Charlty R•glstrallon No. 1170392 C<#NMny R•gtstr¥Uon CE0051 (engla1 •nd W•lesl A4vAL REP(MT AND (WAlJ)tTEO FINANCIAL STATEIIENTS FOR THE YEAR ENDED 31 IIARCH 2022
WORTHING SAMARITANS LEGAL AND ADMINISTRATIVE INFORMATION Tvust8•9 Mrccann Mrs H Bridgwater Pl$ A M SICn¢ r D Letsthll Ms L Nthols mrASpn Mr B Hughes MrB T Cash Mrs A CharYwi Mfs F Caron {AppO¥rt 10 May 20221 (Apwnted 24 knnI)er 20211 {AprAnte(19 Sgptember 20211 {Apwnted 10 May 20221 IApwnte<l 10 May 20221 {Appc¥'nted 8 Moust 20221 Charity numb•r 11703¥2 Company number CEC¥J91S1 Règl•tsr•d offi¢• 2 Lenr Road brthing èst Sussex BN111DA In(pond•nt ox•mlnor Carpenter Box Amelia House Crescent Roao IAtsrlhing st Sussex BN11 1RL
WORTHING SAMARITANS CONTENTS IndepwN1ent exaThMne¢s r¥KYt Balar Sheét Not0$ 10 th? financ4al Strtts 6-12
WORTHING SAMARITANS TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORT) FOR THE YEAR ENDED 31 MARCH 2022 The trtlee8 present their repyl finwcial ststemertstr the year 31 Marth 2022. The finanaal slatements have been in )xrfdwc ith Ihe UntIr0 set Jt m note 1 to the financial statements and ¢(Ynpty wilh thafiVs sKJvemiNJ Companw Ao 2tsJ6 and 'A¢counthng and Reporting by Chwtlw". StsterYErt of RecCme1Kled Practhe 8pplicable lo ¢haritte5 PTeparing their a¢¢ounts in awordanee with the FinarKial Reptrt"NJ StsThJard appli¢at4e in the UK and RerA1b1 of Irdand {FRS 1021 (effeclive 1 January 2019).. Objgclives and a¢tfvltl88 Th& objedive of the charity 15 to prov#le emtional wpport to arryone in pgrsonal dtstress. i3iring or at risk of suude. 24 IK)urs a day, 365 days a year. This is provhJed by trained w)lunteefS who ikn)'t just hear but listen, Iher by teleph¢, email, ty visits to th& centre. fty the benefit ot the publ mainly in the Worthing, Vlknst Su8sex area. The tnjstees have Ihe Chariw corrffiis8i7 gUKlar on bert wthon reviewiNJ the obJ'ecvès and planngd activibes of the thaiity. Achl•vomefts and porforman Th& charlty ig a ftjlly eslablished Incp)rated thartsblè organi$8twyi. Volmteers have CtinUed lo Se the pl11¢ and kyovide th• WorthirrfJ Swwritans service %ncth"11969. The COVID-19 pandenwc contin lo impact our tsliers duriTrJ the first part of the year. During the yegr we answered 20.289 phone call8 {15,615 in 20211. and reFAied to 1.061 emails1936 in 20201. The text ISMS) ser¥b ha8 now been relired. wilh dt irtrothjced 2022. Flnan¢lal rovlw Prln¢lpal fundrntslng souT¢es During the y•ar, the shop provkded of totsl iTh>)m {34% wi 20211. Th shop inc£fi rebnded to Previous levds after being gncantty ltr•ver during 2021 be¢aLtse of the ShC being dosed due lo Ihè Covid 19 lockdfmn. During year £1,8031£25,286 in 20211 was in govpnwmnt grants cMsTrdwed lo b& wtal in enabling the charty to deliver help to those o)nta( us. EY¢epllonal exp•ndllure During the yèar the TNstees apkyovgj developThnl projeds whith indLwJed the upgrade of ground ftwr ndows, the development of a rlvn infraslTLthre to ddivw ¢hot servi. aTrJ the refvrbishment of the operation$ room ug¢d to WDwde teleK%K) li8lw)iNJ to those in need. The total amount comffttted lo these proi8(ts is £30.LJJO. wilh £5.700 IncjjTh in the c¥rrwtt year. and the T81nder bwrTrg irthrred in the year erKEed 31 Marth 2023. R•sorves poN¢y As al 31 March 2022 ts totsl fvnds W were £748.824, 811 of whK is unrestricaed. Reserves provided a safety net to continue fLffilling the ¢harity'8 (ctve$. Wth thts in nwnd. it is intended tr) keep liquth1 serveS * a level that arS reasonable rdal>)rth'p to 12 to 18 n¥J)ths' runrnng costs of the drity. Variations outside this l¢vel are reviewed by the trustees taknng into excepknl r¥xts FAann&J expTvJityre in fvrthorar ol the charity's ei¥jectves. Invèstment poll¢y and 0tr4octlve Investments are hekl in various Se(rS and a revp••d annually by trustees to docidE CA) the approprwte course of a¢on going foAvd. d8vglt)pmonts As WcthiNJ Samarrtans continues to offer fv same level of Servi to the ojmmunty and nation81ty, as it has $Ie 1969. adapt¥)ns have been m&Je within the Branch as we leam to INe with Covid.19. to en5we our volunteers are safg. The use of t8chnokgy for ts re£IlMent traning rf new and exists'ng volunteers. together onluie moets"ngs. is 11 eslalAished.
