The Shed Foundation
( Charity Number 1169736)
This is the Annual Report of the The Shed FollDdation as required by the Charity
Commission. It covers the financial year 2(K)21122. The Shed Foundatton is a
Charitable Incorpornted Organisation (CIO) which was fjrst registered on 18"
October 2016. The principal office of the Foundation is 162b. High StreeL H￿be,
Kent CTtb 5JIL
The TTUStees at the time of Wr￿ng are:
Monica SpringetL Lydia SpriDget4 Keith Groombridge. Maria White,
Adama Mahon& Heather Hoare. Diane ￿leY ( a new appointee) and David White.
Zoe Golding resigned during the year. There are no external organisations which may
nominate Tn]stee positions.
hed FoundAtioD
The Shed Foundation exists to Supp￿ the WO￿ of the Shed facility. it's workshops
and outreach worL The objects of the Shed foundation are:
' To reduce the sts.gma and dlscrimination assoelated wlth mental
health issues and learning difficulties. To increase the life
opportunities available to people with learning difficutties. poor
mental and physical health and well being. To reduce social
isolatlon and offer recovery and support servlces to people with
learning difficuttles and mental health issues-
core
hed athiti
The main Shed Buildinr.
This provides a continuos 5ffj day Conti￿US progra￿ of accredited learning in
sports. cralL drarn￿ arts community and environmental activities. Occasional outdoor
and other venues are use41 During the pandemic restrictio￿ activities were limite(L
However through home contacts and other outreach WO￿ watious activities were

Strategies for the year:
The Foundation developed the following Sub Sttategies:
To continue to rdise awarene&s of The Shed in the wider and local communities.
To seek out additional funding channels.
To improve mobility between sites and ststht&
To continue to diversify and organise events vknich support the Shed.
inance:
The new relationship with the Charities Aid Foundation bank has worked well. The
amiual accounts submitted with tbis rep)rt indicate the areas of income and
expendith.
Aebfievements:
As188t year the pandenuc has had a major impact on activities. However contact with
regular fimders h&s c￿ntinUed and a number of new income streams sourced. The
sponsorship arrangement with a E(Kal licensee Continu￿ to be fruitfvl with a
substantial sum raised through a second Sponsor￿ cycle ride. This money w&s
largely used to purchase a wide range of sports equipment for the students. A new
activity is now garden and allotment based and an active an7ngement is in place with
Hythe Cricket and Squasb club. Other student activities include p)ttery. cooking and
Raising awarnness finding funding areasg event oryaDMtion
8treDgtheDiDg the Trust
As rep)rted above severnl new fimding areas have been sourced including local
retsiler4 new donors and legacy donor& 0￿Side events were curtailed for the first

part of the year due to the pandemic. However as the restrictiODS We￿ eased a
trustee who has been valuable in sharing her commercial and business expertise. The
Trustees have met regularly through the year with all forn￿ meetings minute
End of year Suinmary:
The easing of the pandemic h&8 allowed the Shed to get back to "Business as Usual".
The trustees took a p)sitive role in prnviding fmancial and peN)nal supp)rt

CHARITY COMMISSION
FOR ENGLAND ANO WALES
Receipts and payments accounts
CC16a
For th• wlod
To
1.4_21
31.3.22
Section A Receipts and payments
Unrestrlctsd
fund•
Restrficted
Endowment
fvnds
Totsl fimd•
L••ty•ar
A1 Rae•lpts
9.917
Sub tot•l(Gross income forAP)
A2 A•iot •Thl Inv••tm•nt •al••.
l•M tsbl•l.
4444
9.•17
Sub fot•l
rot•l r•Mlpts
A3Pa
cnarftsbl8 ex￿n881
t*nk thwg88
l*¥r¢ On•
134
87
A4 A•¥•t and lrni••tm•nt
Urch￿•.
•tsbl•
MlnltYJ8
Sub
4h15
11.782
Net Ofrn¢wp￿(paYffl•ntsj
A5 Transt•rs between fund•
A6 Cash fvnds la¥t yèar •nd
Cash funds thls yeer
4.029
1.865
7.395
11.959
7.930
11.959
9,795
7,930

Section 8 Statement of assets and liabilities at the end of the period
Unr65tricl8d
Rgstrictsd
lund
fund•
Endowment
lunds
Categorles
Detalls
B1 Ca•h funds
Tt>tal cash lunds
11.959
R••trl¢tsd
fundB
Endowm•nt
fund•
funds
Detai15
Fuhd to
Co•t lopVon•l
Curr•nt VAI
Iopiionall
DeLiils
83 InvMtm•nt
Furyl towhkh
Cmntv*lts•
lop￿￿1)
Details
B4 A8*•t• r•taln•d for th•
charity'• own us•
Fund to *thlch
Il•blllty
Amoyntdu
loptlmall
Ivhon du•
Detalls
86 Llabllltl•8
Print Name
Date of
approval
Jlii
19.8.22

I￿￿lty nurnl￿ 1169736
The Shed Foundation
Income and Expenditure Account
For the year ended 31 March 2022
No￿S Unrestricted Restrirted
2022
2021
Donations
8,443.79
8,443.79
9,916.77
Charitable expendfitu
3.659.03
4.193.61
2.703.19
Administrative cbarges- bank
. collecting tins
133.50
86.85
133.50
86.85
79.49
Net Incompj (Defiat) for the year
4,564.41
(534.58)
4,029.83
7,134.09
Brought forward at 1.4.21
16.394.82
534.58
16,929.40
9,795.31
Cany forwaTd at 31.3.22
20,959.23
20,959.23
16,929.40
Balance She
As at 31 March 2022
Flxed assets
0.00
9,000.00
11,959.23
7,929.40
Total assets at 31.3.22
20,959.23
16,929.40
Represented by:
Unrestricted fLuids
Restricted funds
20,959.23
16,394.82
534.58
20,959.23
16.929.40

Charity number 1169736
The Shed Foundation
Notes
31 MaTcb 2022
To
2021
Income:
Fundraising events:
The Mariners cyde ride
Ginger bread rnaknng
3.011.79
240.
2,170.55
300.00
3,251.79
187.41
2,470.55
101.30
11.25
Collecting tins
Paypal
Saga
Rotary
Donations
Legacies
Sale of old mini bus
1,493.89
1,000.00
2,228.20
282.50
4,502.66
1,183.00
1,648.01
8.443.79
8,443.79
9,916.77
Charitable expenditu￿.
Minibus:
Road fund rax
Insurance
32.50
620.00
674.22
MOT
Repai
1,783.S9
228.86
2,436.09
509.77
1,291.08
Halloween events
Ans and crafts sets
gingeTbread decorating activities
Fabric and dyes to make face masks
Wood burning Station+twl kit
Widget essential single machine
clay cellar
coloured day
Food hawian
wood
Christmas party
ketde bells.football ho0￿$
Pantomine
648.42
198,51
189.99
27.20
60.74
3LK)
353.99
115.21
20.46
52.15
100.00
112.41
225.00
21.20
3,659.03
4193.61
2,703.19