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2021-09-30-accounts

THE SHREWSBURY & NEWPORT CANALS TRUST

(A Company Limited by Guarantee)

REPORT OF THE TRUSTEES AND FINANCIAL STATEMENTS FOR YEAR ENDED 30 SEPTEMBER 2021

Contents

Company Information 1
Report of the Trustees 2 - 4
Independent Examiner’s Report 5
Statement of Financial Activities 6
Balance Sheet 7
Notes to the Financial Statements 8 - 10

The Shrewsbury & Newport Canals Trust Registered Company Number 4075920 (England & Wales) Registered Charity Number: 1088706

Website: www.sncanal.org.uk

The Shrewsbury & Newport Canals Trust Registered number 4075920

COMPANY INFORMATION For the year ended 30 September 2021

Reference and Administrative Information

Charity Name The Shrewsbury & Newport Canals Trust Company Registration Number 4075920 Charity Registration Number 1088706 Registered Office 4 Arscott, Pontesbury, Shrewsbury, SY5 0XP

Directors & Charity Trustees

Stephen Christopher Bean Treasurer Alan Frank Boney Resigned 11 September 2021 David Peter Crow Sherrel Gillian Fikeis Alan David Harding Resigned 11 September 2021 John Edward Heather Co-Vice Chair Bernard Charles Jones Chair Philip Michael Jones Steven Hugh Jones Co-Vice Chair Stephen Andrew Kearney John Myers Brian David Nelson Resigned 1 February 2021 David Ray John Metcalfe Stevens Keith Vaughan Welch

Company Secretary

Stephen Christopher Bean

Bankers

CAF Bank Ltd, 25 Kings Hill Avenue, Kings Hill, West Malling, Kent, ME19 4JQ Cambridge & Counties Bank, Charnwood Court, 5B New Walk, Leicester, LE1 6TE National Westminster Bank plc, 217 Dean St, The Town Centre, Telford, TF3 4BB Triodos Bank, Dearnery Road, Bristol, BS1 5AS

Independent Examiner

Andrew Mitchell FCA, Castlefields Accountancy Ltd, 23 Benyon Street, Shrewsbury, SY1 2JQ

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The Shrewsbury & Newport Canals Trust Registered number 4075920

REPORT OF THE TRUSTEES For the year ended 30 September 2021

The trustees of the charity, who are also directors of the company, present their report with the financial statements of the charity for the year ended 30 September 2021. The Trustees have adopted the provisions of The Charities (Accounts & Reports) Regulations 2008.

Structure, Governance and Management

The Trust is a company limited by guarantee, incorporated on 21 September 2000, registered in England number 4075920. The governing document is the Articles of Association which was adopted on 2 June 2018. The Trust is registered as a charity, number 1088706. The registered office is 4 Arscott, Pontesbury, Shrewsbury, Shropshire.

All activities and expenditure of the Trust are approved by the Board of Trustees. Trustees are elected from within the membership and have overall responsibility for the management of the Trust’s affairs and decision-making. Any member can be nominated for election as a Trustee, such election and appointment being made at an Annual General Meeting. One third of Trustees retire by rotation each year and can stand for re-election. Additional Trustees may also be co-opted as and when vacancies arise. Trustees usually meet as a full Board six times per annum. Day to day management of the affairs of the Trust is delegated to individual Trustees and to sub-committees with responsibility for specific aspects and areas of the charity’s operations.

The Trustees have identified and reviewed the major risks to which the charity is exposed. A formal Health & Safety Policy document is in place, reviewed and action taken to mitigate exposure and to revise the policy. For events involving access by the public, risk assessment procedures are carried out. Major risks are covered by appropriate insurance to cover both public and employee (volunteers) liabilities. Appropriate financial controls and policies are in place to prevent financial irregularities, and the accounts are subject to independent examination.

