**Registered charity number:** 

**1174013** 


## **NORTHAMPTON SAMARITANS** 

**REPORT OF THE TRUSTEES AND FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2022** 



**NORTHAMPTON SAMARITANS** 

## **REPORT OF THE TRUSTEES AND** 

## **FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2022** 

|**CONTENTS**|**Page**|
|---|---|
|Organisational details|1|
|Report of the Trustees|2-4|
|Report of the Independent Examiner|5|
|Statement of Financial Activities|6|
|Balance Sheet|7|
|Notes to the financial statements|8-11|
|Shop trading account|12|
|Friends of Northampton Samaritans account|13|





**NORTHAMPTON SAMARITANS** 

1 

## **ORGANISATIONAL DETAILS FOR THE YEAR ENDED 31 MARCH 2022** 

**Registered charity no:** 1174013 **Registered office address:** 2 St Michael’s Avenue Northampton NN1 4JQ 

## **Members of the Board of Trustees at 23 May 2022** 

All trustees have been in office since 1 April 2021 unless otherwise stated. 

Mr D J McAlpine Director Mr S M Broadbent Treasurer Ms S T Clarke Deputy Director - recruitment Ms M L Lawrence Deputy Director - mentors & probationers Ms M Sturman Trustee Mr D J Atkins Trustee Ms J W Ginns Trustee Ms R Nyakoojo-Sowah Trustee (appointed 30 June 2021) Ms M Riley Trustee (appointed 30 June 2021) 

## **Others who served as trustees in the year ended 31 March 2022** 

Ms L Walsh Mr S B Harker 

(resigned 30 June 2021) (resigned 21 April 2021) 

## **Independent Examiner:** 

Cobley Desborough Artisans’ House 7 Queensbridge Northampton NN4 7BF 

**Bankers:** Lloyds Bank plc 14 High Street North East Ham London E6 2HN 



**NORTHAMPTON SAMARITANS** 

2 

## **REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2022** 

The Trustees present their report and the financial statements for the year ended 31st March 2022.  The financial statements have been prepared in accordance with the accounting policies set out in note 1 on page 8 and comply with the Charity's constitution and the Charities Act 2011. 

## **1.  Structure, governance and management** 

## **(a) Nature of governing document** 

Northampton Samaritans ("the Charity") is a Charitable Incorporated Organisation (CIO), registered as charity number 1174013 on 28th July 2017, and operating as an affiliated branch of the UK national Samaritans charity organisation (charity no. 219432).   The Charity has adopted the Samaritans branch model constitution. 

## **(b) Appointment of Trustees** 

The Trustees of the Charity are responsible for its day-to-day management.  The Director is appointed in accordance with the Director Selection Policy and he/she represents the Charity at the annual national Council of Samaritans meeting and oversees all aspects of Charity work in relation to the service it provides to callers. 

The remaining Trustees are elected at the Annual General Meeting. No other body is entitled to appoint any of the Trustees. All Trustees receive continuing training.  The Trustees who have served during the year are shown on page 1.  There are no corporate trustees. 

## **2.  Objectives and activities** 

## **(a) Objects of the charity** 

(i) To work for the assistance of persons who are suicidal, despairing or in distress, by providing a service to enable such persons to receive immediate help, compassion and support from members of the Charity and also where appropriate, in accordance with Samaritans procedure, to signpost them to persons having specialist or professional skills; 

(ii) To support the central Samaritans charity and other recognised UK branches and affiliated charities of the central Samaritans charity. 



**NORTHAMPTON SAMARITANS** 

3 

**(continued)** 

## **REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2022** 

## **2.  Objectives and activities (continued)** 

## **(b) Principal activities undertaken** 

To achieve its objects the Charity works with other Samaritans UK branches to provide round-theclock availability of a telephone support service through the Samaritans national toll-free telephone number 116123, and also responds to contacts made by e-mail, online chat and letter, and face to face at the Charity's offices, to enable members of the public to receive help and support whenever required.  In addition it carries out outreach work, giving talks about its work to local groups.  The Charity depends entirely on highly trained unpaid volunteers to carry out its work. 

The Charity offers support to callers in distress by being there to listen and encourage the recognition and exploration of their options, and in doing so to help them find ways of coping with their distress without choosing to die by suicide.  It also seeks to support those whose distress is less acute, in the hope that they will not reach the point of feeling that they wish to end their lives. 

