Belle VAle Commiinity Centre Limited
(￿ f oJnp&ny lin)iled by guarantttl
Unaiidited FinAncial Statements
31 March 2022
Registered Charity Number . 1073941
Company Niimber . 0323%982
HAILWOOD & CO
CHARTERED ACCOUNTANTS

Belle IIAle Commiinity Centre Limited
(a company limited by guarantee)
Unaudited Financial Statenjents
for the year ended 31 March 2022
CONTENTS
Page
Organisation information
Trustees, report
2to3
Stalement of iruslees, responsibililies
Independent examiner's report
Summary income and expenditure account
Statement of financial activities
Balance sheet
Notes to the financial statements
910 15

Belle Vale c.ommunity Cenlre Limited
(a eompAnv limited bv guarAnteel
lJnaiidited Financial Statements
for the year ended 31 March 2022
RegFlStered Charity Number '. 1073941
Company Number .' 0.1235982
Incorporated in England & Wales
TRUSTEESIDIRECTORS
Mr S Melia
Ms H Thompson
Mr R J Condon
REGISTERED OFFICE
Lee Valley Millennium Centre
Childwall Valley Road
Belle Vale
Liverpool, Merseyside
L25 2PR
ACCOUNTANTS
Hailwood & Co
Chartered Accounlants
39?..394 Hoylake Road
Morelon
Wirral
CH46 6DF

Belle Vale Community Centre Limited
(a coJnpAny limited bv guarantee)
Report of the Trustees
For the year ended 31 March 2022
Thc trustCQs who ar¢ also dircctors of thc chariN. for thL pufposLS of thc CompaniLS Act 2006, prcsLnt
their rcport witli the fiiia]Icial statcm¢nts for thc i'car ciid¢d 31 March 2022. T]Ic fiiia]Icial statcmciits
havc b￿￿7 prcparcd in aceordancL' )5"ith tl)c accounting policics out in thL notcs to thL accoiinis and
complN' witli Il)c chariti. s govcrning? docuiiicnt. the Charities Act 2011 and Accountingy ai)d R¢porting'
b). Charitius.. StatLiiieni of Rccommcndcd PraciicL'.
Tlie charity constitutes a public beiiefil entil}' as defined b). FRS102.
Administratii'e inforn)alion is disclosed on pag)¢ l.
STRUCTURE GOVERNANCE AND MANAGEMENT
Governin2 document
i¥ ch&?riti' is controllid bi. its goi'LmingTr dociimLnt. &1 d¥Ld of trnst. and constitutcs a liiiiitcd compan}..
IimitLd bi. b*uaranlLL, as (L.fincd b!, thL ConipwiiLs Act 2006.
Recruitment and Appointment of new trustees
ProspLCtiNL ¢lL￿ Iruslcc's w'ill bL rLqLILsltsJ io subii)it LxprLssion of ii)tLrLsl al thL Anniial GLI)Lral
MLLling. The Sliitiibilil￿. of Ilic prospLctiN'c triistccs M'ill bL considcrLd &il IliL ncit board mLLling
folloii ingTr IhL Aniilial Giiicral MLLling bas¥d on th¥ rLl¥vwil skill SLt.
Induction find trAining of new trustees
If SULCLssfLII. Il)L l)Lll' TruslLLS arL indLlCtcd foniiall}' and issued w'ith copiLs of tliL ArticlLs of
Association aiid Muiiiorandum.
Risk m&nAgement
)c tnistcL's h11￿¢ a dul). to idcniifi. and rL'vicii" thc risks lo i%'hicli thc charit}. is cNposcd and to cnsurc
appropriaii controls arL in placL lo providL rias0t￿blL assuraJlCL winsl fraud wid Lrror.
OBJECTIVES AND ACTIVITIES
Objectives and aims
)c objcciii'L of thc C1)aril￿. is to proi))otc tlic bciicfii of thc iiili&bit4711ts of tlic local and i%'idcr
cominuiiil). I'thu arLa of bLI)Lfit'l i%'iil)out distinction of 5LX. sLxual oriLI)talioi). racu or of politictsl.
rcligioiis or otlicr opinions bj. associating togctlicr thc said inhabitants w)d thc local authorilics.
i'oluntan. and othLr orb>aiiisalioiis in a coii)mon Lffort to adwancL cducation. rLliLvc povcrtTr' and
sicknlss aiid lo proi'id¥ facililiLS in thu inlirL'sls of social w'ilfarL for rL'crLalion and othur ILisurL'.tiiiie
oc¢upalion ii".iili IhL objiyl of improi.ing Ihc condilioiis of lifL for thi said inhabitants.
ie Cliarili. shall be non-parl!. in politics aiid iion-sectarian.
Significant Activities
IL Chariti's main aclii'it!" w'as to establisli. maintaiii aiid maiiage a Commuiiit! Centre, whether aloiie
or in co-opcratioii i%'ith othcr pcrsons, local authoritiC5 or b(yJic5 in fiirthcraiicc of thcsc objccts.
Iii ordcr to achicvc our statcd objcctivcs, th¢ Cciitrc co-ordinatcs thc follom'ing actii'itiC5 Cithcr 01) a
dailTr' or w"ccklv basis".
Thc provision of a local librarv scTh'icc, including acccss to thc intcrnct, for tlic local community..
This is proiidLxl dirLCtli' b). LivLrpool CilTr' Council, but facilitatLd in thL CLntrL".
Th¢ Provision of Adult Education ¢lass¢s i'la th¢ L￿al Authoriti. for m¢mb¢rs of th¢ Iwal
commiinitN' to dcvclop their skills and cmplo!Incnt.

