Charlty regl$trallon number 1067193
Company wlstratlon nurnber 02918492 (England and Wales)
CONNEX COMMUNITY SUPPORT
ANNUAL REPORT AND FINANCIAL
STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022

CONNEX COMMUNITY SUPPORT
LEGAL AND AOMINISTRATIVE INFORMATION
Trustee$
Mr D H grindlèy
Dr P E Davi88
Mr S Fussèll
Ms S Gourtay
Mr R Shaw
Mr M Slarzec
M$ T Sullivan
MrA Thompson
MrJCWtsod
Mr G AGorsuch
(Apwintsd 9 June 20221
Secretary
Ms G L Geddes
Charlty number
1067193
Company number
02318492
Prln¢lpo1 address
16 Eaglé ParÈd8
Buxton
Derbyshire
SK17 6EQ
Registered office
16 Eagle Parade
Buxlon
Derbyshire
SK17 6EQ
Audltor
HSKS Greenha￿h
18 St ChristOFkner's Way
Pride Park
Derby
DE24 8JY
Banker$
Santander
Customer Se￿￿ Centre
ootle
L30 4G8

CONNEX COMMUNITY SUPPORT
CONTENTS
Poge
Trustees. rtrwrt
ststement oftrustse5' respowbilttes
Independfnt auditor¥ rewrt
9-11
statement of financkgl aCb¥￿eS
12-13
BaPdnt% sheet
14
Statement of cash flowE
15
Ntslès to the fftnan￿al staternents
16-32

CONNEX COMMUNITh SUPPORT
TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 MARCH 2022
The trustees present Ih8ir annual report and financial stateThntsfor the year ended 31 Marth 2022.
The finana?I statsrnents PBve been prepared in acrnrd8nr* with Ihe ac￿U￿￿n￿ rxJlia88 88t out in note 1 tn tre
finanGi81 st2tements and comply with the charity's governiry doGum&nt, the Companies Act 20C6 and 'Acwunb"ng
and Reporbng by Charibe& Ststement of R&comrnended Pr2ctiee applicable to charities preparing their a(uunts in
accordan￿ wth Ihe Finanaal Reporting Stsndard appliG8ble In the UK and RepublK of Ire￿nd IFRS 1021.
leffe¢tive 1 January 20191.
Oblectlve5 and aciivltles
Charftable objects
The objects of the charty, as stated in its gDveming document are 3$ follow8..
lil To broker, promote and 5UPPOrt voluntary wrrk in lo¢¥1 organiSat￿nS
Ciil To offer direct services to a59St vUlne[ab￿ paople
liiil To th?rnyon and prormts volunteellng in the wKl&r comrnunty
Alm$ of the charlty
Thé ov?r8118im of Connex Community Support is to ¢nrx>urag8 voluntary 8thvity to support stronger and mre
cohesive (x)mmun￿es. and to provide semces enable Vul￿ra￿e ptropla to live more indpppndènt arKI fvhllled
Our charitable objects have main benefici3ri8s' individuals vtho use our direct 5ervi(*$." and voluntsry and
(x)mmunity groups lar￿ indiredy. tr$ir benèficiariesl.
Through the sèrvices we provKle directry to indNidual ber￿fi￿or18s. we enable vulnera￿& peoFI8 to live more
Ind&pendent and fulfilled lives.
)rknng wth individuals, volunl¥ry 8nd ￿rnMunty group5, our volunteer broker8gè and voluntsering developrnent
acbwti&s èncourage voluntsry activty to 5UPPOrt and more cohe?Ave cornmunib"es.
The public benefits Klenffied above 8re eVIde￿d through..
Rewrts on perfDrmanetllevels of ser¥￿e which measure th¥ numb8r of benefiLx8ries supported and
number and n2￿re of interventions provided.
Feedback from individual 88rw£* use￿, induding eValuat￿n of PBr￿n21 outo)mesll)enefts, impact and
quality Df serric8.
Feedback frorn lo(xl voluntary and community organisatons induding outwm88 of our interyenbon
supportlserw(*s. impact on their worK gnd quality of 58rvrce
Th8 trust&es have paid due regard to g2npral guidance on public benefit iswed by Ihe Charity Commisson in
deuding what 8¢tivities the th2nty sttould undertake. and when reviewing our aims and obj&ctives in planning futu
athwtits. In parkncular, the trustses ox)n*d8r how planned aG￿V￿8S wll contribLrte to the aims and objectives they
have set.

CONNEX COMMUNI￿ SUPPORT
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Connex Cornrnunity Support engagtrs in th8 following activib.es to m&tst theÈe aims..
Voluntser brokerag8- supporting people to find a volunteering role
Volunte&ring developrEnt - suppprtinu voluntsry organis8b.ons in lh8 manag8m8nt and SUPkX)rt of their
volunteers
Domiciliary care and 8UPPOrtfor older people
Personal care and support in the o)mmunty for children adutts wth a disability andlor addibonal
support need5
Transport to mèdical and hospital appointmènts
Befriending and practical help to redu￿ social i501#tion and support indepBndent living
Home from Hospitsl service, wrial wntact and practical help Io 8551st P80ple aftar a stay in hosprtal
eelchair108ns 8nd hearing 2id battery distribution
Horne mHintenance, cl8aniry and gardening serV￿S
Handy Van serwi
Payroll seNir*s fr)r small organisations
A¢hl*vemen¢$ and perlorniance
Overvlew
2021-22 has been a c*allenging year. lth have Seen unprecedented demand for many of our Se￿￿$. and our staff
an¢J volunteers have often b8en ov8r-*retched and fatigu&d. t¥Jt have shown extraotdinary d8dicatvJn throughout.
Together, our services have supported over 5,5W ￿0￿8.
Th¥t ded1(*tion and commilm8nt across the OFyaniGation was recognised In autwnn when we recawed Derbyshire
County COU￿1,8,8e8con of Hope. pward
AJI of our Serw￿5 wntinu8d throughout tha pandenic Pfjr￿d, modifyirKJ their offer a5 Cwd restrictions gradually
lrfied.
Our carg prowsion ttjntinued throughout COVKI r651r￿￿"0￿S required our care staff to be creative and mor8 fiexib
in thtr aetiviti&s they wuld undertske wtth our tli8nts, so where wè fotrJs88d on more outdoor 3Gtivities.
horne crafts & cooknng. As leisure arKI thmmnity faGlitses have re-opened, the range Ghoi(* of athities has
broad8ned.
Our Hom M2intsnance & Hoarding clearan￿ sÈ*vice has seen 8 slow re(x)very. but has alre8dy built a stro
reputation for sensbve support In hèlFing improve the living envirDnmentof people with 8 hoyrijing disorder.
Our volunteers have promded fronuine Covid support in the cornrnunity, &n8uring that people h#d Ihè &￿ntial food
Supplies and tn8di(xl pr8suiptions they needed. And there was 2 tremendou5 response frDm the Buxton Street by
Street volunteertsam ift wpporhng th? Covid vactination hub In Buxton.
Our voluntser transtx>rt servi￿S In th? Dales and in Buxton aly) rosé to the challeroe, prowdiThJ fr88 transport to
attend Covid v2ecination appointrrBnts. They 8150 took many vulnerabk ppople to other essental hospital and
dical appointrents. p￿VIding a 5#fr environment and reassuran[￿ to trav81 ￿nfider￿ to aLtèSG public
transtx)rt Vd$ at an all tim& low.
hav8 seen i￿rna￿ng pressure on our Befriènding and Hom8 from Hospital servicss, all fscing incTva$ingly
complex referrals, rnany tyng ID address th& gap in a growqng S￿rtFall In social care provisK>n.
have 8een 8n appetite for bpfnending r8latonships tc resume fa(* to face meetiros and for more SDcial group
actiwties b build (*Jnfidene8 to mix gocially again al￿ to p￿rt￿1Pat9 in the lo￿1 cotnmunity Our Kuding group and
Coffee Clut6 have re5tsrted- and we h8ve devtloped activffoe5 that bring peoF4e together in different*ays.
Compets"t￿n for grant 5UPPQrt (x)ntsn￿s to be challenging. but WÈ W8r8 fortunats to sewre fijnding support trom
numb8r of organisatsons. We are therefore extreTnely grateful to the folbwing for their valuable support Bawratt
Housro Developments, Comic Reli8f. Oerby & Derbyshire CCG, Derbyshire County CDunciI. Foundation
Derbyshire. Hall Bank TrLEt, High Peak Borough Coun¢il, Lottery Communrty Fund. Maunillan Canc¥r Support,
AVCA, and 8 Nmber of 5rnaller grants from 2 range of th8ritable trusts.

