Charity registration number 1074508
Company registration nwnber 3614799 (England and Walasl
NETHERTON FEELGOOD FACTORY
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
*A8LYJFAHV*
21109ri022
COMPANIES HOUSE
#173

NETHERTON FEELGOOD FACTORY
LEGAL AND ADMINISTRATIVE INFORPMTION
Trustse
Mi L P James (Chair to 27th Seplember 2021)
Mr W G Penney (Chair from 27th September 2021)
MT M Buxlon
Ms L Cluskey
Mr D Cummin5
Mr J Ftynn
Ms L M Glenn
Ms U Ingham
Mr G Loughlin
Ms H Martin
Ms M mCEl￿boTQugh
Socretsry
Mrs S Duncan
Chief Executiv•
Mrs S D￿r￿n
Charity number
1074508
.Company numb¢r
3614799
R•gi$tsrvd offi¢¢
Glovers Lane
Netherton
Liverpo
Mergeyside
L30 5QW
Independent examiner
Helen FurlorvJ FCCA
M¢Linlo¢ks INW) ￿"rnrted
46 Harn1￿0n Square
BIrker*￿a￿
I1￿rra1
MerseysK1e
CH41 SAR
Bank•T¥
Natvlest Bank Pl¢
INesl Yorkshire Retail CSC
1 Victoria Place
Holbeck
Leeds
LS11 SAN
Insurgrs
Ansvar Insurance Limited
An5var House
St Leonard's Road
Eastboume
East Sussex
BN21 3UR

NETHERTON FEELGOOD FACTORY
CONTENTS
Page
Trustees, report
IrKleperKlent examinerf5 report
ststement of financial activities
BalaTr￿ sheet
Notes to the finanual statemer
9-22

NETHERTON FEELGOOD FACTORY
TRUSTEES, REPORT IINCLUDING DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2022
The Trustee present their annual report and financial statements for the year ended 31 March 2022.
The financial ststemenls have been prepare(l in a￿rIanCe wrth the ac¢ounb"ng pol¢￿5 set out in note 1 to the
financial slalement5 and comply the Charity's Uemorandurn and Artide5 of Associatson the Companie5 Act
2006 and 'Accounting and Report]'ng by Chanb"es." Stslement of Recommended Practice applicable lo charities
piepanng their account5 in a¢eordan¢e wrth the Finantyal Reporting Stsndard applicable in the UK and Republic of
Ireland {FRS 1021. leffective 1 January 20191.
Objectives and actlvities
The objectives of the Netherton Feelgood Factory are to promote the health, educabon and quality of lrfe of the
public in the Metropolitan Borough of Sefton and surrounding areas. The organisalion aims lo enable people lo
improve their health and wellbeing by using communrty devekjpment approach to ill health preventh.on and health
improvement.
In setting our obj'ectives ar￿ planning our actywbes. the trustees have given carefvl consthraiion lo the Charity
Commissiort's general guidance on publ￿ benefft.
Priorities tsjentif￿d through consuAatKJn with the local communty are..
to improve access to health, social care and related inlonnation and services
to enwurage healthier lifestyles
to provide servi¢es and activrties to support isolated older people
to prO¥￿e services and actwrtie5 to support rsolated families
The Feelgood Factory's strategy to achieve these obje¢tives has been by means of a variety of actAiibes and
services held both wlhin the purpose-built healthy living ¢entre and as outrea¢h'seNi¢es in the ¥MdeT communty.
The Charity ha5 continued to lease office space to other organt5ations and hire rooms and farilitie5 on a day or half
day basis.
AchS•vements and pèrfomiance
The Feelgood Factory provides serwces for the whole of the communrty from childhood to old age in order to
promote heatth and wellbeing in the most holistsc way possible. During ihe year our range of $orvi¢es has included."
Advi¢e and infornab'on seNKe5
Heathy living activitie5 lor the whole co¥nmunity that concentrate of physical exercises and food and
nutrition
Breast feeding sUPPOrt
Mental health activib.es induding a drop-in to support people wrth more severe and enduring mentsl health
Issues and programmes to promote 9oo¢J mentsl health
Communty services project which provides a range of pract￿1 seryices to help older people Stay safe and
well both by providing support in their own home and through aclivrties in the Centre
A Community garden
Due lo Ihe global Coronavirus pantleM￿ our nomial a(*vib"es had to be reduced in numbws at times. Services
included..
Advice and Information
The Feelgood Factory ha5 continued to provide the m•n infomiation and advKe servir* in Ihe ¢entre of Netherton.
Our eentre and its staff have provided key infornation about local and national seNees and heamh and wellbeing to
local people. We also provide a'community computer hub.

