EADWAY TYNfSLDE
REPORT AND Fif4ANCX&L SYATEMEP4rs
YEAR ENDED 3iST AIJGUSf 2022
COMPANY REGisfRf41iofi NO. 06992206
CHARifY NiIMBER 113Z713

HEhDWAYTYNESIDE
FITrIANCiPLStATEMENTS
YEAR eNDED 3LY Au￿￿T 2022
PJge
Refvenco and Ilominisvatyve informèUDn
T￿￿e# Annual Rewrt
Lndo[￿￿t E¥amlncr5 RCPOrt
ststCrnEntof Rndnc*l Alla￿r5
lIa￿nCe Sheei
8-11
Not%£formino gart rfthe ftrh8nco1 $tstEnK￿ts

EADWAYIYNESEOE
REFEREIiCE ANDADMIf415TRATIVE INFORMATION
YEAR ENDED 315FAUGU5t 2022
TheTwstee5 prcscrtth￿r rwrt and flrbanoal stateM￿ts fortheyear Èndcd 31st August 2022.
CONSYLTUTION
Head￿aY Tvnesidc ￿ a COTnpwy1imited by waTrnteE and a rEgLstorcd charlt¥.
DIREcfoRS AND TRUSTEÉS
Thc Tr￿Ste£s oftho tharitabltt company Itht charttyl are its Trusts￿$ trthe wrp(tse ofthaiity law thiw9houi
ths rcpDrt arc ¢ollrxYivrt¥ referred to a5 theTrLsieo5.
CklAREfY NAME
Hcadway Tynts￿O
COMPAfiY FIUMBER
69912Q6
CHARrrY NIJMBER
REGISTEREO OFFYCE
I￿1￿ M¢thell LLP
wellbar CeTrtral
36 Gallow9ate
Nev¢t￿C uwn Trne
NEI 4TD
BOARD OFfRvsfEES
Lees {ApP￿ntEd 2610711022)
Soph￿ knr¢ (Ap￿nted 11107120221
air Ndmald IAosignEd 21107120221
Da¥hJ Robcrt Loe
LOUI￿ Koi*cr (Atting Chairl
]¢￿￿Ca LouiSQ Meadoyls
Danlcllo Laura T[ub[￿e
Lte &mps
Accouf4YANTS
Wostrwaters
34 Frduick Stroet
SRI ILP
BANKERS

HEADWAYTYf4ESIDE
TRU•EES REPORT
YFJR ENOED 3IST AUGLisf2022
Thc Tru5tots are pica5ed to prwt ihew worttogothcr the financtal statunents for
yoar ondod 315t August Z022.
Objects of the tharitv
The objocts of th¢ ore 10 relitve thc of PEtsrffj5 who have sufftyed traumth boin ￿]uFles
and thtyr families al￿ c3roT5 ￿ Tync5ido by riio prov&K>n ol cart. support ￿VIce go that th•1 COndk￿￿5 of lifo
mly bo impmvcd. In furthcr6ncQ Uicreof, btsl vthetwi¥¢ ihe a5>xlatron shall sook to."
l) Promoto UDd¢r￿ana1llg of all aswtts DI )rain injury.
21 ￿0VIde iTrfonf3Uon, support SryVICe5 to peop￿ iniurytr thLyr familic5 ènd cJr¢¥S and rt￿art profos5iOna
31 promoto a co-¢rdlnètod multidisdplinary approath to brain injury sTrnlfWJ, awte care. aSStsg￿nts, rcha1￿1￿#0n and
rotum to the cornfflunity.
4) Increase pJtAic a￿arert￿ undtrStan¢in9 of brain Injury.
51 Parhtipaic in aLTribes ￿11 rpjuw inodcn¢e of br?In In5ury.
Organisatton and bad(ground
charity ts 3Ominisiered by It5 board of Trustcos in accoidance thQ AtcWe5 of A5Wabm. Fortho
yoar to 31st August 2D22, the bo¥d was ofthe Tru5ttrs1stcd at pago 2.
The mfynorandun and artKlts of the tharbtsble company worc incorwrated 17th Augvst20LVJ a5 èmwded
by Ccrtthcate of InccrpDratW Dn thango Qf naffle dated 27Ih june 2017 a$a￿￿r￿0d by spocSal rtsolubDn
rcgi5ttrtyl aL(tyn￿l￿I¢5 I.￿USe on 18th Juty 2018.
Ath1￿ments in Year
Throughout the finanoal yearonoing 3tsLAUgUSt 2022, Me6dwayT¥n￿dC has 9Jccegsfully rcvisod tho sepA
ddNery rnodd of ow H￿w￿2W0lk pr1wjrarr￿ anO1aunched wrykhn9 In cdkboratitin wth tho NHS.
We have r￿eStabLIShed many of our pre-towd offthngs with a fffus on oui kcy th￿￿e9 tsf'siay￿9 wdl and feolino
connoaed','knowing whcrt ro Find hclp, and'your ncxt stops. programmc.
D4vÈlopments
Tht cbarity wlll ¢Ofttlnuo w prmrydo sutwrt and adVlCQ tD thosc whD have 5ufforod 6 brain ￿j￿ry apdthQ
f•ni11￿ andior caror5 in accotdance wlh Iho Q￿JeCts charlty whlth sct aut abovc. Tho charity Will
tontinuoto ratsc fur￿$ to enswe continuily ofsetwCQS.
Personal Ststempnt of Helen Kols*r (Attlng Chalrl
Th01a￿year has bocn hcrodibly for McadwayTyn(slde. wc have seL*i record numb¢rS OF mLYnbe
attending our ènd e¥￿ts throughout the year. hvJhllohbng the Importantc of the yjptot thatwt
prov￿.
We have been ab￿ tD re-*Stablith our ￿ekI¥ soda1 evenino at Walkcr4ate Pa￿, Oollver an intseolbty p)pu
walking fotsiball progfarnn* in collab)rknOrt wlth the Nowca5Ve un￿ed Foundabon and dr)Elop &nd subsequcnt
launch a ievi5ed Headway2WoTk SQNiff delivory m￿cl ¥Yhich we are contra(*od by the NHS to provtQQ.
We havc r￿[Urted 5Laff membor5 dnd Trustees who brfng skrtL% and ew¢￿50t0 the team, and tt ts
antt(Ipated th15 Will have a Impattiwor the c(xn5ng yeèr.
Wc are thank￿4 that otsr tsff show suEh ccffimitynon¢ aur truste￿ who continu¢ to voluTrtocr
thcirbmc. We IncredllAy humbicd to have ￿ many mcmbors u￿￿ng our serviCC5 and wt thank you foryouT
supm.

