Smalles Goldie Group
CqEAIING AI)¥1411TAGE
ReGI8TERED ¢OMPANY NUMBER: 04012143 (England and Wol•sl
REGISTERED CHARrrY NUMBER: lo•4￿7
The Freedom Community Trust Limited
Consolidated Financial Statements
31st March 2022
i)
iCAiW
CHARTERED
ACCOUNTANT5

Th• Fre¢dom Communlty TnMt Umltsd
Content¥ olth• Fln¥ncl•l St•tsmonts
for the yur ended 31st March 2022
R•fornnu and Admlnl•tr•tl¥g D•tsll•
R•port ofth• In￿￿•0
R•port of th• Ind•p•nd•nt Audltor•
Coniolldatsd Ststsm•ntof Flnancl•l Actlvlu
on•olld•t•d B•line• 8h••t
10
Char￿Y 8•l•nc• Sh••t
C•Bh Flow 8t•torn•nt
12
Not•• to tho CA¥h Flow 8t•tern•nt
13
Not•• to th• FlnNneknl 8l•t•m•nt•
14-23

The Fre•dom Communlty Tnmt Llmlt
Refar•nce and Admlnl•tratlve Detall•
lor the year •ndod Jl•t M•rch 2022
TRUSTEES
S J Alhoft
J Boyd
H C B￿geS
S L HatliBld
S P Jackson
H McConn•ll
R Nomsn
Re¥ R P Phillips
S Sh•pp8rd
A M Thornpion (appointed 25.05.221
COMPANY SECRETARY
S Garnelt
REGISTERED OFFICE
Th¢ Freedom Centre
97 Pre8ton Road
Hull
East Ycrkshire
HU9 3Q8
REGISTERED COMPANY NUMBER 04012143 IEngLqnd and W81•11
REGISTERED CHARtrY NUMBER 1094807
AUDrroRS
Sm8ik•8 G¢ldi
Chartered AC￿un￿￿ts
StalutDry Audltor
Reg•nf8 Court
Prtne•8• Street
Hull
Ea81 York4hir•
HU2 8eA
BANKER8
York¥hire Bank PIC
214 HO￿eMe$S Road
HU9 2A4
Page 1

Th• Fmedom Communlty TN•t Llmlted
R•port of the Tw•ts
forthe year•nd•d 3t*t *Y¢h 2022
At the end of 2021-22, ￿ all Jow that the grip that Covi&19 hag had on all of oui lives started to relax. The days ol
bein9 required to remain In our home8. and the done by the FCT in partnernhip *lth EMS, local politsryan•: and tho
9•neI￿rtY of organisati008 such al Crans%wck foods, that keep so many pecple going, Seen￿￿ I'ke 8 long bm? Ago.
However, e¥8n tlwh restn"cb'onJ lifted, the impact ofthe pandernic continued to be feL Vthilst ￿eryOne wu 811th4td to
a￿0¢{ate freely, our commurib"88 told us that Ihey remained LY)nc4rn￿ Jbout goiry 0￿, •weaally thoM ¥￿th health
vulnerabilib'u.
We thiB our ¥I￿tor nurnbern and In the djity tr&ling ol Iradry c4Jnpany, wl¥ch i• Lvnllnualty I1￿.n￿
lignifi￿nlY less than belorg Ihe pandornic We recogniBed that the Bituation was unlikety to TMO￿e quid(ly, and th8
board apwo¥ed a three-year •trategy to focus our limited re•ource• on areas m￿1 likety lo generale suBtainable
•ucCe￿..
2022.25
Our three year 51ratÉgy will help steer us through challenging times
help us recover flnonclally frDm the pandomic. We will keep ir
under ctsntinu•l review Brid ch•nx* it as needed.
W• •lm to b• the belt
We wlll locus on supportin8 familiés
and older people
str•i•
We wlll hw• a'ont te•m' •pprtsxh
to s•r•lce d*ll¥•ry
Praperty
5tra¢esy
We wlll be a SUPPQTtlvi partner, provldlng well
rnalntalned properties as part ol a wlder system ol
beneflt5 on-51te and in the local area
We w511 monltor our pro8ress by mpasurins customev le*.dbaik.
revenue. funding support attendance levEls lor our
acrivitSes •nd events.
Created follwnB extenswe Btakeholder and o)mrnunrty coniultation. our &trategy is to for￿ on lthat 7Ae do bert wo
88 8 dose partner lo our tenan18, and work tether as a Single team a¢JoM Ihe organisalon. By foryJwn9 restrJrcth.
belN8ve get tett•rVutr￿lmeS forthe community in the longer te￿.
Whi19t we don't kn(w whatwill cAJme next, v* do know thotthe thalknnge8 wrfl ts)nlnue, fmm thwis that￿ can atready
Page 2

Th• Fmedom Communlty Trnst Lirnited
Report olth¢ Truote
for the yearended 31•t March 2022
see - such as the lonptemi impad of the war in Uk(aine and tho c05t-014iwng inc¥eases Iwhich Ind￿je the ¢￿$t of
running builth'ng8 and organSsaliong1
to things we eanl yet antiapate. ￿ateVer happens. ￿ know that our
communitses nged u$ and mntinue to 3upport them long Into the futu￿.
Sue Sh•ppard- Chalr
CH
PERF
Even Ihough have a deffnitive Bpecific I0￿s, ￿ continue to deliver acr066 all of our charrtable objectives, W0￿￿n9
hard to rn*e sure that we meet and e¥￿ed the responwbilibes placed upon us.
Our highlights indude Ibut ar8 not limited tol..
The relief of Ftherty and un•mploymant
We continued our wotk with EMS to continue the success of our food
project, with ever more mernbers joining and furthei ¥upport offered
ty the busine89 community. We Succeeded in securing a tsvo-year
exiension to the Project thanks lo iuppttrt from the national lottery
and Places for People. We remain indebted lo Cranswck foods and
partners for their conllnued generosty and support. We continued our
commitment to invest In the CLLO programme PR08E and we
pleased to see lome ofthe best results amongst provlders frorn
acro8J the city, wth people from our communits'e8 beneflling from
new skills and wod( opportunities.
We began a number of projects, wlth Some al the d&lSv&ry and other8
l the plannlng stages, to help people in our communities cope wlth
the co81 of living, such as Clean Kid8- a hygiene support programme
that ha• provided malerlal8 for children and families to keep clean.
Working with schools aB well as the Freedom Centre we have seen
an incredible uptake.
The advancAmenl ofed4Jcat*)n,
training, or retraining
We conllnue the support of adult edu¢8tion, library, and community
ICT services to and ensure that are commun￿'e5 gel the best access
skills 4nd training.
The provision offinanaal a￿ls￿nce,
téthnirxl JssistaTr￿, advilory and
¢ounsellin9 8ervie•i, bu*ine6s advice
or C￿OultaneY
Support given to Btart-up bu$ine$$e8 Induding technical and flnancial
•upport. This included help lo accesg covid support grants lo ensure
they could conUnue lo operate through the pandemlc.
Support for youth enterprise continues along wlh support for rAre
leavers to accejs work and other related support.
The providon olfarylities for
crealional leiBure tirne and the
organisabon of ￿lSUre aL*'vi11•8
Supported the work of the Freedom Centre to deliver recreab'onal
f•cilith'es and positive 80cial experience¥ Saw Covid safe pantomlmes
and family activity¢8 return, providing much needed relief in diificult
times.
The protection or conservation gf the
environment
We continued our programme to introduce LED lighbng. We also
introduced other measures such 88 PIR sensors to shut off lights
when a￿a5 not in use. Improved signage reduced the preservalon of
water.
The holding of exhibibons. meetings.
etc.
In person meetings relumed and we look forward lo these increasing
as confidence grows following the end of re8lriction8.
The promotson ol safety and
prevention ol oime
Work with all agencies including police, housing providers and local
authority COn￿nueS to address isgues.
Pwe3

