Trustees Annual Report for the period 1[st] January 2022 to 31[st] December 2022
Durham Area Disability Leisure Group (DADLG) Charity Registration Number: 1049610
Objectives and Activities:
The Charity’s objects are:
The relief of persons with disabilities and in particular those who are children, resident in Durham and surrounding areas by the provision of facilities, for recreation or other leisure time occupations with the objects of improving their conditions of life and social welfare.
With respect to the children, no age barriers are drawn, except for that which is specified in any funding streams secured in order to fulfil the Charity’s objects. In relation to the purposes carried out for the public benefit; activities, projects and services are provided to family units including parents and carers, siblings, and other family members as appropriate at the discretion of the Charity’s trustees.
Relief is determined as those activities, events and projects which bring relief to the disabled person(s) and improve the general health and wellbeing and resilience of the family unit as a whole.
In fulfilling the Charity’s objects through its services, Durham Area Disability Leisure Group’s trustees have regard for the Charity Commission’s advice and guidance, particularly in respect of the management of its funds.
Optional additional information (only relevant sections selected)
Volunteers, including trustees and activity volunteers make a huge contribution to fulfilling its objects, by supporting activities and events in person and by providing additional skills and expertise.
Achievements and Performance
As a family orientated organisation catering for children and young people with disabilities, their siblings and parents and carers, we aim to make a difference by offering families the opportunity to choose activities that they would like to try during evenings, weekends and in holiday periods covering as many interests as possible. We give young people a voice by creating opportunities for them to say what they
would like to do, what they have enjoyed and what we could do to improve. Children and young people tell us they enjoy being part of the group and that they look forward to seeing familiar faces at activities. We are helping them to develop resilience and experience emotional well-being through a sense of belonging.
During 2022 we returned fully to a programme of face-to-face activities and events. Having identified that a number of families who had taken part in our virtual offer throughout the pandemic were no longer participating, we realised that the barriers to participation they experienced pre-pandemic were evident again. These families were concentrated in particular to either particularly economically disadvantaged areas or remote areas of County Durham. With this is mind a successful bid was made to the National Lottery, Awards for All programme to attempt to address these barriers.
During Easter and Summer school holidays we took part in the DFE funded ‘Fun and Food’ project and were contracted to provide a service to families where one or more children have a special educational need and/or disability. The key eligibility criterion was that children and young people should be in receipt of free school meals with a proviso that if a high proportion of them met this criterion, others with SEND not in receipt of free school meals could be included. The key difference in delivery during 2022 was the ability to provide a face-to-face service and events were held in all five localities of County Durham.
The small but steady number of families outside of County Durham, referred to as our ‘wider membership’ continued to access services and we were also able to reintroduce an over 18’s club specifically for those young adults who wish to access a series of events aimed at their age group. This has proved extremely popular and is funded via contributions per person per event and donations from organisations for which we have been nominated by over 18 club members.
Financial Review
Full end of year audited accounts are available in conjunction with this report. At the end of 2022, the Charity was in a financially stable position with no concerns regarding its ability to operate throughout 2023.
Additional Optional Information
The Charity’s principal sources of funds are from successful contract tendering processes and bids made to organisations providing grant funds. Funding is not secured through any type of loan system. Grant makers are listed each year in the end of year accounts.
The principal risks facing the organisation are the potential for funding streams to cease and the levels of capacity within the staff team. Throughout 2023, trustees will be focusing on building capacity and succession planning in order to secure the long term future of the organisation.
Structure, Governance and Management
Type of governing document: Group Constitution
At the Annual General Meeting each year, the individual members elect from amongst themselves a Chair, an Honorary Secretary and an Honorary Treasurer, who hold office from the conclusion of the meeting.
The management committee shall have no less than 6 and no more than 13 members. All members retire from office at the AGM after they came into office but may be re-elected or re-appointed. Members of the management committee may not act as a member of the committee until minutes declaring their election or willingness to act in the trusts of the charity have been signed. The powers held by the management committee and specified in the Group Constitution, may only be exercised in the furtherance of the group’s objects.
