Company registration numb¢r: 3366688
ChariLy regisiralion numbcr: 1064511
Crossroads in East Lancashire Limited
(A company limil¢d by guarallt￿)
Annual R¢port and Financiol Statements
for the Year Ended 3l March 2024
Beever and Strutlkers
Chart¢red Accoulltants
One E4xpress
l Gcorge Leigh Strcet
m0￿CheSte
M4 5DL

Crossroads in ast Laneashire Limited
Contents
Reference and Admitsistralive Dctails
Trnslees, Report
2to4
Indcpcndent Bxamincr's Report
Statemeot of Financi81 Activities
Bal8nce Sheet
Statement of Cash Flows
Notes to the Financial Slutements
9t020

Crossroads in East Lancashire Limited
Reference and Administrative Details
Cbief Executivo O￿lter
Mr John Rattigan
Trugtc¢8
Dr P Russo
Mr D Prest(Trn
Mrs J List¢T
Mr K Holt
Mrs S Thompson
Mr J Thompson
Prfs K Morgan
J064511
Chwrlty Regtstratlon Number
Company Regi8ti'atioD Number
3366688
Regislorcd 0￿1¢¢
Burnley Bu5ines5 Centrc
Liverpool Road
Bumley
Lrtncashire
BB12 6HH
Indepettdenl Examlner
Beever and Struihers
Chartered AccounlAnts
One Express
l George Leigh Str￿l
Manchester
M4 5DL
Page I

Crossroads in ast Lancashire Limited
Trustees, Report
Th¢ trustees, who ar¢ directors for th¢ purposes of compally law, p￿ent the annual report together with the
financial statements of the charitsblc company for the year ¢ndcd 31 March 2024.
Objecdves find 8ctivllies
Objects and aitt
The object of the charity as per the Momorendum of Association os to reliev¢ the stre55¢s experienced by care
and beneficiaries.
The ar¢as of benefit Shall be Burnl¢y, Pendlc, Ross¢udalc, Blackburn and Darwen as agreed by the Board of
Tnsslee8.
The charity's principal activity is lo provide c8re for carw8 and the people they car¢ for, &s well as the Gore of
inFTh and disabled peoplc in their hom¢ environment, in accordan￿ wtth 4 ststed and ag￿ed care p18tt that
meets thc needs of the carer, th¢ client and tb¢ fjjnding body.
As always the objectiv¢ of the charity 1$ to expand the support network to carers by delivering more quality Gare
hours than previously. Thc charity constantly strives to salisfy as many rcferrals froDi ils public body fimders as
capacity allows whilst continually seekÉng to attract new funders and develop new services.
Objecllvayi strntegleJ and oclivlil
Ptsbllc benefi¢
The Trust¢e8 Annual Report ￿plainS thc charity's work during the year and how it has b￿n carried out for the
public bcnefit.
The tt'ustees confinn th* we have paid due regard to the Charity Commission guidance on public benefit
reporting in de¢idirtg what activitlC8 the charity should und¢rtake. The remainder of ihis AnDual Report explains
the charity's work dwing the year And how it bccn Carri￿ out for the publi¢ benefit
FIDollelAI revlow
Pollcy on re&¢r
The policy on reserv¢s is that the ¢xisting assets are rclained lo produce incom¢ which is wholly utilised to
support existing activities. Therc is no inlcntion in thc long terni to either inGr¢ase or reduce the capital
SI￿lficUn1IY from curr¢nt leycls. This policy is justified in that it is n¢cessary to pr¢s¢rv¢ and increase inme 8t
the present lev¢ls in order to maititain the activities of lh¢ ¢lwity.
Going eonctrn
After making &ppropriate enquiries. the ITUSte¢s have a reasonable expectation that the company has adequate
resourccs to conlinu¢ in operational existencc for the forcseeable fvture. For this reason tbcy continue to adopt
Ibe going concern basis in preparing the financial slatemellts.
strueturo) governance and m#llagemeDt
Jvaliire ofgovernlng dociimenl
The c4)mpany is a registered charitable company lirnitcd by Eugrantce and was set up by a Metttotllndum of
Associ&tion on 20 September 1997, whi¢h is the governing d￿uMent of the clwity,
Page 2

