STOCKTON SHOPMOBILITY
LIMITED
ANNUAL REPORT 2020-2021
Contents
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Contents Page 1
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Mission Statement Page 2
3. Report of the Trustees Page 3 - 5
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Reference and Administrative Information Page 6
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Statistical Information Page 7 - 13
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Financial Summary Page 14
7. Acknowledgements Page 15
1
STOCKTON SHOPMOBILITY LIMITED
MISSION STATEMENT
"Our mission is to help people of all ages with mobility problems achieve a better level of independence.
This could be shopping, participating in leisure pursuits or meeting with friends.
As part of this mission, we provide mobility scooters, wheelchairs and walking aids, daily living aids maintained to the highest standard."
Stockton Shopmobility Ltd are core funded by
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Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
The Trustees who are also directors of the charity for the purposes of the Companies Act 2006, present their report with the financial statements of the charity for the year ended 31 March 2021. The trustees have adopted the provisions of Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2015).
OBJECTIVES AND ACTIVITIES
Principle objectives, activities and achievements for the public benefit
The principal activity of the business continues to remain the hiring of disability equipment and the selling of disability aids and equipment. We strive to supply an extensive range of items, from small items like walking sticks and shower stools to larger items, such as scooters, riser recliner chairs and profiling beds . Profits from Shopmobility retail are, as always, ploughed back into improving our services and updating our fleet of hire equipment. Shopmobility also offers driver training through our Scoot Safe Campaign, as well as servicing and repair of vehicles. Looking after customers is very important to Stockton Shopmobility Ltd and we aim to find the right product to meet the individual needs of the customer. Our aim is to provide quality services as reasonable prices. Stockton Borough Council hosts several major events in and around the High Street throughout the year and mobility hire equipment is available for these events wherever possible.
The main achievements of the charity have been the increased independence for our clients using the hired mobility equipment. It enables clients to shop, meet friends for coffee or lunch, or to simply enjoy being out the house for a while. Enabling people to get out and about brings revenue to businesses in the town centre,
We are gaining a reputation for fair prices for our retail equipment, meaning that customers have a better chance of affording their own equipment.
The Trustees have had due regard to guidance published by the Charity Commission on public benefit.
Reserves Policy
The Trustees believe that the Charity should hold financial reserves because it has no endowment funding and is entirely dependent upon donor funding from year to year which is inevitably subject to fluctuation and it needs to ensure that it can meet its contractual liabilities as they fall due.
In light of the above, the Trustees have established a policy whereby the unrestricted reserves should be no less than three months of unrestricted expenditure. This would equate to and has been set at £35.000 currently total unrestricted reserves stand at £128,255 .
Reserve income will be held in a bank account considered to pay the most favourable interest rates and will be reviewed annually.
3
Stockton Shopmobility Limited
Stockton Shopmobility Limited
Report of the Trustees for the Year Ended 31 March 2021
FUTURE PLANS - Stockton Shopmobility Limited remains, as always, committed to its core purpose of providing, for hire, our disability equipment to people of all ages that have mobility problems, helping them achieve a better level of independence.
The last year of trading has been very challenging. We operate in a sector which has been affected by the Covid 19 world pandemic. The Company has been closed during the respective lockdown periods and the staff furloughed. Notwithstanding the pandemic the staff have responded well and the furlough scheme has worked efficiently. Operating under the banner of Stockton Shopmobility Centre has had a positive effect on our retail sales which continue to display an encouraging trend even during the Covid health crisis. The Company has benefitted from consumer saving trends during lockdown. Profits from these sales continue to be reinvested back into the Company, which has enabled us to review our entire hire-fleet, as well as being able to carry more stock, giving customers a better informed choice.
Our long-term aim remains the same, to be self-sustaining and provide a quality service in both our retail outlet and the Shopmobility scheme.
Safety of both our clients and the general public remains a priority with us. We will endeavour to take our Scoot Safe Campaign out into the community, so continuing to educate both mobility scooter users and the general public.
Our long- term future has been the subject of much debate over the last year as funding from the local Authority has only been granted on a reducing level. However, we are pleased to say that following a meeting with council officers we are endeavouring to secure further funding by constructing a structured business plan with their input and support. This collaboration has also included the development of a marketing and publicity campaign.
Other funding will continue to be sought, but at the time of writing, we still do not fall within current criteria requirements and there are limited options due to challenging economic conditions. That said, we continue to be reasonably successful with retail sales and are concentrating on this to enable us to plough profits back into the Charity. This year the Charity shows an overall net profit of £4,648 in 2021 as opposed to a negative figure of £7,701 loss in 2020.
Every effort will be made to find ways to carry our worthwhile and much needed service to our clients.
STRUCTURE, GOVERNANCE AND MANAGEMENT Governing document
The charity is controlled by its governing document, a deed of trust, and constitutes a limited company, limited by guarantee, as defined by the Companies Act 2006.
In the event of the charity being wound up, the liability in respect of the guarantee is limited to £1 per member of the charity. A board of six trustee directors governs the charity, and the Manager carries out the day to day running of the service and manages the strategic development of the organisation. In addition, there are co-opted, non-voting members, who attend board meetings in an advisory capacity, who represent some of our partners such as Stockton Borough Council.
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Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
STRUCTURE, GOVERNANCE AND MANAGEMENT Induction and training of new trustees
All trustees receive a full induction pack, which outlines their duties and responsibilities. This includes information about the Charity Commission rules and regulations, company policies and procedures, and good practice in governance. Mr Michael Womphrey has a professional background in law and human resource management and provides training for all trustees of the company and employment law and good governance.
Risk management
The trustees have a duty to identify and review the risks to which the charity is exposed and to ensure appropriate controls are in place to provide reasonable assurance against fraud and error.
In deciding what constitutes a risk, the trustees considered the following headings:-
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Governance and Management
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Operational risk
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Financial risk
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Environmental/External Factors
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Compliance Risk (Law and regulation)
Within each heading the trustees identified the potential risk to the charity, the appropriate control measures needed to manage the identified risk and an assessment of the risk level when those control measures have been applied.
The trustees have given particular consideration to the financial risks to the charity and have prepared a Reserves policy to ensure that its contractual obligations can always be met.
The trustees will review the Risk Management Strategy annually.
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Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Company number 03061335 (England and Wales)
Registered Charity number 1048199
Registered office
81 High Street Castlegate Centre Stockton on Tees TS18 1AF
Trustees
M Womphrey (Chair) L Osborne (Vice Chair) S Ewing (Resigned on 20/12/20) Councillor A McCoy A Osborne
Board Members
Councillor M Javed (Stockton Borough Council) Company Secretary D P Barwick
Independent examiner
Anderson Barrowcliff LLP Chartered Accountants 3 Kingfisher Court Bowesfield Park Stockton on Tees TS18 3EX
Bankers
HSBC Bank plc 136 High Street Stockton on Tees TS18 1LR
This report has been prepared in accordance with the special provisions of Part 15 of the Companies Act 2006 relating to small companies.
