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2025-03-31-accounts

a Hortle,yFoujler° Digitally Signed Document Documeni ID= 49134(JC622925F Document Details Filcnamc: SAMS accounts 2025.pdf Hartley Fowler LLP Signature Details N#inc'. Mich¢le Pizzey F.Inail: michele Jiu¢y@y&hoo.co.uk D,.IEI, & I'iinL': 0111012025 18..24..08 PM (BST) IP ,Idilr¢'s¥: 86.15.8.249 Mich¢l¢ Piz7cy confLrm5 thai thc infomiation is correct and complete to the best oftheir knowledge and belier. ¢il¥nliiki St4leincnt'. Digital Certificate lanipcrid wiih. On bLhall' of: Hartlcy Fowler LLP PDF digital li riifica¢¢'. IRIS Software Group Limitcd Digital cvrtifilthte issiild bi.: Globalsign PloaK kcep a copy of this document for your rccords. Hartley Fowler LLP is powered by IRIS OpenSpac¢.

REGISTERED CHARITY NUMBKR: 1165049 RTOFTHE EE FINANCIAL. ATEMETr4TS FOR THF. YF.AR F.NDF,D 31 MAR FOR TH WF. AMARITAN Harlley Fowler LLP Chartered Arcoukntants 4 Floor, Tuition Hou5C 27137 St George's Eio&d Wimbledon London SW19 4EU TEI.. 020 8946 1212- 020 8947 0998 Websit¢.' www.Iwll¢yfi)wl¢r.com

IP4fr.R SOUTH WF.ST i.ofiDON AMARITAN CO)TF.NTS OFTHE FIPIANCIAL, STATE ￿￿Ts FI)R THE YEAR F.NDF.I) 31 MARCH 2025 Page OryanlBatIon￿ Inforrnatlon Report of the Truitc Statemellt of Flll•D¢lal Aerfvltl StAtemeTrt of FlnanclAI Po￿￿0￿ N•t¢i to the Fin8nd81 Statementi Independent Exrnlner'i Report 10

INP4F.R SOUTH WEST LO)1 DOTr4' SA RITANS RCANISATIOIYAL l￿FoR￿lATION, FOR THL YEAR ENDED 31 MARCH 202 OFFICERS AIYD TRUSTEES M Pizzey A BuLkland R Binny FCA L C den Hartv T Longdert N Scot15 A Sh&nf P MU￿aY D McGuinn¢56 H Lisle S Pcart RT&nch Diwtor S¥¢r¢igry Treasurer REGISTF.RED OFFICE: 14 Prin¢¢lon Court, 53-55 Fclsham Road, Puiney London SW15 IAZ INDEPFNDENT F.XAMINER: Jonaihatk Askew FCA Harilcy Fowler LLP Churtered Accountants 4, Floor Tuiiion House 27137 St Gcorge's Road Wimbledon London SW194EU BANKERS: CAF Bank Ltd 25 King5 Hill Avenu¢ Kings Hill Wcsl Malling Kent ME194JQ Pa¥¢ I

