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2021-03-31-accounts

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS Charity Number: 1143912 Company Number: 07519992

ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2021

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

CONTENTS FOR THE YEAR ENDED 31 MARCH 2021

Page
Legal and administrative information 1
Trustees Annual Report 2 - 5
Independent Examiner's Report 6
Statement of Financial Activities 7
Balance Sheet 8
Notes to the financial statements 9-14

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

REFERENCE AND ADMINISTRATIVE INFORMATION FOR THE YEAR ENDED 31 MARCH 2021

Charity number 1143912 Company number 07519992 Contact Address & c/o Copleston Office Copleston Road London SE15 4AN Trustees Jane Kelly (Resigned September 2020) Gillian Reeve (Resigned October2020) Simon Taylor Mary Boley Alan Robertson (Chair) (Appointed October2020) Tod Heyda Ajoke Ojie Sarah Gay Barry Caroline McGill (Treasurer) John Rhodes Sally Inman Independent Examiner Community 360 Winsley's House High Street Colchester Essex, CO1 1UG Bankers Barclays Bank

1

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 MARCH 2020

Structure, governance and management

Governing document

The Southwark Day Centre for Asylum Seekers is an incorporated company limited by guarantee number 07519992. Registered under charity number 1143912 and governed by the memorandum and articles of association which were adopted on the 30[th] of August 2011.

The organisation and decision-making structure

Members are appointed by the Board of Trustees (the directors of the charity). There is no maximum number of Trustees and the minimum is three. The trustee board normally meets on a monthly cycle and is required to hold an Annual General Meeting (“AGM”) and not more than 15 months may elapse between successive AGMs. The board delegates areas of work to sub-groups who report regularly to the chair and to board meetings., The sub-groups are finance and fundraising, social media, human resources and facilities. Each sub-group is chaired by a trustee, with the exception of the finance and fundraising group which is chaired by a volunteer.

The Director

The Director is responsible for the day-to-day management of the Charity's affairs and for implementing policies agreed by the Board of Trustees.

Statement of Trustee Responsibilities and overall Governance

The Trustees have overall responsibility for ensuring that the Charity has appropriate systems and controls, financial and otherwise. They are also responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the Charity. They are also responsible for safeguarding the assets of the Charity and for their proper application as required by charity law, and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

Risk Management

The Trustees have reviewed the major risks to which the Charity is exposed, in particular those related to the operations and finances of the Charity and are satisfied that systems are in place to mitigate exposure to the major risks.

Objectives of the charity

1) The relief of poverty, the promotion of health and the advancement of education of asylum seekers and refugees in the London Borough of Southwark.

2) To provide or assist in the provision of facilities in the interest of social welfare for recreation or other leisure time occupation of asylum seekers and refugees who have need of such facilities by reason of their youth, age, infirmity or disability, financial hardship or social circumstances with the object of improving their conditions of life.

2

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 MARCH 2020

The year 2020/2021 has been a challenging one, as it has been for many in society.

Due to the Covid-19 pandemic we were forced to balance delivering remote and in person services to meet the needs of our clients while following government lockdown restrictions and keeping staff, volunteers and clients safe. The isolation caused by the lockdowns and the closure of many other services has meant that the needs of our clients have been higher than ever. Our staff and volunteers have worked extremely hard to provide services in the face of the challenges presented by the pandemic.

We continue to help over 1,000 clients and their families each year normally from three centres welcoming over 5,000 visits for food, advice, help with health issues and ESOL language training.

Activities and projects

• Two members of staff are working on a homelessness project as part of a larger funded Refugee Action Project. Aspects of the project include putting together a toolkit for staff and volunteers working with clients with housing issues and developing the confidence of experts by experience to help design and co produce services.

Volunteers are integral to the success of our work. They provide a range of services for clients including advice sessions and educational activities including ESOL, art, story- telling, and gardening. They have, as always, done an excellent job this year, particularly with the additional challenges created by Covid-19 and lockdowns.

Advice

Clients come with a range of issues for which they need advice or information. These may include help with general welfare benefits, access to health or education services, concern about their immigration status and housing etc. All these are particularly crucial for clients with no recourse to public funds. We are extremely fortunate in having a core of experienced and able staff and volunteers who have gained considerable knowledge and expertise in these fields of work.

As part of our partnership working, we also have two members of staff from the NHS Health Inclusion Team who comes regularly to all of our centres. We also have access to an immigration lawyer from the Citizens Advice Bureau who comes once a month to us and previously a Welfare adviser from the Citizens Advice Bureau who provides generalist welfare advice. Southwark Law Centre is also very accessible by telephone for appropriate information or support. An Honorary Clinical Senior Lecturer and Consultant Psychologist at Kings College is available on a pro bono basis to give 'on site' support to members of staff on their work with clients with mental health issues.

