REGisfERED COMPANY NUMBER: 07597188 (Engl¥4nd and W￿e5)
REGISTERED CHARITY NUMBER: 1148451
Report of tbe TTU$tees *md
VnAudited Financi￿ Statetnents
for the Year Ended Jlst March 2023
for
LtMrrED
•A(1551￿1$
2011212023
COMPANIES HOLISE
#37

SOUTH EAST AND CEfffliAL ESSEX MIND
LIMITED
Contents of the FiDancial Statements
for the year ended 31st March 2023
Page
Report of the Truste¢s
I to 10
lttdeptndeDt Exami*er'$ Rtport
Stgtement of Financial Activities
12
Balance SI￿
13 to 14
C8sb Flow St*tement
Is
Notes to the Cash Flow Statejnettt
16
Notes to tbe FiMts¢ial Staterne#ts
17 to 26

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED (REGISTERED NUMBER: 07597188)
Report of the Trustees
for the year ended 31st Marcb 2023
Th¢ Iruslee4 who ar¢ also directors of the ¢lJarity for the PUfPOSes of the Companies Act 2(K)6. pr¢sent their TekXJrt with
the financial statements of the charity for the year ended 3E March 2023.
The tnLStee5 hav¢ adopted the provisions of ACc(A￿tIng and Rwrtin8 by Charities: Statement of Rrxornmended
Practice applicabl¢ to charitias preparing thetr xcouDts in a￿ordanCe with the Financial Rew>rtin8 Standard applicable
in the UK and Republic of IrelaTrd (FRS 102) (effedive l January 2019).
ORJECTIVES Af4D ACTIvfTIF
Objectives and alm$
The trustee5 confirni that they have complied with the duty in sxiion 17(5) of the Charitie5 Act 2011 with regar(ts to
the Charities Commission guidance on publi¢ benefit whrn revi¢wing the chariry's aims a￿1 obJ￿tiveS and planning
ture activitie5.
Hawng regard to the xtivhties 8nd achievements of the charity, the Tru￿£￿5 are of the opinion that it cOntinll￿ to fvlfil
its charitable purpose.
Within the areas covered by S(XLthend on Se4 k¢Khf￿4 C&yle Point & ChelmsfoTd the charity's aims and objectives
8re'.
l. To promoie and PrOt￿t good ments] health for ail in S(¥Jth East and Cefttnl Essex. treating people fairly. positively
and with Tespect..
2. To supp)rt people likely to develop Mental hea]th wiblerns to stay well.
3. To empower people to make infomied ¢l)oitts ab(￿1 how they manage iheirown menta] hea]th:
4. To ensure people gd ¢he righ¢ S¢Tvi¢es and support at the righi time, giving them ihe to)Is to T￿0Ver and ￿aY
well.
AthievemeDt p¢rforw*n¢e
The charity continues to deliver a rang¢ of highquality servic¢s for those experietlcing w mental heali]L
Thc charity has delivered scrvicts to meet the ncedsof the eomrnunity throjgltht period that includcd:
l. continued support for hcMJsin8 tenan
2. a children and young person (CYP) s¢rvic
3. mtntal health training and talking thuapi
The Charity is delighted to rcport that staff and voluntecrs have fijlly ernbr￿ed the Chief Executive's Business Plan and
proposed mcthodologies with the Charity eommitted to 5ecking to ensurc that all our repre5entative5 are well supported
d trdined regularly. MatLy of our team bring spttialist ba¢kgr(wids and l or liva ¢xperience and. where appropriate.
qualifications to enable th¢tn to deliver the Clwityb visiijn.

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED (REGISTERED NUMBER: 07597188)
Report of the Trustees
for the year ended 31st March 2023
M¢nt#l Health Servi¢es
Supported Hou$iDg
W¢ ¢ontinue to ￿ repT¢s¢nt¢d OD the Southend hulsing pa￿]. enabling us to liaise with th¢ local housing depameni
and othex ¢hartties to provide th¢ rigbi ￿kage for individua]s needing svpFort.
Service users alt given the opponunity ￿ fethk and suEg&8t improvements io any of the services they have been
pan of.
Our h¢wsing servic¢ coniinu¢s to genera￿ unrestyi¢*d in¢ome athling the charity to offu other mentsl health services
to rh¢ c¢)mmurtity.
During th¢ year we h*J 19 spa¢es available forclients and the ￿¢[W¢Y rate was 96% at the end of the year.
Fee Bgs¢d Counselling and Tr*um*
We wminu¢d to deliver on¢ to one ￿UnsellIng s¢ssions for childm YOW￿ people and t4Jults ¢ith¢r wrtuaily (via
Zoom) or face to fxe.
Poli¢¢ and CrimID￿ Evid¢JKe IPACE)
We wntinued our work SUFVOrting vuln¢rabl¢ ￿Ults thrwgh the Poli¢¢ and Cximinal Eviden￿ ￿A￿) coniTa¢t ￿nded
by Southend Borough Council.
Anyone who is d&ained or subject to arrest in Southend and is unable to make inforned decisions due to their mental
health can re¢eiv¢ support from a rwonsible *lult tbr(NJgh SECEM to act on iheir behalf.
Somewhert to Turn
Our Sornewhere to Turn 5erviee MOV￿ to an online FaCeb￿k group during the pandemie and h&$ Proved popular with
the community. Our staff. who monitor the group. continue to offer support and tojvice for anyone with concerns about
their menta] hea]th.
The Charity a150 reintr(KJuced th¢ Somewhere toTurn early intuvention servi￿. off¢ring phone and email wnta
sing a new s¢rvic¢ model.
Mental He*lth Training
We continue to see an incre￿ in demand frorn kKai ￿thOriti4 business￿ and otb¢r organisatioL4 who want to
understand and l¢am mor¢ about mental h¢al¢lL
The charity ha5 built a 501id customer base with l(xal e4luc*ion and caTe organi5ations and wntinu&s to offer ￿S[M)ke
ry)urses and M¢nt21 Health First Aid (MHFA).
Admission Preventlon l EArly tlisth*rge (APED)
As part of Mid and Styjth Essex Sustainability and TrdDsfonnation Partnership (STP). tkn is a Tange of provision to
provide timely and appropriate responses to pv)ple in crisis to prevent esca]atioTh of mentsl health prth&lems and
unnecessary referrdls io spe¢ialistlcomplex care Tnenta] health seTwces. Accidcllt and Ernergency (A&E) and other
einergency and i)ut-of.IK)UTS services. and to p￿vIde ￿PpOrt in the community to r¢duce the inpatient stay.
P4e2