IYPIER SOL'TH WEST LOliDON SAMARITANS REPORT OF THE TR TEES R THE YEAR EN'DED 31 IMARCH 2025 The Trustees present their repDrt with lh¢ financial staterncnls ol th¢ Branch for the Ye￿ cnded 31 March 2025. Th¢ financial $tatement5 have been pr¢pJr¢d in a¥cordancc with the accounling pulibies sel oui in notc I to the accounts an(1 romply iviih the chaTily's ¢onstiiution. the ChaTiiJes ALI 2011 and Accounlingi and Reporting by Charitics.. Stal¢mBni vf Recommended Pra¢tir¢ applicable to charitics preparing their ¥counlS Jn aLcordance with thc Financial Reporiing Stsndord ipplicabl¢ in the UK and Republic of TrBloHd IFRS 102) {¢ffective l January 20151. STRUCTURE AND GOVERNANCE Inncr Svuth Wcsi London Sam&ritans I'the Ch&rily"l 1$ a brdnch of the Samarit8ns and is consitiuted as ¥ ChaTii&bl¢ In¢orporatcd Organisation ICIOI. rcgislered charity number I165U4Y and 15 8ov¢rn¢d by ils eon5lituiiVn dated 27 Septcmber 2016. The I￿¥tee8 ofthL Charity r￿ponSIbl¢ for ils gencral rn8na&y¢menl. ThL trusiees lonsuli with all branch m¢mbcr5 a5 to who ¥hould be appointed as Ejranch Direcior for 8 pLrii)d of thrL¢ y¢ars. The Branch Director rcpTe5ents Ihc brAn¢h &1 ihc twiLe yearly Sarn8rilan5 Cvun¢il of Managcrncn¢ Meetin￿ and ovLrsces 811 a$peLl& ofbranch work in relation Lo thL scrvice it provides to callers. Thc Trusi¢¢s who 5ekved durin￿ th¢ ycar are shown on p&¥e l. PRINCIPAL ACTIVITIES AND ACHIEVEMENTS The objects of thc Lhhrity llrc.. l.Tv enoble p¢rsut)s in Souih We5( Londvn and thL surrounding area As w¢ll as ¢lsewhere who ir¢ cxpcrienlinu f¢¢lin85 of dislrcss or dL5Palf, tTh¢ludin¥ 11105¢ who may b¢ al risk of Suicide, ¢0 rccbive confjdrnlial emotional support 11 Any lime of the day or night in order lo tmprove IhLir ¢motional health And to reduLe the incidcncc ofsuicid¢', 2. Tu proTnole a bL'U¥r undersianding in soLicty of sui£id¢, suicidal behaviour and th¢ value or expressing fcclings which may oihcrwise lead 10 Suicide or impaired Cmoiional heulih.. And 3. To Lollaboralc with and support SaTnarittttLS Ccniral Charity und its a￿l[LA[¢d brAnche5 in fulfilling Ihc5c objec¢s. Samari18ns otYLr emotional supporl ¢0 anyone in dislre55 or dcspair, in¢ludin¥ ih05c who may bi thinkin8 of Lnding Ih¢ir lifL. Support from our Inncr South Wcst London br8n¢h is ¢urrenily giv¢n by ￿OUnd 190 volunteers who help our call¢rs by giving ¢a¢h one & safb and LonfTd¢niial spacL 10 lalk on ihe phone. by Cttbail or in person. We work wilh Ihc other 2(4) SarnarI￿rt bran¥hes lo cnsurg 24-hvur availability ofthL servicc aeros8 Lhe wholc ufihe UK. Our branch r¢sponded to over 24,(X)O contacts la51 year. in line wsth the prior yLar. The majurily ofour contacts ar¢ still by t¢l¢phon¢ but we aTC scerng An incrL'ase in wLbch#t and we are still dra11n￿ wilh ¥m2ils, notwiih5tanding a n&ional initiative to move ¢mails io a ¢¢ntral hub. W¥ ¢onlinufy to focu5 on incr¢a5ing our volunt¢er numb¢r$ whi¢h will help lo offer more help to C8ll¢rs, p4rti¢ularly during the un50¢1 hour5 whcn dcm4nd for our $ervL¢C5 15 at a pcak. Outr¥8¢h ailivitlC5 continucd during ihL Ye￿ whcrc WE have both virtual and face tu f)¢e pr¢s¢nce at various Cornmunity and school events io raise awareness and provid¢ emolional 5uppurt. Pag¢ 2

