OpenCharities

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

2021-12-31-accounts

LISS YOUTH CENTRE LTD (operating as CROSSOVER)

Company No: 5660960 Charity No: 1113791 Accounting Period January – December 2021

  1. The Company was incorporated on the 22[nd] December 2005 as a Private Company Limited by Guarantee and not having Share Capital. The Directors of the Company are also the Trustees of the Charity. This is the sixteenth annual report of Liss Youth Centre Limited (Crossover) prepared by the Trustees.

2 Trustees

The following served as Directors/Trustees during the year 2021:

Benjamin Love ( Chairman )

Elisabeth Mullenger

Robert Buckingham (Treasurer)

John de la Perrelle Claire Kirby John Noe Patricia Evans

There were no changes to the Trustees during this period. The Liss Parish Council appoints a Councillor as observer to the Trustee Board. This position does not hold voting rights. Some Trustees are also volunteers at the sessions run for the young people.

3. Directors Report

2021 was another very difficult year for the Youth Centre, trying to operate under Covid restrictions. We kept up to date with operational possibilities through our membership of NYA (National Youth Agency) who gave regular webinars when pandemic rules changed.

Trustees held regular meetings via Zoom when staff kept us informed of activities within the Centre and street-based youth work. Government regulations allowed only face to face meetings on a one-to-one basis for those young people the youth workers deemed “at risk”. Plans for the Level Up

project continued and young people started attending in the “at risk” criteria. In September we were able to resume young people returning to Centre based activities but with a booking system introduced to ensure an appropriate staff / young people ratio.

Staffing has been an issue, especially as no volunteers were needed during the restricted (covid enforced) regime and some have not returned. During the year we recruited a member of staff to manage the street-based youth work which had taken on an increased focus whist we were not able to welcome most young people into the Centre and street-based youth work continues to be an important part of our focused youth work.

Our Lead Youth Worker left in the Autumn, and we appointed a new staff member who took on responsibility for Centre-based youth work, Level Up project and Street-based youth work. Another youth worker was also appointed and those in post were no longer furloughed. Trustees deemed it important to have a central person to co-ordinate the three strands of youth work so in June our Administrator was promoted to Centre Manager, which has been a great success. During the year all Trustees and staff undertook the NSPCC safeguarding training.

Whenever possible we continued our links with the village. One resident operated a book sale from her garage and raise a magnificent sum for Crossover. We nominated her for the Villager of the Year award which she won – a very worthy winner. Our links with the Parish Council are enhanced by a Councillor attending our Trustee meetings. Staff also have links to the local PCSOs through occasional contacts as required, and the part funding of the Street based youth work through the Police and Crime Commissioner’s fund. We have been encouraged through the difficult times by local residents and their appreciation of the work Crossover was able to carry out in the most difficult of times and the gradual return to a new normal, ever responsive to the needs of local young people.

4.Other Details

Company’s Registered Office: Howard Smith and Co, First Floor, Bellamy House, Winton Road, Petersfield, GU32 3HA Postal address: The Old St Mary’s Church Hall, Station Road, Liss GU33 7AQ

5. Staff:

6. Financial Report

The finances are in good order, the year end accounts for 2021 have been inspected and the accounts have been lodged with both Charities Commission and Companies House

Agreed as a correct record of the organisation’s activities. Completed by email communications

Date: ……………17/08/2022………………..

Signed on behalf of the current directors:

……………………………………………….

Benjamin Love, Chairman

LISS YOUTH CENTRE LIMITED

Registered Number 05660960

Registered Number 05660960

LISS YOUTH CENTRE LIMITED

Micro Entity Accounts

31st December 2021

Registered Number 05660960

LISS YOUTH CENTRE LIMITED

Micro Entity Balance Sheet as at 31st December 2021

Fixed Assets
Fixed Assets
Current Assets
Investments (at Mid-Market Value)
Cash at bank and hand
Prepayments and accrued income
Current Assets
Current Liabilities
Deferred Income
Creditors: amounts falling due within one year
Net Current Assets
Total Net Assets
Reserves
Unreserved Fund Balance
2021
2020
-
£
-
£
76,153.00
£
66,656.00
£
88,791.00
£
77,271.00
£
1,514.00
£
849.00
£
166,458.00
£
144,776.00
£
(35,796.00)
£
(32,684.00)
£
(1,667.00)
£
(523.00)
£
128,995.00
£
111,569.00
£
128,995.00
£
111,569.00
£
128,995.00
£
111,569.00
£

Approved by the Board on: 21-Sep-22

And signed on their behalf by Benjamin Love - Chair of Trustees

Registered Number 05660960

LISS YOUTH CENTRE LIMITED

Notes to Micro Entity Balance Sheet at 31st December 2021

Basis of measurement and preparation of accounts

The accounts have been prepared under the historical cost convention and in accordance with the Financial Reporting Standard for Smaller Entities effective April 2008.