WORTHING SAMARITANS TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED) FOR THE YEAR ENDED 31 MARCH 2022 Structurni gov•m•nc• and manaynM Govemlftg document The cJ)arity is gOVed by the Samaritans mcoel rules. adrpted Aw"12017. The carity is regstered with the Charity commissi for Engknd aTrJ a5 an incrxForated oryanwlk, rewter no 11703¥2. The tru$lee$. who are aso the directrKs fty pu of oxnpany L7. arvj wh) seN6d (knrirwJ the year aThJ up to the date of Sn¥Are of the finala1 8tthm werè". Mfs L E Clarft Mr C C8nnirvJ Mrs H Bridgw8ter Mr D Holme Mr D Cd¢fvAI MrR Martin Ms S Gardner Ms A M Sk¢ombe MrMRShaw Mr D Labbell Ms ACowlaTh Ms L Nichol$ r M White Mr W Merrifield mrASn Mr B Hugh8S Mrs T Cash Mrs A Chap¥nan Mi P Southall Mr8 F COn 9 seents 2021) (Apwinted 10 May 2022) {Reswed 9 septerer202l) (Re$ed 9 Septenknr2021) {Reswed 24 No%wnt•r 2021) (Reswed 9 Septth)ts 2021} {ResvJd 9 se[)¥2021) {Re8iwl 15 NO% 2021) (Re8wJn•d 8 2tr211 (Appclrrted l Deceth 2021 arKI reswod 8Augl 2022) IAtw'ntsd 24 N(Nemb8r 2021) {AFV)trted 9 Sertert 2021) (lonIell 10 May 2022) IAtwrrted 10 May 2022) (Apwnted 9 2021 T8sJned S OctoLer 2021) IApwNnlod 8A[u81 2022) Recruilm•nl appointsn•n( and tralnlng of nw•V tru8to0s The trustogs fomi the Branth comnwitee arKI are apInted and traird in acD)Tdara wlh Saftrilan Folicy. All ngw Irustees 0)mpleto a detsiled Indj rn addth to Samaritan policy iTrJLK"on. The cJ)rrrfnittee gulady to ensure the tharity is proFthy managed and govemw is reguw rewev•Ed. Rlsk manag8m•nt The trustees have a duty to klentsfy aTrJ reviffw the risks to wN"ch the Chafity is exposed and to en$Lffe apprcs)riate ccrttrols are in F&ce to prowde reasonab assurwKe against fraL*J aTrJ error. Risks are taken for reeW at e¥h cg)rNThttee meetiThJ. The wi8teT is available to aH staff and ¥olmteers. App ed ty tydw ofthe tKArd of twstws a)d on its behaw Alrs F C•m•ron Truste8 Daled..
