CHARI￿ REGISTrATION NUMBER: 1164806
Sensory People
Unaudited Accounts
31st March 2025
GRIFFITHS AND PEGG LIMITED
Chartered Accountants
3 Hagley Court South
Waterfront East
Level Street
Brierley Hill
West Midlands
DY5 1XE

Sensory People
Accounts
Year ended 31st March 2025
Pages
Trustees, annual report
1to3
Independent examineffs report to the trustees
Staternent of financial activities
Statement of financial position
Notes to the accounts
7t010
The following pages do not fomi part of the accounts
Detailed statement of financial activities
12

Page 1
Sensory People
Trustees. Annual Report
Year ondod 31st March 2025
Tre trustees present their report and the unaudited accounts of the charity for th6 year ended
31 st March 2025.
Reference and admlnlstrative detalls
Registored charlty name
Sensory People
Charity registratlon number
1164806
Prlncipal office
9 Ralhmore Close
Stourbridge
We51 Midlands
DY8 2RS
The trustees
Mrs M Rogerson
Mrs J Graing
Mrs J Corc¢wan
Mrs J High
Independent examlner
Mr A A B Grainger FCA of Grtfffths & Pegg Limited
3 Hagley Court S(MJth
Walerfronl East
Level Street
Brierfey Hill
West Midlands
DY5 1XE
Structurej govkrnance and management
Sensory PeO￿e was registered as a Charitable Incorporated Organisalion with the Charity
Commission on 1 Oth December 2015 operatsng under charity number 1164806.
Objectives and activstigs
The principal objects of the charity are the relief of n8e(l and the promoiion of health for wrsons
suffering from menlRI or physical illness. disability, learning disabllity or leaming difficulties, thoir
families. educators and carers by the provision of support, advice, educatlon. therapy, r￿reational and
other activities or approaches designed to promote their independence and Improve their corKlitions of
lrfe.

Page 2
Sensory People
Trustees. Annual Report (¢ontlnued)
Year ended 31st March 2025
Achlevemgnts and p¢rforman
SENSORY PEOPLE ISP) continues to go from strength to strength, both as a charity and in our ability
to deliver high-quality services lo children, young people and their families. Ou., therapy team
IO¢¢upalDnal Therapist8 and Speech.& Language The*pistsl are trained, or CUTrenUy training, in the
delivery of Ayres Senscry Integration Therapy. The Cool lQds Programme remains highly valued by
parents. Delivered by experienced coaches, the programme draws on com,bined theories Of Child
developrr.ent and sensory integration. Our lead coach, a prifflary school teacher with 30 years,
experien￿, joined SP three years ago, whil8 her colleague, a daice graduate, ha5 Work￿ with us for
five years, Together, they provKle a structured and engaging service.
Children attend with a wide range of diagnoses. induding Autism Spoctrum Disorder (ASDI, Attention
Deficit Hyperaclivity Disorder (ADHD), trauma-related challenges and genetically inherÉted eondits'ons.
Outcomes are unique to each child, refl￿tIng the nature and severity of their needs. Many children
remain w,th us for more than a year, typically beginning wtth Cod Kids before progressing to Sensory
Integration Therapy.
We are proud to regularly celebrate the positive outcomes aohieved and are dellghted that families
travel from a(xoss Dudley. Wolverhampton. Staffordshire, Coventry, Solihull, Hereford, and Telford lo
access our service5.
We remain eswoally grateful to St Kenelm's Chsjrch, whose church hall has beeri fundamental in
enabling us lo deliver therapy seNi¢es to more than 40 chlldren each week throughout most of the
year.
During the year, SP was approached by several Iwal schcx)Is to provide presenlatii)ns for staff an
parents about 58nsory inlegralion. These events ware wamily received, with many parents
svbsequenly registering their children for our servlces.
Fundlng Our Work: Our seTvices continue to ￿ funded predominantly by parents, many of whom use
th￿r Disability Living Allowan￿ for this PLJrpose. Increasingty. however, schools and local authorities
are commissioning therapy through the EHCP process and fostwing and adoption agencies are also
turning lo us for support.
Administration and organisalion of the Cc(>l Kids prcgramme have been supported through genorous
donations from The Cole Trust, The Tumer Trust. who are repeat funders. We a￿ very grateful to
the Edw'ard Cadbury Trust, Grantham Yofke Trust and Birmingham & Black Country Trust for
supportiTrJ our Summer & Nursery Cool Kids schemes. We are especially thankful lo our dedicated
Fundrals&r, who works tirelessly to secure support frotn charitable trusts, enabling us to deliver and
develop our services. In 2024125. charitable tnjsts Gonthbuted £31,514 towards our work.
Envlronmental Initiatlves.. We thank St Kenelm's Church for their energy initiative. which ensures
that healing and I ghling are wn on effictenl timers. This helps us make effective use of resources
while avoiding unnecessary consumption.
Ethos, Strategy and Pollcles.. We conLinue to balance (Yar cotnmitrnenl to raising awareness of
Sensory Integration with the need to manage demand froTn families seeknng support. The number of
children being ieenlrfied as neurodivergent has risen sharply in r￿llt years. 11 is estimated Ihal one
in seven children are neurodivergent and a lack of specialist training and awareness to support Ihem,
highlights the growng need for our services.
Looking ahead, we are excited aly)ut our p',ained development which will enable us to triple our
service ￿paCity by 2026. We are fortunate to have access to local professionals, including an
Equine-Assisled Psychotherapist and an Osleopath, who provide valuable additional support lo our
families.