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MANUEL WHEELCHAIRS HIRE STATISTICS
| APRIL | 2017-2018 9 20 |
TOTAL EACH MONTH | 1 11 |
| APRIL | 2018-2019 20 21 |
TOTAL EACH MONTH | 10 0 |
| MAY | 2017-2018 9 20 |
TOTAL EACH MONTH | 7 13 |
| MAY | 2018-2019 20 21 |
TOTAL EACH MONTH | 12 0 |
| JUNE | 2017-2018 9 20 |
TOTAL EACH MONTH | 5 13 |
| JUNE | 2018-2019 20 21 |
TOTAL EACH MONTH | 13 0 |
| JULY | 2017-2018 9 20 |
TOTAL EACH MONTH | 15 7 |
| JULY | 2018-2019 20 21 |
TOTAL EACH MONTH | 4 1 |
| **AUGUST ** | 2017-2018 9 20 |
TOTAL EACH MONTH | 10 7 |
| **AUGUST ** | 2018-2019 20 21 |
TOTAL EACH MONTH | 8 4 |
| SEPTEMBER | 2017-2018 9 20 |
TOTAL EACH MONTH | 6 9 |
| SEPTEMBER | 2018-2019 20 21 |
TOTAL EACH MONTH | 5 4 |
| OCTOBER | 2017-2018 9 20 |
TOTAL EACH MONTH | 7 |
| OCTOBER | 2018-2019 20 21 |
TOTAL EACH MONTH | 6 4 |
| NOVEMBER | 2017-2018 9 20 |
TOTAL EACH MONTH | 4 5 |
| NOVEMBER | 2018-2019 20 21 |
TOTAL EACH MONTH | 11 0 |
| DECEMBER | 2017-2018 9 20 |
TOTAL EACH MONTH | 6 9 |
| DECEMBER | 2018-2019 20 21 |
TOTAL EACH MONTH | 8 0 |
| JANUARY | 2017-2018 9 20 |
TOTAL EACH MONTH | 1 5 |
| JANUARY | 2018-2019 20 21 |
TOTAL EACH MONTH | 9 0 |
| FEBRUARY | 2017-2018 9 20 |
TOTAL EACH MONTH | 4 1 |
| FEBRUARY | 2018-2019 20 21 |
TOTAL EACH MONTH | 8 0 |
| **MARCH ** | 2017-2018 9 20 |
TOTAL EACH MONTH | 15 3 |
| **MARCH ** | 2018-2019 20 21 |
TOTAL EACH MONTH | 8 0 |
| WHEELCHAIR HIREOVERALL | 2017-2018 9 20 |
81 90 |
|
| COVID 19 |
|||
| WHEELCHAIR HIREOVERALL | 2018-2019 | 102 | |
| ~~WHEELCHAIR HIREOVERALL~~ | ~~2020-2021~~ | ~~13~~ |
Stockton Shopmob ility Limited Report of the Trustees for the Year Ended 31 March 2021
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Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
POWERCHAIRS HIRE STATISTICS
| APRIL | 2019-2020 | TOTAL EACH MONTH | 4 | |
| APRIL | 2020-2021 | TOTAL EACH MONTH | 0 | |
| MAY | 2019-2020 | TOTAL EACH MONTH | 4 | |
| MAY | 2020-2021 | TOTAL EACH MONTH | 0 | |
| JUNE | 2019-2020 | TOTAL EACH MONTH | 6 | |
| JUNE | 2020-2021 | TOTAL EACH MONTH | 0 | |
| JULY | 2019-2020 | TOTAL EACH MONTH | 4 | |
| JULY | 2020-2021 | TOTAL EACH MONTH | 0 | |
| AUGUST | 2019-2020 | TOTAL EACH MONTH | 4 | |
| AUGUST | 2020-2021 | TOTAL EACH MONTH | 4 | |
| SEPTEMBER | 2019-2020 | TOTAL EACH MONTH | 4 | |
| SEPTEMBER | 2020-2021 | TOTAL EACH MONTH | 4 | |
| OCTOBER | 2019-2020 | TOTAL EACH MONTH | 2 | |
| OCTOBER | 2020-2021 | TOTAL EACH MONTH | 4 | |
| NOVEMBER | 2019-2020 | TOTAL EACH MONTH | 3 | |
| NOVEMBER | 2020-2021 | TOTAL EACH MONTH | 0 | |
| DECEMBER | 2019-2020 | TOTAL EACH MONTH | 4 | |
| DECEMBER | 2020-2021 | TOTAL EACH MONTH | 0 | |
| JANUARY | 2019-2020 | TOTAL EACH MONTH | 1 | |
| JANUARY | 2020-2021 | TOTAL EACH MONTH | 0 | |
| FEBRUARY | 2019-2020 | TOTAL EACH MONTH | 3 | |
| FEBRUARY | 2020-2021 | TOTAL EACH MONTH | 0 | |
| MARCH | 2019-2020 | TOTAL EACH MONTH | 4 | |
| MARCH | 2020-2021 | TOTAL EACH MONTH | 0 | |
| POWERCHAIRS HIRE OVERALL 2019-2020 43 |
||||
| POWERCHAIRS HIRE OVERALL | 2019-2020 | 43 | ||
| COVID 19 |
||||
| POWERCHAIRS HIRE OVERALL | 2020-2021 | 12 |
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Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
SCOOTER HIRE STATISTICS
| APRIL | 2019-2020 | TOTAL EACH MONTH | 145 |
| APRIL | 2020-2021 | TOTAL EACH MONTH | 0 |
| MAY | 2019-2020 | TOTAL EACH MONTH | 180 |
| MAY | 2020-2021 | TOTAL EACH MONTH | 0 |
| JUNE | 2019-2020 | TOTAL EACH MONTH | 168 |
| JUNE | 2020-2021 | TOTAL EACH MONTH | 19 |
| JULY | 2019-2020 | TOTAL EACH MONTH | 171 |
| JULY | 2020-2021 | TOTAL EACH MONTH | 66 |
| AUGUST | 2019-2020 | TOTAL EACH MONTH | 176 |
| AUGUST | 2020-2021 | TOTAL EACH MONTH | 84 |
| SEPTEMBER | 2019-2020 | TOTAL EACH MONTH | 138 |
| SEPTEMBER | 2020-2021 | TOTAL EACH MONTH | 85 |
| OCTOBER | 2019-2020 | TOTAL EACH MONTH | 148 |
| OCTOBER | 2020-2021 | TOTAL EACH MONTH | 81 |
| NOVEMBER | 2019-2020 | TOTAL EACH MONTH | 136 |
| NOVEMBER | 2020-2021 | TOTAL EACH MONTH | 3 |
| DECEMBER | 2019-2020 | TOTAL EACH MONTH | 119 |
| DECEMBER | 2020-2021 | TOTAL EACH MONTH | 66 |
| JANUARY | 2019-2020 | TOTAL EACH MONTH | 118 |
| JANUARY | 2020-2021 | TOTAL EACH MONTH | 0 |
| FEBRUARY | 2019-2020 | TOTAL EACH MONTH | 108 |
| FEBRUARY | 2020-2021 | TOTAL EACH MONTH | 0 |
| MARCH | 2019-2020 | TOTAL EACH MONTH | 77 |
| MARCH | 2020-2021 | TOTAL EACH MONTH | 0 |
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| SCOOTER HIREOVERALL | 2019-2020 | 1684 | |
| COVID 19 |
|||
| SCOOTER HIREOVERALL | 2020-2021 | 429 |
Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
TOTAL OF ALL SERVICES STATISTICS
| APRIL | 2019-2020 | TOTAL EACH MONTH | 160 |
| APRIL | 2020-2021 | TOTAL EACH MONTH | 0 |
| MAY | 2019-2020 | TOTAL EACH MONTH | 197 |
| MAY | 2020-2021 | TOTAL EACH MONTH | 0 |
| JUNE | 2019-2020 | TOTAL EACH MONTH | 188 |
| JUNE | 2020-2021 | TOTAL EACH MONTH | 19 |
| JULY | 2019-2020 | TOTAL EACH MONTH | 184 |
| JULY | 2020-2021 | TOTAL EACH MONTH | 67 |
| AUGUST | 2019-2020 | TOTAL EACH MONTH | 187 |
| AUGUST | 2020-2021 | TOTAL EACH MONTH | 92 |
| SEPTEMBER | 2019-2020 | TOTAL EACH MONTH | 151 |
| SEPTEMBER | 2020-2021 | TOTAL EACH MONTH | 93 |
| OCTOBER | 2019-2020 | TOTAL EACH MONTH | 157 |
| OCTOBER | 2020-2021 | TOTAL EACH MONTH | 89 |
| NOVEMBER | 2019-2020 | TOTAL EACH MONTH | 144 |
| NOVEMBER | 2020-2021 | TOTAL EACH MONTH | 3 |
| DECEMBER | 2019-2020 | TOTAL EACH MONTH | 132 |
| DECEMBER | 2020-2021 | TOTAL EACH MONTH | 66 |
| JANUARY | 2019-2020 | TOTAL EACH MONTH | 124 |
| JANUARY | 2020-2021 | TOTAL EACH MONTH | 0 |
| FEBRUARY | 2019-2020 | TOTAL EACH MONTH | 113 |
| FEBRUARY | 2020-2021 | TOTAL EACH MONTH | 0 |
| MARCH | 2019-2020 | TOTAL EACH MONTH | 84 |
| MARCH | 2020-2021 | TOTAL EACH MONTH | 0 |
| TOTAL OF ALL SERVICES | 2019-2020 | 1821 | ||
| COVID 19 |
||||
| TOTAL OF ALL SERVICES | 2020-2021 | 429 |
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Long Term Hire April 2019 - March 2020
Statistics
| 2019/2020 | Manuel Chair |
Scooter | Powerchair | Total |
|---|---|---|---|---|
| APRIL | 4 | 4 | 0 | 8 |
| MAY | 3 | 4 | 0 | 7 |
| JUNE | 3 | 5 | 0 | 8 |
| JULY | 8 | 4 | 2 | 14 |
| AUGUST | 6 | 3 | 1 | 10 |
| SEPTEMBER | 4 | 2 | 0 | 6 |
| OCTOBER | 2 | 1 | 0 | 3 |
| NOVEMBER | 3 | 2 | 0 | 5 |
| DECEMBER | 3 | 3 | 0 | 6 |
| JANUARY | 1 | 1 | 0 | 2 |
| FEBRUARY | 1 | 0 | 0 | 1 |
| MARCH | 1 | 0 | 0 | 1 |
| TOTALS | 39 | 29 | 3 | 71 |
Long Term Hire April 2020 - March 2021 COVID 19 Statistics
| 2020/2021 | Manuel Chair |
Scooter | Powerchair | Total |
|---|---|---|---|---|
| APRIL | 0 | 4 | 0 | 4 |
| MAY | 0 | 4 | 0 | 4 |
| JUNE | 1 | 2 | 0 | 3 |
| JULY | 0 | 3 | 0 | 3 |
| AUGUST | 0 | 4 | 0 | 4 |
| SEPTEMBER | 1 | 8 | 0 | 9 |
| OCTOBER | 0 | 0 | 0 | 0 |
| NOVEMBER | 0 | 4 | 0 | 4 |
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| DECEMBER | 1 | 0 | 0 | 1 |
|---|---|---|---|---|
| JANUARY | 0 | 4 | 0 | 4 |
| FEBRUARY | 0 | 4 | 0 | 4 |
| MARCH | 0 | 4 | 0 | 4 |
| TOTALS | 3 | 41 | 0 | 44 |
Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
New Registrations April 2019 - March 2020 Statistics
| 2019/2020 | No of local registrations | Registrations non Stockton residents |
Total |
|---|---|---|---|
| APRIL | 9 | 8 | 17 |
| MAY | 8 | 7 | 15 |
| JUNE | 12 | 10 | 22 |
| JULY | 11 | 8 | 19 |
| AUGUST | 12 | 11 | 23 |
| SEPTEMBER | 11 | 9 | 20 |
| OCTOBER | 13 | 8 | 21 |
| NOVEMBER | 8 | 8 | 16 |
| DECEMBER | 6 | 5 | 11 |
| JANUARY | 8 | 4 | 12 |
| FEBRUARY | 5 | 5 | 10 |
| MARCH | 5 | 6 | 11 |
| TOTALS | 108 | 89 | 197 |
New Registrations April 2020 - March 2021 Statistics COVID 19
| 2020/2021 | No of local registrations | Registrations non Stockton residents |
Total |
|---|---|---|---|
| APRIL | 0 | 0 | 0 |
| MAY | 0 | 0 | 0 |
| JUNE | 4 | 0 | 4 |
| JULY | 7 | 7 | 14 |
| AUGUST | 10 | 8 | 18 |
| SEPTEMBER | 9 | 4 | 13 |
| OCTOBER | 7 | 4 | 11 |
| NOVEMBER | 0 | 0 | 0 |
| DECEMBER | 4 | 2 | 6 |
| JANUARY | 0 | 0 | 0 |
| FEBRUARY | 0 | 0 | 0 |
| MARCH | 0 | 0 | 0 |
|---|---|---|---|
| TOTALS | 41 | 25 | 66 |
Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
12
Information Requests April 2019 - March 2020 Statistics
| 2019/2020 | RETAIL | EQUIPMENT HIRE | Total |
|---|---|---|---|
| APRIL | 85 | 160 | 245 |
| MAY | 90 | 197 | 287 |
| JUNE | 86 | 188 | 274 |
| JULY | 100 | 184 | 284 |
| AUGUST | 90 | 187 | 277 |
| SEPTEMBER | 95 | 151 | 246 |
| OCTOBER | 62 | 157 | 219 |
| NOVEMBER | 78 | 144 | 222 |
| DECEMBER | 65 | 132 | 197 |
| JANUARY | 84 | 124 | 208 |
| FEBRUARY | 50 | 113 | 163 |
| MARCH | 45 | 84 | 129 |
| TOTALS | 930 | 1821 | 2751 |
Information Requests April 2020 - March 2021 Statistics COVID 19
| 2020/2021 | RETAIL | EQUIPMENT HIRE | Total |
|---|---|---|---|
| APRIL | 0 | 0 | 0 |
| MAY | 0 | 0 | 0 |
| JUNE | 30 | 22 | 52 |
| JULY | 90 | 70 | 160 |
| AUGUST | 80 | 96 | 176 |
| SEPTEMBER | 85 | 102 | 187 |
| OCTOBER | 70 | 89 | 159 |
| NOVEMBER | 5 | 3 | 8 |
| DECEMBER | 50 | 66 | 116 |
| JANUARY | 0 | 0 | 0 |
|---|---|---|---|
| FEBRUARY | 0 | 0 | 0 |
| MARCH | 0 | 0 | 0 |
| TOTALS | 410 | 448 | 858 |
Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
13
Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
Income Generation
Retail income has decreased this year. £ 83,756 was generated over the year compared to £ 104,925 last year.
