REGISTERED CHAIUTY NUMBER: 1170604
rt of th TrwtfU and
naudiled St*teADents for the YeAr ERded 31 March 21122
Hig50lls Limited
Charter￿1 Accountants
93 Markd Streec
F8rnworth
Bolton
tthnixshire
BL4 7NS

Bolto
tatemen
Page
Report of the TThst¢
I to 2
Independe*t KxarnlDer's Report
StatsmeDt of TrlnaDci*l Activilie5
F4ottt to the StxtemeEtts
6 ￿ 10
Detsiied Ststrmejtt of Fhwiflgl Ac¢Evlties
li

Re
rt of the Tn￿£¢$
for the Year Ellded 31 March 2022
The tn￿CeS present their report with the financial of th¢ ¢haTity for the year ￿deA 31 March 2022. The
trustees have adopted the provisions of A¢¢ouniing and Repornng by Chanti&8". Ststement of RecO[D￿end￿ Pra¢tic¢
applicable to cbarities pr£panDg their accounts in accordanee with the RepthÈng Standard appltcable in the
UK and Republic of Ireland (FRS 102) (effective l January 2019).
OBJECTtVES AI¥D AcfiviTILS
Objectives aims
Thc principal objective of Boltott saTnarita￿S is to off¢r c4)nfi¢Jential emotion￿ Sllpr￿rt for people who are suicidal.
despairing al￿ pa￿]ng ttrough personal crisis.
ACHIEVEMENT AND PERFOR￿cE
Fundraising activities
Total incoming resources for the year were £40.454 (2021" £38.742). Net income for the year was £10.368 12021.
deficit £8.012).
FINANCIAL REVIEW
Reserves polley
Totsl reserves at the year were £208.147 induding a designa1￿ reserve of £19.(th deemed to be sufficient lo cover
STRUCTliRQ GOVERNANCE AND MAI¥AGEMETrrr
Governing document
The ¢harÈty 15 £ontroll¢d by its governing docUrll￿ a deed of tr￿st 2tyJ ¢Omlittrt¢s an ￿I[K￿rated charity.
Reglstered Cbarlty llumber
1170604
Principal address
16 Bark Street East
Bolton
tAncaqhir¢
BLI 2BQ
Trnstees
M Riley Treasurer
T Kempster
M Kennedy Secretary
D Astley Director (r¢signed l.11.21)
P Reynolds Ire5i8ned l.1.22)
M Grecnhalgh Ttuste¢ {app0]lli￿ 1.1121)
C Thr¢lf811 Trustee (appointed 7.10.21)
C BilliTJgton TT￿￿tee {apwJinted 7.1021)
Independent Examlner
Keith Hi8son FCA
HigsoTkF Lirnited
Chartcred Accountants
93 Market Street
Farnworth
Bolton
LancashiTe
BL4 7NS

dent
IDer's R rt to the Trusteu of
Boho
IndepeDdent examimer's report to tbe trllslees of Bolton SamaTitsDs
I report to the charity trustees on my examinats.on of the accou1￿ of Bolton Samaritw (the TnL5t) foT the year ended
31 March 2022.
Respon3ibilitses and basis ofreport
As the chatity trustees of the Trust YOU 8re r￿1￿1¢ for the preparation of the aceounts in aceordanee with the
Tequiyemetsts of the Chan"ts"es Act 2011 Cthe ACV).
I Jyport in respe¢t of Tny exyrnination of the Tn]sVs accou[￿ carried out utxder section 145 of th¢ Ac¢ and in rarryin8 Out
tny cxamin8tion I hav¢ followed all applicablc DirectiOll5 given by the Clwtty Cornmission under 5ecb.on 14515)Ibl of
the ACL
IndepeDd¢Dt e￿Miner'S Statement
I Imve COTnpleted Tny examinatiorL I confirni that no materiai matters have eome to my attention in cotme£tion with the
examination ￿vIng me CAUS¢ to believe that in any matttial rtspect:
ac¢ountitig r¢¢ords were notkept ill rwect of the Tn￿ a8 wuir&l by section 130 of the ACL or
the accouDts do not accord with those words: or
the ¥cowits do not cotnply with the applicable ￿llI￿ll￿ts eoll¢erning the form and content of accounts set out
in the Chan'ties {Accounts and Rew)rts) R£gulatioo5 2008 other thall auy requirem￿t thai the ac¢ow)ts give a
trnc and fair view which is tlot a matter ¢onsid¢red ￿ part ofan inde[ae￿ exarti]￿tiO
I have no concerns and have come across other matters in conrtttion with the examination lo which attention should
b¢ dTawn in r¢port ID order to cnablc a pro￿ utider￿￿ of the a(xounts to be ￿Che
Keith Higson FCA
Higsons LittLit¢d
Chartered Accountants
93 Market Street
Farnwotrlj
Bolion
LancashiTe
BL4 7NS
23 August 2022
PAOP 1

