TRINITY HOUSE COMMUNITY RESOURCE CENTRE
FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 MARCH 2025
Registered Charity No. 1082054
Company Registration No. 03964381

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
INDEX
PAGE NUMBER
CONTENTS
TRUSTEES ANNUAL REPORT
INDEPENDENT EXAMINERS REPORT
STATEMENT OF FINANCIAL ACTIVITIES
BALANCE SHEET
STATEMENT OF CASH FLOWS
10-20
NOTES TO THE ACCOUNTS

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
5t
Report of the trustees for the year ended 31 March 2025
The trustee5 present their annual directors 'report and financial statements of the charity for the year ended
315t March 2025 which are also prepared to meet the requirements for a directors, report and accounts for
Companies Act purposes.
The financial statements comply with the Charities Act 2011, the Companies Act 2006, the Memorandum
and Articles of Association, and the Accounting and Reporting by Charities: Statement of Recommended
Practice applica ble to charities preparing their accounts in accordance with the Financial Reporting Standard
applicable in the UK and Republic of Ireland {FRS 102) {effective l January 20191.
Objectives and actlvltles
The purposes of the charity are to promote the benefits of inhabitants of Central Manchester and
surrounding d15tricts and, in particular, children, young people a nd families, by the provision of a Resource
Centre, providing facilities to advance ed ucation, relieve poverty, hardship and distress, and to provide
appropriate support services and facilities for their recreation a nd leisure-time occupation in the interests of
social welfare in order that their condition of life may be improved. The main activities are the development
of the Trinity House Community Centre and associated services including the LINK Good Neighbours social
activity programme, Junior and Senior Youth Clubs, one-to-one mentoring project, Toy Hub and Stay and
Play, and the after-school club and nursery. Additionally, we collaborate with the Ethnic Health Forum to
offer guidance and support to local communities.
The trustees confirm that they have referred to the Charity Commission's guidance on public benefit when
reviewing the Charity's aims and objectives, in planning future activities, and settlng the policies for the yea r.
The cha rity furthers its cha ritable purposes for the public benefit through our comm u n ity which is Sltuated in
south central inner city Manchester and includes Rusholme, Fallowfield and Moss Side. Almost 4.5k children
in these wards are recorded as living in absolute low-income families, according to the Manchester City
Council intelligence hub. Moss Side, where we are situated, is int the bottom 3 of Manchester wards on both
child poverty and fuel poverty. The risk factors in the area include poor private housing stock, mental health
Issues and emotSonal well-being, teenage pregnancy, sexually transmitted infections, low school attendance
and achievement, anti-social behaviour, and the risk of becoming NEET. 75% of the Moss Side, and 62% of
the Rusholme population are from BAME backgrounds. One third of Moss Side households contain a
resident with a disability, Rusholme 35% and Fallowfield 40%. $0 we provide a service that meets their
needs. IMCC website data/Census 20211
The centre offers a range of activities and support services that aim to address local needs and improve the
quality of life for local families, for example toy hub and stay and play for families, after school club to help
parents remain in work, and youth work sessions and mentoring.
A revlew of our achievements and performance
During the year ending March 2025 Trinity House continues to support residents with a range of activities
for all ages. We also obtained additional funding to take our Junior and Senior Youth Club on Christmas trips
out. We continued to provide room hire for Diabetic Eye Screening. Our partnership with Ethnic Health
Forum continued to provFde welfare rights advice and learning opportunities, and we are working towards
establishing a permanent welfare right5 advice hub at Trinity House.
Once again, the Board are grateful to the staff team and would like to thank them all for their hard work,
resilience and adaptability throughout the year. Particular thanks go to our Nursery team who achieved an
OFSTED 'GOOD' rating, with a very positive report being received from the inspector.

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
Financial review
Trinity House has been successful in securing funding from a number of sources during this financial year.
We secured a further year's funding from Our ManchesterVCS Supporting Communities Fund to help with
the cost of running a community hub. We also Secured extra funding to provide some trips Out and
additional activities for our youth group, and a generous donation from Union Chapel, Fallowfield, ha5
helped us to continue our work supporting young people and families through one-to-one mentoring. Our
room hire income remains steady. We will continue to seek ways to increase our income through self-
generating projects, especially room hire income, in addition to further grant funding for new and existing
projects, and we hope to successfully secure two 3-year grants for youth activities and core running costs to
help with sustainability. In addition to money coming in, we are part way through a review of all
maintenance contracts to ensure we are receiving the best value for money, and also to commit to local
firms where possible to support our work towards the Manchester Zero Carbon target.
Investment powers and policv
The trustees, having regard to the liquidity requirements of operating the charity, have kept available funds
in interest bearing deposit accounts.
Reserves pollcy and going concern
The balance held in unrestricted reserves at 31" March 2025 was £18,066 of which £17,073 are free
reserves, after allowing for funds tied up in tangible fixed assets.
The trustees aim to maintain free reserves in unrestricted funds at a level which equates to approxlmately
three months of unrestricted charitable expenditure. The trustees consider that this level will provide
sufficient funds to respond to applications for grants and ensure that support and governance costs are
covered,
The Management Committee agrees that the target balances held in reserves shall be based on:
forecasts for levels of income in futu re years, taking into account the relia bility of each source of
income and the prospects for opening up new sources.
forecasts for expenditure in future years on the basis of planned activity.
its analysis of any future needs, opportunities, contingencies or risks the effects of which are not
likely to be able to be met out of income if and when they arise.
assessment, and on the best evidence reasonably available, of the likelihood of each of those needs
etc. arising and the potential consequences if THCRC is not able to meet them.
The Charity's main source of income is grants and fees. The Trustees consider that it is appropriate to
prepare the accounts on a going concern basis and, consequently, the accounts do not include any
adjustments that would be necessary if these sources of income should cease. The trustees are looking to
maximise income from After School Club and Nursery, both of which we are expecting to increase the
income from, and room hire which we are also planning to increase. We will also aim to include more core
costs in funding bids wherever possible, and plan to increase our reserves back to our stated amount.
Rlsk management
The Management Committee has conducted a review of the major risks to which the charity is exposed.
Where appropriate, systems or procedures have been established to mitigate the risks the charity faces.
Procedures are in place to ensure compliance with health and safety of staff, volunteers, young people,
other service users and visitors.

