REGI￿ERED COMPANY NUMBER: 08326320 (England Wales)
REGISTERED CHARITY NUMBER: 1170444
R¢ptsrt of ¢h¢ Trmtees •nd
Un#udlted Flthandll Ststtments
for the Yur E*ded 31 December 2023
for
Sulelde
794 High Street
Kingswinford
West Midlands
DY6 8BQ

Sulefide Crlsls
Conttnts of the ￿nancIal Ststem¢nts
ror ¢be Year Ended 31 Deeember 2023
Page
Report orth¢ Trust¢es
Independent Exgmlnerls Report
statement of Finan¢io1 A¢¢lvltl¢s
Bal8Dee Sh¢trt
Notss to the Fln8ncl81 Ststemellts
7 to 10
Detalled Statement of FinaneiAI Aetivltks

Suielde Crisis
Report ofthe Trustees
for the Ye8r Ended 31 DKemb¢r 2023
The trustees who are also director5 of the ¢hority ftsr the purp05e5 of the Companies A¢t 2006, preseni their report with
the financial 51at¢ments of the charity for the yegr ¢nded 31 December 2023. The trustees have adopied the provisions of
Ac¢ountin8 and Reporting by Charitie5'. S¢atemeni of Recommend¢d Pra¢ti¢e applicable to ¢horitie$ prepAring their
counts in accordance with the Financial R¢portin8 Stsndard applicable in the UK and Republi¢ of Ireland (FRS 102)
(effective l January 2019).
OBJEcfivES AND AcfiviTIES
ObJe¢tlves And glm8
The dire¢iors refer ¢0 the Chority Commission's general guidance on publi¢ benefit when reviewing the TN$Vs ain￿ and
obJe¢tiv¢$ and in planning ￿tUre activities. In particular, th¢ trustees consider how planned activicies will contribut¢ to
Ihe 8ims ond obj¢ctives they have ser.
ObJe¢lfveJ
The charitys objects ('Objects') are spe¢iflcally restricied lo Ibe following:
l) lo provide services to $upport people who are in or at risk of $ui¢idlll crisis and to provide services to Jupport people
who have experienced recent or hl$toric psychological traumll:
2) io set up and parti¢ipa¢e in suicide prevention iniiiaiiyes.
A¢tlvl¢lu Ind gehltvernenii In ye#r
In this Ye￿ we mark¢d th¢ tenth annlversAry of our award-winning Suicide Crisis Centre. We flrst siarted providin8 4
suicide crisis service in 2013.
We ¢ontinued io be invited 10 sh4r¢ infonnation a¢ro8s the UK aboui the eth￿ approach and methods whi¢h are used At
our Suicide Cris5s Centre. The charity continued ￿ hiye a naiionAI impact.
In February we were invlied to speak About the work of our Suicide Crisi5 Centre in the Hou8e of Lords. It WBS an event
tha¢ focused on inequalities. The feedback we received aft¢nYords excellent.
In the early part of the year, we also worked with a nptional homelessnes8 charity that was ¢reailn8 sulclde prevention
resour¢e$ for their staff A¢ros$ the UK.
We also continue to work with a GP surgery in the West Midland5 to ¢tr¢reai¢ a suicide prevenilon tralnlng module for
receptionists in GP surgeries. Receoionisis are vsually the first poinl of contact for individuals in crisis. The plan Is
m&ke the training pockage available to GP surBeries across the UK.
We were Iniervlewed for A Daily Mail feaiure aboui men and sui¢ide in February. Our focus wa$ on the ¢hallen8¢s men
find in seeking help md how we n¢¢d to provide flexible way$ for them to make the firsl ronla¢t wlth a ¢risis service.
In May we were invilod to give a talk ai an NHS conference, fo¢usin8 on suicide prevention, in South West L£sndon.
In the autumn our founder and CBO was invited to be ? spellker al an online learnin8 ¢vent 'Student Lives Matter.
suicide prevention learning event for university s¢aff across ihe UK.
We donaied Copies of The Sui¢ide Prevention Pockei Guidebook (a book ￿lttert by the CEO of our chority) to
Ukrainian librarie5 via Book Aid UK. These librari¢s have be¢ome "50¢ial hubs" where local people can corne together.
We 8150 donated copies of The Suicide Preveniion Pocket Guidebook to panmedics and trainee paramedic5 in the UK,
HAving stsrted the year at the Hous¢ of Lords, w¢ were invited to speak in the House of Commons &% the year drew to an
end. Our founder and CEO was invited to speak io a Parliamenlary Sele¢1 Committee in December. They were canying
out an inquiry inio Men'$ Health. The high suicide rate omong men was one of their arw of fo¢us, It was an opportunity
io shire importani ¢vid¢n¢¢ prrtrvided by our male client$.
P88e I

