BEGISTERED CHARITY NUMBER: 117(W4
rtortheTn￿￿
FI￿*￿£521 Ststements Cor the
Ettdtd 31
2024
Botton
Higsojjs Litnited
Ac£ountsnts
Offices l atjd 2
IA King Street
F2rnwortb
Bolton
Greater ma￿hester
BL47AB

Bolton
Contttits of tbe Financial Stxtemeuts
for the Year Ended 31 Nlartb 2
24
Report of the T￿￿tte$
I to 2
tndep¢DdeJ)t Report
Ststement of Fingndal Actlvltles
Balance Sheet
'otes to the Fin*neSal Statements
6 kn 10
Detalled Statement of Fin*Dtial A¢tiv6tles

Bolton Samaritans
Report of the Trustees
for the Vear Ended 31 Mareh 2024
The M￿te&S Present their report with the fitwicial ststements of the chan.ty for the year eth 31 March 2024. The
trnstees hav¢ adopte4J the provisiorLS of AccounliDg a￿1 R¢￿ttng by Cbarittcs.. Stst¢m¢nt of R¢conYA¢nd¢d Practic¢
applicable to charits.es PTepaTing thffl"r xcounts in accordance with the Fitvncial Reportjng Standard applicable in the
UK and Republic of Ireland IFRS 102) leffectiye l January 2019).
ObJeitAvts and xlms
Thc pnncipai objective of Bolton sanwi.tans is to offer confithntiai emotic￿1 sunK*rt for p&)ple who &Ee su2cidaL
d¢spainn8 aTKi pa55in8 through PET50nal crisi5.
ACHtEVEMENT AND PERFORMAf¥CE
Fundrai%ing activities
Total incoming Tesowces foT the ye4r were £43.595 {2023. £40.666). Deficit for the yeAr w8s £4J24 12022. deficit
£10.083).
FifiANCIAL REVTEW
Reserves policv
Total Teserves at ihe year end wer¢ £193.540 including a designa*d tesetve of £19,OCA) deemed ￿ be suffi¢ieDS to cover
Six rmnths running cosrs, In order to allow for the OTdcrly wir¥Jing up of the eharity, should CiTcum5rances require this.
STRucfuRE. GOVERJ4AL¥CE AND ￿f￿AGEmENT
Governing document
The charity is contmlled by its govoning d(YumenL a ded of trust and constr"￿tal an unit)corpoTated chan"ty.
RF.FEREliCE AND ADMINISTrATIVE DETAIiS
Regislered Charity number
1170604
Principal addre&s
16 Bark Street Easi
Bolton
Lancashire
BLI 2BQ
Trustees
M Rilty Treasurer
T Kempster Trustee
M Kennedy Secretary
M Greenhalgh TTU5t¢c
(". Thtelfall
J Taylor Tn]stee
G GNndy Trustre (app)inted 14.9.23)
Independent Exandtter
Colin Turner ACCA
Higsons LimEted
ALcountants
Officeg l and 2
l A King Strttt
F3rnWOrth
Bolton
CJTeater Manchester
BL47AB
P48¢ 1

Bolth
rt ofthe Trustees
for the YeY4r Ended 31 ￿l￿rth 2024
Approved by orderof the board of tr￿Stee$ l July 2024 aN1s]￿Kd on Tts tthalf by..
M Greenholgh- TnL8tee
Page 2

