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2025-10-30-accounts

Street sup[￿ Nets•th Limited Charity registration number: 1177546 Street Support Network Limited Registered Charity Number 1177546 Company Number 10348840 Accounts for the year ended 31 October 2025

Street Support Network Limited Charity registration number: 1177546 C￿anY registratN)n numbw. 10348840 INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF STREET SUPPORT NEfWORK LTD Indepondont examinorfs report to the trustees of Street Support Network Ltd ('the Compan￿> I report to th8 charity trustees on my examination of the accounts of the Company for the year ended 31 October 2025. Responslbllltles and basls of report A8 the charivs trustees of the Company (and Its dlrectors for the purposes of company law) you are responsible for the preparation of the accounts in accordance with th8 requirements of th8 Companies Act 2006 Cthe 2006 Act,). Havlng satlsfied myself that the accounts of the Company are not requlred to ba audited und8r Part 16 of th8 2008 Act arKI are 81iglble for IrKlep8ndent examinatlon. I report in respect of my exarninalion of your chanty'8 accounts as carrled out under section 145 of the Charities Act 2011 (Ihe 2011 Acf). In carrylng oul my examin8tlon I have foll0v￿1 the Directions given by the Charity Commission under section 145(5> (b) of the 2011 Act. Inde￿ndent •xamlMrf8 Stat•m•nt I hav8 completed my examination. I confimi that no matters have come to my attentlon in connection with the examlnation gNing me Cause to believe: 1. accounting records were not kept in res￿ of the Company as required by section 386 of the 2006 Act. or 2. th8 accounts do not accord with those re(xJrds' or 3. the a￿OUnts do not ￿mpty wilh the accx)unting requirements of section 396 of the 2006 Act other than any requirement that the accounts give a tnje and fair view which is nol a matter considered as part of an independent examination: or 4. the accounts have not been prepared in a￿*￿an￿ with the methods 8ThJ prfnclples of the Ststement of Recommended Practice accounting and r8POrting by tharlties [applicable lo cher￿e$ preparfng their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland {FRS102)]

Street Supwrt Nelw)rk LimFted Charity regIStrat￿n number.. 1177546 Company registrati(￿ number. 10348840 I have no Con￿MS arKI have come acmss no other matters in connection wtlh the examlnation to whi(* attention should be drawn in this report in order to enable proper underslandlng of the aco)unts to be read￿d. John Dakln ICAEW Cres8wells 12 Market Street Hebden Brldge West Yorkshir8 HX7 6AD Date: 07 April 2026

Street Support Nelwork Ltmited Charity wistratp)n number: 1177546 Company regislrali(fft number. 10348840 Trustees. Annual Report for the year to 31 October 2025 Objectlves. Actlvities. Achievements and Perforniance Str88t Supwrt Network Limited's purw>se 18, for the public benefit In England. Wal88 and Scotland, the relief of those in need by reason of illness, financial hardship and other disadvantage due lo their expenence of or risk of l¥)me188sness, in partular but not exclusively by provlding infomwtion to people who are experiencing hom8188sn8ss, and those at risk of becoming homeless. on how and where to access the sepiice8 th8y need; increasing or coordinating opportunities for people who are 8xp8ri8ncing homelessness. arKI those at risk of be¢xxnlng homeless, to engage with service providers: enabling those service providers to better meet the need8 of p80pI8 who are experienang homelessness and those at risk of becoming homeless. raising awareness of issues arising from hOn￿18sSn88s or the risk of homelessness: arKI promoting volunteering. During the year ended 31 October 2025 we ￿ntInued to 8UPPOrt each location within our nehvork to have an active home18ssness partn8rship supported by our Find Help l Give Help websrte. We conts'nued to support locations to share infomiation as they focused on their immediate priorities. especialty their winter provision initiatrves to shelter rough sleepers, Our plans for the fij￿re indude further expansion of the partsiership neiworf(. the expanslon and improvement of our digital platforni to support disadvantag8d groups affected by homelessness and the d81iv8ry of new db3ital twls to support èase of access to essential SerVi(￿s. We will continue to strengthen Ilnks between the towns and cities we work with to share best practice and devebop shared assets. In addition, w8 are refc￿U8lng our team to better support the k￿ation neiwork and to deliver growth. Throughout our work our commltrnenl to Co-woduction ensures that thos8 who have Ilved 8xp8rience of homelessness are heard and play an adlve role In dev81oping homel88sne8s strategi8s and Servic88. The trustees have had regard to the Charity comrnlss￿n. published guidance on the Public Benefit requirement under the Charit*s Act 2011.

