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2023-11-30-accounts

Company registration number 05293946 (England and Wales)

CHOPWELL COMMUNITY ASSOCIATION

ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 30 NOVEMBER 2023

Chopwell Community Association

(a company limited by guarantee)

Legal and Administrative Information

Company Name Chopwell Community Association Company No. 5293946 Charity No. 1108466 Directors/Trustees Councillor Michael McNestry Councillor Michael McNestryLynne Caffrey Mrs Barbara Heslop Registered Address Chopwell Community Centre Derwent Street Chopwell Newcastle Upon Tyne NE17 7HS Structure Chopwell Community Association is a Company limited by guarentee, registered on 23 November 2004 and a registered Charity, registered on 28 April 1997 Independent Examiner Ian Taylor FMAAT Butler & Gee Accountants Limited 22 Bessemer Street Consett DH8 5SS

Chopwell Community Association

Statement of Financial Activities

for the year ended 30 November 2023

Receipts
Grants & Donations
Donations & Fundraising
Rental Income
Sundry Income
Bank Interest
Total Receipts
Payments
Staff Costs
Travel Costs
Rent
Telephone & Internet
Utilities
Sanitary & Cleaning
Insurance
Maintenance & Refurbishment
Project Costs & Activities
Banner Fund Costs
Bowls Group Costs
Chopwell In Bloom Costs
Partnership Funding Costs
LWIG Project Costs
Legal & Professional
Sundry & General Office Costs
Total Payments
Surplus / Defecit for the year
Transfer between Funds
Funds at 1 December 2022
Funds at 30 November 2023
Restricted
Funds
Designated
Funds
Unrestricted
Funds
Total Funds
Total Funds
2023
2023
2023
2023
2022
£
£
73,011
19,985
92,996
94,883
1,048
2,480
3,528
52,588
26,242
26,242
23,955
5,567
1,709
7,275
17,993
0
0
79,626
0
50,416
130,041
189,419
15,926
31,422
47,348
38,731
1,825
0
1,825
0
15,000
0
15,000
15,000
1,605
1,605
2,281
7,698
7,698
6,862
2,552
2,552
1,891
0
0
1,329
29,763
17,053
46,816
40,407
2,143
5,854
7,997
27,099
2,300
2,300
4,484
367
367
0
1,013
1,013
0
220
220
0
1,878
1,878
0
1,800
2,246
4,046
4,092
690
9,312
10,002
2,854
72,925
0
77,742
150,667
145,030
6,701
0
-27,327
-20,626
44,389
0
0
0
0
0
45,310
30,000
76,409
151,719
107,330
52,011
30,000
49,083
131,093
151,719

Chopwell Community Association Balance Sheet as at 30 November 2023

Fixed Assets
Current Assets
Cash at Bank & in Hand
Total Cash Balancees
Current Liabilities
Net Current Assets
Net Assets at 30 November 2023
Represented By:
Restricted Funds
Designated Funds
Unrestricted Funds
2023
£
131,512
131,512
419
131,093
131,093
52,011
30,000
49,083
131,093
2022
£
154,256
154,256
2,537
151,719
151,719
21,776
30,000
99,943
151,719

For the year ending 30/11/2023, the company was entitled to expemption from audit under section 477 of the Companies Act 2006 relating to small companies.

Directors Responsibilities:

a) The members have not required the company to obtain an audit of its accounts for the year in question in accordance with section 476 of the Companies Act 2006.

b) The directors acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and for the preperation of accounts.

c) The accounts have been prepared in accordance with the special provisions of the Companies Act relating to small companies.

Signed…..................................................................... Position….............................................................

Print Name…...............................................................

Date….........................................................................

Trustees Annual Report

For the year ended 30 November 2023

The trustees present their report and accounts for the year ended 30 November 2023.

Objectives and Activities

To promote, provide and maintain the facilities of the Charity for the benefit of the inhabitants of the area, without distinction of sex, or of political, religious and other opinions by association together the inhabitants, voluntary organisations and other organisation in a common effort to advance education, health and welfare, recreation and leisure time, activities with the object of improving the conditions of life for the said inhabitants; and

To continue to maintain and manage Chopwell Community Centre for the benefit of the area, in co operation with the local authority and voluntary organisations.

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 the Association 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.

During the year the Trustees carried out an organisational health Check and decided that, as part of a sustainability plan, the administration of the organisation needed to be strengthened, by the employment of a deputy manager. There is also to be a recruitment drive for new volunteers and new trustees. Plus extra fundraising efforts to secure long term funding for the Youth Club attached to the Centre.

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:

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.

Building developments

Further areas of the building have been developed to improve the office areas within the building including the cellar office area & investment in the heating control panel & new curtains were made during the year.

Financial Review and Reserves Policy

The financial position for the year shows net incoming funds of £130,041 and total outgoing resources of £150,667 with a balance brought forward from the previous year of £151,719 the total funds carried forward are £131,093. 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 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 2023 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

Matters Pertaining to Companies Act 2006

For the year ending 30 November 2023 the company was entitled to exemption from audit under section 447 of the Companies Act 2006. The members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006. The directors acknowledge their responsibility for complying with the requirements of the Act with respect to accounting records and for the preparation of accounts.

INDEPENDENT EXAMINERS REPORT

Report to the Chopwell Community Association trustees of

On accounts For 30 November 2023 Charity no 1106223 the year ended

Respective The trustees of the organisation are responsible for the preparation of Responsibilities of accounts; they consider that an adult is not required for this year under

trustees and examiner section 144(2) of the Charities Act 2011 and that independent examination is needed. It is my responsibility to

Basis of independent

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 those 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 I do not express an audit opinion on the accounts.

Independent examiners

Statement In the course of my examination, no matter has come to my attention:

  1. respect, the trustees have not met the requirements of the Act;

  2. or

  3. to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Signed:

Date: 17 May 2024

Name: Ian Taylor FMAAT

Address: Butler & Gee Accountants 22 Bessemer Street Consett DH8 5SS

Chopwell Community Association Notes to the accounts

1. Basis of accounts

Chopwell Community Association meets the definition of a public benefit entity under FRS 102. Assets and liabilities are initially recognised at historical cost or transaction value unless otherwise stated in the relevant accounting policy note(s).

Fixed Assets are depreciated over a useful lifeline at the following rates:

Activity Equipment 20% reducing balance

Office equipment 20% reducing balance

2. Trustees and Staff

No trustees were remunerated or received expenses payments

Total Salary Costs (including seasonal staff) £47,348

Average no of staff was 2 (part-time)

3. Costs of financial services

The cost for the independent examination for the financial period will be £540

4. Restricted Funds

Closing Balances of Restricted Funds:

LWIG 16218
Youth Club 29881
Banner Fund 2239
Bowls Group 3260
Partnership Funding 153
Chopwell In Bloom 260
Total 52011

5. Funding

Funding received through the year:

unding
unding received through the year:
GMBC 54200
LGA Foundation 12750
Ballinger YC 22750
Warm Spaces 2100
COOP 1196
Total 92996