Trustees. Annual Report for the period
Peritsj start date
Period erKI date
22
Section A
Reference and adirinistration details
Charlty naine
SHINE for Autism
Other names charlty [• known by
SHINE
Rogl$t•rod charlty number (If any)
NIA
Charfty's prlnclpal addr••s
4 t)evonshire Road
Millom
Cumbria
P08tcod•
LA18 4JF
N•m•• of the ¢harfty tru8t•e8 who manag• th• charlty
Tru•t•• Mm•
Ollk• Illany)
Chair
Name of wrnon lor body) èntsti
rt tru•t••
Ifan
Jane McFie
Juliè Craghill
Stephen Evan8
Bettina Evans
Shelagh Cloudsdal8
10
12
13
14
15
17
18
Name8 of the trustees for tho charlty. rf any. (for exampl•, any custodian truslees)
Name
Dates acted rf not for whole
èar
NIA

Names and addresses of advisers (Optional informthonl
of advisor
Name
Address
NIA
Name of chlaf oxocutlve or namu of senlor staff memborn (OpOonal Inforniationl
NIA
Section B
Structure, governance and management
D￿c￿p￿On of th• charlty's trusts
FourKlation' Model Constitution adopted on 23 August 2019
Type of goveming document
How the charity is consthuted
Charrtable Incorporated Organisation- Registered Charrty No. 1185018
Trustee selection methods
Trustees are appointed by current trustees as required.
Addltlonal governanc• l••u•s (Opfjonal Infomiatlon)
You may chooso to include
additional information, where
relevant, about..
policies and procedure8
adopted for the induction and
training of trustees.,
the charity's organisational
structure and any wider
ne￿ork with which the charity
All trustees give their time voluntarity and receive no remuneration.
We have Twstee Role Descriptions, Code of Conduct, Ac￿ptance Form
and Declarations for New TNStees. They are also be given the latest
copy of the ConstitLrtion, Annual Accounts Report, Treasurers Report and
Tri￿te6'S Report information.
We have wocedure3 in place for Acceptance & Refusal of Donatlons,
Complaints, Confidenttalty, Confiict of Interest, Data Breach, Data
PrOtect￿n, Equal Opportunities, Financial Control, Fundraising, Grants,
Harassment, Meetings. Photos & Images, Safeguarding Chitdr8n,
Safeguardiry Vulnerable Adults and Social Media. Trustees receive
copies of all procedures on induction.
relationship with any related
parties-,
trustees, consKleration of
major risks and the system
and procedures to manage
them.
Section C
Objectives and activities
Summary of the objects of thè
harity set out in its
governing document
To promote social inclusion for the wblic benefft of indrviduals with
Autistic Spectrum Disorder Ytho are socialty excluded from society, or
parts of society in Cumbria, as a resutt of beirvj autistic by provision
of services. resour￿$, facilit￿s, support and information for both them
and their parentslcarers.

