RE6157ERW COMPANY PIUMBEK. (18326320 IEn81?nd and Walesl
fortheyear Ended 31 De¢•kn2024
Dalton Pardoe Urnlted
794 Hlgh street
KIn￿nfOrd
West MldL4rrfls

forthe Year Ernled 31 December 2024
Réport of theTnotees
I to 3
Independent Examlnefs Report
Statement of Fknandal Athilies
Balancé Sheèt
Note5 to the Nnandal Statements
7 to 10
li

Idde Crlsts
for the Year Ended 31 DKember 2024
The trustees who are also dlrectors of the thaTIty for the purpos￿ of the Companles Act 2006, present thelr ￿pOrt with the
flnancial Statements of chathy for the year ended 31 Oecember 2024. The trustees have adopted the provlslon5 of Accountlng
and Reporung by Charities: Statement of Recommended Practlce appllcable to charitles preparlng their accounts In accordance
wlth the Flnanclal Reportlng Stsndard applicable In the UK and Republ1¢ of Ireland IFRS 102) leffectEve i January 20191-
OBJEcnvE5 AND Acfmn
Oblectlves and alms
The dlrectors refer to the Charity Commlssk)n's genernl guidano on wblk benefft when revW1￿ the Trusvs alms and obJectSves
and In plannlng future actfvitles. In partlcular. the tyustees conslder ￿anned actlvltles wlll contrlbute to the alms and
objettlves they have seL
Oblectl¥es
The charlty's objects ('ObJects') are speclflcally restrlcted followlnz:
l) to pro￿de services to suP￿rt people who are in or at th of sukldal crlsts and to provlde servlees to support people who have
experlenced recent or h15torlc psychologkal trauma;
2) to set up and particlpate In suiclde prevention inltKitfve&
Actl¥ltles and achlevements In year
The feedback from clients we supwrted at our gJldde Crisis Centre contlnued to be exceptlonal. Our approach has always been
that'we do everything we can for each indi￿du01 to help them surdve thelr suicidal crlsls.. We are tenaclous In the way that we
support If￿vIdua￿ to survlve.
Our charlty contlnued to hwe a national impart. The tharity was one of two flnallsts In .￿pPOrt DurfnE The Pandemlc.
category In the UK Mental Hea￿h Award5 2024. Our team had provlded a frontline servke durlng all the bxkdowns. Our mobile
team went out to the homes of Indlvlduals at hlgh rtsk of sulclde across our re8Ton. The other f]nallst was South London and
Maudsley NHS Foundation TrusL
We contlnued to be Inv6ted to Sha￿ InfOrniat￿ across tr* UK ab￿t ethos. approach and methods whlch are used at our
Sulcide Crlsls Centre. This Included being invited to g￿e tslks and presentatlons and to Speak at amferen￿, as well as belng asked
to provide tralnlng to O￿an1St10n$ across the UK. some ofwhlth are detsiled bel￿￿.
We were asked once agaln to provide suicide preventk)n awdreness tralnlng for Brltjsh T13￿POrt Pollce for thelr polke offlcers
acro55 England, Wales and Scotland.
We were also asked to provhle suklde prevention trainin8 for paramedk students in 50uth4ast England. They are our ambulan
staff of the future and, Sn the course of thelr they will be goln£ out to people who a￿ at Imminent rtsk of suklde.
Our CEO was asked to speak at a national healthcare conference. Her tslk was "Supportlry People To Be Safe After Sulclde
Attempts" The conference wa5 for NHS professlonals arHI other ￿0f￿h)nal$ worktng In healtlKare settlngs. Our CEO'S talk
hlghliBhted how risk can be urKlerostimated rf Someone seeks help after a sulclde attempL
We establbshed a new Sulclde Crisi5 °Centre for Leamlng. to enable us to work on More natlonal projects. As part of thts, we
attended Inquests in dlfferent parts of the UK for our ongoing research Into deaths by suicide. We are focuslng on partlcular Issues
of concern: one 5pecffic Issue is the number of patlent deaths where the indNidual frequentty seeklng help (frequently
accesslng crtsls and/orerner8ency seThI￿) in the day5 or weeks before thelr death.
Other projects within the 'Centre for Leaming" Indudes our Th￿rk vAth a GP surgery In the West Mldlands to COV￿ate a suKlde
preventlon tralning module for re￿ptionISts In GP surgerles. Receptlon15ts a￿ usually the first point of contatt for Individuals In
crlsls. The plan Is to make the tralnlng package avallable to GP surgerfes across the UK.
The ￿lCIde Prevention Guidebook la book wrrtten lty the CEO of charlty whith is K4ilable from most bookshops) Contlnued to
receive excellent feedbock and contlnued to be recommended by professkjnals and tharltles. We also donated coples of the book
to community centres and other5ettings.
Safeguardlng
The charity provides ser¥lces to adults at risk. All volunteers wl)o work vAth suth dients have passed the approprlate Enhanced DBS
d)eck. They alx) have safeguardng tralnlng. We also ask trUstee￿dIrecEOrsto have an appropriate D8S chec
We have not become aware of any seilous Incidents v4hirh I￿1 rep(Ktlng.
Page I