3

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 MARCH 2020

Staff development: Both paid staff and volunteers are attend regular training sessions relating to a range of issues: immigration legislation, first aid, mental health awareness, basic food hygiene etc

Strategic report

The following sections for achievements and performance and financial review form the strategic report of the charity.

Achievements and performance

Responding to the needs of clients meant that we opened a weekly foodbank service at the start of the first lockdown. This saw us reach over 300 people per week through our service at Peckham Park Road and through home deliveries.

Due the restrictions on face-to-face services, we also moved to a remote service, providing advice over the phone on immigration, housing, benefits and other issues our clients face.

Our gardening group has continued to allow clients to get close to nature and a new walking group helped people connect outside.

Funders

We continue to be grateful to the London Borough of Southwark which has again provided a substantial grant towards the core costs. This grant has continued to strengthen our applications to other key funding bodies. We are also immensely grateful for the support we continue to receive from other individual donors, as well as the generosity of all the just over 20 charitable trusts and organisations (listed in Notes 2, 3 and 12 to the accounts) that have helped to fund our work. We have continued to engage with the church and faith groups across the Borough of Southwark and developed some very fruitful and trusting relationships.

The “Friends of SDCAS” continued to support us, and funding received from Friends increased by 20%. We are extremely grateful for all of this continued support of our community. Thanks to the generosity of donors and fundraisers our fundraising income increased by an incredible 179%. We are extremely grateful for the continued support of our community.

Future Developments

We remain conscious that we must think broadly and widely within resource-driven opportunities. We are committed to:

working more effectively with clients who have mental health needs and the agencies who support them. This includes supporting them as they receive their status and are able to access training and employment opportunities.

4

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 MARCH 2020

Financial revie w

Reserves Policy

Our reserves policy calculates target reserves based on potential unplanned expenditure, cashflow requirements and unfunded planned spending. As at 31 March 2021, our target reserves calculation

Reserves Category £
Contingency for 10% of expenditure 23,630
Contingency for financial difficulty:
Redundancy 18,712
Other 5,000
Contingency for 6 months' temporary senior staff member in case of illness 20,662
6 months min. essential operating costs in case of fundraising shortfall or delay 116,185
Planned spending commitments
Cash flow trough 13,964
Target Total Funds 198,153
Year end restricted funds balance: -52,830
Target "free" reserves cash 145,323

As at the year end, the Charity’s unrestricted reserves were £171,416. This is above our target which is helpful at a time of extreme uncertainty and represents a success in increase our reserves as in previous years we were well below our target amount.

Summary

SDCAS has risen to the challenge of meeting higher client needs while finding new ways to work during the lockdowns. Our staff and volunteers have worked tirelessly and flexibly to keep our services open. We are grateful for the donations from individuals and organisations which have helped us stay open and without which we would not be able to provide our vital support services. The trustees' annual report was approved on 24[th] December 2021 and signed on behalf of the board of trustees by:

Alan Robertson, Chair of Trustees

5

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 MARCH 2021

Notes
Incoming resources
Incoming resources from generating funds:
Donations and legacies
2
Income from charitable activities
3
Investment income
4
Total incoming resources
Resources expended
Raising funds
Costs of Charitable activities
5
Total resources expended
Net income/(expense) for the year
Previous Year Adjustment
12
Transfer between funds
11
Net income/(expense) for the year after transfers
Reconciliation of Funds
Total Funds B/Fwd
Total Funds C/Fwd
2021
£
87,887
11,500
148
99,535
570
4,622
5,192
94,343
-
(1,222)
93,121
82,099
175,220
Unrestricted
Funds
2021
£
-
289,911
-
289,911
390
230,552
230,942
58,969
-
1,222
60,191
92,357
152,548
Restricted
Funds
2021
£
87,887
301,411
148
389,446
960
235,174
236,134
153,312
-
-
153,312
174,456
327,768
Total Funds
2020
£
55,607
223,845
150
Prior period
Total Funds
279,602
216
188,854
189,070
90,532
4,018
-
94,551
79,905
174,456

The notes on pages 9-14 form an integral part of these financial statements.

