HUTS – Chair’s Annual Report - 2023/2024
HUTS continues to operate for three days a week and member numbers have slowly increased, showing more confidence in returning to a normal way of life. The Call & Chat remains but as the funding for the service finished in December, Kathryn Horton, Befriending Co-ordinator retired. I would like to take this opportunity to thank her for all her hard work whilst working at HUTS.
HUTS manger retired 31 March 2024. The Trustees are now responsible for all management functions, as well as Governance. Specific responsibilities are shared by Trustees. Staff members are to be commended for the smooth running of all services. Recent staff appraisals have been extremely beneficial with everyone working as a team to ensure HUTS’ success, thank you. I thank Nancy for her help and advice during these meetings.
The Funding group concentrated on the NLCF People & Places application, we were successful in Stage 1. We look forward to a positive response for Stage 2. My thanks go to Al, Gethin, Jo and Mo for their continuing endeavours.
Extra workshops have been held this year. Mo, our trustee held a Christmas wreath and Easter flower arrangement sessions. Dr Dewi Davies Endowment Fund courses, Glass fusion, Wire Sculpture and Drumming were very successful and evaluation questionnaires have been very complimentary. Members have been inspired - one hoping to start her own glass business whilst another has been looking for a college course.
Ben Lake, our representative in Westminster was invited to attend our Open Day in August as the guest speaker. His positive input and support continues to be invaluable. The Open Day was well attended by HUTS Members, families, friends and the wider community. Interesting comments were made and conversations were fruitful in raising the awareness and purpose of HUTS.
A joyous Christmas party held which was enjoyed by all.
On 1 July 2023 HUTS entered a 4 year HDUHB Day Opportunities contract for Carmarthenshire area only. HUTS has received wonderful contributions and donations from the community; your support is very much appreciated. Thank you Angie Darlington, Managing Director, WWAMH and Rachel
Richards, NLCF Funding Officer for advice and guidance. Finally, thank you, Trustees, Staff, volunteers and Members, for your efforts and commitment to ensure HUTS survives and thrives, providing Mental Health Support.
Thank you all. Helen Davies, Chair
27 June 2024
HELP US TO SURVIVE, HUTS WORKSHOP, ADPAR, NEWCASTLE EMLYN
INCOME & EXPENDITURE ACCOUNTS FOR THE YEAR ENDED 31ST MARCH 2024
INCOME
| INCOME | ||
|---|---|---|
| Grants Received (Note 1) | 75,340.59 | |
| Donations | 6,014.60 | |
| VAT Refunds | 1,305.75 | |
| Bank Interest | 2,591.50 | |
| Sales | 1,229.10 | |
| Other Refunds | 40.73 | |
| Room Hire | 905.25 | |
| 87,427.52 | ||
| EXPENDITURE | ||
| Salaries & PAYE | 88,513.40 | |
| NEST Pensions | 3,608.90 | |
| Travel & Training | 1,440.53 | |
| Marketing | - | |
| Postage, Stationery& Advertising | 304.10 | |
| Cleaning Materials | 1,500.47 | |
| Maintenance - Building | 4,505.73 | |
| - Equipment | 630.62 | |
| Heating, Lighting& Oil | 2,271.96 | |
| Telephone & Internet | 1,247.85 | |
| Water Rates | 469.00 | |
| Insurances | 3,912.82 | |
| Professional Fees | 1,183.10 | |
| Refreshments | 456.00 | |
| Special Courses | 4,209.26 | |
| Materials | 260.36 | |
| Depreciation | 1,582.00 | 116,096.10 |
| DEFICIT FORTHEYEAR | 28,668.58 | |
| Notes to the Accounts | ||
| Note 1: Grants Received: | ||
| BIG Lottery Fund - Restricted Funds | 43,270.00 | |
