Company No: 1946616
Cb2rity No:
292787
ST. MARY ABBOTS REHABILITATIOIY AND TRAif4iNG PRoJE￿s
SMART
A COMP
Y LIMIT
DBY
ACCOUNTS FOR THE
YEAR ENDED 315t MARCH 2023
•ACHZZ3PS*
1)911212023
167

ST. MARY ABBOTS REHABILITATIOh' AIYD TRAINING PROJECTS (SMART)
A COMPANY LIMITED BY GUARANTEE
CONTEI¥4TS
Legal and Administrative InfornMtion
Report of the Trnstees and Directors
Report of the Independent AuditOTS
Statement of Financial Activities
2toS
6t07
Summary Income and EX￿nditUre Account
Charity Balance Sheet
C&sh Flow Statement
io
Notes fonning part of the Financial Statements
Ilto14

ST. MARY ABBOTS REHABILIATION AND TRAINING PROJEcfs (S￿lART}
A COMPANY LIMITED BY GUARANTEE
LEGAL AIYD ADMtNISTRATIVE INFORMATION
CHARITY NUMBER:
292787
COMPANY NUMBER..
1946616
DtRECTORS AND TRUSTEES:
G.J. VaTJ Loon-chair
C.E. Curtis
M.Feldman
Dr. C. E. Smith
N. Lambert
D. Nonnenma¢her
MPANY SECRETARY:
A. Mustapba
REGISTERED
FFI
The BasemenL
15. Gertrude StreeL
LONDON.
SWIO OJN
AUDtTORS:
Messrs. Jeffrey Alknan & Company,
Chartered Accountants,
Wayman House,
141. Wickham Road,
Shirley.
CROYDON.
Surrey. CRO 8TE.
BANKERS..
Santander UK pl¢,
BBAM, BTidle Roa
BOOTLE,
Metseyside, L30 4GB
HSBC Bank plc,
Belgravia
SWIV IEJ
National Westininty Bank plc..
224. Kings Road,
LONDON, SW3 5XJ

ST. TrtARY ABBOTS BIHAB[L￿ATI0N AND TRAINING PROJECTS {SMART)
(A Registered Charlty and Company Limited by Guarantee)
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31st MARC
2023
The Tr￿steeS, who are also Director5 of the Chan"ty for the purposes of the compani￿ Act, subtnit their annual
report and the audited financial statcmcrLts for St Mary Abbots Rehabilitation and Training Pmjects (SMARD
(Charity Number 292787. Company re￿stratOn number 1946616, Registered Office Address'.The Basemerlt,
15 Gert￿de Street, tA)nd0￿ SWIO for the year ended 31 2023. The Trllste￿ have adopted the
provLStons of the CIwL"ties Statement of RttOmrnet￿Cd Practice (SORP FRS 102) together with Update
Bulletin l in preparing the annual reEK)rt and fir￿[lC1al statellLents of the Charity.
Objects and Principal Activities
The charity is c<)Dstituted as a Cotnpany Limited by Guarantee and is therefore governed by a Memorandum
and Articles of Associatio
Now in its 39th year, the Charity's objeets and its principal activity continues to be that of providing relief to
people within the Royal Borough of Kensington & Chelsea and surrounding areas who are suffering from any
form of mental distress. The Clwity's principal activities are undertaken for the purpose of the public ben¢fLt
which are the management of a number of employfftenl and trainijjg projects for sucb people. as well as
practica! sUPPOrt, information and advtce. These proj￿ include a public Cafe with micro-bakery and catering
arm. a Dtylupcycling project. a music proje£t with giggllig band and singer groups and a Srnall gardening
business. tn additio￿ a range olshort courses and workshops ar¢ offered to irnprove vocational and life skills,
as and when need is identified. tn 2016 the Clwity was awarded two contracts to run atL employment pathway
and practical supFKJrt or Wavigation, service as part of the new Community Living Well Service. In 2020 it
was award￿ the Conununily Cbampions contract for Cb¢lsea and itL 2022 for Earls Court. to prolltote bulth
and emotional resilience in partnership with local people. The Charity also provides a wide range of social.
personaL d¢velopment and recovery activities includmg person•centrcd planning. self-management
progrdmmes, drama tberdpy. mindfulness, yoga, drop-in activity sessLons (during the day, evening and
weekends) and 'bridge-buiiding' to the wider community.
The Charity is organised so that th¢ Ttwtees meet regularly to revi¢w r¢sults and marLage its affaits. Sub-
commillees fonned of staff, clienls and other advisors report to th¢ Trustees. The sub-committees meet al least
4 limes a year and give Trustees the opportunity to gain a great¢r understanding of a specific area of work . In
this way the Board gathers the infom]ation needed lo tske de£isions and plan for tkle future and makes
arrangements for setting the pay of key management. The key tranagement make the every day decisions for
the Charity. The T￿￿teeS confllm that they have I￿1 regard to th¢ Ckwiiy's Commission guidance on public
benefit.
Each year the Board perforn]s a skills audit to determine Wh￿ trait)ing is neded and where gaps in skills li¢.
A recNitment and training progTamme is orgarrised around th¢ results and Trustees are appointed annually, by
vote. at the Annual General Meeting. There 15 olle tull- tilllc adMI￿￿tOr wbo both manag&s the day-to-day
administration of the Ckjarity and organises fundrnising initiatives. The ren)aining staff also assist with
Sjndraising as appropriate.
On-going is provided by the Royal Borough of Kensington & Chelsea, Westminster City Council,
CNWL and Kensingtoti & Chelsea Foundation. The Charity's projects also generate income. rnak￿g a
Sl￿fiCant contributsonto net itwm¢. The Charity also graL¥lully acknowlcdges the work olindividuat donors,
volunteers and Iwal businesses in supporting its aclivities. We are particularly grdtefid to Julia and Hans
Rausing for their s￿￿oUS support at Christmas.
Adviee and Guidanee
Malrix accredited advice, support. iDfonnation and guidance around mental health and illness provided to
any person or orgamsation in need. tnforn]ation sessio￿, signposting, leaflets and personaE development
session5 are provided at the Central Office. In additio￿ the Charity host5 activities of external organisations al
the Central Office to further these aims. This ensures that peoples. needs are aCkn￿wICdgcd and met through
the provision of holistic, joined_up and easily accessible services.