The Charity receives donations from members of the public and other organisations, operates a charity shop selling second-hand goods, and engages in other fundraising activities to enable it to fund its objectives. 

The Trustees have complied with the duty set out in Section 4 of the Charities Act 2011 and In planning the Charity's activities pay due regard to the public benefit guidance published by the Charity Commission. 

## **3.  Financial review** 

A summary of the financial position and income and expenditure for the year is given on pages 6 to 11. 

During the year ended 31st March 2022, the Charity acheived a surplus of income over expenditure of £18,868 (2021: £25,048 ).  Total income was £75,345 (2021: £73,065 ) and resources expended were £56,477 (2021: £48,017). 

Turnover from the Charity's shop for the year was £35,446 (2021: £14,407). The shop's performance in 2020-21 was badly affected by the Covid-19 pandemic, but has recovered during the current year, posting a trading surplus of £14,301 (2021: deficit of £3,526).  Government Covid19 grants relating to the pandemic amounting to £397 (2021: £27,885) were received, resulting in a net contribution to funds of £14,698 by the shop for the year (£2021: 24,359). 

Depreciation of the passenger lift which was installed in the Charity's premises in 2017 to improve access for volunteers has been included in these accounts.  The cost has been depreciated over five years at £7200 per year, and is now fully written off. 

The majority of the Charity's cash reserves are held with the COIF Charities Deposit Fund, managed by CCLA, one of the UK’s leading managers of charitable funds.  The funds on deposit with COIF at 31 March 2022 amounted to £100,000 (2021: £85,000). 



roN
Rl
ANS
OFTHETR
FOR THE YEAR ENDED 31 MARCH 2
contknu
The Chatlty seeks to malntsin a of reserves SLrFndent to aUu* It to th• InfrastrEthrn
necessary for ttto carry on rts op•rntiors. to pf￿hle a buffer 4ainst ¥ariattons In whfvw to
alk)w forS￿h cOntI￿er￿leS as M￿ht rpasonat*rf ￿ Èxpected to arise.
The T￿￿tee$ have rethedthe reservès hehl tyth• ChaTIty and are of the oplnion that under
nom*1 circurrt5tsn￿ a level OF unrestricted pneral reseryes Icvrrent ass•ts ￿$sCUI￿nt Ilabllltkl
betweeyt 12 and 18 wrththg re¢urrfng ewdfturE ts an adeqLWts and tomfortabje level to
maintsin. Atthe ?nd ofthe year the rv5erveswere sl*htly in •xcessof this rary¥e. but are
•xp*d to retixn to rhxmal levels in th•cornlng year..
A s•parnts capital r•sèrve ts Set w) to rnfiect the net b￿k valuedthe freeFtt)hJ W0￿rtY and Lthir
5. RWE m?na4en
TheTrustees aCkrM￿￿dge thelr reswnsllxlity toa55essand manage thè rfsksthatface the Chaitty.
Cc¥nprehensNe risk m?na48mÈrrt prcKedures are in p*e ar￿ risks In 411 areas of actfvfties are
re8ularty r•¥￿￿ aThl monttorÈd.
The Trustses are r•spJnsible for p￿panI¥ thè ReFL)rt ofth•Trth5 and thè FI￿n￿al
Statèments In ac￿l￿anCe wtth app11(ab￿ Unlted Klrtr4domP*¢oun￿ Stand)rd&
The law applioÈ4e to charl￿5 in England and Wales. the Charities Art 2011, the Charrty IA(tounts
and Reports l RegulatK$￿ 2C￿ and the pr￿ls￿n$ of the tnJ5t de•d require theTNstees to
prepare financkl statements for eath financial b*arwhkh Bive a trne and fairvkiwof thè stateof
th* affairs of the Chartty and of the intom1￿ rwurt8s and ap￿￿at￿rt c* resour￿ IndLvJln8 the
Income and txpendttU￿ rfth• Charityfor that perkxl. In prepartn8 those financial 5t*•ments the
Trustees are requiTrd to..
. s•*tsuit•ble acco￿ appty thèm cortsirtentty:
. ob￿rye the methcés and ￿pEeS in the charty SORP:
- makejth4gèments and estlff*tssthat are r&isonable and pnAlÈnt,'
. state whetherapF4*?blè accountingstsThdards have be￿ foW•d S￿￿e¢tt0 any matsrial
departLtr•s di5¢h)sed a￿1 eXpLa￿ed in the financKI1 sLit*ments:
. Prepa￿ the fina￿1￿1 statements on th• goi￿ concern bask unless It is i￿ppro￿l•￿ to FY8S
thatthe charity will continue in tw"ness.
Th* Tr￿￿￿$ are rnspJn$ib￿ for k*•pl￿ pnyraccc￿JTrti￿ rèc￿1$ whkh dtsdose wlth
reasonatAo accuw ai any timè the finandal KKL*lth)rt ofthe Charlty and to enable them to ensur•
that the financBI statements Djmth wfih theCharit*s kt 2011. the Charlty (Accounts and
R•prt51 Re$ukntwX￿ 2C¥)8 and the pft)vtsions ofthe t￿$t deed. They are abo r•spor45Il￿ts for
safvBuarding the assetsof the Charity. and hèno ￿takIng r•asonablè srepsforthe pravention
and detection Offra￿ and other I￿￿at￿$.
Slgngj on ￿half
thèTrustèes:
l)ur.~- ￿GlIPT.
Dlrnrtor
23 May 2022