Belle Vale Community Centre Limited
(a coJnpAny limited bv guarantee)
Report of the Trustees
For the year ended 31 March 2022
OBJECTIVES AND ACTIVITIES
Significant activities (continued)
Facilitating a social care service from wiihiii tlie C.eiitre. creating a secure and safe enl'ironment for
vuln¢rable members of the Conmiunitv lo visit and seek help.
Facilitating a raiigL of fitnbss and social elassLS Idanciiig, Zumba, kick boying) for mcmbcrs of the
local communiti. to allLnd. keepingJ fit ai)d socialli..
FacilitatingF social cngFagvcmcnt clubs pcnsionLrs cllib , rcligiious gathcrings etc.
Organisiiig path, ftinctions, birtlidas's. christcnings ctc.
FacilitatingT social Li'Lnts promoliiig, hLalih!' LalingT aiid lifesti,les, e.b. Social Superniarkel and
VallLTh' Commuiiil). Hub i< nd SPLcific 01)L off uN'Lnis.
Iii facililaiing all of till abovL. ii.hilst thi C'LnlrL doL'S not spLcificalli' dLlivLr focus on Lnsuriiig ive
m¥lilltaiii a iiclcoming and friLndl)' cnvironmLiit at thc lowLst possiblc rLnt to allow acccss for the iiidcr
commuiiili,.
W¢ lia%'L' r¢.fLrr¢d lo th¢ Cliarili, Commission's sicncral giiid¥incc on public bcn¢fit iihcii rL'iJi¥iiing our
aims and obj¥¢tll'LS 4111d pl411111iiig, fiilur¥ aclii'itiLs. In particular, thc trustcL's considLr hoii, planncd
actii'ili¥s i¥ill ¢oIilribul¥ lo Il)¥ aiins and obJ¥ctii'Ls thLI' l)ai¥ s¥t.
ACHIEVEMENT AND PERFORMANCE
Chfirilable actiwities
Tli¥ C'¥i)Ir¥ lias ¢ontinuLxl lo run ii.'Lcklv activiliLs Ihroughoiil thc vLar. incliiding thc ii'LYklN' pLiisioiicrs
lub i¥hich provid¥s acli%'iti¥s. advi¢¥" aiid support for old¥r p¥oplkn.
ii l¥n%llils coiilinii¥ to prokidi k¢i' s¢n'i¢cs in linc i¥iili oiir obj¢ctlVQS (ind havo b￿.n siicckn'ssfiil in
incr¥asingy Ili¥ nuiiibty'r of us¥rs aiid i isilors to Il)¥ C¥iilr¢'.
WL liai'L IILld a iiumbLr of fun dai's tliroLigliout thu I'car ilhich hav¥ Ixxn v¢rv' ii'¢ll attcndLd b}. tli
loctsl comiiiLinilN'.
As M'LII as LnablingT USC lo work 01) collaboration with othL'r orga])isations. thL CVLnt5 proi'idL a i'LI)icle
for promoiiiig IhL CLI)IrL.
FINANCIAL REVIEW
Reserve5 policy
TIIL Stajidard rLsL'Th'Ls polic). is lo maiiitain liquid resources sufficient to support diL. Charit!. for tile
folloii'iiig 12 moiiths of opcration. Igiioriiig amount5 duc from its siibsidi<lry' undcrt<ikiiig. thc C'h<iriti'
had L76.111111 ii) uiirLStrictLd rLsLrvLs. which rLpfLsLiils around 7 moi)Ihs runniiig costs. ThL trustL'L
coniiiiLIL to trn. to rclurii tl)L Cl)arit!' as a ii'holu iiilo surplus.
ON BEHALF OF THE BOARD .
R Conduii Imdy du. 2023. i 23pmi
Mr R J Coiidon - Dir￿lOr
10 Mai. 2023