rtoftheT
for the Year EJ
Approvaby order of the of tn*ee5 c• 23 AU&￿t2022 and sI￿￿d OD its iKbalf by.
M Greenbalgb. Truste

mellt of FiDaDiiai Activi
for tht Year Ended 31 Mar£h 2022
31.322
Uurestticted
31.3.21
Tota]
Notes
INCOME AND ENDOWMEiYfs FROM
Donations and legacies
17.445
20.702
Other trnding activits.es
Investment income
22,981
17,950
90
Totsl
40.454
38.742
EXPEf4DTfuR£ or4
13,111
16,127
Charltsble adtvitie6
Direct Lhan"thble ex￿&tU
16,975
30,627
Totsl
30,086
46.754
NET ILYCOMEI(EXPEI¥DITIIRE)
IOJ68
18,012)
RKCONCILIATION OF FUNDS
Tot81 f￿￿￿$ browt forward
197.779
205,791
TOTAL Fuf4DS CARRIED FORWARD
208.147
197,779
The notes forn) of these fi￿&￿¢￿1 ststeTrents

Ba]anct Shett
31 March 2022
31.322
31.3.21
Total
fimds
FIXED ASSETS
Tawble ￿ets
114.065
115289
CiJRRENT ASSETS
DcbtOES
5.204
91516
6,915
77,288
96.720
84.203
CREDITORS
Amowlts falling withirt one
(3238)
(1.713)
I¥ET CURRENT ASSETS
93.482
82.490
TOTAL ￿$SETs LLSS CURRll
LIABILITIES
208.147
197,779
NET ASSETS
208.147
197,779
10
208.147
197.779
TOTAL FUNIKS
208.147
197,779
The fi[w￿l81 statell￿ werE approTred by the B(*rd of TnL8tees aDd authori5ed for issue on 23 August 2022 and wert
signed on its be7￿1fbY.
M Greenh￿￿h. Tn￿lee

