OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-03-31-accounts

Trustees' Annual Report for the period

From

Period start date Period end date

To

01 04 2021 31 03 2022

Section A Reference and administration details

Charity name

Adur Special Needs Project

March 2022

TAR

1

Other names charity is known by ASNP Registered charity number (if any) 1088423 Charity's principal address 197 Brighton Road Lancing West Sussex Postcode BN15 8JB

March 2022

TAR

2

1

Names of the charity trustees who manage the charity

Trustee name Office (if any) Dates acted if not for whole year Name of person (or body) entitled to appoint trustee (if any)

Heidi Rush Chair

The Trustees

4

Jon Rush Trustee The Trustees

5

Charlie Chesman Trustee

The Trustees

March 2022

TAR

3

6

Andrew Davis Trustee The Trustees Yvonne Wilson Trustee The Trustees Andy Stowell Trustee The Trustees Valerie Trevor Trustee The Trustees

7

8

10

11

March 2022

TAR

4

12 13 14 15 16 17 TAR March 2022

18

19

Names of the trustees for the charity, if any, (for example, any custodian trustees)

Name Dates acted if not for whole year

March 2022

TAR

6

Names and addresses of advisers (Optional information)

Type of adviser Name Address

Name of chief executive or names of senior staff members (Optional information)

Section B Structure, governance and management

Description of the charity’s trusts

Type of governing document (eg. trust deed, constitution)

Constitution

How the charity is constituted (eg. trust, association, company)

Association TAR

March 2022

7

Trustee selection methods (eg. appointed by, elected by)

Elected at AGM by Members

Additional governance issues (Optional information)

You may choose to include additional information, where relevant, about:

The Trustees have performed a number of reviews during the year, mainly around IT and risk management.

This has resulted in the whole Management team being updated on the various aspects of cyber security. We have also completed a comprehensive risk assessment review across the charity and updated the Risk Register accordingly.

In terms of the major elements of risk and responsibility, the trustees are continually reviewing the staff training, especially around safeguarding, health and safety and ensuring policies and procedures are up to date.

Section C Objectives and activities

Summary of the objects of the charity set out in its governing document

The object of the Project shall be to provide the necessary facilities for the development, recreation and care of children with disabilities and special needs that are normally resident in the Sussex area and affording respite to the members’ families whilst they are with the Project.

Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit) The Trustees have considered the Objectives set out in the Constitution and produced a set of aims that they use to guide the activities. These are:

Our current activities, listed below, are in accordance with these aims:

March 2022

TAR

8

 A fortnightly weekend play scheme

The Trustees have paid due regard to the public benefit guidance issued by the Charity Commission in deciding what activities the charity should undertake.

Additional details of objectives and activities (Optional information)

You may choose to include further statements, where relevant, about:

Trustees, Staf and Volunteers

The Charity uses a mix of paid employees and volunteers to deliver its services. ASNP ensures that employees and volunteers are professionally trained and supported. The Charity’s aim is to be an integrated Project in which parents, carers, employees, volunteers and the children are all part of ‘the team’.

Funding is provided through nominal membership fees, applications to external grant givers and in-house fundraising events.

All Trustees, employees and volunteers are DBS checked.

Section D Achievements and performance

March 2022

TAR

9

Section D Achievements and performance

Summary of the main achievements of the charity during the year

There have not been any changes in Trustee personnel over the last year.

Operationally, we have continued to be affected by the COVID19 outbreak but have managed to run all sessions during the year at mostly full capacity. The Charity employees have managed the risk of the Pandemic admirably, and we continue to take all reasonable steps to ensure that staff and children are kept safe as much as possible. We have also recruited a number of new Play Assistants due to expected growth in children. Unfortunately this year, we have again also experienced a larger than hoped for turnover of staff during the year. This has been mainly attributable to personal circumstances.

Numbers of children attending our Play Schemes diminished from 19 to 17. This was mainly due to children’s ages falling outside of our remit. The average attendance for each play scheme increased from 11.5 to 14.5 year on year. The reason for the average increase was the lesser effects of COVID. We continue to actively seek to grow the numbers to double the Charity’s attendees during the next year to a minimum average of 20 children per Play Scheme.

In terms of Financials and Fundraising, the Charity had another successful year despite the Pandemic. Turnover increased by £3k and costs increased by £7.5k compared to 2020/21. These results mean the Charity had a surplus in the year of £7k compared to £11k in 2020/21. The main reason for the increase in revenue was the events that we were able to reinstate and run. The cost increase was mainly due to an increase in wages as we were able to offer more places to children than in 2020/21 during the Pandemic.

Fortunately, the Charity have been able to run their main fundraising event during the year being the annual Shoreham Star Trail event. The funds raised by this event was over £6.7k in 2021/22. We also held our first sponsored walk that totalled income of £6k. Other Grants applied for and received were Children in Need and Henry Smith Foundation.

Section E Financial review

March 2022

TAR

10

Section D Achievements and performance

The Trustees aim to have at least 6 months of running costs Brief statement of the available to it as reserves. As at the end of 2020/21, the Charity charity’s policy on had surplus reserves partly due to the success of the reserves fundraising in the current and previous years and also due to the tight control of its costs. This means that the Trustees have been able to continue to plan to expand the number of children it can accept for each Play Scheme to a minimum of 20 by 2023.

