Annual Report APRIL 20 - MARCH 21
01639 642277 information@nptcarers.org.uk
Foreword
NPT Carers Service is pleased to present its annual report for 2020/2021, the organisation’s 12th year as an independent charity.
This is my first AGM as Chair of NPT Carers Service. It is a privilege to follow in the footsteps of Dr Ed Roberts; on behalf of our trustees, I would like to thank him for all he has done for carers over many years, and for the incredible contribution he has made to the development and growth of NPT Carers Service. I certainly have big shoes to fill, and I thank Dr Roberts for his guidance and support.
Little did we know when we presented the last report, that the coronavirus pandemic would today still very much be part of our lives. We have all been affected in some way, however none more so than those that provide care to family and friends; I, on behalf of the Board of Trustees, would like to thank and show appreciation to the many carers in Neath Port Talbot who look after their loved ones
unconditionally. You are an inspiration, and it is you that drives us to develop and improve the support that is available. We will continue to listen to and work with carers when planning and developing services.
During 20/21, NPT Carers Service said goodbye to several staff, some had been with the service for many years and some a short while. The Board of Trustees would like to thank them all for their contribution and wish them well for the future. We would also like to give a warm welcome to Alison Owen, Service Manager who joined us in May and the new members of the team that have recently been recruited; we look forward to working with you. NPT Carers Service has had a year of change, opportunity, and challenge. Our staff and volunteers have had to adapt to new ways of working to meet Welsh Government requirements whilst continuing to provide help and support to carers. Thanks to all of you for everything you do. This has meant working remotely,
an increased use of technology and social media and the development of innovative and creative ways to provide information, advice, and support. We developed shared online activities with Swansea Carers Centre which those carers with access to the internet thoroughly enjoyed. At the same time, we acknowledge that we need to find innovative ways of reaching those who do not use social media.
The Voluntary Sector Emergency Fund from WCVA and Neath Port Talbot CVS, enabled the service to introduce a Counselling Service, Wellbeing calls and additional capacity within the sitting service, enabling us to adapt and respond quickly to the Covid-19 crisis.
NPT Carers Service was delighted to work with Swansea Carers Centre and the Carers Trust to offer the Welsh Government funded Carers Support Grant for the first time. In Neath Port Talbot we helped 265 carers to access the grant, awarding a total of £64,000.
We are very grateful to our third sector, private sector and statutory partners, as well as our funders, for their support during what has been a testing year; we all have the same objective: to put carers at the heart of everything we do.
We know from the 2011 census there are at least 20,000 people providing care for loved ones, friends, and neighbours in our county borough. Together we need to reach as many of these as we can to ensure everyone has an opportunity to access the support available. Everyone can play a part in this so please share details of our service with anyone you think may benefit.
Finally, if you would like to become a trustee of NPT Carers Service, please contact us at information@nptcarers.org.uk
Mrs Margaret Lake Chair, Board of Trustees
Engagement
Many carers experience loneliness and isolation, but the pandemic exacerbated an already difficult situation, affecting the health and wellbeing of both the carer and the cared for. Our interactions with carers had to change, wellbeing calls were made to over 1,050 carers in the first quarter of 2020, providing information, support and guidance.
We managed to undertake 3 face to face activities during December 2020 plus weekly virtual/online events happening throughout the year, including coffee mornings, quizzes, bingo, cooking, talks, arts and crafts, karaoke, singing, virtual tours and experiences.
(2004).
19
VOLUNTEERS
OUR VOLUNTEERS
We have wonderful Volunteers who have supported carers for a number of years, and the past year has probably the biggest challenge of all, we would like to say a huge thank you to each and every one and look forward to resuming our regular sitting service in due course.
Statistics
A numbers breakdown
APPLICATIONS FOR CARERS 265 SUPPORT GRANT WORKSHOPS HELD WITH NPT MIND 3
60
PROFESSIONAL COUNSELLING SESSIONS
6
2,827 CARERS ARE REGISTERED WITH THE SERVICE Carer Couriers 7,395 DISTRIBUTED[3,472 ] UNIQUE Carer contacts NEW CARERS VISITS IDENTIFIED 0 [HOME ] 333 were undertaken due to COVID restrictions
DISTRIBUTED
NEW CARERS IDENTIFIED 333
7
Counselling for Carers
Emergency Covid funding enabled NPT Carers Service to engage a counselling service to provide much needed support to carers.
The plan was to give either 4 wellbeing calls or 6 counselling sessions to each carer referred, however it quickly became apparent that more than 4 wellbeing calls were needed largely due to the ongoing pandemic and isolation of carers, helping them through an incredibly turbulent period with a lot of national fear, indecision, changing rules and attitudes. NPT Carers Service evolved quickly, adapting to the needs of the carers, 117 carers in the Neath Port Talbot area were referred for telephone support between May 2020 and March 2021. Carers who remained in the programme received between 4 and 30 weekly calls. Due to the time at which carers were referred not all had the opportunity to receive equal support; for example, some carers were referred in May 2020, whilst others were not referred until January 2021, therefore the number of calls received does not accurately reflect need or engagement.
In terms of formal evaluation, the 14-item resilience scale (RS-14) was used. Scores below 65 indicate low resilience, scores between 65 & 81 show moderate resilience and scores above 81 are interpreted as high levels of resilience. Simple analysis of this measure indicated that there were positive changes in carers resilience when comparing scores from the outset and at end of the calls. This is consistent with counsellor observations from their conversations with the carers.
Funding for counselling ended on 31st March 2021 which led to the service being withdrawn. However, NPT Carers Service successfully
applied for further funding to the Intermediate Care Fund (ICF) to manage a “Carers Wellbeing Project” part of which is to facilitate counselling for carers and bereaved carers.
“I was promised counselling by my doctor/hospital years ago, but nothing ever happened – these calls have made such a difference”
Carers Support Grant
Funded by Welsh Government, awarded by Carers Trust
Working in collaboration with Swansea Carers Centre we supported 265 carers through the application process, which helped carers to access over £ 63.6k of support to help alleviate hardship caused but the pandemic. The rising costs experienced by many during lockdown, squeezed household finances, this grant helped carers to purchase essential household items and shopping vouchers.
“I would like to thank you all for your support and help to get the carers support grant which supplied us with a freezer and heater”
“Thank you so much for helping us to obtain a new washing machine, ours had stopped working and I was washing clothes in the bath”
Thank you to our Funders
Neath Port Talbot Carers would also like to formally thank Swansea Bay UHB and Neath Port Talbot Council for their continued support through the financial year.
Continue to work collaboratively with the Neath Port Talbot County Borough Council, Swansea Bay University Health Board and Neath Port Talbot CVS to sustain and develop services.
Continue to work with carers and our partners in identifying gaps in service provision and working towards to solutions.
Continue to engage with carers on the future developments of the service.
11
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF NEATH PORT TALBOT CARERS SERVICE LTD
Independent examiner's report to the trustees of Neath Port Talbot Carers Service Ltd ('the Company')
I report to the charity trustees on my examination of the accounts of the Company for the year ended 31 March 2021.
Responsibilities and basis of report
As the charity's trustees of the Company (and also its directors for the purposes of company law) you are responsible for the preparation of the accounts in accordance with the requirements of the Companies Act 2006 ('the 2006 Act').
Having satisfied myself that the accounts of the Company are not required to be audited under Part 16 of the 2006 Act and are eligible for independent examination, I report in respect of my examination of your charity's accounts as carried out under section 145 of the Charities Act 2011 ('the 2011 Act'). In carrying out my examination I have followed the Directions given by the Charity Commission under section 145(5) (b) of the 2011 Act.
Independent examiner's statement
Since your charity's gross income exceeded £250,000 your examiner must be a member of a listed body. I can confirm that I am qualified to undertake the examination because I am a registered member of Institute of Chartered Accountants in England and Wales which is one of the listed bodies.
I have completed my examination. I confirm that no matters have come to my attention in connection with the examination giving me cause to believe:
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accounting records were not kept in respect of the Company as required by section 386 of the 2006 Act; or
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the accounts do not accord with those records; or
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the accounts do not comply with the accounting requirements of section 396 of the 2006 Act other than any requirement that the accounts give a true and fair view which is not a matter considered as part of an independent examination; or
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the accounts have not been prepared in accordance with the methods and principles of the Statement of Recommended Practice for accounting and reporting by charities (applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)).
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.
Henry Lloyd Davies Institute of Chartered Accountants in England and Wales Bevan Buckland LLP Chartered Accountants Ground Floor Cardigan House Castle Court Swansea Enterprise Park Swansea SA7 9LA
09.11.2021 Date: .............................................
NEATH PORT TALBOT CARERS SERVICE LTD
STATEMENT OF FINANCIAL ACTIVITIES (INCORPORATING AN INCOME AND EXPENDITURE ACCOUNT) FOR THE YEAR ENDED 31 MARCH 2021
Notes INCOME AND ENDOWMENTS FROM Donations and legacies 2 Charitable activities 3 Carers Service Total EXPENDITURE ON Charitable activities Carers Service 4 NET INCOME/(EXPENDITURE) Transfers between funds 11 Net movement in funds RECONCILIATION OF FUNDS Total funds brought forward TOTAL FUNDS CARRIED FORWARD |
Unrestricted Restricted 2021 Total funds £ funds £ funds £ 168 - 168 - 390,672 390,672 168 390,672 390,840 7,126 345,047 352,173 (6,958) 45,625 38,667 51,185 (51,185) - 44,227 (5,560) 38,667 92,914 5,560 98,474 137,141 - 137,141 |
2020 Total funds £ 200 299,436 299,636 333,131 (33,495) - (33,495) 131,969 98,474 |
|---|---|---|
NEATH PORT TALBOT CARERS SERVICE LTD
BALANCE SHEET 31 MARCH 2021
Notes CURRENT ASSETS Debtors 9 Cash at bank CREDITORS Amounts falling due within one year 10 NET CURRENT ASSETS TOTAL ASSETS LESS CURRENT LIABILITIES NET ASSETS FUNDS 11 Unrestricted funds Restricted funds TOTAL FUNDS |
Unrestricted funds £ 7,000 150,201 157,201 (20,060) 137,141 137,141 137,141 |
Restricted funds £ - - - - - - - |
2021 Total funds £ 7,000 150,201 157,201 (20,060) 137,141 137,141 137,141 137,141 - 137,141 |
2020 Total funds £ 14,598 101,834 116,432 (17,958) 98,474 98,474 98,474 92,914 5,560 98,474 |
|---|---|---|---|---|
The charitable company is entitled to exemption from audit under Section 477 of the Companies Act 2006 for the year ended 31 March 2021.
The members have not required the company to obtain an audit of its financial statements for the year ended 31 March 2021 in accordance with Section 476 of the Companies Act 2006.
The trustees acknowledge their responsibilities for
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(a) ensuring that the charitable company keeps accounting records that comply with Sections 386 and 387 of the Companies Act 2006 and
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(b) preparing financial statements which give a true and fair view of the state of affairs of the charitable company as at the end of each financial year and of its surplus or deficit for each financial year in accordance with the requirements of Sections 394 and 395 and which otherwise comply with the requirements of the Companies Act 2006 relating to financial statements, so far as applicable to the charitable company.
These financial statements have been prepared in accordance with the provisions applicable to charitable companies subject to the small companies regime.
