REGwfERED COMPANY NUMBER: 01844941 IEntynd and IVale5)
REGisf&RKD CHARrrY NUMBER+ 291181
BROTrILEY Y
IrtNANCIAL STATEMENVJ
FOR THE YEAR ENDED 31 MARCH 202S
Betringets LLP
Lygon H￿15¢
SO Lundon Rood
Broml
Ke]il
BRI JR

BROMLZY Y
CONTEL¥TS OF THE FINANCIAL STATEMENTS
ror the yeir ¢Nded 31 Maych 2025
Plge
R¢fernic• admlntstrdifvé det•lls
R¢port of the
2 kj 4
tleport of the Independen¢ audliors
S to 7
8tAleN•lll of tlnandAI Adfvliie4
C41b tknv s¢*t¢mellt
10
Not¢8 to Ihe IlnAndal 4tA(¢ments
12 to 18

BROMLEY Y
REVERENCE AND ADMINISnlATIVE DKIAILS
rortho veL4reDd￿I 31 hlatth 21125
TRusfEES
Mrs K MO￿lS
Dr S Roberts￿1
DrA Bealti¢ (Ni8n¢d 228.24)
Ids C Kay￿ IresigKd 22.8,24)
Ms J Monk
Mrs L T Hiilton
Mrs EC QuMyl¢ (r¢si8n¢d 23.9.24)
lis5 F R A Thdern)
16 J Harycr
Mi$$ E Gwdon{YesiEn¢d 24.125)
t*ks S L M Johnson (aPPOlAted18.12.24)
Mrs KL Edg¢ (￿pOInted 2.4.23)
COMPANY SECRETARY
M$ J Monk
REGISTERED OFFICE
17 Eih8lbert Road
Bromley
Kent
BRI IJA
REGISTERED COMPANY
NUMBER
01841941 (England gnd IViLes)
REGISTERED CHARITY
NUMBER
291181
AUDITORS
Buri118¢r£ LLP
Lygon Ho
SO London Road
Bromley
Kent
BRI 3RA
Poge I

BROMLEY Y
REPORT OF THE TRUSTEES
for Ihe ye#i'énded 31 Maroh 2025
Th¢ IriL8tees who art also dlrectorB ofthc thwity for th¢ pwposes of ihe Compantes Act 21k161 pyesent thelr report with
the fiiianciil slatell￿nts of the tharity for the y¢ar ended 31 March 2025. Th¢ ￿￿te¢l have adopted tlle provisions of
Aw)unfiKg alld R¢poning by Charittes: Stai•wit of R￿0mM¢ndtd Practice appllcable to chariti¢5 prqmring Ihelr
accounis ID WLX)rdance with the Fingn¢441 R¢p)rtin8 Siathrd appli￿le iii th¢ UK and Republlo of Ireland IFRS 102)
(¢fft&tve l J8nuAry 20191
OWEcfivES AND A￿1VITIEs
Objeeilvex aud alms
Brth￿IeY Y provld¢s psy¢lM)108kal interveiitlons for young pwple aged O to 11 ￿ ivell as providins xrvices for
Child￿Tr ivho Me looked atier and iyith SEND the LoDdon Borougl? of Broniky. Bromley Y Iv0￿ Closoly ivrth Ihe
South East L￿don In*grnled Car¢ System (ICS) prevlou$ly CCG and Il% London Boroii8h of Broml¢y to
4¢bl¢v¢ its ch8rithbte obJe¢ilve%
Publle benefit
The h51¢¢5 conslder that the objectives And ainis of the chirity described &bov4 enabl¢ it to Imei its obli8atloni lo the
Charity conimi85ion by providifftg Support to yOlbll8 people.
ACHIFVEMENT AND PERFoR￿lANcE
Bromley Y liiv¢ ivork¢d clusdy with Bromley CAMHS al￿ commissloners to Iihplemenl Ihe integrt¢d ifngle point of
atte55 (ISPA) aft¢r 7ts launChed￿n Ihe 181 of April 2024. To d41e Illi$ is ruvnin8 w¢ll ivith 8ocd feedb￿k from youn8
peopk, refeTh¢rs and ￿akeholde￿. Ther¢15 8 planned review in Juty 21125.
This y¢ar iv¢ have seen & $llght inGtfaS¢ in referra15 comiiw Into th¢ ISPA, ￿$t )r¥ IÉ wa5 around 2700 this y¢ar 3100.
Fow¢r rcfeffals ar¢ coinin8 into Elromtey Y, how¢ver, complexity atid rigk remwn high iyith th• top r¢f¢rral reasons
being mxi¢ty. loiv Mood, 8nd kliavloural dllli¢ulii¢s. Tl)er¢ has beai a de¢rei8e In wlcidol Id¢&tion and 8¢1f-hBrm
h¢lp¢d by training on eayfy rlsk dekoiloib in Schools, lrnining on working iyith s¢lf-harM and mor¢ 8UPPOrt ¢alls in
schools espe¢iRlly secondary schools. Th¢r¢ has been training ¥nd consuliat5on to get￿81 prnvlilion¢rs and this will
ntiNe Iviih input from CAD/IHS.
Top referrers are Gvs, folloived by parenL4 ond carers arbd then schools. Th¢ m05t ¢oJnmon age ran￿ i¥ 14-17 lThv¢ver
there has b¢en an i#¢reRS¢ in I l-lJ-year-Dlds. Mosl youn8 peopl¢ eft trom a white ethniG ba¢kkToi1￿d hOw¢￿r
continue ￿ reach out intsj the eoiMmuni¢y io improve access iiilo g¢Thices and give inforination and res0￿r¢e$ throwgh the
Ivebsit¢ and through iv¢binars and workthps.
The ivailin8 Ilmes have Started lo drop in Ilie mental liealth supprt kAms (MHST) I)Ul reimain th¢ same for the Men(al
health and wellbeln8 ￿rVIce IMHEIVS). Ai their highest yoiing people ww¢ Ivqiling for Ir¢*ment for 20 week4 this Is
slowly redueinB> and we are iyorking on our I￿111ng well, inttialive so that y4)11118 p¢ople liav¢ SUPFQrt ￿115. cali tslk
,Iih a Pl￿11110ner and cali 8c¢¢$s rcsoiirces %vliil¢ they are iwaitin& For the fil'51 liine in BrOm￿Y Y's liisiory we hdve
Outsou￿ed 80 young peoplc lo an external di8it81 organlsatioa ivho provide cog￿ltiv¢ Behavlournl Therapy {CBT), Th¢
impa¢1 lo dRtc i¥ positive ivith symptoms de£[e￿In&
The ivorkforce continues to grow. Iviilj 70 staff and 30 voltiiil&rs. Ongnin8 SLlPPOrt to Ibe workforco has incre&qed over
the la5l year lo assisl peopl¢ as rnuch as possible ivitti risk and aciiity. Th¢re lthve be￿ mor¢ referrals to socilll tate in
thls lime fit)d we have 4 dally prescnce in Mulli Agency Safe8uaYdi1i8 Hub {MASHI
Overall, th¢ govern8nLf has ljecome liglller wlth n¢w Cllnicffl Di¥¢¢tor o>ming knard (June) &id a policy ond
wocediire Ir￿$tee 0)mi￿ltsee.
Broniley Y rolltinuo to build pn our pftrtnerships and rel*ionsliips with Edu￿tion. Ive Iioiy LX)ver all 5¢1M)ols witliin
Bronii¢y th￿181) the Mentsl Healili supp￿ Tean￿ (MHST} ivotklng dogely ivith ￿s1￿18¢cd safrgiihrding aiid ni•ilal
hehlih leads in s¢1￿}$. W¢ l)av¢ oiitsourrd some of Ihe pritnory ivork to My liappy ivliol¢ ￿11001 Appma¢h to
build ie8ilience {12 sclthls ¢￿tr￿tlY}.
Broiiiley Y kaye set up a Youth L￿dership Group in three se￿Idary sth(J)Is. The gr4)ups meet monthlyi foeuslng on
youiig peopk f¢edback on ouy leaflets, website. soci81 rncdia pnd I￿¥ ive ￿gage and iyork ivith y04m8 PEOPh,
eS￿laIlY aroiipd consent.
Poge2

