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2020-12-31-accounts

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020 Company number 4984871 Charity number 1103898

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Company information

Company number 4984871
Charity number 1103898
Registered office Canolfan Ceiriog Centre
New Road
Glyn Ceiriog
Llangollen
LL20 7HE
Website www.canolfanceiriog.org
Directors Mrs. A.Price
Mr T.Bates
Mr. J.Mills
Mr. P.Lloyd
Mrs S. Wallace
Mr.S.Price
Mr.P.Fletcher
Mrs B.Gregory
Mr.R.Gregory
Mrs.S.Mumby
Mrs A. Wheeler
Company secretary Mr. J.Mills
Centre Manager Mrs. E.Mills

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Contents

Pages 1 & 2 Director's report Page 3 Income Statement (Profit and Loss) Page 4 Statement of Financial Position (Balance sheet) Pages 5 - 7 Notes to the financial statements

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Page 1

Director's report

The Directors present their report with the financial statements for the company for the year ended 31 December 2020.

Principal activity and review

The company's main activity is the operation of a community centre - the Canolfan Ceiriog

Financial review

The accounts show a deficit in the year of £10,948 (2019; Deficit £1,025).

Charitable objects

To promote for the benefit of the inhabitants of the community councils of Llansantffraid Glyn Ceiriog, Ceiriog Uchaf and Glyntrain and the surrounding area the provision of facilities for recreation or other leisure time occupation of individuals who have such a need of such facilities by reason of their youth, age, infirmity or disablement, financial hardship or social and economic circumstances or for the public at large in the interest of social welfare and with the object of improving the condition of life of the said

Achievements and performance

The Charitable and Business activities of Canolfan Ceiriog Centre proceded as normal during the first quarter of 2020. However, with the onset of the Corona Virus Pandemic, all activities were suspended following the Government imposed lockdown on March 23rd 2020. The facility remained closed up to the end of the year except for essential maintenance and repairs.

All staff were placed on Furlough with the aid of the Government Job Protection Scheme,. This Scheme continues to support Canolfan, by subsidising salaries up to the end of the year. All salary support payments are recorded in the accounts as income.

During this period of suspended activity, opportunities have been taken to revarnish the hall floor and repaint toilets and soiled walls.

£1,531.75 was spent on these improvements.

All café ond bar stock was sold off to avoid wastage

A Business Protection Grant of £25,000 was received from Wrexham Borough Council on 1/5/2020 and a further advance of £5,000 was received on 04/12/2020. Both of these grants have been entered as Capital Increases to the reserve account and will be held to cover future trading losses.

A trading deficit of £10,948 has been incurred during this time of suspended activity.

Structure, governance and management

The governing instrument of the company is it's Memorandum and Atricles of Association. The company was incorporated on 4th December 2003 and is limited by guarantee. The company has been registered as a charity since 24th May 2004

Unaudited financial statements

For the year ended 31 December 2020

Director's report (continued…)

Responsibilities of the board of directors/ trustees

The Board is responsible for preparing the Financial Statements in accordance with applicable law and regulations. The Board is required to prepare financial statements for each financial year in accordance with United Kingdom Generally Accepted Accounting Practice (United Kingdom Accounting Standards and applicable law). The financial statements are required by law to give a true and fair view of the state of affairs of the company and of its incoming resources and application of resources of the company for that period. In preparing these financial statements, the trustees are required to:

• prepare the financial statements on the going concern basis unless it is inappropriate to presume that the company will continue in business. • Observe the methods and principles in the Charity SORP.

