client iDcom¢ whith was lowtr than anticipated at the (Krfset of 202Y2023, had cr¢pt up to
tatEd levels and finished J￿81 short of our projections in March 2024. New ¢OUDsellor slots opeEiill8 and improved pTI>o¢&8cs
wcre helping. but the key reason for the slower than ideal gromth and the narrowly-missed target was utilisation of available
counsellor sessions, wht¢h continued to IM)v¢r between 6(Pk70% throughout th¢ year. During the fourth quarter. we were
pr(K￿tiVe in conlacting and le8Thing from other centres in the county who had signific8ntly improved their utilisation and at the
outset of 202412025 wer¢ set 10 introduce fiuther changes to improve utilisatson and grow ourclieni income srr¢am.
Kry trend$ fn)m 2023R2024
During the past rtnancial ye8r. our overall incom¢ increased by 12Yo on top of the pwious vear's 21% &ncrt&se, resulting in a
surplus for the second y¢ar running. Exp¢nditure aiso increased by 15Va Our top ihree income scream5 were from the charity
shop 136Yo). the PCN arKI Early Help contTacts (33Vo) and paid client income (24%1 Paid ¢li¢nt itKome made up a smaller
proportion than in 2022r2(Y23. and wÉll ￿ a kcy area Off0￿ in 202412025
2023r2024 saiy gro￿ in couple5 and family ￿unSel11n& and iE] children and young people's counselling. IIY/o of all services
delivered w¢re relatiOTL8hip wunselling, followed ¢losely bv children and young people s ¢ounselling which made up 310/0 of
our offer. and individ￿] counsellin& which acwunted for 24Yo of service delivery. These proportions held relatively steady
compared to previous years when contrdcts and new client groups Trvcr¢ first introduccd. There are likely to be bigger
diff¢r¢nces in next y¢ar'5 reporting with th¢ loss of the PCN contracts and the ￿r¢[raI routes they have provided.
The high number of chtldr¢n and young people we have 5UPPOrted: as well as many of the complex adulV¢ouple cases coming
thmugh has meant that our serious Cases have rernatned higK alkÈt 2(Pkn lower than 202?J2023. As Hryth our other procesK& a
significant revieiv of our ￿£¢[raI criteria and boundari¢s during the year resul￿d in updated trnining for the team and a focus on
both finding our 'lJo" when it is needed, as M'ell as greater ¢lariry for the wthole leam around activating our serious case
process¢s #nd lapping speeiali8t 8uppnrt who.fi needed. We have eontfftnued ftElationships with the Single P(kint of Acce8s
(SPOA) for ¢hildr¢n and young people in Ewticuiar.
440/0 of our elicnts corne from Crawley (53% in 202212023). Cornp￿ed to frorn Horsham (16% in 202212023), from
Chichester (8Vo in 202212023) and 51Jh from Mid Sussex {6Yo in 2022r2023). Increasing our presence in both existing outposts
and under-represented areas in West Sussex mse ts) ihe of our priority list during the )'"ear and is a key area of focus moving
forward.
The number of clients receiving free or subsidised wuns¢lling with us h&$ remained htgh at s￿￿ the same as the previo￿ year.
However, 75Yo of these client5 came to us Ma the PCN and F.8rly Help contraa& so this level of financially a￿¢￿[ble
Counselling will drop in the coming yw. Going forwar& w¢ will be CO￿81dering how we keep our s¢rvi¢e5 open for people who
are unable to atTord full wice.

RELATE WEST SUSSEX
TRUSTEESI REPORT IINCLUDINC DIRECTORS, REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 h£4RCH 2024
THREE.YEAR COVdPARISONS
Ca5e5
pointments offered
Olnt￿¥￿*S attended
pointments attended
mber of c8st5
umber of kndlvldvals
294
li
(rf)5 *ttendedl
1121 (982 atteDdtd)
1055
FIDances
81J25
7,171
20097
16,652
245
endltu
9J56
13392
Our Services
During the course of the year we offered 4,872 appointhients and 3,695 (76%) were attended. This is a 30kn drop in attended
5es5ions from 202212023, although this figure is stTII 12% higher than the year prior to that. We saw 5% fewer cas¢s in 20231
2024 following consistent growth 5incc th¢ pandemic. On averdge, clients gttcnded 6 counselling session& Thc incre&8ed focus
on utilisation in the coming year should iAcreLs¢ attrnded appointments in 202412025.
uarter 202312024
PPOiDtsients
ttelld£d
24
$9
8&1
28
ppolntments
Pn)pDrt]on of *ppoAntmen
Proportion of appointmefft)
ubsidis.¢d.201212112.1.
pr-jun 2023
ul-se
2023
ct-Dec 2023
an-mar 2024
58
58Q/è
38
IY•
4%
e of subsidy
ppoiattments
portion of total $ubsÉdi5e
Proportion of totsl svbsidis
ree ¢0[￿selling through
nd Earl Hel
conlrdcts
Sub5idj
oundations
ubsid from core fi]ndi
er local fundinE
ubsidy from Relat¢ Nationa
ontracis
ree counsellinE thrwEh NH
1.619
5V.
usts
91
14%
57
Iyo
Services Ace¢55ed
For the third year Tunnin& wc saw on increase in children and Young people's counsellin& Couples counselling was up by 13Yfy
and family counselling by 151* albeii from a lower FAse and primarily os a Yesult of the Early Help ¢ontract. The numlxr of
people receiving psychosexual therapy and indivithlal counselling tK>th droprEd.

