Company No: 1946616
Charity No:
292787
. MARY ABBOTS REHABIL
ON AND TRAININ
PROJECTS
SMAR
A COMPA
ITED BY GUARANTEE
Accouf4TS FOR THE
EAR ENDE

ST. MARY ABBOTS REHABILITATION AND TRAINING PROJECTS (SMART)
A COMPAIYY LIMITED B Y GUARANTEE
CONTENTS
Legal and Administrative Information
Report of the Trustees and Direclors
Report of the Independent Auditors
Statement of Financial Activities
Summary Income and Expenditure Account
Charity Balance Sheet
Cash Flow Statement
Notes forniing part of the Financial Statements
2to5
6t07
io
11 to 14

ST. MARY ABBOTS REHABILIATION AND TRAININC PROJECTS (SMART)
A COMPANY LIMrrED BY GUARANTEE
LEGAL AND ADMINISTRATIVE INFORMATION
CHARITY NUMBER:
292787
COMPANY NUMBER:
1946616
DIRECTORS AND TRUSTEES:
G.J. Van LA)on-Chair
C.E. Curtis
Dr. C. E. Smith
COMPANY
EC
TARY..
A. Mustapha
REGISTERED OFHCE:
The Basement,
15, Gertrude StreeL
LONDON,
SWIO OTN
AUDITORS:
M¢ssrs. Jeffrey Altman & Company,
Chartered Accountant5,
Wayman House,
141, Wickham Road,
Shirley,
CROYDON,
Surrey, CRO 8TE.
BANKERS..
Santander UK plc,
BBAM, Bridl¢ Road,
BOOTLE,
M¢rseyside, L30 4GB
HSBC Bank pl¢,
Belgravia
SWIV IEJ
National Westminster Bank plc.,
224, Kings Road,
LONDON, SW3 5XJ

ST. MARY ABBOTS REHABILJTATiof4 AND TRAINING PROJECTS (SMAR
IA Reglstered Ch&rlty and Company Llmlted by Guarantee)
EPORT OF THE TRU
TEES
E YEARENDED 31
MAR
The Trust¢¢$, who are also Directors of the Charity for the PUTposes of the Companies ACL submit their
annual Teport and the audited financial statements for Si Mary Abbots Reh8bilitation and Training Projects
(SMART) (Charity Number 292787, Company registrwon number 1946616, Registered Office Address:The
BÈsem¢nt, 15 Gertrnde StreeL London, SWIO OJN) for the year ended 31 March, 2025. The Trustees have
adopted the provisions of the Chari¢ie5 Statement of R¢¢on)mended Practice ISORP FRS 102) together with
UFdat¢ Bulletin l in pr¢paring th¢ 8nllual report atsd financlal statements of the Charity-
Objects #nd Principal Actlvltks
The charity is constituted as & CompaTty Limited by Guarant¢¢ and is therefore governed by a Memornndurn
and Articles of Association.
Now in its 42nd yeor, the ChaTity'5 objects and its principal activity continues io be of providing relief to
people within the Royal Borough of Kensington & Chelsea and surrounding ar¢as who are sufforing from arty
rorni of mental distre55. The Charity's principal activities are undertaken for Èh¢ pwp05¢ of the public benefit
which are the management of a number of employment and training projects for su¢h peopl¢, as well
practical support, information and advice. These projects include a public café with mi¢ro-Iydkery and
catering am), a Dlylupcycling projecl a music proje¢t with gigging band and $ing¢r groups and a small
gardening busit)¢ss, In addition. a range of short courses and workshops arc offer¢d to improve vocatLOrtal
and life skills, as and when need is identified. The Charity runs a number of employm¢nl and pradical
supw)rt or 'NavigalioJ' services in partnership with the NHS a5 Wellnes5 and WoTk Community
Living W¢ll. In 2020 it was awarded the Community Champion5 COt)traet for Chelsea and in 2022 for Earls
Cou¢ to promote health and emoiional resilience in partnership with loc￿ people. The Charity alsts pr(>vid¢s
a wide range of social, p¢nonal development and recovery a¢tivities including peTson-¢entred planning, s¢1f-
man&geme2)t programmes. drama therapy. mindfulness, yoga, drop-in activity sessions (during the day,
evenin8 and we¢k¢nds) and 'bridge-buildin8' to the wider community,
The Charity is organised so that the Th]stees nret r¢gularly to review resuhs and manage its affairs. Su
nmittees forn)ed of statT, Clients and otheT advisors report io the Trus*¢s. Th¢ sub-¢ommittees meet at
least 4 times a year and give Trustees the opportunity to gain a greater understanding of & 5pe¢ific area of
WOTk . In this way rhe Board gatheTS the inforn)ation needed to take decisions 8nd plan for the fuvjre and
makes arragnements for setting the pay of key management. The key tnanagenent mak¢ th¢ ¢very day
decisions for the Charity. The Trnsiees confimj that they have had regard to she Charity's Comtni$sion
guidance on public b¢n¢fit.
Each y¢ar the Board perfom)8 a skills audit to d¢t¢rniine what training is ne¢ded and where gaps in skills lie.
A recniitment and training pro8ramm¢ is organis¢d around the results and Trustre5 are &ppoii)ted annually, by
vote, at the A Thnual Genei?l M¢¢ling. Th¢r¢ is one thll- time administrator who both manag¢s the day-iowday
administration of the Charity and organises fimdraising initiatives. The r¢nwinitig staff also h*8iSt with
ndraising as appropriate.
On-going funding is provided by the Royal Borough of Kettsington & Chelsea, Westminster City Council,
CNWL, DWP And Kensington & Chelsea Foundation. The Charity's projects also generate income, making a
significant contribution to n¢t in¢(Trme. Th¢ Chority also gratsfully acknowledges the work of individual
donor& volunteeTS and local bllsin¢s%s Kn supporting its acilvities. We are particularly gratefvl to Julia and
Hons Rausing for their genertsus sup]x>rt of our ecotherapy and work to combat food poverty.
Advlce and GuldAnee
Matrix accredited advice, support, Infom￿tiOn md guidance around mentsl heahh and illness are provided to
any person or organisation in need. Information sessions, signposting, leaflets and peT50nal development
sessions are PTovided al the Central Office. In addition, th¢ Charily h051s activities of external organisations al
the Ceniral Office to fuith¢r these aims. This ¢nsures that peoples. needs are acktwwledged and rnei through
th¢ provision of holistic. joined-up and easily ac¢¢85ibl¢ services.