NETHERTON FEELGOOD FACTORY
TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Healthy Living Activities
We have provided a range of èclivities aimed at providin9 health and wellbeing. These have included exercise
classes such as Zumba. Pilales. Line Danung and Aerob*s as well as a genefal health programme, Steps lo
Health, and a vanety of food and ftUtrrt￿n Pfogrammes
Brest Feeding Support
This programme trains volunleets to act as peer mentots for Icrtal mothers who wish to breasrfeed. It also runs
support group5. Overall the programme helps lo promote the health of mothers and babies and F￿vided education
about the wider benefits of bTeasrfeeding.During the year we have devdoped programmes aimed at helpng parents
wlh their mental wellbeing. including a group Nn in pathetship ￿ PANDA Sefton.
Mental Health Projects
The Drop-ln for people th more severe and enduring mental heatth problems. has continued to operate twice
weekly In Nelherton and Lina¢re_ We have also conbnue(I lo prowde more general wellbeing SUPPOrt sessKsns. in
particular Think DifferentFy. Cope Drferentty and Bereavement Support. and some one-to-one sessions Our
programme to support people experiencing loneliness has also continued to grow and now includes a belriending
seNice and a range of groups and activitie5 in¢ludin9 Good Aftemoon Social. Crafting. Creabve W(rting and
Feelgood Learning.
There were 2.049 attendances at programmes aimed at improving physul health throughout exercise
There were 1,352 attendance5 at sessions to promote mental wellbeing and alleviate loneliness
Nethtrrton Community Garden
The Nelherton Communty Garden has developed very well and contsnued to produce food for the community as
well a5 some social inteiactive for volunteers.
In response lo Ihe paftdem￿ the Feelgood Factory moved some support services online and increased out practical
support in the communty.
In particular we..
Undertook over 954 shops for vulnerable people
Undertook gardening work for 280 gardens for vulnerable people
Distributed 4,000 frozen meals to families in need
Distributed 6,000 pan¢akes and c¥umpels to tsmil*s in need
Donated Christmas Dinner hampers to 30 families
Donated essentia5 food hampers to 220 faMil￿S
The Feelgood Factory ￿ntinUeS to depend for the achievement of its objectNes upon support of a range of partner
organisations and upon the hard work of rts stsff and volunteers.
Finan¢lal r9VigW
As wrth many other charitie5 the pandemic caused disruption to actTvr(ies in the building {athough services carried
on ancj most support programmes became virtual N telephone sUPPOrtI and meant that the proposed budgEt and
fundraising strategies for 2020-2021 had to tse revised and kept under constant review, wth the Finance Committee
meeting monlNy in order to achieve Ihis.
Income was lost through cessation of room hwing. the loss of tenants and the loss of fees and dorotions for
service5.
AS * 31 March 2022, the Charrty had reserves of £6B2.744 {2021.. £754.1331. Included wthin these ￿SeNe5 are
£105.587 12021 £103.923) of reslncted funds (see note 20) and £101,459 12021.. £106,412) of designated fvnds
(see note 211. Included wlhin unrestn.cted reseThes are fixed assets totalling £496,833 12021. £571,206). These
funds can only be iealised upon sale of these assets. The Charity had free ol £rtil12021." £nill.

NETHERTON FEELGOOD FACTORY
TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
11 is the policy of the Charity that unreslrieted fvnds wfiich have not been designated for a spec￿¢ use should be
maintained at a level equivalent to behveen three and six month's expertdrtu￿. The trustees consider that reserves
al this level will ensure that, in the event of a ￿gnificant drop in funding. they wll be able to continue the Charity's
CUTrent acts'vilie5 while consideration is given to vAys in which additi.onal lunds may be raised. This level of re5erve5
has been maintained throughout the year.
Investment Policy and Retums
Trustees make all decisions about investments and reeewe ffjgular financial reports from the Finance Sub-
Committee detailing the financial poth.on of the organisation.
Risk Identification and Management
The Board have ￿entified the main areas of risk as Ihe costs attached to running and maintaining the building. The
risks have been minimised through monitoring the extent of dependence on particular donors.
The Board has a wde range of lunding sources to minimise dependence on any one source.
A set of financial regulations exists which specfy the cheque s￿n￿orieS and theK ddegated authority levely. Two
signatories, one Of whom musl be a board member, must Sign eath cheque.
A compLrterised finanoal management system fulty operational and a system to maintain the highest stsndards ol
finanaal management is in place.
Structure, 9ovemance and mana9ernent
The Chanty is a ¢harilable ¢ompany limrted by guaranlee and not having a Sha￿ caprtal. The comp*)y is règistered
in England and wales, No.. 3614799. The pn'ncipal goveming document is the company Memorandum and Articles
ofAssociation. The Charity 15 registered ￿th the Charity Commission. No.. 1074508.
The Trustee, who are a150 the directoTr for the purpose of company bw. and who served during the year and up lo
the date of signature of the financial stslements we￿=
Mr L P James (Chair to 27th septeM￿r 20211
Mr W G Penney (Chair from 27th September 2021)
Mr M Buxton
M5 L CIu5key
Mr D Cummins
Mr J Flynn
M5 L M Glenn
Ms U Ingham
Mr G Loughlin
M5 H Martin
Ms M MGEllenborough
The Charity is govemed by its Board of Directors wtho. as Trustees of the Chartty, are responsible foi setting the
strategic direction of the organisation and for estsblishing poliq. The Board meet$ monthly and dekgates day-l
day management to the Chief Executive. Sandra Duncan, vtho leads a staff team wth specrfic a￿aS of
sponsibility. Written finawal and progress reports are provided in advance of the Board Meetings. There is a
Finance Sub-committee that have delegated authorrty ano written terms of reference.
TnJstees are nominated an¢1 elected by Feejgood Factory members. New Trustees are inducted into their new role
by way of fonnalised information aboLrt the role of a trustee and about Feelgood Factory.
A mmbership ￿gIster is heltj by the Company Secretsry. One third of Trustees w?11 normalty retire eath year and
are eligible for T￿le¢t￿on at theAnnual General Meeting. At 31 14larth 2022 there V•we 21 members.
Trustees are appointed in accordance %wth the Company's Memorandum and Articles of As50ciatson. The Trustees
have assesse¢J the major risks to which the Chty is exposed. and a￿ satisfied thai systems are in place to
mitigate exposure t the major risks.