The financial statements were approved by the Board of Trustees and authorised for issue on ............................................. and were signed on its behalf by:
............................................. Ms M Lake - Trustee
Dear Carers To unpaid carers, our staff and our trustees
Unpaid carers are the unsung heroes who go above and beyond what is expected every day, but the past year has been challenging for everyone, especially carers. We would like to say a huge thank you to each and every one of you for the unwavering support you provide to family, friends and neighbours across Neath Port Talbot each and every day.
You are all essential – thank you!
Board of Trustees
April 2020-March 2021
Dr E M Roberts - retired Jan 2021 Lorraine Miles
Clive Owen - retired Jan 2021 Tony Clements Donna Smith Lucy Grundy Margaret Lake
Co-opted Member Andrew Potts
Staff
April 2020 – March 2021
Mariann Pedersen Ceri Stilwell Paula Sillitoe Jan Thomas Carly Hastings Carole Jones Sharon Thomas Cheryl Torrington Judith Kinsey Samuel Bennett Claire John
Telephone:
Address:
01639 642277
Email:
Website:
REGISTERED COMPANY NUMBER.. 06868025 (England and Walgs) REGISTERED CHARITY NUMBER.. 1130262 UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021 FOR NEATH PORT TALBOT CARERS SERVICE LTD Bfjvan Buckland LLP Chartered Accounlanls Ground Floor Cardlgan Hous8 Castle Court Swansea Enterprise Park Swansea SA7 9LA
NEATH PORT TALBOT CARERS SERVICE LTD CONTENTS OF THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021 Report of th8 Trustees Independ•nt Examinèrfs Raport Statèment of Flnanclal Actlvllleg Balan¢e Sheet Not•s to tho Flnanclal Statements D•talled Statemant of Flnanclal A¢tlvit50s 8 10 18 19
NEATH PORT TALBOT CARERS SERVICE LTD REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2021 The trustees who are also dire¢tOTS of the charity for the purp05e$ of the Companies Act 2006, present their report with the financial statements of the charity lor the year ended 31 March 2021. The trustees have adopted the provisions of Accounting 8nd Reporting by Charities-. Stslemenl of Recommended Practicg applScabl8 to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland {FRS 1021 (effective l January 2019}. OBJECTIVES AND ACTIVITIES Objectlvos The object for which tho charity is 68tablish8d is th8 rg1i6f of povety. sickness and distress among carers in partlcular but not exclusively through the provrsK>n of advice, information and support in Nealh Port T8lbol. The charity confirms it has referred to the guidance contained in the Charities Commlssion general guidance on publ1¢ b8nefit when reviewlng the Charitigs aims and objecliv&s in planning frjlure aclimties. ACHIEVEMENT AND PERFORMANCE Charltable actlvitles Achl•vemont$ and P•rformanc The main 8r8a of charitable activity is lo provide advice, information and support lo carers in Neath Port Talbot. The ¢harty activtties deliver publlc benefit under the followlng service 8r8a5.- 1. Tolephono SerYicelCoTrta¢t wlth Cllents and Organlsatlons for Support The totsl number of "conla¢ts' wth oarers from Isl April 2020 10 3181 March 2021 was 3,472. This contact with Carers was via telephone andlor face to face {restrtcted due to COVIDI. These carers received Information, advice and assistance to meèt their individual needs. 2. Identifying Carers The total number of ngw rarers identified and requeslirvJ ongoing informats'on from 1st 4)ri12020 - 31st Maich 2021 was 333. 3. Benefit Entitlement Support I Car•rs Rlghts NPT Carers Service stsff have $upport8d carers with infomialron regarding benefit entiuemènls and carers rights. Home vlIS were ceased due to COVID restrictics. however, our Te8m continued lo assist carers with benefft forms for Carer Allowance. Attendance Allowance and Attendan¢e Allowance upgrades as well as Carers Assessments and Benefil Advice over the lel8phono. Hom• Visi1$ and Outrea¢h Home visits were ceased in line with COVID guidance, carers were supported by telophone, with wellbeing calls added to the daY tasks of our Team. This support was provided lo CalS with information on benellt entitlements, Gargrs, rights, information and emotional support. S. Outreach In the Communlty and Events Informalionloutreach and Raising Awareness sgssions were h8ld in a limited number of venues due lo COVID restrictions. However, many online events yvere undertakgn to ensu Gonlinualion of s8rvicgs. The following are examples (but rK)t limited tol of various outreach.. - NPT MIND Workshops Aulism Talks - Weekty Dropln Sessions - Carers Rights Day - Wellness Day - NPT Carers Service AGM St David's Day Event - Piomoted Vaccino Rollout Page 1
NEATH PORT TALBOT CARERS SERVICE LTD REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 l•lARCH 2021 ACHIEVEMENT AND PERFORMANCE Charitable actlvitles 6. Events and SoGial Actlvltles General Events NPT Carers Service have offered differant types of acllvities during 2020-2021. The following arg examples (bul not limited lol of various activtties rrw)sl of which were held onlin8, some in conjunction wth - Cooking Sessions Singing Sessions - Arts & Crafts Quizzes Bingo - Flrst Training Manual Handling Trainlng - Coffee Momings including Chrtsthias Coffee Momrngs - Christmas Paty Pantomime - Poety Comp&lition Cargrs Week The following took plece durlng Carars Weèk: - Outreach across Neath Port Talbot to raise awareness and idenlrfy new carers. CaFers Rights Day Worked with Swansea Carers Centre lo organise and facililale online 8GliMlies. NPT Carers Seryice hosted an event with the Late Dr Hywel Francis as Keynote Speaker, hoving chaired the Welsh Affairs commilled and human rights joint committee, His particular a¢hievemgnl was the Carers Equal Opportunities Acl12004). 7. Sltting S•rvice & Volunteer Ser4lcg$ We have provided 343 sils throughout th8 year, to 61 Carers to gnsure they were able to take a break frorn their caring role. A total of 538 hours of sits were provrdad lo carers within Neath Port Talbot using Domiclliary Care Ag9ncias. We have been unable to assist carers with sits Caj out by Volun18ers due lo COVID restn'cl'ons and the fact that most of our Voluntetsrs are in the shielding category due lo their age. However, our Volunteers provided a Shopping and EThand Service and undert(K)k Telephone Befriending Calls. During Ihls period we had 19 volunteers eroaged with Neèlh Port Talbot carS Service. Covid-19 Updatè Carers servi staff started to work from home in March 2020 due lo the Welsh Govemmenl advicfj. Staff worked hard lo ensure all carers known to the service were contacted by telephone lo see how they ware feeling, as well as lo inform them of the aclwilies bein9 held online. We started to introduce a new service woviding weekly Wallbeing phone calls. These were lo 'che¢k in" on carers to see how they were pIng during lockdown. We offered Counselling sessions via Zoom and telephone. The following additional funding was made avallable lo support a¢tivllig8 during the pandemlc.. Wlnler Pressures Moondancg Funding Voluntary Services Emorgency Fund IVESF) Voluntary Services Emergency Fund (VSEF) Intsrmediale Care Fund IICF) Vaccine R&spon5e The financial support enabled us lo purchase laptops for Staff to work from home, provide ¢arers with information and support with 8ccessing Valne cenlres. provide wellbeing calls and engage profession81 Counsellors to support carers wth thelr Health and Wellbeing and provide virtual and face to face events. Page 2
NEATH PORT TALBOT CARERS SERVICE LTD REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2021 In addition lo the above NPT Carers Serwce worked with Swansea Carers Centre to administer the Carers Trust Hardship Grant. which provided 265 carers across Neath Port Talbol with £ 63.6k of much needed support. FINANCIAL REVIEW Financlal Rèview The total Income of £390.840 (2020". £299,636) was spent on ¢Jirecl charilablo 6xp8ndlture totalling £349,329 12020.. £329,996) and Govemance £2.84412020.. £3,136). The Statement of Financial Activities reflects the income and expendrture Incurred by Neath Port Talbot Carèrs Service Ltd tyi carrying out Its role in respect of its objectives. The neral fijnds at 31 March 2021 were £137,14112020.' £92,914) and reslrlcted funds £NIL (2020- £5,560). Going concern The charity has had to radically Change how Ih8y operate durlng Covld-19 and lod(down. The charlty cancelled all fa¢e-tfa¢e aclivlties and homelcommunty meetings and replaced them with online meetings. The charity secured funding to purchase laptops for staff lo work from hom8, meaning the charity was able lo carry on supporting unpaid Carers the local area when lockdown stsrt8d. The Charity has adapted the way they work by using virtual software to enable the charity lo continue to provid8 most of their services during the pandemic. The charity does not foresee any issues to be able lo settle oulslanding invoices. bills and commitments due lo th8 funding they have continued to sacure. PLAMS FOR FUTURE DEVELOPAIENTS Plans for the future of the Servi include enhancing exSstln9 services, implementing a organisalioris strudure that can be sustained with current funding and id8nlifying any gaps and laking forward service development by working collaboratively with our partners. This includes Co-production with carers from across Neath Port Tall)ol and the Region. STRUCTURE. GOVERNANCE AND MANAGEMENT Governlng document The ¢harty is controlled by its governing document and constitutes a limited company, limited by guarantee. as defined by the Companies Act 2006. The organisation was incorporated on 02.04.2009 and reglstered as a chan'ty on 22.06.2009. The company was established under a Memorandum of Asso¢lalion which 8Stablished thè objects and powers of the charllable company antl Is govemed under its Artic18s of Association. Recruitment and appolntment of new tN$tees The directors of the company are also charSty trustees for the purpose of chartty law and under the company's Articles. Under requirements of the Memorandum and Articles of Association the Iruslees are elected to serve for a perKJd of thre8 years after which they must be re-elected al thg next annual general meetirKJ. Each year one third of the Tiustees sland down. Indu¢tion and tralnlng of new trustees Most trustees ar8 already familiar wlth Ihe ptactical work ol the charity. New Iruslees are invited and encouraged to attend training session to famifiarise themselves wth the charty and the conlexl wilhin which il operates and cover. Related parti•$ In so fai as il is complimentary to the objects. the charity is gulded by both l¢X81 and national policy. REFERENCE ANDADMINISTRATIVE DETAILS Roglstered Company numbor 06868025 (Englond and Wales} Registèred Charlty numbor 1130262 Page 3
NEATH PORT TAL8OT CARERS SERVICE LTD REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2021 Re9ls¢•red offl¢e Health and Social Care Centre Cimla Neath SA113SU Trusts•s Mrs L C Miles Dr E M Roberts Irfysigned 31.3.211 Mr C Owen (resigned 9.2.211 Mrs J D 8urrells Mr T Clemfrnts Ms D Srnith Trustee Ms L Grundy Trustee Ms M Lake Trustee Company Secwetary Mrs A Owen Indepèndent Examin•r Bevan Bucklanil LLP Chartered Accountants Ground Floor Castle Court Cardigan House Swansea Enlerprfse Park Swansea SA7 9LA Bankèrs Unity Trust Bank Nin8 Brindleyplace Birmingham B1 2H8 Cowopted Mgmb•rs Mr Andrew Potts Th18 report has b8en prepared in accord8nc8 with the special provlsions of Part 15 of Compani8s Act 2006 relating lo small companies. Approved by order of the board of trustees on.......................... .and slgned on its behalf by.. Ms M Lake- Trustee Page 4