BROMLEY I,
REPORTOFTHKTRUSTEES
for tlie y¢81' end¢d 31 MaTeh 2025
FINANaAL REVIEW
posltion
Bromley Y hag ￿1CCess￿lIY diversitled its ￿1￿ing streams ihis y¢ar wlth fimther commisslolled seryices by the South
FASt iA1ndo￿ ICS fwm additional transfomialion fiffldin8. This alloiys us to ￿ill￿1n services off￿¢d to youn8 Fople
whilst eTrsuniwa fimi finanrial b￿15 on ivhieh to ¢XP￿MI further.
Ive wiitinue to g¢n¢rnle new sourtts of Income fiDni provision of Bromky Y setvic8s throUg1￿t the I￿ll%11 and
remftin 8rnI￿1 toour comn?unity supporters 8nd fvndraisers which pravide a crncid ￿nd[￿s Strand.
PrlnelpNI fvndlng soiireej
Prin¢ipal sour¢es of fiind5 conilffl￿ io be from the South Easi I￿ndOn ICS.
Re5erYe$ poliry
T1￿ Reserves Policy ts to ￿$llre tliat the ch&rlty mhinthins suffiri¢nt n¢t ¢uKr¢AI¢ 1gArts to covtr fow nyJntI￿, nmnin8
P¢lJ5¢k
FUTURE PLANS
Bromley Y will endeavour in its upmosl to sKur¢ fvndlng goliig fonvard so ihAt w¢ ¢onlinut to deliver seNlces IhAI
enable yoiinB people and their familtes ￿ fmd WAYS tlimugli IhoirdiffKiilii¢s and msk¢ ike bol of their thiiirns.
KucfuRE, GOVERNANCK AND MANAGEMEI
GOVFRNING DOCUMENT
The or8onisalion is & charitabb ￿￿panY limited by guarnnt¢¢ mrnber 1844941 and reg1￿Cl¢d as a thority niimb
291181 linder th¢ nanie Broinl¢y Y. Tl* COM￿nY was establislKd under a Meiiioranduln of Ass￿19t1￿1 whi¢h
e$tabll$h¢d the obje¢ts and p￿¥015 of the Chan￿blO cojnpaiiy and is governd EwA4¢r 11$ Articles of AssNlilion. In the
¢vwil of the coinpany bcing ivotmd vp illembets are.required tot0ntrj￿1te an amount nDt¢x¢eding £1.
RECRUIThJEKf & APPOINT￿lENT OF MANAGEMRwf COMMITTEE
'lThe direciors of Ilie eompaiw are also trustees for Ili¢ pu4)oses of c118rity IAW and utyl¢r th¢ COMp￿￿S Articles aro
knowii 9y members of tl* Coiirtell of Mw¢m¢nt reiirn by rotation, by fff¢r¢Jko that have E*en long¢st hi
oifice sknce ￿l¢IrlS$t eledlon.
TRUSTEE INDU￿[0￿ & TRAINING
New trustees are invited and encouraged to attond a scrics of short lrnlliing 8cs8ions kn f&)tiliarisa th¢niselY¢s with the
charity and th¢ ¢oiitext iviihin wliich it operates. 'fhes¢ art jointly led by th¢ Chairman of the Mwthgemenl Coiiimlitee
d Ih6 director, find coveF.'.
. lh¢ obltgalion$ of Couft¢ll of M&nftwn¢iil meAllb¢rs
. the In8in documents ivhkh Set ￿ll the iJperfttlonaI framework for Ili¢ Charlty iwludiDg M(4vorathluin and Artlcles,
sovreing and th¢ current fin4nclal poslilo]i Is set out In tho lfvt¢sl published a¢¢ounts
- futsir¢ plang Mid objective&
RISK MANAGEMENT
Tlie Council of M{u￿￿e17)ellt has conductthl a r¢vlew of the mijor rfsks to ivhl¢h Ihc charity is a¥posed and, Ivhere
Opptopriale, 3yStems or procedures I￿ve becn cstsblislKd to niitigate the risks Ilie thtrlty face& JL*rnal riskg to fviiding
have IEd lo tli¢ (kv¢lopment of a strategi¢ plfin to ill¢rws¢ the divcrsifKAtion of fiinding ￿ld iiicome resourceg.
P¥ocedures are ill place to ensure Colnpli￿Ice ivitli health and saftty of Staff. vOlunt￿r5, ¢lieiits and visilors to BroThiley
Y. All PToc¢dures gre petioditsally revi¢ived lo ei)s¥re I￿Y eolltlllue to tnttt th¢ neeth of both the charity and le8islation.
Broiiiley Y has a C¢)uncil of M8JIagan￿￿ who meet 8t1¢&s1. a qulrterly bftsis and w¢ r¢sponsibk for t1￿ slrttl¢gi¢
diredkAi and policy ol Ilie chwty, At th¢ pffsent tlmi the Council con$i8ts of ¢ight members from i variety of
prof¢s8tonal backgrfflTnds, all comsldered relevant to Ihe Cl￿r11Y.
DRY-￿-doY r&8ixxisibilty for the provision of seryice5 resls ivith the diYecloi%, who are respo11￿ble foT ¢#￿irIng th¢
Charity delivers th¢s¢rvices 5pecifi¢d and Ihii perform￿?¢¢ indicators are met.
Page 3