ST. MARY ABBOTS REHABILITATION AND TRAINING PROJECTS (SMART)
(A Regl$ler¢d Chsrlty 4nd Company Llmlted by GuMT&llte¢)
REPORT OF THE TRUSTEES
Continue
FOR THE YEAR ENDF.D 31stMARCH 2
Communlty Support
SMAR'f is committed to building resilience in it8 ¢ommunity #nd supporting indepe]￿ence and
empowenment in its service users. To this end, the Organisation has ¢reAted links 2nd partnerships with
mainstream community organisaiions to foster understanding about merttal illness and widen Kc¢ss to their
activiti¢5. The Charity is open every day of the year and offers ¢v¢ning and w¢ek¢nd dropin sessions to
relieve the $o¢ial isolation exp¢rienced by those with mental health needs.
Achiev¢ments and performance
Bach year SMART reviews its five year busÉn¢ss plan witli stakeholders including service users, referral
agencies, fimders and staff to create th¢ ￿nUal operational plan. This plan sets tsrgets that fulfil the
Charitable Objects and meei the ne¢ds of s¢rvice users aiid fund¢rs. As we emerged forn) the pandemic we
met the coytwof.living crisis hend on with a range of activities bastd on supw)rtiiig people with food, Trnojjey
and advice. This year we opened an OTgaDinc vegetable bag scheme allowing people to chi)0se what price
they could pay. Similarly, our ¢af¢ became a 'pay.as-you-feel" op¢ration allowing people aecess to hot.
healthy. d¢li¢iou5 food at a pri¢¢ they could afiK)rd and with di￿]ty. Tli¢ WO￿ to build & well-bcittg centre,
based on social ¢nlerprise and a connection to nature took a st¢p forward witli the purchase of SMART Sheds
n the Souh Downs. A Substantial portion of the funding for this came fri)rn a former and very well loved
member. Jeremy Pag¢, who sadly pa$3¢d away and genrously left SMART a gift in his will, As ever our
developments ar¢ led by what m¢mbers tell us they n¢ed and to this ¢nd we resLrnted the Bi-Borough
Me¢ting for Mental H¢alth to bring s¢rvice commission¢r& providers and users tog¢iher. Many of our
activities are run by members,The TrusTres have as5¢S5ed and are of the opinion that the Charity 1$ a goittg
Concern foT at l¢a$t 12 months from the date of this report.
Financial Revi¢w
The statement of financial actl¥llies show5 a profit of £124,179 for the year. The ¢ompordble prior YUT 2024
showed a profit of £72,753. The tothl funds carried forwayd resulwl in a SUTplus of £913,312 (2024..
£789,133). Of these fuDd5 £392,112 related to RestriLted Funds at 3 1st March 2025 (2024..£316,413)
Our fimdrai5ing effort5 wer¢ sii¢ce5sful this year, with SMART aehi¢virtg lo￿￿ of its fuodraisin8 targets
through statytory fundin& grants, donalions and incom¢ fro]n its swi#l enterpri￿5.
Rlsk Management
Th¢ Tru$t¢es aclively review the rnajor risks which th¢ Charity faces on # regular basis And, combined with an
an]iual r¢vÉ¢w of the ¢ontrols over key financial systems, will provide sufficient rewurces tn the event of
adverse conditions. Th¢ Tru5te¢5 have aiso examined other operational and busin¢￿ risks fac¢d by the
Charity and confinn that ihey hav¢ established systsm5 to mitigate th¢ sigttificant risks.
Res¢rves Pollcy
SMART'S reserves policy is to ittaintAin sufficient level of reserves to ¢nabl¢ operating activiti¢s to b¢
maintaineiL taking account of potential rssks and ¢ontingencies that may ar1￿ from time to time. The Trustees
feel that the general reserves at 31yt March 2025 of £521.200 meets this level. Tbe policy 18 r¢Yicw¢d
annually by the Tnjstees.
Its addilioii, amounts ar¢ set aside to meet financi￿ risks associated with potential contingencies and
un¢ertairrti¢s ttlating to th¢ Charity's opernting activiti¢$.