ST. MARY ABBOTS REHABILITATtON AI¥D TR￿[N￿¥c PROJKCTS (SMART)
(A Rwtered Charity and Company Limited by c￿￿*￿¢¢¢)
REPORT OF ThE TRUSTEES
CootiDued
FOR THE YEAR ENDED 3151 MARC
2023
cOn￿ll￿1ty Support
S￿T is committed to buildtng resilience in its ¢onunuDity and supponing ind¢pendetKc and
empowern￿nt in its setvice users. To this the ckgamsatt.on has created links 3￿j partnership5 with
mainstream commurlity organisatiotL8 io foster Understa[￿illg aFK)Ut mentsl illne5$ and widen access ¢0 their
activities. The Charity is open every day of the year, I￿[uding Chn"stsn&s, and offers eveniog and wcckend
dmp-in sessions to relieve the s¢xial isolation experienced by those with menta] health tteds.
Achievemellts aod perform•n¢e
Each year SMART ftvicws its five year business plan with stakcholder5 including scrvicc usets. referral
a8¢ncies, fiLnd¢r5 atrf staff to create the annual operntional platL This plan sets targets that fvlfil the
Charithble Objecrs aNI meet the needs of service users and fiJnd¢rs. As we emerged forni the pa￿le￿ie we
met the cost-of-living crisis head on with a nrtge of activities based on supporting people with fooLt money
and advicc. Once again we led a collective of charities, I￿al businesses, schoots and I￿j1¥1￿ua1s to ensure
that 11886 people in n¢¢d received a Chri$trnas hamper of food and gifts. The work to create a hub from a
derelict area in SMART'S building wa5 revised as ptoblems with SMARTS building escalatrd. A new plan to
build a wcll-beiDg tentrr. bascd on social enterprise and a connection to naiurc was approved. We a150
en8a8ed in the developtrtent of voluntary and community sector 5erv¢¢es roward5 PersonalisatkOD
Transfonnatioll which al￿5 to provide people with personali%d nk)re e&sily accessible and integrdted cate.
We have again introduced more peer-led activities and are on ¢ra¢k with our plan to have SMART largely
staffed by its mctrlbers. Thc Trustccs have asscssed and arc of the opinion that the Cbarity is a goillg ¢oncem
for at Iwt 12 ttotn date of this TtWTL
FinaDcial Review
The sta*ment of findnci£l activities shows & loss of of £114.455 for ycar. Tr comparnble prioi year
2022 showed a profit of £245.777. The total fjJDds carried forward tesul*d in a surplus of £716,830 (2022=
£830,835). Of the5¢ futth £340,136 telated w Restri¢ted Fuods a131st Mar¢h 2023 (2022..£444.581)
tn this finan¢ial year we fought and won a ¢laim from HMRC that all of our welfare activities were VAT-
able. Wc also supported our stsff with a one•off. cost-of-IiviDg payTreuL Wc fuudcd both of these activitics
frotn our reserves and thus our lo&$ year was a considered and lljanaged one. Our fulldraisillg efforts we
Successful thi5 year, with SMART achieving IOOOA of is fundrnising wg¢LS through ststutory Ojndin
grants, th)n4tions and income froD) its social enterprises.
Ri$k M*naE¢ment
The TnL5t¢es a¢tively review the rnajor risk5 which the Charity fa¢es on a TegLLlar b&si5 an4 cornbi[￿d with
an annual review of the controls over key financial &￿Ster[L$. will provide sufficient resour￿$ in the event of
adverse conditiotL%. The Trustecs have also cxarnÈned other opcrdtional and business risks faced by the
Charity ¢onfirni that they bave estab1ished.￿t¢rn$ to mitigate the significaot risks.
Re5erv¢s Policy
SMART'5 reserves policy is to maintain Sufficient level of reserves to enthle operating activities to be
mainthined. taking account of potenual risks and coAtingencies thai rtHy arise from lime to time. Th¢
Trustees fttl that the genernl r&erves at 31st March 2023 of £376244 mtets this level. The policy is
revitwcd annuatly by the Tn￿te¢s.
In additiou, 3tnounts arc Set a5idc io meet financial risk5 associated with potrntial continge￿ie$ and
un¢¢rt¥inti¢s Telating ￿ th¢ Charity5 op¢rdting a¢tiviiies.