BROMLEY Y
REPORT OFTHE TRUSTEES
for the yefftr endert 31 M4￿h 2025
srATEMEiYf OF TRusfEES' REspoNsfBILITIES
The tNsteeg (Ivho 8re also direclors of Brthllley Y for the purp0*5 of coniwiy are responsibl¢ for prq)aru]8 the
Thi￿ee8, Re￿rt and the rm￿￿1&1 Stateillents in *cOrda￿Ce with appIl￿ble lffiv and unit￿ Kingdom A¢coun¢lng
Strtnddrds (Uniled Kirydom Qen¢rolly Accep¢¢d A¢cow￿lnB Prnctlce).
Company laiv requires the trnstee$ kn pr¢parc fjnan¢lal sta￿￿entS for eath finaneial year wliieh give a true And fair vlèw
of th¢ stal¢ of affairn of the charilable compafty and of thr inconiiiig resources and applic81ion of ￿SoUtC84 indudittg
the income and expeftdlttire, of thc cEwltAble compAny for Ihil pcriod. Iii preparittg these financial stwemenls, th¢
tnJsle¢s are required ILY.
. Select suithble 8cwunling polldes and Ihen appfy them ¢onsi5¢enttry,'
. Obsetve tk8 methoth priiiciples in Ihe Chvitles SORP,,
- Mak¢ judg4*n￿lS aT]d c511mate$ ithgt ore Yeswnsiblo and pntdenl;
Slat¢ ivl*ther applicable UK Accountlng Standards have bE¢n ft4toiYèl, sttbj¢¢t Éo *iy m8lerial deparlutts disclosed
nd ¢xplathed in th¢ fill￿1¢1￿1 ststements;
Prepar¢ the fmaiiclal 8talemeiit8 th¢ goin8 concern b96ts ithle5s il is in8ppropriale lo pres4m# Ihal th¢ chfiritable
eompaThy ivill eontinu¢ bttsijiets.
The tntstw are responslblc for ketplng proper 4¢couThlI￿ rceord$ that di5Giose iyiih T¢asonable ac¢iira¢y At any linK the
financiBI p)sillu￿ of the tharilable coillp￿Y pnd enoble them lo ensurc that the financial ￿ateme￿$ ¢omply iviih the
CompAnios Act 2006. Th¢y ar¢ also ￿S￿)nSIble for 5Afe8iiardii?g th¢ fissets of Ilte ¢harTtable compllny Hnd hence for
Iqkin8 rea80nAbl¢ slcps forthe prevcnlion Rnd detethlon of fraud ftfid thhor itregularities.
In so ts 8S til¢ tru8l¢es are aw
- Ther¢ is no rel¢vanl audit Infonnatlon of whlch the eh8rlt&bl¢ ¢ompany's ￿ld110T 15 unthvai'e: and
The Irusleey have thk¢n all Steps thal they ought to liave liken to make thems¢lve5 thvare of ￿Y r¢lcvRnl Audit
iDfonii&tbn And lo ¢st&b]isli that the auditor 18 aware ofthat illformation.
The tru$l¢K ￿ responsibh for the m&intenuc• and integrity of the ¢orpJrate and flmncial tDfomiation included on the
liaritable company's ivebsit& Legisl￿10￿ In IIK United Kingdom goveming the preporntion aiid dlssemlnllion of
rinan¢iil stalenienls may dlffer fro1￿ legIs￿l0N oih¢rJwisdi¢¢ion$.
AiTDITORS
Th¢ audi¢ots, Berrin8¢r5 LLP, Ivill b¢ proposed for re-appoinknent Al thE forthcomlns Annual G¢t)eral M¢¢tin8.
Approv¢d by ord¢rof th¢ bo8rd ofinisi¢¢$ on...,.,8 /lo1.2£kS.......... and s1@￿aOn 118 belTrHlf by:
Ms J Monk- Tn￿(Ce
Page4

