Charlty Registration No 1191837
Report of the Trustees and Vnaudlted Receipts and Payiiients Accounts
For the Year ended 31 March 2024
For
Survlve

Survive
Report of the Trustees and Unaudited Receipts and Payments Accounts
Year ended 31 March 2024
CONTENTS
PAGE
General Information
Trustees Report
Independent Examinerfs Report
Receipts and Payments Account
Statement of Asset5 and Liabilities
Notes to the Receipts and Payments Accounts
io-ii

Survlve
General Informatlon
Year ended 31 March 2024
Chaflty registration number
1191837
Principal address
156 Nantw￿h Road
Crewe
CW2 6BG
Trustees
Peter Buckingham Ichairl
Robert Wright
Carissa Tossell
Helen Gould
Sally Lines
Charlotte Walton
Simon Whitney (Appointed 16102120241
Claire Gilbody (Appointed 2210212024)
Claire Jones
(Appointed 2210212024)
Bankers
National Westminster plc
36 High Street
Nantwich
CWS 5GA
Independent Examiner
John Garrett, FCA
122 Hospital street
Nantwich, CheshirÈ CW5 5RY

Survlve
Report of the Trustees
For the Year ended 31 March 2024
The Trustees present their report and the unaudited Receipts and Payments Accounts of the charity
for the Year ended 31 March 2024.
The Trustees have adopted the provisions of section 133 of the Charities Act 2011 to prepare receipts
and payments accounts.
Oblectives and A¢tivlties
Survive is a C.l.O. Charitable Incorporated Organisation which carrie5 Out charitable works for public
benefit through the practical application of the objects of the charity
The advancement of health and
or the savin
of lives.
Survive is established to relieve the mental, physical, and splritual suffering caused by abuse and to
provide education and trainin8 for those working to alleviate the damaging effects of this abuse.
su￿1Ve will offer counselling, advice, guldance, 5UPPOrt. advocacy, information and assistance to the
best of our abilities to abuse sU￿1VOrS.
Survive will offer counsellor training on the areas of abuse and It5 affects.
Survive works with other agencies, organisations. statutory bodie5 and any group that have similar
objectives as Survive.
ublic awareness about abuse and it5 im
Increasin
act.
Survive holds exhibitlons. meetings, lectures, classes, seminars. and trainlng.
Survive collects, collates and distributes relevant infomiation about abuse and related topics to its
members and other organisations that have similar objectives to SuNive.
Survive promotes and 5UPPOrts other charitable schemes or projects as may be established to benefit
the public, only after prior consultation with ihe trustees.
Key Artlvltie5
Survives key activitie5 are one to one counselling of adult survivors of childhood abuse. Predominantlv
childhood sexual abuse.
Sutvive also offers craft groups. therapeutic art groups and a choir.
This year has seen the Survivor Arts Exhibition run again. This yearfs exhibition was its 10th year and
was very well attended.