7

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

BALANCE SHEET AS AT 31 MARCH 2021

Notes
Current assets
Cash at bank and in hand
Debtors
8
Creditors: amounts falling due within one year
9
Net current assets
Net assets
Funds
Unrestricted income funds
11
Restricted income funds
11
£
£
£
£
327,967
177,291
5,761
1,217
333,728
178,508
5,960
4,052
327,768
174,456
327,768
174,456
175,220
82,099
152,548
92,357
327,768
174,456
2020
2021
£
£
£
£
327,967
177,291
5,761
1,217
333,728
178,508
5,960
4,052
327,768
174,456
327,768
174,456
175,220
82,099
152,548
92,357
327,768
174,456
2020
2021
333,728
5,960
174,456
82,099
92,357
174,456

For the year ended 31 March 2021 the charity was entitiled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

Director's responsibilities

These financial statements have been prepared in accordance with the provisions applicable to companies subject to the small companies' regime.

These financial statements were approved by the board of trustees and were authorised for issue. They are signed on behalf of the board by:

Signed Date 24/12/2021 Alan Robertson (Chair) Trustee

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SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021

1 Accounting policies

1.1 Basis of accounting

The financial statements have been prepared in accordance with Accounting and Reporting by Charities: Statement on Recommended Practise applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2019) - (Charities SORP (FRS 102)), the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) and the Companies Act 2006.

The financial statements do not include a cash flow statement because the charity, as a small reporting entity, is exempt from the requirement to prepare such a statement under Financial Reporting Standard 1 "Cash flow statements".

1.2 Incoming resources

All incoming resources are included in the statement of financial activities when entitlement has passed to the charity; it is probable that the economic benefits associated with the transaction will flow to the charity and the amount can be reliably measured. The following specific policies are applied to particular categories of income;

1.3 Resources expended

Expenditure is recognised on an accruals basis as a liability is incurred. Expenditure includes any VAT which cannot be fully revcovered, and is classifed under headings of the statement of financial activities to which it relates:

All costs are allocated to expenditure categories reflecting the use of the resource. Direct costs attributable to a single activity are allocated directly to that activity. Shared costs are apportioned between the activities they contribute to on a reasonable, justifiable and consistent basis.

9

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021

1.4 Fund accounting

Unrestricted funds are avaliable for use at the discretion of the trustees to further any of the charity's purposes.

Designated funds are unrestricted funds earmarked by the trustees for particular future project or commitment.

Restricted funds are subject to restrictions on their expenditure declared by the donor or through the terms of an appeal and fall into one of two sub-classes: restricted income funds or endowment funds.

1.4 Going concern

There are no material uncertainties about the charity's ability to continue.

2
Donations and Legacies
2021
Unrestricted
£
Donations
28,036
Friends donations
13,936
Counterprint
-
Fundraising
45,915
87,887
3
Income from Charitiable Activities
2021
Unrestricted
£
Grants
Garfield Weston Foundation
-
Southwark Council
-
Catholic Womens League
-
Wakefield and Tetley
-
National Zakat Foundation
-
National Maritime Museum
-
City of London
-
Henry Smith
-
Adrian Swire Charitable Trust
11,500
C19 London Community Fund
-
Big Lottery
-
London Community Foundation
-
Mercers Trustee
-
C&M Fleming
-
Fund for Human Need
-
Migration Exchange
-
Refugee Action
-
Southwalk Law Centre
-
United Saviour's Trust
-
11,500
2021
Restricted
£
-
-
-
-
-
2021
Restricted
£
-
45,321
-
-
150
-
13,040
-
-
64,460
69,511
9,000
-
6,000
840
30,000
27,571
11,518
12,500
289,911
2021
Total
£
28,036
13,936
-
45,915
87,887
2021
Total
£
-
45,321
-
-
150
-
13,040
-
11,500
64,460
69,511
9,000
-
6,000
840
30,000
27,571
11,518
12,500
301,411
2020
Total
£
24,560
11,618
3,000
16,429
55,607
2020
Total
£
40,000
45,321
3,150
4,950
800
445
8,920
15,000
11,500
-
-
15,000
25,000
6,000
-
-
29,009
-
18,750
223,845

10

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021

4
Investment Income
2021
Unrestricted
Bank Interest Receivable
148
148
5
Charitable Activities
2021
Unrestricted
£
Wages and Salaries
-
Employers NIC
-
Employers pension
-
Rent
945
Covid Steward
-
Equipment
-
Insurance
69
Accountancy fees
-
Telephone & internet
303
Other office costs
339
Travel expenses
-
Food services
-
Hardship Allowance
350
Sundry Expenses
579
Repairs
-
Childcare
-
Activities
-
Training
-
Professional fees
2,037
Counselling
-
Gardening Project
-
4,622
2021
Restricted
-
-
2021
Restricted
£
135,362
6,474
4,055
12,895
2,520
7,922
1,721
-
2,050
5,120
1,528
14,767
26,083
1,098
2,370
352
-
420
3,189
-
2,626
230,552
2021
Total
£
148
148
2021
Total
£
135,362
6,474
4,055
13,840
2,520
7,922
1,790
-
2,353
5,459
1,528
14,767
26,433
1,677
2,370
352
-
420
5,226
-
2,626
235,174
2020
Total
£
150
150
2020
Total
£
111,543
4,165
3,350
22,015
-
3,530
1,836
456
1,691
4,905
4,200
9,314
8,398
692
-
4,814
3,784
-
1,180
75
2,906
188,854