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF NEATH PORT TALBOT CARERS SERVICE LTD Independent examlner'B report to the trust•es of Neath Port Talbot CarErs Servico Ltd (The Company) I rekX)rt lo the charity trustees on my examination of the accounts of the Company for the year ended 31 March 2021. R•sponslbllitl•s and basis of report As Ihe charity's Iruslees of the Company land also ils directors for the purposes of company law) you a responsible for the preparation of the accounts in aOrdanCe with ts requirements of the Companies Act 2006 {'the 2006 Act,). Having satlsfied myself that the accounts of the Company are not required to be auditod under Part 16 of th& 2006 Act and are eligible for independent examination. I report in resp8Ct of my èxaminatK)n of your charitys accounts as carriod out under sectlon 145 of the Charities Act 2011 {'Ihe 2011 Acl'l. In carrying out my examination I hav8 followod tho Directions giv&n by the Charty Commlssion under section 14515} (b) of the 2011 Ad. Ind•pend8nt examlnerfs statement Since your charity's gross income exceeded £250.000 your examiner must be a m8mber of a lislgd body. I n confinn that l am qualified lo undertake the examination because l am a regislered member of Institute of Chartered Accountants in England and Wales which is on8 of tho listed tK)dies. I have completed my examination. I confimi that no mallers have come to rny attention in connection with the examination giving me cause to believe: acccnting records were not kept in respect of the Company a$ required by section 386 of the 2006 Act: or the accounts do not acccffd with those rècords. or thè accounts do not comply with the accounllng requirements of section 396 of the 2006 Act other than any requirement that the accounts give a true and fair view which is not a mattor considered as part of an Independent examinallon.. or the accounts have not been prgpared in accordance with the methods and principles of the Ststem8nt of Recommended Practi for accounting and reporting by charities lapplicable lo ¢harFlies preparing their accounts in accordance with Ihe Financial Reporting Standard appllc8ble in the UK and Republic of Ireland IFRS 10211. I have concems and have come across no other matters in connection with the examination to which attention should be dr8wn in this report in order lo enable a propor undetstandty)g of the accounts lo be reached. Henry Lloyd Davies Institute of Chartered Accountants in England and Wales Bevan 8uckland LLP Chartered Accountants Ground Floor Castle Court Cardigan House Swansea Enlerprisg Park Swansea SA7 9LA 09.11.2021 Date:............................................. Page 5
NEATH PORT TALBOT CARERS SERVICE LTD STATEMENT OF FINANCIAL ACTIVITIE8 (INCORPORATING AN INCOME AND EXPENDITURE ACCOUNT) FOR THE YEAR ENDED 31 MARCH 2021 Unrestricted Restricted funds funds 2021 Total funds 2020 Total furKIs INCOME AND ENDOWMENTS FROM DCallonS and legacies Charltabla acllvlt••s Cai8rs Servicfr Notes 200 390,672 390.672 299,436 Total 188 390,672 390,840 299,636 EXPENDITURE ON Charltable aetivttlos Carers Service 7,126 345,047 352,173 333,131 NET INCOMEIIEXPENDITURE) Tran8f•rs betw•en fuTrd$ 16,9581 45,625 38,667 {33.495) 11 51,185 151,185) Net movement In fvnds 44227 (5,560) 38.667 RECONCILIATION OF FUNDS Total funds broughl for%Yard {33,495) 92.914 5,560 98,474 131.969 TOTAL FUNDS CARRIED FORWARD 137.141 137,141 98,474 The notes fonn part of these financlal statements P8ge 6
NEATH PORT TALBOT CARERS SERVICE LTD BALANCE SHEET 31 MARCH 2021 Unr8stricled funds 2021 Tolal funds Reslrictad lund$ 2020 Totsl funds CURRENT ASSErs Dèbtors Cash at bank Notes 7,000 150,201 7.000 150,201 14,598 101.834 157.201 157,201 116.432 CREDITORS Amounts falllng due Ih1n on8 yèar 10 120.060) {20.060) 117,9581 NETCURRENT ASSErs 137,141 137.141 98,474 TOTAL ASSETS LESS CURRENT LIA81LITIES 137.141 137,141 98.474 NET ASSErs 137,141 137,141 98,474 FUNDS Unrestricted fund$ Restricted funds 11 137,141 92.914 5.560 TOTAL FUNDS 137.141 98.474 Tho charitable company is entitled to exemption from audit under S8ction 477 of ihe Companies Act 2006 for the year ended 31 March 2021. The members have not quired the company to obtain an audit of its finartcial statemanls for the year gnded 31 March 2021 in accordance wlh Section 476 of Companies Act 2006. The trustees acknoadge their re8pon8ibilitl8s for lal ensuring that the charitable cc¥npany keeps acc£Junling records that C4)mply with Se¢tlons 386 and 387 ofthe Companies Act 2006 and Ib) preparing financial stst8ments which give a true and falr view of the stsle of affaifs of the charitable company as at th8 &nd of each financial year and of ils surplus or deficit for each financial year in accordance wlth the r8quirements of Sections 394 and 395 and which otherwise comply with the requirements of the COmpare3 Act 2006 relallng to financial ststements, so far as applicable lo the charitable company. These finandal statements have been prepared in accordance with the provisv)ns applic8ble to charitable Companies subjgcl lo the small companies regime. The financial statements were approved by Ihe Board of Truste9$ anil aLrthorised for issue on . and were slgned on Its behajfby.. Ms M Lake- Trustee The notes form part of these flnancial statements Page 7
NEATH PORT TALBOT CARERS SERVICE LTO NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021 ACCOUNTING POLICIES 8asl$ of preparlng the finan¢ial statements The financial stalements of the charrtable company. which is a public benefit entity under FRS 102. have been prepared in accordance with the Charities SORP IFRS 102) 'Accounting and Reporting by Charities= Slalement of Recommentjed Practice applicable to charitie5 preparing their accounts in accordance wrth tho Financial Reporting Standard applicable in the UK and Republic ol Ireland IFRS 102) {effective 1 January 20191,. Financial Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Republic of Ireland. and the Companies Act 2006. The )Snancial slalements hav8 b8en prepared under the historical cost convèntion. The financial statements of Ihe charitable ¢ompAny. which is a public benefit enlfy under FRS 102. havè been pr8pared in accordance with the Charities SORP IFRS 1021 'Accounting and ReptIng ty Charities: Stalernent of Recommended Practi¢8 applicable to charities prep8ring thelr accounts in accordance wlth the Financial Reporting Standard appllcable in thg UK and Republic of Iroland IFRS1021 (effective 1 January 20151., Financial Reporting Standard 102 'The Finaneial Reporting Standard applicable in the UK and Republic of Ireland, and the Companie5 Act 2006. The financial $181oments have been prePad under the historical cost convention. Flnan¢lal reportlng standard 102 - reduced disclosure exemptlons The charitable Company has taken advantage of the following disclosure exemption8 in preparing these financial stslements, as permitted by FRS 102 The Financi81 Reporting Standard applicable in Ihe UK and Republic of Ireland,: th8 requirements of Section 7 Ststement of Cash Flows. Income All income rs rewgnise(I In the Ststement of Financial Aclivilias oftc8 the charity has enlitlemenl to the funds, it is probable that the Sncome will be roceived and th8 amount be measured reliably. Exp•ndlture Liabilitles are recognised as expenditure as soon as there is a legal or construct8 obligat committing the charity to that expendllure. it is probable that a transfer of economic benefits will be required in settlement and the amount of the obligation can be measured reliably. Expendrture is aoUnted for on an accnjals basis and has bgen classified und8r headings that agggate all cost related to the category. whe costs cannot be direclly attributed lo particular headings they have been allocated to activities on a bas consistenl %wth use of resources. Allocation of support co¥ts Support costs ala those functions that assist the work of the charity bul do not directly undertake chaiitable activities. Support costs include back office costs, finance, personnel, payroll and governance costs which support the Trusts artistic progiammes and aclivitiÈs. Thes& costs have been allocated between cost of raising funds and expenditure on charitable aclivilies. Corporation taxation The Charity is exempl from corporalion lax on income and gains falling within Sectic 505 of the Taxes Act 1988 or section 252 of the Taxation of Chargeable Gains Act 1992 to the extent that these a appli&d to its charitabl6 objects. Fund ac¢ountlng Unrestricted funds.. 'Fre8 resgjves, are unreslrictad fund8 not committed lo speclfic projects, programmes or purposes and can be used in accordance with the Charilablo objectives at the discretion of Ihe Trustees. 'Dgsignated unreslricted funds, are part of the unrestricted funds which trustees have garmarked for a partlcular project or use. without restrictir or committing the funds legally. Restricted funds can onty be used for particular restricted purposes within the oLy'gcts of the CharSty. Reslrldions arise when speclfied by the donor or when funds are raised for a partlar restricted P468 continued...
NEATh PORT TALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS- contlnued FOR THE YEAR ENDED 31 MARCH 2021 ACCOUNTING POLICIES- ¢onttnued Ponslon costs and ¢>ther post-retirement beneflt¥ The charitable company operates a defined contribution pension schome. contribun$ payable lo th8 charrtable company's penSn scheme are charged lo the Statement of Financ1 Activities In the period lo which they relate. Company Btatus The charity is a company limited by guarantee. In the event of the tharity being wound up, the liabilty in respect of the guarantge k¥ limited to £1 member of the charity. Proparation of the a¢¢ount$ on a golng concern basis The trust888 consider that there are no material unc8rtainligs about the challtys abilty lo Continue as a going concern. Debtors Trade and other debtors are recognised at the settlement amounl due after any trade dlscounl offered. Prepayments are valued at the amount preId net of any trade disccAJnts due. Cash at bank and In hand Cash at bank and cash in hand indudes cash and short term hlghly Irquid investments with a short maturity ol three months or less from the date of a¢quisition or opening of the deposit or similar account. Credltors and provl$lons Creditors and provislons are recognised where the charity has a present obligation resullSng from 8 past event that will probably result in the transfer of funds to a third party and the amount tlue lo settte Ihe oblbJation can bo measured or estimated reliably. Cr8dilors and provisions are normally recognised at their settlement amount after allowing for any trade discounts tlue. Flnan¢lal inslruments The charity only has financial assets and IancIal liabilities of a kind ihal qualfy a$ basic fitTr8ncial instruments. Basic financial instruments are initially recognised at Iransactb)n value subsequenlly measured al their settlement value. Owrating l•a8es Rentals applic8ble to operating leases, where subslanlially all of the benefits and risks of ownership remain with the lessor. are charged to U)è income and eXpendire account as tnwrred. Slgnrfl¢ant ludgem•nts and e$tlmat•s The prepBration ol the financial ststemenls in conformity g8rraIty accepted accounting prlntlples requires the directors lo make estimates and a8sumptions that affect the reported amounts of assets and liabilities and disclosure of ¢onlingenl assets and liabilities at th8 dale of the financial statements and the reported amounts of revenue and exp6nses during the reporting period. Actual resums in the future could differ from these eslimales. The directors are 8atisfi8d that there are no signrficanl judgements or estimates in addition to those that management has made in th8 prwoss of applying the Compan8 accounting polide$. Allocation of Support costs Support costs are thos& functions that assist the work of the charity but do not diroctly undertake charitable activities. Support costs include back office costs. finance, personnol, payroll and govemance costs. Th8se co$ls have been allocated betweon cost of raising funds and expenditure on charitable activities. Page 9 continued...