Additional Optional Information
Policies and procedures adopted include those required for safeguarding purposes, financial management, health and safety and trustees’ codes of conduct. A full list of policy and procedure documents is available on request.
The charity’s organisational structure and any wider network with which the charity works.
The Charity has a close working relationship with Durham County Council for whom it provides a funded Countywide Family Short Breaks Service for families with disabled children up to the age of 25 and living within County Durham postcode areas. All other families over the age of 25, regardless of where they live and those of all ages in areas surrounding County Durham are funded separately.
| Names of the charity trustees who managed the charity in 2022 | Names of the charity trustees who managed the charity in 2022 |
|---|---|
| Steven Gascoigne | Chairman |
| Kaye Murray | Deputy Chair |
| Pamela Norman | Treasurer |
| Ann Young | |
| Linda Davison | |
| Louise Burdon | |
| Christina Toner | |
| Names of the staff who carry out the functions of the charity. | |
| Lesley Clelland | Project Manager |
| Colleen Kirton | Activity Co-ordinator/ Meeting Minute Taker |
Reference and Administrative details
Charity Name: Durham Area Disability Leisure Group
Other name the charity uses: DADLG
Charity’s principal address: Unit 15, Vane Tempest Hall, Maynard’s Row, Gilesgate, Durham, DH1 1QF
Declarations
The trustees declare that they have approved the trustee’s report above.
----- Start of picture text -----
Signed on behalf of the charity’s trustees:
Signature:__ ___
Full Name: __Kaye Murray____
Position: ___Chairman_____
Date: _ 18/03/2023 _____
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19 Durham Area Disablllty Lelsure Group Annual Report and Flnancial Statements Yearended: 31 December2022 Charfty no: 1049610
DURHAM AREA DISABILITY LEISURE GROUP Reports and Flnandal Ststements Year ended: 31 Dember 2022 Contents Legal and admln15trative information Independent e¥amine¢s rewrt Statement of financial actNlties Balante Sheet Notes to the financial statemertts Legal and admlnlstratSve lftformatlon Charity number.. 1049610 Trustees: L Davison L Garbutt {Resned March 20221 A Young L Burdon (Appolnted June 2022) C Toner (Appolnted June 20221 Chalr: S Gascolgne IReslgned February 20231 K Murray (Appolnted February 20231 T#sUrer." P Norman Secretary: C Klrton Deputy Chalr. K Murray IReslBned FebTuary 20231 Address.. Vane Tempest Hall Maynards Row Gllesgate Durham OHI IQF Independent Examiner.. Neil Mullen FCA FCCA Mullen Stoker Ltd Mullen Stoker House Mand8le Business Park Belmont Industrial Estate Durham DHI ITH
DURHAM AREA DISABILITY LEISURE GROUP Year ended: 31 December 2022 Independent Examlnee5 Report to Trustees of Durham Area Dlsability Lelsure Group I report to the Charity trustees on my examination of the accounts of the Charity Inumber 10496101 for the year ended 31 December 2022 which are set out on pages 3 to 7. Respon5ibilitJes and basls of report As the Charfty's trusteesi you ore resp)n5ible for the preparation of the accounts In accordance with the requirements of the Charities Act 20111.the Act'l. I report In respect of my examlnatlon of the Charfty's accounts cattied out under sectlon 145 of the Act and in carrylng out my examlnatlon I have followed all applicable Dlrections given by the Charity Cornmlssion under section 1451511bl of the Act. Independ•nt examIne$ staternent I h8ve tompleted my eyamlnatlon. I confirm that no material matters have come to my attention in connection wlth the examlnètion glvlng me cause to belleve that in any material respect.. l accounting records were not kept In respect of the Charity as required by settion 130 of the Charltle5 Act: or 2 the accounts do not accord w6th those records: or 3 the accounts do not compty with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts 8rve a "true and fair view" whlth is not a matter considered a5 part of an independent examinatitin. I have no concems and have come across no other matters in connection with the examination to whlch attentton should be drawn in this report in order to enable a proper understanding of the accounts to be reached. Neil Mullen FCA FCCA Mullen Stoker Ltd Chartered knountants Mullen Stoker House Mandale Busines Park Belmont Industrial Estate Durham OHI ITH Date 18 March 2023