Tre F￿￿Orn C•mmunlty Trn8t Llmlt•d
Report of th• TrnSt￿l
for the year onded 31•t Atsrth 2021
ACHIEVE
ENTSAND P
RF
RMANC
Ob
•ctlv•
The promotion of health and healthy
lile8t￿e0
FhqhAtw•
We provided location 8UPPOrt to a wide range of health promotion
charlties and the NHS to spread po8ibve messageB aboLrt healih.
Our eofflmunty gym continued to provide an eXcep￿Onal value
service to its member8.
Our café provide(I IowwCOSt hi9lwualty food for the communlty.
FINANCIAL REVIEW
NANCI
AND RESE
The chanly'8 Incorne for the year ended 31 March 2022 was £659,735 12021.. £703,068). The net outgglng re80urc4•
•mounted lo £1,129,89812021. £1,154.7291 r¢sutting in 8 defidt 01£470,16312021'. £451,861).
The ch8nty had unrestrithd r￿￿e9 of £8,398,438 12021.. £8.872,0991 and restricthd meNe• of £19,832 12021..
t16,3321. Taking Into arLwnl the nature of the tharity'8 incame 4tre#m8, the tru8te88 are of the ¥igw that reseryes at
the8e leval8 are 8uffldenL
We inc*ea8tng dernAndÉ lor 8UPPOrt, rf•ing deli￿ry costs and eontinued preMuf¢ on revenue•. Howéver, we wll
contsnue our ccffjrnitment io delivef our obj'eth'vei. We Are hopefully that providero ID th? fundlng Mathet￿lI b• retumi
to 8UPPOrt community priorits¢8.
Ob
•ctlv•
The relief of pov?rty 8nd unemployment
Our
Vve wll contsnue lo work w41h partners to improve opportunities lo
ac￿98 8klll8 and find employrn•nt.
Continued partnering with EMS lo help reduce household
expenditure on utllitse8 ond food. reducing povety
Continue to partner with PR08E and other• to 8UPPOrt sklus and
employability
We wll conllnue to provide accornmodallon for the Adult Education
Facllity at the Freedom Centre
Th• advanc*menl of •du￿￿on. trainlng.
or retraining
We wll support Hull TraSnlng and Hull College to increase acces8 10
tralning for local resldenl$
The provision ol finJnuBI a￿*￿nCe,
lechniral a881stan￿. advi80ry and
counseuing 8er¥icei, bu5ineai advice or
con8ultsncy
We will be supporting the C￿l0¢4110n of voluntary groups. ¥lart4JP
bu8ine$5es or other thifd sector organisalions. We wll do more to
c￿Ordinate actlvity and share infomalion.
We will give opportunities lo people supported by Ihe youth
enterprise work we do in the dty where it is appropriate.
Supportlng the work ol the Freedom Centre to deliver recreational
facOlSbes and positNe soclal experience8
The proviwon of faalrties for recreath.onal
and leisu￿ tsme and Ihe organisation ol
i8ure aGl￿tI￿"eS
Develop existing community groups
Encourage new community groups lo form
The prolection or conservation of the
environment
Working with partners and olhers to explore ways of ensuring the
devek•pment toward8 Sustainabillty of the local environment
Page 4

The Freedom Comrnunlty Trnst Limiled
R•port olth• Trust•e•
lor th• ye•r end•d 31st Ilareh 2022
RE PLAN
Our
l¥n•
Supporting the Freedom Centre to provide exceptional qualty
lacilth'e$ to the benefit of the wder cornmunlty
The holdin9 of exhibitions, meetings, elc.
The promolion of publie safèty and
prevention ol crime
VJe will Seek improvements In the security ofthe a￿a working
closely wth agencies Such a8 the police.
The prL¥nobon of health and heaKhy
life9ly￿S
Supporting or co-ordinating healih promoting charities. volunteer
groups, statutory bodies, and the objectives of national
programmes. We will be relaunching our gym wlh new marketing
materials, offers to 8UPPOrt SL181ained membership and
rell￿odUcing exerclse cJa¥se$ that ￿11 be available to more peoKde
than ever before.
STRUCTURE. QOVERNANCE AND MANAQEMENT
Go¥•mlng document
The charity 18 C￿NtrOlled by itg qoveming dopjrnent, • deed of trust, and constituteB • limlied company. Iimfted by
gu•r8nlee, a8 defined by the Companies Act 2006.
STATEMENT OF TRU8TEE8' RESPON518ILITIES
The Iru8lees (who are a180 the direetor8 of The Freedorn Communty Tru•t Lirnited for th• pu￿oSe8 ol ccfflynylowl are
re8pon8ible for prnparing the Report of the Tru•lee8 and the fin4noal itatement8 in aecordanc* appllcabkry law and
United lQ'rrfJdom Accounth"ng Sland¥rds (Uniled ￿n9dorn Generalty A¢￿pIed AceL)unbng Prnclicel.
Cornp•ny law r•quirei the tru8lee8 to pr¥pa￿ finjncial slat•m•nt# lor each fin•nd•l ywr whkh give a true And f8ir vw
of the slate of affairs of Ihe charitable cornpany an(J ol the Incorniry resources And appli￿110￿ of resour￿8, including the
irwme and expendlture, of the chadtable company lor that period. In preparing th￿8 finanryal 8tatom8nts, th• truslee8
requirnd to
le￿¢t 8ult8ble 8¢counling politseJ •nd then appiv them eonw8tently',
ctjserve the rnelhod6 and princples in Ihe Chadty SORP.,
rnakeludgements and e8timateb Ihat are reaoonable And prudent.,
epaffj thé fin¥no81 statementi on the goin9 basis unlu• il l• In•pprvprt¥te lo presume th4t the ch•ritab
company will continue In bu8inDJ•.
The Iru8teeJ •r¢ re8pon8lble for keeping ptrjper aco)unting recorth diJc$)￿ with re88onabl• •coJracy at any tirno
the financial p0611ion of the charilable company and to en8ble Ihern lo On8U￿ Ihal the fingna4151at¢ments comply wlh
the Companies Act 2006. They are ¥lBO respon51blo for Bafeguarding lh• 88Bel8 ol Ihe tharfl8ble Eompany and hen￿ for
lakSrrfJ ￿￿e￿able step8 for the prevention ond detedK>n of fraud and othar lTheguI¥r￿e$.
In go far a• the truBtee8 are Aw•r•'.
Ihere 18 no relevant audrt inlonnation of which Ihe tharrtable company's auditor8 are unaware, gnd
Ihe trustees have taken all step6 that they ought to have taken to rn8ke themselv85 aware ol any felevant audit
Infomation and lo e8tabli8h that the auditorn are •ware ol that infornaDon.
AUDITORS
The audilorg, Smal￿8 Goldie, will be propos￿ for re4ppolntm•nt at the forthcomlno Annual General Meets"nq.
Approved by order of the buard ol thJstee$
2022 and signed )n its behallby..
S Sheppard- Tru$tee
Page 5