The Board is required by law to act in accordance with the constitution within the framework of charity law. The Board is responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the company and enable them to ensure that the financial statements comply with the Companies Act 2006 and the Charities Act 2011. They are also responsible for safeguarding the assets of the Company and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

The report has been prepared in accordance with the special provisions of Part 15 of the Companies Act. This report was approved by the Board on ................................ and signed on its behalf by:…………………….................................. ................................. J.Mills Company Secretary

Page 3

Canolfan Ceiriog Centre Cyf Canolfan Ceiriog Centre Cyf
Unaudited financial statements
For the year ended 31 December 2020
Income Statement (Profit and Loss) 31-Dec-20 31-Dec-19
Incomes
Exercise/Sports Clubs 1,117 5,162
Non Sports Societies 419 3,816
Young People 305 1,659
Private Room Hire 676 3,139
Public Room Hire 0
Cafe 1,361 3,543
Tennis Courts 0
Events 2,814 21,903
Grants and Donations (Core) 2,259 1,955
Building Admin and Grounds 926 0
Year end adjust 820
Total Income 19,496 41,996
Expenditures Exercise/Sports Clubs 0
Non Sports Societies 0
Young People 0
Private Room Hire 118
Public Room Hire 0
Cafe 1,665 8,730
Tennis Courts 0
Events 380 3,489
Grants and Donations (Core) 0
Building Admin & Salaries 17,399 30,684
Year end adjust 10,999 0
Total Expense 30,444 43,021
Surplus/Deficit 10,948 1,025

The notes on pages 5 to 7 form an integral part of these accounts

Page 4

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Statement of Financial Position (Balance sheet)

Statement of Financial Position (Balance sheet)
Fixed assets (note 4)
Current assets
Debtors (note 5)
Current bank balance
Ring Fence account bank balance
Reserve Account
Petty cash
Inventories (Bar Stock)
Current liabilities
Creditors (note 6)
Net assets
Represented by;
Reserves (note 7)
31-Dec-20
£
687,802
0
3,685
926
35,002
0
0
727,415
35,002
31-Dec-19
£
688,481
820
5,365
14,905
30
1,285
0
710,886
14,905

For the year ending 31 December 2020 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies. Directors’ responsibilities:

These financial statements have been prepared in accordance with the special provisions for small companies under Part 15 of the Companies Act 2006 and with the Financial Reporting Standard for Smaller Entities (effective April 2008)

The financial statements were approved by the Board of Directors/ Trustees and signed on its behalf by:-

…………………………...……………..................... .... . ............................................. Mrs A. Price Chair of Trustees

Company registration number 4984871

The notes on pages 5 to 7 form an integral part of these accounts

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Page 5

Notes to the financial statements

1 Accounting Policies

Accounting convention

These financial statements are prepared in accordance with the provisions applicable to companies subject to the small companies regime and in accordance with the provisions of FRS102 section 1A - small entities. The Statement of Recommended Practice (SORP) 'Accounting and Reporting by Charities' is also adopted.

Incoming resources and funds

Income is recognised in the period in which Canolfan Ceiriog Centre Cyf is entitled to reciept.

Income with restrictions imposed is allocated to a Restricted Fund and matched with the expenditure. Capital grants are allocated to a Restricted Fund and matched with the depreciation on the related assets purchased with the grant.

Tangible fixed assets and depreciation

Depreciation is provided at rates calculated to write off the cost less residual value of each asset over its expected useful life as follows:

Long leasehold building no depreciation
Fixtures & fittings 20% straight line
Sports equipment 20% straight line
Computer & office equipment 20% straight line

Taxation

The company is exempt from Corporation Tax as all of its income is used for charitable purposes.

2 Operating Surplus/Deficit

The operating surplus/deficit is stated after charging:

The operating surplus/deficit is stated after charging:
31-Dec-20 31-Dec-19
Depreciation - owned assets 679 1815
Director's remuneration and other benefits 0 0
Auditor fees 0 0

3 Grants received

A Business Protection Grant of £25,000 was received from Wrexham Borough Council on 1/5/2020 and a further advance of £5,000 was received on 04/12/2020. Both of these grants have been entered as Capital Increases to the reserve account and will be held to cover future trading losses.