ST. MARY ABBOTS REHABILITATION AND TRAINING PROJECTS ISMART)
(A Reglstered Charity and Company Llmlted by Guarantee)
REPORT OF THE TRusfEES
CoDtinu¢d
FOR THE YEAR ENDED 31st MARCH 2023
The Future
SMART WOTks to a five-year b￿1n¢$$ plan aad reviews its operational plan annually. We proactively seek
feedback from our siak¢holdeTS and monitor out¢omes to ¢usure seryices meei the ne& of our community and
fulfi51 our Charitable objecttves. The transfonnation of mental hulth servic¢s has se¢n us take on a number of
new contrdcts to work in partnership with the NHS and voluntary sector. We have a]so developed services to
meet the chall￿ge of the cost-of-livillg crisis and rise in mental illness following the pand¢mi¢. SMART is
working intensively with Health attd Social Care parthers to influence and support the new strategic directions
of both parti¢s. We are playing an a¢tive rol¢ rn the Place-b&%ed Parttiersbip and ensuring the lived experience
and needs of our members is heard and resp)nd¢d to.
Through good planning* SMART is weathering the tougb economic conditions well and has a good range of
diversified fijndillg sources to support its activities.
D5reeton attd Trn$tees
Memixrn of the nwugement ¢oiYunitiee, who are Dirtttors for the PUkPW of Company Law atLd Trustees for
the purpose of Charity tAW who suved during th¢ year attd up to the date of this report. are set out on page
ne.
Members of the charitable company guarantee to contribute an amount oor exceeding £1 to the assets of rh¢
C1￿1￿ble company in the eveni of winding up. The total number of such ￿aranteeS at 31 March. 2023 was 4.
Statement of Direetors, Responsibilities
Cornpany law requires the Directors to pryare the Directors. Rewl aThd financial statements in accordance
with applicable law and regulations and in acc4)rdaDce with unit￿ Kingdom Generally Accepted Accounting
Practice for ¢aclL fU￿nCIal year. which give a tDJe and fair view of the state of affairs of the Cotnpany and of
the net loss of the Company for that period. In prep&ing those finat]cial statements. the Directors are required
sel￿t suitable a¢¢ounting policies and apply them CODSiStently.
Make judgetnents and accounting estimates that are reasorLable artd pruden4
Stst¢ wh¢th¢r applicable accounting sÈalldards have been followed. subject to any matetial
departure disclosed and explain￿ in the Financial Statements
Prepare the fmancial statements on the going concern basis unless it is inappropnat¢ to
assume that the Charity ￿111 ¢ontttiue in operntion.
The Directors are reswnsibl¢ for keeping proper a¢¢ounting r￿rdS whi¢h dis¢lose with rwonable accuracy
ai any time the fmancial FK)sition of the Cornpany and to enable theTn to ensure that the Financial Slatrments
comply with the Compani&4 Act 2(Xi6. They are also rtsponsible for safesuarding the aytsets of thc Cornpany
and h¢n¢e for thking rwonable sty for the prevMtion and detction of fraud and oth¢r irregularities.
Statemeu¢ as to Disclosure of Inforn￿tiOll ¢0 Auditor•
So far as the Directors aTe aware. there is no relevant audit information (as defined by Section 418 of the
Companies Act 2006) of which the Compan￿$ auditors ar¢ Uttawa￿. and each Director has tsken all the steps
that he or she ought to have taken as Director in order to m¥ke himself or herself aware of any relevant &udit
inforniation and lo ￿tabliSh ihat the Companys auditOTS are awar¢ of that infonnation.

