Company Registration Number
05928187
Charity Registration Number
1120361
Colehill and Wimborne
Youth and Community Centre
Reports and Unaudited Financial Statements
For the Period Ending
30 September 2024
Clear Cut Accounts Ltd
2 West Moors Road
Three Lè8ged Cross
Wimborne
Dorset
BH216QP

Colehill and Wimborne Youth and Community Centre
Contents
Page
Charlty Informatlon
Trustees. Annual Report
Statement of dlrertors, respo￿sIbIlItIeS
Independent A¢¢ountant's Report
Statem?nt of Hn•nclal Actlvltles
Balbnce Sheet
io
Movement in lunds
li
Notes to the accounts
12.21
ForCompanlesArt
Incomeand Expenditure AccL*Unt

Colehill and Wimborne Youth and Community Centre
Charity Information
Company Registration Number
05928187
Charity Registration Number
1120361
Trustees
Mr LGlbson
Mr K R MurgatrDyd
Mr N R Bridle
rs P E Urquhart
ReBj5tered Office
The Reef
Colehlll Lane
Colehill
Wlmborne
Dorset
BH217AB
Independent Examlner
Clear Cut Account5 Ltd
2 West Moors Road
Thr&2 L&￿ed Cros5
Wimboi'ne
Dorset
BH216QP

Colehill and Wimborne Youth and Community Centre
Trustees, Annual Report for the year ended 30 September 20241
The Trustees preseni their Report and Accounts for the year ended 30 September 2024, whlch also comprlses the
Directors, Report required by the Companies Act 2006.
Reference and admlhlstr&tlve details
The charlty name.
The legal name of the charity is.'- Colehill & Wimborne Youth and Cornmunity Centre
The char)ty15 also known by It5 operatlng name, The Reel.
The charlty's areas oper?tlon and UK ch?ritsble reslstratlon,
The charity is registered in England & Wale5 Wlth the Charity Commission in England & Wales ICCEWI wlrh charllv
numbpr 1120361
L•8al structure of the charlty
The charlty Is con5tltuted as a compaiiy Ilmlted by guarantee, re8isl.ered under the Coinpanies A¢1. The 8gvernin8
document of the charlty15 the Memorandum and Articles of Assoclatlon establlshlng the compèny under company
By operatlon ol law all, trustees are director5 under the Companie5 Act 2006 and all directors are
trusiee5 under Charities legislation and have responsibilliies, a5 such. under boih Company and
charity legislation.
The tru5tee5 are all Indlvlduals.
The prln¢ip•l operating addre￿. telephone number. ernall and web addresses of the charlty are:.
The Reef
Colehill and Wlmborne Youlh and Community Centre
Colehill Lane, Colehill
Wimborne
Dorsel
H217AB
Thè r￿lStered office Df the charlty foy Companles Act purposes Is the same as the operatln8 address shown above.
The followln¥ persons served as Trustees durin8 the year ended 30 September 2024:.
The trustees who served as a tiustee In the reportlng peri¢d, and, if applicable, their dates of
appointment oi reslgnatlon durlng the year were:.
Name
r L Gibson Ichairl
r M R Kenist¢n
r K R Murgairoyd
MrA Todd
Mr N R Bridle
Mrs P E Urquhart
Appoiiiled
Resl8ned/Rethred
22 May 2024
22 May 2024
22 May 2024
Member
Colehlll Parlsh Council
TrusteÈs are appointed by the solè member, Colehill Parish Council. The total numbet olTrustees
must be betsveen 3 and 7, with 2 to 5 serving Councillors and up to 2 Independent Member5.

Colehill and Wimborne Youth and Community Centre
Trustees. Annual Report for the year ended 30 September 20211
Objects and actmtles of the charlty
The purp05e5 of the charlty as set out In Its 8overnln8 document
Promote the benefit of the youn8 people and other inhabitants of Colehlll, Wimbome and the 5urroundln8 area
without distinction ol sex. sexual orientation. race or ot political, religious
or other opinions, by a5sociatin8 together the said irbhabltants and the loc31 authorltles, voluntary and oth¢r
or8anlzations In a common elforL lo adv(iTrce education and to provide facilltles in the Intei'ests of soti21 welfare for
re¢reation and leisure-time otcupation with the object of Improving the Conciitions of life for the said inhaL)itants,'
Establish or secure the establishment of, a Youth and Commlinlty Cerntre and io maintain and man88e the same
Iwhether alone or in co-operation with any local authority or other person or body) in furtheran￿ of these object5
Promote such other charitable purposes as may from tlmo to tlme be determlned.
The rnaln artlvltles undertaken In relotlon to t1105e purp05eJi durlng th• year
I ne aims or Ine ¢narity are..
To fundraise from a v#riety of souice5 to maintaiD and 5UStain a multi-use Youth and Community Centre,
To hlre rooms of the bulldlng for the use of family parties, clubs, socleLles and lotal buslnèsses,
To develop a range of actlvltles for the community, older people, children and young people
To work with a range of agencies to con51der what servi¢es are available fei the community, idenlify where
there afe unmei needs and develtsp provision to mept those need5.
5taternent ¢onflrmlnB whether the trustees have hod reyr(I to the iuldanc• Issued by th• Charlty Commlsslon on
publlc beneflt
We hève referred to the Charlty Commission's guidance on public benefit when reviewing our alms and oblectives
Alms and Oble¢tlves
The c￿rItIeS stratè8les for •chlevlnB Its alrns and obleftlve5 In the future
ro eompleie ihe aims, we have develoiped a new operating model whl¢h will be tran51tloned to over 3 years, Thi5 has
seen new trustee5 appolnted and supported by professional Staff. These accounts have been produced after year I
of the transition.
rhls process commenced by outsour¢ln8 the Ytyuth Club tD Dorset Youth Associatlon and the admlnlstratSon to
Colehill Parish Council.
How the a¢tivitles undert8ken durlnK the year contrlbuted to the achie￿ment ol
the alm5 and oblectlves.
The Youth Club contlnu25 to be promoted and supportèd. the fèe lÈvèl has bèen reducL>d and the range of youth
setvi￿5 0fferEd has been expanded. Thls ha5 grown the number of attendee5.
The number of community events has been increased to at least One pÈr month, and the number of community
5ervlce5 Qffered has been in¢reased. This ¢ontinue5 to attract local resldent5 Into the venue. many foi the first time.