Hire fees have decreased this year and generated £ 5,930 in comparison with last year’s £ 12,715 Donations and grants received, totalled £ 32,399 compared with £ 74 last year. Grants - Stockton Borough Council £6,000 Other trading activities £0.00 Investment Income £69.00
Total income this year was £ 128,255 compared to £ 123,607 an increase on last year’s figure.
Expenditure
Total expenditure this year was £ 123,506 compared to £ 137,884 in the previous year.
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Stockton Shopmobility Limited Report of the Trustees for the Year Ended 31 March 2021
Acknowledgements
Stockton Shopmobility Ltd wishes to thank the following individuals and organisations for their support and contributions over the last year:
Acorn Stairlifts /Companion Stairlifts
Anderson Barrowcliff (Chartered Accountants)
Brian Jackson (B Supplied Ltd)
Castlegate Management (Karen Eve)
Drive Medical (Retail Supplier)
GreenPower (Retail Supplier)
Freerider (Retail Supplier)
Kozee Komforts (Retail Supplier)
Mark Bates (Scooter & Wheelchair Insurance)
One Rehab (Retail Supplier)
Roma Medical (Retail Supplier)
Stockton Borough Council (Funding)
SBC Support Team (Marc Bould, Karen Shaw & Neil Coleman, Rachel Braithwaite)
Tom Franks (Engineering & Media)
Van Os Medical (Retail Supplier)
Z - Tec Mobility (Retail Supplier)
Stockton Shopmobility Limited Report of the Trustees and L'naudited Financial SlatemenL8 for the Year Ended 31 Marcb 2021 "And*son Bmw¢liff LLP oifi¢¢ C ANDEIiSON BARROWCLIFF LLP Chartered AccouDlaDts
Stocktoll Sbo Contents ofthe FADaDcial Ststements for the Year ded 31 March 21121 Report of tbe TTWtees I to 4 Indepeudent EuDEiDeVs Report Statemettt of FSllaDetal Aetivlti¢s Balallee Sheel 7 to 8 Notes to the Finalle] Statements 9 to 15
Stockton Sbo oblli ort ofthe Trustee5 ror tbe Year EDded 31 Mareh 202 The ttustees who are also di]rcty of the cbaTity for the pmposes of the Compallie5 Art 2006. present their report with the financial statements of the clwity for the year pJJded 31 MardL 2021. The IDJstees have adopted the provisions of Accounting alld Reporting by ChaTities.' StsteJll¢nt of Recolluueuded Practice applicabl¢ to clwities pr¢pariDg their accouDts in ac¢orde tb¢ Fioancial RepoTtiDg Stslldard applicable iti th¢ UK and Repub]ic of Irelalld (FRS 102) (¢ffethive l January 2019). PriDelple obj¢¢ttYes activitles alld achievemettts for the public benefjt The priucipal actiTrity of the busin contillll¢S to rejnaiu the bng of disability equi[ent and the s¢llillg of disability aids and ¢quip]nent. W¢ strive to stpty extthsive range of items. fro Sllll itenLS ]ike FTrllang sticks aTLd shower stools to knger item4 such as scoot¢rs, tiser Tec]inff chairs and PTofiling . Prnfits from Shopmobility r¢tail are. as always, plougbed back into inwroviDg our services and wthtiDg our fleet of hire ¢qll]pent. shilpbilIty also offers thivertrai-Diog through our Scoot Safe Cawigt4 &$ wcll as servicing and ryir of vebicles. Lkig aftw customers is very importaut to Stockton ShOp0b11ity IAd and we aim to filld the right product to meet the individual neIS of the custorneT. Our aitn is to provide qualiry Servic as reag)llable prices. Stcthon B(rW Council hosts several rnaj ¢v¢Dts in and arnlld tbe Higb Street througbout the year arLd mobility bire equip]nent is available for thes¢ eve]Lts Ivhereverpossibl& The ll]n acb1evets of the charity have been the incre&8ed illthpenden¢e for our c]ients using the hired mobxlity equipment. It enables cliellts to shop. llLeet friends for wffee or lun tr to Situply enjoy being out the house for a NTrbiIe. Enab]ing peopl¢to get out and aboutbrings rEV¢DU¢ to blnesseS ill the tovn centr¢. affording their ovJn equipJneuL The Trustees have bad due regardto guidwepublishedby the ChaTity Commi&llon on rrtthlic benefit. FINANCIAL REVIEW Reserves poliey The Tte¢S believe that the chlty should hold fioancizl rBserYes beCaSe it bas Do endowmellt fidillg and is elliirety dependent upon donor funding from y¢ar to Y which is inevitabty subje(X to tIuCtiti0ll and it needs to ensure that it caiitiieet its contract liabilities as they fall due. ljk Jigbt of th¢ aVe. the TTUStee3 have established a policy Ththereby the utr&%trictEd reserves should be no less th8 tbr¢¢ months of unrestrided expenditiJr¢. Thts woum • tt) eStrICtedTeser¥eS of approxillIY £35.000, ¢urrently utrestrictedres¢rves stand at £128,255 of wbith £125.288 are free reserves. K&8erve iticome will be held iu a bank account e0Th5idered to pay th¢ m05t favourable iDt¢Test rates and be revkewed awiua]ty. Pag¢ I
tocktoll Sbo mobi ort ofthe Trllstees ded 31 March 2Ql forthey Stocktott Shopmobility Limited remai, as alway8 to its Core wose of providiD& for bir¢, our di5abi]ity ewipwent to people of all ages that havemobility problenTrs. helping them xhieve a ixtter level of independence. The last year of trading h&8 beeu very challew We operate in a sector 1¢ h&$ been thed by the CovAd 19 w(fld palldezllic. The Cow has closed dwAng the r¢spertive lockdown perkods alld the sraff fitrlougbeiL Notwithstanding the pandemic the staff have responded well the firlobgh schellLe has worked efficItty. Otwating under the bauner of Stockton Sbopmobility Centre bas had a tM)Sitive ely on ourretail sal¢s whith CODtinue to display an eurouraging trend eveD (knjring the cOd bealth LTiSiS. The CopanY has Inelled fro]n savillg tren(ts during lockdowL Profits from these ¢$ conttnue to be reFnvested back iuto the Company. lch ]]L8 euabled us to review our elltire ILire-flee¢ a5 well as being able to cally more stCKL givingcustomas a better iDfornied choice. Our long.temi aim tLe s2me. to be stIf4$tai01llg aDd PD)vide a qllality service in both ow r¢tsil 01¢1 and the Shcq)mobi]ity sth¢me. Safety of both ow die[ aThd the gal pub]ic remaitts & yAoIity with us. W¢ will endeavour to take ovr Scoot Safe Catnpaigll Out iTrto the cottttuuty, soconttttuiug to educate bothJuobiIity scoot$ and the general pub]ic. CA]r long- terffj futur¢ ha8 beentbe Subj ofmuth thbat¢ ova the la8tyEaras thding fr(ffluth¢ lo¢a] Autborty]w ollIy been grdllted on a reductllg leveL Howevff. we ar¢ pleased to say that followi]]g a m¢etillg wttb c4)uncil offico5 we are endeavoIng to secure fi]rther fidIng by a structhd bll5ID plan ThitlL their itiput Support. This collabmtion has also iorluded the deYelopm¢nt of am&*et(og aDd publicityc8mpaig Other fidITrg will continlle to be sougbL but at the lime of wrAtiD& we still do not fa][ within ¢wllt qiterta requireTnents alld lin)ited optiODS to dllengIg eColl¢ conditions. That sail we Colltillue to be reasonably successfid with r¢tail sale5 and a eoucelllIating on this to a]able w to plough pmfits back into the Ch8rÈty. This year the C]wity sb¢)ws an overall net 5p15 of £4.648 as opposed to anegative figure of£ 7.701 in 2020. Every effort be mad¢ to fitkd Iy$ to ¢arry ourwortbvA]il¢ aud niuch nttd¢dservi¢e to our clients. Gov¢rDillg document