Sul¢ld¢ Crlsls
R¢port of the Trustseg
for the Year Ended 31 Deeernber 2023
oBJE￿IVEs AND AcfiviTIES
Safeguarding
The charity provide5 ￿rV1¢e$ to adults at risk. All volunteers who work with such Clients have passed the approprigle
Enhanced DBS che¢k. Th¢y also have saf¢guardin8 training. We Also ask tn￿tees/dtrectQrs to have an appropriate DBS
check.
W¢ h8v¢ not become aware of any serious incidents whi¢h need reporting.
FINANCIAL REVIEW
General
The charity is heavily reliant on thc work of lis volunteers, several of whom work directly with clients. The ¢fforts of
these individua15 help keep ¢xp¢nditure io a minimum. Six volunteers. excludin8 the ¢n]si¢¢s, worked for us this year.
W¢ have no saloried employees. We paid an honorarium to our CEO in this finoncial year (£1,000 on 6th M?￿h 2023)
and lasi finon¢io1 year for her unpald work for our charlty over the previous decade. but we reco8n55e that thts cannot be
a regular payment in y¢ars.
The finBncial ststeTnents show tolal income received in the ye4r of £34,120 in-¢omparlson 10 £63.718 In 2022,
Expenditure for the yeAr io¢&lled £44.566 re5ultln8 in a nel deficit for ihe year of £10,446 (£13.950 surplus ,' 2022).
As a result funds reduced over the year by £10.446 from £204.920 to £194,474.
Ineome from donatlons
The IAr8est donalion from any individuil was £1,000. The largest from any related party was £100. The lotal identifiable
bein8 from outslde ihe UK (many online donariom are anonyinous) was £1.434,64.
ReJ¢Tves poll¢y
Reserves are held to ensure the charity is well placed to meel futyre denwids on ils resources, 8lven that we have no
r¢liobly predictable sources of Income.
We intend to draw upon our reserves to enable us to progress with the new Sulcide Crisi3 Centre for Leunln& which
will be a lon8-ternJ proj¢¢i over several years. Wlihout $ignificaDt reserve5, we could not ¢ontempl8le th¢ settlng up of
this new Learnin8 Centre.
FUTURE PLANS
The charity iniends to broaden its activities in ihe fvfure, particularly in relation to edu¢olion, lelrning Jnd research. We
intend to work increasingly as Fl national charity. As port of thi5, we Are plannin8 10 s¢t up a Suicide Crisis Centre of
Learning which will r￿u$ on.,
8) sharing suicide prevention techniques widely:
b) providing opportunilie$ for s¢udy and wider learning. to broaden and deepen the under8tandlng of sulcldal feeling8.
c) study and research in relation to suicide and suicide prevention.
d) an exploralion of methods and Bpproach¢5 used within psychiatric %rvice$ and an examination of whether and where
¢hang¢s Could be m8de to Save more lives.
¢) en¢ouragin8 new ideas ond innovative thinking in relation to suicide prevention.
STRucfuRE, GOVERNANCE AND MANAGEMENT
Governlng document
The charity is controlled by its governin¥ do¢um¢nL a deed of tn￿t, and cons¢ituie$ a limited company) limited by
guarantee, as defined by the Compani¢s Act 2006.
Reerultmtnt and appolntm¢n¢ of new trustttS
It is preferred that tNsl¢¢s (directors) have ¢xperi¢n¢¢ (liv¢d andlor professional) relevant to our work. Currently all but
one of our tTUStee5 ha5 such experience.
Members
The only members are the trU￿¢e5. Each member undertakes to pay an omount not exceeding £1.00 towards liabilities in
the even¢ of ihe ¢harity being dissolved.
Page 2

