Oocuglgn Envelope ID,. 768BE8B&36D24824-￿FA-AC9B7lGC1g65
REGISTERED IN ENGLAND
REGISTERED CHARITY NO 1180137
WILFRID FABER COUNSELLING AIYD SUPPORT
ANNUAL REPORT AND FINANCIAL sTAlEN￿￿[s
FOR THE YEAR ENDED 01 SUNE 2025
Clenshaw Minns Ltd
ch￿'tered Accountants

tk)wslgn Envelope10'. 7668E88B-36O2.4824.A5FA-AC9871CC1a65
WILFRID FABER COUNSELLING AND SUPPORT
INFORMATION
FOR THE YEAR ENDED 01 JLQqE 2025
Ti'ustees
B Tussaud
C 14ornsby
R McHai'dy
J Large
A Shenkman
Charity numbei.
1180137
Priilcipal o￿l¢e
Broinpton Oiatoiy
Bi'oinpton Road
Londun
SW7 2RP
Accountaiits
Clenshaw Minns Ltd
Chai'tei'ed ALLountants
Noifolk IIousc
24 Markct Placc
Swaffham
Noi-folk
PE37 7QII

DocuBlgD Envelop2 ID.. 7fj88E88B.36D2.4824-A5FA.AC9871CC1965
WILFRID FABER COUNSELLING AND SUPPORT
CONTFNTS
Page
Trustees, arjnual report
Indcpendent exaininer's repoit
Slateinent of finanoial a¢tLVlties
Balance sheet
Notss to the financial statemcnts
7-11

Docuslgn En¥ekn￿ ID.. 7688E88&38D24824A5FA-AC9871CCI965
W￿RID FABER COLfNSBLI.ING AND SUPPORT
TRUSTEES, REPORT
FOR THE YEAR ENDED QI IUNE 2025
OBJECTIVES AND ACTIVITIES
Alms & ObJeetives
WFCS was set up to offer support lo tliose who may otlierwise be unable to seek the help Ihcy
need. Our clients have a bLxJad spects'um of complex needs. fi'oin I'elationship issues, to anxiety,
bei'eavcmeijt, suicidal ideatioii and feeling dii'ectionless. among m&ny others.
Main activities for acliieving objective$
Woi'k experience and ti'ainiiig for newly qualified psychotherapists (volunteers)
Oui. volunteers cater foi. different peL3onalities, emotional i'equiiEillents and cultural
expeillences.
Assessillent of those seeking help (clients)
Allocatioii of clients to a volunteei. for six ￿u￿se1]ing s¢5sioiis, niore if i'¢quii'ed
Close supeivision of volurtteers
ACIIICI VEMKffTS AEqD RVORMANCE
Review of actiTrTrties
The ye￿. 2024 to 2025 saw an inci'ease ill appli¢ations foi. suppoit and yet again the preset)ting
issues were of a nioi'e medicalised natur¢ moit th￿1 in thc previou5 y¢ar. Over 900/¢ of oui.
appli￿￿1$ slating anxiety as the main pi'esenting LS5Ue.
The national narrative has created a lot of instability for people and this is reflected in how they
are managing their mcntal health.
The ability and willingness of th¢ applicants lo pay foi. suppoil is less disappointing tlun last
yeai., but we still have to i'ely heavily on pi'ivale donations. with tliis in mind we ititroduced a
new m2nageinent system which seems lo be having Irqulis. Thei'e was no IArge fundraiser as in
the wevious Ye￿..
Wilfi'id's House lias over the yeats gained a Irputation foi. being a good placeTnenl for trainee
therapists and we have been privileged to have Iiad very sourLd and dedicated volunteei's- the
quality of ow. ts'ainEes is quite outstandii)g now.
The team of supervisois and clinical ass¢&sors do an ainazing job in suppoi'ting and facilitating
the work of oiw volunteers. their dedication is outstanding.
The small mai)agement team work tii'ele5sly witliout Iliem Wilfrid's Holis¢ woiild not be
able to fiiiiclion in the way il does. Our pait tttne admin teain has worked tiitlessly lo ensure oiii.
systerns our coi'rect and in line witli tlie requii'etnents of ilie ti'aining inslilulions our volunleei's
come from.
We have up to 45 volullteers and in ihe last year we h&ve giveii ovei. 5000 clinical hours of
suppoit. We also COnSLilt tlie Tnedical and physical faciilty at IMp￿la1 College and we have now
formed a I'elationshtp wAth Giay's Inn to suppoi't ts'ainee b￿￿'18te￿%.
We lun ti'aining for our volunteeis and we co%nplet¢ workshop5 iii vai'ious educalitsnal settings.