Street Support Nehvoth Limtted Chaiity registratron number. 1177546 Company rngistration number. 10348840 Financlal Revlew In o)mmon with many diarities. we continue to experience financial pressures as available funding reduces in the face of increasing ne8d and o)sts increase. We meet this challenge by tsrgeting available funding and reducing costs wherever possible. The cash at bank balance of £19.950 induded furmls received in advance for Spe￿fiC projects. Reserves Policy Yow endod 31110r25 Incretse I IDecreaso1 31110124 Unroslrictad Funds R￿01¥••) Restricted l Designated Funds: Total Funds Ratlo of Reserv•8 to Esmntlal Co8t8 17.331 57.162 17.331 17.331 57.162 57,162 179.746- 1137.888 = 2.6 months 5.0 ffK)nth8 Res8rves are set astde to provide financlal stabilty and the rneans forthe d8V8lopment of our prlncipal 8Ctlvity. The absolute value of reserves will fluctuate Over tlme due to changes In the Scale and reath of our activitw and In line with our forecasts. The trustees review ts lev81 of re88N8s on at leasl a quarterly basis to ensure they are adequate to fulfil our (x)ntinuing obligatK)ns. The trustees review the R&8erves Policy on an annual basis. The Reserves Policy states that we intended to maintaln our r&serves at a18v81 which Is equivalent to between 6 months and 1 yearfs-worth of Essential Costs i.e. the cost of the core team. This lev81 of roserves will ensur8 that, should advers8 operating ￿ndIti(￿S arise. such as a decrease in revenue. the trustees will be in a position to pay the salaries of the core team for a period during which financial stability can be re4stablish&J. At 31 October 2025 the Charity's level of r88erv8s was b81ow that required by the Reserves PoliLy. The twstees had by this point put in pl￿ a wies of responses to address this, including restTUCturing the core team. a reneweil focus on service delivery and a growth plan. By the end of February 2026 the position had significantly improved to 3.9 months and Is forecast to improve further to 31 October 2026.

Street Support Nefvth Limited Charity registration number. 1177546 Structure. Governance and Management Street Support's goveming documents are Memorandum arKJ Articles of Association and the Charity is a company limiied by guarantee. in(xx￿ted in England & Wa￿s. Trustees have been appointed on the basis of provFding a range of relevant experience and a commitment to alleviating hornelessness. Reference and Admlnlstratlve Detalls Chari name istered cha numb8r Charity's principal address and registered office Street Su 1177546 3 Slater Bank Hebden Bridge West Yothshire HX7 7DY Jonathan Billings (ap>pointwJ 27 January 2025) Rach81 Brennan (reslgned 27 January 2025) Julie Cook James Cross (appointed 11 November 2025) Gary Dunstan (resigned 14 June 2025) Catherine Lynagh Neal McArdle (appolnted 17 March 2026) Vivienne Slack resi ned 10 December 2024 Gary Dunstan (to 18 Aprll 2025) Matlhiew Lambert from 25 November 2024 rt Nelwork Limited Names of the charity trustees who manage th8 Chanty Senlor staff members Declaratlons Th8 trustees declare that they have approved ￿ trustees, rewl above. Signed on behalf of the Charl￿$ trustees and directors Slgnature.. Full name: Catherin8 Lynagh Posriion: TNStee & Director /6 /2 Date:

Street SupF(*l N8lwork Limmed Charity r8gistration number. 1177546 Statement of Flnancial Activi118s Including an Income and Expenditure Account Notes l Unrestrithd , Funds Total Fund8 Prior Year I Total Funds Funds Income from: Donations aritable activities 21.332 93,200 107,450 8,403 136 263 513 Expendlturn on: Charitable activities Other Total 156.765 Net Income I Net mov•ment in fvnds Roconclllatlr)n of funds: Totsl funds brought forward Total funds carried

Street Support Nelwork Limited Charlty registration number. 1177546 Company registration number. 10348840 Balance Sheet Notes ', 131 October 2025 Asat 31 October 2024 Current assets: Trade debtors Cash at bank and in harKI Total current assets 1,425 19,950 Creditors: amounts falling_due within 1.￿ar 11 7,352 13,694 Total net a88ets Th• funds of the Cha Restricted income funds General unrestrictéd funds 57.162 For the year ending 31 October 2025, the company was entitkd to exemption from audit under Section 477 of the Companies Act 2006 relating to small companies. The rnemberyJ have not required company to obtain an aLhl¢t of its accounts for the year in question in accordance with Section 476. The directors acknowledge their responsibilities for comptying with the requirements of the Act with respect to a¢￿UntIng records and the prepar8tion of accounts. The finanaal ststements on pages 7-12 were approved by the truste68 on 19 May 2026 and are signed on their behaff by Signature: Full name.. Catherine Lynagh Posrtion: Trustee & ￿'rectOr 4/¢ /2

