AÉalSTEAeD CHA￿ NIIMBEII.. SI7190
A•portolth• Tvurt••l￿d
Ufvwdlt•dRnan¢lalSt•t•m•nts
forih• Y•vthd•d JIA M￿h 2024
H(MEFRCW HOSPITAL CAAEAFIERIREA7MUlf
ReconclleAccount•ntsLlmlted
59 Nltholas Road,
Sutton Coldfteld.
ETr8land,
874 3(¥1

EFAOM M05PITAICAREArnINEATraENr
Cont•ntsof th• FIMn¢ld St•i•iii*iil•
ft4rthe ye•r •nded 31st Mw¢h 2024
R•port olth• Trurte•s
Ito3
Ind•p•nd•nt Examln•rfsR•p•rt
St•t•m•rt olFln4ncld A￿l￿tI•l
8•lm¢• Sheel
Cth AowSt•¢•m•fit
Not*Stoth• Cath FlowSl•l•ffl•nt
t4otestoth• Slat•m•nts
9t015
Detdled&thment olFln•Klal Acll%411•1
161017

H(AMEFRCM trtOSPlTAI CARE AmThEAIMEP
Report olthe Trurtees
forthe yew ended 31st M¥th 1024
Thetru5tttspre5ent thelr report wlth thefinanclal siatemenls olthe¢harlIyfortheyear￿ded 31st March 2024. The
tru5teeshaveadopted theprov1￿On$of kcountlnRand Reportln8 by Charltles.. Statement of Recomm￿ded Pf•Ctlce
appll¢ableto ¢harltlesprep•rln8 thdr aecountsln accordancewlth theFlnanclal Reportln8Standard appllcable In the
UK •nd Republlc of Ireland IFRS 1021 l¢ffectlve l J•nu•ry 20191.
srRUCIVR¢ GOVERNANCEAND MANAGEMENT
Go¥ernl￿d0¢￿mettt
Thecharlty is conirolled by11S8o¥ernlngdocument. a deed oftru5t and con5tltutes an unlncorpor*ed charllv.
REFERENCEAND ADMINISTK411VE DETAILS
Re￿￿OI*d Charttynumb•r
517190
Prlntlwl •ddrns*
Rokeslry House
Brlstol Road
SElly Oak
Birminsham
West Mldland5
B296QF
Trusleei
L Pearson Trurte*
S PeorsonTrustee
ftsmlth Cha1r
A 8ettison Trustee
M InnlssTrurteE
Ind*p•Nl•nt ty￿￿n•1
Re(oncllekcountantsUmlteJ
59 Nlcholas Road.
Sutton Coldfidd.
£n￿and.
874 3QR

