Trustees. Annual Report for the period Period start date Peri(xJ end dale From Charity name Slandeasy Military Support Other names charity is known by Sland Easy Registorod charity number lif any) 1161089 Charity's principal address Elements of Health 64 Bethel Street Nomich Poslcode NR2 1NR Names of the ¢harity trustees who manage the charity Dates aded if not for whol8 ear Trustee name Office lif any Name of p8rson lor body) entitled oint trustee if ar? David Laws Chair Darren Edwards Keith Bendell Treasurer 10 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
Names and addresses of advisers (Optional information) e of adviser Name Address Name of chief executive or names of senior staff members (Optional Infomiatlon) Description of the charity's trusts Constitution Type of governing document How the charity is constituted Charitable Incorporated Organisalion Trustee selection methods Appointed by Trustees Additional governance issues (Optional information) You may choose to include additional information, where relevant, about= policies and procedures adopted for the induction and training of trustees., the charity's organisational structure and any wider nelwork with which the charity works., relationship with any related parties,. trustees, consideration of major risks and the system and procedures to manage them. A fully detailed safeguarding policy was adopted some years ago and remains in place. TAR March 2012
Summary of the objects of the charity set out in its governing do¢ument The advancement of health for the public benefit of serving members of the armed forS, veterans and their families who are suffering from the effects of post traumatic stress syndrome {"ptss") in particular but not exclusively by. the provision of acupuncture, physiotherapy, psychotherapy, massage and counselling- And raising awareness of ptss by the giving of talks and lectures. Summary ofthe main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charlty Commission on public benefit) The charity has continued to operate very much for the public benefit through the ongoing treatment of military veterans requiring the benefit of the unique treatment for their PTSD as offered by the charity. We use a before and after scoring system to acertain the effectiveness of treatment the results give an average symptom score before treatment of 25 and an after treatment score of 11, reflecting an average improvement of at least 560/0. Stand Easy is also reaching out to other military organisations so as to share the benefits of treatment with as many veterans as possible Addrtional details of objectives and activities (Optional inforniation) TAR Mar¢h 2012
You may choose lo include further statements, where relevant, about: policy on grantmaking., policy programme related investment. contribution made by volunteers. TAR March 2012
Summary of the main achievements of the charity during the year During the course of this last accounting year. Stand Easy has continued to meet and treat veterans and military personnel suffering from PTSD & trauma. We have seen just under one hundred new veterans as well as continuing to provide support and treatment to those already known to us. We continue to build relationships with other charities supporting the military community which has lead to successful bids for funding, enabling us to carry on with our important work and plan new projects., In planning activities for the year we keep in mind the Charity Commissions guidance on public benefit at our Trustee Meetings. TAR Mah 2012
Currently we do not hold reserves as our funding condilions are for funding to be used for the treatment of Veterans. Brlef statement of the charity's policy on reserves Details of any funds materially in deficit Further financial review details (Optional information} You may choose to include additional information, where relevant about.. the charity's principal sources of funds (including any fundraisingl., how expenditure has supported the key objectives of the charity., investment policy and objectives including any ethical investment policy adopted. The trustees declare that they have approved the trustees. report above. Signed on behalf of the charity's trustees Slgnature(s> Full namels) Position (eg Secretary, Chair, etc) DAVID ALAN LAWS Chair Date 30 January 2025 TAR M8rch 2012
CHAR!TY COMMISSIONFOR ENGLAND AND WALE؛StandEasy |
CHAR!TY COMMISSIONFOR ENGLAND AND WALE؛StandEasy |
CHAR!TY COMMISSIONFOR ENGLAND AND WALE؛StandEasy |
CHAR!TY COMMISSIONFOR ENGLAND AND WALE؛StandEasy |
CHAR!TY COMMISSIONFOR ENGLAND AND WALE؛StandEasy |
Military |
Military |
Support |
1161089 |
||
|---|---|---|---|---|---|---|---|---|---|---|
Receipts and payments accounts |
CC16a |
|||||||||
For the periodfrom |
01.04.2023 |
To |
31.03.2024 |
|||||||
Section A |
Receipts |
and |
payments |
|||||||
Unrestrictedfunds |
Restrictedfunds |
Endowmentfrjnds |
Total funds |
Last year |
||||||
to the nearest |
to the nearest £ |
to the nearest £ |
to the nearest £ |
to the nearest |
||||||
A1 Receipts |
||||||||||
Donations |
1.360 |
1,360 |
4,138 |
|||||||
Grants |
19.450 |
19.450 |
28,562 |
|||||||
Other |
100 |
|||||||||
Large donations |
||||||||||
Sub total (Gross income forAR) |
20,810 |
20.810 |
32,800 |
|||||||
Α2 Asset and Investment sales, |
||||||||||
(see table). |
||||||||||
Sub total |
||||||||||
Total receipts |
20,810 |
20,810 |
32.800 |
|||||||
A3 Payments |
||||||||||
Subcontractor costs |
26,429 |
26,429 |
22,822 |
|||||||
Rent |
5,600 |
5,600 |
5,100 |
|||||||
Bank charges |
66 |
66 |
82 |
|||||||
Printing |
92 |
|||||||||
Sfattone^ |
62 |
62 |
5 |
|||||||
Repairs and renewals |
||||||||||
Advertising and promoton |
537 |
537 |
128 |
|||||||
Postage |
78 |
78 |
58 |
|||||||
Office costs |
193 |
193 |
452 |
|||||||
Web hœting |
232 |
232 |
105 |
|||||||
Ассотт^айот and meals |
127 |
127 |
307 |
|||||||
Accountancy and legal fees |
803 |
803 |
3.273 |
|||||||
Insurance |
146 |
146 |
186 |
|||||||
Bad debts |
||||||||||
Sundries |
228 |
228 |
487 |
|||||||
Sub total |
34,500 |
# |
Μ.500 |
33,096 |
||||||
A4 Asset and investment |
||||||||||
purchases, (see table) |
||||||||||
Computer equipment |
||||||||||
Sub total |
||||||||||
Total payments |
,500 |
34,500 |
33,096 |
|||||||
Net ofreceiptsĄpayments) |
13,690 |
13,690 |
296 |
|||||||
Α5 Transfere beleen |
funds |
|||||||||
А6 Cash funds |
last year end |
18,718 |
18,718 |
19,014 |
||||||
Cash funds this |
year |
end |
5,028 |
5,028 |
18,718 |
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Keith Bendell 28/01/2025
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