IndopendwLls8rniiieT'5 ligptsrt.to I"rustte5 of
Bolion Samarit￿5
Independent exami￿er,5 report ihe irusit¢5 of Bohon Sgmarit3n5
I rep()rt io thL' chanty, mL%ieth on m%. e¥arnIn￿]0￿ i?f Tk. accwrtts Bohon SatnantsTL% iihl for thL year cnded
?1 Nlorch ?{)?4
Reswn5iliililies #nd basis ofrtport
.45 Ih= iharin. EN%ieiS Ot" Ihe Tw¥1 iou art reswnsible the prtpjrdtth of the accounts in accordance w'lrh the
r¢qiii]LtThL'lllS ofthe ChEtiti# kni ?01 I Ilh¢.Itl'l.
I ￿ort In rLwekl olm￿. exammaiioft of TnLsrfs account& &￿ed oui under Seaion 145 ot the.4cr and m oui
mv ex￿)i￿all{ln I hait follc>wttl all aAilicabk DirniiiTh by the llwty ￿)Ib￿>L*S￿l ￿￿er SttiNin 14515Mbi i)f
rhe Aci.
Indeptndeni t￿mInty'S St4iemeni
I Iiaie con)pl¢td m!. ¢unun11i￿. I confirni thai Ro t￿llendi rndr¢r5 ha￿ c(Mne to att¢tition ￿ connttiiojj wjth the
exaiiiiiulioii gisiiie IMe iaU%e E(k&lÈL've that in anv ￿￿e￿al w.
aLcouniinbJ reiords- ￿'ere ikn)t kepi In resreci of the Tnw as Eequir￿1 b) knion 130 of rlie ACL or
Ihi accoullii 40 a¢iord H ith tlw. reconL%: or
thk a¢¢OIIOL% do not ¢omplY Mith th¢ arollcabli requi￿rne￿5 ihe foFm arxl conieiil ol. aicounh set oui
Iii thc Chanii%s IAcwwits and R¢p)rt51 Regulaiions othLY Tlkin an} rcyuiTern¢nt thdi th¢ accounis ¥ii'c a
IFUC aiid fa. ir wi¢w ￿h1￿h i% a JnaifLY db pan of an Ewni LLAtn5]utiun.
I liai'e no Lonc¢nLS and hal'c aly1￿% TKTr OtE*r maiiets in ¥1)nn￿lI0n M"iih ih. ekwninaiion ts) ￿'hICh ollClTrtion shKil¢J
be dyawn in rhis Jrwt in ro enable a PToper und¢w5[aMl￿ of tht accounisw b¢ Yt4ched.
Colkn TumL* ACLA
Higsons LimtL
OtTJLi% l and
l A Kiiig %ire
Farniiorth
Boliott
6￿aler NlanLhcsiLY
BI.4 7AH
I lllly ?0)
Page X

S4mgTitans
Stalement of Fina
Acliiitie5
for the Year Ended 31 11￿2024
31.3.24
Unrestnrted
Total
fil￿15
No*s
INCOME AND ENDowNIEKfs FROM
Donations and legxies
14.474
15,738
Other trading acllwties
Invesllnent inc4)me
25,823
3.297
23,747
Total
43.594
40,666
EXPENI)ITURE ON
Raisittg fun(
19.074
25260
Chgritsble actiwit
Direct charitsble expedibjre
21,193
25,489
Total
40267
50,749
ET INCOMFJ(EXPEE*TIITURE
3.327
(10.0831
RECONCtLIATION OF FUNDS
Total funds broughi forward
198.(
208,147
TOTAL FUNDS CARRIED FORWARD
201,391
198,064
uotrs fonn pan olthcs¢ fM￿jai statanellts
Page 4

Bolton Sxmarilxns
31 March 2024
31.3.24
Unre%tncted
31J.23
Total
Notes
FIXED ASSETS
Tangible assets
121.535
114,135
CURRENT A&Strs
Dcbiors
Cash at bank
5.029
77J85
5,27
80.496
82,414
8S.774
C.RF.DITORS
Amount5 fallin8 due within one year
(2.5581
(1.8451
hET CURRENT ASSETS
79.856
83,929
TOTAL ASSETS LESS CITRRENT
LIAIJILITIES
201,391
198,064
ET ASSETS
201.391
198.064
10
Unrestn¢ted funds
201.391
198.064
TOTAL FUNDS
201,391
198.064
The financlat statements wet¢ approved by the Boud of Trn5te¢s ar￿ auih0ri5&1 for iswe ott l July 2024 snd wer¢
sign¢d on its behalf by..
n7.C
M Greenhalgh. TnJste¢
The notes foFm part of these fmatKME 5tstcm¢nts
Pa8e 5