HOMEFIICWI MCSPITAL CARE AFfEA TrE4TMElff
Aeport olthe Trustees
forthe ye¥•nded 315t M*rth 2024
Trurtets& M•n4•mert
Throughout thefinanclal year. theTrustee Board has rvnalned stable. comprlsln8ft¥ededlcatedTrustee5wlth ￿(pertISe ln
BU￿ne$S Manatvnent, Finonclal PLcountablllty. Health and Soclal Care. Ihe Medlcal Professlon. and HR law. There haVebe￿ no
resllnatlons ￿SUr1nÈ contlnultyln Bovvnanceand ￿r￿e81£ o¥eryÉht.
TheTru5teeshaveworked c105elywlth the CEO. offvlngguldanceand svppoft In ktyafeas yjch a$supw￿￿On. pollty
dwelopment. budget management, straie8ic plannin& iecruitment. fundraI￿n& and extwnal partnershlps. Apflmaryfocushas
been theprep¥ation and subm1￿On ofa tender appllcation to securea new contract beyond Cktober 2023.
Thecharltvsteam Include5 a CEO, fiveAfter-Care Coordinators based at BirminRham'sfour acutehospltals (Queen Ellzabeth.
Heartlands Good Hope. and Clty Hospltal, West Blrmlnghaml, aVoluntew/Soclal Mdla Coordinator, and a Dlgl 8uddle5
Coordlnator. Aldltional Aftw-carecoordinator Support Workershavehdped managèthelncre3sed d￿and for servlces.
Notably. the Charity Succes￿lIvIran￿tIQned a Klck Start Programmeplacement intoa contracted rol4 ftinlorclnBour
commitment to proknional devdopment.
AJI posllions, Includln8that oftheCEO, are aligned wlth Blrmln8ham Clty Councll contract terms. maklngthem IIKed-term.
The Charlty also benefitsfrom the coniributionsof an Admln Support Officer and a Fundralsin8Officer. Thisyear. Iheaccounting
Jnctlon wa5 OlItSQLrrced tD an atcountantyfirm. streamlSnln8financial operatlonsand lmprovin8effic1￿£Y.
A¢hleb*ments
erthe past year, Homefrom Hospital Carehaswpported over 1,500 BSrmin8h3m rt*dents upon d15charge from ho¥ital.
providlng practical as￿Stancesuch asshoppln& befrlendln& form fillln& bendt checks. antl ener￿ tariff compar15ons.
Thesewwces havey8nifficantly improved thewdl*angofvvlnffableindividuals, enablin8ag)700thw transition backto
independent livlng.
Volunteer Er4yment EXP￿￿On
The Chariry has malntalned astrong and commltted volunteer bas< with 22 artivevoluntevspltylnga crucial iolein 5Ér¥lce
delivery. Under theleaddthip of the CEO and Volunteer Cgordinator. ongoingeffortsarebtingrn3deto recrubt *d train ne4¥
volunteersto maintain our capacity. Thecharity remains committed tovoluntew d￿￿0pMent, r￿08￿19￿¥thelr invJuable
contributionsto theorganis3tion.smisyon.
ChalleTrys
In A￿8￿st 2023, Birniingham Council informed usthat our contract would not berene4ved, with fundin& bei1*
awarded to another Pfowdw. Dwiteappeals and m&lia intervention. no clear justification wasprtivided for thistsi5ion.
Thislossof fvndin& which had theCh¥iVs primaryincornesourcefDrover40years. presented ￿gnifiCa7t fin•cial and
opefatioTral th￿trenge
Frnanclal Sus¢alnablllty and Fundlnelmpxt
Thecharity has I￿ained proactivein securing alternatlve fundln& raisinga total of £91.648 throuBh ￿TIOUST￿j5t5znd
lotal Institutlons. Thls fvnding has helped miti8atethedeficll left bythe 8lrmlngham Citycouncll contract and enabl&
thecharlty to enhance itsseryice5btyond contfaciual obligations.
prud￿t￿nancia Manag￿￿t hasenwred theCharitymalni•insgJfficiwt resfftsto 9JSt*n operatlonsin thethort turn.
This financlal stabilitY8uaranttts contractual notice perlodsforstaff In the ￿ent of further fvndln8chal￿6e& WhIler￿
provtdea temporarys*iard. èjdltlonal fundln8wIII berequlred tostturelon84erm 5UStalnabillty.
P¥e2