CONNEX COMMUNITY SUPPORT
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORTI ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2022
ar8 akn very gratefvl to Man Th)mp&on. our intrepid tsustse. at the age cf 76, wrnpletÈd 8 seri￿ of
mountsin bike challenge$ to txi* fvnds for Connex and Buxion Street by Stsoat His efforts raised a wonderful
£7,246
staff, Volunteers and Trustees
v￿ are immnsely proud of our staff and volunteer team - they always go above and ￿Yond what we expgGt of
thÈm. However, for the first tirnts in our hitstory, and for reawns bèyond our wntrol. we had trj make very
Llifficultdecision5this y?arthich affectsd our stsff.
th detT*nd for our care Services higher than ever, it was wlh rnu¢h sadness Ih2t we had to close our ca￿ &
Supwrt service in Tameside. This semit. whith began in 2016. was set up through grant fvnding support f￿M
Tameside & Glo$sop CCG. 2nd provided respite support to farnilies with chIld￿n wlh a dis2bility. Sadly. the fiJndir
stre3m finally came to an end, and the serviTr was rto longer viable, G105ing on 31st December 2021. Fortunately.
all of our wonderful care stsff found altsmatva 8mployment, many continuing to 5UPPOrt our frdmilies through
8mployrnent wth other agencies.
In Novernber 2ff21 Derbyshire County Council 3nd D&rby8hire Fire & Re￿￿e Service anr￿ur￿Sd that they wou
not ￿ recommissioning the Oerbyshire-wde Handy Van Service beyond Marth 2022.
For Connex. this meant Ihat the s&rvic8 closed wryth all 4 operatives being made redundant. This felt particularty
harsh. as Handy Van ts8m had worked Ihroughout the pandemK, ￿nIn￿￿n9 to instsll teleca￿ equiprnent and
providing essental pr8Gb"cal and homÈ $2f8ty gJpp)rt to peopk agtrd ￿ and over, rywny olhar ag8ncie8 were
restricting ¢lient contactb) tslephone calls only.
Over the 10 years that we have run the seTWlX. thè tsam rnade 8 rnajor contribution towards helping redu(*
hospital blocking, keeFxng pÈople safely inde￿ndent and reducing the risk of falls and ott)er hazard8 in the
horne. De5Plte knowng th8 service was to close. the ttram r&main8d cofflmitted to helping people and supported
ovèr 2.500 dients in the 12 morths to 315t Marth 20r2.
Our care stsff continued to support our cli&nts throughoutthe year. ts)mplying the ngorDus testing requirements
and everchanoing guidelin8s around Covid. AJI h?ve shown extraordinary dgdi(*b"on and human ￿'ndne5S, working
long and flaxible hours to help us out.
The backrfffict tearn who support our car8 stsff have been am22ing too. They have work81S under relentless
pressure. worknng hard to ensure thatwe maintsin s8fe and compassionats (¥re provision to 811 those we support.
Our tsam ofvolunteers vtho supwrt our Transwrt. Home frorn Hospital, Befr￿ndiThg. Street by Street and Readycall
M8cmi118n servi￿￿ hav& shown tremendous generosity ThBy have offered friendship and 80cial o)ntsct to those
o are lonely and isolated, and have provided éss&nbal practical help suth as shopping, transport, prescription
collections, dog WaI￿n9. gardéning and numerous other lasks to hèlp peo￿8 better Gope In bmes of crisk8 or h8alth
chsllenges.
ar8 a180 8Xtrem8ly grateful to Ihe 'army of voluntsers, who carne foMard to help support Covid vaconation
dinics, often volunlBenng In wtt and fr882ing weathor to marshal tha car parks and help ensur* a smooth flow of
pptents.
VWi15t thé Covid pandemic saw an influx of short-trm voluntsers. thg challenges of the p8ndemic prcrnpted x)me
of our rmre established volunte8rs t) s12nd down. lth thank all of our voluntsers for their tremndous contribution
ovèr th? years, and would encour39e rnprnbtrs of the pU￿1C to wrne forward to help us to su*oin our s8Mces in
the
Our Board of Trustees have mettt)roughout Iha year. providiw valuabl8 supwrt to the organisation and to the Chief
Executivt. Their breadth of kn￿￿$d9* and experien(* have provided re?ssurance and guidance as we tsce new
¢hallerges and adaptto new ways of worknng.
Liz8 Chera, Christne Sweetmore 8nd Wfill Burton stood down from the Board during th8 y8ar. but the Board will be
futher strengthened by the apwinknent of Graham Gorsuch in June 2022 All Board and sub group meetings hav*
en held wa Zoom.

CONNEX COMMUNITY SUPPORT
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORTI (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
It W45 much sadness that VK leamt of tth p8&8ing of Counollor Keth Savage in December 2021. Kel
atte￿&d our Board meetings as s representab.ve of High Peak 8oruugh Counal, but he wa5 3150 a tremendous
advocate for the Servi￿S we provide and an active fvndraisèr for our befriending service in Buxton. He is greauy
rnissed.
Flnanclal review
The ye￿r saw an incr8a88 in incornirvJ fvnd5 and #n iner82s8 in related expgndture A surplus of £44,733 rnade
during the y88r.
This resutted in overall resèrv&s at 31 March 2022 increasing to É674.312, of which £41.998 is alloested to
restricted lund$. lÈaving £832.314 retsined as unreslricled fijnds and designgted fvnds
£255,276 of the unrE5tridéd r888rv8s has been designated ftjr sp8cific itsrns of expenditure leaving 8vailable
r￿rVeS at 31 March 2022 of£377,038.
It 1$ policy of the ckArity that unr8sirictgd funds which have not been dèsigwted for a speafic use thould be
maintained at 8 level equw8lent to bethen three 8nd Six mnth's èXp8ndi￿re. The trustees (*n&d8r that reserves
at this level wll ensure that. in the event of a signifi(xnt drop in funding, they wll be abl& ts continue the chanty'5
current 8¢tivities while tLnsideration is given to ways in which additional fijnds may be rai$8d. This level of reserve5
ha5 bpen maintained throughoutthe year.
As 8t 31 M#r¢h 2022, w8 had free re*rvfjs of £346,748, whith is above the obligaknons of tha ￿rrent reselves
licy.
Rlsk manayemènt
The Trustees rÈttsgnisé the importanc8 of Risk Management within the frsmBwork of governanc8 and inlEmal
(Lntrol. The Trustees continue to review the major risks to which the Gharrty Is exposed and sy5t£rns hav& been
estskAk*hed to mitKJate th088 risks. A risk mnagernpnt policy has been impletn8nted comprising.
A regu18r review of thB rtsks whid) the charity rn8y fa￿ and updating of the risk re9i5ter
The 85tablishm8ntof syslEm5 and proc8dures to mitigate tr05e risks id8ntifi8d in the rewew
Th& implementation ef proxdures dewgnèd to minirnise any wtentièl impact on the tharity should any of
these risk5 rnatsrialisp. Thes8 are found in th8 8usnes5 CDntinuity PFan.

