REGisfERED COMPANY NUMBER: 04321342 {England and Wales)
REGISTERED CHARfTh NUMBER: 1093802
REPORT OF THE TRUSTEES AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST MARCH 2021
FOR
CROWBOROUGH FOR YOUNG PEOPLE LTD

CROWBOROUGH FOR YOUNG PEOPLE LTO
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 ST MARCH 2021
Page
Report of the Trnstees
Independent Exami￿￿$ Report
Statement of Financial Activities
Statement of Financial Posltlon
Notes to the Financial Statements
Detsiled Statement of Financial Artivities
io

CROWBOROUGH FOR YOUNG PEOPLE LTD
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 ST MARCH 2021
The tNstees who ar¢ 8]so directOf5 of the charity for the purrmjses of the Companies Art 2(M)6, present their rqKbrt
with the fina￿¢1￿ statements of the charity for tl* yvar cnthd 3 1st March 2021. The tr￿8¢e¢s have adopted the
provisions of Accounting and Reporting Chariiies.. Swem¢ntof R¢commended P￿tiCe applicable lo chaTitics
preparing thcir actounis Èn accordancc with thc Fitty]¢iai Rewrting Siandard applicable in the UK and Rcpublic
of Ireland (fRS 1021 {effeciive l January 20191.
OWECTIVES AND AcfiviTEES- Objeelive$ #nd #ims
'lthe charitw's object and ils principa] aciivity Ès. Ihai of relieving ar¥J p￿rnting suffering amon8si voung people
betw￿￿ the ages uf 13 and 25 tn the Crowborough arn In Partic￿12[, rela￿ 10 ￿cEal exclusion, subslancc
thuse and anti-social behavior. by provision ofadviK irdinin& Cow￿[￿ing and ￿vI)cacY. To advance th¢
education of youttg peopl¢ through ik prorwtion of citizcnship and rffovision of advic£ rtlating to
sexual health: family p13nnin& ho￿81￿8 atxt welfale i&sues. Additionally. any othcr Gloritable purposcs &s t
trustees may fTOm titD¢ to timc (kterniine kneflcial to pcopl
Thc ¢haTity Tents a shop in CrowiM)rough fr(xn which the ￿lynic$ in furtherance of the purwse$ above are
conducied. The shop 15 Staffed by professional thi￿r& secoTthJ by Eas¢ S￿seX CK)unty Council togeiheT With
volunt¢¢]s.
Thc injslees confJrnL thatthey have reganl w the Chariiy ComTnis5ion's guidance on public beneflL
ACHIEVEMENT AND PERFORMANC£- Ch#rit2bk' ac(ivitits
The Itustres confjmi the acttyities of thc Lhariiy In ihe year wu¢ in xrordance with the objectives. Funding
scLurcd ITVM lo￿1 au¢hoTltt¢s in furtherdncc of thc5c obje¢iiYes in operating th¢ shop a￿1 PToviding
seeonded sthff from E&51 Sussex County Cothxil.
FINANCIAL REVIEW- Rcscrvcs policy
It ts ihe ￿lleY of the trustr¢& in ac￿rdanCe with Charity Commission recommendatiOT4 to maint8in IEserves
10 cover ihree months, e55¢ntial running costs.
STRUCTURE. GOVERNANCE AND WACEMENf- Governifjg documefjt
Thc charity is collirolled by li & govetninE d￿UmenL a decd ot-In&SL and cO￿$U1Ul￿ a limiie4J ukmpany.
limited by guarante< as defJn¢d bv the Companies Aci 21K)6.
Recruitment and ap￿L￿t￿CDt of new trustees
Thc Board has the Ex)w¢r 10 44)TX)int additional trustees as it CODsideTS fit.
Risk nhanxgement
'I'he trustees have a duty to id¢Trtify and revicw the risks io which the charity 15 exwbsed and w enswe
appropriate, contro15 in plar¢ to provi(k reasonable &$surd[￿¢ winst fraud atMI ￿ror.
REFERETr4CE AND ADMINisfRATION
R4isttrtd offitt
Clued UP Info
The Regent
Thc BToadway
CROWBOROUGH
IN6 IDA
Rtgistertd Cothpany Number
043211342
Registered Company Nurnbtr
1093802
Page I