Belle IIAle Commiinity Centre Limited
(a company limited by guarantee)
STATEMENT OF TRUSTEES, RESPONSJBILJTIES
for the year ended 31 March 2022
The truslces {￿h0 are also dircclors of Belle Valc Com]IlLuiiIN. Cenlrc Litllilcd for the purposes of compaii!. lai¥) are
rcsponsiblc for prcparii)g thc Truslccs, Ai)IlLial Rcport and Ihc fii)ancial siaici))ci)Is iii accordai)cc H'ill) applicablc law
and Uniicd Kingjdoni Accounliiigj Standards (Uniled Kingjdom Gcncrall!, Acccptcd AccoLinling Praelicc).
Companv laiv r¢quir¢s th¢ trust￿$ lo pr¢par¢ financial stalciiicnls for cach financial i'car, ii'hich 8ii'¢ a twc and
fair i'icm, of lh¢ stal¢ of affairs of thc ¢hJrilJblc wmpan!, and of th¢ incoming rosoiirces and application of rcsourcos,
including the iiicome aiid eipeiiditure. of the charitable companN' for ihal pcri(yJ. in prcparingp iliese fiiiaiicial
sialcmcnts, Ihc trusiccs arc rcquircd to..
sclccl suilablc accoiinliiib policics and appli, Ihcin consislciiili..
obscrn'c th¢ iiictl)￿lS and priiiciplcs iii Ili¢ Cliarilics SORP 2111.) (FRS 1021:
iiiakc jiidg>¢i))¢iils and oslimalcs Ihat arc roasoiiablc and pnidcnt:
slal¢ i%hcil)¢r Jpplicablc UK acwunlingF slandards hai'¢ bccii folloi¥'¢d. 5ubjc(t Lo an). maI￿la] dcpartur¢s
disclosed and ciplaiiicd in Ilic finai)cial slalcmcnis:
prcparc ilic financial slalcmcnts on Ihc g>oing> conccni basis unless il is innppropriatc lo prcsumc
Ihal Ihc charilablc companv i%'ill conliiiuc in opcralion.
Th¢ Irlisl￿s ar¢ also rcspoiisiblc (or kc¢pin￿Tr adcqiialc ac¢ounting) r¢¢ords Ihat dis¢losc ￿1117 rcasonablc a¢¢urac!' al
an!. lini¢ Iho Iiiiaii¢ial posilion of th¢ charilabl¢ ¢ompaiii' and oiiablc ilicin lo ¢nsur¢ Ihal Ilic financial slal¢iii¢nls
coiiipl!. i¥iih ihc C'on)paiiics ACL 21111(). Tli•' arc also rcspoi)siblc for 5afcgTuardiiig ilic asscls of Lhc charitable
coiiipunN' and l)cncc for iakii)g rcasonablc sieps for ilic prci'¢i)lion and dclcciioii ol. Irklud ai)d oilicr irrcg?iilarilics.
In planning) OLir aclii'ilics for Ihc fvcar and fulurc N'cars. Ihc Tnislccs hai'c kcpl in mind Ihc Charili" Commission's
guidancc on piibli¢ b¢n¢fit. Tli¢ ¢haril!' wiislilulcs a public bciicfil ¢nlilN' as dcfincd b)" FRS 102.
The Trustces report has been prepared liai'ing thL-en advantagje of Ihe Small compwiies exeiiipiioii iii
thc Companics Act 21101?.