NETHERTON FEELGOOD FACTORY
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Employees
The organisation had 12 member5 of staff at 31 March 2022.
The Trustees. report was approved by the Board of Trustee.
MrWG Penney
Trust99
hairl
12 September 2022

NETHERTON FEELGOOD FACTORY
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEE OF NETHERTON FEELGOOD FACTORY
I report to the Tru51ee on my exaThMnation of the financial statements of Netherton Feelgood Factory (the Charity) for
the year ended 31 March 2022.
Re$pon$ibilities and basis of report
As the Trustee of the Charity land also its directors for the Pufposes of company lawl you are resp)nsible for the
preparation of the financial statements in a￿rdance with the ￿qUIrements of the Companies Acl 20C6 (the 2006
Acll.
Having satisfied myself that the financkil statements of the Charty are not required to be audit8J under Part 16 01
the 2006 Aet and a￿ eligible for independent examination, I report in respect of my eXaMinat￿n of the Charity's
financial slalemen15 carried out under Section 145 of the Charib"e5 Act 2011 (the 2011 Act). In carrying out my
examinakn.on I have followed all the applicable Directions gNen by the Charity Commission under section 145{51{bl
of the 2011 Act.
Independent examinerfs statement
Sin¢e the Charity's gross income ex¢eeded £250.WO your examiner must be a membef of a body listed in sects'on
145 of the 2011 Act. I confirm that l am qualified to Ltndertake the examination because l am a member of, I￿1¢h is
one ol the listed bodies.
I have Completed my examination. I confirrn that no matters have come to my attent￿n in connection with the
examinatK)n giving me Cause to believe that in any material respect".
accounting records were not kept in respect of the Charity as required by secth)n 386 of the 20￿ Act., or
the finan¢ial statements do not accord wth those re¢ords". or
the finanrjal statement5 do not comply wrth the accounting requirements of section 396 of the 2006 Act other
than any requirement that the accounts give a true and fair view which is not a matter considered a5 part of an
independent examinatKJn' or
the financial slalements have not been p￿pa￿d ￿ accordanee with the methods and principles of the
Statement of Recommended Practice for accounting and ￿porting by charities applicable lo charities
preparing their accounts in accordance ￿th the Fina￿1￿ Reporting Standard appli¢able in the UK arnl
Republic of Ireland IFRS 1021.
I have no concerns and have come across rKJ olher matters in connection the examinat*)n to which attentson
should be d
this report in order lo enable a proper understanding of the financial statements to be reached.
Helen Furlong FCCA
Mcknntocks INWI Limited
46 Hamihon Square
Birkenhead
Wirral
Meiseyside
CH41 SAR
Dated: .￿... Cy . .

NETHERTON FEELGOOD FACTORY
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITUREACCOUNT
FOR THE YEAR ENDED 31 MARCH 2022
Current financial year
Unrestri¢t•d Unrestricted Restricted
funds
nds
fvnd$
general d•signated
2022
2022
Totsl
Total
2022
2022
2021
Not•s
nco
ande
do
Donations and legacies
Charitsble a¢livilies
Other trading activities
Investments
Other incoTne
97.181
5.336
11.751
12,399
13,970
272.185
543
117,960
339.992
10,541
10,440
5.787
277.521
12,294
12,399
1,266
Total income
127.933
286.698
414.631
484,720
Raising funds
3.223
3.223
3.011
Charitable aclivth'es
243,364
239,433
482,797
547,155
Total expenditure
246.587
239,433
486.020
550,166
Net loutyoing)fincomiDg w•sour￿5 b•for•
Iran$fers
1118.6541
47.265
171.389)
{65.4461
Gross transfers betsveen fvnds
13
50.554
14,9531
145.6011
Net lexpenditureyincome for the yearf
Net movement in fvnd$
168,100)
14,953)
1.664
171,389)
{65,446}
Fund balartces al 1 April 2021
543,79B
106,412
103.923
754.133
819,579
Fund balances at 31 March 2022
475.69B
101.459
105,587
682.744
754.133
The $tslement of financial ad1vrt￿s includes all gains and losses recognised *i the year.
All income and expenditure derive from ¢ontr"nuing adivrtie5.
The statement of finanual activit￿$ also comWbes the requirements for an income and expenditure account
under the Companies Act 2006.