CROWBOROUGH FOR Y
NG PEOPLE LTD
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 ST MARCH 2021
Trustees
Mrs K.J. Moss
Cllr S.M. Tidy
Mrs J.A. LA%iS
R. Partridge
P PiDder fvL4AT
P¢nPoini Attountsncy
International Ilouse
776- 778 Barkin8 Road
London F.13 9PJ
2*11 122
Approved by orderof the t*)ard of tsDs*es on ..........._...._..........-..... aThd signed on behalf by:
R. Partrid8e- Trusiee
Page 2

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTELS OF
CROWBOROVGH FOR YOUNG PEOPLE LTD
Indepthldtht eXa￿l￿eT'S rq￿rt tsk the trustvs gfcrowbornugh For YowAg People Ltd fthe Comp¥ny
I report to the charity trustees on my examination of the 8ccouttts of the Co]npany for tbe year ended
31stMaT¢h2021.
Respon$lbililie$ basis of report
As the charitys trustee5 of the Company (and also its direcu)rs forthe purpow of tompany law) YO￿ are
5PODsible for The preparation of the accwits in *cordance with the requiremthts of the CoTnpani¢5 Ad 2
1'th¢ 2006 Act).
Having satisfied m)tself that the accounts of th¢ C¢)wyaTe not ryired to be audited under Part 16 of the 2006
Act and ar¢ eligEble for iNiependeni cxamination, I tsf Th]yexa￿l￿ation of y¢)urcharitys accounts
a5 carried out under section 145 of the Charities Att 2011 Ilhe 2011 Ace). In carrying ovt myexamination I have
followed the Directions giwen by the Chatity Con]mi5sion under5¢rtson 145(5) Ib} of the 2011 ACL
Independent examiner's statement
I have cotnplet¢d tny examination. I confirni that no matters have corne to my attentioo in comjection with the
examination givtng mc Causc lo believe-.
l. ￿￿oU￿ting records were Dot kept in respeci of the Compw as reqll1r￿ by settli￿ 386 of the 2IX)6 A¢ or
2. tbe accounts do nol aword with those t#0￿S- or
3. the at¢ounts do TLOI comply with the 4ccountiDg requirements of ￿lon 396 of the 21MI6.A¢t other thatt atty
requiretnent the accounLS give a ttue and fair siew wbi¢b is Dot [￿atr￿ Co￿1dered as pan of a
independent ewnination: or"
4. the accounts have not be¢Th prwr¢d in accordance with the methods and principles of the Stalen￿t of
R¢comm¢nded Practice for accounting and reporttng by charities lapplieable to chaTities preparing their
accounts in aecordance with the Ftnancial Resx)rting StsndaTd applicabl¢ in the UK and Republic of Ireland
IFRS 102}).
I have no ¢oncerTLS and have corn¢ no other mallers in eonnettion with the exaTnillation to which
attention should be drdUIL in this report in orthr io enable a proper wxdetstsnding tsf the accounts to be
T¢xhed.
P Pinder MAAT
PinPoint Accountancy
International House
776- 778 Barking Road
London E13 9PJ
Dated...29.01.22......-........
Reviewed by Julian Gren FMAAT
3110112022
Page 3

CROWBOROUGH FOR Y015NG PEOPLE LTD
STATEMENT OF FINANCIAL AcfiviTIES
FOR THE YEAR ENDED 31sr.MARCH 2021
31.3.21 31.3.20
Unrestrirted Restritted Total
Total
funds
funds funds
funds
Notes
IIYCOME AND ENDOWMENTS FROM
Donations and legacies
46.752
46,752
73,IK)2
Investtllenl in(y)me '
18
18
47
Totsl
46.770
46,770
73,049
EXPENDITI."RF,ON
Chirii*ble #ctivitits
Gelle￿1 fiu
54,958
54.958
55,717
NET IiYCOME
-8.188
-8.188
17,332
RECONCILIATION OF Fuf4DS
Total funds brougbt fOr%￿d
40,770
40.770
23,438
i'o'rAL FiiNDS CARRILD FORWARD
32,582
32.582
40,770
The notes form part of these financial Statements
Page 4