HENDWAYTYNESIOE
TrusrEES REPORT(contEnucdl
YEAR ENQW 31ST AUGVST 2022
Trustees Respon5ibilitses
LcmDany law reouircs the Trusrees tu preparo finanoal swments th& 9ive b truc ond fakviow of the srate
of èffairs L)f the chanty 6t th¢ cnd of thc finanoal ￿ar and of ts SO￿U5 or dC￿st for that pcr￿￿*. In
preparlog th￿￿ accounts, the twstce5 are required to..
so￿￿ Suitab￿ accounting pdlC* and apply consLWUY'.
S ¢b5eNe the methad5 and pr[nop￿S in the ChaTltle5 SORP IFRS 1021".
make jLwJg¢mwts and est￿nato5 that are rc650nablÈ and prudent".
' prwaE the 3ccounts on the g(NThJ contrrn b15Ls un￿$ it is inapprtsprkiLQto p[es￿e that
the cryany wll continue in businoss.
The Tru*eps aro for keerAno proper accounting records whlch di5c105c wth rcasonablc
6¢curacy & any tsmo thc finandal poytiDn clthc company and to Wable thcffl to cnS￿re thatthe accounts
c￿TrpIy with kno ￿paTh￿s Art 2006. Thoy are ¥so re5powsible for safwjarding the ofthe
tompafty and fortsk￿9 &eos for tht pr￿ention and derecti￿ offv?ud and othcr
Irrcgul?d￿QS.
By ordcrof the 8owd
23 May 2023
Hclen Kdstor
Athng thairrrrustc