FINANaAL REWEW
General
The ¢harty Is heavlly rellant on the work of Its wlunteers. sevenl of whom work dlrectly wlth cllents. The efforts of these
IDdl¥lduals help keep expenditure to a mlnlmum. Twelve ¥o￿nteer8 excluding the trustees, worked for us this year.
The financlal statements Sh￿ totsl Income recelved In the year of £32.113 In-comparlson to B4,120 In 2023.
Expendlture for the year totslled £44.430 resulting In a net deficlt fortt* ￿ar of £12.317 (£10,446 defeclt: 2023).
A5 a result funds reduced over the year ty £12.317 fr￿tr £194.474 to £181157.
Income from dona¢lon5
Two-thlrd5 of our donatk)ns are made through onllne platf0M￿ suth as Facebook (via the PayPal Glvlng Fund) and JustGivlng. Manv
of these donations are anonymous.
Our CEO also donates the royaltles from sales of her book5 to the tharlty.
Reserves pollcy
Reserves are held to ensure the charlty Is ¥**ll placed to meet fu￿re demands on Its resources. 8lven that vo have no rellab
P￿dic￿bIe Sources of Income.
In order to ensure the lon84erm surthl of our tharlty, are Ilkety to have an increaslng need to dTrw upon our reserves. Thls 15
particularly becatsse the cost of Ilvlng crlsls has Impacted on peopk's ablllty to donate to charltles.
We are looklng at new premlses and monthfy ￿nts1 of any new property wrll requlre us to draw upon our rese￿￿.
FLITURE PLANS
The charlty Intend5 to contlnue to Work as a national charity. As part of thi5. we will continue with our actlvltles wlthln our Centre
for Learning includlng our suiclde prevention tralnln& our research and prolects in v4hlch we a￿ Invited to participate or whlch we
Inltlate out5elves. Our suklde crlsis service wll continue. supportlng Ind￿ual5 In crlsls In our reglon.
sTrucruRI GOVERNAP4Ce AND MANAGEMENT
Governing document
The charity is controlled by Its governing documenL a deed of trusL ar#1 constItu￿ a Ilmlted company, Ilmlted ty guarantee. as
defined by the Companies Act 2006.
emiltment and appolntment of new trustees
It Is preferred that trustees {dire¢tors) have eXperie￿e Ilived andlor professk>nall relevant to Lwr work Currently all but one of our
trustees has such experlence.
Members
The onfy members are the trustees. Each member undertakes to pay an amount not exeee¢fin8 £1.00 towards Ilablllt￿s In the event
of the charity being d15solved.
Rlsk polkv
The trustees have a duty to Identhi and revlew the rlsks to which the tharity is exposed and to ensure approprlate controls are In
place to provlde reasonabte assurance agalnst fraud and error. The trustees re8ularly revrew rlsks to the charlty's future both at and
between board meetlngs and conslderways to mltl8ate thern.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Company Thurnber
08326320 (England and Wales)
ReBlstered Ch* nunthr
1170444
Reg15tered offke
16 Cranleigh House
West 8arnes Lane
London
SW20 OBE
Page 2