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
Plans for Future Periods
Moving into 2025-26 we continue to prioritise supporting chlldren, young people and families to become
more resilient. Our Nursery is remaining popular with local parents and we have had all places f illed this
year, with a waiting list. Toy Hub continue5 to offer the loan of curated play items to assist early year's
development, with an associated weekly Stay and Play session working with parents and toddlers. We have
also run successful holiday activity sessions during Easter and Summer holidays th is year, targeted at families
receiving free school meals and easily achieving the target set by our funders of 80% of attendees receiving
free school meals. Every place on holiday activity schemes was fully booked this year,
Our LINK number5 remain steady with a good regular attendance. We will continue to explore ways to
further increase room hSre, reviewing service provision and ensuring maximum use of our building including
evening and weekend hire, with a focus on tenants and hirers who provide a benefit to our community.
Structure, governance and management
Trinity House Community Resource Centre is a company limited by guarantee governed by its Memorandum
th
and Articles of Association dated 4 April 2000. It is registered as a charity with the Charity Commission and
Ih
is constituted under a trust deed dated 16 Au8USt 2000. We have submitted an amendment to our
Memorandum and Articles to allow us to hold distanced video and hybrid board meetings and this had been
accepted by the Charity Commission.
Appolntment of trustees
As set out Sn the Articles of Association trustees are elected annually by the members of the charitable
company attending the Annual General meeting and serve for a period of up to 3 years lone third rotating
each yearl. Members of the Management Committee shall hold office until the end of the Annual General
Meeting next followlng their election appointment or co-option and shall be eligible for re-election or re-co-
optlon.
Trustee inductlon and tralnlng
Most trustees are already familiar with the work of the charity a5 a result of esther their work within a
member organisation or as a volunteer.
Additionally, new trustees familiarise themselves with the roles and responsibilities of trustees as set out by
the Charities Commission. We have nominated trustees with particular responsibility for Health and Safety
a nd Safeguarding and all Trustees will be offered refresher training in basic safeguarding principles.
Organlsatlon
The board of trustees administers the charity. The board norrnally meets on a bi-monthly basis but meets
more frequently a5 required, Jane Bramley remains as part-time Chief Executive/office manager to manage
the day-to-day operations of the charity. Saira Qureshi remains our Chair during this financial year.
Related partles and co-operation with other organisations
None of our trustees receive remuneration or other benefit from their work with the charity. Any connection
between a trustee or senior manager with any service providers must be disc105ed to the full board of
trustees in the same way as any other contractual relationship with a related party. In the current year no
such related party transactions were reported.

TRINITY HOUSE COMMUNtrY RESOURCE CENTRE
Reference and admlnlstrative Information
Charity Name: Trinity House Community Resource Centre
Charity Number.. 1082054
Company Registration Number: 3964381
Directors and trustees
The directors of the charitable company (the charity) are its trustees for the purpose of charity law. The
trustees and officers serving during the year and since the year end were as follows:
Key management personnel: Trustees and Dlrectors
Saira Qureshi
Chair of Trustees
Michael Greenwood
Treasurer
Susi Madron
Jill Lovecy
John Byrne
Lorna Richardson
Jane Bramlev
Secretary
Chlef Executlve
Jane Bramley
Reglstered Offlce
Grove Close
Manchester
M14 SAA
Independent Examlners
Hilton Jones t/a Community Accountancy Service
Hollinwood Buslness Centre
Albert Street
Oldham
OL8 3QL
Bankers
Co-operatlve Bank
l Balloon Street
Manchester
Virgin Money
34 Princes Street
Stockport
SKI IRE
Solicitors
Robin Burman