The charity is coutrolled by its governiDg docutneu4 a deed of and constitutes a ]itnited Company, lÈmited by guar8tr. as defined by tbe cOanieS Act 2006. the ev¢llt of the charity b¢illg wound up. the ]iability in respect of th¢ arantee is litnited to £1 per member of the ¢baTity. A board of six trustee diTectors govews the cknity. and the Manager cakTA¢S Out the day to day nming of tILe service 8lldmallages the Strategic developellt of the organisthon. In a(tditioo there ar¢ ¢frOpte rLon.votitig members. who attend board meetiw all advisory capacity. who Tepresent some of owpth¢rs such StocktOD Borough CouuriL Ini]uction and traijing olllew trustees All trustees receive a full iD(knction pacL wbicb outlines their thities and respotisibiiitses. This include8 infornMtir abo the CEity Commission rules regu]atiots% ¢ompally polici&s and procedures, and go(Kl practice iu goVernaU. Mr Mic1e1 Wonlphrey has g prolessioD31 backgrouod ill law arnd hutll8n Tesource Managellnt and provides trainillg for tr8 of tb¢ ¢ompany atml employment law and good governance. Page 2
Stockton Sho mobi]i ort ofthe Ttee$ ror the YwEnded 31 Mareb 2021 STRUCTL GOVERNANCE AND MANAGEMENr Risk wallagernellt The trustBes have a to idelltify aud review the risks to which the charity is exposed aa to appropriate controls are in place to provide reasoJ]able &$SuT(C against fraud 2ud em)r. Ill deciding what con#itytes a risK the tnLStS Co%idlth¢ following b¢adings:. . Operation21 risk . F1[1&11]5k . compli¢e Risk aTLd regulation) Within each heading the truste¢s identified the wtethial Tisk to the ¢Irity. the appropriate control measure6 to anag¢ the ideDtified risk and all a8sesstnent ofthe Tisklevel those rrntrolmeasures havebeen applie(L The tti]ste¢s have given paticular consideratioti to the finallcial risks to the and have prep&rd a Re5erve$ policy to ellsute that its c(#knctual obligati4)DS always k MEL The trustees willreview the Riskmallagement Strategy anttu2]ty. Registered Company Dwnber 03061335 (Englalld aud Wale5) Registered Charity nutnber 1048199 R¢tered office 81 High Street C8Stlegale Celltre Stockton on Tees TS18 IAF TrMst¢e5 L Osborne (Vice Cbair) M Womphrey (Chair) S Ewing (Rigned on 20112f20) Coullcillor A Mccoy A 05borne knrd Members Coullcillor M Javed (Stocknon Borough c(RCli) Compally Secretary D P Batwick Page 3
Stockton Sho ort of the Trn5tees for the Year Ended 31 Manh 202 Independent Examfiner Anderson BatYoweIiff LIP Chartered Aeeountants 3 Kingfisher Court Bowesfield Park StocktQLE on T TS18 3EX Battke HSBC BaDkplc 136 Higb Street Stothon on Tees TS18 1111 Thi5 report has prepared in accordatKe with the speci21 FmViSiOllS of Part 15 of the Companies Act 2006 relating Approved by ordtr Ofd board of I.. MWomphr¢y (Chainnan). TnLgtee Pag¢ 4
Dde endent Etr,5 Re rt to tbe Trustea9 of Stoektoll Sho mobili Limited Independent 8]ner'S report to the trnsteu of St(Kkton Sbopmobility Lilled {'the c1jmRy') I report to th¢ charitytrust¢es on Dry exAmithoTJ of the accounts of the CompaTLy for the year ended 3 l March 2021. ResFrf)Dsibilltks and basis of report As the elllriws IStee$ of the mPaY (and also its directh forthe of company ]aw)you are tesponsible for tbe preparntion ofthe oUnts accord wlththerequCnts of the cOnwi Act 2006 Cthe 2006 Acfj. Haying satisfied tbat the accollnts of the Company are not reqtr to be audited uuder Part 16 of the 2006 Act are eligible for iudependelrt examIDatsi I retmn in rw of uty ¢XaMi]on of your charitys outtts a3 ¢anied ort UDder seetioo 145 of the Clwities Art 2011 Cthe 2011 ACV). In canynig out my examinati I have followed the Directions given bytbe Charity Columission und£T section l45(5) (b) of th¢ 2011 Act. Indepejtdettl exajDknes statement I have ¢oDrgleted rny examinthon. I rkn that no mxttcn hav¢ come to my attenti connection with the exami7tioll giviog me La to believe:
¢countingreconl5 WQE Uot kept inrespect ofthe Companyas zeqowed byse¢iion 386 ofthe 2006 ACL or
the accounts do not acwtd with those cor&. or the accounts do not compEy with the atillg requir of sertion 396 of the 21M)6 Act any r¢quireJnentthat the accouuts give alTU¢ and knvi¢wwhith is ttot ajnatter considered as part of 8n ind¢pendent the accout have not be prepared ID accordattt with the methojs alld Principles of th¢ Statement of Recornmellded Practice for accotying and teporting by cbarities (applicable to charitiw prepillg their accounts in accordance with the Finaticial Rep¢)rtiDlP Stondard applicable tn the UK and R¢public ofJrelatsd IFRS 102)). I bave tto concerns and ve come a¢ross no other matters in connection with the examination to whicb att¢ution shouLd be drawn in tbi8 report in ord¢rto enable apmperwkdetsding of the cOUnts to bereached. D JRobertson FCA Anderson B0W¢]7ffIl 3 Killgfisher Court Bowesfield Park St(tholl ¢)n Tees TS18 3EX .J3A
tocktoll Sho tatetDent of Fingneial Activities for the r Ended 31 Marclj 2021 2021 Totsl fwids 2020 Total fjjnds UJllestsi¢t¢d R&8tri&ed fijn fjjnd Notes INcoL AIW Ef4110wmEK FROM LN)natiolls and legacies 3U99 31399 74 Charitable activities Grauts. Stockton Boroll Councit Retail Income l2,000 104,925 12,715 83,756 83,756 5930 Other trading athiti49 Investsnent tneome 243 226 69 69 Total J28,A54 128J54 130,183 EXPEL¥DITURE ON Charitable activiti Retail andhire 123,S06 137.884 4648 (7.701} RECONCILL4TION OF FtrNDS Total fwids brought fomrd 123.607 123,607 131 J08 TOTAL FUNDS CARRIED FORWARD 55 128255 123.607 The not@8 foTmpart ofth¢5e fllwici21 strtem Page 6
ockton Sho obiii Limfited Balanee Sheet 2021 Totsl funds 2020 Unr&stricted Restricted fjJnd8 FtXfD ATs Tangible ets 2967 2,967 3,704 Stocks Debtors Cash atbank and in hand 12 13 791 4,9>7 11&883 6,791 4,957 116,883 1,605 5.921 117.078 12&631 128,631 124,604 CREDrroRs Amounts fdlIing due within one year 14 (3J43) (3?43) (4,701) 125288 125288 119,903 LLIBIUTLES 128255 128255 123,607 P4rr ASSETS 128255 128255 123.607 16 Unrestricted fuud 128255 123.607 128255 123.607 The charitable compally is entitled to ¢xetllption from audit uuikr Section 477 of the CompaDies Art 2006 foT the year ended 31 March 2021. The metnbers have not Teqitired the company to obtsin all alldit of its fjllallcial statements for the year endod 31 March 2021 ill a¢cordall¢e Ivith secti 476 ofthe CompaDi¢S kn 2006. The trnstees acknowledge their reSFK)DsiTrJi]itie5 for (a) ¢nsuring that the chItable PallY keeps ac4mtiDg rordS that ¢ompty with SectÈons 386 387 of the Companies Act 2006 aud (b) preparing fitwicial stsrements which give a true aud fair view of the state of affairs of the charitsble company as at the end of each fjnancial year atLd of its 5wplus or deficit ftr geh fjDan¢ial yw in accordÈD¢e with th¢ reqlllrellts of SertiODS 394 395 and which otherwise (omptyMIth the requir¢m¢nts of the Compauies Act 2(M)6 relating to financial state¢ty so as appIicable to the cl]arityble cortmy. The notrs foTm part of tbes¢ fiuancial sta&ents continueLL..