ST. MARY ABBOTS REHABJLrrATION AND TRAINING PROJECTS (SMART)
(A Regl$tered Chgrily and Company Llmlted by Guar8lltee)
PORT OF THE TRU
R THE YEAR EIYDE
TEES
onti
tMA
2023
The Future
SMART works to a five-year busines5 plan and reviews its operational p14n a1￿U#llY. We proactively seek
fe¢dback from our stakeholders and monitor outcomes to ensure yervice5 meet th¢ need5 of our community
and fulfill our charitable objectives. The transfomation of mental health service$ has s¢en us take (Trn a
number of new contracts to work in partnetship with the NHS and voluntary sector. We have also develO￿d
service5 lo meet the challenge of the c05t-of-liviTtg crisi5 alld rise in mental illness following the yandeD)ic.
SMART 15 working intensively with Health and Social Care pajtrers to inftuence and support the n¢w
straie¥ic dir¢¢tions of Wdrties. We are playing Èn &ctiv¢ role in the Place.based Parnership and ensuring
the lived experience and needs of our memb¢rs is he8rd and responded to.
ThTough good ph)nning, SMART i5 Weathering the lough economic conditions w¢ll and IMS a good tBnge of
diversified funding SO￿reeS to support it8 activities.
Directors and Tvustees
M¢miws of the management committee, who are Dir¢¢tors for the purpose of Company Law ond Trustee$ for
the purpose of Charity Law who served during the year and up to the dat¢ gf this report, are sel out on page
on¢.
Members of the charitable compyny guarantee to contribute an amount not exc¢¢ding £1 to the assets of the
charitsble company in the event of winding up. The total number of such 8u&rdnt¢e5 at 31 Mayeh, 2025 was
StAtement ofDlreetOT5' Re%pottslbllltl¢s
Company law requires the Directors to prepare the Direetors, Report aTtd finwcial siatements tn a¢¢ordanc¢
with applicable law and regulations and in acwrdance with United Kingdom Generally Accepted Accounting
Ptactice for each financial year, which give a thJe and faiT view of the state of affairs of the Cumpany and of
the net loss of the CompJi)y for that period. In PT¢paring thos¢ fin4n¢ial statements, Ihe Directors ar¢
Tequired to..
Select suitable a¢tounting policies and apply them consistently-
Make judgements and accounting estimate$ that are reasonable and prudent;
Stat¢ whether applicable atcouniing standards have been followed, subject to any material
d¢parture disclosed and expla2ned in the Finantial StAt¢ments
Prepare the financial staiemenrs on the going ￿nCern basis urtless it is inappropriate to
assume that the Charity will continu¢ in operation.
The Directors are responsible for keeping proper &c¢ounting records which dis¢los¢ with r¢osonable accurA¢y
at any time the fin8nei41 position of thc Company and to enable them to et)sure that the Financial Statement8
comply with th¢ Coiknponics Act 2006. They are also responsible for saftguarding th¢ as3¢ts orth¢ Company
and hence for t#kihg reasonable steps for the prevention and detection of fraud and other irregularities.
ststement as to Di$el¢Ysure of Information to Audi¢or$
So far as the Directors are aware, there is no relevant audit ittforn)ation (as defined by Section 418 of th¢
Companies Aet 2006) of which the Coinpanls auditors are unawar¢, aDd ead) Director has tsken all lh¢ steps
that he or sh¢ oughi to have taken as Director in ol'der io m&ke himself or herself aware of any relevant audit
ittfom4tioll and to esiablish that the Company's auditor% ore aware of that infom)ation.