The Trustees have reserves policy, which is to maintain sufficient reserves to finance the day to day running of the charity for a period of approximately 12 months, to permit the Trust to continue to function in the event of a total absence of income and, if necessary, to wind the company up in a controlled manner. This is set as the total expenditure (excluding expenditure on the Trust’s direct objective of restoration, such as materials, contracted services, volunteer work party expenditure) as reported in the previous year’s annual accounts. The reserve amount was not varied from that pertaining in the previous year.

Objectives

The objectives of the charity are: -

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The Shrewsbury & Newport Canals Trust Registered number 4075920

Public Benefit Report

We have referred to the guidance contained in the Charity Commission's general guidance on public benefit when reviewing our aims and objectives and in planning our future activities.

The Trust's principal focus has continued to be the restoration, conservation and maintenance of the two fine Grade II listed early 19[th] century canal warehouses at Wappenshall, which the Trust leases from Telford & Wrekin Council.

Work parties continued, when permitted by Covid-19 pandemic regulations. When these were not too restrictive, Trust’s sterling volunteers worked at times through very difficult conditions of heavy rain, extreme cold and mud; whilst a shortage and rising costs of building materials brought further challenges.

Much of the work related to the recovery of the East Basin. This required over 100 reinforced concrete slabs to be laid over a waterproof membrane to cover the base of the basin, retaining walls to be built and back filled, and mooring rings installed. By the end of the year over half the work to the basin had been completed.

On the buildings themselves, work progressed towards the building of a new toilet block with bricks being reclaimed from other parts of the building; tie-rods and end plates were installed to support the west gable end of the large warehouse; and an owl loft and bat roost constructed to meet planning requirements.

Further Planning and Listed Building Consent applications was made, and approved, for the rebuilding of the demolished stable block, which will house the wood chip biomass boiler.

At the Shrewsbury end of the canal, work parties were affected by the same problems. But despite the prevailing circumstances, work has continued at a number of sites.

Around Berwick Tunnel further towpath improvements were made and a new temporary bridge installed at the south portal to enable volunteers to get to the offside of the canal more easily.

At Uffington Electricity Sub Station (to the north of the A5) where work to clear scrub on the section of the canal from the Uffington Lane towards the railway line was progressed, to allow the planting of hedging whips to establish a new hedge beside the canal.

At Pelham Road, where the National Trust (NT) owns the line of the canal where it passes alongside the road on the northern edge of their Attingham Park Estate, the Shrewsbury group of volunteers have worked closely with the NT and their volunteers. The NT removed most of the trees and stumps from the canal section, and the Trust worked to inspect a damaged culvert and plan repairs. As repairs proved not to be possible the drain was replaced during a weeklong work camp involving the Waterway Recovery Group of the Inland Waterways Association.

In addition to the above work, all three sites have benefited from the planting of more than a thousand trees gifted by Shropshire Council and the Woodland Trust.

In Newport the canal was dredged by the owners, Telford & Wrekin Council, between Meretown and Town Lock and in liaison with the council a management plan is being agreed that will include protection of the locks. The Trust has also progressed the plan to install dummy gates at Town Lock, with Scheduled Monument Consent and planning Permission obtained; whilst physically gate balance beams have been obtained and the gates cut down to the required size and plans drawn up for their installation. On the Meretown Lock stretch of the canal much time has been committed by volunteers to recover the ravages of nature during the Covid lockdowns; and during the summer attention was turned to removing Himalayan Balsam to the east of Town Bridge, where encouragingly the benefits of previous year’s work could be seen in an absence of growth in many areas.

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The Shrewsbury & Newport Canals Trust Registered number 4075920

Unfortunately circumstances have meant that it has still not proved possible to progress work at Forton, to which the Trust has committed funding.

Elsewhere, the Trust has liaised with Rodington Parish Council over plans and ecological surveys to establish what works may be possible to tidy up the canal line and open up the towpath. The same Council provided funding for the refurbishment of the wooden Information Panel beside the Permissive Path leading to the Longdon-on-Tern Aqueduct and to put a vandal resistant information panel into it.