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED (REGISTERED NUMBER: 07597188)
Report of the Trustees
for the year ended 31st Marcb 2023
OWECTtVES ACTIvrfJES
In partnership with Thurro¢k and Bieniwood FKJTrd we offer the Admissi¢)n Prevention elemen( providing extra support
to people in crisig thai can remain ai home as an alie[n￿1Ve io admitsion to hospi￿1 and Early Discharge, following an
inpatient experience in lh¢ Methth] Healih Unli the service suppons pts)ple to settle b￿k ITJ to iheir home enviionmeni
and community.
Mellt#l Hegltb Reeovery Workt
tn Mid and S￿th Essex the detnands on the Mental Health Services have signiflcantly incrcased. The mental health
rccovery role5 SUPWrt the Community Menial Health Tcams (CMHTS) and tlle Menta] Health Liaison Nurse in the
Accident and Emergertcy Department to meet the *Jditional demands.
Childre# and YOW￿ People
Our children and young penon eounselling seTvice h&8 been ¢ommisioned by South-FAst and Mid.Essex CCG 8t￿,
working Wlth two other local children's charities provides orte to one cl￿nStI1]ng supwrt to young people between the
agesof 11 and 18.
Support to Trive- We woE* in partll¢Tship wilh Thurro¢k and BmitW(KyJ Mind with secondary schwls. EsseK County
Council and the Mid and South Essex CCG'S to offer Y￿ng people wellbeing support. We develop personalised
packages of supp)rt with young p￿pIe io str&)yhen and impmve their emoticth] and mental wellbein&
Youthful Wellbeing - Youth￿1 wellbeing provides holisiio shon-term support. coiijiecting young adults aged 18-25
who are experiencing mental health problems. to local initiatives and Servic￿ for praciical and emoiional support. The
service aims to increase pecfjle's conneaion with Oth￿ aThl their Io¢AI cornmunity and C￿Power them io take Control of
Iheir owj healih and wellbeing. It helps (o slrengthen personal and communiry resiliethce and ra1￿c¢ health inequalities
by addressing wider drtern)inants of hea]th such ¥ debL poor housing and physic￿ inactivity.
Makn ActIvS￿e4 Uttdertaken To FurthÈr The Cbarlry's P¥ryose For P¥bik BentfiL
All of th¢ activiiies re￿rted are for the ythlic benefii.
In the course of managing the Charity the trusfees have ￿ rewd io the Charity Commission's guidance on publi¢
benefit.
Charfty Performante & Impart Upott BenefKiarles of the Ch*rAty.
The charity h&s sought to Ov￿0M¢ the challenges of operating in a Oargely) post Pandemic world which has seen
significant incre￿ in the numbu of enquiries for menial heAIth SLVP)rt as a rwlt of the Pandemic. whils1 existing in a
very competltive and restricied fund Taising envimnTnent.
Our core actLVlties we believe have improved the wellbeing. metktsl health and opp*Thrtiti&% for everyone we have been
in contact wth.
For some of those experiencing menial health challenges who have acc&wJ (￿T services. they have been able to
Contribute io the eommunity fiTwcially and through volunteering.
Degytt To Wbi¢h AchievemeDts And Charity P¢rfornaTree W¢¢d WMl¢r Society.
Our seryic¢s ar¢ ¢onsidered to b¢nefit the wider community through gjstainillg and supporting F¢ople wilh rn￿￿1
tllness. This not only helps the individual involved FMJI benefits families, fn"end5 and th¢ Ica community.
Page 3

SOUTH EAST AND CENTRAL ESSEX IKtND
LIMITED (REGISTERED NUMBER: 07597188)
Report of the Trustees
for the year ended 31st Mareb 2023
ORJECTIVES AND ACTivrriLS
The delivery of these seTViCCg has helped the wider community by t[￿b]ing those sethng or needing help ro find what
Ihey need. Our appioach to help for individuals. t￿￿￿$ lewei people drop out of support and a ¢lear pathway to
Tecovery is identified wilh people movin8 on to indcpenden¢e where ihey become Contrib￿Or$ to ihe community. We
have had over 20 volUn￿[S WO￿ wilh us during the year. some of which are previous clients who have been able to
use their own lived experience io help and support
Fin8n¢l•l Results
The fin2n¢ial position of the charity at 31 March 2023 shows that the t(rtal income was £902.623 (2022 £670.099k th¢
total expenditure was £849,794 (2022 £558.032) and th¢ r¢5ulting surplus was £52.829 (2022 £112,067).
Re￿ry¢S Policy
The In￿te¢S op¢ra¢¢ with the following R¢s¢rv¢s poli￿.
l. The risk of unforeseen emergency or L*h¢r un¢X￿td tY¢d lor
- The TNye¢s have sel a$ide a cash or cash equivai¢Thi reserve of £12.5(4)
2. The risk of ¢overing unforeseen day-to4ay op¢raLÈon￿ cogs
- Thc Tru*ees have set aside a cash OT cash equivdlent reserve of £10.￿1
3. The risk of losing a s￿rCe of income
- The rrusle45 have set aside a cash or cash ¢quivalent r¢s¢rve of
i. Rcdurtdancy costs
£io,c
li. Ov¢rheads and Finance Cornrnitrnents {3 months) £90,(MK)
4. Planned commitments, or designations. that caonot be md by fubjrc income alone
- The TTUStces are of thc ¢)pinion that any planned commitmcnts attd l or designations not capable of bcing sustained
through 6Jture income budgets can only bt committed to by way of evaluation of rc5iduai quity within the charity
housing stock and ihe risks I￿lated with furthtt born)win8 againsl thc dcmonstrablc charity b&4cd returns eXp￿tal
to result in the longer te
S. The nttd to fund short-tern deficits in a budBCt
- The trn#ees have set aside a cath orc&%h equivalent rtserve of £lO.O(KI
Level olC8sh Reseryts
As at 31 March 2023 the TNstees have sei &side a c&sh or cash equiva]ent reserve of £132,5(M) &$ ddailed above. The
level of Resetves held are reviewed annually. ￿ the baJ8nce sheet Teportitlg dat4 the Charity held £210.562 (2022
£246,540), thus enabling the Charity to continue to seek to develop and extend service offering5 whi15t remaining
within the Cash R¢s¢rv¢s target.
Monit•ritig *ttd RevleThiog The R¢s¢twes Poliey
The c&%h r&%erves standing is reviewaj monthly by the Finance Committee on production of the monthly mana8ernent
IDforn)aiion - the Chief Execuiive 0￿1¢* moniioTS bank ba]an¢es on a weekly basis and is insmicted io draw the
Finance Cornmittee's attentioo io any breach of the cash hoJdiDgs. The Charity has separated the resetve holding
requirement into a separate interest earning fund to that any cash demand that entails the Cash reserve level
being breaC?￿d is imrnediatdy re¢wis￿.
Th¢ policy is revi¢wed annually against the fo￿ard foreusts of the Charity once they ar¢ finaiised - this is an 8Tmual
process and th¢ reserve policy w&5 twed again4 ihe forward forec&st for FY24 by the Finan¢¢ Cornmittee. The
Committee ratified Ihe Re5ery¢ l¢v¢l for a fijnhu year.
Page 4

