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2023-01-31-accounts

Page Page
Legal and adminstrative information 1
-
2
Chairman’s report 3
Trustees’ report 4
-
6
Independent examiner’s report 7
Statement of financial activities 8
-
9
Statement of financial position 10
Statement of cash flows 11
Notes to the financial statements 12 - 24

Trustees Rob Woolford
David Gardner
Geoff Card
Benita Middleton
Peter Hanna
David Lewis
Andrew Webster
Alan Parker
Secretary Julia Wigram
Charity number 1113830
Company number 05695208
Principal address Walton Firs Activity Centre
Convent Lane
Cobham
Surrey
KT11 1HB
Registered office Dixcart House
Addlestone Road
Bourne Business Park
Addlestone
Surrey
KT15 2LE
Independent examiner Ward Williams
Chartered Accountants
Beigrave House
39-43 Monument Hill
Weybridge
Surrey
KT13 8RN

Current financial year
Unrestricted Restricted Endowment Total Total
funds funds funds
2023 2023 2023 2023 2022
Notes £ £ £ £ £
Income from:
Donations and legacies 4 60,968 5,446 - 66,414 104,696
Charitable activities 5 528,195 - - 528,195 319,935
Other trading activities 6 41,179 - - 41,179 34,200
Investments 7 46 - - 46 -
Total income 630,388 5,446 - 635,834 458,831
Expenditure on:
Raising funds 8 10,254 - - 10,254 6,095
Charitable activities 9 511,581 3,395 26,909 541,885 397,180
Total expenditure 521,835 3,395 26,909 552,139 403,275
Net incoming/(outgoing) resources
before transfers 108,553 2051 (26,909) 83,695 55,556
Gross transfers between funds (79,763) (26,666) 106,429 - -
Net movement in funds 28,790 (24,615) 79,520 83,695 55,556
Fund balances at 1 February 2022 184,366 53,954 1,484,713 1,723,033 1,667,477
Fund balances at 31 January 2023 213,156 29,339 1,564,233 1,806,728 1,723,033

Prior financial year
Unrestricted Restricted Endowment Total
funds funds funds
2022 2022 2022 2022
Notes £ £ £ £
Income from:
Donations and legacies 4 89,820 14,876 - 104,696
Charitable activities 5 319,935 - - 319,935
Other trading activities 6 34,200 - - 34,200
Total income 443,955 14,876 - 458,831
Expenditure on:
Raising funds 8 6,095 - - 6,095
Charitable activities 9 368,700 2,922 25,558 397,180
Total expenditure 374,795 2,922 25,558 403,275
Net incoming/(outgoing) resources before transfers 69,160 11,954 (25,558) 55,556
Gross transfers between funds (203,927) 22,383 181,544 -
Net movement in funds (134,767) 34,337 155,986 55,556
Fund balances at 1 February 2021 319,133 19,617 1,328,727 1,667,477
Fund balances at3l January2022 184,366 53,954 1,484,713 1,723,033

2023 2022
Notes £ £ £ £
Fixed assets
Tangible assets 14 1,695,316 1,633,555
Current assets
Stocks 15 2,023 5,237
Debtors 16 44,707 35,360
Cash at bank and in hand 195,645 176,501
242,375 217,098
Creditors: amounts falling due within
one year 17 (115,081) (94,738)
Net current assets 127,294 122,360
Total assets less current liabilities 1,822,610 1,755,915
Creditors: amounts falling due after
more than one year 18 (15,882) (32,882)
Net assets 1,806,728 1,723,033
Capital funds
Endowment funds - general 20 1,564,233 1,484,713
Income funds
Restricted funds 19 29,339 53,954
Unrestricted funds 213,156 184,366
1,806,728 1,723,033

2023 2022
Notes £ £ £ £
Cash flows from operating activities
Cash generated from operations 25 121,709 111,139
Investing activities
Purchase oftangible fixed assets (102,611) (57,641)
Proceeds from disposal oftangible fixed
assets - 933
Investment income received 46 -
Net cash used in investing activities (102,565) (56,708)
Net cash used in financing activities -
Net increase in cash and cash equivalents 19,144 54,431
Cash and cash equivalents at beginning ofyear 176,501 122,070
Cash and cash equivalents at end of year 195645 176501