Report ofthe Independent Audltors to th• MemlJer• of
The Freedom Community Limited
Oplnlon
We have audited the financial statements ol The Freeclom Comrnunity Trust L￿mited Ithe parent 'charitable comparsy'l
and its subsidiary (the 'group I for the year ended 31 st Marth 2022 whith comprise the Statement ol Finanoal Activities,
the Balance sheet, the Cash Flow Statement and notes to the financial statements, Induding 8 surnlllary of wgnific8nt
ccounting poliues. The finanrAg1 ￿porting Iramework that ha5 been appli￿ in their preparation is zpplicable law and
United Kingdom Accounting Standard$ (United Kingdom Gen¢>rally Accepted A¢rounts"ng Practice).
In our opinion the financial 8tat8ments'
give a true and tsir view of the 8ts19 of the parent tharrtable ec17)pany's affairs a5 at 31st Marth 2022 and of thè
group'8 incoming resource5 and appl¢cats"on ol resource8, including its income and expenditure, lor the year Ihen
ended.,
have been properly prepared In acLordance bmth Unite¢J Kingdoffl Generally Accept•d Accouniing Pracke., and
have been prepared in accofdanr* with the reqU1￿MentS of the Companies Act 2006.
81511 for oplnlon
We conducted our audit In accordance with Intem8lion?I Standard5 on Auditing IUKI IISAS IUKII anrl appIl￿ble law. Our
re$pan8ibililie8 under those standards are further 4Jescnbed In the AuditDf5' responsibilit￿8 for the audit of the financi
stalemenls section of our ￿POrt. We are independenl of tho grDUP 8nd parent charitable CLThpany In accordance wth the
8thical requirements that are relevant io our audit of the group finanri81 $lalemenls In ihe UK, including th? FRC'5 Ethical
Stsndatd, and we hav8 fulfilled our other ethi¢81 regponsibililies In accordance with these requirement8. We b8li8v• that
the audit evidence we have obt8in¢d 18 sufficbenl and appropnate to provid¢ a balis for our opinion.
Concluslon• rfrlatln9 to golng ¢on¢ern
In auditing the financial 5taternent6, we have conduded that the tru¥tees' use ol Ihe going concern ba￿￿ ol ac£ouThling In
the preparation of the finanoal statements IÈ approprfat8.
88J¢d on the work we ha¥e performed, we have not idenbfied any material unurtalntl8s relat*)g to •¥entB or conditiuii
that, Individualty or collectively, may ca&¢ Significant doubl on the p8rent thBrItab￿ eompany cf subsidiary group'8 abllity
to eontinue a5 0 going concem for a penod of al 18ast ts¥elve month¥ frorn when the financial statements are auth0ri3ed
f¢r Igsue.
Other Infomiitlon
The trustees are re8ponsible lor the other inlofmaJon. The othar Inlorrn8tion compd8e8 the inf0m)at￿n induded in lh•
AnnuBI Report, olher than the financial 8talemeThts and our Report ol the IndeFendent Auditcfs thereon.
Our oplnion on the group flnanaal $18tements does not cover the other informatlon and, exc4pl to tho extent othemi
•xplicitJy 8tBi•d In our report, wo do nol expre58 any fom af assurance conclusion thereon.
In connection wth our Hudrt of the group finanrial stalgrnent$, our re3ponaibillty 18 lo read the other infornation and, in
doing Go, conslder whèther the othér infermation ij materially inconsi3lenl wth the fin8ncipl si#iements or our knovledge
obtained in the audit or otherw¥e appears to be matèrially mis3laled. If we Identify such m8lenel incon5151eneies or
appgrent m8t?rial rn155tatements. we are required to determine whether this glves riBe lo a rnalerial mi8Flalernenl In Ihe
financial slalemenl8 thèmselve8. If, b88ed on the work have perforrnod, we condude Ihot ther8 Is a maleriol
rni581gtement of thi8 Other Inform8tson, ￿ are required to r•port that fact. We have nothing tD report in Ihis regard.
OplnlonB on other m•ttern pre•crfbed by th• Comp•nle• Act 2006
In our opinion. based on Iht work undertaken In the course of the audit..
the inlomation given in the Report of the Twstees lor the fininrial year for ￿1th the fin8ndal 8taternell￿ a
prepared Is consistent %Mth the finanryBI statements., and
the Report ol the Tru8lee8 has been prepAred In accordan¢e wth applic•ble legal rnquiremenls.
Matt•rn on whl¢h we Are requlved lo report by ¢xcoPtlon
In th• light of Ihe knO￿edge and under31anding of the grDUP and p8rent ehantable company and ils gnvironment
obtBined In the course of the audit. we have nat identifigd m8tprial mi9stat￿enls In the Report cf the Trustee8.
We have nothing to Teport in re¥peEt of the following matters wher• the Companies Ad 2006 ￿qUIreS us to report to you
adequ8te accouTrting record8 have not beèn kept or ￿luMS adoquate for our audit have not been received from
branches not v¢sited by us,. or
the group financial st8lements are not in agreement with the accounting rewrfjs and return8,' or
certain disc105ures of Iruslee8' remuneration specified by law are not made, or
we have not received all the infornation end explanations we require for our audit., or
the trustees were not entitled to lake advantage of the small companies exernption from Ihe reqU1￿ment to prnpare
stratègic Report or in preparing Ihe Report of the TnJ8t•ts.
Page 6

