THE WATERFALL TRUST

Charity Number: 1148491
Removed charity

Charity overview

Activities - how the charity spends its money

A PROGRAMME TO HELP WOMEN CHANGE DESTRUCTIVE BEHAVIOUR INCLUDING SUBSTANCE ABUSE AND UNHEALTHY RELATIONSHIPS. GROUP WORK 3 HRS WEEKLY, 1-TO-1S, LIFE SKILLS AND EQUINE ASSISTED LEARNING REFERRAL: SELF AND LOCAL DRUG/ALCOHOL SERVICES FUNDRAISING ACTIVITY AIMED AT OPENING 5 DAY A WEEK RECOVERY PROGRAMME AWARENESS RAISING EVENTS AIMED AT EQUIPPING THE WIDER CHURCH TO GIVE EFFECTIVE RECOVERY SUPPORT

Income and expenditure

Data for financial year ending 28 February 2021

Total income: £27,136
Total expenditure: £32,716

Fundraising

This charity raises funds from the public but does not work with professional fundraisers or commercial participators.

Trading

This charity does not have any trading subsidiaries.

Trustee payments

No trustees receive any remuneration, payments or benefits from the charity.

What, who, how, where

What the charity does:
  • The Advancement Of Health Or Saving Of Lives
  • The Prevention Or Relief Of Poverty
  • Accommodation/housing
Who the charity helps:
  • Children/young People
  • Other Defined Groups
How the charity helps:
  • Provides Buildings/facilities/open Space
  • Provides Services
  • Provides Advocacy/advice/information
Where the charity operates:
  • Southampton City

Governance

Registration history:
  • 09 August 2012: Standard registration
  • 27 January 2022: Removed (Ceased to exist)
  • 27 January 2022: Funds transferred to 1194419 ACORN CHAPLAINCY
Organisation type:
Charitable company
Other names:
  • THE WATERFALL (Working name)
Gift aid:
Recognised by HMRC for gift aid
Other regulators:
No information available
Policies:
  • Complaints handling
  • Safeguarding vulnerable beneficiaries
Land and property:
This charity does not own and/or lease land or property

Financial history

" role="img"> Text alternative for this canvas graphic is in the data table below.

Financial period end date

Income / Expenditure 28/02/2017 28/02/2018 28/02/2019 29/02/2020 28/02/2021
Total gross income £73.11k £50.63k £51.09k £32.99k £27.14k
Total expenditure £55.21k £69.65k £47.97k £36.54k £32.72k
Income from government contracts £0 N/A N/A N/A N/A
Income from government grants £0 N/A N/A N/A £14.61k

Accounts and annual returns

This table shows the charity's record of submitting annual returns, accounts and trustees' annual report (TAR) for the last five financial periods.
Title Reporting year Date received Received Download
Annual return 28 February 2021 16 November 2021 On Time
Accounts and TAR 28 February 2021 16 November 2021 On Time
Annual return 29 February 2020 16 November 2021 322 days late
Accounts and TAR 29 February 2020 16 November 2021 322 days late
Annual return 28 February 2019 19 November 2019 On Time
Accounts and TAR 28 February 2019 19 November 2019 On Time
Annual return 28 February 2018 14 December 2018 On Time
Accounts and TAR 28 February 2018 14 December 2018 On Time