stoektOD Sho Balallee Sbe¢t- tillued 31 March 2021 These fill¢181 stat¢llJerAts have bm Prep in accord with the povi5iODs applicable to dwitable wmpanies subje¢¢ to the small compalli&s regitne. The fiDallcial s ments were approved by the Board of TnL8tees aud authorid for issue M Womp ey (Chain)Mllj. Tn]stee Thellotes fonn part of these financial statements Page 8
Storkton Sho mob Notes to the FiAanci#l Staternents for the Year Ended reh 2021 STATUTORY INFORMATION Stockton ShoptrLobiltty lityi1 is a ptivate clwitable cotnpatty. liTh1t by guardlltee. reter in F•lld and The financial s¢atements are tresetsj in stedingwhith is the cwrency of the cJ]aritable compally and Touodedto thejmest £. The sigDtfi¢aut accounting policies applied iu the preprtion of thBse financial st2t¢w¢Thts are set below. The poJicies have b¢en ¢0siStalY atvliedto all years prnted ujlless oiheTh¥ise 5trat¢¢l AccOUNTG POLICiFS The fE[knClaI statements have been prepared in accordauce with Ac¢ouQtig and ROrtIng by Charities.. Statement of Recommended Prdrtl applicable to charities prepariDg their counts in aecori]allce with tbe Financial Reporting stalldd appiicable in the UK and Republi¢ of Irelalld (FRS 102) (¢ffectiv¢ l January 2019) . {Cbarities SORP (FRS 102)), the FitMn¢iaL RwtsDg Standard applicable in the trK ard Republic of Trelaud (FRS 102) ¥ndthe Compallies 2006. Stockton Shopmobllity Ltd eets the definÈtion of a wblic benefit Entity UD(ler FRS 102. Assets and ]iabilities are illititilty recognised at historical cost or Irall5action valu¢ unless otherwise stated the relevant 2ccountillg policynote. COME Itents of irtcoll are ttcogo]d arLd in¢ded Anthe aCcOts all the followingcriteria aTe met - The cIwity hav¢ entitlement to th¢ fullds. . Any perfornkce conditious attached to the ii¢m(s) of illcome have kn met or are fifflywitbin the colltrol of the charity. . There is sufficient ceLtsttitythat recetpt of the illcityme is c(Jnsid¢redprobable' 8nd . The atnournt eaSu1areliabty. period for which it h&s beenre¢¢ive(L Such itaco]ne 15 only deftrrediwhe . The donorspe¢ifies that the di)nl0M# ontybe nsed in fjjth awuDtillg peri. or . Th¢ donorb&s itnpospAJ conditiOL8 i+tiich UNL*be metbefore the cknity Ilas nConditional entitlem¢nL tuves1Cllt Incon is recoBws&J on a rK¢ivable basis. Income from charitabl¢ ac1ivities iLdes tDeOLue r<YogDised ¢amed {as tILe related goo<Ls or services are provided) under contract or where entitlement to grnit fijllding subject to specific perfOrn conditigns. Grant iry¢ome itLcluded in this category provid¢s fimding to prograll)me acttVtti¢s and IS Tecognisect where there is entitlew certainty of TK¢tpt and the atnouDt cau be mwured with sufficient reliability. There is no ndting off within the #Cnts. Liabiliti¢6 are Tecognised a5 soon &8 ther¢ is a legal or COL%trudive obligation committing tbe c(wllpany to the expenditure. AIE eTpenditure is a¢¢ouDted for on att accruals basis and hag betn classified und¢r headings tbat egat¢ all costs telated to the category. It iucludes attributable VAT which callnotbe recovere Chatitabl¢ exnd1th comprise5 those COSL8 itr by the w]npany in the delivery of its a¢Éivities and services for its beneficiaries. It iucludes both COSLS cau be allocated directty to such activities th98e Costs of 8n indirect llat¢ ne¢es5aryto wp)rt th¢DL Support Costs include celltral functions and bAve been allocated to aCtIty cost categories oll a basis CODSiSten¢ with tbe use of resoutces: for exampl4 allocating pop¢rty cts by flo areas. or per capit4 8taff costs by the till spent aud other costs by usage.
Stoekton Sho oblli r4otes to the Fill4JJcial Ststt]ll¢uts- eontillu forth¢ Y¢ar Ended 31 M#reh 2021 Accoiif4TING POLICILS. contiDDed Governallce wsts include those incuryed in the governance of the chlty are a&sociated the constitutional and statutoryrequir¢Jll¢llt& TANGtBLE FIXED ASSETS Fixed assets are slated atcost Iw acc depreciatso Assets purcb&sed from T¢Stticted fy[$ are capitalised in tbe Balallce ShE¢t aud the fjjnds then transfetted to uure8tri¢ted fund5 as theyhave been eXpded in the year. Depreciation is provided at the following anllvkl T8tes in order to write off eath asset over its estintea usefi Scootets. Chairs etc. 2¥ straigbt line Cornpuier equIp_ 2/ts strtiight line Furnitute and equipnent. 150A reducitig balance STOCKS Stock5 are valued at the lower of c(trst and netT¢a]isable vakue. thjnakiog due allowance for ob501ete and slow moving nell]s. TAXATIO The cbarity is an ex¢mpt charitywithinthe mealliDg of Schedule 3 ofthe Cbarities Act 2011 aud is congidered to P8SS tbe tests set out in Paragraph l 6 FiDance Act 2010 and t1fore it meets the definition of a cIwAtabl¢ cojnpany forUK corpordtioll tsxpurN)ses. FuT) ACCODIfflNG Unrestricted income fvDIts are general fimds which are available foruse at tbe tnL5tees' discretion in firtierance of th¢ objectives of the compauy. Restricted ffi&s are those donated for w iu a particll area or for splfi¢ the [e of which is restricted to that are& orpurpose. PENSION COSTS AEqD OThER POSf.R£TIREMENT BENEFITS The charitable ConanY operattts a defined contribution wion schejne. CoThtnTr)utIo payable to the Qbaritsble ompatLys Ftns1onschell are cknged totlK Statollentof FitIanci Artivities ill the period to which tbeyrelate. OPERATING LEASFS Relltal paymeDts under optillg ie&ses arr c&arged ill the Ststemellt of Firthnciai Activities on & 51raigbt line basis OV¢TÉbe lease ierm. DEBTORS Trdde and other debtors aiE Teis at the settlement amount thle. CASH AT BANK Cash at ballk and in halld iu¢ludes cash alld sbort temi highly liquid inveStents with a short mathrity of tbTe¢ months or less fromth¢ date of acqutsition or opening oftbe dep)5it or SiD]ilar aecounL CREDfioRS Creditor3 and tffOVASiOD3 are recogtsised whue th¢ cknty h&s a pre*5ellt obiigation resulttog fijnn a p&sl ¢vent tbat probably result ill the transfrr of fiods to a third paty and the amount due to settle the ob]igation catt be ]ne&swed or estinllt¢d Teliabty. CE¢dityr5 andprovision5 n(wlty rewgttised at their s¢ttl¢mett amouaL Page io CODtinlle(L..
S*ock¢oll Sho mobili Notls to Ibe Finaneial Statemets- continued for the Yetr Ended 31 Majyb 2021 ACCOIII¥TING POLICIES. eontinued The charity onlyhas financial asseL8 finallc] liabll[ of aktud that qua]ify as bLSi¢ fjllancial instruments. Basic financial itjstruments are iuittaity recognis at tranwtion value and subsequently meagllred at their settlernent V8Jlle the ¢K(eption of baDk LoaLs whith sUbSeqtty Eueaswed at nOrtISed cost the effective interest metho The clRrity receiyed goverum¢Dt graits iry re6pect of th¢ Coronavirus Job Retention Sclleme alld tbe Small Bu8itiess Grant These grants are recogni at the fair value of the asset received orreceivable when t]e is reasonable &ssurdDC¢ that the charity will comp]y with conditi0ry5 auached to them. The W¢T¢ received USiDg the modeL DONATIONS Af4D LEGACILS 2W20 Sundry donations 74 32?92 32a99 74 Grants receive<i ill¢luded in th¢ abov4 are a8 follow5.' 2021 2020 Goverment Grants. Cll<S 32J92 2021 2020 243 I1 2020 Dep)sit accoullt iotrrest 69 226 Page 11 continued...
stoelrton Sho Lfimitr N te% to the Fwaucial Ststements- CODtinu&l for the Year Ended 31 March 2021 24r21 2020 Direct Costs Costs of goods sold 63J5 77.104 Supptsrt Costs Insan¢¢ 1fj90 15292 2,134 20,024 496 738 185 L529 15,492 2,435 18,372 481 1.410 131 719 2.183 119 2.377 Bank tharg Wages & saIeS PeDSiODS Ikpreciation Telephone Advertising Sundry expenses 1972 109 Gov¢rnance Costs Wages & saleS A¢¢ountancy attd profes5ionalfees 11,1188 4J13 10,062 5.470 123J06 137084 r4ET t¥COMEI(EXPEfiDTfuRE) Net incomel(¢KpenditiJre) is stated after ckngllj(Cred1È[Dg). 2021 2020 Depreciation- Owlled assets 1,410 There were no trustees. remuneration or otbtr ]xnefits for the year 31 mar 2021 nor forthe year ended 31 March 2020. TRUSTEES. EXPENSES There were no trwtees, expenses paid forthe yearthdcd 3 1 March 2tr21 nor for the year ended 31 March 2020. Page 12 Contlllue..
tockton Sho obili Limited ot&s to the FiDanei*l Ststements- ¢ontinued ror the Yt8 dwl 31 March 2021 STAFF COSTS 2021 2020 WagES 8lldsa]aries 31,112 496 28.434 481 31,608 28.915 The &verag¢ monthlynumber ofemployees dwiDg the year as follow?: 2021 2020 No ¢tnployeesreceived ¢0]uMents ill exce&s of£60.000. I(L LEGAL STATUS OF T£ COMPANY The rhaTity is a eoujpauy limÉted by guarantee. The members of the cixllpally the trustees listed on p2ge l. tu the evem ofthe charitytEiJJgwoulld the liability ][Lrrtt0f the 8Urntee is limited to £1 per ]nember of tbe ¢b8rity. 11. TAf4GIBLE FIXED ASSETS FiKtiwes Pjaut and Totals cosr At l April 2020 and 31 March 2021 1&787 &718 iQ199 37.704 DEPREaATION At l April 2020 cge for y 1&787 &629 584 665 34,0 737 At31 MaTth2021 1&787 &701 7249 34,737 NET BOOK VALUE At 31 hlarch 2021 17 2950 2967 At 31 Marth 2020 89 3,615 3,704 li STOCKS 2021 2020 Stocks 6,791 1,605 Page 13
Stocktort Sho mobili Nottt to the Fillaneial StatemeDts- eolltinoed ror the Y¢aT Eaded 31 lareh 21ni 13. DEBTORS.. AMOiTff13 FALLING DUE oily YL4R 2021 2020 VAT Preplymeuts and accnkd incom¢ 1,770 1187 1965 2.956 4,957 5.Y2E 14. 2021 2020 Trade dItO Other creditors Ac¢rnals 1.651 300 2.750 300 2,710 3J43 4.701 15. mini Ie pwients Ulld nm-¢anceliable oper¥ I¢S fall due as follows: 2021 2020 Within oue year B¢twe¢ll one and five years 10375 14,500 10.875 10,875 25.375 16. Net movement in fi]nds At 31.3.21 At 1.420 Lnrestrieted funds General fiod 121607 128,255 TOTAL FUNDS 123,607 128255 etmovetllent in funds. iticluded in the aTrA)ve are as follows: Ellcoming Resources Mov¢rnent resources pellded in fid8 L'llrestricted funiL5 Geoeral fid &154 (123,506) 4,648 12&154 (123,506) 4,648 Page l4 ontinued...