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
Trustees responslbllltles In relatlon to the financlal statements
The charity trustees Iwho are also the directors of Tiinity House Community Resource Centre for the
purpose5 of company law) are responsible for preparing a trustees 'annual report and financial statements
in accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally
Accepted Accounting Practice).
Company law requires the charity trustees to prepare financial statements for each year which give a true
and fair view of the state of affairs of the charitable company and of the incoming resources and application
of resources, including the income and expenditure, of the charitable company for that period, In preparlng
the f inancial statements, the trustees are requ ired to:
Select suitable accounting principles and then apply them consistently;
Observe the methods and principles in the applicable Charitie5 SORP;
Make judgments and estimates that are reasonable and prudent;
State whether applicable accounting standards have been followed, subject to any material
departures that must be disclosed and explained in the financial statements;
Prepare the financial statements on a going concern basis unless it is approprlate to presume that
the charity will continue in business.
The trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at
any tlme the financial position of the charity and to enable them to ensure that the financial statements
comply with the Companies Act 2006. They are also responsible for Safeguarding the assets of the charity
a nd taking reasonable steps for the prevention and detection of fraud and other irregularities.
By order of the board of trustees
Salra Qureshi
Chair
Date: 15th December 2025

Independent examiner's report to the trustees of TRIIYITY HOUSE COMMU,YITY
RFSOIJRCE CENTRE
sl
I repoit on the accounts of the company for the year ended 31 March 2025, which
are set out on pages 7 to 20.
Respective responsibilities of trustees and examiner
The trustees (who are also the directors of the company for the pui'poses of company law) are
i'esponsible for the preparation of the accounts. The trustees coiisider that an audit is not
required for this year linder section 144{2) of the Chai'ities Act 2011 (the 201 l Act) and that an
independent examknatioii is needed. The charity is required by company law to prepare accrued
accounts and I am qualified to undertake the examination by being a qualified member of The
Association of Chartered Certified Accountants.
Having satisfied myself that the charity is not subject to audit under company law and is
eligible foi. independent examination, it is my responsibility to:
examine the accounts undei. section 145 of the 201 l Act ,
to follow the procedures laid down in the general Directions given by the Chai'ity
Commission linder section 145(b) of the 2011 Act. and
to state whether particular mattcrs have come to my attention.
Basis of independent examiner's report
My examination was carried out in accordance with the general Directions given by the
Charity Commission. An examination includes a review of the accounting records kept by the
charlty and a comparison of the accounts presented with those records. It also includes
considei'ation of any unusual items or disclosures in the accounts, and seeking explanations
fi'om you as trustees concerning any such matters. The procedures undertaken do not provide
all the evidence that would be required in an audit and consequently no opinion is given as to
whether the accounts present a 'true and fair view, and the report is limited to those matters set
out in the statement below.
Independent examiner's statement
In connection with my examination. no matter has come to my attention:
(l ) which gives me reasonable cause to believe that in any material respect the requirements
to keep accounting records in accordance with section 386 of the Companies Act 2006;
and
to prepare accounts which accord wilh the accounling recoi'ds, comply with the
accounting requirements of section 396 of tlie Companies Act 2006, aiid
with the methods and principles of the Statement of Recommended Piactice:
Accounting and Repoiting by Chai"ities have Iiot been met. oi"
(2) to which, in my opinion, attention should be di'awn in order to enable a proper
understanding of the accounts to be reaclied.
James Hilton Jones FCCA
Hilton Jones t/a Community Accountancy Service
Hollinwood Business Centre, Albert Street, Oldham OL8 3QL
th
Date: 15 December 2025

TRINITY HOUSE COMMUNtrY RESOURCE CENTRE
STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 MARCH 2025
INCLUOING INCOME AND EXPENDITURE ACCOUN
Total Funds Total Funds
Year Endod
31 March Year End9d 31
2025
March 2024
Unrestrl¢ted Restrlcled
Funds
Fund8
Furthgr D•tall8
Income from:
Donations and legacies
Chafilable Actlvllles
Olher Tiadlng Actlvi118s
Inveslmenl Income
Olher
Total
{3)
14)
15)
10.000
4.920
150.024
195
10.IXXI
76,4S3
150,024
195
210
125,057
130,539
143
261
2S6,210
71,543
165,141
71,543
236,684
Exp¢ndltur¢ on:
Ra181ng Funds
Charllable Acllvilies
Total
161
(61
160,261
160,261
122.177
122,177
282,438
282,438
283,688
283,688
Not Incomollexpendlluro)
4,880
150,6341
145,7541
127.4781
Translefs beN*en ful￿6
{151
{4261
426
Net movement In funds
4,454
150,2081
145,7541
127,4781
R•con¢lllatlon ol funds
Total fund8 brought forward
Total funds carrlod forward
1151
1151
38,249
42,703
94,341
44,133
132,590
86,836
160,068
132,590
The 8lalemenl ol fln8ndal 8Ctlvitles IndLMle3 all galns and losses recognb5ed In the year. All kncome and
exp￿￿ltUre derlve from contlnulng adivlltes.
notes on pag8s 10 10 20 lorm part oflh88e accoLnls.