for the Year Ended 31 December 2024
Prfndpal address
P.0. Box 1344
Cheltenham
GL50 9FP
Trustees
Ms J Hibblns (Chlef Executlvel
A Fawlk Ichalr)
T Mile5 (Deputy Chair and ActIn8Treaw￿r}
Ms V Isaac
Ms S J White
Independent Examlner
Dalton Pardoe Limlted
Chartered Accountants
794 Hlgh Street
King5wlnford
West Mldlands
DY6 88Q
TRUSTEES. RESPOI4SI8IUTY STATEMEP
The trustees {who are also the dlrectors of Suicide Crrsis for the purpos￿ of company law) are re5PDnslble for prepaflng tre Report
of the Trustees and the financial ststements In accordance with applicable law and Unlted Kingdom Attountlng Stsndards IUnFted
Kingdom Generally Accepted Accountlng Practlce} IncbJdln8 FlnaKlal Reportlng Stsndard 102 Tr Flnandal Rewrtln8 Stsndard
applicable In the UK and Republk of I￿land°.
Cornpany law requires the trustees to prepare financial statements for each ftnanclal year whlch glve a true and hlr view of the
slate of affalrs of the charltable company and of the inc(kning resources and application of resources. Includlng t￿ Income and
expendlture, of the charitable company for that period. In prepafing thosefinanclal ststements, the trustees ère required to
select suitable accovntlng pollcles and then apply tl*m conslsteth:
ob5ep4e the methods and wlnclples in the Charity SORP;
make Judgements and estlrnates that are ￿aSonable and wuden¢
prepare the fbnancial statements on the 8oln8 COn￿M ba515 unless it is inoppropriate to presume that the charftsble company
will contlnue In buslness.
The trustees are iesponsible for keeping proper accountirg records which dlsclose wlth reasonable accura￿ at any time
flnanclal posltlon of the charttable company and to enable them to ensure that the financlal statements comply the Cornpanles
Act 2006. They a￿ a550 re5pon5ible for safeguarding the assets of the charltsbk company and herKe tor taklng rea%)nable steps for
the prevention and detertlon of fraud and other irregulari
Thls report has been prepared In accordance with the 5peclal wovtslon5 of Part 15 of the Companles Act 2006 relatlng to small
companles.
Approved by order of the board of trustees on 17 September 2025 and slgned on Its bePolf by:
T Mlles-Trustee
Paoe 3

Independent Examlnerfs Report to the Tw$tees of
Sulddg Cr1515
Independent examlnee$ ￿pOrt to the trustees of Suldde Crlsls {'the Cornpanv)
I report to the charity trustees on my exarnlnatlon of the accounts of the Company for the year ended 31 December 2024.
Responslbllities and basls of report
As the tharlty's trustees of the Company land also Its dlrertor5 for the purp05e5 of company lawl you are responslble for the
preparatlon of the accounts In accordance wlth the requlremerts of the Companles Act 2006 {*he 2006 ACVI.
Havlng satisfied myself that the accounts of the Company are not requlred to be audlted under Part 16 of the 21x16 Art and are
ellglble for Independent examlnatlon, I report In respert of my examlnatlon of your eharlty's accounts a5 carrled out under Sectlon
145 of the Charities Act 20111'the 2011 Act,). In Carrying out my examlnatlon I have followed the Dlrectlons glven by the Charlty
Cornmlsslon under Settlon 145151 Ibl of the 2011 Act.
Independent •Marnlnerfs statement
I have completed my examlnatlon. I confirm that no matters have come to my attentlon In connectlon wlth the e¥amlnatlon glvlnl
rne cause to belleve:
accountlni records were not kept In respett of the Company as requlred by Sectlon 386 of the 2006 Act; or
the accounts do not accord wlth those records. or
the Jccounts do not comply wlth the accountlng requirements of Sectlon 396 of the 2006 Act other than any requSrement
that the accounts glve a true and falr vlew whlch Is not a rn8tter consldered as part of an Independent examlnatlon; or
the accounts have not been prepared In accordance wlth the methods and prlnclples of the Statement of Recommended
Practlce for accountlng and reportlng by charltles lappllcable to charltles prepJrln8 thelr accounts In accordince wlth the
Flnanclal Reportlng Stsndard appllcable In the UK and Republlc of I￿land IFRS 1021).
I have no concerns and have CO￿ acr*)ss no other matters In connectlon wSth the examlnatlon to whlch attentlon should be drawn
In th15 report In order to emble a proper understandlng of the accounts to be reached.
Colln Dalton FCA
Dalton Pardoe Umlted
Chartered Accountsnts
794 Hlgh Street
Klngswlnford
West Mldlands
DY6 8BQ
17 September 2025
Page 4

su￿de Crfsh
forthe Year Ended 31 December 2024
31.12.24
Total
funds
31.12.23
Total
funds
Unrestrkted
fund
Restrlcted
fund
INCOME AND ENDOWMENTS FROM
Donations and lega¢le$
29333
29,333
32.440
Investment Income
1,680
Totsl
31113
32.113
34,120
EXPENDITURE ON
Charltable artlvhles
Expense5
44AJO
44,566
NET INCOMVIEXPENDfwAE)
111317)
{10,446}
RECONCILIATION OF FUNDS
Total funds brought forward
194A74
194.474
204,920
TOTAL FUNDS CARRIED FORWARD
18l157
182,157
194,474
The notes fomi partof these fina￿ra] ststernents
Page 5