Crossroads in East Lancashire Limited
Trustees, Report
Recruilillent and appoinlNienl oflrmslees
AII tNstee3 and directors arc re-elected annually at the Amiual Genernl Meeting of thc company. Cunent
trustees puttÉng themselve5 for¥Ydrd for rc-election as well as prospective tnistces ate nominated either by
commvnity org8nisations or individuals.
The board uf tTh5tees rneet Jnonthly a thll b(TrArd. They disc￿￿£ the activili¢5 of the tharity in tenn8 of f￿￿llee,
se￿iC¢ delivery and 8taffLng. Staff of the chartty have dclegated authority to Carry out day io day work WAthin
policies agreed by the board. Financial standing Orde￿ give necessary authori58tion of different amounts. Ill
additioffj sp¢oific sub committe&s have been established io deal with fu￿1CC and fundraisin& pcrsoDnel. .¥ervice
and policies,
The oharity strives, by its actions and obj￿IlVe¥ to develop and maintaiu positiv¢ relationships with those
groups, thBriti¢s and individuals with whom Rt works Closely a5 well as airning to foster new relationships
whenever opportunities aris¢.
Organisollonal 3lriic¢iire
Crossroads tn East Lancashire is governed by a local board of trustees who are volunteers. They bling with th¢m
a range of skills and experienc¢ and arc responsible for the scrvice's overall operation.
Jearl Lister: Chair
David Preston.. Executiv¢ Chair
Pamela Russo
Sandra Thompson
K¢rry Holt
John Thomp50n
Karen Morgan
The b0￿d of trustees d¢leg8te the day to day nmning of the charity tr) tbe chief cxecutivc officer, ¢are manager
and finance rnan&gK.
John Rattigan: Chief F.xecutive Offic
Sheila Woodall., Caro M8nageT
Gilliun Pounder.. ca￿ Co-ordinator
"arzana Kauser: Senkor Carer Support Workcr
Deborah Mwphy: Financc Manager
AmAnda Pritchard: Adtninistrgtorl Payroll
Page 3

Crossr(>ads in East l*Ancashire Limiltd
rustets, Rtport
￿1￿j￿r A.sAJ' aiiil #ittilUEemeiit •fihusé ri.fA's
-h¥ 111181¢L8 acliv¢l!' IL*¥'ILii ihe iiiaj(Jr risKs IllL'L￿ bi. Ihe ¢hariii' on u rKeiilar ba%1.4 li Is iliijf IK.IILI' Il)?¢
IiiuiThlainiiig rL%LfiL% kll ciiir¢iil l¥N'Lls combin¢d ii'iih wiiiual rL'i'lCii' ()I' Ihe Ll)nirol.% ¢l*Lr kL'I liniinLial
si'tstom% iiill pri>vidL' %iiilliciC￿ r¢s1)UrLL￿ in ilic L%ini nfodi'erse i)pcriiliutwI L'¢irKliiinn%.
'I'lie Iru.%lLes Iiui"L ii1s0 eiaiFliiied ()thLf upLruiiunJl and ri%1. fUlL￿ bs, IhL chaTll¥' Diid arL' s111islicd tliiii
IhLI N!,.41LIM% In pliiLL' Lxin miliL)IIIL iIBiiifKJiii Tisk.
lmltment of iru%l¢t4' respun%ihilliltS
IrLi%l¥es Iiiho are Èilsv Ih¥' diicLI(If% ul"L [￿SSIu[￿S In East IAmLashirL Liiiiiied t.or I1￿ pilrtM)scs thl'Lonipaii!'
laii'l Irs1)onsililL Ic)r i)r¢FMVlrt¥i Ihe iiu%lLL%' rcpnrl and IIIL linartiial >￿ILl11Cli1￿ in tsLLordunLi iyiih Jpplic4hlL'
l&lii' lJ nilc'il kingdoiii ALL<?uniingi Sliindii rds Illniied kin!d(>iii CiinLfall!' hLceplLd ALLOLiniing l)raiiice),
IIILltidin& kH,S 1112 'Th¢. Fin01￿1￿1 Re￿v[lI)bl Sku￿11rd oppli¢ahliTr In Ihe IIK Iin¢J Repiiblic al. ITelJiid"
(.'Dinpuni' luii. r¢quirL'% (IK) li) pri PiifL IiTwnLidl %ioi¢niciiis 1(1¥ ¥u¢h liniillcial i ¢ur bnder c(?illpJni' laii.
Ili¢ Ii'u%li'L% iiiusl ii()l i1ppl0￿.L1 the liiitti)ciul slaiLllILI)Is unlc>s Ihi'i. are sllii4licd ih.ii IhLI' Pil'e 11 IILl¢ liiii i'ic.ii
1>1. Lhe st￿lL. ol. tsl'fdirs of th¢ chariiublL 1011)P4n¥' vl. IhL ilKOlt)Inbi fLM)ufLL* lind fjpplicoii()i) ol. Tc4iiiifLeS.
InLludin& ILS InLOlliV und L%pcndilurL'. thl. IhL' ¢harilable enmpun). ICK ihai pcri(xl, In PTLpuring Ihesv IiNiiiiiII
%lÉileiilLI?i.s. Il)e Iri&iiieS are rL'qLiiied Ip
ieleLI suillllilL IKinunliiiu poliLlC% oppli. Iheni L'nnsi%lLnili'.
ph%Lfi'L IIIL mi.IhvLls and piiiK'iples In IhL Chii¢ilie8 qORP'
i)iuL'L.judLILmei)18 Jnd c411mu(LN iknii EifL i¢£iiiinalil¢ uiid piudL'ni:
%(iIIL iilikilK'r gppliL¢ihl¥ ULLOklrtiiiio ￿¢￿il￿ords. L<IIDpriyng I'l<% 111? IMI'L. bLL'li l(Illi)H¢d. S￿111e£.1 lo dl?)
I))JIL?rial deparluri's di4LII)SL'd eNplaiii¢d IIIL Iii)anLi41 sliii¢intni%. uiyl
prLI)&iri thk linaiiLi&I %luE¥lnLni% Iin Il)¥ bliii1'.g ci)nceni l)asi% {￿lL.￿N li Is Inapprnpriult li) prt%Lllhl' Ihni ilii
¢liarii4ble ci)IDpani ii'ill COlKinue In bu%iiiL%%
I'l)I Ifii%lLie% ore re4pnnsible I'tsr k't¢piiiEt pri)PL'f UL'eoiiiiiino recoids Iliai Liiii JisL.II)SL i%'iih r¢li S()ikn11)l¢ ULILif'iL!' ill
&llii' IiinL IIIL. liiioiiciol Ix>iiliiin ol. IhL Lhofilabl¢ coi7ipdrbi' und Lnuhli Ili¢in ith ensure Ilidl IhL' I'iniinLiul SlUlLfiiiiiL
Lniiii)l!' ii'iih ilie Lnil)PiiniLS All 111116. '1'hL! Jf¢ also re5pon>il)l¢ i()r SiilL'uiiurdino Ihe dssel% ol. IhL* Lliiiiiliibli.
Ll>lllP
tjrii. iJn(I IIL'riLe loi. Ltskinrt rL'slX()niibli slLTrI)8 lor Ihe prc¥ciition on¢J Ji%lLL'iIDn i)I' i'raud und DihL'F irrLTriTiiliiiiliL%.
'I'lIL' Iiu%l¥L'% iifL' rL'spvnsibl¥ Inr the muin￿l￿anL¥ nThJ ini¢griii' nl. Ihe il)fpL)rtste and Iinai)ciol Inl()niiiili(In
IiIL.IiiQL'd ilie chJfiiiiblL e01ri￿1)I s iieli%ilc. LLFisIAiion goi erriiisi ihL' l)fLpuf4iliiin di%%L'iniii:1111)ii (Il"
Iiniuiciul iialLmLnls n)llip clilli'r from IL'g151olioii in nihcr.juri%dicii41nS
'I'hL unniitsl rLP(Irl ai)proved hi. Ihc I￿L￿LL.% ol'ihc charity. oft IX I)eLLIMbcr ?0?4 and 51gncd nn il.% bL'li41 I'bi..
Mr l) lJr¢sfnn
i'usI¥TrL
Pth4L. 4

