## **Trustees Report  for period ending 31st March  2023** 

The Trustees present their report together with financial statements for the period  ended  31[st] March  2023.   The  trustees  confirm  that  the  financial statements comply with current statutory requirements and with those of the Company’s Memorandum and Articles of Association. 

## **Incorporation** 

The Company was incorporated on the 16[th] November 2001 and commenced activity on that date. 

## **Constitution** 

The Company is constituted as a company limited by guarantee, registered number  4324214.  It  is  governed  by  its  Memorandum  and  Articles  of Association dated 16[th] November 2001. 

The  Company  is  also  a  registered  Charity,  registered  charity  number 1091501. 

## **Directors** 

During 2022/3 the Directors, who are also Trustees, are listed below: 

Ms Michelle Smith, (appointed 31/3/22) Mr Simon Collins (appointed 31/3/22) 

Ms Nikkie Parry (Trustee only appointed 31/3/22) 

Being a Company Limited by guarantee there is no share capital. There is now no direct link between the organisation which applied for the initial set-up grants for The Gateway Centre, The Glaxo Neurological Trust (now known as The Brain Charity) and The Gateway Centre Limited itself, nor is there any trading relationship aside from occasional room bookings, between these 2 neighbouring organisations. 

1 



## **Objects** 

The Company was established with the following charitable purposes, which form part of Gateways registered charity objects: 

1. The  advancement  of  education  through  the  provision  of  learning opportunities for the disabled, the disadvantaged and the poor, and to support other organisations that aid and assist such persons; 

2. To relieve the needs of patients suffering from disabilities; 

3. To  advance  the  education  of  the  public  in  all  matters  concerning disabilities. 

## **Review of activities and future plans:** 

Gateway has started the process of re-building after a devastating 2020/1 when  our  business  was  severely  adversely  affected  with  the  Covid-19 closures and reduced activity from customers as they generally transferred training courses from face-to-face to Zoom/Teams. 

Income grew by £32k over the previous year with expenditure up by £6k mainly due to increased utilities costs. 

With the involvement of a regular client on a weekly basis and with projecting the income forwards, we were able to look to a positive future at Gateway and being able to cover our day to day responsibilities.  The decision was then taken to remove the premises from market and continue to pursue trading from our current premises. 

We were able to access some grant funding from central Government as compensation for being closed and then with reduced activity.  We have also been able to receive support for our business rates. 

In 2022/3 the total number of enquiries received dropped to 280 of which 30% were converted into income generating events, up 25% from last year. 

2 



Over the last 12 months we have assisted 15 charitable and not for profit organisations based locally, regionally and nationally in providing training and educational opportunities for disabled and disadvantaged individuals. Discounts ranging from 25-75% from standard room hire prices were offered as in-kind support for these organisations in line with our charitable objectives. 

In addition to those organisations specified above, Gateway generated £4500 from non-primary income from corporate business, video-conferences, and conference income from Limited Companies. This is well within the £50K limit specified by Charities Commission for organisations with a turnover in excess of £250K. 

The number of centre users over the past year has seen 2458 individual visits, 20% up on the previous year. This can broadly be divided into 2 categories: an increasing percentage of conference and training centre users, and more individuals to see MPower People, our only resident charitable organisation on-site and drop-in coffee shop users. 

The Virtual Office Programme has continued during the year and generates some  additional  income  for  the  organisation.   The  number  of  clients fluctuates, and there is certainly excess capacity currently. Similarly, office services income from photocopying, faxing, laminating and drop-in internet access also contributes towards our overall turnover. 

The  coffee  shop  has  been  a  good  service  for  Gateway  in  this  period especially as we are now able to provide our own buffets for internal meetings rather than relying on costly external caterers. Income in the full year of 2022/3 was £4523 with food costs of £880 giving a trading surplus of £3643 as there is no longer dedicated staff cost for this service. 

During the year, the main income was generated by providing access to training  space for overseas nurses to  be able  to  access NHS positions. Although the organisation is a commercial provider, Gateway have supported 

3 



them with discounted access to training space and also offering free storage for  equipment  and  materials.   For  this  organisation,  Gateway  provided £20,000 of in-kind support over the year. 

Gateway supported MpowerPeople with free and subsidised office space and access to training and project space to the value of £10000 this year. 

With further discounts of up to 75% off the standard room hire rate offered on over 50 of the income-generating events Gateway hosted during the year to not for profit organisations, an additional £4400 of in-kind support was given by The Gateway Centre in the period 2022/3 

Gateway provided in-kind support to these projects assisting people with disabilities and local disadvantaged people. Therefore, Gateway continues to assist  organisations  which  assist  individuals  with  disabilities  and  can demonstrate in the year a total of £34400 of in-kind support, which directly meets our charitable objectives. 

Cumulatively, over the past 21 years, Gateway has provided more than £956k of in-kind support to local charitable organisations, supporting more than 875 different local, regional and national not for profit organisations 

## **Financial Review** 

In  2022/3  the  total  income  was calculated  at £143068.  Expenditure  was £150664 giving a trading loss of £7596.  Income was £28K up from previous year with expenditure £9k higher 

In looking at the balance sheet, the assets of the charity were down by £7596 at £449096  However, we are still operating on the property valuations from 2002, so this may well change with a revaluation in 2024. 

4 



In order to remain viable, it is vital that we maximise income in conference sales and ensure that office rentals and service charges are paid when due and that running costs are closely monitored. 

## **Reserves** 

The trustees have reviewed the reserves of the Charity.  The reserves are currently such that the charitable objectives can be met in the event of any future  uncertainty.  The  reserves  policy  is  such  that  at  least  6  months’ minimum running costs for the organisation are accessible in the event of any financial uncertainties.  The Directors have established the core charitable functions for the organisation and ensure that funds are available to maintain these services as a priority. Up to £10K of current reserves were placed on higher interest deposit account with HSBC during the year.  Any required cash can be recalled at no notice without penalty. 2 bank accounts are maintained so that only the cash required to meet our immediate financial requirements is held in the current account with the balance in the reserve account. 

The  Directors/Trustees  are  investigating  a  long-term  investment  strategy suitable for our requirements. 

## **Risk Management** 

In the coming year the trustees will continue to examine the major strategic business and operational risks that the charity faces and establish systems so that the necessary steps can be taken to lessen these risks.  A 3 year business plan covering 2022-5 has been developed and is being acted upon, with further developments planned for 2023 and beyond, and ensure that adequate levels of reserves are created as insurance against any future situation. 

2023/4 is certain to be a difficult year and Gateway’s commercial viability will rely on the amount of grant, loan and other funding we can draw down to 

5 



replace lost conference income.  Costs have been pared back to a minimum level whilst we have significantly reduced income. 

## **Trustees’ responsibilities for the financial statements** 

Company and charity law requires the trustees to prepare financial statements for each financial period which give a true and accurate reflection of the charity’s  and  company’s  financial  activities  during  the  period  and  of  its financial position at the end of the period.  In preparing those statements, the trustees and directors should follow best practice and : 

- Select suitable accounting policies and then apply them consistently; 

- Make judgements and estimates that are reasonable and prudent; 

- Prepare the financial statements on the going concern basis unless it is inappropriate to presume that the charity will continue in business. 