H WEST LO￿DOW AIMARITAIY RF.PORT OF THE TR￿S1.￿.F.s FOR THE EAR E￿DED31 M H 2025 DonHlions r¢main a vilal source of revenue for lh¢ branch. DurinK lh¢ year we benefjied from the rc¢¢ipl of signifiLanl legacie5. donalions from corpornlc bodies, local community ￿lld$ and individuals. This inLluded £8,000 from Ihc Wimblcdon Foundation Communily Fund. We continu¢ to be particularly appreciative of those who donate r¢¥ularly by standing OTd¢r. as th¢se donations T¢preseni our mosl PT¢dict2bl¢ source of in¢ome. Fund-ra151llB ¢VenlS Lontinued during the year with eur rnosi signifi¢8nt fund-Tai5ing ¥venls being Ihc London Mataihon, 70 Mile Walk, London to Brighton Walk, Swim Se￿enti￿r. ond the Freshmind5 Charily London Walk W¢ ar¢ ¢xlrcmely grdteful to all our supptsrters for their greal ¢tTorts in raisin& monty for us. Th¢ TNsiee5 have Gompli¥d with the duly s61 oul in S¢¢lion 4 of th¢ ChariliLs Act 2011 io hav¢ paid due r¢8¥d 10 ihL public bcDrfi( MuidanLe published by the Charity Cornmi5sivn in planning thlif 8btiviiies. FINANCIAL REVIEW AND RISK ￿L￿NAGEMENT A Summary uf lh¢ finanLial posi¢i¢)n and income and Lipenditure for the year arc given on pa8os 5 and 6. wilh noi¢s io ihe finanLial slalcmrnts on pages 7 to 9. The Truslc¢s h4v¢ CDnsid¢r¢d the principAI risk8 lo which thL organisalion 1$ expos¢d and havc developcd Slrale8ies iu miligalc the eifects of ihese wh¢r¢ possiblo. RECRUITMF.NT AND APPOINTMENT OF TRUSTEES Trust￿.$ are clcct¥xi by lh¢ members at ihe Annual G¢n¥ral Meetin¥ and up lo two Trusiees May be appoinlcd by Ihc Cxisiing Trusiees in order to fill id¢niified gdps in cxpcrtise on the Charity's BoArd of Tru51ccs. alihouyh such T￿Ste¢S are re4ULrcd lo r¢tir¢ and s¢Lk re-clcction 81 thc next AGM. FUNDRAISINC ACTIVITIF.S Fundraising activities Arl munilored by ¢he Trn¥l¢¢S and the Charity do¢s nol employ professional fundrais¢r5 or oihrr cornm¢r¢ial paniLip&lors io raise funds. Thc Charity IS Dot bound by any wolwilary 5LhLme or standard for fundraisin¥ but secks to ¢Dsure this i5 carti¢d oul in an cthi¢o1 m8nn¢T and in 8LLordanLc wilh Cha(iiy Commission guid8n¢e. In particular ihe Charity seLks to prot¢Lt vulncrable people and other mLmbers ofihe publi¢ from th¢ folluwing* UllrtA$onablc inlN8ion on privacy, unrea5unably p¢rsi$l¢ni approachc5 or pl8¢in8 undue prcs5ure on a p¢rsgn to givc mvney or other PTOP¢rty. No complaints atx>ul its fundraisin¥ aclivltics weri rcceivLYl in the yiar. RESERVES POLICY The Charity 5Lck¥ mainlain a Icvel of rrs¥rvcs su(fiLicnt lo allow il lo mainlain th¢ infrgstructure n¢¢¢ssary for it to carry on Its opcrlltions. to provide a buffer a¥&inst v2rialions in Lash flow and lo allow for such conlin¥encies as might TeagonAbly be expcLle(l io arise. A separatt capital r￿erve wa5 set up to renect the LOS¢ olth¢ fr¢ehold propcrty other fjxed asscls. PREMISLS The freehold property 8llows the BrdnLh to op¢rat¢ without having to pay ¢ommercial rents 3$ well a5 represer)iing a possible source of iDGome for the fuiurc. Page 3