Colehill and Wimborne Youth and Commiinity Centre
Trustees. Annual Report for the year ended 30 September 2024
Achlevernent5 and Performance
Summary of the maln achievemèftts of the chjrltyi Identlfyln8 the difference the ¢harlty's work ha$ made to the
clrcumstsnces of Its beneficlarles and any wlder benefits to society as a whole.
We average c28 regular club5/classe5 meetlns on a weekly ba515 attended by c 350 local re5ident5.
The number of private functlons has increased from 4 to 12 per month, typically with c 30 attendees.
We have donated free use of our space to 4 local charities aNd community groups.
The youth club is typically attended by 40 to SO children each week. During the 23124 academic year the total
number OF atleftdances was 1,471.
Our evernts and activities in total are benefittin8 c2,QOO attendees each month.
Achlevement5 Jyln5t oblectlve5 Set
Our totsl Income exceeded eypectstlons by 8rowln8 49% compared to the prlor year. Room hlrir8 being the
largest Component 8rowin8 by 27%.
Ourtotal running costs grew by 31% c £10,000 less than anticipated.
We are on track against the 3 year business plan to become profitable In 2024125.
Performanee ol fundralsltti •¢tlvhles •g•lnst oblettlves set
Our fundra151n6 durlng the year raised £3.849 Irorn events and donation5 up Irorn £2,6911 last year. This wa5
drtven by successful community evenls includin8 School Uniform donations and a Cream tea.
Investment perfomiance &8ainstoble¢tfves
É40,CNJO of our reserves are held in a of I year and 3 yèar Investment bonds, seeklng to maximlse our rèturn
while interest rates remain high.
Flnancial Review
R•vl•w af the charlty's flnanclal posltlon It thè end of the perlod
Thls Is our el8hth set of account5 for Colehill & Wirnborne Yauth & Comrnunity Centre operatiTh8 as a business.
Our flnanclal posltlon at the end gf the year remaln5 very strong, Wlth c £94,000 held in the bank and in long
term Investments.
Durlng the year we successfully grew the Income from both room hlrlngs and donatlon5, whlle recelvlng £9,000
in granis. We are now well posilioned to 5UStain the Increased operalion Costs from outsourcing our ¥outh club
and administration.
St&tsment explginin8 the p)Il¢y Ir•r holdlttÉ re$erves stating why they are held
We currently hold si8nificant reseNes because of a Ii>gacy i55ue From the construction of our building in 2016,
We anticipate sperndin8 ¢ £66,OCX) during 2025 to fully rectify the issue.
v ihe end ol our next ff nanclal year we ani5¢lpate our unrestr1cted reseNes will stand ai c £34,000 whi¢h
equates to about 7 months of our current operating costs.
Amount ol reserves held
Unrestrlcted reseive5 avaSlable to the trustees have reduced from £103,816 to £95,936.

Colehill and Wimborne Youth and Community Centre
Trustees, Annual Report for the year ended 30 September 20241
The charltvs prlncipal sourtes ol funds Ilncludlng any fundraSslngl
Room hiring5. dDn3tion5 3nd youth club mernber5hip subscriptions were ts￿1 principal sources of funds.
Investment polky and oblectlves Includln8 ary soclal Investment pollcy adopte
Reserves are invested in fixed term bonds protected by the Firbancial Services Compen53tlon Scheme.
A descrlptlon of the prlnclpal rlsks faclng the tharlty
The main risk relates t(J a legacy issue from the Constructlon of the buildin8 in 2016. The wronÉ type ol- rènder
was applied and this 15 St3rting to fail. We've gbt21ned qLiolatlons to undertake the nece55ary rectlfication durlns
2025 and are happy we can fund this from our reserves.
strurture, Governance and Management
Thè tompany Is gtsverned by Its Artlcles of Assotlatian as rÈvlsÈd In February 2024.
The charity is conslituted as a Company limited by guarantee.
Trustee5 are appointed by Ihe sole mernber, Colehill Parlsh Councll. The total number of Trustees must be
between 3 and 7, with 2 to S 5ervin8 Councillor5 and up to 2 Independent member5.
Poll¢le$ and prwedures adoptsd lor the Inductlon and trainlng of trusie¢s
Procedure5 are generally in accordance with para's SA to 6.6 inclusive of the Charity Commi55ion Guldance In
FlThdin8 land appolntingl new tlUSEees.' What charities need to know.
Reladon$hlp wfth •ny r*latsd p•rtles
We pay Colehlll Parlsh Council, OL4f 501e member to provide admlnlsiratlon suppon for the ¢h3ritv.
We outsource the running of our Youth Club to Dorset Youth A550¢iatlon IDYAI.