ST. MARY ABBOTS REHABILITATXON AND TRAINING PROJECTS (SMART)
(A R¢gistered Charity gnd Company Llmlted by Guarantee)
REPORT OF THE TRUSTEES
Con
in
FOR THE YEAR EIYDED 31st MA
AllditOTS
Jeffrey Altman & Company, Chartered A￿oUntantS, were reappointed as the Charitable Company's
auditor during the year and have expressed their willingness to ¢onlinue in that capacily.
This report has been prepared in a¢c£brdance with the special provisions of Part 15 of lh¢ Compani¢$
Ack 2006 relatlng to small companies.
Approved on behalf of tb¢ Board by".
Mr Gijsbertus.J. LAJon
Dlrector And Chatr of Trustees
16th December, 2025

ST. M4RY AJI]IOTS RLJIAMILITATJON A4YD TtL41NJNG PROJECTSlSNt4RD
c.o
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¢xrrtWto Innii¢n¢e IhcccDnDmiC d¢ciiions ofusers i?keDohibebA5isofthes¢ firtQlWiil stat&ments.
lTr¢gylpriiie5, including fi&ud.4rtlnitan¢¢sofwn-wn￿v1nc<￿ry1h ljwsand reButstiOlJS. Wrdtsi¥n P￿￿dUr￿ inline r<spDnwbilili¢4owlitrdabove.tod¢wt wffj¢nal
misttrtteinents In reswtDfjrtry￿￿rl%lc4 IJT¢ludinB fY4ud. Th¢extsllT lf1lvhicho￿p[i￿thirts￿rC cApzbleofilew¢inBir¢e8ulantie5. inG]L4lins frnud ￿tha1￿￿belOW.
Cwgppto&thio id¢ntifyUiBand&s￿lTrSthe risk￿0fjttP¢VnolM1sstyl2rnenlID r¢spxiofirr¢Èul&tiiix iTKlwli1wfr&￿H￿dllOn¢OMPIIIn¢ewlth androg￿￿￿On%W￿59$foIlOW
Th¢en￿¥£MentFthC￿su[￿iha¢t￿eW￿￿Cntte￿￿c￿l1¢GiIv￿Iy hLg tkHswopriite cojnpe*n￿. C4pAbilit￿8￿J¥killslo i¢kn1ifyorr¢Gwi5￿ln0nWmPII#n￿ with Awlirpl
ind reBu1jiK￿s.'
lh¢ I*wsÈ￿I wl•i0nsAy￿l¢ttb1¢tts IheChts[irythrOu8hthtcu￿1Olts￿thTtW¢SgVdQth¢r IMhNAg¢m¢nt.andfrOrn Our knowledg¢ ond ¢xpcri¢n¢¢ ofth¢ChÈrityS￿Ior
WefocuBedonspcifw ive cOns￿er¢dI￿y1￿e othr¢¢i mwiiol ¢lf¢e4•n thc fiNncial 51atcmcntsorowiati0n50fthECh￿ty.
We IS￿&5¢￿1￿¢¢xttmE ofe0M￿l￿￿￿I1htht I&v￿¥￿￿Te8￿1￿1}ti￿S idmgifid lkn¢i￿gh nJakingewyiri¢yofm8Ng¢m¢ntolld inwting l¢gal thUM¢nL%i￿
lthnfitdlHwsandregukni(mgw¢rt¢ommuni¢Èlcd ￿thin1hr4￿1ilo￿Th te￿￿ErlY vrtlth¢ t¢miittd 21th toinstan¢tsofno￿cOM1qLg￿tC *trou8knutilK aivjil.