Page 3
Sensory People
Trustees. Annual Report (conffnued)
Year ènded 31st March 2025
Our lory-lerm vision is to build a muEtr-disaplinary team bas￿ wlhin wr new sp￿lalISt centre at
Romsley Methodisl Church.
Access Pollcy.. When parents first conlÈct us. they are invited to attend an information evening
delivered by our Chair, a qualiified HCPC4egislered Occupa'ional Therapist with a Postgraduate
Certificate In Ayres Sensory InlegralK)n Therapy (Ulster unIv￿$ltyl. Al this stsge, parents complete
our registration form. review our privacy policy. artd agr￿ to our Terms & COnd￿ons. Children are
then placed on our waiting list which currentsy stsrKJs at around 80 children.
In November 2023, SP purch£5ed Romsley Meth￿l$t Church, s'.luated opposite St Kenelm's Church
Hall. Throughout 2024125, the SP team worked dosely th Intervention ArchileGlure to develop plans
for the n8w specFalisl centre, which have since r￿1Ved lo¢al planning ￿nSeNt. Utxlatas on this
exciting development will be shared in th8 2025126 Annual Reptr(.
Support and Ae¢esslblllty
Families are signposted lo organisations thal fflay offer additional financial support.
facllilies are accessible, with ramps and disabled toilets In place.
Flnanclal review
Total receipts on ordinary unrestTtcted funds were £113,573 and are detailed in the financial
statements.
Financially the net result for the period 2024-2025 was an excess of recelpts over paymenis of
£30.961.
The trustees, annual report was approved on 31st October 2025 and signed on behatf of board of
trustees by..
Mrs M R(yJerson
Trugtee

Page 4
Sensory People
Independent Examlnerfs Report to the Trustees of Sensory People
Year ended 31st March 2025
I report lo the trustees on my examination of the acix)unts of Sens¢Jy People I'the charity,) for the year
ended 31 sl MarGh 2025.
Rèsponsibilities and basls of report
As the trustees of the charity you are responsible the preparation of the accounts In 8ccord2nce
with the requirements of the Charities Act 2011 {'the Act'}.
I repcrt in respect of my examination of the charity's accounts carried wt under section 145 of the
2011 Act and in carrying out my examination I have followod all the applicable Direcbons given by the
Charity Commission under section 14515}Ibl of the Act.
Independent gxarninerfs statement
I have completed my examination. l confirm that no matertal mallers have come to my attention in
conrnection with the examination gtving me cause to believe that in any material respect-.
accI￿nting record5 were not kept in reSp￿t of the charity as required by se¢tlon 130 of the
ACL. or
the accounts do not accord ￿th those reccrds", or
the accounts do not comply with the appluble requirements concemir¢g the form and
Content of accounts set out in the charib.es {Accounts 8nd Reports) Regulatlons 2008 other
than any requirement that accounts give a true and fairf )riew which is not a rnatler
considered as part of an independent examination.
I have no concerns and have come across no other matters in connection wth the examination to
which attent￿n should be drawn in this report in orde.. to enable a propor understanding of the
accounts to be reached.
MrA A B Grainger FCA of
Griffiths & Pegg Limited
Independent Examiner
3 Hagley Court South
Waterfront East
Lev81 Street
Brieriey Hill
West Midland5
DYS 1XE
31 st October 2025