Colehill and Wimborne Youth and Community Centre
Statement of the Directors, and Trustees, Resporislbilltles
for the year ended 30 September 2024
The charity's tr￿Stee5 are responsible for the preparacion of the accounts in accordance with the terms of the Companies
Act 2006, the Charities Act 2011 and the Charities (Accounts and Repoits) Regulation5 2008. Noiwithstandingthe
expllclt ￿qUirement ITh the eytant statutory regulations, the Charities (Accounts 2nd Reports) Regulations 2008,
to prepare the flnancial statements in accordance wlth the SORP 2005, In vlew ol the fact that the SORP 2005 ha5 been
withdrawn. the trustees dètermin2d to interpret this responsibility as requiring them to follow current best
practice and prepare the accounts according to the FRS 102 SORP (Statement of Recomme.nded Practlce for Accountin8
and Reporlin8 by Charbtlesl 2019, (The SORPI,
In particular, the Companles Act 2006 and charlty law fequife the Board of Tru5tee5 to prepare financial statements for each
financial year which 8ive a true and falr vlew of the state of affairs of the charlty as Bt the end of the Ilnanclal year and of the
surplu5 or deficit of the charity.
In preparing those financlol 5tatemerbts the Board Is required to:.
to prepare the accounts In attordance wlth United Kingdom Generalfy Accepted Accounting Practlcè
(United Kin8dom Accourbting Standards and applicable18wl.
select suitable accountlll8 policles and apply them ¢onslstently',
make lud8ements and estlmJtes that are reasonable and prudent,.
prepare the flnan¢ial 5tatement5 Qn the ÉL)in8 concern basls unless tt Is inappropriate to presume that ihe charity
will continue in buslness
state whether applicable accountin8 Standards and statements of recommended prartice have been followed,
subject to any mateilal departures dlsclosed and explained in the financial statement5.
The law requires that the trustees must not approve the accounts uhlÈss they are sailsfled thai they glve a true and klr vlew
of the status of affairs of the charjty and of the surplus or deficlt of the charity for the year.
The Trustees are also responsible for rraintainin8 adequate atc¢unting records whlch disclose wlth reasonatsle accuracv
at any time the finarn¢ial position ol the charity and whlch are suffltient to show and explain the ¢haritY'5 transactions and
enable ihem to ensure that the flnaneial statements comply wlth the Companies Act 2￿6 and comply w￿h regulations made
under the Charities Act. They are also responsible lor safeguarding the assets of the charlty and hence for taking
reasonable steps for the prevention and detection of fraud and other Irreqularities,
The Trustee5 are also responsible for the contents of the Trustees, report. and the st8lutory responslblllty of the Independent Examiner in
relation to the Trustees, report is limlted to examinlng the report and ensurlng that, on the face of the report. there are no materlal
inconslstencies with the figures diselo5ed in the Ilnanclal statéments.
Method of preparatlon of •ccounts- Small Company provlsion5
rhe financial statements are set out on pages 9 to 23.
The ffinancial statements have been prepared implementing the FRS 102 SORP (Stalement of Recnmmènded Practlce for Accounting
and Reporting by Charltlesl 2019, IThe SORPI ènd in accordarice with the Financlal Reportin8 Standard 102, leffectlve 1st January 20161
These flnaneial statements have been prep8red In acctyrdaThce with rhe provi51ons In Part 15 of the Companies Act 2006. applicable
to companies subiect to the Small companies reglme.
This repon was approved by the board oftrustees on 10th De￿mber 2024
Leslie Gibson
Director and Truste

Colehill and Wimborne Youth and Community Centre
Accountants, Report
Rèport of the Indèpèndent Examlnerto the Trustees of the charltablecompanii on the ac¢ounts for
the year ended 30 September 2024
l ￿port to the Trustees on my examination OF the finanaal 5tatement5 of the chari'lable company on pages 9 to
23 for the year ended 30 Septembef 2024 which have been prepared in accordance with the Charlties Act 2011
(the Act) ènd with the Financial Reporting Slandard 102, (effective 1st January 20161 as modlfied by FRS 102
SORP Istaternent of Recornmended Practice lor Accountin8 and Reportin8 by Charities12019, (The SORPI,
publlshéd by thè Charlty Commlsslon In England & Wale5 ICCEWI, and under the historical cost conveiitlon and
the accountlng pollcles set out In the notes.
Respective responsibilitie5 of Ihe Trustees and the Independenrt Examlner and the basi5 of the report
As dèscrlbed on page 23, you. the charitable company's Trustees, who are a150.the Directors of the Company for
the purposes of Comphny law, are responsible for the preparation of the financial Statements In accordance
with the Companies Act 2006, the Charities Act 2011 and all other applioble law and with United Kingdom
Generally Accepted Accountlng Practlce, appllcable to smallèr entlties, and for belng satlsfled that the financial
statements give a true and fair view.
The Trustees consider that the audit requirernent of Section 14411) of the Charltles Act 2011 (the Attl does not
apply, and that there is no requirement In thè mèmorandum and artlcles of the chdrity for the conducting of an
audit, and that the accounts do not require art audit in accordance wlth Part 16 of the Companies Act 2006 and
that no member or members have requested an aud¢t pursuant to Settlon 476 of the Companies Act 2006. As a
consequence, the Trustee5 have elected that the flnanclal statempnts be subject r.o independent examination.
Havlng satisfled myself that the finJn¢lal statements are not required to be audited under any legal provlslon, or
otherwise, and are eligible for independent examlnatlon. It Is my responslblllty to:.
al examlné the financlal statements of the charlty under Section 145 of the Act,.
bl follow the applitable procedure5 in the directions given by the Charity Cornmission under sectlon
14SISllbl of the Act
Basis of Indepeftdeni Ex•miner's statement and scope of work undertaken
I report In respect of my examination of the charity'5 financial statements carrled out under $145 Df the Act. In
¢arryini out my exarnination, I have followed all the appllcable dlrections given by the Charity CommSsslon
under section 14515llbl of the Act setting out the duties of an independent examlner In relation to the
conducting of an independent examination. An independent examination includes a review of the accounting
records kept by the
charitable company and of the ?￿oUntIng svstems employed by the charitsble conipany and a comparison of
the financial ststements presented with those records. It also includes consideratlon of any unusual item5 or
disclosures in the financi315tatements, and seeking explanations from you, as Trustees, ¢oncernin8 such
matters, The purpose ol the examination is to establish as far as possible that the￿ have been no breaches of
chartty legislation and that, on a test basis of evidence relevant to the amovnts and dlsclosures made, the
flnancial staternent5 comply wtth the 50RP.
The procedure5 undertaken do not provlde all the evidence that would be required In an audit, and informatlon
supplied by thè Trustees in the course of the èKHrnination is not subjected to audit tests or enqulFles and does
not cover all the matters that an auditor would consider In arriving at an opinion. I'he plannlng and conduct of
an audit goes beyond the limited assurance that an independent examination can provlde.

