Charity registrntion number 1078607
Company reglstratk>n number 03141290 (England and Wales)
THE HOPE FOUNDATION LIMITED
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2022

THE HOPE FOUNDATION LIMITED
LEGAL AND ADlJtINISTRATIVE INFORMATION
Mr P J IAfjnslone
Mr J Keamey
mtsLPSo￿t
DrA Knight
Mr G R(yJgers
{Apry)inted 22 Marth 20221
Chlof Exocutfve
Mrs S Keamey
Secretary
Mr J Keamey
Charlty number
1078607
Company nurnbor
031412
Registered office
Hcpe Hc￿e
1 Grange Ro*
Middlesbrough
TS1 SBA
Independent examlner
DaviesTracey
Swan House
Teesdale Business Park
Stockton on Tees
TS17 6BP
Bankers
Bardays Bank p
Unit 1 Centre Mall
The Mall
Middlesbrough
TS12NR

THE HOPE FOUNDATION LIMITED
CONTENTS
Independent examinerfs repcwt
ststement of financial •*vibes
10
Balance sheet
11
Statement of cash IIchV5
12
Notes to the financ￿1 ￿rnents
13-24

THE HOPE FOUNDATION LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 JULY2022
Th8 trustees present their annual rewrt and ffin￿￿￿ stat￿ents for the year ended 31 July 2022.
The finana81 slatements have been prepared in actordanee with the a¢￿Unting polic¥e$ set out in note 1 to the
finanaal ststements and comply ¥￿th the charitys m￿Orandum and Artide8 of AssocAation, the Companies Act
2006 and 'Ar£ounting and ReF(JrtiThJ ty Charities.. Statement of Recommended Practice appli¢able lo charitie
preparing th*r aecounts in accordance with the Financi￿ Re￿tIng Standard applicabte in the UK and Republic of
Ireland (FRS 1021. {effective 1 January 20191.
Oblecttves and actlvltles
Purposes and Alms of The Hope Foundatlon
From the Charities commi￿￿ GovemirKJ Do(JJmert
The advancemont of education, thg provision of opPor￿nItIeS trairriThJ, the advancement of religion and the relief
of povety of persons on low income.
CharityAlms
The aim of the charity is reIieving FK)verty and helping provide hope and a purpose for local people. We do this by
improving th￿r identification of available oprxxtunthes, abilty to access them arKI supp)rt for them to ¥hiev8 their
goals and t￿ets in a supportNe enwronment
SpeufJG aims indude
raising as￿ratiOnS, motivation and partI￿pation in scoal. educationa and economic life
enabling peO￿e to address barr￿rS induding socia. psycMogul, personal and health ]SSL￿s
increasing skills and employabilty
encouraging the integration of all s8rtors of the C￿￿MUnty
redwng loneliness and isolation
Supporting people to progress inlo w￿. edU￿tion cf vdunteering
Helyng people develop ￿"r confidence in themsefves arhl their abiliiies
Prowding volunteering and wottt eXWien￿ opwrtunities
Working with a wide range of pathers to meet individual and C¥)mmunty need
b)
h)
This helps cr8at8 a saf8r and strcryer local communty, h8lpirwJ athJr8SS F4)V8ty, exdLEsion and disa0￿nIaga for
local residents.
This year has been part[￿JIarfY challenging due not only ccffling out of Cowd but also the $thation Vdith fuel and
tood povety. Thè oryanisation has shovm its fl￿bilIty and resilien¢8 in adapting and rèsponding to local naad and
the finanaal situation. ￿ have continued to achieve our aims adapb.ng our woth and methods of del￿ery to
continue to meel the Challenging and ¢hangirYJ b¢al neèj in a very drffi¢ult e¢onomt dimale.
Publi¢ benefit
In shaping our objectives for the year and planning our ath￿es. the truslees have considered the Charity
Commission's guidan￿ on put4ic benefft. Al *ork and ser￿￿ we carry out are for public benefft and the good of
our local o)mmunity. They are all to meet our aims and obJ￿￿ves.

THE HOPE FOUNDATION LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUEDI
FOR THE YEAR ENDED 31 JULY2022
Local Sltuatlon
Employment and Skllls
The ￿nsuS data shows that 29.9% of Middlesbrough residents have no qualifications against the rest of England
122.7%) V￿th 18.5% hawng an NVQ 4 or htgher against the national average 27.2%. 7.8% of local peoFAe have
never worked against the nati¢Thl average of 4.4% with 31.1% of Ioc21 residents In full time wotk, compared to
38.SOA nationally. None penworw households no vthers are 28.3% against the national average rf 16.1 %.
16.8% of working age people in Middlesbrough are INing ￿ a limth.ng long-lemi illness against the national
average of 13%.
Health and Wellbelng
Employment, sknlls and p)verty are imrwtant risk factors linked to health and wellbeing of Ioc31 re&dents (Director
of Heatth Report - mental heahh and emotional wdlbeing in Middlesbrough 20141151. Loneliness and isolaion are
issues. WHO defines mental heatth as the state of wellbeing in which every irKlividual realises his or her own
potentl81, can cope wth the rKJrnial stresses of life. can work productivety and frutifully and is alye to make a
contribution to ther communty.