NETHERTON FEELGOOD FACTORY
STATEMENT, OF FINANCIAL ACTIVITIES (CONTINUED)
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2022
Prlor flnan¢lal year
Unrestricted Unrestricted RestrKted
lunds
funds
funds
general designatsd
2021
2021
Total
2021
2021
Donations and legacies
Charitable activitses
Other trading 3th"vth"es
Investments
Other income
117,459
87.821
9,985
10.440
5.706
501
252,171
556
117,960
339,992
10.541
10,440
5.767
61
Total income
231.411
253,309
484,720
Raising funds
2.890
121
3.011
Charitable activities
337,775
209,380
547.155
Total •xp•nditurn
340.665
209,501
550,166
Net loutyoingifincoming resourc•s belort trnnsf•rs
(109,254}
43,808
165,4461
Gross transfers between funds
13
(14.6841
7.410
7,274
Net lexpenditureifincome for tho yearf
Net movement in funds
(123,9381
7.410
51,082
165.4461
Fund balances at 1 Aprl 2020
667.736
99.002
52,B41
819.579
Fund balancgs al 31 March 2021
543.798
106.412
103,923
754.133

NETHERTON FEELGOOD FACTORY
BALANCE SHEET
AS AT31 MARCH 2022
2022
2021
Fixgd asséts
Tangible asset5
14
496,833
571.206
Currnnt ass•ts
Debtors
Cash at bank and in hand
15
45,560
158.169
87.449
152.427
203.729
239.876
Creditors: amounts falling due within
on• y•ar
16
117.818}
I￿.949)
Net current assets
185.911
182,927
Totsi •$sets less current liabilities
682,744
754,133
Incomè funds
Restricted fund$
Unrestricted f
Desi9naled funds
General unrestricted funds
18
105.587
103.923
19
101,459
374,239
106.412
437,386
475.698
543,798
682,744
754,133
The company 15 enlilled lo the exemption from the audit requrement contained in section 477 of the Companies A¢1
2006. for the year ended 31 March 2022.
The directors acknowledge their responsibilibes for complying wrth the requirements of Companies Act 2006
with respect to accounting records and the preparation of finanoal statements.
The members have not required Ihe ￿mpaTry to obtain an audit of its financial $tstements for the year in qUest￿n in
accordar*ce wth section 476.
These financial statements have been prepare(l in accordance ￿ the Pfovigons applicable to Companies subject
to the small companies regime.
Th finanrjal s
ments were approved by the Trustee on 12 September 2022
Mr W G Penney (Chair)
Trust•¢
Company regi$tratlon nmbgf 3614799

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
Accounting policies
Charity inforniltion
Netherton Feelgood Factory is a private company limited by guaranlee incorporated in England and Wales.
The registered Offi￿ Is Glovers Lane. Netherton. Liverpool, Merseyside, L30 5QW.
1.1 A¢c¢unting ¢onv•ntion
The finan¢5al statements have been prepared in accordance Iwth the Charity's Igoveming documentl, the
Companies Act 2006, FRS 102 'The Finanual Reporbng Standard applicable in the UK and Republic of
Ireland. I'FRS 1027 and the Chantses SORP "Accounting and Reporting by charit￿5. Stslemenl 01
Recommended Prathce applicable to charib.es prepanng their accounts in accordance wlh the Financial
Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021" leffectNe 1 January 20191. The
Charity is a Publi¢ Benefft Enlty as defined by FRS 102.
The Charity has tsken advanlage of Ihe provisi¢)ns in the SORP for charities not to prepare a Statement of
Cash Flows.
The financial slalements are prepared in sterfing. wthich is the functional currew of Ihe Charity. Monetary
amounts in these finanual statement5 are rounded to the nearest £.
The financial statements have been wepared under the htstori¢al Cost ¢onverhbon. The principal accounting
policies adopted are set out below.
1.2 Goin9 coiicern
As wth many other charities the pandemic caused dIsrupt￿n lo actiwties in the building lallhough services
carried on and m05t 5UPPOrt programmes became virtual or telephone support} and meant that the proposed
budget and fvndraising Strategies fry 2021-2022 had to be revised and kept under constant review.
The Charity ha5 continued to receive grants for services from the gTant prowders and has seen a large
increase in demand for the shopping y4uad seNi¢e. Thus the Trustees continuè to adopt the going cortem
basis of accounting in preparing the financial ststements.
1.3 Charitable funds
Unrestricted funds are available for use at the discretion of the Trustee in fvrtheran¢e of their charrtable
oty"ectives.
Designated funds comprtse unreslricted fijnds that have been set aside by the Trustees for a particular
purpose. The aim and use of each of desrynated fund is set ¢￿rt in the notes to the financral 51aternents.
Restricted fund5 are are funds which are to bè used in accordance specrfic Te5trictions imposed by
donoTS or which have been raised by the charrty for particular purpose5. The purposes an¢J uses of each
restricted funds are sel out in the notes lo the finanaal statements.
1.4 Income
Income is Tecognised vthen the Chwity is legally entitled to it after any perfomiance condrtions have been
met, the amounts can be measured rel*bty. and is probable that income wll be received.