INPIER SOUTH WEST LOTriDOP4 SAMARITAN REPORT OFTHF. TRbSTEES FOR THE YEAR b.Ii'DED 311 ARCH 2V25 TRUSTELS? RESPOIYSIBILITY sTATEmE￿T Thc Trustre5 are re5ponsibl¢ for prcp&ring the Report of the Tntslees and the fJn3n¢iai statements in accordanL¢ Wjth appli¢able law and Unitcd Kingdom A¢¢ountin8 Standards (Uniled Kingdom Generally Aceepled Accounting PTa¢ti¢¢l, The law applTvabl¢ lo ¢haritlC5 in F.ngland and Wal¢s, the Charities Aci 2011. Charity (AlL￿U￿￿ and Reports) R¥¥ulations 2008 and the provLSLons of thL Irusi deed requiT¢S the TtusiLcs lo prepaTC rin#nLial slaiemenis for each financial year which xive a tNe and 18ir view ofthe slate of affairs of th¢ ¥haiily and ofihe inLoming rcsour¢es 8nd appliLation ofresouitycs, in¢ludtng the income and expLndilure. of the chArily for ihal period. In preparing those financi81 stalements, th¢ TNst¢¢S 8r¢ required 10: select sui¢abl¢ a¢¢ountiny policie5 and ihen apply them consisienily obscrve th¢ meihods and principlcs in ihc Charity SORP. rnake jud¥vm¢Dls 8nd estimal¥s thai 8r¢ reasonable an¢J prudenl; iv. siste whether appliLablL aLLY)uthLin8 stsndard5 havc been followed, subjeLI tv any mJt¢rial d¢panurL$ disL105ed and ¢xplain¥d in ihe financial slaiemenis.. and prepare thc finAnLial 51ai¢m¢nis on the 8oiThg coDc¢Th basi¥ unless It is in&ppropri#l¢ Lo pr¢yume Ihal Ihc charily will continue in businc8S. The Trustee8 are responsible for keeping propLY acLountin￿ rLGords whiLh disLlo¥c with r#awn2ble a¢LuraLy al any timr lh¢ finanLi&l positioTh uf Ihe Lharity and to enablc Ihetn lo ensur¢ that ihc flnancial 5tatement5 Lumply wi¢h Ih¢ Charities Acl 2011, thr Chariiy (Accoun15 and Reports) Re8ulalions 2008 Bnd Ihc provisions of thc tnjsi decd. They are &lso r¢¥p0Th5iblc for safeguarding th¢ asse15 of thc Lhurity and hence for iakin¥ r¢awn8blc sleps for thc pr¥v¢niion and detcction offraud and oihcr irrcgulllriti￿. ON HF.HALF OF THE TRUSTEES: 30 September 2025 M Pizz¢y- Branch Directur Date Pa￿£ 4

IINNER SOUTH WEST LOSIDON'.SANIARIT.4INS Sl'A TTr.II IF'.NI- OF FIliAN IAI. ACTIVII-IF. RATIING THF. INCOMF. A.%D EXPEINDITURE ACCObNT FOR THE YEAR E.NDED 31 MARCH 2(b25 INCORP 2025 2024 INCOME IncoTDC fTvm don81ions and l¢¥ubi¢s InLY>me from events Gift Aid r¢¢ovcred un doDalioHs Gran¢s r¢c¢iv¢d 63.587 33.653 3.246 31.253 51,607 2,404 17.500 102.764 100.487 Income from Investments Inier¢51 feL¢iv¢d 3.180 1.003 Totil In¢oming reiourcei 103667 103,767 EXPENDITURE Coit of geNeratlNg fvndl Fundraisiny expenscs 5.613 Charltable expendlture Volunteer ¢xpcnses Propeny costs Li¥ht. hcat and water Telephonc and IT costs Cleuning o￿lle and kitchen supplies Insuran(¢ B￿￿k charges Sundry exp¢nJes 18.333 8.779 5,575 4.770 5,452 5,391 1,250 173 359 50.082 18.242 6.7Y5 4.493 5.415 4.103 3,592 180 428 44.639 Man4%emeht 8nd #dmlnlstr8tlon costs Indcpendvnt examiner's fce5 Br&nch coniributitsn payable 10 Gert¢t81 Office 1,484 1,320 6.734 4,546 TotAI r¢sourreJ expended 62.123 54.798 iY¢t Ineome befor¢ deprvlAth)n and unrefill$¢d profi¢ on Invutment 41.544 48.969 Deprcciation UnTcalisrd Iprofii)11055 on inv¢stm¢n¢ 21,593 687 21,593 1257) NET INCOME/{EXPE￿'DITURE) 19.264 27.633 RECONCILIATION OF FUIYDS Reservc8 br¢)ught foJw8rd ai l April 558,769 531.136 Reserves ¢arrled foTward at 31 M￿rth 57R033 558.769 Page 5