Summary of the main
actlvities undertaken for the
publi¢ benefft in relation to
these objects linclude wlthin
this section the statutory
declaration that trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefft)
In planning our activities for the year we kept in mind the Charity
Commission's guidance on public benefft at our Trustee meetings. Our
main activitEs are as follows"
Providing resources. support and infomiation for individuals with
autistic spectrum disorder and their parentslcarers.
Providing the oppcKtunty for parentslcarers to meet in order to
develop a mutual SUPFK)rt network and enable sharing of skills,
experien￿ and knovledge within the group.
Organising recreation faalrties and opportunities for indivtduals
th autistic spectrum disorder to develop social networks,
frierKlships. peer groups and self-8Steem.
Provrding workshops, online forums and 1.1 support for
Pgrentslcarers to gain knovledge and strategie8 to enab￿ them
to support individuals with autistic spectrum disord8r.
Raising pU￿1C awareness of the issues affecting individuals with
autistic spectrum disorder and their parentslcarers both generally
and in relation to their social exclusion through fundraising and
wblic traininglawarenes8.
Providing small grants to local individualsl8Ghool8 to provide
supportlequipment for aulistic individuals.
The focus of our activities this year has been to support parer￿carer8
through our online support and planning for after the pandemic. We have
also been ¢on(*ntrating on fundraising to enable u8 to achieve our future
Addltlonal d•tall• of objecdvos •nd acllvlll•s (Opllonal Inforniallon)
You may cho￿0 to indLKle
fijrther statements, where
relevant, about:
policy on grant making;
policy programme related
investment-
A great contribution is made by our trustees who have spent many hours
supporting families in the area.
wrthout this time ￿ wwkj not be able to achieve any of our goals for the
group.
Any surplus funds *fiich are not likely to be needed are held for future
activiti'es, resources and training.
contribLrtion made by
volunteers.
We have a Grant Pro￿dure which sets out Ihe criteria for selecting
indmdualslschools that are eligible to rer*ive grants from SHINE.
The charity does r￿￿ invest any of its money.

Section D
Achievements and performaiice
Summary of the main
achievements of the charlty
durlng the year
April 21- Due to the pandemic SHINE has again been limited in our
activities this year.
June 21- We re￿iVed a £200 donation from Ros arKI £100 donation
from John.
August 21- We had a 100 number square fundraiser and made £250
for the group.
Septsmb•r 21- The postponed 2020 Keswick to Barrow and Coniston
to Barrow walks took ￿aCe. Our walkers raised a massive £2,359. We
also donated £100 to the Community Track which will be running Wh881s
for All sessions in future, making il inclu8ive for all.
Novernber 21- Our Pampar Event took place and ￿ raised nearly
D•¢•mber 21- We had a 100 number square fundraiser and made £250
for the group.
February 22- Trre We￿ some additional discussions with wheels for
all who are hoping to hold a taster sessions in May.
IAarch 22- Di8cussion8 are ongoiNJ vith regards to the cont8nt of the
Podcasts that wll take place over the next few months. The equipment
has been tested and everything worf(8 well.
Our par8nVcar•r support group catch up8 8tarted back thi$ month.

Section E
Financial review
Brief $tstement of the
charlty's pollcy on reserves
We hold cash at the bank of £7,385.24. ￿re are currently no restricted
funds. These funds are held for future activities and training. We aim to
hold £1,000, bul no more than £10,IXJO in reseNe at year end. However,
it is not ne￿SSary to have any reserves as V￿ only use money that is
available in our account.
Detalls of any funds materialty
In defi¢lt
Not applicable.
Furth•r flnanclal revlew d•tslls (Opts￿￿1 InfOrn￿OnI
You may choose to include
addttional infomiation, where
relevant about..
the charity's principal
sources of funds (including
any fundraising)-
how expenditure has
supported the key objectives
of the charity.,
investment policy and
objectives induding any
ethical investment policy
adopted.
Our main source of funds this year has been donations and fundraising.
We rety on the kKal communty for their continued support for both of
Expenditure this year has b88n used mainly toward fundraisirvJ.
The charity does not invest any of its money and it has no staff costs.
Section F
Other optional information
This coming year will see an emphasis on supporting autism a¢￿pIan￿ in our communty by promoting
understanding through the Podcasts ￿*hICh will involve as many autistic individuals as possible. We hope to
r8a¢h a vast amount of local people this way and we hoFe tl will also be accessible to communities further
afield. We will continue to support parenvcarers through workshops and support groups. We will also be
running activities through the hOl￿aYS to en¢ouwe peer relationships beiween our young people.
We will be looking into various funding routes arKI fuThJraising n￿ht3 (rf govemment guideli￿8 allow for this).
Section G
Declaration
The trustees declare that they have approved tha trust￿, report al)ove.
sIgn￿ on b8half of th• charlty's trust•
Signature(s)
Full name(sl
Position (eg Secretary. Chalr,
etc)
Mff4£.
Date
1310& j21