Pago S
Sensory People
statement of Financial Activities
Year ended 31st March 2025
2025
Re5tri¢ted
funds Total funds Total funds
2024
Unresiricted
nds
Note
Incomo and endowments
Donations and legacies
Charitsble activities
Irkvestmenl income
31.514
64,631
17,428
31,514
64,631
17,428
24,075
44,355
18,161
Totsl Income
113,573
113,573
86,591
Expendlture
Expenditure on charitable activities
Totsl expÈndlture
82.612
82,812
88,475
88,475
82,612
82.612
Nel incomo1{8xpenditure) and net
movement In funds
30.961
30,961
{1,8841
Rocondllation of funds
Total funds brou'ght fO￿ard
Total funds carried forward
37.244
740.000
777.244
779,128
68.205
740,000
808.205
7TI.244
The stal&ment of finanaal activities inclddes all gains and losses recognised in the year.
All income and expenditure derNe from continuing activities.
The notes on paggs 7 to 10 fomi part of these accounts.

Page 6
Sensory People
ststement of Financial Position
31st March 2025
2025
2024
Nots
Flxed assets
Tang'.ble fixed assets
12
184218
184,218
Current assets
Debtors
Cash al bank and in hand
13
7,$10
625,509
1.416
597.331
633,079
598,747
Credltors.. amounts falllng due
within one year
Net currènt assets
14
19,0921
15,7211
623.987
593,026
Total asset$ le$$ Current liabilities
808,205
808,205
777,244
Not assots
777,244
Funds ofthe charlty
Restrlcted funds
Unreslrlcled funds
740.000
68.205
740,IXIO
37,244
Total charlly fLLnds
15
808.205
777,244
These acciyjnts we approved by the board of trustees and authorised for issue on 31 st October
2025, and are signed on behalf of the board by:
Mrs M Rogerson
Trustee
Thè notes on pagès 7 to 10 fomi part of th•se accounts.

Page 7
Sensory People
Notes to the Accounts
Year ended 31st March 2025
Ggnoral information
The charity is registered in England and Wales as a charitable incorporated organisation ICIOI.
The address of the principal office is 9 Rathm￿e Close, Stourbridge, West Midlands, DY8 2RS.
Stslement of compllance
Thege accounts have been prepared in wmplIan￿ w+h FRS 102, The Financial Reporting
Standard applicable in the UK and the Republic of Ireland., the Stalgmenl of Recommended
Practice applicable to charities preparing Iheir accounts in accordance with tha Financial
Reporting StarKlard applicable in the UK and Republic of Irdand (FRS 1021 {Charities SORP
IFRS 102)) and the Charities Act 2011.
Accounting policles
Basls of preparatlon
The accouits have been prepared on the historical cost basis, as modified by the revaluation of
¢¥tain financial assets and Ilabilsties arKI investment properties measured at fair value through
inwme or expenditure.
The aGcounls are prepared in sleding, which is the functional currency of the entity.
Golng concern
There are no material uncertainties ab￿t the Chari￿s ability to (x)ntinue.
Dlsclosurg oxemptlons
The entity satisfies the criteria of being a qualifying entity as defined in FRS 102. As such,
advan.age has been taken of foll¢￿vIng disclosure exemptions available under paragaph
1.12ofFRS 102..
lal No cash flow ststement has been presented for the charity.
Ibl Dis¢losures in respecl of financial in51rumen15 have not been presented.
Judgements and key sources of estlmation uncertalnty
The preparation of the financial statements requires managemenl to make judgements,
estimates and assumptions that affect the amounts reported. These estimates and jLkdgements
are continually reviewed aTrd are based on experien￿ and other factors, induding expectslions
of future events that are believed to be reasonable under the circumstances.
Fund accounting
Unrestricted funds are available for use at the discretion of the t￿St￿ to further any of the
charity's purposes.
Designated funds a￿ unTestricted fvnd5 eaTmarkd by the twstees for particular future project or
commitment.
Reslricled funds are subjected to restrictions on their expenditure declared by the donor or
Ihrough the tem)s of an appeal. and fall into one of two subknclasses.. restricleAI income funds or
endowment funds.

