CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees. Annual Report for the period
From 0110412023 Period start data To 3110312024 Period end date
Charity name: Eye to Eye Counselling Service
Charity registratlon number 1170631
Objectives and Activities
Summary of the purposes of
the charity as set out in 115
governing document
Para 1.17
The purpose is to relieve and prevert
suffering caused by mental or physical
illness or by emotional stress among young
adults and their familvès by the provision of
a confidents.al courtselling Servi￿ in South
Wales
Offering a Free Counselling service to
young people beIN￿en the ages of 10 and
30 years
Summary of the main
activities in relation to those
purposes for the public
benefit, in particular, the
activities, projects or
serVi￿S iderrtffi8d in the
accounts.
Statement confinning
whether the trustees have
had regard to the guidance
issued by the Charity
Commission on publi¢
benefit
Parn 1.17 •¥1
Para 1.18
The trustees have regard to the guidance
is$￿1 by the Charity Commission on
wblic benefft
Additional inforniation loptional)
You ma choose to ind(b￿e further statements wtsre rekvant about".
NIA
Policy on grant maknng
Para 1.38
NIA
Pollcy on social investment
including program related
investment
P8rn 1.38
The chanty has 11 volunteers delivering
fre8 community-based counselling to young
people aged 11 up to 30 years.
Contribution made ty
volunteers
Para 1.36

Achievements and Perfornianco
Summary ofthe main
achievements of the charity,
identifying the difference the
charity's work has made to
the circumstances of its
beneficiaries and any wider
beneffts to society as a
whole.
(knr 2200 young people aged b&twe&n 10
and 30 yeaf5 accessed the service across
the Local Authority and the Local Health
Board, with over 7800 sessions delivered.
O¥er 98% of these young people showed
sunificant imwovement in their emotional
we11b￿"ng.
This year we continued to have additional
funding from the Big Lottery to work with
young people and their families who have
suffered or been affected by a traumatic
event. We also received Additi'onal
Funding from the Welsh Govemm6nt as
part of the Vthole School Approach to
Mental Health and Wellbeing, to provFde
additional counselling throughout the year
induding the summer holidays. Also to
support pupils who are non-attenders at
sthool.
Additional Infomiatlon (Optional)
You rna
choose to include further stat￿ents vthere relevant aboutr.
Achievements against
objectives set
Parn 1.41
Perfomiance of fvrKlraisir
at*vitres against obj'ectives
S8t
P*a 1.41
Investment perfomian
against objectives
Pwa 1.41
(Xher

Financlal Review
Review of the chartys
finanaal position at the end
of the period
Pwa 121
The charFty had a total income this year due
of £626,708 (LY:599,966) for the year. This
year we also had an increased expenditure
of £598,072 (LY.. 568.860}. The charities
total reserves dewsed to £187,393.
Statement explaining the
policy for holding reserves
ststing why they are held
Para 122
Eye to Eye Youth Counselling Sepii
believes that the charity should hold
financial reserves (the 'Emergency
OperatifYJ Reseprfe"_ EOR) for the
following reasons
i. It is entirely dependent on project
funding for income from year to year
which is inevitably subJ'eGt to
fluctuation.
ii. It requires protection against, and
the abilty to continue operating
despite, catastrophic or lesser but
damaging events.
Eye to Eye wshes to protect the continurty
of the charity's work in the event of a
shortfall of income. the reserves held V￿11
enable the charity to manage the risk of a
reduction in funding resulting in the
redundancy of staff and reduced seprfices
until further fiJrKling Can be secured to
contsnue its work, thus minimizing the effect
on the communrty we serrfe.
Tr18 trustees believe that the minimum level
of Reserves should be the equtvalent of six
months. oFffiting costs calculate(J and
reviewed annually and believe that the
EOR should be buitt up to the desired level
in stages c(Y)sistent with the ¢haiity's
overall financial position and its need to
maintain and develop its charitable
aGtrvrties.
Amount of reserves h61d
Para 1.22
The current level of EOR stands at
£187.393 as of the 314t March 2024
NIA
Reasons for holding zero
reserves
Para 1.22

Details of fund materially in
deficrt
Explanation of any
uncertainties about the
arty continuing as a goiNJ
concem
P¥a124
WA
Pawa 1ZJ
The charity
Is entirely dependent on proied Local
AUlt￿rity funding for income which is
inevitably subject to fluctuation and subject
to Tender.
It requi￿ protection against, and the abilty
to continue operating desprte. catastrophic
iy lesser damaging events. The charity
hokls reserves to ensure rts abilty to
conts'nue and seek altematrve fijnding in the
event of all fijnding being withdrawn. The
(*arity regularly r8view8 its ri8ks.
Addltlonal Infomiatlon (optlonal)
You ma
choose to indude further statements where relevant about.
The charity's
principal
80urces of
funds (includlng
any fundraising)
The charities funding relies on grants from Local
Councils and Local Health Board.
P4rn
1.47
RCT: £ 353.971.IX)
LHB: £ 20,400.00
Investment
policy and
objective8
incfuding any
80cial
investment
policy adopted
Only have a re8eNe8 policy for inv88tment.
A description of
the principal
risks facing tho
P•rn
Other
Structure, Governance and Management
Description of charity's
trusts..
Type of goveming document
,rust oeed.
al chartiei
How is the charity
constituted?
. e a LlP,Ip,corporated
association. CIO,
Para 1.25
Conststution
In¢on)orated association

Trustee selection methods
including details of any
constitutional provi&ons e.g.
election to post or name of
any person or body entrtled
to appoint one or mo
trustees
Parn 125
At the annual genwal meeting of the
Charity the memters shall elect from
amongst themselves a chairperson. vi
chairperson, a secretary, a treasurer and
training officer, who shall hold office from
the condusion of that meeting.
(1)
The exeurtive Committee shall
Consist of not less than 5 members
nor more than 10 members being",
(a) The honorary officers specified
in the preceding clause.
(b) Not less than 5 and not more
than 10 members elecied at the
annual general meeting who
shall hold Offi￿ from the
condusion of that meeting
The Executive Committee may in
a(klition appoint not more than 2
C(￿pted members but not so that
n¢Fone may be appointed as a
cwpted member rf, as a result
more than one third of th8 members
of the Executive Committee would
be COwOPted members. Each
appointment of a co-opted member
shall be made at a special meeting
of the Exec￿4Ve Committee called
under dause J(1) and shall take
effe(* from the end of that meeting
unless the appointment B to fill
place which has not then been
vacated, in which case. the
appointmerrt shall run from thé date
when th8 Post tEcomes vacant.
All the members of the Executive
Committee shall ￿tire from office
togeth8r at the end of the annual
general meeting next after the date
on which they came into office but
they may be re-elected or re
appointed.
(2)
(3)
{4}
The pr¢xeedings of the Executive
Commtttee shall not be invalidated
by any vacancy among their number
or by any failure to appoint or any
defect in the appointment or
qualification of a member.
(5)
Nobody shall ￿ appointed as a
memb8r of the Executive
Committee who is aged under 18 or
who would rf a
ointed te

drsqualified under the provisions of
the following clause.
(6)
No person shall be ents'tled to act as
MeM￿r of the Executive
Commrtt88 whether on a first or any
subsequent entry into office until
after signing in the minute book of
the ExecutNe Committee a
declaration of acceptance and
willingness to act in the trusts of the
Charity
Addltlonal Inforniatlon (optional)
You ma
choose to include further 8tstements where refevant about".
Polici88 and procedur88
adopted for Ihe induction
and trainlng of trustees
P*• 1.51
The charity'8 organisational
Structure and any wider
netwo￿ with which the
charity works
P•rn 1.61
Relationship wrth any related
partie8
Reference and Admlni8tratlve detsll8
Charit
name
Other name the cha
istered chari
number
Charrty's prinapal addre88
E e To E e Counselli
nla
1170631
Uantwit Fardre Communty COU￿11 Office
Main Road
Llantwit Farthe
Pontypndd
CF38 1 PY
Service
Names of the charity trustees who manage th• charlty
Tru¥tse rngmo
c• (Irary)
Chaimian
Nam• ol pwson lor body) entitled
olnt trustee
Ifan
David Stone

Kevin McDonald
Linda Michele
Debbie Page
Evans
Peter Griffiths
Dafydd Morgan
Joy Nicholls
Gareth Bishop
Vice Chair
10
12
13
14
15
17
18
19
20
Cor
orate trustees - names of the directors at date the re
Dlrector narne
rtwasa
Nla
Name of trustees holding title to property below.ng to the Charity
Tnwte• nam•
Nla
Funds held as custodian trustees on behalf of others
Description of the assets
NIA
held in this capaaty
Name and obj'ects of the
charity on whose behalf the
assets are held and how this
falls within the custodian
charrty's obj'ects
NIA