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Page 6

Notes to the financial statements (continued)

4 Fixed assets

Cost
At 1 January 2020
Additions
Depreciation
At 1 January 2019
Charge for the year
At 31 Dec 2019
Net book value
At 31 Dec 2020
At 31 Dec 2019
Canolfan
Ceiriog
Centre
Buildings
Fixtures &
fittings
Sports
equipmen
t
Computer
& Office
Total
£
£
£
£
£
£
650,000
35,925
25,050
18,127
4,713
733,815
-
-
0
-
0
650,000
35,925
25,050
18,127
4,713
733,815
-
-
23,258
18,128
4,613
45,999
-
-
679
0
0
679
-
-
23,937
18,128
4,613
46,678
650,000
35,925
1,878
0
687,802
650,000
35,925
2,556
0
688,481

A capital grant was received from the Big Lottery Fund towards the building costs of the Canolfan Ceiriog Centre. Conditions upon the grant will remain in place for 80 years after the completion of the building work. The building work was completed in 2007.

The Company has a 60 year lease on the land on which the Canolfan Centre building stands from Wrexham County Borough Council for a peppercorn rent.

5
6
Debtors
Trade debtors
Creditors
Trade Creditors
Prepayments
Grants received not utilised at year-end
Accruals
31-Dec-20
0
0
0
31-Dec-20
0
0
0
0
31-Dec-19
0
820
820
31-Dec-19
0
0
0
0

Page 7

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Notes to the financial statements (continued)

The company has established a reserves policy which requires that a minimum of

£16,000 will be retained on reserve to cover future trading requirements.

8 Related parties

The company is managed by the Trustees/ Directors as listed within the company information.

During the year no payments were made to the directors in respect of services or travel expenses (2019; nil)

9 Independent Examination of these Accounts

These accounts have been independently examined by Mr. T. Dean of Coed -y-Glyn Uchaf LL20 7NP. Mr Dean has reported to the Trustees that he has reviewed these accounts and that the financial contained herein have been derived from the accounting records. He also reported that the the financial statements are of the required format and that he is unaware of any circumstances which would cause concern.

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020 Company number 4984871 Charity number 1103898

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Company information

Company number 4984871
Charity number 1103898
Registered office Canolfan Ceiriog Centre
New Road
Glyn Ceiriog
Llangollen
LL20 7HE
Website www.canolfanceiriog.org
Directors Mrs. A.Price
Mr T.Bates
Mr. J.Mills
Mr. P.Lloyd
Mrs S. Wallace
Mr.S.Price
Mr.P.Fletcher
Mrs B.Gregory
Mr.R.Gregory
Mrs.S.Mumby
Mrs A. Wheeler
Company secretary Mr. J.Mills
Centre Manager Mrs. E.Mills

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Contents

Pages 1 & 2 Director's report Page 3 Income Statement (Profit and Loss) Page 4 Statement of Financial Position (Balance sheet) Pages 5 - 7 Notes to the financial statements

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Page 1

Director's report

The Directors present their report with the financial statements for the company for the year ended 31 December 2020.

Principal activity and review

The company's main activity is the operation of a community centre - the Canolfan Ceiriog

Financial review

The accounts show a deficit in the year of £10,948 (2019; Deficit £1,025).

Charitable objects

To promote for the benefit of the inhabitants of the community councils of Llansantffraid Glyn Ceiriog, Ceiriog Uchaf and Glyntrain and the surrounding area the provision of facilities for recreation or other leisure time occupation of individuals who have such a need of such facilities by reason of their youth, age, infirmity or disablement, financial hardship or social and economic circumstances or for the public at large in the interest of social welfare and with the object of improving the condition of life of the said

Achievements and performance

The Charitable and Business activities of Canolfan Ceiriog Centre proceded as normal during the first quarter of 2020. However, with the onset of the Corona Virus Pandemic, all activities were suspended following the Government imposed lockdown on March 23rd 2020. The facility remained closed up to the end of the year except for essential maintenance and repairs.

All staff were placed on Furlough with the aid of the Government Job Protection Scheme,. This Scheme continues to support Canolfan, by subsidising salaries up to the end of the year. All salary support payments are recorded in the accounts as income.

During this period of suspended activity, opportunities have been taken to revarnish the hall floor and repaint toilets and soiled walls.

£1,531.75 was spent on these improvements.

All café ond bar stock was sold off to avoid wastage

A Business Protection Grant of £25,000 was received from Wrexham Borough Council on 1/5/2020 and a further advance of £5,000 was received on 04/12/2020. Both of these grants have been entered as Capital Increases to the reserve account and will be held to cover future trading losses.