THE HOPE FOUNDATION LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) {CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
Achlevements and perforniancg
Actlvltles. Projects and se￿Ces
The charity has continued to successfvlly devdop its worK ddivering Sery￿e8 that make a difference in, and as part
of, the Middlesbrough communty. By deliverirhJ ¢)ur services we directy impact identified local Is$￿ in the 6th
most deprived area in the county (index of Multi Deprivation). We impact the index categories of Education.
skills and training (IMD score5 13.5%), income dewvation {IMD 22.5%). eM￿0YrneTrt deprivatK)n (22.5%). health
deprivation and disability (13.5%). barriers to housing and SeN￿S domain {9.3%}.
Our objectives are
to continually identty local need arKI facalrtate the delivery of appropriate seNces to meet that need. do
Ihat through our own ddivery, eolL8borab"on or swposthg to a wde range of partners ensuring we support
people approprtately and in a h(Ais*"c Wdy.
to meet the needs identified by enabling k)eal ￿SKIents to ￿eth3n1$e and have the support they require and
know how to achieve their aspirations. goals and targets in a safe and supwtve environment.
Over the yearwe had an average of 12 em￿oYeeS working on the tharitable activtbes. We are able to provide these
activities vAth financial support through tradtts'onal fundraigThJ, grants, contracts and service level agreements, as
well as working with partners and volunteers. The organisalion continues to work hard to be sustainable and
continue to respond lo the irKreasing and changing community needs and funding landscape which contnues to be
particularly challenging as well as the increased costs of slaff aTrJ F¥gmises.
Our current servIce￿aCtI￿tieS indude are not limited to:
11
Mlddlesbrough College
The H¢¥e Foundation delNer5 funct[On￿ skills qualtficatons from enty 1 to level 2 induding Maths. Englisfi and IT.
alongsKle lrfe skills around sorAal skills, ci)nfidence and ern￿oya￿lity. Our teaching approach k8 accessible and
provides leaming in a supportive way. The community are abk to take up opportunities to legm in a way that suits
them and in a space that suits them. The rna1￿1ty of this work is funde(I through TVCA from tho Adu￿ Skills Budget
as a subcontracaor of Middlesbrough Colleg
Achlevements In the year
We successfully adapted our detivery modd to be a Wd of fa￿ to face and online to meet the thanging needs
caused by Covid and the govemment restrictions. Although thi5 was drfficult for leamers and staff at the time this
model has eont.nued and has enabled u5 to provide a much more resp￿&Ve teathing modet and servsce.
delivered 301 courses in the academic year.
Th& key strengths of the delivery ar8
Very responsive staff team ￿th a cajtture of fflexibllty to make po80b.ve and tomdy changes to ensure 9ood
responses to C￿traI￿ and leamer needs. This was shchwn the move to online and blended delNery.
Th? quality of tho tsathirtg, ieaming and a$S￿M￿* s wy 9¢￿1 ond lewws (k) b￿afft from high axpeclations,
engagement, care, support and mottvation from the full staff team. This induded findirMJ devices aThJ data so that
learners were able to conts'nue their leaming during l¢xkdovm.
Management. 5y5tems and prc(es5e5 aTrJ qualrty starthrds are excdl*rt with vwy goc•J reports from exam boards
and extemal audts.
We have changed our exam tx)ard for the next ￿adeMiC year.

THE HOPE FOUNDATION LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
1)
use of
In
n and
Good Thlngs Foundation
We were able to distribute devic￿ and wuage learne￿ that V•ere most digI￿lY exduded wrth data support
provided through the databank.
NHS Project
In March 22 we started a project working wth the NHS frlolgate practi￿) to deliver a Survey to ithntify the barriers
for people using the online se￿￿ offered 1hrc￿gh the GP. A staff member WOTking 2.5 days a week to collect and
analyse the data as well as Support paiients lo leam to use the NHS for example to cider prescriptiorts and have
online consujtatffis.
Furbdlt
This project has gone strength to strength li this year as spwific staff have bèen employed to WC￿ on the
project wM.fvrbd"rt.org.uk
After suecessfully accessing support from the Communlty Fund have 1.5 slaff now to devdop this computer
recycling and distribution project and employ a Business Development Manager.
The projed is tacking digital eXdu$i￿ arKI digital irwualrty by collecting, refurbishing and then distributing
computers, phones labtels. printers.
A new partnership vAth The Untvergty of Tee￿de has resul￿ in fijrbdrt moving into the Launchpal which is an
entrepreneuria] communty helpiry start ups and fcyjnders of new bu￿nesses.
0ovl¢e Llbrary
We have formed a de￿ce lilxary which enables peOe to ￿[roW tsNets, lap tops and phones for specific purposes
s￿h 88 to do a cwrse ￿ ¢)thertime limited &tivibes. This is VAI UWJ.
miatlo
Our contract wlh Educational Development Trust (EDT) ermbles us to delNer thro￿ the govemmenys National
Careels ser￿￿. The service includes qualty workshops. 1 to 1 appointrnerrts and drop in support. This wntract is
Important in being able lo help link locJ people preparing for workiro lrfe arKI to address th8ir barriers, as well
as fvrther support into employment. trwning and vdunteering opportuntiies. The Servi￿ delNers in Middlesbrough
and in Grangetown to local residents. The contraci has been renewed in the year. In this contract staff provided
Servi￿ in drfyerenl ways due to covid and this has ￿ntinUed wth ddivery although mostty back kn lo face some
is also delIve￿d over the phone.
nts closer to
Ini
and vol
A lot of our work is to help progress indiwduals lo vthere they need to be. lo ac*ieve Iti￿r goal. The employabilty
support includes a CV workshop, woth club and wbercafé. Through 5UPWrt wth ba&c IT sknlls we heb with using
the intemet and applying for jobs and recordirg job searth acbvtty. ￿ have access to qualty LMI (Labour Market
In1611igencel and g)od local em￿￿0yer and training ddivery kn￿￿e(Ige. This V￿rk is supported through part5 of the
National Careers serm￿ and MMjdlesbro￿h Colkge contracts as V￿11 as Ihe cybercafé and volunteer support.
In thè year, from the people we have supportad these are the posltlv• progresslon outcomes.
On average leamers completed more than 2 cotffses with us
18% moved into employment
2% moved into volunteering
1% into HE and 19% into FE
We work %wth a wide range of ￿anISationS and the majority of our leamers continue to ¥￿Tk with other agencie8 for
more CoM￿eX Ilfe kssues while still workiThJ us. We are often part of a long joumey.

