OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-09-30-accounts

The Putson Community Association Ltd Trustees’ Report for the Year ended 30 September 2022

The primary focus of the Association’s Trustees is the provision and operation of the community centre known as Saxon Hall, a multi-purpose facility hosting activities offered by the Association, private providers and third-sector organisations. The hall is used by private hirers for parties, celebrations and other events. There is a mix of local government, commercial, charitable and community users.

During the period 01 October 2021 to 31 March 2022, the whole complex was on daily hire to the NHS as a COVID-19 vaccination centre. It was unavailable to either the Association or the public as a space for hire/community use. April 2022 was spent repairing, repainting and cleaning towards restoring the complex for traditional use. Approximately one quarter of the revenue earned in the NHS hire period was used for this.

The Trustees of the Association met several times during the year via Zoom to April 2022 and thereafter in person to oversee:

By the end of September 2022 regular hiring had only partially recovered. Face to face groups (eg exercise classes) were reluctant to restart. Achieving a sustained higher hall hire rate will be key to Saxon Hall being able to cover its costs against the backdrop of inflation and significantly higher utility costs arising from the war in Ukraine. We are grateful to our longterm hirers who did return and the new ones we have attracted.

Towards the end of the reporting period we joined the Herefordshire Council Community Hub and as part of that we operate a food share program in conjunction with a nearby church. Also an ‘afternoon club’ of local community pensioners restarted using our premises gratis.

In 3Q 2022 the Trustees authorized a significant capital project to install childrens swings for the benefit of the local community and using funds generated from NHS hire. Trustees also funded and ran a free event for the local community to celebrate HM Queen Elisabeth II’s Platinum Jubilee.

The Chair of Trustees would like to thank the Trustees and employees of The Putson Community Association for helping to prepare the premises and site for community re-use.

John Eden, Chair of Trustees June 2023

FOR THE YEAR ENDED 30th SEPTEMBER 2022

THE PUTSON COMMUNITY ASSOCIATION LTD

( A Company limited by Guarantee)

ACCOUNTS

YEAR ENDED 30TH SEPTEMBER 2022

Charity Reg No: 1106422 Reg. Company No: 4887631

THE PUTSON COMMUNITY ASSOCIATION LIMITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30th SEPTEMBER 2022

The Putson Community Association Ltd is a registered charity and a company limited by guarantee incorporated in England and Wales. The charitable company is governed by its memorandum and articles of Association dated 04/09/2003.

COMPANY NUMBER: 04887631 CHARITY NUMBER: 1106422 REGISTERED OFFICE: SAXON HALL HOARWITHY ROAD HEREFORD HR2 6HE BANKERS: NATIONAL WESTMINSTER BANK LTD 12 BROAD STREET HEREFORD HR2 9AH TRUSTEES DIRECTORS: MR. J. EDEN (Chairman) MR. A. T. OLIVER MS. T. DUNN MRS. L. DIGINGS (Secretary) MR. W.T.J.DIGINGS (Treasurer) MRS. A.Rodger Mr. A Pinwell SECRETARY: MRS.L.DIGINGS

THE PUTSON COMMUNITY ASSOCIATION LTD INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 30th SEPTEMBER 2022

INCOME:
Grants and Donations
Hall Bookings
Fundraising Events
Refunds
Feed in Tariff receipts
Interest received
EXPENDITURE:
Staff & Training Costs
Building & Other Insurances
Public Liability Insurance
Light and Heat
Water Rates and Rent
Telephone and Broadband
Repairs and Renewals
Security
Cleaning Expenses
Fundraising Events
Sundry Expenses
Refunds
Legal
Printing, Stationery, Postage
Equipment Hire
Small equipment
Accountancy Charges
Bank Charges
Public Performing & Software Licences
Fixtures & Fittings
Community Garden
Matching funds transferred
Depreciation
Loan interest paid
Profit/(Loss) for the year
Restricted Funds:
Grants Received
Matching funds received
Fundraising & Refunds
Restricted Funds Income
Restricted Funds Expenditure
Donations from Restricted Funds
Net Restricted Funds
NET Income Resources
Funds Brought Forward
Accumulated Funds c/fwd
2022
£
0
36648
0
0
1976
16
38640
15101
1592
1011
5420
808
1049
12708
463
1996
0
82
0
0
149
0
0
390
0
1457
410
747
0
2599
0
45982
-7342
16215
0
22
16237
10177
0
6060
-1282
54770
53488
2021
£
1803
52333
0
0
2827
1
56964
16980
1245
998
3965
655
905
1776
255
1732
0
326
0
0
144
0
0
384
0
1264
15
992
0
2056
112
33804
23160
1173
0
0
1173
3136
0
-1963
21197
33573
54770

