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2022-03-31-accounts

CRAIG-Y-DON COMMUNITY CENTRE

REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31ST MARCH 2022

The Trustees present their report with the financial statements for the year ended 31st March 2022.

OBJECTS, ORGANISTION AND ACTIVITIES

The charity is established to promote the good and wellbeing of the inhabitants of Craig-y-Don and the surrounding area by providing community facilities at affordable prices.

The community centre is available for hire by any individual or organisation in accordance with the standard hiring agreement and scale of charges adopted. The scale of charges is intended to be sufficient to generate enough income to result in a surplus available for future maintenance costs and the enhancement of the facilities.

The community centre has had another excellent year with more activities taking place. It is now running to at least 90% capacity for seven days a week. In addition to the provision of rooms for hire, the community centre provides for the operation of a playgroup and an after school club, within the building.

Reserves Policy

Reserves are held at a level considered by the Trustees to be appropriate to fund the activities of the Charity and to part fund any new projects.

Risk Management

The major business, operational and general risks are reviewed by the Trustees on a regular basis to ensure that appropriate action may be taken, as necessary, in order to lessen the Charity’s exposure to risk.

Responsibilities of Members of the Managing Committee

The Trustees are required to prepare financial statements for each financial year in accordance with the Charities Act 2011 and following guidance for accounting for smaller charities issued by the Charities Commission.

In preparing the financial statements, the Trustees are required to:

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CRAIG-Y-DON COMMUNITY CENTRE

REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31ST MARCH 2022

The Trustees are also responsible for: -

Approved by the Trustees and signed on their behalf by:

Mr F Bradfield Chairperson

Date:

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CRAIG-Y-DON COMMUNITY CENTRE

INDEPENDENT EXAMINER’S REPORT FOR THE YEAR ENDED 31ST MARCH 2022

I report on the accounts of the Craig-y-Don Community Centre, for the year ended 31st March 2022 which are set out on pages 4 to 7.

It is my responsibility to examine the accounts under the provisions of the Charities Act 2011 and to follow the procedures laid down in the General Directions as provided by the Charity Commissioners.

In my opinion these financial statements give a true and fair view of the state of affairs of the Charity and have been properly prepared in accordance with the Charities Act 2011.

J Pratt & Co Ltd Chartered Certified Accountants Basford House 29 Augusta Street LLANDUDNO LL30 2AE

12th July 2022

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CRAIG-Y-DON COMMUNITY CENTRE

STATEMENT OF FINANCIAL ACTIVITIES

RECEIPTS AND PAYMENTS ACCOUNT FOR THE YEAR ENDED 31ST MARCH 2022

2022 2021
Restricted Unrestricted Total Total
Notes Funds Funds Funds Funds
£ £ £ £
Receipts
Donations and grants 2 - 9038 9038 87352
Incoming resources from operating activities
(i) activities in furtherance of the objects 3a - 38732 38732 7958
(ii) activities for generating funds 3b - 2119 2119 -
(iii) interest received - - - -
------------ ------------ ------------ ------------
Total receipts - 49889 49889 95310
------------ ------------ ------------ ------------
Payments
Charitable 4 - 64507 64507 58604
------------ ------------ ------------ ------------
Total payments - 64507 64507 58604
------------ ------------ ------------ ------------
Net (payments)/receipts for the year - (14618) (14618) 36706
Total net assets at 31st March 2021 - 67046 67046 30340
------------ ------------ ------------ ------------
Total net assets at 31st March 2022 - 52428 52428 67046
------------ ------------ ------------ ------------

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CRAIG-Y-DON COMMUNITY CENTRE

STATEMENT OF FINANCIAL ACTIVITIES

GENERAL FUND

FOR THE YEAR ENDED 31ST MARCH 2022

General Fund

General Fund
2022 2021
Restricted Unrestricted Total Total
Notes Funds Funds Funds Funds
£ £ £ £
Monetary assets
Bank deposit accounts - 52716 52716 64972
Cash accounts - 55 55 55
---------- ---------- ---------- ----------
- 52771 52771 65027
---------- ---------- ---------- ----------
Current assets
Furlough debtors - - - 2184
---------- ---------- ---------- ----------
- - - 2184
---------- ---------- ---------- ----------
Liabilities
Creditors - (343) (343) (165)
---------- ---------- ---------- ----------
Total Net Assets - 52428 52428 67046
---------- ---------- ---------- ----------

The financial statements have been prepared under Section 42 (3) of the Charities Act 2011 following the guidance for accounting for small charities issued by the Charity Commissioners.

Approved by the Trustees and signed on their behalf by:

Mr F Bradfield Mrs S Adams Chairperson Treasurer Date:

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CRAIG-Y-DON COMMUNITY CENTRE NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH 2022

1. Accounting Policies

Basis of accounting

The accounts are prepared on the receipts and payments basis in accordance with the Charities Act 2011 and applicable accounting standards and the Statement of Recommended Practice 2005

Cost Allocation

Costs are apportioned between various expenditure headings as necessary and in accordance with the best estimates of the Trustees.

2. Donations and Grants

2. Donations and Grants
Restricted 2022 2021
Notes Funds Unrestricted Total Total
Funds Funds Funds
£ £ £ £
CJRS (Furlough) - 7077 7077 25512
CCBC Covid Grants - - - 55000
Welsh Government Covid Grant - - - 3000
CCBC Grant - 1961 1961 3340
Llandudno Town Council - - - 500
Gwynt-y-Mor - - - -
---------- ---------- ---------- ----------
- 9038 9038 87352
---------- ---------- ---------- ----------
3. Incoming Resources From Operating Activities Of The Charity
2022 2021
Restricted Unrestricted Total Total
Notes Funds Funds Funds Funds
£ £ £ £
(a) Activities in furtherance of the objects:
Hiring fees - 38192 38192 5432
Solar panels - 1077
Sundries - 540 540 1449
---------- ---------- ---------- ----------
- 38732 38732 7958
---------- ---------- ---------- ----------
(b) Activities for generating funds:
Social events - 2119 2119 -
---------- ---------- ---------- ----------
- 2119 2119 -
---------- ---------- ---------- ----------

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CRAIG-Y-DON COMMUNITY CENTRE NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH 2022

4. Charitable Expenditure

2022 2021
Restricted Unrestricted Total Total
Funds Funds Funds Funds
£ £ £ £
(a) Activity costs:
Caretakers wages, pension contributions and travel - 46981 46981 42366
expenses, Honorariums & Treasurer’s expenses
Repairs & maintenance - 2940 2940 5055
Capital equipment - - - -
Cleaning materials - 826 826 426
Tennis room hire - 360 360 127
Sundries - 1190 1190 384
Licences - 146 146 564
(b) Administration costs:
Utility fees to Craig Y Don Sports - 9744 9744 8120
Stationery & printing - 1353 1353 446
Legal, accounts and payroll expenses - 967 967 1116
---------- ---------- ---------- ----------
- 64507 64507 58604
---------- ---------- ---------- ----------

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