SOUTH EAST AND CENTRAL ESSEX MtND
LIMITED (REGISTERED NUMBER: 07597188)
Report of the Trustees
for the year ended 31st March 2023
OBJECTIVES kiND ACTIvfTIES
L*vel of Ullrestrieted Rtserves
Unrestricted reserves are re￿￿￿1 at£671,696 (FY22 £609.751).
Included within the balance shttt of ihe Charity is the hO￿ing s￿Ck owned by which is held ￿.
l. UThJerpin a key charitable objective of the Charity - the delivery of supported housing to the Community:
2. The h(NJ5ing service COTLlinues to generate unrestricted income enabling the charity to <)ffer other mental health
service5 10 the community through providing a vital and very much in dematld service in the Iwality.
As such th¢ Trust¢es have elected to riDg f¢n¢¢ the h(wing 5tIKK nct of mortgage ¢omtDittnenty from b¢ing available
to the TTus¢ees &$ a reserv¢ could be encashed wiih¢wt th¢r¢ is:
l. a Clear justifi¢ation to improve the Charitable seryi¢¢ offering thrwgh equity T¢1
2. where ih¢ cash reseTre limit has been brea¢hed and the TnLStee5 ￿)￿ider that:
a. it is noi for¢ust to r¢solve within 6 months and
b. r¢vis¢d annual budgels indicate the iDability to either source or strvicc rKw loan capital to the bu5ine5S
Prlndpxi Funding Source5
The ¢harity is reliant urA)n the continucd incorn¢ provided by clwitable fundiTh8 FM)dies and local I central governmeni
support.
The organisation also receives donation% income from fvndraisan8 cvcnts and rentsi income from 5￿ppOrted housing.
FtrruRE DEVELOPMENTS
The charity been through a signiflcant pericd of change oycr the past thrtt ycars. Thc board identified fivc key
straltgic priorities to rnove from a 8ranL dependent charity to a FJJ5tainable organisation while continuin8 to provide
vital rnen￿ health Servic￿ to thc commuThity SECE Mind scrvc&
Our vision is to'Emwwer people in South Ea%1 and centr￿ Essex tts improve their mental health and wellbeing, and we
will do this by increasing opportunities for c041csign and c￿ProdUction, providing peer support and opportunities to
bLLild resilience giving individua15 the tools to manage their own mental health, in the cijmmunity and in the workplace
through n¢w ￿mMerCIal relationthips.
Our Mission 1$ to:
l. To provide support and empower all those living with p)or m¢Trtal health in South East and Centraj Essex"
2. To ensure everyone susceptible or experiencing menthl health issu¢5 15 he]p. support and guidance ne&led
enabling them to wpe more easily and effectively"
3. To aim 10 intejvene as e•rly as possibl¢ offering an early iniervention service for anyone expuiencing men¢al health
Challenges.
4. To aim to ￿0W our menth] healih training seNces to minimise the Migma and fear of mental ill health.
5. To always treat others respectfully and not to discriminate on any basr&
6. To be ¢omp&ssionate towards every￿¢ we come into contact wkth,. and
7. To deliver our 5¢rvic¢5 with honesry, profes5iona]ism and xcountability wiihin a fram¢work of a sustainable
business model.
Page 5