The trustees/directors are responsible for keeping accounting records which disclose with reasonable accuracy the financial position of the charity and which enable them to ascertain the financial position of the charity and to ensure that the financial statements comply with applicable law.  They are also responsible for safeguarding the assets of the charity and for taking reasonable steps for the prevention and detection of fraud and any other irregularities. 

## **Small Company Exemptions** 

The  accounts  have  been  prepared  in  accordance  with  the  exemptions applicable to small companies as conferred by Schedule VII of the Companies Act 1985. 

## **Auditors** 

For 2023 the examination of Gateway’s accounts has been completed by RCC, in accordance with section 385 of the Companies Act 1985. 

By order of the trustees 

Mr N Byrne, Company Secretary 

6 



2011212023, 14:13
Skip.. li) mdin c()nlLni
Registered Number 04324214
LIVERPOOLGATEWAY CEPITRE
Mlcro&entlty AccouTrtJ
31 Mgrch 2023
hllps.lle￿.COmpanlesh0uS8.utsv.￿￿J81k1QPa9e7Iorm=M1crOEniI1leSs￿rnmory&.dYThivv1Aild

2fiD23. 14.13
CownM8 pl)￿•. Mkro•)lty Acct)urtt5
LIIERPOOL CATEIIAY CENTRE
Reglstered Number 04324214
Micro-cntlty B*lance.Sheet 45 at.11 March 2023
Noles
2023
2022
Fixed Assets
440.576 455,980
52.160 52.973
Currcni Asscts
Prepa￿)entS and accNed income
Credilors: amounts falliiig due witl)in one year
Nei ¢UTrent assets (liabilities)
Total assets less curreDt liabilities
Creditors: amounts falliiig due afieT Inore than one year
Proi'isions for liabilities
Accruals and deferred income
Total net 2ssets (liabililies)
Reserves
(26,901) (30.052)
25,259 22,921
465,835 478,901
(16,739) (22,209)
449,096 456,692
449,096 456,692
For the year ending 31 MaTch 2023 the company was entitled lo exemption under section 477 of the
Companies Aei 2006 relating to small companies.
The members have not i'equired the company lo obtain an audit in accordance with section 476 of the
Companies Act 2006.
The directors acknowledge their Tesponsibilities for complying with the requirements of the Companies
Act 2006 ￿.-1th respect to accounting records and the preparation of accounts.
The accounts have been prepared in accordance with th¢ micro-entity provisions and delivered in
accordance with the provisions applicable to companies subject to the small companies regime.
Approved by the Board on 20 December 2023
And sigmed on their behalf by:
Michelle Smith, Director
Iwjiewf.o￿p2n￿￿.gDv.L￿aU10pageV0nr￿mI(1OEntstIe$SumMary8.dYn=WAjittt

y12f&J23. 14.13
compin￿5 House. Mkloll*)￿1y Artoun
LtIlRPOOL G.4TEII'.4I' CEYfRE
Reglstered Numher 04324214
otfs ts the Trqitrrrtntit). Accounts for the period ended 31 March 2023
Emploi"ees
2023
2022
.4veTa£e number of employees during the period

CHARITY CIYAMISSION
Independent examinerfs report on the ,
accounts
Section A
Indopeiidont Examiiier 5 Report
Rewt to the truste•sl
LIverw￿l Gateway C
On accounts for the y•ar
endod
31¥1 March 2023
Charlty no 10915091
(M any)
Set out on pages
1to22
I report to the trustees on my examinati￿ cl the accrKDIts of the ab)v8
chanty (Ihe Tnjst.) for the year erKled 31103r2023.
Responsibilitles and
basis of report
As the charitys tTuste8s, you are resp￿sIble ft* tha rAyatsn crf Ihe
ac£ounts in acmrdance v￿th th8 requirements of ts Charilies A(* 2011
(Ihe Acl.).
I report in respect of my examinati￿ of the Trust's accwnts carr*d ¢xrt
under Section 145 of the 2011 Act and in carrying wi my ex￿Inati[￿. I
have followed all the applicable DirectiorK8 gven by the Charity C<xrwn
under seGtion 145(5)(b) of the Act.
Independent The chaiity's gross incom8 exceeded £25.CA)O and l am qual￿ to
examine￿$ statement undertake th8 examination by being a qualified member of ICAEW.
I have ￿Mpl&tod my examination. I cx)nfim that no malwial matters havo
Come to my attention in connectton with the examination gives me
cause to believe that in. any material respect:
the accounting records vfftre not kept in arxrAdan¢e ￿1h se(XTh 130
of the Charities ACL or
the accounts did not acc%)rd ￿ the a￿￿ntIng recoryjs:
the accounts did not rx)rnply with the appI￿able requIrem￿ts
con¢eming the fonn and content of accounts set IJJI in the Charitie5
(Accounts and Reports) Regulations 2008 other than any requirement
that the accounts give a Irue and fair, view which is not a matt
considered as part of an independent examinati￿.
I have no concems and have come arJoss no other rnatters in (#￿nectiC
with the examination to which attention should be dravm in thig reFrtyt i)
order to enable a proper understanding of the 8cra)unts to be react￿d.
Signed:
Dat•:
Narno:
Relevant professional
qualifi&ition(s) or body
(if any):
ICAEW
IER
Oct 2018

Addr•••:
Unll 212 Vanllla F8Ctory
39 Fleet Street
LIv8rpool, L14AR
Sectlon 8
Disclosii ro
Only compl6t6 if lh8 ex8miner needs lo highlight rnaterial matlers of concern
(See CC32, Independent examlnatlon of charlty accounts: dlrectlon8 and
guid8nc8 for examlner8),
Glve hero brlof detalls of
any Items that the
examlner wlshes to
dlsclose.
IER
Oct 2018

CHARITY COMMISSION Llvefpool Gat•w•y Centr•
FOR ENGIAND AND WALES Annual accounts for the p•rfod
1$t Aprfl 2022 to 31st March 2023
Chartty No
1091501
Co number 04324214
Section A
Statement of financial activities
R••trfct•d
incom•
fund•
R•¢omm•nd•d ¢4t•g0ri•8 by
Unrè$tri¢tod
fund•
Endovmi•nt
fund•
prfor￿ar
fund•
Tot•1 fvnd•
InGorning rosour¢•s (Note 3)
kn¢om• •Dd •ndowm•nts from..
F01
F02
F03
F04
F05
S01
137,698
137,698
74,586
S02
so3
S04
S05
S06
5.370
5,370
143,068
40.451
Total
Resources expended (Note 6)
S07
Exp•ndilurn on:
S08
$09
135,261
15,403
150.664
141.283
S10
S11
Total
S12
135261
150.664
141.283
Net In￿Me1(eXpendItur0l before Investmenl
gatnsloosses)
S13
7.807
15,403
7,596
26246
Na 9*(k￿Se5) inyestsiients
S14
Net Incomel{expendfture)
Extraordlnary Items
Trdnsfers betwgen funds
Other recognised gainsl(los$•s):
S15
7.807
15,403
7,596
26246
$16
S17
Ga￿ kwe5 fEvthaikn offix•J as88ts forthe L*arfVs W Use
S18
S19
Net nKwwJonf In funds
S20
7.807
15.403
7,596
26.246
R•conclll4tlon of funds..
T¢)18lfuThJ¥ LT￿h1 Icfivard
Total funds carriod ff0n￿rd
6g6
8,503
455,996
440.593
456,692
449,096
482,938
456.692