THE HOPE FOUNDATION LIMITED
TRUSTEES, REPORT (INCLUDING DIRECTORS, REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
The support of volunteers 1$ key to the Charity's day to day opefaticffls. Volunteers and work ex￿enCe
opportunibes are available in all areas of the delivery. This indude5 administration, reception, lutor support, café
support. work club delivery. dvjital skills and acbwb"es. Volunteers PrO￿de aclded value to all areas of our work and
helps us to be able lo deliver quality servi￿. Fof g)me this has prOV￿j to provide a pathway into employment. We
have fornial volunteers V￿th a number of reguLar days supporting the work that goes on. We also have infom￿1
volunteering OPPDrtunibes where peOe help on an ad hoc basis for exam1￿8 with handyman and garden roles
In the year we calculated volunteers WOTked 1.180 hcyjrs for the Charity. At a notional cost of £7.83 and £8.21 per
hour this equates to a contribubon of approximatety £9,500.
t encoura
rtici
on and reduce lon8liness and isolatlon
The Lottery sUpp￿e￿ Agelng Better Mlddlesbrough {A8M) pmject 0)M￿eted after 7 years in Marth 2022.
The project ha5 been workn.ng to reduce loneliness and isolab.on for people over 50 +.
Of the seven stsff employed we were abje to inLyJrporate 3 into our current
Over the year we have developed more social aCtiV￿eS through the volunteer support. Wth Support through
Middlasbrough Councll and Darllngton Bulldlng Soclety we have been able to set up groups and provide tea
and wffee as well as meals to help make a difference for peoFde struggling. We have also sel up a 'Snug' through
private fundrai￿ng to prowde a warm space to hdp pewe are having difficulties paying their bills. Activities
occur weekly and indude crafts. Bingo, a coffee moming. tea and teCh￿￿0￿Y drop in. board games, (Viz and record
dub. These are mosty delivered by vc4urrteeT5 With staff SUFpNL
Cyber Café
The café is key for the communty of Hope and Middlesbrough tw ￿ntre. This is Wh￿ learners, staff and friends
meet. Activthes tske ￿ace in this soaal spa￿ ￿ internet access and accesSi￿e space for meals and drop in. The
staff are supportive and they a￿VaYS fin(J b.me lo that and make peop￿ wdcome. As it seats about 35 people Ihere
is always a weserKe and people who come along soon make frterKls and are able to access support as required.
We operate a subsidised kitchen with cheap home-made nutn"kn"ous healthy meaLs. Many of our dient group are on
iw incomes and the Kitthenlcafé offws affordable m&qls and drinks arKJ a welr>)ming meeting place.
There have been fiJrther general improvements to the building and intemally to the premises in the year to better
facilitate how the building is used to meet I￿al negj. This indudes the new'snug, wrth soft fvmishings and a library.
Jd
We replaced the Ser￿ In INS ¢)Jrrent year.

THE HOPE FOUNDATION LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
Financial revie
The Income streams thanged materially in this year. The Signifi￿nI ABM program finally completed in March 2022
after 7 years wth the result that Restrthd Incp)ming resources decx8ased by £131.471 {38.2%) on the prewous
year.
Unrestricted funds increased by £8,697 (3%) bul the makeup wa5 rn￿h changed. the easing of Covid
restrictions in the year, Grants aThJ contracts increased by £51,750126.4%1, the café r￿pened in November 2021
contributiNJ £20.167 funds but other irtcome was markedly down by £63.017 (66.5%). The main reasons for the
signffi(8nt reduction in Other Income were the COVKI supp)rt grants and insuTan(* daim monies r￿1Ved in the
previous year which totslkd £80,848 compared wrth £5.168 in the (#Jrrent year.
Overall Total income tJec￿aSed by £122,774 {19.3%)
Total resour￿ expended also changed materially in this year in response lo the changing income streams.
Restricted funds expenditure d8cx&ased by £110.815 {32.1%) as theABM program costs ceased in March 2022.
Unrestricted funds expenditure increased by £54.258 {22.5%) due to the café running msts being ircurred from
November 2021 and an increase in wages eosts as 3 staff transterred frc4n the ABM program to UnTeslricted fund
athwties from the 1stApril 2022.
The movement in funds for the year wa5 a sm811 In￿ase in Unrestricted funds of £5,473 ￿ a decrease in
Restricted funds of £22.278 whth was a satisfacltry OUt(￿me in a chaI￿nging year.
The baiance sheet remains wdl geared wlh fixed assets at £417.882 with no lialylibes and the worknng capital ratio
is 13..1 with net ￿rrent assets of £284.641 which meets the Chanty's policy on reserves of 6 months expenditure.
Total frjnds al the balar￿8 sheet date were £702.523 (2021 . £719.328).
Risk management
The trustees have a duty to identify and revitrw the TÉsks to which the charity is exp)sed and to ensure appropri818
Jnlrols are in p*e to provide reasonable as9jrydr￿ aganst ftaud arKI error.
Th8 trustees are aware of the wten11￿ risks to the charity both finanaal and otherwse aTrJ implements strategies to
eontrol or mirnmise these risks. Reg￿ar reviews of iisks and controls are undertaken.