WORTHING SAMARITANS INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF WORTHING SAMARITANS I report to tnjstees on my examIrwb" of the StTrts of VkMtritYJ sama118 Its cha) for the yewend8d 31 Marth 2022. Rosponslblltties and IJa818 of ff8p(xt As the trustees of the d)8nty I aso its thrtorS for the puryjow of c4)npY LTh¥) Y ar& responsible for the preparation ol the finarKyal statsments in ac(xwdanca ryth Ihe roquwement$ of the Compani&s Act 2006 (the 20C6 AGI). Having sab'sffied mysem that the finawl stslements oflhe Ch are not r4uired to be under Part 16 of the 2006 A¢t and are dvJible for ]end exanwnatity). l in of my examination of the charity'$ financaal 8tstem8nts caryied wt under sedion 145 of the Charities Aca 2011 (the 2011 Acl}. In carryirwJ out my exanynation I have fol[chl all DIreCa ty thè Chanty Ccrnissw uThJer $e¢lion 145151{bl of Ihe 2011 A Independent •xomlnw'$ 8tstsmw I have completed my examinalKy). l ¢xnfffm that matters c4Yrn to my attention in oJnnedK)n the examinab'on giving Cause to believ that in any matla1 respect. accx)unting reo)rds were not kept in respect ofthe thrity as rewired by serjion 3e6 ofts N]8A¢l the finanual ststwnents do Tr)t tIK)se records." the financial statements do not ¢ompty with tho acc)Lffib"n9 requiremer)ts of seccffi 3 of the 2006 Acl other than any requiTeml that the give a tn lair VI V•thth is 1 a matter cond&red as Pert of inderl¥nI eXanatiOn. c the financial 31aterMnts have not prepared tn attdarte the ffthods and pr7n¢leS of th8 Statefflt of Recomnwmled Pract for ?)Unting and reF#yb'ng by drrt$ applicate lo charibè8 pr8paring their accounts in ¥Alh thtr Rewtir¥J Starth aprAicth in the UK aThJ Republic of IrdarL<I (FRS 1021 I have no conM$ and have fX¥7 acoss no dher matter5 in o)nnecion wth the examination to whit attention shoukl be drthyn in thi8 rep)rt in order to enae a wper urKWnding of the finanoal Statements to be reathod. Krlstina P•rry FCCA Amelia Hwse Crewnt Ro*J Worthing West Sussex BN11 1RL Dalèd.. 0510912022
WORTHING SAMARITANS STATEMENT OF FINANCIAL ACTIVITIES INCLUDING INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31 MARCH 2022 Unrn8trkted Unmtri¢ted funds funds 2022 2021 Donations and legacies Other tradsng acti&$ Investment income 4,236 69.021 2,761 27.859 24,145 2.973 Total Income 76,018 54,977 9ndirn on: R¥ising funds Charitable actiwt 39,290 41.835 32,680 43,100 Total Mlourcos •xpond•d 81.125 75.780 15,1071 (20,8031 Fund balan¢xs al 1 April 2021 753,931 774,734 Fund b•l•n¢6• at 31 March 2022 748.824 753.931 The ststgment offfinanaal athibe8 indJe9 al and kses yew. All income and expendiiwe deri frcm The statw)ent of financAal 8180 0leS ilh ltr rewiremerts incx)me •)d expenditLn XO)unt ler Il Compani8sA¢t 2Crt)6.