Details of arrangements for
safe custody and
segregation of such assets
from the charity's own
NIA
Addltlonal Infi)mMtion (optlonal)
Names and addreues ot advls•r• (Opllonal Inforniatlon)
Typ• of
Nome
advl8•r
Addres•
Flnancial
William8 Ro88
P4BLaw
Human
Ruourc•
4 Yny8 Bridge Court, Gwaek)d Y Garth, Cardiff, CF15 9SS
9 Centre Court Main Avenue Treforest Industrial Estate
CF37 SYR
Nam• of ¢hl•f •xecutlv• or of *•nlw staff mombws (Opuonal Inforniatlon)
Alison Theak8r- H8ad of Service
Christine Binding - Senior Manager
Exemptlons from disclosure
Reason for non-di8c108ure of ke
rsonnel detai18
Other o
tional Infomiation
Doclaratlons
Tho trust••s d•clar• th•t th•y havo approv•d the tru•te•s' r•port abov•.
Slgned on b8hall of tho charlty's tru*tso•
SIgna￿re¢S)
Alison Theaker
Full name(s)
Posltion leg Secretsry.
Chair, otc)
Ali80n Theaker
Coordinab'ng Manager
2024
iQ2

CHARITY COMMISSION
FOR EMGLAND AND WALES
E e to E e Counsellin
Service
Annual accounts for the
To
1170631
eriod
3110312024
0110412023
Section A
Statement of financial activities
Restrlcted
Income
funds
Recommended categories by
activity
Unrestricted
funds
Endowment
funds
Prior year
funds
Totsl fynds
Incoming resources (Note 3}
Income and endowffl8nts frorn:
Donation$ 8nd16y8¢
Chatitabkp a￿1vit
F01
F02
F03
F04
F05
$01
4,224
35,621
4,224
614,337
1,598
597,316
S02
578,716
Other Irading activities
Investmen15
S03
S04
8,147
1,052
Separate material item of incomo
Other
S05
Total
Resources expended (Note 61
S07
47,992
578.716
626,708
599,966
Expendlture on:
Ra15ing funds
Char51ablf *bvllies
122 887
4,608
470.577
593,464
564,084
4,776
Governance
S10
Other
S11
Total
S12
127,495
470,577
598 072
568,860
Net incomellexpenditure) before investment
gainslllossesl
S13
79,503
108,139
28,636
31,106
Net gainsllbssesl on inv8slm8nls
S14
Net incomellexpenditure)
Extraordinary items
Transfers between funds
Other recognised galnslllossesl:
S15
79,503
108,139
28,636
31,106
S16
S17
Ga1ns k)SBes on revalualv)n of fixed as¥*$forih¢ ¢h¥rlty'$ 04Vn use
Other gEinslllosse51
Ngt movement ITn funds
S18
S19
S20
79,503
108,139
28,636
31.106
Reconciliation of funds..
Total funds brought for￿rd
Total funds carried forward
S21
397,577
318,074
75,517
183,656
473,094
501,730
441,988
473,094
S22

Section B
Balance sheet
Restrt¢ted
unre$￿eted income
fund$
nds
Endowmont Total th15
funds
year
Total last
year
Fixed assets
Intangible assets
Tangible assets
Heritage assets
Investments
F01
F02
F03
F04
(Noto 15)
(Note 141
(Note 16)
(Note 17)
Total fixed assets
F05
801
B02
18,768
18,768
B03
7,221
B05
Current assets
stocks
(Note 18)
Dobtors
(Note 191
Investments
(Note 17.4}
Cash at bank and in hand {Note 24)
B09
Total current assets B10
07
174,093
174,093
293,183
293,183
52,088
314,087
117,173
483,3
Creditors: amounts falling due wlthln
one year
(Note 20)
B11
8,440
9,205
17,645
17,475
Net current aSSgts1{Ilabilltles)
B12
465,873
Total assets less current Ilabilitles
Bly
473,094
Creditors: amounts falling dug after
ong year
(Note 20)
Provisions for liabllities
B14
B15
Total not assets orllabilitles
B16
318,074
183.656
Funds of the Charity
Deslgnatsd funds {Note 27)
Restrlcted income funds (Note 27)
Unrestrlcted funds
Revaluation reserve
501,730
473,094
17
B18
183,656
183,656
318,074
75,517
397,577
B79
318,074
Total funds B21
473,094
Signed by one or two trustees on behav ofau
the tru51ees
Signature
Dale of
approval
ddlmml
Print Name
IIP (Si¢￿
191111
CC17a (EX￿1>
2911012024

Trioi• l B1$￿¢[preP￿radOTr
lh¢uK￿dR￿W￿OTlrnI￿lFR$ 1V2) lo￿ly￿14
Ir￿￿dIFR6I0
FRS1￿.
1.1 S￿￿9¢¢n(er￿
1.3 Ch4nuB DIaccou￿th9 P￿1¢¥
Y&5.

Section C
Notes to the accounts
Note 2
Accountlng polici88
Please complet8 Ihys nole fwslTepJrtin¥undeiFRS2t02 SBctson 55ofFRS702. ¥eqU￿e53TeconCN1atIQnstob8
yesented. ifallaiF appTrc8
2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
PlèAsÈ provlde a descr1p￿oTh
olthe nature of earh ¢hAnge
In wjll
Rè¢oh¢llkiion of fund5 perprevlous GAAP toffunds detenninod(mdfyrFRS 102
Start ol
End of
porlod
pprlryj
Ftsthd balances as previousty
Stated
A(Suslments.-
Fund b8Lgnco as restated
Reconcllatf(￿ oln•iifr)eom&tnet expen(iityi41 pÈrprevlous GAAPlo n•tlry¢tyKrfnetexpen￿IuTe) unilwFR$ 102
End of
Net In¢omollèxpBndllurel as prevlou8ly
stated
AdlustmeRI5.'
Prevlou¥ pÈrlod nel1￿0￿e{lPxpFffi￿lIUrèI as
restated
CC17a (E￿1)
0211212024

Section C
Notes to the actounts
Icontl
Note 2
2.2 INCOME
Accountiny pollcies
rhk* $i¥ndarttlislof accounbngpolicles hasbe8n applledbylhechantyexcfptfoithose IIGked No"or'N/&' ithere a
diffeTeni¢i$dditlDnalwlKy has b8¢n adopledlhen IhisisdetaNedin Ihe box belobv
Recognttlon of In¢omè
Th*$¢ are Included in lh& siaièmentol FinanGial Adivilies ISOFAI when-.
the chanty becDms$ eTht&￿ed lo the resourc￿.,
11 is more Iikelylhan not th21 Irusteeswill rtttNelhe resource¥", sn
the monetaryvalu¢ Can be measured with 3uffi¢ientreliability.
Yes
Nla
ThBre ￿ tÉen no offsetting of a3getsand liabilitie¥. orirtom&and ewse6, unl6$s requSred or
pemrfted bylhe FRS 102 SORP or FRS 102.
Yes
No
Offsettlng
Yes
No
Nl¥
Grants and donations arooilylncluded in the SoFAwhen the general itv)Jme rectynilion
criierta are met15.10 to S.12 FRS102 SORPI.
Gr￿ts 8nd do*M￿an&
In the ¢¥$eol ￿rformanCe related grants, incorne Tnustonlybe ieco9nised b ihè trthnt
Ihatlh¢ tharity has provided th&$peclfied So￿S orsetVi¢¢$8seniiUemenllolhegranl
only occurs when the perfoTtnan¢e related conditions ar¢ m¢1 is 16 FRS 102 SORPI.
Legacies are Induded In the SOFAwhen ￿e*pl Is probable. th81 19, when Ihere has
been graniol probate, Iheexecutorn have esLabli5hedthal Ihtrtts￿ SUtficienlasse15 In
the estate and anycondibons att¥thed to the legaGy are eilherwlthln the control of the
been mel.
No
Nl8
LegaclBS
Yes
No
Wa
Yes
No
NIA
GO￿rnment grants
The charity has rertived government grani8 In Ihe reP￿ing pETi
GrftAid recelvable 15 incIL￿ed in intome when there i¥ a valld decla￿110￿ from th¢ dwor
Any G&ftAid amount recovered on a donation Is c0￿¥10e￿d to be part ollhalgift and ts
irealBd 8$ an addition to the ¥amÈ fund aslhe Inrt￿l donaiM)n unless the donorortho
te￿￿$ ollhe ap￿dI havp speCif￿d otherNise.
Tax rg¢l¥lms on
an¢J 9fft6
Ye5
No
Nla
Yes
No
Nla
Contyactual Incorne This is only incIL￿ed in the SOFAI￿rel￿e tharity has provided Ihe ￿lated goodsor
performancp r818
servlces orrneltheperformance rela￿ wr￿￿OnS.
grants
Yes
No
Nl$
Donated good8
Donated gwdsaro measured 3lfairvalu¢ Ilhe amDUntforwhich the 8$$etcould b
exchanged) unless imyacbcal to Qo ¥0.
Tbp¢o¥i of anystockof goods donatedfor distribution to beneficiaties Is de&m¢d to be
Ih&tsirv3lue ollhose gifts atlhe Ilme ollheir receipt and they£re recognis¢d on re￿Ipl
In the reporting peric￿ Inwhi¢h the 51wks are dislribthed, theyare recogni$od ggBn
expen$e allhe carrying atnouni DI the SIL￿kS atdislTibthknn.
D￿ated go¢￿$ foriesale are measured 81 lair value ￿ inili¥l recognition, which isth¥
expeGted pro¢eeds from sale less the expeded c051s ol s¥le. and recogni5ed in'lncome
froTn other trading acliwbes. 4vilh the Corresponding slork rewnised in ihe ba￿￿¢tr
sheet. On 11$ sale the value of ¥t¢ck Is charged agalnsl'ln￿me from olheriradi
aGtsvili8s' 8nd the proceeds from s?le are aL40 recogDis8d a$'lncome ffom othtrrirading
aGliviti&s.
Ye5
No
Nla
Yes
No
Nla
Yes
No
Nlg
Gwds dDn31¢4 fryon%oing use by the charity are recogni￿d as langlble fixed assets
and Induded in the SOFA as itutning resOur￿S when re¢ew8ble
Yes
No
Nla
Grfts in klnd for use by ihe Ehatity a￿ Induded in the SOFA as Income trom don$ioi$
r8¢elvAble.
Donatsd servlces and
lacllltle5
Dmated 3eThicesandts¢iithes are in￿L￿ed in the SOFA when receivtrd aiihevslue of
the glftlolhe chanty provid￿ the value of the yift ¢an be rnea5uied reliab
Donaied seTWC#S 8nd lacllitie5 that are ¢on$umed Immediately are Ecognised a5 income
wllh an equivalent aMOunt￿e￿nISed ¥$8n expense underlhe appropriate heading in
the SOFA.
Yes
No
Nla
Yes
No
Nla
Yes
No
Nla
Supportcosts
T￿charity has Incurred exp8ndiiuie Dn SUPPOrt(Xsts.
Yes
No
Nla
Volunteer help
Th$ valueof any voluntaryhelp re£￿v￿ IS noti￿l￿ded in thea(tsunlS bul l$descnbed
in the Irustee5' annual t¢porL
es
No
Nla
IncomFfrom Interest,
royattle5 and dI￿d￿n￿$
Tris 1$ included in the accounts vthen r￿lpt 15 probabEe$nd the aithJunl rec¥vablecan
b8 m¢a$ured reliably.
Yès
No
Nl8
Income Irom membershlp Memiwshlp Subscripti￿5 re¢trived In the naiure of a ylftAre r￿NSed ITr DonabDns
$ubscrfptlons
atbd L¢g8ue5
Membership subscripbon$ whlch gives a membtrihe rfghl to buyservr¢esorother
beneflts are ￿cOgnISed as Income earned trom the proviston olgot￿5 8nd ¥￿ICeS35
income Irom Gharitable atlhvilies.
es
No
Nl