THE HOPE FOUNDATION LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
Plan$ for future periods
The end of Ihe ABM seven year prcigct rl March 2022 is a ianJe decrease in fvnding for the orgaThsation and the
very $L￿e$s￿j1 work that has been carried OUL
There are a￿vayS furnling challenges in a changirrfJ wodd. but we are (￿nfident that we wll be able to sustsin our
activities and the support of lo¢￿ Feople. Our ￿nfidence is based on a ￿tIlent staff team wth a proven Irack
record of ddivery who have contsnuaily. over many years. responded in a timdy and effective way to meet Ic￿1
need. Hnanoalty the cl￿rty is thng wthich all¢JWS US to urKlerpin ¢xr acbvity e￿tive￿
Some of the ChaI￿ge$ in the yearwll be
1) To conlinue to develop our hybrKI model of teathing and le￿Ir￿j delivery Supp￿ by the Adult Education
Budget as a subeontraeior of Middlesbrwh Col*. wll consolidate our deltvery in this year ensure we
have exoll￿t achievement and retention rates to put us in a stroThJ posibon for frJrther funding.
2) To continue to address (Jigrtal KN)verty arKI the needs of the loc￿ communtty in terms of digital sknlls.
31 To provide $C￿al acb¥￿.es to hdp p&We th regard to mental health arKI h)neliness and isolatTh. This V•tJ
linkn'ng in with lh& social prescribers and other such refeNal age￿les.
4) To continue to address fc(¥J and fvel ￿)vety to meet commuijty need.
New Sources of funthng are being ¢wtinuJly sought lo ensure adequate fiJnding to M￿mise the dolivery of our
Purposes and Aims to the communty. AdeqL￿e finanad resources are held to meet current aThJ future liabilities of
the Charity and to fulfil cyjr Reserves policy.
Structure> governance and management
Governirtg document
The organisats.on is a Christian based c*)aritable company limrted by guarantee. Ir￿rpc￿ated on the 27 December
1995 and registered as a c*)arity on 15 December 1999. The company was established und8r a M8morandum of
Association whith established the objeds and PV4ver5 of the charitable company arKI is governed under its Artides
of Association.
Recruilment and appointrnent of new tn
The directors of the charrtable company are its tru5tee5 forthe purF￿SeS of chanty law and thrDughout the report are
colle¢tivety ￿ferred to as the trustees.
Mr P J Wnstone
Mr J Keamey
Mrs L P Sowerby
DrA Knight
Mr G Rodgers
{Appoinled 22 March 2022}
The trustees are appointed according to the conslrtthn of the organisab"on. One third of the tnjstees are requSrwJ to
retire from office at eachAGM. A retiring trustee is ekn"gible for f&dethon.
A new trustee Gavin Roduers ￿ds apwinted in the year.
Organlsational structure
The executive committse met 4 times belween August 2021 and Juty 2022 to revthy artiv￿e8. consider the financial
positson to decide strategy arKI procedures.
The thief executive, who is re¥pon¥il)le lo arKI reFQrts to the Exeortive Committee, oversees ts day to day work of
the charity. In the year there were a further 11 staff positsons and 30 volunteers who assst with the proviston of
services and •JmirMstratton.

THE HOPE FOUNDATION LIMITED
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORTI (CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
This report has been prepared in acctydarKe wrth the special provi%ons of Part 15 of the Companies Aci 2006
relating lo small companies.
The trustees, report
approved by the Board ofTrustees.
Mr J Keamey
Thistee
22 February 2023