NEATH PORT TAL8OT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS - continu•d FOR THE YEAR ENDED 31 MARCH 2021 DONATIONS AND LEGACIES 2021 2020 Donations 168 200 INCOME FROM CHARThABLE ACTIVITIES 2021 2020 Grants Ath'vity Carers Servlce 390,672 299,436 Grants receiv8d, inGlud6d In the above*, ar8 as follows: 2021 2020 NPTCBC Core Funding SBUHB Joint Core Funding Big Loltery- People and Places ICF Grant ICF Granl- ABMU ICF Grant 2 11 SG Carers Br8aks- SCVS 28SG Carers Strategy NPTCBC Thiid Sector Winter Pressure Moondance Funding Parent CSW {NPTCBC} Tesco Funding VSEF Small Grants NPT CVS 120 VSEF WCVA I20 IWint8r Pressure) ICF Vaccine Response 101.520 13.521 106,520 13,521 6,336 114.881 38,769 5,639 8,898 55,742 25,000 24.413 35,592 12.500 10.272 19.970 500 1.994 72.922 7,000 390.672 284,838 CHARrrABLE ACTIVITIES COSTS Direcl Costs pport costs Isee note 5) Totals Carer8 SeNice 349.329 2,844 352,173 Page 10 )nlinued...
NEATH PORT TALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS - contlnued FOR THE YEAR ENDED 31 MARCH 2021 SUPPORT COSTS Support costs Finance Totals Carers Service 132 2.712 2,844 TRUSTEES. REMUNERATION AND BENEFITS There were no trustees, remungralion or other bsnefrts for the year ended 31 March 2021 nor for the year ended 31 March 2020. Truslg0$' èxpense$ There were no Trustees. 6xp8nses palsy lor the year ended 31 March 202112020.. £NILII STAFF COSTS The averagè monthly number of employees during the yearwas as follows.. Employees 2021 2020 No employee$ received &[r)IuMents in 8xc£ss of £60.000. The total employee benefits (including pension contriblOns) paid to the kgy m8naggment personnel of Neath Port Talbot Car6rs SeNice Limited were £49,14712020'. £37,708). COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES Unr8slricted funds Restlcted funds Total fijnds INCOME AND ENDOWMENTS FROM Donations and legacies 200 200 Charltable actlvlties Carers Service 299.436 299.436 Total 200 299.436 299.636 EXPENDITUREON Charitable actlvltles Carers Service 851 332.280 333.131 NET INCOMEI{EXPENDrruREI Tran5fvrs b•twe•n funds 16511 132.8441 {33,4951 11,532 (11,5321 Net movoment In funds 10.881 144.376) 133.495} RECONCILIATION OF FUNDS Total funds brought forward 82,033 49.936 131,969 Page11 continued...
NEATH PORT TAL80T CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS - continued FOR THE YEAR ENDED 31 MARCH 2021 COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES-contlnued Unrestricted Restri¢led funds funds Total funds TOTAL FUNDS CARRIED FORWARD 92.914 5.56D 98,474 DEBTORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR 2021 2020 Grant Income Accruèd 7.000 14,598 10. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR 2021 2020 Trade Creditors Social security and other tsxes Accrued gxpenses 9,243 7,619 3,198 15,244 2,714 20,060 17,958 11. OVEMENT IN FUNDS Net mov¢ment in funds Transfers beeen funds At 1.4.20 Al 31.3.21 Unr•$tri¢t•d fvnds General funds Designated Contingency Fund 7,914 85,000 (6.958) 46,185 5,000 47,141 90,000 Re$trl¢tod funds NPTCBC Joint Core Funding ICF Grant Carers Breaks- SCVS 28SG SBUHB Joint Core Funding IFom7erly known as." ABMU Heatth Board Core Funding} Wlnlei Pressure Moondance Funding (Winter Pressure) ICF Vaccine Response Parent CSW (NPTCBC) VSEF WCVA 19-20 92.914 16.958) 51,185 137. 141 2,371 15,276 6,319 {2.371) (15,2761 {6.3191 3.357 9,781 67 (3.3571 (15.341) (67) 5.560 2.000 3,938 2,516 12,0001 (3,938) {2.5161 5,560 45.625 (51,185) roTAL FUNDS 98,474 38,667 137,141 Pag8 12 conts'nued..
NEATH PORT TALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS- rontlnued FOR THE YEAR ENDED 31 MARCH 2021 MOVEMENT IN FUNDS- contlnued Nel movement in funds, Included in Ihe above are as follows= Incoming resources Rosources expended Movem&nt in funds Unre$trf¢ted funds General funds 168 (7,1261 {6,9581 Restrlcted funds NPTCBC Joint Core Funding ICF Grant Carers Brgaks- SCVS 28SG S8UH8 Joint Core Funding IForrnerly known as.. ABMU Health Board Core Funding) Winter PsSUre Moondance Funding (Winter Pressure) ICF Vacclne Response Parent CSW INPTCBC} Tesco Funding VSEF Small Grants NPT CVS 19-20 VSEF WCVA 19-20 101,520 114,881 35,592 199,149) 199,6051 129,273) 2.371 15,276 6,319 13,521 12,500 10,272 {10,1641 12,7191 {10,205) 3,357 9.781 67 7.000 19.970 500 1,994 72.922 {5,000) {16,032} (500) (1.9941 (70,406) 2.000 3,938 2,516 390.672 {345,047) 45.625 TOTAL FUNDS 390,840 1352,173) 38,667 Comparatlvgs for movement in funds Nel movement in funds Transfers behveen funds At 1.4.19 At 31.3.20 Unre3trl¢t8d funds General fvnds Designated Contingency Fund 17.033 65.000 16511 (8,4681 20.000 7,914 85.000 R•$trl¢ted funds 8ig Lottery- People and Places ABMU Transrtion fvnd (Formerly known as.. ABMU Carers Measure Fund) ICF Grant NPT CBC Mental He0h Carers Strategy Winter Pressure 82,033 1651) 11.532 92.914 2,775 12,775) 32,410 {27.787) 3.936 (14.7511 127) 8.560 {4,6231 (3,9361 14.751 27 I3,OCl 5,560 49,936 132,844) 111,5321 5,560 TOTAL FUNDS 131,969 (33,4951 98,474 Page 13 continued...
NEATH PORTTALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS- continu•d FOR THE YEAR ENDED 31 MARCH 2021 11. MOVEMENT IN FUNDS- continued Comparative nel rnovemenl in funds, SnGluded in the above are as follows.. Incoming resources Resources expgnded Movement infvnds Unrestrfct•d funds General funds 200 18511 {6511 Restrl¢tsd funds NPTCBC Joint Core Funding Big Lottery- People and Places ABMU Transllion fund {Formerty known as.. ABMU Carers Mgasure Fund) ICF Grant NPT CBC Mental Health ICF Grant 2 11 SG Carers Breaks- SCVS 28SG Carers Strategy NPTCBC Third Sector Grant SBUHB Joint Core Funding {Formerfy known as: ABMU Health Board Core Funding} Winter Pressure MOOndan Funding 106.520 6.336 {106,5201 (9.1111 12,7751 127.7871 134,833} {14,7511 {5,6391 {8,898) 155,769> (25,0001 {27,7871 3,936 (14,7511 38,769 5,639 8,898 55,742 25,000 1271 13.521 24,413 14,598 (13,521) 115,853) (14,598) 8.560 299,436 (332,280) 132.844) TOTAL FUNDS 299,636 1333,131) {33,4951 Page 14 ontinued...
NEATH PORT TALBOT CARERS SERVICE LTD MOTES TO THE FINANCIAL STATEMENTS- continu•d FOR THE YEAR ENDED 31 MARCH 2021 11. MOVEMENT IN FUNDS - continu•d A current year 12 months and prior year 12 months combined lrtion is as follows.. Nel movement in funds Tiansfers been funds At 1.4.19 31.3.21 Unrostrlcted funds General funds Desrgnaled ConlirKJency Fund 17,033 65,000 (7,609) 37,717 25,000 47.141 ,000 R•$trictad funds NPTCBC Joint Core Funding Big Lottery- People and Places ABMU Transition fijnd (Formerly known as.- ABMU Carers Measure Fund) ICF Grant NPT CBC Mental Health Carers Breaks- SCVS 28SG Carers Strategy SBUHB Joint Core Funding {Fomiady known as.. ABMU Health Board Cor8 Fundlngl Wintei Pressur8 Moondan¢e Fundlng {Winler Pressurel ICF valne Response Parent CSW INPTCBCI VSEF WCVA 19-20 82,033 17,609} 62,717 137.141 2,371 12.775) (2,371) 2,775 32,410 {27.7871 19,212 {14.751) 6.319 {27) (4.623) (19,2121 14,751 {6,319) 27 3,357 18.341 67 (3.357) 118,3411 1671 2,000 3,938 2,516 (2.000) 13,9381 (2.516) 49,936 12.781 162.717) TOTAL FUNDS 131.969 5,172 137.141 Page 15 ccntinued...
NEATH PORT TALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS - continued FOR THE YEAR ENDED 31 MARCH 2021 11. MOVEMENT IN FUNDS- coTrtlnu¢d A CLwrenl year 12 mnlhs and prh)r year 12 months combined nel movement in funds. included in the above are as follows.. IncomiThJ resources Resources expended Movement in funds Unrestricted funds Genèral funds {7,9771 17.6091 Restrlcted funds NPTCBC Joinl Coro Fundlng Big Lottery- People and Places A8MU Transillon ftTnd IFormerly known as.. ABMU Carers Measure Fund) ICF Grant NPT CBC Mental Health ICF Grant 2 11 SG Carers 8reaks- SCVS 28SG Carers Strategy NPTCBC Third Sector Grant SBUhB Joint Core Funding (Fomerty known as". ABMU Health Board Core Funding) Winter Pressure Moondance Funding (Winter Pressure) ICF Vacclne Response Parent CSW INPTCBCI Tesco Funding VSEF Small Grants NPT CVS I20 VSEF WCVA 120 208,040 6,336 {205.669> (9.1111 2,371 12.7751 153.650 (27,7871 1134.4381 (14.751) 15,639) {38,171} 155,769) 125,000) (27,7871 19,212 114,751) 5,639 44,490 55,742 25,000 6,319 {271 27,042 36,913 24.870 123.6851 (18.5721 124,803) 3,357 18.341 67 7,000 19.970 500 15.000) {16,032) {500) {1,994} 170,406) 2,000 3,938 72.922 2.516 690,108 1677,3271 12,781 TOTAL FUNDS 690.476 1685.3041 5.172 Transfers be08n funds relate to managem*nt charges. D•s¢rfptlon of Funds: NwfcBC - Joint Core Funding To support NPT Carers Service with CORE Funding to continue its operations ABMU Heahh Board Jolnt Coro Fundlng - FUndg as a result of our joint Contract with NPT CBC and ABMU Blg Lott•ry People & Place$- Funding lo deliver the Connecting Carers project ABMU Carers Measur• Fund - Funding lo meet the aims and object5 ol the ABMU Carers InfrKmation StrategYransl110n Action Plan. ICF Grant- 1WG - A Llfe Alongside Carfng Ensuring carers obtain the righl information al the right time, providing them with a pilo sitting servKe, which is invaluable to carers, a break from their caring role, and emergency support to attend heatthcare appointments. Linking closely with the Young at Heart Proiecl, to engage younger volunteers. Page 16 continued...
