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2020-08-31-accounts

Smile Group

Financial Statements and Trustees Report

For the year ended 31 August 2020

Smile Group CIO Committee Report and Accounts For the year ended 31 August 2020

Committee Report:

The Trustees submit their report and accounts for the year ended to 31 August 2020.

1. Organisational information

Trustees: Ms. Joanne Cunningham Ms. Anna Maddox Ms. Tania Stanway Ms. Joanne Cairns Ms. Justine Garner Ms. Shirleyann Henny (appointed 23/09/2020) Ms. Beverley Goodwin (appointed 23/09/2020) Principal Office: 207 Peter Street Macclesfield SK11 8ES Directors: Ruth Eglin Natalie Nuttall Independent Examiner: Graham J Whitehouse Price Bradshaw Whitehouse & Co. 42 Marsh Green Road Elworth Sandbach CW11 3BQ Charity Number: 1168751

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Smile Group CIO Committee Report and Accounts For the year ended 31 August 2020

2. Structure, Governance and Management:

Constitution:

Smile Group was registered as a Charitable Incorporated Organisation (CIO) on 12 August 2016 as successor to The Smile Group.

Organisational structure:

The charity is governed by a board of trustees, elected at the annual general meeting. The trustees are volunteers who are not paid for their work. The trustees bring a range of relevant expertise to the organisation.

Decision Making:

The board of trustees meet regularly to make decisions about the charity and review the charity plans. The board is also responsible for long term financial mid strategic planning and for the governance of the charity.

The committee delegates operational responsibility to the directors. The directors are responsible for ensuring that the charity delivers services in accordance with the charitable objects and mission statement, that key performance indicators are met. The Treasurer takes responsibility for overseeing account reconciliation and reports directly to the committee on the accounts and budgetary matters.

Risk management:

The board of trustees conduct an annual review of the major risks to which the charity is exposed, and systems and procedures have been established to mitigate any risks the charity faces. Internal control risks are mitigated by the implementation of procedures for authorisation of all transactions and projects, and procedures are in place to ensure compliance with health and safety of volunteers, service users and visitors to the service. Policy and Procedures are reviewed annually to ensure that they continue to meet statutory and service requirements.

3. Objectives and Activities

Objects of the Charity

  1. To provide relief to those affected by perinatal mental illness, and their families and friends, by means of support, advice and services complementary to those provided by statutory services.

  2. To advance the education of the public in matters relating to perinatal mental illness.

  3. To advance the health and education of the public, and in particular new parents, by providing support, advice and information about parenthood.

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Smile Group CIO Committee Report and Accounts For the year ended 31 August 2020

We have referred to the guidance contained in the Charity Commission's general guidance on public benefit when reviewing our aim and objectives and in planning our future activities. The board of trustees consider how planned activities will contribute to the aims and objectives they have set.

4. Our services:

Smile Group provides peer support for families affected by Perinatal Mental Illness within Cheshire East, via 3 peer support groups, 1:1 Home visit and social media. They complement other statutory services and work in a collaborative approach.

5. Financial review

Total income for the year ended 31[st] August 2020 was £99,313 (2019 - £47,039). Further funding of £47,051 was received from Comic Relief and other grants of £48,312. Details are shown on page 8 of this report. The balance of the charity’s income was £3,951 (2019 - £5,988) from donations and fundraising.

Expenditure for the year was £56,448 (2019 - £42,342), the majority of this (£34,266) was spent on core running costs. The resulting surplus for the year was £42,865 (2019 - £4,607). Reserves of the charity at 31 August 2020 were £72,864 (2019 - £29,999). The general reserve (unrestricted) increased by £11,289 to £29,754, strengthening the charity’s financial position moving forward.

This report was approved by the board of trustees on 18 November 2020 and signed on their behalf:

Tania Stanway Chair

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Smile Group CIO Committee Report and Accounts For the year ended 31 August 2020

INDEPENDENT EXAMINER'S REPORT TO SMILE GROUP

I report on the accounts of the charity for the year ended 31 August 2020, which are set out on pages 5 to10.

Responsibilities and basis of report

As the charity's trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent examiner's statement

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination which gives me cause to believe that in, any material respect:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Graham J Whitehouse For and on behalf of:Price Bradshaw Whitehouse & Co, Accountants, 42 Marsh Green Road Elworth SANDBACH CW11 3BQ

22 February 2021

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Smile Group CIO Committee Report and Accounts For the year ended 31 August 2020

Statement of Financial Activities

Unrestricted
Funds
Restricted
Funds
Total
2020
Total
2019
Income and endowments from:
Donations and legacies
Income from charitable activities
Other income
Total income
Expenditure on:
Charitable activities
Raising funds
Total expenditure
Net movement in funds
Total funds brought forward
Transfer between funds
Total funds carried forward
3,951
-
3,951
5,988
3,750
91,612
95,362
39,976
-
-
-
1,075
7,701
91,612
99,313
47,039
-
52,128
52,128
34,266
4,320
4,320
6,880
7,701
56,448
56,448
42,432
7,701
35,164
42,865
4,607
18,465
11,534
29,999
25,392
3,588
(3,588)
-
-
29,754
43,110
72,864
29,999