REPORT OF THE INDEPENDEiif EXAMINER TO THE TR
MARITANS
H 2022
TEES OF
FOR THE YEAR ENI)ED
This re￿rt is on the finandal Statem￿ ofthe yearended 31 Marrh 2021 which
set Qui on pag¢5 6 to IL
The Trustees are ￿5￿￿{ble forthe preparat6on of the finantièl statem•nts.Thy consldw that an a￿lIt i8
requif•d forthi% UThYerseCtk￿ 144121 ￿the Ch4riti•s kt 2011 lthe 2011 Artl and that an
Independent eXaMina￿n is required.
It k my Te$F￿n5[￿llty to:
. examlm thÈ financial ststem•nts ￿d•r seLtkJn 145 of 2011 Actr.
. folkM the wc¢edures dtr￿n in the General Dlrect•)ns ￿p￿Th bythe Charity Comwnissh)n under s¢rtlon
14515Mbl of the 2011 >¢ and stats wk*th¢r￿rtIts￿r matte[5 h•v• cLYn• to att•ntlon.
My examination wa5 carrf•d in a(£ord?￿e with General Dir•ctlon5 £l¥en ￿ the Charfty Commissk*n.
An examination incI￿￿e$ a revtew of th• accoL￿ting records kept ￿ the Charlty and a comparison of the
accounts PTe5ent8d wilh those ￿rds. It also Indwles consid•ratth of any UnL￿ul1 rtems or0th￿S
tn the a(¢ounts. and 5eeknrg explanatic￿ frDmsx)u as trLthe$o￿￿rn(￿ any s￿h matt•ts. The
(￿l￿r•S L￿dertakIn do not proVK￿ all thewkkn that requir•d in an •¢xlit and
con5equenty no wnion ts 8iv•n as to whetherthè ¥ayJnts [￿￿ent a and fairyl￿-. and the rewr<
is Ilmlted tothose mattets 5etwt kn t￿ stat•ment bekA¥.
In the course of my examinat￿, no matterhas come to my attenti¢xt
11 Vihlch g￿e5 me réa50naNe ca￿e to bel*ewJ tIwL in atty materlal resP8Ct, the requlrgments,.
' proptr ac¢ounting records a￿ k•pt in ac￿rdan￿ with stttb)n 130 of the 2011 *tr, and
' accounts are w•pared whlch ac￿rd wtth the aLr4￿1￿11￿ recon15 and c4)mptr wtth
th• account1￿ ￿￿1r•mÈnts ofth# 2011 Art:
ha￿ not be•n met: or
21 to which. in myoplnton. attentkn shO￿d be drawtt in ordèrto enablÈ a proFor und•rstarKlir¢ of th*
accounts to be reached.
MrJRCob
Cobley 0esbor￿h
Arbsans. House
7 Q￿n5bridge
Northampton
NN478F
Date." li
T•L