DofAJslgn Envelope ID= 7688E88B-36D2.48244SFA-AC9871CC1965
WILFRID FABER COUN,8ELLING AND SUPPORT
TRUSTEES, REPORT
FOR THE YEAR ENDED 01 JUNE 2025
T11￿.e has been an inci'ease in people wanting onliiie work and this lias enablcd us to see niore
clients.
We have forined a Irlatioi￿hIp witli Fai'in Street Chui'ch and tliey allow us to use space there to
see our ¢lients, whicli has helped enoiynously.
It is a pi'ivilege to be able support Jnany people and also to support the development of future
psychologist and thei'apists.
I would like to thank tlie Fath¢i's at Oratoiy Housc for their g¢nei'ous suppoi't with use of Kooins
and my fellow ti'ustees.
riINANCIAL REVIEW
Going concern and reseives policy
Tiie Trustees liave carefully considei'ed all available information on the finances and operations
of the company fDI' 12 months from the tiine of approving these fjnancial 8tatementg. In
p￿.11¢{lIaE. tliey liave ILqd i'egai'd to infoi'mation fi'olli budgets and fui'e¢asls fui. income.
expenditui'e and cash-flow, including the availability of urnystricted funds and I'e$erves, ci'edit
facilities and any otliei. foi'ms of fiEiancial assistance.
The'frustees of Wilfrid fiaber Counselling and Support l)4ve detd'mined that..
Te5eives ￿'c required buth to smuoth out fluctuations in in¢oiMe and expendituiE,
and to inainlaill aTh ability to i'espond to ui'gent needs.
this policy will be i'evicwcd annually.
STRUCTURE, GOVERNANCE AND MANACEMLNT
Constitulio
Wilfi-id Fabei. Counselling and Suppoi't is a ch￿'itable Incorpot'ated Oi'ganisation, number
1180137 and is constituted under tlie Ch&'ity Coininissioii Scheme and a Trust Deed. Tl)e
'ustees ￿'e appointed oi. reappointed annually at tlie Annual General Meeting.
PLANS FOR THE FirruRE
Future development$
The Charity plans to contiiiue its activities for the foi'eseeable future.
DEI CLARATION
The Trustees declare that they have appi'oved the above tt'ustees, i'eport.

oixJ8lgn Envelope ID,. 7888E88B-36D24824-A5FA-AC9871CCI965
LFRID FABER COUNSELLING AND SUPPORT
TRUSTEES, REPORT
FOR THE YEAR ENDED 01 JUNE 2025
Signed on belLglf of the clmrity's trustees:
BDJ]&5606f&w35..
Full iiame(s)
Position (e.g. Sect'etaty, Chair,
etc)
Date
31-03-2026