DURHAM AREA DISABILITY LEISURE GROUP STATEMENT OF FINANCIALAcfiviTIES FOR THE YEAR ENDED 31 DECEMBER 2022 Unrtstritted Restrkted Total Funds Funds Funds 202Z Total Funds 2021 Notes INCOME Donations. le8acies znd other simllar ieoipts: Other Donations Durham County Counal Temperance 4,095 47.825 8,750 12.845 47,825 9,181 75.400 2.000 Operatln8 aciMtle5 to generate funds Prolect Incomè/Mefflber Contrlbutlons cket Sale$ and Subscrfptlons Interest Recel¥ed 23.605 3.118 5.848 585 3,118 Total 78.681 8.750 87,431 93,018 EXPENDITURE Charitable Activltle5 Support Costs Mana¥ement and Adminbtratton 7.331 1.092 1.854 8,423 37,914 S7.222 35,187 37.426 8,602 56.418 Total 99.8CO 3,750 103.559 81,215 Net Incomlrkq resourcésllresouros expended) before iran5fer Transfers between fvhds 121,1281 1,379 116.1281 11.803 11.3791 Nèt Inromln8 rosourc•sllr•souff*s exyend•dl 119.7491 3.621 116,1281 11,803 Aeallsed galns on Investments assets Unreallsed galns on Investments assets movement In funds 119.7491 3,621 116.1281 11,803 Fund balances brou8ht frcward at l January 2022 115,454 1,379 116.833 IOS.030 Fund balances carrled froward at 31 December 2022 95,705 100.705 116,833 All of the above results are del Irom continuing activities. All gafins and10$5es reco8nlsed In the vear are Included above.
DURHAM AREA DISABiufi LEISURE GROUP STATEMENT OF ASSETS AND LIABIUTIE5 FOR THEYEAR ENDED 31 DECEMBER 2022 Total Funds 2022 rotsl Funds 2021 Petty Current Account Communlty Account AC¢OUnt 116,833 Bank ¥nd Cash TOtJl Funds 2022 Totsl Fund5 2021 Funds tlnre5trlcted fufids General fund 95.705 115,454 979 400 Restrlded funds Youth Club OuTham Sport Awards for All 100 705 116,833 The flnandal Statements on pages 3 10 7 were appFoved by ihe Committee and auihortsed for tssue b¥ the trustees on 18 Marth 2023 and signed on thelr bÈhall by: K MurTay Chaic-
DURHAM AREA OISABILITY LEISURE GROUP Notes to thè Fbnanoal 5tatem•nts forthe year ended 31 December2022 Acc¢ntIng pollcles {al Basls ol preparatlon and going concern The financial statements have been prepared under the hlstorkal c05t conventlon. The financial statements have been prepared in accordance with the Statement of Recommended Prattice.. Accountin8 and Reportlng by Charltie5 preparing thelr accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 and the Charitie5 Act 2011. These flnanclal statements are prepared In sterlin& which15 the funttional currency of the Charity. Monetary amounts In these flnancial ststements are rounded to the nearest £1. The Charlty constitute5 a Public Benefft Entity a5 deflnded by FRS 102. The trustees Conslef that there are no material uncertainties about the Charity's ablllty to continue as a 80in8 concern. Ibl Fund accountln8 General furK15 are vnrestrlcted fvnds whlch are avallable for use at the dlscretlon of the trustees in furtherance of the general obleuives of the Charlty and which have not been desÈnated for other purposes. Re5trlcted hjnds are funds which are to be used in accordance with specific restrictions imposed by donors or which have been raised by the Charity for a particular purpose. The cost of raislng and adminlsterin8 such funds are char8ed against the specific fund. Incomlng resources All incomlng resources are iluded In the Statsment of Flnanclal Actlwltles when the Charity is legalfy entitled to the Income and the amount can be quantlfled with reasonable accuracy. No amounts are induded In the financial statements for seThices donated by volunteers. Idl Grant Income Grant and contributions received for current year expendlture are recognlsed in full in the Statement of Financial Artivities in the period in which they are received.
