REGISTERED CHARITY NUMBER: 1177266
SUICIDE SUPPORT
Stsnbridge Accountancy SeThi¢eg knmrted
g Wheatstone Court
Waterwd18 Busines8 Park
Davy Way
GIOU￿ter
Glouce8tershlre
GL2 2AQ

Sunfl
Financial Stat
1 March
Page
Report of th8 Tru*ees
1 to 4
Independent Examln8V8 Report
Statem8nl of Financial AGtivlt188
Balance Sheet
Notes to the Flnanclal Statsment8
8 to 13
Oetalled Slatemant of Fhanclal Actfvit
14 lo 15

rs Sulcide Su
ort
for the Ye
nded 31 Ma
24
The tnjgteeg presant their report with the financial statements gf th8 charity for the year en￿￿
31 March 2024, The tnjstees have adopted the wovisions of A￿oUn￿ng and Repo￿.n9 by
Charitl8s.' Stat￿ent of Recommended Practice applicable to charfties p￿partrO their acGounts in
accordance with the Financial Reporb'ng Standwd applicable in the UK and Republic of Ireland
(FRS 102) (8ffective 1 Jansjary 2019).
OBJECTIVES AND ACTivrriES
Obje¢llv88 and aim8
The oblèct8 of the CIO are to relieve th8 rnenlal and physical &cknes8 of people bereav8d by
8ulcide and those at risk of sulcide by provlsion of counselling and support. To acfvance thé
education of the public in all ar@as relating to Sul￿de and sulclde beréavement. In particular but not
exclusively among health professionals and those who work wtth people b8reaved by 8uic¥Je or at
rlsk of sul￿de. To meet the need6 br6ak the isolation of thosa bereaved by the suicid8 of
¢108e relats've or frlend, by offering a 80fe confilential environmgnl In which ber8avèd people can
8hare their experiences and feelings. consequently glving and gaining 8UPPOrt from each other.
To promote greater awareness for pfofessiona18 to help them reco9nls6 the spedfi¢ 8upporl
ulred for th088 bereaved by suicide.
Slatoment on Publ1¢ BOn￿t
Thè trustee6 are awa￿ of th8 Publlc 8gnefrt prov58iong of the Charitse8 Act 2011 and of the
guidance on them published by the Charlty C¢mmission. Th8y are satisfied that the objects of the
charity and the Actwitieg of the ch8rtty ar8 wthin the definition8 of Charitable Purp08es 8et down in
the Aca. The trustees are not awaré of any public detrirnent caused by the chaHty'8 oblèCt8 or
actlvth'es, nor a￿ they aware of anyona recelving prtlate beneff( from th8 tharlvs a¢tlvltles
Grant maklng
The Charty is not a grant making chanty and doe8 not invite grant appllcation8.
Voluntser•
The Char￿Y have 8 team of volunteers that have assisled in th9 operations of the Charity. DurtrKJ
this perlod, volunteer roles have indud6d administrative support, coordinating sunshlne box68,
Coordinatlng support pac%s, c18anlng of our offios. support at our b8reavement ev8nt8 and peer
faalitation of our bgreavement groups. We also have a team of volunteptB as part of the
fundraising rnmM￿tee who plan and dellver all of the Sunfl¢Yier6 led fundraising events.
ACHIEVEMENT AND PERFORMANCE
Charilablo actlvitles
The total donations retsfved during the periL>J totallgj £250,397 with the remainiry In¢ome belng
generated from the fees from events 8fKI talks £28,030 and grants of £31,618. The expgnditure
totalSed £276,795 resulting in the exces3 of re￿P1S over payment8 of £33,250 (2023.. £37.6411.
The Charity has not Claimed any gift aid on donations during the period other than through CAF
Donate and Just Giving.
Page 1

