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2024-03-31-accounts

DEVON LINK-UP

REPORT AND ACCOUNTS FOR THE YEAR ENDED 31[ST] MARCH 2024

(REGISTERED CHARITY NUMBER: 1052687)

DEVON LINK-UP

CHARITY INFORMATION For the Year Ended 31[st] March 2024

ADDRESS: Heathfield Farm
Station Road
Broadclyst
Exeter
EX5 3AR
CHARITY REGISTRATION NUMBER: 1052687
TRUSTEES: Mrs J A Cornwell Chair
Mrs J E Miller Treasurer
Mr P Gilpin
Mr A Fox
SECRETARY: Mrs J E Miller
MANAGER: Ms Jo Morgan
ACCOUNTANTS: Geraldine Coates Accounting
Robson House
Chapel Street
Honiton
Devon
EX14 1EU
BANKERS: Lloyds TSB
84 High Street
Honiton
Devon

DEVON LINK-UP

INDEX TO THE ACCOUNTS For the Year Ended 31[st] March 2024

Page
Trustees’ Annual Report 1 – 4
Accountants Report 5
Statement of Financial Activities 6 – 8
Balance Sheet 9 – 10
Notes to the Accounts 11 – 14

DEVON LINK-UP

REPORT OF THE TRUSTEES For the Year Ended 31[st] March 2024

The Trustees herein present their report along with the financial statements for the charity for the year ended 31[st] March 2024. The financial statements have been prepared in accordance with the accounting policies set out the accounts and comply with the charity’s constitution, the Charities Act 1993, and the statement of Recommended Practise: Accounting and Reporting by Charities 2008.

STRUCTURE, MANAGEMENT & GOVERNANCE

Devon Link-Up is an unincorporated charity, established in 1991 and registered under its current charity number in 1996. It is an independent, User-Led, voluntary organisation, working in Devon, currently supporting approximately two hundred and fifty people with learning disabilities.

Devon Link-Up is dedicated to supporting people to have a voice and choice about their lives so that they have active and fulfilled lives within their community. Our main areas of work delivered through various projects have continued throughout the year and focus on social activities, having a voice and being supported to speak up about issues that are important.

We have continued to develop our projects, so they offer increased independence and inclusion for our members.

The Trustees are elected annually by members at the Annual General Meeting. The constitution provides for no more than 9 Trustees who must include a Chairperson, Deputy Chairperson, Secretary, Treasurer and any other officers as the Trustees shall from time to time determine.

The day-to-day operation of the charity is delegated to the charity Chief Officer by a Management Committee which meets 8 times each year.

An essential part of the governance of the charity is that it is user led with a service user being supported by volunteers who also sit on the Management Committee, as a consequence the organisation is co-chaired.

RISK MANAGEMENT

The Trustees of Devon Link-Up, with a Chief Officer and other members of staff, have considered the major risks to which the charity and its users are exposed and established systems and procedures to manage those risks. 35 major policies, including for example, those relating to Health and Safety, Equal Opportunities, Safeguarding Adults and Children and financial management continue to be reviewed and updated as part of an on-going policy review programme.

OBJECTIVES AND ACTIVITIES

The objectives of the Charity:

To promote any charitable purpose for the benefit of persons with learning disabilities and in particular but not by limitation (a) promote the involvement of the community in the care and welfare of such persons and (b) promote and assist in the integration of such persons into the community.

Page 1

DEVON LINK-UP

REPORT OF THE TRUSTEES For the Year Ended 31[st] March 2024

The charity trustees have compiled with their duty as detailed in section 17(5) of the 2011 Charities Act by preparing a Public Benefit Statements (see below).

Public Benefit Statement

There are an estimated sixteen thousand people with learning disabilities, living in Devon, many of whom are socially isolated and have limited opportunities for integrating into their community. During the last year Devon Link-Up has maintained is dedication to helping people enjoy their lives by giving them a voice and choice about the things they do. It is our aim to encourage new skills and when experience in the anticipation that people will build confidence, self-esteem and greater independence.

With the limited opportunities provided by statutory services and ever decreasing access to support, Devon Link-Up works increasingly hard to act as a safe and integral part of the life of many people with learning disabilities in Devon. Moreover, it is well respected by and complimentary to the other service providers in the area from both statutory and voluntary sectors.

Devon Link-Up aims to ensure that people have access to an independent service where they can make real choices and have a voice about all aspects of their life. The reduction of isolation and the creation of real friendships and access to the local community are key drivers for the organisation.

Our budget is used to:

Devon Link-Up also has a small team of volunteers who assist the organisation in a variety of ways, their valuable time is greatly appreciated.