A trading deficit of £10,948 has been incurred during this time of suspended activity.

Structure, governance and management

The governing instrument of the company is it's Memorandum and Atricles of Association. The company was incorporated on 4th December 2003 and is limited by guarantee. The company has been registered as a charity since 24th May 2004

Unaudited financial statements

For the year ended 31 December 2020

Director's report (continued…)

Responsibilities of the board of directors/ trustees

The Board is responsible for preparing the Financial Statements in accordance with applicable law and regulations. The Board is required to prepare financial statements for each financial year in accordance with United Kingdom Generally Accepted Accounting Practice (United Kingdom Accounting Standards and applicable law). The financial statements are required by law to give a true and fair view of the state of affairs of the company and of its incoming resources and application of resources of the company for that period. In preparing these financial statements, the trustees are required to:

• prepare the financial statements on the going concern basis unless it is inappropriate to presume that the company will continue in business. • Observe the methods and principles in the Charity SORP.

The Board is required by law to act in accordance with the constitution within the framework of charity law. The Board is responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the company and enable them to ensure that the financial statements comply with the Companies Act 2006 and the Charities Act 2011. They are also responsible for safeguarding the assets of the Company and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

The report has been prepared in accordance with the special provisions of Part 15 of the Companies Act. This report was approved by the Board on ................................ and signed on its behalf by:…………………….................................. ................................. J.Mills Company Secretary

Page 3

Canolfan Ceiriog Centre Cyf Canolfan Ceiriog Centre Cyf
Unaudited financial statements
For the year ended 31 December 2020
Income Statement (Profit and Loss) 31-Dec-20 31-Dec-19
Incomes
Exercise/Sports Clubs 1,117 5,162
Non Sports Societies 419 3,816
Young People 305 1,659
Private Room Hire 676 3,139
Public Room Hire 0
Cafe 1,361 3,543
Tennis Courts 0
Events 2,814 21,903
Grants and Donations (Core) 2,259 1,955
Building Admin and Grounds 926 0
Year end adjust 820
Total Income 19,496 41,996
Expenditures Exercise/Sports Clubs 0
Non Sports Societies 0
Young People 0
Private Room Hire 118
Public Room Hire 0
Cafe 1,665 8,730
Tennis Courts 0
Events 380 3,489
Grants and Donations (Core) 0
Building Admin & Salaries 17,399 30,684
Year end adjust 10,999 0
Total Expense 30,444 43,021
Surplus/Deficit 10,948 1,025

The notes on pages 5 to 7 form an integral part of these accounts

Page 4

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Statement of Financial Position (Balance sheet)

Statement of Financial Position (Balance sheet)
Fixed assets (note 4)
Current assets
Debtors (note 5)
Current bank balance
Ring Fence account bank balance
Reserve Account
Petty cash
Inventories (Bar Stock)
Current liabilities
Creditors (note 6)
Net assets
Represented by;
Reserves (note 7)
31-Dec-20
£
687,802
0
3,685
926
35,002
0
0
727,415
35,002
31-Dec-19
£
688,481
820
5,365
14,905
30
1,285
0
710,886
14,905

For the year ending 31 December 2020 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies. Directors’ responsibilities:

These financial statements have been prepared in accordance with the special provisions for small companies under Part 15 of the Companies Act 2006 and with the Financial Reporting Standard for Smaller Entities (effective April 2008)

The financial statements were approved by the Board of Directors/ Trustees and signed on its behalf by:-

…………………………...……………..................... .... . ............................................. Mrs A. Price Chair of Trustees

Company registration number 4984871

The notes on pages 5 to 7 form an integral part of these accounts

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Page 5

Notes to the financial statements

1 Accounting Policies

Accounting convention

These financial statements are prepared in accordance with the provisions applicable to companies subject to the small companies regime and in accordance with the provisions of FRS102 section 1A - small entities. The Statement of Recommended Practice (SORP) 'Accounting and Reporting by Charities' is also adopted.

