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2023-03-31-accounts

K A G A D V O C A C Y CIO

FINANCIAL STATEMENTS

YEAR ENDED 31 MARCH 2023

CHARITY NUMBER 1154696

Sloane Winckless & Co Ltd

Chartered Accountants

2 - 4 Stoneleigh Park Road Epsom Surrey KT19 0QT

KAG ADVOCACY CIO

DIRECTORS’ ANNUAL REPORT – Year ended 31 March 2023

The trustees are pleased topresent their report with the financial statements of the charity for the year ended 31 March 2023. The trustees have adopted the provisions of Accounting and Reporting by Charities: Statement of Recommended Practice 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 2015).

Legal and Administrative Details

Status Charitable Incorporated Organisation (CIO) registered November 2013
Charity Number 1154696
Principal Address Canbury Works
Units 6+7 Canbury Business Park
Elm Crescent
Kingston upon Thames
KT2 6HU
Directors RF ‘Jim’ Green Chair
John Hallett Treasurer
Kathy Gardner-Brown
Anne Taylor
Helen Clarke MBE
Mike Todd
Elangco Balendra
Naim Salam
Arinola Ologunleko
Bankers The Royal Bank of Scotland
Richmond branch
23A, The Quadrant
Richmond upon Thames
TW9 1DF

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Accountants Sloane Winckless & Co Ltd Chartered Accountants, 2 - 4 Stoneleigh Park Road, Epsom, Surrey KT19 0QT

The Directors

The directors who served the charity during the year were as follows:-

RF ‘Jim’ Green Chair John Hallett Treasurer Kathy Gardner-Brown Helen Clarke MBE Anne Taylor Mike Todd Elangco Balendra Arinola Ologunleko Naim Salam

Structure, Governance, and Management

KAG Advocacy CIO (KAG) is governed by a management committee (the committee) comprised of Directors, who are also the Trustees. They are re- elected by rotation at the Annual General Meeting (AGM).

CEO Sue Boakes has day to day management of KAG and is involved and consulted on all aspects of KAG’s business, as are staff and volunteers.

Potential Directors are sought by open advertisement or by referral having regard to skills requirements for the committee. After initial meetings with the CEO, the Chair and the committee to discuss KAG’s activities new Directors are elected by the committee and must seek re-election at the following AGM.

Newly appointed Directors are supplied with induction materials including annual reports and accounts and the Charity Commission guidance on the role of the Trustee.

The management committee meets once every month as a full committee. In addition from time to time it establishes sub committees to look at specific issues – Quality, Personnel, Marketing, User involvement and Branding.

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Objects and Activities

The objects of KAG are to promote, protect and uphold the rights and interests of vulnerable individuals. KAG operates from its office in Kingston upon Thames to provide a range of advocacy services in response to various needs. This office also provides the management and administration for KAG and these core costs are funded by management fees from the various projects.

Achievements and Performance

KAG continued to deliver a range of different advocacy services to vulnerable individuals in its catchment area. This was funded by service level agreements.

The services included:

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KAG also delivered the following projects which were funded by grant making charities.

Other Income Sources

As an accredited training and assessment centre for the National Advocacy Qualification and the Prince’s Trust Qualification, KAG performed these services for other service providers on a fee-paying basis.

KAG has also been part of the Government’s Kickstart scheme where KAG has been funded by the Government to employ young people for six months.

Human Resources

In total KAG employed 11 staff, some on a part time basis. All staff were managed by the CEO with the support of the Management Committee. Staff meetings were held at regular intervals and staff members were encouraged to participate fully in the business of KAG.

Volunteers

Key to KAG’s continued success was the involvement of volunteers in all aspects of its business. During the year about 12 volunteers worked with KAG principally involved in providing Citizen Advocacy, Befriending and the Appropriate Adult Service.

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Interns

During the year KAG has provided 9 interns from Kingston University and Royal Holloway University each with a 50 hour placement principally working on advocacy and Appropriate Adult services.

Financial Review

The details are set out in the attached Financial Statements.