The work of Devon Link-Up benefits not just the members but also the wider community when awareness and understanding is increased. We are proud of our achievements in helping overcome some of the inequalities learning disables people face in Devon.

ACHIEVEMENTS AND PERFORMANCE

The achievements and performance of the charity are closely monitored by the Trustees and are summarised in the annual report.

MONITORING ACHIEVEMENT

The Trustees recognise the importance of monitoring and evaluating services against the organisation’s aims to ensure proper governance and continued progress and development.

Page 2

DEVON LINK-UP

REPORT OF THE TRUSTEES For the Year Ended 31[st] March 2024

The Trustees receive a report of, and talk about, the achievements of each of the projects at each meeting. Feedback from service users, carers, staff members and volunteers is an important component of the monitoring process. The Trustees also consider formal evaluation which is carried out regularly in the form of a user-friendly questionnaire sent to all stakeholders.

FINANCIAL REVIEW

The charity is reliant on charitable grants from donors together with income from working via local authority contracts as identified in the examined accounts. Due to the economic state of austerity measures the amount of income has decreased which places greater challenges on the organisation to ensure stability for the future.

PLANS FOR THE FUTURE

It can be seen from the Annual Report that Devon Link-Up continued to be a dynamic organisation, always seeking to devote its resources to meeting the need of people with learning disabilities living in Devon. As resources become more restricted our skills and values continue to guide the future direction of the organisation.

RESERVES

The Charity reserves are set at an agreed level and the Trustees regularly monitor the levels to ensure all needs can be met as agreed in the Reserves Policy.

TRUSTEES’ RESPONSIBILITIES IN RELATION TO FINANCIAL STATEMENTS

The law applicable to charities in England and Wales requires the Trustees to prepare financial statements for each financial year which give a true and fair view of the charity’s financial activities during the year and of its financial position at the end of the year. In preparing financial statements giving true and fair view, the Trustees should follow best practise and:

Page 3

DEVON LINK-UP

REPORT OF THE TRUSTEES For the Year Ended 31[st] March 2024

The Trustees are responsible for keeping accounting records which disclose, with reasonable accuracy, the financial position of the charity with which to ascertain the financial position of the charity (Accounts and Reports) Regulations and the provisions of the trust deed. The Trustees are responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

BY ORDER OF THE BOARD OF TRUSTEES

……………………………….. Mrs J A Cornwell CHAIR

Page 4

DEVON LINK-UP

INDEPENDENT EXAMINERS REPORT TO THE TRUSTEES OF

FOR THE YEAR ENDED 31[ST] MARCH 2024

We report on the financial statements of Devon Link-Up for the year ended 31[st] March 2024 which are set out on pages six to fourteen.

Respective responsibilities of trustees and examiner

The charity’s trustees are responsible for the preparation of the accounts. The Charity’s trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is our responsibility to:

Basis of independent examiner’s report

Our examination was carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of unusual items or disclosure in the accounts, and the seeking of explanations form your as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and, consequently, I do not express an audit opinion on the view given by the accounts. We conducted audit in accordance with United Kingdom Auditing Standards issued by the Auditing Practices Board.

Independent examiners’ statement

In connection with our examination, no matter has come to our attention:

……………………………………………………………..

Geraldine Coates Accounting Robson House, Chapel Street Honiton, Devon EX14 1EU

Dated: …………………………………………………

Page 5

DEVON LINK-UP

STATEMENT OF FINANCIAL ACTIVITIES INCOME AND EXPENDITURE For the Year Ended 31[st] March 2024

Unrestricted Restricted Total Funds Total Funds
Note Funds Funds 2024 2023
£ £ £ £
Income Resources
Activities for Generating funds:
Heathfield Farm 116,519) 24,458) 140,977) 175,818)
Other Projects 36,830) -) 36,830) 77,580)
Investment Income
Interest Received -) -) -) -)
TOTAL INCOMING
RESOURCES 1b 153,349) 24,458) 177,808) 253,398)
RESOURCES EXPENSES
Costs of generating funds
Charitable Activities:
Activities undertaken Directly 2 11,767) 1,916) 13,682) 30,351)
Charitable Activities 3 133,311) 21,702) 155,013) 262,690)
Governance Costs 4 1,099) -) -) -)
TOTAL RESOURCES EXPENDED 146,177) 23,618) 168,696) 293,041
NET RESOURCES EXPENDED FOR
THE YEAR 4 8,271) 840) 9,113) (39,643)
JRS Grant Received -) ---------- -) -)
Net Movements in Fund 7,172) 840) 8,014) (39,643)
Balance at 1st April 2023 (142,747) 186,100) 43,354) 67,214)
Prior year adjustments 1,100) -) 1,100) 15,783)
Balance at 31st March 2024 5 (134,475) 186,940) 52,466) 43,354)