CROWBOROUGH TrOR
UNG PE
PLE LTD
srATEMENT OF FINANCIAL POSITION
FOR THE YEAR EYDF.D31ST MA
H 2021
31.3.21 31.3.20
Unrestricted Restricted Total
Total
funds
funds
funds
funds
Notes
Current A&sets
DebtOTS
Cash at bank and in hand
2.134
34,215
2,134
34,215
7,908
42,529
36.349
36,349
50,437
Creditors
Amounts Failing due within ¢)ne year
-3.768
-3,768
-9667
Nel Current Assets
32,581
32,581
40,770
TOTAL ASSETS LESS CURREKr
LIABILITIES
32,581
32,581
40,770
NEf Assets
32,581
32,581
40,770
Funds
Vnrestrietrd
32,581
40,770
TOTAL FUNDS
32,581
The ¢haTiiable company is entitled to exemption from audit uthdersection 477 of tTr￿ Corn￿1¢5 Art 2006 for the
year ended 31st March 2021.
40,770
Th¢ members have not requird the company to obtain ￿ a￿111 of its fjrhqncial swtmeTrts for the year
ended 31st March 2021 in acwrdance with Staion 476 of the Companies Aa 2006.
The truste¢s acknowledge their K%[￿sibili11¢S for
lalOensurin8 that the charitsbk co]npally keeps %coulllitig Te£ords thal compl% with ￿tiotts 386 and 387
of the C.'ornpanits Ad 2(M)6 atxj
{b} preparing financial Statements which give a true athd lair view of the state of affoits of the d]aritable
company as at the end of each financial year and of its swplus or Ikficit for exh financial yeaT in &cwrdaT)
with ihe requirements of Sections 394 and 395 and which otknvis¢ (y)TTrply with ihe T¢ouirem¢nts of the
CoTnpanies Act 2006 relating to fth2nc1￿ 5tstsiertL% so far as app11L￿1¢ to the ¢haritsble company.
These financial stateEneThts have iwj prepared in a¢c(Kdance with the provisions applicable ￿ charitable
conipaTii¢S subjeLtt to the small companies regÉMe.
.sJi.l?2
The finantia] were apprnved by the Board ofTrustte5 autknri$￿ for issiK Qlk.. .
on ils behall-by=
and were
R.Partridge- Trustee
The notes form part of these financial statements
Page 5

CROWBOROUGH FOR VOUNG PEOPLE LTD
NO'fES TOTHE FINI AYCIAL sfATEMENT
FOR THE YEAR ENDED31ST MARCH 21121
AccouwfiNG POLICIES
Basis of preparing tbe financial slalements
Thc flnanci￿ staicmenLS of the tharKt3ble a)mTMn)'. ￿.hICh is a public bcnefil eniitv undtF FR$ 102.
havL bL*n prerored in acLordance Miih Chariiies SORP IfRS I O?I'Accounting dnd Re[￿rtillg by
Chariiies.. Ststement of Recommend￿ P￿titr applicabl¢ io ch#ritie5 PTeparing ihcir acco￿(8 irt
accordance wilh ihe Financi￿ Rewting StsrKlaTd applicable in the UK and Republic ofiTeland
IF"KS 1021 letTeclive l January 2019),. Fitw*cial R¢tx)ning Standard 102 The Finartcl￿ Reporting
standard applicable in the UK and Rewbli¢ ofiTelaT¥J' at¥J the Companies Aci 2006.
The financial statements [￿Yt p￿PatEd w]der the historicaj cosi o)nvention.
Taxation
The charity is exempt from CorF￿ration Tax on its charitsble a￿lyt1]e&
INVFSTMEIYT INCOME
31.3.21
31.3.20
BqELk interest Teceived
18
47
NET INCOME I (EXPENDITURE)
31.3.21
31.3.20
Nct incomtl{eX]￿￿dIlu1e) is ￿atyJ aftu ctwgingllcrediiing):
OtheropeT*ing leases
9,524
10,206
TRusfEES' REMUNERATION AND BENEFITS
There wffe no trusttes. TemurLeraiion tr other benefits for the year 31st March 2021 nor for the
year ended 3 1 st Mar¢h 2020.
Thcrc wcrc trustees, paid for the y￿ended 31# Marth 2021 nor for theyear ¢￿Ied
31 st March 2020.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcrtvrrtES
unrestrirtec Restricted Total
fund
fund
funds
INCOME AND ENDOWMEN75 FROM
Donation5 and legacies
73,(K)2
47
73.CM)2
47
Investment itt¢othe
Totsl
73,049
73,049
EXPENDITURE ON
Cbaritable aetivilies
GÈn¢TJ fund
55,717
55,717
NET INCOME
17,332
17,332
The notes form part of these financial statements
Page 6
continued.....