Crossroads in East Lancashire Limited
Independent Examlner's Report to the trustees of Crossroads in Eayt Lancashire
Limited ('Ihe Company,)
I report to the charity trustces on my examiDation of the accounts of the Company for tho year euded 31 March
2024,
Responsibilities basis of report
As the chority's trusle¢s of tbe Company (and also its directors for the purposes of cornpauy law) you are
responsibl¢ for the preparation of the accounts in accordallce with the requirements of th¢ Compantes Act 2006
{'th¢ 2006 Act,).
Hllving satisfied mys¢lf that the accounts of th¢ Company aro not required to be audited under Part 16 of the
2006 Act and are eligibl¢ for iodcpendenl examination. I report in respcci of rny examination of your Charity's
a¢counls as carriLd out under section 145 of th¢ chariti￿ Act 201 L ('Ihe 2011 Act.). In carrying out my
examination I have followed the Dir¢Gtions given by the Charity Commission under scction 145(5)(b) of the
2011 Act.
Indepeiident eIamlner s Jtfttement
Sincc the Companls gr055 in¢orne exceeded £250,000 your ¢xaminer must be 8 m¢mb¢r of a body listcd in
seclion 145 of the 201 l Act. l Gonfm that l am qualified to widertake the examinalion because l am a m¢mb¢r
of ICAEW, which is one of the listed bodie
I hay¢ completed my examination. I confirm ihal no matterJ hav¢ Come to my attention in connection with the
exAmination giving me ca￿e lo beli¢v¢:
accounting rccords Thrre not k¢pt in respect of Cro&8road8 in East Lan¢a8hire Limited as required by
s¢¢1ion 386 of th¢ 2006 A¢t' or
2. thc accounts do not aword with those rccoTd3' or
3. Ibe accounts do not comply with th¢ acci)unting requiremenis of seGIioD 396 of the 2006 Act other than
any requiremenl thal Ihe accounls give a 'tTU¢ And fAir view whioh is not R Tnatter considered AS part of 8
independent exatnination, or
4. the accounts havc Dot been prepared in accordartce with the m¢thods 8nd principles of the Stat¢m¢nt of
Recommended Practice for accounlin8 and reporting by charities [applicable lo charities preparing their
a¢¢ounls in accordanc¢ with the Etinancial Reporting Standard applicablc in the LU( and Rcpubli¢ of
Ir¢land (FRS 102)].
I have no concorns aud have comc a¢ro&s no other matters in connection with the cxamination to whlch ottention
should be drawn in this rcpi)rt in order to eDabl¢ a proper understanding of the acC(￿nts to b¢ reached.
Helen Binns FCA
Beever and Struthers
Chartered Accountants
One Exprc5S
l George Leigb Street
Manohesl¢r
M4 5DL
18 December 2024
Page 5