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Smile Group CIO Committee Report and Accounts For the year ended 31 August 2020

Balance sheet

Current assets
Cash at bank and in hand
Current Liabilities
Creditors and accruals
PAYE and pensions
Net Asset surplus
Represented by:
General fund
Restricted funds
Funds of the charity
31/08/2020
74,873
( 430)
(1,579)
72,864
29,754
43,110
72,864
31/08/2019
32,869
(2,870)
-
29,999
18,465
11,534
29,999

Approved by the board of trustees on 18 November 2020 and signed on their behalf by:

Tania Stanway Chair

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Smile Group CIO Committee Report and Accounts For the year ended 31 August 2020

Statement of assets and liabilities

Total
Total
Unrestricted Restricted 2020 2019
Current assets
Bank and cash 29,754 45,119 74,873 32,869
29,754 45,119 74,873 32,869
Liabilities - Creditors: Amounts
falling due in one year
Creditors and accruals
-
( 430) ( 430) (2,870)
PAYE and pensions ( 1,579) ( 1,579)
- (2,009) (2,009) (2,870)
29,754 43,110 72,864 29,999

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Smile Group CIO Committee Report and Accounts For the year ended 31 August 2020

Analysis of income and expenditure

Donations and legacies

Donations and fund raising
Total
Unrestricted Restricted Total 2019
3,951

3,951
5,988
3,951

3,951
5,988

Income from charitable activities

Comic Relief
Tesco (Groundworks)
Cheshire Community Fund
NHS Cheshire East CCG
Bluebell Care Trust
Quorum Estates
Tampon Tax (Community Fund)
Other small grants
Total
INCOME TOTAL
Unrestricted Restricted Total 2019

47,051
47,051
20,781

1,000
1,000
2,000

9,900
9,900
10,000
3,750

3,750
2,500

25,495
25,495


6,000
6,000




4,695

2,166
2,166
1,075
3,750
91,612
95,362
41,051
7,701
91,612
99,313
47,039

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Smile Group CIO Committee Report and Accounts For the year ended 31 August 2020

Expenditure on charitable activities


Directors fees
Volunteers fees
Travel costs
Project costs
Training
Printing and stationery
Insurance
Telephone
Room hire
Promotion costs
Equipment expensed
Professional fees
Sundry expenses
EXPENDITURE TOTAL
SURPLUS / (DEFICIT) FOR THE YEAR
Unrestricted Restricted Total 2019

22,976
22,976
13,760

22,197
22,197
19,686

1,658
1,658
3,205



3,484

199
199
35

437
437
19

210
210


1,031
1,031


120
120
343

3,695
3,695
925

3,370
3,370


430
430
500

134
134
475

56,448
56,448
42,432
7,701
35,164
42,865
4,607
Unrestricted Restricted Total 2019

22,976
22,976
13,760

22,197
22,197
19,686

1,658
1,658
3,205



3,484

199
199
35

437
437
19

210
210


1,031
1,031


120
120
343

3,695
3,695
925

3,370
3,370


430
430
500

134
134
475

56,448
56,448
42,432
7,701
35,164
42,865
4,607

56,448
56,448
42,432
7,701
35,164
42,865
4,607

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Smile Group CIO Committee Report and Accounts For the year ended 31 August 2020

Notes to the Financial Statements

1) ACCOUNTING POLICIES

Accounting convention

The accounts have been prepared under the historical cost convention and in accordance with the Financial Reporting Standard for Smaller Entities, issued in March 2005 and the Charities Act 2011. The Charity has taken advantage of the exemption in Financial Reporting Standard No. 1 from the requirement to produce a cashflow Statement on the grounds that it is a small charity.

Incoming Resources

Voluntary income is received by way of donations and gifts and is included in full in the Statement of Financial Activities when receivable. The value of services provided by volunteers has not been included. A grant is recognised when the charity has entitlement to the funds, any performance conditions attached to the item(s) of income have been met, it is probable that the income will be received, and the amount can be measured reliably.

Outgoing resources

Expenditure is recognised on an accrual basis as a liability is incurred. Expenditure includes any VAT which cannot be fully recovered and is reported as part of the expenditure to which it relates. Resources expended are allocated to each activity /fund where the cost relates directly to that activity / fund. The cost of general administration has been allocated to the restricted funds where this was allowed by the donors, the balance has been deducted from the general unrestricted fund.

Funds

The unrestricted funds are incoming resources which are used for the objectives of the charity, without any specific purpose or further restriction. Restricted funds can only be used for the specific purpose as determined by the donor, within the objectives of the charity.

2) NET OUTGOING RESOURCES 2019 2018
This is stated after charging:
Independent examiner’s remuneration 250 250
Employees’ remuneration - -
Average number of employees -
-
Trustee’s remuneration - -

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