ARUN COUNSELLING CENTRE ACC 202112022 Annual Report DOVE LODGE 49 Beach Road. Littlehampton, West Sussex, BN17 5JG Registered Charity No. 293053
ARUN COUNSELLING CENTRE
Trustees of the Charity
Andrew Stuart Kelly – Chair of Trustees Appointed 08 July 2021
Mark Harvey – Trustee Appointed 14 march 2022 Carole Beaty – Trustee Appointed 4[th] March 2022 Mary Miles – Trustee Appointed 1 December 2021 Robert Rhodes-Kubiak – Trustee Appointed 8[th] July 2021 Caroline Ruijterman – Trustee Appointed 14[th] March 2012
Key Personnel
Robert Abbot – Clinical Director Appointed 1[st] August 2020 Julie Slumbers – Director Appointed 1[st] November 2021 Penelope Pedzinski – Treasurer Appointed January 2022
ARUN COUNSELLING CENTRE
Chair of Trustee’s Annual Report
This year has been another challenging one for ACC, with Covid restrictions gradually lifting, allowing the service to return to normality. It has also been a very challenging year for our clients who have had to cope with periods of lockdown and isolation, increased financial pressures with inflation rising, and the gradual return to a life where covid restrictions have ended, but with it still very much with us.
During the year we have seen the appointment of a new Director, a new Treasurer and many changes in our counsellors and supervisors. We have also experienced turnover within our Trustees, with some long serving Trustees moving on and new ones joining. I, myself joined ACC as a Trustee in the summer and replaced Anna Barnard as Chair in November. My thanks go to her particularly, for her amazing contribution to ACC over many years in various roles.
Despite these various challenges we have kept the show on the road, with many clients being seen both face to face and virtually using technology and by maintaining a steady stream of income through client donations whilst effectively managing our costs.
This has all been achieved due to the fantastic contributions of our volunteers across the board in all roles, both past and present, and on behalf of the Board of Trustees I express my thanks to all concerned.
This small charity has to date depended on people gifting their time and expertise to help others in need, and whilst we will continue to be grateful for whatever support people can provide, over the coming years we need to focus on our systems, procedures and processes, to enable ACC to continue to help those in the local community who need our support, by doing this on a firmer footing.
Andrew Kelly – Chair of Trustees 28/06/2022
ARUN COUNSELLING CENTRE
Treasurers Report
Income was in excess of £36,000 for the year despite the Covid epidemic and considerable organisational change.
In October 2021 Arun Counselling Centre (ACC) required a new computer system as the previous system saw it’s end of life. This also pathed the way for a new software and telephony system and increased professional costs. This coupled with a number of Trustee’s resigning, old volunteers leaving and many new starters, the financial year of 2021/2022 has been costly both financially and personally.
However, a small surplus of £879 was the final result. Liquidity has been healthy despite the epidemic and organisational change this year. We expect the financial year of 2022/2023 to also be a year of change however, we hope costs won’t be so high where we organise our operation. ACC’s reserves policy is in place and is constantly reviewed.
Penelope Pedzinski - Treasurer
19/06/2022
ARUN COUNSELLING CENTRE
Arun Counselling Centre
Accounts
For the Year Ended 31[st] May 2022
Contents
Accountants report……………………………………………………………….2 Profit and Loss account………………………………………………………….3 Balance Sheet…………………………………………………………………….4 Notes to the accounts……………………………………………………….......5
ARUN COUNSELLING CENTRE
Arun Counselling Centre
Accountants Report
Report of the accountant to Arun Counselling Centre on the preparation of the unaudited Financial Information of Arun Counselling Centre
I have examined the income and expenditure accounts and Balance sheet of Arun Counselling Centre as at 31[st] May 2022 and have verified balances at the bank and in my opinion the accounts are in accordance with the books and give a true Statement of affairs.