Stockton Sho mobll Notes to the 1ClaI SteeThts- CODtinued for the Year Ended 31 March 2021 IA MOVEMENT If FU)I)S. eoDtiDued Co]nparativu for rnoyement in fuDds Net movement in fuuds At 1.4.19 31.3.20 Ullr&strieted funds General fijnd 131308 17.701) 123,607 TOTAL FUIqDS 131208 (7.701) 123.607 CompaTive netMov¢llt ill fimd& inc]Jed ittthe above ate as follows". eoluing Resources Movement ill funds Ullrestricted Iuuds General fia 130.183 {137.884) (7.701) TOTAL Fuf4DS 130,183 (137,884) (7,701) 17. There wfftllo relattdpartytratetiollS for the year ded 3 1 Marth21Y21. 18. cofiTROL RELATIONI SHIPS The Charity is under the ¢£trol of the Board of TnL8tees as noted onpage l. Pa8e 15
Stockton Shopmobility Limited Report of the Trustees and L'naudited Financial SlatemenL8 for the Year Ended 31 Marcb 2021 "And*son Bmw¢liff LLP oifi¢¢ C ANDEIiSON BARROWCLIFF LLP Chartered AccouDlaDts
Stocktoll Sbo Contents ofthe FADaDcial Ststements for the Year ded 31 March 21121 Report of tbe TTWtees I to 4 Indepeudent EuDEiDeVs Report Statemettt of FSllaDetal Aetivlti¢s Balallee Sheel 7 to 8 Notes to the Finalle] Statements 9 to 15
Stockton Sbo oblli ort ofthe Trustee5 ror tbe Year EDded 31 Mareh 202 The ttustees who are also di]rcty of the cbaTity for the pmposes of the Compallie5 Art 2006. present their report with the financial statements of the clwity for the year pJJded 31 MardL 2021. The IDJstees have adopted the provisions of Accounting alld Reporting by ChaTities.' StsteJll¢nt of Recolluueuded Practice applicabl¢ to clwities pr¢pariDg their accouDts in ac¢orde tb¢ Fioancial RepoTtiDg Stslldard applicable iti th¢ UK and Repub]ic of Irelalld (FRS 102) (¢ffethive l January 2019). PriDelple obj¢¢ttYes activitles alld achievemettts for the public benefjt The priucipal actiTrity of the busin contillll¢S to rejnaiu the bng of disability equi[ent and the s¢llillg of disability aids and ¢quip]nent. W¢ strive to stpty extthsive range of items. fro Sllll itenLS ]ike FTrllang sticks aTLd shower stools to knger item4 such as scoot¢rs, tiser Tec]inff chairs and PTofiling . Prnfits from Shopmobility r¢tail are. as always, plougbed back into inwroviDg our services and wthtiDg our fleet of hire ¢qll]pent. shilpbilIty also offers thivertrai-Diog through our Scoot Safe Cawigt4 &$ wcll as servicing and ryir of vebicles. Lkig aftw customers is very importaut to Stockton ShOp0b11ity IAd and we aim to filld the right product to meet the individual neIS of the custorneT. Our aitn is to provide qualiry Servic as reag)llable prices. Stcthon B(rW Council hosts several rnaj ¢v¢Dts in and arnlld tbe Higb Street througbout the year arLd mobility bire equip]nent is available for thes¢ eve]Lts Ivhereverpossibl& The ll]n acb1evets of the charity have been the incre&8ed illthpenden¢e for our c]ients using the hired mobxlity equipment. It enables cliellts to shop. llLeet friends for wffee or lun tr to Situply enjoy being out the house for a NTrbiIe. Enab]ing peopl¢to get out and aboutbrings rEV¢DU¢ to blnesseS ill the tovn centr¢. affording their ovJn equipJneuL The Trustees have bad due regardto guidwepublishedby the ChaTity Commi&llon on rrtthlic benefit. FINANCIAL REVIEW Reserves poliey The Tte¢S believe that the chlty should hold fioancizl rBserYes beCaSe it bas Do endowmellt fidillg and is elliirety dependent upon donor funding from y¢ar to Y which is inevitabty subje(X to tIuCtiti0ll and it needs to ensure that it caiitiieet its contract liabilities as they fall due. ljk Jigbt of th¢ aVe. the TTUStee3 have established a policy Ththereby the utr&%trictEd reserves should be no less th8 tbr¢¢ months of unrestrided expenditiJr¢. Thts woum • tt) eStrICtedTeser¥eS of approxillIY £35.000, ¢urrently utrestrictedres¢rves stand at £128,255 of wbith £125.288 are free reserves. K&8erve iticome will be held iu a bank account e0Th5idered to pay th¢ m05t favourable iDt¢Test rates and be revkewed awiua]ty. Pag¢ I
tocktoll Sbo mobi ort ofthe Trllstees ded 31 March 2Ql forthey Stocktott Shopmobility Limited remai, as alway8 to its Core wose of providiD& for bir¢, our di5abi]ity ewipwent to people of all ages that havemobility problenTrs. helping them xhieve a ixtter level of independence. The last year of trading h&8 beeu very challew We operate in a sector 1¢ h&$ been thed by the CovAd 19 w(fld palldezllic. The Cow has closed dwAng the r¢spertive lockdown perkods alld the sraff fitrlougbeiL Notwithstanding the pandemic the staff have responded well the firlobgh schellLe has worked efficItty. Otwating under the bauner of Stockton Sbopmobility Centre bas had a tM)Sitive ely on ourretail sal¢s whith CODtinue to display an eurouraging trend eveD (knjring the cOd bealth LTiSiS. The CopanY has Inelled fro]n savillg tren(ts during lockdowL Profits from these ¢$ conttnue to be reFnvested back iuto the Company. lch ]]L8 euabled us to review our elltire ILire-flee¢ a5 well as being able to cally more stCKL givingcustomas a better iDfornied choice. Our long.temi aim tLe s2me. to be stIf4$tai01llg aDd PD)vide a qllality service in both ow r¢tsil 01¢1 and the Shcq)mobi]ity sth¢me. Safety of both ow die[ aThd the gal pub]ic remaitts & yAoIity with us. W¢ will endeavour to take ovr Scoot Safe Catnpaigll Out iTrto the cottttuuty, soconttttuiug to educate bothJuobiIity scoot$ and the general pub]ic. CA]r long- terffj futur¢ ha8 beentbe Subj ofmuth thbat¢ ova the la8tyEaras thding fr(ffluth¢ lo¢a] Autborty]w ollIy been grdllted on a reductllg leveL Howevff. we ar¢ pleased to say that followi]]g a m¢etillg wttb c4)uncil offico5 we are endeavoIng to secure fi]rther fidIng by a structhd bll5ID plan ThitlL their itiput Support. This collabmtion has also iorluded the deYelopm¢nt of am&*et(og aDd publicityc8mpaig Other fidITrg will continlle to be sougbL but at the lime of wrAtiD& we still do not fa][ within ¢wllt qiterta requireTnents alld lin)ited optiODS to dllengIg eColl¢ conditions. That sail we Colltillue to be reasonably successfid with r¢tail sale5 and a eoucelllIating on this to a]able w to plough pmfits back into the Ch8rÈty. This year the C]wity sb¢)ws an overall net 5p15 of £4.648 as opposed to anegative figure of£ 7.701 in 2020. Every effort be mad¢ to fitkd Iy$ to ¢arry ourwortbvA]il¢ aud niuch nttd¢dservi¢e to our clients. Gov¢rDillg document The charity is coutrolled by its governiDg docutneu4 a deed of and constitutes a ]itnited Company, lÈmited by guar8tr. as defined by tbe cOanieS Act 2006. the ev¢llt of the charity b¢illg wound up. the ]iability in respect of th¢ arantee is litnited to £1 per member of the ¢baTity. A board of six trustee diTectors govews the cknity. and the Manager cakTA¢S Out the day to day nming of tILe service 8lldmallages the Strategic developellt of the organisthon. In a(tditioo there ar¢ ¢frOpte rLon.votitig members. who attend board meetiw all advisory capacity. who Tepresent some of owpth¢rs such StocktOD Borough CouuriL Ini]uction and traijing olllew trustees All trustees receive a full iD(knction pacL wbicb outlines their thities and respotisibiiitses. This include8 infornMtir abo the CEity Commission rules regu]atiots% ¢ompally polici&s and procedures, and go(Kl practice iu goVernaU. Mr Mic1e1 Wonlphrey has g prolessioD31 backgrouod ill law arnd hutll8n Tesource Managellnt and provides trainillg for tr8 of tb¢ ¢ompany atml employment law and good governance. Page 2
Stockton Sho mobi]i ort ofthe Ttee$ ror the YwEnded 31 Mareb 2021 STRUCTL GOVERNANCE AND MANAGEMENr Risk wallagernellt The trustBes have a to idelltify aud review the risks to which the charity is exposed aa to appropriate controls are in place to provide reasoJ]able &$SuT(C against fraud 2ud em)r. Ill deciding what con#itytes a risK the tnLStS Co%idlth¢ following b¢adings:. . Operation21 risk . F1[1&11]5k . compli¢e Risk aTLd regulation) Within each heading the truste¢s identified the wtethial Tisk to the ¢Irity. the appropriate control measure6 to anag¢ the ideDtified risk and all a8sesstnent ofthe Tisklevel those rrntrolmeasures havebeen applie(L The tti]ste¢s have given paticular consideratioti to the finallcial risks to the and have prep&rd a Re5erve$ policy to ellsute that its c(#knctual obligati4)DS always k MEL The trustees willreview the Riskmallagement Strategy anttu2]ty. Registered Company Dwnber 03061335 (Englalld aud Wale5) Registered Charity nutnber 1048199 R¢tered office 81 High Street C8Stlegale Celltre Stockton on Tees TS18 IAF TrMst¢e5 L Osborne (Vice Cbair) M Womphrey (Chair) S Ewing (Rigned on 20112f20) Coullcillor A Mccoy A 05borne knrd Members Coullcillor M Javed (Stocknon Borough c(RCli) Compally Secretary D P Batwick Page 3