S#leld¢ Crlsb
Report ofth¢Th
for th¢ Ye8r Ended 31 Dceetyb¢r2023
srRUCTURL GOVERNANCE AND MANAQEMENr
controb ar8 in pla¢e to provid¢ rva¥on•bk &gsurntt a8alnst fr4ud aDd enor. The truste¢9 TrBthly revlew rfskB to th¢
(lJarItys kn 4t 8nd botween board me¢dngs and ¢onslderMw w) ￿￿¢188¢¢ dwnL
REFERENCE AND ADMINisfRATIVE DETAILS
ReElsterrrt CoThpAny nvmber
08326320 (Ettsl￿ and Walos)
R*tered Charlty numbtr
Ist¢r¢d offlce
16 Cranleigh House
W¢stBarneJ Lane
SW20 OBE
Ms J Hlbbins (Chief Bxe¢uttve)
A Fawlk (Chair)
T MlkB (Deputychth A¢tln8 TrnsU￿r)
Ms V Iw (Appokn*d I1.8.23)
Ms S J White (appoint¢d 18.823)
J Prlce cfRtsurer) (wd 30A.23)
IDdepend¢4t EzaMkn¢r
Dalton Panloe Llmlied
794 Hlgh Street
WestMidJ4nds
DY6 8BQ
Th1$ report bas bxn prepml In *ttordan¢e wlth the proYl6toM ofp&rt JS of th¢ cOnp￿leS Act 2006 Trlailn
lo small
Approved byorthrofthe board oftru8t¢45 on 20 SeM•*b¢r2024 alld sl•bod Its bghalfty.
T Mile5- TTustr¢

Indeptndent ExamIn¢￿3 R¢port to the Trustees of
s￿k]de Cr151s
Indopcndent cXamIne￿a report to the trustees of SuScld¢ Crbis ethe CompAny')
I report to the charity truste￿ on my examrnation of the eccounts of the Company for the yegr ended 31 D¢¢ember 2023.
Respon51billtl¢s #nd b#sls ofr¢port
As the charity's trusiees of the Company (and 81s0 its directors for the PuTpOS￿ of Company law) you are responsible for
Ihe preparation of the aeeoun¢s in accordance with the requirements of th¢ Companie$ Act 2006 Cthe 2006 Ad).
Having satisfied myself that the accounts of the Company ore not required to be audited under Pth 16 of the 2006 A¢t
4nd are ¢li8ible for Independen¢ examinatSon. I report in respect of my examination of your charitys accounts as carried
out under Section 145 of the Chorities Act 2011 Cthe 2011 Acv). In canyin8 Out my examination I hove followed the
Dire¢tions glven by ¢he Charity Commission under Section 145(5) (b) of the 2011 Act.
Indeptndtnl exAmlner'J ¥tatemen¢
I have completed my examinailon. l ¢onflm that no matten have come to my attenilon in wnn¢¢tion with the
examlnoiion giving me cause co believe:
accountin8 recordg wore not kepc in res￿¢1 ofthe Compthy as required by Se¢tlon 386 of the 2006 Actr or
the accounts do not accord wilh those records; or
the ac¢ounts do not ¢omply with the a¢countin8 requirements of Section 396 of the 2006 Aci other than any
requiremeni thal the accounts give a true and fair view which Is not a matter wnsider¢d ￿ part of ￿ Independent
exomtnatSon: or
the 4c¢ounts have nol been prep8red in ac¢ordanc¢ with th¢ methods and principles of the Srat¢menl of
Recomm¢nd¢d Practice for accountin8 and reporting by chAritl¢s {applScable to ¢hOTities prepBrln8 their iccounts
In a¢cordan¢e wlth the Fln8ncial Reportin8 Standard applicable in the UK and Republic of IrelBnd (FRS 102)).
I have no COn￿m& and hav¢ come 4cr05s no other matters in connKlion wlth the examinatlon lo which attention should
be dra￿ in Ihis report In order io enable 4 proper understhnding of the accounls to b¢ reached.
Colln Dalton FCA
Dalton Pardo¢ Limited
Chartered Accountants
794 Hi8h Street
Kingswlnford
We$t MldlAnds
DY6 8BQ
20 S¢ptomber 2024
Poge 4