Page 8
Sensory People
Notes to the Accounts (￿lI1nUedj
Year ended 31st March 2025
Donatlons and l¢gacies
Unrestricted Totsl Funds Unrestricted Total Funds
Funds
2025
2024
Donations
Donations
Gift aid
2,174
2,174
7.571
1,338
7,571
1,338
Grants
Grants receivablo
29.340
29,340
31,514
15,166
15,166
31.514
24,075
24.075
Charitable actlvltles
Unrestricted Total Funds Unrestrf¢ted Total Funds
FUNJS
2025
Funds
2024
Training fees and servic&8
64,631
64,631
44,355
44,355
Investrnent inGomg
Unrestricted Total Funds Unrestricted Total Funds
FutKIs
2025
Funds
2024
Bank interest receivable
17.428
17,428
18.161
18,161
Expenditure on charltable actlvities by fund typa
Unrestricted T¢)tal Funds Unrestricted Totsl Funds
FuThJs
2025
Funds
2024
Sensory People
Support costs
81,532
1,080
81,532
1,080
87,635
840
87,635
82.612
82,612
88,475
88,475
Expenditure on chadtablo actlvities by a¢tivity type
Activities
undertaken
diredy
sup[￿ Total funds
costs
2025
Total fund
2024
Sensory People
Governance costs
81,532
81,532
1.080
87,635
840
1,080
81,532
1,080
82.612
88,475

Paga 9
Sensory People
Notes to the Accounts {con6nu8d)
Year ended 31st March 2025
Independont éxamination fees
2025
2024
Fees payable lo the independent examiner for-.
InQgpendent examination of the accounts
1,800
1,5fj0
10. Staff costs and omolumgnts
There were no stsff costs or employee benEfts for th& reporting period.
11. Trustge Tgmuneratlon and expenses
No remuneration or other beneffts from employment with the charity or a related entity were
receivod by the trustees.
12. Tanglble fixad assets
Land and
buildlngs
Cost
At 1st Aprll 2024 and 31st March 2025
D￿recIatiOn
At 1st Aprll 2024 and 31st March 2025
Carrying amount
At 31st March 2025
184.218
184,218
184,218
Al 31 sl March 2024
13. Debtors
2025
2024
Trade debtors
7.570
1.416
14. Credltors: amounts fa]Ilng due within one year
2025
2024
Trade creditors
Acryuals and deferred income
4.722
4,370
5.111
610
9,092
S,721

Page 10
Sensory People
Notes to the Accounts (¢onlinuodl
Year ended 31 st March 2025
15. Analysls of charllable funds
Unrestrlcled funds
At 1st
April 2024
At 31st
Income Expenditure March 2025
General fuiés
37,244
113.573
182.6121
68.205
At 1st
April 2023
A131sl
Income Expenditure March 2024
General funds
39,128
86.591
(88,4751
37,244
R￿t￿Cle(l funds
At1st
April 2024
At 31st
Inwme Expenditure March 2025
Property Fund
740,000
740.000
At 1st
April 2023
At31sl
Income Expenditure March 2024
Property Fund
740,000
740,ODO
16. Analysls of net assets between funds
Unrestricted
Funds
Restricted Totsl Funds
Funds
2025
Tangible fixe(J assets
Current Assets
cr￿lIOrS less than 1 year
Net assets
184,218
555,782
184.218
633,079
19,092)
808,205
77.297
19,092}
68,205
740,000
Unrestricted
Funds
Restricted Total Funds
Fund$
2024
Tangible fixed assets
Current Assets
Creditors less than 1 year
Net a5Sgts
184,218
555,782
184,218
598,747
15,721)
777,244
42,965
15,721)
37.244
74D,000

Page 11
Sensory People
Management Infomiation
Year ended 31st March 2025
Tho following pagès do not fom part of the accounts.

Pago 12
Sensory People
Detalled Statement of Financial Activities
Year ended 31st March 2025
2025
24
Income and endowments
Donatlons and legacles
Donations
Gift ald
Grants receivable
2.174
7,571
1,338
15,166
29,340
31,514
24,075
Charitable a¢tlvltles
Training fees and services
64.631
44,355
Invgstment Income
Bank interest receNable
17,428
18,181
Total income
113,573
86,591
Expendituro
Expendituro on charitable actlvlties
SlafFing, leader fees
Rent
Equipment
Insurance
Admlnistralive support costs
Motor v8hiGle expenses
Legal and professiorkal fees
rr assistance
Stationery and Offi￿ costs
Education and training costs
ICO, DBS and assessments
Sundry expenses
Project fees for fuluw development
37,119
12.871
6.455
4.091
17.185
1,896
1,080
505
602
150
29,813
7,921
4,671
2,874
16,017
3,793
840
339
497
802
235
673
20,0
88,475
60
82.612
Total expenditure
82,612
88,475
Nèt Incornel{exponditurg1
30.961
11,884}