Reserve Policy

In the past we had maintained Reserves at a level of approximately 4 months of running costs. However, since 2017/18, in which we have experienced the effects of the expiry and non-renewal of our major contract with Surrey County Council and subsequently the contract with the Royal Borough of Kingston upon Thames, the brought forward reserves have been largely extinguished in managing the transition to our reduced scale of operations. We intend to re-build our reserves to the level of 4 months running costs over the coming years.

Risk Management

The Management Committee and the CEO continue to review the risks to which KAG may be exposed. They implement measures and establish systems to mitigate the effect of those risks where appropriate and this includes reducing overheads.

Future Plans

KAG is looking to extend partnership working to deliver services.

KAG is looking to extend the support and services that it can offer vulnerable people and to seek the associated funding.

KAG is looking to extend advocacy provision beyond its current operational geographic areas.

KAG is looking to develop management systems for full cost recovery.

We continue to proactively seek out new funding opportunities to meet identified but unmet needs. New legislation offers opportunities to expand our capabilities and to be awarded new funding.

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Statement of Director’s Responsibilities

The Directors are responsible for preparing the Report of the Trustees and the financial statements in accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practice). The law applicable to charities in England and Wales, the Charities Act 2011, Charity (Accounts and Reports) Regulations 2008 and the provisions of the trust deed requires the trustees to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity and of the incoming resources and application of resources, including the income and expenditure, of the charity for that period. In preparing those financial statements, the trustees are required to select suitable accounting policies and then apply them consistently; observe the methods and principles in the Charity SORP; make judgements and estimates that are reasonable and prudent; state whether applicable accounting standards have been followed, subject to any material departures disclosed and explained in the financial statements; prepare the financial statements on the ongoing concern basis unless it is inappropriate to presume that the charity will continue in business.

The Directors are responsible for keeping proper accounting records, which disclose with reasonable accuracy at any time, the financial position of the charity at that time and to enable the Directors to ensure that any statement of accounts prepared by them complies with the Charities Act 2011, the Charity (Accounts and Reports) Regulations 2008 and the provisions of the trust deed. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities. The directors are responsible for the maintenance and integrity of the charity and financial information included on the charity’s website. Legislation in the United Kingdom governing the preparation and dissemination of the financial statements may differ from legislation in other jurisdictions.

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DIRE￿ORs ANNUAL REPORT for year eAde4131 M*r¢h 2023 Approved by tIK Dir¢¢torg ( And si8MI on th¢ir b&￿Ir by

4G ADI"OCACY CIO OF FESL)CL4L ACT]ITtIES FOR THE IE4RLNI)ED 3151 IL4RCH 2023 1.4RCH 2023 MARCH 2022 Restricttd Inrestrieted Total Funds fwids Total Fund ind EndfriYmeAIS tDcome from Chantable acti3￿5 Other tr￿1￿8 actiiitie5 tncome from Ini"estments Donaboas attd Leg•ues 34.948 134.867 109Jl5 126.469 3.747 3,747 2.559 34J48 138J14 173362 129.028 Expendltsr¢ ExpenthtUTe on funds Futtdr&sll￿ tradmg 13.695 13095 10.275 Expenthture on Cbarrtable etii"itsti 34.948 123.000 1573148 129.042 34948 130,695 171,643 139 317 tt itttomel{expeDdiluT*) 1919 1919 (10289) Transfers Tran$f¢rs betwee• fund¥ 1.919 1919 (IOJ89) Total hnds bTvDsht fonrard (20.534) J34) (10245)

Total carried forward (18hlS) (18.014) (20.534) p4pg io

IC, ADI(￿￿Cl CIO IIALA.%CE 5HLLT Ali AT 315T IIAKCH 2023 MARCH Iiry J T￿#1 F¥nth YARCH Tro! I Funds Flied Aw1% C •rrewJi AMrt l)¢hon 10 11215 Tmal C¥rrtNI 11213 I'r%￿1[￿rS'. 4mowns t￿lin¥ d on¢ !e•r J&774 Jl.750 ti C ¥rr•t Axvi% Toi#l Asmts Ll•bJllil# L￿fIlled l¥rMIs 1,'nr¢￿f￿ incM luThJs ij 120.J34 To¢•1 and sisrtd lis behlf b) C hilrm Jah• HJbJkni Tre*urtr li