Doufsign Envelope ID.. 7688E88&36D24824-ASF￿AC9S7Icct￿s
WILFRID FABER COUNSELLING AND SUPPORT
INDEPENDEN'I. EXAMINER'S REPORT TO THB TRUSTEES
FOR THE YEAR ENDED 01 IUNB 2025
I repoit to tlic chai'ity ti'usleeg on my examination of thc accounts of the charity for the pei'iod
ended 01 June 2025 wliicli Sel out on pagcs 5 to I l.
Rtsponsibilities basis of i'epoi't
AS the charity's trustees you are responsible foi. the pl￿p￿.ation of the accounts Én accoi'daiice
witli tlie irquii'ements of tlie Ch￿.1t1eS Act 2011 ('die Act,).
I repoi'l in respect o( my examinatiott of the chai'ity's accounts cw'ried out undei. seelion 145 of
the Act and in C￿'1'y1￿8 out my exainination I have followed all the applicable Directions given
by the Chai'ity Commission undei. section 145(5)(b) of tlie Act.
Independent examiDEr's Statement
I have completed my examinatioii. I confirm that no matei'ial matters have come to my atteAtion
in connection witb the exain&nation giving me cause to believe tliat in atty material respect:
accountiThg i'ecoi'ds wei'e not kept in I.esp￿t of Il)e charity as reqLLiI'ed by se¢lion 130 of the
Act,. or
the accounts do ttot accord witli tliose recoi'ds,. 01-
tlie accounts do not comply with the applicable iEqllll'ements concelniiig tlie fom] and
contenr uf. accounts set out in the ch￿.]tieS (Accounts and Repoits) Regulations 2008 othei.
tlthn any requllynient that tlie accoiinls give a 'ti'ue aiid fail. view, which is iiot a Inallei.
¢onsideiEd as p￿.1 of an independenl exatninatLOn.
I have no concei'ns and havc come aciyiss no other mattels in connection with the ex&mination to
which attentioi) should be drawn in this repoi't in ol'd￿. to enable a propel. llndei'standing of the
acci>unts to be reached.
Dat.,...
Gavin mini￿ F.C.A.
Clenshaw Minns Ltd
Chartered Accountants
Noi.folk House
24 Mai'kel Place
Swaffham
PE37 7QH

DocuÈlgn EnvalopÉ ID., 768BE88B-36D2-4824-￿FA-AC967lCe196s
WILFRID FABER COUNSELLING AND SUPPORT
STATF.MF.NT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 01 JUNB 2025
Total
Tot21
funds
2024
Uiirestricted
funds
2025
Notes
Jjicomittg I'esollrces
Ineome and endowinents from:
Chai'itable activities
112,698
112,698
134,672
Total ineomillg resources
112,698
112,698
134,672
Resources expended
C.hai'ilahle activities
oih¢r costs
I02,351
1,468
102,351
1,468
138,732
Total resource5 expended
103,819
103,819
124,378
Net illcomel(expenditure)
8.879
8,879
(7,456)
Net movemeilt in funds
8,879
8,879
(7,456)
Total funds bi'ought forw￿K]
2,056
2,056
9,512
Total funds w'i'led fonvai'd
10,935
10,935
2,056

no￿sign Envelope ID.. 7688E88&36D2.4824-ASFA-AC9871CC1965
WLLFRLD FABER COUNSELLING AND SUPPORT
BALANCE SI4BEI'
AS AT 01 JUNE 2025
Total
funds
2U2
Total
funds
2024
Uni'estrieted
futlds
Note&
Fixed assets
Tangible assets
1,398
1,398
1,516
Current assets
Cash at bank and in hand
10,460
10,460
1,463
11,858
11,858
1,463
Creditoi's: amounts falling
due within one y￿r
923
923
923
Net curi'enl assets l (liabilities)
9,537
9,537
540
Total assets less current liabilitie$
10,935
10,935
2,056
Total net assets
10,935
10,935
2,056
Total charity funds
Uni'&lrieted fuiids
10,935
10,935
2.056
10,935
10,935
2,056
The finan¢ial stateinents were appi'oved by the Ti'ustces orl .
and are signed orn its behalf by..
4IM Alog
*yn•dby'.
The iiotes on pages 7 to I I forni pait of these financial staleinents.