Llv•rpool Gateway Contrn
Annual accounts for tho parlod
1st *)rf12022 10 31st March 2023
Charity No
Co number
1091501
04324214
Section B
Balance sheet
Re•trfctsd
Income
funds
Unrnstrlctsd
fund¥
Endowment Total th1*
funds
year
Totsl la¥t
Fixed assets
Intanglble assets
Tangible assols
Heritage assets
Investrnents
F01
F02
F03
F04
F05
{Note 151
(Note 14)
INote 16
(Noto 171
Total flxed oss0¢5
B01
802
440,576
440,576
455,980
B04
805
455.980
Current assets
Stocks
(Note 18)
Debtors
(Noto 19)
Investments
(Note 17.4)
C•$h at bank and in hand (Nots 24)
Total eurrent assets
B07
36,347
36,347
35.764
15,
52,1
17,209
52.973
B10
52,160
Creditors: amounts falllno duo wlthln
on• year
(Note 20)
811
26.901
26.901
30,052
Net cuffent assets/(liabilities)
B12
25.259
22,921
Totsl assets less cuffent Ilabllltles
B13
478,￿)1
Creditors: amounts falling due after
one year
(Note 201
Provisions for liabilities
B14
16,739
16,739
22.209
815
Totsl net assets orllablllties
Funds of the Charity
Endowment funds (Note 27)
Reslrfcted Income funds (Note 271
Unrestricted funds
Revaluatlon rosorvo
B10
449.096
449.096
456.692
B17
B18
14,011
463,107
14.011
463.107
1,392
455,300
B19
820
Total fiinds B21
456,692
SwJned by one or trustees on beh81f of all
the trustees
Dale of
approval
d(Vmml
Signature
Print Name
i&tL 8-/R￿&
CC17a (Excd)
2011212023

Lts*vp•ol Qil•wiy Q•nlM
Annu*l *aoounl• for lh• p•rlod
l•1 *•rfl 101110 31•1 M•roh 2011
ChAilty N
¢n niiinli•r
10•1fj01
04324214
Th1• ••pllon •hould b• 0ompl•l•d by •ll oh•rtil••,
1,1 •ail• of *oaountlng
Th•1• I￿X)UllI& l)av• l)#on praparad lh# Iii•lorlGil wil e<Jn¥•riUon I￿1h Item• rwnl••d •t co•t or
Ir*n••olloii v•lts• unlo•1 011)tsrwlio il*io(I In ltri¢ rol•v*nt nol¢l•l lo th••• acuJunt8,
Th• •ouounl• h•vo boon
r•pAr•d In •¢oordttn¢o wlib..
11)• $IAl•m•nl ol R•r.ommftndod Pl•c￿Ce. Accounllng •nd Rép¢hllng ty Cha¢Ab••
pr•pArfno Ih•li oecounli In aconrd•nco wllh tho Flnand•l R•prybng Sthrtdard
4ppllo•bl• In Iho UK aiid Ropubllc ol Irfjland IFAS 10211o•ued on 18 July 2014
* Ind wllh.
•nd wllh.
lh• Fln*ncl•l Rqporlkn9 St•nd•rd •ppll¢•bl• In th• Unlt•d Klngdom •n¢1 A•wblc ol
Ir•lind IFRS 1021
•nd wllh th• Ch4rt11•• Aol 2011.
Th• ch•rtty con•illul•• • publlc b•n•fll •nllly •• d¢fln•d by
FRS 102.
.Tiok •• •pproprf•l•
1.2 Golng ¢on¢•rn
Il¢h•rn •rn m•hrl•l unc•rt•lntl•¥ r•thl•d lo •v•nl• orc0ndftl(￿I th•t ¢••t *l¢nlflc•nt doubl on th• ch•r11￿4
•blllty lo contlnu• •• • golno ¢on¢•rn, pl••*• provld• th• ftINowlnq d•t•ll• or•t•t• "Not •pplk•bl•-. M
•ppmprt•t•.'
An •xpL4n•llon a• to those that Support
Iho concluslon Ihal Ihe charfly18 a golng
con¢•m',
Dl•¢lo$ur• of any uneertBlnll86 that rnake thè
golng ¢on¢om 0g$umpllon doubNul',
Wh•r• •ttounl8 Are not prepared cffj • golng
concom ba$lfj, plga80 d18dc&e Ihl6 fa¢t
iether wilh lh9 bo8lB on whlch tho truot•o8
prepared the 8¢¢oun18 and Ihe reason why tho
¢harlly Is not regarded 81 a golng concem.
1.3 Ch*ng• ot accountSng poIIcy
The *¢¢ounls present 8 true and 18lr vlew 8nd thg ac¢ounllng pollclas 8dopt8d aro thoBe outfjned in not• { }-
Yes.
-Tkk ai approprtale
No.
$• dl¥¢lo¥•.'
(Q th• n•tur• of lh• ¢hng• In •¢¢ourttlng poIIcyi
(14 th• rn•¥on• why apptylng th• n•w•ccounllng pollcy
provld•s morn rnll•blo •nd mor• r•l•v•nt Inlomi•tlon.'
8nd
CC17• (Exc￿)
2011W20fJ

Lbv•rpool G•t•WAy C•ntr•
Annual account> for th• p•rlod
fll 2022 to 31st M4rch 2023
(MIJ the •moun¢ of thg 4dlusrm•nl for o&¢h Iln• •ff•ct•d
In thè eurrnni p•rfod, ••ch prfor p•rlodpre$•nl•d •nd
th• •9gr•g4t• •mounl ol the •dlustm4nt relatlng 19
pwiods b•forn ihos• pr•*•nt•d, 3.44 FRS 102 SORP.
Charlty No
Co ntsmbor
1091501
04324214
1.4 Changes to accountlng è$tlmatgS
No changes to 8ccounling estimate5 hav8 o¢¢uired in tho reporting pe￿Od{3.4e FRS 102 SORPI.
No.
-Tick 88 oppropriat*J
Pl••s• disclos•.'
the naturn of•ny changes..
th• •ffoct of th• eh•nge on Incom8 and exp•n$e or
as$•ts and lisbilitles for th• ¢urnntp•iyod,. 4nd
Illj) Whe￿ practl¢abl4 th• effect orth• ch•ng• In on• or
more futuro period&
1.5 Mat•rlal prtor yyar error5
No material prior yeaf error have been identified In the reportSng perlod13.47 FRS 102 SORPI-
Yes.
No.
-TKk a5 apwpAate
Pleas• d•s¢lose."
(1) thg nature olth• prtOfPorlod •rror.'
(Ilj for•aeh prlorporlodpr•sentedln the accounts. tho
•mount ofthe con￿11041 fore4¢h •ccoun¢lin• it•m
8ff8cled.' and
(Ill) th• amunt ofth• correcuon at th• beglnnlng olth•
varthstprforpwlodpr•s•nt¢(l in the accounts.
CC178 IExc*ti
2011212023