ST. MARY ABBOTS RVHABII.ITATION AND TRAININC. PRI)JEcfsisMART)
EDB
INDEPENDENf AUDrroR5' REPORTTO nlE MEMBERS OF
W¢ ￿5¢55ed1￿$U￿Ibi1￿tyofih¢¢h￿￿ty9f￿￿r￿l￿I stywKentBt&illAtetiil rDiS5tstefWt incI￿1￿80bt￿th1hg0Th￿JQ[5thndlr￿Ot￿*)W fi4￿1￿1$ht￿￿￿￿,by,.
&kinBewuiiie$ofmgnaYrtenthsiov4h¢reiF¢ywt￿dthred￿¢1e SU5W¢ibility to trAI￿.the1rkno￿I¢4g¢Qf&¢1￿1.SuspeC￿aThdal1￿￿frn￿.. Ènd
Cvnsidrtins Ike internal comrots Inp1￿ wwi118ate risk$offrnud andnoncomrlip￿cOWth lawSalld￿gyaQ￿Drn%
Toadtlrc551htt n3L UftTrRudthruu￿ml￿4w￿￿ItyIySand¥v¢M(￿ ofvjnttols. WY..
perfonncdaNIyncBI pNKedur¢s Its ￿entify%￿y11￿us￿ oruyxr#Wrelali￿￿hlp'.
xedjots¢ntsl to idtntifyThuAI T[tsn￿lI0Th£..
asSekedththetj￿￿¢the￿￿a￿d ASYJinPIi0ttSweromiét indetenni#ih8tht￿toWi￿S¢¥lm11£1W￿¢i￿ji￿I1ve ofpDIC4KiiI bi4g'. Lttd
inwil8￿1¢d1hvNt1oj￿1cbrhind 518Difiunior Irattso¢iii)115
gotherilLof5TtC8ulgriiKs 1Th1T￿C￿npll￿rn* With I￿￿4￿d reAu1atItshS,￿ed19￿4 piorfyjutw inBluts4bui*ore nDI liMi￿d ￿..
D8re¢iThg finW￿l)I stthmcnl di5c105ur¢s w yiid¢Ylyin&srWrtiiigJ￿￿ln￿ItatiOIi.'
t¢adwthc minutr8ofmLYtiw Dfiknsc th&igcdwitkBov¢rnarK¢
Uirin8ofrnÈni8eJsKnl4sioA¢tu&l ￿ld$￿￿t￿l Iili8aiioThènd ¢l&iTh5.' pnd
ryewn8eotwndorwwih HMRC, iQ8ulalotg inBludingrtK Hcilih ￿SIretyExeC￿tI￿,Athathtra￿riiy.$ Iwl AdvtsOT£.
The￿Ire inb¢T¢M limi￿111￿5)n •4f audit proc¢durud¢s¢riFKd th)ve. The m0reremow￿ iknt la￿53nd r¢BW4tlODsattfN¥n finANal ¢rnnsactlons. itte ie551ikely it Is thai we Mvuld
bt¢om¢awaic DfnQll￿￿rnpl1￿nCt Audliiiwsiind#td5 11s0limiithE aiidi1pr￿&U￿reqMIfe￿ w Idemify non4ornpqiilncewih 1sw5a￿￿wi1aEi0￿&tll eyiryotth¢ Truste￿9￿1￿￿1er
Msieri81 misSt4tEmenls ITrwarised￿10 rtAudeatsbeh&rdEriodEtKt 1hkn1￿th￿an$efr0￿Lyr￿T&sthtY￿Èy1Th¥￿ddibtr1*￿￿¢e￿￿*ht￿r¢•1)Vth￿.
A furtherde5oliwiDnofovrr¢5kMln5ibilitl¢sf0Tth¢a￿thIOfthefinAmQIlL *￿e]ll¢￿￿ is k￿￿E&Jo￿thtFI￿tsW￿ RepMtlnECo￿W1I'j￿￿bWt¢at. 1￿￿v.f￿.Org.vk18UdItQrSr¢8PMi￿7iiie5J
Thisjwnption foll￿F￿Ofouraud1￿.sttptsrt.
UwofourTWrt
This re￿rt￿lI￿Ad￿solcIY wtheChiTily'sMKMb¢t% As&W.in acurdéncewiih Chapi#3ofP#rt l6ofih¢Lom￿Th1cS￿¢lIo(￿ IknAuditwork" basi￿ und¢rt•k¢ii
mi8hi 5tat¢ioihEChAnty's mefflbets it￿¢ Maliei>we4Rr4uiredwslltetO lhem￿snayd1￿r'SrePOrt￿ Toth6lWlesttxtent Pmittèd bylpw,* do]hDt
acce￿ oruwyreswibilmy togllyoneothwihontheChArity'6 membors¥sèiW, forourauthf M￿rk. forthi$
fort
ownion&wehav¢ fLNmed
ik8¢1e Altin&i F.C.
Stnlor Sl*thtory AM&ltor
for and on b¢hAlfofJeffr¢y Altman & Compwy
16th DEcMnb2r, 2025

ST MARY ABBOTS REHABILITATION AND TRAINING PROJECTS (SMART
PANY LIMITED BY GUARANTEE
STATEMENT OF FINANCIALACTXVITIES (INCLUDING
INCOME AND EXPENDITURE. ACCOLNT) foR T14E
ND
024
Unrestricted Restricted
Funds
Funds
Unrestricte41 Restrict
Tots]
J)0natii￿S. l¢its¢iea nnd Birni1&r￿s0￿rc
Charitabl¢ A¢iiviries
16,448
27,558
1,619,702
1,636,150
27,558
93,791 1,173.707 1,267,498
18,265
18,265
Bank Inkre5t Receivable
Reiital Incoinc
Toial InLomin8 R¢sourrc$
9,846
12,160
66,012
9,846
12,160
1685,714
11,473
1.473
3,625
3,625
127,114 1,173,707 1.300,86]
1.619,702
SOURCES E
17.532
1.544.(K>3
561.535
3Q.678 1.197.43LI 1228,108
NKT IOIJTGOINCIIINCOMINC
RES
URCE
BEF
TRAN
FE
Trwisfers beiwe¢n f￿0￿5
'raxdion
48,480
75.699
124,179
96,476
123,T23)
72,753
ENT
Pund b#l&nccs at 1st April. 2024
rund balarttts at 3151 MOT¢h, 2025
48.480
472,720
521,200
75.699
316,413
392.112
124.179
789,133
9&476
376,244
123.723)
340,136
316,413
72.753
913,312
472,720
789 133
ONT
NUING OPERATIONS
Nonc of thc Charity's &Ctiviti￿ wcrc &cquinxl or discentinucd during thc &bove two finmoial ycBr5.
Th¢ stAtemeJti offinancial acti¥itie8 includ¢s all 8alnS and losses reco￿l2ed itt ihe y¢ar.