S@tUementvf Insuiance
clalffls
InSu￿nCe clgims are wly included in kne SoFAvJhen the gene￿1 income recognilKn
¢riieii8 3re rnet15.10to S 12 FRS102 SORPI and are Included as an Iiern of othet
Come In the SOFA.
Yes
No
Nl8
Investrnentgaln$ And
Th15 Indudes any ￿li4ed orunre81i8ed ggin5 or losses on the 98leolinve5knenlS and
dny gain or loss r¢suliry froffl rWalui￿ Inveslmentsto market value al ihe end ollhe
year
Yes
No
NIS
2.3 EXPENDITURE AND LIABILITIES
Llablllty recoynltlo
Liabll￿e5 are recognised ¥Whe￿ itis likety thAn notlhatlhore 1$$ legal or
nslrudive obl￿allOn ￿Mmittl￿g ihe charityio pay out resourees 8nd the arnounl Df the
obligatlon be m&8$ured with ￿a&￿ab￿certalnty.
Supporteosts have been allo¢th be￿￿ goV8Man￿ costsand oth6r$uKporL
Governa￿Ce and support tsovetn¥ncecos15 compris8 all costs Invdving publl¢Aecountability Df the ch￿ty and its
costs
c(Knpli¥n* with regulabon ¥rtd GO￿ practice
Yes
No
es
Supptyi ¢0st3 Indude ￿￿tr?1 fur￿OnS and have be6n allocatsd toaGtivity ¢OSt
calegori¢s on E ba51S C￿81$￿nI￿￿ the useol rtsovrc£s, eg allocating propetycosts
byfloorareas, orpercapilp, 5t¥ff Costs tylhe IITlle spent and other￿31$ by their usage.
Yes
No
Nla
whe￿ the chaTity gives 8 grgnlwth Gondilions foriis payrnert bwro 2 specific of
Grants wlth porfonnance seNltt oroulputlo ￿ provlded. suth gr?nts are only T￿￿9￿1580 in the SOFA once the
condbtlfjD$
recipienlof thegranl h8$ provlded the spe¢ified Se￿1￿ oroulpth.
Where1h*￿ a￿ no conditions attachlng tothe grant th8tenable5 the d￿Or charity to
realislitslly avo￿ thecotnfflilm*rtL a lIa￿lIty1{￿1￿fUII lundirw obligation musi be
reCognis￿.
es
No
Yes
No
Nla
Grants payable wtthotrt
pertornmnce condttl0￿5
Yes
No
Nia
Redundan¢ye05t
The charity m*e no redundanry paym8fitsdvdng the reporting
Ye5
No
Nla
DFferred Income
No malerial ItqTn of dderred Inc<JmE has iwn Induded In the wxuntS.
Ès
No
Nl£
Credltors
Thecharity has Ctsdito￿wh￿h are tlleasJ￿d 81 settEefflent8mounts le55 anyt￿de
discounis
A IK*bllity 15 measured on wogniuon al Ils hi$thcal cost and th8n subsequenily
me8$ured allhe best eslimale of ihe a￿VnI wulred to seitle th¢ obl1oali￿ alth
tEporting dale
The charity accounts forbasicfinanual IDStrumèTrtS￿ initial as per
P8r8gr3ph 11.7 FRS102 SORP SUb￿quent measurement is¥$ perpBrdgraphs 11.17
to 11.19, FRS102 SORP.
Ye5
No
Nla
p￿￿SlO￿3 for IIBbllltles
Baslc flnanclal
InstrumBnts
Ye5
No
Nla
2.4 ASSETS
Tanglble fixeLI a¥8W for These arerApitalis8d rflhey can be usBd formore than 0￿Ye¥r, and c05tal ￿ast
use by charity
£150
Yes
No
Nia
Theyarevalued ￿c0S1
The depredation rates avd mdMds used aT& di$￿09ed in nots 9 2
Th¢ ch3riLy has Intangible fixed asset5. that 1$, non-monetaryass#t$ thatdo Ml have
physinl sutstan￿ but?￿ Identifiab￿aTrd a￿ con1rd￿d bythe tharltylhfough custody
or5Bgal rlghls TheaTnorbsaiion rate5 and mdhods used aredisthed In note 9.5
In¢•nglble nxed a6$0ts
Ye5
No
es
No
They are valued atC05t
Herttage ass
Thechanty has heritageassets. Ihpl is, nty1-m0netary?￿IS h1slotir. aib$bQ
scEntific. lethn¢kw)Ic81. geoph￿lcal orenvlronmenial qualilies that are held 8nd
maintained wn¢ipalty lor the1[￿nt￿b￿llOn to knowledge and culture. The d*pretiathon
Yates and methods used 35 dis(105￿ in note 9.6.1.4.
Yes
No
Nia
Yes
Mo
Nla
They are valued £lc05t
lttvestments
Fixed 8ssei Investments In quoted shares, trad￿ bonds and similarinvÈslment5 a
valued atinilially aicosl and subsequently atfairvalue Ilhelr markelvalu¢l Bttheyear
end. The same treatment Is applied 10 unlisted investments unle55 fairvalue cannotbe
measured reliably In which cas& il 1$ measurel alcosi less lrnpairfflenl.
Investments held fty ￿Sale orpendingtharsale and c￿h and cash equ1valgntsv￿th
mawritydate of than 1 yeararetre¥ted a5 currentas5* invesbmenls
Yes
No
Nla
Ye5
No
Yes
No
Nla
stocks and wo¥k lty
progress
st￿￿5 held for sale 35 P3rtof nofv¢hartlgblettade art measured atlhe knver Drcosl or nel
Gwds or 5eMces provided a5 partof a charita￿e adivityarts mes$ured at net re¥li$atAe value
Sed on the 5eTwce w￿nI1￿4 PFovided by item5 of sloGk.
Yes
No
N18
Yes
No
Nla
Wort( in prog￿S5 15 valued $1 cDsl ￿s5 anyfor*$eeable1055 that is likety ￿ OfLUr￿ the ¢onir8d
Debtors linc1vdinQ trade debtors and loan5 recerwabl¥l are Measur￿ init181 reco9nibon al
seitlemenl amovnl aTier any trad¢ discounts oramourf2dvgnced byttE thsrrty. Sub5equeDUy.
they are Tneasured 81 thecash Or0tr￿con51deralio￿ expected lo be received
Yes
No
Nla