THE HOPE FOUNDATION LIMITED
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF THE HOPE FOUNDATION LIMITED
I reKKJrt lo the trustees on my examination of the financial slatements of The Hope Foundation Limted (the thartyl
for the year ended 31 July 2022.
Responslbllltles and basls of report
As the trustees of the charity land also its directors for the FwrpO￿ of ￿)rnpany lawl you are re4￿nsible for the
preparation of the financial statemerrts in aCC(￿danCe with the reqiirements of the compan￿ Acl 20C6 (the 20C6
Having satisfied myself that the finan￿al sL*ements of the charity are not required to be audited under Part 16 of
the 2006 Act and are eligible for independent examination, I report in respect of my examination of the charity's
financial ststements carried out under Secti￿ 145 of the Chanties Act 2011 (the 2011 Act). In carying out my
examirtalion I have fc4lowed all the apFAicabie Diredions given by the Charrty Commission under section 145(5}(b)
of the 2011 Act.
Independent examlnerfs ststemert
Since the charity's gross income exceeded £250.000 your examiner musl t* a member of a body listed in section
145 of the 2011 Act. I confinn that l am qualified to underlake the examinati￿ because l am a member of , which 18
one of the listed bodies.
I have completed my examination. l Confirm that no matter5 have Lyjme to my attention in connection with the
examination giving me cause to believe that in any Materi￿ re5pecL
accounting records were not kept in respect of the charity as fequired by seth.on 386 of the 2006 Act" or
the financial statements do not accord IpAth those records..
the financial ststements do not com￿Y with the accounting wuirements of section 396 of the 2006 Act other
than any requirement that the accounts give a true arnj fair vie* is IN)t a matter considered as part of an
ir)dependent examin*'on,' or
the finanaal Statements have not been prepar&J in accordan￿ wtth the methods and princ]￿e$ of the
ststement of Recommended Prath.￿ for a(xounb"ng arKI reporb.ng by charities applicable to charities
preparing their accounts in accordance ￿th the Financial Reporb"ng Standard applicable in the UK ar(1
Rgpublic of Ireiand {FRS 1021.
I have no concems and have c￿e ac¥oss no Ot￿￿ matth in g)nneth"¢)n examination to v•hi¢h attention
should be drawn in this report in order to ena￿e a proper uThJerstsndiThJ of the finanoal statements to be reached.
Christopher N&Asham
ICAEW
Davies Tracey
Chartered Accountants and Business Advtsers
Swan House
Weslpoint Road
Teesdale Business Park
Stockton on Tees
TS17 6BP
Dated.. 22 February 2023

THE HOPE FOUNDATION LIMITED
STATEMENT OF FINANCIALACTIVITIES
INCLUDING INCOME AND EXPENDITUREACCOUNT
FOR THE YEAR ENDED 31 JULY2022
Totsl Unrgstrtded Restricted
funds
funds
2021
2021
Total
funds
2022
funds
2022
2022
2021
Notes
Grants and contracts
Café income
Investments
Other irKome
248.036
20.167
1,535
31.687
212.663
460.699
20.167
1.535
31.687
1￿.286
124
1,614
94.704
344.134
540,420
124
1,614
94.704
Total incorne
301.425
212.663
514.088
292,728
344.134
636.862
Charitable aclivib'es
295,740
234,941
530.681
241.482
345.756
587,238
other
10
212
212
Total resources expended
295.952
234.941
530.893
241.482
345,756
587,238
N9t rnovement in funds
5.473
(22,278}
(16.8051
51.246
(1,6221
49,624
Fund balances at 1 August
2021
649.168
70,160
719.328
597.922
71,782
669,704
Fund balances at 31 July
2022
654.641
47.882
702.523
649.168
70,160
719.328
The statement of financial acliwti.es Ir￿udeS all gains and losses rwnised in th8 year.
All income aThJ expenditure derive from ¢x)ntinuing xtt¥itEs.
The statement of financial actsthes also compltes with the requirements for an inccthe and expendlture account
underthe CompaniesAct 2006.
10-

THE HOPE FOUNDATION LIMITED
BALANCE SHEET
ASAT31 JULY2022
2022
2021
Flxe(l assots
Tangible assets
11
417.882
418,343
Current assgts
Debtors
Cash at bank and in hand
12
66.871
242,425
73.7&S
315,733
309.296
389.489
Creditors: amounts falling due wlthln
one year
13
(24.655)
(88.$04}
Net cxjrrent assets
284.641
300,985
Total assats less current liabilities
71r2.523
719.328
Income funds
Restricted fvnds
Unresthded funds
14
47,882
654.641
70.160
649.168
702,523
719.328
The company is entitled to the exempb'¢)n fr(wn the aLvJit wiirement contained fft Section 477 of the Companies AGt
2006. forthe year ended 31 Juty 2022.
The directors at*nowledg& th8ir resw)nsiixltties for fJ)mplwng with the requiremerts of the Comparies Act 2006
Spect to a￿Unting rec￿dS and the preparation offinancial S&￿eMents.
The members have not required the ceffipany to obtain an audit of its finanual statements forthe year in question in
accordance wth secbon 476.
These finan￿al statements have been prepargj in accor￿ provisions apF4iozble to Com￿leS subject
to the small companies regime.
The financial statemants were approv￿ by the Trustees on 22 February 2023
Mr J Keamey
Trustee
Company regtstrdtlon number 03141290
11

THE HOPE FOUNDATION LIMITED
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 JULY2022
2022
2021
Cash floY•3 from operating actlvltles
Cash labsort>ed by)Igenerated from
operations
18
(41.695)
I￿eStIng actlvitles
Purthase of tangib￿ fixed assets
Proceeds from disposal of tangiNe ftxed
assets
Investsnent income received
(33.3441
{6.4981
196
1.535
1,614
Net cash used in investing actmtles
(31.6131
{4,8841
Net ush used In flnanclng actfvities
Net dKrgasg in cash and cash •quivalents
(T3,3081
{1,9181
Cash arKI cash equivajents at Winning of year
315,733
317,651
Cash and cash oqulvalents at end of y•ar
242.425
315.733
12-