CONNEX COMMUNITY SUPPORT
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Plan5 for fu￿re perlods
will b8 worknng with a consultsnt from lh& Cranfield Trust to review our strategy- to ensure that our ser*ices
continue to be relevant fit ft)r putpose and that the ￿lder public. fvnd8rs and those that need our help know wiK>Ut
11 raise awareness of the b&nefits of volunteeriw. h*lping to recwit voluntetrs to wJs12in Conrnx's own
services a5 well as those across our geographi(xl area.
￿11 continu& to lobby for better rewgnibon and recompense for Ihose worknng in the carg industy. Tha 8xodus
of people wor￿Trg in care 15 a natonal crisis 2nd requires a system thange 8t Govetnrr*nt18vel. cOnr￿X wll ensu
that it continues to support and value its stsff, and wll endeavour to expand our wothrce to enable us to
more care In th8 wmmunity.
VW will wntinuo tr) support vulnerable wople in our o)mmunty, help1ng them to live more fulfilled, integratsd anrl
indeppndent lives. W& wll rnodify ?nd Hdapt our 88rvices to enablè us to better suprort Ihè emerging needs of cur
COmr￿nity, adapbng to the changing environTnent in which we operate. Escalating fuel and energy wst8. and
infiaton will clearly have 8n impact on our $8rvice provision.
wryll futher build on our strong relabonship wth our ￿ther$ In the High Peak and the D8rbyshire Dales
Ajliances, wothng together to deliver Infrastructu￿ SUPPDrt across the High Peak and tr8 Derbyshire Dales. VIÈ wll
promote, recognise and celebrate the fant8sbG (xjnknbution that volunteers make in our cO￿UnIty. and work to
rebuild community activity where energy and 8nthusiasrn rnay b8 waning.
wll work 144th Buxton and Leak College, Macmillan Carttr Support. High Peak Borough Council, Derbyshire
Dales DistrGt CounGiI. Derbyshire County Couna1. the newly formed NHS D8rfDy & Derbyshire Intégrated Care
Board. anrl wth coll&agues a¢Yoss thè voluntary S￿r. ￿ ￿11 b8 open to new pathership OppOr￿n￿'8S that
eompl8mentourexisb.ng portfolio of services and SUPkX)rtth8 overall aifrts of t￿ organisation.
Stru¢tur*, governance and management
The charity is 8 CX)Tnpany limitsd by guarantee whi¢h rÈ-r8gi8tered as Connèx Communty SupFM)rt on 13 D8(*mb&r
2018, having befjn previDU￿Y r￿ister0d 8s Voluntsry & Community Services Peaks Ènd Dales. The cornpany was
estsblished undèr a Mamorandum of AssoGiaton whith eslablished the objects and poweTS of the ¢h8rit8ble
mpany and is govemed under rftskncle8 ofAssociation.
Th8 tNstses, who are al￿ the direcbjrs for th& purpose of ￿rnPany law, and bvho serv8d during the year and up to
the dHte of signature of financval ststements ￿re..
Mr D H B￿ndleY
MrWR Burto
Dr P & Davies
Mr S Fussell
M8 S Gourfay
Mr R Shaw
Mr M Starz9¢
Ms T Sulliv8n
MrA Thompson
Mr J G Vitsod
Ms L Chera
Ms C Heyes
Mr G A Gorsuch
(Resigned 10 March 20221
(Resiqned 2 Oecémber 2￿21)
(ReS￿ned 17 F8bNary 20221
(Appointsd 9 Jun8 20221

CONNEX COMMUNI￿ SUPPORT
TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORTI (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Recrultment and appolntrnent of trustees
Under the compgny's a￿des, the tNstses known as members ofthe Management Committee. The M&m￿r8 of
Ihe Cotnmitt&È art 8lected for a period of thr88 years 8tsr whiGh tt)èy must ￿ r8-elected atthe n?xtAGM.
New tNstees 8re apwintsd on the bags that they have appropriate skills and knowledge mrnrnemrats the
goverHan(* of a Charitats￿ Cornpany. Bnd h2v8 knowledge and exp&riertt relating to the voluntsry sector, our
service PrOv￿10n, the area of benefrt or communthe5 of inter&st, or have other Spear￿ areas of kno￿edge or
exF4rienr* th8t hAve been id8ntfied by the Trusttr8É as valuable to Ihe govem8nc8 ofthe Charrty.
The Boord of Trust&es is per￿diCallY subied to a ski118 8Lhlit extr¢lse to klentify trainiry rt06ds. and gaps on the
Board that can b& filled through recruitrnent.
None of thp trusts&s has any beneficial interest in th8 cornpany. All of tha trustse8 are rnerTtsrs of the company and
guarants8 b contribute el in thè event of a wnding up.
Management
The tsu51e£s dÈl8gate a large amount of the day to day deciwcns invO￿d in the running of the Ch2rty to th8 paid
stafF, and in p8rDcular to the Chief Execubve. The Chief Ex8cubve reports direcly to the Board. Decisons Ihat WAII
have a signifi(*nt financi81 or operabonal impact. or that wll mak& *gnthcant than9es to the way tha charity 15
gov8m8d and adrninistered art r8f&rred to the Board.
key management personnel of thé ¢harty are as follows".
Chief Ex&¢utive Officer
hief Owrating Officer & Deputy Chi8f EXa￿tiV
Officer
Head of Connex Care & Su
Older Peo
oint Head of Connex Care & Su
rt ICYP
oint Heed of Connex Care & Support ICYPI
Head of Transport Service
unts Manager
M5 G G8rld8S
MrA Kni￿￿
M5CGtB
Ms K Shenton
Ms J McDonald
Mr H Gunn
Ms H Esknett
Meetlng5
The Bc8rd tneets quartedy, wilh su￿roUp spècialist me8tiro5 ￿hedul￿d b*￿een the Board meebnu dates. Thwd&
sub groups provide support to the ChK?f Executive, and b8St use of the speCial￿t s￿lIS our twstees brirs
the organisation
Indu¢tfjon and tralnlng of trustees
Al Trustses are farniliar wth the work of the organisabon as many have been dirècly involved through their
volunteering work and through quartedy project and se￿iCe rppDrts. Newly recruited Ttustses m88t Chair of the
organi8ation and attend a short training session with Chief Execubve and key staff. These session5 inclu(lè".
leaming aboui the org2nisation and its airns and obi&ctiv8s. finding OLrt ?bout the various proipcts w* wn
and ff*8tng tre staff involved in Ihttsè projects
being giv2n a Trusiees tssk description and last 2 yea￿. annual reports, including f nanrxs, fthure plans
and developrnÈnts This inf0m￿tion IS SUPPDrted by the provision of a Truste8 Inducknon Pa¢k gnd ongoi
Infortr￿ti0n from the Charity GommtsvAon. and legal ut*ates relevant to the actiwtie5 of the tharity.
Stsff remuneration
In deterrnining staff salaries, the Board (*)n&der staff rernuner8tion in *milar charitie5 and tt)ese 88 a
nchmark in detsrmining $819ri&s paid within Connex Gornrnunrty Supwrt.

CONNEX COMMUNITYSUPPORT
TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Suppller payment pollcy
The (*mpanys current policy con¢xming Ihe payment of trade ￿edItorS is to follow the GBI'S Pmmpt Payers Code
copies are available frorn Ihe CBI. C&ntr8 Point, 103 New Oktord Street, London VVC1A 1 DUI.
Thé ctsmpany'8 ojrrent policy concewing the paymant of trade (xedrtors is to..
sattle the terrns of payment with SUppl￿rS Nthen agreeing the tsrms of gach transaction,.
ensure that gjppliers are made awar& of th& tsrrns of paymént by inclu¥Acn of the relwant tsrms in contracts",
and
pay In acxordanca with the wrnp8ny's (tntractual and other legal obligations.
Audltor
In 8(wrdance the company's arbcle5, 4 resolutron proposng thgt HSKS Greenhalgh be fyappointsd as auditor
of the company wll be PLrt ata G8neral Meeting.
Fundraising Standards Infonnatk¢n- Charltles A¢t 2011 162A
The charrty rBises som& fiJnds from the public.
The charity undertakes fund-raising thnugh our intemal resour￿6 and do mt commisson a
professional fund-ra1serlc0mn￿rGlal pa￿CIpatOrfortheSe".
2. The chanty 15 not 5ubJpct to an Underta￿ng to be bound by any voluntsry vLheme for regulating fvnd-
raisw. or voluntary st2ndard for fund-rsising in resp8ct of acknvatss on bthalf ef the charty".
3. The tharity rnonitr>rsfund-r2ising activities via thÈ ￿ard of Twstees."
4. The th2rity raceived no complaints aboutactivities for ble purposé of ￿nd-raI￿ng,
5. The charity has adoplpd prinopl&s of GDPR legislation 2nd also has $8fegu0rding poliC￿S to protect the
dats of vuln*rable peopl8 and other mernbBr&of the public from".
Unreasonabk intruson on a persons, privacy,
Unressonabl8 P8rsistent approaches for thè purpose of w1￿￿n0 or oth8rwise procuring money or
ot￿r prop8rty on behalf of the tharity.,
Plating undue kyessure on a person tts give money or 0th0r proparty.
Dlscltssur• of Inf0rn7atlon to audltor
Each of the trustees has confirmed that therp is no infomTration of whid) tt)ey are aware wthi¢h is rel&vant to the
?udit but of which the auditr>r is unaware They hav8 futher eonfirm8d that they have tskèn appropriate steps
idenlify such relevant infomation and b) eSta￿lsh Ihatth8 audiknr ￿ svrare of infomation.
Th& trustses,
port wa5 approved by the Board of Trustees.
Ms T S￿lI￿n
Tru$tee
9 NoVeM￿r 2022