787
ST. MARY AIIBOTS REHABILITATION AND TRAINING PROJECIS {SMART)
A COMPANY LIMITED BY GUARANTEE
BALANCE SHEET AS AT
MARC.H 2025
2025
24
ASSETS
Tangible Assets
10
1,028,450
3,117
NT ASSETS
Stocks
D¢bttTrrs
Cash 4t Bank and in Hand
1,500
405,705
489,096
896,301
632,351
410,787
1043 138
CURREf4T LIA
ES
Creditors- amounts falling due within one year
12
110285
TrIET
SSE
373.094
786,016
TOTAL ASSETS
ES
CURREN
LIABILITIES
1.401,544
789,133
LE
BILITI
CredilOTS. aniount5 falling due atier more ¢han one
488.232
£ 913,312
£ 789 133
UDr
tric
General fundg
Re5trlct
14
14
521200
392.112
569,196
292,690
unds
% 913,312
£ 861.886
These a¢¢ounts are prepar¢d in ac¢ordan¢¢ with the provi5É0ns appli¢abl¢ to Companies subject to th¢ smo11
companies regitn¢ of Companies Act 2006.
Approv¢d by
he Trustees on 16th December, 2025 and signed on their behalf by..
Mr Gijs
s.J. van L(M)
Dire£tOi' and Trustee
The notes on pages 9 to 12 fomi part of these accounts.

ST. MARY ABBOTS RFHABILITATION AND TRAINING PROJECTS (SMART)
A CONIPANY L
MITED BY CL'ARAN
CASH FLOW STATEMEFfF
vi'ri
N¢1 ¢xpelldilur¢
D¢pr¢ciaiioTh
Intere¥t R&rived
D¢¢r¢8s¢1lIn￿0Se1 u) (i.btors
De¢reasellIiicr¢asel IL stock
IDe¢rease)ITn¢rea8e in t￿11101$ IExeluding104lls 4Trd
rinarttt 1¢45¢51
Net c*$h from optrAti*g aetlyities
124.179
1,149
(9,8461
1226,6461
1,500
71753
1,038
1209,6001
553.875
444.211
470.976
619 438
INV
T]VII'IES
In*Tesi TeL*iwed
PayJn¢nts to 8¢quir¢ taiigibk fjxed assets
9.846
500.0(X)
11,473
490,154
H INFLOW
Li)&n r¢paym¢tt18
AN
£78,309}
{£607,965
Cash as at 141 Aprll, 2024
Casli as at 314t M&t¢h. 2025
489.096
£410.787
1097,061
£489,096
10

ST. MARY ABBOTS REHABILITATION AND TRAINING PROJECTS (SMART)
COMP
Y LIMITED B
NTEE
NOTES TO THE ACCOUNTS FOR THE
ED
MAR
ACCOUliTING POLICIE
Th¢ ac¢ounting poli¢i¢s set out below hiv¢ been applied oonsistently by the Charity in the preparation
of its Accounts.
la) Basi
fAe
The Accoullts have been pr¢pared in accordance with The Financial Reporting Stsndard 102 applicable
ill the UK and Republ￿¢ of Ireland, the Charities SORP IFRS 102) and under the Historical Cost
Convention and in accordance with the accruals ¢OD¢¢P( of accountin& whereby both incorne and
expenditure are recogni5ed as they are eamed and sn¢urr¢d.
(b) Fixed A
Tangible Fix¢d Assets ore stated at either pur¢iwe pr5¢¢, open market Yaiue or capitalized at the value
at which the gift wa5 included in income, less a ¢harge fot depr¢ciation cBlculat¢d at th¢ followng rates
on the redu¢ing balance basi4 so as to write them off over their estimated useful lives.
P18nt and Equipment
2￿/0 per annum
Fixtutes and Fittings
25¢/0 per annum
{¢) Charitable lrtcome
Voluntary income is received by way of donations and 8ifts and is included in full in the Statement of
Financial Activities when receivable. The y￿U¢ of services provided by volunteers has not bee
ineluded. Credit is taken in the A¢counts for donations. lega¢ies when the conditions for recetm are
met and there is a reasotwble assuixn¢e of receipt. Donations and grants for a particular purpose are
As a registered Charity, th¢ company is not liable to taxation on it5 incom¢.
(¢) Funds Acco
ntin
Funds held by the Charity are either:
Unres¢rictedgeAeralfunth - thes¢ ar¢ funds which can be used in accordance with the
charitable objects at the dis¢r¢tion of the Trustees.
. Desigmaiedfymds - these are funds set aside by the Tn￿teeS out of unrestricted general funds for
$pecific future purposes or projects.
Restrict¢d fuiid$- these are funds that Can only be used for particular restricted purwses wtthin th¢
objects of the Charity. R¢strirtious arise when SPEcified by ihe donor or when funds ar¢ ratsed for
particular restricted purposes.
(fj Resources Ex
Resources expended are included in the Statement of Finaft¢i41 A¢tiviti¢s on an a¢okvais basis,
inclusive of any VAT which cannot be recovered.
Certain expenditure is directly attributable to specific activities and has been included in those cost
categories. Certain oth¢r ¢osts, which are attributable to inor¢ than on¢ activity. are app)rtioned acr095
cost categories on the basis of an estimation of the proportiot) of time ypent on those activities.
Governrnent Costs include those incurred in the governance of the Charity and its assets and are
primarily aygociated with ¢onstitutional and stfttutory reqiiirpjnents.
ended
s re
eived
All ainounts wceived or Te¢eivable by w8y of grant have been olTset against the related expendiiure
within the Statement of Financial Activitites for revenue items.