REpoirr OF THE INDEPENDENT AUDITORS TO THE MEMBKRSOF
BRo￿y Y
Ophilo
Ive have a1￿lted the rtnallcial Sthiements of Bromley Y (th¢ 'tharitsble compally,) the ye&r end￿ 31 Ma￿h 2025
which wmprise the Staiement of finwi¢ial aclivliies, the Balan¢e sheek the Cash flow md notes lo the
financial statements, including a summary of signifjcwk 4cc0iiiili￿g poli¢ig5. The r4lf*ting frAmeli￿rk that has
bwi wli¢d in th¢ir proparntion is appll¢abk law and United Kingthm A¢￿￿nting Standards IUnlt¢d Kingdom
Genernlty Aceepled Accounting ￿8(tice).
In ouropi*ion the fiRonciai slal¢ments:
give a tnie And fair vithv of the slate of the charf￿bIt compmys affaits fj5 * 31 Marth 2025 of its i1￿omIllg
resou￿￿ and applicath>n of re￿￿￿86. includin8 tis inc4)m¢ expendilure, forthe y¢r then ¢￿I¢d.
have b¢¢n properly wcpared in 4¢¢ordan¢e iYFih Uniled Kingdoni 0¢￿tallY A¢ttixedAccountin£ Prnctlce: 8nd
hav¢ been prepared in accordance with the r¢qu1￿ments ofthe Compant¢8 A¢t 201￿.
for opinioii
Ive coithcled oiir au(fil In ficcordiiKt wlth Inteni*ional SiandHr& on Audiling (UK) {ISA5 (UK)) and applicllble laiv.
Our r&Tronsibilltia5 under those stsndanls aT¢ fiwtli¢r d￿¢T111¢d in tho Audilors, r¢sp)i￿1bil1I1￿% for the audlt of th¢
fJnHn¢i&l ytht¢m¢nts sethion ofour rekxjrt, Ive are Iiidynd¢nl of the charltrtb￿ ¢ompany in accordance with t1￿ eihicgl
requirnKKnls Ihol are r¢kvant to 4wr Audii of IIK finan¢lal sthtements in ihe UK, inoliidlng th¢ FRCS Ethical Standar
d we have fvifilled omr other etliical rosponsibilltie$ it) tteordznce iyiih tliese requirement$. Ive believe lh￿ I1￿ audit
¢Vid￿¢¢we hRV¢ oblalned Is wffl¢ietit and oppmpriate to pwvld¢ a basi5 for our opknto
CondusloH8 rnIRtIAg to golng eoneth.
In aiidllln8 Ihe flnanclal statellienls, we have conclud¢d that th¢ tnute￿, use of the goin8 LIMeem bllsii ofacoJuntil18 ID
th¢ pr¢parn¢ion ofth¢ finan¢iftl $tat¢meAts is appropriat
Bosed on the wojk we have performed, Ive have iiot idejrtifid any material ￿li¢¢rtain¢1es rd￿1￿% to •v¢nts or cothllllons
Ihal, Indlviduully or wllo¢tivdyi may ¢8St sl8Dificant doiibt ON the clwrilable compan51s ability lo c¥)niinu¢ as th wlng
concern for a puiod of ftt least ttvelve months from wheii th¢ finai)oial statements aro ollihori$¢d forlssue.
ir r¢sp)nsibilitie$ WKI tb¢ re8pjnsibilili¢8 of Ihe with respect Io 80i1￿ concqm firo d￿crIbed ITr ihe r¢leva
sectionsof this report.
Otlilr InfoMIAtlon
The trustee5 are responsible for the other inforn)ation, The other infomiqiion compiises the hiforniiiion i￿1￿[￿d in tlie
Annyol report, ¢)ther Ilwn ihe fiiwn¢ial slatem¢nts And our R¢port of tho indepetthnt a￿lIOrs Ih¢r¢on.
Our opinion on Ihe fjnancial stat¢ni¢nts does i￿1 COV￿ I1￿ other informalion excryl lo the &xt¢lll othenvLqe
¢xpllcitly stated in oiirreport, we do not expres8 any con￿ of &s$lira￿e c￿l¢lusIo11 ther¢oJi.
In cot)necilort wlth our audlt of th¢ tlnaii¢lal sthteincllts, our r¢3P01151bility 1$ to md the olher iiifoFmatiot7 And, in doin8
50. consider ivheiher (he other iiifonnation is inaleriauy inwnsi$É¢nl ivith the financlal $tat¢meAts or our knoivled8e
obiained in th¥ avdlt or oiherwis¢ appears to bc mal¢rially misstaied. If we ideiitify siich malffial Inethjslslellctes or
4)pAYenl material misthtemenrs, Ive Are irqiiitrd to determine ivh¢ih¢r tli13 8ives rile to a nut¢rial InisslAleniellt iii Ihe
rinan¢i&l $t&teiDeiits tlieniselves. If, b￿ed on the WO￿ wt have perfolln¢d, Ive ¢onolud¢ iiiil Ih¢¥e 1$ o IKal¢iial
mi551at¢m¢irt of thi5 other iiiformitiDn, we 8Tf requir¢d ￿ rwrt that f&*, IV¢ hav¢ Itothill8 io r¢poM in this regard.
OpinloMB on oth¢r infttterd preserfbeil by the Compinlos Aet 1006
In ouropiiiion, b&q¢d on lh¢ ￿ldertak¢￿ in tbe Course of tbe ￿￿1t.,
ike infonnation given in the Reikn of the trllstees for the finan¢i&l year fi)r ivhidi t1￿ r)Jian¢ial statem¢nls gre
pftpared Is ¢onsistent with the finaiiGial statenieiits: aiid
the Reprt of Ilw ITus¢eBs has bgai PT¢par¢d in wcor(hnce with applicable Iwl reqillr¢men