Independent Examiner's Report
to the members of Belle Vale Community Centre Limited
(a company limited by guarantee)
I rq)ort on thc fiiiancial statcmciils of Bcllc Vale Communit!. Ccntre Limiicd for thc }'ear cndcd 31 March 2022
Ivhich comprisc thc Summan. Incomc and Eipcnditiirc Accoiiiit, thc Statcii)cnt of Finaiicial Actii'itics, the
Balance Sheet and related iioles.
Respective responsibilities of the trusttts and examiner
ic charity s tru51ccs arc rcsponsiblc for thc prcparalion of the accounts. nie InisLccs considcr that an alidit is not
rcquircd for Iliis I'car undcr scclioii 14412) ol'ilic Charitics Aci 201 l aiid ilial ali iiidcpcndciil elainiiiatioii is nccdcd.
l aiii qualificd lo undcrtakc Ihc cxaiiiinalion bi" bcing a qualified mcmbcr of thc Inslilulc of Chartcrcd Accountants in
Eii&>land and Walcs, alihou&h this I'car Ihc cliaril! s incomc did iiol eicced £250.UUU.
Hailliiigi sa11sfi￿ m)'seif Ihal Ihe Charilv Is nol subject lo an audil w)der compan). la%%. and is eligjiblc for indcpciidenl
cxaiiiinalion. il is mi, responsibilil￿ lo,.
Examinc Ihc accounts wider sc£lion 145 ofthc 201 l Acl.
lo folloii, tlic pr(Kcdurcs laid down iii Ihc Gcncral Dircclions gil'cn b). Ilic Charilv Commissioncrs Liiidcr scclion
14ily}Ib) ofihc 2111 l Act): and
io slalc wl)cihcr particular i))alicrs hai'c comc lo iii). allCI)lion.
Bfisis of independent exAminers' report
M!, cKaminalioii was carricd out in a￿Ordance ii'iih Ihc Gcncral Dircclions bTrjl'cn b). Ihc Cliaril}' C.ommissioncrs. An
ciaiiiinalion ii)cludes a rci'icm. of il)c accouniing rccord5 kcpi bi. Ihc charit!. ai)d a conipari50n of il)c accounts prcSCliicd
ii"'i(l) Ihosc rccords. li also incliidcs considcralion of ani. iii)Lisiial iicms or disclosiircs in ilic accoiinis. and scck.in
ciplaiialioiis Iroi)) i'ou as Incmbcrs coiiccri)iiigi aiii, sucli iiiallcrs, Tli¢ proc¥durcs ui)d¥rlak¢ii do nol proi'id¢ all Ilic CN id¢i)¢¢
Ihal i¥'oiild bc rcqiiircd in an aiidil and. ¢ons¢quciiil)', no opinioii is gTrji'¢n as lo ii'hcih¢r Ih¢ a￿o[LnI5 pr¢s¢nl a
'Iruc and fair i'icii" and Ihc rcporl is liiiiilcd io iliosc iiiallcrs scl out in Ihc slaicinci)I bclow.
Independent examiners, statement
Iii coiiiicclion ii.iili mi. cKamiiialioii, iio mallcr lias comc lo MN. ollcnlion..
I l ) iihich giilcs mc rcasonablc causc to bclicN'c Il)at. li) ai)}. maicrial rcspccl. tlic rcquircmciils..
io kccp accountin&J rccords in accordancc willi S￿tiOn 38() ofd)c Conipanics Aci 21111() . and
io prcparc accounls M'liich accord iyith Ihc accounting records and lo compli, il'ith (hc accounling
rcqiiircmcnls of scclion 39(? of Ihc Con)pani¢s Act 21111C? and ii'iih Ihc mcil)ods and principlcs of thc
SLal¢iii¢nt of R¢wi))i)Iciid¢d Pra¢li¢¢.' A¢¢ounLinu? ai)d Rcportiiig bi. Charitics hai'¢ iiol b¢¢n iii¢t: or
12) lo iihicli. iii m!, opinioii. all¢ntion Should b¢ draii'n in order lo enable a proper und¢rslanding of die ac¢ounls lo
bc r¢a¢li￿.
Adam Frcncli B.Eng FCA
Hailm'ood & Co
Chartered Accountanls
R¢gisl¢r¢d Auditors
30 Mai 2023
Mor¢lon. Wirral