RELATL WLt•"r &iUSSEX
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUED)
FOR THE YE4R ENDED 31 A£4RCH 2024
e of ttrvke
umber of yes5iOn5 attend
023n024
rftotsl serrfée . .
sioDs atteDded from 2022
nitial Assessment
elaiionship CouThselling
dividual Counsellin
¢hos¢Aual Th
amil Counsellin
hildrerk & Young People,
ounsellin
19
2890
13D
87
6IYo
28
1147
Contract and partoer5hip work
Our contracts w'ith the Crawley Ptimary Care NetWo￿S (PCN) and FArty Help were a major part of ourwotk in 202312024 and
accounted lor 68 sessions ot free counselling each weeL During the three-y¢ar life of the PCN contrdcts until 31 st March 2024.
1.351 ￿0p1¢ w¢r¢ referred to free of charge, and around 4.IMM) counselling sessions were attend￿￿ Feedback from clients
and their families was unfailingly positive, and the GP prdctices and PCN leaders had this to say:
"I have ahvaNfoundJ4)ur oryanisthion lo Of1￿ m¢>M eff1cienttv￿e0jY io work witk"
Clinical Direclor and Clinicat Lead Swth Crnwley PCN
'Jwt a quick thanksfor all have donpfor ow athdts - J was hesitrmi ￿f￿31 but Inlty Outsthnding ond only
plugged a huge hole but exceededall ex￿¢[all0￿51.
P￿tIre Manager. Pound Hill McdiL￿ Group
"The service from Relaie been t*￿ta￿￿'n¥. Thp ¢owAYellors been professional. sJry*KhÈtic ond Ob0￿ all ki￿￿ ath4
helpfvl io ouryoungerputients who seen ilk*nL Tk be￿fil oflwing re￿<￿ed¢tI￿1$eJ1lng sessions with only a short wait
for (w PCNwiienis bÉÉn 5ignificaM trw£rfQrmali￿.-
Practice Manager. l.eacroft Medi￿1 Prartice
Efforts betwe￿ Relate West Sussex and our PCN partsieffs io the contrd¢ts and find IoTtger tum fi]nding were tireless
during the gecond h￿f of the year. unfortur￿telY internal fijndtng cuts within the NHS meant that the adult individLtat
coutsselling service ended on 3 1st marc￿ Six w¢¢ks inio thc new year we re¢eivcd news that the childrcll and young people's
counstlling servi¢¢ would also ¢nd after QI in 2024f2025. Taik5 continue to find new ways to fiu)d this highly valued serYi¥¢.
Although the ¢ontracts were not TetMve¢ they were very well received by ¢lim their fami]i4 the GPS and the Primary Ca
Nelwo]k&
We iontinu¢d ongoing work with 5iKth fom college Collyry with a counsellor supp)rting four of p&storal staff to
5&fely hold the load of the college studetlls. enotionai wellbeing through h￿r-tern￿Y supeThision session& Collycrs stwients
and staff have also been eligible for sbort-terni counselling at reduced rates.
Ahut our elients
During 202312024, we worked with 754 ca$4 whith amounts to 1.121 individuals sup[x)r￿d during the course of the year.
58ts/0 of our clien(s were female (compared ￿ 61% in 2022Q023), 41% were male (comp&red to 3￿/0 in 202212023) and 10/0
were trans or non-binary {¢ompared to fewer than 1% in 2022J2023). The kverdge 98e was 40 years old. compared to 41 yearq
old lagt year and 48 years old the year before. 24Vo of clients dtd not give their ethnicity. of individU￿S were ivhite British
and 13% of the cli¢nts who respond¢d from other ethnic groups with the largest proportion froDI the Asian British
community.
A &imple of 6% of all clients compl¢t¢d an aftff seftvice forni. Of who Complet￿ thc fomis, 960h said thry were eith
satisfied or very satisfied with the service they had received and 4% wete un&itisfied. 91Y• of clie]iis said they felt listened to
and understiK*d by the wunsellor, and 8YA said the Coul￿1￿ing had help&J th¢m to undersland th¢ms¢lv&% better.

RELATE WEST SUSSEX
TRUSTEES, RF.PORT (TNCLUDING DIREcfoRS' REPORT) (CONTINUED)
FOR THE YE4R ENDED 31 h£4RCH 2024
Sotlle fcedback from our clients
"Ifound my experieKe helpfyl. It wof io be oble io sjxok io son*b&ty cor*tsly who &dnor know me or
ryfamity aP￿kada differenlFerspeclive on rywoblenL lfrli tlué my courwllor wof very SyryA*￿tiC and nOnjt4dgen￿ntQl.
llndj would be to recommmlRelnts io oelws. '
"My counsellor was Jo lovety op¥lreally listenffd io wlxd Ihtlll losay. Our sessions really helwdwhen Ifrli very low."
"Atyfirst aweriepxe of eowLfelling wof a gotkl om. Ifelt listspwd io nrtiudged Ifvl ikn havlpy a 1k1rd￿rty in our
sc￿Sion klpedrnt Speak io my lthLfba￿Ln aproéxtive way rthher ihan a negaliby one."
"My wlfe amlIhadCow￿elli￿gWilh Rel￿e adlcan hLkryestfysay il f4r￿dOur li￿ andre1￿l0￿$1uP tY0W￿ '
"My eounfellor broughi my l￿ba￿ and I c105er by klpipw ￿ lo wltye issues we werg Ikwin& Her ihorough and
irformthive sessio￿¥ have really 0￿￿d0￿ eyes. Mopw wellspenll"
"Fee14rtgrhot Ikfir￿￿) been kardapklundersic¥xl Being aware Ihalwkni h4yening not righL"
"The sessiorly gol me looking i￿0 myselfandunderstandingrypoinl ofview lo an eltrnl. Ive in a betterPl￿g thank to ih¥
ses3iOmf with Relaie.
"Ii hetseduf communicate (LF a cowl¢ clarifiedtk isJues arn4ithlic¢teda wayforward"
"Jyotind my CO￿￿￿￿11￿r be owuiyisvd. yv.ry p¢Jty trt *rfJl& trj lfv.I I I￿v. hpnpfittpAfrnm ryfErrl p4w.rEPfW.p nf
eounselling. '
"li hal been tra￿￿￿￿￿11Ve. My Colu￿e￿(￿ ho￿tty been inflnhwrtol in kntsing w ¢0 gel wlxre we are t(h4ay. Than
"Ffrund ihai coming regularly I couldtalk sofvefy andfeli better after each se￿10￿ Ourproblenu k£n soh7edby being
liytenedio and beingexploinedhow each ofiw acliow affecl each ￿her .
"Ifeli ihe cowuellor I saw warni look a real inleresl in klping I￿. She able io help me idemify Wiler￿$ in nry
r*l￿10￿h1pS which gave me i1￿1gh1 a150 enabled me lo movÉftThard in apasilive way. I iwsed ty herprofessignal
warm approLYh io working wilh me. '
-li provided a Spref￿ ￿ io ialk tlwough difficulf i&fll&F. Ii been e<w io dtsc¥ss ihlngs on own becaMTe emolio
lu'gk"
"l (iin &0 82"thefMI to ie able ¢0 to cowLfell￿ glera break oJsffveral)wJ. I wa9feeli￿at rock bottom
it look me a while to reach cwt. Now I I￿¢ t*en able lo nk7ke sepLTe of things, lfrel beller apkl I ￿7￿W J can CO￿ b￿k rf
p*eded."
"hfy wife and I Cap￿ for m(rriage counfelling. Ifiih Small wornms. the ctXULfellor made il wssible for my wife and I to
wiihnui ray.¢odvoyc*y
AftvT Ints ofiolkytys trodbl w* ÉV¥ nthv.¢ÉrxJraling kni ur@ hnpipw to hglp vaeh
17er have a sofi lapttling on the éxlxr side. Relats hel￿d ￿ lo talk and discover reasorts this hay 14rypened Despile how
Infvl thif i¥ we are gratefyl."
ge range of e11t￿t
umber of elients .
ereent8ge of ellents in th"
rceDtsge of dients iti th"
nder Ig
7/0
-39
49
-59
18
20
169
(r/0
19
17°/0
15f/*o

