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2022-03-31-accounts

Page
Trustees'
report
1-10
Independent
auditors'
report 11-14
Statement
of Financial
Activities 15
Balance Sheet 16
Cash Flow Statement 17
Notes to the financial statements 18-28

Forthe Year Forthe Year Ended 81 Ended 81 March 2022
Trustees Mr M Serby (Chair)
Miss A Worsnip (Vice-chair)
Ms N Adams
Dr PAskham
Mr C Davies Resigned 14/02/2022
Mrs E Muller Appointed 11/08/2021
Mr RM Biddulph Appointed 07/12/2021
Mrs J Howlings Appointed 13/04/2022
Mrs G Capewell Appointed 13/04/2022
MrJYarwood Resigned 01/09/2021
Mr G Jones Resigned 11/08/2021
Mrs HL Crapper Resigned 05/04/2021
Charity number 1124775
Company number 6081874
Registered office Newholme
Hospital
Baslow Road
Bakewell
De rbyshire
DE45 1AD
Senior management team Mrs JSmeeton (Chief Executive Officer)
Mr M Penman (Operations Manager)
Mrs K Heappey (Clinical Lead)
Auditor Hawsons
Chartered
Accountants
Statutory Auditors
Pegasus House
463a Glossop Road
Sheffield
6102QD
Bankers Natwest
1 Water Lane
Bakewell
DE45 1YY
CCLA
Senator House
85Queen Victoria Street
London
EC4V 4ET

Derwent Rural Counselling Satvlce Independent Auditorfs R•port to the members of Derw&nt Rural Coun$elling Sorvico {¢ontlnued) For the Y•ar End•d 31 March 2022 Audit procedures perfomed by the engagement team inctuded.. Discussions %Mth management and those responsible for ￿al Complian￿ wocedures wthin the charitable company lo obtain an understanding of the legal and ￿gUlatOry framework applicable to the charitable company and how the charitable company complies wih that framework, induding considerth.on of known or suspected instances of non-compliance with laws and regulations and fraud". Reviewing minutes of Trustee meetings; Idenlify'ng and assessing the design effecliveness of contro15 that management has in place to prevent and detect fraud and non-c￿Mpliance with laws arbd regulations., Challenging assumpliorbs arKI judgements made by management in their signrficant accounting estimates. ldentifw.ng and testsng joumal entries, in particular anyjoumal entries posted unusual account combinatsons or p051ed by senior marbagemenl. There are inherent limitsth.ons in the audit procedures describerj above and the more removed non-compliance th laws and regulations is from the evellls and transactions rellected in the financial statements, the less likeEy we are lo become awa￿ of rt. Also, the risk of not dete(aing 8 material misstatement due to fraud is higher than the risk of not detecting one resulting from error. as fraud may invtlve deliberate c0￿ealment by. for example, forgery Of inlenlional misrepresentations, or through collusTh. A futher descllption of our responsibilth.es is available on the Financial Reporting Council's website at.. *w.ftc.org.uklaudilorslaUdit-assurancelaudilor-5-responsibil￿.eS-f0r-the-a￿dil-of-the-fiIdescnPl10n-0f-th auditorfs-responsibilities-for. ThL8 descllption fomis part of (w audit￿5 report. Use of our report This report is made solely to the charilable compan￿$ members, as a boty, in accordance wth Chapler 3 of Part 16 of the Companies Act 2006. Our audit work has been undertaken so that we might slate lo the charitable companYs members those matters we are required to stale to them in an auditor's report and for no other p￿￿OSe. To the fullest extent pemrtted by law, we do not accept or assume responsibilrty to anyone other than the charitable company and the charitable companYs members as a body. for our aLFdil work, for this report, or for the opinions we have fomied. Simon Bladen (Senior SlalutoryAuditor) For and on behalf of Hawsons Chartered Accountants. Ststutory Auditor Pegasus House 4638 Glossop Road Sheffield S102QD Date IQI 1021 14

2022 2021
Unrestricted Unrestricted
F 6
Income
Donations
and legacies
10,059 3,932
Other trading
income
Investments
Charitable
activities
2,005,867 3,274,140
Total income 2,015,929 3,278,117
Expenditure
Charitable
expenditure
2,051,122 3,028,159
Total expenditure 2,051,122 3,028,159
Net (expenditure)l income (35,193) 249,958
Net movement
in funds
(35,193) 249,958
Reconciliation offunds
Total funds brought forward 17 1,539,905 1,289,947
Total funds carried forward 17 1,504,712 1,539,905

2022 2021
Note F
Fixed assets
Tangible assets 11 926,643 407246
Current assets
Debtors 12 212,521 481,882
Cash and cash equivalents 947,109 940,568
1,159,630 1,422,450
Creditors: amounts falling due within one year 13 (104,839) (94,382)
Net current assets 1,054,791 1,328,068
Total assets less current liabilities 1,981,434 1,735,314
Creditors: amounts falling due after more than one year 14 (476,722) (195,409)
Net assets 1,504,712 1,539,905
Charity funds
Unrestricted
funds
17 1,204,712 1,289,905
Designated
funds
17 30Q,QQQ 250,000
Total charity funds 17 1,504,712 1,539,905

2022 2021
Note 5
Net cash flow from operating
activities
19 260,850 377,296
Cash flow from investing activities
Payments
to acquire tangible
fixed assets (546,615) (11,610)
Interest received 3 9
Net cash flow from investing activities (546,612) (11,601)
(285,762) 365,695
Cash flow from financing activities
Repayment
ofbank loans
(38,184) (16,793)
issue ofnew bank loan 350,000
Interest paid (19,513) (9,962)
292,303 (26,755)
Net increase
in cash and cash equivalents
6,541 338,940
Cash and cash equivalents brought forward 940,568 601,628
Cash and cash equivalents carried forward 947,109 940,568

