OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-03-31-accounts

Bexhill Youth and Community Association

10 Station Road Bexhill on Sea East Sussex TN40 1RE 01424 215455

“bringing the community together”

Financial Statements for the year 1[st] April 2021 – 31[st] March 2022

1

Bexhill Youth and Community Association Company Information 1[st] April 2021– 31[st] March 2022

“bringing the community together”

Company Number: 3110033 Charity Number: 1050279 Directors and Trustees: Martin Kenward Michael Brooks Secretary: Paul White Bankers: Barclays Bank PLC Devonshire Road Bexhill on Sea East Sussex Registered Office: Bexhill Youth and Community Centre 10 Station Road Bexhill on Sea East Sussex TN40 1RE

2

Bexhill Youth and Community Association Report of the Directors and Trustees 1[st] April 2021 – 31[st] March 2022

“bringing the community together”

Objects of the Charity and its Principal Activity.

To promote the benefit of the inhabitants of the Town of Bexhill and the neighbourhood without distinction of age or sex or of political, religious or other opinions by providing facilities in the interests of social welfare for education recreation and leisure time activities with the object of improving the conditions of life for the said inhabitants and in particular but without prejudice to the generality of the foregoing to establish a community centre in the area of benefit.

Review of Activities

The Summary income and expenditure account is set out on page 4 and shows the charities results for the year

Centre

The Continuing Covid 19 pandemic saw further lockdowns and changes to the work of the centre with the centre not fully resuming hires or groups to their full capacity until September 2021 but continued fears did not bring all original groups back, table tennis continued to flourish through the year

Stepping Stones Playgroup

The Staff team have been developing good practice to ensure the needs of the children were met through the Covid 19 pandemic and into the future but seeing times that numbers fluctuated due to illness

The Bexhill After School Escape (The Base)

The Base were able to continue to provide out of school childcare to the families that required it but in changes of some parents working patterns saw a drop in numbers, through the year they were slowly coming back to more normal.

Signed on behalf of the Director’s of Bexhill Youth & Community Association

DEBBIE LEWIS (CHAIR)

3

Bexhill Youth and Community Association Statement of Accounts For the period 1[st] April 2021 – 31[st] March 2022

“bringing the community together”

Income

Lettings £ 5417.90 Children’s Work £ 36437.33 Fees £ 5678.40 Fundraising £ 5617.24

Income

£ 53150.87

Expenditure

Wages £ 27517.45 Rates £ 2541.10 Office £ 1193.01 Cleaning £ 72.20 Services £ 7698.78 Insurance £ 4336.47 Maintenance £ 6558.91 Equipment £ 606.11 Other £ 245.60 Expenditure £ 50769.63

Bank balance 1[st] April 2021 Cash Balance 1[st] April 2021 Income

£ 1408.21 £ 594.73 £ 53150.87

Expenditure

£ 50769.63

Surplus for period

£ 4384.18

Bank Balance 31[st] March 2022 2[nd] Bank Balance 31[st] March 2022 Cash Balance 31[st] March 2022

£ 2688.32 £ 1500.23 £ 195.63 £ 4384.18

Bexhill Youth and Community Association

4

Balance Sheet For the period 1[st] April 2021 – 31[st] March 2022

“bringing the community together”

As at 31[st] March 2022

Estimated Current Value of Physical Assets - Buildings and Equipment

Bexhill Youth and Community Association own the following physical assets

  1. Bexhill Youth and Community Centre building

  2. 10 Station Road, Bexhill on Sea, TN401RE

This building comprises a main community hall, sports hall, storage areas, toilet areas and a kitchen. Estimated current value: £1,270,871

  1. No.11 Station Road (known as The White House), Bexhill on Sea, TN401RE

This building sits immediately adjacent to No.10 Station Road and consists of accommodation for the Centre Manager / Caretaker, additional storage areas, and office space. Estimated current value: £262,938

  1. A varied array of equipment that is stored in both buildings. This equipment includes a large number of items used by a Playgroup, After School Club, Holiday Club, various Sporting and Community organisations, Table Tennis tables, Office equipment including computers and photocopier and catering equipment. Estimated current value: £52,752

5

For the year ending 31[st] March 2022 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

Directors’ responsibilities:

Director’s Statement and Disclaimer

We are aware that the Directors are required by the Companies Act 2006 to prepare financial statements for each financial year that give a true and fair view of the state of affairs of the organisation as at the end of the financial year.

In the case of 2021 /2022 accounts period the company faced the challenge of our Centre Manager becoming seriously ill and the current Directors resigning and severing all contact with the Community Association. An extraordinary meeting was called and a new board of Directors were elected and a new committee was formed in October 2022.

In 2022 our Centre Manager became seriously ill following a brain haemorrhage and the current Directors resigned and severing all contact with the Community Association. An extraordinary meeting was called and a new voluntary board of Directors were elected and a new committee was formed in October 2022. Our Centre Manager is now back at work, but is on epilepsy medication and has had further episodes.

I have notified the Charity Commissioners of the difficulties we have faced and I have been advised to upload the details we have for this financial period. We have just had the 2022/2023 accounts independently examined, however 2020/2021 and the period 2021/2022 did not have sufficient evidence for this to be done. Due to the circumstances mentioned above documentation has become mislaid and muddled and it cannot be independently examined.

Therefore, on behalf of the new board, I am signing these accounts which are to the best of our knowledge a true account of our financial situation for this period.

For next year’s account 2022/2023 we have engaged an independent examiner to support us moving forward

Chair of Directors

DEBORAH LEWIS

10.4.24

6