KAG ADI"OCACY CIO OTES TO THE .4CCOIThTS FOR THE LNTIED 31ST IL4RCH 2023 4) The financ￿1 5tste0￿fjts of the chanti.. a public i%nefit entiti" Dode¥ FRS 102, haiy been preparr in accordaace Cluritiex SORP (FRS L021'Accoun1￿ and ReportmE bs. Churtiej: Statement of Rec¢Jmmended PraCt￿e ipptscable to rthatities prepanug the￿ accounts ￿ accorda￿ I￿￿the Fitt￿￿1 Re￿1]￿8 Stkntsd applitablt iti thé and Rybknc of ￿tIlld (FRS 1021 {efftC￿.è l Jtttsy 2015),, Ftttattcial Reportth8 Stattdard 102 The Fitiatictaj Rep)rtth8 Stsndard appJabJe th the attd Republic of trelattd IFRS 10:) {effects"i'e l Januuv ?OJ 5)., atsd the CbarTtsts Aet 2011.The sthtemettt$ bait beett prepared uoder the btstoncal eost cooi.ettt1￿ These statemeats baiy beea Prepued m bale beeosYep4red comPl￿nce yryth SOR￿ (FRS 102) alld the fioaDcul appl￿ble wthe Rybknc of Irela￿J. b) Ba￿$ of b) Basis of acCo￿￿llg locome and expellditure are ￿e0￿ted for on ￿ a¢(￿j￿h balii. cluded th full th the Stateiiient of Ftsuttcthl rttenyd. Gr4nts are included ill iu the St•tellMt of Fwocial Acts"iities for the Y￿10 thry •ppty. cl Fixed A¥sets are for the wle u¥e of the chanty w ffiJlfilkn8 th objectsi'es are capta1￿ed •Dd depreciated. DeprecitsoD XJ pr011ded to Thyrte off the cost of exh ast oiyr ts eJtllDated usehsl ￿fe, Iilllch eomputrr EquLpmellt LS three veari aLd fii"e )eats. The cost of thesé asséts ts trI￿ferred to a Jpecific reStr￿ted for¥J d) loluateu Irlp a￿1 8ths in kubl The of i"oluttt*ry hélp gdls reeeiitd JJ ttct the Accoltt￿ ts d￿ribed io the repwt of the tru￿¢¢¥. £harits"'i actsilltitt aod ￿ complullce c￿ti￿jt￿T￿l and ststutoTr reqoirements. 12

fj Fund acc¢JmtsDg Uttre¥trided Fwth.The¥t •re in¢ome re¢eitwJ fo¥ th¢ obJ"e¢ts of the • 4)eufi¢ pwpo5e PtepoT41ion of financ￿1 st•teThents 2 Tn￿t￿¢s. remuneratloo 3 Ineomè from Charitablè adiiitfiès Rtstrkt 2022 Tot T%)t41 Colltr•¢tsJAI pa)Inents *lld sruts 34948 134.867 169115 120.469 34948 134,867 J69JiS 116,469 13

4G ADI"OCACY CIO YOTES TO THE.4CCOLThIS FOR THE IE4RLNT)ED JIST IL4RCH 2011 5 Donations and ￿leS 2023 Totsl Totsl Do•atsJn5 aThd Lrya(¥u 3.747 4747 ¥59 Totsl 3,747 3,747 1559 6 ExptNdlt#rt M Ri¥t•t fu Rsttkthd ds T•tal T•tAI 13. 10275 Tothl 13.fj95 iJJ95 10275 ExpeDthure oll ChaTftable acthles Reltrkted Lrntrkted f•d• 2023 Totsl 2022 Total 31196 1.103 19 144JQ7 UWJ 19J 117,286 9,400 146 9.92J 174 Telephott olUllts￿ Expe￿3 Expenjes cl￿ Trni'elJill8 & other Fees, Contrrf Publ.&Adi'. Ga4 He4 9J6 7,r14 JJ7J 777 Ji? 6￿1 2,856 6,771 1,138 612 952 Offi¢e Con>pwer EX￿¥$ 71 203 643 1.831 752 7fOJ 714 Baok Chu8 r￿Ur￿￿e 1397 835 720 Lew.'IO % corof8ewkn8 mcome (13.695) (13195) (102751 Totsl 34.948 123.000 157948 1Tr9.042 14