REPORT OF THE INDEPENDEINT AUDm)RS TO THE MEMBERS OF
BROMLEY Y
MAtitr5 on wlkich we are requlred to i*port by exoeplits
Its the lighi of the kiknwled8e and understanding ofihe tharltable LXMnPUny hs enVir￿Ment obts1￿ thr course of
ille audlL we kiv¢ TdeRtifi¢d materlal rnisstatemei￿ the Ryrt of the trus
W8 have tthing to report in respect of the following tllattcrs ivliere the Compnies Aet 2006 Nuires us lo r¢pDrt to you
If, in ouropinion,,
adequat¢ accoiinlin% recon4$ h1￿ not been k¢pl or relums adtquate for audit hav¢ not been reeeivd from
bM¢h¢s not visiied by us. or
th¢ f￿ancial slat¢ments ￿ not in a8fe¢tiieiit wlth the &couniing reeord8 and r¢ttYn4 or
certain disclosures of truskcs, rffliunernlioN Specif￿d by knv atE not m4d¢' c
Ive have Aot reLYiv¢d all the infornlation cxplanatt0￿ ive rqiiir¢ for our audlty, or
the Irustees We￿ nol ent?Iled to take advantAge of lh¢ small wmpallie$ e¥emNion tlie requlrrmeni 10 PT¢pa
SirAtvgl¢ reportor in pr¢paring the R¢portof Ilie truyt¢¢s.
Rup•nslbllltk8 of tiThte
As cxplaiJKd moro fully ill Ihg Sta¢¢m¢nl of Iruslees, re5POllStbilliteg, the trus1￿ {Ivho are olso ti* dire¢trK¥ of the
¢hAritsbltr wmpany for the pur￿5¢$ of comp&ny14w) Are respjnsible for th¢ preparatioll of the fliiwGial stafemenls ond
for being sat15fied thai they give a true hnd fair view. foi such internpj co￿trOl As Iko truste¢s delerinim is neees$8ry
to enable Ihe pr¢pratlon of finoncial slalements tliat are fre¢ from ¥rtatorig1 mlsstthrnenl, whetherdue to frAud or ¢m)r,
Iti prepHring the fits&n¢ial statem￿ts, the trust¢¢s responsible for awssin8 th¢ ¢harithble ¢On)p￿￿5 ability lo
C￿lInu¢ as A going eoneern, dlg¢losin8* as &pplicabl4 Iiiatters relnked kn going comcem and uslng the going concem
bA8is of llCLWtin8 unless the tTU8lees ¢ith¢r intend to li4uidale the ¢haritable eoinpw ot ¢0 ¢¢ase opttationA, or Iiave
no reallstl¢ ali#ThatiYe bul lo do 50.
Our i*spoD8lbllttles for the aiidlt of Ihe fbii•ii¢lil 8lalem¢iili
Our objedlves are to 4)btsin re&sonablr assuraiice Aboul iYheth¢r th¢ fU￿ncI&l statements as fi whob are free from
ftial¢rlal mlssl8l¢m¢ni, whether du¢ to Ptaud or trror, al￿ to i9$u¢ a Rewrt vf Ihe indep¢ndent audllors that in¢luder our
oplnlon, Reasonablo wurartce is a high level of ￿$￿1011¢¢. but 18 Iiot R 8iiarantce thgt fjn Audit rondiiclcd in accordan¢e
with ISAS (UK) Ivill alivays a material miyslotcnlenl iyhen il exist& Mis51ai•nents ¢an arise from fraud or emr
and are eonildered m8l¢riRE if, liullvldually or in lh¢ a8￿g￿le, th¢y could reaso￿ablY be expected to influence tl
oftomi¢ decl$lonyof userg token on the bagiy of ibese flnancial Stalcmenis.
ThE Cxtenl to whicli our procedures are ￿pable of deteetiTr8 Irre8iilftrili¢s, Includln8 fvoud is detsiled beknv,,
lii lthtlfying and ¥s055ing risks of material mlsslat¢m¢nt in r¢sp¢c4 of irreBulariil4 In¢luding ftaiKI dnd ernw, we
eon51dered Ih¢ followitt8:
- Ihe ll￿￿re of th¢ illdusty. contstyl ¢nviroJimeiit and bu$lness perfornMn¢¢:
- resulis of oiir enquiries lo mina8ement aknxil tlieir owi as5e5sment of the I'13ks of fraud and emr;
the niatters diwu55ea ftinong th¢ audit eii8H8em¢nt teani tBg4rdln8 IINV and ￿e¥¢ fraud MRY ￿￿1r in Ihe llnanclal
slalemen150nd wiy ¥￿eNtIal indtcalors of fraud.
Ottr pl￿edureS1O respond to risk inGlude Ili¢ folloi¥ln8:
- revi¢wing Ilie finarncial 8tateineml dtsclosures ond te￿1￿8 to suppoiiln8 docuinelll41￿￿.
perfonning analyti¢al pr(KthreJ lo identify any unusuMI or unexpw*d aregs ill￿ may Tndic8k r15ks of llialeriol
m155tatemenl duo to fraud or error;
- ￿dd￿59]I)S the rssk of frAud and error ihrough InanftBemeits overyide of conlrots, lesling iho appropriftten¢ss of journAI&
assessing ivl)¢tlier the judgements mad¢ iii making ￿￿￿ntIng esiimales are indicaliye of a polcntsal bi88; and evelu4ti1)g
Ili¢ busiiless rmionttle ofany sI￿￿ricant tEansaction5 djal are unusitsl or outside th¢ Iwrinal ¢our8¢ of business.
A fiirther description of our rgspoiisibiliilei for the audit of financial state1nd￿ is located oil Ilie Financtal Reporting
c￿117¢]rS websi1¢ 8t i￿￿y.frc￿rg,II￿Iaud1tQ[srC5ponS1b*tl11ES,' This d¢scriplion fonlls prt of our Rel￿ of th¢
Ind4Knd¢nl Auditors.
P4g¢ 6

REPORTOF THE INDIGPENDEIYT AUDITORS TO THE MEhlBtRS OF
BROMLEY Y
Use of Dur r￿￿1*
ThL% report 1$ made solely lo I1￿ charitabk wmpaHy'$ mcmb¢n, a5 K kndy, in a¢wrthtwe svith ChaM¢f 3 of Part 16 of
the Companies Art 2006. 04w audlt work lias b¢¢u iindertakcn so ihat we thlght itAte to lh¢ charitsble ￿l￿panY'S
monbets those mallejy we Rquir¢d to State lo them in 8n audI￿rS, report athd for iio other purp05¢. To the fullest
e%lent p¢nnitte4f by law, Iv¢ fb) not accept or ossume responsibility to anyone other th￿ th¢ ¢harithble company and tl
h•rilable compan￿3 m¢rnbers as a body, for our wdit work. for this report. or for tkn opinions w¢ forn￿
icky
for and on bch•ifofBerring¢rn LLP
Lygon House
50 ￿nd0Th Road
Broivl¢y
Kent
BRI 3RA
Siolulory Auditor)
Page 7