unflower8 Suiade Su
R ort of the Truste8
for the Year Ended 31
24
FINANCIAL REVIEW
Prfncipal fundlng 8OUYU5
The Charitys principal stA￿ce of furKJs ha8 been from donations made by individuals, bequests,
and through events such a8 presentations and qui2 events. Our fiJTrJraising Strategy for the n6xt
financial yeBr aim8 lo ensure Ihat funding in¢ome com88 from varied income streams, it)clud￿
individuals, beque8t8, events and granls. During the perK)d the Charlty reCe￿@d grants from The
Barnwood Trust of £20,0(Xi to covei liaison support and o)un8elling. In addrtion to this, the Charity
r8cAved another in8talment of their funding from The Natlonal Lottery ￿lCh totall&J £66,078 and
grant from the Suicide Preventlon Fur￿ of £31,618.
Funds were also rai8ed duriro the ye8r fr(Mn ts annual Chas8 th8 Sun event, and th8 Sun8et Ball.
Inve8tment pollcy and obJoeliv•4
Al pr888nt the Charlty does not have any f￿dS in 8qulti88 or othw aBsets. The Charlty ha8
chosen lo hold funds on re8eNe in a Charity bank account. This has the benefft of ensuring
readlly avallabb liquid a88et8 to draw on as rlyuired. Durfng 2024 a deci8lon was made to
regtrfcl £44,LhXI of these free re88rve8 to sJJpport the objective8 of the Chth.
The Charfty 18 In a peTrch* of grovrth and therefora wlll Conttnue to See an Incroase in inv88tira
fund8 In the operation8 of the Chanty to develop ￿fraStrUctUre and manFthver in acoordance with
Ihe ￿n¢￿a81ng demand It continue8 trj ￿.
Ro8ervo8 poIIcy
The Restrlcted funds have ￿en shown in the 8tatem8nt8 of a886ts. Th8 Income is spent on thg
charriable activrtie8 in accordÉnce vrith the charitys objective8.
Summary ol the flnanclal ye•r
2023124 wa8 another significant year for Sunfiower8 both in terns of the demand8 ￿ the charlly,
and also the ability of the charity to increas8 scale of fundralslng in order to m8et th&8e demand8.
Thi8 is demonstrated by the fact that total income and endowrnent8 POSt8d 8 31% increase to
£310,045. This fvnding wa8 mad8 up principally of increa8e in grants with signific9nt contribLrtions
from The Nallonal Lottery, Suiclde Prevention Fund, and the Bamwood Trust. Thi8 overall
Increa86 In endc>wments and donations was wrth an 9s8wiatgJ increase in expenditure of
37% to £278,795. The nel impact of thls wa8 to leave Ihe tharity in Surplus I proftt for the year to
the tune of £33,250 lor the full year.
A8 Suth the total funds carded forward r08e frorn £206,609 at y8ar and 2023 to £239,859 al year
end 2024. With £75,217 categorised as restricted funds this brlngs the totsl reserves of t
harity up to £164,642.
While these reserves are currentty higher than Is targeted by th8
rwrvèg policy whiGh 18 to aim for 6 montlF of expèndtture as the reserves, thera Is an &xpet*tion
the reserye8 will reduce over th8 coming months given that the charity is increasiry the workforce
and we anticipate costs ri81ng ahead of income in the near lem. before a targeted Ilattening out of
that imbalanlx th the goal of running a stable reserve in lin viith target. The continued
expansion of the charity worlrforce ha8 necessltated a move from the currant premisas, bthich tha
charity ha8 Simply outgrown. rhe search for premises 18 CUtTently underway, arKI a budgat
for the move has been agreed between tha trustees and senior managemenl team.
Gtven In￿eased gxpected costs, SunflowerB wll need to 8ecure fvrther fijnding over the corning
yearyJ in order to be able lo continue to provide the crucial seNirM that we alm lo do. We are
confident that with the continued support of the grant giving bodles arKI the strorvJ fundraising base
that Sutfflower8 has achieved that the charity will be able to achiove this goal.
Page 2