ST. MARY ABBOTS REHABILITATION AND TRAINING PROJECTS (SMART)
(A Registered Charity #nd Compally Limited by Guargntee)
REPORT OF THE TRUSTEES
Continued
FOR THE YEAR ENDED 31st MARCH 2023
Auditors
JetTrey Alttnan & Company. Charterejj Accountants. were reappointed as the Charitable Cgtnpanys
auditor during the year and have expressed their Willingn￿ to continue in that capacity.
This report has been prepared in accordance with the sp￿la1 provisions of Part 15 of the Companies
A¢t. 2006 relating to small companies.
Approved on
half of the Board by:
Mr Gijsbertu
. van Loo
Direttor and Chalr of Trustees
29th November, 2023

ST. MARY ABBOTS REIL4BlL￿AT1ON ANDTrAININC PR(UECtSlShlART
A COMPANV l.IhllTF.D BY r.UARANfEE
INDEPENDENT AUDITORS. REN)RTTOTHE MEMBERS OF
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ST. MARY ABBOTS REHABILITATION ANDTRAIP41PIG PROJEcfs (SMART)
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INDEPENDETrrr AUDITORS, FEPORT TO THE MEMBERS OF
ST. MARY ABB
HABILITATION ANDTRAtNtN
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St#ior Stsiutory Aaditor
f(r awjth) t&￿t0f Jeffrey Altsh￿ & CompaDy
itors
29rh Novcmbw. 2023

ST MARY ABBOTS REHABILITATION AND TRAINING PROJECTS (SMART)
A COMPANY LIMITED BY GUARANTEE
STATEMENT OF FtNANCIAL ACTIVITIES (fNCLUDfNG
INCOME AND EXPENDITURE ACCOttNT) FOR THE
YEAR ENDED 315t MARCH 2023
2023
Unrestricied Restricied
Funds
Funds
un￿strICte¢
Fund
Total
NOTE
INCOMING RESOURCES
Donations, legacies and similar resources
Charitable Aetivities
Investment Income
Bank Interest Receivable
Rental Income
Total Incoming Resources
1.157
15.085
1,107,917
1,109.074
15,085
13,470
11.785
649
975
649
975
17.866
1,107,917
1.125.783
25,255
RESOURCES EXPENDED
Charitable activities
27,876
,212,362
1,240,238
12,955
NET (OUTGOllYGVINCOMING
RESOURCES BEFORE TRANSFERS 9
Transfers betiween funds
Taxation
(Io.010) (104,445)
(114,455)
12.300
(414)
NET MOVEMENT I1¥ FUNDS
(i 0,01 o) (104,445)
386,254
444,581
340.136
(114.455)
830,835
716,380
11,886
374,368
386,254
Fund balanc¢s at I st April, 2022
Fund balances at 31 st March, 2023
376.244
coiYriNUING OPERATIONS
None of ihe Charity's activities were acquired or discontinua during the above two financial years.
The ststement of financial aciivities includes all gains and losses recognized in the year.