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED (REGISTERED NUMBER: 07597188)
Report of the Trustees
for the year ended 31st March 2023
OWECTIVES AND ACTIVITIES
Our IDtended Demvery Outcomes its Our Cliexts
l. To help individuals to make infonna deo"sions and ￿pport them to do this by ida)tifying goals and a support
pathway using a Human Givens approach.
2. To Wtsrk in partnenhip with statutory mental health seryi¢e pmvidtts and others. auing as a primary point of call
prornoting independent living wth support within the community"
3. To contrnue to devclop scrviccs for more groups rn our community continuing our Work with children and youn
4. To ensure our existin8 housing assers in Southend remain well maintaintsL fit for Purpose, are more utilised artd
SUSlaitLably fi]nded..
5. To expand ¢￿T supported housing services into the Castle Poirf and Chelmsford areas by working in partnership with
the local authority and other housing charities-
6. To market and deliver our training seTViCeS io reach rnore people.
7. To eV￿uate how we work and further develLV our CRM sysrem enSUriD8 wc can benchmark our performance and
demonstrdte our impact in the Con￿Unity.
8. To continue to enwre OUT 8OVCTnance is robusL cfftttive and meets all quatity Standards to which wc subscribe.
9. To ensure (xjr team h&5 the expertise athd tapacity to ¢ottsistently deliver high quality seTVittS.
10. To do all we Cart to bccotne art employer of choice.
I l. To corttinllally Iwk for b¢4 value from our suppliers and will look to irt¢rease our owo etTic2en¢y and seryice rnodel
to minimise cost and wastage. We will generate mott unrestriaed incorne enablittg th¢ organisations aims and
objectives to be fvlfilled in the longer term.
Our Ilisks & Opportunitie5
Rlsks
l. The eompetiiive na￿re of the volume of chariiies needing 10 raisc fun￿ ¥ we do.
2. The intrcxluction of the Integrated Care Board UCB) and [nic8￿ed Care Systesn UCS).
3. SlafY￿￿1lrntnI and rderttion
4. Increases in Minimum Wages and TrarLsitiorLS to living Wag&
5. The C05t of Livin8 crisis.
6. Regulatory and OrKratioThai Challenge5 such ￿ cybcr crime and envirot￿l¢ntaI impact obli8atiow.
7. Geographical arts5 of unil¢rreprestntatioD through budgd constraint&
Opportutiitlts
l. Growing media and wial awareness of well being and mentsl health issues
2. G¢neration of income from new S￿￿Te4 uliimatdy intending to balattce oprKJrtunities that exist within the Private
Se¢tOF as platmed funding through Publie Sector Initiatjves comes under incTtasing scruiiny and fLnan¢ia] ¢ortstraints.
3. The Community will nced and support an cxtension to s¢Thicc s¢ope and breadth - the Current IxoTh)mic
conditions and recent exi￿ from the Pand¢mic bave a significant im￿1 upon well bth.ng and mental health.
Pag¢ 6

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED (REGISTERED NUMBER: 07597188)
Report of tbe Trustees
for the year ended 31st March 2023
STRUCTURE, GOVERNANCE AND MANAGEMENT
Coverning docwDent
South East and Central E8sex Mind Ltd is an incoTPOT*ed Charity limit￿ by guardntee (Company No. 075971881
governed by the Memorkndum and Artic]es of Awci&ion.
It is a local registered eharity (regisiration no. 1148451) affiliated with Nationa] Mind.
Our memora[￿Um and Articles of knociation sds categori¢s of membership ￿d ffijll shall be entitled to
vote at all genernl meetiny of the Charity.
We serve the area covcred by the s￿thend Borough C(￿￿1. C&stie Point and Rochford (E￿ County Council) and
Chelrnsford City Council.
StTUtthre *nd detiiiDn
The Charity seeks to operate with a non-executive Board of up to 10 tn]stc4 who a150 comprisè th¢ directors of the
company. The trustees seek to meet up to 12 times a year.
Founded uw)n the composition of the Board of trustw three Appointed Officers are seleeted of Chair. Vice Chair and
Honorary Treasurer.
The Trustees may al￿ delegate powets to wknmmittees containing at lea￿ one froEll their number to look at specific
matters and advise.
Currently there are ftyjr sulF¢ommilltts responsible for servi￿ Deve]opmenL Finanee and Govemanee.
Day ￿ day management of lh¢ Chan"ty is del¢g*ed to a ￿lef Exxutive OITicer I￿0). reswisible io the
nOn-eX￿U¢1v¢ Board.
The CEO leads and is supported by a senior man8g¢ment team Comprisirtg of senior managers with overall
responsibility for business d¢v¢loprneD¢. income generatioo. therapy wvi¢es and hcwsitig. The CEO is responsible for
implementing the poli¢y and strategy •J(ytaJ by ihe Non-E%ecuti¥e Board in line with approva budgds and *lvising
on such policies and Strategies.
The CEO and senior management team must Yeport regularly to ihe trnyee5 on ¥tivities undertaka) and provid¢ regular
management accounts to explain the fJnan¢ia] position and ¢ash flows forthe Chatity.
Re¢M￿tment *nd Trakning for theTnuttts
The TruMees aim to tnaitttain a representation and to within the P*)ard
l. a range of experience from within the volwitsry sertor atld business commutlity:
. 5cekirtg the overall representation to be r4iresent*ive of the pccyle we sejve and the diverne mitioritics withirt it.
Truslce5 are eletted by members at an Annua] Gcneral Meding.
Trwning is delivered in tht fjrst instanc¢ through the use of an induction pack and a ptocess of support and mentoring
by oth¢r trustw specific tr￿nin8 nccds of trustees are tdcDtified and trainin8 provid¢d by a full rang¢ of m¢thod5 both
iti hous¢ and externally.
Page 7

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED (REGISTERED NUMBER: 07597188)
Report of tbe Trustees
for the year ended 31st March 2023
STRUCTURE, COVERNANCE AND MANAGEMENr
Risk m•wgemeRt
Rl'sk i5 identifhed in a number of ways through Thjr Health and Safety Conmiiltee. strate8ic and bJ5in&ss plannin&
financial reporting, reeommended prxticc and l¢gJs]ation.
This is managa through p)li¢y development and training.
Any ideThtifLed risk that wjld impa¢t on the rcwfaiion of National Mind 15 Tr￿ed th"rertly to ih¢m with regular
updates provida.

SOUTH EAST AND CENfRAL ESSEX MIND
LIMITED (REGISTERED NUMBER: 07597188)
Report of the Trustees
for the year ended 31st March 2023
REFERENCE AI¥D ADMlf41STRATtVE DETAIL5
Registered Company Number." 07597188 {EDgJand and Wal¢s)
Regist¢rtd Charity Number: I l4845l
Regi$t¢r¢d oifite:
The Jubilee Centre
112-114 Swih¢hur¢h Roa
Southend on Sea,
Essex, SSI 2LX
Trustew:
Mr G J Ravcn
Director- Chair
Lord R A Stallard Dircctor- Vicc Chair
Mr M P Bunclark Director- Honorary Trea￿Tcr
Mr C Phillips
"rector (rcsigncd 15.12.23)
Ms A Agrdwal Dircctor (appointed 21.04.2022)
Ms L White
Dirtctor- Forner Ch￿r {resJgned 06.06.23}
Mr P J Payne
Dircctor- Former Vice Cha]"r (rr5i8ncd 06.06.23)
Ms E Farrell
Director (rtsigned 01.04.22)
Mr D Smith
Director (aminted 01.04.2022, resigntrj 06.CkS.23)
Mr D Paterson
Director (appointed 20.01.23)
Indeptttdettt txatlllner
Azets Audii Serrice5,
Chartered Accountants.
7.8 Britamiia Business Park.
Comet Way.
Souihend on Se
Essex.
SS2 6GE
Solititors
JeffeThes Essex LLP SolicitOTS
3rd Floor Dencora Court.
TyleTS Av<
Souihend-on-sea
Essex. SSI 2BB
B&Dkers
CAF Bank
25 King5 Hill Av4
'n85 Hill.
West Malling,
ME194JQ
SeLYetary
Ms C Grant
Chief Offiter
Ms C Grant
Pag¢ 9

