Registered Charity number 1186256
APCAM
Report and Accounts
As at 5th April 2024

Charity inf￿n
TrUst￿s.
Yagrin Bws OV04124)
Date of registration:
iith 2019
Charty nUrnb￿:
1186256
corresponden￿ ￿dress.
l The Gree
Bampt(Ni
OX18 2QD

Trustees Report
This is the fourth Report for APCAM.
We have had a very busy year offering an expanded Servi￿ to families in need both in our local
communities and further afield.
The Mental Health clinic that we launched in 2021 has continued and is an important part of our
strategy in helping local families in Mental Health crisis
In total, we have now helped over 500 families- a totsl that we are incredibly proud of. There is so
much more we want to achieve howeverand our immediate aim is to raise enough funding to be able
to expand our I:1 counselling session offerir& reaching more families in their time of need.
Objertives and Supporting Activibes
Our objectives atAPCAM are to provide relief and supportto those supporting a child oryoung person
suffering with their mentsl health in the UK. primarily (but not exdusively) throLgh the provision of
group therapy, resources arKI sign postirE to relewant information and services.
We also work to preserve and protectthe mentsl health of children and young adults, throughout the
UK, primarily (but not exclusively) through the fun(fing and/or facTI tsting of support services and
counselling.
Our activities include:
Weekly support meetings for parents
Weekly children's mentsl health clinics
Provision of services supportingfamilies- in a familysupportand social capacity including with
schooling
ProvidirE services advisirE and applyirE for housir¥ beneffts and housir
Working wtth the local authority to support people who are currently working wtth Ea rly Hel p
Practioners
Structure, Governan￿ and Management
APCAM is a Charitsble Incorporated Organisation. De(isions a￿ made in line with the Charities
constitution, at meetings of the charity trustees. by resolution in wrTting or by electronic form.
Trustees are re-elected without need for further nomination. New Trustees may be appointed at any
time and intrOdU￿d to APCAM by the thair of Trustees. based on their experien￿ and qualifications.
The managing Trustees meet weekly in person and the full team. indudirE trustees. meet online
regularly to ensure that the Charity is coverirE all aspects of iys obligation to the local community.
The Trustees have given due consideration to the Charity Commissions published guidan￿ on Public
Benefft requirements. under the Chartties Act 2011.

Financial Review
On the following pages you will find our Accounts. which have been prepared on a Re￿Ipts and
Payments basis. APCAM is run as a going con￿rn and has no financial commitments.
Income
In total £39,028 of Income has been receNed in 2023124. this is an increase of £9,661 compared to
the previous year. As a small chartty operating in a thronically urKlerfunded sector, we continue to
work hard to access the funds we need in order to provide our services. The increase in income this
year is due to the generosity of several organisations and fundraising drives including: Rob Booth,
Blakesley Captain Charity, Meech (via the Oxfordshire Community Foundation), Oxfordshire
Freemasons and Thames Valley Poli￿.
Expenditure
Expenditure in the year totalled £34.794. this is a decrease of £7.464 compared with last year. The
cost of having these Accounts indeperKlently examined continued to be £750.
Within the year. payments totallirg £833.32 were made to Lauren Jacobs (an APCAM Trustee)
covering expenses.
After deducting furKJraising costs. the costs of providing our services to the community and some
overheads, APCAM have an overall surplus remainirE of £8.446.

I (HARITY COMMISSION
FOP ENGLAND AND WIILES,
Independent examiner's
report on the accounts
Section A
Independent Examiners Report
Report to the trusteesl
Membe￿ of
APCAM
On accounts forthe year
ended
5th April 2024
Charity no
(rf any)
1186256
Set out on pages
I report to the trustees on my examination of the accounts of the above
charity for the year ended 05104r2024.
Responsibilities and As the charity trustees. you are responsible for the preparation of the
basis of report accounts in accordance with the requirements of the Charities Act 2011
("the Acr).
I report in respect of my examination of the Trust's accounts carried out
under section 145 of the 2011 Act and in carrying out my examination, I
have followed the appli(xble Directions gNen by the Charity Comfflission
under section 145(5)(b) of the Act.
I have completed my examination. I confirm that no material matter5 have
come to my attention in c(￿nectIon with the examination which gives me
cause to believe that in, any material respect:
accounting re(x)rds were not kept in accordan￿ with secti(M 130 of
the Act or
the accounts do not ac(x>rd with the acc￿nting re(x>rds
Independent
examinerfs statement
I have no cOn￿mS and have come acfDSS no other matter5 in connection
with the examination to which attention should be drawn in order to enable a
proper understanding of the accounts to be reached.
Signed:
Date=
0410212025
Name:
Mrs Katherine Gamage CGMA
Relevant professional
qualification(s) or body
(if any):
Member of the CharterEd Institute of Management Accountants
Address:
8 Pemscott Close
Alvescot
Oxfordshire, OX18 2QE

Only complete rf the exafflffky needs to highlight matters of CA)ncem (see CC32,
Independent examination of charity ￿nts. directions and guidan￿ for
examiners).
Give here brief details of
any items that the
examiner wishes to
disclose.

CHARITY COMMISSION
| IOR ENGIAND
APCAM
Recei
tsand
ments accounts
CC16a
Forthe period
Section A Receipts and payments
funds
funds
f￿dS
Tolal funds
t yEar
to the nearest £
A1 Recei
Donations
Fundraising Events
Grants
30.138
8.890
30.138
8890
17.762
11.605
tota
ross Income
or
AR)
39.028
39.028
29,367
sset an
see table .
Investment sa
es,
tota
Total receipts
39.028
39.028
29.367
A3Pa
ents
Costs of ftndr3Bing el'ents
Wages aTra Salar￿s
Rent
Councilor fees
Other prDfessGnal fees
Te￿phOne and ofke costs
Advertssirig
Webste costs
Sundry
Purchase of FIKed Asset
4.4n
26.797
4.Q2
2&797
29.936
1.135
1.135
186
697
735
463
309
1.525
309
697
735
821
1,679
309
Sub total
34,794
34.794
42,258
A4 Asset and investment
Sub total
34.794
34.794
41258
Net of receiPt￿(payMents)
A5 Transfers between funds
A6 Cash funds last year end
Cash funds this year end
11891
4212
8.446
4212
17.103
4,212
CCXX R1 accourrts (SS)
20K11r2025

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C*l..li!¢
t31ts
Details
DoLIlls
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