RKLATE WEST SUtiiSLX
TRUSTEES, REPORT ONCLUDING DIRECTORS, REPORT) (c0NTll￿ED)
FOR THE YEAR EJVDED 31 N£4RCH2024
nt couLell area
pmber of. ekemts
tag¢ oIdients ill
uncll 202212023
3QA
16/0
rawlev Borough Council
(￿Sha￿ DistriLL Counvil
chester Distria Council
'd Su88cx L)istri¢i Council
run District Council
dur District Council
Uthcr Iwest Sussex Council Areas
ht)ourin
Council Areas
ther Council Are￿ in Fnglané
ots
ecified
133
12Y•
17
IA
than lQh
168
151/10
essthon
Clltllt ethnicity
ercentsge of cbents in thl
tkniL
ereentage of eliettts in
White Briiish
sian British
6V.
er Whit¢
lack Briiish
ess than IV
ess than IV.
ereutate
02112022
6/0
Oyo
Contract with centre
Seifreferral (always knoivn aboui us)
GP}Meni￿lI hcalih seThiiLes
Online {google se8fLEViv¢bsiteIRela￿H￿bI
riend or family member
evious client
enevolenLltrade charity
r professionals (sch(x)I, local authority-
mmunit
¢t
(fverdslTrg and
social
media linc
acebook.
oslers, leaflets. radio)
Other
40A
30
IA
IA
essthan 10
ess ttwi I
essthan 1%
13%
Leavers & Slarters
It has been a yw of great change in staff. counsellor trust¢
We have welcomed a nurnF*r of new Cou[￿ellI)rS in traitiing to the team: Filipa Martins So￿h Sutherland who karted their
tWfrye￿ diplom4 and Sarah WatTington who slarted her one-ve2r p0st￿UallfyÈ￿g certifiraie. Two of our existing cow)sellor
Maria Konstantinelli and Asya Boteva Mosaheb also began the oTh¢-ye￿ post-qudifying ccrtifivdte in Couples wo￿. We
welcomed newly-quaiified Perry Pearman to the leam in July, and said g￿dbye to PST trainee, Helen Bright-Gerrie who
moved on followed her traintng.
The 51aff tcam has seen big changes in the pasi y¢ar wqth the ra]r¢m￿l of ChTiS George after 22 years of heading up the admin
leaTn. We were Joined by a nurnkr of new Administrators: Sarah Ellistory Judith Greeo Keird Moore, and Amina Haq. as IlTell
as Sally Peckitt and Mia Cross who joined us briefly to cover the HoTsham ouwt role. We said gix)dbye to lornier Charity
Shop AssisLqnt M&xine tklan¢y, and also bid farewell to our amazing Development Manager. F&ima MirzA who left us to start
her own pottery school. We wish all thos¢ who kne moved on to ncw things all the 1*st.
page 6

RELATE WEST SUSSEX
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUED)
FOR THE FE4R ENDED 31 hL4RCH 2024
During 202312024, wc w¢lcomcd Adgm Pcwman first tr￿stee and then as our new Chair irt July 2023. A big thanks to both
Louise Parsons and Sam Whittaker for their 18-month Stint as joint Chair while we searched for sorneon¢ to tske on the role
p¢rniaD¢ntly. We were very sad to say goodbye to Sam Whittaker in January 2024 when she t￿k the hard decision to step down
frojn the board of t￿Ste£? due to hcatth issu￿ We ate truIy grdtefvl for all that sh¢ brought to the hi)ord during her time with
. Sara Hill ￿$() look the decision to StsDd down from the Fmiard and w¢ thank her for her setvice. We welc4)med a n¢w t￿￿te¢,
Elizabdh Williatns to the board at the eAMI of the yw. Sh¢ will hold particular restM)nsibility for safeguarding.
A particularly big thank you g￿S to volunteer, Kelly Shalfy who joined us duting the year on a week]y basis to help us with
our marketing and communicatioTr* It is lovely to have her yowig and dyrnnic input and we are ￿21th1 for the time she has
donats
FI￿A￿ti#l positknn
The Stat¢m¢nt of FtDan¢Éai Activiti&% on page 11 sllows a sU￿lUS of£4245 (202Y2023: surplus of £13.8￿2) and this has been
r¢flectLid in the Balance Sheet a5 set out page 13. The bAiao¢e of the Unre#ricteA Funds is ￿equate io fulfil th¢ company's
obligations.
Fullding souttes
We are always gJ*efiJl to our partners, fijnders and member5 of the general public who have ¢onsist¢ntly supported the vital
work of Relate Wegt Sussex over the years. Thank you to the following fundeTS who have given monies during the year..
uttding to support the whole orgaDigatioD and •rw served
anTrick Airport Communiry Trusr
ussex Community FouNJation
e5co Stronger Starts
asy Fundraisin
ravley
rath'lev Borou
orshAm
orsham District Council
orsham Distri¢t Communi
t Crlustead
ast Grinstead Memorial E%tates
,7
50
24
Cowicil
19.512
i.154
Lotte
The charity shop has broken all records during the past year atxl we remain extren]ely gratefjJl and appr¢ciativ¢ of the efforts of
Carn Hyde and her Éeam of &ssistants and volUnte￿s. En the last financial year the shop made a net profit of £106.990 (202Y
2023: £78,070).
Reserves policy
The Charity needs rcsezyes to cn8blc it to meet its charitable obliga11(￿ and commilments it enters inlo. The Tn￿S believe
that the ideal level of rewves io meei irs genernl purpos￿ atKi 5pccific Uciivilies should be up to tht cquivalcnt of four month5
operdting co#s Icurrently approximately £172.217) calculated and reviewed annually. We ￿li￿le that Ihe reserves should be
maintained or built up to the desired level in stage5 &$ necessary, eollsistent with the charity's over￿1 financtaE position and its
need to rnaintain and develop its charitabl¢ obJ¢rtives. At the end of the financial year. th¢ levd of freely avyilable reserves
stood at £96.525 (202Y2023- £92,900).
Plans for futun Peri￿15
Our focus in thc coming year cenTM arrmllyj Impl￿entIng n¢w of this Y￿.5 Icarning to greatly improv¢ our
counsellor utilisation, or available swions filled. Link¢d to thi& we aim 10 In￿e&Se Ihe number of counsclling sloLS on off
around the Cowity by 25% with particular focus on our ¢)u¢w)sLS both eXI￿1ftg and new.
Within this growth, (wr challenge is to e1￿Ure that we remain accessible to members of the comTnunity who are under-
represented or who cannot afford to tor ow services."I'his was made easi¢r through the contracts, so without them. w¢ will
be approa¢hing more trnsts and foundations and ￿orking harder to get our message there through new marketin8 channels.
To this en4 a new post h&8 been created for 2024r2025 not onl>" to support the manag¢meTht team and increase capaciry for
dev¢lopment worK but 31so to iKK¥St our presen￿. wttudarly dAgithl channel&