Simon Mansfield MAAT
18th June 2022
ARUN COUNSELLING CENTRE
Arun Counselling Centre
Profit and Loss
For the Year Ended 31[st] May 2022
| 2022 | 2021 | |||
|---|---|---|---|---|
| £ | £ | |||
| Turnover | ||||
| Income | ||||
| Client donations | 31,200 | 23,987 | ||
| COVID response | 0 | 13,980 | ||
| Gift Aid payments | 1,080 | 1,327 | ||
| Student fees | 3,475 | 3,300 | ||
| Donation – Waitrose | 333 | |||
| Books | 33 | |||
| Less overpayment Cost of sales |
36,121 | 42,594 | ||
| Opening Stock | 0 | 0 | ||
| Closing Stock | 0 | 0 | 0 | 0 |
| Gross Profit | 36,121 | 42,594 | ||
| Expenses | ||||
| 58000 – Other | 18 | 150 | ||
| 60000 – Advertising | 84 | 0 | ||
| 64500 - Dues and Subscriptions | 1,717 | 319 | ||
| 65000 – Officer fees | 18,503 | 15,912 | ||
| 67000 – Insurance | 213 | 213 | ||
| 68500 - Legal and Professional | 2,937 | 150 | ||
| 69000 – Licenses | 40 | 0 | ||
| 71000 – Office (eg: stationary) | 381 | 466 | ||
| 73500 – Postage | 34 | 0 | ||
| 74000 – Rent | 9,929 | 10,917 | ||
| 76500 – Travel | 685 | 0 | ||
| 77000 – Utilities | 422 | 806 | ||
| Depreciation | 280 | 0 | ||
| PayPal fees | 1 | 0 | ||
| (35,244) | (28,783) | |||
| Interest | 2 | 7 | ||
| Net Profit | 879 | 13,818 |
ARUN COUNSELLING CENTRE
Arun Counselling Centre
Balance Sheet
For the Year Ended 31[st] May 2022
----- Start of picture text -----
2022 2021
£ £
Fixed assets
Tangible assets 0 0
Current assets
Stocks 0
Cash at bank (current) 36,043 35,713
Cash at bank (deposit) 9,600 9,600
Petty cash 0 26
Paypal 15 0
Fixed assets 560 0
46,218 45,339
Total assets less current liabilities 0 0
Net Liabilities 46,218 45,339
Financed by
Capital as at 1 [st] May
Stocks 0
Cash at bank (current) 35,713 21,898
Cash at bank (deposit) 9,600 9,600
Petty cash 26 23
Paypal 0 0
Fixed assets 0 0
Excess income over expenditure 879 13,818
46,218 45,339
----- End of picture text -----
46,218 45,339
ARUN COUNSELLING CENTRE
Arun Counselling Centre
Notes to the accounts
For the Year Ended 31[st] May 2022
Accounting policies
Basis of preparation - The accounts have been prepared under the historical cost convention.
Income - Income represents donations provided to the charity.
Depreciation - Depreciation is provided on tangible fixed assets so as to write off the cost or valuation, less any estimated residual value, over their expected useful economic life as follows:
Computer 33.3% straight line basis Office Equipment 33.3% straight line basis
Stock - n/a
Tangible fixed assets - n/a
ARUN COUNSELLING CENTRE
Receipts over expenditure comparison (previous years)
| Receipts | 2016/17 | 2017/18 | 2018/19 | 2019/20 | 2020/21 | 2021/22 | |
|---|---|---|---|---|---|---|---|
| Clients’ donations | £28,268 | £31,354 | £26,811 | £28,048 | £23,987 | £31,200 | |
| Other donations | £386 | £66 | £241 | £18 | £366 | ||
| Interest | £5 | £7 | £2 | ||||
| Student Fees | £1,435 | £2,185 | £1,474 | £1,340 | £3,300 | £3,475 | |
| Workshops | £510 | £495 | |||||
| Gift aidpayments | £1,514 | £2,036 | £3,349 | £2,899 | £1,327 | £1,080 | |
| COVID response | £13,980 | ||||||
| Total | £32,118 | £36,136 | £31,875 | £32,305 | £42,601 | £36,123 | |
| Expenses | 2016/17 | 2017/18 | 2018/19 | 2019/20 | 2020/21 | 2021/22 | |
| Counsellor expenses | £2,002 | £3,112 | £4,118 | £3,369 | £685 | ||
| Accommodation | £9,332 | £11,217 | £11,310 | £15,364 | £10,917 | £9,929 | |
| Sundries | £2,193 | £2,213 | £1,631 | £1,617 | £599 | ||
| Officer fees | £11,792 | £13,133 | £13,204 | £11,176 | £15,912 | £18,503 | |
| Phone | £865 | £1,384 | £1,385 | £1,365 | £806 | ||
| Insurance | £200 | £204 | £179 | £202 | £213 | £213 | |
| Stationary | £399 | £432 | £76 | £74 | £466 | £381 | |
| Accountancyfee | £120 | £150 | £150 | £150 | £150 | ||
| BACP Annual fee | £309 | £322 | £314 | £589 | £319 | £1,717 | |
| Workshops | |||||||
| Depreciation | £280 | ||||||
| Assessment fee | £1,273 | 2,092 | |||||
| Training | |||||||
| Other(IT fees) | £2,937 | ||||||
| Beach Party | £604 | £120 | |||||
| Accreditation expenses | |||||||
| Total | £27,816 | £32,287 | £33,640 | £35,998 | £28,783 | £35,244 | |
| Income over expenditure | £4,302 | £3,849 | -£1,765 | -£3,693 | £13,818 | £879 | |