Page 6

DEVON LINK-UP

STATEMENT OF FINANCIAL ACTIVITIES INCOME AND EXPENDITURE CONTINUED… For the Year Ended 31[st] March 2024

Sales Income
Sale of Produce
Donation Income
Grant Income
Other Income
Total Income
Expenditure
Salaries
Rent
Travel & Subsistence
Vehicle Expenses
Insurance
Advertising
Bookkeeping
Kitchen Expenses
Sundries & Refreshments
Repairs & Renewals
Staff Training
PPE Expenses
Plant Purchases
Equipment & Materials
Room Hire
Subscriptions
Office Costs
Utilities
Recruitment
Other Salaries
Net Profit for the Year (2024):
Add Profits/(Losses):
Deprecation Charge:
Total Net Profit for the Year (2024):
Heathfield Farm
£
£
105,122
557
7,040
17,418
10,840
140,977
113,564
-
230
197
2,607
60
612
2,217
7
196
-
9
106
685
-
9
350
6,761
410
6,306
134,327
6,650
Other Projects
£
£
36,830
-
-
-
-
36,830
24,031
120
566
-
-
-
-
156
9
-
-
-
-
514
260
-
-
366
-
8,346
34,368
2,462
9,113
( 1,099)
8,014

Page 7

DEVON LINK-UP

STATEMENT OF FINANCIAL ACTIVITIES PREVIOUS YEAR INCOME AND EXPENDITURE For the Year Ended 31[st] March 2023

Heathfield Farm
£
£
Sales Income
80,647
Donation Income
95,120
Other Income
51
Total Income
1 75,818
Expenditure
Salaries
1 43,597
Rent
-
Travel & Subsistence
7,144
Insurance
630
Advertising
-
Bookkeeping
-
Sundries & Refreshments
5,961
Repairs & Renewals
4,940
Staff Training
425
Telephone
567
Postage
53
Stationery
290
Equipment
3,847
Fundraising Costs
-
External Agent Costs
6,804
Room Hire
-
Subscriptions
36
Office Costs
2,315
Computer Charges
269
Printing
-
Recruitment
132
Developments
337
1 77,347
Net Profit for the Year (2023):
( 1,529)
Add Profits/(Losses):
Deprecation Charge:
Total Net Profit for the Year (2023):
Page 8
Other Projects
£
£
44,268
31,812
1,500
77,580
68,689
1,440
2,213
-
832
1,111
381
-
130
167
142
949
-
15,840
2,239
2,079
618
-
432
2,154
-
14,782
1 14,198
( 36,618)
( 38,147)
( 1,373)
( 39,520)

DEVON LINK-UP

BALANCE SHEET As at 31[st] March 2024

Note
FIXED ASSETS
6
Tangible Assets
CURRENT ASSETS
Debtors
Cash at Bank & in hand
CURRENT LIABILITIES
Creditors and Accruals

NET CURRENT ASSETS
Creditors: amounts falling
due after more than one year
NET ASSETS
FUNDS
Unrestricted
Restricted
Transferred restriction to un-
restricted
TOTAL FUNDS
31/03/2024
£
£
4,394)
25,234)
33,207)
58,441)
(10,370)
(10,370)
48,070)
-)
52,466)
52,465)
-)
52,466)
31/03/2023
£
£
5,493)
-)
37,861)
37,861)
-)
-)
37,861)
-)
43,354)
43,354)
-)
-)
43,354

Page 9

DEVON LINK-UP

BALANCE SHEET AS AT 31[ST] MARCH 2024

In preparing these financial statements, the trustees have taken advantage of special exemptions applicable to small charities. The trustees have done so on the grounds that, in their opinion, the charity is entitled to the benefits of those exemptions because it meets with the qualifying condition for small charities as stated in Section 130 of the Charities Act 2011.

……………………………………………………….. Mrs J A Cornwell (CHAIRPERSON)

…………………………………………………………. Mrs J E Miller (SECRETARY & TREASURER)

Approved by the Committee on …………………………………………………

Page 10

DEVON LINK-UP

NOTES TO THE ACCOUNTS For the Year Ended 31[st] March 2024

1. ACCOUNTING POLICIES

a) Historical Cost Convention

The accounts have been prepared under the historical cost convention, and in accordance with the Statement of Recommended Practise (SORP 2008).

b) Incoming Resources

Income is received by way of funding and donations and is included in the Statement of Financial Activities when receivable.