CROWBOR
FOR YOiiNG PEOPL
NOTES TO THE FINANC.IAI. sfATEMENT
"OR TIIE I'EAR EP*DED 31ST MARCII 2021
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcfIvITIES- continued
unrestric￿1 Restricted Total
fund
fund
funds
RECOP4CILIATION OF FUNDS
Total fi]nds brought forward
40,770
40,770
Total fi￿d& caJried forward
32,582
32,582
DEBTOIiS: AMou￿[S FALLING DUE WIThIN ONE YEAR
31.3.21
31.3.20
Prepayments
2,134
7,908
CREDrfoKS: AMOUNTS FALLING DUE wrrHtN ONE YEAR
31.3.21
31.3.20
Accur¢d expwses
PA YE due from HMRC
3,811
-42
9,667
Net
MOVEMENT IN FUIYDS
At
Movement
At
At 114120
in funds
31.3.21
Unrestrieted funds
5tN)P
40,770
-8,188
32,582
Total Funds
40,770
-8,188
32.582
Net movcments in fund& i￿1￿1¢￿ in th¢ al￿ve are as folh)
Incoming Resources
resources expended
Movement
in funds
Unrestricted fullds
thop
46,770
-54,958
-8,188
Totsl Funds
46,770
-54,958
-8,188
The notes form part of these financial statements
Page 7
continued.....

ROWB
ROU
H FOR YOUNC PEOPLE LTD
IYOTES TO THL FIN,IP4CI.4L SfATETrtE.N'T- coNlinued
FOR TIIE YEAR ENDED 31ST IMA
20
MOVEMETrIT IN FUNDS- contiDMed
Comparatives for movement in funds
At
Movement
At
At 114119
in funds
31.3.20
Unrestricted funds
shop
23,438
17.332
40,770
Total Funds
23,438
17,332
40,770
Comparatives net movement in furwJ5. ir￿l￿jed in the atrrt)ve are as follows".
Incoming Resources
resources expended
Movement
in funds
Ullrestri¢ted funds
shop
73,049
-55,717
17.332
Total Funds
73.049
-55,717
17,332
A current ye8r 12 month% and prior 12 nx)ntlL8 combinthl p)sitton i$ ￿ folknw$:
At
Movement
At
At 114119
in funds
31.3.20
Unresiricted funds
shop
23.438
9.144
32,582
Total Funds
23,438
9,144
32,582
A CUTrcni year 12 ftx)ndL8 and wior 12 nK¥nthg ¢oMbIn￿ Tft TtK>veJnenl fvnth: in the atKkve are
as follows..
Incoming Resources
resources expended
Movement
in funds
Unrestricted funds
shop
119,819 -110,675
9,144
Totsl Funds
119,819 -110,675
9,144
The notes form part of these financial ststements
Page 8
continued.....

CROW
H FOR YOLNG PEOPLE LTD
NOTES TO THE FITr411￿C1AL STATEMENT
'OR THE YE.4R F.F*DF.D 31ST TrIARCH 2021
RELATED PARTY DISCLOSURES
There were no related patty transactions for the year ended 31st March 2021.
The notes form part of these financial statements
Page 9

CROWBOROUGH FOR YOUNG PEOPLE LTD
DETAILED sfATEMENTOF FINAliCIAL A￿1vITEs
FOR THE YEAR ENDED 31sr
ARCH 2021
31.3.21
31.3.20
INCOME AND EN￿wmEI4Ts FROM
tkjnations and legacies
Investm¢Dt in¢omt
46.751
70,CKJ2
Bank interrest received
18
47
Total r¢so•ree
46,769
70.049
EXPENDITIIRE- Cb*ritable acliYilitJ
Operating L¢as¢ shop rent
9,524
633
739
452
834
1,332
105
31.920
215
10,206
878
850
1,897
994
410
4,842
33,196
279
554
33
57
250
loo
45
Lighi gnd heat
Telephone
Offi(t Supplies
WebsTte and IT
Maintenance
ContribuiioD- S¢¢oDded Sa
Li¢¢n¢es
Sulldries
153
345
Services provisii)n
Travellin8
Donations
3,505
i(x)
subscription5
trainin8
wag¢s
Volunteers eX￿￿Se5
Subcontr&Ct*l stsff wages
1,849
874
856
Support costs
BaDk cbargey
GoTrernan¢t ¢05ts
69
60
sundrie5
13
1.441
1,454
43
1,053
1,066
A¢¢ountsD¢y
TotAI ￿sourCeS expendtd
54,958
55,717
Net Income
-8,189
17,332
This page does not form part of the statutory financial statements
Page 10