Com
ST. MARY ABBOTS REHABILITATIOIY AND TRAINING PROJEcfs (SMART)
A COMPANY LIMITED BY GuARA￿rEE
an
No: 2927
BALANCE SHEET AS AT 31st MARCH 2023
2023
2022
NOTE
Tangible Assets
io
4,155
5,338
CURRENT ASSETS
Stocks
Debtors
Cash at Bank and in Hand
320
196.105
1,097,061
.293,486
350
160.491
708,536
869.377
CURRENT LIABILITIE
Creditors - amounts falling due within one year
12
581,261
43.880
RRENT A
SET
712.225
825,497
TOTAL ASSETS LE
URREprr LIABILITIES
716.380
830,835
NET ASSETS
£ 716,380
£ 830.835
RESERVES
UDreslrieied funds
General funds
13
13
376.244
340.136
386.254
444.581
Restricted funds
£ 716.380
£ 830,835
These accounts are prepared in accordance with the provisions applicable to Companies subject lo th¢
small cornpani¢s regime of Companies Act 2006.
Approved by t
Trustees on 29th November, 2023 and signed on their behalf by:
Mr Gij5
Direct
. van Loon
r and Trustee
The notes on pages 9 to 12 fonn part of these accounts.

ST. MARV ABBOTS REHABILrrATION AND TRAINING PRIIIECTS (SMART)
A COMPANY LIMITED
Y GUARANT
CASH FLOW STATEMENT
R THE YEAR ENDED 31
T MARCH 2
23
2023
2022
ASH fNF
WFR
Nei eX￿ndIture
Lkp￿1atI0n
Int¢r£st Rettiv¢d
Dettes￿lIncrc￿seI in debtor5
De£￿3$e]{ln¢re￿%tI in strKk
{DecrEase)lln¢r&￿ in ctcditws (Excludin8 loAns and
finance It&￿)
N¢1 ¢a$h inflo* from op¢ratiNg•¢tiviti
MOP
AcrtVlTI
(114,455)
245.777
1,780
(6491
{35.6141
30
1148.343)
537.381
387 876
29.592
128.806
ASH tNFL WS FROM JNVESTIN
Interest received
Paymenrs to 8¢qiiire rangibl¢ r￿ed assets
IVITI
649
649
M FINAN
ING ACTM
L¢>￿ repayments
CHANGE JN CASH AND CASH E
UIVALENTS
£38&525
£128.8
Cosh as at IM April. 2022
Cosh a5 ai 51￿ March, 2023
708 536
£1,097,061
579,730
£708,536
io

ST. MARY ABBOTS REHABILrrATION AND TrAINtNG PROJECTS (SMART)
A COMPANY LIMITED BY GUARANTEE
NOTES TO THE AccoifNTS FOR THE
YEAR ENDED 31 st MARCH ?023
I. ACCO-'NTING POLICIE
The accounting policies set out below have l*en applied coThgistently by the Charity in the PTeparation
of its Accounts.
(a) BLSiS of Aecountin
The A￿unts have been prepared in accordance with The Financial Re￿tIng Standard 102 applicable
in the UK and Republic of Ereland. the Ch8rities SORP IFRS 102) and under the Historical Cost
Convention and in a¢cordan¢e with the accnthls Concept of accountin& whereby both income and
expenaiture are recognised as they are earned 8nd incuTreJJ.
{b) Fixed Assets and De
re¢iation
Tangible Fixed Assets are ststed at either purcha8e price, open market value or witalized at the value
at Wikich the gift w&8 included in income, less a charge for depreciation calculated at the following
ral¢s on the reducing bala[￿e $0 &$ to write them off over their estimated useful live5.
Plant and Equipmenl
per annvm
Fixtures and Ftttinss
25•A per annum
hariiable Income
Volurary income ts received by way of donations and gifts.and 15 included in fvll in the Siatement of
Fillancial ActiVLties when receivable. The value of servi￿$ provided by volunt¢eTS has not been
included. Credit is taken in the Accounts for don*loT￿ legacies when the corlditions for r¢¢¢ipl are
met an¢i there is a reawnable assurartce of receipt. Don&ion5 and grants for a parti¢ulat purpose are
(d) T￿atIOn
As a registered Charity. the c￿MpanY is not liable to tsX8tion on its income.
(c)
Funds held by the ChaTity aTe either:
. Unrestri¢iedgenen71ftsthls - these are funds which can be used in ac¢ordarKe with the
¢haritable objects at the discretion of the Trustees.
. DesignJiedfvnds - these ar¢ funds set 8sid¢ by the Tr￿Stee$ out of W￿¢ted 8enerdl fund..
for srecific future purposes or proiects.
• R￿triCiedfvK￿F - these are fimds that can only be used for particular re5tri¢ted purFrf)S¢S Within
the obiects of the Charity. Restric'Ltons aris¢ when 5Dxified by the donor or when funds are
raised tor particular Testricted PUTposes.
(fj Resources Ex
nded
Resou￿¢$ expended ar¢ irt¢lud¢d in the Statement of Financia] Activitie5 on an ￿¢rya15 basi
inclusive of any VAT which cannot be r￿)vered.
Certain expenditure ks directly attributable to specific activities and has been included in those ¢ost
ategories. Certain other costs. which are attributsble io more than one activity. aTe apportioned acr05S
cost categories on the basis of an estimation of the proportion of time spent on those ?.ctivities.
Govemmenl costs include those incurred in the goveman¢e of the Ch8Tity and its &%sets and 8Te
primarily associated with Consti￿tIOnal and statutory requirements.
iyed
All atrigdnts rtteived or ￿ceiVable by way ofgrant have been offset against the related expenditure
within the Ststement of Finartcia] A¢tiYitites for revenue items.