Sulclde Crisis
Statement of Fln8nclal Activities
for the Year End￿ 31 December 2023
31.12.23
Total
nd$
31.12.22
Total
fimds
Unrestricted
fund
Restrici¢d
nd
Notes
INCOME AND ENDoWME￿fS FROM
Don*ion5 and lega¢ies
32,440
32.440
63,393
Investrnent income
1,680
1.680
323
TD¢al
34,120
34.120
63.718
EXPENDITURE ON
Charlloble aetlvltles
Expenses
44,566
44,S66
49.768
NET INCOMEI{EXPENDITURE)
(10,446)
(10,446)
13,950
RECONCILIATION OF FUNDS
Total fvnds brou8ht forwllrd
204,920
204,920
190.970
TOTAL FUNDS CARRIED FORWARD
194,474
194,474
204.920
'The notes foTm part ofthese financial siat¢ments
Page 5

Sllldde Crts
B8knno¢ Sh4•t
31 D¢e•thb¢r 2023
31.1123
unles￿¢t•d
31.1222
Totsl
fund
204.92&
Amounts fAlllng thie whhln OM >
NKT CURREKf Assfi8
194A74
194h74
204,920
TOTAL ASSETS LE&8 CURREKr
LIABIUTIES
194074
194474
204.￿0
194174
19V74
204.920
FUNDS
19V74
204920
TOTAL FUNDS
19V74
204.920
The ¢hultthle qndtl•d to &wtton from •udlt wid•r 8rfilon 4T1 orth• A¢t 2006 for th¢ )
31 DKanbor 2023.
Th¢ he￿ not tho ¢ompmy to an wdli of Its llnon¢lol for th• Iwr endod
31 D•Mml*2023 In ieeordAnge wtth Secth>n 470 of th• Compffil•• Arf20Q6.
The thnowl¢d8• thlr re￿on81b{l￿lM for
(a) •nMryln8 that tho thgrltsbl• w k#p• a¢¢ounth8 TKorth ¢omply wlth S¢o¢loM 386 knd 387 of th•
Cwanlu Act 20Q6 And
(b) pr•p￿In8 Ilnwthl ilatements whtch SI￿ A Ind fatr vlew of thp M# of iffth of th• rhthAblo oompany
the ¢nd of Ilnanelal y4Ar ond of Its or d•fi￿1 for 0￿h IIMn¢lal In 4¢¢ordw th•
roqiiirements ofsecdons 394 ond 395 And whlch oth¢nvl•e compty wlth thè Tequtr¢ments of the Compfjntes A
2006r•l•thiB to IINnthl MWll¢Abl• toth¢ ¢hvh•bl• ¢ampw.
Th¢se Ith￿¢1￿1 8tstemffits hav¢ been py¢pwed In a¢coYdwM wlth th• wo¥knloN applknbl• ty ¢harf¢Abl• ¢orapthl
iubJe¢t to th¢ smoll wmpgntss rg8lm
Thfr flnthclfyl **rllents apwoNTd by the Boayd ofThtttts4 Ind •uthorfKd for 20 september 2024
w¢re $l￿d ￿ hs bthirty.
T.
T MlleJ- Tnmtse
Th¢ forni pArtofthe* flnanctsl Motem¢nts
Pw6