Members working on restoration of the historic narrowboats Bainton and Berkhampstead made significant progress when the Covid situation permitted; and plans have been produced to embrace the whole of the project, including funding. Some sponsorship of materials has been agreed; whilst other volunteers have through all weathers raised significant funds at Norbury Junction towards the restorations.

As well as physical work, efforts to ensure the primary objective of restoring the whole canal is not endangered have been made by lobbying and working with Local Authorities to recognise the canal in short-term and long-term planning.

Financial Review

The charity’s principal funding sources are from membership subscriptions, donations and grants. The Trustees monitor and maintain sufficient funds to meet day to day needs of the charity.

The current major projects of the Trust (Wappenshall, Shrewsbury/Berwick, Forton, Newport and Narrowboats) each have a dedicated fund, the income to each coming from specifically requested donations, grants, fundraising events etc. as well as amounts allocated by Trustees from General Funds (other than Narrowboats). The movements in funds during the year are shown in these accounts.

Expenditure on the restoration at Wappenshall is capitalised as part of the property restoration costs rather than written off as an annual expense. Some of this fund is restricted, i.e. monies set aside for a particular purpose as a result of designated giving and are permanently restricted to that purpose and cannot be used for other expenses of the charity.

The financial results are set out in the statement of accounts for the year. There are no funds in deficit; and no funds were held on behalf of others. All funds are deposited in UK banks.

Small Companies Provisions

The company has taken advantage of the small companies’ exemption in preparing the report above.

This report was approved by the Board of Trustees on 17 March 2022.

Signed on behalf of the Board of Trustees

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The Shrewsbury & Newport Canals Trust Registered number 4075920

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE SHREWSBURY & NEWPORT CANALS TRUST

I report on the accounts of the company for the year ended 30 September 2021, which are set out on pages 6 to 10.

Responsibilities and Basis of Report

As the charity’s trustees of the Company (who are also the directors of the company for the purposes of company law), you are responsible for the preparation of the accounts in accordance with the requirements of the Companies Act 2006 (“the 2006 Act”).

Having satisfied myself that the accounts of the Company are not required to be audited for this year under Part 16 of the 2006 Act and are eligible for independent examination, I report in respect of my examination of your charity’s accounts as carried out under section 145 of the Charities Act 2011 (“the 2011 Act”). In carrying out my examination, I have followed the Directions given by the Charity Commission (under section 145(5)(b) of the 2011 Act.

Independent examiner’s statement

I have completed my examination. I confirm that no material matters have come to my attention which gives me cause to believe that:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Signed:

Andrew Mitchell FCA Castlefields Accountancy Limited 23 Benyon Street Shrewsbury

Date: 14 April 2022

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The Shrewsbury & Newport Canals Trust Registered number 4075920

STATEMENT OF FINANCIAL ACTIVITIES (INCORPORATING THE INCOME AND EXPENDITURE ACCOUNT) For the Year ended 30 September 2021

For the Year ended 30 September 2021
INCOME
Income and endowments from:
Membership Subscriptions & Donations
Other Donations & Grants
Gift Aid
Sales
Sponsorship & Advertising
Income from Investments:
Bank Interest
TOTAL INCOME
EXPENDITURE
Costs of generating funds:
Goods for Resale
Norbury Rally
Bank & Financial Charges
Charitable activities:
Wappenshall
Narrowboats Restoration
Work Parties
Health & Safety
Insurance
Stationery, Printing & Postage
Members’ Newsletter & Events
Repairs to Equipment
Loss(Profit) on Disposals of Fixed Assets
Depreciation
Governance costs:
Subsistence & Travel Expenses (see Note 8)
General Administration Expenses
TOTAL EXPENDITURE
NET INCOME
RECONCILIATION OF FUNDS
Total funds brought forward
TOTAL FUNDS CARRIED FORWARD
2021
Restricted
Funds
Total
Funds
£
£
-
7,368
-
66,284
-
5,550
-
3,696
-
2,400
-
85,298
-
-
914
-
86,212
-
197
-
-
-
89
-
286
-
1,589
-
625
-
2,393
-
1,111
-
5,159
-
2,100
-
777
-
484
-
-
-
1,302
-
15,540
-
3,413
-
744
-
4,157
-
19,983
-
66,229
40,493
299,045
40,493
365,274
2020
Unrestricted
Funds
£
7,368
66,284
5,550
3,696
2,400
Total
Funds
£
7,672
87,044
1,971
2,863
2,400
85,298
914
101,950
1,283
86,212 103,233
197
-
89
260
196
195
286 651
1,589
625
2,393
1,111
5,159
2,100
777
484
-
1,302
2,322
1,392
4,980
1,520
787
396
57
936
15,540 12,390
3,413
744
3,229
1,083
4,157 4,312
19,983 17,353
66,229 85,880
258,552 213,165
324,781 299,045