Sunllow
esu
ortofth&T
for th8 Year En
h 2024
FUTURE PLANS
After making appropriate enquiries, the Trustees have a reasonable exFectstion that the Charity
has adaquate resources to continue in operational existen￿ for the foreseeable future. For th18
reason, th6y continue to 8dopt thg golng CA)ncem basi8 In preparing th8 finandal 8tatem8nts.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Govemlng document
The charity 18 controlled by its goveming do¢uTr￿t and is an Incorporatsd charity. The
Sunflowers Sulode sUpp￿t wa8 registered with the Charty CommI8￿On a8 a charity on 21
Fd)ruary 2018.
Rocrullm•nt and appolnlmènt of now tru8tO88
New tru6Èee8' appoinlmenls are 8hown under the trust868' detalls wtiC￿. Any new trustees arè
Invited by agreement of the existing tru5tee5 having due règard to the S￿118, knOw￿dge and
experience required for the effective administration of ihe Charity
Organlsatlon•l Structu
There are cuffenlly five tru8tee8 and approxlmately thity tharty volunteers. The organl8allonal
8truclur8 of th8 charrty 18 such that long temi strategic dec181on8 are made during regular tru8tee8'
meetings atteAKled by the tru8tee8, m￿lagement team, and also periodically by some of tha
volunteèrs.
Inducllon and tralnlng of now tru8taO8
Any new trustees are introduced to the Charlty Commission trustee guldelines #nd ar8 provldad
th a copy of the Chanties Commission "E88ential Trustee. guTrdance booklet. New t￿￿tee6 ar8
fully updated on the background of the Charity, operation framework, and ts obJe¢tives.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstsred Charlty number
1177266
Prlnclpal addre8•
Tha Cygnet
Bonds Mill
stonehouse
GloucestW8hlre
GL10 3RF
Tru8tses
s K TumeA (resigned 23.3.24}
Mr H J Sagar Ir88igned 28.1.24)
Mr P Broad
Ms M Crook (resigned 2.1.24)
Mr E Jennings {resigned 20.9.23)
Mr l Taylor
Ms A duCro$ (resigned 2.1.24>
Mrs S Nè8th (appoinled 12.2.24)
Mrs K P Haughton (appointed 22 1.24)
Mr A Mulla (appointed 16.2.24)
Page 3

Suicide Su
ort of the Truste
for the Year Ended 31 Ma
2024
REFERENCE AND ADMINISTRATIVE DEfAILS
Independont Examlner
Mr D C I Woodger FCCA
stanbridge A¢ffiuntancy S6rvlc8s ￿MIl
9 INheatston8 Court
Watevw8118 Buslne8$ Park
Davy Way
Glcucester
Glouce8tershlr8
GL2 2AQ
Approved by order of the board of tnJ8t8es on .
behalf by..
l.É....0. 9..2.U-.......
and sTraned on Its
IAr A Mulla - Trusts8
Page 4

Inde
endent Examineffs Re
Sunflower
uicide Su
ort
rt to the Trustees of
Indepondent gxamlnè￿s roport to tho trusteos of Sunflowgrs Suicidè Support
I report to the charity trustees on my examination of the accounts of Sunftowers Suiclde Support
(the Tru8tl for the year ended 31 March 2024.
Responslbllltlgs and ￿18 of r•port
A8 the charity trustees of the Trust you are tssponsIb￿ for the preparation of the accounts in
a¢Gordance with the requirements of the Chanties Ad 2011 (Xhe ACV).
I report in respect of my examination of the Trusvs accounts carried out under Section 145 of the
Act and in carylng out my examination I have followed all applicable Dir8Ctions given by the
Charity Commission und8r Section 145{5)Ibl of the AGt.
Independent examlnorfs Statemont
sin￿ your charity's gross income exceeded £250,OCpJ your examlnèr must be a member of a listed
body. I can confim that l am qualrfied to undertake the examinats.on because l am a membér of the
Association of Chartered Certsfied Accountants. which is one of the listed bodies.
I have completed my examinalion. I confi'mi that no malenal matters hav8 come to my att&nllon in
connection with the examination gNing me cau88 to b81ieve that in any rnalerial ￿5P&¢I'
accounting rgcords were not kept in respect of the Trust as required by Section 130 of the
Act., or
the accounts do not aword ￿1th th088 r8cords: or
the accounts do not comply with the applicable requirements conceming the fom and
conlenl of accounts 881 out in the Charities IAeKounts and Report81 Regulations 2008 oth8r
thgn any requiremerrt that the accounts give a true and fair view which Is nol a matt8r
considered as part of an independent examinatlon.
I have no concerns and have come acr088 no other matter8 in connecllon with the examination to
which attention should be drawn in this rewt in order to enabl8 a proper understanding of the
accounts to be reached.
e I Woodgèr FCCA
Stanbridge Accountancy Services Limited
9 Wheatstone Court
Waterwells Business Park
Davy Way
Gloucester
GIou￿sterShlre
GL2 2AQ
..l.f....o.?....LLs
Date..
Page 5