Achievement and Performance
This year we have worked with a monthly average of 80 clients offering 250 counselling sessions.
At the end of this year we had 26 people on Ouf waiting list with an average wait time of 5 months.-
Currently we have 36 volunteer coun5ellors working with clients. There is a continuing demand for
Survives services year on year.
An additional counselling group has been introduced - we are looking to use this group as a contact
group for people on Survives waiting list. The idea is to offer client5 a contact with Survive while they
are waiting for one-to-one counselling.
An outside counselling building has now been Installed and Is in use. This Is in response to the
increased demand for our services. At some points of any week, all our counselling 5Uite5 can be in
use.
Looking forward into 202412025:
We are always looking to increase the number of volunteer counsellors and are fortunate to do so.
We are looking to fund a poetry group as an additional therapeutic offering to our clients. There are
currently two bids for this group and it is likely that we should be successful with at least one of them.
Flnancial Revlew
During the year, the total income of the Charity was £25,808 lof which £11.392 was restricted and
£14,416 was unre5trictedl. The charity spent £23,6CIJ lof which £11,392 was restricted and £12,208
was unrestrictedl. At the year end. the unrestricted reserves were £73,903 and the restricted
rese￿e$ were nil.
RÈseNes Pollcy
Unrestricted funds represent donation5, grants and monies received from room hire and donations
that have no specific conditions attached and can therefore be used in accordance with the charitable
objectives at the discretion of the Trustees.
Restricted funds represent donations orgrants that have been given or raised for a specific purpose
and as such these funds can only be spent in accordance with that specific purpose. It IS Possible
subject to permission from the donor- that any unused restricted funds that remain at the end of the
project, can be transferred to unrestricted funds.
Strurture, govÈrnance and management
Survive is a Charitable Incorporated Organisation ICIOI and is tontrolled by its Constitution. The
Charlty was originally an unincorporated body founded in 1995. The assets and liabilities were
transferred into a newly formed CIO on 18th January 2022.
The CIO is governed by a board of Trustees who meet every 3 months and in addition there is
management committee which contains at least one Trustee and which is responsible for Survive's
daily running.

Trustees of the ch•rlty
The Trustees who have served during theveèr were as follows:
Peter Bucklngham M. A.
Robert Wri8ht
Carlssa Tossell
Helen Gould
Sally Lines
Charlotte Watton
Simon Whltney
IAppolnted 1210212024}
Claire Gilbody (Appointed 12102120241
Clalre Jones
Appolnted 12102120241
Statement of Tntstees, Resporolbllltles
The Trustees are responsible for preparing the Report of the Trustees and Receipts and Payments
Accounts in accordance wlth applicable law and UK kcounting Standard5.
The law applicable to charitles In England and Wale5, the Charlties 2011; Charity Ikcounts and
Reportsl Re8ulations 2008 and the charivs governln8 documents require the trustees to prepare
Retelpts and Payments Accounts which glve a true and fai¥ view of the State of affair5 of the charity.
In part1￿1?1 the trustee5 are required to:
lal
select 5Ultable accountin8 policies and apply them eonsistently
make judgements and estimate5 that are reasonable and prudent
prei?are the Receipts and Payments Accounts on a 80ing concern basis unless It is
Inappropriate to presume that the charfty will have adequate resources to continue.
Keep proper accoyntlng rÈcord5 whith ai any ￿ffle accuratety disc105ethe financial
posit￿n of the charlty.
{dl
Approved by order of the board of irustees on 12 November 2024 and signed on Its behalf by
Mr P Buckingham, Chair

Survive
Independent examinerfs report to the Trustees of Sur¥lve
I report to the Trustees on my examlnation of the accounts of su￿1Ve Ithe Charity) for the year
ended 31 March 2024.
Responsibilities and basis of report
As the Trustees of the Charity. you are responsible for the preparation of the accounts in accordance
with the requirements of the Charlties Act 20111'the ACYI.
I report in respect of my examination of the ChariVs accounts carried out under section 145 of the
2011 Act and in carrying out my examination I have followed all the applicable direction5 given by
the Charity Commission under section 14515llbl of the Act.
Independent examlnels Statement
I have completed by examination. I confirm that no material matters have come to my attention in
connection with the examination which gives me cause to believe that, in any material respect..
11 accounting records were not kept in accordance with section 130 of the Act: or
21 the accounts do not accord with those records,. or
I have no concerns and have come across no other matters in connection with the examination to
which attention should be drawn in this report in order to enable a proper understanding of the
accounts to be reached.
Signed:
JOHN GARRETh. FCA
Chartered Accountant
122 HOSPITAL STREET, NANTWICH, CHESHIRE. CW5 5RY.
Date: 12 November 2024