The ch81ity has hds Inve51meniswhich Il forres¥loor pending their salo and cash and Gash
equwal¥nts Wilh d maluTity less than one year. Th$¥e indude cash OD d*o$II and o35h
equNai&ntswith a maturity daleol lesslhan one ywarb6ld Iorinveslrn￿I purw$ey ralherlhan to
eel shorttsrm ￿sh commibnenis as theyf311 due.
Yes
Nla
Current •6S•t lllvestffleTrts
Yes
No
Nla
They are valued olfalrvalue 8XCWYJhwe they qualityas basl¢finanual InsknJmnL8
POLICIES ADOPTED
ADOITIONAL TO OR
DIFFERE14T FROM
THOSE ABOVE

Section C
Notes to the accounts
Icontl
Note 3
Analysis of income
Rèitrkted
InGDmO
nds
Unrostrfctpd
funds
EndowmgD¢
runds
Tvtrl Funds Prh>ryoar
Anal s18
Donations
and legacie5.'
Donations and
Gitt Aid
Le
aaes
General grants provided by governmenvolher
Membership 5ubs¢riptions 2nd spon50r$hips
which are in substance donations
Dona18d goods, faGililies and service5
Other
Total
4.224
4,224
Charitable
activities..
General Grants provided by
GovernmÈnVother charitie5
Partnershi
578.716
581,429
18,908
18,908
Other
14.000
35.621
14,000
614 337
Total
578,716
Othertradlng
activities..
Other
Total
Income from
inv8stment$'.
Int&re81 incorne
Dividend incotne
Rentsl and leasin
Other
8,147
8.147
income
Totsl
8.147
8.147
Separate
material item
of Income..
Total
othei:
Conversion Of endowment funds into Income
Gain on disposal of a tsngible fLKed asset
's own use
Gain on dlsposal of a PFogiamme related
invèstment
Royalties from the exploitation of intellectual
ro
h18
Other
Total
TOTAL INCOME
47,992
578.716
626.708
Other IThfOrrr￿tl0th:
All Income the PFIDryeaTwa5 unr8$trl¢ted exceptfor
Iplea88 Provlde descrlptlon and amounts)
Grants
rDvided
Government.
WheTe any eDdowmentfund18 Converted Into In¢omo In the
reportlng perfod, ploa$e glve the rea5om for the ¢onverslori.
Nola
litAble
Where any endowment fund ts ¢onverted Into Incotno the
prlor p•rlod, please llive thfr reason forthe ¢onvpr$lon.
Nola
luble
Wtthln tho Income Items abow the lollowlng itèms are
materlal.. Ipleaso dl8close the Thature, arttoynt Nnd any prtor
yèar amountsl
See NDte 4, plus income frDm Cwm Taf LHB forr￿Unsel1Ing
serv￿e$ of Ènil (LN- £3.4961. Incorne frorn Natlon81 Lotteryfar
counselling services of £153,300 ILff Énill, and from
Coychurch Crem8tonum for moving offi¢a$ of £14,OOD ILN-
CC17a (Exc￿)
0211212D24

Section C
Notes to the accounts
l¢ontl
Note 4
Anatysis of receipts of government grants
This year
Description
For counselling services in Rhondda Cynon Taff area
Rhondda Cynon Taff Council
Government 9rant 2
Government grant 3
Other
425416
Total
425.41e
Last year
Descri
tion
For counselling services in Rhondda Cynon Taff area
Rhondda Cynon Taff Councll
Govemment grant 2
Govemment grant 3
other
528,773
Total
528,773
Thi5
ear
Last
ear
Please provide dètslls of any
unfulfilled condftions and other
contingencies attaching to grants
thathave been recognised In income.
None
None
This year
Last
ear
Please give detalls of other forms of
government assistance from which
the chatfty has directly benefited.
None
None
CC178 (Excell
0211212024

Section C
Notes to the accounts
(conti
Note S
Donated goods, facilities and services
This yaar
Last year
Secondèd staff
Use of property
Other
Thls year
Last yoar
Please provid& details of thè
accounting policy for the récognition
and valuation of donat&d goods.
facllltles and services.
NIA
NIA
Please pmvldo details of any
unfulfilled conditlOll5 and other
ontlnyencies attaching to resources
from donated goods and services not
recognised in Income.
None
None
Please givè details of oth8r forms of
other donated goods and seNices not
r$¢oynised in the a¢counts. eg
contribution of unpaid volunteers.
None
None
CC178 (Excell
0211212024

Section C
Notes to the accounts
Icontl
Note 6
Analysi8 of expenditurè
This year
Last year
Unrgslrlctod R08trictlld
fund8
Incorne fund6
Endowmgnt
funds
U*¢tstriet#d
Iheome
funds
Endowment
fundl
Anaty$tS
Expenditure on raisinu fvnds:
Incurred seeking donations
Incurred seeking legacies
Total fund¥
Total lunds
Incurred Seeking grants
Operating membership Schemes and
social l¢tteries
Stsging fundraising events
Fudmising agents
Operating charity shops
Operating a trading company
undertaking non-charilable trading
Advertising, rnarketing, di￿¢1 mail and
Start UP C0515 incurred in generating
new Sour￿ of future income
Database development costs
Other trading activiti65
Investment m8nagernenl costs.
Portfolio mana
emenl costs
C081 of obtaining investment 8dvice
Investment administration costs
Intellectual property licencing costs
Rent collection, propety ffp2irs and
maintenance Charges
Total expendltsjre on ralslng funds
Expenditure on charitable activitie$'.
Sa12ry & Pension Costs
Sub Contractors
Training Costs
ResourceslEquipmenUS181ionery
SoftW2re Costs
Memberships
Travel & Expenses
Telephone Costs
Rent
127.495
403,920
13,449
3,620
531415
13,449
3,620
8,577
492
1,926
471682
521,121
8,577
492
3,944
533
2,817
533
2,817
7,004
2,714
2,714
7,004
3,640
9,175
Insur8nce
Consultsncy
M8rk8ling & Advert15ing
Books
3.161
3,161
6.560
496
6.560
496
2,732
CRB Payments
Depr&ci81ion Charge
Boys Project film
Miscellaneous
472
472
252
252
3,895
2.483
2.483
3,717
3.837
Totsl expenditur8 on charitable
activilies
127495
465.969
593,464
49,439
564.084
CC173 (Excell
0211212024

Governance
lo ment Consultants
roll Costs
Inde
endenl Examiner
al & Pmfessional
Total
1.656
1.512
1.440
1,656
1.656
1.440
1.880
1.440
1.440
4.608
4.608
4,T16
4.77
Other
Totsl oth8r expersditure
TOTAL EXPENDITURE
132.103
485,969
598.072
$4,215
514.645
568.860
Other tnformalion..
Analysis of expÈnditure on charitable activities
Thos year
Grant
Support
fundlng of
Costs
Last
Grant
funding of
8ar
Activities
undortakon
Activitlos
undertaken
Support
Costs
Total last
year
Actlvlty or programmo
Total thls
y03r
Other
Total
CC178 {EX￿1)
02112r2024

Section C
Notes to the accounts
{conti
Note 7
Extraordinary items
Please explain the nature of each exlraordinary Item occurrlng in the period.
This year
Last year
Descrl tion
Extraordlnary item 1
None
Extraordinary itern 2
Extraordinary Item 3
Extraordinary Item 4
Total extrordlnary Items
CC17a IExo&ll
0211212024

Section C
Notes to the accounts
Note 8
Funds received as agent
8.1 Please complete thiTS note If the charity has agreed to administer the funds of another entity as its agen£ Notè.. If a charlty
is acting a5 an agent, it should not recognise the income in the Statement of Financial Activities or the Balance Sheèt.
Amount received
Amount paid out
Balance held at period end
D*scriptionlname of party
Related
party (Yes
This year
Last year
Thi5 yéar
Last year
This year
Last yèar
OTNO
Total
8.2 Where a consortia or similar arrangement exists whereby 2 or more charities co-operate to achieve economies the
purchase ofgoods or services, pleasè diseose details ofany balances outslanding between anyparticipating members.
Descriptionlname of party
Balance hèld at perlod end
Thi5 year
Last year
Total
CC178 (Excell
0211212024

Section C
Notes to the accounts
Note 9
Support Costs
Please complete th1$ note if the ¢harity has analysed its expenses using actlvity
categories and has support Costs.
This y¥ar
Supportcost
exam
Ralsin
furEd$
Activi
Actsvi
Activl
Grand total
8asls of allo¢atlon
(Descrlbe method)
Governance
Other
Total
Last yaar
Support cost
axam
les
Ralsln
lunds
Activi
Activi
Activi
Grand total
Basis of allocation
IDescTibe method)
Governance
Other
Total
Please provide details of the accounting policy
adopted for the apportionment of costs between
activities and any estimation techniques used to
calculate theirapportionment.
CC17a {EX￿]I
OW1212024