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
BALANCE SHEET AS AT 31 MARCH 2025
Company Registration Number: 03964381
2025
2024
Notes
Flxed assels:
Tangible assets
Tolal fixed assets
44,667
44.667
92,735
92,735
Current a880ts:
Debtors
Cash al Bank & In Hand
Tolal current asgels
(121
23.372
33.518
56,890
17.473
52,416
69.889
Llabllltlg$:
CredSlors-. Amounts falllng due btsllhln one year
(13>
10.721
24.034
Nel ¢urrenl assets or liats'lilies
46,169
45,855
Total ass818 ￿88 curronl labllllks
90.838
138.590
Crèdltors.. Amounts falllng due after rnore than on8
Piovislons far Ilabllllies
(16)
4.lYJO
6.000
Total n•t a81018 or IlabllltS08
B6.836
132,590
The fund8 of th• ¢h•rlty:
Restrlcted Income funds
(151
44.133
94.341
Unrestrlcted Income fund5
(151
42.703
38,249
Total charlty lund$
86,836
132,590
For the perlod In questton the tompany wa5 entltled to the exemptlon tonferred by sectlon 477
OF the Companies Act 2￿6, and that no notice has been deposited under section 476 in relation
to Its accounts for the flnancial year,. and the directors acknowledge their fesponslbililies for..
- complyln8 wlth the requirements of the Companles Act 2006 with respect to
accountln8 records and Ihe preparatlon of accounls.
These aceounts have been prepared In accordance wlth the provlslons appllcable to
companles sublect to the small companles, re8lme.
Approved by Ihe Iruslees ori 151h December 2025
Solra Qureshl Chglr
The note8 on pages 10 10 20 form p8rt of Ihese account8.

TRINITY HOUSE COMMUNITY RESOUACE CENTRE
Stalem&nt of Cash Flows for theyear ending 31 March 2025
Yoar End•d Year Ended
31 March
31 March
2026
2024
Roconclllatlon of net movement In funds to net cash flow from operatlnB actlvitles
Net movement In fund5
Add back depreclatlon
Deduct Investment income
Decreasellincreasel In debtors
Increaselldecreasel In credltors
{45.7541
48.068
{195)
(5.899)
{15.313)
(27,478)
48,064
11431
11,2181
<1,2131
Net cash used In operatlng actlvltbe5
119,093)
18,014
Cash Ilows Irom Invo8thi•nt actlvltlas:
Inleresl
Purcha9e of Ixed assets
195
143
17411
Not ¢a8h provlded by Investlng actlvltlos
195
5981
Increa5el{decrea5el In c8sh and c88h eq￿alen1$ durlng the year
118,898)
17,416
Cash and ¢a$h ttqulvalenl8 brought foTh¥ard
52,416
35.ODO
C88h and ca8h •qulval8nts c&rrl•d forward
33,618
62,416

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
10
Notes to the accounts for the y9ar endgd 31st March 2025
l. Atcountlng pollcles
(a) Bas1$ of preparatlon and assessment of 8oln8 conorn
The accounts (financial statements) have been prepared under thè hlstorital tost tonventloft wlth Items recoEn15èd at
cost or transactlon value unless Otherwise slated In the relevant notes to these accounts. The flnanclal statements
have been prepared In accordance with the Statement of Recommended Practice- Accountin8 and Reportin8 by Charities
preparlng their accounts in accordance with the Financial Reporting Stsnd3r(l applicable Én the UK and Rèpubllc of
Ireland (FR5 1021 i%sued on 1st July 2019, and the Financial Reporting Standard applltable In the Unlted KlnBdom and
Republic of Iieland IFRS 1021 and the Charities Act 2011.
The charlty constilutes a public benefit entity as defined by FRS 102.
The trustees consider that there are no materlal uncertalntle5 about the ch?rltys ablllty to continue as a golng toncem.
Ibl Funds structure
Restrlcted funds are funds which are to be used in accordance wlih speclllc restrlctlons Imposed by the donor or
trust deed. There are 14 rest¥icted funds.
Unre5trlcted income funds comprlse those funds whlch the InJ5tees are free to use fof any pvrpose In furtherance of
the charitable oblects. Unrestrlcted funds include designated fun¢is where the trustees, at Eheir diseietlon, have
created a fund for a speclflc purpose.
Further dela115 of each fund are disclosed In note 15.
Icl Income re¢oBnltlon
All Income is recoBnlsed once the charity ha5 entitlement lo the Sncome. It Is probable that the Income will be
recelved and the amount of income receivable can be measured rellablv.
Donations are recogn15ed when the charlty has been notlfled in wrlting of both the amount and settlement date. In the
event that a donation Is subject to conditlon5 that Tequiie a level of perf¢ymance before the charlty Is eniltled to the
funds, the Income Is deferred and not recognlsed untll either those condltlons ale fully mer. or the fulfllment of those
condlllons Is wholly wlthln the control of the charlty and it is probabbe that those conditlons wlll be fulfilled In the
reportlng perlod.
Interest on funds held on deposlt Is Included when receivable and the amount can be measured rellably by the charlty:
thls Is normally upon notlflcatlon of the Interest pald or payable by the bank. Dlvldends are recognlsed once the
dlvldend has been declared and notlficatlon has been recelved ol the dividend due.
Id) Expendlture Reco8nltlon
Llabllltles are recognlsed as expenditure as soon as there15 a legal or construrtlve obllgallon commlttlng the charity to
that expendllure, It Is probable that settlement wlll be requlred and the amount ol the oblS8ation can be measured
rellably.
All èxpendlture Is accounted for on an accruals basi5. All expenses Includlng support costs and governance costs are
allocated or appoitloned to the applicable eKpendllure headlngs. For more Informatlon on thls atlributlon refer to note
Ifl below,
(el Irrecoverable VAT
Irrecoverable VAT15 ¢harBed against the expendlture headlng forwhlch It wa5 Incurred.
111 Allocatlon of support and governance <osts
Support Costs have been allocaled between governance costs and other support costs. Governance costs comprise all
costs Involvlng the public accountsbillty of the charlty and its compllance with re8ulatlon and good practlce. These
costs include costs related io independent eyaminatlon and legal fees together with an apportlonment of overhead
and support costs.
Governance costs ond 5UPPOft costs relating to charitable actlvltles have been apportloned based on type of expense.
The allocatlon of sUPPOrt and governan￿ costs is analy5ed in note 8.
Igl C051$ of ralsln8 funds
The costs of raising funds cons15ts of advert15ing arKI publicity.
Ihl Charltsble Actlvliles
Costs of charitable aclivitles Include governance costs and an apportionment of support costs as shown In nots 7.