CONNEX COMMUNITY SUPPORT
STATEMENT OF TRUSTEES. RESPONSIBILITIES
FOR THE YEAR ENDED 31 MARCH 2022
The trustses. hvho grg also directors of Conngx Community Support for Iht purw8e of company law. are
re¥Dnsble for pr8P8riTrg the Trustee5' Report •nrl tha financial ststemènts in accordan￿ with appli¢xblè law and
United ￿ngdOMAc¢oUntin9 Slandards (United ￿ngdOrn GenerBlly Attepted Accounting Practcel.
Company Law raquires Ihe trustees to Prep3￿ f nancial stat8m8nts for finar￿181 year whth give a true 2nd fair
view of the stste of affairs of the charity and of the incoming resourc*8 applilxbon of re80wces, including the
incomg and expenditurè, of the ch8ritsble comp8ny fr>rthat year.
In preparing Ihtse financrdl statsments, the tru5tee$ arè required to..
- selact suitable acwuniing poli￿08 and thon apply tk*m rx)n*Astsntty',
- obs&rve th8 methods prinoplÈs in the Charities SORP".
- m8ke ijdgements and estimates that aFE rea*nable and prudent
- p￿pare the financial 5tstsments Oll Ihe going conc8m bas￿ unlèss it is in8ppropriate to presurrt that the charty
11 continue In Qpetaton
The trustees are reswnsiblÈ for ke*ping adequ8te acrt)untsng r&ts)rds that disclose reasonable accuracy at
any time the financial ￿￿tion of charity and en8tAE them to ensure that lh8 financial statement5 Gomply wtt) the
Companits Act 2006. They are also ￿5￿nSIble for safeguarding the assets of tkE ¢hanty and hence for tskn'ng
re8sonabl8 stsps for the prevention and deteGbon of traud and otr*r IFregularitts8.

CONNEX COMMUNITY SUPPORT
INDEPENDENT AUDITOR'S REPORT
TO THE TRUSTEES OF CONNEX COMMUNITY SUPPORT
Oplnlon
È have audited th& finanual ststements of Conn8x Community Support lthe'charity'l for the yes1 ended 31 March
2022 whith comprise tth ststeTnpnt of finanoal actwtie4 the balance she8t, the ststement of (ash flows 8nd rKtes
to the fin8noal ststernents, induding fAgnificant a(xx)unting polioes. The financi31 reporting framework that has been
applied In their preparaton is applicable law and United ￿ngdOrn A¢¢ounting Stsndards. inttluding Financial
Repo￿ng Standard 102 The Fin&nci&l Rtrpo￿ng Standard •pplicabl& in the UK Repllbl￿ of Ireland (Unrted
irydom G8n&r211y AcceptedA¢counting Practie81.
In our opinion, the financial 5taternents"
givè a bue and fair view of ihe state tsl the charitsble cornpany's affairs as at 31 Mard) 2022 and of its
incornin9 resour￿5 and appli(*tion of resources, for tre year then ended,.
h2ve been property prep3red in a(￿rdance wilh United Kingdom G9￿raIlY A(Leptsd Accounting Practice,.
and
h#vè been pr8par8d in accordance Ihe r8quir8n*nts of the CO￿panIeSA¢t 2CI)6.
Basls for oplnlon
conducted our audit in acwrdan¢e with Intsmational Stsndard5 on Auditing IUKI IISAS IUKII and applicab
law. Our respOns￿l￿e$ under thos? standards are further desBrib8d In the Auditorf5 ￿sPon￿bilitI$S for the 8utht of
the fin8n&81 st8lements seGtson of our r&port. lth are indePpr￿ent of the charity in ac¢x)rdanc* with the ethical
requirernents th8t are r&levant to our audit of the financkil strdtements In the UK. Induding the FRC'S E*hiGal
standard, and we have fijlfilled our other elhic21 r8sponsbil￿es in acGordance with th8* requiretnents b&lieve
that the audit evidence wg have oblain8d issufficrentand appropriats to proV￿e a bass for our opinion.
ConGlu$lon$ relatlng to going concern
In auditing the financigl $tats￿nts. we have condudÈd that th8 trustses, us• of the going concam basis cf
accountng in the preparation of the financkil statements is appropriate.
B8sed on the work we hav8 performd, w8 have not identified any material uncertainbe$ relating to &V8nts or
condit￿n$ that, indiwdually or wllectV8ly, may cast signffiiznt doubt on the tharity's ability to ￿ntInue as a going
C4)rn￿￿ foi a period of at least ￿1ve month5frDtn when finarKi81 ststements are 8uthorised for i55Ué.
r ￿SponSIbl11t1es ?nd respOn*￿IltieS of the trust888 With respect to going o)nc8m are descfibed In the
r818vant sections of th15 reKX)rt
Other InfoThnation
The othei infortnation comprB88 the information Induded in the annual repDrt oth8r than the fin8naal statements
and our auditor's report thereon. The trustees ar8 responsible for the oth&r information wntainÈd wrthin the annual
report. Our OFxnion on thè financKal ststements does not cover the other inforrnation 2nd, except to the extent
otherwiÈs &xpliciUy ststsd in our report. we do not express any fortn of assuran￿ ￿ncluS0n th8rÈon Our
spon*bilty is to read the other lnfonn2b.on 8nd. in doing $0. [￿n*Ader whether the oth&r Information is materially
i￿(￿nSiStenI wth the fin8rK181 stslpments or our knowledge obtsined In course of the 8udit, or Otherwise appears
to be rnatsnally missl3t&d If we identify such m8terial Inconsist8nues or appsrent rnaterial misststernents. we 8re
requir&d to d8t8rmine whether this gives rr&e to a material rnisstatefflent in th8 fin8nci81 stslpments V)emselv88. If,
based on the work we have perform8d. we Ctndude that ther8 Is a material mkS6tstem8nt of this otr*r information,
we are requirèd to report that fact.
È have nolhiw to rèport in thi8 regard.
Oplnlon5 on other mattor$ prè$¢rlbEd by the Companles A¢t 2008
In our opinion, based on thé work und8rtaken in the cour5p of our audit..
the information gNen in the trustees, report fvr the finanoal year for which the fina￿la1 statements are
p￿pared. which includes the directors, report prepared for the wrw5Ès of co*ryany law, is consstentwith
financial ststsments". and
the directors, report induded wthin the tru5tees' rtrp)rt has been prepared in acc¢rdance with appli(¥ble leg81
requirtm&nts.