6 Employees remuneration

The total staff costs and employee benefits for the reporting period are analysed as follows:

Wages and salaries
Social security costs
Employer contributions to pension plans
2021
Total
£
135,362
6,474
4,055
145,891
2020
Total
£
111,543
4,165
3,350
119,058

11

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021

6 Employees remuneration continued

The average head count of employees during the year was 7 (2020: 7). The average number of full-time equivalent employees during the year is analysed as follows:

Director
Project Workers
Administrator
2021
2020
Total
Total
1
1
5
5
1
1
7
7

No employee received employee benefits of more than £60,000 during the year (2020: Nil).

Key Management Personnel

During the year total remuneration of £61,623 (2020: £62,581.78) was paid to key management personnel.

7 Trustees' Remuneration and Expenses

None of the trustees received any emoluments during the year other than expenses.

8
Debtors
Accrued income
Prepayments
9
Creditors
Accruals and deferred income
Other creditors
2021
Total
£
4,120
1,641
5,761
2021
Total
£
510
5,450
5,960
2020
Total
£
-
1,217
1,217
2020
Total
£
4,052
-
4,052

10 Pensions and other post-retirement benefits

Defined contribution plans

The amount recognised in income or expenditure as an expense in relation to defined contribution plans was £Nil (2020: £Nil).

12

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021

11 Analysis of charitable funds

Unrestricted funds
General Funds
Restricted funds
Awards for all
Big Lottery
C19 London Community
C & M Fleming
City of London
Fund for Human Need
Garfield Weston Foundation
Henry Smith
London Community Foundation
Mercers Trust
Migration Exchange
National Zakat Foundation
Refugee Action
Southwark Council
Southwalk Law Centre
United Saviour's Trust
Wakefield & Tetley
As at
31-Mar-20
£
82,099
82,099
As at
31-Mar-20
£
(1,222)
-
5,703
170
-
26,921
4,944
3,370
25,000
-
-
16,001
-
-
7,454
4,016
92,357
Income
£
99,535
99,535
Income
£
-
69,511
64,460
6,000
13,040
840
-
-
9,000
-
30,000
150
27,571
45,321
11,518
12,500
-
289,911
Expenditure
£
5,192
5,192
Expenditure
£
-
(43,369)
(51,666)
(140)
(12,895)
(840)
(14,664)
(3,832)
-
(12,135)
(2,188)
(150)
(29,127)
(42,918)
(10,870)
(6,148)
-
(230,942)
Transfer of
funds
(1,222)
(1,222)
Transfer of
funds
1,222
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
1,222
As at
31-Mar-21
£
175,220
175,220
As at
31-Mar-21
£
-
26,142
12,794
11,563
315
-
12,257
1,112
12,370
12,865
27,812
-
14,445
2,403
648
13,806
4,016
152,548

12 Previous year adjustment

A previous year adjustment has been applied to the accounts ending 31 March 2020 due to a difference in opening balances.

13

SOUTHWARK DAY CENTRE FOR ASYLUM SEEKERS

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2021

13 Previous year statement of financial activities

2020
Notes
£
Incoming resources
Incoming resources from generating funds:
Donations and legacies
2
55,007
Income from charitable activities
3
11,500
Investment income
4
150
Total incoming resources
66,657
Resources expended
Cost of generating funds
216
Costs of Charitable activities
5
23,241
Total resources expended
23,457
Net income/(expense) for the year
43,200
Previous Year Adjustment
13
4,018
Transfer between funds
449
Reconciliation of Funds
Total Funds B/Fwd
34,431
Total Funds C/Fwd
82,099
Unrestricted
Funds
2020
2020
£
£
600
55,607
212,345
223,845
-
150
212,945
279,602
-
216
165,613
188,854
165,613
189,070
47,332
90,533
-
4,018
(449)
-
45,474
79,905
92,357
174,456
Restricted
Funds
Total Funds

A statement of financial activities for 2020 is shown here for comparative purposes as per Charity SORP regulations.

14