DURHAM AR&q DISABILifY LEISURE GROUP Notes to the Ffnanclal Ststements for the Trr ended 31 December 2022 lel Resou expended All expenditure 15 accounted for on a cash basis and has been das5ffied under headin85 that aggre8ate all costs related to the category. Dellnded ntrtbutloTh pension scheme Existin8 employees of the Charity were entitled to Tr)in Smart Pension whith is funded by contributions from the employee and employer. New and existing employees were automaticalty enrolled Into the master trust with the option to opl out should they choose to do so. Related party trarrt10ns and trustees. eXpeft and rgmun¢rntlon. The trustees give Ier¥ Ihelr time and expertise viithout any form of remuneration or other benefit in cash or kind12021: £nlll. Expenses, In respect of travel pald to a trustee In the year totalled £nil12021.' £nlll. Other dOnaon$ Unfestrfcted Fund5 Restricted Total Fund5 Total Funds Funds 2022 2021 Freemen ofDurham Rotary Club Durham Book Club T Shirts Refund Community Foundation Shakespeare Trust Dane Architectural Awards For All 515 515 250 Iso 45 8,736 1580 1.580 8,750 12,845 8.750 8.750 4.095 9,181
DURHAM AREA DISABILITr LEISURE GROUP Notes to the Finandal 5t•tements forihe ar ended 31 December 2022 Resources expended UnrestrktEd Restrfrted Total Funds Yotsl Funds Funds Funds 2022 2021 Charttsble actlvltles: Event expenses Traftsport expenses Eoyipment 5.391 1.092 6,483 35,137 139 139 7,331 1,032 8,423 35,187 Unfetht•d Funds Restricted Total Funds Total Funds Funds 2022 2021 Support costs: Wages Staff and volunteer expenses 30,7(P3 5.351 1.8LXI 32,509 5,405 29,448 7,978 36,060 1.854 37.914 37.426 Unrestrlrted Funds Management and admlnlstratlon: Restrlrted Total Funds Total Funds Funds 2022 2021 Rent and room hire Accountancy Coachln8 fees Telephone, stotionary. posts8e etc Insurance Sundry 47,950 1,383 1,380 1.385 1,948 2,372 48,750 1,383 1.380 1,389 1,948 2,372 2,4CYJ 1,498 320 1.662 2,086 636 56.418 804 57,222 8,602
19 Durham Area Disablllty Lelsure Group Annual Report and Flnancial Statements Yearended: 31 December2022 Charfty no: 1049610
DURHAM AREA DISABILITY LEISURE GROUP Reports and Flnandal Ststements Year ended: 31 Dember 2022 Contents Legal and admln15trative information Independent e¥amine¢s rewrt Statement of financial actNlties Balante Sheet Notes to the financial statemertts Legal and admlnlstratSve lftformatlon Charity number.. 1049610 Trustees: L Davison L Garbutt {Resned March 20221 A Young L Burdon (Appolnted June 2022) C Toner (Appolnted June 20221 Chalr: S Gascolgne IReslgned February 20231 K Murray (Appolnted February 20231 T#sUrer." P Norman Secretary: C Klrton Deputy Chalr. K Murray IReslBned FebTuary 20231 Address.. Vane Tempest Hall Maynards Row Gllesgate Durham OHI IQF Independent Examiner.. Neil Mullen FCA FCCA Mullen Stoker Ltd Mullen Stoker House Mand8le Business Park Belmont Industrial Estate Durham DHI ITH