KAG ADI"OCACY CIO OTES TO THE ACCOLThTS FOR THE IE4R LNT)ED 31ST JL4RCH 2023 8 Movement in Fwxd Balances brnught fon¥ard Fund BalaDees ¢•rried fonyard Fwids Ullrestriaed Fwts {20.534) 138,614 136,695 {1161 lie3tricted FuDds 34.948 Total Ftso eOJ341 17336? 171h4J {Iyis) l T*ll￿bIe Flxed.155ets Offi¢e Cost C•mptAter T•t•l At l Apnl 2022 Additioos Disposals At 31 Nlarch 2023 IU93 7.178 19,771 12J93 7.178 19,771 Depreeiatio At 1 .4pnl 2022 Chuge for the year 11593 7.177 19.770 At 31st M•r¢h 2023 12.593 7.177 19.770 et book i.alue At 31 MARCH 2022 At 31 MARCH 2023 10 Debtors ry022 16.158 15

IL4G ADI:OCACY CIO OTES TO THE .4CCOLThTh FOR THE IE4R L)WED 31ST )L4KCH 2023 11 Creditors- (Amounts hlbmg due within one Tear) 2022 Other Creth"tOfS Baok Ob"erdTaft 4.835 26915 ,774 31,750 12 Tax•tkni Thè thnf•bl¢ ¢omp•tty is exempt from corFY•tsoa its ¢ts•nubk •¢ts"iti. 13 Fvidl nrestrirted funds compn¥e¥ tkn¥e s￿l¢b the trtsstee¥ t free to u¥e iti ￿t0[d￿te Mth the tlwitsble obJe¢ti. RestTkted fllThds e kn"t be¢0 for Fwposes projttts. l4 Eqllal Opportllthltl 4G Adi"ou¢v CIO is to oD￿￿t￿. IS kn<r•Mb¢.4ah'sh 2W 2tr22 Ath"nin8 for Cllllthen (Afc) A8e Concern C]￿lTe Arnold Clarke Blath￿ll For￿ Covttc Bnstol CC CAF Grnnt C￿llEnd8e Hou¥e & Tthcé C￿End8t R￿d Central and NoTtrL IAest Loadon NHS Trust (Hort Coi"id 19 Response Cfoii'dh￿d1llg 5979 61 158 6.755 18 5J21 2J04 16JlO 18 J46 9.095 2J12 494 2918 Dorset County Coun¢d EaJt Su5seJ£ Countt. C¢)u￿1] ESFA Appreotsce SI￿t Hampshire Couoty" Couwi HMTCS 250 230 26,104 17.102 1,082 16

Hmrcs 1,082 Kiogston Chan"table Fuods KIA Grants L B Croidon L B Ealin8 L B Hounslow 1250 134 8524 5.7C 3.688 639 8.897 1.745 3,799 L B Thlerton L B L B Sutton L B Tower H4mltts L B Tr'altham Forest 291 551 516 79) 614 818 LacesttT Ctty" Council London Learning'ESF Lcodon Lew knkswt ational Schuophrenia orfoIk County Coulle P¢Jrtsmouth City Coullcd 2350 Q.730) 11.eO2 420 11 11.618 85 510 Royal BoTOts8b of Kenwon & Chels Rm'al Bofoulb of Kthgston Upon Thames 4)(￿? 24.737 70 5914 ROY￿ Star & Garter Solace ￿'0￿ell (Lab)"rinth) Someryet Count)" Counal Southampton City Counc S¢)uthend Boreugh Couttc Sta)Nell Sundnr Trainio 'oiceabJtsty Cheshre West rakelum Tnut 3.fA15 280 731 1.495 27 1250 1.650 2J28 035 250 ralsin8bam Cue re￿ Sus*x Coullty Couttc 'estminMer CID. Council 6.667 1.957 14.475 169.8lJ 3.173 8.592 17