Bolton Sam
to fbe Financial Statements
for the Year EDded 31 Marth 2022
ACCOi]E4TING POLICIES
Ba5i5 of preparing the finantaAi stst¢m¢pts
The financial statements of the charity, which is a ￿thI1¢ t¢Defit entity under FRS 102, have been prepared in
accordance with the Chatities SORP (FRS 102) 'Accounttng 8nd Reportsng by Ch8rities.' Ststement of
Rec4)mmended Pradi¢¢ applicabl¢ to cl)arilies prepa￿ their acc()UDts ill accord&Èce with the Financial
Re]xirting Standard applicable the UK and Republic of Ireland (FRS 102) (effective l January 2019),,
Financial Repotting Stsndard 102 The FiDaTLcial RetM)rting Standard applicable in the UK and Republic of
Ireland, and the Chariti&s Act 2011. The financial bave prwed unde¥ Ihe historical cost
convention.
Income
All income i4 recogni￿ in the StatetDeDt of Fir￿n¢la] Activities once the charity h&$ entitlement to the fi]nds. it
is probabl¢ that the income will ￿ receiva al￿ the anh)untcall be n￿ll[¢d reliably.
E￿enditure
L￿baltieS are recogllised &8 ¢xpenth'ts]re &s ￿on as there is a legal or co]kStiuctive obligation eommitting the
charity lo thai expendiitY4 tl is pn)bable that a tr8Dsfer of eco1￿miC trrt¢fjts will be requjred in settlement and
the amount of the obligdtion can be Measu￿ reliably. ExF*ndjt￿r¢ is accounted for on an atcruals basis and has
been clagsified under beath'Dgs that aggregate all cost related to the category Where costs ￿not be directly
attributed to p£￿tulaT he&bngs tbey have been all{￿ed to aetivities on a basis consistent with the use of
T#n2ible fixed assets
Depreciation is provided * tbe followi]]g #Dnual rates in order to write off ea¢b asset over Tts estimated wefvl
life.
Fixtureg 2nd fittmgs
. 15% on reJknit)g bala￿e
No depreciation is provided on rn gs the tntstees LxytL8ider the yah￿ of the property to be not less than the
2(X)O revaluation of £50,IIM) plw Sllbseq￿ addiliow.
Taxatio
The cl)arity is exempt from trx on its clwritable activitie
Fund accounting
Unr¢5triGted fi￿dS be ￿ed in a￿￿allee with th¢ ¢harithle objective5 at thc d￿￿10n of th¢ tswt¢es.
Restricted funds can onIy bc useAI for WirulaT PUTrMJKs within the objects of th¢ tharity. RestrictLODS
aTise when ￿cified by the donor or when fijnds att va]sed for particular restricted purposes.
Further explanation ofthe and pwp)se of each fijnd is i￿l￿d￿ ill the note5 to the finallc1￿ ststement&
BraDch Colltributiott
The charge for branch contnTr&ution in the Incon￿ and exp￿]￿ account is based on actual paymet)ts made in
the accounting perio& The ¢ost of the brnD¢h coDtrilMrtion w&$ previously a¢eowited for oll accruals knis.

w￿4￿cl#l Staternents- CODtinued
for the Year EDded 31 March 2022
OTILER TIL4DING AcfiviTIES
31.3.22
31.3.21
Shop ÈncoFne
Coyid 19 Grants
22,981
8.281
9,669
22,981
17,950
INVESTMENT INCOME
31.3.22
31.3.21
Deposit account Interest
28
TRUSTELS. REMUNERATION AND BENEFITS
There were tto trLLgtees' rnnuneTati￿ or other knefits for the ye4r ended 31 M#Tch 2022 nor for the ye8r ended
31 March2021.
It is the [K)li￿ of the ¢haTtty to reitikn all ext￿nseS pnwly tnturTeAJ and claimed by ivs volunteers in
¢onDeciion with irs charitable activitieg. The trusttts ar¢ reirnbursed expenses in accordance with that policy in
¢ommon with othcr volunteers ￿ the totsl seprt ownount involved is not ￿)￿sidered maietial.
STAFF COSTS
The charity has no en￿loye￿ All work c8rried wt forthe ¢lwity is done by volunteeT5.
The average mojllbly nutnbeE of ¢mploy¢¢s dwing the year w&8 &8 follows:
31.3.22
31.3.21
No employees Teceived emohmients In exc￿ of £fAI,(KX).
COMPARATIVES FOR THE STATEMENf OF FINANCIAL ACnVITIES
Unrestricted
INCOME AND ENDOWMENTS FROM
Donations and lega¢ics
20,702
Other trading activities
Investtllent kncome
17.950
90
To(al
38.742
EXPENDITURE ON
Raising fimds
16.127
Ch*ritable actsvities
Direct d)aritsble ex￿1'*ure
30,627
Totsl
46,754
9LVP 7

N4)tts to the fthatt¢i￿ Stst¢mellts- ¢ODtiDued
for tbe Y￿r Ellded 31 Marcb 21122
COMPARATIVES FOR THE STATEM￿ OF FINANCIAL ACllVITILS. roDtiDued
Unrestricted
fullds
NET IWCOMFJIEXPENDITURE)
(8,012)
RECONCILIATION OF FUNDS
Ttltal bn)ught forwxrd
205.791
TOTAL FufiDS CARIUKD FORWARD
197.779
TANGIBLE VIXED ASSEIS
Freeknld
fittings
Totals
At l April 2021 and 31 March 2022
141.475
24271
165.746
DEPRECIATION
At l April 2021
Charge for year
30,344
20,113
624
50.457
624
At 31 Marcb 2022
30,344
20.737
51.081
NET BOOK VALUE
At 31 March 2022
111,131
3.534
114.665
At31 ma￿h2O21
4.158
115.289
DEFfoRS: Amoiirifs FALLING DUE wrrHIN ONE YEAR
31.3.22
31.3.21
Other debiors
Prepayments alld ac¢wed incoD)e
28
5,176
227
6.688
5204
6.915