srATEMENT
LA
MES FOR ThE YEAR ENDED 31 MARCH
Y••rended
31 Marth
Year*
31 M rch 202
funds
furvjs
Totsl
Totsl
SNCOMING REWRCES
28993
36.477
9J07
Incorre from trdding
lft¢om• from inv*stm•nts
38,
36A77
57A74
543
TOTAL INCOMING RESOURCES
65538
73,065
REX)URCES EXPENDED
Expendlture on rdk8lngfvnds
ExFenditure on charrtak48 xtr4ibe5
Expendlturt on admintstrati
24?18
25561
6201
397
24.715
25561
6,201
20.968
23.299
3,750
TOTAL RESOURCES EXPENDED
397
48.017
SURPWS FOR ThE YEAR
9.410
68
Mov￿ENrOF FUNOS
Total funds at IApril 2021
Net Surp1￿ forthe y*ar
137595
156.275
68
131,227
9.410
Total fvnd5 at 31 Marrh 2022
£ 147.053 £ 28AW £ 175,143
156,275
The notesonpaoes8 to lljorni partoJtheseJlnandglstatemtm5.

31 March 2022
31 March 2021
Not•s
TANGIBLE FIXED ASS￿5
57
65.077
CURRENT ASSEts
Investment assets
Cash at bank 4nd In harKI
Attrued Incon* and prepaid expenditure
18.097
1167
120.2&1
490
CURR￿ LIABILrriES
Amounts falling due within ¢)ne ￿•r.
Contrlbution due to natMJnal Samarltans dwrlty
Dèferred income and accrL*d experKlltwe
1.979
1,017
2.936
852
852
H￿CuRRE￿ASsETs
117,268
N￿AsSE[s
£ 175,143
156.275
Rtprp5entsd bv".-
UNREsTricfED FUNDS
General rnserves
Captt31 reserve
FrTends of Northampton SamarttansfuThl
86.740
57.875
2.438
65077
719
147,053
137595
RESTRI￿ED INCOME FUNDS
General r•s•Nès
18.6
TOTALFUNDS
£ 175J43
156275
*oed on ￿h41FoftheTTr￿on 23 May 2022
Duncan McAlplne ID
Steve
rrFpasuTor)
The notesonpaqe$8 to ijfvmi p0rtoltl￿finQnllal5tOt0ment&

8 

**NORTHAMPTON SAMARITANS** 

## **NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2022** 

## 1 ACCOUNTING POLICIES 

(a) Basis of accounting 

The accounts have been prepared using the historical cost convention and in accordance with the Statement of Recommended Practice (SORP), “Accounting and Reporting by Charities" and FRS 102, and on a going concern and an accruals basis. 

## (b) Fund accounting 

Unrestricted charitable funds are available for use at the discretion of the Trustees in furtherance of the general objectives of the Charity. Restricted funds are subject to restrictions on expenditure imposed by the donor or the Trustees, or through the terms of an appeal. 

## (c) Incoming resources 

Incoming resources are accounted for when receivable except when donors specify that donations and grants given to the Charity must be used in future accounting periods or when specified conditions are met, in which case the income is not included in incoming resources until those periods or until the conditions have been met. 

## (d)   Donated goods 

The value of goods donated for sale in the Charity's shop is recognised only as income when sold. 

## (e) Tangible fixed assets 

Depreciation is provided on tangible fixed assets at rates calculated to write off their cost less estimated residual value over their expected useful lives using the straight line method and the following annual rates: 

|Freehold property<br>0%|
|---|
|Property improvements                   20%|
|Fixtures, fittings and equipment    50%|



The Trustees consider that no provision is required for depreciation of freehold property because the market value of the property is substantially in excess of the balance sheet value. 