Llvèrpool Gateway Centr•
Annual account$ for the perfod
1st Aprfl 2022 to 31st March 2023
Charity No
Co number
1091501
04324214
Section C
Notes to the accounts
(cont)
Note 2
Accountlng pollcles
Please complete this note when first reporting under FRS2102. Seclion 35 olFRS702, r8qulres 3 reconciliations to be
p￿senIed, rfall are applicable.
2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTED
ACCOUNTING PRACTI
Please pn)vlde a descrlptlon
of the nature of each change
In accounllng pollcy
Rocon¢ilation of funds porpr•vious GAAP to funds doternilnod under FRS 102
Start of
perlod
End of porfod
Fund balances as prnviously
Slated
Adjustments."
Fund balanu a$ réstated
Recondlatlon of net Income/(net 8XPondlturo) perprevlous GAAP to not Ineome/(not expendlture) undorFRS
102
End of perlod
Net Incomellexpendlture) as prevlously
stated
AdJu$¢ments.'
Previous perfod net incornellexpwdlturn)
as rostat
CC178 {Ex¢el)
2011212023

Charlty No
Co numb•r
1091501
04324214
Ahnu•l •e¢ount• for th• p•rfod
1*1 2022 to 3i•t M*T¢h 202)
Seclioii C
No￿2
2.2 INCOME
A¢countlng pollcl••
ThL% ¥I•ndWtrl￿ olaccrJunhrspSu•s hAJ applid by tho Ch•￿ty0￿cOpll0rlhoI0 IIGk•d Wo'orwa..
b*•n •dopigdlhfrn th Is d*•U•Llln Iho Ooi b•low.
l*•eopth Th￿• •r• Indud•dknlh• Sial￿￿•ni olFlnand41 AcimU￿<s0FA1 *th•n.'
lh• ehAdty iolho F•wurt8$-
11 j¥ rnry• Iik•ty ihw not Ihelwthe• *lll roc•lv• thvrea0Ur￿*.'
the rnonelaryva*Je can be rneoskyqd wjffldwl rdlit411ty.
Nl•
There hos beenno0ff￿mn9 olaJs•ta •nd I1•￿1￿[￿, u Incorntand •xpqniu. L￿10￿ r•q￿rnd
pBrnht4d byth• FR5 102 SCfiPorFRS 102.
Yes
Grnnu •rddOnB￿N1arv0￿1Y kndudqd In tho SoFA*thon In¢thn• rewJnl¥¢n
r*artsand*JuwirAx •to Tr*115 10 kn 5.12 FRS102 SORPI.
Yes
Ih8tth8 tharttyhJs pThlded th• $podfl4d goods OF ser¥kes4s£ntstlerneniioth• gr•rn
the parformanw ￿lI1*d ¢(x)dilknna ere rnei 1s.ie FRS 102 SORPI.
Loyu'qsaT• kndud2d In tha sOFAth￿ree•hFrt L4wOb￿O, 13, when L*re ha5
grnnl ofFYob&te. th• exowiors hw••¥tsbllgW thAltherg aro sulfic4enta8g¢t6 In
I￿￿tate and ony¢B2nd5dDn*aM￿￿ ￿1h￿l￿gI￿ 41thervAthln tha Djmrd oflh•
tharityor hB¥O b￿n m
es
No
No
Nla
d L% induded in Inc￿ne￿9￿ thor¥ 1$ a v4id
y Gift amount recovered OD a thaJon Isconwderfju lo bo p¥rt of th91 gff¢¥nd
2Bted a5 an ad&bon to thg sarno fund as thg initsd ¢Jwtion wle&% ihe d￿OrorI￿*
how43￿fled Othe￿￿.
Tax r•tlth* f
Yes
Nla
Thi5 w orty Ir•JuOqd in ￿ SOFA tho d￿ritybal qooth
seTrlcosu melthe peffcqmafice rdated Co￿¢11￿￿$.
No
l•
are mea￿[1d atfa*vdue (the omowlfor*Wth the au•t¢vJd b•
exch￿&1) MLgssimWacY￿I ￿d0 so.
Th•c05tofJnysknck tob•nof¢•ri•& 10 b•
IhB l*vElue ofttrn8egffts aithe Om¢ of th￿rror*s￿l and th&y8rg rèrx)ll￿sed ￿ rn¢•lPL
therepoibTra st¢th$ ¥• ith¥knbui•d. a#
Yes
r8sl0 measured Bl ta*¥oknÈcn In1￿ r•cowlUon. Isthe
expethd pr<¢ogds trom ¥alo1•8sth9 oxp£ct£d ralsts of &de, rerjognisgd In'ln¢(rfn8
lffjm oitwtrnding 05iMb•S' ￿7th tho fAThwdlng siock raw￿l0d nth8
On n5S￿e trov8lueofsiLrk is d*rged 8g8lnst'ln%w• fr(th othari￿￿1ry
th￿p￿￿o￿5frurn $•1• re¢¢gfyl8￿ ai'Lnrffi*frtrn oknBrtrothr*J
Yes
Yes
No
¢>x¥J$4Jwt•J by1￿￿￿￿are ¢*¢c¥nl$4d fix4d 4594
ana IrtI￿d In the SOFA os thc¢mlng ￿x￿r¢0$ wh•n reP￿1vIbl•.
No
foru88 tythe¢*arfiyar8 Inthd•d hiha ScfAa¥ frcrfn donat￿8
DrAwed seMc•5 and fodibe5 are hduded In tho SOFA r4celvèd atlhe v4ueof
fi b) &K9rity widqd thwvaluo crfthè grft bo measuroo reliatrdy.
Donaiéd servi￿ and facthbes thatWF ¢c￿sUM￿d knmedwdyare recogrisod 1$ mL*M•
￿￿rI￿*ThI￿N￿nIWe(ts3nIW u on expenxundw the app￿￿•1¢ hwadlrvJ
th6 SOFA.
No
No
No
No