2 Company limited by guarantee

The Company is limited by guarantee and consequently does not have share capital.

3 Long Term Lease Commitment

The Company operates in premises owned by Liss Parochial Church Council. The premises are leased for a period of 10 years to December 2025 subject to a break clause after 5 years.

LISS YOUTH CENTRE LIMITED

Annual Accounts Year Ended 31st December 2021

Section A
Statement of financial activities
Unrestricted
Restricted
Total funds
funds
income funds
Income (Note 2)
Income and endowments from:
Donations and legacies
64,470.00
£
27,468.00
£
91,938.00
£
Charitable activities
-
£
-
£
Other trading activities
499.00
£
-
£
499.00
£
Investments
1,960.00
£
-
£
1,960.00
£
Separate material item of income
-
£
-
£
Total
66,929.00
£
27,468.00
£
94,397.00
£
Expenditure (Note 3)
Raising funds
-
£
-
£
-
£
Charitable activities
62,870.00
£
27,468.00
£
90,338.00
£
Separate material expense item
-
£
-
£
-
£
62,870.00
£
27,468.00
£
90,338.00
£
Net income/(expenditure) before
investment gains/(losses)
4,059.00
£
-
£
4,059.00
£
Net gains/(losses) on investments
9,497.00
£
-
£
9,497.00
£
Net income/(expenditure)
13,556.00
£
-
£
13,556.00
£
Transfers between funds
-
£
-
£
-
£
Net movement in funds
13,556.00
£
-
£
13,556.00
£
Reconciliation of funds
Total funds brought forward
111,569.00
£
-
£
111,569.00
£
Adjustment to 2020 expenditure
3,870.00
£
3,870.00
£
(Level Up)
Total funds carried forward
128,995.00
£
-
£
128,995.00
£
Prior year
funds
63,523.00
£
-
£
1,176.00
£
1,923.00
£
10,000.00
£
76,622.00
£
-
£
56,166.00
£
-
£
56,166.00
£
20,456.00
£
4,023.00
£
24,479.00
£
-
£
24,479.00
£
87,090.00
£
111,569.00
£

LISS YOUTH CENTRE LIMITED

Annual Accounts Year Ended 31st December 2021

Section B
Balance Sheet
Unrestricted
Restricted
Total funds
funds
income funds
Current assets
Debtors
(Note 5)
1,514.00
£
-
£
1,514.00
£
Investments
(Note 1.3)
76,153.00
£
-
£
76,153.00
£
Cash at bank and cash in hand
(Note 7)
53,495.00
£
35,296.00
£
88,791.00
£
131,162.00
£
35,296.00
£
166,458.00
£
Creditors : amounts falling due within
one year
(Note 6)
2,167.00
£
35,296.00
£
37,463.00
£
Net current assets/(liabilities)
128,995.00
£
-
£
128,995.00
£
Total assets less current liabilities
128,995.00
£
-
£
128,995.00
£
Total net assets or liabilities
128,995.00
£
-
£
128,995.00
£
Funds of the Charity
Unrestricted funds
128,995.00
£
-
£
128,995.00
£
Total funds
128,995.00
£
-
£
128,995.00
£
Prior year
funds
849.00
£
66,656.00
£
77,271.00
£
144,776.00
£
33,207.00
£
111,569.00
£
111,569.00
£
111,569.00
£
111,569.00
£
111,569.00
£