|2 PREMISES OVERHEADS<br>Rates, water, light and heat<br>Repairs and renewals<br>Cleaning and housekeeping<br>Office telephone and fax<br>Insurance<br>Depreciation of property improvements<br>Total for year<br>Allocated to:<br>Expenditure on raising funds<br>10%<br>Expenditure on charitable activities<br>80%<br>Expenditure on administration<br>10%|Unrestricted<br>Restricted<br>Funds<br>Funds<br>Total<br>£<br>£<br>£<br>2,507<br>-<br>2,507<br>11,633<br>-<br>11,633<br>4,619<br>-<br>4,619<br>1,734<br>-<br>1,734<br>1,152<br>-<br>1,152<br>7,202<br>-<br>7,202<br>28,847<br>-<br>28,847<br>2,885<br>-<br>2,885<br>23,077<br>-<br>23,077<br>2,885<br>-<br>2,885<br>28,847<br>-<br>28,847<br>Year ended 31 March 2022|Unrestricted<br>Restricted<br>Funds<br>Funds<br>Total<br>£<br>£<br>£<br>2,507<br>-<br>2,507<br>11,633<br>-<br>11,633<br>4,619<br>-<br>4,619<br>1,734<br>-<br>1,734<br>1,152<br>-<br>1,152<br>7,202<br>-<br>7,202<br>28,847<br>-<br>28,847<br>2,885<br>-<br>2,885<br>23,077<br>-<br>23,077<br>2,885<br>-<br>2,885<br>28,847<br>-<br>28,847<br>Year ended 31 March 2022|Unrestricted<br>Restricted<br>Funds<br>Funds<br>Total<br>£<br>£<br>£<br>2,507<br>-<br>2,507<br>11,633<br>-<br>11,633<br>4,619<br>-<br>4,619<br>1,734<br>-<br>1,734<br>1,152<br>-<br>1,152<br>7,202<br>-<br>7,202<br>28,847<br>-<br>28,847<br>2,885<br>-<br>2,885<br>23,077<br>-<br>23,077<br>2,885<br>-<br>2,885<br>28,847<br>-<br>28,847<br>Year ended 31 March 2022|Year ended<br>31 March<br>2021<br>Total<br>£<br>2,881<br>11,094<br>3,555<br>1,619<br>1,239<br>7,200|Year ended<br>31 March<br>2021<br>Total<br>£<br>2,881<br>11,094<br>3,555<br>1,619<br>1,239<br>7,200|
|---|---|---|---|---|---|
|||Restricted<br>Funds<br>£<br>-<br>-<br>-<br>-<br>-<br>-||||
||28,847|-|28,847||27,588|
||2,885<br>23,077<br>2,885|-<br>-<br>-|2,885<br>23,077<br>2,885||2,759<br>22,070<br>2,759|
||28,847|-|28,847||27,588|