ST. MARY ABBOTS REHABNATIOP4 AND TRAINING PROJECTS (SMART
A COMPANY LIMITED BY GUAIL4NTEE
NOTES TO THE Accouyfs FOR THE
YEAR ENDED
ISIMAR
AI. STAT
SOFT
HARITV
The Charity is a Company limiied by guarnnttt and hNs no sharc Tht liability of eath m¢mber in th¢
eveni of winding up is lirnited io £1. The Charity wa5 incowporawl in the U.K.
BLIC BENEFIT
The Charity congitutes a public b¢n¢fit ¥ defiTh¢d by FRS 102. The re8iAeted address 15 that of.. The
Basement. IS Gertrude Street. London. SWIO OJN
4. GOIN
CONCERN
Th¢ financial statem￿ts have prepued ￿ a 80ing cL¥Kern FAlSi& 11)e truAee5 cOr￿lderthat ihc ch￿tty
holds 5uffic5ent reser￿5 to de¢m the going ¢onccrn bas¥$ appropw¢ for at lea￿ 12 months from th¢ d8t¢ of
this r¢port.
S. IN
OMING RF
URCFS
UnTestrided Resknacd
Funds
Unre#TiCt￿l Restriutd
Fun
To
Royal Borou8h of Kthsin8ton and CheL*a
- Grants
Incon2e from vaTiOU5 proi¢aS dub
4¢tivities
Other Gran¢5 Reccivcd
SMART B*)d
Gentral Donations
Rtntaj lrt¢ome
Bank In(cYst Rcceived
CoronaviTU$ 19b Rdetition Stheme G
276.1
27AI
349,195
349,195
15,085
15.085
831.848
11.785
11.785
888,459
831.848
888.459
1.157
975
649
1.157
975
649
2,378
4,378
17.866 £ 1,107.917 £ 1.125.783
& ANALYSIS OF TOTAL RESOURCES EXPENDED
25.255 £ 1.239.654 £
1.264.909
Charitable
Activities
Supp
Charitablt
SuP￿rt
os
Staff costs
Garden, rafé and pa&)girtg
Various projew.s athl club5
SMART Band
Training and cothfer¢D¢¢
Premises
Communications
Leg￿ and pr)fes>ion41
Audi¢ fees
Motor and irav¢l
Office eXF¢nscs and g¢nvaJ repaiTS
PrinuD& posttge st¥ionery
tkpreciaiion
AdministT&tion and services
Finan¢¢ costs
959.287
7J41
121J64
959.287
7.341
121,364
728,964
6.683
115.J44
414
33,596
24.660
11.550
728,964
6,683
115.544
414
33,596
24,660
11.550
7.705
5,250
207
827
827
34.433
49,112
49.112
28,042
30,419
30,419
1.183
1,780
1,780
4.845
4.845
2,526
2.526
301
301
102
102
£1,212.362
£27.876 £1.240.238
£1.006.l77
£1019.132
In addition io the expens¢s abo￿ there is an estimawj ¢ost o(£Nil ttlatirtg ￿ volunteu wwkus who help SMART ellch and
¢very day of the y¢ar_
15,996
12.802
6.561
I5.SWJ6
12.802
6.561
19.826
8.050
207
54.433
28,012
19.826
8.050
7.705
5.250
£12955
12