THE HOPE FOUNDATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY2022
AGcounUng polkles
Charity infommtion
The Hope Foundation Limited is a private company limited by guarantee incorporated in England and Wath.
The registered office i8 H¢)pe House, 1 Grange Road. mIdd￿brOUgh. TS15BA.
1.1 Accountlng ￿nventIon
The financial statements have be￿ prepared in accJ)rdano woth the charitys MemoraThJum and ArtIC￿ of
Assctiation. the Companies Act 2006. FRS 102 'The Finan￿￿ Reporb"ng Standard appliCat￿e in the UK and
Republic of Ireland" I'FRS 102.1 and the Chariknes SORP "Accounting and Reporbng by Charities: Statement
of Recommended Pr￿ce applicable to chariiies preparing their accounts in accordan(* wth the Financial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102). leffectThie 1 January 20191. The
charity is a Public Benefft Entty as defined by FRS 102.
The finandal statements are prepared in sterling. is the functional cJJrrency of the chanty. Monetary
amounts in these finanual stslements are rounded to the r*arest
The financial statements have teen prer•&l urKler the htstorlc£l ¢X￿ ccthrention. The prfnapal accounthg
policies adopted are set out t￿ow.
1.2 Going concern
At the time of approving the finanoal ststsmerrts. the trustees have a reasonable exp*tion that the charity
has adequate resources to continue in operational existence for the foreseeable future. Thus th8 trL￿t88S
continue lo adopt the going COn￿M basis of a¢countiThJ in preparing the finan(ial *atements.
1.3 Charitable fund$
Unreslr]cted funds are avastabie for use at the discrtion the trustees in ffiJrtherdn￿ of ther eharitabl8
objethes.
Restrthd fwKls are Subl￿t to (￿dItionS by as to hThv they may be used. The purFo¥e$
uses of the restslcied funds are set out in the r)otes to the statements.
End¢)wment fvnd$ ar8 subjec* to spgofic conditions by don¢ys that th8 ¢aprta] must be matntaingd by thg
charity.
1.4 Income
Income is re¢ognise<l %then the ctwity is legalty enbyed to tt after any perfomiance Cond￿t)n$ have L*en met,
the amoun15 can be measured relbably. and it i8 probable that income will be rtt￿ved.
Cash donations are recognised on recapt. Other donations are reCOgn￿ed once the chanty has been notifi8d
of the dcrtation, unless perfomiance c#)nditbons require deferrdl of the amounL Income recoverable in
relation to donth.ons received under GiftAid or deeds of covenant is recognised at the time of the donation.
Legacies are recognis&J on receipt or otfowse rf the charity has teen notified of an IM￿￿dIng distribution.
the amount is known. and receipt is expetted. If the amount is not knovm. the legacy is treated as a
contingent asseL
Gifts of fixed a55et5 are ￿￿1￿ donations in the Statemerrt of F5nanckal Activities at their estimated
market value and cayklised irt the balants sheet. Intangib￿ irthme, vthith Comprises donated sejvkes, Is
included in income at a valuati¢xt is an estim*e of the finar￿1 cost borne where such cost is
quantifiable aml measurable. No income is recognised vthen there is no financial cosl bome ty a third party.
Coronavirus Job Retention Scheme and other Covid w grnnts are arxounted for on an ac(guais basis
and are induded in other Thicome.
13-

THE HOPE FOUNDATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
Accountlng pollcl&s
(Continued)
1.5 Expendlturo
Expenditure is recognised once there is a legal or COr￿e obfigalion to transfer economic benefit to a
third paty, it is probable that a transfer of 6roncrfnic benefits V•ryll be required in setuemenl, ar￿ thg amount of
the obligabon can be measured reliab￿.
Expenditure is dassfied by actiwty. The cosls of each acbvrty are made up of the total of di￿ costs and
shared costs, including support costs invofved in undertaking each activity. Direct costs attributatrje to a single
aclivity are allocated direthy lo that aL*"wty. Shared cosls ￿lch contiibute to more than one actvity and
support costs whith are not attn"bLrtable to a singk adivty are apFortioned between those activitEs on a ba51S
consistent with the use of resources. Centrd staff costs are alk¢ated on ts basis of time spent. and
depreaalion charges are allccated on the wb'on of the asseys use.
1.6 Tanglble fixed assets
Tangible fixed assets are inibalty measured at Cost and subsequentty measured at cost cff valuakn. net of
depreaation and any impairment losses.
DepreC￿￿on is rectsjnised $0 as to ￿lie off the cost or vaiualirm of assets less r8SKlual values over their
useful lives on the foll¢)wing ba$8S'.
Freehold land and ￿lIdIngS
F]xtures and fittings
c￿pU
2% on tX)st ¢)n buildings
20% on reducing balan
50% on redu¢irvJ balance JKI 20% on cost
The gain or loss arising on th8 dispos￿ of an asset is detemiined as the difference befv￿n the sale proceods
and the carrying v8lu& of the asset. and ts recoynised in the ststemeTrt of finanaal activities.
1.7 Cash and cash equlvalents
Cash and eash equivalents indude cash in hand. depx)sits hdd at call with banks. other short-temi liquid
investments with original maturrbes of three months or less, and bank overdrafts. Bank overdrafts are shown
wthin ￿rroW7￿JS in cajrrerrt Ik8tilities.
1.8 Financial instrnments
The charity has elected to apply the provisions of Section 11 'Basic Finanual InstTuments' and Section 12
'other Financial Instrunents Issues. of FRS 102 to all of ts finaThial instruments.
Flnanci81 instruments are recognised in the chaTtVs balance sheet when the chty becomes party to the
eonlractual provisions of the instrumert
Financial assets and liabilthes are offset. amwrts presented in the financtal statements. %then
there is a legally enfo￿able right to set off the recognised amounts and there 15 an intentTon to settle on a net
basls or to realise the asset and settle the lialilty wmullanery*.
B￿C financlalassets
Basic finanual assets, which indude debtors and eash and bank balances, are inrbally measured at
transaction Pri￿ including tranSa￿lOn and are subsequenrfy carried at amortised cost using the effective
interest method unless the arrangemeTrt ￿n$b"luteS a finanoro transaction, where the transathon Is
measured at the presenl vaue of the ftrture r￿ipts discounted at a market rate of interest. Financfjal assets
ctassffied as receivabk Y￿thin one year a￿ not amortised.
14-