Stockton Sho ort of the Trn5tees for the Year Ended 31 Manh 202 Independent Examfiner Anderson BatYoweIiff LIP Chartered Aeeountants 3 Kingfisher Court Bowesfield Park StocktQLE on T TS18 3EX Battke HSBC BaDkplc 136 Higb Street Stothon on Tees TS18 1111 Thi5 report has prepared in accordatKe with the speci21 FmViSiOllS of Part 15 of the Companies Act 2006 relating Approved by ordtr Ofd board of I.. MWomphr¢y (Chainnan). TnLgtee Pag¢ 4
Dde endent Etr,5 Re rt to tbe Trustea9 of Stoektoll Sho mobili Limited Independent 8]ner'S report to the trnsteu of St(Kkton Sbopmobility Lilled {'the c1jmRy') I report to th¢ charitytrust¢es on Dry exAmithoTJ of the accounts of the CompaTLy for the year ended 3 l March 2021. ResFrf)Dsibilltks and basis of report As the elllriws IStee$ of the mPaY (and also its directh forthe of company ]aw)you are tesponsible for tbe preparntion ofthe oUnts accord wlththerequCnts of the cOnwi Act 2006 Cthe 2006 Acfj. Haying satisfied tbat the accollnts of the Company are not reqtr to be audited uuder Part 16 of the 2006 Act are eligible for iudependelrt examIDatsi I retmn in rw of uty ¢XaMi]on of your charitys outtts a3 ¢anied ort UDder seetioo 145 of the Clwities Art 2011 Cthe 2011 ACV). In canynig out my examinati I have followed the Directions given bytbe Charity Columission und£T section l45(5) (b) of th¢ 2011 Act. Indepejtdettl exajDknes statement I have ¢oDrgleted rny examinthon. I rkn that no mxttcn hav¢ come to my attenti connection with the exami7tioll giviog me La to believe:
¢countingreconl5 WQE Uot kept inrespect ofthe Companyas zeqowed byse¢iion 386 ofthe 2006 ACL or
the accounts do not acwtd with those cor&. or the accounts do not compEy with the atillg requir of sertion 396 of the 21M)6 Act any r¢quireJnentthat the accouuts give alTU¢ and knvi¢wwhith is ttot ajnatter considered as part of 8n ind¢pendent the accout have not be prepared ID accordattt with the methojs alld Principles of th¢ Statement of Recornmellded Practice for accotying and teporting by cbarities (applicable to charitiw prepillg their accounts in accordance with the Finaticial Rep¢)rtiDlP Stondard applicable tn the UK and R¢public ofJrelatsd IFRS 102)). I bave tto concerns and ve come a¢ross no other matters in connection with the examination to whicb att¢ution shouLd be drawn in tbi8 report in ord¢rto enable apmperwkdetsding of the cOUnts to bereached. D JRobertson FCA Anderson B0W¢]7ffIl 3 Killgfisher Court Bowesfield Park St(tholl ¢)n Tees TS18 3EX .J3A
tocktoll Sho tatetDent of Fingneial Activities for the r Ended 31 Marclj 2021 2021 Totsl fwids 2020 Total fjjnds UJllestsi¢t¢d R&8tri&ed fijn fjjnd Notes INcoL AIW Ef4110wmEK FROM LN)natiolls and legacies 3U99 31399 74 Charitable activities Grauts. Stockton Boroll Councit Retail Income l2,000 104,925 12,715 83,756 83,756 5930 Other trading athiti49 Investsnent tneome 243 226 69 69 Total J28,A54 128J54 130,183 EXPEL¥DITURE ON Charitable activiti Retail andhire 123,S06 137.884 4648 (7.701} RECONCILL4TION OF FtrNDS Total fwids brought fomrd 123.607 123,607 131 J08 TOTAL FUNDS CARRIED FORWARD 55 128255 123.607 The not@8 foTmpart ofth¢5e fllwici21 strtem Page 6
ockton Sho obiii Limfited Balanee Sheet 2021 Totsl funds 2020 Unr&stricted Restricted fjJnd8 FtXfD ATs Tangible ets 2967 2,967 3,704 Stocks Debtors Cash atbank and in hand 12 13 791 4,9>7 11&883 6,791 4,957 116,883 1,605 5.921 117.078 12&631 128,631 124,604 CREDrroRs Amounts fdlIing due within one year 14 (3J43) (3?43) (4,701) 125288 125288 119,903 LLIBIUTLES 128255 128255 123,607 P4rr ASSETS 128255 128255 123.607 16 Unrestricted fuud 128255 123.607 128255 123.607 The charitable compally is entitled to ¢xetllption from audit uuikr Section 477 of the CompaDies Art 2006 foT the year ended 31 March 2021. The metnbers have not Teqitired the company to obtsin all alldit of its fjllallcial statements for the year endod 31 March 2021 ill a¢cordall¢e Ivith secti 476 ofthe CompaDi¢S kn 2006. The trnstees acknowledge their reSFK)DsiTrJi]itie5 for (a) ¢nsuring that the chItable PallY keeps ac4mtiDg rordS that ¢ompty with SectÈons 386 387 of the Companies Act 2006 aud (b) preparing fitwicial stsrements which give a true aud fair view of the state of affairs of the charitsble company as at the end of each fjnancial year atLd of its 5wplus or deficit ftr geh fjDan¢ial yw in accordÈD¢e with th¢ reqlllrellts of SertiODS 394 395 and which otherwise (omptyMIth the requir¢m¢nts of the Compauies Act 2(M)6 relating to financial state¢ty so as appIicable to the cl]arityble cortmy. The notrs foTm part of tbes¢ fiuancial sta&ents continueLL..
stoektOD Sho Balallee Sbe¢t- tillued 31 March 2021 These fill¢181 stat¢llJerAts have bm Prep in accord with the povi5iODs applicable to dwitable wmpanies subje¢¢ to the small compalli&s regitne. The fiDallcial s ments were approved by the Board of TnL8tees aud authorid for issue M Womp ey (Chain)Mllj. Tn]stee Thellotes fonn part of these financial statements Page 8
Storkton Sho mob Notes to the FiAanci#l Staternents for the Year Ended reh 2021 STATUTORY INFORMATION Stockton ShoptrLobiltty lityi1 is a ptivate clwitable cotnpatty. liTh1t by guardlltee. reter in F•lld and The financial s¢atements are tresetsj in stedingwhith is the cwrency of the cJ]aritable compally and Touodedto thejmest £. The sigDtfi¢aut accounting policies applied iu the preprtion of thBse financial st2t¢w¢Thts are set below. The poJicies have b¢en ¢0siStalY atvliedto all years prnted ujlless oiheTh¥ise 5trat¢¢l AccOUNTG POLICiFS The fE[knClaI statements have been prepared in accordauce with Ac¢ouQtig and ROrtIng by Charities.. Statement of Recommended Prdrtl applicable to charities prepariDg their counts in aecori]allce with tbe Financial Reporting stalldd appiicable in the UK and Republi¢ of Irelalld (FRS 102) (¢ffectiv¢ l January 2019) . {Cbarities SORP (FRS 102)), the FitMn¢iaL RwtsDg Standard applicable in the trK ard Republic of Trelaud (FRS 102) ¥ndthe Compallies 2006. Stockton Shopmobllity Ltd eets the definÈtion of a wblic benefit Entity UD(ler FRS 102. Assets and ]iabilities are illititilty recognised at historical cost or Irall5action valu¢ unless otherwise stated the relevant 2ccountillg policynote. COME Itents of irtcoll are ttcogo]d arLd in¢ded Anthe aCcOts all the followingcriteria aTe met - The cIwity hav¢ entitlement to th¢ fullds. . Any perfornkce conditious attached to the ii¢m(s) of illcome have kn met or are fifflywitbin the colltrol of the charity. . There is sufficient ceLtsttitythat recetpt of the illcityme is c(Jnsid¢redprobable' 8nd . The atnournt eaSu1areliabty. period for which it h&s beenre¢¢ive(L Such itaco]ne 15 only deftrrediwhe . The donorspe¢ifies that the di)nl0M# ontybe nsed in fjjth awuDtillg peri. or . Th¢ donorb&s itnpospAJ conditiOL8 i+tiich UNL*be metbefore the cknity Ilas nConditional entitlem¢nL tuves1Cllt Incon is recoBws&J on a rK¢ivable basis. Income from charitabl¢ ac1ivities iLdes tDeOLue r<YogDised ¢amed {as tILe related goo<Ls or services are provided) under contract or where entitlement to grnit fijllding subject to specific perfOrn conditigns. Grant iry¢ome itLcluded in this category provid¢s fimding to prograll)me acttVtti¢s and IS Tecognisect where there is entitlew certainty of TK¢tpt and the atnouDt cau be mwured with sufficient reliability. There is no ndting off within the #Cnts. Liabiliti¢6 are Tecognised a5 soon &8 ther¢ is a legal or COL%trudive obligation committing tbe c(wllpany to the expenditure. AIE eTpenditure is a¢¢ouDted for on att accruals basis and hag betn classified und¢r headings tbat egat¢ all costs telated to the category. It iucludes attributable VAT which callnotbe recovere Chatitabl¢ exnd1th comprise5 those COSL8 itr by the w]npany in the delivery of its a¢Éivities and services for its beneficiaries. It iucludes both COSLS cau be allocated directty to such activities th98e Costs of 8n indirect llat¢ ne¢es5aryto wp)rt th¢DL Support Costs include celltral functions and bAve been allocated to aCtIty cost categories oll a basis CODSiSten¢ with tbe use of resoutces: for exampl4 allocating pop¢rty cts by flo areas. or per capit4 8taff costs by the till spent aud other costs by usage.