I IviTrwl Oihw•y e•nl
Annu•l lh• p•rf•
1091101
04J34214
In••m• Inl•w••l,
IN• M lb41iiil•il Il* i1Wx￿1¥ itid lh•
Nty
Ye8
Iiiirt l
M•nih•rnli* iiilwiyliilkiiii Wiliili ylv•• • M￿111￿ Ili• li) bijy frt ¢Ah•r
•tlh•UNIII•
Iniiii*ix4# 1.1*11111 i*ily *itliiil*il lil Ili• BtJfA whin
Ii•ii# *[* n*1 111 111-.118IIIJ IIIINItrI #Fo Mliidtyil •• M114m & olhw
yln• 4Trd
YN• iny [•￿11•d 01 uiii*NiiiwS pwn• ￿ loii•• on ￿ Ml•dlnv••lm￿1• •nd
2.3 EXPENDITURE AND LIABILITIES
Ll&b#lty i••wIIIoft
Li•blllll*b #rp MiHltyl11*11 Ib 01¢>￿ Ilk#ly IhAn nol Ihol Ilw• li • llyl ur
Inlin￿11￿ i11￿1￿*111￿ iiiHiimllllMu ¢ihMrlly t%1 iiul ro•tJLIFety• lh• ort
Ye8
No
8upport 0￿1• runoul￿• •nd Mv• •looil•d lo •olI￿ly￿>•l
o•IW•• OD * b9110 wiiil•i¥iil Mli lh• uio ol r¥ooLWQO1, •D ¥IIoo•iirMJ prwrty oo•l•
by W w•••, or p•r owyill, •w(t&￿Il byiii• lim• •pini wrtj ￿h#r oNii bylmr uw•
No
w￿1•11* oh•Flly ylv¢• M grinl rthd1llL￿• Ill pyym•nl bqlw • •pK41Ia l•¥•iof
••rylo• OF othpul i¥ h prov1￿#￿. •uoh ornrt• wo C￿lY 1oor¥Jnlwd ￿111• 8oFA
¥•C4kYODI ol lh• ar￿1 hi• Ili• •rAdfl•d ••ThI￿ ¢JrWIp￿,
Wtr•T•il*t••T• no 4w¢llkn¥ att•ohlro lo lh• woniiiwl Ih donry th•dlyto
rn*1111¢oWy•¥okl lh• p)mrnllmgnl, ¥ Il•t4iiiy lty lh• knii fu￿1nD rtho•lkn muli
f¥￿9n￿•
es
rfvm•rMM q•ndlUor
es
No
Il•dwrtlwy a•
Th• ¢h•thy rn#dtr MNdur￿lThoY w>Th•nl• ¢Juiknolh• rnwrunu pr￿￿d.
No Ii•m Inotyn• hm b•M Inoludod In ￿ aw)unW,
es
Tho ch•rnylw• eK•dllori •r• rnM•uigd il ••t11￿onI •rntyJnt• l•i#Jnyirnd•
m•4wrnd •llh• b•bi••Vm•t• ollh• •nouni f•qutrod 10 Mlll• lh• Ob￿￿&110Th •llh•
mponlw dDI•
TM• lorb••k flMnd#l Iniirurnffii• on INUII r•oJonWon M p
p•rngr•ph 11 7 fR8102 8OHP. eubi•qu•rrt ffl••bLY•mMI li #i p•rpirnorwh• 11,1r
10 11 19. FR8102 80RP
es
PrtyA•lon• Ivr IL•bllllh•
Ile flnant
2.4 ASSETS
T•noW nK•d Th••• w• o•pil•iiMd11lh•yo￿ t• mor•ihn DM ￿￿r, Ind gu•1 il
¢hirlty
Ye8
TW•f• v4u•d •loaAI.
Th• é•pi•ra•ikx r•tM •n¢ m•lhoth u••d •r• ¢Jlbclo••d In not• 9,2,
Th• (*irtlyfv•i IMillngibl• flM•d •iMI•. Ilittt li, nM-mL*•lwy •ii•ll Ilill éa not hiv•
p￿￿1￿1 bullr• Id•nllh•W• •r• QDnlrdhd bylh• ghlrllythlou￿ ¢u•lody
¢¥ l•0•1 rfght•. Th• •moni••iion r•i•1 4nd m•ihod• u••d 4r• 01•￿00•d Innot• 0.0
IrrtwW• Ibx•d
Ye8
Th•y •T• y￿￿•d •1 ooli.
Th• h•• h•rt•9• •H•t•. th•ii•. noMoMt•ry••Hl• *llh hlliorfo, ￿11￿0,
•c4•nUn¢, i•ohMkglc•i. 0•oth￿¢•I or•n¥ifoMi•nLII qudlll•• ￿ty1 4r• and
m•lnthin•d prtnClp￿IY lorlli•lf con￿b￿l￿ lo kn￿1•dgI Ind Guliur•. Th• dipMd•v
r1￿#•￿d rn•￿￿￿ u••d •• 9.0 14
e8
es
Nth
Tfrfy•r• v¥L*a ￿ eoii
Flud ••••IInv•th•n￿ kn qurt•d •h•i••. 1rno•d bwd• •imll•rinvMtrnwlD w•
li ￿11￿1￿ •1 ￿•¢ Ind •ubi•4u•nUy*i lair v•lu• {tr￿lfm￿lI v41u•i •1 th• y•v
•n¢ Th• um• Ir••tm•ni li Appik•d 10 U￿1•1•￿ In¥•Dlrnww unl••i hii v•kJ•Wr￿1 t•
Yeg

Charlly No
Co niimb•
1091601
04J24214
•eo¢uThts torth• p•rlod
151 wii 101110 31•t M•rth 201)
Nw•iimMh h•ld p•ndlnDih•k *Dd th)•h
ol Iw Ih•n 1 4r• tNt•d u oury•M
Ye8
sbeth* Th•kl IN Ml• # p•rtofrvJn.oWthtth irnd• w•m•••ut•d orn•t
Nh
¢)DDd• ar•￿￿ wo%ld•d p•rtd • thath•bl• ir•M•MW￿ •1 n•tr•4W• v&
b•l•dmI￿ I￿¢• by o14look.
Nl•
W¢yk th pt¢4w•u *v•lu•d •1[0￿ AnytcrfMi•abl• lob• IMI l• I￿1￿10 awJrcnlh• vJnlrna.
D•trth•lknrJuth9 Nl• doblorn •nd f•00￿•blO>￿￿rn0•1Jrnd M InNl•l •1
I•IN•m•M amtyJni4fi*r •ny Ir•d• LY omewi ad¥on￿g bylh• th•rtly. S￿>￿￿1￿lly,
th•yw•m••und al Iho ￿•h orDih•roDnildqr•ilDn •Np•cl•d lo b•￿￿￿¥•d.
Th• C*arttyh￿ hu Inwirnonth Ilhdoj hr rel￿•lY tMr•*• and and Yes
•Qth*t•nM￿lh • MI￿rtlyd•10 loii ihBn yY•r Thwlndudo cuh on dop￿11 u•h
vfvOK*nh￿ih • rn•wrtiydth• I￿￿ M• lorlnw•m•nt W￿)¥11 rntr•rth•n to
D￿1 thort i•mi ¢ommim•nt* ￿ ihllylull dw.
es
Yes
POUCIES ADOPTED
A￿TION￿L TO OR
DIFFERENT FROM
THOSE ￿0VE