Docuslgn Envelope ID,. 7868E888-36D2-4824-A5FA-AC9871CC1965
WILFRID FABER Col￿SELLING AND SUPPORT
NOTES TO THE FINANCIAL STA TEMENTS
FOR THE YEAR ENDED 01 JUNE 2025
Accounting policies
1.1 Basis of preparation of finanelal statements
The financial statrnients have been pi'epared undei. the htstoi'ical cost convention witii items
reeognised at cost oi. tt'al￿actIOn value unle&s otherwise stated in the relevant note{s) to these
a¢counts.
Tli¢ accounts l)ave beeii PlEpared in accoi'dance with the Ststenient of Reconimended Practice..
Accounting and Rcporting by CIL41'ities pi'epai'Angtheii' accountg in &eeoi'dance witli the
ritMncial Reporting Stand￿'d applicable in the UK and Republic of Ireland (FRS 102) and
with the Chai'ites Act 2011.
1.2 Fund accounting
Genei'al funds aye uiirestricted funds whicli al'e available foi. use at tlie discretion of tlie
Ti'ustees in furthei'ance of the genei'al objectives of the charity and which have not been
designated foi. otl)ei' pu]poses.
Designated fullds comprise unrestricted funds that have been set aside by the Tiwlees for
particular piii'poses. The aim and use of ¢ach designated fund is set out the notes to the
financial statements.
Investment inoomcj gains und losses allocated to the appropriate fund.
1.3 Incoming Tesourees
All incoming resourc¢$ are included in the StateEnent of Financial Activitics whcii the chLI'ity
is legally entitled to the incoine and the amouiil can be qualltified with reasonable 2ecui'acy.
Gift5 iii kind donated foi. distribution ui'e included &t valuation and recognised as inconie when
they al'e distributed to the pi'ojecls. Gifts doiiatcd for resdle are included &s incoine wlien they
are sold. Donated faLilities are included at the value to tlie chai'ity wheit tliis can be quantified
arkd a thii'd pai'ty is bearing the eost. No amounts are included in th¢ financial statements foj.
services donatcd by volunLcers.
Doiiated services oi. facilities, which compi'ise donated sei'vices, al'e included in income at a
valuation wlitch is ali estimate of the fiiian¢ial cost boi'iie by the doiioi. wliei'e such a cost is
quantifiable and measuixble. No Rncoiiie is r¢cognised whei'e tliere is no filianc1￿ cost ￿l'Tre
by a tliii'd party.
Income Tax i'¢covetxble in i'elation lo invcsluient income is recognised at the time the
investmeiit income is receivable.

Docuslgn ErNe1ope ID: 7888E8eB-36D2-4824-A5FA-AC9871CC1965
WILFRID FABER COUNSELLING AND SUPPORI.
NOTES TO THE FINANCIAL STATCMENTS
FOR T14E YEAR ENDED 01 JUNE 2025
1.4 Resoui'ces expellded
All expenditui'e is accounted for on an ac¢ruals basis and has been included undei. cxp¢nge
cate8ories that aw'egale all costs foi. allocation to activities. Where costs cannot be dii'ectly
atti'ibuted to pajticulai. activities tliey have been allocated on a basis consistent with Ilie use of
the resources.
Fuiidi'aising costs are those incurred in seeking voliEntaiy coi)ti'ibutions and do not include the
costs of disseminating infoiination ih suppoi'l of tlle cbai'itable activitie5. Support Costs al'e
those costs ineui'red dii'ectly in sui)pthrt of expenditure oji tlie tsbjeets of tlie ehai'ity and ii)elude
piojeet management carried out at headquarlei's. Management and adJnini511'atiOEk Costs ￿'e
those in¢ui'i'ed in coi)nectioii with athninisti'ation of the ch￿'Ity and coinpliance with
coiistitulional and stattltoiy i'equirenients.
1.5 Tallgible r￿ed assets and depreellatioll
Tangible fixed assets are stated at cost less depreciation. Depi'eciation is provided at l'ates
alculaled to wi'ite off the cost of fixcd assets, less their estimated I'esidual value, over Élieir
expettled usef￿[ lives, on the following bases..
Fixtui'e$ & ¢quipment- 150/0 straight line
Cbaritable activities
Unrestricted Unrestricted
Fund5
Funds
2025
2024
Doiiations
112.698
134,672
Total cliai'itable incoinc
112,698
134,672