Colehill and Wimborne Youth and Community Centre
Accountants, Report
Consequently, I do not e¥pre55 an audit opinlon on the view given by thè financial stat&rnents, and In particular,
l express no opinion as to whethef the financial statements give a true and fair vlew of the affairs of thè charitv,
and my report is limited to the matters set out in the statement below.
I planned and performed my examination so as to satisfy myself that the objectives of the independerit
examlnatlon are achleved and beforè finalising the report l obtsined written assurances from the Trustees of all
material matters.
Independent EKamlner's stateme￿￿, Report and Oplnlon
Subject to the limitations upon the scope of my work as detalled above, I have completed my examination.. and
can confirm that'.-
The accounts of thls charitsble company are not ￿qUired to be audlted under Part 16 of the Companies Act
2006,.
This is a report in respect of an examination carrled out under 145 of the Act and in accordan￿ with Direction5
Iven by the CharSty Commlsslon under section 1451Sllbl of the Att which may be applicable;
and that no material matters have come to rny attentlon In connectlon wlth the examinatltsn giving me cause to
believe that in any material respect:.
accounting recorcjs were not kept In respect of the charity as required by Sectlon 386 of the
Companies Act 2006 and Section 130of The Charities Act 2011,.
the financial statements do not accord with those records,. or
the financ4al ststements do not comply with the applicable requiren7ents concernlng the form and
content of accounts set out in section 396 of the Cornpanles Act 2001) other than any requirement
that the accounts glve a 'true and fair, view, which is not a matter ¢on5idered as Part of an
Independent examlnatlon.
have nct been prepared in aecordancè wlth thé methods and prlnclples set out in the FRS 102 SORP
(Statement of Recommended Prar.tice for Accountln& and Reporting by Charitie51 2019, (The SORPI.
I have no concerns and have come across no other mètter5 In connectlon wlth the examlnation to which
attention should be drawn In ihis report in order to enable a proper understanding of the financlal statèmants
to be reached.
Slgned:
P Rlchardson ACMA
Chartered Management Accountant
Clear CLrt Accounts Ltd
Date:

Colehill and Wimborne Youth and Community Centre
Statement of Financial Activities
for the year ended 30 September 2024
Siatement of Flnanclal Aetivitles
Ilneludlng the Income and Expendlturé Aecauni forthÈ y¢ar er￿￿& 10 ￿M￿lber 2Q24, aB req￿Ired bythÈ Cow¥anièsALt 20061
uni.estr1￿Éd
fund5
R¢strfi¢t¢d
iwome funds
En(b)wrnent
Nls
Prioryear
funds
Total fund$
Income INot¢ 31
Income andendowments from..
IN8￿leS
11,485
38,-521
I,ooo
11,485
38521
688
32,498
Otr*rty•dlr•4CVVIty•S
Intr[￿t
1,618
2,166
196
53.368
Oth*r
196
5&75r*
Total
Expendlture INote$ 61
1,618
36,523
ExpÈndltuie c￿..
62,101
61,lQl
6,856
6,8S6
68,957
68,957
51.073
5I073
rotsl
N•t IrKom•ll•xp•ndlturnl b•lore taxfortho raportlh8 period
Tlx payablè
Net In¢omglleKp•ndlturg1 aftertsx before Inveilment￿l￿s/lknsSe$l
i ￿1￿51(1011￿1loTh lThvestments
Netlneomèll•xpendlturel
Extmordlmry It•rns
Tvanslers bÈtw¢¢A lunds
ot￿r rètowlsed 8alnsl1l1￿e$I.
I1￿351)
16,8561
1,618
115,5891
114,5501
1103511
16,8561
1,618
115,5891
1145501
110,3511
16,8561
L61B
IIS.5891
1145501
124Q701
24,070
G4in$4Thd I￿%*1 on r￿&1￿￿tIo￿OI1IWd411￿ f¢rih¢ih•tlVsownuJ•
620
Netmovementlnfvnds
153.8011
17,4761
25ffj88
115,589
1145501
Reton¢lllotlon oAfvnd5.'
64,332
ao,$31
48G,515
479m9
61,220
56.908
612,067
596,478
626.617
12,067
TotalAund5 currled

Colehill and Wimborne Youth and Community Centre
Registered number:
Balance Sheet
as at 30 September 2024
05928187
Restrl¢ted
Unre5trirted Incomo
funds
funds
Endowment Tot#1 this Totsl last
funds
year
year
Flxed assets
Tangible Assets
23,770
479,039
S02,809 508,281
Current J5sets
Inventories
Trade Debtors
971
971
1,875
93,985 101,911
Cash at bank
7,077
86,908
Credltors: amounts falllng due wlthln
one year
Net Current Assets
86,908
94,956 103,786
86.908 597,765 612,067
Total assets plus current assets
31,818 479.039
Provlsions for liabilitie5
1,287
1,287
Net Assets
479.039
86,908 596,478 612,067
Funds ofthe Charity
Enéowment fund5 (Note 151
Restricted income funds (Note 151
Unrestricted funds
Total Funds
36,908
36,908
61,219
479,039 486,515
50,000
80,S31
64,333
86,908 596,478 612,067
479,039
30,5JI 479,039
The company was entltled to exemption from audit under $477 of the Companles Act, 2006 ￿LatIng to small
companie5.
The members have not requlred the company ta obtain an audit in accordance with sectlon 476 of the
Companle5 Act 2006.
The dlrectors acknowlÈdge their responsibilities for complying with the requireinents of the Compinle5 Act
with respect to accounting record5 and the preparation of accoLints.
These accounts have been prepared Sn accordance with tho provisions applicable to small companies subject to
the small comp8nles regime and in aCcOr(lan￿ with FRS102 SORP.
Nigel 8ridle
Director
Approved by the board on 10 December 2024
10