a•t•w•y C•ntr•
¢h•rlty No
I￿1001
C¢
nyrnb•r
Annull •o¢ounts lor th• p•rlod
1•t 2022 10 Jl•t M•r¢h 2023
04324214
N•t• J
An•lyAIA ol In¢om•
luTrd•
Ani
Don•llon• and lfti
Gill Ald
cio*
Qener•l grBnt• Kyovhlèd by gov•mmnVoih•r
chBrlliai
IA8mbar•hlp •ubicrtpVon• and •pon•Thryhlp•
*thlch arn In 8ubJlgnce don4Uon
70
Donalad
othor
8. focl11ts.￿ and oervice•
Tot•1
5,370
OA70
40A
137 898
Olhof
Total
137,898
74
Cth•r tr•dTVJ
•¢t1¥lfl￿.
Totsl
Ineèm• from
Interest incom6
DNkJend incL*m8
Rental and leasin
incL
Total
af Incom•.'
Total
Cortvergion of 8ndu•M￿ntlu￿d5 into ineomo
Gain on disposal of a tsngl￿e fixed a8¥et held
for ¢hari
S U58
Gain on disposal of a proararne ￿Lat•d
imiestmeni
Royatbes frorn Ihe explthtaiton of intellectU81
ro
hts
Totzl
TOTAL INCOME
143.068
oth•r In1￿mI￿an.
All incom• in th• prior yvr w•¥ •xc•pt for..
pl•u• wid• d•Krlpiion and arnwnt•l
Wh•r• *rty •ndryhin•rrtfund l* ¢on¥•n•d Into ar￿￿￿￿• Sn th•
r•pwts"Fw pwio& •lv•th• r•aKrfblorth• ￿￿￿+￿10￿.
fflknid: Ipb•M• th• rtI￿r•. amgunt and prft
CC178 (Ex
2a11W2023

L￿Fpool 0￿•￿•Y C•ntr•
AnnU4I4ec￿n1¥ ltsr th• p•rfod
111 2022 to Jl•t M•r¢h 202)
Chirlty No
Co numbor
1091101
04324214
Soi-.Iioii C
Not• 6
•ly•l• of •xp•ndltur•
Th1• y••r
It y•ar
Vnr•Btrlol•d R••lrlct•d
lund•
IThjon￿ fund•
In¢owm
Jndl
Ufflv••lvlcW IM•m•
frJnd•
An•ty•l•
•ndltur• on ralAln
fund•'.
Incvrrod sè•kln
don&lions
IncU￿e4 seokin
gcies
Iturred seekln
r8ni$
rAiin
mornb8rshi
schemes and
$19
fundF81sin
ev&nls
Fudraisin
en15
Op•rntiry charity shop8
Tot•1 fvrK
Fatln
a tradin
com
an undertakln
Athfertisin
. morktriin . dired m811 and
St8rt u
¢o$is Incurred in
eneralin
naw
D8tsb8se develo
enl c0518
Other imdin
acl￿vIte$
Inve51rnent m&na
ament C0518'.
PortlcAio m8n8
amènl costs
C05t of obi8inin
Invesimeni advice
Investrntrnl gdminislrall￿ G05ts
licen
cosls
irs an¢J
Rènt cdleclion
TfA•I •xp•ndltuY• on r•l•lng fund•
dlturn on ¢harll*blo I￿1¥11￿•¢.
135 261
125855
Totsl •xp•ndltuf• on ¢h•rltable
125655
5•p•rat• m•t•rfal It•m of •
n••
T¢>tal
Oth•r
Total oth•r •xpendllur•
TOTAL ExpEND￿uftE
135.261
15.403
150,664
125,655
15,628
141.283
An•tysl• of •xp•ndltur• on charft•blo 4ctlvltl•s
Thls
Gr•nt
fundlng of
ear
Last
Grartt
hJndln• of
Idl¥lti
A￿1¥&11•¥
A￿1V￿ tt pragv•mm•
Support
Coats
Totsl th1*
A¢tlvttl••
undert4k•n
dlr•GtI
Supwl
C￿ts
dlr•GtI
Olhw
Toial
CC178 (Excdl
10
2(V1W2023

otlioii C
Notos to tlic accounts
Not• g
Support Co•t•
P••as• ¢ompl•i• thls not• Irth• eh•rfty h•• *n•W•d Its •xp•n#•# fmlng adlvlty
c•i•goffl•s •ndh•s support ¢osts.
Th1* >••r
Support eo•t
tundB
Bas￿ of allocaiion
08pr6c48lion
15.403
1S.403
R8pBirs & renavAIs
1,228
Pr8mi%os epxenses
66,927
Subscnptions 8
>nabons
Equipmenl hi
C￿nIng
Advertising a
romots.on
755
755
Bank Charges
Examination f￿$
750
750
A¢ry)Un￿r
7,034
7.784
92.240
La5t>w¥
Ralsln
fund
Orandtoial
BasL8 ol•ll¢￿￿On
Support ￿*t
DepreLyatton
15.628
Repai￿ & renewals
3.373
bad d8bts
56,259
Prom￿ epxen
190
1,800
Subscripts0￿ &
donations
1.8Crf)
EquiFwn￿l hire
c￿anIng
Advertising &
romots.on
1,519
1,519
Bank Charges
Ey3mination faes
750
750
Accountancy
7,056
7.056
79,255
87,061
Total
Pl•asewovlde det•lts of lh• accounllnq policy
•dopted for the apportlonrnentofcosts
•cl1vit￿$ •nd •ny•stirn•tipn ts¢1￿19￿¢S us•d to
¢•l¢ul•te th8ir•pportffonment.
CC17a1kno11
2w121￿23

LIv•TpooI Gatoway C•ntr•
Annu•l accounts for thè p•rlod
1st Aprll 2022 to 31st March 2023
Section C
Charlty No
Co number
1091501
04324214
Notes to the accounts
Note 10
D•talls of certaln Itèms of oxpendlturo
10.1 F￿$ for examln•tlon of tho account•
Pl•as• provide det•ils of the amount pald for any statutory external scrutlny of
•¢¢ounts and other sérvlcos provldod by your Independont examlnor. ff nothlng
was paid please enter fl. In the appmprlate box(es).
Thls yoar
Last yoar
Independènt examlner's fees
750
750
Assurnnco servi￿5 other than audlt or Indepandant axamlnatlon
Tax advisory foos
Other fees {for èxample: flnanclal advlco, consultancy> accountancy $gNlces) pald
to the independent examiner
7.034
6,786
CC17a (Excel)
12
2011212023