Belle IIAle Commiinity Centre Limited
(a company limited by guarantee)
SUMTrIARY INCOME AND EXPENDITURE ACCOUNT
for the year ended 31 March 2022
Note
2022
2021
Income
148,254
17,598
Tolal income
148.254
17,598
Expenditure
Depreciation
(102,640)
(36.204)
{85,344)
{36,204)
Nel income/(expenditure) for Ihe year
io
9.410
(3.950)
Movements in reserves are shown in note 9.
None of the charity's activities were acquired or discontinued during the above two
financial periods,
There are no recognised gains and losses in the year ended 31 March 2023 or the year
ended I l March 2022 other than the (deficil)Isurplu5 tor each year.
Total income comprises £148,254 for unrestricted funds and £0 for restricted funds.
detailed analysis of income by source is provided in the Stalement of Financial Activities.
The summary income and expenditure account is derived from the statement of financial
activities on page 7 which together with the notes to the accounts on pages 9 to 15,
provides t.ull information on the movement during the year on all the t"unds.

Belle IIAle Commiinity Centre Limited
(a company limited by guarantee)
ST A TEMENT OF FINANCIAL AcfiviTIES
for the year ended 31 March 2022
Unrestricted
Funds
Restricted
Funds
TotAI Funds
2022
Total Funds
2021
Note
Infome from:
Grants
Donalioiis
Charilable actii'ilics
24,3iO
5.1144
118.8C)O
5.044
18,8C)11
117.$98
Totnl inf ome
148.2$4
148.2%4
117.%98
Expenditure on:
Chariiablc actii'ilics
11I2.()411
1().2114
1311.X44
121548
Totnl expenditure
102.640
36.204
138844
121.%48
Net incomin%/(out%oin%) resources
before trAn5fers
45.()14
{3().21I41
),4111
(i (J.sii)
Transfers belween fund5
Net movement in funds
4.5.()14
13C).21HI
).4111
ReconciliAtion of funds:
Tolal funds broubhi foThi"ard
2117.i87
1,324.31)4
112X..344
Tot*1 funds carried forward
253,201
1,080,603
I J33004
1,324,394

Belle Ilale Community Cenlre Limited
(a Company limited by guarantee)
BALANCE SHEET
As At 31 MArch 2022
2022
2021
Nole
Fixed Assets
Tangible assets
Investments
1.168,251
1.204,454
Ciirrent Assets
Debtors
Cash at bank and in hand
106.407
78,177
68.555
60,692
184.584
129.247
LiAbilities:
C.reditors'.amounts falling due within one year
Net ciirrent hssets
(19,032)
(9,308)
165,552
119,939
Net assets
1,333.804
1.324.394
The fiinds ofthe charity:
Restricted funds
Unrestricted funds
1,080,603
253.201
1,116.807
207,587
1,333,804
1,324,394
Tlicsc accounts havc bccn prcparcd in accordancc M'ith Ihc spccial provisions of part 15 of ilic C.ompanics Acl 2011C)
r¢laling lo small compani¢s.
For Ilic I'car cnded 31 March 21122 Ihc compan). ciiliilcd lo cxcmplion undcr scclion 477 of Ihc
Coiiipanics Act 21111(> rclaliiibi lo small conipanics.
Dircclors, rcsponsibililies..
Tlie mcmbers have iiol required the compartN' lo obtaiii ali audil of ils account5 for ihe )'ear in que5lioii
in accordancc ii.ith scclion 476.
Tiic directors acknom'lcdgjc thcir rcspoi)sibilitics for compl￿7ng Miih thc rcquirci))cnts of thc Act Miih
rcspcct to accounting rccord5 and tlic prcparalioii ol'accounts.
Tli¢ financial slalements on pages 6 10 15 I%.￿¢ approi"a b!, the Tn￿le¢S on 30 Mav 2023 and signed oil ils
behaifbi.:
R Ctsndon (May 30. 2023. 5 23pml
Dire¢lor.' Mr R J Condon
Coiiipan! Number . 03235982