Colehill and Wimborne Youth and Community Centre
Movements In revenue and capital funds
for the year ended 30 September 2024
Revénue actumulated funds
Unrestricted Restrlcted Income Endowment Total thls
funds
funds
funds
ye•r
Tot81 last
year
Atcumulated fund$ brought forward
Recogni5ed Bains and losses before
transfer5
64,332
61,220
125.552
136,625
64,332
61,220
136,625
IFroml/ To unrestrlcted revenue funds
133.8011
25,68
18,1131
111,0741
Closin8 revenu• funds
30,531
86,908
117,439
125,551
Flxed asset funds
De51gnated
ftsnd5
Re5trictqd flxed Endowment Toial thls
asset funds
funds
v•ar
Toial last
vear
Al l October
50,000
486,515
150.0001
486,515
489,991
Transfer Itol I Irom revenue funds
At 30 Seplember
7,476
7,476
3,4761
50,000
479,039
50,ODO
479,039
486,515
Summary of funds
Uftrestrlcted
& t>e51gnated
funds
Endowment Total tblls
funds
year
Total last
vear
Re5trlcted funds
Revenue accumulatod funds
Fixed asset funds
Total funds
30,531
50,000
80,531
86,908
50,0001
36,908
117,439
479,039
596 478
125,551
486,515
612,066
479,039
479,039
11

Colehill and Wimborne Youth and Community Centre
Notes to the Financial Statements
for the year ended 30 September 2024
l. Ac¢ountln8 pollcles
Politi•s ielatinff to the produ¢rlon of the accounts.
Basls of preparntlon and accountlng conventlon
The accounts have been prepared on the accruals bass, underthe the h$torlcal cost conventlon, and In accordance with Financial
Reportingstandard 102, leffecrive Istlanuary 20161 and FRS 102 SORP Istatemeni of Recornrnended Practlce forAccountinA and
Reporting by Charities) 2019, (The SORPI, publlshed b¥the Charty Commission in England & Ivales ICCEWI, èffectlwe january 2019,
and in accordance wlth 3113ppliiable law In the rharity's Iuii5diction Df registration, except thattlie charity 113$ prepdfEd the financlal
statements in accordan￿ wlth the FR5 102 SORP1st3tement of Recomrnended Poctice lor Aceouniing Jnd Reporting by Charttlesl
3019, (The SORPI, in preference tothe prevlous SORP, the SORP 2n05, whlch has been withdfawn. notwithstanding thefoct thotth•
e%tant statutDry regulations, the Charities (Accounts Report51 Ro8ulaTlon5 2￿8 referexplicitly to the SORP 2005. This has been
don* to Iccord with current best pract1￿.
Al$ks ar￿ tlrture issumptb)ni
The charity has adopted the recornrnendation5 of 'Statempnt of flecomnienéed practice ISORPI- Acci>unting and Reportlng by Charhies
March 2005, and consideration is given tfj the maloi. strat¥i¢ buslness and awraiion41 rlsks which tho club faces. Poieniial ri5k5
faced by the tharlty are Identlfied, and the trustee% and mar)agement team assess these risks in Ofder to mitigate the ¢hèrtys
exposure. The trustee5 formally revlew r1sks an a regular ba515. The charrty is a public benellt ejtity.
Polkies relatlnq to catellorles of Income Income rec￿nIt10Th.
Natum af Incorne
Gross Income represents the value, net of value added tax and dlscounis, ol goods provlded to ¢ustomer5 and work c3rrled out In
respect Df serv1￿S provided to CUStomer5.
i￿orIeS of Income
Income15 cateBcrised as inconie from exchHnge tran5èCtlons Iconir?Cl Iricomel and Income frDrn non￿xChange
transattion5 Iglftsl, investment incon)é and other Income.
Incorne frDrn exchange transactK)ng Is recelved by the ¢harlty for8oods or 5ervlces supplled undercontract or whèie
entitlement Is sublettto lulflling performance related conditions. Thè incomÈ the eharlty recelvesls approxlrnately equal In value to the
goods or servlcès suppllÈd by the charltyto the purch3s&i.
Incomefrom a non-exchange transadlon Is where the charty recelve5 value from the donor without providingeouèl
value In exchanEe, and Includes donatlDn5 of money, goods and serwlces freely given wlthout gi¥AnE equal value In
exchange.
In¢om• ra(￿￿1¢10Th
Income. whether from exthanse or non exc113nge tran53cilons, is recognisÈd in the statement of financial èctivities
ISOFAI on a recelvable basls, whÈn a trAnsaction or other event results In an increase in the charity'5 assets or
redtsction in Its Ilabllnle5 and only when the charlty ha5126al entltleryient, the income is probable and can be measured reliablv.
Income sublett to terms and condhiDn5 whith must be rnet before the charity is entitled to the resources Is not
recognised unfjl the condltlons have been met.
All Incorne15 acwuThted for gross, belore deductin8 any related fees or costs.
12