The Statement of Financial Activities includes all gains and losses in the year and therefore a statement of total recognised gains and losses has not been prepared.

All of the above amounts relate to continuing activities.

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The Shrewsbury & Newport Canals Trust Registered number 4075920

BALANCE SHEET AS AT 30 SEPTEMBER 2021

Note
Fixed Assets
2
Wappenshall Improvements
Boats
Office Equipment, Furniture & Fixtures
Plant & Tools
Current assets
Banks - Current Accounts
Banks - Savings Accounts
Debtors
3
Creditors:amounts falling due within one
year
4
Net Current Assets
Total Assets less Current Liabilities
FUNDS
Restricted Funds
Unrestricted Funds:
Designated Funds
5
Reserve Fund
General Funds
TOTAL FUNDS
2021
£
£
Unrestricted
Restricted
64,660
40,493
25,000
-
68
-
5,134
-
£
Total
105,153
25,000
68
5,134
135,355
11,994
217,008
1,530
230,532
613
229,919
365,274
40,493
240,882
11,000
72,899
324,781
365,274
2020
£
Total
77,057
25,000
104
3,640
94,862
40,493
105,801
11,994
-
217,008
-
1,530
-
20,147
171,794
2,064
230,532
-
194,005
613
-
761
229,919
-
193,244
324,781
40,493
299,045
-
40,493
40,493
240,882
-
11,000
-
72,899
-
178,746
11,000
68,806
324,781
-
258,552
324,781
40,493
299,045

For the financial year ended 30 September 2021, the company was entitled to the exemption from audit under Section 477 of the Companies Act 2006 relating to small companies.

Directors’ responsibilities:

These financial statements have been prepared in accordance with the provisions applicable to companies subject to the small companies’ regime and in accordance with FRS102 SORP.

Signed

Date of Approval by the Board: 17 March 2022

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The Shrewsbury & Newport Canals Trust Registered number 4075920

Notes to the Financial Statements for the year ended 30[th] September 2021

1. ACCOUNTING POLICIES

Basis of accounting

The financial statements have been prepared under the historical cost convention with items recognised at cost or transaction value.

The accounts have been prepared in accordance with:

The charity constitutes a public benefit entity as defined by FRS 102.

Fixed assets

Fixed assets are initially recorded at cost. Depreciation is calculated so as to write off the cost of an asset, less its estimated residual value, over the useful economic life of that asset as follows: Fixtures & Fittings 20% pa on a reducing balance basis Office Equipment 20% pa on a reducing balance basis Tools & Plant 20% pa on a reducing balance basis

The narrowboats are not depreciated whilst they are undergoing restoration, and will be revalued upon the completion of the work.

Incoming resources

Income is generally recognised on a receivable basis where the amount is reasonably certain and where there is adequate certainty of receipt. The specific bases used are as follows:

Resources expended

Expenditure is recognised when a liability is incurred on the following bases:

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The Shrewsbury & Newport Canals Trust Registered number 4075920

Notes to the Financial Statements for the year ended 30[th] September 2021

1. ACCOUNTING POLICIES (continued)

Funds

Designated funds are unrestricted funds set aside for specific purposes and which otherwise would form part of the Charity's general funds.