WORTHING SAMARITANS BALANCE SHEET ASAT31 MARCH 2022 2021 F5xed lets Tangib assets Investments 11 12 550,OC4) 74,335 74,335 624.335 624.335 Currgnt assets Dètrknrs Cash at bank and in h 13 2,701 136.154 2,285 146,7WJ 138,855 149,075 Cred3torn: amowts tslling du• ¥Athln one yèar 14 {14.3eéi {19.479) 124,489 129.596 Total a88•ts1ess cumt Ilabiliii 748,824 753,931 Income fund8 Unre51rKted fvnd5 748,824 753.931 748.824 753,931 The tharitab cx)rr4)3ny is enti to ts exeftw axlit requirerywrt curtaird in 8e¢tw 477 of the Ccnpanie8 Acl 2cfva6. ts the yeaf ended 31 IAarrh 2tr22. The trustees a¢1 their res11¥"18S for enwring th the rwitat4e ¢))mp8ny keeps a(£ounting records Wh compty with section 386 of the Act and for prepariryJ finanoal statemwts gi a true aThJ fair wèw of the state of afftThr5 of the dritat4e r3ynpany as at the erKJ of the final yew and of its incoming resources and applicabon of resouw, induding its incg)n arKI 0xpendre, for thg finarKial year in awdance wilh the qurernents of sections 394 and 395 aThJ vA)ith cthemse o)rroly ¥Mth rrerrWts of the Companies Act 2CKJ6 relating to finanaal statwts. g) far as aFplIcab to the c(ry•w. The members have t))t rewirfjd the dwrilalAe to obtsin Sn aLJit of its financial statents fw the year in queslion n )rdce with secon 476 of the CnAct 2fy)6. These final81 statements ha been tmth thè pr¢15 applicable to tharitable companies sut¥eci to the small cowigs regiw*. The financial statsments were approved by the Trustee5 ix) Mrs F Cameron Trusts¢ Company Registr•kn Mo. CE009151
WORTHING SAMARITANS NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2022 A¢¢ountlng poliel 1.1 A¢¢ounting corw•n The financial sktem8nts ha¥e been Prepa in a(xXd vAth the chariV$ goveming thMnt, the Companies Aca 2006 and "Acc4yJthng aThJ Rewbng by chariti.. Stateffent of Recommen¢Jed Practi ap1¢able to charibes prewng Ih"r aCunts in aCcdanc the FinancAal Ropotti Standard applrcable in the UK and Reput4¢ of Ir {FRS 102) leffe(aY¥e l 2019)" Thè Charity is a Publi¢ Benefit Entity as defined by FRS 102. The finanaal statents a vtMch is the fikl rAwrenLry cl Ihè Lty. Monet8ry amunts in these firn(la1 slatgments are rcwJKlertl lo nearest £. The finanoal staterrnnts hab been wgpored urthr the hisknical g)8t (¥)nntiOn. nKJified to indutje certain finarKi81 instrumerts a far Wal. The Frrinc4pa a¢xounbiYJ ack)p1 are set OLrt bolow. 1.2 Golng ¢¢)nrn At the of 8pwowr¥J the fin¥K#al Statne, the trustees have a rts8scThb exption th8t the tharity has adquate resourw to c¥)nbnue irtr ¢)pwational oxistwKe for foreseeable future. The trustees have o)n$idered thant infomwkn. induthng subwua)t eNEnts. in makiry their assessment. condLKled that there is matwia unctrinty in relation to Ihe of Contsnuing to adopt thg going concem basi8 in prepariTrJ ts aa>ts. 1.3 Charll•bh fvnd Unrestrided fvTrJs are avalle fty use at the I*¥X¥ti d the trustees in fiJtherarKe of thwr charItae obltIVes. 1A Incom• Inojme 1$ re¢¢>Jnised when the charity ertte to it after rWfOmnc CCffKlittons have been nt, the amounts can be measured r¢lW. and it is protth that inL)Th wdl be received. tknnaled for re8818 are not re(188d C The to the tharity ofthe donated goods sold is recognised as incyjme sold. 1.5 Expondlt Expenditure is (nted for ffi an a(x•Jals basis has I)e clasd un(kn dry5 that a999Ste all cost related to the category. costs camk)t be diTecty attribubj to rArbryilar Wr+98 they have been allo¢ated lo activities a bag.s c$131et wlh the uso of resourc. Liabilities are reo)gnised as eXEdttLe as soon as there is a W or constsijctive oblTrgation committing the tharity to that expenditurg. it 18 pre that a transfer of n¥fitS WIN be required in setllement ond amnI ofthe ot4igakn can be wwred rehotrAy. 1.6 Tanglblg Ilx•d as Deyeciation is pThided at the fdkniryNJ anNal rntes in order kn lte off eh asset over ts e8b"m8ted usethJl Freehold Fwop Coryuter equipment 3 years straigm lin•