NEATH PORT TALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS- contlnued FOR THE YEAR ENDED 31 MARCH 2021 MOVEMENT IN FUNDS- continu•d ICF Grant- 4Cab Provide information, advice and support to carers, working in partnérship with the Social S¢rvke 'Sing1e Point of Contscf Team. Undertaking caror8 assessments lo support carers with their caring role. 11. ICF Grant- 7CA- C•r•rs W6llbelftg & Hgalth Raising awareness of the needs of carers lo ensure that thgy 8ro given the supFort necessary to continue Ihoir caring role. Providè information, advice and support as needed. Proactively engage with carers. providing wellbeing calls and ongoing support. ICF Gwant- SCA. Par•nt Carer fransltlon Support Officèr Provide support. advice, guidance and signposting parent Carers, tKowdlng advocacy and worklng in partnership wrt Children & Adult SeThice$ to ensure a smooth translOn period from child to young aduit. ICF Grant- 20D- Demontia Supporting those who care for people with Dementia. providing more integration beeen NPT Carers Service, H8allh and Social Carg Services. offering a rarKJe of eady intervention and prevention 8UPPOrt, reducing the stress felt by those who provide care to people living with dementia. ICF Grant. 8CA- Cartrs W•llb•lng Project To provide support to CareTS by providing prof8s$ional counselling seryices, wellbeiThJ ca115, SUPPOrt for beioave¢J carers through transition support, training and respite care. Improving the health and wèllbeing of unpaid ¢arers across Nealh Port Talbot. NPTCBC- Parent Carer Support Funding for a for a Parent Carer Support Officer, who will work closely with Parent Carers lo improve and enhance the oulcomes through support and early intervention. Empowering Parent Carers. collaboratively working with various agencies to gnsure positive outcomes, providing a support n8rk, advice, guidance and assistance as required. Blg Lott•ry Capltal Grant Fund- Capital funding to delfver a D&velopm8nt outreach project. Carexs Frfendly Fund - Funding for a Carers Packag8 of Support. counselllng seNces, domiciliary cafe sitting sgrvices and breaks for carers that in¢lude va0S activlties lo decrease stress and isolation. Thls also includos well being worf(shops NPT CBC M•ntal Health - Funding lo provide carer support for those caring for s(Kneone with a mental illnoss. Thls post is ctrlaled to the Community Mental Health Teams Carers Strat•gy - Funding to ensur& the charity ar8 able to offer the correct Support lo unpaid Carers within Neath Port Talbol. Funding was vla Integrated Care Fund for West Glamorgan. This funding included an inle9rated team member in the Gateway Team, the Health Care Liaison OffK8r and a Volunteer cr1rdina10r. NPTCBC Thlrd S•ctor Fund- Young at Heart" A project developed to address the needs of carers we wish lo engage a young person who can recnjit Young Volunteers into the Sector. Improving the hoallh 8nd wellbeing of carers. through Inter- generational support and engagemsnl. SBUHB - Joint Core Fundlng To support NPT Carers Service with CORE Funtling to coTrtlnue its operations 11SG ICF Grant- To top up the ICF 19120 funding 28SG Car&rs Breaks- To top up the Carers Strategy fundlng Page 17 continued...
NEATH PORT TALBOT CARERS SERVICE LTD NOTES TO TNE FINANCIAL STATEMENTS - ¢ontlnued FOR THE YEAR ENDED 31 MARCH 2021 11. MOVEMENT IN FUNDS- Contlnued Wint•r Pressures - Fundlng for a number of activities and counselling for carers. Thts was lo help Increase the discharge prctess from hospitals during the wnler months. Moondance Covtd-19 Fundlng - Unrestricted funding to purchase laptops for $18ff to enable Ihem lo WO from kbjme Contingency Fund - Funds held for F¥)tential redundancy costs, project dosures and unforeseen costs. The trustees airn to hold around 3 mtsnlhs of runniThJ costs wlhin this fund in order to ertsure the charity is resilient to changing circumstances. 12. RELATED PARTY DISCLOSURES There were no related party transactions for the year ended 31 March 2021. Page 18
NEATH PORT TAL8OT CARERS SERVICE LTD DETAILED STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 MARCH 2021 2021 2020 INCOIIIE AND ENDOWMENTS Donatlons and1•ga¢les Donations 200 Charftsblo •ctMtles Grants 390,672 299,436 ToL*l incoming r8sources 390,840 299,636 EXPENDITURE Charltablo aGtlvltles Wages Social securty Pensions Insurance Telephone Postage and stationery Advertising and publicity Stsff training Rent Staff travel Equipment Forum and events Mèmbership Room hire Administration Transport Grants repayabl8 Domiciliary care Counselling and well-being workshops Legal expenses 226,842 12,715 11,644 1,356 2,146 8,625 1.436 170.625 32.861 10.684 1,246 1.939 14,989 3.546 740 4.484 7.024 22.104 8.181 160 1.210 7,321 365 4,554 2,088 12,044 2,489 283 45 13.691 7.646 32.824 8,235 19,412 16.280 349,329 329,995 Support costs Financ• Sundries Bank chargès 323 101 128 132 424 Support costs Accountancy fees AGM costs 2,712 2,212 500 2.712 2,712 Total resoUrS expended 352,173 333, 131 Net Incomèl(expenditure} 38.667 {33.4951 This page does not form part of the statutory financial stalomenls Page 19
Virtual Cabinet Portal Dlgital Signatures Dlgltal Slgnatur• verIfl¢aQn You can verify that this is 8 genuine Virtual Cabinet Docurnent Portal signed docurnenl by uploading tt to Ihe fknng secuie web page.. https..IlvM.VirtarcabI8IportaI.c0neAfySIgnoUrnent Slgnature Dat•s and Tlmes All dates and times sho in Ihe slgnatures b81¢)w are 0XpSSed in Coordin*d Unlversal Time IUTC}. whlch is goneralty equivalent to GMT. You can find out more 8bout urc at Ihe followlng web page.. httpJ1b.VirtaablnetportOlCffj1wThatl9uTC Signature 1 &gned by Margaret Lake usiro authentication cle VHZIRihtRzZmWUdk at IP address 94.1.7.152, on 2021111109 08..2155 Z Margaret LakÈ's e-mail address is.. chair@nptQ8¥ers.org.uk.
REGISTERED COMPANY NUMBER.. 06868025 (England and Walgs) REGISTERED CHARITY NUMBER.. 1130262 UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021 FOR NEATH PORT TALBOT CARERS SERVICE LTD Bfjvan Buckland LLP Chartered Accounlanls Ground Floor Cardlgan Hous8 Castle Court Swansea Enterprise Park Swansea SA7 9LA
NEATH PORT TALBOT CARERS SERVICE LTD CONTENTS OF THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021 Report of th8 Trustees Independ•nt Examinèrfs Raport Statèment of Flnanclal Actlvllleg Balan¢e Sheet Not•s to tho Flnanclal Statements D•talled Statemant of Flnanclal A¢tlvit50s 8 10 18 19
NEATH PORT TALBOT CARERS SERVICE LTD REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2021 The trustees who are also dire¢tOTS of the charity for the purp05e$ of the Companies Act 2006, present their report with the financial statements of the charity lor the year ended 31 March 2021. The trustees have adopted the provisions of Accounting 8nd Reporting by Charities-. Stslemenl of Recommended Practicg applScabl8 to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland {FRS 1021 (effective l January 2019}. OBJECTIVES AND ACTIVITIES Objectlvos The object for which tho charity is 68tablish8d is th8 rg1i6f of povety. sickness and distress among carers in partlcular but not exclusively through the provrsK>n of advice, information and support in Nealh Port T8lbol. The charity confirms it has referred to the guidance contained in the Charities Commlssion general guidance on publ1¢ b8nefit when reviewlng the Charitigs aims and objecliv&s in planning frjlure aclimties. ACHIEVEMENT AND PERFORMANCE Charltable actlvitles Achl•vemont$ and P•rformanc The main 8r8a of charitable activity is lo provide advice, information and support lo carers in Neath Port Talbot. The ¢harty activtties deliver publlc benefit under the followlng service 8r8a5.- 1. Tolephono SerYicelCoTrta¢t wlth Cllents and Organlsatlons for Support The totsl number of "conla¢ts' wth oarers from Isl April 2020 10 3181 March 2021 was 3,472. This contact with Carers was via telephone andlor face to face {restrtcted due to COVIDI. These carers received Information, advice and assistance to meèt their individual needs. 2. Identifying Carers The total number of ngw rarers identified and requeslirvJ ongoing informats'on from 1st 4)ri12020 - 31st Maich 2021 was 333. 3. Benefit Entitlement Support I Car•rs Rlghts NPT Carers Service stsff have $upport8d carers with infomialron regarding benefit entiuemènls and carers rights. Home vlIS were ceased due to COVID restrictics. however, our Te8m continued lo assist carers with benefft forms for Carer Allowance. Attendance Allowance and Attendan¢e Allowance upgrades as well as Carers Assessments and Benefil Advice over the lel8phono. Hom• Visi1$ and Outrea¢h Home visits were ceased in line with COVID guidance, carers were supported by telophone, with wellbeing calls added to the daY tasks of our Team. This support was provided lo CalS with information on benellt entitlements, Gargrs, rights, information and emotional support. S. Outreach In the Communlty and Events Informalionloutreach and Raising Awareness sgssions were h8ld in a limited number of venues due lo COVID restrictions. However, many online events yvere undertakgn to ensu Gonlinualion of s8rvicgs. The following are examples (but rK)t limited tol of various outreach.. - NPT MIND Workshops Aulism Talks - Weekty Dropln Sessions - Carers Rights Day - Wellness Day - NPT Carers Service AGM St David's Day Event - Piomoted Vaccino Rollout Page 1
NEATH PORT TALBOT CARERS SERVICE LTD REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 l•lARCH 2021 ACHIEVEMENT AND PERFORMANCE Charitable actlvitles 6. Events and SoGial Actlvltles General Events NPT Carers Service have offered differant types of acllvities during 2020-2021. The following arg examples (bul not limited lol of various activtties rrw)sl of which were held onlin8, some in conjunction wth - Cooking Sessions Singing Sessions - Arts & Crafts Quizzes Bingo - Flrst Training Manual Handling Trainlng - Coffee Momings including Chrtsthias Coffee Momrngs - Christmas Paty Pantomime - Poety Comp&lition Cargrs Week The following took plece durlng Carars Weèk: - Outreach across Neath Port Talbot to raise awareness and idenlrfy new carers. CaFers Rights Day Worked with Swansea Carers Centre lo organise and facililale online 8GliMlies. NPT Carers Seryice hosted an event with the Late Dr Hywel Francis as Keynote Speaker, hoving chaired the Welsh Affairs commilled and human rights joint committee, His particular a¢hievemgnl was the Carers Equal Opportunities Acl12004). 7. Sltting S•rvice & Volunteer Ser4lcg$ We have provided 343 sils throughout th8 year, to 61 Carers to gnsure they were able to take a break frorn their caring role. A total of 538 hours of sits were provrdad lo carers within Neath Port Talbot using Domiclliary Care Ag9ncias. We have been unable to assist carers with sits Caj out by Volun18ers due lo COVID restn'cl'ons and the fact that most of our Voluntetsrs are in the shielding category due lo their age. However, our Volunteers provided a Shopping and EThand Service and undert(K)k Telephone Befriending Calls. During Ihls period we had 19 volunteers eroaged with Neèlh Port Talbot carS Service. Covid-19 Updatè Carers servi staff started to work from home in March 2020 due lo the Welsh Govemmenl advicfj. Staff worked hard lo ensure all carers known to the service were contacted by telephone lo see how they ware feeling, as well as lo inform them of the aclwilies bein9 held online. We started to introduce a new service woviding weekly Wallbeing phone calls. These were lo 'che¢k in" on carers to see how they were pIng during lockdown. We offered Counselling sessions via Zoom and telephone. The following additional funding was made avallable lo support a¢tivllig8 during the pandemlc.. Wlnler Pressures Moondancg Funding Voluntary Services Emorgency Fund IVESF) Voluntary Services Emergency Fund (VSEF) Intsrmediale Care Fund IICF) Vaccine R&spon5e The financial support enabled us lo purchase laptops for Staff to work from home, provide ¢arers with information and support with 8ccessing Valne cenlres. provide wellbeing calls and engage profession81 Counsellors to support carers wth thelr Health and Wellbeing and provide virtual and face to face events. Page 2