HOMEFROM HOSPITAL CAIIÉAFVER ThEATMENT
Aeport ofthe Trusiees
forthe ye*rended31st Mw¢h 2024
R•4llenc• Futur* Plannlni
In re5ponseto th1s5etback, Trustte5, ￿off. and volunteers haveworked ilfelessly to seturealternatlvelundlng. TheChalrpLy￿rt and CEO
have engaged exten￿verY wlth Matvtory partnefsand commI￿10￿1n8 bodlesln an effort to sustaln swvlce&
Asthefin•n¢l•l yeai end5, the Charlty hashad to makedlfficvlt decI￿On¥ In¢lud5nKstaff redundanc1￿ IncludlnKtheC£Orole. De5plte
the5echallen8es weremaln commltted iOtontlnuln8 a streamllned ser¥lce. ensurln8 wpport for Blrmln8ham resldentswhlleacll¥elv
seeklng newfvndln8OPPOrtvnltles.
C¢)ncludoD
TheTrustee& In colloboratlon wlth therernalnln8￿aff, wlll tontlnueexplorlngwayslo malntaln an effectlveservlcewlthln the
avallable resources. Effortswlll also perslst In Identlfyln8 ne4¥fvndln8avenues ihat could enablethefelnrtatement of p￿10￿5
servlcelv4el
The Ch¥lty rtmaln5gratefvl fortheon8oln8 SUPPOrt from fvjnders volunteer% and thecommunlty. Weremaln hopefvl lor thefvture
and tommitted to our mi54on olprovidln8e￿eTrt1al support to thoseln need.
woved by order ofthe board of tnjsteeson 21st Feb and slBned on lis bthallbv:
Rob•rt Smlth
Chalrperson
Horn• Irorn Hospltal C¥•

tnd•p•nd•nt Ex•mln•r'i Il•port 1gth• Trurt••• 91
Home From HoJplt•l C•r• Aft•r Tre￿m•nI
Indep¢ndenl e1t•￿1ft•r.l reportioth• trust••iolHom• From Cir• Aft•rTr••tm•nt
I report to Ihe charlty trustees on my eM•rnlnillon olihe•ccounfsof Hom• From Hospll•l c•1•Aft•rTr•*m￿t lih•
Trust) lorthe ye8r ended 31s1 Morrh 2024.
R•Wh￿bIlItI•l¥Trd b￿ls01r•POrt
As ihech•rltytrustees olthe Trust you are responslblefor the preparallon ofthe•ccountsln Kcord•nce wltfv the
requlrementsoliheCharltlesNxi 2011 IYheAct'l.
I report In respect of my ex•mln•tlon oltheTrustS accovntscirrled out undersectlon 145 oltheAct and In c•rrWni
out my e*&mlnaiion I havefollowed all appllcable0lreciion$8lvon by thecharltycommlsslon Under sectlon 14515Nbl
oftheAct.
Ind•p•nd•nt *x*nln•r'sst•t•m•nt
The ¢harlty'$8r05s Income has not exceeded £250.000, bui hasrequested an e*arnlnatlon. your examlner must bea member
ofa115ted body. I can confirm that l am quallfled to vndertakethe examlfiallon becausel am a re815tered member of ICAEW
whlth Isone olthellsted bodle5.
I have tomplded my examlnatlon. I confirm that no malerlal matters havecometo rny*tentlon In ¢onnectlon wlth
the ex•mln4tlon 8lvln8mec•useto belI￿ethat In any m•terlal respttt..
l accountlng re(ord5Wffenot kept In respect of theTrust a5 reoulred bysectlon 130 of thekt: or
2 theaccounts do not accord wlth thoserecords or
3 the accourntsdo not comply with theapplltable requlrementston£ernln8 iheform and content of accoufttsset
out In theCharltle5 Ikcountsand Reponsl Re8ulaiion$ 2008 other than anyrequlrern￿t thai the xcounts
afjveairueand tslrvlewwhich Isnot a matter consldffed aspart ofan Indep•id•nt examln3tlon.
I noconcemsand h￿e£0MeacrOss no gther mjttuslnconnettlon wlth the￿•MInatIOn to whlch •tt•MI
should bedrawn In this report In order to enablea proper underAandln8 of iheaccountsio beieached.
dfew Wier
Affon¢lleA£countantsknmited
59 Nicholas Road.
Sutton Coldfidd.
EnOand,
874 3QR
21st Febfuary2025
Pa8•4