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Accounting policie5
(Continued)
In¢ome from donat￿n$ and grants. indLKling capital grants. is included in incoming re$ource$ ￿en these are
receivable. excepl as follows..
lthen the donors spe¢ify that donations and grants given lo the Charity musl be used in future
accounting periods, the income is deferred unlil those periods.
en donors impose conditsons which have to be fvffilled before the charity becomes entitled to such
income, the income is deferred and n¢X i￿1￿￿ed in incoming resources until the precondtti'ons for use
have been met.
When dongrs specfy thal donations and grants, including capital grants. are for restricted purposes, which do
not amount to preconditions regarding entrtlemenl. this income is included in incomin9 resources of the
restricted fvnds when received.
Voluntsry income induded disuetionary rants for projècts, goods serv￿e$ where no service ¥g￿ement or
onlract exists.
Other gran15, whieh have particular service requirements and which are piovided in accordance with a
contract or Service level agreement are induded in the Statement of Financial Actiwtie5 under the heading
IrKome Re$our¢e$ for Charrtable A¢tNrties.
Interest is included when received by the Chanty.
Legacies ale recognised on receipt or othen*ise rf the Charity has been nolified of an impending distribution,
the amount 15 known, and receipt is expethd. If the arnount is not known, the legacy is Irealed a5 a
¢onlingent asset.
1.5 Expenditure
ExpenditLtre reflects all amounts paid and accnRd during the year. Expenditu￿ includes VAT which cannot be
recovered, and is reported as part of the expendrture to which it relates. All costs are allocated betsveen the
expenditure categories of the Ststement of Financial Activitie5 (SOFA) on a basis designed to reflect the use
of the re$our¢e. Where Cosls ¢annot be diredy attributed lo partivJlar headings they are allocated to activities
on a basi$ consistent the use of the resource.
Charrtable expenditure comw5es those costs incjjrred ty Ihe Charity in the delivery of its activrties and
service5 for its benefirAarie5. 11 includes both cosis that can be alhxated directly to such activtties and Ih05e
Costs of an indirect nature necessary to support them.
1.6 Tangible fixed assets
Tangible fixed assets costing more than £1,000 are captslised al cost.
The cost of tangible fixed as$els includes onty expendituTe in¢urred in bringing the asset into WC￿kIng
condition for their intended use. Depreciation is pro￿ded lo write each assel off over ils expected usefvl life
using the followng rates and methods..
Leasehdd land and buildings
Building equipment
Fixtures, fith'ng$ & equipment
Computers
4% on Cost
15% on cost
Betsveen 15%-30% on cost
Beknn 33%-50% on ¢0
The gain or loss arising on the disposal of an asset is detemiined as the difference between the Sa￿ proceeds
and the carrying value of the asset, and is iecognised in the statement of financial activities.
10-