Section C
Notes to the accounts
Note 10
Details of certain items of expenditure
10.1 Fgas for examination of the accounts
Please pmvide details of the amount paid forany5tatutory external scnitiny of
accounts and otherservi¢es provided by your Independent exafftiner. Ifnothing
was paidplease enter tl'in the appropriate box(es).
Thi5 year
Last year
Independont èxaminer's fees
1,440
1,320
Assurdn¢& services other than audit or independènt examination
Tax 8dvlsory fees
Other faes Ifor example.. financlal advice. consultancy, accountancy servicesl paid
to th& independent examinèr
360
CC17a (Excell
0211212024

Section C
Notes to the accounts
(cont)
Note11
Paid employees
Please complete this note if the charity has any employees.
11.1 staff Costs
This year
Last year
Salarles and wages
Social security costs
Pension costs (defined contributlon scheme)
other employee benefits
499,812
489,337
31,604
31,785
Total staff costs
531,416
521,122
Thls year:
Please provide details of expenditure on staff working for the
charity whose contracts are with and are paid by a related party
Last year..
NIA
Please provide details of expenditure on staff working for the
charity whose contracts are with and are paid by a related party
NIA
Please give details of the number of employees whose total employee benefits (excluding employer
pension Costs) fell within each band of £10,000 from £60,000 upwards. If there are no such transactions,
please enter 'true' in the box provided.
No employees received employee benefits (excluding employer
penslon costs) for the reportlng period of more than £60,000
TRUE
Band
Number of employees
This year
Last year
£60,000 to £69,999
£70.000 to £79,999
£80,000 to £89,999
£90.000 to £99,999
£100.000 to £109,999
This year
Last year
Please provlde the total amount pald to key management
personnel {includes trustees and senior management) for their
services to the charity. For specific arnounts paid to trustees,
see Note 28.
106,327
106,326
CC17a (Excell
D211212024

11.2 Average head count in the year
This year
Number
Last year
Number
The parts of the charlty In whlch the
employees work
20
21
Total
20
21
11.3 Ex-gratia payments to employees and others {excluding trustee5>
Please complete if an ex-gratia payment is made.
Please explain the nature of the
payment
This year
Last year
Please state the legal authority or
reason for making the payment
This year
Last year
This year
Last year
Please state the amount of the payment (or value of any waiver of
a right to an asset)
CC17a (Excel}
0211212D24

11.4 Redundancy payments
Please complete if any redundancy or temiination payment is made in the period.
Thi5 year
Last year
Total amount of payment
The nature of the payment (cash, asset
etc.)
This year
Last year
The extent of redundancy funding at the balance sheet date
Please state the accounting policy for any redundancy or
termination payments
CC17a (Excell
0211212024

Section C
Notes to the accounts
{conti
Note 12
Defined contribution pension scheme or defined benefit scheme accounted for as a
defined contribution scheme.
12.1 Please compléte this note if a defined contribution pension Scheme Is opernted.
This year
Last year
Amount of contributions recognised In tho SOFA as an expense
31,604
31,785
Please explain the basis for allo¢ating the liability and expènsg of
dÈfin8d contribution pension schame between activitiès and
ba￿een restricted and unrèstricted funds.
All staff are involv&d In the main charitable
activities of thè charity. All staff cost5 are allocatod
as re5tri¢ted due to the funding tor th& charity
being restricted.
12.2 Please complete this section where the charitypartieipatss in a defined benefltpenslon plan but is unable lo
ascertain its Share of thè undertying assets and liabilities.
Plgase confirm that although th&
scheme is accounted for as a defined
contribution plan, it is a defined benefit
plan.
Please provid& such information as Is
available about the plan's Surplus or
deficit and the implications, If any, for
the reporting charity for this year and
last year, if diffèrant
12.3 Please complete this section where the charity participates in a multi-employèr defined benefitpenslon plan
that is accounted foras a defiTned contributlon plan.
Describe the extent to whlch the charity
can be liable to th& plan for other
entities, obligations under the term5
and condFtions of the multi-employer
plan. If this is different for last yèar,
provlde details
Provide an explanation of how any
liability arising from an agr6ement with
a multi-employ&r plan to fund a deficit
ha5 been detèrmined. If this 15 different
for last yèar, provide details
CC17a (Excell
02112Q024

Section C
Notes to the accounts
(conti
Note 13
Grantmaking
Please complete this noto Mthe ¢haritymad8 anygrants or donations whlch In aggregate fomi a materialportof the
chèritable actlvltles undprtaken.
This year:
13.1 Analysis of grants paid (included In cost of ¢haritsblÈ actlvltlesl
Grants to
Instltutlons
Analysls
Grants to Indlviduals
Support costs
Total
Activi
or
ro
eGI 1
Activit
or
ro
ect2
A¢livit or
8Ct3
or
Totèl
Please enter"Alil" if the charlty does not identrfy and/orallocate sUPPOrt costs.
13.2 Grants made to Instllutions
Please pmvlde
details of ¢harity's
URL.
My Charlty has mad• grants to particularinstitutlons that ?re materlal In the
cofttext ofits grantmaking. Detalls of the instttution supported, purpose of the
grant and totalpald to each institution is available on the charltys web sits.
Yès
Provlde detalls
below
Total amount of
rants
aid£
Names of Institulion
Purpose
Total grants to institutlons In reporttngporlod
Other unanalysedgrants
roTAL GRANTS PAID
CC17a (Excel)
0211212024

Last year:
13.3 Analysi5 of grants pald lirhcluded In cost of charitable actlvltlesl
Grants to
Instltutions
Analysls
Grants to indivtduals
Support costs
Totsl
AGtDity or proi8Ct 1
AGtivity or project 2
Activity or project 3
Activity or projed 4
Total
Pleaso 8nter"Nll"if the chanty does not Identify and/orallocate support costs.
13.4 Grants made to institutoons
Please prnvide
detèlls of charity'$
URL.
My charlty has mad• grants to particularinstitutlons that are matèrlal In the
cont•xt of Its grantmaking. Defalls of the institution supported, purpos• of the
grant and totslpald to each institution Is avallable on the eharltys web site.
Yes
No
Provide detalls
below
Total amount of
grants
ald£
Names of institutSon
Purpose
Total grants to tinstitutlons in reportingperfod
Other unanalysèd grnnts
TofAL GRANfs PAID
CC17a IExc&ll
0211212024

Section C
Notes to the accounts
(conti
Note 14
Tangible fixed assets
Please complete thls note Mthe Gh8nty has any tanglble fixed assets
14.1 Cost or valuatlon
Freehold land &
building$
Other land &
bulldlng5
Plant.
rnachinery
nd motor
vehlcles
Flxtur8s. fittings
and equipment
Totsl
At the beginning of the year
Additions
16,594
5,119
16,594
15,442
10,323
Revaluations
Disposals
Transfeis.
At end of the year
10,323
21,713
32,036
14.2 Deprèclatlon and Impairnients
Basls
SL or R8 Istraight
Line or Reducing
Balance)
SL
SLorRB
SL
SLorRB
Rate
10 Yea
8 Years
At beginning of the year
Disposals
9,373
9,373
Depieciation
1.033
2,862
3,895
Impairment
Transfers.
At end of the year
1,033
12,235
13,268
14.3 Net book valua
Net book value at the beginning of the year
7.221
7,221
Net book value al the end ol the year
9,290
9.478
18,768
CC178 (Excell
0211212024

14.4 Impalment
Thls year.. Please pmvlde a descrlpfion of the ov•nts and clrcumstances that
lod to the recognition or reversal of an Impalrment Ioss.
Not applicable
Last year.. Please provlde a description of the evenrs and circumstances that
lèd to the recognition orrever5al of an Impairment los$.
Not appllcable
14.5 Rovaluatlon
If an 8ccovntingpollcy of revaluatlon is adoptéd. please provide..
tho effectlve date of the revaluatlon
Thls
ear
Last ear
the namè of Independent valuer, if applicabl8
the methods applled and slgntificant assumptlons
the carrying amount that would have been recognis•d had the assets beèn
cèrried under the cost model.
14.6 other dlsclosures
This year
Last year
(4 Please state tho amount of borrowing costs. If any, capltslised in thè construction of
tanglble fixed assets and the capltallsation rate used.
{IlJ Please provide the amount of contractual commitments for the a¢qutisition of tanglble
ttxedassets.
(tiii) Detalls of the exlstence and carrylng amounts ofpropèrty, plantand
equipment to whtch the cljarlty has restricted tltle or that8repledged as
s•curlty for liabilities.
None
None
The 'tranSfe￿"rOWiS forrnovements bettveen fixed asset categories.
' Please indicate the method of depr8ciation by deleting the method not applicable (SL= straightline,. RB- ￿dUcing balantte). Also please
inclic8fe the rate of dep￿cIalI0n.' for straightline, what is th6 8nticipated life of the as581 (in years),. fOr￿dUcIng b818nce. what is the
P8rcentége annual deduGtion.
CC17a (Excell
0211212024