THE HOPE FOUNDATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
A¢¢ountlng pollcles
Icontlnuedl
Basic flnanclal Ilablllties
Basic financAal liabilities. induding creditors and bank loans ￿ inthlty reeognis&J at transaction price unl8SS
the arrangement constitutes a financiNJ transaction. Yknere the debt instrument is measured at the present
value of the future payments dIS￿unted at a market rale of interesL FuwncAal liabilities d8￿fied a5 payable
W￿lIn year are not amortised.
Debt Instruments are subsequenty ￿￿led at amortised cos( u￿r￿j th& affectiv& interest rale method.
Trade creditors are oblig*"¢Ms to pay for gLX)ds or servi￿5 that have been acquired in th& ordinwy course of
operat￿n$ from suppliers. Amounts payable are dassffied as current liabilities if payment is due wtthin one
year or less. If not, they are presented as non-wrrent liaknltti"es. Trade uedilors a￿ reccyjnised lnrtia1￿ at
transaction pri￿ and SLbbsequenYy measured at amortised cost using the eflectsve interest Th*thod.
Dergcognltlon of flnancialliabilhles
Finanual liabilities are dereccgnisejj when the tharitys contracttJ* ctligab0￿ ewre ￿ are discharged or
cancelled.
1.9 Empbyee bènèfits
The cost of any Unus￿ holiday entiuwnent is recognised in the in ￿lch the employee's services are
Temiination ￿nefftS are recognised immediatety as an expertsse ￿then the charity is demonstrabty committed
to tem)inate the emtyoyment of an ￿plOyee ￿ to provide terrnina￿n b￿efitS.
1.10 Retirement benefits
Payments to defined contribution reliremenl ￿efft S￿Me$ are d)arged as an expense as tw fall due.
1.11 Voluntsry serrflces
In addili¢)n lo re￿rded incoming resour￿ the charsty received the benefit of many voluntary hours and
unclaimed out of pocket expenses contributed by its yjpporters. It would be impossible to place a value on all
these services and expenses, wthout which much of the vKYk undertaken ¢￿jId not be achieved arKI fci
which the charity is extremety grateful.
15-

THE HOPE FOUNDATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
Charftsble acllvitles
Total Grants Café i￿Orne
Total
2022
2022
2021
2021
Grants and contracts
Café In￿Me
460,699
460,699
20,167
540.420
540.420
124
20.167
124
460.699
20.167 480.866
540,420
124
540,544
Anatysis by fund
Unrestricted funds
Restricted funds
248.036
212.663
20.167
268,203
212.663
196.286
344.134
124
196.410
344.134
460.699
20,167
480.866
540.420
124
540,544
Investments
Unrestricted Unrestri¢Xed
fund$
fiJnds
2022
2021
Interest ￿￿¥a￿a
1.535
1.614
Other income
Unrestricted Unrestricted
funds
2022
2021
Insurance daim$
Sundry ineome
Covid supwrt
Room hire
Car park
other income
4.155
18,016
1.013
2,223
1.280
5,000
34,456
9.160
46,392
696
4,000
31.687
94,704
16-

THE HOPE FOUNDATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUEDI
FOR THE YEAR ENDED 31 JULY2022
Charltablo a¢tl¥tti8s
Charitable ChaTitable
Expendlture Expendlture
2022
2021
Staff costs
Depre¢iation and impairmerrt
other tharitable expenditure
338.444
33,397
130.857
372,309
31,986
153,087
502.698
557,382
Share of govemance costs (see note 6)
27,983
29,856
530.681
587.238
Analysi5 by fund
Unrestricted funds
Restri¢frd funds
295,740
234.941
241,482
345.756
530.681
587,238
Support Gosts
Support Governance
costs
2022
2021
Staff cosls
Accountancy fees
Legal fees
18.755
3.781
18,755
3.761
5.467
18,828
3,561
7,487
27.983
27,983
29,856
Analysed be￿een
Charit*e a(#ivitses
27,983
27.983
29,856
Governance costs indudes payments to the 1]￿dent Examiners of £2,75012021- £2,700).
Net movement in funds
2022
2021
Net movement in funds is 5tsted after C￿￿1n￿lI￿edibngI
Deprectation of owned tangible fixed assets
Loss on disposal of tangib￿ fixed assets
33.397
212
31,986
17-