THE PUTSON COMMUNITY ASSOCIATION LTD STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 30th SEPTEMBER 2022

INCOMING RESOURCES
Grants & Donations Received
Interest Received
Funds for Capital Projects
Refunds
Feed in tariff receipts
FUNDRAISING ACTIVITIES
Hall Bookings
Fundraising Events
LONG TERM LOANS
Solar generating system
YEAR ENDED 30TH SEPTEMBER 2022
OUTGOING RESOURCES
Administration Expenses
Fundraising and Event Expenses
Donations made
Matching funds transferred
Garden & Community Projects & Equip
Governance Charges
Depreciation
Solar Generating system
Loan repayments
Loan interest paid
TOTAL OUTGOING RESOURCES
NET MOVEMENT IN FUNDS
ADD FUNDS BROUGHT FORWARD
TOTAL FUNDS CARRIED FORWARD
Un RestrictRestricted Total
Funds
Funds
2022
£
£
£
0
16215
16215
16
0
16
0
0
0
0
0
0
1976
0
1976
36648
0
36648
0
22
22
0
0
0
38640
16237
54877
41836
0
41836
0
0
0
0
0
0
0
0
0
1157
10177
11334
390
0
390
2599
516
3115
0
0
0
0
0
0
0
0
0
45982
10693
56675
-7342
5544
-1798
48107
4667
52774
40765
10211
50976
Un RestrictRestricted Total
Funds
Funds
2021
£
£
£
1803
1173
2976
1
0
1
0
0
0
0
0
0
2827
0
2827
52333
0
52333
0
0
0
0
0
0
56964
1173
58137
26739
0
26739
0
0
0
0
0
0
0
0
0
1007
3136
4143
384
0
384
2056
623
2679
0
0
0
3506
0
3506
112
0
112
33804
3759
37563
23160
-2586
20574
24947
7253
32200
48107
4667
52774

All incoming resources and resources expended derive from continuing activities:

THE PUTSON COMMUNITY ASSOCIATION LTD BALANCE SHEET AS AT 30th SEPTEMBER 2021 FOR THE YEAR ENDED 30th SEPTEMBER 2022

2022

2021

FIXED ASSETS
Tangible Assets
4
CURRENT ASSETS
Debtors
5
Cash at Bank and in hand
6
CURRENT LIABILITIES
Creditors falling due
within one year
7
NET CURRENT ASSETS (LIABILITIES)
TOTAL ASSETS less CURRENT LIABILITIES
YEAR ENDED 30TH SEPTEMBER 2022
LONG TERM LIABILITIES
8
TOTAL NET ASSETS (LIABILITIES)
CAPITAL AND RESERVES
Funds carried forward
Restricted Funds
General Funds
19765
1149
31097
32246
1042
31204
50969
0
50969
10211
40765
50976
18892
5000
29758
34758
880
33878
52770
0
52770
4667
48107
52774

The Directors statements required by sections 475 (2) and (3) are shown on the following page which forms part of the balance sheet.

THE PUTSON COMMUNITY ASSOCIATION LTD Balance Sheet (continued) FOR THE YEAR ENDED 30th SEPTEMBER 2022

In approving these financial statements as directors of the company we hereby confirm:

These accounts have been prepared on accordance with the special provisions part 15 of the Companies Act 2006 and the Financial Reporting Standard for Smaller Entities (effective) April 2008) relating to small companies.

The financial statements were approved by the Board on: 20th April 2023

And signed on its behalf by

John Eden

Managing Director

Registration Number 04887631

THE PUTSON COMMUNITY ASSOCIATION LTD NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 30th SEPTEMBER 2022

1. ACCOUNTING POLICIES

( a ) Basis of Accounting

The accounts have been prepared on a going concern basis and under the historical cost convention.