ST. MARY ABBOTS REHABIL￿ATION AND TRAINING PROJECTS {SMART)
A COMPATr4Y LIMJTED BY GUARAiITEE
NOTES TO THE ACCOUNTS FOR THE
ED31stM
RC
22
7. STAFF COSTS AND TRUSTEES REMIJNE
Salaries and Wages
Pension
Social se￿￿￿ty Costs
TION
896.01)0
10.932
52,355
665.677
10,932
52,355
£959.287 £728,964
No sin2le employee received total emoluments in excess of £60.0(J) (2022: £Nil)
The total emoluments for key management personnel totslled £57.432 (2022.. £5) J28}
The Trustee￿ were not paid or reimbursed for expens¢5 during the year (2022: £Nil)
SMART staff ￿sts represent go¢xl value for mon¢y &$ staff time is spent aimost
entirely on delivering the Charity's aims and objective5.
& STAFF NUMBERS
The averdge numiw of full-time equivalent employees. including C￿Ual and part-time staff.
during the year was...
02)
Manag¢me*+ and administrdtion
Training PToje¢t worke
Cafe and ¢ai¢ring
Gardening and floristy
l.T. proj¢c.*
32
23
38
2023
30
2022
9. NET Iiy
RESOUR
This is siaied after crediting..
Auditors, Remuneration
Depreciation of Tangibl¢ Fixed Assets - owned
JO. FIXED ASs￿s
Tangible
R THE YEAR
8,050
1,183
5.250
1.780
Plant
Fixiures
Filtin
Total
COST OR VALUATION
Balance as at l April, 2022
Addiiions in the year
Balance as at i l March. 2023
DEPRECIATIOiY
Balance a5 at l April. 2022
Charge for the year
Balance &8 ai 31 marc￿ 2023
NET BOOK VALUE
As at 31 March. 2022
As at 31 March. 2023
59,982
46,549
106.531
46,%49
106.531
56.949
607
44.244
576
44,820
101.193
1,183
102.376
£2.305
£4.155
13

ST. MARY ABBOTS REHABILITATION AND TRAINING PROJECTS (SMART)
OMP
NY LIMITED BY GUARANTEE
NOTES TO THE ACCOUNTS FOR THE
YEAR ENDEf) 3 1st MARCH 2023
I I. DEBTORS- amounts fatling due *l¢bill olle ye*r
Trdde d¢biors
Other debtors
Prepayments and accrued inu)m¢
7.524
159,448
1,043
188.581
£196,105 £160,491
12.
REDITORS- amt)4*ts falllng dut with1* yur
Trad¢ ¢red¥tors
Taxation and social security costs
Accrnals t..d Deferred income
Othtr creditors
27,353
67.500
8,050
8.477
£4i,880
4.644
£581.261
13. MOVEMENT
F FUNDS IN THE YEAR
Un￿StrICted
Funds
Restricted
Fun
SMART
Band
Fund
Genern] Project
Fund
Fund
Total
At l Aprtl 2012
Income i.-. the year
386254
17,866
4114.120
27.876
444.581
1,107,917
1.552.498
1.212.362
340.136
830.835
1.125.783
1,956,618
1.240,238
716,i80
Expenditure in the year
Transfers
At 31 March 2023
£376244
£340.136
£716.380
The project fund fulfils grant contracts received to provide services io the Borough &$ derailed '
agreed means of deliv¢ry ststemeni.
14. ANALYSIS OF NET ASSETS BETWEEN FUNDS
General Restricted
Fund
Funds
Total
Funds
Tangible fixed &ssets
CuTrent assets
Current liabiliiies
4.155
917.242
(581.261
4.155
1,293.486
(581,261)
£716.380.
376244
£376,2M
15.
ONTINGENT LIABILITIES
There weff no contingent liabililies as at 31 Maffh 202312022- £Nil).
16. RELATED PARTIES
There wete no related parry transxtions during the year to 31 March 2023 (2022- £Nil).
14