SOUTH EAST AND CENtRAL ESSEX MIND
LIMITED (REGISTERED NUMBER: 07597188)
Report of the Trustees
for the year ended 31st March 2023
Approved b
OTd¢r of the tx)aTd of tnLSt¢es on............ .......... .................... and sigTheAI on ILS b¢half by..
Mr G J Raven- Trustee
Page 10

Independent Examiner's Report to the Trustees of
South East And Central Essex Mind
Limited (Registered number: 07597188)
Independtnt examiner's report io the trnstees of South And CeDtraJ E55ex Mind Llmlted Cthe Company
I report to the charity In￿te￿o￿ my examination of the accounts of the Company forthe year ended 31$1 March 2023.
Re5PODsibiiities And b￿15 of report
As the charity's trustee5 of the Colnpany (and also its directw for the purpoKs of company law) you ate responsible for
the PT¢par*i¢)n ofthe accounts in aco)rdance with the requklements of th¢ Cotnpanie5 Ad 2￿ ethe 2￿ Act.).
Having satisfjed myself thai the accounts of (he Company are not r<¥uir¢d to be audited under Part 16 orth¢ 2006 Act
and are eligible for independent examination. I report in Tespeci of my examination of y(x]r charity's accounts &s carried
out under Section 145 of the Charitics Act 2011 (Ihe 2011 ACV). In carying out my examination I have followed the
Directions gsven by the Charity CommissioTh under Section 145(5) Ib) of the 2011 Act.
Independent ex*miller's stAtement
Since your Charity's gross incorne excecdcd £250.(KQ your exarnincr rnu￿ be a membcr of a listed iyjdy. I can confimi
that l am qualifjcd to undertake the exarnination bccause l am a mcmbcr of the Institutc of Chartered Accountants in
England and Wal&s. w￿.Ch is onc of the listed bLMlies.
I havc complctcd my examination. I confirm that ￿ matteT5 have comc to my attention ID GOT￿¢¢tiOn with thc
examination givin8 me cause to believe..
attounting records were kept in rc5m of the Company as required by Scction 386 of the 21x6 Act., or
the accounts do not a¢¢ord with thos￿45. or
the a¢¢ouniS do not Comply with the a¢¢ouo¢ing requirements of Section 396 of thc 2CK)6 A¢t other than any
requiremcnt th& the a¢¢ounts give a irue and fair vicw whith is not a matter ¢onsidered as part of an
indepetmlcnt examination. or
Ihe ac¢ounts have nol lieeTh wep8￿1 in ¥cordance with the mdh¢xts artd prin¢iples of the S¢atem¢oi of
Re¢ottuncnded Practice for a¢c(M]nung and ryrting by ¢harities {applirable to ¢haritie5 preparing their
ae¢ounis in ac¢ordan¢¢ with ihe Finan¢Lai Reporting Stsndard applicable in the UK and Republi¢ of Ireland
(FRS 102)).
I have no cOn￿rr￿ and have corne across no oll￿r matters in COn￿tIon with the examination to which art¢Dtion should
b¢ drawn in this report in wder to eThabl¢ a proper unde￿dIng of the accounts to be reached.
Adam Hubbard BAIHons) FCA
The Institute of Chartered Accountants in England and Wales
A7£ts Audit Servic&s,
Chart¢red Accountants.
7-8 Britannia Business Park.
Comet Way.
Sollthend on S
Essex,
SS2 6GE
Pagell

SOUTH EAST AND CELYTRAL ESSEX MIND
LIMITED
Statement of Financial Activities
for tbe year ended 31st March 2023
2023
Totxl
futtds
2022
Tot
funds
UnTe5trictcd Restrirtcd
nd
fund
N￿¢$
INCOME AND ENDOWMENTS FROM
Donations and legacie5
122,708
122.768
105.012
Other trading activitics
Invcstrncnt income
383319
324
396312
779531
324
565.071
16
Total
396
670 099
EXPENDrruRE ON
Ra]"sing ￿ndS
S&081
55,081
35,781
Cb*rii#bl¢ *etivi¢ies
Supported Housing
Counselling
Menta] Heolib Training
Commissioning
350.706
13.013
358,
13,013
25,566
28 397 528
214.542
33,769
18,661
255 279
397
Tot#1
558 032
ET INCOMEI{EXPENDITURE)
61945
(9.116)
52,829
112.067
RECONCILIATION OF FUNDS
Ttstal funds brought forward
609,751
791)0
617.651
505.584
TOTAL FUNDS CARIUED FORWARD
617651
The notes forni part of these financial statemcnts
ge12