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Accounting policie5
{Continugdl
1.7 Impairment of fixed a$$8ts
At each reporting er￿ date, the Charty reviews the carrying amounts of its tangible assets to determine
ether there is any indication that those as5els have suffered an impainnent loss. If any such Indration
exists, the recoverable amount ol the asset 15 eslimated in order to detennine the extent of the impaiment
loss (il any).
1.8 Cash and cash •quival•nts
Cash and cash equivalents include cash in hand. deposrts held al call with banks, other short-term liquid
investments wth original maturities of three months or less. and bank overdrafts. Bank overdrafts are shovm
thin borrowngs in current liabilrf*s.
1.9 Finan¢lal in$twm?nts
The Charrty ha5 elected to appty the provisions of Seth'on 11 'Basic Financ￿1 Instruments, and Section 12
'Other Financial Instruments Issues, of FRS 102 to all of its finanaal instruments.
Financial instnjments are wognise¢J in the Charrty's balance sheet when the Charity becomes party lo the
¢ontractual provisions of the Instrument.
Financial assets and liabilibes a￿ offw. the nei amounts presented in the financial statements, when
the￿ is a legally enforceable right to sel off the ￿COgnised amounts and there 15 an intention to settle on a nel
basis or to realise the asset and setue the liabAity simultaneoLbsIy.
Basic fiTnan¢ial assets
Basic financial assets, which include debtors and cash and bank balances. a￿ inrtialty measured a
transaction price including transaction costs and are subsequently carried at amortised cosl using the effective
inlere$t method unless the arrangemenl ¢onsb"tutes a finanring transacts"on, Whe￿ the transa¢tton is
measured at the present value of the future receipts discounted al a market rate of interest. Financial assets
classified as receivable v￿h1￿ one year are not amortised.
Basic fmanclal liabilities
Basic finan¢ial liabilibes, including ¢redfftJrs and bank loan5 a￿ initialty recogni5ed al transaction price unless
the a￿angement ¢onstitutes a finanong transadion. vhbere the debt instrument is measured al the present
value of the future payments discounted at a market rale of Inte￿51 Fmianaal liabilrties dasslfied as payable
wrthin one year are not amortised.
Debt instruments are sub5equentty carried at amortised cost. U￿ng the effective interesl rate method.
Trade credrtors are oblig3lions lo pay for goods or services that have been acquired in the Ordin￿ course of
operations from suppliers. Amounts payable are classified as current liabiliti'es if payment is due within one
year or less. If not. they are presented a5 non<urrenl Irabil￿e5. Trade creditors are recognised initially at
transacb.on pr￿ and subsequently measured at amortised cost using the effective interest method.
Derecognition of financialliath.lities
Financial liabil"rties are derecognised when the Charity's contractual obligat￿S expire or are discharged or
cancelled.
1.10 Taxation
The Charity benefits from various exemptions from taxation afforded by lax 1*gislakn"ty) aThJ is Th)t liable lo
corporation tax on income and gains falling vthhin those exemptk)ns.
The Charity is not able to fecover Value Added Tax. Exper#Jrture 15 recorded in the financial statements
inclusNe of VAT.
11

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATENIENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Accounts-ng policiès
IContinued}
1.11 Employee benefits
The cost of any unuse(1 holiday entlyer￿n¢ is recognised in the period in which the employee's services are
' received.
Termrnalion benefits are re¢ogftised immedL4tety as an expense when the Chanty is demonstrabty ¢Dmmitted
to teminate the employment of an employee or to provide temiinab.on benefrts.
1.12 Retlrement bènefits
Payments lo defined ¢ontrthJtion relirement benefil ￿leMe$ a￿ charyed as an expen$e as they fall due.
rltlcal accounting estimat•s and judgemonts
In the apph'Cal￿ln of the Charty's ar￿U￿ting polrcres, the Trustee are required lo make judgemetrts, estimates
and assumptions about the carrying amount of assets and liabilities that a￿ not readily apparent Irom other
sources. The estimates and associated assumptions are based on historical expenence and other factor5 that
are considered to be relevant. Actual results may dffler from these estimates.
The estimates and UAderfying assumptions are reviewe¢J on an ongoing basis. Revisions to accounting
estimates are recognised in the period in which the esth.mate rs rewsed where the revision affects only that
period, or in the period of the rewsKJn and future periods where the revision affects both current and future
periods.
Donations and ltyaci•s
Unrestricted Restricted
funds
funds
general
2022
Totsl ' Unrestricted
funds
general
2021
Restricted
funds
Total
2022
2022
2021
2021
Donations and gifts
Grants receIva￿e
49.891
47,290
905
13.065
50.796
60.355
25,291
92,168
501
25.792
92,168
97.181
13.970
111.151
117.459
501
117,960
Grants re¢eivable for
core adivlties
Comic Relief
Community Foundation
The Henry Smith Charity
The Big Lottery
Postcode Neighbourhood
Sefton CVS
Liverpool CVS
Sefton MBC
31,100
5,OtM)
25.000
31,068
31,100
5,000
25,000
31,068
2,600
25,000
2.600
25,000
19.690
19,690
10.650
1.500
915
10.650
1,500
915
47,290
13.065
60,355
92.168
92.168
12-

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS ICONnNVEDI
FOR THE YEARENDED 31 AIARCH 2022
22
2422
2021
2021
PerfoFm•ictr*oled gr4nts
Z48,456
277.521
35.214
47,847
256.931
339,992
byfu
Unre*nct8d fund$. yner*
Restd¢￿I fiJnd5
620
25.445
4.716
243.740
5.336
272.185
35.214
27,5
2Q.347
2S,107
231,824
87,821
248.456
277 $21
35.214
47,817
286.931
339,992
Perfornance r•Litsd
sieve Moryan FouThlatKD
Sefton M8C
spr￿ Englan
Comc Rtlel
NHS South SeftM CCG
NHS Southpryt & Fcrfrnby CCG
L309
N¢rthWes18¢rwqh5
Sefton CVS
VCF c￿nC￿ Fund
Cfyc
1.667
3,333
23,(
4.716
125,DOOI
5,1071
2S.107
2Q,347
12.175
9.565
12.795
9,565
9,565
B,084
40.ty)0
162.WO
28.547
140,OODI
162.IMhl
I62.￿
10.955
4.167
10.9$5
248.456
277.521
35.214
47.B47
256.931
339.992
13-