Crossroads ID East Lancashire Limited
Statement of Financial Activities for the Year Ei nded 31 March 2024
(Including Income and Expenditure Accoullt and Statement of Total Recognised Gains
and Losses)
Unrcstricted
funds
Re5trict¢d
fullds
Tota]
2024
Total
2023
Note
Income and ElldowmeDts frorn:
Donations and legacies
Charitable activities
Inveslment incom¢
620
485,09l
7,979
102,511
103,13 I
485,091
7.979
105,889
626,576
5,759
Total incornc
493,690
102,511
596,201
738,224
Expenditui'o On:
Charitablc activities
630,745)
100,885
31,630
751,788
Total expenditurc
NE¢ (¢xpendittweyincom¢
Nel rnovemenl in fiwd8
(630,745
{] CQ,885
(731,630
751,788
137 055
1,626
135 429
13,564
(137,055)
1,626
(135.429)
(13,564)
Reconclliatlon offuJJd8
Total fimds brought forward
Total fi￿dS ¢Jrried fonvard
243,176
11,222
254,398
267,962
20
106.121
12,848
118,969
254,398
All of th¢ ch￿1￿5 ￿tIVItieS derivc from conlinuing operations dwitig tbe above two periods.
The fimds breakdo￿ for 2023 is 8howii in nole 20.
Th¢ not¢s on pages 9 to 20 form an integral part of tb¢s¢ fin8ncial 8takn¢nts.
Page 6

Crossroad5 RD East Laneasbire Limited
(Registration number: 3366688)
Balance Sheet as at 31 March 2024
2024
2023
Nole
Filed Hssets
Tangible ass#ls
13
2,912
3,765
Curront assets
Debtor5
Cash at bank and in hand
14
15
81,572
132,024
100,342
266,276
213,596
366,618
Credllorj: Am•ullts falling duo wltbiD year
16
93,882
91,535
N¢t ¢urreDt a8SQts
119,714
275,083
Tot81 ￿$￿et8 ¢urr¢nt Ilabllities
122,626
3,657
278.848
Credltors: Amounts falling due after more one year
17
{24,450
Not a8sets
118,969
254,398
ri uuds of the ehArity:
Restrlcted Ineome funds
Restricted funds
12,848
11,222
UDreJlrlcted Ineome lund8
Unrestricted funds
106.121
243,176
Totxl fullds
20
118.969
254,398
For the fThaacial y¢ar ending 31 MArch 2024 the charity was entilled to exemption from alldit under section 477
of the Companiu Act 2006 relating lo small compani¢s.
Directors, responsibiliti¢s:
The members have not required th¢ charity to obfain on audit of ils accounts for the year in question in
a¢¢ordance with section 476, and
The directors acknowledge th¢ir responsibilities for complying with the requirements of the Act with reSp￿t
to accounting records and the preparation of accounts.
The financial stotemenls on p8ge5 6 to 20 werc approved by the b￿steeS, and authoriscd foT issue on 18
Dec¢mber 2024 and signed on th¢ir behalf by:
Mr D Preston
Trustce
The notes on pages 9 10 20 fonn aTh integral part of thcse financial statements.
Page 7

Crossroads in East Lancasbire Limited
Statement of Cash Flows for the Year Ellded 31 March 2024
2024
2023
Note
Cash flows from operating gctfivltiej
Net cash expcnditure
Adjusttllonts to cash flows from llDn-cAsh item8
Depreciation
Invegtment Income
(135,429)
(13,564)
853
7,979
(142,555)
1,117
(18.206)
Worldng e8Plt*l xdjuslmenls
Decr¢&sel{increa5¢) in debtors
InGre8sel(dccr¢8sc) in creditors
Nel cash flows from opeTattng acttviti¢s
Cash flows from Investing AetiYi*les
Intcre8t receivable and similar incA>me
14
16
18,770
2,347
(977)
53,451
(121,438)
(72,634)
7,979
5,759
Cash nowj from fmaD¢lng acliviiles
Rep&yment of loans and borrowings
Nel decroase in cash and cash equivalonts
16
20,793
17.523
(134,252)
266,276
(84,398)
350,674
Cash and cash equivalonts al l April
Ca511 and cash cquivalents ai 31 M8r¢h
132,024
266,276
All of th¢ cath flowJ are derived from conttnuing operations during thc above two periods.
Th¢ notcs on pages 9 to 20 fonn 8n ititrgral part of these fuwicial stat¢ments.
Pagc 8