WORTHING SAMARITANS NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 31 MARCH 2022 Accounting poll¢los Icontlnuedl Freehold property is not on ihe 9fwKls that rewL¥ maintenart is carried the property it is kw in good conthtk)rt. Any deprecia1 a0mUlated cf charg8(J would be inThlerial du8 lo the rg$idual value of the propwty. This is a dept frcffi the SORP FRS 102 aThJ the Corrwni8s Act 2006. However, the truylees believe this departuro is required lo ensure tr finarvia Statents give a true and fairview. 1.7 Flxed asset Invo¥trnonts Fixad asset 1nvestsnts are inthalty waSUa at transaclion pe exdin9 Msachx o)sts. and a 1A Cuh and cash oqulvalonts Cash and cash equNakn incajde cash in harwj. hekl at bank$. 1.9 Flnanclal in•trumw Bas1¢ financial ass•ts Basic finana81 assets arB inibally me8wJ at ¢• itKbJdin transadion cg)st$ and a subwiyenlly carried * amorttyed cost using interest methxl Lml8ss the arrangement o)n8titutes a finanang trsaCtion. where the 1$ at the present walue of the future receipts dionted at a mthet rate of interest. FinaMy assets dassia as rrri•bbe within one year are not aask Ilnanclal liabllilles Basic finanaal liabilib.as are lnrtty recowised at transkn prM unl989 the ctte$ a finarIng trwsaGtion, where the debt instruThEnt 1$ measiifed al the pKesenl value of the ftrture paymer discount&J at o market rnts of interest. Finar¥]4 liabltieS da$$1 a5 Payab within one yèar are not amorti8e<J. 1.10 Taxatltyb Donatfons and 1ggacl8B Unrnstricted Unro¥trlcted funds fvnd 2022 2021 Donat#Jns and grfls Grw)t i 2,433 1.803 2,593 25,266 4.236 27,859
WORTHING SAMARITANS NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 31 MARCH 2022 Othor trading actsviti fvnd8 2022 2021 Fundr¥ir¥3 events Shop in¢>)me Ford prison In 4.C63 62,334 2,624 3,865 18.818 1.462 69.021 24,145 In¥Mbn•nt In¢(m• Unr•strlet•d UnrMtrictsd funds fund• 2022 2021 Helpcards Hc4drys Miled Natv)nal sawngs interest Deposit account interest 2,027 443 291 459 978 2,761 2.973 Net movoThnt kn fund• 2022 2021 Net mvement in fvnds is slated after d9(edibry) Depreciation of0Yd gitIe frxed assets 627 Ra551ng fundB unrn8tr1¢t UnMtrt¢tsd fvnd• funds 2022 2021 Raising donations and leg Fundraising co&s 355 141 other tsjing acambes Shop expenses 38.935 32.539 39.290 32,680
WORTHING SAMARITANS NOTES TO THE FINANCIAL STATEMENTS (coKfiNUED) FOR THE YEAR ENDED 31 AIARCH 2022 Charitable a¢tJ¥ltlo8 2022 2021 DeprerJatl impawment Other ¢>)sts 627 40,157 40.211 40.211 40,784 Share of g)¥emw costs18oe rKrte 8 1.624 2.316 41.835 43.100 Support¢osts 2021 Accounw and legal fe68 1.624 1.624 2.316 2.316 1.624 1,624 2.318 2.316 Analysed telwfj Charitable 1,624 1.624 2,316 2,316 Induded in Vernar o)8ts are £1.11X¢12021: £1.() relab to the indepwnf exatY#rAlion. Trt The were rK tnJstee¥ rernunerati w Lthr be$ fry the year 31 M•th 2022 nor for th& year onded 31 Marrh 2021. The trustees ved rThletye expenses duriry the peMd based in the r of 45p per Mileage exFwsfjs reimlyjrsed during the pentrj tctslled £341 12021- £841. During the four of the trustees were lMjrSed for penSeS paid personally. The8e expenses, totslling £581 12021 - £1,247), wwe postage 8fwJ statiorey. hoLtsekew'r¥J and deaning, repairs aTrJ maintenance. travel exFense8 and sff*ll gwwal eXpSe$.