LISS YOUTH CENTRE LIMITED

Annual Accounts Year Ended 31st December 2021

Section C Notes to the Accounts Note 1 Accounting Policies

as per last year

LISS YOUTH CENTRE LIMITED

Annual Accounts Year Ended 31st December 2021

Section C
Notes to the Accounts
Note 2
Income
Analysis of income
Donations and legacies:
Donations and gifts
Gift Aid
Legacies
Grants provided by government/
other charities
Donated goods
Other
Total
Other trading activities:
Café
Other
Total
Income from investments
Interest income
Dividend income
Rental and leasing income
Other
Total
Separate material items of income
EHDC Business Grant - Covid 19
TOTAL INCOME
(cont.)
Unrestricted
Restricted
Total funds
funds
income funds
25,154.00
£
-
£
25,154.00
£
3,509.00
£
-
£
3,509.00
£
-
£
-
£
35,807.00
£
27,468.00
£
63,275.00
£
-
£
-
£
-
£
-
£
-
£
-
£
64,470.00
£
27,468.00
£
91,938.00
£
221.00
£
-
£
221.00
£
278.00
£
-
£
278.00
£
499.00
£
-
£
499.00
£
1,960.00
£
-
£
1,960.00
£
-
£
-
£
-
£
-
£
-
£
-
£
-
£
1,960.00
£
-
£
1,960.00
£
-
£
-
£
-
£
-
£
66,929.00
£
27,468.00
£
94,397.00
£
Prior year
funds
37,316.00
£
4,104.00
£
22,103.00
£
-
£
-
£
63,523.00
£
272.00
£
904.00
£
1,176.00
£
1,923.00
£
-
£
-
£
-
£
1,923.00
£
10,000.00
£
10,000.00
£
76,622.00
£

LISS YOUTH CENTRE LIMITED

Annual Accounts Year Ended 31st December 2021

(cont.)

Section C
Notes to the Accounts
Note 3
Expenditure
Expenditure on charitable activities
Salaries - Centre Staff
Less HMRC Job Retention Scheme
Property costs
Other expenses
Café expenses
Total
Note 4
Paid employees
4.1 Staff costs
Salaries and wages
Social security costs
Pension costs (defined contribution pension plan)
Other employee benefits
Less HMRC Job Retention Scheme
Total staff costs
4.2 Average head count in the year
The parts of the charity in which the
employees work
Charitable activities
Note 5
Debtors and prepayments
Analysis of debtors
Trade debtors all due within 1 year
Prepayments and accrued income
Other debtors
(cont.)
Unrestricted
Restricted
funds
income funds
45,654.00
£
19,524.00
£
(590.00)
£
13,209.00
£
7,944.00
£
3,538.00
£
-
£
1,059.00
£
-
£
Total funds
65,178.00
£
(590.00)
£
21,153.00
£
3,538.00
£
1,059.00
£
Prior year
funds
44,333.00
£
(12,606.00)
£
21,506.00
£
2,365.00
£
568.00
£
62,870.00
£
27,468.00
£
90,338.00
£
-
£
56,166.00
£
This year
63,880.00
£
1,298.00
£
(590.00)
£
64,588.00
£
7
7
840.00
£
674.00
£
-
£
1,514.00
£
Last year
43,323.00
£
-
£
1,010.00
£
-
£
(12,606.00)
£
31,727.00
£
6
6
849.00
£
-
£
-
£
849.00
£

LISS YOUTH CENTRE LIMITED

Annual Accounts Year Ended 31st December 2021

Section C Notes to the Accounts

(cont.)

Note 6 Creditors and accruals 6.1 Analysis of creditors

Bank loans and overdrafts
Trade creditors
Accruals and deferred income
Deferred restricted income
Taxation and social security
Other creditors
Total
Amounts falling due
Amounts falling due after
within one year
more than one year
This year
Last year
This year
Last year
-
£
-
£
-
£
-
£
-
£
-
£
-
£
-
£
500.00
£
500.00
£
35,296.00
£
32,184.00
£
1,667.00
£
523.00
£
-
£
-
£
-
£
-
£
37,463.00
£
33,207.00
£
-
£
-
£

6.2 Deferred income

Apportionment of Grants received in March for a full calendar year

Movement in deferred income account
Balance at the start of the reporting period
Amounts added in current period
Amounts released to income
Balance at the end of the reporting period
Deferred restricted income
Balance at the start of the reporting period
Adjustment to 2020 expenditure (Level Up)
Income received from
Police and Crime Commissioner for detached work
Street Based Work
NEET/Level Up
Expenditure during the year
Outings
Street Based Work
Level Up
Balance at the end of the reporting period
This year
500.00
£
10,163.00
£
(10,163.00)
£
500.00
£
This year
32,184.00
£
(3,870.00)
£
5,000.00
£
10,000.00
£
20,000.00
£
63,314.00
£
(550.00)
£
(15,227.00)
£
(12,241.00)
£
35,296.00
£
Last year
2,250.00
£
10,091.00
£
(11,841.00)
£
500.00
£
Last year
3,280.00
£
3,958.00
£
-
£
30,000.00
£
37,238.00
£
-
£
(5,054.00)
£
32,184.00
£

6.3 Deferred restricted income

LISS YOUTH CENTRE LIMITED

Annual Accounts Year Ended 31st December 2021

Note 7

Note 8

(cont.)