Other unrestricted funds are available for the Charity to carry out any of its charitable activities.

Restricted funds are funds that have restrictions imposed by donors and can only be applied for the particular purposes specified by the donor.

2. TANGIBLE FIXED ASSETS

Wappenshall
Improvements
Boats
Plant &
Tools
Office
Equipment,
Furniture &
Fixtures
COST
As at 1 October 2020
77,057
25,000
4,950
2,031
Additions
28,096
-
2,760
-
As at 30 September 2021
105,153
25,000
7,710
2,031
DEPRECIATION
As at 1 October 2020
-
-
1,310
1,927
Charge for the year
-
-
1,266
36
As at 30 September 2021
-
-
2,576
1,963
NET BOOK VALUE
As at 30 September 2021
105,153
25,000
5,134
68
As at 30 September 2020
77,057
25,000
3,640
104
3. DEBTORS
2021
HMRC - VAT
1,530
1,530
4. CREDITORS: Amounts falling due within one year
2021
Norbury Canal Festival Prepayments
613
Wappenshall
Improvements
Boats
Plant &
Tools
77,057
25,000
4,950
28,096
-
2,760
Wappenshall
Improvements
Boats
Plant &
Tools
77,057
25,000
4,950
28,096
-
2,760
Office
Equipment,
Furniture &
Fixtures
2,031
-


Total

109,038

30,856
105,153
25,000
7,710 2,031
139,894
-
-
-
-
1,310
1,266
1,927
36

3,237

1,302
-
-
2,576 1,963
4,539
105,153
25,000
5,134 68
135,355
77,057
25,000
3,640 104
105,801
2021
1,530
1,530
2021
613
2020
2,064
2,064
2020
762

9

The Shrewsbury & Newport Canals Trust Registered number 4075920

Notes to the Financial Statements for the year ended 30[th] September 2021

5. SUMMARY OF FUNDS

Trustees have designated from General Funds sums to various projects and agreed to maintain designated accounts for other projects. Unrestricted grants raised and other donations received with a request that they be used for a particular purpose will be held in designated accounts. With the acquisition of two narrowboats a further fund was set up during the year to hold funds for their restoration. The movements for these accounts are:

Fund Name
Boats Restoration
Forton Project
Newport Projects
Shrewsbury (Berwick)
Projects
Wappenshall Development
(excluding restricted funds)
Total Designated Funds
Reserve
General Funds
Total Unrestricted Funds
Restricted Funds
Wappenshall Development
Balance
brought
forward
Income
Expenditure
Transfer
Balances
carried
forward
453
5,062
625
-
4,890
20,000
-
-
-
20,000
4,906
395
23
-
5,278
15,168
6,233
1,633
-
19,768
138,219
52,727
-
-
190,946
178,746
64,417
2,281
240,882
11,000
-
-
-
11,000
68,806
21,795
17,702
-
72,899
258,552
86,212
19,983
-
324,781
40,493
-
-
-
40,493
299,045
86,212
19,983
-
365,274

6. RESTRICTED FUNDS

There was no restricted income during the year. The restricted income that was unspent in the due to Covid-19 restrictions delaying carrying out the associated work was spent on the works carried out at Wappenshall during the year.

7. COMPANY LIMITED BY GUARANTEE

The company has no share capital but is a charitable company limited by guarantee. Under the Memorandum of Association of the company the liability of individual members is restricted to a maximum of £1.

8. TRUSTEES’ REMUNERATION

None of the Trustees received any remuneration for their services during the year.

During the year, travel expenses to the value of £1,777 were paid to Trustees, who subsequently repaid the same amounts as donations (on which appropriate Gift Aid can be claimed) to the charity (2020: £971).

9. INDEPENDENT EXAMINER’S FEES

Included in Governance costs are fees of £350 paid to the Independent Examiner (2020: £350).

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