BROMLEY Y
srATEMEf+rr OF FINANCIAL AcnvrriEs
rorthe yeAr 31 Mayeh 2025
2024
Tolal
funds
Unrestri¢ted
Md
Reslri¢led
ful￿$
Total
funds
INCOME AND ENDOIVMEiYfs FROM
Donations Ind le8acrts
4936
24956
23,382
ChqYliabl¢ aedvlll
Counselling Se￿Ie¢S
SeTvlc¢ Level Ay¢¢m¢nts
IU20
2,90WS
14020
31,525
2107.185
Inv¢&lmenl
31,074
31074
20,457
2,976475
3QOO(I
3,006,47S
2,882,549
EXPENDITURE ON
ClIRrithble acllvltles
Counyelli118 setyi￿$
112S726
3,126,180
2,797,656
Nrr INCOMEY(EXPENDITURE)
(149,251)
29J46
(119,705)
84.893
RECONCILIATION OF FUNDS
Totsl funds broup￿t fonyard
.781,50
41￿162
2,191ffj66
2,106,773
TOTAL FUNDS CARRJED FORIVARD
1,632253
439,708
2071,961
2,191.666
The IiLJtes forni port of these fillan¢ial stateiftellts
Pag¢ 8

BROMLEY Y
BALANCE SHKKr
31 MAr¢b 21125
2025
2024
Notes
FIXED AssKrs
T￿gIble assets
584760
567,235
CURRENT ASSETS
D¢blors
Cash at bank and iii hand
12
415J80
1,614,583
234,132
2.032.766
1029.963
1266,898
CREDITORS
Amwnts falliiig due iylthln y¢ar
13
(541768)
(642,467)
NET CURRENT ASSM
1186,195
1,624,431
TOTAL ASSETS LESS CURRE
LIABILITJES
2,071,961
2,191.666
NETIISSETS
2,071,96J
2,191,666
FUIYDS
Ujwestricted funds
R¢sirl¢ted fiinds
Is
1,631253
439,708
1,781,504
410.162
TOTAL FUNDS
2,071,961
1191,666
These fiiianeial staleme))ts have been prepared in ￿0)rdance with Ihg pmisioni applicable to ch&itabit comp￿￿e$
to thc small Companics rogim&
The finAn¢ial stslejnents were Appffjved by the Boord of Trustees and aut1￿18¢d for issii¢ on
and I￿re s18n￿ on its b¢lMlf by:
J Monk- Tn15t¢e
The notes foTJlI Pllrt ofilit5¢ fJiJanci81 statements
Page 9

BROMLEY Y
CASH FLOIV STATEME
roi. the )wr ended 31 MA￿￿ 21123
2112S
2024
lltsws from operattng A¢rfvlt6Es
Cash 8eneraled Ékom opeTations
(41QJ17)
(124,039)
Net cth used th operating a¢tlvities
{410,547)
(124.039)
C*sh flovls from lttvttdn¥ fflcllvide5
Purchose of tsn8ible fixed ass¢ts
In1¢￿8¢ received
P8,711)
31,lJ74
{16,289)
20,457
Net cagh (used i#yprovlded by inv¢slin8 4clivilics
(7,636)
4,168
C￿1• ind e4111 ¢quivalents i
the reportlng perlo(I
Ca¥h Hncl cash eqUI￿lents gt
beglmnln% orth¢ reporlln¥ ijevlod
(411,183)
{119,871)
2032,766
1151637
c￿kn nnd cH5h equlvaleiili fit the ¢nd or
t1￿ ￿pOrtIng perlo
1ffj14.183
2,031766
Thenotes fotm part of tlie5e financial statwn¢nts
Pr4ge l O

BROMLEY Y
NOTES TO THE CASH FLOW STATEMENr
for the )*#r¢nd¢d 31 MAYeh 2025
RECONCILIATION OF NET(KXPENDrruRENINCOME TO NET CASH FLOIV FROIII
OPERATING ACTIVITIE8
2024
Net (expenditure)Aneome for ibe reportlng perfod (w pth. th#
StAt•nettt of finANelAI ft¢tlvl¢lES)
AdJustmellts foi.:
t)epre¢i&tlon oliarges
t￿￿￿$tr¢e¢lVed
Increase in ¢kbloTS
Decre￿ in creditOTS
(119,703)
84,893
I￿l79
{3J,074)
(181348}
(W993.
19501
(20,457)
(5&828)
(149.148)
Ntl used In opernllons
{4J•A47)
(IU,039)
ANALYSIS OF CHANGES IN NET FUNDS
Ai1.421
Cfftsh flow
A131.3.25
Nel cash
Qsh al bank artd in liand
2.032,7f6
(41S183)
1,614,583
2032,766
(41&183)
I,61￿5￿3
Tolfil
1032,Y66
(418,183)
. Tro￿,583
The i￿te9 forni part of th¢se flnaiicial ststeni¢nt8
PAgell