Section C
Notes to the accounts
{cont
Note 15
Intangible assets
Please complets this note if the charity has any Intangible assets
15.1 Cost or valuation
Research &
development
Patents and
trademark5
other
Total
Al beginning of the year
Additions
Disposals
Revaluations
Transfers '
Al end of the year
15.2 Amort15ation and impairnients
'Basis
SLorRB
SLorR8
SLorRB
SLorRB
Slraighl Line
I SL lor
Reducing
Balance
I'RB'I
Rate
Al beginning of the year
Disposals
Amortisation
Impaimenl
Transfers"
At end of year
15.3 Net book value
Nel book value at the beginning
of the year
Net book value al the end of the
year
15.4 Accounting policy
Please disclose the accounting policy lor intangibl8 fixed assets including..
Reasons for choosing amortisation rates
Policies for the recognltlon of any capitsl
development
CC17a (Excell
0211212024

15.S Impaimient
This year:
Please provide a description of the events and
clrcumstances that led to the recognition or reversal of an
impaimient loss.
Last year-
Please provide a description of the events and
¢1￿UmStanceS that led to the recognition or reversal of an
impainnent loss.
15.6 Revaluation
Ifan accounting pollcy of revaluation is adopted, please provide.-
This year
Last year
the effective date of the revaluation
the name of independent valuer. if applicable
the methods applied
the carrying amount that would have been recognised
had the assets been carried under the ¢OSt model.
15.7 Othgr disclosures
(i) If your intangible asset was acquired by way of grant,
provide value on initial recognltlon and carrying amount
of the asset.
(il) Details of the carrying amounts of any Intangible
assets to which the Charity has restricted title or that are
pledged as securiTty for Ilabilities.
(111) Please provide the amount of contractual
commitments for the acquisition of intangible assets.
(iv) State the amount of research and development
expenditure recognised as expenditure In the year.
(v) Please detsil the headings ITn the SOFA in which a
charge for amortisation of intangible assets is Included.
(vi) For any material intangible assets, please provide a
description, its Carrylng amount and any remaining
amortisation period.
The "transf9￿. row is for movements behveen fixed ssset categories.
Please indicate th& method of depreciation by deleting the method not applicsble (SL slraighl line,. RB
reducing balance). Also please indicate the rale of depreciation.. for slraighl line, what is the anticipated life
of the asset (in yea￿),. for￿dUcing balance, what is the percentage annual deduction.
GC178 IExcell
0211212024

Section C
Notes to the accounts
l¢ontl
Not& 16
Herltage assets
Please complete thls note If the charityhas herftage assets
16.1 General dlsclosures for all charfties holdlng heritage assèts
This year
Last year
lil Explain the nature and scale of
herltage assets held.
lill Explaln the pollcy for the
acqulsltion, preservation.
management and dlsposal of heritage
assets.
16.2 Cost orvaluation
Heritsge asset
Herltage asset
Heritage a55et
HÈritag& asset
Total
At beginn￿n9 of the year
Additions
Disposals
Revaluations
Transfers.
At end ol the year
16.3 Depreclatlon and impairments
'Basls
Straight Line
I'SL") or
Reducing
Balance
Rate
At beginning ol the year
Disposals
Depieci8tion
Impairment
Transfers.
At end of year
16.4 Net book value
Net book vallte at the beginnino of the
year
Net book value al thg end ol the year
CC178 (Excell
0211212024

16.5 Impairnient
Thls year
Plaase provide a doscrlption of the events and eircumstan¢es
that led to the recognitffon orreversal of an Impairnientloss.
Last year
Please provid8 a description of the events and clrcumslanees
that led to the recognltlon orr8wersal of an impairment loss.
16.6 Revaluallon
If an accounting pollcy of revaluadon Is adoptod. please provide.-
This year
Last year
the effectiv• date of the révaluation
the name of Independent valuer, if appllcable
qualifi¢3tions of Independent valuer
the methods appll•d and signillcantassumptions
anysignrfi¢antllmltatlons oft th• valuation
16.7 Analysi5 of herltage assets by cla38 or group distingulshlng those at cost and those at valuation
At valuation
At COSt Group
Group A
Total
Carrying amount at the beginning of the
period
Additions
Disposals
Depreciationfimpairment
Revaluation
Carrying amount at the end ol period
16.8 Heritage assets Iwhere heritage assets are not rècolgnlsed on the balance sheet)
Thls year
Last year
111 Explain the reason why herltage
assets have not b8èn recognised on
the balance sheet.
lill Descrlbe the significance and
nature of heritage assets.
11111 Disclose information that Is
helpful In assessing the value of
herltsge assets.
livl Explaln the reason why it ts not
practicable to obtain a valuatlon of
herltage assets.
CC17a (Ex￿1)
0211212024

16.9 Five yèar sumrnary of heritaga assets transactions
2015
2014
2013
2012
2011
PLtrehas•s
Group A
Group B
Group C
Other
Donatlons
Group A
Group B
Group C
Other
Total addltlons
Charge for Impairnient
Group A
Group B
Group C
other
Totsl ¢harge for Impalmient
Dlsposals
Group A- carrying amount
Group B- carrying amount
Group C
Other
Total rllsposals
CC17a (Excell
0211212024

Section C
Notes to the accounts
Iconll
Note 17
Investment assots
Please complefe this note if the eh*rity has 8nylnvestmentassets.
17.1 Fixed a88ets investments Iplease provide for each cla$s of investment)
¢a6h & Eash
•qulvalÈnt9
Ll¥tgd
Invèstmènts
Inv48tmtnt
propertles
S¢¢iAI
Investments
Other
Total
Caryiny Ifair) value al beyinning of
Add= addition5 10 invesimènls during
period"
Less.. disposals at carryiw value
Le$s.' impalrmènt8
Add.. Reversal of Impalrnionts
Addlld8ductl.' transfer Inlloull in the
period
Addlldeductl.. net g85nlfjo8sI on
Carwng Ifairl VBlue 8t end of year
'Ploa80 speclty addltlons re$vltlng from
8tquisitlon8 through buslng8s comblnatlons,
any.
Please nots IlJatFalr Value in this ¢ontextis the amountfor which an asset couldbe èxthanyedbelween knowleg8ble ancl
willingpar&es in an amj's length transaction. For tradedsecurillès, the falrvalue Is the v&lue ortlje s8¢urlty quotsd on Vje
London Stock Exchange Daily oifAcialList or equiv8lenL Forother&ssets where there is no morketprice on 8 tra(ledmarket.
itis the trustee$'orvaluers'best trstim•le of falrv8lue.
17.2 Please provide a breakdown of inv88tments shown above agreein9 with the balance sheet row B04
differentiating bÈtweÈn those held at fair value and those held at COBt18ss impairment.
Thls yoar:
Analysi5 of inve5tsnents
FBlr value atyear end
Cost les5 Srnpalrment
Cash or¢a$h equlvalents
Llstèd Invèstments
Investment propertle5
Soelal Invèstmènts
othor Inv05tments
Total
Grand total (Falr valuo at year end+Co8t1085 Impalrmfjntl
Last year..
Analy$l$ of Investments
Falrvalue at year end
Cost less Impalrment
Cash or cash Èqulvaltrrtts
Llsted Investm8nts
Investment propèrknes
Soclal Investments
Othpr Inveslrnents
Total
Grand total IFalr value at year end+Cost les5 Impalmiènti
CC17a (Exce11
0211212024

17.3 If your ¢harity hold8 investmont proportiesj pl8a5e ¢ompleto the following nots..
This year
Lastyear
111 Explaln thg methods and 8lgnttlcantassumptlons In
determinlng the falrvalue of inve8tment property hèld by tho
charlty
lill Name or Indepondemt valuer, If appllcablo, and relevant
quallflcation6
Ilill Pro¥lde dotslls of any restrfctlon8 on the abillty to r8a11s8
Investrnent proporty or on the rernittance of Income QT
dlsposal proceeds
Ilvl Explaln aTry contractual obllgatlon5 tor the purcha80,
constructlon or development of invo8tment property or for
ropalrs, malntenan¢tr or enhancements
17.4 Please provide a breakdown of currpnt asset investments, if applicable, agreeing with the balance sheet.
Anaty515 of cumnt asset inve$lmÈnts
Thi$yèar
Lastyear
Cash or cash èqufjvalents
Llsted Investrnents
293,183
314,087
Investtntrnt propertles
Soclal Invostments
Other Investmènts
293,183
314,087
Total
17.6 Guarantees
This
ear
Last
ear
None
None
Please Provide dotalls and arnount of any guarantee made to
or on behalf of a third party
NIA
NIA
Namo of the enthy orentltles bonoflttlng from those
guaranteè$
NIA
NIA
Pl8a$e explaln howthe guarantee lurthpTS th8 charlVs alms
CC17a IExceD
0211212024