Notrs to the FttiaDci31 stateD￿nts- cont￿1￿￿
for the Y&qr Ended 3
CREDITORS: AMOUNTS FALLING DUE ￿T￿llN ONE YEAR
31.3.22
31.3.21
Trade crediiorg
Other creditoTs
2,055
1,183
164
1,549
3,238
1.713
10.
MOVEMEiYf IN FUNDS
movement
in ￿n(L8
At
31.3.22
At 1.421
Unrestricted funds
GeDerdl fund
197.779
10,368
208,147
TOTAL FUNDS
197,779
10.368
208,147
Net Jnov¢m¢llt iti inclu(kd in th¢ above 8re &8 follows".
ex￿nded
in
Uorestrlcted f￿Bd3
Genero1 fwMI
40.454
(30,086)
10,368
40,454
(30.086)
10,368
Cotyp#r*tivu for Jnovebne#l itt
Net
ovement
in fimdg
At
31.3.21
At 1.4.20
UDrestii£ted
General furyl
205.791
(8.012)
197,779
TOTAL FUNDS
205.791
18.012)
197,779
Comparativ¢ n¢t tnoveTnent in fund& included in the aEK)ve are as follows:
ResOU￿t$
Movcment
in fi￿dS
Ullrestrlcted f￿ndS
G¢nerdl fill
38,742
(46.754)
(8,012)
TOTAL FUNDS
38,742
(46.754)
(8.0121

Nottt to the FI￿￿¢1￿1 St#tements- coDtinued
for the ye￿ EDded 31 M￿ch 2022
10. MOVEMENT IN FUNDS. eoDtiDlled
A current yw 12 molltts atsl prioryear 12 motsdL8 Combi￿ p￿￿tion is as follows..
Net
movement
in fiwds
At
31.3.22
At 1.420
Unrestrlcted funds
General fi￿d
205.791
2.356
208,147
TOTAL FUNDS
205.791
2J56
208.147
A CU￿ellt year 12 montrk8 ard prior year 12 months Con)bIti￿ Let mov¢m¢llt ]n fuD&, included in th¢ alK)Y¢ a
85 follows..
IneomiDg Resources Mov¢ment
in funds
UnrestrReted fllDd8
Genernl fund
79,196
(76,840)
2.356
TOTAL FUNDS
79.196
{76,840)
2356
RELATED PARTY DISCLOSiJRES
There were tto Telattylm tr8nsactioTrs forthe year 31 Ma￿h 2022.
In

Year Ended 31 M#r¢h 202
31.5.22
31.3.21
INCOME AND ENDOWMENTS
Donatlons aDd Iwcies
Donattons
200 club
Other events
16.480
20,073
310
319
575
17,445
20,702
Other trading *¢tiviths
Shop ineome
Covid 19 Grants
22.981
8,281
9,669
22,981
17,950
Inve4tment iDcome
Deposit account interest
28
90
Total fincomimg rewMru5
40.454
38.742
EXPENDTfuRE
R8ising dDDations *ttd leg*eles
Publicity
568
579
Other trAdlng aellvities
PreTnises & servi¢es
Shop reTrt
3293
9.250
6,298
9250
12.543
15,548
Charita1￿ 8Ctivities
Premises & services costs
Travel expeoses
TelephoD¢
Postage and stationery
Volunteers, traiDill8 & support
FixtLwes and fittings
9.914
345
1414
348
1238
624
2l.845
39
2,167
197
483
734
14.883
25.465
Srypport ¢osts
Gover￿¢¢ costs
AGM & bTan¢h rneeting ex￿nSeS
Brdllch contribution
Ac¢ourLtancy
269
1.163
660
298
4204
660
2,(Y)2
5,162
Totsi resour¢¢s ¢x
30,086
46,754
NÈt 5DeOmel<￿P￿MdI￿*è)
10.36g
(11,012)