HOMEFRthI HospifAL CAIIEAFTER7REATraEMr
ststement of Flnallclal Artlvltles
forthe ye8r•nded31sl M¥rh 2024
2024
Total
fvnds
2023
Total
fvnd5
Unre51rlcied
fvnd
Restdcted
nds
Notes
INCOMEAND ÉNDOWMENTS FROM
Donatlons and le8acles
282,082
282,082
368.477
Other Incorne
1.756
Totèr
282,082
282.082
370,233
EXPENDITiNIEC
Charltablektlvltes
384.523
384.523
443,868
N￿1N¢(￿dv[EXpENOIVvREl
102,441
102,441
73.63S
REc&yaLIATICY4 C* FUNDS
Tot* fvRd5brOU8htfvrw￿d
256.847
256.847
330.482
TafAL FIANDS CARRIED FORWARD
IS4.406
154.406
256.847
Thenote5fomi part 0fthesefin￿￿￿ statejnwts
P•5

H￿dEFROm HIMTAL CAREAFfERIREATMENV
Bal￿¢* Sheet
3151 March 2024
2024
Total
fvnds
2023
Total
funds
Unrestrrcted
fund
Restricted
funds
Notes
CURRENfA$5Ers
Debtors
Cash at bank and in hand
13
85,061
179.343
156,134
156,134
156.134
156.134
264.404
CREDITORS
ountsf311in8 duewithin oneyear
14
1.728
11.7281
J,7281
11.7281
17.S571
(7,5571
NEfcuRRBUASSETS
154.406
154.406
256,847
TOTALASSEfs LES$OJIIR8￿ LIA8IUIIE5
N￿ASSE[s
154,406
IS4,406
154,406
154,406
256.847
2S6.847
FUNDS
Unrstrlcted fvnd5
Restrlrted fvnds
TOTALF1Th4DS
15
154.406
256.847
154.406
256.847
Thefinancial 5tatementswereapprov¥l by theBowd ofTrustee5and authorlsed foris9Jeon 21st February2025
and were51gned on itsbehalfby=
A8ettlson-TnJstee
Thenotesfonn part of thtsefinancial statements
Page6

HOME FR(XA HOSPITAL CARE AFIEAIRE4TraENr
Cwh FlOW*￿*m¢nt
frkrih• year ended 31st M￿1 2024
Nor¢5
2024
2023
C•th flowsfrom operatln¢ •¢t1￿lIeS
Cash generated from opefatlons
Net rash (used inllprovided by operatlne actlvltles
123,209
123,209
182,3341
182,3341
th•hie In c•th and t¥h equlvalenlsln the
r•portlTrip•rlod
C•sh •nd t•sh equI¥￿e￿$•I the be￿nnIn1
ofthe reportbn4pe￿Od
123.2091
182.3341
179.343
261,6n
Cash Ind cash equivilent5at Iheffid of
thereportlng perlod
156.134
179.343
Thenoiesfofm partofthes•fjnanci•l Aatvnmts
Page7

HCWE FR(hM HOSPITAL CAREAFfEA TREATMENT
Notestoihe Cath FlowSt•tement
fDrthe ￿¥0￿ded 31st M•rch 2024
I. REC(AYCILIATIONOF N￿{EXPEND￿jAEv1Nc(￿4f TON￿cASH FLOW FROM ¢JlÉRAnNG ACTIVIIIES
2024
2023
Net{expendlturellln¢ome lorth• reportlniperlod lasp•f th•
Stalernent DIFlnantl4 A¢tl¥ltlesl
Adlustmentsfor:
Decrease/llncrea5elln debtors
IDe(rea5ehfjncrease Sn credltors
1102,4411
173.6351
85.061
15,8291
16,7161
11,9831
Net cash Iused Invprovlded byoper•tlons
82,334
2. ANALYSIS C* CHANGESIN NETFUNDS
At 1.4.23
Cash flow
At 31.3.24
Net c•th
Cash •t bank•nd In hand
179.343
179,343
3,209
13,209
156.134
156.134
Thenote5form part ofthesefinancial ￿ZteMentS
Page 8