17.6 ¢onces$ionary loans
Descriptlon
Thls year£
LastyèArE
AmouTht of ¢onces8lonary loan5 made Imthfiple
10onsmade maybe dlsclosfjdin 89grÈgateprovlded
thatsuGh ¥gw•gAtlofr) ¢kns not obsure$igrJlncafr)t
Information).
rotsl
Descripiyon
ThL9 yeBr£
Lasty8•r£
Amount of conce5slonary loans rocelved Imultlple
loans reGgiwèdmaybe dlsclosedin aggr4gatÈ
provldedth*suchwggregattty) dDes not ob5we
5ignlll¢dMinlwmattoRJ.
Total
Thi5 year
Lastyear
Terrns and condltlons eg Interest rato, 8ocurlty
provlded
Value ol any Concesslonary loan8 whlch have
been commlttod but nottaken up at tho roportlng
dats
Amounts payable withln l year
Arnounts payablè after more than 1 yèal
Amounts re¢elvable w(thln l year
Amounts raeolvablo after more than 1 ytrar
17.7 Additional Information
Thls
ear
Last
ear
Please provlde Informatlon a¥Jout the
signiflcanco of Investments to the charlty's
flnanclal posltlon or performance eg. ttrm8 and
condfjtlons of loans ortho use of hedging to
manage flnanclal rlsk.
NIA
NIA
NIA
NIA
For all Invostments measurèd at lalr value, thfy
basis for detèmilnlng the value, Including any
assumption5 applièd whon uslng a valuatlon
ttchnlque.
NIA
Whorè a charlty has provldtd flnanclal assets as
a fortn of sècurlty, the ¢arrying amount of tho
flnan¢ial asset plèdgod as sfrcurity and tha temis
and ¢ondltlon5 relating io It8 pledge.
NIA
CC17a IExcdl
OW1212024

Section C
Notes to the accounts
Icontl
Note 18
stocks
Please complete this note If the charity holds any stock items
18.1 Please state the carrying amount of stock and work In progress analysed bgtween
activitles.
Stock
Donated goods
Work in
progress
For
distrlbution
For resale
For
dl$tribution
For resale
Charitable a¢tivities:
Opènlng
Added In perlod
Expènsed In perlod
Impaffr8d
Closing
Other trading actlvities:
Opening
Addgd In perlod
Expensèd In perlod
Impalred
Closlng
Other:
Opening
Addèd In perlod
Expensedin period
Impaired
Closing
Total this year
Total previous year
Thls year
Last year
18.2 Please specify the carrying amount of
any stocks pledged as security for liabilities
CC17a (EX￿1)
0211212024

Section C
Notes to the accounts
{conti
Note 19
Debtors and prepayments
Please Complete thls note if thg charity has any
debtors orprepayments.
19.1 Analysls of debtors
This year
Last year
Trade debtors
174,093
52,088
Prepayments and accrued income
other debtors
Total
174,093
52,088
Please complete 19.2 wherè a material debtor is recoverable more than a year after the reporting date.
19.2 Analysis of debtors recoverable In more than 1 year Ilncluded in debtors above}
This year
Last year
Trade debtors
Prepayments and accrued income
Other debtors
Total
CC17a (Excel}
0211212024

Section C
Notes to the accounts
(contl
Note 20
Creditors and accruals
Please complete this note if the charity has any creditors orac¢ruals.
20.1 Analysis of credltors
Amounts falling due within
one year
This year
Last year
Amounts falling due after
more than one year
This yeaT
Last year
Accruals for grants payable
Bank loans and overdrafts
Trade creditors
Payments received on account for contracts or
performance-related grants
Accruals and deferred income
Taxation and social securlty
Other creditors
Total
6,244
8,381
3,020
6,669
8,178
2,628
,475
20.2 Deferred income
Please complete this note if the charity has deferred income.
This
ear
Grant received by charlty
is funding for work to be
completed post year end.
Last
ear
Grant received by charlty is
funding for work to be
comploted post year end.
Please explain the reasons why Income is deferred.
Movement in deferred income account
Thi5 year
Last year
Balance at the start of the reportlng period
Amounts added In current period
Amounts released to Income from previous periods
Balance at the end of the reporting pèrlod
6,669
6,244
6,669
6,244
6,669
6,669
CC17a (Excell
0211212024

Section C
Notes to the accounts
Iconll
Note 21 Provisions for liabllities and Chargès
Please Complete this note rfyou have Includedin ¢harftyexpendlture anyprovlslons. A provision ts made when the ¢h8trty
has a liabilllyof uncertain timing oramount.
21.1 Movements in recognised prov181on8 and funding commhtment during the perlod
Thi5 year
Last year
Balan¢e at the start of the ￿p()rtIng period
Amounts added in current perlod
Amounts charged againstthe provision in the current period
Unused amounts reversed during the period
Balance atthe end ol the reporting period
21.2 Please provide-
brief d8SCriPtion of any obligation5 on the
balartce sheetand the expected amount and timing of
resulting payments-
Thi5
ear
Last year
- an indicatlon of the uncertaintles aboutthe arnount
or timing ol those outllows,. and
-the amount of any expected relmbursernent, 5tstirtg
the amount of any asset that has been re¢ognised for
that expe¢ted TeimbursernenL
Thi8
8ar
La$tyear
21.3 For any lunding commttment that is not
recognised a5 a liabllity or provision, provide details
of ¢ommitment made, the time frame of that
commitm8nL any perfomiance-relaled Gonditions and
details of how the commitmentwill be funded (with
contracts for capital expenditur8 separdtety
identifiedl.
21.4 Where unrestricted funds have been designated
to a fund comwnitment, please disclose the nature of
any amounts designatsd 4nd the Ilkely timing of that
expenditur8.
CC17a (Ex¢811
0211212024

Section C
Notes to the accounts
Icontl
Nole 22 Other dlsclosures for debtors, creditors and other baslc financial Instruments
This year
No significance
Last year
No signifieance
22.1 Please provide infomiatlon about the slgnlficancè of
flnancial instruments leg. debtors, creditors, investments
etcl to the charitys financial position or perfomiance, for
example, the terms and conditions of loans or the use of
hedging to manage finanelal rlsk.
hlot applicablè
Not applicable
22.2 If the charity has provided financlal assets a5 a fomi of
se¢urity, the carrylng amount of the financial assets pledge
a5 5ecurlty and the terms and conitions related to its pledge
should be given here.
CC17a (Excell
0211212024

Section C
Notes to the accounts
Icontl
Note 23 Contingent Ilabilities and contingent assels
23.1 Contingent Ilabilitiès
Where the eharlty has ¢ontlngent liabililities. please ¢omplete the followlng section unless th• posslbllity of
their exlstence 18 remote.
This year
Descrlptlon of item Including its legal nature. Please
describe any security provided in conneetlon to the
Ilability.
Estimate of flnancial effect
Last year
Descriptlon of Item ineludlng Its lègal nature. Pl•ase
describe any securlty provided In connection to the
Estirnats of flnancial offect
23.2 Contingent assets
Where the charity has contingènt assets, please complete the following sectlon wh8n thelr existenee Is
probable
ThÈs yèar
Descriptlon of itsm
Estimate of flnan¢ial effect
Lastyèar
Descriptlon of item
Estlmate of flnan¢ial eff8cI
23.4 Other di5elosures for contingent assets andlor liabllltles
Please provide the following Inforrnation where practScable'.
Thls year
Last year
Explaln any uneertalntles relallng to the amount or
timing of settlement. and the possibllty of any
reimbursement
Where It is not practical to make one or more of these
disclosures, please state this fact
CC17a (EX￿1)
0211212024

Sectlon C
Note5 to the account5
Note 24
Cash at bank and In hand
Thls year
Last year
Short term cash Invtrstmonts Iloss than 3 months maturlty dato)
Short term depos
ash at bank and on hand
Othor
Total
33.331
117,173
33.331
7,173
CC178 IExr*ll
0211212024

Section C
Notes to the accounts
(conti
Note 25
Fair value of assets and liabilities
Thls
ear
Last
ear
26.1 Pleas8 provlde ¢Jptalls of the Gharlty'8
exposuie to credit risk Ithe rlsk of incurring a10s5
due to a debtor not paylng what is owed?, liquidity
risk Ithe rfsk of not belng able to meet shortterm
financlal demands) and market rFsk (the risk th3t
the value of an investment will f811 du8 to Changes
In the market) arislng from financlal InstTurnertts to
whlch the charity Is exposed at the end of thè
reporting pÈrtod and explain how the Charity
manage5 those rlsk5.
Cr8dil Risk- Low due to the primary debtor
being a local council supported by public
funding. Lw4uidity Risk- Low due to reserves
kept lo cover 6 tnonlhs of expenditure. M8rf(el
Ri5k- Low due to investments being cash held
in savings accounts to 8arn interest.
Credit Risk- Low due lo the primary debtor
being a local council supported by publiG
funding. LIqu￿lty Risk- Low du8 to reserves
kept to cover 6 months of expenditure.
Marf(el Ri5k- Low due lo investm8nls bein9
cash hekl in $avlngs accounts to 8arn
25.2 Please glve details of the amount of change
In the falr value of baslc nnancial instruments
Idebtors, creditors, Investment5 Isee section 11.
FRS 102 SORPII m&asur&d at fair value through
th8 SOFA that is attrlbutable to changes In Gredlt
rlsk.
NIA
NIA
CC17a (Excell
0211212024