ST. MARY ABIIOTS REHABITATION AND TRAINING PROJECTS ISMARD
BY
NOTES TO THF. ACCOUNTS foR THL
S OF THE CHAR
The Clillrily 15 8 Conipaiiy liniit¢d by gu8ranlee and has noshBre tapitsl. Th¢ Il*billty of each membBr the e¥￿t
of wknding up is limited to £1. Charity Incory(¥ated in the U.K.
Th¢ Chariiy wLstitutL's ft publi¢ benefit 0$ d¢fin¢d by FRS 102. Thc rcgÉstwod addr¢5s is diat of.. Th¢ Bascmcnt, 15
Gertnth Sire¢t, lThibn, SWIO OJN
4. GOING CON
The fill&n£ial %tthnents htsv¢ be¢n prepared on ftgoingeoncem basi6. The ￿$treS ¢onsid¢rthai the Charity hold5
suffi¢i¢Tri lo deem tli¢ 80in8 cwiceni basis £ppropria* for al leasL 12 ET￿ntIL% from the date of this itport.
Ml
2024
Re5trid¢
Unr¢5tyictrd R¢8tri¢ted
Funds
UJtrestri¢tcd
un
Royal Borouth of Kensin￿On and Ch¢lsea
- Grants
)¢om¢ fml various projebY$ ajyj club
aCliVLIiCS
OtheTGitntSRe￿iv¢d
Le8a¢y lttcome
SMART Bottd
Big tA)cal
Gett￿1 Donations
Rejitfjl Iikn)siie
Bttnk llltercsi Received
308,000
308,0(K)
273,(X)O
273.0(X)
,392
23.392
1,311.702
14,500
18,265
1g,265
900.707
90.000
900,707
l4,5(K)
90,(X)O
4,166
1,948
12,160
4,166
1.94
12,160
3,791
3,625
3,791
3.625
11.473
1,3QO,861
66,012 £ 1,619,7Q2 £ 1,685,714
127,154 £ 1.173.707 £
ISOF TOTAL
UR
2024
Supp)rt
LlJw?labl¢
Supporr
Chwitsbl¢
oral
1,229,066
5.505
204,762
1,229,066
5,505
204.762
2,223
14J
11,930
8.817
8,715
153
43.470
975,943
8,727
121,070
5,574
14,328
10,286
975,943
8,727
121,070
5,574
14.328
10,286
22,378
8 JOO
Garden: cMfé 8Jxl packaging
Vgrious proj￿18 and clubs
Trainin8and CQT5ference
Prem&ses
Cthnmunicalions
I￿g￿l pnifession&l
Audit fees
Motor aTHI tsJvel
Qffi¢¢ txp¢n8tg and gen¥al repaiTS
l>rinting, postage aiid 5ts1ionery
Depreciation
Ilad t)ebis
Adminiskntion Bnd s¢r%y¢gs
Fiiittnce costs
14,24Y)
11.930
8,817
8,715
22,378
8,300
153
43.47
47,162
4,512
1,038
38
1,441
47,162
4,512
1.038
380
1,441
1.149
1,149
891
30,468
£1,544 003
891
£17 532 £1,561,535
£1 197 4.10
£30,678
£1,228,108
Jtt additithi to tt* ¢xp¢nye$ #bov¢, is an esiimaied ¢ost of £Nil relating ￿ volunt¢¢r wfft*ers ivho help SMART eoch every
dayofthe year.
12