Slicide Crists
Notes to the Financial Ststements
for the Ye*r Ended 31 December 2023
ACCOUNTING POLICILS
Basi5 of prepriDg the Iln*nci*l stAte￿ellts
The fmanciai sta*llKnts of the charitsble ￿rnpany. which is a publi¢ benefit entity under FRS 102. have been
prepared in a¢cordanc¢ with the Charities SORP (FRS I02>'Ac￿Untsttg and Reporting by Charities: Ststement
of Recommended Prn¢tic¢ applicable ¢0 charities preparing their acco￿ts in accor(18nce with the Financia
Rep)rting Stsndard applicable in the UK and R¢public of Ireland (FRS 102) (effective l January 2019),.
Financial Reporting Standard 102 The FinaDcial Reporting Standard applicable in the UK and Republic of
Ireland, and the Companies Act 2006. The fmanciai statements have been prepared wider the historical cost
convention.
Itteome
All income is r￿08￿1$ed in the Ststem¢nt of Financial Activities once the charity has entitlement to the funds, it
is probable that the inwme will be received and the amount be m¢I%u￿d reliably.
Expenditsr¢
Liabiliti&s are recognised as eX￿)dItUre as g)on as ther¢ is a Iwl or constsvc¢tve obligation cornmitting the
charity to that expeThliiiire. it is probabl¢ that a transfer of economic ixnefits will be required in settlement and
the amount of the obligation ¢8n be measured reliably. ExNdiftwe is accounted for on an accrua]s basis and has
been ¢la5sified under headings that awew¢ all cosi related to th¢ ¢atrgory. Where costs cannot be directly
attributed to particular haings they have been a]lo¢at¢d to activities on * basis consi*¢nt with the use of
resources.
Taxgtlo
Th¢ charity 15 exempt from cO￿tIon tax on its charitabl¢ artivities.
Fund aecountlng
Unrestricted funds cm ￿ used in acwrd#nce with the charifable obj¢¢tiv&s at the discrtion of the tsvstees.
R&8tricted fimds can only be u5cd for particular1estrict￿ purFxw within the objects of the dwity. RestrtctiODS
artse when specified by the donor OTwhu] funds are raised for particular restricted pU￿)Se9.
Further expl￿•tion of the nature and purpose of ea¢h fund is included in th¢ notes to the financial statement&
INVE￿mENT INCOME
31.12.23
31.1222
D¢posit account interest
325
TRUSTELS, REMUNERATION AND BENEFnS
The following trustees received an honorarium from the charily.
J. Hfftbbins (CEO) £I.000 {£I.LXIO . 2022)
continued...

Sulelde Crtsi5
Notes to the FinAth¢l81 St8teThents- contlnued
for the Year Ended 31 December 21123
TRUSTEES, REMUNERATION AND BENEFITS- ¢ontlnued
Trnstets, expenses
Trustees were reimbursed for exF¢nses in the year amounting to £716.92 (2022 . £1.125.04)
J. Price £169.00 Costs relating io a fund-rdising Challenge
T. Miles
£0.49 Postsge and packaging for books to be sent out
£13.00 Companies House f¢¢
£120.40 Finartc¢ course (NCVO)
£408.03 Travel and accommodation for Meetin￿ in Chelienham
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestrict¢d
fjjnd
Restricted
nd
Total
Jnds
INCOME AND ENDOWMENTS FROM
Dona¢ions and legacies
58.393
5.ODO
63.393
Investh)ent in¢om¢
325
325
Total
58.718
5,000
63.718
EXPENDITURE ON
Ch¥ritabl¢ activitie5
Expense5
44,768
5.000
49,768
NET INCOME
13,950
13.950
RECONCILIATION OF FUNDS
Tot41 fi￿d5 brought forward
190.970
190,970
TOTAL FUNDS CARRIED FORWARD
204,920
204.920
Pa£e 8
¢ontinu¢d...