9 

## **NORTHAMPTON SAMARITANS** 

## **NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2022** 

|Unrestricted<br>Restricted<br>Funds<br>Funds<br>Total<br>3 EXPENDITURE ON RAISING FUNDS<br>£<br>£<br>£<br>Shop salary costs<br>18,328<br>397<br>18,725<br>Other shop overheads<br>2,419<br>-<br>2,419<br>Advertising and publicity (50% allocation)<br>560<br>-<br>560<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Share of premises overheads (see note 2)<br>2,885<br>-<br>2,885<br>24,318<br>397<br>24,715<br>4 EXPENDITURE ON CHARITABLE ACTIVITIES<br>Volunteer training and support costs<br>398<br>-<br>398<br>Volunteer travelling expenses<br>1,400<br>-<br>1,400<br>Advertising and publicity (50% allocation)<br>560<br>-<br>560<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Share of premises overheads (see note 2)<br>23,077<br>-<br>23,077<br>25,561<br>-<br>25,561<br>All charitable activities are undertaken directly by the Charity.<br>5 EXPENDITURE ON ADMINISTRATION<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Independent examiner's fee<br>630<br>-<br>630<br>Bank charges<br>291<br>-<br>291<br>Room hire and functions<br>290<br>-<br>290<br>Contribution to central Samaritans charity<br>1,979<br>-<br>1,979<br>Share of premises overheads (see note 2)<br>2,885<br>-<br>2,885<br>6,201<br>-<br>6,201<br>Year ended 31 March 2022|Unrestricted<br>Restricted<br>Funds<br>Funds<br>Total<br>3 EXPENDITURE ON RAISING FUNDS<br>£<br>£<br>£<br>Shop salary costs<br>18,328<br>397<br>18,725<br>Other shop overheads<br>2,419<br>-<br>2,419<br>Advertising and publicity (50% allocation)<br>560<br>-<br>560<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Share of premises overheads (see note 2)<br>2,885<br>-<br>2,885<br>24,318<br>397<br>24,715<br>4 EXPENDITURE ON CHARITABLE ACTIVITIES<br>Volunteer training and support costs<br>398<br>-<br>398<br>Volunteer travelling expenses<br>1,400<br>-<br>1,400<br>Advertising and publicity (50% allocation)<br>560<br>-<br>560<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Share of premises overheads (see note 2)<br>23,077<br>-<br>23,077<br>25,561<br>-<br>25,561<br>All charitable activities are undertaken directly by the Charity.<br>5 EXPENDITURE ON ADMINISTRATION<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Independent examiner's fee<br>630<br>-<br>630<br>Bank charges<br>291<br>-<br>291<br>Room hire and functions<br>290<br>-<br>290<br>Contribution to central Samaritans charity<br>1,979<br>-<br>1,979<br>Share of premises overheads (see note 2)<br>2,885<br>-<br>2,885<br>6,201<br>-<br>6,201<br>Year ended 31 March 2022|Unrestricted<br>Restricted<br>Funds<br>Funds<br>Total<br>3 EXPENDITURE ON RAISING FUNDS<br>£<br>£<br>£<br>Shop salary costs<br>18,328<br>397<br>18,725<br>Other shop overheads<br>2,419<br>-<br>2,419<br>Advertising and publicity (50% allocation)<br>560<br>-<br>560<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Share of premises overheads (see note 2)<br>2,885<br>-<br>2,885<br>24,318<br>397<br>24,715<br>4 EXPENDITURE ON CHARITABLE ACTIVITIES<br>Volunteer training and support costs<br>398<br>-<br>398<br>Volunteer travelling expenses<br>1,400<br>-<br>1,400<br>Advertising and publicity (50% allocation)<br>560<br>-<br>560<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Share of premises overheads (see note 2)<br>23,077<br>-<br>23,077<br>25,561<br>-<br>25,561<br>All charitable activities are undertaken directly by the Charity.<br>5 EXPENDITURE ON ADMINISTRATION<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Independent examiner's fee<br>630<br>-<br>630<br>Bank charges<br>291<br>-<br>291<br>Room hire and functions<br>290<br>-<br>290<br>Contribution to central Samaritans charity<br>1,979<br>-<br>1,979<br>Share of premises overheads (see note 2)<br>2,885<br>-<br>2,885<br>6,201<br>-<br>6,201<br>Year ended 31 March 2022|Unrestricted<br>Restricted<br>Funds<br>Funds<br>Total<br>3 EXPENDITURE ON RAISING FUNDS<br>£<br>£<br>£<br>Shop salary costs<br>18,328<br>397<br>18,725<br>Other shop overheads<br>2,419<br>-<br>2,419<br>Advertising and publicity (50% allocation)<br>560<br>-<br>560<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Share of premises overheads (see note 2)<br>2,885<br>-<br>2,885<br>24,318<br>397<br>24,715<br>4 EXPENDITURE ON CHARITABLE ACTIVITIES<br>Volunteer training and support costs<br>398<br>-<br>398<br>Volunteer travelling expenses<br>1,400<br>-<br>1,400<br>Advertising and publicity (50% allocation)<br>560<br>-<br>560<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Share of premises overheads (see note 2)<br>23,077<br>-<br>23,077<br>25,561<br>-<br>25,561<br>All charitable activities are undertaken directly by the Charity.<br>5 EXPENDITURE ON ADMINISTRATION<br>Postage and stationery (33% allocation)<br>126<br>-<br>126<br>Independent examiner's fee<br>630<br>-<br>630<br>Bank charges<br>291<br>-<br>291<br>Room hire and functions<br>290<br>-<br>290<br>Contribution to central Samaritans charity<br>1,979<br>-<br>1,979<br>Share of premises overheads (see note 2)<br>2,885<br>-<br>2,885<br>6,201<br>-<br>6,201<br>Year ended 31 March 2022|Year ended<br>31 March<br>2021<br>Total<br>£<br>16,081<br>1,852<br>72<br>204<br>2,759|Year ended<br>31 March<br>2021<br>Total<br>£<br>16,081<br>1,852<br>72<br>204<br>2,759|
|---|---|---|---|---|---|
|||Restricted<br>Funds<br>£<br>397<br>-<br>-<br>-<br>-||||
||24,318|397|24,715||20,968|
||398<br>1,400<br>560<br>126<br>23,077|-<br>-<br>-<br>-<br>-|398<br>1,400<br>560<br>126<br>23,077||197<br>756<br>72<br>204<br>22,070|
||25,561|-|25,561||23,299|
|||-<br>-<br>-<br>-<br>-<br>-|126<br>630<br>291<br>290<br>1,979<br>2,885||204<br>594<br>193<br>-<br>-<br>2,759|
||6,201|-|6,201||3,750|