HEADWAY f¢NESIDE
INDEPfNDENf EXAMENEK% REPORT
YEAR EN[￿0 31ST Al￿￿5[2022
We rewrt ￿ t￿ accounts of the HEADWAYTYNEYDE for th¢ year cnded 31st August 2022, vthith
aro Sell￿ pag￿ 6 to 11. Ihtse accounts havc betn proparcd in accotdancc w￿h Flnawal Keporting
Standaro appmcablc in thc UK and Repu￿￿ of Irtiand If￿ 102), undei thc histvri(61 C051 COnVCntort and
xcwnbng polioes seiout on pages 8 and 9
RESPONSIBILMES ANO BASTS OF REPORT
AS the charity's Trustrces of the c￿panY arE I50 the dirrttLbrs ottht company for the pur￿￿5 of
rThn￿nY you èyc rest￿sIble for the pwarauon of accounts kn accorthntewrth tho TeqLlretnents ol
thc CDmpanEc5 Aci 20061.thc ?.006 ¢￿t,)
8￿￿9 sa05fi￿ thgtthe of thc company art not rcquired to bc iudited thtsvoar under part 16
of the 2006 Atta￿ aro c1111b￿ for In￿e￿ndCnt examIn￿￿j￿, we rewrk In respcrtof our oxEJninauon of vDur
charity'$ 8ccounts 3scarricd out uTrdcr settitrn 145 of the tharltics Att 2011'lhe 2011 ACVI. Ln canryiry outmy
oxamln3tiort, we have fdlowed thc dIrett￿ by the a￿￿ty com[n￿￿7 lundcr sC(th￿ 14515llbl of thc
2011 Adl.
Inde￿￿￿ent txaminer'5 Ststement
we havo c(xnpirfod our examinabon, ènd conflm that no matoritil matter5 have Cr￿t0 our attontvJ
vthkh 97￿ US cause tD bdievc that,.
. ￿OUnting records wore not kcpt M acco￿at￿¢ scah)n 386 of cthnpanle5 Att 2006,. or
. thc accwnt5 do accord with Such rocords,. oi
. the accoiinls do not Comp￿ wth the rolovèfii Fowircmont under sootion 3% of the Cfmp3DIc5 Att
2006 othcr than any rCq￿rerncnt tnattho a(tounts gwe a and fair, view not a mattcr con4dorL
as parr ol an Indtpeitdcnt ex8mlnatiun.' or
. ihe ￿cOUnts have not becn prepard In accord3ncc ￿1th the Chaniics SORP IF￿ 1021
We bavc no concems and have como across no othcr matter5 ID C￿nettth the Ex0min3t￿n to which attenlion
should bo thwn in ihis reptyt In ordcr to enab￿ a propcr u[￿e￿anding of the accounts ot bt ro?ch&.
WEStwAreRS
23 Nay 2023

FIEWAYTINESIDE
STATEMEtrIT OF FINANCIAL ACTIVMES IINCLVDING INCOME AND WENDLTUREI
YEAR £N[￿D 31ST AUGusf 2022
IOIAL
DFs1GtIATF￿ REsfRICTrD 'foTDL IiNJS FUND5
ithos
20P.2
UNRFSIRICFF.D
tVM)S
Notos
YNCOMING REsJJficES
Irthming ￿￿r(C5 geveraied fun
- VoluDkry irthmo
- Arti￿e$ for gO￿ra￿nY funds
- Invc5tmefttiFL(ome
Incomino resources from chor￿ab* ¥Uviue5
Oiher I￿OmIng fC5oufcc5
451
ILM6
45100
Sk715
??S3S
TOTfvL INCOMING RfSOURCES
45100
96815
33182
WIESOURCES EXPENDED
2280
$2971
7S5
1925
31927
Y?D
g￿￿rating fund5
Chariiowc
vcrTr4nce costs
45NO
755
7181
TOTAL R￿URtrs EXPENOED
48825
$6CKK 34￿1
NET INC(**llNGioiFr￿lNG RESOURCES
eEFOReTMN5FERS
-3725
4r1534
-1390
TPANSFER BEfwEEN FUNDS
TOTAL FUNDS &RQUGtrrr FC¥IWARD
?￿78
10722
35770
37160
35770
Tor￿ FLNDS CARkLED FORWARD
21323
55256
76579

FlE￿>WAyTy￿tSi0E
LANCE SHEEr
YFAR ENOED 31f AUGUST 2022
2022
2021
NOtQ5
Fbxed A5Y¢ts
T¥n9Ib￿A￿ets
CurrentAss8ts
8W22
39309
CJ5h at bèt)k and in hand
80066
39309
Tolal t￿l￿nt Assets
CuvrontLiabllities
C<edth".nmounts ￿lIkn9 wihin QDQ yC3r
3x187
3487
3539
35770
C¥rreDt AssEts
76579
35no
NEt Assets
76579
Fund*of the Charity
Restr￿ted lunds
9nated funds
Unr&nCtcd lu[￿S
5S256
10722
Ll
21323
25018
35770
Totsl Ch¥rity Fund5
76579
Thc5catcounis ha￿ bc￿ prepar￿ In accordèrECQ iho speud prow$1￿5 reiibng to small compat4￿ ￿1h1Th
Part 15 dthe Companicsjld 2006 and In a(cordanco wilh Ihe Atiouniing aTrd Rcpotyng by OwrI￿s.. sla￿rI.entof
Ro(￿mend£￿ Pracilce a￿ltable to choritiQ5 prcparing thoir accounts in accordancc wllh thc Financiol Rcp￿tIn
Standard ￿￿11t)ble in the UK 3nd Republ￿ of Ireland IFRS 102)
FOY the financiol year ended 31$1Au9usI 2022, the company vlas cnuikfj w exompLion from audll under SCLlion 477
Curnpan￿ Att 2rt6.. and no nDti¢e has b(rn dopDSlttsl undu scctson 476. Th¢ d￿ectOrS a(knWA￿gC thcir
lor comp1wng with tho rcquircfflcnts of tho Compthes Act 2006 ￿1￿ reyctto acctsuntsn9 rixor¢S
and ihe WQPar*ion ofaccounts.
Th(sc acmnts vjcre appr(Nod by the ts7 23 May 2023
Hokn KDlsiti
IRUSTEE