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED (REGISTERED NUMBER: 07597188)
Balance Sheet
31st Marcb 2023
2023
2022
Toial
funds
Uniestricted Restricted
nd
fund
Toifii
Notes
FIXED ASSETS
Tangible a&sets
12
871J76
871J76
868,348
CURRENT ASSETS
Debio
Cash at bank and in hand
13
61.246
210
61,246
210
30,347
246.540
271W8
271008
276.887
CREDITORS
Amounts falling due within one year
14
132,014)
(1216)
(33330)
{67.361)
238
209 526
TOTAL ASSETS LESS CUBJi£Nr
LIABILMES
1,111,170
(1316)
1,1119,954
.077,874
CREDITORS
Amounts falling due after more thaTh one year
15
{439,474)
(439.474)
1460223)
NET ASSETS
671
16
617651
FUNDS
Unresiri¢¢ed fuTLds:
General fund
Restricted fund5'.
Re*ri¢ted Funds
19
671.696
609.75I
TOTAL VUNDS
617651
The charitable cornpany is entitied to exemption from audit under Section 477 of the Cornpanies 2(K)6 for th¢ year
ended 31st March 2023.
member5 have n(A rtquired th¢ cixnpany io obtain an audit of its financial statetnents for the year ended
31st March 2023 in accordance with Section 476 of the Cornpanies Act 2￿.
The trnstees acknowldge tbeir rewnsibilitiLs for
(a)
ensuring that the charithle company keeps ￿cOunting records that cornply with Sections 386 and 387 of the
Companies A¢1 2(X)6 aJLd
preparing financia] statements which give a tnje and fair view of the state of affairs of Ihe charitable company as
ar the ertd of each financial year and of its wrplus or deficit for ea¢h financia] year in accordantt with the
requirctnents ofsects"on5 394 and 395 and which otheTwise comply with the requirements of the Cr￿PanICS Aet
2006 relating to financial 5tatement4 so far &% applicable to the ch3ritable compab)y.
Ib)
The notes fonn part of these fhnancial statem¢Dts
Page 13
continued...

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED (REGISTERED NUMBER: 07597188)
Balance Sheet - continued
31st March 2023
These financial statements hav¢ E*en prepared in &¢oTrlance with the provisions applicable to charitsble companies
subject to the sTra]I companies regim&
¢ia
ststements were approved by the B(xrd of Tn￿ec$ attd authorised for issue
.. and were 5jgned on Its behalf by:
MrGJ
ven- T￿1￿¢¢
The not¢s fonn part of financial 5tatementS
Page 14

SOUTH EAST AND CENfRAL ESSEX MIND
LIMITED
Cash Flow Statement
for tbe year ended 31st March 2023
2011
2022
Notes
Cash flows Irom op¢r#titig attl￿tIeS
Cash gcneTatcd from operations
Interest paid
27.711
94,521
Net cash provided by operating adivities
C•sh flow5 from iDvestitig lelivities
Purchase of iartgible fixuj asse
Iniere# rettived
(3.633)
324
16
Net e&th (used inyprovided by invtstiiig activiti&s
16
Cash nows from fln8ntÈDg Activities
Loan repayments in year
729
N¢t cash used in financing activiiie
Change ID easb cash equiv*leDts iti
the reporting period
CA$h and tgsh eqllivalents at the
beginning of the reportiDg period
(35978)
35,574
210966
Cash #od ¢#$lx ¢q￿Valents xt the tnd of
the reportitig period
210
The ll￿e$ fomi part of thtte fLiiancLai stateM￿ts
Page IS

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED
Notes to the Cash Flow Statement
for the year ended 31st March 2023
RECONCtLIATION OF NET INCOME TO NET CASH FLOW FROM OPERATING
ACTIVITIES
2023
2022
Net ineome for tbt rtportlug ptrlod {*5 per the St*tsmtDt of Fin￿rI
Activitie5)
Adju5tmtnts for:
Depreciation charg
tntcrest received
Intcrcst paid
(Incrcaseydecrea￿ in dcbtors
Decr¢￿e in creditors
52,829
112.067
(324)
23,651
(30099)
(16)
15,268
6,672
Net casb provided by operations
ANALYSIS OF CHA]¥GLS IN NET DEwr
At 1.4.22
Cash flow
At 31.3.23
Net Cash
C&sh at bank and in hand
35
210
210
D¢bt
Debts falling due within l year
Debts falling due after l year
{43,504)
15,980
(27,S24)
439 474
Tof
751
Thc notc5 form part of these financial s￿ernents
Page 16

soirrH EAST AND CENTRAL ESSEX MIIYD
LIMITED
Notes to the Financial Statements
for the year ended 31st Mareb 2023
ACCo￿lNc POLICIES
B8sis of prep*ring the fin*nciAi 5tstements
The financia] statcmcnt$ of the charitable company. which is a public bcncfit enlity under FRS 102. have b¢¢Th
prepared in accordance with the Charities SOPTr IFRS 102)'Accounting and Reporting by Charitie5.' Statement
of Recommended Prdctict applicable to charitie5 preparing their accounts in accordance with the Finan¢iai
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) {effective l January 2019),,
Finan¢ia] Reporting Standard 102 The Financial Reporning Stsndard applicabl¢ in th¢ UK and Republic of
Ir¢land' and the Companies Act 21Xkn. The fmancia] statements have been prwed under the hi4oricai ¢ost
¢onventkon.
ID¢omt
All income is r¢wgnis¢d in tbe S￿ement of Finan¢ial A¢tivilies once lh¢ ¢FLarity has entl￿emenT io the funds, it
i$ probable that the income will b¢ rx¢iv¢d and the amount caTh be reliably.
Expenditure
Liabilities are recognised as exprnditure as som as there is a legal or constructive obligation committing ihe
¢haTiry to that expenditujr, It is probable tbat a transfer of ￿noMiC benefit5 will b¢ r¢qLLired in settlement and
the amcALnt of ihe obli8ation can be measured reliably. EXpenth.￿re is accounted for on an accruals b&sis and has
been cl&s5ificd under headings that a8gre8atc CO￿ related to the category. Wherc costs Car￿01 Fx diredly
attributed to particular headings thry have bccn ailocatrAI to activitie5 on a basi5 COASiStent with the use of
resources.
T*ngible r￿ed *s5ets
No depreciation has becn charged on thc chariws properti4 bccause in thc opinion of the trustees the astim*ed
rc5idual value of the propcrtles Is in cxccss tsf the carrying amounts in the financial statements. Depreciation is
provided on other fixed &$￿ts evenly ovu thc rernaining period of the Ic&%c if appropriatc or otherwi5c at 330/0
on cost basis.
Taxation
Thc charity is exempt from crry>raticffl ￿ on its Ctlaritablc actiwtic5.
Fund act0￿￿tIng
Unrc5tricted funds can bc used in xcordancc with the charttablc objcetives at thc discrction of the trusleG%.
Rcstricled funds can only bc used for particular re￿ricted pUr￿￿S within the objttts of the charity.
Restrictions arise when specifled by the dcw orwhcn fitnds are raised for particular restricted Purposes.
Further explanation of the natute and purwse of eath fund is included in the note5 to the financial statements.
P£nsioD costs aDd other post-rdiremeDt benefits
The charitable company 0￿rateS a defined contributicffl p¢nsJon sch¢m< G)nttibutions payable to the
charitable companvs pensioo s¢h¢m¢ are charged to the Sw¢ment of Financial Activities in th¢ p¢riod to which
they r¢l•¢.
Hire pw<ha$e and leasing eoJDmittheDts
Rentals paid under operdting leases arc charged to ihc Statcmajt of Financial Activitics on a stTaight line ￿$1$
over the Period of the It￿.
Page17
continued...