Section C
Notes to the Accounts
Cash at bank and in hand
Short term deposits
Cash at bank and in hand
Other
(cont.)
This year
-
£
88,791.00
£
-
£
88,791.00
£
Last year
-
£
77,271.00
£
-
£
77,271.00
£

Reserves Policy

The Charity allocates money from unrestricted fund balances to designated funds and the Trustees plan to employ more staff in the near future so that they may also work with the young people of Liss who do not attend the Centre. It is anticipated that the annual expenses will increase by some 15%.

The Reserve Funds are -

1 Continuity Fund

The regular donations received by the Charity from individuals and local organisations cover only about one-quarter of the Charity's expenditure with the balance of the income being provided by grants and donations. As these are not guaranteed the Trustees consider it prudent to maintain a reserve of some eight months of expenditure

2 Maintenance Fund

This fund is to be used for major items of maintenance such as decorating and also for the replacement of technical equipment

3 Dissolution Fund

This fund provides for the dissolution should the Charity be unable to continue and it is only to be used in the event of the Trustees deciding the Charity should cease to exist. It will be used to pay notice periods and redundancies of staff etc until closure of the Charity.

4 Restricted Income Activities

The Charity is committed to contributing to the Street Based Work project as this is only partly funded by external organisations

LISS YOUTH CENTRE LIMITED

Annual Accounts Year Ended 31st December 2021

Note 8

Section C Notes to the Accounts

Reserves Policy (cont.)

(cont.)

FUND
Continuity Fund
Maintenance Fund
Dissolution Fund
Restricted Income Activities Fund
Minimum Reserves required
BALANCE
45,000.00
£
10,000.00
£
10,000.00
£
5,000.00
£
70,000.00
£

Due to the nature of the organisation and the regular review of the budget, the reserves policy is reviewed on an annual basis to ensure that the funds are adequate to meet the ongoing requirements of the Charity.

Note 9

Covid - 19

The Charity received the following assistance relating to the Covid - 19 pandemic A contribution of £590 towards the salaries of the members of staff placed on furlough

Note 10

Additional Disclosure

The Company is limited by Guarantee and therefore has no share capital

CHARITY COMMISSION FOR ENGLAND AND WALES Independent examinerfs report on the accounts Section A Independent Examiner s Report Roport lo th• tru8toesl momber8 01 LIS5 On a¢¢ounts for tho yoar end•d Sl 2oZ{ Charlty no {tt any) Set out on pag I reFWJrt to the trustees ￿ my examination of the accounts of the above charity {Ihe Trusf) fw the year ended 3( l L Lo ? Rosponslbllltle8 and As the charity trustees of the Trust. you are responsible for the pr8par8tion bas1¥ of report of th6 attounts In acctydance wllh the requlrements of the Charllles Act 2011 fthe Acr). I report in respect of my examination of the Trust's accounts carri8d out under section 145 of the 2011 Act and in carrying out my examlnation, I have followed the applt¢abSe Directions given by the Charity Commisslon under section 145(5Xb) of the ALI. I have ￿MPleted my examin8ts'on. l o)nfirm that no material matters have c¥)me to my attention ( I In connectlon wlth the examlnall¢)n vlhich gives me ¢ause to believe thal In, any material Indepond•nl xamlMrf8 8t•t•m•nt accounting records ￿re not kept Sn ao>)rdance wbth section 130 of the Act or the accounts do rKI ac¢c¢d wlth the accoun￿n9 rocords I have no and have cx)me auoss no other matters In o)nnectlon with the examination lo vthich attention should be drawn In order to enabte a proper UnderSts￿lIng of the ao>)unts lo be reathed. . Plo8sa d8l•t• th• words In tha brackets rfthoy do not apply. Slgned: O&L Namg: Rehvant profe88lonal quallficallon{•) or body (If any): Address: H( Liss 14A 7N( IER Octob•r 2018

Section B Disclosure Only complete rf lh8 examiner needs to highlight matters of concern (see CC32. Independenl examination of charity accounts.. directi￿$ and guidance for examiners). Give here brfef detalls of any items that Ihe oxamln•r wlshes to d}￿10•?. October 2018