Oocusban Etwelope ID,. 7688E88&36D24824-A5FA-Acg871CC1965
WILFRID I4ABbR COUNSELLING AND SUPPORT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 01 JUNE 2025
Chai'it&ble Expenditure
2025
2024
Direet Costs
Supeivision and ￿SeSSInenl
Developineiit and coaching
Volunteei. Ti'aining
Tvaiiling
BeiEaveinent suppoi'l
Medical costs
57,371
43,261
11,826
15,550
11,361
3,328
740
3,000
717
810
61,898
86,066
Suppoj't Costs
Administration
Computei. and website
Gellei'al and financial adminisli'ation
Travel
General expettses
Subsci'iptians
F.nt¢rtwning
Phoiies
23,012
5,631
4,378
2,255
316
3,326
850
685
18,110
9,393
17,2SO
5,495
1,658
124
636
40,453
52,666
Totai chEVitable expenditu
102,351
138,732
other eosts
2021<
2024
Accou¢Etancy
Depr¢ciatiOD
900
568
2,828
568
1.468
3,396

ocuslgn Env8lope ID.. 7688E888-36D2-4824-A5FA-AC9871CC1555
WILFIUD FABER COUNSELLING AIqD SUPPORT
NOTES TO THE fiNANCIAL STATEMEN'rs
FOR THE YEAR ENDED 01 JUNE 2025
Analysi& of resourees oxpondcd by expenditure type
2025
2024
Counselling and support work
Otl)er
102,351
1,468
138,732
3.396
103,819
142,128
6. Analysis of resoui'ces expended by Activltles
Dii'ect Costs Support Costs
202S
2025
Total
2025
Couiiselling and suppoit work
102,351
1,468
103,819
7. TaiigAble fixed a5SCts
Fixtures
aiid equipment
Total
Cost
At 2 June 2024
Additioi)s
Disposals
3,788
450
3,788
450
At l June 2024
4.238
4,238
Depreciation
At 2 June 2024
Depreciation eliininated on disposal
Chai'ge for the yeai.
2,272
2,272
568
568
At 01 June 2025
2,840
2,840
Net booli vnlue
At 01 June 2025
1,398
1,398
At 02 June 2024
1,516
1,516
io

Docsjgign Envelope ID.. 7e8sE88B-36D2-4824-￿FA-AC9e71CCIQ6s
WILFRID FABER COUNSELLING AND SUPPORT
NOTES TO TI& FINANCIAL STATEMENTS
roR THE YEAR ENDED 01 JUNE 2025
8. Cash at baiik and in liand
2025
1024
Cui'relll account
1,462
1,462
9. Creilitors. amounts falling due Mqthin one yeAr
2025
2024
Accruals
923
923
10. Ch#i'ity thnds
2025
2024
Opening funds
Net moveiiielll in funds foi. Il)e pei'iod
2,056
8,879
9,512
(7,456)
Closiiig fuiids
10,935
2,056
Closing funds shown abovp are held on Irust and in arcoi'dance with the i'e51rÈctions contained
in the Charity's Memoi'anduin of Association.
11. Analysis of net assets between funds
Unrestricted
2025
Unrestrieted
2024
Ta￿￿Ible Fixed Assets
Cui'i'ent assets
Creditoi3 due within one yeai.
1,398
10,460
1923)
1,516
1,463
(923)
10,935
2.056