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2020-11-30-accounts

Chopwell Community Association (a company limited by guarantee)

Company Registration no 05293946 Charity Registration no 1108466

Financial Statements For the year ended 30 November 2020

Chopwell Community Centre Derwent Street Chopwell Newcastle Upon Tyne NE17 7HS

Chopwell Community Association

(a company limited by guarantee) Legal and Administrative Information

Name: Chopwell Community Association Company No: 05293946 Charity No: 1108466 Directors/Trustees: Councillor Michael McNestry Councillor Lynne Caffrey Mrs Barbara Heslop Registered Address: Chopwell Community Centre Derwent Street Chopwell Newcastle Upon Tyne NE17 7HS Bankers: Lloyds TSB 44 Front St Whickham Newcastle upon Tyne NE16 4DS Structure: Chopwell Community Association is a Company limited by guarantee registered on 18 February 23 November 2004 and a registered Charity, registered on 28 April 1997. Independent Examiner: Kate Tully FMAAT FCIE AATQB 20 Ennerdale Crescent Winlaton Blaydon on Tyne NE21 6PN

Company No. 05293946 Charity No. 1108466

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Chopwell Community Association

(a company limited by guarantee)

Contents

  1. Director’s/Trustees Report Pages 4-6 2. Independent Examiner’s Report Page 7 3. Statement of Financial Activities Page 8 4. Balance Sheet Page 9 5. Notes to the Accounts Pages 10-13

Company No. 05293946 Charity No. 1108466

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Chopwell Community Association

(a company limited by guarantee)

Directors’/Trustees’ Report

Objectives and Activities

Ensuring our work delivers our aims

We ensure that our work reflects our aims and meets the requirements of our stated purpose by delivering for the widest possible public benefit, as set out in the Charity Commission guidance.

Governance and structure

As well as being a Community Association we are a company limited by guarantee and a Charity. As such we have both a general Management Committee and members who act as both Trustees and Company Directors.

Each Group using the Community Centre is able to nominate representatives to the Management Committee as is Gateshead Council. Trustees and Directors are volunteers from the General Committee who meet the qualifications for being both Directors and Trustees.

Business review and maintaining our assets

The Trustees, Directors and Management Committee review the core business of the Association on an annual basis and make decisions regarding: marketing and new markets, fundraising, the maintenance of the fabric of the building, the buying of new assets and the disposal of old assets.

Delivering public benefit

Our work in delivering public benefit can be categorised as follows:

Building developments

In 2019 the basement area of the Community Centre was transformed into dedicated office accommodation for the local media production company Digital Voices for Communities CIC, who pay the Association a competitive rent for their accommodation. Funding was also secured from the National Lottery for the infrastructure work to instal superfast broadband and a digital phone system for the whole Centre.

Effects of the Covid-19 pandemic on the Community Association

Like all other public buildings in England the community centre was closed to the public from 23 March, 2020 and staff were furloughed. During this period the Association was also awarded grants to cover rate relief and loss of business.

The building tenants, Digital Voices, continued to use their basement office space when permitted by lockdown rules.

The majority of the first floor of the Community Centre was taken over by Gateshead Council who ran a Community hub providing food and other emergency support and advice to those shielding, or without the financial means to support themselves during the pandemic.

Company No. 05293946 Charity No. 1108466

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Chopwell Community Association

(a company limited by guarantee)

The Pickle Palace also continued to run their weekly markets which provide food donated by supermarkets that is sold at very low prices.

When lockdown rules allowed the centre reopened in a limited way subject to a full risk assessment and the provision of public access to hand sanitisers and wipes, daily cleaning of the building plus appropriate PPE for all staff.

All groups who used the building also had to carry out full risk assessments and get all group members to complete forms agreeing to abide by the Covid safe rules in place and to supply their personal details for the Test and Trace system.

The Gym reopened when possible again subject to a full risk assessment, access to santisers and rules on numbers allowed in at any one time and the cleaning of all equipment between users.

Inevitably some of the established groups that ran at the Centre will not be returning once social distancing rules are finally relaxed. Groups that have recommenced are the Drama Group, Carpet Bowls league, the Toddler Group and Slimming World. It is anticipated that the majority will follow and the Trustees have plans to develop new groups in the new year.

Long standing facilities like the computer suite will also continue to be available

The trustees have considered the guidance produced by the Charity Commission on the provision of public benefit and they confirm that public benefit has been provided by the range of activities that will continue to be delivered at the Centre as described above.

Financial Review

The financial position for the year shows net incoming funds of £181,479 and total outgoing resources of £133,177 with a balance brought forward from the previous year of £54,944 the total funds carried forward are £103,245. The Directors/Trustees consider the financial position of the company to be stable, but need reviewing in the coming year.