Section C
Notes to the accounts
(cont)
Note 26
Events after the end of the reporting period
Please complete this note events (not ￿qUiring adjustment to the accounts)
have occurred after the end of the reporting period but before the accounts
are authorised which relate to conditions that arose after the end of the
reporting period.
Thls year
Last year
Please provide details of the nature of the
event
None
None
Provlde an estimate of the flnancial effect
of the event or a statement that such an
estimate cannot be made
No financial effect
No financial effect
CC17a (Excell
0211212024

11
11111
11111
11
111
1111
a> c a)
,1111

KNIIIII
illiiiiii
111111
ikS1111
11111
111111
IFI"
.11111

Section C
Notes to the accounts
(contl
Note 27
Charity funds (cont)
27.3 Transfers between funds
This year
Reason for transfer and where endowment is converted to Income,
legal power for its conversion
No transfers
Amount
Between unrestricted and
restricted funds
Between endowment and
reslricled funds
Between endowment and
unrestricted funds
No transfers
No transfers
Last year
Reason for transfer and where endowment is convertod to Income,
legal power for its conversion
Amount
Be￿een unrestricted and
reslricled funds
Between endowment and
restricted funds
No transfers
No transfers
Belween endowment and
unrestricted funds
No transfers
27.4 Designated funds
This year
Planned use
None
Purpose of the designation
Amount
Last year
Planned use
None
Purpose of the designatlon
Amount
CC17a {Excell
0211212024

Section C
Notes to the accounts
Icontl
Note 28
Tran52Ctions with trustses and related parties
Irthe Charityhas anytrans8Ctiofts with relatedpartles (otherthan the trustee expenses exploinedln guidance notes) detsils
of $￿fv transaclions $houldbe provldedln thi$ note. ff there are no trans•cllons to report please ont8r-Truè~ Im the box or
"False" illhere are transactsons to report.
28.1 Tru8te8 r¢muneration and bonefits
This year
None of thg trustees have boen paid any remuneratlon OT re¢ol¥ed 8ny Other bengffts from 4n
èmploymenl wlth thelr chorlty or a Telatsd ontlty (Truo or Falsel
TRUE
In thoperiodthe charityhas p8idtrusiees rernunw¥Llon andbenefjts. Please ylve the amountof. andlegalauthoty lor. any
remuneration orolher benefits paiLlto a trustee by Ihe ¢harity oranyin$tltuLton ortomp8nyconnè¢led with it.
Amounts pald or benèflt value
Legal authorltylgg
tsrderi governlng
document)
Remumyatlo
Pqnslon
contrlbutlon
Redundancy
Other
TOTAL
Name oftrustoe
1058 of
offlcellex
Oavld Stone
Llnda Mlchel
Debble Page Evans
Joy Nlcholls
Peter Grlfflths
Kevln McDonald
Dafydd Morgan
Gareth Blshop
Please give delalls of why remuneratton orothèr
employment benefits were pajd.
NIA
Where ex gratia ￿Ymen* has been made to a trustee.
provide 8n explanation of the nature of the payment.
NIA
Last year
Nono of the trustO85 have boon paid any romuneratlon or recolved any other benefits Irom an
ernploymontwlth tholr charity or a rolated entlty (True or Fol$el
TRUE
In theperlod the eh8Wha5paldtrustses remunerHtson 8ndbenefits. Ple35e glve th83mount ol, andleyal authorityfor, any
remunernbon orotherbenefits pald to a lrttstee by the clJ8rity or8nylns•lution orcompany connected wllh it
Amounts pald or bèneflt value
PtrnÈlon
¢ontrfbutlon
Other
TOTAL
Legal authorlty leg
order. governlng
document)
RemuDoratlon
RBdundancy
Namè of tru51ee
loss of
Office￿eN
grat1¥
0211212024
CC17a (Excel}

Please give detsils olwlryremuneratfon orother
employmenl benefits werepaid.
Whero an ex grn118payJnwRth8s been made to a tru$£ee,
piovld8sn explan8*on ofthe nature olthe payn￿￿
28.2 Trustees, expenses
Irthe chaiityhaspaid trustees expenses for fumllllng their dull8s. details of such ts¥nsactions shouldbepmvldodin thls
note. Irthere are no transactions ￿ report please enter"True"In the boxbelow. Ifthorp a￿ transac&ons to report please
enter"F8lse".
No trtsstee exponso8 have boen Incurred ITvuo or Falsol
TRUE
Thls year
Lastyear
Typè of oxpenso8 rolmbur8ed
Travel
Subslstenco
A¢cDmmodatlon
Other Ipleaso 8peclfyl'.
TOTAL
Pleasè provlde thè number of trustees relmbutsed for èxpon5e5 or who
had expen888 pald by th8 charlty
28.3 TransaGtionlsl with related partles
Plè8se give detalls of any transactiort undertaken by (or Dn behalf of) Ihe charity whlch d relatedpartyhas a material
Interest. inclLtdlng where funds havè been held as agent forrelatedparties. ff Ihere are no su¢h Ir&nsactioTrsi ple05e entsr
ue'in the boxprovided.
This year
Thère have bBèn no rolated party transaetlon$ In th& reportlng porlod (Truè or Fa15el
TRiIE
Amount5
WTitton off
during
roporting
or
Namo of the trustoè
or relatod ￿rty
R?lation$hlp
to charity
Deserlptlon of tho
transactlonl51
Provlslon foT bad debts
at perlod end
Balance at
peTlod end
Amount
In relation to the transa¢tlons abovei pleaseprovlde the
tsrn7s and conditions, Inclutling anysecurityandthe rtature
ofaNJypayment (conslderatson) ts beprovlded In
settlement
Forany iel*tedparty. please provldo details of any
guarafttees given or received.
U211W2024
CC17a IEx¢ell

La8tyO8r
Thor8 have beèn no relatsd party tran8actlons In th8 roportlng parlod ITrue or Falsèl
TRUE
Amounts
writton eff
durfng
roportlng
orlod
Name of the trust¢9
OT related party
Relatlonshlp
to ch#TIty
D25¢rlptlon of the
tran5actlonl81
Provlsion for bad debts
at perlod trrtd
Arnount
Balaneo at
period end
In relation to the transactiorts above, please provlde the
terms and conditions, includlng anysecurity8ndthe nature
olanypayment (considerat10fr7) to beprovidedln
selvement
Far*ny rel8tedparty, please provide del8lls of any
IIU8r&ntees given orrecelved.
CC178 lE￿ry
0211W2024

Section C
Notes to the accounts
(cont)
Note 29
Additional Disclosures
The following are significant matters which are not covered in other notes and need to be included to
provide a proper understsnding of the accounts. If there is insuiTiciont room herey please add a
separate sheet.
CC17a (Excell
0211212024

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Section A
Independent Examiner's Report
Report to the trustees
haril.. NJrr,e
Eye to Eye Counselling Service
On accounts for the year
ended
31 March 2024
Charity no
(Sf any)
1170631
Set out on pages
Iremenher lo include th.e page numtrpig of additional sheelsl
I report to the trustees on my examination of the accounts of the above
charity I'the Trust") for the year ended 103
ResponsTbilities and
basis of report
As the charity's trustees, you are responsible for the preparation of the
accounts in accordance wilh the requirements of the Charities Act 2011
("the Act }.
I report in respect of my examination of the Trust's accounts carried out
under section 145 of the 2011 Act and in carrying out my examination, I
have followed all the applicable Directions given by the Charity Commission
under section 145{51{b) of the Act.
Independent The charity's gross income exceeded £250,000 and l am qualified to
examiner's statement undertake the examination by being a qualified member of l.C.A.E.W.
I have campleted my examination. I confim that no material matters have
come lo my attention in connection with Ihe examination which gives me
cause to believe that in, any material respect..
the accounting records were not kept in accordance with section 130
of the Charities Act., or
the accounts did not accord with the accounting records., or
the accounts did not comply with the applicable requirements
concerning the form and content of accounts sel out in the Charities
(Accounts and Reports) Regulations 2008 other than any requirement
that Ihe accounts give a 'true and fair, view which is not a matter
considered as part of an independent examination.
I have no concerns and have corne across na other matters in connection
with the examination to which attention should be drawn in this report in
order to enable a proper understanding of the accounts to be reached.
Please delete the
ds in the brackets if they do not apply.
Signed:
Date:
Name:
(?. 11£
Relevant professional
qualificationlsl or body
{if any):
l.C.A.E.W.
IER
Oct 2018

Address:
27-28 Gelliwastad Road
Pontypridd
CF37 28W
Section B
Disclosure
Only complete if the examiner needs lo highlight material matters of con￿rn
(see CC32, Independent examination of Gharity accounts.. directions and
guidance for examiners).
Give here brief details of
any items that the
examiner wishes to
disclose.
NIA
IER
Oct 2018