BROMLEY Y
NOTES TOTHE FINANCIAL STATKMEN15
ror lh¢ ye4r ¢nded 31 Maych 2025
ACCOUNTING POLICIRS
B4sls ofpi*pRrin£ Ého fthiMd8181alemenls
The flnaneial ststeiii¢nls of the chBiiiable compAny, which is a publi¢ 1x￿fil entity under FRS 102, knv¢ b¢¢n
prcpard in accordance with the Chari11¢5 SORP (FRS 102) 'A¢counling and Reporting by Ch*￿e5. stsiement
of R&Y)nunend¢d Pr4r41ee appll¢Able lo chwities wepaiing their q¢c4Junts ac¢oTd8n¢e ivith th¢ Flnanciftl
Reptsrting Stsndard appll¢able in Ihe UK and Republi¢ of Lreland (FRS 102) (effc¢tive l January 2019Y,
FlnanGial Reporting Sthndgrd 102 The Fitsancial Reporting Si8ndgrd applithle I￿ the UK and Republtc or
Ir¢lund the Compan1¢$ Aet 2006. The financiol swthtt¢nts I￿ve kn prepAred under the hi8toric41 cost
convention.
ExpEndlture
Li4bilili¢s are rKo8iilsed RS expenditure aj soon a5 Ihere 15 a le8al or LYJnSln￿tlve obliwiort ¢ommitt4ng the
tharity to thAt thxp¢nditur¢, it ts probable that a trallsf¢r of cconomlc bcnefits iyill b¢ r¢qulred in settlement and
the amouiit of the obligation call b¢ me￿$U¢¢￿ Yeliably. Expenditsire is 8¢C4)Iwited f4)r on an #ettuttls basls ond has
b¢¢n ¢14wlfl¢d under headiii8s thal ag8regat¢ all cost related to t1￿ otsgory, Ivhere costs cftt)not be dlre¢tly
ttrfbiiled ￿ porti¢ular heAdlngs they havé be¢n allo¢Akd to a¢ilvitl¢s on 4 b48is ￿nsiste￿I with the u8¢ of
T•nglbl¢ flsed is*tls
Fredkold property •id propeity improvements er¢ staled at fair value. Ally aggrcgalc surplus or d#flcil Arisiw
from chaiig&8 in fair value is re¢ognised hi tlie Statcmenl of FitMn¢lal A¢tivMiM.
Depre¢latl(xi i8 pmlded on all tlxed 8sXtS 91 rates calculaled to write each ¥sset doivn lo ils eslima*d rssidual
voluo evenly over ils expecled u￿rUI life, ag follow5',-
Fixtsres and fittin88
OlTr¢ ¢qulpmer
over4 years
over 4 yea
Petsslon i'ogts wid olh¢v pos¢.rellrement benefits
The chfiritable con)pany operates fi dofined conlrhution pension wh￿Ile. Contribuil(MiS pftyable lo th¢ ¢liarltabl¢
COlnPAny's pension scljellie are thfvr￿d to tlie 8Èatem¢rtr of Fitiancial Acilvilies in th¢ ￿rIOd lo ivliicli they relate.
Seivtee level agreements
Service Level Agreonents re¢elved gr¢ iiKluded ¥ In¢om¢ In th¢ in¢offle ¢xp¢ndilUK a¢eouni In so far Hs
Ih¢y ar¢ Rttribulable lo th¢ ac¢ounliiig period, Service Level Agreem¢nts rec¢iv¢d iii advance of a futtire period
carded fonyard in ihe balance sheet.
Doiiatlons
Donatlons &r¢ included tn the iiic¢)me ¢xpendltsir¢ account in the accountin8 period of receipl.
Uabllili¥s
Liabilities ftrc recogius¢d ivlien ihe Charity ha5 wi obligation to trdijsfw ¢¢4)ll¢￿1¢ benefits ￿ a result of pasl
trail5￿clI0￿8 or eveiits,
P￿E 12
coiiiinued.,,

BROMLEY Y
NOTFSTO THE FINANCIAL STATEMENTS- tontlRue41
ror tlie yeir end¢d 31 20ts
DONATIONS AND LECACIES
2025
DonAtions aAd gifts
241956
23,3R2
INV&STMEwf INCOME
Interest 15 brou8ht into accO￿t on whi¢h il becoTh¢g due.
INCOME FROM CHARITABL￿ AcfiviTIES
2025
Activlty
F*¢$ for tho provision of
¢oiinsellin8 servlces
Couns¢lliii8 s¢rvl¢es
se￿[ce Level AB￿C￿entS
Service Level Agre¢inen
Mei)tal Heallli Supwirt reams Service Level Agreeniefftts
14,820
31,525
1,191,673
1,615,512
1,795024
1,950,445
2,B38,710
ServiceLevel A8Tremenl4 included In tlw abovè aro ￿ follows:
2023
2024
London Bomugh of BToml¢y
Trftiniiw Fund8
(kh¢r
9ty4,445, .
19&378
39,778
"151,6&5
135,545
1.140,601 1.191,673
CHARITABLE A￿1VITIEs COSTS
Support
¢05ts ($ee
not¢ 6)
Dlrect
Costs
Totals
Couwelling servi￿3
3,12134
30411
3,126,180
SUPPORT COST8
costs
Ciwnselling seThi¢es
3,8411
ge13
coiiliiil￿d...

BROMLEY Y
NOTESTO THK FINANCIAL 8TATETrIENfs-eoTrllTrued
for Ibe yeir ended 31 MAI￿h 2025
NET INCOMFJ(KXPENDITURE>
Ne¢ In¢on1el(expeJ￿II￿rep is sthtcd charg1n￿{CreditIllB):
2025
2024
A￿lItr)r5, remutmtion
DeprKialion. oivned a85¢ts
3ffj54
19JQO
20,179
TRUSTEES, REMUNKRATION AND BÈNEFITS
There iV4ye no Irusle¢s' reMufieratl(￿ or other b¢iicltts for Ihe yc&r eDded 31 March 2025 nor for th¢ y¢ar ended
31 March 2024.
Tr￿tr¢S. ￿pInSIS
TI￿re w¢re no Inu￿¢1, exp¢1?￿$ paid for the year ended 31 Mor¢h 21)25 nor for th¢ ￿ar ended 31 Mwch 2024,
STAFF cosrs
2025
2024
Ivages aThl sa18riey
Soc&al security cosls
Other peiision w818
1451,624
243,897
48,532
2,210,138
219.70
42,265
2,744,053
1472,103
Th¢ avcrnge monthly number of eniployees during Ihc yellrwas as follow8,.
2023
16
S2
21)24
15
54
Aduiinislwalioii
Counselliii
08
69
Thg llUM￿r of ￿lI￿lOyeeS whose eniplvyee benefits (excliidiTrg Einpk)yei' pethgion¢osts) exceeded 160,000 Iv
21J25
2024
£60,001- £70.000
£70,001- £80,000
Page 14
coiitinued...