Belle IIAle Commiinity Centre Limited
(a company limited by guarantee)
NOTES ON FINANCIAL STATETrIENTS
for the year ended 31 March 2022
l Accoiinting policies and company slatus
CompAiiy StAtIis
The charity is a company limited by guarantee. The company has no share capital.
The nature of ihe chaTIty's operations and principal activilies are disclosed in the
Trustees Report. The company was incorporated in England. The regTiStered otfice is
Lee Valley Millennium Centre, Childwall Valley Road, Belle Vale. Liverpool, L25 2PR.
A summary of the more important accounting policies is set out below.
Basis of accoiinting
The financial statements have been prepared under the historical cost accounting rules.
on a going concern basis, and in accordance with the accounting policies set out in the
notes to the accounts and comply with the charity's governing document. the Charities
Act 2011 and Accountinb and Reporting by Charities. Statement of Recommended Practice
applicable lo charities preparing their accounts in accordance with the Financial Reporting
Standard applicable in the UK and Republic of Ireland (FRS 102) issued on 16 July 2014 (as
updated through Update Bulletin I published on 2 February 2016). the Financial ReporlinL4
Standard applicable in the United Kingdom and Republic of Ireland (FRS 102), the Charities
Acci 2011, the Companies Act 2006 and UK Generally Accepted Practice as it applies from
l January 2015. The charity constitutes a public benefit entity as detined by FRS 102.
In accordance with the provisions of the SORP FRS 102, as the charity qualifies as a "small
charity" it is exempt from ihe requirement lo produce a cash flow slatement.
Fijnd Accoiinting
Restricted t.unds comprise funds which have been gyranted to be used for a specific purpose.
and are therefore shown separately until Ihat purpose has been fulfilled.
General funds comprise funds which represent accumulated surpluses and deficits in the
Statement of Financial Activities, after transfers tolfrom the restricted funds.
The purposes and uses of all funds are set out in note l O to the accounts.
Income
All donalions, sundry income and sales are recognised on a receivable basis.
Expenditiire
The cost headings comprise expenditure, including staff costs, directly attributable to the
organisalion's activities.
Fixed assels and depreciation
Fixed assets are stated at cost and are depreciated over their useful economic lives at the
following rates..
Freehold property
ITnprovements to property
All significant assets are reviewed annually for impainnent and provision made where
considered necessary.
20/0 of Cost
20/0 ot Cost

io
Belle Ilale Community Cenlre Limited
(a Company limited by guarantee)
INOTES ON FINANCIAL STATEMENTS
for the year ended 31 MArch 2022
Unrestricted
Fiinds
Restricled
Funds
Totlll
2022
TotAI
2021
2 Income
Rental income
Grants received
Insurance claims
Room hire & functions
Rental of equipment income
Management charge
43,638
7,230
5,044
17.852
10,140
40.000
43.638
7,230
5,044
17.852
10.140
40,000
43,488
34,388
14.652
5,070
20,000
123.904
123.904
117.598
3 Charitable activities
Salaries and related costs
Staff pension costs
Rates and water
Insurance
Light and heal
Telephone
Security and maintenance
Hire of equiprnenl
Sundry expenses
Cleaning costs
Accountancy fees
Secretarial fees
Bank charges
V AT surcharges and penalties
Printing, postage and stationery
Bank interest
Depreciation. land and buildings
49,318
814
10,242
5,695
23,587
3,597
7,383
49,319
814
10.242
5.695
23.587
3.597
7.383
47,484
752
8,476
3,421
1,658
9,036
1,891
1,891
1,722
53
53
97
60
60
369
36,204
36,204
36,204
102.640
36,204
138,845
121,548