Crossroads in East Lancashire Limited
Notes to the FRn8ncial Statements for the Year Ended 31 March 2024
I Ch4rity slatus
The clLarily is limited by guarantee, incorpordled in England and W￿e3, and consequently does not have sh￿¢
capital, Each of the trustees is liable to wntribute an lltnount not ¢x¢eeding £1 towards the asscts of thc ¢harity
in thc event of liquidation.
The address of its registered offTce is:
Burnlcy Business Centre
Liverpool Road
Bunilay
Lancashir¢
BB12 6HH
2 Aecounling policies
Summ&ry of JlgiiifieAnt acco￿￿tIng polic1￿ and key aceounting t8tlm&tes
The principal a¢counling policies applied in th¢ p￿pa￿tion of these financial statemenls are sel out below.
Th&se policies have been consistently appli¢d to all the ycars pres¢nt¢d, unless oiherwis¢ stated.
Statetnent of compli4nee
The fmancial staternenls have been prepared in ac¢ordancc wilh Accounting And R¢porting by ch￿Ill¢S..
Stal¢ment of Recommended Piactice (applicable lo charities preparing ihcir accounts in Rccordance witli tbe
Financiul Reporting Standard applicable in the UK and Republic of Ircland (FRS 102)) (issued in October 2019)
(Charities SORP IFRS 102)), lh¢ Financial R¢portin8 SiandArd applioablc in the UK And Republic of Ireland
(FRS 102) and thc Comp4Nes Act 2006.
Basis tsf preparatloll
Crossroads in Ellst L￿￿¢￿h1re Limited meets th¢ definition of A public benefit eniity under FRS 102. Assets 8nd
liabilities ur¢ initially recognised at historical c05t or transaclion value w]less otherwise stated in thv relevant
accounting policy notes.
Going concern
Th¢ twslees consider thal there are no materi41 uncertainties about the charitys ability to continue as a going
concem nor sÈgnificant areas of uncertainty thAt affe¢t the carrying vglue of assets held by the charity.
IDcome iud eDduwmeDts
All income is r¢cogniscd once the charity bas entitkmerbl to the income, it is probablc that the income will be
received and the amount of the incom¥ iEceivable can be measured reliably,
DoAiitions and légfici
Cash donations are recognised when the charity is legally entitled to it after any perfonnance conditions h&ve
been meL the amounts can bc me&sured reliably> and it is probable that income will be recGiv¢d.
Legacios &re recognised ork rcceipt or otherwise if the charity has been notified of an impending distribution, th¢
amourLt is known, &lld r¢ceipt Is expected. If the amount is not knowffj the legacy is trcated as a contingent asset.
Page 9

Crossroads ID East Lancashire Limited
Notes to the Finalleial Statements for tbe Yeai. Ended 31 March 2024
Grajils recervable
Grants gre recognised when the diarity bas an ¢ntitlement to the funth and any c4)nditions linked to the grants
have be¢n rnel. Wher¢ perfor￿aNCe conditions are attached to the gvanl and are yel to be mel the iDc4)me is
rccognised as a liability and included on the balance sheet &% defe￿ed in￿rne to be released,
Jnveshiieui Income
Investment income is a¢¢ounted for when rcceivable.
Exptnditurt
All expenditure is rL'cognised once th¢r¢ is a leg81 or constructive oblig&tion to that expendilure, it i8 probable
settlement is required and thc amount C8n be rneasur¢d reliably. All o05ts arc allocated lo the applichble
expcnditure heading that aggrcgale similar costs to that clllegory. Vlhere c05tS Cannot b¢ directly attributed to
paili¢ulor headÈn88 they have been allocated on a basis consistent with the use of rcsources. with central staff
costs allocated on thc bgsis of time spent, and deprcciation clwgcs allocated on the portion of the assct's us¢.
Other support costs Are Rlloc4led based on the spread of staff costs.
Cliarflable rtclivliles
Charitable expenditure comprises tbage costs incurred by Ihe ch￿lty in the delivery of its activities ond services
for its boneficiaries. 11 includes both co51s that can be allocated dir¢ctly to such activiti¢3 8nd th0￿ costs of an
indirect natur¢ necessary to support them.
Governance costs
These inalude the costs attributable to th¢ Charity's compliance with constitutional and 5taWtory requTrements,
including audit, gtrAtegic management 8nd trustees n)eetings And reimbursed expenses.
Taxatio
The charity is considcrcd lo pass the lesls set oul in Paragraph I S¥hedul¢ 6 of ihe Finanoe Act 2010 and
therefore it meets the defmilion of a charitable cornpany for UK corporation tax purposes. Accordingly, th¢
Lharity 18 Potentially ¢xempt from taxation in respect of income or capital gains received within categories
covered by Chaptor 3 Part I l of the Coryoration Tax Act 2010 or Section 256 01 the T￿￿tIon of Ch8rgeabl¢
Gains Act 1992, to th¢ ¢xlent that such inwme or 8ains are applied ¢x¢lusively to charilablc purposes.
Tinglble fixed 88sets
Individual fixed assets initi811y rccorded at cost, less any siibscqu¢nt accuJnul&ted depr￿lation and
subsequent a￿uMulated imp8irment losses.
D¥preciation and amortisitio
Depreciation is provided on tangible fixed awts so as to writc off the c05t or Yaluation, less &Dy estimated
residual Yalue, over their cxpected ￿eFul economic life follows:
Aysct class
Office equipment
Depreelatloll method and rAte
25 /0 reducing balance
Cagh and equivaleDts
Cash and cash equivalcllts comprise e&sh on hand and Gall deposits. 8nd other short-tcrni highly liquid
investmcnls that arc rcadily convertible to a known amount of cash and are subject to an insignificant risk of
change in value.
Page 10