SuThlve
Recelpts and Payments Account
Forthe Yearended 31 March 2024
Year ended 3113124
Unrestritted
Fund5
Notes
Restricted
Funds
TOTAL
3113123
RECEIPTS
Donations and Grants
Room Hire
11,392
9,745
4.671
21.137
4,671
14,301
5,138
TOTAL INCOME
11.392
14,416
25,808
19.439
PAYMENTS
Charitable Activities
Professional fees
Insurance
Water. light and heat
Repairs & Renewals
Postage & Stationery
Telephone & Internet
Depreciation
Sundry Expenses
11.392
413
1.102
1,437
3,599
2962
423
797
1.040
435
11,805
1,102
1,437
3,599
2962
423
797
1,040
435
10,718
306
I,oio
3,525
711
138
826
1,040
1,016
TOTAL EXPENDITURE
11,392
12.208
23,6(M)
19290
SURPLUSI(DEFiaT)
2,208
2.208
149
Funds brought forward
71,695
71,695
71,546
Funds carrled fonvard
73.903
73,903
71,695

Survlve
ststement of Assets and Ilabllltle5
As at 31 March 2024
Note$
2024
2023
FIXED ASSETS
Tangible Fixèd A55ets
28.628
27.040
CURRENT ASSETS
Bonk and Cash
71.521
59.294
CURRENT UAOllmES
Dèferred Intorne
126,2461
{14.6381
NET CURRENT A55Efs
45,275
44,656
Total assets current Ilabllltles
73.903
71,696
Represented by:
Restrlcted Funds
Unr¢$trkted Funds
73,903
71696
TOTAL FUNDS
73.903
71.696
The notes on page510 & Ilform part of tk•e atcounts
These Receipts and Payments Attounts were approved by thÈ Board ofTruste@s and athI￿rIsed for
issue at the AGM held on Monday 12, Nov¢mber 2024 and were signed on its behalf bv..
Mr P Buckln8ham. Chair

SuNive
Notes to the Re￿Ipts and Payments Accounts
Yearended 31 March 2024
l. General Information and Basis of preparatlon
The Receipts and Payments Accounts of the charity, whlch is a public benefit entity have been
prepared in accordance with the provisions of section 133 of the Charities Act 2011.
SuNive had operated as a charity with a reference number 1047103 since 1995 but the
decision was made to create a CIO through which to operate. Accordingly. this CIO was
formed on 15, October 2020 and the assets and liabilities of the former charity were
transferred into it on 18 January 2022 under a re501ution passed by the Trustees on 7
September 2020. Additionally, the Trustee5 decided to adopt merger accounting to account
for this transaction.
2. Fixed Assets
Freehold
Property
Assets in Course of
Construction
TOTAL
Cost at 1.4.23
Additions
Cost at 31.3.24
52,000
52,000
2,628
54,628
2,628
2,628
52,000
Depreciation at 14 23
Charge for year
Depreciation at 31.3.24
24,960
1,040
26,000
24,960
1,040
26,1
Net Book value at 1.4.23
27,040
27,040
Net bookvalue at 31.3_24
26,IM)O
2,628
28,628
io

3. Movement In funds
At 1.4.23
Net movement
in year
At 31.3.24
Unrestrieted funds
Restricted funds
71,696
2,208
73,903
TOTAL FUNDS
71,696
73,903
4. Fund Ac¢ountlng
Unrestricted funds are available to spend on activities that further any of the purposes of
charity
Restricted funds are donation5 which the donor has specified are to be solely used for
particular areas of the charity's work or for specific projects being undertaken by the eharity.
S. Related party disclosures
During the year ended 31 March 2024 the Charity purchased the following services from
Trustees-
Sally Lines Group Facilitation
Charlotte Walton Group Facilitation:
During the year ended 31 March 2024, the Charity provided services to the following
Trustees, all at market rates- None
£907
£1,080
6. Taxation
The charity is exempt from tax on income and gains fallin8 Within Chapter 3 of Part 11 of the
Corporation Tax Act 2010 or Section 256 of the Taxation of Chargeable Gains Act 1992 to the
extent that these are applicd to its charitable objects. No tax charges have arisen in the
charity.
li