Colehill and Wirnborne Youth and Community Centre
Notes to the Flnancial Statements
for the year ended 30 September 2024
Poll¢les r¢latlnK to expendltute 8oods ¥nd servlces provlded to the charfty.
RecoBnltlon of Ilabllltle5 and expendlture
A Ilability* and the T&￿ted expenditure, is recognised when 3 legal or constructive evenL and when obliEation *x15t5 as a result of a past
ev&nt It Is more Ilkety than not th3t a transfer of econoinlc benefits will be required in setdement 3n(J when the amwnr of the
obllgatlon can be measured or rellably estlmated.
Allo¢atlni c06ts to 1cl￿1145
Dlrecr costs that are specilicèlly ￿lated to èn activityare allocated to thzt actlvlry. Shared dlrert C05ts and suppart costs are treated as
such and noi apporfloned between atiwitie5.
lJollcles relatlng to *ssèts. Ilabllltles and prov15Ion5 and oth¥r matters.
Tanilble 455ets
All tanglble ILYed assets 3re rneasurecl ai thelrodElnal cost Value less dÈpreclatlon. Cost value Include$ 311 costs èxpended in brlnglng
the a55et into ￿$ Snten4ed worklng condltlon.
Item5 of le55 than ÉIOO are not capltsllsed.
DeprKlatlon h¥5 been provlded at the followin4 rates Iii order to wrlte off ihe assets to thelr antlclpated re51dual valuè ovèr estimaie(J
useful lives
Land & Bulldlngs
Garden Equipment
FIKtures & Ff(tlngs
Computer Equlpment
1% straight Ilne
IO% straight Ilne
20% strai8ht Line
33% Stra￿h[ line
A rèiulèr annual revièw of the Ilkellhood of asset lrnpalrment 15 undeTLdken. The basls of thls review is that the assets are eximined fr)r
thelr approprlatene55 and suitability to thelr current use, )nd that the a$5et In questlon ks not mèterially belDW it5 boDk value.
At¢ountlnifor ¢•plt•l 8r•Tht5 and Ib(ed ilget funds.
Grft5 of tangible flxed assets or 8rants of a capitol nature, ilven for the purpu%e5 of 3cqulrlng 5pecllic asstrts uti115ed In th& furtherance
of the oblecrs of the charity, are credlted tg fixed asset fund5 ?ft*r the donarÈd assèt has betn I'èceived or sums have been properly
expended on the re5trlcted purpose.
Where the terms of the requlre the charityto hold tlie asset on an Dhgding basls for 3 speciflc purpose, thern the t￿ed asset fund 50
created Is rategorlsed as a restricted fixed asset fund, and the ￿le￿an1 re5trictlDns ao noted lrt the fixèd asset note IQ.
Wherethe term5 of the Aift are met once the asset 55 acquired, 50 allowln8 the charity to use tho a55et ori an
￿n￿$trIcted basls. including the riÈht to receive the proceeds of ènyfut'ure sale of the assd on an unre5trlLted bas15, then the fixed
asset fvnd 50 created15 Cate@Drf$ed a$ ¥ dttslgn•ted fixÈd asset fund.
Whèn assets are acquired for the furthe13nce of the charity's objer.ts, urlllslngthe charity's own unrestricted funds. o tran5f#r 1$ made
from unrestricted fund5 to a de$ignai•d Ixéd asset fund.
Whether acqui￿d with unrestricted or restrlcted funds, the asset acquired is Ini￿allYshown In ihe bèlance sheet 3t the full wst of
acquisltion or subseouènt revaluatlon.
A5 the related assets a￿ deprecièted. In aCEordsnce wkh the depréclatlon pollry, in orderto ￿lIett the dlmunifion In the a$5eL a
traWer1s made from the relevant IIKed a55et funds to efther unre5trictEd or re5trlcted revÈnue funds, as approprfate to the terms of
the orfÉinal irft, If any.
The effett Of th15 pollcy b thatthe a$￿￿Eate of a11 fixed asset funds shall equate to the net bookvalue of fixed èssets.
13

Colehill and Wimborne Youth and Community Centre
Notes to the Financial Statements
r the year ended 30 September 2024
Debtors
Debtors are measured at their recoverable amount5 at the balance sheetdate.
Fin#rtd•l Instrumtnis lrtdwllnB ¢•$h ahd barik b)l•fyces
Cash held by the charity is included at the aryouht actually held and counted at the year end. Bank balance5. whether credf( or
overrjrawn, are Shown at the amounts properly reconclled to the baAk statemenrs.
Fund Accountln8
Unrestricted fvnd5 are avallable for use at the dlscretlon of the trustees In furtherance of the oen*ral Object￿e$ of the charlty
Deslgnated fund5 are unrestrf£ted fund5 earmarked by the TnJstee5 for a particular purpos&s.
Restrlcred funds are subjected tD restrktlDns on thelrexpenditure imposed by the donor or througli the terrn5 of an
ppeal Dr as Implled by law.
2. Lloblllty to taxatlon
The Tiusiees consider that the charity satlsfle5 the tests set OLbt ln par?graph l. Schedule 6 of the Flnance Acr 2010 lar iJK corporaiion
tax purpose5. Accordingty, the Chaikty Is potentlally exempt from taxation in rospect ol income or capltdl galn5 received wlthln
categotles covered by chapter 3 part 11 of the Corporation Tax Act 2010 or Settlon 256 of the Tax8tion of CharEeable Galn5 AEt 1992,
lo the pxtent that such Incorne or8alns are hpplled e¥clu51vely on the Specific charltable oblects of the charlty and for Other
purpose. Value Added Tax Is not recoverable by the charltyi and is therefore induded in the relEv8ntcosts In the Statement ol Flnanclil
Actlvhlés.
3. Wlndlni up ordlisolutlon of the charlty
If upon wlTtdln8 up or d155olthlgn of the ch?rtty there remaln anya55ets, after Thé $atlsfactlon of all dèbts and Itabilirles, the a55ets
repr&sentecl by the accumulared fund shall be transf&rred to some othe.r ch¥rit?ble body or bodies h4Yln8 simllar obletts to thè charitv.
4. Sl8nlllcance of flnanclal Instruments to the ¢harlty's Posltlon
There are no $i8nilicant implicatlons for the charlty's flnancl81 position arisini out Df linanclal In5trument5.
S. N•t Id•llcltllsurplui Wor• tsx In the Ilnanclal yèar
2024
2023
The net Ideftckllsurplus beforé tax In the financlal yèar Is aftèr chargin
Depreclatlon of owned fvrted ass•ts
Pension costs
8,013
4,580
8,013
4.580
14