K4G.4DI"OCACY CIO NOTES TO THE.4CCOLThIS FOR THE I'E.4R ￿￿￿ED 31$1 %L4RCH 21)23 16 Emplovet Resonrtes The total Temuneration wid as follo￿:. 2023 2022 Sakn"es and Sctial securits. costs Peosioa Contnbutwns 14ry.750 111,663 5,077 546 117286 776 144J07 No emplovees receired emoh￿ettts of more tlun £60,(th. The th￿1). ¢)perate5 a ￿akeholderS pension Scheme makes eotttiibuts.otss io Kheme. 18

W¢ on ihe finonLial statem¢thts for Ihe y¢or 31 M￿h 2023 which Set oyi on pap sixleen whiih ￿¥¢ b¢¢n Prep[￿ urmlu the hirfwi￿l ¢oJl conv•niion. I'h¢ ¢harity's Tni%ieeJ Are Ir5w)nsibk fi)1 thr pr¢p•rati(￿ ofih ￿cOUnts. The Ch￿ty.1 Trustees ¢on5ider that 4 ludil i¥ not r¢quir¢d for this year ILLnder s￿11(￿ 144:)of the Lhwiii¢$ Aci 2011 (the 2011 A¢tll and th￿ In Ind¢￿ident exominalion 15 needed. It 15 my r¢sp)n$ibility to... Exarnine th¢ {wthr Srfmion 145 of ilw 2011 A¢tk' To fc)Ilow Ihr l#id down in Get)ernl Directiom given by th¢ Churity Commiiiion¢rg luthjer 'lion 145151 ofih¢ 2011 Acii., •nd 1.0 51ate wheiher Pffiicuknr mon¢rs h•ve eixne io my all￿11￿. M>. ¢xamiiialiLin ¢Arricd oul iii wilh the G¢n¢rnl DIrnYti￿$ giverb by th¢ Charity Commi5510ners. An exaniinthiii)n includes a r¢vt¢w (Trf Ihg xwJniin8 ft¢ord5 ke0 by the ¢htrity And a comparison of the account5 pr¢Y¢nI￿ wilh Ihos¢ rrcords. It also con$ideraibM of any unusual items or disclo$uTes in ih¢ a¢¢oun15. and 5eekin8 explAnalions from Ihe TNslees con¢¢rnin8 ny s￿h mallers. The wrK¢dwe5 und¢n•k¢n do iiot provid¢ Ill the eviden¢¢ ihai w(MJld be rtquirtd in an awjit art w)$¢9￿￿tly. no opinion is given ￿ io wh¢th¢Y the •c¢oun prnaent 4 trne ind view and th¢ 15 limited to mAtterJ oui in the st•tem¢Thi below. In lonn￿tIv￿ Wbth my ¢XAmin41lo￿ ￿ ￿￿tter hLq c(th¢ to my ittention:. which 8iw¢8 m¢ rcasonoble ¢aus¢ io ￿lIeve that. in any m•ieri•l wrlpect. r¢quiT¢menls:. IA) lo k¢ep accwniing in accLYd•rKe wtih s￿￿)rt l JO ofih¢ 2011 Ael; and Ibl to prepare ¥Wllllls which xc(Ird with the countin8 records wmply with the xcounlini f¢qUI￿.￿eni5 of the ?01 I AEI have nLA ￿en rn¢i.' 10 which. in my opinion. attention glwxld b¢ drnwn in ordwto•n&ble * pry UNI¢￿1￿8 orth¢ I￿ount1 to ￿aChed. IOL3 24 Ston¢l¢igh Park Ro Epsom Surrey KT19 (QT SLOANE WINCKLESS & CO ChafftrEd Account￿1$ 19

10 Debtors 21fJ 2022 Prepamnents and Accrued Ittcome 16.158 20