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2024-03-31-accounts

Registered Charity Number 1037052

NEIGHBOURCARE ANDOVER

REPORTS AND FINANCIAL STATEMENTS

FOR THE YEAR ENDED

31 MARCH 2024

NEIGHBOURCARE ANDOVER

ANNUAL REPORT FOR THE YEAR ENDED 31 MARCH 2024

CONTENTS PAGE
Report of the Independent Examiners 1
Report of the Committee 2 - 4
Statement of Financial Activities 5
Balance Sheet 6
Notes to the Financial Statements 7 - 10
Appendix to the Financial Statements
Reserve Policy 11

INDEPENDENT EXAMINERS’ REPORT TO THE COMMITTEE OF NEIGHBOURCARE ANDOVER

I report to the trustees on my examination of the accounts of the above named charity for the year ended 31 March 2024, which are set out on pages 7 to 14 appended to this report.

Responsibilities and basis of the report

As the charity’s trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).

I report in respect of my examination of the Charity’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent examiner’s statement

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination which gives me cause to believe that in, any material respect:

I have no concerns and have come across no matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

BARTON-KNOTT ACCOUNTANCY SERVICES ACCOUNTANTS Date: 28th October 2024

16 Moneyer Road Andover Hampshire SP10 4NG

NEIGHBOURCARE ANDOVER

REPORT OF THE COMMITTEE FOR THE YEAR TO MARCH 2024

Charity Details

Neighbourcare Andover is a registered charity number 1037052

Principal Address

14 Union Street Andover Hampshire SP10 1PA

Objects of the Charity

The purpose of the charity is to relieve persons in the area, who are in need by reason of their age, sickness or poverty, by provision of such voluntary care work as may be charitable.

Support and Activity

The charity now has no secured funding and will be running on their reserves until future funding can be sourced.

The level of activities has remained the same as previous years but expected to reduce in the future as they are now all self-funding.

The charity provides the following services from our principal address in Union Street:

We also get visitors to the office in Union Street, who are just lonely and need someone to talk to.

In addition to future plans, we are trying to secure other sources of funding. Provision in the accounts has been made to cover all running costs for the following year as the charity has no guaranteed funding.

The charity will continue with all the activities they already deliver by implementing a charging policy, membership and use of the reserves.

NEIGHBOURCARE ANDOVER REPORT OF THE COMMITTEE FOR THE YEAR TO MARCH 2024 (Continued)

The charity will continue to deliver these services to those in need as defined in the Objects of the Charity.

Statement of Responsibilities of the Committee

Charity Law requires the Committee to prepare statements of accounts for each financial year. In preparing those financial statements, the Committee is required to:

The Committee is responsible for keeping proper accounting records, which disclose with reasonable accuracy at any time the financial position of the charity and to enable them to ensure that the financial statements comply with (accounts and reports) regulations 2008.

Management Committee

President: Dame Mary Fagan

The charity is run by a management committee. This is charged by proxy of agency to pursue the running of the charity on behalf of the Committee and in accordance with the primary interests of the charity itself. At the end of the year under review the management committee was made up of the following:

Chairman: Judie Tighe Secretary: Rosemary Grover Treasurer: Jim Johnson

Other Committee Members: David Mayo Julie Johnson

Elaine Fakes Peter Villiard

Bookkeeper:

Gemma Coombs

NEIGHBOURCARE ANDOVER REPORT OF THE COMMITTEE FOR THE YEAR TO MARCH 2024 (Continued)

Where management committee members also sit as public representatives of council bodies or are employees of governmental departments, and where a contractual relationship exists between their bodies and the charity giving rise to a potential conflict of interests, committee members have reviewed the governance procedures and have formulated the following safeguards and measures to reduce the risk of conflict of interest occurring –

We are aware that failure of the management committee to properly monitor these measures may result in prosecution of the charity and its Committee under the Public Interest Disclosure Act 1998.

We have also further steps to ensure that members are not placed on the management committee at the request of funding bodies as a condition of received that funding and monitoring how it is spent.