Risk Management

The Directors are examining the major risks, which the company faces in relation to external factors, governance and management, internal operations and business. They are considering the likelihood and the impact of risks and are reviewing what systems should be in place to control and reduce those risks. The systems are being designed to provide reasonable, but not absolute, assurance against material loss or misstatement of loss.

Reserves Policy

It is the policy of the company to try to build up unrestricted funds, which are free reserves of the company (designated funds), to a level that equates to approximately 3 months unrestricted expenditure. This will provide sufficient funds to cover management and administration/finance support costs, maintenance and refurbishment of the building and any emergencies that may arise from time to time.

Statement of Exemption

For the period ending 30 November 2020 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

Directors’/Trustees’ responsibilities:

The Directors/Trustees are responsible for keeping proper accounting records which disclose with reasonable accuracy the financial position of the charity and which enable them to ascertain the financial position of the company and which enable them to comply with applicable law. The Directors/Trustees are also responsible for safeguarding the assets of the charitable company and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

Company No. 05293946 Charity No. 1108466

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Chopwell Community Association

(a company limited by guarantee)

For the year ending 30 November 2020 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

The members have not required the company to obtain an audit of its accounts for the year in question in accordance with section 476.

The trustees/directors acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.

These accounts have been prepared in accordance with the provisions applicable to companies subject to the small companies’ regime.

Approved by the members and signed on their behalf:

Name: Michael McNesty Signature: M McNestry Name: Jean Barbara Heslop Signature: JB Heslop Date: 2[nd] June 2021

Company No. 05293946 Charity No. 1108466

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Chopwell Community Association

(a company limited by guarantee)

Independent Examiners Report

Report to the trustees/members of Chopwell Community Association on Accounts for the year ended 30 November 2020 set out on pages 8 to 12.

Respective responsibilities of trustees and examiner

The charity’s trustees (who are also the directors of the company for the purposes of company law) are responsible for the preparation of the accounts. The charity’s trustees consider that an audit is not required for this year (under s.145 of the Charities Act 2011 (‘the Act’), and that an independent examination is needed.

Having satisfied myself that the charity is not subject to audit under company law and is eligible for independent examination; it is my responsibility to:

Basis of examiner’s statement

My examination was carried out in accordance with General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with these records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from the trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.

Independent examiner’s statement

In connection with my examination no matter has come to my attention:

Kate Tully FMAAT FCIE

Date 4[th] June 2021

Signed K A Tully

acie association of charity independent examiners

Kate Tully is a Fellow Member of the Association of Charity Independent Examiners and a Fellow Member of the Association of Accounting Technicians

Company No. 05293946 Charity No. 1108466

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Chopwell Community Association

(a company limited by guarantee) Statement of Financial Activities

for the year ended 30 November 2020

(incorporating income and expenditure account)

Note
Income from Donations and
Legacies
Donations and Legacies
2
Charitable Activities
2
Other Trading Activities
2
Investments
2
Other
2
Total Income
Expenditure on
Raising Funds
2
Charitable Activities
2
Other
2
Total Expenditure
Net incoming/outgoing
resources before transfers
Transfers
Net movement in funds
Total Funds brought forward
Total funds carried forward
Unrestricted
Designated
Restricted
Funds
Funds
Funds
£
£
£
Total
Funds
£
2018-19
Funds
£
240
0
37,319
143,920
0
0
240
181,239
0
0
0
241
69,620
10
0
0
37,559
0
143,920
181,479 69,871
48,053
85,124
0
133,177
0
0
62,103
0
48,053
0
85,124
133,177 62,103
(10,494)
0
58,796
48,302 7,768
(10,494)
0
58,796
48,302 7,768
20,159
30,000
4,784
54,944
47,176
9,665
30,000
63,580
103,245 54,944

Company No. 05293946 Charity No. 1108466

Page 8 of 12

Chopwell Community Association

(a company limited by guarantee) Balance Sheet

as at 30 November 2020

Note
Fixed Assets:
Tangible Assets
Total Fixed Assets:
Current Assets
Debtors
3
Cash at Bank and In Hand
Total Current Assets
Liabilities
Creditors: Amounts falling due within one year
4
Creditors: Amounts falling due after one year
Total Assests less Total Liabilities
The Funds of the Charity:
Restricted income funds
Designated funds
Unrestricted income funds
TOTAL CHARITY FUNDS
19-20
Funds
£
18-19
Funds
£
0 0
0
103,470
0
55,170
103,470 55,170
(225)
0
(225)
0
103,245 54,944
63,580
30,000
9,665
4,784
30,000
20,159
103,245 54,944

Trustees’/Directors’ responsibilities:

For the year ending 30 November 2020 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

The members have not required the company to obtain an audit of its accounts for the year in question in accordance with section 476.

The trustees acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.

These accounts have been prepared in accordance with the provisions applicable to companies subject to the small companies’ regime.