Details of any funds materially in deficit

None

Further financial review details (Optional information)

The Charity’s reserves continue to be higher than we had You may choose to include anticipated. This is a result of good cost control, grant additional information, application success and running successful fundraising events. where relevant about: The Charity does not intend to hold these reserves any longer the charity’s principal than necessary and we are actively looking to increase our sources of funds average children to a minimum of 20 places per Play Scheme as (including any quickly as possible.

Section G Declaration

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees

Signature(s)

March 2022

TAR

11

Full name(s)

Heidi Rush Jon Rush

Position (e.g. Secretary, Chair, etc)

Chair Treasurer 25/04/2022 25/04/2022

Date

March 2022

TAR

12

Page
Report ofthe Trustees
Independent Examiner’s Report 2
StatementofFinancial Activities 3
Balance Sheet 4
Notes to the Financial Statements 5 to 9
Detailed StatementofFinancial Activities 10

2022 2021
Unrestricted Total
fund funds
Notes £ £
INCOME AND ENDOWMENTS FROM
Donations and legacies 50,662 47,265
Investment income 2 637 325
Total 51,299 47,590
EXPENDITURE ON
Raisingfunds 712 186
Charitable activities
Scheme services 43,321 36,285
Total 44,033 36,471
NETINCOME 7,266 11,119
RECONCILIATION OF FUNDS
Total funds broughtforward 78,011 66,892
TOTAL FUNDS CARRIED FORWARD 85,277 78,011
2022 2021
Unrestricted Total
fund funds
Notes £ £
FIXED ASSETS
Tangible assets 5 406 1,167
CURRENTASSETS
Debtors 6 30 2,760
Cashatbankandinhand 85,891 85,613
85,921 88,373
CREDITORS
Amounts falling due within one year 7 (1,050) (11,529)
NET CURRENT ASSETS 84,871 76,844
TOTALASSETS LESS CURRENT
LIABILITIES 85,277 78,011
NET ASSETS 85,277 78,011
FUNDS 8
Unrestricted funds 85,277 78,011
TOTAL FUNDS 85,277 78,011

Unrestricted
fund
INCOME AND ENDOWMENTS FROM £
Donations and legacies 47,265
Investment income 325
Total 47,590
EXPENDITURE ON
Raising funds 186
Charitable activities
Scheme services 36,285
Total 36,471
NETINCOME 11,119
RECONCILIATION OF FUNDS
Total funds brought forward 66,892
TOTAL FUNDS CARRIED FORWARD 78,011

5. TANGIBLE FIXED ASSETS
Fixtures
and
fittings
£
COST
At 1 April 2021 8,881
Additions 65
At31 March2022 8,946
DEPRECIATION
At 1 April 2021 7,714
Charge for year 826
At31 March2022 8,540
NETBOOKVALUE
At31 March2022 406
At31 March2021 1,167
6. DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2022 2021
Trade debtors £ 30 £
2,760
7. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2022 2021
Other creditors £
1,050
£
11,529
8. MOVEMENTIN FUNDS
Net
movement At
At 1.4.21 in funds 31.3.22
£ £ £
Unrestricted funds
General fund 78,011 7,266 85,277
TOTAL FUNDS 78,011 7,266 85,277
Net movement in funds, included in the above are as follows:
Incoming Resources Movement
resources expended in funds
£ £ £
Unrestricted funds
General fund 51,299 (44,033) 7,266
TOTAL FUNDS 51,299 (44,033) 7,266

Net
movement At
At 1.4.20 in funds 31.3.21
£ £ £
Unrestricted funds
Generalfund 66,892 11,119 78,011
TOTALFUNDS 66,892 11,119 78,011
Comparative net movement in funds, included in the above are as follows:
Incoming Resources Movement
resources expended in funds
£ £ £
Unrestricted funds
General fund 47,590 (36,471) 11,119
TOTALFUNDS 47,590 (36,471) 11,119
Net
movement At
At 1.4.20 in funds 31.3.22
£ £ £
Unrestricted funds
General fund 66,892 18,385 85,277
TOTAL FUNDS 66,892 18,385 85,277
Incoming Resources Movement
resources expended in funds
£ £ £
Unrestricted funds
General fund 98,889 (80,504) 18,385
TOTAL FUNDS 98,889 (80,504) 18,385

DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FORTHE YEAR ENDED 31 MARCH 2022
2022 2021
£ £
INCOME AND ENDOWMENTS
Donations and legacies
Gifts
Donations 5,397 20,930
Grants 22,470 17,205
Subscriptions 10,200 8,220
Sundry income - 77
CJRS grants - 833
Event income 12,594 -
50,662 47,265
Investment income
Deposit account interest 637 325
Total incoming resources 51,299 47,590
EXPENDITURE
Raising donations and legacies
Fundraising& event expenses 712 186
Charitable activities
Wages 33,251 27,909
Other operating leases 1,680 1,840
Insurance 762 702
Postage and stationery 93 -
Sundries 338 229
Project expenses 1,246 1,014
Training 4,212 630
Uniform 80 174
Equipment repairs & renewals 245 269
GADS refund (979) -
Professional fees 97
Fixtures and fittings 826 2,048
41,851 34,815
Support costs
Governance costs
Accountancy and legal fees 1,470 1,470
Total resources expended 44,033 36,471
Netincome 7,266 11,119
Page
Report ofthe Trustees
Independent Examiner’s Report 2
StatementofFinancial Activities 3
Balance Sheet 4
Notes to the Financial Statements 5 to 9
Detailed StatementofFinancial Activities 10

2022 2021
Unrestricted Total
fund funds
Notes £ £
INCOME AND ENDOWMENTS FROM
Donations and legacies 50,662 47,265
Investment income 2 637 325
Total 51,299 47,590
EXPENDITURE ON
Raisingfunds 712 186
Charitable activities
Scheme services 43,321 36,285
Total 44,033 36,471
NETINCOME 7,266 11,119
RECONCILIATION OF FUNDS
Total funds broughtforward 78,011 66,892
TOTAL FUNDS CARRIED FORWARD 85,277 78,011
2022 2021
Unrestricted Total
fund funds
Notes £ £
FIXED ASSETS
Tangible assets 5 406 1,167
CURRENTASSETS
Debtors 6 30 2,760
Cashatbankandinhand 85,891 85,613
85,921 88,373
CREDITORS
Amounts falling due within one year 7 (1,050) (11,529)
NET CURRENT ASSETS 84,871 76,844
TOTALASSETS LESS CURRENT
LIABILITIES 85,277 78,011
NET ASSETS 85,277 78,011
FUNDS 8
Unrestricted funds 85,277 78,011
TOTAL FUNDS 85,277 78,011

Unrestricted
fund
INCOME AND ENDOWMENTS FROM £
Donations and legacies 47,265
Investment income 325
Total 47,590
EXPENDITURE ON
Raising funds 186
Charitable activities
Scheme services 36,285
Total 36,471
NETINCOME 11,119
RECONCILIATION OF FUNDS
Total funds brought forward 66,892
TOTAL FUNDS CARRIED FORWARD 78,011

5. TANGIBLE FIXED ASSETS
Fixtures
and
fittings
£
COST
At 1 April 2021 8,881
Additions 65
At31 March2022 8,946
DEPRECIATION
At 1 April 2021 7,714
Charge for year 826
At31 March2022 8,540
NETBOOKVALUE
At31 March2022 406
At31 March2021 1,167
6. DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2022 2021
Trade debtors £ 30 £
2,760
7. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2022 2021
Other creditors £
1,050
£
11,529
8. MOVEMENTIN FUNDS
Net
movement At
At 1.4.21 in funds 31.3.22
£ £ £
Unrestricted funds
General fund 78,011 7,266 85,277
TOTAL FUNDS 78,011 7,266 85,277
Net movement in funds, included in the above are as follows:
Incoming Resources Movement
resources expended in funds
£ £ £
Unrestricted funds
General fund 51,299 (44,033) 7,266
TOTAL FUNDS 51,299 (44,033) 7,266

Net
movement At
At 1.4.20 in funds 31.3.21
£ £ £
Unrestricted funds
Generalfund 66,892 11,119 78,011
TOTALFUNDS 66,892 11,119 78,011
Comparative net movement in funds, included in the above are as follows:
Incoming Resources Movement
resources expended in funds
£ £ £
Unrestricted funds
General fund 47,590 (36,471) 11,119
TOTALFUNDS 47,590 (36,471) 11,119
Net
movement At
At 1.4.20 in funds 31.3.22
£ £ £
Unrestricted funds
General fund 66,892 18,385 85,277
TOTAL FUNDS 66,892 18,385 85,277
Incoming Resources Movement
resources expended in funds
£ £ £
Unrestricted funds
General fund 98,889 (80,504) 18,385
TOTAL FUNDS 98,889 (80,504) 18,385

DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FORTHE YEAR ENDED 31 MARCH 2022
2022 2021
£ £
INCOME AND ENDOWMENTS
Donations and legacies
Gifts
Donations 5,397 20,930
Grants 22,470 17,205
Subscriptions 10,200 8,220
Sundry income - 77
CJRS grants - 833
Event income 12,594 -
50,662 47,265
Investment income
Deposit account interest 637 325
Total incoming resources 51,299 47,590
EXPENDITURE
Raising donations and legacies
Fundraising& event expenses 712 186
Charitable activities
Wages 33,251 27,909
Other operating leases 1,680 1,840
Insurance 762 702
Postage and stationery 93 -
Sundries 338 229
Project expenses 1,246 1,014
Training 4,212 630
Uniform 80 174
Equipment repairs & renewals 245 269
GADS refund (979) -
Professional fees 97
Fixtures and fittings 826 2,048
41,851 34,815
Support costs
Governance costs
Accountancy and legal fees 1,470 1,470
Total resources expended 44,033 36,471
Netincome 7,266 11,119