114NF.R SO TH WEST LONDON S MARITA Tris STATEMENT OF FIIYAIYCIAL POSITIOY 31 MARCH 2025 Notcs 2025 2024 FIXED ASSETS Tan¥ibl¢ asseis 433.218 454.811 CURRENT AFAETS C&sh al bank Invesiments Prepaymcnts 128,601 22.972 86,308 23,659 152,929 I￿,967 CREDITORS Amounts falling du¢ within one year 6.009 NET CURREf4T ASSETS 144,815 103.958 TOTAL ASSETS I,F,SS CURRF.NT LIABILITIES 578.Q33 558,769 578.033 558 769 RESF,RVES RF.STRICTF.D 6,667 UNRESTRICTED GencrAI r¢seTVCS Capilal reserv¢ 144.815 433.218 97.291 454,811 578 033 558 769 Approved by th¢ Irustees on 30 Septcmbcr 2025 and signcd on their bchalf by M Pizz¢y- Brancb Director Pag¢ 6

IINIIER SOUTH WEST LOI AIMARITAN 'OTES TO THE FINI AIN CIAI. STATEIMENTS FOR THE YEAR EINDb:D 31 IMARCH 2025 I. ACCOUNTING POI.ICIES Accountin% conventlon ThL finmcial 51alctnenlS of thc chariiy. which LS A publi¢ b¢n¢fii cntity under FRS 102, have been prepar¢d in accordance wilh the ChaTlti¢s SORP IFRS 1021 A¢counling and ReporlJn¥ by Charilie5'. Siat¢menl of Recornmendcd Prn¥ti¢¢ applicable to charili¢s prL'parin¥ their aLcoun15 in atcordance with ihc Financial RLpotling Slandard applicable in lh¢ UK and Republic of Ireland IFRS 1021 (effective I january 20151,. Financial Rcpofling Standard 102 Thc Financial Reporting Stsndard appliLable in the UK and R¢publiL of Ircland, and the Charilics Act 2011. Thc financial Statements have beeo prepared under Ihe hisiuijLal coyt ¢onv¢nlion with iiem5 recognised ai Cost or transaction value unless oih¢rwise staled in thg relevant notels) to th¢s¥ aL¢ounls. Fund •¢countlng UnT¢sirict¢d fund5 arL avuilabl¢ for usc li ih¢ di5crelion orth¢ trustees in fi￿h¢ranGE tsf the objeLlives of thE chariiy. R¢sLTj¢tcd funds are subjrcied to rc8triL(ion5 on their ¢xpcndilur¢ irnpo5ed by the donor or IhTou¥h thc Icrms oran appcal. In¢on)In¥ resourcei All inLom¢ is rccognised in Ihc Si&i¢meni of Financial Activilies on¢¢ th¢ ¢h2rily has enti¢lcm¢nl to the funds. li is probablc that (hr inLOm¢ will b¢ r¢￿elved and the amount Lan be MLaSUr￿ reliAbly. DU￿￿¢d 5¥Trice5 and facililic& ore In¢liidLd al IhL v#lue lo ihb Lhariiy wh¥rc this Lan bc quantifi¢d. The value of serviccs providLd by volunlcLrs ha5 not b¥en included in Ihese accounts. Re50ur¢e$ ¢xptnded F.xpenditur¥ is reLtsgni¥Ld on an acLrual ba$15 as a Iihbilily is incurrd. Expenditure inLludc5 any VAT whiLh ¢annoi be fully rccov¢r¢d and this LS reportLd AS PArt of Ihe exp¢nditure io whiLh li r¢latLb. Chariiablc ¢xpendiiur¢ lomprises thosc cvsis incurred by ihe Lharily in lh¢ d¢livLry of it5 arlivili¢s and 5CTviLes. It inLludes boih c0515 Ihal can b¥ 8llo¥atLd diTeLtly to su¢h Activities and those Costs of an indirL￿1 rtalur¢ n¢¢essary 10 support thcrn. Cosls of 8cneralin8 fund5 rompris4 lh¢ wsls a550Liaied wilh aitra¢liny voluntary inGome. Management and administration losls include ihosc co$￿ 8sso¥i&tLd with rnL¢ling lh¢ cuTh51ilutional and statutory rcquii¢m¢nis of ihc Lharity and in¥ludc indepcndrni ex8min¢rs f¢¢s and cos15 link¢d to the siraiegic man3¥¢m¢ni orth¢ ¢vmp&ny. T*nglble Ilx¢d as￿¢¥ Drpreriation is provid¢d at the following annual rate5 in ordLr lo write off ¢aLh &5sei over lis esiim8ied useful life. Minor additions costin¥ l¢ss than £l,(JX> ar¢ nol capitslisLd. Frc¢hold 12nd Frechvld propcrty Improvements to property 20&h un cosi InvestrnentS Investyents are initially rccv¥nis¢d at their Iran58cliotL value and subsequLntly rnca5w¢d at Ih¥ir market value as ai Ihe balanLe 5he¢i dalc using the c105iThg quotcd matk¢i price. The slatemczLI of fin8n¢ial &¢tivities includes th¢ net 8ain5 and losses ari81n& on revaluaiion And dispusals throughout ¢h¢ y¢ar. The noLES fomi part of thcsc fii)ancial siitements Pag¢ 7