Report of the Indepvndent Audttors to the Members of
The Fr•edom Community TNst Llmlted
Re8p0nslblllt￿s ol trugttts
As ÈxplairEd more fulty in the Stat8rnent of Tfustee8' Re8ponsbilitie6, the trustees Ivtho are also the directors of the
Charitab￿ comp8ny for the purposes of company lawl are responsible for the preparation of the group finanaal
Statements and for being satisfied that they give a true and fair view. and for 6UL* internal contiol as the trustees
detemiine is necessary to enable th• preparation of group financ4al Btsternents Ihot are free from materi81 misBlatement,
whether due to fr8ud or error.
In p￿pa￿ng th8 group finandal statements, the trust￿3 are re6p¢)nsibl& for 858e88ing the charitable company'5 and
gTOUPS ability to continue ay a going CDncem, diselosing, as applicable, rnatlers related to going concern and using the
going contsm ba$1$ of accounting unle88 the Iruslees either intend to tiquidate the qroup or parenl cheritable company
or lo ctase operation8. or have no realist￿ altemative but lo do 80.
Our rn8ponslbllltle* for the audlt of the Ilnanclal •tstsrnonts
Our objectives are to thtain rea3onable assurance about whethar Ihe financial statements as a whole are Ire8 Irorn
rnaterial mis8tatemonl, whether dtse to fraud or error, to issue gn auditor's report that Indudeg our opinion.
Rea$¢nable assurancè is a high Ipvel ¢1 as8uran￿ bul Is not 8 gu?rgnlee that 8udil rmducted In accordan￿ wth
ISAS IUKI will always d¢t¢ct a matenal misstalemenl when il exist5. Missl8lem&n15 can arise frDm fraud or error and are
¢on8idered material if, Individually or In the aggreg8le, they ojuld rea8onably be •xp8c¢ed to influence the economie
d¢riNions of usern taken on the basls of those financial Statements.
Th
Irregulari118$. induding fraud. are In8lance5 of non.complianGe with laws and regula￿ON5. ￿ design procedur•$ In line
with our responsibilitses, outlined above. lo delect material misslalaments in respea of In8gul8rities, induding fraud. The
extènt to whld) eur procedure$ a￿ capable of detecting Irreguhnlie8, indudino Iraud 1$ detailed below..
Our approach to identifying an¢Y as5es$ing the ri8ks of mat?rlal mi88tstement In respecl of iryegularitie8, includinG fraud
ond non-compliance wlth laws and regulation8, was locused on specific laws 8nd regulations which we considered muy
have a direct material effect on the th8rily only and eon801idaled financial stat•menls or the operatson& Df the chafiiabl8
company and the group, including the Companies Aci 2006, the Charitie5 Act 2011. data proleclion, anli-bribery,
employrneni, fundraising regulations, health and safety l¢qislation, health and &oci•l Ca￿ regulations and chlldcare
regulationa. An understanding ol these laws and regulats'ons and lh¢ exlenl ol compliAn¢e WB$ obtained through
dlscu•tsion vAth rnanagBrnenl and ingpecbng l•oal and regulatory cDrre3pondence.
asse5¥ed the $u8c•plibilily ol the thafitable compony's and consdidated finanoal statements te mat?ri•l
missialernent, includlng obtaining 8n underst8nding of how fraud rniyhl 0￿Ur, by making •nquirie$ of m8nag•m•nl and
eoniiderin9 Ihe inlernal conlrob in place to milvJBle rith5 of fraud and non-compliance with laws 8nd ￿gUI*ll¢n3.
To 4ddres8 the risk ol fr8ud through rn8nagernent bi•B and overrid• ol ￿ntrOl6,
performed analyti¢al procedure8 to id•ntify any unu8U81 or unexpected relationship•.'
te6ted joumal entries to identify unusual tr8nsaction$',
a8seg8ed whether judgemen18 And 358umplions mado in Jelennining the ae¢ounting e•timate8 w*re indiutive ol
potential bia8. and
investigated Ih? rationale behind iignifirAnt or unu•ual tran8aCtionB.
In re8pon8e lo the ri8k of irregularities and non-cornplianco ￿th laws and regulaliwB. ￿ de8ign•d pracedureB which
induded, but were not limited lo..
agreeing tharity only and con$olid8ted finanoal statement disdosur•s to undertying SUPPDrting d?cumentsllon,
reading the minute8 of m•eting8 of those charged w+th governan￿,. enquinng ol managernenl as lo actual and
potenb'al1rt19ation and cla1rn8,' ancl
reviewing correspondenrx with HMRC, re￿vant regulators and the charilat4e company'8 legal advisors.
Due to the inhèrent limitations of audit, there is a risk that we will not delecl all ITregularities. including those leading to
material rn1951aternent in the financial statements or non-compliance Wlh regulation. Thiq risk Increa5e9 Ihe more that
compliance with a law or regulallon Is removed from the events and tran5action5 reneded in the finanoal stalemenls, as
we wll be less likely lo become aware of in$lances ol non-complian￿. Auditing 8landards also limit the audit proceilures
requirtrd io Idents'fy non-¢ompli8nce wth laws and regulations to enquiry of the d1￿CtorS anrj other management and th•
Inspectlon of regulalory aThJ legal cor￿spOndence, if any.
The risk is also greater regarding If￿gula￿t*S Dccurring due to fraud rather than error, as fraud involvès intentional
concealment, forgery. collusion, omission. or Misrep￿Sent3tI0n.
A further deswption of our ￿SpONSibl11t1es for the audit of Ihe finandal staternen19 is located on the Financial Reporting
Counal's website at.. ww.frc.org.ukl8ud1torn￿SPons1bI11t1e5. This deS(￿PIlon forms part of our auditDr's report.
P4ge 7

Roport of the IndependentAudltor• io the Membarn ol
Tho Fr•edom Communlty Tvu•t Llmlt•d
Use of our report
Thi$ report 15 made Soltty lo the charitable e4mp8ny'8 members. as a body, In aceordancs with Chapter 3 of Part 16 of
the Cornpanies Act 2006. Our audit work has been undertaken so that we might stale to the charitable group company's
mernber5 those mallets we are reqUI￿d to state to Ihem in an auditOT5' ￿port and for no olher purpose. To the fullost
extent permitted by law, we do not accept Dr a8sume respon51bility to anyone other than the tharrtable compary Ind the
chari¢*Jle company8 mem*rn as a body, fw our auditworK for this reporL orlor the opinions we have forned.
L￿re Taylor 8Sc(Hon81 ACA (Senior Statutory Audittyl
for and on behalf of Smalle8 GoPJie
Chartarad Attountania
ststutory AUd￿Or
Regent'5 Court
PrincesB Stmet
E89t York8hir•
HU2 8BA
21 November 2022
Pag¢ 8

Tho Freedom Communlty Twat Llmlted
Con6011dated Statsment ol Flnanclal Actlvltlea
lor the year •nded 31•t March 2022
2022
Total
fund•
2021
Totsl
funth
Unre¥trKled
fund
Regtricted
fund
Notes
INCOME AND ENDOWMENTS FROM
Ch•ritable actlvltl•¥
Grants and donation8
33,108
3.600
36,808
137,289
Inve$lrnent incomo
Trading activities
Other income
478.883
146,244
476,883
14f,244
491.821
73,658
300
Total
666,236
3,600
669,736
703,Ck$8
EXPENOITURE ON
Rai￿￿9 lund¥
102.06•
102,619
83,728
Charltable actlvltle•
Comrnunily ieTViCe8 & lacilil¢i
1,027.329
1,027,329
1,D91,001
Tot•1
1.129.891
1,129.898
1,154,729
NET INCOMEI{EXPENDITUREI
1473,0831
3.600
1470,1631
1451.8611
NET MOVEMENT IN FUNDS
1473,6631
J,soo
1470.1031
1451,6811
RECONCILIATION OF FUNDS
Totsl lund• brought forwird
.872.099
16.332
•,888M31
S,340,092
TOTAL FUNDS CARRIED FORWARD
1398 436
418268
8,888,437
CONTINUINO OPERATIONS
I Income and exPend￿Ure ha$ ari9en frorn continulrwa activrties.
The ilatement ol fin•ndal advlts'eB indude8 all 98in8 and1088e9 r•cognised in the year.
The notes form part of these fin8nri81 statements
Page 9