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED
Notes to the Financial Statements - eontinued
for tbe year ended 31st Mareh 2023
DONATIONS AND LEGACIES
2023
2022
Donations
Grants
89,018
74.012
105 012
Grants rt¢eived. in¢luded in the atKJv4 are as follows..
2023
2022
Wellbeing gardens
Lloyds- LBF Foundation
M&S- The N¢igiM)urly Foundation
5,1100
27,750
6,0(K)
25,0(X)
(YriiER TRADING ACTivmES
2023
2022
Coun5elling
Comrni5sionittg
Mellt￿ health training
Other income
Supported h￿sin8
6,756
394,711
29.975
1,758
346
37,498
193,320
25,798
150
308 305
565 071
INVESTMENT INCOME
2023
2022
Dcposit a¢couTht intcre&t
324
16
Pag¢18
continuoj...

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED
Notes to the Financial Statements - Continued
for the year ended 31st March 2023
Rgi5iDg don*tioThs And le¥*cles
2023
2022
Sthff costs
Dirertly charitable
49,634
26,240
CHARTfABLE Acr1vr￿S COSTS
Support
co4s (see
noie 7)
th.re
Costs
Totals
Supported Housing
Counsellitig
Mental Heal¢h Training
Commissioning
94.003
358.606
13.013
25.506
397 528
13,013
25566
140 125
suppowr COSTS
sUp￿rt
Staff corts
Rent
Professional fe£¥
Light and heat
Other citrsfs
103,543
JS,IllXI
26,078
18,453
234 728
NET ￿¥cOMFj(EXPE￿DrnJRZ
Net incomel(expemditure) is stated after charginpJlcreditiDg)."
2023
2022
D¢preciaiion- owned
Other operahng leav
Independent examinaiion
005
6J,5fj0
51.930
Page 19
continued...

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED
Notes to the Financial Statements - contiDued
for the year ended 31st March 2023
TRUSTEES. REl￿ER￿lI0N AIYD BENEFrrs
There were no tnLStees' rcmunemion ry other b¢t)efits for th¢ year ended 3 1st March 2023 nor for the year
ended 31st March 2022.
Tru$tee$' expens
There were no trusted expenses paid for the year ended 31stMarch 2023 nor for the year endcd
31st March 2022.
io.
STAFF COSTS
2023
2022
Wages and salari¢s
Social security Costs
Other pension cO￿S
soi.oio
36,(￿)7
344.667
26.860
379851
During the year there were redundancy payments iotalling £nil {2022: £12.011).
The averaEe monihly numbu of empli)yets during the year was as follows:
2023
2022
Admirtistraiion
Directly ¢haTitable
Fundraising
20
15
2S
20
No employees rrxeived ¢rnolum¢ots in excess of ￿.(K￿).
11. COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted Restricted
fund
futld
Total
funds
INCOME AND ENDOWMENfs FROM
Donations and legacie5
97,112
105,012
Other trading activities
Investment income
354,￿7
16
210,164
565,071
16
Total
452.035
EXPENDITURE ON
Raising ￿ndS
35.781
35,781
Cb8rit*ble attivities
Supported H￿j$1￿8
Counselling
214.542
16.926
214,542
33,769
16.843
Page 20
continued...

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED
Notes to the Financial Statements - continued
for the year ended 31st Mareh 2023
ii.
COMPARATIVFS FOR THE STATEMENT OF FINAI¥CIAL AcrtVTfILs- continued
Unrcstriaed
Re5trietcd
fund
fut
Total
nds
Mental Health Training
Commissioning
18,661
18,661
255 279
Tot
558 032
NET INCOMEI{EXPENDITURE}
117.796
(5,729)
112,067
RECONCILIATION OF FUNDS
Total funds brought forward
491,954
13,630
505,584
TOTAL FUNDS CARIUED FORWARD
617651
12.
TANGIBL£ FIXED ASSETS
Fixtures
Frcthold
Plant and
machincry
Icathld
fittiTh8S
Totals
COST
At 1st April 2022
Additions
9SJiS
773,033
446,147
lJ14,49S
At 31st March 2023
446
DEPR£CIATION
At Ig April 2022
Charge foryear
446.147
446,147
005
At 3 ist March 2023
05
Nrr BOOK VALUE
At 31st March 2023
871
At 31st March 2022
95.315
773.033
Property hls been recognised at a total Und￿reciated com of £868348. These properties wtte fornially valu¢d
in JwL¢ 2017 and tbeir opth rnarket valu¢ &5se&s¢d &s £l.063.5c￿. Tlw¢ has been no subsequent valuation.
Page 21
continued...