THE HOPE FOUNDATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
Trustgqs
One or m(xe ofthe trustees has been paKI remuneration or has received Oth￿ benefits from an employment
with the charrty. This remunerth.on is (fftty rewved in respect of seNces they prowde as employoes under
their contracts of employment arKI not in respect of their serysces as trustees. The value of tTL￿tee8.
remuneration and other b8nefits was as folkm..
Mrg L P Sowerby
Remuneration £10.39512021 . £9.404)
Employorfs pen￿On contribubons £312 {2021 . £2821
There were no ewses paid to trustees for the Ye￿ end8d 31 Juty 2022 rtor for the year ended 31 Ju
2021.
Employe
The average monthly number ofemF4oyees (kniThJ the yearwas..
2022
Number
2021
Number
Charitable actwitie5
Managgment and administration
13
15
Total
16
18
Employment costs
2022
2021
Wages aTrJ salaries
SorAal security costs
Other pensi¢)n wsts
319,217
23.927
14,055
349,997
26.171
14,969
357,199
391.137
There were no employees whose annual remuneratk)n was more than £60.0￿.
10 Other
Unrastricted
funds
Total
2022
2021
Net Ioss ¢Xt dlswsal of tsngible fixed assets
212
212
18-

THE HOPE FOUNDATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 JULY 2022
11 Tangible fixed assèts
buildir
Cost
At 1 August 2021
Addition$
Disp¢)sals
542.649
14.614
199.993
6.494
(3.534)
796,706
33.344
13,534}
12,236
At 31 Juty 2022
557.263
202,953
66,300
826,518
Depreclatlon and Impalrn*nt
Al 1 August 2021
Depreuats"on charged in the year
Eliminated in respect of disFosaJs
193.752
12.745
168,242
7,472
(3.126)
16,369
13,180
378,363
33.397
13,126)
At 31 July 2022
2C6.497
172.588
29,549
408.634
Canylng amount
At 31 July 2022
350.7e
30.365
36,751
417.882
At 31 July 2021
348.897
31,751
37,695
418,343
12 Debtors
2022
2021
Amounts falllng due wlthln one year.
Trade debtcfs
other debtcxs
Prepayments and accrued income
49,375
9,434
8.062
34,929
34,615
4.212
66.871
73.756
13 CredltOTS: amounts falllng due wllhln one year
2022
2021
other taxation and soual security
Trade creditors
Other creditors
Accruals and deferred income
4.744
5.866
2.179
11.866
6.837
4,957
10
76.700
24,655
88,504
19-

QPO
*￿Ir)
o ro o u) C¥ ￿ (Q¢i Q (%•
¢0 O LT) ¢7) ro(y r
In <D
oj LN
0(7)¢Dc4OO￿ i 0￿¢￿￿ *
(ry V CD
000 itroo
¢5) N uj
¢5) ¢0 ¢7J
00
c)0
OrOLQ
J(yoo
CsJo2 0£(oQ
(J￿u￿LuL}￿CJ<lYuv>%<￿Q)5

C)z5 <£ UE 2 >i)

THE HOPE FOUNDATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED
FOR THE YEAR ENDED 31 JULY2022
15 Anatysls of net assets between funds
T¢Aal Unrestricted Restrlcted
funds
fijnds
2021
2021
Totsl
funds
2022
funds
2022
2022
2021
Fund balances at 31
July 2022 are
represented by".
Tangible assets
Current assetsllliabiltbes)
344.408
310.233
73.474
(25.592)
417.882
284.641
339.354
309.814
78,989
(8.829)
418,343
300,985
654.641
47.882
702.523
649.168
70,160
719,328
16 Flnanclal commltmgnts. guarantses and conllngent Ilabllltles
Grants receivable may be rePaya￿e wi part or in full rf eertain ctThJrtions a$s￿at￿ with the grants are not
met.
17 Rolatfjd party transadlons
Remuneratton of key managernent personnol
The remuneration of key management personnd is a5 foltovts.
2022
2021
Aggregate compensthc
49,029
50.804
18 Cash generated from operntions
2022
2021
{Defi(atysurpus for the year
(16,8051
49,624
Adlusbnents for.
Investment income recognised in statement of financial xtsvibes
Loss on disposal of tangible fixed assets
Depreciation and impaimient of tangible fixed assets
{1,5351
212
33.397
11,614)
31,986
Movements in VKJth"NJ ￿P1￿1.
De¢reasellincTeasel in debtor5
(Decrease) in c¥e(Irt￿S
6.885
(63.849)
{10,488)
(66.542)
Cash (absorbed byygeneratsd from operattons
{41,695)
19 Analysls of changes In net fvnds
The tharrty had no debt during the y&8r.

THE HOPE FOUNDATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 JULY2022
20 Share capital
The o)mpany does not have share wtal, evw member of the u)mpany undertakes to ¢￿tribUte such
an amount. not exceeding £1. as may be required to the assets of the company if it should be wound up while
h8 is a memkr or witriin one year after he ￿Se$ as a member for Pa￿￿ent of the debts and liabilites of the
company eontracted before he ceases as a memtr*r and the costs charges and expenses of wirKJing up and
for the adjustment of the rights for the contributories among themselves.
-24-

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