The Freedom Communlty Trust Llmlted
Consolldatsd Balanee Sh¢•t
31*t M•rch 2022
2022
2021
Note
FIXED ASSETS
Tengible assets
14
7 998 035
8471575
CURRENT ASSETS
StocJ(
Debtors
Cash at bank
2,086
66.118
4S1.684
1.990
78,055
511,667
17
611,768
591,712
CREDITORS
Amounts falling due ¥Mthin on• year
18
198.6361
I174,8￿)
NET CURRENT ASSETS
418856
TOTAL ASSETS LESS CURRENT UABILITies
,418,21
8,888,431
NeT ASSETS
8 418 288
8,888 431
FUNDS
Unre8trict•d funds
Re8trl¢t•d fund8
20
,388A38
.872.099
TOTAL FUNDS
8 418 288
8 888 431
The flnand•l 8t¥tern•nl• were approv•d by the Bo•rd ol Trustee¥ •nd authoriged for isw• on
nd 8vJned on rt8 beh•ll by..
2022
S $￿Pp8r(l- Trusfe•
The notes form part of these financlal statements
Pag¢ 10

The Freedom C¢Jmmunlty TFu8t Limlted
Charlty 8al&nco Shoet
31Bt M•r¢h 2022
2022
2021
Notes
FIXED A8SETS
Tangible assets
Investrnents
14
15
7.986,273
10
8,457,175
10
7,986,283
8,457,185
CURRENT A8SETS
Debtors
Ca8h at bank
17
17,623
336 381
39,323
342,420
364,004
381,743
CREOITORS
Amounts falling due wthin on¢ year
18
114A781
144.7841
MET CURRENT ASSÈTS
339 629
TOTAL ASSETS LE88 CURRENT LIA81LITIE8
8.326,812
8,794,144
NET ASSET3
326 812
FUNDS
Unre8trict•d lund•
ReBtrfcted lund¥
20
8,306,980
8,777,812
16,332
TOTAL FUND8
326 812
The fin8n¢i•l ¥t•tements approve(J by the 8oard ol Truslo•8 and aUtho￿l•d for issue on
and w8r• Signed on Its buhglf by..
2022
S Shèppard-
ru8leo
The notes form partof the9e financial st8iements
Page11

The Fr•edom Communlty Tvu8t Llmltsd
Cash Flow St*tement
for the year end•d 31st Mireh 2022
2022
2021
Notes
¢￿h flows fmm oper•llng a¢tlYlll••
Cash generated from cperation9
66 1031
112,564
Net Gash luséé inyprovided by operating ath"wts'es
66 1031
112.564
Ca•h flow• from Inv￿lIng aetlvltl
Purchase ol tangible fixed assets
Not cash used in In￿￿"n9 actNit*s
Chango In t￿b •nd ea•h •guSv•l•nts In
the Mportlng perlod
Cash ind ca•h •qulvil*nt* •t th•
b•glnnlng of tho rnporung p•rfod
180.1031
111,876
611867
399 791
Ca•h and cllsh •qul¥al•nl• it tho Wfl of
th• reportlng p•rlod
The not85 foTm part of Ihese financial Btatementg
Pèg• 12

Th• Fr•odom Communlty Trnjt Llmlted
Notes to tho Cash Flow Statemont
forthe year ended 31st Ma￿h 2022
RE¢ONCILIATIQN OF NeT EXPENDITURE TO NET CASH FLOW FROM OPERATING ACTMTIES
2022
2021
14•texpendlture lorth• r•porting perlod l•s pgrthe Statement of
Financlal A¢tlvltl•¥l
Adlugtments lor-
DepreciatK)n charge$
LOSB OTh di8PO8al of Ix&J 8858ts
Ilncre8sell¢Jeffta8e In detstor8
Ilncrea8elldecreas• in 8torks
IDecrease)Ancrè858 in creditors
1470.1031
1461.6611
477,540
480,483
12,937
1981
76 3211
15,076
940
N•t ealh lu•?d InVprovld•d by op8r•llon•
ANALYSIS OF CHANGES IN NET FUNDS
At 1.4.21
Cash Ilow
At 31.3.22
N•t c••h
Coih at bank
611,867
100,1031
461.884
Totsl
Th• notès fomi part of these finuncial staternents
Page 13

Th• Freedom Communlty Trust Llmlted
Notu to thg Financial s￿lements
for the year ende4131$t March 2022
ACCOUNTING POLICIES
8a•is of Prepa￿ng the Ilnanelal gtatements
The financial 5tatement8 01 the eh8ritsble company, which is a public ￿neffit entity under FRS 102, have been
prepared In accordance with the Charities SORP IFRS 1021 'Accounting and Reporting by Charities.. Staternent
of Recommended Practic£ applicable to tharities p￿parIng their aeeounts in accordance with the Financial
Reporting Standard applicable in Ihe UK and Republic of Ireland IFRS 1021 leffecbve 1 January 20191,, Financial
Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Republic of Ireland, and the
Companies Act 2006. The flnanrJal statements h8ve been p￿pared under the historicol cc6t convention. ￿*th the
exception ol investments which a￿ included at markEt value.
Income
All incorne is recogniwd In the Statement of Financi41 Activities onrx the charity ha8 entitlernent to the tynd8, it is
proboble that the incrKne w511 be ref*ived and the amount can be measured ￿lIAblY.
Voluntary income is recogni¥ed once the Charity h85 b••n able lo e8tsbli$h certainly a6 to lh¢ ￿rning and amounl
ol the income.
Investm¢nt InCL￿e recelved in respe¢t ol the Igtting of wvmlses is recvgni18d In the Statement ol Financial
Acilwbe$ in the ponod to which It relales.
Expfrndltur•
Re50urce$ expended a￿ induded In the Stslement of Flnancial Activities on an accw81s basiB, indu8i¥e of any
value added lax vthic* c8nnot be recovered Costs a550uated wth the provision of the prerni8es from the
Charity derives It9 inveslment InC￿￿e are da$$ified as costs ol raising funds, thilst all remaining cosla, exduding
governanrx ¢osts, a￿ treatsd a8 8UPPerting the grnnt maklng activlties and classified as appropriale.
Grants in furtherance ol Ihe Charily'i abiethves are recorded on the ba818 of the liability 8ri81rvJ in the p•riod.
Tanglble Ilxod ai••t•
Fix•d assets are initially recorded ¥1 cost. DeprerAatson 18 provid•d at the follo￿n9 annual r•te8 in order lo wrtts
off each a899t over its e81imated u8elul Ille".
Freehold building8
Frèehold land
L•8sehold building$
Str8ight line over the lerrn olthe least
Fix1u￿$ and filting•
straight Ilne over 310 5 years
l ￿nd and building1 are da88ified Mixed mo*'ve inv?JtrnenlÈ held for • cornbinatien ol the financial retum
they generate and the wntribution Ihe4r u88 by the Subsidiary and other partie8 makej Ic Ihe Invegbng Chanty,
own purposes. However the trustee8 coThJider It impractical lo ¥pportion the prcperties behveen tangible fixed
a888t5 and inveBtrnent prc*)ertie8 $u¢h Ihai all properties are classed a8 18naible fixed aasels.
Fixed 818et inveslment$ are Induded at CQBt le88 any provilicn for permanent dlminLslion in valu•.
Straight line over 25 or SO year6
T•x4￿on
The cornp8ny, 09 a registered Charity. ha6 obt8inod exemption from corporali¢n lax. Charit8bk tax exemption¥
e8n therefore be dairned lo the extent that incorne 8ndlor gain are applicablè and applied for chantable purposes
only. Value added 18x Is ab$orts¢d part ol the operational c03t5 of the company lo the extent thal Il Is not able
to be recovered under the lenns of It8 registration.
Fund •c¢ountlng
iJnr88tnEted funds can be u8ed ID •ccord8nce wth the th8rit8ble objectives al the discretlon of the tnJBtee8.
Oe8ignated lund5 cornpriga unreslricted funds thal have been ¥et aside by the trustees for particular pu￿0¥e￿.
Re$tncted lund5 Can only be used for partiC￿ar restricted purposes within the objects of the ch3ri1y. Restriction
glse when specined by the donor or when funds are ra18ed fur parlicular restricted p￿￿oSe5.
The restrided funds at the balBne• sheet date compri8e of £19,832 in respect ef the Freedom Fresh Food
Prcied, funded by the Big Lottery Fund helping provide fre8h food for familie& in neèd. Further funding ha5 been
aworded lo allaw tht F￿$h Food Project to continue for a further Six Fnonths.
Flnanciil In•trumen¢
Th? Charity only has fin8nual assets and fin8no&l liabilities of a kind that qualify as basic financial in8trurnènt9.
Basic financial inBlrumènts a￿ inttially reccgnised at transaction value and subsequently measured at their
ett￿ment value.
Page 14
onts'nued..