CONNEX COMMUNITY SUPPORT
INDEPENDENT AUDITOR'S REPORT (CONTINUED)
TO THE TRUSTEES OF CONNEX COMMUNITY SUPPORT
Matters on vthlch are requlred to report by exceptlon
In the light of thovA&dge and understsnding (rf Ihe tharity and its environrnént obtsined in the course of the
audiL ￿ have not identified rnateri¥l misslatements in the d1￿Ctors, rEPOrt included within the trustees, report.
have nothing b rep)rt in respect of th& following matter5 in relation to wh￿h the Companies Act 2006 requires
us to rewrt to you If, in our opinion..
adequ3te attounting records have not been kept. or rebjrns adequats ft)r our audit have not been re¢¥ived
from branches not visited by us., or
thé financial State￿￿Trts are not in 3gt8Èment with the actountin9 recx)rds and rebJrrts'. or
G&rtaitTr disclosures of trustees, remunerabon specified by Paw are not rnade.. or
W8 have not received all Ihe Intormation and explan8tions we require for our audit", or
thÈ trustees were ￿t entiled kn prepare the finanual ststsrnents in aceordanc8 Wth tho small compan
regime and tske advantage Of the sm811 cornpanEs' exemptions in preparing the trustses. report 8nd from the
requwmBnt to P￿pare a strategic roport
Responslblllties of tru5tee5
As 8xplain8d more fully in Ihe statsff*nt of tru8tses' responsibilibtrs. the trustse4 who aro also tha directors of the
charity for the purpose of company law, are responsible for Ihe preparaton of ts financaal ststements and for being
ti￿ed th2t they give a true and fair vi￿, and for such intemal wntrol as tha trustees determine is Mcessary to
enable the prepaTrtion of fin3nfAal sl8tements that are ftpe from mtsrial misstatsTnent. what￿r due to fraud or
error. In preparing the fin8noal st8temeDts, the trustaes are responsible for 2Èsessing the tharity'5 8bility tri
continue as a going (x>n(*m, disdosng, 85 appli(xbl8. matters related to going con(xm and usng the going
Lx)n(xm basss of accounting unless the trustees 8lther intend to liquid2ts the charilablfy wmpany or to cea88
operalions, or have no reali5bc allEmative buito do so.
Audltols responslbllllles for the audlt of the financlal ststements
Our objectives are to obtAin wasona￿e assurance aknut whèther Ihe finar￿181 5taternents as a whole are free
rn?terwl r￿1￿late￿n¢ w￿￿ther due to fraud or trror, and to issue an auditorfs r8POrt th8t includes our opinion.
Reawnable assurance Is a high lev&1 of assurance but Is not a guarantee that an audit ¢x)nducted In acwrdanc8
th ISAS IUKI wll always detect a material misststement when it exists. Misststements ¢¥n Hrise from fraud or
error 8nd are conSide￿d mat8rial if, individually or in ts aggreg2te, they could re3￿￿3b1Y be eX￿¢t*d to influence
the etx>nomic dtrtrsions of users tsken on the basis of th88e financial statsments.
The 8Xtentto which our ￿KO￿￿ureS ar8 t￿Pable of detscting irrpgularitses. induding fraud, 1$ detailed below.
Irregularities, including fraud, artr instances of non<ompliance Mryth laws and regulalion$. ￿ design procedures in
line wth our responsibilities, outlined 8bove. to detect Material mi55tstements in r&spect of irregularites, induding
fraud. The extentto whith our pror*dure8 are capable of detsGbng irr8gularities, irKluding fraud Is detsiled bebw.
considered the nature of the charity's business and its wntrol environment VW also enquir8d of managamant
about their IdenbficxtiDn 88ses8ment of the r￿kS of irre gular￿"6S.
obtalrtèd an und&rstsnding cf the legal regulatory framewvrk in which the charity operates 4nd Klentified
key laws and regulationsthat".
Had a direct effetst on Ihe dptsm)In2tion of m8teri81 amounts 2nd di8cbgJres in thtr finan￿al ststsments,
which Indudèd the CompaniesAct 20C6. tsx legislation and payroll legi￿atiOn." and
Did not have a direct effect on the financral statements but ￿MplIa￿a wth whith rnay be fundamentrdl to
the Gharty's ability to oper8te

CONNEX COMMUNITY SUPPORT
INDEPENDENT AUDITOR'S REPORT (CONTINUED)
TO THE TRUSTEES OF CONNEX COMMUNITY SUPPORT
discussed the audit ewagernent team ts OPFQrtunfoes and Incentiv88 that may exist within the
organisation for fraud and how IwhÈr8 fraud might owjr in the financi31 stattmonts.
In ￿t￿MOn all audits under ISAS IUKI, we are also requ￿ed kn perform specthc procsflures to respond to the
risk of Mar￿gement override. In 8ildré&%ing the risk of fraud through man2gement override Of ¢x)ntrDls. w8 tested
the appropriateness of accx)unting adjustments and joumal 8ntr88. assessed whether attounting estimates were
rea9)nab￿ and accurats and reviewed the a(rounting records for any 5ignffj￿nt and unusual transactions.
In addition, our procedures to ￿Spond tt> the risks Identified induded.
R6vi8wng fir￿￿la1 st2tsment disdosures by tssting to gJPPOrting d0￿mentatiOn to as88ss Corn￿18r￿*
with provisions of relevant gnd reguklions de*ribed as havirvJ a direct eff8ct on the finanoal
5tsterTEnts,
P8rtorming analytscal proc8duresto Identrfy any unusual or umxpeGtsd v2riances that nwy indicate risks of
material rnisstatementdue ID fraud..
Enquiring of management about ?ny ins12ncas of n0rrcompl1an￿ thith law8 and regulation5 #nd gny
instsFK%S of known or sUSPtrCt8d fraud.
Bec8Use of the inherent limitations of an audit. there is g risk that We wfjll nct detect all irrègularitses. including those
leading to a material misstatement in the finaricial ststsments or non-¢X)mplianc& wth regulation. Th￿ risk
increases the mre th8t cotnpliÈn(* with a law or regulstion remov8d from the events and transactions reflectsd
in the financ￿1 stst&ir*nts. 8s we will be less likely to be(￿￿ aware of in5tanGes of non￿mPli2nCe. The risk is
also greatsr regarding irregularibe5 ocojrring due b) fraud rather Ihan error, 88 fraud invofves intentional
concealrEnt, forgery, collu&on, omission or rnisrepresentst￿n.
A further dèscnpt'on of our r8sponfAbilities k5 aval￿ble on the F￿arKI81 Rew)rting Ctsunol'8 websrte at httys".11
ww.frc.org.uklauditorsresponsibilib.es. This de&iipt'on forrns p8rt of our auditorfs reporL
Use of our report
This report Is rrode 501ely b the Charitab￿ company's members. a body. in 8cwrdance with Chapter 3 of Part 16
of the CofflFYaniesAct 2006. Our audit work has been undertaken so that we rnight 5t3ts tD the tharitsble cornpany's
m8M￿r$ those matters w8 are required to stats to them in an 8uditors' report and for no other purpose. To the
fvllest extent permittetl by law. we do not accept or 855umè r?sponsbility to anyone olher than the charitsble
(x>tnpany and the charitsble company'5 Thmber5 a$ a body. for ourauditwork. lorthis rtport or forthe opinions we
have fornwd.
Phlllp Handley FCA IS¢nlor StatutoryAudltrl
lor and on behalf of HSKS Greenhalgh
1 Dècamber 2022
Chartered Ac¢ountsnts
statutory Audltor
18 St ChristrJKth6rf8 IAtsy
Pnde Park
Dert)y
DE24 8J

CONNEX COMMUNITY SUPPORT
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 AIARCH 2022
Currènt Ilnan¢lal year
Unrestrlcted Unrestrlcted Restricted
funds
funds
fvnds
general de$lgnat¢d
2022
2022
Total
Total
2022
2022
2021
Noles
lTrcorne and end
nabons and legacies
Charitsbie sctivites
Invesbr*nts
Other incom&
18,174
1.688.828
80,667
98.841
1.742.106
580
47
197,802
1.478,1
53,278
47
37
Totsl Income
1,707,623
80.667
53,278
1.841.574
1.676,366
eThd1￿re on:
CharitaL4e activities
1,645.253
94.192
57,396
1.796,841
1.394,874
Net Incomlnglloutgoln91 resources before
transfefs
62,376
113.5251
14,1181
44,733
281,492
Gross iNnsfer6 tetwaen funds
185,2111
76,961
8,250
Net lexpenditurevincome for ihe yearl
Net mvement In funds
122.8351
e3,436
4,132
44,733
281.492
Fund tralarKes at 1 Awil 2021
399.873
191,840
37,866
629.579
348,087
Fund balan¢es at 31 March 2022
3TT.038
255,276
41,998
674,312
829.579
Thé stat*m8nt of financ¥81 actvitie5 irKludes all gains and1055es re(wni8ed in the yeor.
Al income and expenditure deriv8 from conts'nuing acb¥￿&S.
The state[r￿￿t of financial actiwtie8 also wmplies wth the rtquirernents for an incorne and expendrture aco)unt
under tre Compani8sAct 2CQ6.
Th8 notes on page5 16 to 32 fomi part of the8e financial st2tsments.
12