NEATH PORT TALBOT CARERS SERVICE LTD REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2021 In addition lo the above NPT Carers Serwce worked with Swansea Carers Centre to administer the Carers Trust Hardship Grant. which provided 265 carers across Neath Port Talbol with £ 63.6k of much needed support. FINANCIAL REVIEW Financlal Rèview The total Income of £390.840 (2020". £299,636) was spent on ¢Jirecl charilablo 6xp8ndlture totalling £349,329 12020.. £329,996) and Govemance £2.84412020.. £3,136). The Statement of Financial Activities reflects the income and expendrture Incurred by Neath Port Talbot Carèrs Service Ltd tyi carrying out Its role in respect of its objectives. The neral fijnds at 31 March 2021 were £137,14112020.' £92,914) and reslrlcted funds £NIL (2020- £5,560). Going concern The charity has had to radically Change how Ih8y operate durlng Covld-19 and lod(down. The charlty cancelled all fa¢e-tfa¢e aclivlties and homelcommunty meetings and replaced them with online meetings. The charity secured funding to purchase laptops for staff lo work from hom8, meaning the charity was able lo carry on supporting unpaid Carers the local area when lockdown stsrt8d. The Charity has adapted the way they work by using virtual software to enable the charity lo continue to provid8 most of their services during the pandemic. The charity does not foresee any issues to be able lo settle oulslanding invoices. bills and commitments due lo th8 funding they have continued to sacure. PLAMS FOR FUTURE DEVELOPAIENTS Plans for the future of the Servi include enhancing exSstln9 services, implementing a organisalioris strudure that can be sustained with current funding and id8nlifying any gaps and laking forward service development by working collaboratively with our partners. This includes Co-production with carers from across Neath Port Tall)ol and the Region. STRUCTURE. GOVERNANCE AND MANAGEMENT Governlng document The ¢harty is controlled by its governing document and constitutes a limited company, limited by guarantee. as defined by the Companies Act 2006. The organisation was incorporated on 02.04.2009 and reglstered as a chan'ty on 22.06.2009. The company was established under a Memorandum of Asso¢lalion which 8Stablished thè objects and powers of the charllable company antl Is govemed under its Artic18s of Association. Recruitment and appolntment of new tN$tees The directors of the company are also charSty trustees for the purpose of chartty law and under the company's Articles. Under requirements of the Memorandum and Articles of Association the Iruslees are elected to serve for a perKJd of thre8 years after which they must be re-elected al thg next annual general meetirKJ. Each year one third of the Tiustees sland down. Indu¢tion and tralnlng of new trustees Most trustees ar8 already familiar wlth Ihe ptactical work ol the charity. New Iruslees are invited and encouraged to attend training session to famifiarise themselves wth the charty and the conlexl wilhin which il operates and cover. Related parti•$ In so fai as il is complimentary to the objects. the charity is gulded by both l¢X81 and national policy. REFERENCE ANDADMINISTRATIVE DETAILS Roglstered Company numbor 06868025 (Englond and Wales} Registèred Charlty numbor 1130262 Page 3
NEATH PORT TAL8OT CARERS SERVICE LTD REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2021 Re9ls¢•red offl¢e Health and Social Care Centre Cimla Neath SA113SU Trusts•s Mrs L C Miles Dr E M Roberts Irfysigned 31.3.211 Mr C Owen (resigned 9.2.211 Mrs J D 8urrells Mr T Clemfrnts Ms D Srnith Trustee Ms L Grundy Trustee Ms M Lake Trustee Company Secwetary Mrs A Owen Indepèndent Examin•r Bevan Bucklanil LLP Chartered Accountants Ground Floor Castle Court Cardigan House Swansea Enlerprfse Park Swansea SA7 9LA Bankèrs Unity Trust Bank Nin8 Brindleyplace Birmingham B1 2H8 Cowopted Mgmb•rs Mr Andrew Potts Th18 report has b8en prepared in accord8nc8 with the special provlsions of Part 15 of Compani8s Act 2006 relating lo small companies. Approved by order of the board of trustees on.......................... .and slgned on its behalf by.. Ms M Lake- Trustee Page 4
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF NEATH PORT TALBOT CARERS SERVICE LTD Independent examlner'B report to the trust•es of Neath Port Talbot CarErs Servico Ltd (The Company) I rekX)rt lo the charity trustees on my examination of the accounts of the Company for the year ended 31 March 2021. R•sponslbllitl•s and basis of report As Ihe charity's Iruslees of the Company land also ils directors for the purposes of company law) you a responsible for the preparation of the accounts in aOrdanCe with ts requirements of the Companies Act 2006 {'the 2006 Act,). Having satlsfied myself that the accounts of the Company are not required to be auditod under Part 16 of th& 2006 Act and are eligible for independent examination. I report in resp8Ct of my èxaminatK)n of your charitys accounts as carriod out under sectlon 145 of the Charities Act 2011 {'Ihe 2011 Acl'l. In carrying out my examination I hav8 followod tho Directions giv&n by the Charty Commlssion under section 14515} (b) of the 2011 Ad. Ind•pend8nt examlnerfs statement Since your charity's gross income exceeded £250.000 your examiner must be a m8mber of a lislgd body. I n confinn that l am qualified lo undertake the examination because l am a regislered member of Institute of Chartered Accountants in England and Wales which is on8 of tho listed tK)dies. I have completed my examination. I confimi that no mallers have come to rny attention in connection with the examination giving me cause to believe: acccnting records were not kept in respect of the Company a$ required by section 386 of the 2006 Act: or the accounts do not acccffd with those rècords. or thè accounts do not comply with the accounllng requirements of section 396 of the 2006 Act other than any requirement that the accounts give a true and fair view which is not a mattor considered as part of an Independent examinallon.. or the accounts have not been prgpared in accordance with the methods and principles of the Ststem8nt of Recommended Practi for accounting and reporting by charities lapplicable lo ¢harFlies preparing their accounts in accordance with Ihe Financial Reporting Standard appllc8ble in the UK and Republic of Ireland IFRS 10211. I have concems and have come across no other matters in connection with the examination to which attention should be dr8wn in this report in order lo enable a propor undetstandty)g of the accounts lo be reached. Henry Lloyd Davies Institute of Chartered Accountants in England and Wales Bevan 8uckland LLP Chartered Accountants Ground Floor Castle Court Cardigan House Swansea Enlerprisg Park Swansea SA7 9LA 09.11.2021 Date:............................................. Page 5
NEATH PORT TALBOT CARERS SERVICE LTD STATEMENT OF FINANCIAL ACTIVITIE8 (INCORPORATING AN INCOME AND EXPENDITURE ACCOUNT) FOR THE YEAR ENDED 31 MARCH 2021 Unrestricted Restricted funds funds 2021 Total funds 2020 Total furKIs INCOME AND ENDOWMENTS FROM DCallonS and legacies Charltabla acllvlt••s Cai8rs Servicfr Notes 200 390,672 390.672 299,436 Total 188 390,672 390,840 299,636 EXPENDITURE ON Charltable aetivttlos Carers Service 7,126 345,047 352,173 333,131 NET INCOMEIIEXPENDITURE) Tran8f•rs betw•en fuTrd$ 16,9581 45,625 38,667 {33.495) 11 51,185 151,185) Net movement In fvnds 44227 (5,560) 38.667 RECONCILIATION OF FUNDS Total funds broughl for%Yard {33,495) 92.914 5,560 98,474 131.969 TOTAL FUNDS CARRIED FORWARD 137.141 137,141 98,474 The notes fonn part of these financlal statements P8ge 6
NEATH PORT TALBOT CARERS SERVICE LTD BALANCE SHEET 31 MARCH 2021 Unr8stricled funds 2021 Tolal funds Reslrictad lund$ 2020 Totsl funds CURRENT ASSErs Dèbtors Cash at bank Notes 7,000 150,201 7.000 150,201 14,598 101.834 157.201 157,201 116.432 CREDITORS Amounts falllng due Ih1n on8 yèar 10 120.060) {20.060) 117,9581 NETCURRENT ASSErs 137,141 137.141 98,474 TOTAL ASSETS LESS CURRENT LIA81LITIES 137.141 137,141 98.474 NET ASSErs 137,141 137,141 98,474 FUNDS Unrestricted fund$ Restricted funds 11 137,141 92.914 5.560 TOTAL FUNDS 137.141 98.474 Tho charitable company is entitled to exemption from audit under S8ction 477 of ihe Companies Act 2006 for the year ended 31 March 2021. The members have not quired the company to obtain an audit of its finartcial statemanls for the year gnded 31 March 2021 in accordance wlh Section 476 of Companies Act 2006. The trustees acknoadge their re8pon8ibilitl8s for lal ensuring that the charitable cc¥npany keeps acc£Junling records that C4)mply with Se¢tlons 386 and 387 ofthe Companies Act 2006 and Ib) preparing financial stst8ments which give a true and falr view of the stsle of affaifs of the charitable company as at th8 &nd of each financial year and of ils surplus or deficit for each financial year in accordance wlth the r8quirements of Sections 394 and 395 and which otherwise comply with the requirements of the COmpare3 Act 2006 relallng to financial ststements, so far as applicable lo the charitable company. These finandal statements have been prepared in accordance with the provisv)ns applic8ble to charitable Companies subjgcl lo the small companies regime. The financial statements were approved by Ihe Board of Truste9$ anil aLrthorised for issue on . and were slgned on Its behajfby.. Ms M Lake- Trustee The notes form part of these flnancial statements Page 7
NEATH PORT TALBOT CARERS SERVICE LTO NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021 ACCOUNTING POLICIES 8asl$ of preparlng the finan¢ial statements The financial stalements of the charrtable company. which is a public benefit entity under FRS 102. have been prepared in accordance with the Charities SORP IFRS 102) 'Accounting and Reporting by Charities= Slalement of Recommentjed Practice applicable to charitie5 preparing their accounts in accordance wrth tho Financial Reporting Standard applicable in the UK and Republic ol Ireland IFRS 102) {effective 1 January 20191,. Financial Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Republic of Ireland. and the Companies Act 2006. The )Snancial slalements hav8 b8en prepared under the historical cost convèntion. The financial statements of Ihe charitable ¢ompAny. which is a public benefit enlfy under FRS 102. havè been pr8pared in accordance with the Charities SORP IFRS 1021 'Accounting and ReptIng ty Charities: Stalernent of Recommended Practi¢8 applicable to charities prep8ring thelr accounts in accordance wlth the Financial Reporting Standard appllcable in thg UK and Republic of Iroland IFRS1021 (effective 1 January 20151., Financial Reporting Standard 102 'The Finaneial Reporting Standard applicable in the UK and Republic of Ireland, and the Companie5 Act 2006. The financial $181oments have been prePad under the historical cost convention. Flnan¢lal reportlng standard 102 - reduced disclosure exemptlons The charitable Company has taken advantage of the following disclosure exemption8 in preparing these financial stslements, as permitted by FRS 102 The Financi81 Reporting Standard applicable in Ihe UK and Republic of Ireland,: th8 requirements of Section 7 Ststement of Cash Flows. Income All income rs rewgnise(I In the Ststement of Financial Aclivilias oftc8 the charity has enlitlemenl to the funds, it is probable that the Sncome will be roceived and th8 amount be measured reliably. Exp•ndlture Liabilitles are recognised as expenditure as soon as there is a legal or construct8 obligat committing the charity to that expendllure. it is probable that a transfer of economic benefits will be required in settlement and the amount of the obligation can be measured reliably. Expendrture is aoUnted for on an accnjals basis and has bgen classified und8r headings that agggate all cost related to the category. whe costs cannot be direclly attributed lo particular headings they have been allocated to activities on a bas consistenl %wth use of resources. Allocation of support co¥ts Support costs ala those functions that assist the work of the charity bul do not directly undertake chaiitable activities. Support costs include back office costs, finance, personnel, payroll and governance costs which support the Trusts artistic progiammes and aclivitiÈs. Thes& costs have been allocated between cost of raising funds and expenditure on charitable aclivilies. Corporation taxation The Charity is exempl from corporalion lax on income and gains falling within Sectic 505 of the Taxes Act 1988 or section 252 of the Taxation of Chargeable Gains Act 1992 to the extent that these a appli&d to its charitabl6 objects. Fund ac¢ountlng Unrestricted funds.. 'Fre8 resgjves, are unreslrictad fund8 not committed lo speclfic projects, programmes or purposes and can be used in accordance with the Charilablo objectives at the discretion of Ihe Trustees. 'Dgsignated unreslricted funds, are part of the unrestricted funds which trustees have garmarked for a partlcular project or use. without restrictir or committing the funds legally. Restricted funds can onty be used for particular restricted purposes within the oLy'gcts of the CharSty. Reslrldions arise when speclfied by the donor or when funds are raised for a partlar restricted P468 continued...