Income from investments is included in the year in which it is receivable.

c) Resources Expended

Resources expended are recognised in the year in which they are incurred.

d) Tangible Fixed Assets and Depreciation

Depreciation is provided at rates calculated to write off less residual value of each asset over their expected useful life, as follows:

Office Equipment - 20% Reducing Balance
Fixtures & Fittings - 20% Reducing Balance
Farm Equipment - 20% Reducing Balance

2. ACTIVITIES UNDERTAKEN DIRECTLY

Unrestricted Restricted Restricted Total Total
Funds Funds 2024 2023
£ £ £ £
Utilities/Telephone and Postage 6,129 998 7,127 929
Kitchen Expenses 2,041 332 2,373
Stationery - - - 1,239
Advertising 51 8 60 833
Rent 103 17 120 1,440
Repair & Maintenance 169 27 196 20,060
Insurance 2,242 365 2,607 630
Equipment & Materials 1,031 168 1,199 3,847
11,767 1,916 13,682 30,351

Page 11

DEVON LINK-UP

NOTES TO THE ACCOUNTS For the Year Ended 31[st] March 2024

3. CHARITABLE ACTIVITIES

3. CHARITABLE ACTIVITIES
Unrestricted Restricted Total Total
Funds Funds 2024 2023
£ £ £ £
Staff Costs 118,332 19,263 137,595 212,286
Bookkeeping 527 86 612 1,111
Travel 854 139 993 9,357
Office Costs 309 50 359 5,824
Staff Training - - - 687
HR Support - - - 120
Room Hire 224 36 260 2,079
Social Expenditure 112 18 131 6,342
Volunteer Expenses 353 57 410 -
Other Expenses/Petty Cash 12,601 2,051 14,652 24,884
133,311 21,702 155,013 262,690
4. GOVERNANCE COSTS
NET RESOURCES EXPENDED
Net resources expended is
stated
after charging
2024 2023
£ £
Depreciation – owned assets 1,099
1,373
5. NET MOVEMENT IN FUNDS
Unrestricted Restricted Total
Funds
2024
£ £ £
a) Heathfield Farm
Balance b/fwd ( 82,849) 56,308) ( 26,541)
Other incoming Resources 116,519) 24,458) 140,436)
33,670) 80,766) 114,436)
Less: Activities Undertaken Directly ( 10,183) ( 1,658) ( 11,841)
Governance Costs -) -) -)
Support Costs (105,338) (17,148) (122,486)
Balance c/fwd ( 81,851) 61,960) ( 19,891)

Page 12

DEVON LINK-UP

NOTES TO THE ACCOUNTS For the Year Ended 31[st] March 2024

5.

NET MOVEMENT IN FUNDS
Unrestricted
Restricted
£
£
b) Other Projects
Balance b/fwd
( 78,104)
5,440.
(
Other Incoming Resources
36,830)
-)
( 41,274)
5,440)
(
Less: Activities Undertaken Directly
552)
90)
Governance Costs
-
-)
Support Costs
29,004)
4,722)
Balance c/fwd
( 70,830)
628)
(
C) Previous Project Areas Combined (Not Used)
Balance b/fwd
18,206.
124,352.
Other Incoming Resources
-.
-.
18,206.
124,352.
Less: Activities Undertaken Directly
-.
-.
Governance Costs
-.
-.
Support Costs
-.
-.
Balance c/fwd
18,206.
124,352.
Total
Funds
2024
£
72,664)
36,830)
35,834)
642)
-)
33,726)
70,202)
142,559.
-.
142,559.
-.
-.
-.
142,559.

Page 13

DEVON LINK-UP

NOTES TO THE ACCOUNTS For the Year Ended 31[st] March 2024

6. Fixed Assets

Farm Large Tools Office Fixtures
&
Total
Equipment Equipment Fittings
£ £ £ £ £
Cost
As at 1stApril 2023 1,290 876 10,250 4,211 16,627
Additions - - - - -
Disposals - - - - -
As at 31stMarch 2024 1,290 876 10,250 4,211 16,627
DEPRECATION
As at 1stApril 2023 386 175 6,691 3,882 11,134
Charge for the Year 181 140 712 66 1,099
As at 31stMarch 2024 567 315 7,403 3,948 12,233
NET BOOK VALUES
31stMarch 2024 723 561 2,847 263 4,394
================================================================================
31stMarch 2023 904 701 3,559 329 5,493
================================================================================

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