H¢YdE FRChM HOSPITALCAREAFTEAIREATMENr
Notestothe Flnonclal Statements
fortheyear ended 31st M¥¢h 1024
l. AccouvnNG POLICIES
B•515 olprÈparlnEthe lIn￿(la1 statements
Thefinanclal statementsof thecharity, which is a public benefit entityunder FR5 102. havebetr) prepared In
accordancewlth theCh3ritie550RP IFRS 1021'A(countlngand Reporting bycharltles.. Statement of
Recommended Practice applicableto charities preparin8 ther account5 in accordancewith theFinanclal
Reportlns Standard applicablein theUK and fiepubllc of Ifdand IFRS 1021 lefftttlve I january 20191., Financial
ReportlngStand3rd 102The Financial Reportin8 Standard applicablein the UK and Republic of ITel￿d.and the
Charil¢esAct 2011.Theffinancial statemL*)ts havebeen prepar￿ Und￿ the historical cost convention.
Theflnanci31 statementsareprttented In sterlin8which Isthefrjnctlonal currency Df thèchaTlty and rounded
to the nearest £1.
In¢om*
l incorne isiecognlsed in thestat￿ent of Financial ktivitiesoncethecharltyhas ￿tItlern￿t to ihefunds,
it Isprobablethat the incomtwlll belec￿¥&y and theafflount can bemeasured rellably.
For donatlonstobereco8nlsed thecharitywIII havtbeen notlfied ofiheamountsand ihesettlerneni d*eln
writin8. Ifthere arecondltions attached to the donation and thlsrequlresa Ilwd olperformance before
entltlement can beobtained then incomeisJeferrd untll thoseconditionsarefrjlly met or thefvlfilment of
those condltlon515wilhin the tonirol olthecharlly and il lsprobableih* thrywlll befulfilled.
No amount isincludtsj in thefinanclal statemenlsfor7￿1UThteertImeIn Ilnewiih theSORP IFRS 102
Incomefrom tTadin8activities include5incomeearned from fi1ndrai￿nglwentS and trading activitiesto raise
fvndsfor the charity. Incomeis received in excbantelor supplWn88oodsand 5ervicesin order to raisefvfids
and Isrecognlsed wha) ent1tlern￿t ha50ccurred.
IncomEfrom governmenl and othEf recognlsed at ta1rvaueWh￿ thechaflty ha$￿tItl￿Tr￿t aft
any ptrftsrmanceconditiornshavebeen met, it Is probablethat thelncomewill bereeel¥ed znd theamount
can bEmtswred rdlably. Ifthtltlvnemt lsnot met thentheseamountsaredkned.
All eKpenditureisaccounted for on an accrua15 b￿Sand hasbeen cla55ifivJ underheadinÉ5that awe8ateall
costs rdated to thecategory. Expenditureis recognised wherethereisa legal orcorstructiveobli8*ion to
MakepaYm￿tSt0thI￿d parties. it isprobablethat thesettlement will be reouired and thew#ount ofthe
obligation (• bemeasurej rdiablv.
Support costs¥ethosethat asysttheworkofthechatitybut do not dirLxtlyrepresent charitableartiwties
and includeofficecosts, goV￿a￿Cec0st% adtninistrativepayToII iosts. Theyare incurTed directlyin support of
expendilureon theobjects ofthecharity. wh￿e￿ppOrt COStscannot bedirectlyattributej to p¥tbcuI¥
h&dingstheyhave allocated to cost of raisingfundsand expenditure on charitableactivitie50n aba5iS
conystent vlth use of there￿urceS.
Thecharity lsexwnptfromtax on itscharitableacti¥ities.
Fund accountln¢
UnrestrictedthJndscan beused in xcordancewith thechwitableobje¢tl¥esat thedixretlon ofthetrust
Restricted fvndsean only beu5d for particular r*ricted purposeswithin theobj*tsofthtcharity.
Restriction53risewhen specified bythedonoror when fvnds areraised for particular restricted purpos
Pa8e9
conlinued.