We are satisfied that the measures we have put in place will ensure any potential conflicts of interest will be quickly identified and dealt with in such a fashion as not to prejudice the management committee’s effective management of the charity and maintain the privacy of the charity’s interests in their activities.

Fixed Assets

Movements in fixed assets are disclosed in the financial statements.

Approved by the management committee on ……………… And signed on its behalf by:

Judie Tighe Chairperson

Julie Johnson

NEIGHBOURCARE ANDOVER

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 MARCH 2024

Income and Expenditure
Note
Incoming Resources
Shop Sales
Book Sales
Membership
Silver Surfers Income
Donations and Gifts
TVBC Funding
Other Income
Dementia Club
Home Help
Petrol and Trips receipts
Connexions
Government grants and furlough paymen
2
Total Incoming Resources
Resources Expended
Direct Charitable Expenditure
Helpers
3
Support Expenditure
Administration
4
Total Resources Expended
5
Net Income Resources for the Year
Balance Brought Forward
1 April 2023
Balance Carried Forward
31 March 2024
Unrestricted
Funds
£
57,190
26,308
18,650
-
5,270
-
10,185
-
-
46,634
-
-
164,236
25,327
137,533
162,860
1,376
220,487
221,863
Restricted
Funds
£
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
2024 Total
Funds
£
57,190
26,308
18,650
-
5,270
-
10,185
-
-
46,634
-
-
164,236
25,327
137,533
162,860
1,376
220,487
221,863
2023 Total
Funds
£
52,825
20,698
15,742
-
14,693
-
8,447
-
-
41,898
-
-
2023 Total
Funds
£
52,825
20,698
15,742
-
14,693
-
8,447
-
-
41,898
-
-
154,302
21,767
134,638
156,406
(2,104)
222,591
220,487

NEIGHBOURCARE ANDOVER

BALANCE SHEET AS AT 31 MARCH 2024

Note
Fixed Assets
Tangible Assets
6
Current Asset
Cash at Bank
Creditors
Amounts falling due within 12 months
7
Net Current Assets
Amounts falling due in more than 12 months
Total Net Assets
Income Funds
Non-distributable funds
Unrestricted: Designated
8
Unrestricted: General
9
2024
£
4,988
220,221
220,221
(5,523)
214,698
-
219,686
217,300
2,387
219,686
2023
£
1,496
215,676
215,676
1,138
216,814
-
218,310
217,300
1,011
218,310

The notes and appendices on pages 9 to 14 form part of these financial statements.

Approved by the committee on...............................2024 and signed on its behalf by:

Judie Tighe

NEIGHBOURCARE ANDOVER

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31 MARCH 2024

  1. Accounting Policies

The principal accounting policies adopted by the charity are as follows:

The accounts have been prepared in accordance with applicable accounting standards and on the basis of historical costs.

Income is represented by grants, donations and other income shown gross.

Grants are accounted for on a receivable basis. General revenue grants are apportioned over the period to which they relate. Fixed assets grants are capitalised and amortised on the same basis as the asset it relates to is depreciated.

Motor Vehicles 20% Straight Line Office Equipment 33% Straight Line

NEIGHBOURCARE ANDOVER NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2024

2. Direct Charity Expenditure

.Direct Charity Expenditure
Payments to helpers
Payment for Petrol
Bus Trips
Unrestricted
Funds
-
23,925
1,401
25,327
Restricted
Funds
2024 Total
Funds
-
-
-
23,925
-
1,401
-
25,327
2023 Total
Funds
-
20,366
1,401
25,327 21,767

3. Administrative Expenditure

Printing Postage and Stationery
Repairs of Equipment
Lease of Photocpier
Insurance
Wages & Pension Contribution
Wages - Casual
Cleaning and refreshment
Accomodation costs
Sundry Expenses
Advertising
Transport Money
Accountancy Costs
Depreciation
Unrestricted
Funds
1,189
-
30
5,255
43,361
39,975
754
33,251
9,293
724
-
2,253
1,448
137,533
Restricted
Funds
-
-
-
-
-
-
-
-
-
-
-
-
-
-
2024 Total
Funds
1,189
-
30
5,255
43,361
39,975
754
33,251
9,293
724
-
2,253
1,448
137,533
2023 Total
Funds
334
370
1,067
1,563
53,325
37,768
1,127
29,410
6,710
756
-
1,792
417
2023 Total
Funds
334
370
1,067
1,563
53,325
37,768
1,127
29,410
6,710
756
-
1,792
417
134,638