DURHAM AREA DISABILITY LEISURE GROUP Year ended: 31 December 2022 Independent Examlnee5 Report to Trustees of Durham Area Dlsability Lelsure Group I report to the Charity trustees on my examination of the accounts of the Charity Inumber 10496101 for the year ended 31 December 2022 which are set out on pages 3 to 7. Respon5ibilitJes and basls of report As the Charfty's trusteesi you ore resp)n5ible for the preparation of the accounts In accordance with the requirements of the Charities Act 20111.the Act'l. I report In respect of my examlnatlon of the Charfty's accounts cattied out under sectlon 145 of the Act and in carrylng out my examlnatlon I have followed all applicable Dlrections given by the Charity Cornmlssion under section 1451511bl of the Act. Independ•nt examIne$ staternent I h8ve tompleted my eyamlnatlon. I confirm that no material matters have come to my attention in connection wlth the examlnètion glvlng me cause to belleve that in any material respect.. l accounting records were not kept In respect of the Charity as required by settion 130 of the Charltle5 Act: or 2 the accounts do not accord w6th those records: or 3 the accounts do not compty with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts 8rve a "true and fair view" whlth is not a matter considered a5 part of an independent examinatitin. I have no concems and have come across no other matters in connection with the examination to whlch attentton should be drawn in this report in order to enable a proper understanding of the accounts to be reached. Neil Mullen FCA FCCA Mullen Stoker Ltd Chartered knountants Mullen Stoker House Mandale Busines Park Belmont Industrial Estate Durham OHI ITH Date 18 March 2023
DURHAM AREA DISABILITY LEISURE GROUP STATEMENT OF FINANCIALAcfiviTIES FOR THE YEAR ENDED 31 DECEMBER 2022 Unrtstritted Restrkted Total Funds Funds Funds 202Z Total Funds 2021 Notes INCOME Donations. le8acies znd other simllar ieoipts: Other Donations Durham County Counal Temperance 4,095 47.825 8,750 12.845 47,825 9,181 75.400 2.000 Operatln8 aciMtle5 to generate funds Prolect Incomè/Mefflber Contrlbutlons cket Sale$ and Subscrfptlons Interest Recel¥ed 23.605 3.118 5.848 585 3,118 Total 78.681 8.750 87,431 93,018 EXPENDITURE Charitable Activltle5 Support Costs Mana¥ement and Adminbtratton 7.331 1.092 1.854 8,423 37,914 S7.222 35,187 37.426 8,602 56.418 Total 99.8CO 3,750 103.559 81,215 Net Incomlrkq resourcésllresouros expended) before iran5fer Transfers between fvhds 121,1281 1,379 116.1281 11.803 11.3791 Nèt Inromln8 rosourc•sllr•souff*s exyend•dl 119.7491 3.621 116,1281 11,803 Aeallsed galns on Investments assets Unreallsed galns on Investments assets movement In funds 119.7491 3,621 116.1281 11,803 Fund balances brou8ht frcward at l January 2022 115,454 1,379 116.833 IOS.030 Fund balances carrled froward at 31 December 2022 95,705 100.705 116,833 All of the above results are del Irom continuing activities. All gafins and10$5es reco8nlsed In the vear are Included above.