NEATh PORT TALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS- contlnued FOR THE YEAR ENDED 31 MARCH 2021 ACCOUNTING POLICIES- ¢onttnued Ponslon costs and ¢>ther post-retirement beneflt¥ The charitable company operates a defined contribution pension schome. contribun$ payable lo th8 charrtable company's penSn scheme are charged lo the Statement of Financ1 Activities In the period lo which they relate. Company Btatus The charity is a company limited by guarantee. In the event of the tharity being wound up, the liabilty in respect of the guarantge k¥ limited to £1 member of the charity. Proparation of the a¢¢ount$ on a golng concern basis The trust888 consider that there are no material unc8rtainligs about the challtys abilty lo Continue as a going concern. Debtors Trade and other debtors are recognised at the settlement amounl due after any trade dlscounl offered. Prepayments are valued at the amount preId net of any trade disccAJnts due. Cash at bank and In hand Cash at bank and cash in hand indudes cash and short term hlghly Irquid investments with a short maturity ol three months or less from the date of a¢quisition or opening of the deposit or similar account. Credltors and provl$lons Creditors and provislons are recognised where the charity has a present obligation resullSng from 8 past event that will probably result in the transfer of funds to a third party and the amount tlue lo settte Ihe oblbJation can bo measured or estimated reliably. Cr8dilors and provisions are normally recognised at their settlement amount after allowing for any trade discounts tlue. Flnan¢lal inslruments The charity only has financial assets and IancIal liabilities of a kind ihal qualfy a$ basic fitTr8ncial instruments. Basic financial instruments are initially recognised at Iransactb)n value subsequenlly measured al their settlement value. Owrating l•a8es Rentals applic8ble to operating leases, where subslanlially all of the benefits and risks of ownership remain with the lessor. are charged to U)è income and eXpendire account as tnwrred. Slgnrfl¢ant ludgem•nts and e$tlmat•s The prepBration ol the financial ststemenls in conformity g8rraIty accepted accounting prlntlples requires the directors lo make estimates and a8sumptions that affect the reported amounts of assets and liabilities and disclosure of ¢onlingenl assets and liabilities at th8 dale of the financial statements and the reported amounts of revenue and exp6nses during the reporting period. Actual resums in the future could differ from these eslimales. The directors are 8atisfi8d that there are no signrficanl judgements or estimates in addition to those that management has made in th8 prwoss of applying the Compan8 accounting polide$. Allocation of Support costs Support costs are thos& functions that assist the work of the charity but do not diroctly undertake charitable activities. Support costs include back office costs. finance, personnol, payroll and govemance costs. Th8se co$ls have been allocated betweon cost of raising funds and expenditure on charitable activities. Page 9 continued...
NEATH PORT TAL8OT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS - continu•d FOR THE YEAR ENDED 31 MARCH 2021 DONATIONS AND LEGACIES 2021 2020 Donations 168 200 INCOME FROM CHARThABLE ACTIVITIES 2021 2020 Grants Ath'vity Carers Servlce 390,672 299,436 Grants receiv8d, inGlud6d In the above*, ar8 as follows: 2021 2020 NPTCBC Core Funding SBUHB Joint Core Funding Big Loltery- People and Places ICF Grant ICF Granl- ABMU ICF Grant 2 11 SG Carers Br8aks- SCVS 28SG Carers Strategy NPTCBC Thiid Sector Winter Pressure Moondance Funding Parent CSW {NPTCBC} Tesco Funding VSEF Small Grants NPT CVS 120 VSEF WCVA I20 IWint8r Pressure) ICF Vaccine Response 101.520 13.521 106,520 13,521 6,336 114.881 38,769 5,639 8,898 55,742 25,000 24.413 35,592 12.500 10.272 19.970 500 1.994 72.922 7,000 390.672 284,838 CHARrrABLE ACTIVITIES COSTS Direcl Costs pport costs Isee note 5) Totals Carer8 SeNice 349.329 2,844 352,173 Page 10 )nlinued...
NEATH PORT TALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS - contlnued FOR THE YEAR ENDED 31 MARCH 2021 SUPPORT COSTS Support costs Finance Totals Carers Service 132 2.712 2,844 TRUSTEES. REMUNERATION AND BENEFITS There were no trustees, remungralion or other bsnefrts for the year ended 31 March 2021 nor for the year ended 31 March 2020. Truslg0$' èxpense$ There were no Trustees. 6xp8nses palsy lor the year ended 31 March 202112020.. £NILII STAFF COSTS The averagè monthly number of employees during the yearwas as follows.. Employees 2021 2020 No employee$ received &[r)IuMents in 8xc£ss of £60.000. The total employee benefits (including pension contriblOns) paid to the kgy m8naggment personnel of Neath Port Talbot Car6rs SeNice Limited were £49,14712020'. £37,708). COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES Unr8slricted funds Restlcted funds Total fijnds INCOME AND ENDOWMENTS FROM Donations and legacies 200 200 Charltable actlvlties Carers Service 299.436 299.436 Total 200 299.436 299.636 EXPENDITUREON Charitable actlvltles Carers Service 851 332.280 333.131 NET INCOMEI{EXPENDrruREI Tran5fvrs b•twe•n funds 16511 132.8441 {33,4951 11,532 (11,5321 Net movoment In funds 10.881 144.376) 133.495} RECONCILIATION OF FUNDS Total funds brought forward 82,033 49.936 131,969 Page11 continued...
NEATH PORT TAL80T CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS - continued FOR THE YEAR ENDED 31 MARCH 2021 COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES-contlnued Unrestricted Restri¢led funds funds Total funds TOTAL FUNDS CARRIED FORWARD 92.914 5.56D 98,474 DEBTORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR 2021 2020 Grant Income Accruèd 7.000 14,598 10. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR 2021 2020 Trade Creditors Social security and other tsxes Accrued gxpenses 9,243 7,619 3,198 15,244 2,714 20,060 17,958 11. OVEMENT IN FUNDS Net mov¢ment in funds Transfers beeen funds At 1.4.20 Al 31.3.21 Unr•$tri¢t•d fvnds General funds Designated Contingency Fund 7,914 85,000 (6.958) 46,185 5,000 47,141 90,000 Re$trl¢tod funds NPTCBC Joint Core Funding ICF Grant Carers Breaks- SCVS 28SG SBUHB Joint Core Funding IFom7erly known as." ABMU Heatth Board Core Funding} Wlnlei Pressure Moondance Funding (Winter Pressure) ICF Vaccine Response Parent CSW (NPTCBC) VSEF WCVA 19-20 92.914 16.958) 51,185 137. 141 2,371 15,276 6,319 {2.371) (15,2761 {6.3191 3.357 9,781 67 (3.3571 (15.341) (67) 5.560 2.000 3,938 2,516 12,0001 (3,938) {2.5161 5,560 45.625 (51,185) roTAL FUNDS 98,474 38,667 137,141 Pag8 12 conts'nued..
NEATH PORT TALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS- rontlnued FOR THE YEAR ENDED 31 MARCH 2021 MOVEMENT IN FUNDS- contlnued Nel movement in funds, Included in Ihe above are as follows= Incoming resources Rosources expended Movem&nt in funds Unre$trf¢ted funds General funds 168 (7,1261 {6,9581 Restrlcted funds NPTCBC Joint Core Funding ICF Grant Carers Brgaks- SCVS 28SG S8UH8 Joint Core Funding IForrnerly known as.. ABMU Health Board Core Funding) Winter PsSUre Moondance Funding (Winter Pressure) ICF Vacclne Response Parent CSW INPTCBC} Tesco Funding VSEF Small Grants NPT CVS 19-20 VSEF WCVA 19-20 101,520 114,881 35,592 199,149) 199,6051 129,273) 2.371 15,276 6,319 13,521 12,500 10,272 {10,1641 12,7191 {10,205) 3,357 9.781 67 7.000 19.970 500 1,994 72.922 {5,000) {16,032} (500) (1.9941 (70,406) 2.000 3,938 2,516 390.672 {345,047) 45.625 TOTAL FUNDS 390,840 1352,173) 38,667 Comparatlvgs for movement in funds Nel movement in funds Transfers behveen funds At 1.4.19 At 31.3.20 Unre3trl¢t8d funds General fvnds Designated Contingency Fund 17.033 65.000 16511 (8,4681 20.000 7,914 85.000 R•$trl¢ted funds 8ig Lottery- People and Places ABMU Transrtion fvnd (Formerly known as.. ABMU Carers Measure Fund) ICF Grant NPT CBC Mental He0h Carers Strategy Winter Pressure 82,033 1651) 11.532 92.914 2,775 12,775) 32,410 {27.787) 3.936 (14.7511 127) 8.560 {4,6231 (3,9361 14.751 27 I3,OCl 5,560 49,936 132,844) 111,5321 5,560 TOTAL FUNDS 131,969 (33,4951 98,474 Page 13 continued...