The P￿edOM Communlty Tmst Llmlt•d
Note• to the Flnanclal 8tatoments- contlnu•d
forthe year ended 31st March 2022
ACCOUNTING POLICIES- contlnued
Sto¢k$
Sto¢k3 are Stated At the I0￿r of cost or estimated selling pnca less costs to complet? and 3ell. At each repNting
date an assessment is m8de for impaiTrn8nt. Any excess of the cgrying amount cl stock5 over its estimated
Selling price les5 c￿t$ to complete and sell Is recognised a5 an irnpaimienl Ics5 in Ihe Slatement of Finano
Actiwbes. Reversals of Imp8imient los$es are 8150 recognts•d in Ihe Stslement ef Finan¢wl Actiwbe8.
Pen•lon•
The 3ubsidi•ry und•rtaking Pre4lon Road Enlerpri8e8 Ltinited rnakes payment8 10 a rnoney purchase pension
8cheme. conlnbuts.ons ore tharged to the profit and loss aeeount as they bee¢me payable in a¢xordance ￿th the
rule3 of the gcheme.
Employee bon•ffts
The costs ol $hort-term employee benefits 8r8 ￿COgnISed as a Ilabilty and an expense, The cost ol any unuBed
holiday entit￿mInt is recognised in the period in whith the employee'8 strvices are ￿￿1ved. Termination
benefit8 are recogni5ed immediately aa an expen$e when the company is demonstrably committed to terrninate
the employrnenl ol ¥n employee erto provide tenrlnation benefit8.
Operatlng léa•
Leases which do nol tran81er gub8t8ntially all Ihe Ind reward8 ine4dent#l to owner8hip ar• cla88ified ••
operntlng le¥8•J.
Incom8 from operating le8seg 1$ recyJgni3ed in th• StBtement ol Financi81 Acl'vitieB on a 8lraighl Ilne baBl$ over
the le8s• t•rn. Costs incurr•d In BaminG the lease inmrne are racognised 8$ costs ol raisiNJ lund$.
OpBrating lease expenses •r• recognised as an •xpans? over the10489 t•rm on A straight lino bg1YO.
INVESTMENT INCOME
2022
2021
Renti and wvSce eharg•¥ receivable
476 883
491821
All ol the Investment incom• fr*r 2022 und 2021 18 unr•$iricted incorne.
ANALYSIS OF GRANT8 AND DONATIONS UnM•trfct•d
RMtrlct•d
2022
2021
Biy Lottery. Freedom Frntsh Food
Government grant Ir￿Qme
t￿h•r donations
3,500
3.6110
32,100
21,300
115.989
32,108
137 288
For 2021 £21,300 of the grants rec*Ned are reslrictld in¢C￿e, wth the rerngined being unre8trfct•d.
RAISING FUN08
Unrnstrlcted
Reatricted
2022
2021
Property management co8ts
Cost ofgood8 sokl other costs
71,881
71,681
58,379
5,349
102 569
102 689
63,728
All eolts lor2021 are un￿51￿Cted cost8.
Page 15
continued...

The Freedom Community TN•t Umltèd
Notes to the Flnancial Statements- contlnued
for tho yoar ended 31st Ma￿h 2022
CHARITABLE AGTIVITIES COSTS
Direct
charitable
activiti88
Grant
fund1ng of
activi￿e8
Support
co$15 (see
nole 61
Tolals
2022
Totals
2021
Community #eNces & faelllth.es
379,181
10.000
838,168
1.027,329
1.091,001
Of the cos18 DI charitable actfvi*'es £nil12021." £35,537) ￿re r•strK¢ed and balanr£ unrestricted.
SUPPORT COSTS
2022
2021
Management
Fln8nC8
Information technology
Human reaource8
Governane• costs
DepredAtlo
33,871
37,881
316
77,881
11.100
39,047
28,Q57
302
73,013
10,800
480 483
638 168
631702
NET INCOMEIIEXPENDITUREI
Net in¢omallexpendllur81 i* •tated after chargingllcrediongl,.
2Q22
2021
DepreeJotion- owned asMt8
480 483
AUDITORS, REMUNERATION
2022
2021
Feel payable to the ch•rity8 audllorn lor th8 audrt of th• charity's fin•no81
slalernenls
TRU8TEES' REh1UNERATION AND BeNEFrrs
There were no tru5t•88' remun8r#tion or other benefits for the year end•d 31W M¥rd12022 nor for the y•8r end•d
31st March 2021.
Trustee*. exp•n•g
During the year expenge8 lotallin9 £30012021.. £3001 %%tre pahl to 1 tru8tse12D21.. 11 for i•lepttone, intamet and
other exppnses.
STAFF COSTS
2022
2021
Wages and salaries
Social security cest$
Pensions
367,378
22.892
372.353
22,768
The￿ were no ernployees whose erndument deffined for taxation purp08e¥ amDunted to over £60.000 in the
year.
Page 16
continued...