10 

## **NORTHAMPTON SAMARITANS** 

## **NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2022** 

|6 TANGIBLE FIXED ASSETS<br>COST<br>At 1 April 2021<br>Additions<br>At 31 March 2022<br>DEPRECIATION<br>At 1 April 2021<br>Charge for the year<br>At 31 March 2022<br>NET BOOK VALUE<br>At 31 March 2022<br>At 1 April 2021|Freehold<br>property<br>£<br>69,297<br>-|Fixtures,<br>Property<br>fittings &<br>improvements<br>equipment<br>£<br>£<br>65,105<br>33,951<br>-<br>-<br>65,105<br>33,951<br>57,903<br>33,951<br>7,202<br>-<br>65,105<br>33,951<br>-<br>-<br>7,202<br>-|Fixtures,<br>Property<br>fittings &<br>improvements<br>equipment<br>£<br>£<br>65,105<br>33,951<br>-<br>-<br>65,105<br>33,951<br>57,903<br>33,951<br>7,202<br>-<br>65,105<br>33,951<br>-<br>-<br>7,202<br>-|Total<br>£<br>168,353<br>-|
|---|---|---|---|---|
||69,297|65,105|33,951|168,353|
||11,422<br>-|57,903<br>7,202|33,951<br>-|103,276<br>7,202|
||11,422|65,105|33,951|110,478|
||57,875|-|-|57,875|
||57,875|7,202|-|65,077|



|7 UNRESTRICTED FUNDS<br>At 1 April 2021<br>Net surplus for the year<br>Transfer from capital reserve<br>At 31 March 2022<br>Represented by:<br>Tangible fixed assets<br>Investment assets<br>Other current assets<br>Current liabilities|General<br>reserves<br>£<br>71,799<br>7,739<br>7,202|Capital<br>reserve<br>£<br>65,077<br>-<br>(7,202)|Friends of<br>Northampton<br>Samaritans<br>£<br>719<br>1,719<br>-|Total<br>£<br>137,595<br>9,458<br>-|
|---|---|---|---|---|
||86,740|57,875|2,438|147,053|
||-<br>71,910<br>17,826<br>(2,996)|57,875<br>-<br>-<br>-|-<br>-<br>2,438<br>-|57,875<br>71,910<br>20,264<br>(2,996)|
||86,740|57,875|2,438|147,053|





11 

## **NORTHAMPTON SAMARITANS** 

## **NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2022** 

|8 RESTRICTED INCOME FUNDS<br>At 1 April 2021<br>Net surplus for the year<br>At 31 March 2022<br>Represented by:<br>Investment assets|General<br>reserves<br>£<br>18,680<br>9,410|Capital<br>reserve<br>£<br>-<br>-|Friends of<br>Northampton<br>Samaritans<br>£<br>-<br>-|Total<br>£<br>18,680<br>9,410|
|---|---|---|---|---|
||28,090|-|-|28,090|
||28,090|-|-|28,090|
||28,090|-|-|28,090|



The Trustees have committed to a project to refurbish, sound-proof and upgrade the Operations Room in the branch premises, which is the room used by Listening Volunteers to provide the service to callers.  The project was expected to be completed during the year but was delayed and is now expected to be completed in the coming year. 

Donations totalling £18,515 specifically allocated to the project had been received at 31 March 2022, and in addition the Trustees committed £10,895 of general funds to the project during 2020-21.  The total funds earmarked for the project are therefore £29,410, of which £1,320 has already been expended at that date leaving an as yet unspent balance of £28,090. 

## 9 EMPLOYEE COSTS AND NUMBERS 

Total employee costs for the period amounted to £18,725 (2021: £16,081), of which £nil (2021: £nil) related to employer's national insurance contributions and £91 (2021: £117) to employer's pension contributions.  Grants amounting to £397 (2021: £7,454) were received from HM Government's Coronavirus Job Retention Scheme during the year in support of employment costs.  The average number of employees during the period was 2 (2021: 2), and they are employed in the Charity's shop. 

## 10 TRUSTEE REMUNERATION AND EXPENSES 

No remuneration was paid to any Trustee in the year (2021: £nil) and no trustee claimed expenses (2021: nil). 

## 11 TAXATION 

The Charity is registered with the Charity Commissioners under the provisions of the Charities Act 1960.  In accordance with the provisions of s505 of the Income and Corporation Taxes Act 1988, no taxation is payable on any surplus of income over expenditure. 

## 12 APPROVAL OF ACCOUNTS 

The accounts were approved by the Trustees on 23 May 2022 