Colehill and Wimborne Youth and Community Centre
Notes to the Flnancial Statements
for the year ended 30 September 2024
6. Donated pod5, Se￿1(¢5 and fa<llltles
Current year
Unr￿strIcted
Funds
2024
CLJrrent year
Restricted Currentyeai
Furids
Total fund5
2024
Prior Year
Total Funds
2023
2024
Included In LegaclEs and Donations:.
Gffts In klnd, donated seTvices and faCIl￿leS
2,48S
2,485
688
7. Staff costs and emoluments
S•lary Costs
2024
2023
Gross Salarfe5 excludln8 trustees aftd key mana8ement personnel
EmplL)yer'5 Natlonal lfisuronce for all s(aff
Employer's operating costs of defined contrlbutlon pension 5chernes
Total salaries, wages afid rplated cost5
489
Numbers of full tlme employees or full tlrne equlvalents
2024
2023
The Jverdlle number of total stsff employed In the yearw85
The estirnated full tlrne equlvalent numberof all staff employed In tho
yiar was
The estlmated ègu￿31ent nurnberorlull time stslf deplayed in different actfvlte5 In the yeirwas:.
Eng38ed Qn charltable actwitie5
Th• estlmat•d full time equlva*ni number olall Staff employed as
above
Neltherthe trustees nor any persons connected with them have retelved aiiy rernuneratlon Irorn thé charlty or any
lated entlty, elther In the current or prlor yèar
Nts etnployees recelved emolumènts lexdudlrtg penslon c¢stsl in exte55 of £60.000 per annLIrn.
8. Remuneratlon and payments to Irustses and p*rsons conne¢ted wlth them
No tru5toe5 or per5uns connetted with them re￿IVed any rernuneration froTh the charlty, or any rÉilaied tnity.
9. Trustee$, empellses
2024
2023
The amount relmbursed totrustees
The number of trustee5 to whom expeDse5 were reimbursed was nil.

Colehill and Wimborne Youth and Co￿lmunitY Centre
Notes to the Flnan¢ial Statements
for the year ended 30 September 2024
10. Tan8lble Flxed Assets
Freehold land
and bulldings
Fl%wres &
Computer
eqLJlprneni
Total
Cost
At l October2023
Addillons
DIspDs315
At 30 September2024
537.908
34,291
2,57A
5,649
5TI,8411
2.574
12,6481
577,774
16201
537,288
12,0281
3,621
56,865
Deprecl•th)n
Al l Ottober2023
Charge foryear
Elirninated on Disposal
At 3U S•pternb•r 2024
51,393
6,856
16201
57,629
12,954
847
5,220
310
11,9951
3,535
69,567
8.013
12,6151
74,965
13,801
Nei bool valu•
Af 30 September 2024
At 3a September 2023
479,659
486,51S
23,064
21,337
86
502,809
50R,?81
429
11. Debtors
2024
2023
Trade debtors
Other debtors
1,951
1,795
1,951
1,795
12. Credltors.. amounts falllnl due wSthlii on• ye•i'
2024
2023
TTrde credkor5
1,287
1,287
16

Colehill and Wimborne Youth and Community Centre
Notes to the Flnanclal Statements
for the year ended 30 September 2024
13. Income and Expendlture account summory
2024
2023
At l Ortober
Surplusllk)$51 aftei tax for the year
At 30 September
612,067
115.5891
596.478
626,616
114.5491
612,067
14 Partlculars of how p•rtl¢ular fynds are rEprosont•d by assets andllablllb-es
iJnresiActed
funds
Endowmeiit
funds
Restricted
funds
At 30 September 2024
Total funds
Tan8ible FN&d A55ets
Current Assets
23,770
8,048
11,2871
30,531
479,039
S02,809
94,956
11,2871
596,478
86.908
86,908
479,039
Unrestrlcted
fund$
Endowmènt
fund5
Restricted
fund5
At l October 2023
Toral funds
Tan8iblè Fixed A55ets
CuryentAssets
21,766
42,566
48S,515
508,281
103,786
6J,220
64,332
61,220
486,515
612,067
15. Ch)n8e In totsl lunds Over the year as shown Notè 14, analyserj by Indlvldual fund5
TrBn5fers
between Funds carried
fvnds In
forward to
2024
2025
Funds broulhts
lomard from
Movernent in
2023 funds in 2024
Unrestrl¢tsd and endowm*ntfunds
Unrestricted Revenue Fund5
Endowrnént Funds
Totsl unrestricted and endowment funds
64,333
61.219
125,552
19,7311
1.,618
18,1131
124,0701
24,070
30,532
86,907
117,439
Re5trlcted FLKed A55et Funds
Total charlty tunds
486,515
612,067
17,4761
.5891
479,039
596,478
16. Amlysls tsf movements In fvnds over the year a5 shown In Note IS
Other Gains MDvement in
& Losses
Fund5
Incomp
Expend￿1¥
Unrestrlcted Revenue Funr£s
Endowment Ftsnds
RE5tricted Fixed A55Qt Funds
51,750
1,618
162,1011
110,3511
1,618
(6,8561
115,5891
16,8561
168,9571
53,368
17