The Freedom Community Tru•t Llmlled
Note• to thè Flnanclal Staternents. conllnued
for tho y•Jr ended 31st Mllrch 2022
11.
NET OUTGOING RESOURCES OF PARENT CHARITY
As pemiitted by Seclion 408 of th? Ccmpanies Act 2006, the Statement of Finanu81 Actfftiits'es of the p8rent
prity 1$ not presented as part of these financAal statement5. The Pa￿nt charity's net outgoing resour￿8 for the
year ended 31 March 2022 totalled a deficit 01 £468,33212021." £521,247).
12.
INCOMEIIEXPENDITUREI FROM COMMERCIAL TRADE OPERATIONS
2Q22
2021
Tumowr
Cost of $ale8
716.48s
234,446
647,175
227,547
GROSS PROFIT
481,040
419,628
Imini6tra*'ve expen80¥
438 283
44,777
461,992
142,3641
Other oper•ts"ng incom8
32,101
115,989
opeRATING PROFIT And PROFIT BEFORE TAXATION
73,825
T•x on profit
PROFIT FOR THE FINANCIAL YEAR
73,625
13.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcTIV￿lEs
Unrestrithd
fund
Regtncted
fund
Totsl
fvndi
INCOME ANO eNDOWMENTS FROM
Ch4rltabl• Ac￿v￿le1
Gr8nts
InveBlrnent incorne
Trading aCt￿lIt￿lS
Olh?r incorne
115,989
491,821
73,658
300
21,3
137,289
481,821
73.658
300
Total
881,708
21,300
703,Cfj8
EXPENOITURE ON
Railing fund
63,728
83.728
Ch•rftsblD •¢￿vIll•l
Communlty services & facllltJ88
1,055,465
35.536
1,091,001
To¢•1
1.119.193
35,536
1,1S4,729
NET INCOME1IEXPEND￿uREl
1437.4251
114.2361
1451,661 I
TRANSFER 8eTWEEN FVNDS
2.850
12,8501
NET MOVEMENT IN FUNDS
1434,5751
117,0861
1451,6611
Totsl fund• brought for4nrd
9,306,874
33,418
9,340.092
TOTAL FUNDS CARRIED FORWARD
8 872 099
8.888.431
Page 17
¢xJntinued...

The FRedom Communlty TN•t Llrnmod
Notes to the Flnanclal Statements . contlnued
lor the year ended 31st March 2022
14.
TANGIBLE FIXED ASSETS
GROUP
Flxtu
and
Ilttlng•
Freehold
prop•rty
Lon9
Plant•nd
m•chln•ry
Total•
COST
At 1st April 2021
Additsons
12,976,971
3.843,682
71,083
268,069
17,148,791
At 31Jl Mafch 2022
12 976 971
3 841 OB2
17 162796
DEPRECIATION
At 1st Apnl 2021
Charg8 lor year
8,129,164
316,191
2,259.505
148,125
44.498
8,686
243,667
6,639
,677,221
477,640
At 31st M•r¢h 2022
260,296
NET BOOK VALUE
Al 3181 M8rth 2022
630.018
1437 662
7 9•8 035
At 31st Kl8rch 2021
6 846 807
1,583 777
471575
CHARITY
Fixlur••
and
flttings
Freehold
property
Long
l?usehold
Total•
COST
At 1 st April 2021
Addition8
12,976.971
3,143,812
71,083
16.890.736
Al 318t Mgrch 2022
12976971
3 143 882
18880736
DEPRECIAfON
At 181 Apnl 2021
Charge for yeor
0,119.111
310111
2.259,906
148 125
44,496
8,433.661
470 902
At 315t March 2022
8 446 382
2 406 030
NET 800K VALUE
At 31st Marth 2022
6 530 619
1437,662
18,002
7 986 273
At 31st Mareh 2021
6,846 810
15B3 777
26.588
8 457,175
All le8sehold and freehokl 18nd and buikjings ar• o)n84dered to be mixtd motive investments h•ld for
combination ol their finan¢i81 return and iontribulion they rnakp lo the objedives cl the Gharily. HO￿*Ver, the
trustees ¢on$ider It irnpr8ctical to make an apportlgnrnent bet¥%*&n funcb'on81 property and inve51menl property
such thal all propoTtse$ are ¢la9sed as tangible fixed 8B8ets.
INVESThIE14TS
In 3ubShliary eompany
Atco•t
At 11t ADril 20218nd 31￿ Marth 2022
10
Met book value
At 31# March 2021 and 3111 Marth 2022
10
Page 16
continued...

Tho Fro•dom Communlty Tru•t Llmlted
Notss to the Flnanclal Statomenl•- ¢ontlnu•d
for th• year endeLI 31•t Mareh 2022
15.
INVESThIENTS 4ontlnuod
D•tai18 of inve3lmEnts arn as follow4..
Narn• ofcomp•ny
Preston Road Ente￿118•* Limited
Holdlng
Onlinary
Proportlon of •fv8￿ hdd N•turn ol bualn•J•
100%
Functionlmgeling faolibes
The subsidkqry undertaking 15 registered in England End Wale8.
In the opinion of the dirtctor6, the value of the company'5 Inv•sbn8nt in ils subsidlary und￿rta￿ll0 19 not le88
than the Bmount al which it15 Staled in the balance sheel.
1&
STOCK8
2022
Gr0￿P
2022
Charfty
2021
Group
2021
Charfty
Finished good8 and good¥ lor resale
2,086
1,990
17.
DEBTORS
2022
Group
2022
Charlty
2021
Group
2021
Charfty
Trade debtorn
Otherdeblorl
Amounts du• trom 8ubwdiary undertthing
Prepayments and ¥cweJJ Inc￿?)6
11,118
53,708
17.331
496
$8,191
19,955
292
292
19,368
19.368
85,118
17,623
78,055
39,323
CREDITOR8'. AMOUNTS FALLING
DUE WITHIN ONE YEAR
2022
Group
2022
harfty
2021
Qroup
2021
Charfty
Trade &*dilorn
Soclal securfty and other laxe8
Other creditors
Aceruali antl deferred income
34,526
12,151
7,078
773
59,186
23,167
83,928
8,573
33,157
3,054
51.858
6,824
8.573
98,53S
14.475
174,856
44,784
19.
LEASING AGREEMENTS
2022
Group
2022
Charfty
2021
Group
2021
ChaFIty
Minimwn le￿ payments under n0n-wce11ab￿ oparalng ￿&Be6 fall due as folkn￿..
Wrthin one year
B&iwgen and five y•ar8
In MO￿ Ihan five year5
5,655
14,239
215.508
2,083
8,332
215,508
5,325
15,275
217,591
2.350
8,332
217.591
235,402
22S,923
238.191
228,273
PBge 19
onlinued.

The Freedom Community T￿￿t Llmltsd
NotsB to tho Flnanclal Statements- eontlnued
for the year ended 31st March 2022
LEASING AGREEMENTS Cont.
2022
Qroup
2022
Ch•rlty
2021
Group
2021
harlty
inimum lease paY￿￿Tr￿ due to the thadtable ￿rnpanY End th• 9rc￿P undern0n￿n￿l1akn1e operthng le&8e$ fal
due a5 folloth8'.
Within one year
eetween one and five y•ars
In rnare than five years
290,999
266,815
99,150
267.447
510.804
195.806
285,581
659,156
312,805
469.113
146,249
662,964
974,057
983,￿8
1,257.S42
20.
ANALYSIS OF NET A88ETS BETWEEN FUND8
2022
Totsl
fund•
2021
Tot81
fund8
ROUP
LlnreBlricled
fund
Re$tdcled
lund
Fix8d aBMt¥
Current ¥3sets
Current Iiabilitses
7,998,036
498,936
98 6381
7,998,035
618,7e6
8.471,575
591.712
19,832
8 398 436
8 418 288
8 888 431
2022
Tot¥1
lund•
2021
Total
funds
CHARITY
Unrestncted
fvnd
Restricted
fund
Flxed Al￿1#
InveBtment8
Current as8•19
Current Ilabilrtie8
7,98$,273
7,986,273
,457,175
10
381,743
334,172
14 4751
19,832
364,004
8 305 980
326 812
794 144
21.
MOVEMENT IN FUNDS
GROUP
Net
movemant
in fun41
At 1.4.21
31.3.22
Unre•trfet•d fund*
General fvnd
8,672,099
1473,8831
6.398,436
Re•trlct8d fund•
RestTlCted fund
16,332
2.600
11.832
TOTAL FUNDS
888 431
470 1631
41B 268
Page 20
conts"nued...