Bol D samarit￿$
I Statements
ed 31 Marth 2024
f4br the Year F.
ACCOUNTING POLICIES
Basi5 of preparing the fin*nel#l statements
The financial statements of the clJaTity, wbicb is a pubbe entity wjder FRS 102, have iwi pryared in
ac(ordance with the Charities SORP (FRS 102) 'Accounting aTMJ Rewrting by ChaTittes.' Ststement of
RttomDMided Practic¢ applicable ro cbanttes prq)anDg their xcollnts ID accordance wtth the Financ￿1
Rtporting Standard applicable tn the UK aTMI Rcpublic of Jreland {FRS 1021 {effective l January 20191..
Financlal Re￿rtIng Standard 102 The Fit)anLial RepoTts"ng Ststmlard appli¢ablc in the UK and R¢public of
Jreland, and the clwits.cs Act 2011. The finan¢tsJ Ststem￿ts have p]rpared utmkr th¢ histoncai c05t
conveni￿n.
Incorne
All in¢oTne is recowsed m th¢ Statemeni of FinaDc¥al Activities ottct the cls8rity has entill￿ent to the fimd5. 11
is probable that the iTKome ￿ThI1 be r¢ttived and the amounl Can bc measured reliably.
F.xpenditure
Liabdities ￿ tccogDised &$ CA￿￿.￿re as scm &$ tlKre is a legal OT eODStnKtive obligab.on cornrnitting the
charity to thai EXpeT￿1￿re. it is P￿babIe that a trwJsf¢r ofe￿￿0￿]C beT￿rits will be ieqlliied Jn %ttlcment a]]d
the amount of the obligahon can be Measur￿ retmbly. EXp¢nd1tt￿e is ac¢oulltgJ for on an a¢¢Tuats basis h&8
been cl&ssified und¢T headings thai aggregate all relakd tts the category. ￿ere costs cannot be directly
aitributed ￿ particular ￿ tFy have i￿en all(xated to acnvitie5 on a btsis ¢OLSiS(ent with the use of
resouwes.
Tanglble fixed assets
Cpreciat￿n is provided at the following annual rates in orthr ￿ wrtte off assel over its estimated useful
lifc.
Fixknes and fittings
15•/0 oo JrknJc]Dg ba12Dce
No depreciation is provid¢d OTh prom ￿ the trustees ¢oT*Mkr the value of tk ptoperty to be not less than the
2LKM) revaI￿allOn of £50.(KKI ph]s sut6equeni *ldthlls.
Taxatio
The cban.ty is excmpt from t&x on its clwitsble xrivities.
Fund accounting
Unr¢stricted fund5 Gaaj k used in x(x)rdaTKe chatitable objecuves at the diKretion (pf the trustees.
Reskn¢ted funds can only be used for pathcular restricted pur[K￿£S within the objects of the ch8rity. Restrictions
arise when sFrcified by the donor orvthcn fijnds aTE ra￿A forp•thcular Ta￿l¢ted
Further explanation of the n￿tsre a￿1 Purpose of e¥h fiMMI is inclutsj In the TM>tes to the fiT￿nCIal stskments.
Branch contribution
The Ciwge for brdnch colltributiot) in the incorne aTrJ exr£nth"lure accouttt is ba￿d OJ actual p8)rynents made ID
the ￿cOunting period. Th¢ w5t of th¢ br?￿h contnbution was Pre￿oU5￿ accounttsl for on an accnjals basis.
Page 6
ontiThued...

SAMS
olcs to thc Financial Staten￿nts- continued
for ihe I'eaT Ended
l March 2024
OTHER TRADING AcnvrrtFs
31.3.24
31.3.23
Shop income
25,823
23.747
INVESTMENT INCOME
31.3.24
31.3.23
Dewsii ac¢ount Inte￿5t
3297
TRUSTEES. REMUNERATIOli AND BENEFITS
There were no I￿51ees, remu￿ or other benefits for thc ye4T ¢odtyJ 31 M8rch 2024 nor for the year ended
31 March 2023.
Trustees. expenses
It LS the policy of 11¢ ¢hAn'ty lo Yeimburye all exptyw pr￿tly illCUTTed claimed by ie# volunteers in
C02]nectson with ifs chantrble acliviiies. The tnwces are TeimErt￿ expense5 in ¥cordance with that tK)licy itt
common with othcT volunteets ihc iotal sepatate an￿1 involved i• not tO￿￿1e1c4j rMtCn￿.
STAFF COSTS
The charity has rKJ ¢mployees. All Work cam¢d for the ¢h•rity 18 &)ne by volun*m.
The 4verag¢ monthly nunknr of employees thwm8 the year was as follows..
31.3.24
31.3.23
No ernployee8 rte¢ived emohlln¢nts in ¢xce¥s of £60,OCfj.
COMPARATIVES FOR THE STATEMENf OF FINANCIAL ACTIVITI
Unrestricted
INCOME AND ENDOWMEYIS FROM
Donaiitsn5 and legacie5
15.73
Other trading activiiies
Invcslment incom¢
23,747
Total
40.666
ExPEND￿lRE ON
Raising bjnds
25,260
ChArft*ble actiTAtks
Lh"reet chantable ¢zrKditu
25.489
Totsl
50.749
WET INCOMEIIEXPEWDrruRP.)
(10,083)
PaEf 7
continued...