HOME FACIM H05PLTAL CARE AFTER TREAIMEPn
Notestothe Flnanclal 5tatement5-contlnued
fDrihe yearended 3151 March 2024
I. ACCIJUfrIIING POLICIES-contlnu•d
Fund ac¢ountlng
Further explanation ofthenature and purposeof each fvndlsintluded Sn thenotesto thefinanclal
st*ements.
Golngcon¢ern
The financlal statemenis havebeen prepared on a golng concern boysastheirusteesbdlevethat no materlal
uncert3intles e¥i5t. Thetrustee5have consIder￿ thele¥d of lundshdd and theexpected I￿e1 of Income and
expendlturefor 12 months from author*singthestflnanclal statvnents. Thebudgeted Incomeand e¥p￿dItuTe
Issufflclent wlth the1￿ olregervesfor ihecharltyto beableto contlnueasagolngconcern.
D•bt¢xsthd¢rtdltofSTe¢elv•blelpa￿e wlthln one ye¥
Debtofsand credltorswlth no stated Interest rateand recdvableor payablewlthln ofieY￿ arerecordgj at
transactlon price. Any loyes aTi5in8from impaIrm￿t arerecognised in typendituie.
In¥Yslrn•nts
Current Inve5tment5 are Short term highly Ilquid Investm￿1$ and arehdd at lalrvalue. Theselnclude
cath on deposit and cash equivalentswith a maturityof ltssthan oneyèar.
2. DONAT1th￿AND LEGACIES
2024
2023
Donations
BirmiTh8harn Chty Councll
National Lottery
Grants
81.117
190.434
10.531
65.253
286,555
9.469
7.200
282,082
368.477
Pagelo
continued..

HOME FRThM HOSPITAL CAREAFfER TrEATMENr
Note5tothe FI￿￿¢1￿1 St*•ments.contlnu•d
forthe yearended 31st Mw¢h 2024
3. CHARITABLE AcfiviiiE5C¢MS
>Jpport
costslsee
note41
Dlrect
Costs
Totals
CharltableActlvltes
289.148
95,375
384,523
4. 5UPPORTCOST5
Support C05tsarethosethat assist thework olthecharlty but do not dlrectly represent charStableactlvltles
nd Include officecosts, 8overnancec05t5, admlnlstratSvepayroll cosis. Th￿are Inturred dlrectly in support of
Expehdltureon theoblecls of the charlty. Wheresupport costscannot bedlrEctly aitrlbuted to partlcular
headln8sihry havebeen allotated to cost of raI￿nglUnd5and expendltureon tharltableact1￿tle50n a basls
on5iStent wlth useofthervA*urce5.
S.TRUSTEES' REMUNERAIIC*4 AND OENEF115
Therewwe notru5tee5'remuneratlon or other benefitsfor theyear ended 31st March 2024 norfor iheyear
ended 31rt March 2023.
Trustees, exptnsès
Therewere no trustee5' e¥pense5pald for theyear ended 3151 March 2024 nor fortheyearendtd
31st March 2023.
6. STAFF COSTS
2024
2023
W•8e5and ￿larI*S
Soclal securlty costs
Other penyon costs
266.012
23,152
5.296
294,460
312,547
25,831
7.156
345.S34
The•vera8e monthlynurnber of vmployee5durlnetheyarwasasfollow&
2024
2023
CEOIC0￿dIn*0TS
(elFin￿(e
io
12
16
18
No employee5recel¥ed emolum￿15 In ￿(e&s01£60,0oO,
Page 11
continued...