( b ) Fixed Assets and Depreciation

All non restricted fund assets over £500 are capitalised, depreciation

is provided on Fixed Assets on the reducing balance basis at the following rates:-

Plant and Equipment 20% 20%
Kitchen Equipment 15% 15%
Hall Equipment 15% 15%
Office Equipment 25% 25%
Solar Equipment 10% 10%

( c ) Incoming Resources

Grants

Grants are recognised when the charity becomes unconditionally entitled to the grant.

Fundraising Activities

Income from room hire and fundraising activities are included when the services have been delivered.

( d ) Resources Expended

Expenditure is recognised on an accruals basis as liability is incurred.

( e ) Accumulated Funds

Restricted Funds

The charity's restricted funds are those where the donor has imposed restrictions on the use of funds.

Unrestricted General Funds

Unrestricted funds are those that can be used in accordance with the charitable objects of the company at the discretion of the trustees.

THE PUTSON COMMUNITY ASSOCIATION LTD NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 30th SEPTEMBER 2022

NTS RECEIVED/MADE
Awards 4 All
Hereford CC Community Award
CO-OP 1% (2019/20/21/22)
CO OP
Friends of Hereford Rotary
Hereford City Council
National Lottery
Herefordshire Council
Other
Activity
Equipment
Equipment
Various
Community Hub
Jubilee party
Jubilee party
children swings project
Community fund
2022
£
Grant
Grant
Matching
Total
Expenditure Remaining
2022
bfwd
Funds
2022
633
0
633
495
138
184
0
184
185
-1
244
372
0
616
342
274
3000
0
0
3000
516
2484
700
0
0
700
700
0
500
0
0
500
700
-200
9852
0
0
9852
7200
2652
1919
0
0
1919
0
1919
22
-66
0
-44
39
-83
16237
1179
0
17753
10177
7239

2. GRANTS RECEIVED/MADE

THE PUTSON COMMUNITY ASSOCIATION LTD NOTES TO THE FINANCIAL STATEMENTS - Continued FOR THE YEAR ENDED 30th SEPTEMBER 2022

Wages, NIC, Pensions

2022 2021 £ £ 15101 16980

None of the Trustees/Directors received any remuneration during the year.

The number of people employed during the year was 3 (2021 3)

4.
FIXED ASSETS
Cost at 1 October
Additions at cost
Cost at 30th September
Depreciation at 1st October
Charge for prior year's assets
Charge for current year's assets
Total Charge for the year
Depreciation at 30th September
NET ASSETS AT 30-09-2022
NET ASSETS AT 30-09-2021
5.
DEBTORS AND Prepayments
Hall Bookings
Donations
6.
CASH AT BANK AND IN HAND
Nat West - Reserve Account
Nat West - Current Account
NatWest - Restricted Funds Account
Cash in Hand
7.
CREDITORS
Trade Creditors
Income Tax, NIC,Pension
Finance repayments due in next 12 months
8.
LONG TERM LIABILITIES
Solar Generation system
Balance of loan at 1st October
Repayments made in year
Balance of loan at 30th September
Repayments due next 12 months
Balance at 30th September of following year
Total
General
Restricted
£
£
£
49687
38247
11440
3988
3988
0
53675
42235
11440
30795
22388
8407
2317
1801
516
798
798
0
3115
2599
516
33910
24987
8923
19765
17248
2517
18892
15859
3033
£
1149
0
1149
£
21528
2330
7219
20
31097
£
1042
0
0
1042
£
0
0
0
0
0
Total
General
Restricted
£
£
£
49687
38247
11440
0
0
0
49687
38247
11440
28116
20332
7784
2679
2056
623
0
0
0
2679
2056
623
30795
22388
8407
18892
15859
3033
21571
17915
3656
£
5000
0
5000
£
20000
8577
1181
0
29758
£
812
68
0
880
£
3505
3505
0
0
0

In December 2015 a solar generation system was purchased for £22966 from Caplor Energy. Caplor provided finance of £21466 at 6% pa. Feed in tariff receipts are used to service and repay this loan. Minimum repayment of loan and interest is £2557 per annum. The loan was fully discharged in the2020/21 financial year