CONNEX COMMUNITY SUPPORT
STATEMENT OF FINANCIAL ACTIVITIES (CONTINUED)
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2022
Prlor flnan¢lal year
Unrestrlcted unrest￿¢1¢￿ Restricted
funds
nds
funds
general designated
2021
2021
Total
2021
2021
Note5
Income
ndowments from:
Donations and l8gaci8S
Ch?ril¥tAe sctivities
Investh*nts
other intor
183.854
1,420.587
13.948
57.552
197,802
1,478.139
37
37
Total Income
1.e04,886
71,500
1.676,
endibjre on..
Charita￿8 activrfa8S
1.353,048
41,826
1.394,874
Net Incomlnglloutgolngl resource5 befor• tran$fers
251.818
29,674
281.4
Gr055 transFer5 bet￿￿ funds
168.9931
73,687
14.6941
Net lexpendltureylncome for thè yearl
Net n￿vement In funds
182.825
73,687
24.980
281,492
Fund balances at 1 Apn'l 2020
217.048
118,153
12,886
348,087
Fund balances at 31 March 2021
9,873
191,840
37,866
629,579
13

CONNEX COMMUNITY SUPPORT
BALANCE SHEET
ASAT31 MARCH 2022
2022
2021
Notes
Flxed assets
Tangibl* assets
11
30,292
43.
Current a55ets
Debb)rs
Cash at bank and in hand
12
295,227
546,689
217.fj84
509,093
841,916
726.777
Credltor5: amunts falllng due bththln
one year
13
1197,8961
1141.1341
Net currÈntasÉets
644,020
585,643
Totsl assets less Gurrent llabll1￿es
674,312
629.579
Income fund5
Restricted fvnds
Unrestr￿ted fund5
Designated funds
General unrpsknct8d ffi￿￿$
16
41,998
37,886
17
255,276
377.038
191,840
399.873
632,314
591,713
674,312
629,579
The notss on pages 16 to 32 fomi part of these financial statem&nts.
The financial Stste￿ftts ware appyoved by the Twstees on 9 Novernber ￿22
Mr R Shaw
Trustee
Ms T Sullivan
Trustee
4(
Company reg
tlon number 02918492
14-

CONNEX COMMUNITY SUPPORT
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 MARCH 2022
202Z
2021
Notes
Cash flows from operafjng aG￿vI￿e$
Cash generated from operations
22
42,600
325,017
Invesllng activities
Purchase of tsngible fixed assets
Pro¢*eds on disposal of tsngible fixed assets
Investrr&nt incom8 received
16,2841
700
580
128,8411
675
388
Net cash used In Investing a¢tlvllles
15.(Y)41
127.7781
Net cash used In Ilnan¢lng actrvltfie$
Net In¢rease In ¢ash and ¢osh equlvalents
37,596
297,239
Cash and cash equbialents at beginning of year
211,854
Cash and cash equlvalents at end of ￿ar
546,689
509,093
Thp notss on pag8s 16 to 32 fomi part of these financial statements.
15

CONNEX COMMUNITY SUPPORT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
Accountlng policie5
Chartty Infonnatlon
Connéx Community Support is a priv8tr tx)mpany limit8d by guar¥nteB incorporatsd in England and
The registered office 15 16 E8gle Parad&. Buxton, Derbyshire, SK17 6EQ.
1.1 Accountlng ¢onvenUon
The finano81 statements have ￿en wepared in acwrdartr witt) the charity's goverrAno docurnent. the
Cornpanie5 20(￿. FRS 102 "The Fin8nCi81 ReFM)￿rng Standard appli¢¥ble in th8 UK and Republic of
Ireland" I'FRS I￿2") and th8 Chantl88 SORP "Acwunting 2nd Reporting by CharibÈs". Statement of
Rewmtnended Pr2c*c8 applicable to ch8nbes preparing their accounts In H￿rdance with the Fin8noal
R&porbng Standard appIl￿ble in Ihe UK 2nd Republic of Ireland IFRS 102y' (effective 1 January 20191 The
charity is a Publi¢ BenÈfit Entity a8 defined by FRS 102.
The financial Ststsments are prepared in Sterling. which is the functional currenty of th8 charity. Monetsry
#Trtunts in th8se financaa5 staternents ale rounded to the nearest£.
Tha financial ststsrnents have beén pr8pared under the histori(31 (y)st convents'on. The prinapal a(xx)unb"
poliGies adopted 3rÈ set out b810w.
1.2 Golng concern
At the tirrts of approving the financK41 staterntnts. the trustees have a reag)nable expectstion that ihe Charity
has adequ8t2 re&ourtss to continue in operational e￿Sten￿ for fortseesble futsjre. Thus the tustees
ntinut to adopt the goiThJ conctm b8Ss of atthunting in prep8ring Ihe finanoal strdtements.
1.3 Charftablefund5
Unrestricted funds are 2vaIlab￿ for use at the di￿retion of the trjstees in luthtrrance of their charitable
obi8Ctives.
De&gnated funds cornprise fvnds which have been set 88ide at the di￿￿tion of the trustees for spec¥fiG
purpos88. The purposes and usos of th8 designated funds are set OLrt in the notes b) the finwwial staternents
Restrictsd ￿ndS are subject to speific t%)ndIt￿nS by donors as to how they may be used. The purposes #nd
uses of the resthctÈd fijnds are 8&t out in the note5 to the finanoal statements.
1.4 Incom
Incorne is re(%)uniS￿ the charity is legally enlrtled to it after any perform¥n(* fx>ndits"ons been met,
the 2mounts can be measured reliably. It is probable that incorne W￿11 received.
Cash donat￿￿ are recowised On reRipt Ott)&r donatons are re(x>gnis8d once Ihe charity has been nobfied
of thf donation. unless pèrforman￿ condfoons require deferral of the amount InwTne tsx r8e0￿rable in
relation ts donations rectived undfjr GiftAid Dr d88ds of covenant is recognis&d at the time of the don8b"on.
Lewdcies are recognisgd on receipt or otherwise if th8 charity has been nobfièd of an impanding distribubon,
the amount is krnvm, Snd re(Eipt is 8xpected. If the arnount Is not known, legacy 15 treated as a
LX)nbngent a55et
The has not rèceived any matsrial donated good5 for its own use. Small itsryts ar& not r8cognised in
tt)e St2t*m&nt of Financi81 Activities.
The mon8tary value of voluntser servioes a￿ not recognised in th8 Staternent of Fi￿￿81 Activities.