Crossroads in East Lancashire Limited
Notes to the Financial Statemellts for the Year Ended 31 Marcb 2024
Trade credAtor
Trade crcdilors arc obligations lo pay for goods or services tILat have been acquired in the orditiary COUT5¢ of
busin¢ss from suppliers. Accounts payable arc classified as current li&bilities if the charity does not have an
unconditional rigEIt. at the end of the reporting pcriod, to d¢fer settlem¢nt of the creditor for at l¢ast twelv¢
months after the reporting dale. If there is an unconditional right to defer scttlement foi at lea3t twelve months
after the reporlillg date, they arc presentcd as non-currenl liabilities.
Trade creditors are r¢cognised initially at the tran88ction pric¢ and subsequently measured at amortised cost
using tb¢ effectiv¢ inte￿e method.
Bori'owiDgs
Inlere5t-beariDg borrowings are initially r¢corded at fair value, ncl of transaction costs. Intercst-bearing
borrowings 8re subscquently carried at amortt3¢d cost, with the differeDCC betwe¢n the procc¢ds, net of
tran5act(on costs, und thc amount duc on rcdcmption bciiig recognised as a charge to the Statcment of Fin8ncial
Activilics over the period of Ikle relevant borrowing.
Interest expense 15 ￿Ognised on the basis of the effectiv¢ intettst method and is included in interest payable
and simi18r charg¢s,
Borrowings are classified as current liabilities unless the thartty has an unconditional right to defer settlement of
the liability for at least twelve montlis after the r¢porting date.
Fund ikn-ueture
Unrestricted inMme funds are general fimds thet 8Jc available for ￿￿e at th¢ trustees discretion in fillthei'ance of
the objectives of the charity.
Restricted inwme fimds Hre those donated for ￿se in a parlicular 8re8 or for specific putP03es, the u5¢ of which
is restricted ¢0 that area or putpose.
PeD8ions and otber post retir¢ment oblig8tioDJ
The charity oper4tes a dcfmed contribution pension scheme which is a pension plan under which fixed
contributions are paid into a pension fi￿d 8nd the charity has no legal or constructive obli8alion to i)ay fi￿her
contributions ev¢n if the fund does not hold suificienl assets to pay all employees the benefits relating to
employ¢0 service in the currcnl aad prior p¢riods.
Contributions to defllL¢d colltrlbution pl1￿$ are rccognised in the Statcment of Financial Aeliviti¢s when thcy are
due. If conlribution payments exceed the contribution due for service, the exc%￿ is recogDiscd ￿ a pIepayment.
Pagell

cr0￿r02dS in East Lancashire Limited
Notes to the Financial Statements for the Year Ended 31 March 2024
Fiii#neial instruments
Clq,YNif(cation
The charity has finBncial a&sets and fman¢ial liabilities of a kiEuI that qualify a5 basic financial jj)Stn￿onts.
Basic fthancia] instrLrnenls arc initially recognised at trAns&clion value and subsequently nieasured at tbeir
seiileillent value.
Trade and other debtors are recogDiscd at the settlement aniount due aftcr any trade discA)wit offered.
Prepayments are valu¢d at the amount prepaid net of any trade discounls due.
Cash at bank &ftd cash in hand includes cash and short lenn highly liquid invesknents wlth short ¥ll8lurity or
thre¢ months or l¢ss from the d4te of acquisition or opening of the deposlt or syrnilar account.
Creditors and provisions are reco￿lSed where the charity ha3 a presenl obligation resulting from a past ev¢nt
that will probably result in the transfer of fimds to & third pArty and the atnount due to settle th¢ obligation can
be mwured or estimated reliably. Creditors and provision5 Mre nornially recognised at their settlcment amount
after Allowing for any trad¢ di5wunts due.
3 Jncornc from donatlons and legAcl
Unreslrieted
funds
GeuerAI
R¢$trlcted
fulldg
TotAI
2024
Total
2023
Donations and legRCiCS;
Donations from individuals
Gr￿lIs, incliiding capil81 grants.
Grants from oiher charities
620
620
3,E81
102.511
102,511
103 131
102708
620
102,51 I
105,889
Pag¢ 12