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Other trading activities
Unrestricted Restricted
funts
funds
gen•ral
2022
Totsl un￿sIn.cted Restricted
fvnds
fvnd$
general
2021
Total
2022
2022
2021
2021
Fundraising events
11.751
543
12,294
9.985
556
10.541
Investments
Unrestrtcted Unrestricted
funds
funds
general
general
2022
2021
Rental in¢ome
12.399
10,440
Oth¢r in¢¢)me
Unrestricted Unrestn'cted
fvnds
fvnds
99neral
general
2022
2021
Restn'cted
fvnds
Total
2021
2021
Extem31 training
CJRS Granl
81
81
5.706
1.266
5.706
1.266
5.706
81
5,787
Raising funds
Unrestrictsd VA￿str￿￿ Restricted
funds
fvnds
funds
general
general
2022
2021
Totsl
2021
2021
Other fundraising costs
Support costs
468
2.755
134
2,756
127
255
2,756
Fundraising and publioty
3.223
2.890
3,011
3.223
2.890
121
3.011
14-

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Charitable activities
Publi¢ Education
Benefit
2022
Quallty of Health and
Life Wellbping
2022
2022
Tolal
2022
Totsl
2021
2022
Staff costs
Premises and other costs
Office costs
65.489
56.031
12,015
4.703
4,515
371
165.809
52.372
2.004
236.001
116.238
14.516
324,497
48,761
57,827
3.320
126
133,535
9.589
220,185
366.755
431,065
Share of support costs {see
note 101
Share of goveman¢e costs
(see note 10)
94.291
4.487
2.362
9.841
110.981
110,989
S.C61
5.061
5,081
232.887
7.933
11.951
230.026
482.797
547,155
Analysis by fvnd
Unrestricted fvnds-
general
Restricted funds
204.034
28,853
7,933
4,494
7.457
26,903
203.123
243,364
239.433
337.775
209.380
232,887
7,933
11,951
230.026
482,797
547,155
For the year ended 31 March 2021
Public Education
8ènefft
Qualty of Health and
Wellbeing
Totsl
2021
Staff costs
Premises and other costs
Office ¢ost$
75,197
40.244
24,899
53,792
111
2.331
195,508
7,986
30,402
324.497
48,761
57.827
420
195
140.340
615
56,234
233,896
431,085
Share of support costs (see note 10}
Share of govemance Cosls (see note 10)
94,296
5.067
4,488
2,362
9,843
14
110,989
5,081
239,703
5,103
58,596
243,753
547,155
Analysis by fund
Unrestncted funds- general
Restricted funds
239,703
615
4,488
54,236
4.360
43,221
200,532
337,775
209.380
239.703
5,103
58,596
243.753
547,155
1s-

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Charitable •ctlvili8s
(Continued)
10 Support ¢o$ts
Support Gov8mance
Costs
costs
2022
Support Governance
costs
costs
2021
Staff costs
Depreciation
39.362
74.374
39.362
74,374
39.371
74.374
39,371
74,374
Accountancy
Lpgal and profess￿nal
3.900
1.161
4,746
335
4,746
335
1.161
113,736
5.061
118.797
113.745
5,081
118,826
Analysed between
Fundraisin9
Charitsble actiwties
2,755
110.981
2.755
116.042
2,756
110.989
2,756
116,070
5.061
5,081
113,736
5,061
118.797
113.745
5,081
116,826
CEO'5 salary is ajlocated followng an assessment of the time spent in moniloring and supervising front line
stsff and for running ath"vrties herself.
Depreciation is alkxated to Public Benefft as all acbvities are funded from ￿stn"cted funds.
The majority of governance costs are albts¢ated to Pul￿1¢ Benefit as all other activities are fvnded by restricted
funds wth the exceptr'on of subscriptions vthich are alocated based on vthich acb.vity incurs the cost.
Govemance costs include payments to the IrKlependent Examiner of £3.90012021..£4,746}
11 Trustee
None of the Trustee lor any persons connected wth them) received any ￿mUneratIon or benefits from the
Charity during the year.
12 Employees
The average monthty number of employees during year was..
2022
Number
2021
Number
Charitable adivrties
Adminislralion
11
Total
14
16
16-