The Fr•edom Communlty Tru•t Llmlted
Note• to the Flnan¢l•l Stalements. contlnued
forthé y•ar •nded 31st March 2022
21.
MOVEMENTIN FUNDS-<ontlnu•d
Net movement in funds. induded in the abo￿ #re as fOlkn￿..
Trgn8fer
beknen
lund$
In￿ming
resources
R850urces
8xp8nded
Movement
in fund8
Unre•trfcted fvnd•
Geneial fund
656.235
11.129,8981
1473.6631
R••trl¢t•d fund¥
Re&lnded lund
3,500
3,500
TQTAL FUNDS
659 735
1129 898
470 1631
CompawJtlvM lorrnov•m•nt In lund•
Nel
movement
In fund8
At
31.3.21
At 1.4.20
Uhmtrlcted fund*
General fund
9,3C6,674
1434,5751
8,872,099
R•¥trt¢t•d fund•
R•$tricled fund
33,418
117,0881
16,332
TOTAL FUNDS
9 340 092
4516611
8 888 431
Cornparats've Mt movwnent in fund•, included in the above ore A8 followi..
Trnn81er
Inccming
re8ource6
Re8ourt•¥
expended
Movement
in fundi
funds
Unv•8trlct•d fund•
Genernl fund
681,788
If,119,1931
2.850
1434.5751
Re•trlct•d fund•
Reslricled fund
TOTAL FUNDS
1 154729
4518611
CHARITY
Net
mcvement
in fund
At
31.3,22
At 1.4.21
Unve•trl¢ted lund•
Gener•1 lund
8.777012
1471.8321
8,305,080
Re•tricted fund•
Restricled fund
10.332
19.832
TOTAL FUNDS
8 794 144
468 3321
8326812
Page 21
onts'nued...

The Freedom Communlty TN8t Urnlted
Notes to th• FIMnGlal 8tatem•nts. contlnued
forthe year ended 318t March 2022
MOVEMeNT IN FUNDS- ¢ontinu•d
21.
Net movement in fund5, induded in the ¥bo¥e a￿ as follo￿..
Transfer
betwaen
Inc￿1￿0
resource$
Re¥ouw*8
expended
Movemenl
In funds
Unrestrlcted funds
Gener81 fund
483,374
1935,2CfjI
1471,8321
Re$trl¢t•d fund•
Restricted fund
TOTAL FUNDS
93S,21%1
468 3321
coM￿r•I1¥•* for rnov•ment In fund•
Net
rnovement
in ftJndB
At 1.4.20
31.3.21
Unr•8trl¢ted fund•
Genefal fvnd
9,281.973
1504.1811
8,777,812
RMtrl¢t•d fund•
Raitrkled fvnd
33,418
117,0861
18.332
TOTAL FUNDS
8 794.144
Comp8rativo net movement in lundi, Ind￿ed In the abwe are as followi.,
Inceming
Re80urc8
resources
expended
Transfer
befften
funds
Mcvemant
in fund
Unre•trfctsd fund•
General fund
3g8,733
1905,7441
2,850
1504, 1611
R••trlct•d fund•
Rèstricted lund
TOTAL FUNDS
420 033
9412801
521 2471
22.
EMPLOYEE 8ENÉFIT OBLIGATIONS
Frorn 3151 March 2010. all gtaff 8r• employtd by the sub•Ldiary undertaking. Preston Road Enterprise8 ￿mIted,
whith 18 responsible for all Ilaff pensKJn CcThtribul￿￿￿
23.
CONTINGENT LIABIUTIES
The tenns ol the Cr￿p8Ny,s Drigin* lunding agreement wth Govemmenl oifite provide th8t if fixed
assets are ￿1￿ 01 Iheir 0￿erShip Iran¥ferred while Ihey have any ecenomic value, Govemrnent
Offlce must b8 notified a$ 500n as p￿1￿? and Ihey may requsre the proceeds or an apyopnale
propDrtion thereof to be repald.
The Vllage ChildrAre Centre was in part fvnd8d by the Nats"onal Lottery. In the eyent thatthe building
Is ￿kd 6.6¥0 oflhe market value Ibeing the propO￿"0n of the ong1nal con¥truction costs fvrKled by t
donorl wll be repayable to the donor under Ihe tem)s of the grant.
Page 22
continued...

The Frtedom Communlty Twst Llmltsd
NotOS to thg Flnanclal 5tatements- contlnued
for the year ended 31gt March 2022
DIRECTORS. INTERESTS AND RELATED PARTY DISCLOSURES
al Th8 board members n?med in the directors, ￿port as Resident or Independent Trusteès live in the
Pte5ton Road ￿e￿hbOurhoOd A$ such thay are likely to have derived #ome benefit frorn Ihe projects
and iThliati¥es undertaken by the company. However apart Irom the matler noted below the Board is of
the opinion that Such benefits are Unlike￿ lo influence the said mernbers in pursuing the aeparate
Interests of the Charity. Accordingly in accordance wth paragraph 9.18 SORP 2015 no disclosure Is
con51dered necEssary.
bl In the course of lh• year the Chadty charged rent, se￿iCe charye8 and insurance totallin9 £4e,696
12021". £45,966) to Child Dyn8mix Ltd, of whith the TnJslee J Boyd 15 a d1￿Clor. Al the balance 8he¢t
date £8,85612021.' £13.0191 w8s owerl to the Charity by Child Dynamix Ltd.
In th? ¢ourge vf ytt8r the cha￿tY paid Environmental and hlanagtrnent Solutions Ltd £5,72512021.
£32,634). In the course of the year the Chanly eharyed rent, sewica charge8. InsurAnce & ulilib'es
tolalling £14.900 12021.. £12.9711. At the balance sheet dale £2,397 12021.. £3881 was owed to the
Charity by Environrnenl818nd Managemgnl Solutions. The Iru8te• JBnet 8oyd is Bn offi￿r of thva
company.
26.
ULTIMATE CONTROLLING PARTY
Thè cornpany 18 contro4ed by the dlr•etors ar• a150 the Charlty'l trust888 for Charfty law purpose8.
MEMBER'8 LIABILITY
26.
The cornpany w¥5 incorporated 8# ¥ Company limited by gu&rant•e and thereloro ha8 no 8h8re tspilal and li
alw regi$iered a8 a Ch8rity. Tho liability ol tho memb?rB 18 limrted on the wndlng up of the company. Each
mernber 18 only liable %thilst being a member.
Al the tsalan￿ 8h•el date thern ￿re 9 member•.
27.
CONTINGENT ASSET
Durlng 2005 th• Company 8ueuB8fv1ty defendod •n employment Iribunal ca8e brought by a fonrer employe?.
The company w83 awarded coit8 of £10.197 which the claimsnl was not I￿￿edIatelY Jble lo pay. The ¥rnounl of
costs plu• accrued inlere8t Bl 8% per annum Ss now 8eoJred again•t Ihe daimanl'i private ￿sidenC8 and will b
ttled the propety i• sdd.
Page 23