ew¢ttts f•rthe
e4r Ellded 31
OfficL% l aNt 2
IA King Street
FarnwM)rth
BoltOD
BIA 7AB

f theYt*r Ended 31 M*reb 21123
Report of the Tr4
1 10 2
B8I%D¢e Sheet
6 to 10

rt rftbrTrustrrs
E#ded 31
The t￿Stee5 present their rwt with the fina￿101 of the ¢hority frx the year 31 FAorch 2023. The
tTUSt¢es have adomed the provisions of AccouotiJg arml Rewtin8 by Cbariti&%: sta￿￿￿￿t of Recojntllended Pr&ctic¢
plicAble to dwÈties ptrwÈriDg their SLY(Mmts *LxXKd￿ the FiD*ncRsl Re￿rtIng Stsnthrd applicAble In the
UK and Republic of (FRS 102) (effedive l 2019).
Objectives and aims
The princi￿] objective of Bo1￿￿ Swnarith to offu w1fide￿iaI er￿)ti￿Al w for pyl¢ 7who ar¢ sui¢idaL
Total m¢omifig rtsout¢es for tbE Ye￿ wetE £40.666 (2022. £40.454}. Deficit tr th¢ y¢•r £10.083 (2022," 5uLpIu5
£10368).
vtWANCIAL REVIEW
Reserves ￿11¢).
GDver•ing docllw¢D¢
Thc charity iscontrolldby its g0v¢rnn￿ adetdOrtru￿ ande(mstituits * In￿t￿￿w"Ity.
1570604
Princip¥l 8ddres
16 Bark Street East
BoSton
BLI 2BQ
M Ril¢y Tr¢*sur¢r
T Kempster
M KetJDedy Secretsry
M Greenhai8h Trugtee
C ThTelfail Tr￿st¢¢
C Billington Tr￿ (resI￿ed 15.9.22)
J Tayloi TtLth (aprrf)iDted 15.922)
Independent ExaMift¢r
LauFa Swift FCCA
Higsons Limit
Aecountsnts
Offices l and 2
IA King Sttret
Farnworth
Boltmj
BL4 7AB

rtofth¢
hrthe Ye*r Emded 31 MKch
Approyedby oth of theFKwdof tr&4ees (ffl 22 Aw2ff23 athl sigDul cffl itsbehalfby..

rtkntheT
31 March 2023
R¢spoDsibllKtics and basis of rtprt
Ag the charity trustees of the Trust you are Tr4wible for the wwation of the ￿m]nts in
reqll￿￿ ofthecharities Act 2011 Cthe Acr).
I report iD resEKrt of my ¢xaTUiDknOn of the TnL5Vs ￿x%￿]￿S cgrr*d Ixrt utthr Seaion 145 of the Aa ard in carryill8 Out
my eK2minati(AJ I have fo1kn4ed all 44)1￿￿ DiT￿lI￿* gNaJ by th¢ ChaT]ty con￿11￿0n SectM)n 145(5Xb) of
the Act.
IBdepeDdent ststemenl
I have coroleted ￿Y examination. l no Mater￿ havt to my att¢nlioll in coll￿ttl0n with the
ting records were ro)t kw in w of the Tr￿ ￿ wrnj by Section 130 ofdK A¢ or
iJJ the Ch&ities (Accounts and Re[m￿S) Reg￿all￿$ 2(K)8 otkn than At)y rquirement that tl* a¢counts sryve a
IAUrn Swift FCCA
Higsons Limited
Accowltants
off1￿8 18nd 2
JA Killg Slnet
Bolton
BL4 7AB
22 August 2023

31.323
Unreskntt&l
31.3.22
Total
INCOME AND E￿l￿wM￿N18 FROM
D(￿￿tt"0￿ and le￿]25
15.738
17.445
Other trading activities
Invtstmertt ithtome
23.747
21981
28
40,454
EXPENDITURE ON
2526AJ
25,489
16,975
50,749
30,086
NET INCOMEI(EXPENIrn)
(10.083)
10.368
RECONCILIATION OF TriTNDS
TNal fimd% brollgbt forward
208.147
l97,779
I98.￿￿4
208,147

Sh
JI March 2011
31.3.23
31.3.22
Toul
FIXED LSSETS
TaDLqble assets
114.135
114.665
CURRENT ASSETS
Ikbto
Cash ￿ bank
5278
80.496
5204
91516
85.774
96,720
CREDITORS
(1,8451
13238)
83W29
93,482
TufAL ASSETS LESS C(fRREKr
19&064
208.147
NET ASSETS
198.1
208,147
io
198.
208.147
198.
208.147
The financial ststements w¢rr ￿p￿￿vrAI by thc Bojrd of alld aUlkn1￿ ftr i&sue on 22 August 2023 aThJ were
sI￿￿d on itsbehalf ty.

Ended 31
rch 2023
ACCOUNT1Tr4G POLICIFS
Blsis ofpreprifjg the ststemeots
The s*atements of the Charity. whieb ￿ a benefit entity under FRS 102. have be￿ prepared iry
Rqyirting Swniknl 8FpIKgbl¢ in tbe UK aDJ Rybb"¢ of frdand (FRS 102) {efftttive l Jattuary 2019}'.
Financial RewttO8 Stad￿d IW2 Tr FitJwKi41 Rcwtting Stan(knl aFp]l￿bI¢ in th¢ UK Republic of
Ireland, and the Cb8rtrJ"¢s Art 2011. Th¢ fit1￿￿[ statrJn(xxts have prep￿j the bi5tor5cal cl￿t
IAcon
All income is stat£￿ (rfFtnancial Acttvrties OTKr the h&8 ctllitlenxnt to the fimd4 11
is probable ttmt the ]ll¢oll￿Will IK ￿ce[vCd I￿1th¢ afflollntcan be Th￿￿tArelIablY.
the aTTM)Urt of the obligation c4n k nKwed reliably. EXp￿ilUTe is *coun*d for on an accruals basis and has
resourees.
TaDxibk fixed
Dep￿"at￿ is wivtdoj at the followinE *]Rual T*$ in (Rthr to writ¢ off exh a4sex over its eAimated useful
Fixtutes and fitDD85
Tax8*io
The charity ts tsx its cFwitabk xtiiryliE
FuBd rnlillg
Fwthwcxpiarthion of t￿ nabJreaThl of fund ts1￿1th1 thc fin￿cial 5tstcmcnts.
The cknge for branch CODthThwb)n in the i￿)Me attd ex￿￿]ib￿ *LXMmt is OD actyal payments m&k itl
eontinue&..