Llvorpool Gateway Centrn
Annual accounts for tha porlod
1st April 2022 to 31st March 2023
Charity No 1091501
Co number 04324214
Section C
Notes to the accounts
Note11
Pald employaas
PIMse eomplote th1$ note If the charlty has any employ•es.
11.1 Stsff Costs
Thlg yaar
Last ￿ar
Salaries and wages
Social security Costs
Pension costs (defined contributlon scheme)
Other employèo benefits
55,256
227
2.941
50,115
219
3.888
Tolal staff costs
58.424
54.222
This year:
Please provide details of expendlturo on staff worklng for the
charity whose contracts are wlth and are paid by a related party
Last year
Please provlde details of expondlture on staff working for the
charity whose contracts are with and are paid by a related party
Please give details of the number of employees whose total employee benefits
(excluding employer pension costs) fell within each band of £10,000 from £60,000
upwards. If there are no such transactions. please enter Yrue. In the box provided.
No employees received employee beneflls (excludlng employer
pension costs) for the reporting period of more than £60,000
Band
Number of om
loyees
This year
Last year
£60.000 to £69,999
£70,000 to £79,999
£80,000 to £89.999
£90,000 to £99,999
£100,000 to £109,999
Thls
ear
Last
ear
Please provide the total amount paid to key management
personnel (includes trustees and senior management) for thelr
services to the charity. For specifjc amounts paid to trustees,
see Note 28.
CC17a (Excel)
13
2011212023

Llwpool Gal•way C•ntr•
Annual •c¢ounts for th• p•ilod
1•t Aprll 2022 to 31•t M•r¢h 202J
11,1 Av•ra9• hmd count In th• y•ar
Th• parts of th• charlty In whloh th•
Chaflty No 1091501
Co numb•r 04324214
Th1• y•ar
Nurnb•r
La•t y•ar
Numb•r
()tliill
Total
11.3 Ex*ratla paym•nt8 to •mploy••s and oth•rn (•xcludlng trugt••8)
Pl••s• compl•t• If •n •watl• p•ym•nt Is m•d•.
Pl•as• •xplaln th• natur• of th•
p•ym•nt
Th18
Last
ar
Pl•as• stat• th• l•g•l authorlty or
r•ason for maklng th• paym•nt
Thls
Last
Thls year
Last year
Pl•as• stat• th• amount of the payment (or value of any walver of
11.4 Redundancy payments
Ple49S0 complete M any redundancy or temilnatlon payment Is made In the perfod.
Thls year
Last yoar
Total amount of payment
The naturft of the payment (cash, asset
This year
Last year
The extent of redundancy fundlng at the balance sheet date
Please state the accounting pollcy for any redundancy or
CC17a (Excel)
14

LI￿rpoOl G•t•way C•ntr•
Annu41 aeeount$ for lh• p•rtod
1$1 Aprfl 2022 to 31st March 2023
Sectioii C
Charity No
Co number
1091501
04324214
Notes to tl)o accounts
Icontl
Not• 12
D•fined ¢ontrlbutlon pan•lon gchomo or daflnod bonellt $chwn• aceountsd for as a
dofln•d ¢ontrlbutlon *ch•mo.
111 Pl••s• compl•t• thls not• M• defin￿ ¢ontrlbutlon p8nslon sch•me Is op8r•l•d.
Th1• y04r
Last yoar
Amount of contrlbutlons rncognlsed In th• SOFA as an •xpense
2.941
3.888
Pl•1￿ •xplaln th• b•*ls for •llo¢atlng th•114blllty and 1x￿nI0 of
100% unrestricted
100% unre8trictsd
1Z2 Pl8as• ¢ompht• thls s•ctlon wh•rn the ch•rlty p•rtlelp•t•s In * d•lln•d b•n•lltpenslon pl•n but l* un¥bh to
•sc•rtaln Its sh•r• ol th• und•rtylng •ss•ts and 11abllltl￿.
Pl•4￿ ¢onflnn that although th•
s¢heme Is accounted for a$ a defined
contributlon plan. It Is a deflned bene
plan.
Please pvovld• such Inforniatlon as 18
avallable about the plan'¥ surplus or
deficlt and the Impllcatlons. If any. foT
the reporting charlty for thls year and
1•st year. if differnnt
123 Plo•so comphto this section where the ¢harltyPartl¢lpates In a mult14mployer defined bon•fitp•nsion plan
that is •ccounted for •$ • defined ¢ontrlbutlon pl•n.
Describe the ext•nt to which the charSty
can be Ilable to the plan for oth•r
¢ntltles' obl5ga￿0n3 under tho tomis
and condltlons of the multl4mployer
pl4n. If th[$ Is different for last year,
provide Oetsil$
Provide an explanatlon of how any
Ilabillty arising from an agreement wlth
multi•mployèr plan to lund a doflcit
been detemlned. 11 thls Is dlffor•nt
for last year. yovlde detalls
CC17a IExc811
15
2¢Y1212023

Llv•rpool ￿t•WAY C•ntr•
*thnu•l •c¢ounts for th• p•rlod
1st Wl 2022to 31•t M*r¢h 2023
Charity No
Co numb•r
1091501
04324214
Section C
Notes to tho accoLints
Icontl
Not• 14
T•nglbl• fixod •*•ot•
Pl••s• compht• th1$ noh Mth• ch•rlty h•s any t•nglbl• flx•d •#*•t•
1&1 Cost or ¥alu•tlon
Fr••hold land &
bulldlngs
Oth•r land &
bulldlng•
Plan(
machlnery
and motor
hOcl••
Flxlur•s. fflftlng•
•nd •qulpm•nt
Totsl
Al the beglnnlng of the year
Addibons
729 139
Revaluations
Dksposals
Tran51eF5'
At end ofthe
729.139
89.821
818.980
142 Depr•datbon and Impalrnients
-Basi5
SL or RB (Straighl
Line or Reducing
Balance)
SLorRB
SLorRB
SLorRB
SLorRB
Rat•
At begM)nin9 of the year
Disposals
273,948
89,032
362.980
DeprecJab"on
14,975
428
15.403
lrnpwrnwnt
Transfews"
At end of the year
288,923
89.460
378.383
14J Net book value
èt book valuè at the baginning of the year
Net bwk valve at the end ofthe year
455 191
789
361
455.98
440.STT
14.4 Impainngnt
Thi5 y••r Pkasé provlde a d•scription ol th• •v•nts andclr¢umst•n¢o$ ihat
IBd to th• r8eognltlon orrnversal of an Imp4lmJontloss.
Lasty•ar.' Pl8858 pmvid8 • deserfplion of th• •vonts and ¢1￿￿m$¢#￿e•s Ihat
Igd to tho r•eopnlbon orrnv8rsal of an Impalmi•nt los$.
14.$ Revaluation
Ilan accountingpolky of r•v•luatlon 1$ •dopt•d, pleJ¥e provid•.'
the •ff8ctiv8 date of th• rev•lu•fion
Th1*
Last
th• nam• olindepend¥nt v•luor. If •ppllcablo
th• mothods •ppll•d and signifi¢•nl •ssumptlons
tho c•rying amount that wouldh•v• l)e•n r•¢oqnisad h•d th• •$s•t$ boon
c4m•d und•r tho Cost mod81.
CC173 1&G￿l
2011212023