HOMEFR&M HOSPITAL CAREAFfER TrEATMENr
Notestothe Flnanclal Statemenis-conllnued
forthe year ended 31rt Mwch 2014
7. CChMPARATNES FOR ThÉSTATEMENTLF F114ANCIAIAcnviTIES
Unre5trlcted
Fund
INCOME AND ENDOWMENTS FROM
Donations and legacies
Othef Income
Tot
368.477
1,756
370,233
EXPENDnUREON
To141 re9)UTce5eJ(pended
Total rey)urteseYpended
443.868
NEfiNCINE
73.635
RECONCIIIAII(XI FUNDS
Total fvndsbrou8ht for*vd
330.482
TOTAL FUNOSCAAAIED FORWARD
256,847
8. lNDEPENDEPft￿mlNERSREmuMERATIoN
Thelndependent txamineTsremuneratlon amountsto an 1Trdepend￿t tKarnlnatlon feeofEI,200 In¢ludln8vat
9. IMPAIRMENT
Asset5 not mEagJred at fairvalue arereMe￿￿ for anylndicatlon thattheasset may beimpared 3t eath
balance Sheet date. If yJch indi£atiom exists therecoverableamount oltheasset. ortheasset'sca
generating unit. lsestimated and compared to thecarryingamount_ WherethecarWn8amount vAceeds lis
recoverableamoJnt. an impaiTmeTht loss is re£oBnised in profit orlossun1ts5theasset iscarried at a re4alued
muunt whwetheirnpairmeTrt Ioss isa revaluèiion decrease.
Page 12
<Onti￿u￿j.-

H0MEFRc￿ HospfTAL CAREAFfER TREATMÉNT
Notesto the Flnan¢lal statements. conllnutd
forthe yewended 31st March 2024
10. EMPLOYMENTBENEFn5
When employees have rendered servlceto the charlty. short4erm employee b￿e￿ts1OWhtch the Employees
areentltled arereco8nlsed at theundiscounted amount ￿pected to bepoid in vxchangefDrthat ser¥l¢e.
Thecharltyoperates a defined conlrlbutlon forthebenefit of itsemployees. All contrlbutionsare expthsed as
theybecomepayable. Adefined contrlbution is 3 pension plan under which thecharlty paysfixed
contributions into a separate entityand ha5 no fijrther payment obllgation5. Theas5etsof ihe plan Wehdd
separately from thecharlty In independentlyadminlstered lunds.
11. GOINGCONCERN
Thefinancial st*ements havebeen prepared on a going concern basisa5thetrustees befievethat no material
uncertaintie5 exist. Thetrusteeshaveconsidered the level olfunds held and theexpected ILwel of incomeand
ÈxpÈndsiurefor 12 monthsfrom authOrI￿nE the5efinanclal statemÈnts. Thebtsdgeted Income and expendlture
Issufficient with the of reservesforthecharityto beable to cont5nuea5a8oln8contern.
12.JUDGEMEM15 AND KEYSOURCES Cffi UNCERTAI
Estlmatesand ludgemeTrtsarecontlnua1ly￿alYated and arebasal on h1stor0c￿ ￿pthence•d other Ixtor5.
Includlngexpectatlons of fvture ￿e￿iSthat are belloled to bereasonableuntler thecircumstanc
13. DEBT(klS: AMOUNTS FALUNG DUEMIHINONEYEAR
2024
2023
PreptymÉnis and accrued income
8S,061
14. CREDITOR5.. AMCXITffiFALLING DIRWITHIN th4EYEAR
2024
2023
Tradecreditors
OthErcreditors
944
6.613
7.557
1,7Z8
1.728
15. MOVEMENTIN FUNDS
mO￿￿￿t
in tunds
At 1.4.23
At31.324
[In￿strIcted fftjnds
General lund
256.847
1102.4411
154.406
ReArfrted fvnds
Various
TOTAL FUNDS
256,847
1102.4411
154.406
P38e 13
continued..