Total 2022 £ 22,468 25,231 25,231 56,997 104,696 25,231 25,231
Restricted funds 2022 £ 14,876 - - 14,876 - -
Unrestricted funds 2022 £ 7,592 25,231 56,997 89,820 25,231 25,231
Total 2023 £ 11,620 54,794 66,414
Restricted funds 2023 £ 5,446 - - 5,446 - -
Unrestricted funds 2023 £ 6,174 - 54,794 60,968 - -
Walton Firs Foundation Notes To The Financial Statements (Continued) For the year ended 31 January 2023 4
Donations and legacies
Donations and gifts Grants receivable Donated services Grants receivable for core activities Government grant income (Covid-19)

Activity Activity
Centre Centre
2023 2022
£ £
Activity centre operating income 528,195 319,935

Unrestricted Unrestricted
funds funds
2023 2022
£ £
Shop income 14,579 7,600
Telecommunications mast income 26,600 26,600
Other trading activities 41,179 34,200

Unrestricted Total
funds
2023 2022
£ £
Interest receivable 46 -

Unrestricted Unrestricted
funds funds
2023 2022
£ £
10,254 6,095
10,254 6,095

Activity Activity
Centre Centre
2023 2022
£ £
Staff costs 284764 212075
Depreciation and impairment 40,850 39,515
Activity centre operating costs 167,904 90,828
493,518 342,418
Share of governance costs (see note 10) 48,367 54,762
541,885 397,180
Analysis by fund
Unrestricted funds 511,581 368,700
Restricted funds 3,395 2,922
Endowment funds - general 26,909 25558
541,885 397,180

Governance costs
2023 2022
£ £
Depreciation - 120
IT and communications 5,652 3,290
Professional fees 40,465 47,752
Auditfees - 1,350
Independent examiner’s fees 2,250 2,250
48,367 54,762
Analysed between
Charitable activities 48,367 54,762

The average monthly number of employees during th e year was:
2023 2022
Number Number
Activity centre 14 6
Administration 4 4
Total 18 10
Employment costs 2023 2022
£ £
Wages and salaries 263484 196,523
Social security costs 16,637 12,474
Other pension costs 4643 3,078
284,764 212,075

Tangible fixed assets
Land and Activity Fixtures and Computer Total
buidlings centre fittings equipment
equipment
£ £ £ £ £
Cost
At 1 February 2022 1,626,745 195,128 67,337 4,624 1,893,834
Additions 75,194 - 25,579 1,838 102,611
At31 January2023 1,701,939 195,128 92,916 6,462 1,996,445
Depreciation and impairment
At 1 February 2022 135,084 74,479 46,348 4,368 260279
Depreciation charged in the year 24,186 7,454 8,769 441 40,850
At31 January2023 159,270 81,933 55,117 4,809 301,129
Carrying amount
At31 January 2023 1,542,669 113,195 37,799 1,653 1,695,316
At31 January2022 1,491,661 120,649 20,989 256 1,633,555