8rs Suicid
tate
for
ntof
rEnd
ancial
Niti
31M
31.3.24
Total
fund$
31.3.23
Total
fund8
fvnd
fijnd
Notes
INCOME AND ENDOWIIIENTS FROM
Donatlons and18gaci8S
123,456
180.249
283,705
2IJO,762
Other tradlng actNities
Investment incom8
26,340
28,340
11,013
954
Total
212 729
EXPENDITURE ON
Ralsing fund8
3,855
19,215
23,070
19,Cfj1
Charftsble actlvlttos
General acdvllles
Total
276 795
175 088
NET INCOMEIIEXPENDITURE)
{38.939)
72,189
33,250
37,641
RECONCILIATION OF FUNDS
Total fund8 brought forward
203.581
3,028
206,609
168,968
TOTAL FUNDS CARRIED FORWARD
239 859
206 609
The notes form part of these financial slatements
Page 6

Sunfiow6rs Suic
Balatrce Sheet
31 March 2024
31,3.24
Total
ftJnd8
31.3.23
Tot81
funds
Unrestrfcted Restrict￿4
fund
fijnd
Notes
CURREiif ASSETS
D6blors
Cash al bank and In hand
49.732
139 782
49,732
11,540
189,514
75,217
264,731
2ce,834
CREDITORS
Amounts falling due within one year
(24,872)
{24,872
{25)
NEf CURRENT ASSErs
239.859
208 809
TOTAL ASSETS LESS CURRENT
LIABILMES
164,642
75,217
239,859
206,609
NET AS8ET8
239 859
206 809
FUNDS
Unrastrlcted fund8
Re8lricled funds
164,642
203,581
TOTAL FUNDS
239 859
Th8 financial statements were 8pproved by the Board of Trustees and authorisad for i88ue on
. and wore ￿gned on ils behalf by..
MrA Mulla - Trusts8
Thè notes fonn part of these financial statements
Page 7

wers Suic¢de Su
Not
e Financ
tatementS
31 March 2024
ACCOUNTING POUCIES
Basls of preparfng the flnanclal statements
The flnancial statements of the charity. which is a public b￿errt entty under FRS 102, have
been pr8par8d in accordance wrth the Charities SORP (FRS 1021 'A(￿UntIng and Reporting
by Charities". Statement of Recornmended PradicA8 applicab￿ to charities preparing their
accounts in accordants with the Flnancaal Reporting Standard applicable In the UK and
Republic of Irdand IFRS 102) (effective 1 January 2019),, Financial Reporting Standard 102
'The FInart￿al Reporting Standard applicable in the UK and Rwjblic of Ireland, and the
Charit186 Ad 2011. The finandal statements have been prepared under th8 historical cost
conventlon.
Income
All Income Is recogni8al in the Statement of Finaneial AC￿vIlla8 onc8 the charfty ha8
ent￿tlernent to the fiJnd8. rt K8 pmbable that the Income will be re￿IVed th8 amount can
be measured ￿lIably.
Expondltur•
Liabilitie8 are recc*3nSsed as expenditure 98 800n a8 there 16 a legal or constructlvg
obligation committing th8 chaiity to that 6x￿ndrture, tt Is probable that a transfer of
economic benefits will be requlred In setuement and the amount ol the ct4igatlon can be
measured reliabty. Expendiluré 18 8ccA)unted for on an ac¢rual8 basi8 and ha8 b66n
classified under headlng8 that aggregate am CO￿ r8laled to the category. G06ts cannot
b6 directly attributed to partlcular heading8 they hav8 been allocat&J to actfvftle8 on a basis
¢onsi8tent wth the u88 of resource8.
Taxatlon
Tho charity is axempt from tax on its charitable 8cUvft6es.
Fund accounting
Unre81ricted fund6 can be u88d In acccrfdarth with th8 chariiable objeclives at thé d18cr8tion
of the trustees.
R8strictèJ funds can only be used for partr'cular re8trl¢Xed purposes wthin the oblects of the
charity. Restrictions arise when specified by the donor or when fund5 are raised for
particular restricted purpoge8.
Furlher explanation of the nature and purpo¥e of each fund 18 Induded in the notej to the
financlal 8tatement8.
Page 8
continued...