RKLATE WEST SUSSEX
TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE FE4R ENDED 31 hL4RCH2024
Of Cou￿e we will continue lo scan the horizon for new contrnrt OPPOTtunilies and a second charity shop as hightighted in 202Y
2023, but these ventuffs rctnain secondary to stabilisÈng and gr0￿ing our paid counselling s¢rvic
Strnetur4 Eovern4nce and mwk*gemeknt
Governing document
The Charity 15 controlled by its governing d￿Um¢llti Memorandutn and Articles of A&s￿l8110￿ atKI constitutes a limiied
company, litnited by guarantee. as defmed by the CompaniesAct 2(KKL
Reernitment *Dd Appointment of n¢w ¢TU5ttts
Relate West Su59ex recwits trustees with partiwlar skills WIK) have 2n interest in counselling support for relationships,
families, individual adulw and children and young people. Ail new board tnembcrs receive a ¢omprChu￿ive Ènduution paik
about Relate West Sussex artd &8 to their reswjnsibility as charity trU￿¢S and company director& We offer trustees internal and
externa] Workshops and on-going advic4 Intormatio￿ trairring and Euldance r¢lating Éo their duties and the charity's operations.
The Board of Trustees is responsible for the overdll governance of the Ch￿Tty. Trustees a￿ ele¢ted> appoint¢d or COwOPted, the
total number of Trustees noi ￿ing less than six llQF ¢xc¢¢ding eighteen.
The Trustees generally meei bchvccn six and 12 times a y¢ar. r¢vieM' straiegy and opcrdtional perforn?ancG itnd sct operating
plans and budgets. The Board delega￿S the exercise of certain ￿werS in cOnn￿tIon with the fmcial management of the
Charity.. controlled by r¢qlliring rcgulor reportfftng imck to the B(Mrd, so that atl d#i51(In5 n]ade und¢r d¢l¢¥*cd tx>wer5 can be
ratified by the full Bi)ard in due course.
OryAnisarfon*l strn¢ts
The company is govemed by its Memorandum and Articlcs ofAssocialion adoptcsj in 1999 and updated in [kto￿r 2008, May
2014: M<ly 2021, O¢iokr 2022 and October 2023.
Relaie Wesi Su&8ex Limitcd is a memirr of th¢ Relate Federnion aThl has t*en granted a nonwexclusive licen¢e to use the
Relate name and IOEO.
The Ttwtee5. who are a]80 directorJ of Relate West SU￿eX for the pury*)se of company law, are r¢s￿￿$1b1¢ for the annual
repojt and for the preparation of financial st￿ernents for each financial year. in accordance with applicable law and Uniied
Kingdom Accountan¢y Stsndards (United Kingdom Generally Accepted Accounting Prdcticel
The Treasurer, Chair. Centre Mat￿tr and Finance Manager uThlert&e th¢ financial management of the char&ty. They meet
regularly to review the budget and management accounts and to prepare financial papers for review by the Tn]stee Board every
two months. They ensure proper prncedures are in place io manage Lxh resources prudently and to maximise income from
liquid resources whilsl maintaining sufficient fimds to meet daily cash requirements. They advise the Tr￿tee Board on the
appropriate level of free reserves and of any significant change needed in financial management strategy. Forecasting is a key
clcmcnt of thr financial mana8CmCTrt acttvities wid r(pILXa5￿ rrvi¥wul Tk¥uiatly th Tr￿le¢ tn¢aing&
The Centre Manager is raswAsible for the day to day monagement of the Charity's affatrs and for implementing policies agreed
by th¢ Board of Tr￿slees. Th¢ Supervisors. Finance Manager, Development Manager, Operations Managcr and the
Athninistrdtive Support Team ￿]st the Centre Manager.
Company law ￿qUireS the tr￿SteeS to prepare financial statements for each year, which giv¢ a aDd fair view of th¢ state of
atToirs of thc charity and of th¢ incoming r&8owr¢s and application ofrcsources including the inwme and expendits]re of the
eharitahle company for that year.
In preparing these fin8mia] stat¢￿entS the Trustees are required to..
ensure that the mosl suitable aG¢ounting policies ar¢ estsblishcd and applied consistently?
rnakc judgem¢nts and cstimates which are ￿sOnable oTh1 pn￿nk
obberve the methods principles in the charities SORP.
prepa￿ the financial stat¢ments on a going concern basis unless it is inappropriate to P￿St￿me that the Charity will
continue in operation.

RELATE WEST SUSSEX
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT) {coKfINuED)
FOR THE YEAR EIVDED 31 h£4RCH 2024
The Trustces have overall rcswnsibility for ensur1￿ that the Ctwity has appry)priatr systems and ¢ontrol% f￿ancial and
otherwise. They are also resportsible for keeping woper aeeounting records. w,hich disclose with reasonable accutwy ot any time
the tinan¢ial position ot the Charity" and enable theTn to ensure that financi81 Sts{em￿ts comply with the Companies Act 21K)6.
They are also reswnsible for safeguarding the a￿[8 of the Charity and for their prot￿ application as ￿quired by ¢harity law.
They musl ￿k¢ re￿nable steps for the preveni1￿ and d¢t¢aion of fraud al￿ otber irregularities and to pmvide re&8onable
assufdnce that:
the Charity operntes efficiently. effectively and in compliance with ￿leva[rt law3 and wdatI(Tr￿.
proper record8 are maintained and fjnancial tnforn]ation ￿ within the Charity. or for publicatio￿ is reliabl
the Chority complies with relev8nt laws atMI regulation&
Coryorate Governgnct
The organisation adheres to iniernaI controls over a]1 fonns of ci)rnmitment and eXpendI￿re. These are continually refined to
improve effieien¢>". The Centre Manager reports ￿ the Board on perfornianc¢ so that ail aspects are revieived and monitored
rcgularly by the Board ofTnLSM.
The systems of ltiteM￿ controls provide re&sothle bth JNA absohtte assur￿ against m*eriai misstatement or loss and
in¢lude=
a strdtegi¢ plan and annual budget approved by the Trustees"
regular cotksideration by thc Trustccs of financial resul￿ ￿lanCeS from bwlgcts. non-financial F*rfomwKe
indi¢aiors and b¢nchmarking review
delegation of day-tiday management authority segregation of thltiffj and
Identifi￿tiOn and management of risks.
The trystees. who a￿ a]so the directors for the of ￿rnpany law. and Nvho sffved during the year and up to the date of
signature of the finan¢iai ststements were:
J Bartjer {TTe&wrer)
S Hill
R Hodg¢tts
L Par50ns
R Simmons
E Skynne
S Whittsker
A Pcarnian (Chair)
E Williams
(Resigned 19 Septem1￿ 2023)
OlesE￿ed 16 January 2024)
(Appointed 16 May 2023}
(Appointed 19 March 2024)
Risk Management
The Direaor￿TrUS1¢cS of Rel&c bav¢ COTKtuLTrJ u rOT￿￿1 ￿Vi¢￿ vf th¥ ￿0JUr risk¥ tv whÈLh LlwiLy
exposed. A Risk Regtster is kepi and this is reviewed as part of the business of Ex￿￿tiVe Me£ting& The trnstees are satisfie
that systems are in pla¢¢ to miiigat¢ its exwsure to all the major risk& Internal control risks minimised bv the
implementation of procedures for authorÉ5ation of ail finanrial tran5a¢tions. PrrKedures arc in placc to complianc¢ with
health and safety of stsff, volunteer4 Glients and visitors to the C¢ntr¢.
This report has be￿ pre[￿red in ac0)rdA￿t with the stttial provisions of P&rt 15 of the Companies Act 2006 relating to small
companies.
trustees, report was approved by the Board of Tn
arnian Ichair)
teè
Date..
i(