ST. MARY ABBOTS REHABILITATION AND TRAINING PROJLCTS{SMARTI
A C.OPwlP
TE
RY GIIA114NT
NOTE.S TO TiJf ACCOUNTS FOR TII£
I MARC 2025
Salgrie5 ￿)d Wa8¢S
P￿slon
Social Swurity Costs
1.108,319
18.963
882,589
17,253
£1229 (K
£975 943
One employee recei￿ 10181 emolum4nts in excegs of £60.0(K)12(U4.. £Ntll
Thc lothl eniulwn¢llts forkey ]nJnageDi¢nl pthwjmiel (utall¢O £69,32112024.. £J8,753}
The 1Th51eBS were not pRid OT r¢imburstd forexpEnses durin8 th¢ye8r12024.. £Nil)
SMART slatY￿Sts r¢prasenl 8(M￿l Val￿ formorKy lls sraff tiin¢ is sp¢M almost
entirely d¢liv¢riDgth¢ CharitY5 ainu and objectives.
ThB Bv£rage number of full.time ¢quivaleMt employe4 including ca8ual and part-tlm¢stsff,
di￿1￿8 the year was'.-
20
Mwia8¢menl and athninistration
TraiNiig projcct work¢rs
Cxfé and ¢ai¢ring
Gardwit￿8 and lloristry
46
32
52
2025
98
102
Tliis is siai¢d 4ftei ctaliling..
Auditots, Re￿￿￿eratIon
Depwi8lii)n of'l'gngibl* bixedA8sets-
8.715
8JOO
Tanwble
Plant
Fi￿UTeS
Buildi
Fitti
VA
Tl
Bal￿1¢¥ a5 ai l April, 2024
Additions in th¢ year
Balgnet 95 ￿ 31 hlarcJK 2023
DEPR
Halaiicf Ds 41 l April, 2024
Charge t￿'tkn. year
B&lwic¢ gs al 31 ma￿ 2025
59.982
1.482
61.464
46,549
106,531
1.026.482
I,025,￿0
I,025,￿0
46,549
58.162
825
38,987
45.2J2
324
45.576
103.414
1.149
104.563
As at 31 Mil*&, 2024
As at 31 Morth. 2025
£1.820
£2.477
£1,297
£3.117
£973 £1,028,450
£1,025,000

S'I. MARY ABBOI'S RIJIABII.ITATION.4ND TIUJNING PROJEC.I'S IShlART
Y LI,MITED BY
NI)TFS'fo THF. ACCOUN'fS FOR'fiiE
YEARENDED
2025
I'rrtdt debi(*¥
oll￿debtorS
r¢paynients and*cen￿l
4(>2,922
51)0
2,7¥3
£405 705
£632 351
Loaii
Trnd¢ ¢redilorts
laxalion ￿K$a1 security ¢(k%ls
Ac¢ruals Def¢rr¢d ifttott
Olher creditixs
5.184
2.237
13,g46
20.082
72,467
3.89fJ
LI10,28J
635.196
£670.044
RbDII
13. %rc*tef th*Th y*Ar
tlank I￿n
£488 232
'rhe Bat￿ LOUR i$ %¢cur¢d by legal dMrgegoYer Ihe Con4)any's Frediold Prop¢rty whilli ws pur¢liased during lh¢
ye#i'. I'htt addr£s <)fib¢ priip¢rty J Ilii. Sliedli, Dvwils Dyke Roiid. Bri8hioTri, IIN'I 8YJ. Tb¢ FJoDk I.oaiis are
JEpa)able by instolinwts aNJ the omouni ot Ihose insiulnicllts ivliich Are payabl¢ atlcr fiY¢ y¢ais i% £468295
14
u￿reStricted
R¢8trict
G￿raT
Fuiid
Projeot
Al l April 2024
In¢oix¢ in dit y￿r
472,720
06,012
5J8.732
17,532
521.20
316.413
1619,702
789,133
1685,714
2,474,847
,561535
915.312
l?xperxtiiure in th¢ year
1.544 (K>3
392,112
'I'raityters
Al 31 Marcli 2023
£521.21
£392.I 12
£913,312
111¢ projtct ftinLI fulfi15 grdnt r¢¢¢ivd lo provide ￿ryi(¢S to Ilie Burou8h as dL%•iled iii tlie
greed Ineaiis of delivery siat¢meiii.
General
li¢strict¢d
Tothl
Twigible fixed ass#is
Cumt as¥ets
Current liahilltieg
1,028,450
632,351
1670.044
,028,450
1,043,138
67n.044
£1401.544
410,787
£405 705
16
I.IABILITI
were n(> ioniinguit liabiliiies os at 31 Murcli 202512024. £Nill.
17
ATED P RYIES
Tkre rcltstcd party %rDn%acliorns diiriiis Ib¢ y¢ari(s 11 March 21)2512024. £Nill.
14