Sulclde Crlsls
B•l?nce Sheet
31 December 2024
31.12.24
Total
funds
31,12.23
Total
funds
Unrestrlrted
fvnd
Restrlcted
fvnd
CURRENT ASSEfs
Cash at bank
182.937
182,937
195,254
CREDThORS
Amounts f•lllng due wlthln one year
(7801
1780)
(780)
NET CURRENT ASSErs
181157
182,157
194,474
TOTAL AS5Efs LESS CURRENT UABILITIES
182,157
194,474
182,157
182.157
194,474
FUNDS
Unrestrfcted funds
182.157
194,474
TOTAL FUNDS
182.157
194,474
The charitable company Is entltled to exemptlon from audlt under Sertlon 477 of the Companles Aet 2006 for the year ended
31 December 2024.
The members have not rewlred the company to obtaln an audlt of its financial statements for the year ended 31 December 2024 In
accordance wlth Sertlon 476 of the Companles Act 2006.
The trustees acknowledge their responsSbllltles for
la}
ensurlng that the charltable company keeps accountlng records that comply with Sertlons 386 and 387 of the Cornpanles
Act 2006 and
preparlng flnanclal ststements whlch s￿e a true and fair vtew of the stste of affalrs of the charitable company as at the end
of each flnancial year and of Its surplus or deficit for each financlal year In accordance wlth the requlrements of Sections
394 and 395 and whlch otherwSse comply vAth the requlrements of the Companles Act 2006 relatlng to financlal
statsments. so far as appllcable to the charftable cornpanv.
{bl
These financial statements have been prepared In accordance with the provislons applicable to charltsble companies subject to the
small companles reglme.
The flnanclal ststements Y￿re approved by the Board of Trustees and authorlsed for Issue on 17 September 2025 and were slgned
on Its behalf by:
T Miles- Trustee
The notes form part of these flnanclal statements
PaEe 6

Suklde Crbls
Notes to the Flnandal Ststements
for the Year Ended 31 December 2024
ACCOUNTING POLICIES
Basls of preparfn8 the Ilnanclal ststements
The flnancial statements of the charftsble Company. whkh Is a publlc benefft entty under FRS 102. have been prepared Sn
accordance with the Charltie5 SORP {FRS 102)'Accounting and Reportlng by Charltles: Statement of Recommended Practlce
appllcable to charitles preparlnz thelr accounts In accordance wlth the Flnanclal Reportlng Standard appllcable In the UK
and Republic of Ireland IFRS 102} {effective l January 20191,, Financlal Report5ng Standard 102 Yhe Flnanclal Reportlng
Stsndard appllcable in the UK and Republlc of Ireland. and the Companles Act 2006. The financlal ststerneDts have been
prepared under the hlrtorlcal cost conventlon.
Incorne
All Income ts reco8nlsed In the Statew*nt of Flnancial Actfvttle5 once the charlty has entltlement to the funds, It Is probable
that the Income will be rece5ved and the amount can be measured rellably.
Expendlture
Uabllltles are recognlsed as expendlture as soon 85 there Is a le8al or construttlve obllgatlon committing the charlty to that
eJ(pend5tU￿, tt Is probable that a transfer of economlc beneflts wlll be requlred In settlement and the arnount of the
obligatlon can be measured rellably. ExpendSture Is accounted for on an accruals basLs and has been classlfled under
headings that aggregate all cost related to the category. where Costs cannot be dlrectly attrlbuted to partkular headlngs
tlw have ￿en allocated to actlvltles on a basts consistent wSth the use of resources.
Tax￿On
The charltyls exempt from corporatlon tax on Its charltsble artlvbtles.
Fund actountlng
Unrestrkted funds can be used In accordance with the charitable objective5 ¥tthe dlscretlon of the trustees.
Restrlcted funds can only be used for partkular re5trlcted purposes vAthln the objects of the charlty. Re5trlrtlons arlse
when specified by the donor or when funds are ialsed for partlcular ￿$trIcted purposes.
Further explanatlon of the nature arrfl purpose of each fund Is Included in the notes to the financlal ststements.
INVESTMEt4T INCOME
31.1224
31.12.23
Deposlt account Interest
2.780
1,680
TRUSTEES, REMUNERATION AND BENEFITS
The followln8 trustees re¢eW an honornrlum from the charlty In 2023, but no honorarlum has been ￿ld this year
J. Hlbblns ICEOI £0 (£1,000 . 2023}
Trustees. expenses
Trustees were reimbursed for expenses In the year amountlnE to £500.8012023 . £716.92)
J. Hlbblns (CEO) £29.73 Facebook athertlsement
T. Mlles
£471.07 Travel, postage, Zoom, Companle5 House fee & tralnlng course
Page 7
contlnued...