RELATE WEST SUSSEX
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF RELATE IVEST SUSSEX
I report to the tru5tee5 on my examination of the financial Statements of Relate West Sussex (the Ch￿itable Company) for the
year ended 31 fvlarch 2024.
RespoD$lbllltles and basls of report
As the irustees of ihe charithble company (and also lis dir¢¢tors for th¢ purposes of ¢ompany law) you are r¢sponsible for the
prepardtion of the financial ststements in accordance with the requirements of the Companies Ad 2006 (the 2006 Act).
Having satisfied myself thai the finan¢iai siaiements of the charioble company aff not required to be audited under Part 16 of
the 2006 Act and are eligible for independent examination, I reixwi in respect of my examination of the charitable company's
financial siatements carried oui under section 145 Of the Charities Act 2011 {the 2011 Act). In carrying out my examination I
have followed all the applicable Directions given by the CharitN' Commi&sion under Section 145{5Xb) of the 2011 ACL
llldependent examiner's statement
Since the charitable company's gross income exceeded £2SO:O(K) your examiner must be a member of a IXMJY listed in section
145 of the 2011 Act. I confirni thal l am qualified to undertake the examination because l am a mernber of the Institute of
Chart¢red A¢¢ounis in England and Wai¢& which is on¢ of listrd b¢xli¢&
I have cornpletrd my examination. I confmn that no matters have come to my attention in connection with the examination
giving mc causc to bclicvc that in any material rcspcct:
a¢wuniing records were noi kept in respect of th¢ ¢haritsble company as wuired by S￿li0n 386 of the 2006 Act; or
the financial statements do not a¢¢ord with those record& or
thc financial statcmcnts do not comply with thc accounting rcquircmcnts of scction 396 of thc Act other than any
requirement thai the accounts give a true and fair view which is noi a matter considered as part of an independent
examinaiion. or
the financial statements have not been prepared in accordance with the methiNJs and principles of the Statement of
Rccommcndcd Practicc for accounting aJJd rcporting by charilics applicablc to Ch￿itIeS prcparing their accounts in
accordanGc with thc Financial R¢[￿ing Standard applicablc in thc Uk and Rcpublic of Ircland (FRS 102).
I have no conccrns and havc comc acr0&5 no othcr mattcrs in conTtcction with thc cxaminalion to which atlcntion should be
in this report in order io enable a proper understhnding of the financial statements to be reached.
Darreu Harding
A FCCA DCbA
Ri¢hard Pl￿e Dobson Servi¢¢s Limiied
1-7 Staiion Road
Crnwley
West Sussex
RHIO IHT
0311212024
p￿10

RELATE WEST SUSSEX
STATEMENT OF FINANCIALACTIVITIES
nycLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR EIVDED 31 NURCH 2024
Current financlal year
Totsi
Totsl
fud5
general dtsffigllated
2024
21)24
21J23
IYot¢s
ncome fn)m:
Donations and legacies
CharÈtable activilies
Other trnding a￿1vitieS
Investments
31.134
269.131
18&038
154
5.154
40,988
291,717
188,038
154
50.IA)I
260,357
151.744
21586
Total Ineome
48&457
27.286
5.154
520,897
463.248
Expendithre on:
Raising tilltds
Charithle a¢tivi(i&%
81.048
393.784
81,048
435,6(H
73,674
375.682
3&586
5234
Totsl eipendlthre
474.832
36,586
5.234
516,652
449,356
Net IDtomel(expeDdtturn)
13,625
(9JOO)
(80)
4245
13,892
Transfers between funds
{10,(KK))
io,
io
3.625
71x1
(80)
4245
13.892
Retoneiliation of fvnds:
Fund balaJ)ces al l April 2023
25.fJ I
8201
126,932
113.040
Fulld bal￿¢¢$ at 31 Martk 2024
96,525
26.531
8,121
131,177
126,932
The statement of financial aaivities includes all gaitjs and losses recognised in the year. All it)come and eX￿ditUre derive
from eonttnuing activities.
e 11

RELATE WEST Sus￿)Ex
STATEMENT OF FINANCIALAcrivrrtES (CONTINUED)
INCLUDING INCOME AIW EXPENDITURE ACCOUNT
FOR THE YEAR EIYDED 31 MARCH2024
Prior tIDanelAI year
Unr¢stri￿ Unrtstritted Restrit¢ed
fund5
gtneral
20
Totsl
deslgn#ted
2023
21)23
2023
NotLq
Intom¢ fmm:
Donations and legacies
Charitable acttvities
Other trading aclivilics
InvcstmenLs
34,829
260,357
151,744
246
16,072
50,901
260.357
151,744
246
Totsl Ineom¢
447.176
16,072
463,248
Expendlture oll:
Raising funds
Charitable a¢tivities
70274
369,752
3,4fJ)
73,674
375,682
930
Totxl •ipndlth*e
440,026
8.4(M)
930
449,356
Net ineomel(expenditsre)
7.150
7,672
(930)
13.892
Trartsfer5 between fun(ts
(875)
875
Net movement fuDd5
io
6275
&547
{930)
13.892
Reeonelltstion of fuAds:
Fund balances at l April 2022
86,625
17284
9,131
113,040
Fund bAl4rytes at 31 March 2023
92,91KI
25.831
8,201
126,932
page 12

RELATE WEST SUSSEX
BALANCE SHEET
ASAT31 MARCH2024
202A
2023
Fii*d o$ets
Tangibl¢ assets
14
520
365
Current 8Ssets
Debtors
Cash at bank and in hand
15
6,312
135.949
11.365
139.636
161261
151.001
Cr¢ditors: amOUDts falllng dy¢ vAthkn (tyn¢
y¢ar
16
(31.604)
{24.4341
Net eurreDt assets
130.657
126,567
Total assets less ¢wrrent Il*bili¢ies
131.177
126.932
Net assets
131.177
126.932
The funds Of the chlritsblt eompany
Rcstrictcd income funds
Unrestricted funds- general
Unrestricted fiinds- desi8nat&l
&121
9&525
26531
8201
92,
25,831
19
131,177
126,932
The company is entitled to the exemption from the audit Tequiranent contsin¢d in section 477 of the Companies Act 21X)6, for
the y¢ar ¢nded 31 March 2024.
The directors acknowledge their responsibilities for complying with requirwnents of the Companies Act 21Kkn wtth respect
to &b¢oun(ing rcwrds and the PTepAMioa of financial slat¢m¢nt&
The members have not requir¢d the company to obtain an a￿11( of its financial statements forthe year in question in Bccord8nce
with 3¢dion 476.
These finan¢iai swements have ￿en pre￿red ill xconlance with the Provisions applicable to companies subject ￿ the small
¢OmpanI￿ regime.
17
The financial statements were approveAJ by the truste45 On....... .... ..........
an (Chair)
Company registration number 05776865 (EnglaTrJ and Wales)
pgge 13

RELATE WEST SUSSEX
STATEMEiYf OF CASH FLOWS
FOR TIIE FE4R ENDED 31 MARCH2024
2023
Notes
Cash tTows from operathig aetlvities
Cash generated from operations
16.880
26,018
InY¢st5xg activitiLfj
Purchase of tangible fixed assets
Investsnent income receiv¢d
(721)
Net Cash {us¢d thygtntrnted from knvesllng
(567)
246
Net easb used In fi￿ncing Activltl¢s
Net Incre￿e in eash and ￿*￿ ¢qHTYakDts
16J13
26,264
Cash and cash equivalents at beginning of year
139.636
113,372
Casb and eash equfvaiemts at end of y¢ar
155,949
139,636
page 14