ers Sui
Note8 to the Financial Statements- ¢ontln
24
OTHER TRADING ACTMTIES
31.3.24
31.3.22
Event8 and pr88entatiws
INVESTMENT INCOME
31.3.24
31.3.23
Dep08it aC¢OLrt Intffest
954
TRUSTEES. REMUNERATION AND BENEFrrs
There y￿re no tru8te8B' remuneration or other benefft8 fcr thg year end&J 31 Marth 2024
nor fcr the yèar ended 31 March 2023.
Tru81••8' expen808
There were no trust8as' exp8r)sa8 Pald for the yew end￿ 31 Marth 2024 nor for the year
ended 31 March 2023.
COMPARATIVES FOR THE STATEMENf OF FINANCIAL ACTIVITIES
Unrestrlcted Restricted
fjjnd
fund
Tolal
fund8
INCOME AND ENDOWMENTS FROII
Donation8 8nd leg￿189
134,294
68,488
200,782
Other trading activStW8
Investment Income
11,013
954
11,013
954
Total
212 729
EXPENDrruRE ON
RaiBinG fund8
10,720
8,341
19,061
Charltablo actlvttle¥
Ganeral activitleB
83515
156 027
Total
175 088
NET INCOMEI(EXPENDITURE)
52,026
(14,385)
37,841
RECONCILIATION OF FUNDS
Total funds brought fO￿ard
151,555
17,413
168.S
Page 9
continued...

nflowers Suicid
e Financial Statements- contin
the Year En
ed 31 March 2024
COMPARATIVES FOR THE STATEMEKf OF FINANCIAL ACTivinES - ¢ontlnu8d
Unrestrided Restricted
Tcrtal
fijnd
Jr
fund8
TOTAL FUND8 CARRIED
FORWARD
203 581
3.028
DEBTORS: AMOUF￿s FALLING DUE WITHIN ONE YEAR
31.3.24
31.3.23
Trade debtor8
Prepayments
9,280
40 452
9,250
CREDrfoRS: AMOUNTS FALLING DUE VIITHIN ONE YEAR
31.3.24
31.3.23
Trade cr&ditors
Taxation and 8ocSal 8ecudty
other cYeditorB
1,058
3,7CQ
25
25
MOVEMENT IN FUNDS
movement
In fund8
At
31.3.24
At 1.4.23
Unrestrlcted lundg
General fund
203,581
(38,939)
164,642
Restrlcted funds
General restricted grants
3,028
72,189
75,217
TOTAL FUNDS
239 859
Page 10
continued...

urrflower8 Suicide Su
Notes to
me
ar
ar
202
MOVEMENT IN FUNDS - contlnuod
Net movement in fund8. included in the above arg as follows:
In￿rnIng Re80urc8s Movement
resources expended
in fvnd$
Unre8tr1¢ted fund8
G¥￿ra1 fund
149,796
1188,7351
(38,939)
R￿trICI•d fund•
G￿er81 r88tricted grants
160,249
{88.060)
72,189
TOTAL FUNDS
276 7951
Comparatfv08 for movom•nt In fund•
Net
movement
in funds
At
31.3.23
At 1.4.22
Unrnstrlcted lund8
G8neral fund
151,555
52.028
203,581
R•8trlct8d fund8
Gen8r81 re8trfct8d gr8nt8
17,413
{14,385)
3,028
TOTAL FUNDS
206 609
Page 11
continued...