Incoming resources and funds

Income is recognised in the period in which Canolfan Ceiriog Centre Cyf is entitled to reciept.

Income with restrictions imposed is allocated to a Restricted Fund and matched with the expenditure. Capital grants are allocated to a Restricted Fund and matched with the depreciation on the related assets purchased with the grant.

Tangible fixed assets and depreciation

Depreciation is provided at rates calculated to write off the cost less residual value of each asset over its expected useful life as follows:

Long leasehold building no depreciation
Fixtures & fittings 20% straight line
Sports equipment 20% straight line
Computer & office equipment 20% straight line

Taxation

The company is exempt from Corporation Tax as all of its income is used for charitable purposes.

2 Operating Surplus/Deficit

The operating surplus/deficit is stated after charging:

The operating surplus/deficit is stated after charging:
31-Dec-20 31-Dec-19
Depreciation - owned assets 679 1815
Director's remuneration and other benefits 0 0
Auditor fees 0 0

3 Grants received

A Business Protection Grant of £25,000 was received from Wrexham Borough Council on 1/5/2020 and a further advance of £5,000 was received on 04/12/2020. Both of these grants have been entered as Capital Increases to the reserve account and will be held to cover future trading losses.

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Page 6

Notes to the financial statements (continued)

4 Fixed assets

Cost
At 1 January 2020
Additions
Depreciation
At 1 January 2019
Charge for the year
At 31 Dec 2019
Net book value
At 31 Dec 2020
At 31 Dec 2019
Canolfan
Ceiriog
Centre
Buildings
Fixtures &
fittings
Sports
equipmen
t
Computer
& Office
Total
£
£
£
£
£
£
650,000
35,925
25,050
18,127
4,713
733,815
-
-
0
-
0
650,000
35,925
25,050
18,127
4,713
733,815
-
-
23,258
18,128
4,613
45,999
-
-
679
0
0
679
-
-
23,937
18,128
4,613
46,678
650,000
35,925
1,878
0
687,802
650,000
35,925
2,556
0
688,481

A capital grant was received from the Big Lottery Fund towards the building costs of the Canolfan Ceiriog Centre. Conditions upon the grant will remain in place for 80 years after the completion of the building work. The building work was completed in 2007.

The Company has a 60 year lease on the land on which the Canolfan Centre building stands from Wrexham County Borough Council for a peppercorn rent.

5
6
Debtors
Trade debtors
Creditors
Trade Creditors
Prepayments
Grants received not utilised at year-end
Accruals
31-Dec-20
0
0
0
31-Dec-20
0
0
0
0
31-Dec-19
0
820
820
31-Dec-19
0
0
0
0

Page 7

Canolfan Ceiriog Centre Cyf Unaudited financial statements For the year ended 31 December 2020

Notes to the financial statements (continued)

The company has established a reserves policy which requires that a minimum of

£16,000 will be retained on reserve to cover future trading requirements.

8 Related parties

The company is managed by the Trustees/ Directors as listed within the company information.

During the year no payments were made to the directors in respect of services or travel expenses (2019; nil)

9 Independent Examination of these Accounts

These accounts have been independently examined by Mr. T. Dean of Coed -y-Glyn Uchaf LL20 7NP. Mr Dean has reported to the Trustees that he has reviewed these accounts and that the financial contained herein have been derived from the accounting records. He also reported that the the financial statements are of the required format and that he is unaware of any circumstances which would cause concern.

Coed-y-Glyn Uchaf Glyn Ceiriog Llangollen LL20 7NP 07 July 2021 The Trustees Canolfan Ceiriog Centre New Road Glyn Ceiriog Llangollen LL20 7HE Dear Sir Financial statements: 31 Deeember 2020 I have conducted an independent review of the financiaI statements for the y¢ar end￿ 31 D¢wnber 2020 and can confirni the following: The fu)ancial infornmtion contsined wtthin these accounts been d¢rived from the accounting records. The financial stat¢m¢nts ar¢ of the required fOrn￿L l am unawar¢ of any ¢iT¢UD￿tan￿s which would Cause any concern. Yours faithfully, Tim Dean