SOUTH EAST AYL D CENfRAL ESSEX MIIYD
LIMITED
Notes to the Financial Statements - continued
for the year ended 31st Marcb 2023
13. DEBTORS: AMoiJNfs FALLING DUE WIThIN ONE YEAR
2023
2022
Trade debiors
Pr¢paymenis and accru¢d income
47,924
13
14,925
14. CBEDITORS: AM015Nfs FALLING DUE WTTHIN ONE YEAR
2023
2022
Bank loarts and overthafts (see tt￿e 16)
Trade ¢reditOTS
Other creditors
Ac¢Nals and deferred income
27.524
2.269
937
43.504
18.044
1,284
33
15. CREDrroRS: AMouKfs FALLING DUE AFfER MORE THAN ONE YEAR
2023
2022
Bank loans (se¢ not¢ 16)
439 474
i&
LOANS
An a]￿y51S of the tnatijrity of10gns is given below:
2023
2022
Amounts falling due within one yearijn demand:
Bank loans
27
Amounts falling betwe¢n oneand two y¢ar¥.
Bank103ns- 1.2 years
29
Amounts falling due Ixtwttn hvo and five ytar5:
Bank loans. 2.5 years
105 110
145 205
Amounts falling due in more than five years..
Repayable by instslments..
B2t)k loans rnore 5 yr by itLStal
304555
269,881
Page 22
¢ontinue(L..

SOUTH EAST AND CEiYfRAL ESSEX MIND
LIMITED
Notes to tbe Financial Statements - Continued
for the year ended 31st March 2023
17.
LEASING AGREEMENTS
Minimum le&se payments under non-cancellable (W&irtg leases fall duc as follows:
2023
2022
Within one ycar
Bctwccn one and fLVe years
52,120
18.
SECURED DEBTS
The followin8 secured debts are included within creditors:
2023
2022
Bank loans
503 727
In suptA)rt of ihe charity's loans. the charitys bankers hold fir# lega] ¢hargLq over the properties to which they
relate
19. MOVEMENT IN FUNDS
movement
in fvnds
At
31.3.23
At 1.422
Unrestrlcted fund5
Generdl fund
1509,751
61,945
671,696
Restrided funds
R￿triCted Funds
(9,116)
(1,216)
670 480
N¢t movmeni in fiLnd5. included in the al))ve are as follow5:
In¢oming
Resources Mov¢ment
rcsour¢¢s expended
in fijnds
Unr¢stri¢ted fmds
General fund
{444
61,945
Restrirted fulld5
R&%tricted FutMIs
396J12
14(15.428)
(9,110
TOTAL FUNDS
Page 23
¢ontlDved..

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED
Notes to the Financial Statements - continued
for*he year ended 31st March 2023
19.
MOVEMENT IN FUNDS. continlled
Comp*r8tive5 for mrJv¢ment ID funds
N¢t
movement
in funds
At
31.3.22
Ai 1.4.21
UJwe$tri¢ted fun
General futtd
491,954
117,797
609,751
Re5trieted fund$
Restriaed Funds
13.630
(5.730)
7.91x1
TOTAL FUNDS
617651
Comparative net movement in funds, in¢ludgJ in the fJ)ove are as follows:
Incoming
R￿oUrteS Movemeni
in funds
Unrestrlrted funds
Generat fund
452,035
(334.238)
117.797
Resttlcted fuods
Restriaed Funds
218.W
(223,794)
(5,730)
TOTAL FUNDS
670.￿)9
558 032
112067
A current y¢ax 12 months and PTioryear 12 months combintd position is as follows".
Net
movemeDt
in fi￿dS
At
31.3.23
At 1.4.21
Unrestricted fuDds
Ge¥¢¢raJ fund
491SI54
179.742
671,696
Rutricted fwids
RestTi¢i¢d Fund5
13,630
(14.846)
(1,216)
TOTAL FUNDS
505.584
164896
670 480
Page 24
¢ontinua...

SOUTH EAST AND CEiYfRAL ESSEX MIND
LIMITED
Notes to the Financial Statements - continued
for the year ended 31st March 2023
A9.
MOVEMENf Iiy FUNDS- ¢ontinxed
A ¢urrenl year 12 months and prior ytar 12 months tombined net movcrncnt in fiLnd5, included in thc above ar¢
as follows:
Incoming
Resources
Movemenl
in fijnds
Unre$triettd fwids
General fund
958,346
(778,604)
179,742
Restrieted fv￿￿$
Restricted Fund5
614.376
(629,222)
(14,846)
TOTAL FUNDS
1572 722
(1407 826
RELATED PARTY DISCLOSURES
During the year ended 31 March 2023 the ¢harity'S tLts] remuner*ion io kry management persortd amounted i
£41,000 (2022: £41.(KJO).
One employee is ielated to a TnJ#ee. This Tnslee plays no part in the management tsr decision making in
respect of Iha"r rel￿1ve$, area of rewstbiliry. This TNstee has wbsequently reSI￿d by rotstion after the
balance she• dale.
On the payment of an annual levy to N*ional Mind the charhty will remain affiliated and can particip￿¢ in ihe
affairs of N￿lo￿al Mind to such a degree and through such represenwion Ihat may be detern)ined by this ¢harity
and the National Mind. The Ch￿lty is guided by both I￿[ and national policy athd ￿T￿egY where ihis is
complernen￿ry io our objectives. Equally we will particiNe in joint workiDg with other nation￿ and loca]
OTganisaiions, swh as Nationaj Mind in th¢ ¢ff¢rtive pursuii of our obje¢tiv¢5.
During the year the charity received ￿￿ntIng services from Barrons, a fimi in which one of the T￿￿te4 Mr
G J Raven. is able to exercise signiflcant influence amtyjnting ￿ £14.172 {2022= £nil). It is thought that the fair
value of such trartsactions were they undertaken by an independ￿1 third-party would be between £20,IXM)
(2022'.£nil) and £22,500 (2022..£nil).
The¥e were no ￿h¢r T¢lattd party transactions for the year{2022.. £nil).
Page 25
continued...

SOUTH EAST AND CENTRAL ESSEX MIND
LIMITED
Notes to the Fillancial St2tements - continued
for the year ellded 31st March 2023
21.
PENSION COMMITME
The charity opeTa¢¢s a d¢find contribution pension the in respe¢L of its ¢mploye¢s. During the year
contributions to the scheme amounted ro £1 1,663 (2022.. 8.324) and there were liabilitL¢S Outslanding at ihe
Balan¢e Sheet date lot￿ling £2.680 (2022.. £1,284).
Page 26