NEATH PORTTALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS- continu•d FOR THE YEAR ENDED 31 MARCH 2021 11. MOVEMENT IN FUNDS- continued Comparative nel rnovemenl in funds, SnGluded in the above are as follows.. Incoming resources Resources expgnded Movement infvnds Unrestrfct•d funds General funds 200 18511 {6511 Restrl¢tsd funds NPTCBC Joint Core Funding Big Lottery- People and Places ABMU Transllion fund {Formerty known as.. ABMU Carers Mgasure Fund) ICF Grant NPT CBC Mental Health ICF Grant 2 11 SG Carers Breaks- SCVS 28SG Carers Strategy NPTCBC Third Sector Grant SBUHB Joint Core Funding {Formerfy known as: ABMU Health Board Core Funding} Winter Pressure MOOndan Funding 106.520 6.336 {106,5201 (9.1111 12,7751 127.7871 134,833} {14,7511 {5,6391 {8,898) 155,769> (25,0001 {27,7871 3,936 (14,7511 38,769 5,639 8,898 55,742 25,000 1271 13.521 24,413 14,598 (13,521) 115,853) (14,598) 8.560 299,436 (332,280) 132.844) TOTAL FUNDS 299,636 1333,131) {33,4951 Page 14 ontinued...
NEATH PORT TALBOT CARERS SERVICE LTD MOTES TO THE FINANCIAL STATEMENTS- continu•d FOR THE YEAR ENDED 31 MARCH 2021 11. MOVEMENT IN FUNDS - continu•d A current year 12 months and prior year 12 months combined lrtion is as follows.. Nel movement in funds Tiansfers been funds At 1.4.19 31.3.21 Unrostrlcted funds General funds Desrgnaled ConlirKJency Fund 17,033 65,000 (7,609) 37,717 25,000 47.141 ,000 R•$trictad funds NPTCBC Joint Core Funding Big Lottery- People and Places ABMU Transition fijnd (Formerly known as.- ABMU Carers Measure Fund) ICF Grant NPT CBC Mental Health Carers Breaks- SCVS 28SG Carers Strategy SBUHB Joint Core Funding {Fomiady known as.. ABMU Health Board Cor8 Fundlngl Wintei Pressur8 Moondan¢e Fundlng {Winler Pressurel ICF valne Response Parent CSW INPTCBCI VSEF WCVA 19-20 82,033 17,609} 62,717 137.141 2,371 12.775) (2,371) 2,775 32,410 {27.7871 19,212 {14.751) 6.319 {27) (4.623) (19,2121 14,751 {6,319) 27 3,357 18.341 67 (3.357) 118,3411 1671 2,000 3,938 2,516 (2.000) 13,9381 (2.516) 49,936 12.781 162.717) TOTAL FUNDS 131.969 5,172 137.141 Page 15 ccntinued...
NEATH PORT TALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS - continued FOR THE YEAR ENDED 31 MARCH 2021 11. MOVEMENT IN FUNDS- coTrtlnu¢d A CLwrenl year 12 mnlhs and prh)r year 12 months combined nel movement in funds. included in the above are as follows.. IncomiThJ resources Resources expended Movement in funds Unrestricted funds Genèral funds {7,9771 17.6091 Restrlcted funds NPTCBC Joinl Coro Fundlng Big Lottery- People and Places A8MU Transillon ftTnd IFormerly known as.. ABMU Carers Measure Fund) ICF Grant NPT CBC Mental Health ICF Grant 2 11 SG Carers 8reaks- SCVS 28SG Carers Strategy NPTCBC Third Sector Grant SBUhB Joint Core Funding (Fomerty known as". ABMU Health Board Core Funding) Winter Pressure Moondance Funding (Winter Pressure) ICF Vacclne Response Parent CSW INPTCBCI Tesco Funding VSEF Small Grants NPT CVS I20 VSEF WCVA 120 208,040 6,336 {205.669> (9.1111 2,371 12.7751 153.650 (27,7871 1134.4381 (14.751) 15,639) {38,171} 155,769) 125,000) (27,7871 19,212 114,751) 5,639 44,490 55,742 25,000 6,319 {271 27,042 36,913 24.870 123.6851 (18.5721 124,803) 3,357 18.341 67 7,000 19.970 500 15.000) {16,032) {500) {1,994} 170,406) 2,000 3,938 72.922 2.516 690,108 1677,3271 12,781 TOTAL FUNDS 690.476 1685.3041 5.172 Transfers be08n funds relate to managem*nt charges. D•s¢rfptlon of Funds: NwfcBC - Joint Core Funding To support NPT Carers Service with CORE Funding to continue its operations ABMU Heahh Board Jolnt Coro Fundlng - FUndg as a result of our joint Contract with NPT CBC and ABMU Blg Lott•ry People & Place$- Funding lo deliver the Connecting Carers project ABMU Carers Measur• Fund - Funding lo meet the aims and object5 ol the ABMU Carers InfrKmation StrategYransl110n Action Plan. ICF Grant- 1WG - A Llfe Alongside Carfng Ensuring carers obtain the righl information al the right time, providing them with a pilo sitting servKe, which is invaluable to carers, a break from their caring role, and emergency support to attend heatthcare appointments. Linking closely with the Young at Heart Proiecl, to engage younger volunteers. Page 16 continued...
NEATH PORT TALBOT CARERS SERVICE LTD NOTES TO THE FINANCIAL STATEMENTS- contlnued FOR THE YEAR ENDED 31 MARCH 2021 MOVEMENT IN FUNDS- continu•d ICF Grant- 4Cab Provide information, advice and support to carers, working in partnérship with the Social S¢rvke 'Sing1e Point of Contscf Team. Undertaking caror8 assessments lo support carers with their caring role. 11. ICF Grant- 7CA- C•r•rs W6llbelftg & Hgalth Raising awareness of the needs of carers lo ensure that thgy 8ro given the supFort necessary to continue Ihoir caring role. Providè information, advice and support as needed. Proactively engage with carers. providing wellbeing calls and ongoing support. ICF Gwant- SCA. Par•nt Carer fransltlon Support Officèr Provide support. advice, guidance and signposting parent Carers, tKowdlng advocacy and worklng in partnership wrt Children & Adult SeThice$ to ensure a smooth translOn period from child to young aduit. ICF Grant- 20D- Demontia Supporting those who care for people with Dementia. providing more integration beeen NPT Carers Service, H8allh and Social Carg Services. offering a rarKJe of eady intervention and prevention 8UPPOrt, reducing the stress felt by those who provide care to people living with dementia. ICF Grant. 8CA- Cartrs W•llb•lng Project To provide support to CareTS by providing prof8s$ional counselling seryices, wellbeiThJ ca115, SUPPOrt for beioave¢J carers through transition support, training and respite care. Improving the health and wèllbeing of unpaid ¢arers across Nealh Port Talbot. NPTCBC- Parent Carer Support Funding for a for a Parent Carer Support Officer, who will work closely with Parent Carers lo improve and enhance the oulcomes through support and early intervention. Empowering Parent Carers. collaboratively working with various agencies to gnsure positive outcomes, providing a support n8rk, advice, guidance and assistance as required. Blg Lott•ry Capltal Grant Fund- Capital funding to delfver a D&velopm8nt outreach project. Carexs Frfendly Fund - Funding for a Carers Packag8 of Support. counselllng seNces, domiciliary cafe sitting sgrvices and breaks for carers that in¢lude va0S activlties lo decrease stress and isolation. Thls also includos well being worf(shops NPT CBC M•ntal Health - Funding lo provide carer support for those caring for s(Kneone with a mental illnoss. Thls post is ctrlaled to the Community Mental Health Teams Carers Strat•gy - Funding to ensur& the charity ar8 able to offer the correct Support lo unpaid Carers within Neath Port Talbol. Funding was vla Integrated Care Fund for West Glamorgan. This funding included an inle9rated team member in the Gateway Team, the Health Care Liaison OffK8r and a Volunteer cr1rdina10r. NPTCBC Thlrd S•ctor Fund- Young at Heart" A project developed to address the needs of carers we wish lo engage a young person who can recnjit Young Volunteers into the Sector. Improving the hoallh 8nd wellbeing of carers. through Inter- generational support and engagemsnl. SBUHB - Joint Core Fundlng To support NPT Carers Service with CORE Funtling to coTrtlnue its operations 11SG ICF Grant- To top up the ICF 19120 funding 28SG Car&rs Breaks- To top up the Carers Strategy fundlng Page 17 continued...
NEATH PORT TALBOT CARERS SERVICE LTD NOTES TO TNE FINANCIAL STATEMENTS - ¢ontlnued FOR THE YEAR ENDED 31 MARCH 2021 11. MOVEMENT IN FUNDS- Contlnued Wint•r Pressures - Fundlng for a number of activities and counselling for carers. Thts was lo help Increase the discharge prctess from hospitals during the wnler months. Moondance Covtd-19 Fundlng - Unrestricted funding to purchase laptops for $18ff to enable Ihem lo WO from kbjme Contingency Fund - Funds held for F¥)tential redundancy costs, project dosures and unforeseen costs. The trustees airn to hold around 3 mtsnlhs of runniThJ costs wlhin this fund in order to ertsure the charity is resilient to changing circumstances. 12. RELATED PARTY DISCLOSURES There were no related party transactions for the year ended 31 March 2021. Page 18
NEATH PORT TAL8OT CARERS SERVICE LTD DETAILED STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 MARCH 2021 2021 2020 INCOIIIE AND ENDOWMENTS Donatlons and1•ga¢les Donations 200 Charftsblo •ctMtles Grants 390,672 299,436 ToL*l incoming r8sources 390,840 299,636 EXPENDITURE Charltablo aGtlvltles Wages Social securty Pensions Insurance Telephone Postage and stationery Advertising and publicity Stsff training Rent Staff travel Equipment Forum and events Mèmbership Room hire Administration Transport Grants repayabl8 Domiciliary care Counselling and well-being workshops Legal expenses 226,842 12,715 11,644 1,356 2,146 8,625 1.436 170.625 32.861 10.684 1,246 1.939 14,989 3.546 740 4.484 7.024 22.104 8.181 160 1.210 7,321 365 4,554 2,088 12,044 2,489 283 45 13.691 7.646 32.824 8,235 19,412 16.280 349,329 329,995 Support costs Financ• Sundries Bank chargès 323 101 128 132 424 Support costs Accountancy fees AGM costs 2,712 2,212 500 2.712 2,712 Total resoUrS expended 352,173 333, 131 Net Incomèl(expenditure} 38.667 {33.4951 This page does not form part of the statutory financial stalomenls Page 19
Virtual Cabinet Portal Dlgital Signatures Dlgltal Slgnatur• verIfl¢aQn You can verify that this is 8 genuine Virtual Cabinet Docurnent Portal signed docurnenl by uploading tt to Ihe fknng secuie web page.. https..IlvM.VirtarcabI8IportaI.c0neAfySIgnoUrnent Slgnature Dat•s and Tlmes All dates and times sho in Ihe slgnatures b81¢)w are 0XpSSed in Coordin*d Unlversal Time IUTC}. whlch is goneralty equivalent to GMT. You can find out more 8bout urc at Ihe followlng web page.. httpJ1b.VirtaablnetportOlCffj1wThatl9uTC Signature 1 &gned by Margaret Lake usiro authentication cle VHZIRihtRzZmWUdk at IP address 94.1.7.152, on 2021111109 08..2155 Z Margaret LakÈ's e-mail address is.. chair@nptQ8¥ers.org.uk.