for the Yur Ended 11 Martkn 21n3
OTHER TRADIIYG AcllN'ITIES
31J23
31.3.22
Shop ifteome
23.747
22.981
31.311
31.322
TRUSTEESI REMUNERATIOli AND BEFIEF￿s
31 March 2022.
It is the polECy of the clwE'ty to reimbuTre all exp%￿ woperly llxurrtd a￿j claimed by il's voluntew5 in
eortne¢ts"on thith rfg ¢hantabk a¢￿'bel The trn#ees ate reimtrA]rsd exp￿8 in *corthc¢ witb th8t p)licy in
totn￿￿ with othÉ* volunt¢m *[¥{ thc loknl XFW4tc Nrrh>JTht involved is ncrt coDstht•J matuial.
STAFF COSTS
31.3.23
31.3.22
No empw ye￿1V￿J en￿lUm￿l￿ Th exc￿ of £60.(M).
Unr¢stri¢t
fund8
INCOME AND ENDOWMENtS FROM
DoDation8 and le8xie&
17,445
(hhcr tradin8 activities
In￿lment im)n)e
22.981
28
40.454
EXPE,NDI"I'URE ON
Raisin8 fu￿15
13.111
Cbat4tsble attlvltles
Di￿# chan"thbleexr¢4inu¢
16.975
30.086
NET INCOME
10,368

for the Yur EDdul 31 Mxrtb 2023
COMPARATIVFS FOR THE STATEMENf OF TrINAf4cL4L ACflVIIIES-(oBtiBvd
Untestrict
RECONCIIJATION OF FUNDS
197.779
T(¥fAL FUNDS CARRIED FORWARD
208.147
TAf4GIBLE FtXED A&SEIS
Fixwr¢s
Fred￿ld
Tots15
A¢ l April 2022 a￿j 31 March 2013
141.475
24271
165.746
DEPRECIATION
At l April 2022
Charge for ytar
30J44
20,737
530
51.081
530
At 31 March 2023
30344
21267
51.611
NET BOOK VALUE
At 31 March 2023
111,131
114.135
At 31 m?￿h 2022
3534
114.665
DEBTOILS.. AMOU￿5 FALLING DUErnONW. YF.AR
31313
31.322
5278
5.176
5278
5204
P88c 8
ntinued..

Lear Ended31 :Marth 21123
CB￿lT0￿8. AMOUNIS FALLING DUE wfriiiN ONE YEAR
31.323
31.3.22
412
1.433
2.055
.183
(hher cr&lito
1.845
3,238
IIL MOVEMEP4T IN FUNDS
Net
Ai
31.3.23
At 1.422
ill fuud5
UrÈrestrirted fDDds
G¢n¢rdl fund
208.147
(10,083)
198,
208.147
(10.083)
198,
Net movemellt ID inclth aFK)ve ate Is follo￿.
MOvem￿l
GeneraL fund
(50.749)
(10,083)
(50,749)
(10,083)
Comp*rgtives for mowemettt kn f*thd%
Net
At
31.3.22
At 1.421
U•restYirted fwi
Ci¢n¢r61 tht
197.779
IOJ68
208,147
197.T
iOJ68
208,147
Resou[C￿ Movemttjt
in funds
Unrutrkted fvnds
General Alnd
40,454
(30,086)
10.368
TOTAL FUNDS
40.454
(30.086)
10.368
CLMtinue&..

for tke Ye*r Ended 31 Vl*rch 2023
A current rn 12 ny)tth a￿1 pxioryear12 D￿￿h$Con}bined￿tsltic￿ is &% follows:
Net
At
31.3.23
At 1.421
in fi￿￿$
197.779
285
198.1)64
197.779
285
198.064
as foll¢)ws.'
Movement
81.120
{80.835)
285
TOTAL FUNDS
81.120
(￿.835)
285
ii.
RELATED PARTY DISCI￿UREs
Page 10

t vf Activi
forthe Year Ended 31 2023
31.323
31.3.22
Donatio￿ apd leg4tks
tk)nations
200 club
15.156
230
352
16.480
575
IS.TJ8
17.445
Slw income
23,747
22.981
Investment
D¢posit ac￿￿￿( ititer¢
1,181
28
TotAI ineoming rtswrt
40.454
EXPENDIT1JRE
Ratslng do￿￿10￿9 and legtti
Publicity
13.601
9250
-1293
g250
Shop rellt
21851
12,543
Cb2ritsble *etlviti
11540
1fv83
9.914
345
2.414
Ttavel expell5¢5
Tclepkn
Posra¥e and 5tatiODery
Volunteers, ttatning
Charit*ble donAtio
Deprrfiatson Ortan￿ble fixrd
331
1555
1238
530
624
18.707
14.883
Support eosts
560
5532
269
1.163
Branch conthbutio
A¢countatt¢y
6.782
2.092
50.749
30,086
Net (expendlthr¢ylnovne
(10.083)
IOJ68
Pa8cII