RELATE WEST SUSSEX
NOTES TO THE FINANCIAL STATEMENTS
FOR THE FEAR E]VDED 31 MARCH 2024
Ac¢oDnting polieits
Ch*rlty lllforn*tiOD
Relat¢ West Sussex is a private ¢omp8ny Ilmiwl by gurdntee incorEx)rated in England and Walc& It 15 also a charitabl¢
¢ompany registered with the Chariry Commi&sioTr Thc T¢gÈ#eTcd offi¢e is Th¢ Ord)arl 1-2 Glettagles Couru Brighwn
RO￿ Crawle>. West S¥J&y RHIO 6AD.
A.1 Ae¢ountlllg cottvemion
The financial statements have prepared in accordance ivith th¢ ¢haritable company's Memordndum and Articles of
Association. the Companie5 Act 21M16 and °Accounting and Reporttng by Clwities: Ststrment of Recommended Practice
applicable to charities prepar5ng theÉr a¢LounlS in accorth¥e with th¢ Financial Reporting Standard applicable in the UK
and Republic of Ireland (FRS 102) (effe(Xive l January 2019)". The ¢h8ritable cOm[￿Y is a Public Benefit Entity &s
defmed by FRS 102.
The fmancia] statements are prepared in sterfin& which is the funa10t￿l cUTIEn￿ of the charilable company. Mon¢tsy
amounts in th*e financial statements are riwjnded to the nearest £.
Th¢ fll]ancial 5tatcm¢nts h&v¢ bccn Fycpared und¢r the hithrlcal Cftst conventiotL The principal accounting policies
adoptcd aTC Sct out bclow.
A( the time of approving th¢ financial statemenL% the trjstees have a reasonable eX[￿ctation that the ch￿itable compafty
has adequate resources lo continue in operational exi5tellcc for thc forc5ccable futun Thus the trustees continue lo adopt
the going con(xrn b&8is ofaccounting in preparing the fingncial 5tst¢mcnt&
IJ Cbarffitsble funds
Unrestricted fijnds att available for use at the di￿1(￿ of the Irustee5 in fvrthcran¢¢ of th¢ir thorityble objectives.
Designated fimds comprise funds which have been set &side at the discretion of the twstees for srrtific purposes. The
pU￿oseS and uses of the designated fi￿¢1$ a￿ set out in the notes to the financial Ststemen
Restricted funds subject to specific conditions by donors or grantor5 a5 to how they may be used. The purp(Trs¢5 and
us¢s of th¢ restricted fimds are set out in the notes to the statemen
IA Income
Income is recognised whert the charitable company is lega]ly entided io it after any ￿￿Ornian￿% conditions hav¢ been
meL the am04mts can be measured reliably. ar￿ it is pn)IHble that income will be receive4L
Lewdcies arc rcrognised on receipl or (xh¢rwise if thc ¢hariÉable cnmpany h&8 been notifi￿ of an impending distributio
the amount is know￿ and rrteipt is exp￿d. If the amourt is not know￿ the legacy is as aconlingent asset.
Grants are credited to the Statement of Financial Ath1viti￿ in the year in whi¢h th¢ charitable company becomes entitled
to them.
Other trdding acÈivities includes inc4)me frIAn donatrd to the sbop to b¢ sold on and is recogniseMJ when the goods
are sol
Charitable activiti&s include cIient income receive41 by way of counselliD& PST and other client income and is recognised
when receive(L
IIivtt>tsii¢iiL iiiwIn¢ i) tewg[ii￿ iii thc y¢ar it t¢lat¢5 to.
15

RELATE WEST SUSSEX
NOTES TO THE FINANCIAL STATEMENTS (cO￿ri1¥uED}
FOR THE YE4R ENDED 31 fvURCH2024
Aeeounting policies
(Contlnued)
1.5 Expenditsre
T.iabilities and ￿lated expenditure are reeogELised full in the finaDcial s&*ments as soon as an obligation aris¢s and
in¢lude VAT.
C03t of gcn¢rating funds tncludcs cxp¢n5G5 F¢latsJ to ruwiiiig dir avdtily Shvp dnd rwised as Incurred.
Expenditwe represents th¢ co*s directly atiributhle to charitable activiti¢s including governance ￿St$ and external
Independeni Examiner fee&
Support costs now include governance costs whith arc cow aswiatrd with meeting the constitirtional and stamtory
requirements of th¢ ¢haritable company and include Indepthdent Examiner fees, accountancy fee& lewdl dTrJ professional
fees and bank charges.
All￿￿tIOn and apporttonmelll of ¢osts
The main artivities of the charitable company are eounselling and rurlning the Charity Shop. so all costs ￿lated to these
ar¢ classcd as direcl charitablc COS￿ All other ¢osts arc allocated as support cost
1.6 TaDgible fixed a55ets
Tangible fixed a5s¢ts are initialty Me￿uled at cost and subsequentty measured at cost or Valuatio￿ nel of depreciation
ana any impairment 10&8es.
Depre¢iation is recognised so as to wrile off the cost or valuation of &&sets less thetr residual values over their usefvl Iivc5
on the tollowing bases:
Fixture4 fittings & equipment
Compu*
33.3% Str8ight Line
33.3°/o Strnighl Line
The gaxn or loss arising on th¢ disF￿1 of ￿ &wt is de*Tmined &5 the diff¢r¢n¢e IKtwLxn th¢ sale pr￿c¢dS and the
carrying value of the a&8eL and is Tecijgnised in the statemfflt of financial activiti¢&
1.7 Cash and cash ¢quiYalents
Cash and equivalents include cgsh in 4tysTÉS held * call with bank& other ShOrt-te￿ liquid investments with
original matillitias of three montlLS (w I￿&
IJ illstrumeDts
The charitable company only h&5 f￿anCIal assets aTMI liabiltties of a kind that qualify &8 basic financial instnments. Basi
finatEcial instruments are initially recognised & tranS￿lI0n vaIue and subsequently measured at their settlement value.
1.9 Taxation
The Charitable company is cxempt from corp)rnion tsx OD its djarithble adivitie&
1.10 Employee benefits
The cosi oFany unuscd holiday entidemeni is recoglli￿d in the pttiod in which the employee's Servi￿S are received.
Terniinarion benefits rewgnised immedi￿elY as an expertse when the charit8ble company is demonstrably committed
to terniinate the employment of an employee orto pmvide temiination ￿rter1t
1.11 RethTment benefft8
Thc charitable company operdtrs a defined contributions t*nsi(ffi schem& ContriLwtions payable to the ¢harilabl¢
company'5 pcnsion sGhcme art (1]a￿￿ ￿ the Swemeni ofFinancialActivities in the peri￿ tt) which they relate.
page 16

RELATE WEST SUSSEX
NOTES TO THE FtNANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
Aeeowitlng polkks
(ContlDuedl
1.12 Debtors
Ikbtors are rewgnis￿l at the thlement amount du
1.13 Credltors
Crediiors are recognised where the charitable eomptrAy has & present obliwion resulting from a p&%1 event that will
probably result in the traT]sfer of fl￿dS io a third party and the amount due fo settle the obligalion can be measured or
¢stimated reliably. Credktors are norniaily recognised at th¢ir5dtlan¢nt amount after allowing for any discount5 due.
CrltlcAI actouDtlllg e$tl¥A*trs and judgem¢Dts
In the application of the charitable company's ￿luntIng tM)li¢ies, the tr￿SteeS are ￿Uired to makc judgemcnt4
estimates and assumptio￿% a￿￿1 the Carrying amount of ￿eLS aDd liabiLitie5 that arc not readily aA)arent from other
sources. The estimatrs and &8sociatrd ￿UmptionS ba￿d on historic￿ experience and other facto￿ that are
cotLsidered to ￿ rclevanL Actual results tnay differ fr(Mn these &stiEnat&
The estimate5 and underlying &8sumptions are reviewed on an ongoing basi& Revisions to accounting estimates are
recognised in the ￿rIOd in which the estimale is revised where the rthision affects only that perio& or in the period of
the rcvision and future pericds whcrc the revision affects both current and fu￿re period&
Incomt froJJA donath)ns Ind leg*tlts
UBTestrict￿ Uttre8trkted Restrlcted
funds
fimds
getter21
desiengted
2024
2024
Total
2024
GrarEts received
31.134
4.71J)
5.154
40,988
Gr*nts reeeivable for eore Aetivitt
Crawlcy Borough Council
Horsham District Council
Bassil Shippham andARsford Tn
R¢lateen
Sussex Community Fo￿￿tIOn
Horsham Lottery
19,512
19,512
6.154
250
6,308
4,700
25
400
5.154
250
6,308
4.7(Xl
25
Chichester Isorough LOiIIICII
Gatwick Airport Community Trust
Youth Action
Other
2J27
Z,327
1.000
240
72
31.134
4,700
5.154
40,988
17