Approved by the members and signed on their behalf:

Name: Michael McNesty Signature: M McNestry Name: Jean Barbara Heslop Signature: JB Heslop Date: 2[nd] June 2021

The notes on pages 10-13 form an integral part of these financial statements

Company No. 05293946 Charity No. 1108466

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Chopwell Community Association

(a company limited by guarantee)

Notes to the Financial Statements

for the year ending 30 November 2020

1 Accounting Policies

Basis of Preparation

These Financial Statements have been prepared on the basis of historic cost in accordance with:

The Trustees have taken advantage of the exemption in financial reporting standard no 1 (revised) from including a cash flow statement in the financial statements on the grounds that the company is small.

Incoming Resources

These are included in the Statement of Financial Activities (SOFA) when:

Donations are only included in the SOFA when the charity has unconditional entitlement to the resources.

Resources Expended and Liabilities

Resources expended have been analysed using a natural classification.

Liabilities are recognised as soon as there is a legal or constructive obligation committing the charity to pay out resources.

Governance costs includes the cost of trustee travel expenses and telephone calls and any costs relating to the governance of the charity.

Support costs include central functions and have been allocated to activity cost categories on a basis consistent with the use of resources.

Assets

Assets are capitalised if they can be used for more than one year, and cost at least £500. They are valued at cost or a reasonable value on receipt.

Depreciation is calculated to write down the cost or valuation, less estimated residual value, of all tangible fixed assets over their expected useful lives on a straight line basis for Large Toys and a reducing balance method for General Equipment.

Investments

The charity has no investments at present.

Company No. 05293946 Charity No. 1108466

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Chopwell Community Association

(a company limited by guarantee)

2 Funds

The Charity has 2 funds, an unrestricted general fund and a restricted fund used for purchasing items of a specific nature funded by one funder: hence all movements on each fund are disclosed.

Restricted Funds

Restricted Funds
Funder
Banner Fund
Partnership Grant
GMBC Underbuild
HMRC Furlough Grants
Awards for All
Total
Funder
Banner Fund
Partnership Grant
GMBC Underbuild
HMRC Furlough Grants
Awards for All
Bal b/f
Income
Expenditure
Transfers
Bal c/f
1,646
1,500
(800)
2,346
1,980
51,896
(16,453)
37,423
0
58,883
(58,883)
0
0
8,988
(8,988)
0
1,158
22,653
23,811
4,784
143,920
(85,124)
0
63,580
Purpose of Fund
Support for miner's history awareness
Improving Chopwell and Blackhall Mill to make them a better place to live
Room hire for Digital Voice work force
Wages during Covid
Youth club

Designated Funds

These are funds set aside for building maintenance and to cover any other contingencies in line with the reserves policy.

Income and Expenditure 2019-20
Income and Endowments from:
Donations and Legacies
General Donation
Bowls Club Donation
Charitable Activities
Banner Fund
Partnership
GMBC Underbuild
Awards For All
Furlough Grants
General Grants
Subs/Fees
Rents
Interest Earned
Other
Total
Unrestricted
Restricted
Total
0
240
240
Unrestricted
Restricted
Total
0
240
240
240
0
240
1,500
51,896
58,883
22,653
8,988
16,634
508
20,177
0
1,500
51,896
58,883
22,653
8,988
16,634
508
20,177
0
0
37,319
143,920
181,239
37,559
143,920
181,479

Company No. 05293946 Charity No. 1108466

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Chopwell Community Association

(a company limited by guarantee)

Expenditure on:
Raising Funds
Fundraising Costs
Charitable Activities
Staff Costs
Telephone/Internet
Utilities
Sanitary/Cleaning
Insurance
Maintenance/Refurbishment
Project Costs/Activities
Banner Fund Costs
Legal/Professional
Independent Examination
Bank Charges
Other
Total Resources Expended
Support Costs
Support Cost Type
Staff Costs
Telephone/Internet
Utilities
Sanitary/Cleaning
Maintenance/Refurbishment
Independent Examination Fee
Total
Unrestricted
Restricted
Total
-
-
25,664
4,773
7,061
974
1,169
3,300
77,625
800
2,046
225
334
9,206
133,177
133,177
-
-
-
16675.69
8,988
4,773
7,061
974
1,169
3,300
2,289
75,336
800
2,046
225
334
9,206
25,664
4,773
7,061
974
1,169
3,300
77,625
800
2,046
225
334
9,206
48,053
85,124
133,177
48,053
85,124
Fundraising
Charitable
Governance
Activity
Activity
Activity
£
£
£
25,664
4,773
7,061
974
3,300
225
Total Cost
£
25,664
4,773
-
-
3,300

225
-
33,737
225

33,962

3 Debtors

There are no debtors at this time.

4 Creditors (amounts due in less than one year)

Creditors
Independent Examination Fee
Total
2019-20
£
225
2018-19
£
225
225
225

Company No. 05293946 Charity No. 1108466

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