14 Tangible fixed assets (Continued)
The carrying value of land included in land and buildings comprises:
2023 2022
£ £
Freehold 800,000 800,000
15 Stocks
2023 2022
£ £
Finished goods and goods for resale 2,023 5,237
16 Debtors
2023 2022
Amounts falling due within one year: £ £
Trade debtors 35,504 28,263
Other debtors 543 86
Prepayments and accrued income 8,660 7,011
44,707 35,360
17 Creditors: amounts falling due within one year
2023 2022
£ £
Other taxation and social security 13,344 6846
Trade creditors 14,649 18,697
Other creditors 18,060 17,881
Accruals and deferred income 69,028 51,314
115,081 94,738
18 Creditors: amounts falling due after more than one year
2023 2022
£ £
Other creditors 15,882 32,882
Restricted funds The income funds of the charity include restricted funds comprising the following unexpended balances of donations and grants held on trust for specific purposes: Movement in funds
Movement in funds
Balance at
Income
Expenditure
Transfers
Balance at
Income
Expenditure
Transfers
Balance at
1 February
1 February
31 January
2021
2022
2023
£
£
£
£
£
£
£
£
£
Activity Centre Equipment
7,695
-
(2,922)
-
5,073
1,500
(2,312)
6,280
10,541
Special Hargrove Fund
450
-
-
(450)
-
-
-
-
-
Development Fund
- other
300
-
-
-
-
-
Telecoms Building
9,275
-
-
6,974
16,249
-
(1,083)
-
15,166
Wilman Lodge
1,397
-
-
-
1,397
1,515
-
(1,515)
1,397
Dick’s Shed/Richard’s Barn
500
14,876
-
15,859
31,235
196
-
(31,431)
-
Aeroball
-
-
-
-
-
2,235
-
-
2,235
19,617
14,876
(2,922)
22,383
53,954
5,446
(3,395)
(26,666)
29,339
19
Walton Firs Foundation Notes To The Financial Statements (Continued) For the year ended 31 January 2023 20
Endowment funds
Endowment funds represent assets which must be held permanently by the charity. Income arising on the endowmentfunds can be used in accordance with the objects
ofthe charity and is included as unrestricted income. Any capital gains or losses arising on the assets form part ofthe fund.
Movement in funds
Movement in funds
Balance at
Transfers
Balance at
Transfers
Balance at
Income
Expenditure
Income
Expenditure
1 February
1 February
31 January
2021
2022
2023
£
£
£
£
£
£
£
£
£
Permanent endowments Activity Centre Purchase Fund
Patience Baden-Powell Centre
800,000
105,909
(6,590)
-
800,000
-
99,319
(6,590)
-
800,000
-
92,729
VisitorAccommodation
153,338
(4,034)
-
149,304
(4,034)
-
145,270
Activity and Training Resource
Visitor Facilities
121,496
147,984
(5,739)
(9,195)
-
115,757
181,544
320,333
(7,089)
(9,196)
106,429
215,097
-
311,137
1,328,727
-
(25,558)
181,544
1,484,713
-
(26,909)
106,429
1,564,233
The transfer in the prior year from the unrestricted fund to the endowment fund related to the shower block. Our policy is to transfer the cost to the endowment fund when a project is completed, but this was overlooked in 2021.
Total 2022 £ 1,633,555 122,360 122,360 (32,882) 1,723,033
Restricted Endowment funds
funds
2022
2022
£
£
53,954
1,484,713
-
-
- 53,954
1,484,713
Total Unrestricted funds 2023
2022
£
£
1,695,316
94,888
127,294
122,360
(15,882)
(32,882)
1,806,728
184,366
Restricted Endowment funds
funds
2023
2023
£
£
27,104
1,564,233
2,235
-
- 29,339
1,564,233
Walton Firs Foundation Notes To The Financial Statements (Continued) Forthe year ended 31 January 2023 21
Analysis of net assets between funds
Unrestricted
funds 2023 £ Fund balances at 31 January 2023 are represented by:
Tangible assets
103,979
Current assets/(liabilities)
125,059
Long term liabilities
(15,882)
213,156

At the reporting end date the charity had outstanding commitments for future
non-cancellable operating leases, which fall due as follows:
minimum lease paym ents under
2023 2022
£ £
Within one year 4,450 4,000
Between two and five years 13,350 16,000
17,800 20,000
Capital commitments 2023 2022
£ £
At 31 January 2023 the charity had capital commitments as follows:
Contracted for but not provided in the financial statements:
Acquisition of property, plant and equipment - 60,000

25 Cash generated from operations 2023 2022
£ £
Surplus for the year 83,695 55,556
Adjustments for:
Investment income recognised in statement of financial activities (46) -
Depreciation and impairment oftangible fixed assets 40,850 39,634
Movements in working capital:
Decrease/(increase) in stocks 3,214 (856)
(lncrease)/decrease in debtors (9,347) 6,897
Increase in creditors 3,343 9,908
Cash generated from operations 121,709 111,139