MEADWAYTYNesiDE
NOT￿ TOTHE ACCOUNTS
Yw BioeD 315r AUGusf 2D22
l. kwuntin9 Polities
The principal ￿[QUnLin9 pol[￿ Jre sumrnarEtd Wow. The accounbng wric1￿ have b2eTr hppknod cons&*tly thriwthjt
la) of A¢cwntSng
The fininC&al st￿e￿nts have bE* wepaied under the hi5tori¢41 co* cowenbon 5Th accord6ntrwlth the Financial
flewibry strnoard In tho UK * ￿{publ￿ ofIreknd IFRS ID21. the chèr￿￿5 Aa 2011. thc com￿￿10% Act
ZW6 UKGenoRIty Account￿￿ Practi￿.
(b) Fund Ac<Otshtlng
- ur￿￿3trthd orc availab￿ lor uso atlhe discret￿￿ of the thJstQ£5 in furth￿aTr￿ of obRthivts of tho
¢harity.
- ReS&it￿ funds ¥esubiettd 10 expendiwre ImwsÉO ty UE dorM)r.
(£) Incominy Resource
l incoffiwng resour￿5 are irdL¢(¥J ￿ slatcmcrht of fin￿0a1 adwitsC5 thc cfwity IS Èniiuod to thc Incorne afid the
amount oEn be i￿an￿[lOd re￿able a(¢urary. The tolo*thng Speci￿ polidos Bro appl￿￿ ￿ partiLular (akyori
of Illc￿.
-V￿untrry intomo15 roTrived byway ofgJbscriNlon5, don30￿58￿1 tyfts arml ￿ IncIL￿￿ in In tho stsiefft¢nicr
I￿a￿al Activibos rL￿vable.
(dl Resources Expended
tYpcnditurQ L4 fL￿nised on an accrtrnls as a lyabllty ￿ incutTed. ExpL￿di￿1r¢ Includesany VAT whith carrnL)o
ful￿ rea)VQFcd and Is ￿￿rt00 as p3rtoftr* cxpoidtture Itrdatos..
- Coas of funds lFtC05tsa￿￿td vith attrn¢ting voluntary Inthme.
- ChDntrtAQ wondiwre comFrfi%QS I￿}se c05tS Incu￿ed by thaiity In de1￿￿[an¢￿ of i￿ adiviitss and 5LYVIILS f¥r
ils ￿￿O￿lIeS. It includes both c05t5 that ¢an bo allo(aW d1rL%*tO 5u£n athvldos and th05Q W5ts Otan IrmJl￿t
naturo nc£c55art th supportthth).
- GDverrAnco ￿clUde thTr* tosts 25sooatfJd meotln9 th¢ conSbtJtional ￿ ststuiory fwuiyornonts Df tho
har￿7 iKludc fe￿ alld Eosts tothe srratcgic man39ement of the chaiily.
- M co* are alknoioj beL￿en the exper￿l￿re calewE5 ofthc SOFA on a d(51grtd 10 rcTr¥i tho ￿ or
rtSOUfCC. Costs rcLBun9 ro a parbcuiar acovlty Bro aloc¥ted dir￿lty, a￿ oppcrtK>Dc¥J on on appropriato bays
i.e. ar￿, percapltal or estimaw u53W as sct out in No￿fj.