ANDOVER NEIGHBOURCARE

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2024

4. Total Resources Expended

Charitable
Administration
Staff Costs
-
83,336
83,336
Depreciation
-
1,448
1,448
Other Costs
2024 Total
2023 Total
25,327
25,327
21,767
52,749
137,533
134,638
78,075
162,860
156,406

5. Tangible Fixed Assets

Cost
As at 31 March 2023
Additions
As at 31 March 2024
Depreciation
As at 31 March 2023
Charged during the year
As at 31 March 2024
Net Book Value
As at 31 March 2024
As at 31 March 2023
Office
Equipment
53,143
4,284
57,427
51,821
1,088
52,909
4,517
-
Motor
Vehicles
Total
30,386
82,213
657
4,940
31,043
87,153
30,212
82,033
360
1,448
30,572
83,482
470
4,988
174
174

6. Creditors

Amounts falling due for payment within one year

Accounts Payable
Accruals & Deferred Income
Amounts falling due within 12 months
Unrestricted
Funds
-
(5,523)
(5,523)
Restricted
Funds
-
-
-
2024 Total
Funds
-
(5,523)
(5,523)
2023 Total
Funds
-
1,138
2023 Total
Funds
-
1,138
1,138

NEIGHBOURCARE ANDOVER NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2024

7. Designated Funds

The income funds of the charity include the following designated funds that are to meet any future events that may impact funding and other revenues, including a further wave of disruption caused by Covid-19, and set aside by the management committee for specific purposes:

purposes:
Emergency Repair Contingency
Contingency planning reserve
Termination of services contingency
Future Staff Costs and Pensions
Balance at 31
March 2023
47,300
80,000
40,000
50,000
217,300
New
-
-
-
-
-
Utilised/
Realised
Balance at
31 March
2024
-
47,300
-
80,000
-
40,000
-
50,000
-
217,300
217,300

8. Unrestricted Funds

Unrestricted Funds
Designated Funds (Note 9)
Balance at 31
March 2023
1,011
217,300
218,311
Incoming
164,236
-
164,236
Outgoing
162,860
-
162,860
Balance at
31 March
2024
2,387
217,300
Balance at
31 March
2024
2,387
217,300
Balance at
31 March
2024
2,387
217,300
219,687

NEIGHBOURCARE ANDOVER

APPENDIX TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2024

RESERVE POLICY

The policy is written in the light of the Charities Commissions Guidance “Charities Reserves” (CC10, May 1997) which states “to justify their holding of reserves, trustees should have a reserve policy, based on a realistic assessment of their reserve needs”.

Reserves are defined as “income which becomes available to the charity and is to be expended at the trustees’ discretion in the furtherance of any charity’s objects (sometimes referred to as “general purpose income”) but what is not yet spent, committed or designated.

The definition of reserves therefore excludes: permanent endowment, restricted funds, designated fund and income funds which could only be realised by disposing of fixed assets held for charity use.

The reserve policy should cover as a minimum:

Why Andover Neighbourcare needs reserves

down of the services and for the transfer of those services to other agencies in order to maintain the provision of services to the beneficiaries of the charity.

Establishing and maintaining reserves at the agreed level

Exit Strategy

The exit strategy had been formulated given the absence of any secured funding from either Hampshire County Council or Test Valley Borough Council (annually assessable). If future fund raising and income generating activities are unsuccessful, and based upon no other longterm source being found, the following strategy would be adopted to minimise the impact on the provision of services and to ensure the continuation of as much work within the charity’s constitution being undertaken as possible.

The time scale upon which the strategy has been developed is three months.