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
li
Notes to the accounts for the year ended 31st Marth 2025
111 TangSble fixed a55ets and depreriation
All assets costing more than £500 are tapitallsed and valued at historical cost. Depreciatlon is charged on the following
basls..
Refurblshment of Premises
Computers
Office Equipment
10% On cost
25% on cost
15%On￿$t
111 Re811sed 8alns and losses
All Bains and1055es are taken to the Statement of Financial Activities as they arlse. Reallsed gains and losses on
Investments are calculated as the dlfference bttween sales proceed5 and thelw opening earryln8 value or thelr
purtha5e value If acqulTed subsequeni to the first day of the financial year. Unrealised gain5 and losses are
C31culated as the dlfference between the fair valuè at the year end and their varying value. Realised and unreali5ed
Investment 8oln5 and losses afe combined in the Statement of Financial Activities.
{kl Pènslons
The charlty currently admlnlsler5 conlributions to a pens1￿ scheme on behalf of Indlvlduals.
The charlty has no Ilabllily beyond maklnB Ils contrlbutlons and paying across the dedLJCtlons for the employee's
contrlbullons.
{11 Debtors
Trade and other debtor5 are recognlsed at the settlement amount due after any trade discount offefed. Prepayments are valued af
the amount prepaid net of any tiade dlscounts tlue.
Im) Credltors 8nd provlslons
Credllors and provlslons are recognised where the charlty has a present obligation resulting from a past event that wlll probably
result In the transfer of funds to a thlrd party and the amount due to settlè the obllBatlon can be measured or estlmated rellably.
Cieditors and provlslon5 are normally reco8n15ed at thelr seitlement amount after allowlng for any trade d15counts due.
2. Rolat•d party trnniJ¢tlon8 and trust••8' exp•nB•B and r•muneratlon
The trustees all Bive freely Ihelr tlme and expertlse without any form of remuneratlon or other benefit In cash Dr klnd
12024.. £nill. Expenses pald to the trustees In the year totalled £rtll12024.. Énlll.
3. Donatlons and Legacles
Unr•$trl¢t•d
RoBlrlct•d Total Funds Total Funds
Year Endod Y•8r Endod Y••r Ended
31 March
31 March
31 March
2025
2025
2024
Y9ar Endgd 31
M•rch 2026
Donollons & Fundialslng
io,(
io,(
10,000
10,0
210
210
Prevlous reportln8 period
Unre8trlcted
Roslrlcted Total Funds
Yoar Ended Year Ended
J1 March
31 March
2024
2024
Y￿r End•d 31
March 2024
Donalions & Fundralslng
210
210
210
210

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
12
Notes to the ¥counts for the year ended 3tst Mard12025
4. Income Irom ¢harilablo a¢tlvltl•s
Unrgstrfcted
Restrlcted Total Funds Total Fund8
Year Endgd Yoar Endod Yoar Endgd
31 March
31 March
31 March
2025
2025
2024
Ygar Ended 31
Mar¢h 202S
Managemenl Fees
Reslricled grants=
Manchester Cily Council Food Vouchers
Manchester City Couwl Thlrd Party Grant
Manchesler Clly Coundl Seniors Party
Manchester Clly Council NIF - TV
Manchesl8r Clly Coundl NIF - Xmas
4CT Communlly Hubs
Moss Slde Mbllenlum Powerhouse Youth MenlorlrvJ
Moss Slde Mlllenium Powerhouse Youth Partnershlp
Awards lor AJI
Nallonal Lollery Fund
One Manchester Toy Hub
Manchester Active
Wo Lovo Manchester
Our Monchester sUppo￿r￿j Communttles
4,920
4.920
3,345
405
369
736
736
2.500
4,582
15,500
1,605
28,449
12.(lJJ
12.000
9.213
9.213
12.413
3.347
4g.225
125,057
49.225
71.543
49.225
76.463
4,920