Belle Ilale Community Cenlre Limited
(a Company limited by guarantee)
INOTES ON FINANCIAL STATEMENTS
for the year ended 31 MArch 2022
4 Salaries and wages
2022
2021
Staff costs
Wages and salaries
Pension costs
Employers, national insurance
49,319
814
47,484
752
50.133
Average number of staff during the year
There were no employees earning a salary in excess of £60,000 in either year.
S Fixed Asset liivestments
Share5 in Group
Undertaking
Market VAliie
31 March 2022
£1
31 March 2021
£1
Net Book Valiie
31 March 2022
£1
31 March 2021
£1
The charity owns 100% of the shares of Lee Valley Tradinb Limited. The results for the last
financial year were as follows..
2022
2021
Capital and Reserves
ProfiLI(loss) for year
(92,541)
(15.343)
{77.197)
(24.765)

12
Belle Ilale Community Cenlre Limited
(a Company limited by guarantee)
NOTES ON FINANCIAL STATETrIENTS
for the year ended 31 Mfirch 2022
Land and
6 TAngible fixed assels
buildings
Totfil
Cost or valiiation
l April 2091
Additions
Disposals
1 ,897.851
1,897,851
31 March 2022
1,897.852
1.897.852
Depreciatio
l April 2021
CharbJe for year
Disposals
693,397
36.204
693,397
36,204
31 March 2022
729.601
729,601
Nel book vllliie
31 March 2022
1 168,251
1.168,251
31 March 2021
1,204.454
1.204,454
The Millennium Commission, who funded the building of ihe Community Centre hold a
debenture over the land and buildings and all other assets of the Charity.
2022
2021
7 Deblora
Amounts owed by Lee Valley Trading Limited
Other debtors
88.038
18,369
67.755
800
106,407
68.555
2022
2021
8 Creditors due wilhin one year
Bank loans and overdrafts
Taxation and social security
Sundry creditors and accruals
Pension creditor
12.333
6.300
399
2.839
6,109
360
9,308

13
Belle Ilale Community Cenlre Limited
(a Company limited by guarantee)
INOTES ON FINANCIAL STATEMENTS
for the year ended 31 MArch 2022
9 Funds
Balance
t l April
2021
Bnlllnce
Incoming
resources
Outgoing
resources
at 31 March
Transfers
2022
Unrestricled Fiinds
General Fund
207,587
148,254
(102,640)
253,201
Restricted Fiinds
Millennium Commissio
ERDF Grant
SRB Grant
LCC Grant
R]￿'erSId¢ Housing
475.460
274,928
142.319
217,900
6.200
(15,465)
(8,923)
(4.578)
(7,038)
(200)
459,995
266,005
137.741
210,862
6.000
1.116,807
(36,204)
1.080,603
TOTAL FUNDS
1,324,394
148,254
(138.844)
1,333,804
Transfers
The transfers between reslricled and unreslricled funds are to ensure that the closing
restricted funds agree to the net book value of the restricted fixed assets.
The restricted funds of £1,080,603 represenl the net book value of the restricted tangible
fixed assets, the remaining tangible fixed assets of £87,648 are unrestricted.
Millenniiim Commission
The Millennium Commission provided a capital grant lo assist with the cost of construction
of the community centre building. This included associated construction costs, professional
fees and project manasiement costs,
The main restriction is that the facility has to be run as a community centre and for no other
purpose. The Millennium Commission was wound down. these rights were transferred to
the Big Lottery Fund. A change in any part of the buildingis use requires consent from the
Big Lottery Fund.
ERDF Grant
ERDF provided a capital grant to assist with the cost of construction of the community centre
building. This included associated Construction costs, professional fees and projecl
management costs.
The tunds were restricted in that the building had to be used as a community centre for a
period of no less than 10 years If the building is used for another purpose within this period.
then a pro rata refund of the grant will become payable.