BROMLEY Y
NOTES TO THE FINANCJAL STATEMENTS- tolltinued
roy the yeArendtd JI Maith 2025
I￿ COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcfiYwiES
Unresiiicted
Ratrlcled
funds
Total
llds
INCOME AND ENDOWME￿& FROM
DoM*lons and legacies
23J
23.382
ChAI'hble xedvlll
Iiisdliny servi¢es
S¢rvico Lcvel Agrc¢m¢nts
31525
IRO6,2ts
31,525
2,807,185
960
Inv￿lment in¢ome
21457
20.457
Totsl
2,881,519
960
2,882,549
EXPENDITURE ON
Cli*i'ltsbl¢ htllvllles
Couiuelling Krvl¢es
2,797265
391
2,797,656
NET INCO￿lE
84324
84,893
RECONCILIATION OF FUNDS
Total lluids brnught forwqrd
1,697,18D
409,593
2,106,773
TOTAL FUNDS CARRIED FORWARD
,781 J04
410.162
1191,666
TANGIBLE FIXED ASS
Improvem￿71$
to
Flxtuf¢s
and
fiMI
Fr¢¢hold
property
Office
Eqiilpznent
Totals
COST
At l April 21)24
Additi021S
DispoBa16
379￿82
14S,418
26020
27.9IJD
97,937
IlJ32
(21,978)
650OJY
J8,710
(21,978)
At 31 March 2025
379,582
171.938
28W8
87491
667,S69
DEPRECIATtON
At l April 2024
ata0¢ for year
Eliminated oli dlsprAAI
23471
2,136
60.125
1&Tr43
121,978)
83ffj03
20,179
(21,978)
At 31 Ma￿h 21)25
25ffjlJ
56,190
81J03
NET BOOKVALUE
Ai 31 MaT¢h 2025
379.5f4
171,938
494S
31001
585,766
Ai 31 Matrli 2024
379,582
145.418
4.423
37,812
567,235
Page15
conlinued..,

BROMLEV Y
N(yfES TO THE FtNANCIAL ￿ATEMENTs-
for th¢ yeAi' ended JI MArch 2025
11 DEwfoRS,, AMouNfs FALLINC DUE I￿rHIN ONE YEAR
2025
2024
o11￿ debtors
Sundry dehtors
Prepwnent8 llccrued ittcome
246
312J85
102,74Y
203,499
30,633
41&380
234,132
I& CREDITORS: ￿[OVI￿r8 FALLING DUE IVITlllN ONE YEAR
2025
2024
Taxes and social 5ecurlty costs
Sundry Gredilors
A¢¢Nal$ and d*frrr¢d in¢om¢
58,143
95J29
39Q094
58J97
31.033
352,837
543,768
642,467
I& ANALI'SIS OF ASSETS BETIVEEN FUNDS
2025
Total
funds
2024
Total
fimds
Unrestricted
fi￿d
R¢slrkttd
(ILKds
Flxtd assets
Curreiil &55ets
Current liabilities
179033
1,996,168
(543,768)
40S913
33,795
58S706
L029,963
(543,768)
367,235
2,266,898
(642,4671
1ffj32JS3
439,708
2,071,961
2,l91,666
I& MOVIMENT IN FUNDS
Net
movemeni
in funds
Ai
31.3.25
At 1,4,24
Unreslrleted thnds
G¢ncral fund
1,781
(149,251)
1ffj32,2SJ
RestAc¢ed
Restri¢led- Buildin8
40$913
4,249
405,913
33,795
Re8trl¢ted-Posiiive pelc
29J46
41111fj2
29,546
439,708
TOTAL FUNDS
2.191h66
(119,705)
2071,961
Page 16
coniiiiued...

BROMLIY Y
NOTES TO THE FINANCIAL sfATEMENTS- contialled
roi.lhe yeffty ¢Thltd 31 m91￿ 2025
I& IIIOVEMEiYf IN FUNDS- ¢ontlnMed
Net movement in thnds. inchtded in the alM)ve are a5 Folknvs.
Resource5 Movema
expended
lo
Unrestrleted fiindl
Genernl fund
2,976h7S
(3,123,726)
(149251)
RestA4thd
R¢StrIct¢d-P￿Itiv¢ pelè
30,OtIii
(454)
29,546
TOTAL FUNDS
3,006875
13,12&180)
{119,705)
CompArRtlI￿ for moYem¢Tr¢ In thndi
Nel
ovemonl
in ftinds
At
31.3.24
Ai 1.4.23
Unr¢stAeteil funif$
G¢nernl fund
1,697,180
84,3
1.781,504
RestActed fonds
Reytrl¢ted- Iluildln8 fiu
405.913
3.6
405,913
Restricted.Posiliv¢ pete
S69
409,593
569
410,162
TiyfAL FUNDS
2,106,773
84.893
2,191,666
Comp8rallv¢ ii¢t ni0V￿llent in fiinds, included in tlie above Rre a8 folknvs:
Ino>mi118
resouices
Resources
expended
Moveme￿1
ill fiinds
Unrestdei¢d thiiils
Generel fiind
2,881,5B9
(2,797,265)
84,324
Rt5¢rkl¢d fiinds
Re$lrided.PosiliYe p¢¢e
96
(391)
569
TOTAL FUNDS
2,882,549
{2,7ty7,656)
84,893
Page 17
eontirtued,..

BROMLEY Y
NOTKSTO THE FINANCIAL STATEMEPW3- ￿nI1￿￿ed
for Ihe >ear ended 31 MArcb 202S
I& RELATED PARTY DISCLOSURES
There ivere T¢l*ed pqtty trON$￿tions for the yex end￿ 31 h4areh 2025.
17.
TAXATtON
As a Charity, Bromley Y is exempt from lax on income and g&ing felling iv1th￿ Secilon 505 of the Thxes Act
1988 ￿ S256 of the T￿all(￿ of Chargeoble Galns Ad 1992 tD lh¢ ¢xl¢nt that these AT¢ applied to its ¢bwitable
objec£* No tsk. charges havt arisen iti the Ch4rity.
Pag¢ 18