Stoekton Sho oblli r4otes to the Fill4JJcial Ststt]ll¢uts- eontillu forth¢ Y¢ar Ended 31 M#reh 2021 Accoiif4TING POLICILS. contiDDed Governallce wsts include those incuryed in the governance of the chlty are a&sociated the constitutional and statutoryrequir¢Jll¢llt& TANGtBLE FIXED ASSETS Fixed assets are slated atcost Iw acc depreciatso Assets purcb&sed from T¢Stticted fy[$ are capitalised in tbe Balallce ShE¢t aud the fjjnds then transfetted to uure8tri¢ted fund5 as theyhave been eXpded in the year. Depreciation is provided at the following anllvkl T8tes in order to write off eath asset over its estintea usefi Scootets. Chairs etc. 2¥ straigbt line Cornpuier equIp_ 2/ts strtiight line Furnitute and equipnent. 150A reducitig balance STOCKS Stock5 are valued at the lower of c(trst and netT¢a]isable vakue. thjnakiog due allowance for ob501ete and slow moving nell]s. TAXATIO The cbarity is an ex¢mpt charitywithinthe mealliDg of Schedule 3 ofthe Cbarities Act 2011 aud is congidered to P8SS tbe tests set out in Paragraph l 6 FiDance Act 2010 and t1fore it meets the definition of a cIwAtabl¢ cojnpany forUK corpordtioll tsxpurN)ses. FuT) ACCODIfflNG Unrestricted income fvDIts are general fimds which are available foruse at tbe tnL5tees' discretion in firtierance of th¢ objectives of the compauy. Restricted ffi&s are those donated for w iu a particll area or for splfi¢ the [e of which is restricted to that are& orpurpose. PENSION COSTS AEqD OThER POSf.R£TIREMENT BENEFITS The charitable ConanY operattts a defined contribution wion schejne. CoThtnTr)utIo payable to the Qbaritsble ompatLys Ftns1onschell are cknged totlK Statollentof FitIanci Artivities ill the period to which tbeyrelate. OPERATING LEASFS Relltal paymeDts under optillg ie&ses arr c&arged ill the Ststemellt of Firthnciai Activities on & 51raigbt line basis OV¢TÉbe lease ierm. DEBTORS Trdde and other debtors aiE Teis at the settlement amount thle. CASH AT BANK Cash at ballk and in halld iu¢ludes cash alld sbort temi highly liquid inveStents with a short mathrity of tbTe¢ months or less fromth¢ date of acqutsition or opening oftbe dep)5it or SiD]ilar aecounL CREDfioRS Creditor3 and tffOVASiOD3 are recogtsised whue th¢ cknty h&s a pre*5ellt obiigation resulttog fijnn a p&sl ¢vent tbat probably result ill the transfrr of fiods to a third paty and the amount due to settle the ob]igation catt be ]ne&swed or estinllt¢d Teliabty. CE¢dityr5 andprovision5 n(wlty rewgttised at their s¢ttl¢mett amouaL Page io CODtinlle(L..
S*ock¢oll Sho mobili Notls to Ibe Finaneial Statemets- continued for the Yetr Ended 31 Majyb 2021 ACCOIII¥TING POLICIES. eontinued The charity onlyhas financial asseL8 finallc] liabll[ of aktud that qua]ify as bLSi¢ fjllancial instruments. Basic financial itjstruments are iuittaity recognis at tranwtion value and subsequently meagllred at their settlernent V8Jlle the ¢K(eption of baDk LoaLs whith sUbSeqtty Eueaswed at nOrtISed cost the effective interest metho The clRrity receiyed goverum¢Dt graits iry re6pect of th¢ Coronavirus Job Retention Sclleme alld tbe Small Bu8itiess Grant These grants are recogni at the fair value of the asset received orreceivable when t]e is reasonable &ssurdDC¢ that the charity will comp]y with conditi0ry5 auached to them. The W¢T¢ received USiDg the modeL DONATIONS Af4D LEGACILS 2W20 Sundry donations 74 32?92 32a99 74 Grants receive<i ill¢luded in th¢ abov4 are a8 follow5.' 2021 2020 Goverment Grants. Cll<S 32J92 2021 2020 243 I1 2020 Dep)sit accoullt iotrrest 69 226 Page 11 continued...
stoelrton Sho Lfimitr N te% to the Fwaucial Ststements- CODtinu&l for the Year Ended 31 March 2021 24r21 2020 Direct Costs Costs of goods sold 63J5 77.104 Supptsrt Costs Insan¢¢ 1fj90 15292 2,134 20,024 496 738 185 L529 15,492 2,435 18,372 481 1.410 131 719 2.183 119 2.377 Bank tharg Wages & saIeS PeDSiODS Ikpreciation Telephone Advertising Sundry expenses 1972 109 Gov¢rnance Costs Wages & saleS A¢¢ountancy attd profes5ionalfees 11,1188 4J13 10,062 5.470 123J06 137084 r4ET t¥COMEI(EXPEfiDTfuRE) Net incomel(¢KpenditiJre) is stated after ckngllj(Cred1È[Dg). 2021 2020 Depreciation- Owlled assets 1,410 There were no trustees. remuneration or otbtr ]xnefits for the year 31 mar 2021 nor forthe year ended 31 March 2020. TRUSTEES. EXPENSES There were no trwtees, expenses paid forthe yearthdcd 3 1 March 2tr21 nor for the year ended 31 March 2020. Page 12 Contlllue..
tockton Sho obili Limited ot&s to the FiDanei*l Ststements- ¢ontinued ror the Yt8 dwl 31 March 2021 STAFF COSTS 2021 2020 WagES 8lldsa]aries 31,112 496 28.434 481 31,608 28.915 The &verag¢ monthlynumber ofemployees dwiDg the year as follow?: 2021 2020 No ¢tnployeesreceived ¢0]uMents ill exce&s of£60.000. I(L LEGAL STATUS OF T£ COMPANY The rhaTity is a eoujpauy limÉted by guarantee. The members of the cixllpally the trustees listed on p2ge l. tu the evem ofthe charitytEiJJgwoulld the liability ][Lrrtt0f the 8Urntee is limited to £1 per ]nember of tbe ¢b8rity. 11. TAf4GIBLE FIXED ASSETS FiKtiwes Pjaut and Totals cosr At l April 2020 and 31 March 2021 1&787 &718 iQ199 37.704 DEPREaATION At l April 2020 cge for y 1&787 &629 584 665 34,0 737 At31 MaTth2021 1&787 &701 7249 34,737 NET BOOK VALUE At 31 hlarch 2021 17 2950 2967 At 31 Marth 2020 89 3,615 3,704 li STOCKS 2021 2020 Stocks 6,791 1,605 Page 13
Stocktort Sho mobili Nottt to the Fillaneial StatemeDts- eolltinoed ror the Y¢aT Eaded 31 lareh 21ni 13. DEBTORS.. AMOiTff13 FALLING DUE oily YL4R 2021 2020 VAT Preplymeuts and accnkd incom¢ 1,770 1187 1965 2.956 4,957 5.Y2E 14. 2021 2020 Trade dItO Other creditors Ac¢rnals 1.651 300 2.750 300 2,710 3J43 4.701 15. mini Ie pwients Ulld nm-¢anceliable oper¥ I¢S fall due as follows: 2021 2020 Within oue year B¢twe¢ll one and five years 10375 14,500 10.875 10,875 25.375 16. Net movement in fi]nds At 31.3.21 At 1.420 Lnrestrieted funds General fiod 121607 128,255 TOTAL FUNDS 123,607 128255 etmovetllent in funds. iticluded in the aTrA)ve are as follows: Ellcoming Resources Mov¢rnent resources pellded in fid8 L'llrestricted funiL5 Geoeral fid &154 (123,506) 4,648 12&154 (123,506) 4,648 Page l4 ontinued...
Stockton Sho mobll Notes to the 1ClaI SteeThts- CODtinued for the Year Ended 31 March 2021 IA MOVEMENT If FU)I)S. eoDtiDued Co]nparativu for rnoyement in fuDds Net movement in fuuds At 1.4.19 31.3.20 Ullr&strieted funds General fijnd 131308 17.701) 123,607 TOTAL FUIqDS 131208 (7.701) 123.607 CompaTive netMov¢llt ill fimd& inc]Jed ittthe above ate as follows". eoluing Resources Movement ill funds Ullrestricted Iuuds General fia 130.183 {137.884) (7.701) TOTAL Fuf4DS 130,183 (137,884) (7,701) 17. There wfftllo relattdpartytratetiollS for the year ded 3 1 Marth21Y21. 18. cofiTROL RELATIONI SHIPS The Charity is under the ¢£trol of the Board of TnL8tees as noted onpage l. Pa8e 15