| Hywel Dda Health Board - Carmarthenshire& Ceredigion - Restricted Funds | 27,070.59 | |
| Other Grants - Restricted Funds | 5,000.00 | |
| 75,340.59 |
AUTHORISTION Q Honorary Treasures Sint eee TDA 2) SY Sok Honorary edd Auditors(a
HELP US TO SURVIVE, HUTS WORKSHOP, ADPAR, NEWCASTLE EMLYN
BALANCE SHEET AS AT 31ST MARCH 2024
| ASSETS | |||
|---|---|---|---|
| Property 'The Long Room' | 132,000.00 | ||
| Improvements in the Year | 7,230.60 | ||
| Tools & Equipment | 3,164.48 | ||
| Less Depreciation | 1,582.00 | 1,582.48 | |
| CLOSING DEBTORS | |||
| V.A.T | - | ||
| Others | - | ||
| CLOSING BANK BALANCES | |||
| Lloyds TSB Current Account | 39F213 | ||
| Lloyds TSB CurrentAccount | 10.00 | ||
| Aldermore Investments | 89,583.22 | 129,320.59 | |
| CASH IN HAND | 63.63 | ||
| 270,197.30 | |||
| LESS: CLOSING CREDITORS | 2,547.44 | ||
| 267,649.86 | |||
| CAPITAL ACCOUNT | |||
| Balance at 31st March 2023 | 296,318.44 | ||
| DeficitfortheYear | 28,668.58 | 267,649.86 |
In accordance with instructions given to us, we have prepared the above Accounts without carrying out an Audit from the accounting records of the client and from information and explanations supplied to us.
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Messrs Davies & John Accountants Halifax Building Sycamore Street Newcastle Emlyn Carmarthenshire
HUTS
Accounts for the year ended 31st March 2024
Company Number: 3874210
HUTS Notes to the accounts for the year ended 31st March 2024
1 Accounting Policies
The Accounts have been prepared under the historical cost convention and in accordance with the Financial Reporting Standards for Small Companies (effective January 2007}.
Turnover
Turnover represents the invoiced vaiue of goods and servies supplied by the company, net of value added tax and trade.
Depreciation
Depreciation has been provided at the following rates in order to write off the assets over their estimated useful lives.
Plant & Machinery
25% reducing balance
2 Tangible Fixed Assets
| Cost | |
|---|---|
| As 31st March 2023 | 47,153 |
| Additions | NIL |
| At 31st Marc h 2024 | 47,153 |
| Depreciation | |
| At 31st March 2023 | 43,989 |
| Charge for the year | 1,582 |
| At 31st March 2023 | 45,571 |
| Net Book Value | |
| At 3ist March 2024 | 1,582 |
| At31stMarch2023 | 3,164 |
HUTS
Balance Sheet As at 3ist March 2024
| Notes | 2023 | 2024 | |||
|---|---|---|---|---|---|
| £ | £ | ||||
| FIXED ASSETS: | |||||
| Property | 139,230 | 139,230 | |||
| Tangible Assets | 2 | 3,164 | 1,582 | ||
| 142,394 | 140,812 | ||||
| CURRENT ASSETS: | |||||
| Debtors | 0 | 0 | |||
| Cash at Bank and in Hand | 155,707 | 129,384 | |||
| 298,101 | 270,196 | ||||
| Closing Creditors | 1,783 | 2,547 | |||
| Net Assets | 296,318 | 267,649 | |||
| Capital and Reserves | 277,829 | 296,318 | |||
| Profit and Loss | {Deficit} | 0 | 28,669 | ||
| {Surplus} | 18,489 | 0 | |||
| ShareholdersFunds | 296,318 | 267,649 |
For the year ending 31st March 2024 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.
The members have not required the company to abtain an audit in accordance with section 476 of the Companies Act 2006.
The directors acknowledge their responsibility for complying with the requirements of the Act with respect to accounting records and for the preparation of the accounts.
These accounts have been prepared in accordance with the provisions applicable to companies subject to the Smail Companies regime.
| cence eerste rey ereGENOCESGGEAI LAG DCAM I Aa esaecieeaeeraeaeeeas | {signed} |
|---|---|
| M Spowart Davies | |
| Director |
Approved by the board on:
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