14
Belle Ilale Community Cenlre Limited
(a Company limited by guarantee)
INOTES ON FINANCIAL STATEMENTS
for the year ended 31 MArch 2022
9 Funds (continiied)
SRB Granl
SRB provided a capital grant to assist with the cost of construction of the community centre
buildinb This included associated construction costs. prot"essional tees and project
manabFement costs.
The main restriction is ihal the facility has to be run as a community centre and for no other
purpose.
LCC Grant
Monies from Liverpool City c.ouncil were provided in the forni of insurance monies from
the labour club which stood on this site. The money was provided on the condition that
il was to be used to build a community centre.
Riverside Hoiising
Riverside Housing provided a capital grant to purchase computer equipment for an IT
suite.
10 Income and expenditiire accoiint
l April 2021
Surplus t.or the year
1.324,394
9,410
31 March 2022
1,333.804
I l Related parties
Lee Valley Trading Limited 15 the charity's trading subsidiary
At ihe balance sheet date Lee Valley Trading owed £88,038 (2021.. £67,755) to the charity.
The charity charged a management fee of £20,000 (2021.. £55,000), an equipment hire fee
of £5,070 (2021.. £10.140).
No interest has been charged on the balances owed.

Belle Ilale Community Cenlre Limited
(a Company limited by guarantee)
INOTES ON FINANCIAL STATEMENTS
for the year ended 31 MArch 2022
12 Controlling party
c.ontrol lies with the truslees, with no individual or group having ultimate control.
13 Capilal Commitments
2022
2021
Contracted for but not provided for
Authorised but not contracted for
14 Going Concern
As stated in the Trustees report. the reserves policy is to hold liquid reserves to cover
12 months expenditure.
cash
surplus before depreciation
was
relurned this
year. The Trustees feel that further progress is still possible and theret.ore will
delay making an impairment adjustment to the carrying value of the Centre in the accounts
unlil all Options for generating sufficient surplus to cover depreciation charges are exhausted.


**Issuer** Hailwood & Co **Document generated** Tue, 30th May 2023 16:18:39 BST 

**Document fingerprint** df72cdb95cfbc820fdd2e1fdf590cd65 

## **Parties involved with this document** 

## **Document processed** 

## **Party + Fingerprint** 

Tue, 30th May 2023 17:23:27 BST R Condon - Signer (e58b7386526aec7e7b7dd39f82738da5) 

## **Audit history log** 

## **Date** 

## **Action** 

Tue, 30th May 2023 17:23:46 BST R Condon viewed the envelope. (81.107.39.63) Tue, 30th May 2023 17:23:44 BST R Condon viewed the envelope. (81.107.39.63) Tue, 30th May 2023 17:23:30 BST R Condon viewed the envelope. (81.107.39.63) Tue, 30th May 2023 17:23:27 BST The envelope has been signed by all parties. (81.107.39.63) Tue, 30th May 2023 17:23:27 BST R Condon signed the envelope. (81.107.39.63) Tue, 30th May 2023 17:21:48 BST R Condon viewed the envelope. (81.107.39.63) Tue, 30th May 2023 17:21:18 BST R Condon opened the document email. (66.249.93.209) Tue, 30th May 2023 16:23:54 BST Document emailed to roy.condon1@gmail.com (13.40.77.135) Tue, 30th May 2023 16:23:54 BST Sent the envelope to R Condon (roy.condon1@gmail.com) for signing (51.219.242.81) Tue, 30th May 2023 16:19:11 BST R Condon has been assigned to this envelope (51.219.242.81) Tue, 30th May 2023 16:18:55 BST Document generated with fingerprint df72cdb95cfbc820fdd2e1fdf590cd65 (51.219.242.81) Tue, 30th May 2023 16:18:39 BST Envelope generated by Dave Scott (51.219.242.81) 