HEADWAY TYNESLDE
PIOTES TOThE ACCOUNTS
YE4R ENDED 315fAUGL15f 2022
le) Fixed Asseis
Tangible assotsart
OepreciaknoTr is Pro￿LI ai ttsc ftlk)vAng annual rat￿1n order iowrftecff th as5etovu hscwmbiod
useful Iile..
Offico cquipmonr- 25% r¢duciDg
2. Incoming ResourcE5 froffi Gonerated fun
Voluntsry IncoN
umtystrlcted ResErf<ied 2022 Totsl
2021 Totsl
Dc￿￿trOnS
GranLS recéved
18360
267qO
45100
IB360
26740
45lOO
?.1q6
10646
In¢oming Resources Ch8ritableA(ty¥itie5
unr¢strictEd
Re5trt(t¢d 2022 Totr$ 1021 Yotal
Fundraisln9
4. Re￿￿r￿S Expended
t05ts &ivethalbx31th1 ioactsvWie5
2280
499LO
52190
32932
3061
3061
920
Dirftt
755
155
720
Ildw. Costs
228D
52971
755
s60￿ 34P2

LO
HEADWAYTINESIDE
¥)TES TOTFIE ACCOUNTS
YEAR ENDED 315T AUGUSf 2022
5. Nrtkncoming Re*urwfDrthts Period
Tfv5 hs sktod artor thèrgin9,'-
2022
2021
Depre¢iaUon
uniarts F
755
720
6.TvJS￿ ReThuneration & Rèlated Party TraB5atilons
No Mombthxofthp Mlmont CtyMrriltQQ TLYewLQ any rcmurthtion durkng lh2 year emod 3151 Av9USt 2022
NO Trutr Or 01￿ Pt￿on rdatyi to thec￿rity W an¥ intertsts in any c{￿l¢r tran5actloD eniered irto
by the char1lydutw￿ thcyoar.
7. faxatièn
As g ctsrity Ple&￿&Y Tyne5￿¢ Is exempifrorn 1rKom ond galns lallng *dlan 505 af ibc
Tixos Act L988 ￿ g256 of theTaxati￿ of thargeablc Gain5 Att 1992 to tho oxtent th&thrse gre appl*￿ to it's
charitsb￿ objocts. No tsx charges have ar1￿￿ in the Cha￿l¥.
.TaDyible Assets
equip.
Ttstsl
cO￿r VI￿a
At 15tSeptcmW 2021
Additions
Di5posa15
Ai 31￿ ALWVSt 2022
At 1st S(¥iomtor 2021
Chhr9e foryear
At 315tAU9usi 2022
At315tPJJgust 2022
At Isi Scvi￿lliEI 2021

HEhDWAYTYNESIDE
NOTES TOYHE ACCOUNTS
YEAR ENDED 31ST AVGu¥f 2022
9. Creditoys.. AmounisFallwb9 wlthin Oneyear
2022
2021
mounts ts111np due Mrytlmn ott year..
2358
102S
103
3q87
23
Acuuo15
PAYE po￿Th ￿sL%
197
3539
10. knalysls ol NetAssets Betwttn Ftsnds
t>es*rttyted Sie5tricted Totsl
Fvnds
funds
Fund5
Genefdl Funds
55256
8W66
-3487
Currtht Assel5
Currenr Liabl￿￿
24810
-3487
55250
76579
NciAssots al 31gtAvguSt 2022
21323
11. Movem•it In Fuftds
Atl
SeptembvA
2011
Incomlng
OutgDin9
AesDurW ResouKeS Trèrtst•r5
Au9USi
2023
s5￿6
Resirirteo Funds
10722
S1715
7181
55256
Total Restncicd Funts
lQn2
51715
Designated Futhds
Totrj DeSIgna￿d Fu￿S
451t
488Z5
21323
unre5tritted F￿ndS
48825
Toial UDi¢#rirted fvnds
25048
45lQQ
IX Restrirted Furtds
Ati
September
2021
ArJi
fncomiTh
Resour¢es
OuwoinB
Rssources Trat￿leT$
2022
L0722
51715
7181
55256
10722
7181
Tottl Re4riCted Fund5

APPENDIX
HEA0WAyrn￿E$1DE
INC(WE AND EXPEMDMJRE A￿u￿r
YEAR ENDED 315[ 2022
2022
INCOME AT4D EXPEfiDITIJRE
Xncoming resour￿S
Grants
26741Tr
18360
7.146
FundraisI19
Giarts
CCG sepA
3669
18867
SI7L5
33182
Tclal Incomiry Regwrtes
9681S
Resourcps Expended
Wag& salari
Per6lOll (Dntribuho
Staff Lypcns
Volunteers upcrscs
couTrtsnry
PrOf￿10nal fcos
30252
334
2387
24697
720
784
1925
BL9
3082
-330
274
1397
ioi
75S
?.280
3047
14489
nting, 5tsvonory& I.T.
Acti¥￿ts
He￿￿6V blN
Telephono
Gt￿ra1 wpen5ts
nk Cha
327
164
560(
34572
Net m￿nt In Funds