HOME FR(Y41 HOSPITAL CAREAFfERIRV4TMEKr
Notestotht Fln•nclal St*ements.conilnued
fDrthe yarended 31st Mwch 2024
15. MOVEMENfiN FUNOS-contlnue
Net movement In funds Included In theaboveareasfollows..
Incomin
r•tsources
Resources
expended
Movement
In funds
UnrestTlcted fvnds
General lund
282,082
1384.S231
1102,4411
Rtstrlcted fvnd5
Varlous
TOTAL FUNDS
282.082
1384,5231
1102,4411
Cmpx*l¥*slor movement Inlunds
Net
movement
In fvnds
At 1.4.22
At 31.3.23
UhT•5tr1ct*d fvnds
General frjnd
TOTAL FUNDS
330,482
330,482
73,635
(73.6351
256,847
256.847
Page14
continued...

NOMEFRW HOSPITAL CAREAFIERIXEATMEI
14otesto the Flnancl4 Stalemtnts-contlnu*d
Iorthe Vex ended 31st M¥ch 2024
15. MOVEMENfiN FUNDS-contlnued
Acurrent year 12 monthsand prlor year 12 moTrths¢omblned posttlon Isas follows-.
Net
movement
in funds
At 1.4.23
At 31.3.24
Unrestrtcledfvnds
Genefal fvnd
256.847
1102.4411
154.406
Restrlrted fvnds
Various
TOTAL FUMDS
256.847
102,441
154,406
Acurmt year 12 monthsand prior year 12 monthscombined nel movem￿t in fijnds. Includ￿ in theabove
•rea5follows-
Incomln8
re50urce5
Resources
expended
Movement
In fvnds
Unre#rlctedlund5
General fijnd
282.082
1384,5231
1102,4411
Re5trfcted fijnds
Various
TOTAL FUNDS
282.082
1384,5231
1101.4411
16. RELATED PARTY DISCL(
Therewueno related p¥tytransaction51Drtheyearended 31st March 2024.
Pa8e 15

OMÉ FR(WI HOSPITAL CAREAFfEA TREATMEMr
Detaled St¥temeni of Flnan¢lal Actmtles
forthe year ènded 31st Mar¢h 2024
2014
2023
INCOMEAND ENDOWMENTS
Don*lon54nd leiacle5
Donations
Blrmln8ham Clly Council
N*lonal Lottery
Grants
65.253
286.555
9,469
7,200
81.117
190.434
10.531
282,082
368,477
Other Income
Other Intome
1.756
Tot4 ln¢omlnir•sou￿es
282.082
370,233
EXPENDIWRE
ChJrli*ble KtSbltl•s
Beddln8
Food parcds
CEO & Co*)rdlnators w48e5
Soclal sKurlty
Penslons
Rent, fatesand roorn hire
Volunteer protectlon Insurance
Staff tr4snin8 & traveilin8
Volunteer costs
Handyman 5￿ce
Di8lbuddles
S,986
7.488
205,451
23,IS2
5,296
15,352
1.080
18,714
1,131
3.023
2,475
5.545
7,871
222.150
25,831
7,156
10,254
1.080
16.619
6,139
2.435
10,757
289.148
315.837
Thlspa8edoe5 not form p¥t ofthegatutoryfinancièl Statun￿lS
P¥e16

￿￿EFR(￿m HOSPITAL CAREAFTER TRUTMENT
Detaled Ststement of Flnan¢l•l Att1￿11¢￿
for the year ended 3151 March 2024
2024
2023
support costs
Management
Office & Flnancewa8e5
Telephone
Computerc05ts, postage & stationery
Advertlsln8
Sundrles
Payroll costs
60.561
7,896
13,798
90,397
4.553
17,360
1.480
3,071
2.038
2.465
3,222
87,942
118,899
Governance costs
AtcountlnR and legal fes
7,433
9,132
Total resources expended
384.523
443,868
Net lèxpendlturtvlntome
1102.4411
(73.635)
Thispagedoe5 not form part of thestatutoryfinancial stat￿ents
Pa8e 17