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
13
P4otes to the accounts lor the year ended 31st March 2025
4. Incomo from charltablè act5vlllès
PréMI)us reporting perfod
Unre3tr1¢t
Restrlcted Total Fulld$
Year Ended YeaT Ended
31 March
31 March
2024
2024
Year Ended 31
March 2024
Management Fees
Restricted granls-
Manchester City Coun¢ll F¢xxJ Vouchers
Manchester Clty Councll Thlrd Paty Giant
Manehesler Clty Councll Senlor8 Paty
4CT Community Hubs
Moss Side Millenl¥Jm Powerhouse Youth Menlorlng
Moss Slde Millenlum PO￿￿OU&e Youth Partnèrshlp
Awards lor All
Nation81 Lollery Fund
One Manchester Toy Hub
Manch8sl8r Acllve
We Love Manchester
Our M8nehesler Supporting Communrtles
3,345
3,345
180
405
405
2,500
4.582
15.500
1,605
28.449
2.668
12.413
3,347
49,225
125,057
4.582
15.5
1.605
28.449
12.413
3,347
49,225
121,712
3.345
S. Income from other Iradlng Actl¥ltl••
Unr•8trlct•d
Rgslrlctgd Tot81 Fund¥ Total Fund8
Yèar End•d Y•ar Endod Y9aT Ended
31 Ma￿h
31 March
31 March
2025
2025
2024
Year Endod 31
March 2026
Actlvlty Char8es
Room Hlre
97,493
52.531
150,024
97.493
52.531
150,024
72.988
57,573
130.539
Prevlous reportlng perlod
Unre8trlct•d
Rmlrlcttd Total Funds
Y•ar Ended Year Endèd
31 Mareh
31 Marth
2024
2024
Yèar Endèd 31
March 2024
Actlvlty Charges
Itoom Hlre
72,966
57,S73
130,539
72.966
57.573
130.539

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
14
Notes to the accounts for the year ended 31st March 2025
6. E¥pendilure
Youth and
Communlty
Activities
Ygar Endgd Yoar Ended
31 Mjrch
31 March
2025
2024
Expendlture ra151ng funds".
AdvertI￿n8 and marketln8
Expgndlturo on charltablfr a¢tlvltloS',
Employmenl Costs
Training
Ternporary Staff
Mlnor Equlpmenl
Gran18 Paid
Travel Expenses
Acllvllies
Elhnlc Health Forum Prolect Costs
Membe¥8hlp anil Subscdpllons
Bad Debts
Volunteer Expenses
Relreshmenl$
Heat, Ll8ht & Water
Rates
IT Maln18n&nco
Bulldlng Serv4ce8. RepalTS and S¢¢urtty
Telephone
Cleanlng & Waste Dlsposal
Insuranc8
Govem8nce Cosi8
Post, Prlnllng & Stallonery
Depreclatlon
186.884
977
5.840
186,884
977
5,840
689
1.710
119
6,434
171,734
220
3,525
271
1,580
855
7,884
10.483
1.710
119
6.434
985
(1.087}
12
4.338
9,487
227
292
4.711
2,517
3,120
3,853
1.944
1.318
46.068
282,438
282,438
11,0871
12
4.338
9A87
227
292
4,711
2,517
3,120
3,853
1,944
1,J18
48,068
282.438
282.438
776
429
5,140
11,776
233
8,S22
2,317
2,855
3,809
1,671
1,480
48,064
283.688
283,688
Unrestricted funds
Restrlcied funds
100,261
122,177
282,438
110,547
173,141
283,688

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
15
Note5 to the accounts IOT the year ended 315t March 2025
7. Analysls of expendlture on charltable actbVitle5
As per note 6.
8. Allocatloh of governance and support costs
The breakdown of support costs and how these were allocated between 8oveTnance and other sUpp￿t costs 15 shown
below:
C￿eT91 Support
Govgmanc9
1.112
Tolal 2025
8&918 of apportlonnwnt
1.112 type of expense
173 type of eX￿nSe
398 type of eX￿nSe
261 type of expense
1.944
Ac¢ounlancy Fees
Professlonal Fees
Payroll Costs
DBS Checks
173
261
832
1,112
Prevlous reporting perlod
Gon•ral Support
Gov•rnance
1.(￿2
Totsl 2024
Bas18 of opportlonmonl
1,062 lype ol expense
36 type of expense
388 type of expense
185 type of expense
1.871
Accountancy Fees
Prolèsslonal Fees
Payroll Costs
DBS Checks
185
1,062
9. Ahalysls of stall costs
Y#•r End•d Yoar End•d
31 March
31 March
2020
2024
Wages and Salarle8
Redundancy
Sc*clal Securlly Cost8
Penslon Costs
178.177
163,552
5.748
2,9S9
186,884
5.289
2.893
171,734
Charitable actlvlllgs
Support C08ts
186,884
171.734
168,884
171,734
The average number of employeeg durlng lh8 year wd8 14 ¢W￿lOuS year: 141.
The charlly corbSlders113 key management personnel comprlses Iruslees and Opèrallons Manager. The lolal
employment benef115, Including employer penslon contrlbutlons of the key management personnel were £31.222
Iprevlous year.. £30.359}, No employee has benefits In excess of£60,000 ts>revlou5 year.. nort&l-
10. Independ•nt Exgmlnpr F991
Y￿1 End•d Yeor Endgd
31 March
31 March
2026
2024
Independent examlnalkffl fee5
1,112
1,112
1,￿2
1,062