Colehill and Wirnborne Youth and Community Centre
Notes to the Flnancial Statements
for the year ended 30 September 2024
17. The purpose$ for whkh the funds as detalled In note 16 are held by thè tharlty are:_
Unrestrlcted and deslBnatèd funds
These fund5 are held for rneetin8 the objectSves of thÈ charhy* Ind to provlde
reseNes fDrfuture actlvitles, and, subject to charity legisla￿0Th, are free from all
restrlctlons on their use.
Unre5tritted Revenue Funds
These funds are held fpr meetlng the objectives of the charlty, and to provide
serves lor future actlvltles, and, subject 10 charlty leglslatl¢n, ère I￿e from all
restrittlons on tlieir use. These funds have been placed In a ghort teirn
Investment to maxlrnlse the return.
End¢)wment Funds
Restricted funds
Restrlcted FtKed Asser Funds
The purpo5@ Df these fvnds ￿5 described under the 3ccountlng pollcy
AccDuntln8 for caplt81 grants and liKed asset funds,.
18. Ultlm*te controlllnB party
The charlry Is under the control of its legal mLJmber.
Detalled amlysls of In¢orne and expendlture for th¢ year ended 30 Sept•mb•r 2024 4$ rnqulrnd by the SORP 2015
Thls analysls Is d3$51fled byconvontlonll nomln81 dÈ5criptlons and not by artivity
Prloryear ￿$trictl0n$.All prloryear Items were unre$tricred Jnd no further anatysls Is requlred.
19. Donatlons and Le8acle5
Current year
Urirestrlcted
Fund5
2024
Currentyear
Re5trkted Currentyear
Funds
Total Fund5
2024
2024
Prlor Yèar
Totsl Funds
2023
Donatlon5 and glfts from Indlvlduals
Small donatlons IndlvidiJ)Ily1rf5 Ihdn £lOOO
To￿1 donatlons and Klts frDm Indlvldu•l$
1.132
2,353
3,4#5
1,132
2,353
3,485
314
374
Grants from public sèctor
GiftAid
Total publk 5￿tOr re￿￿￿¢#r1ntS
8.0
8,oao
248
248
8,000
8,DOO
T¢Jtal OonatTon5 and Legacles
Al
11,485
11.485
936
20. IncoTh from ¢h)rltable a(tlvlt•s. Tradlng Actlvttle5
Current yèar
Unre5trlcted
Funds
2024
Current year
Restrlrted CurrÈnt year
Fund5
Total Funds
2024
2024
Prioryear
Total Fund5
2023
Prlmary purpo$e and anclllary tradlng
PrSmary purpose trading- Sale Df goods and seNices
In accordan￿ with the charitvs object5
Letting ol property for charitable purpDses
Other Lettin85
1,488
38,021
1,000
1,488
38,021
I,DOO
1,774
29,219
I,rx)o
Total Prlmary purpose and anclllary tradin8
40.509
40,509
31.993
18

Colehill and Wimborne Youth and Community Centre
Notes to the Flnanclal Statements
for the year ended 30 September 2024
21. InromÈ from other, non charltsble. tradin¥ actl¥itles
Current year
Unrestrlcted
Funds
2024
Current Year
Restrlcted CUr￿nt yèar
Fund5
Total Funds
2024
2024
Prior Year
Total Fund5
2023
Income from fundraislng events
Total from other aetivitles
1,168
1,168
1,168
1,168
1.$04
22, Investment Income
Current year
Unrestrictèd
Fund5
2024
Currentyear
Restrtted Current year
Funds
Total Funds
2024
2024
Prioryeor
Total Funds
2023
Bank Interest ReCe￿Oble
Total Investment Income
2,166
2,166
2,166
2,156
2,089
2,089
23. Expendlture on charltable 8ctlvltles- Dlre¢t 5p¢ndln8
Current year
Unrestrlcted
Funds
2024
CUr￿nt year
Elestrlcted Current year
Funds
Total Funds
2024
2024
Pilor Year
Total Funds
2023
G1055 wages and salarle5- charltable ictfvllies
Deflned ¢ontrlbutloTh pensions costs
Payment5 to Subcontractors
staff tralnn&
Travel snLI Subslsténce. Charitsble Actfvitles
Marketlng and advertlsing of charitable servlce5
Co5t5 of good5 and 5erwlces as a tharltable aCt￿liV
V•)tsl dlrert spendl
33,812
42
33,812
42
24,295
36
41
2,2.53
399
36,506
2,253
399
36,506
494
25,355
19

Colehill and Wimborne Youth and Community Centre
Notes to the Flnanclal Statements
for the year ended 30 September 2024
24, Support costs for charltable activrtles
Current year
UTrrestrirt
Funds
2024
Current ¥e3r
Restricted Current year
Fund5
Total Funds
2024
2024
Prlor Year
Total Funds
2023
PreMls•s EMpènsÈs
Rates and water charles
Light heat and power
Cleaning and waste man38ernent
Prem15es repairs. rer>ewals and malntenance
Property and other Snsuronce5
478
478
4.502
6,084
8,146
1,577
20,7B7
332
1,849
3,279
3.875
2,226
11,561
4,502
6,084
8,146
1,577
20,787
AdmSnlstrative overhead5
Telephone, fax anLf Internet
P05taKe
Statlonery and prlntlni
Sofh¥are licences and pxpen5es
Sundry éxpense5
Equlpment, rep81r5, eKpenses and rnalntenance
Sub5crlptlon5
545
1,169
621
283
237
1,416
621
22
239
886
283
237
1,416
20
3,102
3,102
2,964
Profes51onal fee5 pald to tho Jndependent Examlri¢r In
addltlon to Judlt and
examlnitlon f••s
As dttailed in Note 26
228
228
249
Professlonal fees pald to advlsors other than the audltor or examlner
Other le8al and professional
Flnancljl ¢o$ts
Depreciation & Arnort15atlon total
48
48
6,124
8,045
8,045
4,580
Total support Costs
32,210
32,210
25,478
The bas15 of Jllocatlon of costs betweèn attivltles Is destribed under accountlng pollcle5
25. Other Expendlture . Governance costs
Current year
Unrestrlcied
Funds
2024
Current year
Restricted Current year
Funds
Total Funds
2024
2024
Priol Year
Total Funds
2023
Independent Exarniner's fees
Totsl Governan￿ costs
240
240
240
240
240
240
Professional fees pald to the Independent Exlminer in add1￿0￿ to and examination fees
2024
2023
Additional fees pald tothè E￿MIne￿5 fimi
249
249
20

Colehill and Wimborne Youth and Community Centre
Notes to the Financial Statements
for the year ended 30 September 20?LII
26. Total Charltable expendltur•
Current year
Unrestricted
Funds
2024
Current year
Restricied Currentyear
Funds
Totsl Funds
2024
2024
Prlor Year
Tot31 Funds
2023
Total dlrect spÈndlng
Total sUPPOrt cost5
Total governanTr costs
Total charltable expendlture
82a
B2d
82*
36,506
32,210
24a
36.506
32,210
240
25,355
25,478
240
B2
68,956
68,956
51.073
21