RELATE WEST SUSSEX
NOTES TO THE FINANCIAL STATEMENTS {coiYfiNUED)
FOR THE YE4R ENDED 31 MARCH2024
Ill￿￿¢ from donations and leycies
(Continu¢d)
Unrestrlcted Unrestrkted
fimds
Dds
general
designated
Restrlcted
funds
Total
21)23
2023
GE7nts r¢¢eived
34.829
IA072
50,901
34.829
16,072
50,901
U•restrieted Unrestrieted
funds
funds
desi2nxted
Restricted
funds
Totsl
2023
21ll3
2023
Grants receivable for corr ￿1VIll¢S
Cr¢Lwlry BiTrriTru¥h Cuunlil
Horsham Distriet Coun¢il
Bassil Shippham and Alsford Trust
Longl¢y Trust
FAmesl Kleinwi*t Charilable Fund
Rel&leen
Just Giving
Evenibrite
Fast Grinstead Common GtN)d TDJst
Kelly Familty Charilable TnLst
Other
lo.￿)
4.855
2U.WU
4,855
250
980
3,000
9,974
4,067
857
2,000
250
980
9.974
4,￿?
857
18
18
34.829
16,072
50.901
Income from (haritable activi1￿5
Total Unrestrieted Unrestrieted
ttds
funds
gene￿1 deslgnated
2023
2023
Total
nds
dL%igD¥ted
2024
2024
2023
Counselllng
Income from services
rwvided
269,131
21586
291.717
2fAIJ57
260.357
page 18

RELATE WEST SUSSEX
NOTES TO THE FINANCIAL STATEMENTS (COIYTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
Income from oth¢r Irading athilies
UJThtrle¢ed Unrestricted
fwids
funds
2024
Chgrity shop itlcome
188.038
151,744
IDeome from investments
ilnr¢strirted Unrtstiieted
funds
funds
2024
2023
Interest receivabl¢
154
246
Expenditu￿ r4ising funds
Utsre8tiieted Unrntrieted
funds
ruhds
general dtslgoaled
2024
2024
Totsl Unmtrieted Unrestrieted
Dd5
funds
general designated
2023
2023
Total
2023
Cbirlty Shop expenses
Operating Lharity shops
Siaff costs
41,368
39.680
41J68
39.680
39,040
31234
3.4CKI
42,440
31,234
81.048
81,048
70,274
3,400
73,674

RELATE WEST SUSSEX
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR TBE YEAR ENDED 31 MARCH 2024
Exp¢ndituTr oll ¢haritable aetivlti
Counstlling
2024
Couwlling
2023
Staff costs
Depreciation and impainnent
Advertising
Counsellor training
Coun5ellor expenses
StatTexpenses
Travelling expenK8
305.445
566
41KI
5,191
13,033
270
613
317,726
674
12
1.259
11,608
473
734
385,518
332,486
Share of support and governance eosts (s¢¢ note 9)
Support
47,950
2.136
41.182
2.014
435,604
375,682
An9tysiq by fulld
Unrestrictrd funds- general
UtYestri¢t¢d funds. designated
Restricted fiJnd8
393,784
36,586
5234
369.752
5.000
930
435,6(H
375,682
Support costs allotated to aetfvltles
2023
Operating leas¢ ¢h8r8es
tn5uraricc
Tclcphone
Prillting and $tstM)￿ry
Sundries
oiric¢ cquipmeni & IT software
Govem8n¢e costs
25,885
2,620
2,396
501
4,686
11.862
2.136
19,708
1,911
2,685
1.050
3,(Al
12.187
1014
50.086
43,196
Allalysed betw¢¢n:
Counselling
50,086
43.196
page 20

RELATE WEST SUSSEX
NOTES TO THE FINANCIAL STATEMENIS (CONfiNuED)
FOR THE YL4R ENDED 31 hL4RCH2024
Support costs Illoeated to attmd
(Conthkued)
2024
2023
Governanee costs eomprlse:
Independent &Ktmin#tion f¢¢5
Bank Cha￿t$
2,076
1,941
73
2,136
2,014
Governance costs includas payments to the ￿del￿ndent Examiner of£2,076 {2023: £1.941)
10 Net movement in fun
2024
Th¢ n¢t mov¢men¢ in funds is stht¥J aft￿ charginpJ{crediting):
Fees payable forthe independent examination of the charity's financial statements
Depreciation of owned tangible fLKed &
2,076
566
25.885
674
19,708
li
Tr￿tte5
None of the trustees (or any F*rg)rL5 ¢(mIn￿ vrith th￿) re￿Ived any reMun￿tIon or benefits from the charitable
company during the year.
Trustets, expenses
Ther¢ Nv¢r¢ no twsiees. &¥[¢n￿ paid forthe year elmled 31 Marth 2024 norfor the year ended 31 March 2023.
12 Employees
Thc avcragc monthly numlKT of employees d￿Ing the year wd5."
2024
Number
Nmmber
31
34
Employment eo
2(b24
2023
Wages and salaries
S￿I￿l s¢curity ¢osts
Other p¢nsion Costs
373,6
15,796
15,685
322,130
13,746
13,084
405.125
348,960
There were no employees whose annual remuncrnt1￿ w&s more than £￿.(M￿).
page21

RELATE WEST SUSSLX
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YE4R ENDED 31 h£4RCH2024
12 Employees
(Continued)
RetnUDerats)n of key maDa%emeDt perJonnel
The remuJ)erniion of key management personnel was as follows:
2024
2023
Awegate compensation
78,785
87.373
13 T￿￿tion
The chartty is exempt from ￿atIOn on its activilies because aIl its ineome is applieAJ for charitable p￿￿s.
14 Tangibk Ilxed *55ets
Fixtyre& fftiill
& tqUiPTOtttt
Cfftipu¢ers
At l April 2023
Additions
Disposals
4.465
11,462
15.927
721
(4.465)
(4,465}
A(31 March 2024
12.1¥3
12,183
Depreciation alld Imp*irnient
At l April 2023
tkpreciation in the year
E12minated in respect of disFrf)5als
4,465
11.097
566
15,562
566
(4,465)
(4.465)
At 31 Maffh 2024
11,663
11.663
Carrylng
At 31 March 2024
520
520
At 31 March 2023
365
365
15 Debtors
2023
Amounts fallillg due wlthlll ye#r.
Other d¢btors
Pwayments
269
6.043
11,365
6.312
11,365