DURHAM AREA DISABiufi LEISURE GROUP STATEMENT OF ASSETS AND LIABIUTIE5 FOR THEYEAR ENDED 31 DECEMBER 2022 Total Funds 2022 rotsl Funds 2021 Petty Current Account Communlty Account AC¢OUnt 116,833 Bank ¥nd Cash TOtJl Funds 2022 Totsl Fund5 2021 Funds tlnre5trlcted fufids General fund 95.705 115,454 979 400 Restrlded funds Youth Club OuTham Sport Awards for All 100 705 116,833 The flnandal Statements on pages 3 10 7 were appFoved by ihe Committee and auihortsed for tssue b¥ the trustees on 18 Marth 2023 and signed on thelr bÈhall by: K MurTay Chaic-
DURHAM AREA OISABILITY LEISURE GROUP Notes to thè Fbnanoal 5tatem•nts forthe year ended 31 December2022 Acc¢ntIng pollcles {al Basls ol preparatlon and going concern The financial statements have been prepared under the hlstorkal c05t conventlon. The financial statements have been prepared in accordance with the Statement of Recommended Prattice.. Accountin8 and Reportlng by Charltie5 preparing thelr accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 and the Charitie5 Act 2011. These flnanclal statements are prepared In sterlin& which15 the funttional currency of the Charity. Monetary amounts In these flnancial ststements are rounded to the nearest £1. The Charlty constitute5 a Public Benefft Entity a5 deflnded by FRS 102. The trustees Conslef that there are no material uncertainties about the Charity's ablllty to continue as a 80in8 concern. Ibl Fund accountln8 General furK15 are vnrestrlcted fvnds whlch are avallable for use at the dlscretlon of the trustees in furtherance of the general obleuives of the Charlty and which have not been desÈnated for other purposes. Re5trlcted hjnds are funds which are to be used in accordance with specific restrictions imposed by donors or which have been raised by the Charity for a particular purpose. The cost of raislng and adminlsterin8 such funds are char8ed against the specific fund. Incomlng resources All incomlng resources are iluded In the Statsment of Flnanclal Actlwltles when the Charity is legalfy entitled to the Income and the amount can be quantlfled with reasonable accuracy. No amounts are induded In the financial statements for seThices donated by volunteers. Idl Grant Income Grant and contributions received for current year expendlture are recognlsed in full in the Statement of Financial Artivities in the period in which they are received.
DURHAM AR&q DISABILifY LEISURE GROUP Notes to the Ffnanclal Ststements for the Trr ended 31 December 2022 lel Resou expended All expenditure 15 accounted for on a cash basis and has been das5ffied under headin85 that aggre8ate all costs related to the category. Dellnded ntrtbutloTh pension scheme Existin8 employees of the Charity were entitled to Tr)in Smart Pension whith is funded by contributions from the employee and employer. New and existing employees were automaticalty enrolled Into the master trust with the option to opl out should they choose to do so. Related party trarrt10ns and trustees. eXpeft and rgmun¢rntlon. The trustees give Ier¥ Ihelr time and expertise viithout any form of remuneration or other benefit in cash or kind12021: £nlll. Expenses, In respect of travel pald to a trustee In the year totalled £nil12021.' £nlll. Other dOnaon$ Unfestrfcted Fund5 Restricted Total Fund5 Total Funds Funds 2022 2021 Freemen ofDurham Rotary Club Durham Book Club T Shirts Refund Community Foundation Shakespeare Trust Dane Architectural Awards For All 515 515 250 Iso 45 8,736 1580 1.580 8,750 12,845 8.750 8.750 4.095 9,181
DURHAM AREA DISABILITr LEISURE GROUP Notes to the Finandal 5t•tements forihe ar ended 31 December 2022 Resources expended UnrestrktEd Restrfrted Total Funds Yotsl Funds Funds Funds 2022 2021 Charttsble actlvltles: Event expenses Traftsport expenses Eoyipment 5.391 1.092 6,483 35,137 139 139 7,331 1,032 8,423 35,187 Unfetht•d Funds Restricted Total Funds Total Funds Funds 2022 2021 Support costs: Wages Staff and volunteer expenses 30,7(P3 5.351 1.8LXI 32,509 5,405 29,448 7,978 36,060 1.854 37.914 37.426 Unrestrlrted Funds Management and admlnlstratlon: Restrlrted Total Funds Total Funds Funds 2022 2021 Rent and room hire Accountancy Coachln8 fees Telephone, stotionary. posts8e etc Insurance Sundry 47,950 1,383 1,380 1.385 1,948 2,372 48,750 1,383 1.380 1,389 1,948 2,372 2,4CYJ 1,498 320 1.662 2,086 636 56.418 804 57,222 8,602