fltes to the Finan¢i21 Statements- eontinlled
for the l'ear Ended 31 Marth 2024
COMPARATIVES FOR THE STATEMEYf OF FINANCIAL ACTIVITIES- CO￿tin￿ed
Unrestricted
funds
RECONCILIATION OF FUNDS
Total ￿ndS brought forward
208.147
TOTAL FUNDS CARRTED FORWARD
198,064
TANGIBLE FIXED ASSETS
Fixtur
Frtthold
fittinBs
Totsls
Ai l Apnl 2W23
Additions
141,475
24271
9.235
16S.746
Al 31 March 2024
141.475
33,506
174.981
DEPRECIATIOY
Al l Apnl 2023
Char8¢ for year
30J44
21.267
1.835
1.835
Ai 31 March 2024
30J44
23,102
53,446
NET BOOK VALUE
At 31 March 2024
10.404
121,535
At 31 March 2023
114,135
DEBTORS: AMOUNTS FALLING DUE ITrTfHIN ONE YEAR
31.3.24
31..1.23
PrepayTrnts and ¥¢￿￿j IT￿￿¢
5,029
5,278
Pag¢ 8
continu&i..

BoltsB Samaritall5
l¥otes to the Financigl
or he Y￿LE
tements-
11 Marth 2
CREDITORS: AMOUTrITS FALLING DUE wrrHIN OYE YEAR
31.3.24
31.3.23
Tradc creditors
Oth¢T ¢rediloT5
412
1,433
958
2,558
1,845
io.
MOVEMENT IN FLNDS
Net
moVeM￿t
At
31.3.24
At 1.4.23
Unrestrlcttd funds
General fiJNi
198,064
3J2?
201.391
TOTAL FUNDS
198.
3.327
201,391
Net movement in Incl￿ in thc aEove we as follows..
Nlovem¢ni
In furyjs
rasources
pendtsj
Uttr*itrkted futtd¥
G¢n¢ral
43.594
140,2671
3,327
TOTAL FUNDS
43.S94
140,267)
3.327
Comparatlves for movement In hnd$
Ncl
Move￿￿t
in ￿ndS
At
-11.3.23
At1.4.22
Unrestrlcted funds
Gener#1 fim
20R,147
(10,0831
198.064
TOTAL FUNDS
208.147
{10,083)
198.064
Comparative net movement in fiJTh&. i￿1￿J in the al>ove are &8 follows..
Incorning
Rasources
Movement
bnrestrl¢ted
General fund
(50,749)
{10,083)
MTAL FUNDS
(50,749)
(10,083)
continurd...

for the I'vdr Endtil Jl
MOVEMENT FUNDS- ¢011linu¢d
h20
10.
A current year 12 months and prioryeaT 12 nx)nths combin￿￿)51110ll is as follows..
Net
movem￿1
At
31.3.24
At 1.4.22
Unrestrfcted funds
General fijnd
208.147
(6.756)
201.391
TOTAL FUNDS
208,147
{6,756)
201.391
A currenl year 12 montlLS and prior year 12 Months combiwj net movemenl in fiuth. inclu(kd in the ai¥>ve 4Te
a¥ lollows..
Incoming
Re5011rc
sourtts expended
Movcment
Unr¢strkttd fynds
General fund
84260
(91,016)
10,7561
TUTAL FUNDS
84,2fA)
(91,016)
(6,7561
RF,LATED PARTY DISCLOSURFS
There were no r¢l&ted paty trarwtÈons for the year ended 31 March 2024.
Page 10

Iled Statrment of Fittancial
31.3.24
31.323
INCOME AND ENDOWMEIY13
Donatlons und legaeStJ
Gifts
Donaijons
2(X) club
Othcr events
14.247
15,156
230
352
38
14.474
15.738
Other tradlng act1￿￿
Shop Income
25.823
23,747
Investrntnt Income
Deposit account Jnter¢
3,2WI
Totsl In¢omthg reJour¢es
43.594
40.666
EXPENDITURE
R4lxlng donition5 and Itg*rl
Publicity
1,447
2,409
Other tradlng acdvltl
Premises & s¢rvic¢s
Shop reni
8.377
9,250
13,601
9,250
17.627
22,851
Charltable actlvltl
Premise8 & serviies costs
Travel expenses
T¢lephnne
Poslagc and Ststionery
Volunteers, training & supwi
Charitsble donation
Depreciatiots of tan8iblc fix￿ ass¢ts
10.854
1.258
2.497
415
11.540
,683
2,068
331
1,4R7
1,835
I,ooo
530
18.346
18.707
Stsppfjrt costs
Governance costs
AGM & bTrnch mectin8 espenses
Branch contributson
Accuununcy
692
1.465
690
560
5,532
690
2,847
6.782
Totsl rcsourcas cxpcnded
40,267
50.749
Net incornellexpendllurel
3.327
(10,0831
This dog* forni pth orth¢ sratsllory fi￿￿lat Sth*rnents
P38ell