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
12 Employoes
{Continuedl
Employment costs
2022
2021
Wages ant1 salaries
Social security ¢osls
Other pension costs
249,783
14.929
10.651
328.155
21,589
14.124
275,363
363.868
There We￿ no employees vthose annual reMufterat￿n was more than £60.000.
13 Transfèrs
Tran$f8rs
Transfers relate to a proporb'on of the ovethead costs charged to the indNidual projects (see note 211.
During year. the redundancy reserve VRS ￿¢￿ased to rellect stsff ¢hanges during the year I see note 22).
14 Tangiblg fixod assots
Leasehold
land and
buildin
8uildiThJ
Fixturns.
fitbngs &
•4uipm•nt
Total
Cost
Al 1 April 2021
1.831.596
90.172
31.363
26,034
1,979,165
Al 31 March 2022
1.831,596
90.172
31.363
26,034
1,979,965
Depreciation and impaimient
At 1 April 2021
Depreciatson charged in the year
1.261.499
73,264
90.172
31.363
24,924
1,110
1,407.958
74,374
At 31 March 2022
1,334.763
90.172
31.363
26,034
1,482,332
Carylng amount
At 31 March 2022
49S.833
496,833
At 31 March 2021
570.096
1,110
571,206
During the year part of the lease￿)1￿ property was ￿nted out by the Charity to other charrtable organisations.
The fair value of ttrus compmenl part of the property cannot be relrabty measured wrthout due cost tj the
Chanty
17-

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
15 D•btors
2022
2021
Amounts falling due within on• year:
Trade debtors
Prepayments and accrued income
41,067
4,493
82,096
5.353
45.560
87,449
16 Crnditors: amounts falling due within one year
2022
2021
N¢)ts$
Other taxation and social securty
Government grants
Trade creditors
Other creditors
Accrua15 and defe￿ed income
4,281
5,959
36,955
4,995
4,294
4,746
17
8.320
1,317
3,900
17,818
56,949
17 Govemm¢nt grnnts
Deferred income is included in the financial statements as follows."
2022
2021
Deferred income 15 induded wthin:
C￿r￿n1 liabilrties
36,955
Movements in the year..
Deferred income at 1 April 2021
Released from prevK>us period$
Resources deferred in the year
36,955
(36,9551
36.955
Defer￿1 income at 31 March 2022
36,955
18-

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2022
11 Restrkl•dh￿th
Mov•n•nt in fvnds
1Aw4 alll
31 M￿chIDI2
HeaRhy Liwtl9Centre
4B.110
3,19
13.181
111.6201
162.D5B
20.347
40.WD
138.$27
Q8.24$1
43.396
16.5BZ
16.n3
27.222
182.wo
132.8521
202
110.0001
P.9111
$0.547
116.7B41
Breasiieedity SLVPXiSe
lunds
47.200
57.498
26.192
28.848
35.$45
43.491
152.9611
5Z,N1
2￿.309
2C8.501
7.174
103.923
206.698
1239.4331
105.557
The Heatthy Lwhig Centre woprtprryites a*id2
The Comic Relef funding ￿ lo de¥eW aywry ptopus to e￿e rayer rwlE to xbvily. ￿0k￿l9 a di￿ete￿8 to thwr
u￿rt￿9 irteractifs *ithtr*Y pe*s.
Induded Inoiherknys are Oiop ￿ aTrJ GaFdenPrcpcts.

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
19 Do$ignated lunds
The Nicome funds of the charity indude the foll￿9 deS￿nated funds vthich have been set a5KJe of
Un￿strICted furKls by the trustees for speufi¢ pU￿0$es..
Balan￿ at Transfw5
1 April 2020
Balanu at
l April 2021
TTan5f•r5
8alance at
31 March 2022
Redundan¢y Reserve
Maintenance Fund
84.602
14.400
7.410
92.012
14,400
{4,9531
87.059
14,400
99.002
7,410
106.412
(4,9531
101.459
The Redundan¢y Reserve ha$ been desgnated lo cover Ihe costs of redundancy payments should th?
organisation cease to operate.
The Maintenance Fund ha$ been designated to cover the ￿gOIng regular bLrt infrequent costs associated with
the maintenance of the building.
-20-

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDEO 31 MARCH 2022
20 Ar￿tyth at
Tcthi
fvr
2072
fund*
2021
fund$
2021
tund5
2021
2ts22
2022
2021
at 31 Marth 2022 r*e rewe*th*
Tangible asset5
496.833
121,135>
496.833
571.2(6
182,927
571.20S
182.927
101.4
1O5.$87
47S.698
101.4$9
105.$87
602.744
751.133
751.133
-21-

NETHERTON FEELGOOD FACTORY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
21 Operating 18ase ¢ommitments
At the reporting end date the Charity had outstanding cornmitments for future minimum lease payments under
nonthcancellable operating leases. which fall due as follows..
2022
2021
Within one year
Befv￿n tsvo and five years
2.474
8.028
6,259
2.704
10,502
8,963
22 Related party transactior
Remuneration of key management personnel
The remuneration of key management personnel is a$ folbws.
2022
2021
Aggregate ￿mpenSatiOn
35.788
35,78B
Induded 4Mthin donalKJns gffts a￿ donab.ons from trustees and Key management personnel lotslling £195
{2021'. £2051. There We￿ no other dis¢bsable related party transactions during the year12021 - none)