RELATE WEST SUSSEX
NOTES TO THE FINANCIAL STATEMENfs (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
16 Creditfjn: gmounts falling du¢ withtll OD¢ year
2024
2023
Deferred inco]ne
A￿Tual$
17
28,962
2,642
17,420
7,014
31,604
24,434
17 Deferred iDcome
2024
2023
Other deferred income
28,962
17.420
Defeffed in¢ome is included in the fmon¢io1 statements as follows:
2024
2023
Deferred income is included withiti."
Current liabiliiies
28,962
17,420
Movements in the year.
Deferr•l in¢ome at l April 2023
Releaged from previous ￿riOdS
Resources defe￿ed in the year
17,420
(17.420)
28.962
17.420
tkferred inwme at 31 Marth 2￿24
28.962
17,420
18 Retirement benefi¢ sthcmes
2024
2013
Defintd ¢ontsibution s¢hem¢s
Charge to PTDfit or loss in resm ofdefmed ¢t￿trily)110n thes
15,685
13,084
The ¢haritsbl¢ cornpany op¢ratrs a defin￿1 contribution peTL8ion scheme for all q[￿lIfying employe¢& Th¢ assets of the
scheme are held separaiely from those of the charitable company Èn an ÉT]dependently administered fimd.

RELATE WEST SUSSEX
NOTES TO THE FINANCIAL STATEMEWIS {CONTMJED)
FOR THE YE4R ENDED 31 MARCH2024
19 Unrtstricted fwid8- designated
These are UE]rthc*d fun¢ls whi¢h ar¢ material to the charitable CoMpan￿S ￿tIvItie
At l Aprll 2017
TraDsfera At 31 Manh
2024
e4)¢Dded
Computcr5
Couns¢lltTrr trdining
Marketing
Charity shop
Fundrnising
Early Help Cwtrart
5.0(Ml
5.0(M)
5,IM)O
12,209
I,(M)o
3,(K)O
5J22
5.759
4.71))
(3250)
16.on
(10,750)
(21586)
22.586
25,831
27,286
(36J86)
10,000
26.531
Prtvkius year
At l April 2022
Ineomlng
Re50urecs
¢Jpended
Transfrrs At 31 M¥rch
2023
SU￿¢SsIon planning
Counsellor trdining
Marketing
Charity shop
Fundraising
(5,0(K))
5.7)9
5.759
1,000
3,000
16,072
5.525
(3.4(M))
875
16,on
17.284
16,072
(8.4￿)
875
25,831
The eornputers fvnd has been set aside in order for the chaTitable compatly to ￿at¢ their c4Mnputers.
Th¢ succ￿10￿ planning fimd h&s been set asi(k in orthr for the ¢haTilable comtmny to have the necessary funds for any
key r*rsonnel changes that may h17p￿& in the future.
The counsellor training fimd b&5 b¢¢n sth up ￿ the charitable company tKovide training for their counsel10￿ in the
future when r¢quired.
The markding fund has IKen set &8ide in order forthe clwitable ¢￿￿nY lo mrtet their fuU]re s¢rvices further.
The charity shop fijnd has i￿) set &side to the electrics Tn the shop gDd and other wAirs that are r4uir¢iL
The fundraising fimd h&$ been 3a ￿ld¢ to provide subsidia and twsaries att(Kding the fund gwdelines.
Farly help contract relates to monies recetved from West Sussex County Council to provide a Family counselling
serviee.
Foge 24

RELATE WEST SUSSEX
NOTES TO THF FtNANCIAL STATEMENTS (CONTINUED)
FOR THE YE4R ENDED 31 MARCH 2024
Restrieted fita
The restri¢ted fimds of the chority cixnpri5e the unexpethled bal￿￿e8 of donations gnd graDts held on trnst subject to
spccific condiiions by donors &$ ￿ how they may be we4J.
At l Apru 2023
l•comlng
resou￿¢5
Resources At 31 Marth
¢xpeode41
2024
Relateen Chichesttt
Rclatccn Crawlcy
Horsham DC Grant
iio
8.011
&(y)I
(80)
(5,154)
5.154
5,154
(5234)
8,121
Prtviow yeor.
At l April 2022
ImeomiDg
resourr¢s
Resollrets At 31 March
Ptnded
2023
Relateen Chichester
Relateen Crum'l
110
Y,V21
iio
8,091
(950)
9,131
(930)
8,201
Re￿ACted relate io income that ba% been set aside for the Young People's service also known BS Relateen.
The Hor3haEn District Council grant refers to fiuth received as a contribution towards the cost of delivering face to face
counscuing in Horsham.
21 Unrestrieted fuBds
The unrestricted funds of the charity comprise the Une￿nded balances of dol￿tiOnS and grants which are not subjcct to
specific ￿ltionS by donors aThJ grantors as to how they rnay be useiL These include deS1￿(ed funds which have been
s¢1 *sid¢ out of unrestricted fi]nds by the trustees for swifie puw.
At l Aprll 2023
Incomhbg
rEsour¢¢$
Tra￿Sfern At 31 Mare
2024
expended
OuEcrdl funds
484457
(474.832)
(10,000)
96,525
Previolls year.
At i April 2022
IDroming
Resourees
TraRsfer5 At31 Majrh
2023
General fund5
86,625
447,176
{440.026)
(875)
92.9
25

RELATE WEST SUSSEX
NOTES TO THE FINAIYCIAL STATEMENTS (CONTINUED)
FOR THE YE4R ENDED 31 MARCH2024
Amatysi8 •f net 4s3¢ts b¢tweeD
funds
designated
2024
Dds
%¢neral
2(124
2024
21124
At 31 March 2024:
Tangible ¥sets
CuTrenl assetsl(liabilities)
520
96.(M)5
520
130,657
26531
8,121
9&525
26.531
8,121
131.177
Unrestrlcted iinrestrleted
funds
nds
general
de5igngted
2023
Restrtrttd
Dds
Tot81
2023
2023
At 31 M*rrh 2023:
Ton¥iblc assers
Cujrent &￿￿(liabIlItI¢5)
365
,535
365
126.567
25,831
8.201
25,831
8,201
126.932
OpeNing lease commilments
At the rewrting end date the charithble company had ou¢&anding commitmeDts for future minirnutn lease payments
under nonwcancellable operating lea￿ which fall due as follow&.
2023
Within one y
Between two and five years
In over five years
32,768
76.576
128,(KM)
28.527
64.1X)O
IM,Ix>o
237.344
236,527
Related party tr*ll￿tti0￿S
There were no disclosable related pgty transactions during the year (2023- none).
26

RELATE WEST SUSSEX
IYOTES TO THE FINANCIAL STATEMEIYTS {CONTINUED)
FOR THE YE4R EIVDED 31 MARCH 2024
Caskn generat¢d from operatiotis
2024
21)23
s￿￿1￿s for the year
4245
13,892
Adjustments for..
In￿StMenT income wised in statement of financial ¥tivities
Depreciation and impainnent of tangible fixed
(154)
566
(246)
674
Movements in working withi:
ikcreasel{tncre3se) in debtors
5.053
{4.372)
11,542
{7.424)
1,702
17,420
Incr&%e in defekyed ￿n￿me
Cash %¢ts¢rated from operations
16,880
26.018
Analysis of cbanges ID net fonds
The charitable cornpany Iwl no material d¢bi during the year.
Pgg¢ 27

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