for the Year Ended 31 Dec*thr 2024
COMPARATIVES FOR THE STATEMENT OF FINANaALP£TMTIES
Unrestrlrted
fund
Restrlrted
fund
Totsl
funds
INCOMÉ AND ENDOWMENTS FROM
Donations and le8acles
32,440
Investrnent Income
1,680
Tot•1
34,120
34,120
EXPENDITURE 014
Charlt•ble *ctl¥ttles
Expenses
44,566
NET INCOMVIEXPENDITURE)
110.4461
110,4461
RECONCILIATION OF FUNDS
Total funds ￿Ought fO￿ard
204,920
204,920
TOTAL FUNDS CARRIED FORWARD
194,474
194,474
CREDITORS: AMOUNTS FALLING DUE wmiiN ONE YEAR
31.12.24
31.12.23
Accrued expenses
780
MOVEMEKf IN FUNDS
Net
rnovement
In funds
At
31.12.24
At 1.1.24
Unrestrkted fundi
General fund
194M74
{11317)
182,157
TOTAL FUNOS
194N74
1113171
182,157
Net movement In fvnds, Induded In the above are as follty•ts:
Incomlng
resources
Resources
expended
Movement
In fund5
Unrestrlcted funds
General fund
3U13
(44AJO)
(113171
TOTAL FUNDS
32J13
(44.4301
111317)
Page 8
contlnued...

Suldde Crlsls
Notes to tha FIna￿la1 Statemonts- contlnued
fot the Year Ended 31 December 2024
MOVEMENT IN FUNDS- contlnued
Comparnuves for movement In funds
Net
movement
In funds
At
31.12.23
At 1.1.23
Uftrestrl¢ted funds
General fvnd
204,920
110,446)
194,474
TOTAL FUNDS
204,920
110.4461
194,474
Comparatlve net movement In funds, Induded In the above are as follows:
Incomln8
resources
Resources
expended
Movement
In funds
Unrestrfrted funds
General fund
34,120
144,5661
110,4461
TOTAL FUNDS
34,120
144,5661
110,4461
A current year 12 months and prlor year 12 months comblned posbtlon Is as follows:
Net
movement
In funds
At
31.12.24
At 1.1.23
Unrestrlcted funds
General fund
204,920
{22,7631
182,157
TOTAL FUNDS
204,920
(22,7631
182.157
A current year 12 months and prtor year 12 morths comblned net movement In funds, Included In the above are as fDIIows:
Incomln8
resources
ResoU￿e$
expended
Movement
In funds
Unrestrlcted funds
General fund
66,233
188,996)
122,763)
TOTAL FUNDS
66,233
188,9961
122,763)
Pa8e 9
contlnued...

Sul¢lde Crl$l$
Notes to the Nnanclal Statements- contlnued
for the Year Ended 31 December 2024
RELATED PARTY DISCLOSURES
There We￿ no ￿lated party transacttons forthe year ended 31 December 2024.
Page 10

Suldde Crfsls
Detalled Statement of Flnandal Artfvltles
lor the Year Ended 31 Oecember 2024
31.12.24
31.12.23
INCOME AND E14DOWME14T5
Don•tlons and legades
Donatlo
Glft ald
Grants
19,333
30,630
1,810
,000
29,333
32.440
Investment Inwme
Deposlt attount Interest
2,780
1,680
Total Incornlnll resources
32,113
34,120
EXPENDITURE
Charltable artl¥lll
IT and telephone
Books
Travel
Premlses expenses
Other expenses
2,938
935
1,000
1,462
316
853
36,283
4,872
43,650
43,786
Support ￿$ts
Governance costs
Independent examlners fee
Tthal resources expended
44,430
44,566
Net expendltu
(12,3171
110,4461
Thls page does not fom) part of the statutory financlal statements
Pa8e 11