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
16
Not88 to the accouni8 for thè yèar ended 31st March 2026
11, Tanglble Flxed A$$gts
Rofurblshm•nt
ol Pr•rnls•s
Furnlturg &
Equlpmont
Computern
Totsl
C05t
Al 1 Aprfl 2024
Addltlons
Al 31 March 2025
477.635
46,296
58,843
582.774
477,635
46,296
58,843
582,774
Depreclatlon
Al 1 Aprll 2024
Charge for Year
At 31 March 2025
385,583
47,756
433,339
46.296
58,160
312
58,472
490,039
48,068
538,107
46.296
NET BOOK VALUE
At 31 March 2025
Al 31 March 2024
44.296
92,052
371
44,667
92,735
683
Trinity House Cornmunlty Resource Centre also hold the title io ihe bulldlng known 8$ Trinity House, Grove Close. Manchester
M14 SAA. Thls buildlng was transferred to the company at no cost on 8th September 2011.
There was a char8e agalnst Trlnlty House by The 818 Lottery Fund. This was satlslfied on 3rd July 2025.
12. Analy51s of debtors
2025
2024
Debtors
Prepayments
20.170
3.202
23,372
14.518
2,955
17,473
Debtors and prepayments relaled to restrlcted funds £nil12024: £nlll and unrestrlcteil fu￿1$ £23,37212024'. £17.4731.
13. Credltors: amounts fallln8 due wlthln one year
2025
2024
Credllor8
Short-lerm compen8aled absences Iholiday pay}
Other credilors and h￿NalS
Dèferred Income
Taxallon and soa81 securlly co818
6,014
1.018
1,112
500
2,077
10.721
19.451
1.407
1,080
2,096
24,034
14. Deferred Incom9
Deferred Income comprlses gran1$ recetved Sn advance
Balance a8 al 1 Aprfl 2024
Amount released lo Income eaTned from eharflable advlllès
Amount deferred In year
Balance al 31 Mgrch 2025
500
500
16. Credltors: amounts lalllng due aft&r more than one year
2025
2024
Loans frorn Trustees arKJ Ex-ITusleos
4,000
4.000
6.000
Loans were rnade lo the charrty by iwo Iruslees in 2017 1018lllng £20.000. An agreemenl was rnade lo repay Ihe3e 81
£2000 per yèar. Oné In181ee has sltKe resigned. In Ihe yea¥s lo March 2024 and March 2025. only £1.000 was repakl lo each person.

TRINITY HOUSE COMMUNITY RESOURC£ CENTRE
17
Notgs to thg accounts lor thtr year ènded 31st ltsrch 2025
16. Analysis of charitable funds
Analysls of movèments In unr88trlcl•d funds
Balanc• at I
Aprll 2024
Incomlng
Rosourcos
Ro8ourcès
Expendgd
Balance at 31
March 2025
Transfgrè
General Fu￿1
Deslgnale(i Fund
13.612
24,637
38.249
165.141
(160.261)
1426}
18,066
24,637
42,703
165,141
160.2611
1428)
Prevlous reportlng period
Balaneo at 1
Awll 2023
In¢omlng
Rètsourc
Rosourcos
EX￿ndfrd
Balanco at 31
March 2024
Tran8f•r8
General Fund
Deslgn8led Fund
1L
15.688
15.788
134.498
(110,5471
(10,4391
8,949
(1,4901
13.612
24.637
38,249
134.498
{110,54n
Name of unro•lrlct•d fund:
General FUNI
Deslgnaled Fund
De8¢rlptlon, nwtur• 4nd purposg of fund
The Yree reserves" after allowr¥J fot all deS￿nated flnds
For fvlure red￿￿ancY costs
Analys1* of mo¥èm•nts In ro8trlctod funds
B•lan¢• at 1
Aprll 2024
Incomlng
R•soure•$
R••our¢•s
Exp•nd•d
Balanc• at 31
Maich 2026
Tran#feY*
Manchester City Coundl Food Vouchers
Mpnchesler Clly Coundl Thlrd Party Granl
M8nchesler Clly Coundl Senlors Paty
Manchester Clly Council NIF . 7V
Manchester City CoLFndl NIF - Xmas
Moss Slde Mlllenlum Powerhouse Youlh Menlorlng
Moss Sldo Mlllenlum Powerhouse Youth P8rtner8Np
Awards for ￿1
Nallonal Lollery Fund
One Manchesler Toy Hub
M&nchesler Actlve
We Ltsve Manchester
Our Manchester Supportlng Comunliles
Big Lollery Fund Capllal
180)
1840)
16)
389
736
13691
17321
(4)
112,777)
1555)
{1,072)
11271
{9,305)
1261)
148,797)
147.3381
1122.177
443
555
1.072
127
92
261
12.000
9,213
49.225
429
43.674
44,133
91.012
94.341
71.543
426