CrossroadN in East Lancashire Limited
Notes to the Financial Statements for the Year Ended 31 Marcb 2024
4 Incorne from charltable aetiYiti¢4
Unrestricted
fullds
Cencr*l
Totlll
2024
Totsl
2023
Contra¢tual Income
Direct paym¢nts
257,895
227,196
485,091
257,895
227.196
400,614
225,962
626,576
485,091
5 Investment Incom¢
UNrutricted
runds
Gellergl
Total
2024
2023
Interest r￿elY￿ble and similar incolne.
Int¢rest receivable on bank deposits
7,979
7.979
5,759
6 fi xpendlture on cbArltablo *ctlvltl
Unre8lricted
fun
GeDer81
Rejtrlcted
Cundi
Total
2024
TotAI
2023
Note
Insurance
Repairs and Tenewals
Rent and 5¢rvice
charges
T¢lephone
Training ond
recruitment
Printing* Postage and
slation¢ry
Computer costs
D¢precihtioD.
amorfisation and
other Similar costs
Staff costs
Utilities and sundry
08ts
Travel and
subsistence
Bai& chargcs
Sub5criplions
4,136
132
4.136
132
3,949
339
11,329
4,084
IlJ29
4,084
9,360
2,982
2?64
2,364
2,140
5.023
14295
5,023
14,295
5,454
10.968
854
545,142
854
646,027
1,117
663,272
100,88S
5,630
5,630
6,241
24,275
4,190
219
24.275
4,190
219
28,887
5,156
3,824
Page 13

Crossroads in East Lancashire Limited
Notes to the Fknancial Statements for the YeAr Ended 31 March 2024
Unrntrlct¢d
lunds
Genernl
Reytricted
funds
Total
2024
Total
2023
Note
GovNI)ance oosts
9,072
9.072
8,099
751,788
630,745
100,885
731.630
2024
In addition to the expenditure analysed above, ther¢ are also governance costs of £9,072 (2023 - £8,099) which
i¢lale directly to chariL8ble activities. See note 7 foT fE￿ller dclails.
7 Analysts of governance and 8llPPOrt costs
Govern&ll¢e eosts
Unrestiic¢ed
unds
General
TotAI
2024
TotAI
2023
tndepend¢nt examiner fees
Exominfttion of thc financial 8tatemcnts
Other fe¢s paid to exaniiners
Legal fees
2,300
4,164
2,608
2,300
4.164
2,608
2,300
4,879
920
9,072
9,072
8,099
8 Not illeomliigloutgolng resources
Net outgoing resources for the ￿ar include:
2024
2023
Depr¢ci&tion of fixed as5ds
854
1,117
9 Ti'ustees remuL¢i'AtjOD and exponses
No tTuslees, ni)r any person5 connected with them, have received any remuneration from the charlty during the
year.
No trnStee5 have r¢Geived any reimbursed expenses or ony other benefits from the charity during the y¢8r.
Page 14

Crossroads in East Lalleashire Limited
Notes to tbe Finallcial Statements for the Year Ended 31 March 2024
10 Staff costs
The aggregate payroll costs were as follows:
21124
2023
Stoff eoyts dllring tbe year were:
Wages artd salaries
So¢i&l s¢curity costs
Pension costs
595,339
40.646
10.042
620,888
34,169
8,215
663,272
646.027
Thc monthly averagc numbcr of pcrsons (including Senior man3gcment I leadership tcam) empjoyed by Ihc
charity during the year eXpr￿Sed as full litne equivalents wa5 as follows:
2023
No
2024
Employees
36
38
No employee received emoluTn¢nts ofmore than £60,000 during the year.
The total employee b¢nefits of the key mgnagement p¢rsonllcl of the charity werc £113,312 (2023 - £105.157).
11 IDd¢pendont eiAminer's remuncrAlion
2024
2023
Bxamin8tion of thc firtancial stAtem￿ts
2.300
2.300
Other fces to exfimlners
All other y¢rvice5
4,164
4,879
Page 15

Crossroads in East Lancashire Limited
Notes to the Financial Statements for the Year Ellded 31 March 2024
12 Taxalio
The charity is considered to P&8$ the tests set out in Paragraph I Schedul¢ 6 of the Finance ACL 2010 and
thereforn it me¢ts the defitiition of a charitable company for UK corporation tax purposes. Accordin8ly, thc
tharity is potentially exempt from taxation in respect of illco￿e or capital gains received withtn categories
covered by Chapter 3 Part I l of the CO￿Orali0n Tax Acl 2010 or Section 256 of the Taxation of Chargeable
G&in8 A¢t 1992, to the extent that such incomc or gatns are applicd ¢x¢lusively to charitable pury)0ses,
13 Tangible Ilxed asset8
O￿le
equlpment
TotAI
At l Api'il 2023
139.583
139.583
At 31 March 2024
139.583
139,583
Depreciatlon
At l April 2023
Charge for thc ycar
135,818
853
135,818
853
At 31 March 2024
136,671
136,671
Net bookvalue
At 31 March 2024
2,912
2,912
At 31 March 2023
3,765
3,765
14 Debtors
2024
2023
Trade debtors
PrcpaymL'Th15
Other d¢blor8
21,660
4,644
55,268
81.572
32,954
4,308
63,080
l On,142
15 CAsh And cosb equivaleut
2024
2023
C&4h at bank
132.024
266,276
Page 16