Charity No
Co numbor
1091501
04324214
h￿n￿lI •c¢￿nts fr￿th* p•rlod
1$1 2022 to 31st M•reh 20rJ
1&6 Other dlsclosurns
La*tJ•ar
ffl Pl••s• sl•t• th• amount of I￿rowIng costs, If•nys ¢•pll•lls•dlft th• ¢onstru¢don of
t•ryW• Ilx•d•ssets •nd th• c4ptt•lls•Uon r41¥ u$•d.
ffl) Plv•s•pYovld• amountof contr￿l￿OI¢0Mmltyn0Trts for th• •¢qul$ltlon ofl•nglbl•
1114 D•l•Rs of th• •xlsl•nc• •nd e•nwng amounts ofprop•ty. planl and
équipmènt to th• ch•rfty h•s rnStiict•d Ild• or th4t*rn pl•dgodJ¥
. Thè Tr#nskn' rowis fOrM￿mentS bel¥w•n fixtrd asset C8togthi•s.
-Please indi¢8te Ihe methodofdeprn¢i8tson by dgl&ting the melh¢)d notapplicable (SL - slraightline," RB= reducry b8lanceJ. Atsoplease
W￿￿￿te ths rnte of deP￿latIon.. for$fra￿￿t Ilno. what is the antsclpalgdiifg of the 8ssgt (Inyg8rsJ.' forr8dudrnJ balance. what is the
pertentsge annualdeduttion.
CC17a Fxcdl
17
2011212023

Llv•wl G•tsw•y C•ntr•
Annu•l aecounts for th• p•rlod
1st Aprll 2022 to 31st March 2023
Section C
Charlty No
Co number
11YJ1 $01
04324214
Notes to tlie accounts
l¢ontl
Note 19
Dèbtors and prepayments
Pl•w comphm thls note lff the ch•rlty has any
d•btors or prnpaym•nts.
Th1• year
Last year
19.1 kna1￿1$ of d•btor4
Trade debtOTS
Prnpayrnents and •ccN•d Incomè
Othw debtors
36,264
83
36,347
35,763
35.763
Total
Please cornpl•te 19.2 wh•r8 4 materlal debtor 1$ re¢ov8rnble moro (han a year after the rep¢)rtlng d8tO.
19.2 *malysls of debtors recover•blo In moré than 1 year {In¢luded In deblors above)
Thls year
Last yèar
Trnde dgbtors
Prepayments and ac¢ruod incom•
Total
CC17a (E￿)
18
2011212023

Llv•rpool Git•way C•nlr•
Annual i¢count• for th• p•rlod
1st 2022 to 31•t March 2023
Charfty No
Co number
1091501
04324214
Section C
Nolos to tho accoiints
Ironti
Note 20
Crodltors and accruals
Pl••s• compl•t• thh noto lff th• ch•rtty ha8 •ny ¢r•dltorn or •eeru•l•.
20.1 Anal￿11 of crtdllorn
Amounts falllng du• wlthln
one
ear
Amounts falllng du• aft•r
more than on•
Th1• y•ar
Lait y•ar
Thls year
Last year
Accrual$ for grnnts payable
Bank loans and ovèrdrafts
6.832
12,096
7,454
15,432
16,739
22,209
Trade crndltors
Payments rec•lv•d on account for ¢ontracts or
p8rformance-relatèd grants
Accruals and defgrred Incoma
750
750
Taxatlon and social securlty
Other credltors
7,144
79
6,416
Total
20.2 Deferred Income
Please complete thls nots If the ¢harlty h•s dofeffed Income.
Thls
ear
La$t
ear
Please explaln the roasons why Incom• Is d8farnd.
Movement In deferrod Income •¢count
Th1¥ year
Last year
Balance at the start of the reportlng perlod
Amounts added In current perlod
Amounts released to Income from prevlous perlods
Balance at the end of the reportlng perlod
CC170 (Excell
19
2011212023

Llv•Trool Q•hw•y C•ntr•
Annu•l •¢count• for th• p•rtod
1•t Aprll 2022 to 31•t M•rch 2023
Chirlty No
Co numts•r
1091001
04324214
i'i'tioii C
Nolii% lo IIiL' ILLuiirit5
(Loiiti
Not• 24
Ca•h at bank and In hand
Th1• y••r
L••t y••r
Short t•mi ¢a8h Inv••tm•nti Il••• than 3 monlh• m•turlty d•t•l
Short t•mi d•po•lt8
C••h •1 bank •nd on h•nd
Olh•r
Total
5.005
10,808
13,000
4,209
CC178 (Excdl
20
2011212023

Llvèrpool G•tsway Cèntra
Annual accounts forthe pgrlod
1st Aprll 2022 to 31st March 2023
Charlty No
Co number
1091501
04324214
Section C
Notes to the accounts
Icontl
Note 27
Charl
funds
27.1 Details of materlal funds hold and movèmènts during the CURRENT reporting period
Please glvg dgt411s of thè movèments of materlal Indfvldual funds In the roportlng porlod togother wlth a balanclng flgure ftir 'Oth•r funds.. Th• Tot41
funds. flguro bèlow should roconcilo to Total fiinds, In the blanac• shget.
. Key.. PE- permanént endowm?n¢ lunds.. EE- expendlble endowm•n¢ fund$," R- réstrkted Income funds. Includlng speclal trusts. of th• charlty." and
U- unro$trkt•d funds
un
balances
brought
forward
un
bal•nc•s
cayrled
foThTanl
Type PE, EE
RorUR"
Purpose and Restrlctlons
Galns and
losses
Incornè
Expendlturè
Transfera
Fund names
Restricted fund
1.392
455,300
15,403
135.261
14,011
463.107
Unrestricted fund
143,068
Other funds
Nla
Nla
Total Funds
456.692
143,068
150.664
449.096
CC17a (Exc811
21
2011212023

Llverpool Gatèway Centr8
Annual accounts for the perlod
1st Aprll 2022 to 31st March 2023
Charlty No
Co number
1091501
04324214
Section C
Notes to the accounts
(cont)
Note 27
Charit funds
cont
27.2 Detalls of material funds held and movements durlng tho PREVIOUS reporting perfod
Please glv• detalls of the movements of materlal individual funds In the rnportlng perlod together with a balancing figure for 'Other lunds.. Tho Total fvnds.
flgurn below should reconclle to Total funds, in the blanace sheeL
' Key." PE- permanent endowment funds,. EE- expendible endowment funds,. R- rnstrictod Income funds, Includlng spoclal trusts, of tho charlty." and U-
unrestricted funds
un
balancos
brought
lo￿ard
un
balancas
carrlad
forward
Type PE. EE
RorUR"
Purpose and Restrictions
Gains and
lo￿$
Incomo
Expenditure
Transfers
Fund names
Restricted fund
17,020
465,918
15,628
125,655
1,392
455.3C
Unrestricted fund
UR
115,037
Other fiinds
Nla
Nla
Total Funds
482,938
115,037
141.283
456,P)92
CC178 (Excel)
22
2011212023