Trustees, Annual Report for the period Period start date iuay oi Period end dale Monin 09 Year 2021 uay Monin Year 2022 From To 31 oe Section A Reference and administration details Charity name RED-AID Other names charity is known by NIA Registered charity number lif any) 1157908 Charity's principal address clo Redwood School Hudsons Walk Rochdale Postcode OL115EF Names of the charity trustees who manage the charity Dates aetèd if not for whole ear Trustee name Offica lif any) Name of person lor body) entitled toa oint trustee if an Patricia Alessandra Chair Michelle Ashcroft Secretary Carol Barnes Samantha Doggett Stacy Hennessy Clare John Peter Kiely Catherine Lloyd Victoria Murphy Michelle Rowell Vice Chair 10 Treasurer 12 13 14 15 16 17 18 19 20 Names of the trustees for the charity, if any, {for example, any custodian trustees) Name Dates acted if not for whole ear TAR March 2012
Nameg and addresses of advlsers Ioptlonal Infomiation e of advlser Name Address Name of chlef oxecuttve or names of senlor staff members (Optlonal Infomiatlonl Section B Structure, governance and management De8¢rlptlon of the charlty'8 tru8ts Constitution Type of goveming document How the charity is constituted cio Trustee Selection method8 Resolution through committee Addltlonal governance l••ugs Ioptlonal Inforniatlon Although REO-AID shares the Same postal address it is to be noted that REDWOOD SCHOOL and RED-AID (charity no 1157908) are two organisations independent of each other and have no control or govemance upon each other. You may choo4e to Include additional information, where relevant, aboLrt: policies and procedures adopted for the inductlon and training of trustees; the charlty's organisational structure and any wider network wlth which the charity works., relationshlp with any related partl88', trust••s' consideration of major risks and the system and procedures to manage them. Section C Ob ectives and activities To advance, enhance and promote the needs of chlldren and young people with Speclal Educational needs and their familles and carers in such ways as the charlty trustees thlnk flt. Summary of the objocts of th• charity set out in its governing document TAR March 2012
In planning our activities. the Trustees have given Careful Conslderation to the Charity Commission's general guidan on publiG benefrt and in particular to sts supplementary public benefit guidance. Throughout the 2021122 year the Charity has not raise money to make donations to the school and other individuals. Due to the after affeds of Covid have had no fundraising opportunities confirmed. Summary of the maln actlvltles undariaken for the publlc bftnofit Jn relatlon lo these objects (Include wlthln thls sectlon the statutory declaratlon that tru8tse8 hava had regard to the guldance 188uod by th• Charlty Commls8lon on publlc bonaflt) Addlllonal detall• of obJ•Gtlve¥ and actlvltle• (Optlonol Infomiatlon) Th8 Board consider applications requestlng a8SlStance I funding taklng into acAiunt ea¢h individual appliGation'$ ¢ompllan¢e with our constitullon objects,. cost of application against benefit to reciplent and the ability lo fund the application in full or part. In determinlng the suitability of an application consideratlon will 8180 be glven to the possibility of applying to other Charitie8 to fully or part fund the request or for it to be looked at as a project for targeted fundralslng activities. We will assess each Individual request so that every application Is treated equally, fairly and consistently to ensure the mo8t appropriate use of the charity's funds in accordance with our own constitution and the best practlce guidance of the Charity Commlsslon. You may choos• to include further s.tatemgnts, where relevant, about: policy on grantfflaking., policy programme related investment., contribution made by volunteers. TAR March 2012
Section D Achievements and performance Unfortunately due to the effects of Covid we have not been a position to organise or run any fund raising events in this financial year. The committee has recently met and recruiled new trustees and will be relaunching the charity with advertising and plannlng a relaunch event. Summary of the maln achlevements of the charfty durlng the year Awards made thls year were.. £180.00~ Young people's uniform £336.00- Contribution to RedY0d Prom. TAR March 2012
Section E Financial review We have decided not to have a policy on reserves at this time but will review each year and implement a policy when appropriate to do so. Brief statement of the charlty's poll¢y on resorves Details of any funds materlally In d8ficlt None Further flnanclal revlew details (Optional inforniation) Halloween I valentines dis¢os - These have been well reIVed over the years we have b8en organising them and provide parents I carers with a safe environment to socialise with others in a similar situation. This also provides support and reduces isolation whith 1$ often felt by these famllies. The events above have been successful in previous years and the twstees will be working towards organising these for the next academic year. You may choose to indude additional Information. where relevant about.. the charity's principal sources of funds (including any fundraising)- how expenditure has supported the key objectives of the charity: investment policy and objectives including any ethical investment policy adopted. Section F Other optional information Section G Declaration Tho trustees declare that they have approved the trustees, report above. Signed on behalf of the charlty's trustees Slgnature(8) PA&s£ Full name(s) Position (eg SeGretary. Chalr, etc) rici choLQ rrecxsoref. Date TAR Marth 2012
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Income
Unrestricted funds
Code Income £
Total 0.00
Restricted funds
Code Income £
Total 0.00
Overall Total Income
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Expenditure
Unrestricted funds
Code Expenditure £
The Crafty Teacher (Cash) Craven Tshirts 180.00
L82 Printing Leaver 2022 Hoodies (Cash) 336.00
Cash used 516.00
Total 516.00
Restricted funds
Ref. Expenditure £
Total
Overall Total Expenditure £516.00
Balance £12,006.50
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Balance c/f £12,006.50
Balance BF £12,006.50
Income £0.00
Balance £12,006.50
Cash spend £516.00
Balance CF £12,006.50
0.00
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Statement 42 £12,006.50