CONNEX COMMUNITY SUPPORT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
A¢couTrtlng pollGIO$
Iconunuedl
Income from government S¥8nts and otrer grants. whether 'capital' grants or 'revenue' grants. is recogni88d
when ch8rity has entilement to the fvnds, any performance crJndiboFts attAched to the grants hav? been
met, it Is probablè that the irmme wll be ￿ceIVed and Ihe a￿Unt can be measured ￿liablY and is not
defrrred.
Interest On lund$ h8ld on deposit is Indud8d than r8c8ivatAe 8nd the amount can be rnea8JJred reliably by the
¢harty.' thr& is nomially upon nob"rtation of the interest ppid or payable by the Bgn
1.5 Expendlture
Expendityre is r&cogni88d once there 15 a l?gal or o)nstructiv& obligation to tr8n5frr ÈwnomK benefft to a
third party. it is probable that 8 tsan5f&r of aeonomic benefits wll required in setmtment, and the arnount of
the obligation oxn be measured r81iably.
Expendityre is dassified by actiwity. The wsts of aach activity grÈ made up of the total of direct ojsts and
5h3red rnsts, including support Gosis involv8d in undertaking each a¢ti*ity. Oired GOSt8 8ttrièutsble to a singlo
èthvty ar8 all￿tsd dirécuy to ttr￿t actvty. Shared costs which (x>ntribut& to more than one activity 2nd
support wsts which a￿ not aknbulable Iv a ￿ngle activty are apportioned b8￿een thos8 activities on 8 basi5
¢onsistsnt wth the use of ￿￿vree$. Central staff wsts are allocated on thè ba*s of time spent, and
depreciation chaoèÉ ar& allocated on wrtion of the asset's use.
Irrecoverable VAT is charged as a cost againstthe actiwty for whichthe eX￿nd￿re is intrjrred.
SupfX)rt costs are those th?t as¥￿St the work of ￿ chanty but do mt dir0¢0y represent charilable ¥rtivities
arKI Indud8 office costs, gcvernanGe costs, administr8tive payroll costs. They a￿ InCu￿ed diredy in 5UPPOrt
of *Xpendi￿re on the Dbjècts of the charity 8nd Include project m3nagern&nt carried otrt at HeBdquart&rs
ere sUPPQrt costs cannot be direoby attributed b) particul8f h82din9s, they have bpen allocated to cost of
raising funds and eX￿ndI￿lre on d￿ri￿ble actiwts.es on tt)e bas5 cons5tent with use of the resour(%s
Overhgads have b88n allo(2tsd on a basis of budgetsd ￿MOver.
1.6 Tanglble flxed zssets
Tangible fixed assets 4re Initially m&a8ured at cost and wbgequenuy moawred at cost or valuaton, net of
depreciation and any impairment losse5
Oeprecaabon is re￿g￿r8ed * as to write off ts ￿$t or valuation of assets less th8ir resdual values over their
usefvl lives on the follo%*ing b8SeS
Le8sehold Improvements
Plant equipment
Computers
Motor v8hides
overthe leryth of Ihe18as8
25% on cosi
33.33% on cost
25% on c*st
The gain or1088 8rising on the disposal of an asset is detsrmin8d asthe differen￿ b8fv¢een the salfr prcrneE15
and the carrying value of Ihe asset and is reco9nisÈd in tt)e ststement of financial aCtiv￿e$.
Individual a￿ts costing less than £1,000 are notgenerally eaptslised.
1.7 Impalrnientof fixed a$$èts
At each reporbng end date. thp charity reviews the c2rrying amounts of its tangible assets to detsmiin8
whether Ihere ￿ any indication that those assets hav8 suffered an impairm6nt 105s If any such indication
exists. tha recoverable amunt of Ihe asset is est"mated In order to determine the extent of the imp8irrnent
loss lif anyl.
17.

CONNEX COMMUNITh SUPPORT
NOTES TO THE FINANCIAL STATEMENTS {CONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2022
A¢countlng policies
IC¢)ntlnued)
1.8 Cash and ¢a$b equlvalents
Cash and 13sh èqup#al&nts include cash in hand, deposit5 held at call with banks. othèr short-tsm liquid
Investm&nts wth origin81 maturibes of three months or less. and bank overdrafls. Bank overdrafts are $h)b*n
within borrowngs in current liabilities.
1.9 Financial Instruments
The charity has eleded to ÈPF4y the prcwsorts of Section 11 'B85ic Finan￿al Instruments. and Section 12
'other Finanoal Instrurnents Issues, of FRS 102 kn 411 t)f its finarKial instruTn8nts
Fin8noal InstnJm8nts 8fe recognised in tt)e charity's sheet when thB eharity becom8S Party to the
contractual provisions of tt)e Instrument.
Finanoal assets and liabilitie5 are offs8( with the net #mounts presented In thé finanual ststements. when
there is a legally enfor￿able right to set off the rethgni8ed amounts and Ihere is an intsnton to s&tt18 on a net
basis or to realise the asset and Éetde the liability simult2neoudy.
Paslc Ilnancial 855ets
Ba￿¢ financial 8ssets, which includ8 debtor5 and cash and b8nk baknc*s. inib.ally measur&d at
transact￿n price including tr8nsacbon costs and 8re subsequently carried at arnortised ¢x)st effective
inttrtst method unless the arrangement wn5tittrtes a financing transaGtion. wh&r& the trdnsgction Is
meagjred at tre present value of the future ref*iPts discounted 8t a market rat8 of Intsrest Finanoal assets
c1assffied as receivabl8 wthin one yegr are not amorbsed.
B*slc financlal liabllltl¢s
Ba￿¢ financial liabilibes, induding cfeditor5 gnd bank loans are In￿311Y recxjgnised at tr8nsaction U￿eSS
the 8rr¥ngem8nt cOnst￿te5 a financing transaction, W￿￿9 the debt instrument is measured at the present
valLF8 of the future payrnents di&￿un￿d at a rnarket rHts of interest. FinanGial liabilities c18ssified as fyayable
ithin one year are not amorbsed.
Dabt instruments ¥re 5ubsÈquendy carr￿d at aM0￿$@d cost, usng the gffèctive intsrest rate mothod.
Trade cvdibrs are obligations to pay fr)r goods or serV￿c*S th8t have been acquired in thtr ordinary course of
opÈr2tions from suppliers. Afflounts payable are classfiÈd as ￿￿ent liabilib.es If payment is due within one
year or le55 If nD( they are presented as non-trJrr&nt liabil￿e$. Tradè creditors are recognis&d initially at
tTrn*ct*)n prica and yJbsequenUy at amorti59d ¢x>st wng the effe¢bvE intsrest m8th0d.
Derecognition of Ilnan¢lal Ilablllties
Finanoal liakn'lities are derecxjwised when the chariW$ ￿)ntraCtual obligations expre or are distharged or
¢anC*1￿(s
1.10 Taxation
Th& chanty is a registered tharity and has rn liabilrty to corporation tax on its charitable a¢tW￿eS undèr the
Corporation Tax Act 2010 (chapters 2 and 3 of p2rt ii. section 466 onwards) or Sectyort 256 of the Taxation for
Chargeable GairbsAct 1992. to the extent su@U5es are aFplied to its charitable purp08es.
1.11 Employee ben*l1ts
The ¢x)st of any unused hdiday fjntiV¢mènt is recognis8d in th8 ￿riod in which the &mpby86's servKes are
re￿1ved.
Témiinats'on benefits 8r* reox)gniÉ8d immediatsly as Èxp&nse *hen the charty is demonstTrbly (x)rnrnitted
to terminate the ernpl¢ym?nt of an employee orto provide ternynaton ben&fits.
1.12 Rellrement benefits
Paytnents to d8fin8d contribution rEb"rem?nt benefit schemEs Ère charged a5 an expen88 as they f811 due.
18-

CONNEX COMMUNITYSUPPORT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
A¢¢ountlng pollcies
Icontlnuedl
1.13 Hlre purchasing and leaslng commilments
R&ntsls p8yable under tsp8ratng 18a8es, including any lease inc%ntNes r8ceiv8d, are charged as an expense
on a straight line ba￿S over the te￿ of Ihe rel8vant lease.
cr1￿cal accovnung e5￿MateS and ludgements
IN the application of the ch¥nty's a[￿OUnting wliaes. the trusts&s are required to judgernfynts. est￿at￿S
and assumption5 about the carrying amount of assgts and liabilities that are not readily apparent from other
8ource5 The estm2tes and associated a&8umptions are based on histOriC81 eXPer￿n(* and other factor5 that
a￿ t￿n￿dered to be relevant A￿￿1 Trsults may drfter from these estimate&
The estimates and underfying aSsumpt￿n5 ale ￿V￿Wed on an ongoing basis. Rewi¥on5 to accounti
8stirn8tes are re￿gnIsed in the penod ID which the estimate Is révised where the mison affects only that
pèriod. u in the period of the revision and future periods where the revision aff&cts both current and fuknré
psriods.