WORTHING SAMARITANS NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 31 AIARCH 2022 10 Employo68 2022 HUmr 2021 Nmbr Average staff Total wages aKI salaries ec6ts the ye¥ £19.613 (2021.. £19,194). 11 Tanglbl• fixod •s••ts TLI •qulpment Cost or lall0ft At 1 April 2021 8,036 556,036 At 31 Marth 2tr22 6,036 $56,036 DorKeclatSon WKI ImpalMnt At 1 April 2021 6.036 6,036 At 31 March 222 6,036 6,036 Carylng amount At 31 Marth 2022 550,0 550,000 At 31 Marc 2021 550,000 550.000 Freeh¢Jtd pety are statad at tl"r revalued anhyjnts. beirq the fw valu8 at lh8 d of the revaluatson made by tho trusteg8. the has been no rerdluation dIng Ihe year as trustees are Tr)1 aware of any material ch8nge in YUe. At 31 Marth 2022, had the revalued assets tjeen carried at hi1¢ Cost less acajmulated deprecAti(m aThJ atsxJmulaI invairTht b)sses. their caryin9 •nOUrt *Duld have been approximatgly £440.000 {2021.. É440.000). 10-
WORTHING SAMARITANS NOTES TO THE FINANCIAL STATEMENTS (coKfiNUED) FOR THE YEAR ENDED 31 IrfARCH 2022 12 Fix•d asset inve¥tm•nts Sh•re8 N•tl¢)nal Savings Bonds Totsl Cost or valuation At 1 Awrl 2021 & 31 2022 19,335 55.CO) 74,335 Carrying amount At 31 March 2022 19,335 55,000 74.335 At 31 Marc 2021 19.335 74.335 13 D•btorn 2022 2021 Amounts falllng duo Th4th5n ono y••r. Olher det4or¥ 2.701 2,285 14 crlt0. amounts falllng due Twlthln one y 2022 2021 Othertsxation Sla1 selnty Trade u•ditors nAal$ * deferred incnme 154 1.441 12.771 148 3.391 15.940 14.368 19,479 1S Anatysb of n•ta•s•ts funds uDrnStrfCt Unrestricted funds ftjnds 2022 2021 Fund balanc8 313114larch 2022 are represented by.. TangiLle assets InVestMtS CUnI assetsl1lbI1ISI 550.(KrfJ 74.335 124,489 550,000 74,335 129,596 748,824 753.931 11
WORTHING SAMARITANS NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 31 AIARCH 2022 16 Operatlng leage commltments At the rewrts"thJ end dale the charity had (d1j for fvturt nwnirNm ase payments under notrcancellable cperatin9 leases, which 1*1 due #s folh)ws". 2021 Wrthin year Between aThJ five years In over fwe years 8,200 32.8C¥) 8,200 32,800 16,400 49,2C(J 57.400 12-
fhf)RTMING SAIAARITANS IIANAGEIAEMf INFORIJATION FOR THE YEAR ENDED 31 IIARCH 2022
WORTHING SAMARITANS DETAILED STATEMENT OF FINANCIAL ACTMTIES FOR THE YEAR ENDED 31 AIARCH 2022 2022 2021 INCOME Donatlons and l•g•¢i•s oallOnS Grant incyjrr 2,433 1.803 2.593 25,266 4,236 27.859 otlwtradlng 4ctlvllio• Fundr813¢ng events Shop income Fwd prisc In()me 4.(3 62.334 2.824 3.865 18.878 69.021 24.145 In¥Mtm•nt incom• Helpcard$ Hoklings Limited National savings intet 2.027 1,538 459 978 291 2,761 2.973 Total Inc(Knlng r•wurc 76,018 EXPENDITURE Ral8lng donatlorni l•g•¢ios Fundraising costs 355 141 Othèr tradlng 0¢1fv1110s Shop expense8 38.935 32,539 Charftsble a¢ttvltles Rates and water Insurance Light and t Tdephong Postage and S&)nery Advertrsing Conwuter c4)8ts Housekeeping arKI cleanir¥J Repairs an¢Y mainlena Conferences. meetin9s and tra¥Yl Contributions k) other brarKh8S HMP Ford expense$ Gerwgl expenses 416 1,629 4.375 3,372 1,487 5.919 1,036 4.242 7.085 1,529 2,910 3,667 254 5,484 2.216 3.255 1.924 2,415 14.699 140 178 1,733 395
WORTHING SAMARITANS DEfAILED STATEMENT OF FINANCIAL ACTlVtfiES R?R THE YEAR ENDED 31 MARCH 2022 2022 2021 43 257 1,573 80 Branch COVID-19 expenses Training Conwutsr equipn*nt 40211 40,784 Support co¥ts A¢count•ncy and18gal fees 2.316 1.624 81.126 75,780 Totsl rg8owcos eXd•d 15.1071 120,803 Mèt lexpondlture) I Inco