INNERS H WEST LONDON SAMARITAfS NOTES TO THE bliYANCIAL STATEMEN1'8 FOR THE YEAR LNDED 31 MARCII 2025 corLti GRAfTS RECEIVABI,E GranL8 received fro￿ insuiutions in the ycar were a5 follow$ 2025 2024 Foyle Foundation Natii>nal Lottery 7,51)0 10,000 2024.. Both grdnt5 Wtrc awarded to allow for an increase in volullt¥¢T hows on oveTnighi shifts. NET If4COMING RESOURCES These are slatcd after char¥ing'. 2025 2024 Independen¢ examincr's fces lincludin8 VATI 1,484 1,320 TANGIBLE FIXED ASSETS Frcchold PTOPCTty Impmw¢m¢nl$ io property Total COST At l April 2024 445,000 96.840 541.840 Ai 31 March 2025 445 000 96.840 541.840 DEPRECIATION: Ai l April 2024 Char¥e for thc ycar At 31 March 2025 2R,925 2.225 58.104 19.368 87.029 108,622 NET BOOK VALUE: At l April 2024 416.075 454 811 AL 31 March 2025 413,850 433 218 CREDITORS: AMOUNTS FALLIIYG DUE WITHIN ONE YEAR 2025 2024 AcGrucd cxpens¢s Net Branch Contribution due to Samaritans Cenlraj Charity 2.864 5.250 2,783 3.226 TtL¢ notes forni pari ofthe5e fLnatLcial slatcmcntS Pag¢ 8