icide Su
Note8 to the FIn￿Cial Statements- continwl
for the Year Ended 31 March 2024
MOVEMENT IN FUNDS - contlnued
Comparative net movement in funds. Incl￿1￿ in the above are a8 follttwJ:
InGoming Rasourc￿ Movement
re80urce8 expendgd In fund8
Unrostrlctsd funds
Genaral fund
146,281
(94,235)
52,026
Rogtrlcted funds
Gen8r81 restricted gr8nt8
66,488
{80,8S3) (14.386)
TOTAL FUNDS
212729
175088
A current yèar 12 monts and yior year 12 m¢)nths I)￿bin￿￿ Positi￿ is as follows..
Ngt
movem?nt
In fvnds
Al
31.3.24
At 1.4.22
Unrn8trlct8d fund8
General fund
151,555
13,087
184,642
Re8trkt•d fund•
General restricted grant8
17,413
57,804
75,217
TOTAL FUNDS
239 859
Page 12
continued...

Sunilowers Suicide Su
Flnancial
tatements - co
e Year Er￿1￿1 31 M ch
nu
MOVEMENT IN FUNDS - continued
A curr8nt year 12 months and prfor year 12 months combined n8t movement in funds.
kncluded in above are 88 follows..
Incoming Resourc88 Movement
re50urc88
expend?
wi funds
Unrestrlclgd funds
G￿eral fund
296,057
(282,970)
13,087
Réstrletad fvnd8
General restrided grant8
226,717
(168,913)
57,804
TOTAL FUNDS
522.774
451883
RELATED PARTY DISCLOSURES
There were no related p8rty transaGtlon8 for the year endod 31 March 2024.
Page 13

8rs Suicide Su
Det
for the Y
Sta
ment f Flnandal Acttvhles
2024
31.3.24
31.3.23
INCOME AND ENDOWMEKrs
Donations and l•gaela•
Donatlons
Tralnlng fees
Grarrts
Baquests
224,058
28,029
31,618
103,804
18,827
36,210
283,705
200,762
Other tradlng actlvilios
Events and presentations
26,340
11,013
Invastmont Income
Deposit a¢¢ount inter88t
954
Total Incoming resou￿
310,045
212.729
EXPENDITURE
Ralolng donatlon8 ond18gacle8
Grief 8UPPQrt CQ8ts
28,170
19,C61
Other tradlng 4ctlvltl••
Exceptional btwms
{5,1001
Chaiftabl• acllvltl08
Wage¥
Soc#al security
Pension5
In8uran¢e
Light and heat
Telephone
Postage and 8tatlonery
Advertising
Sundries
Computer cosis arKI websit8
Bank charges
Tralnlng and confwences
Event Costs
ASIST
Mileage
Sun8hlne box and SOS pad(
Carried forward
186,801
98,560
2,017
1,721
1,234
389
380
3,902
1,732
1,414
1,287
1,672
281
2,857
11,240
12,581
1,731
1,178
143,337
8,354
135
5,898
162
8,537
14.607
15,453
1.016
221.284
This page does not form part of the statLrtory financial Statements
Page 14

Sunfiow8rs S I
desu
Detall
rlhe
tatement f
in
nc
31.3.24
31.3,23
Charltable acllv11188
Brought forward
Family IlaSson meeting co818
Evaluation support
Suicida Flrst Aid (SFA) costs
221.264
143,337
1.200
370
222,720
144,537
Support co•ts
Oth•r
Rent
18.312
7,699
Governan¢o C￿ts
Accountancy and legal fees
Legal and profe88i0nal feas
1,764
Total re8oUrc￿ expended
278 795
175 088
Net Incomo
This pag6 doe8 not fomi part of the statutory financial statements
Page 15