## **Receipts and Payments Accounts** 

Period start date 

Period end date 

**CC16a** 

**06 04 21 05 04 2022 From To** 

**Charity name** SHINE for Autism 

**Registered charity number (if any)** N/A 


**----- Start of picture text -----**<br>
Section A – Receipts and payments<br>Unrestricte Restricted Endowment Total funds Last Year<br>d funds funds funds<br>to the<br>to the to the to the nearest to the nearest<br>nearest nearest  nearest<br>£ £<br>£ £ £<br>A1 Receipts<br>Grants and<br>£671.00 - - £671.00 110.00<br>Donations<br>Fundraising £500.00 - - £500.00 -<br>CGP Grant - - - - 300.00<br>Interest - - - - -<br>- - -<br>Pamper Event £1,120.00 £1,120.00<br>K2B / Manc Run £3,009.00 - - £3,009.00 -<br>Sensory Box/Toys - - - - -<br>Sub Total £5,300.00 - £5,300.00 410.00<br>A2 Assets and<br>Investment  - - - - -<br>Sales, etc<br>Total Receipts £5,300.00 - - £5,300.00 410.00<br>A3 Payments<br>- - - - -<br>Activity Costs<br>Training - - - - 425.00<br>CGP Grant - - - - 299.00<br>Administration £178.68 - - £178.68 241.65<br>Fundraising £66.50 - - £66.50 -<br>Pamper Event £173.65 - - £173.65 -<br>- - - -<br>Copeland Grant 1,220.48<br>Awareness £198.24 - - £198.24 462.60<br>Grants/Donation £100.00 - - £100.00 750.00<br>s<br>Sub Total £717.07 - - £717.07 3,398.73<br>A4 Asset and<br>Investment  - - - - -<br>Purchases, etc<br>**----- End of picture text -----**<br>


March **2012** 

**TAR** 

1 




**----- Start of picture text -----**<br>
Total Payments £717.07 - - £717.07 3,398.73<br>Net of receipts/ £4,582.93 - - £4,582.93 -2988.73<br>(payment)<br>- - - - -<br>A5 Transfers<br>Between Funds<br>- -<br>A6 Cash Funds  £2,782.41 £2,782.41 5,771.14<br>Last Year End<br>Cash funds this £7,365.34 - - £7,365.34 2,782.41<br>year end<br>**----- End of picture text -----**<br>


## **Section B – Statement of assets and liabilities at the end of the period** 


**----- Start of picture text -----**<br>
Categories Details Unrestricte Restricted Endowmen<br>d funds funds  t funds<br>to the to the to the<br>nearest nearest nearest<br>£<br>£ £<br>B1 Cash Funds Cash at bank £7,365.34 £0.00 £0.00<br>Total cash funds  £7,365.34 £0.00 £0.00<br>(agree balances with receipts<br>and payment account(s))<br>B2 Other<br>Monetary<br>Assets<br>Fund to Cost Current<br>which assets (optional) value<br>belong (optional)<br>B3 Investment<br>Assets<br>Fund to Cost Current<br>which assets (optional) value<br>belong (optional)<br>B4 Assets  Sensory Equipment / Disability  Unrestricted<br>Retained For The Aids<br>Charity’s Own<br>Use<br>Podcast Equipment Unrestricted<br>Administrative / Promotional  Unrestricted<br>Items<br>**----- End of picture text -----**<br>


March **2012** 

**TAR** 

2 



**Fund to Amount due When due which (optional) (optional) liability relates** 

## **B5 Liabilities** 

Notes - The trustees confirm, in accordance with the Charitable Incorporated Organisations (General) Regulations 2012, that at year end the CIO did not have any outstanding guarantees to third parties nor any debts secured on assets of the CIO. 

March **2012** 

**TAR** 

3 