Street SuppcMI Network Llmit8d Clwity registration number: 1177546 Notes to the accounts 1. Accounting policies The Charity (x)mplies with Financial R8PCting Requirements {FRS 100) and FRS 102- These accounts were prepared in aC￿rdan￿ with the Charities SORP: These accounts were prepared in aCCL)rdan￿ with FRS 102: These accounts were prepared in accordancé with applicable chaFIty and company law of England and Wales: These accounts were prepared on a going (x)rbcem basis and there are no materlal un(xlainties about the Charitys abilty to contlnue: and The Charity is a Public Benefft Entity. 2. Recognltion of income Income is recognised where th8 Charity is entitled to economic tenefic it is more Ilkely than not that that economic benefft will Ilow to the Charity and the monetary value G9n be measured reliably. Income from donations or grants WIth￿t P8rformanc8 related conditions Is recognised vhlen there is evidence of entitlement, receipt is probable and its amount can be measured rellabty. Income from grants with performance related condStions is only recognised when the perfomiance related conditions are met. Income 8amed from the sa18 of servic88 under ￿ntract Is r8cogniwJ when services are delivered. 3. Measurement of debtors D8btors are m8asur8d at their r8coverabl8 amounts 1.8. the amount the Chaiity anticipates it will recefve. 4. Measurement of creditors and provisions for liabilFtw and (tharges Creditors are measured at ts amount that ￿ Charity anticipates it will pay to settle a debt or the amount it has received as an advance payment for goods or seNices it must provide. 5. Volunteers and donated 8eriice8 The Charlty has b8r from the ￿ntrIbUtIOn of unpaid volunteers to administrative duties and online data integrity. The value of this has been 8stimated at £8,740 and has been rel￿)gnIsed in the accx)unts.

Street Supwt Network Limited Ch*Tty registration number. 1177546 Cornpany registrati￿ number. 10348840 6. Trustee remuneration and benefits Trustees are not remunerated for their ro18s as trustees. No trustee expenses have been inaJrr8d. One trustee was remunerated for other 8ervices to the Charity under provisions Included in Ihe Charity's governing documents and with the agreement of the Charities Commission. Amounts paid, as shown below. do not include any amounts relatirKJ to pensions, temiination payments or any other benafiL Gary Dunstan - £19,730 (2024: £50.750) for Se￿1￿8 related to the management and operalion of the Charity. 7. Analysis of IniTh Unrestricted Funds Reslri¢ted Funds Tolal Funds Prior Year Totsl Donatlons: Donations Grants of a eneral nature Totsl donatlon8 19,332 2,000 19.332 Charftablo actlvl Set up fees and s6rvlc 93,200 93 00 93.200 107,450 107450 Total charltable actlv Othor Families and other Bank interest Totsl othor ects 513 513 513 513 999 Total Incom• 136 263 Income from set up fees and servi(% dprges indudes £47.275 (2024: £56.160) received from Local Authorths. io

Street Supwt NetMth Limtled Chty registration number. 1177546 8. Analysis of expenditure Aclivities Undertaken Support Costs Total Prior Year Total Charitable actlv Location based activity- partnership building, Find H&1 l Give Hel Total charitable actlv 151.752 151752 154,876 other Families and other Total other Total Expondtturn 151,752. 3.124 154 876, 160 154 9. Staff costs Year ended 310(ober 2025 Year ended 31 Odober 2024 Wages and salaries Social sewn.ty. costs i Employ8rfs contribution to defined ension schemes contr1bution.￿......_ Total 53.448 The average number of staff employed over the year was 2 {2024: 2). No employees re￿iVed employee benefts (exduding employer pension (x)sts) of more than £60,000. The Charity's pension arrangements are solely through partbcipation in the People's Partnership (formerly known as the People's Pension). Allocalion of pension costs across adivities on the basls of the activty of the ￿levant employee. 10. Ind8P8nd8nt ExamThrfs remuneration Fees of £396 (2024: £810) were paid to the independent examiner for the independent examination of these finanaal ar￿unts. li

Street SuprKYt Nthork Limited Charity registration number: 1177546 11. Credltors: amounts fallirvJ due within 1 year Asat 31 October 2024 31 Odober 2025 ayments received on account for contracts or rfomiance related grants Accruals T8X8tion and sodal secu 12.117 246 7.352