Sul¢ld¢ Crisis
Notfs to the Flnanclal Stat¢m¢nts- continued
for th¢ Ye#r Ended 31 December 2023
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.12.23
31.12.22
Accrued ¢xpenses
780
MOVEMENT IN FUNDS
Net
movement
in funds
At
31.12.23
At 1.1.23
Unrestrlcted funds
General fljnd
21M.920
(10,446)
194.474
TOTAL FUNDS
204,920
(IOA46)
194,474
Net movem¢ni in fvnds. included in ihe above are as follows;
Incornin8
resources
Re$ourc¢$
expended
Movement
ID fI￿d$
Unr¢Jtrleled funds
General fund
34,120
(44,560)
{10,446)
TOTAL FUNDS
34,130
(44,506)
{10.446)
ComparAtlYes for mov¢m¢nt In funds
Net
movement
in ￿ndS
At
31.12.22
At 1.1.22
UTrreslrleted fund$
General fund
190,970
13,950
204,920
TOTAL FUNDS
190,970
13.950
204,920
CompBrative net movement in funds. included in the above ore Bs follows:
Incoming
resources
Resources
expended
Mov¢m¢nt
In fimds
Unrc5trlcted fu￿dI
General fund
58,718
(44.768)
13.950
Restrlcted funds
Barnwood TNs¢
5,000
(5,000)
TOTAL FUNDS
63.718
(49,768)
13,950
Page 9
¢ontinued...

Suicid¢ Crlsls
Notes to the Flnaneial Stit¢ments- ¢ontlnued
for the Yegr Ended 31 Deeember 2023
MOVEMENT IN FUNDS- contlnu
A ¢urr¢nt yeor 12 months and prior year 12 Months Combined positlon is 0$ follows..
Net
movement
in fund5
At
31.12.23
At 1.1.22
Unre51r1ct￿ fund$
Oenernl fund
190.970
3,504
194.474
TOTAL FUNDS
190,970
3.504
194,474
A ¢urrent year 12 months and prior yejr 12 months wmbin¢d net movement in funds, Included in the abov¢ are
as follows..
Incoming
resources
Resources
expended
Movement
In fimd$
Unrestrl¢t¢d fund¥
Oenernl ffijnd
92,838
(89,334)
3,504
Restrleted fundi
BAmwood Trust
5,000
(5,000)
TOTAL FUNDS
97,838
194.334)
3,504
RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 31 D¢￿rnber 2023.
Page 10

Swkide Crisis
Detalkd Statement of Finameial Aetivities
ror the Y￿r Ended 31 Deeember 2023
31.12.23
31.1222
INCOME AND ENDOWMENTS
Donations and Iwcks
t)onations
Gift aid
Grant5
30,630
48,113
2,580
12.700
32,440
63.393
Investment
Deposit account interest
1,68(1
325
Total ineorning resour¢es
34,120
63.718
EXPENDITURE
Ch8rS(able activiti
IT artd telephone
1,462
316
853
36J83
4,872
614
1.619
587
36.305
10,643
Trnvel
PTemi5e$ expenses
Other exp¢n%s
43,786
49.768
Support Costs
Governanee tosts
Independent examiners f¢¢
Tc*al re50urc¢s expen(td
44￿60
49,768
Net (expeftdltureYIDeDme
(10,446)
13.950
Thi5 p4g¢ dc*es not fonn w of the sktut(rfy financial sthten￿ts
Pagell