CONNEX COMMUNITY SUPPORT
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2022
Donatlon5 and legacles
Unrestricted Unrestrl¢lefl
funds
funds
g•neral deslgnated
2022
2022
Totsl Unrestricted Rvstrcted
funds
Total
ngral
2022
2021
2021
2021
Donations and gifts
L8gaty88 r&ceivable
Grant fvnding for wre
9.035
12.670
5.LK)O
21,705
5,000
26.817
26,817
9,139
2,997
72.136
157,037
13.948
170.985
18,174
80.667
98,841
183,854
13,948
197.802
Grants recelvable for
core activities
De￿yshIre County
Council IPPEI
High Peak Borough
Council
Severn Trentwdter
HMRC- corona￿ruS
Reternt￿n Scheme
Comic Relief
D&rby8hir8 County
Council Ilnfection
Controll
Derbyshire County
CounGil (WRRFI
H811 Bank Tr
12,147
12,147
15,000
10,000
15,(
10.(XX)
4,139
4,139
119,8WJ
119,890
8,4
8,455
32.302
32,302
5.4¥J
5,4
25,195
5,500
25,195
5.5CN)
9,139
62,997
72,136
157,037
13.948
170,985
-20.

CIN O(4
&328
(o tTi
(o
J o (o
UJ
￿￿ 050
rLS*￿0￿￿OkL(OO

28
100
m(D
11 I
> Tr-
uj

ONO
J*0
Iri Tri (H 0> fri ¢D
X8
0￿0(￿
LPI 17>
i lj-11:ji1211
rLS kL(r)

CONNEX COMMUNITY SUPPORT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Inve$lm?nts
Unrestd¢t¢d Unrethct
funds
nds
general
g8n8ral
2022
2021
Interest receivable
other Income
Unrestricted Unrestricted
nds
fund$
general
gBneral
2021
2022
Rent receNsble
47
-24.

o)
￿P)r(¢r
C c c o

(4 (D
(Q v ln rri Pi
O) ¢D
c c

CONNEX COMMUNITY SUPPORT
NOTES TO THE FINANCIAL STATEMENTS {CONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2022
Supwt ¢o$ts
Support Governan¢e
costs
costs
2022Support costs Governance
oosts
2021
Staff ¢x)sts
Depr8uation
Premise6 costs
Equipment leasing
AdrnInistrat￿n costs
Sub5cripbons
Bank charges
Bad debts
Professional f888
136,916
13.501
37,935
3.112
49,853
5.098
1.363
4,495
1,181
136,916
13.501
37,935
3.112
49,853
5,098
1,363
4,495
125,541
15,486
46,115
3,162
48,656
4,619
125,541
15,486
46,115
3,162
48,656
4,619
1,943
4,6KJ
1,943
4,6
Auditf8es
Accountancy
3.206
5.e06
3.0
5.201
5.201
253,454
g.012
262,466
251.2C(I
8,201
259.401
Analysed be￿een
Ch8ritsble activiti88
253,454
g.012
262,46fj
251,2CO
8,201
259.401
Governanet costs indudes pay￿Ents to Ihe auditors of £3.20612021- £3,OtX)I for auditf90$.
Trustees
None of the trustees lor any p&rv4)ns connected wth t￿mI received any ￿MUneratiOn or tsa￿fits from the
charity durirty th8 year.12021.. £Nill
No reimbwsed expenses were rngde to any trustees during year12021.. £NII
10 Employees
The average rnonthly nurnber of errployees during the yeHrwas'.
2022
Number
2021
Number
Errpby8ès
Ernployment¢o$ts
2022
2021
Vvages and salari&s
Scci815eGvnty costs
Othèr pen*on oxts
1.395,3
82,727
36.9rK
1.055.110
53.130
29,974
1.515.094
1,138,214

CONNEX COMMUNITY SUPPORT
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2022
10 Employees
Icontlnuedl
DuTrrvJ the year. Ihe charty mada Sts￿b)ry redund•n¢y payments totslling £24.380 12021.. £Nill.
There w&to no tmployees whose annual rernunerdtion was nKsr8 than £60.(KX)
11 TaTr9lble fixed assets
LoAsehold
Impr&vÈmentg
Plant
egulpment
Compute151kntor vehl¢tes
Tfrtal
Cost
At 1 April 2021
Additions
Disposal8
19.583
22.875
77.895
6,284
51,134
171.4B7
110.2791
110.2791
At 31 March 2022
19,583
22.875
84,179
40.855
167,492
Depre¢lailon an¢ Impalmient
At 1 April 2021
Deprecaation ¢h8rged thè yaar
Eliminated in reswct of disposals
19,583
22.200
300
,862
13,W1
127.551
19.928
110,2791
5.727
110.2791
At 31 bAarth 2022
19,583
22.500
64.783
3),354
137,2
Carrylng amount
At 31 March 2022
375
19.416
10,501
At 31 March 2021
675
27,033
16.228
43,93e
12 Debtors
2022
2021
Amounts falllng due withln one year:
Trad8 debtors
Other debtors
Prepayments and aLYNed in(x)me
165,636
85,858
127,944
3,882
6.296
2g5.227
217,684
-28-

CONNEX COMMUNITY SUPPORT
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2022
13 Cr¢dltors= amounts falllng due V+l¢hln one yèar
2022
2021
Other tsxation 2nd soaal security
Def*rr*d income
Trade crÈditoTS
Other Greditors
A¢crual8
21.442
32.448
3.828
20.￿1
119,847
12,903
25,427
4,379
22,529
75,8
14
197.896
141,134
14 Deferred Income
2022
2021
Arisng from govemrnÈnt grants
Other ￿ferred incorr
32,448
25,427
32,448
25.427
D8f8rred incorne is induded in finanoal staternents as follows..
2022
2021
Defe￿e￿ Inoy)rne Is indudad Nwthin..
Current liabilities
32,448
25.427
Movernents in th& ye8r'.
Deferred Inmme at 1 April 2021
Released trom previous periods
Resour(*s deferred in the year
25,427
125,4271
32.448
12.8
12.571
Def8w8d income at 31 March 2022
32,448
25,427
15 Retlrement benefit schemes
Defined contr11￿tIon $¢hemes
Th8 charity opefates 8 defined contributon pension 5Ghem for a11 qu81ityin9 employe88. Th8 a88ets of the
scheme arp hBld s&waratsly from those of the charity in an I￿epend￿n1Y administered fvnd.
The charge to profrt or loss in respect of dÈfin8d Contri￿￿on *hemes was £36,9TT12021 - É29.9741.

r￿*(￿0
10
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rm
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CLL
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15 In r
o o c
ooJ

CONNEX COMMUNI￿ SUPPORT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
19 Flnanclal comrnlknents, guarantees and Con￿￿90Mt Ilablllues
SantsndÈr UK PIC holds a fixed legal charge ovar a depost of £14,OW whith makes up part of the ¢harity $
bank balan￿.
At 31 March 2022 the Gharty's ￿n￿on conthbutions payabb We￿ £5,716 12021." £4.4861, wh￿h ￿re paid
Over 8fterthè repothng date.
Opera￿n9 lease commitments
At the reporting end d2t& the tharity had oitsla￿lw ￿)Mm￿ents forYutsJr& minimum lease paym8nts under
non-canc£ll8ble operating Itasès. which fall due asfollows".
2022
2021
thin one year
1,469
21 Related party tran5a¢llon$
Remuneratlon of key management personnel
The remuneration of key rnanagemènt P8rsonn81 is asfollows.
2022
2021
Aggregats cotrpBnsabon
2￿.995
231.289
During the year, the charity rentsd offit* space from Derbyshire Dal&s Councal for Voluntsry Serwce. a charity
in which Ms G Geddes 2 trustee The total ront paid during the year was £2.520.
22 Cash gènerated from operatlons
2022
2021
sU￿lusIOr Ihè yéar
44,733
281,492
AdjUstr￿nts for..
Investment income re￿gnISed in ststeFnentof financial activities
Gain on disposal of laryible fixed asstts
Depreoation and impairrnent of tsngible fixed as88ts
15801
(7001
19.92e
13881
16751
18.181
Movernents in workJtvJ (xpit21".
IlnGroas&Vdeu8ase in debknrs
IncrEa*lldecreasel in creditor5
In¢re35e In d&ftrred income
177,5431
49,741
7,021
19.737
13,8811
12,571
Cash generated from opera￿on$
42,600
225.017
23 Analys1$ of Changes In netfunds
The charity had no debt during year.

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