2 Income from donations and legacies and legacies 2022 2021
Unrestricted Unrestricted
E
Client donations 10,059 3,932
3 Income from other trading activities 2022 2021
Unrestricted Unrestricted
f f
Room hire 36
4 Income from investments 2022 2021
Unrestricted Unrestricted
6 F
Investment income
5 Income from charitable activities 2022 2021
Unrestricted Unrestricted
6
Fees for counselling 2,000,242 1,791,025
Changing Lives project fees 1,453,991
Well-being fees 1,000
Supervision fees 2,860 1,050
Other income 2,765 27,074
2,005,867 3,274,140

6 Analysis ofexpenditure ofexpenditure ofexpenditure ofexpenditure on charitable activities 2022 2021
Unrestricted Unrestricted
6 f
Salaries 1,000,289 1,766,518
Employer's Nl 95,214 161,616
Staff pension costs 46,304 68,222
Staff expenses 3,465 1,301
Counsellors' fees 630,310 671,607
Counsellors' expenses 4,572 6,556
Supervision 5,010 11,036
Room hire 1,201 5,355
Training 6,079 7,725
Insurance 6,817 5,062
Printing 8 stationery 4,414 3,939
Telephone, internet &postage 43,956 43,790
Computer
equipment
15,220 57,876
Office, sundry 8 other 9,258 11,315
Recruitment 1,205 8,785
Professional fees 39,215 41,511
Travel
Subscriptions 8,413 7,089
Depreciation 27,218 15,579
Premises expenses 110,568 113,600
Loan interest 19,513 9,962
Accountancy fees 13
Auditor's
remuneration
6,575 6,125
Advertising and promotion 1,846 2,354
Bank charges 817 1,236
Bad debts (36,370)
2,051,122 3,028,159
7 Net income for the year
2022 2021
6 6
Net income is stated after charging:
Depreciation oftangible fixed assets 27,218 15,579
Operating
lease rentals
74,948 71,948

2022 2021
Number Number
Average number of employees 40
The total staff costs and employee benefits was as follows:
2022 2021
f 6
Wages and salaries 1,000,289 1,766,518
Social security 95,214 161,616
Defined contribution pension costs 46,304 68,222
1,141,807 1,996,356

11 Tangible fixed assets
Land and Computer Office
buildings equipment equipment Total
6 6 6
Cost or valuation:
At 1 April 2021 420,531 37,966 33,511 492,008
Additions 532„362 14,253 546,615
At 31 March 2022 952,893 37,966 47,764 1,038,623
Depreciation:
At 1 April 2021 43,072 26,401 15,289 84,762
Charge for the year 18,933 4,272 4,013 27,218
At 31 March 2022 62,005 30,673 19,302 111,980
Net book value:
At 31 March 2022 890,888 7,293 28,462 926,643
At 31 March 2021 377,459 11,565 18,222 407,246
12 Debtors
2022 2021
8 5
Trade debtors 206,344 469,798
Other debtors 6,177 12,084
212,521 481,882

13 Creditors: amounts
falling due within one year
2022 2021
6
Bank loans 48,142 17,639
Trade creditors 19,409 24,923
Other tax and social security 24,945 41,558
Accruals 12,343 10,262
104,839 94,382

2022 2021
6
476,722 195,409

2022 2021
f
Not later than one year 47,500 35,500
Later than one and not later than five years 42,500 69,000
90,000 104,500

Unrestricted
funds
Balance at
Baiance at 31 March
1 April 2021 Income Expenditure Transfers 2022
F E 5 f F
General 1,289,905 2,015,929 (2,051,122) (50,000) 1,204,712
Designated
CYP Clinicians 50,000 50,000
Future infrastructure
development 250,000 250,000
250,000 50,000 300,000
Total 1,539,905 2,015,029 ~(2,00(,(22 1,504,712
Balance at
Balance at 31 March
1 April 2020 Income Expenditure Transfers 2021
8 5 8 F
General 961,419 3,278,117 (2,949,631) 1,289,905
Designated
CYP Clinicians 78,528 (78,528)
Future infrastructure
development 250,000 250,000
328,528 (78,528) 250,000
Total 1,209,942 3,2?8.112 ~(3.020,(59 1,539,905

18Analysis ofnet assets between funds
Unrestricted Designated Total
As at 31 March 2022 funds funds
6 5
Fixed assets 926,643 926,643
Cash at bank and in hand 647,109 300,000 947,109
Current assets 212,521 212,521
Creditors due within one year (104,839) (104,839)
Creditors due after more than one year (476,722) (476,722)
Total 1,204,712 300,000 1,504,712
Unrestricted Designated Total
As at 31 March 2021 funds funds
6 5
Fixed assets 407,246 407,246
Cash at bank and in hand 690,568 250,000 940,568
Current assets 481,882 481,882
Creditors due within one year (94,382) (94,382)
Creditors due after more than one year (195,409) (195,409)
Total 1,289,905 250,000 1,539,905

2022 2021
E f
Net (expenditure)l income for the year (35,193) 249,958
Interest receivable (3) (9)
Interest payable 19,513 9,962
Depreciation
oftangible fixed
assets 27,218 15,579
(increase)
in debtors
269,361 113,061
Increase/(decrease) in creditors (20,046) (11,255)
Net cash flow from operating activities 260,850 377,296