IriNI ER SOUT WEST LONDON SAIMARIT NOTES TO THE FINANCIAL STATEMEIYTS FOR THL YEAR ENDED 31 MARCH 2025 Continued RF.SERVES ReStriC￿d Ul￿stTl¢I¢d Capital reserve To¢al At l ApTiI 2024 6.667 97.291 454,811 558.769 Surylu51ldeficil} foT thc y¢ar (6.667) 25.931 19,264 Depreciation transfer 21.593 (21.593) At 31 March 2025 144.815 433218 578.033 Thc rcstricied resery¢ was in r¢lation to the r¢$tri¥ted grant inbom¢ receiv¥d during thc year ended 3 1 March 2024 of£17,500. Costs in the year of£6,66712024.. £10,833) in s&lisfA¢¢ion of Lh# purpose or lh¢ grani Are allocated a8ainsl the rcserve ￿ in¢uffLd. Th¢ r¢mainin¥ fund5 uf nil12024.. £6.667) art h¢ld as cash ai bank. The capital r¢serve is a de8iiinAted reserve ￿1 up Io T¢fle¢t Ihe funds tied up in fixed ASS¢ts. REMUNERATION AND EXPF.NSES Durin¥ lh¢ y¢ar, non¢ of the Trustees wcrc paid any r¢muneralion or received any oth¢r benefi￿ from a cmplvyment with the Charity or a rclaied entity12024.' nil). No Trusffts were paid any ¢xpLnses during the y¢ar12024: nill. There were no rLl&i¢d p8rty Iransaetions with any Tru$i¢¥ during the year (2024.. nil). LJiYKED CHARITY As part of a rrstNciur1n￿ of th¢ ￿tional Sam8rilans organisation, thc assels liabilitics and &ctivities or The Pulno Samarilan5 ("th¢ old ChariLy"I WCTC IrBm$f¥rred on l April 2016 10 a new Chariiablc IncorpurAied Orgartisalion, Putney Sllmariians, ￿giSt¢l¢d numb¢r 1165049 I'%he new Chariry.) which was 5ubscqucntly renarn¢d As "The Inner South We51 Lvndon Samuriians" Thc vld Charity b¢¢ame a domllni charity. Lalled The Pulney SamaiitBYl$, whi¢h is linked lo thc ncw charity and h&s a new rcgi$l¢rEd nvmb¢r, 1165049-1. Th¢ only aitiviiy of the old Ch￿Lty is io collect donations madc by standing orders which are re8ularly paid over to the new Charity. Ai 31 March 2025, the old Charily had as5¢1S of £207, represented by cash i bank. The nolcs forni p￿( ofthcsc finanrial sthtementS Page 9

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTF.ES OF Iyr4ER SOUTH WEST LOIYDOIY SAMARITANS I rEPDrt 10 the Charity tNslee5 on my examinaiion of the &ccounts of the I¢￿tr Swth Wcsi IA>ndon Ssrn&ritÉns Iihe Charity) for thc yeHr endcd 31 Mar¢h2025. R¢swShilbSlltSe& ind hasii of r￿Drt As Ihe charity In￿let5 of ihe Charity you are re5gx)nsiblc for th¢preparniion of the Jccounts in ¢ordg with the tequirements ofthe Ch￿Ill¢S kn 2Ql I Cthc A¢t'l. I report in rupectof my exAminHlion ofthc ChArity¥ accountscarrd out under section 145 ofthe Ad and in carryin¥ out my examination I h&ve followedall opplicablc Dirtciions gjven by the Charity Commission undcr ￿￿tIon 14515Xbl of the ACL Indopondcnt examlner's 8tstÈrneTht I hav¢ cornpl0￿d my examinaiion. l eonfitm Ihai no materiil rn&ltets have com¢ lo my &t￿lI0n in ConD￿lI0n wilh Ihe exAminaiion givin¥ rr)E cause 10 belitve thal in pny rnaiciial respeci.. ounling re¢ordy wcr¢ not kept in r¢s￿¢t frf the Ch￿lty a8 required by Kction 130 of the Aci: QT Ihc llccollrtts do noi ￿cOrd wilh Lhose rccurds,. or Ihc 4crounl8 do not cumply wilh Ihc applicable rcquir¢men15 concetning the form gnd conieni of ouTrlS let oui in Ihc Charilies (Acctsunis and R¢F¥)nsl Re¥ul&lions 2008 Liiher than any requiremeni Ihai th¢ accoun￿ Bive i Irue and fllir vi¢w which is noi a miii¢r con¥idcred a8 P8rt of an indeptrtd¢ni ¢xamiDaLIOIi I confim Ih&i Ihere arc no other InlllLCJS lo which your att¢niion &kollld be drawn 10 eniblt s proper llndcrytmndinu ulihL' accounlx to be rcachcd. Jun¥1 an Askew ICAEW Hllrtlry Fowler LLP Chnrtered Accountanls 4ih FIOOT Tuiliun Huusc 27137 51 G¢oTg¥s Ro#d Wimbledon L()ndon SW19 4EU Dated 21,49•2r Page 10