Crossroads ill East Lancashire Limlted
Notes to the Financial Statements for the Year Ellded 31 March 2024
16 Credfitor8: amouuts fallillg due wlthlD ODe year
2024
2023
Bank loans
Trade creditors
Other taxation and social security
Othcr creditors
Accrua]s
20,664
1,485
8.226
3,891
59,616
20,664
7,458
4,121
59,292
93,882
91,535
17 Credltorx: amounts fAlling due after One year
2024
2023
Bank loans
3,657
24,450
18 Obllg¥4tloDs under l¢aseJ And hire purcba8e tolltraetB
Opcratlng leaje commltmellts
Total fuMre mtnimum leas¢ p8yments under non-cancellabl¢ op¢r&ting lea￿ are as follows:
2024
2023
Other
Within one year
Between one and fiv¢ years
10,512
12,264
10,512
22,776
22,776
33,288
19 Commltmellts
PenslDn eommitments
Thc company operate5 a defined contributions pension SGhem¢. The assets of the scheme held sepeartvly
Irom those of the company in an independently admini5tcred fimd. The pension cost charge represents
contributions payable by the company to the fund and amounted to £10,042 (2023 £8215). Contributions
lolalling £1,085 (2023 - £632) were payable to the at the Balance Sheet date.
Page 17

Crossroads An li ast Lan¢ashire Limited
Notes to the Financial Statements for the Year Ended 31 March 2024
20 Funds
BAlaDee at I
April 2023
Incoming
esources
Rwource8
expeDdcd
BalADce at 31
March 2024
Unrestrict¢d lknndA
Qeneral
243,176
493,690
(630,745)
100,885)
106,121
12,848
R¢$trleled funds
11.222
102,511
Total funds
254J98
596,201
731,630
118,969
Balance Al I
April 2022
IDcoriiiii¥
rejourees
Re8ource8
xpellded
BalAnce At 31
MAI'ch 2023
Unrestrictod fullds
General
258,820
635,762
102.462
(651,406)
100,382
243,176
11,222
Restrlcted funds
9,142
TotAI fundi
267,962
738.224
751,788
254,398
The 4)ecific PUTP05es for which thc fi￿dS aTe to b¢ applied are as follows:
A Paulaskas Memorial Fund - this 15 for the purpose of emcrgcncy carc to ¢xTsiting families, deemed to be
a worthy cause and authorised by the Board of Trustees. The fimd is only to be used Af funding Gatthol be found
clsewh¢r¢. At the year end, a b8lance of £9,214 has been corricd forward.
CCG A Proper Break - thls grAnt provides 8 two hour weekly brcak for carers, allowing them the freedom lo do
sotneihing for thems¢lYes. At the y¢ar end. a balance of £3.634 has been carried fOn￿rd.
21 AnAIy8is olnet Ajjets bettveen funds
Unrestrlcted
ruDds
Gelleral
Total funds at
31 March
2024
T8ngiblc fixed asscts
Current 8ssets
Current liabilities
Crcdilors over l y
2,912
213,596
(89,991)
3,657
2,912
213.596
(89,991)
3,657
Total nel assets
122.860
122,860
Page18

Crossroads in El ast Lancashire Limitsd
Notes to the Financial Statements for the Year Ended 31 March 2024
Unrestricted
funds
GeDoral
Total funds at
31 March
2023
Tangible fLxed assets
Current ass'ets
Cuttent liabilities
3,765
366,618
111,864
258,519
3,765
366,618
111,864
Total net assets
258,519
22 ADatyJis of not fllnds
Al l Aprll
2023
At 31 March
2024
Cash at bank and in hand
266,276
266,276
266 276
Net debt
266,276
At l Aprll
2022
At 31 Mgrch
2023
C8sb at batdt and in hand
Debt due within one ycar
Debt due after morc than one year
350,674
(20,664)
41,973)
350,674
(20,664)
41,973
288,037
Nel d¢bt
288,037
23 Related party traDSwction
There were no related party Ir8nsactions in the yeor.
Page l9

Crossroad8 in East Lancasbire Limited
Notes to the FAnanciat Statements for the YeAr Ended 31 March 2024
24 Comp4rgtlve Slalemenl of Fiu4nel41 Activitics
Uorestricted
runds
Rejtricted
fund8
Total
2023
Note
Income EndoTYments from:
Donations and legacies
Charitsble activities
Investment income
3,427
626,576
5,759
102,462
105,889
626,576
5,759
Total income
635,762
102.462
738,224
Eipellditure on..
Charitable activities
651,40
100,382)
751,788
Totsl expcndithrc
651,406
100,382
751,788
Nel (¢xp¢nditur¢yineome
Nel movement in fjjnds
(15,644
2,080
13,564
(15,644)
2,080
(13,564)
Rcconclllatlon offundB
Total funds brought fonvard
258.820
9,142
267 962
Total fjJnd8 CWTied forwatd
243,176
11,222
254,398
Page 20