TRINITY TrK)U5E COMMUNITY RESOURCE CENTRE
18
Notes to the aciounts for the year ended 31st March 2025
16. Analysis of charitable funds
Analy$ls of movèmènts In rostrlcted funds
Prevlous reporting period
Balance at 1
Aprll 2023
Incomlng
Resources
Resouregs
Expended
Balance at 31
March 2024
TTansf•rs
Manchester City Counul Food Vouchers
Manchester Clty Council Third Paty Grant
Manch881or Clly Counryl Senlors Party
4CT Community Hubs
Moss Side Mlllenlum P0￿rhOUSe Youlh Mentoring
Mos3 Slde Mlllenlum Powerhouse Youlh Partnèrshlp
Awards for AJI
Nallonal Lollery Fund
One Manchester Toy Hub
Power lo Change
Manche818r A¢llve
We Love Manchester
Our Manchester Supporting Communltles
Brg Lgtlery Fund Capllal
180
<1.7301
1.490
{60}
405
2.500
4.582
15.500
1.605
28.449
{411)
(2.5001
(4.5781
{15,057)
(1,050)
<27,377)
{2,539)
(5,934)
112,321)
13.086)
149.2241
(47.3341
{173,141
{6)
443
555
1.072
127
5,934
12,413
3.347
49.225
92
261
138.346
144,280
91,012
94,341
121.712
1,490

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
19
Notes to the accounts forthe year ended 31st March 2025
16. Analys1$ of charltable funds
Analysls of movements In restrlcted lunds
Namè ol rèstrlctgd lund:
Manchester Clty Council Food Vouchers
Manche5teT City Council Thlrd Party Grant
Manchester City Councll Senlor5 Party
Manchester City Councll NIF- ni
Manchester City Council NIF- Xma5
Moss Stde MSllenium Powerhouse Youth Mentorln8
Moss Slde Mlllenlum Powerhouse Youth Partnership
Awards for All
Natlonal Lottery Fund
One M3nchestei Toy Hub
Manchester Active
We Love Manchester
Our Manchester Supportlng Communltles
Dascrlptlon. nature and purposo of thg lund
Earty ed￿tIon holiday food vouchers. Pald oul lo lamllies from playgroup
lor cosls of refreshmen15 for LINK group drop-in. 3rd party grant
LINK Mondal group costs- lo be pald lo worker. 3rd paty grant
for Ihe ￿$1 of a TV
for 8 Christmas evenl
youth ￿en1￿1ng support W0￿er conlribullon lo expenses and salary co816
for activ'rfies and youth dubs
costs of a party lo eelebrale lh& coronatlon of King Charles 3rd
lor exisllng slaffing an¢J bulldlThJ cosls and a¢li¥llles
toy hub room hire costs plus resources
for playscheme acti￿lJeS and youlh clubs
for men's men181 health 51W)rt group
for CO￿ sal8fies. t)uildirvJ eosts, staff tr81nlng and Rgal Llvlng Wage
FoLN)dallon registrallon
lor Ihe capi181 bid lo Big Lollery. Part ol the balance on thÈ5 furHI
represenis fulure depreciation.
Blg Lottery Fund Capital

TRINITY HOUSE COMMUNITY RESOURCE CENTRE
20
Notes to the accounts tor the year ended 31st March 2025
17. Analysls of ngt as8gls bèbveen funds
Unrestricted
funds
Doylgnated Reslri¢tod
funds
funds
Total 2025
Tanglblo fixed a55els
Cash al bank and In hand
Olher net ¢urr8nl 888elsl{liabllitle8)
993
7,505
9.568
18.066
43,674
1,376
19171
44,133
44.687
33,518
8.651
86.836
24,637
24,637
Prevlous reportlng perlod
Unrestrlctod
funds
Deslgnjted
lund$
Re8trlcted
funds
Total 2024
Tanglble I￿ed 8ssels
Cash al bank and In hand
Olher nel current 8sselsl(liabi1S11&$)
Total
1.167
25.006
12,561
13.612
91,568
2,773
92,735
52,416
12,561
132,590
24,637
24,637
94,341
18. Flnanclal Instrurn•nts
The chartly only has financlal as8818 and liabllllies of a kind thal qualify as basSc finan¢S81 inslwments. Baglc flnancl81
insllumenls ore inlllalty Tecognised on a Iransacllon value and subsequenlty rneasured al Ihelr selllemenl value ¥￿th the
excepllon ol bank loans ￿lch are subsequently measured at an amortlsed cost using Iho effectsve Inleresl method.
19. Op•ratlno L908e¥
The total of future mlnlmum lease payments under non-cancellable operating leases are:
2025
2024
Not later than one year
Later than one yeor and not later than flve years
562
562
1,404
1,988
1.404
Lease payments re¢o9nlsed as expenses are £562 w*hln ser¥lc*s £503 ￿thkn Pdnllng and Slallonery.