FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
FOR
THE BESTWOOD PARTNERSHIP
(A PRIVATE COMPANY LIMITED BY GUAR￿EE WITH NO
SHARE CAprrAL}
CHAIUTY NO: 1127367
COMPANY NO: 04882639
Independent Examiner:
Neil Harris
Cygnet Aeeounting Limited
37 Rossell Drive
Stapleford
NG9 7EG

THE BESTWOOD PARTNERSHIP
Com
Number 04882639
CONTENTS OF THE FINANCIAL STATEMENTS
Page
Legal and Administrative Details
Dire¢tors' Annual Report
R¢pK)rt of the Independent Examiner
Statement of Financial Activities
Balance Sheet
Notes to the Financial Statements

THE BESTWOOD PARTNERSHIP
Com
Number 04882639
LEGAL AND ADMINISTRATIVE DETAIL
Current Trustees:
Christopher Hooper (Chair)
Brian Grocock (Secretary)
Kim Preston Pavier (Treasurer)
Roy William Smith
Jennifer Verhaeghe
Teresa Kelly
Georgia Emily Power
David Mulligan
Dawn Britt (appointed 25 November 2023)
Lisa Wakefield-Davis (apkKsint¢d 25 November 2023)
Chlef Executive Officer: Donna Denning (Bestwood Partnership Manas¢r)
Company Secretary:
Brian Gr0￿ck
Charity No:
1127367
CompADy No:
04882639
Registered
oiriee:
The Community C¢ntre
Gainsford Crescent
Nottingham
NG5 5HT
Address of Charity:
The Community C¢ntre
Gainsford Crescent
Nottingham
NG5 5HT
Bankers:
TSB Bank PIC
Shcrwood Branch
Nottingham
Independent Examiner: Neil HaTris
Cygnet Accounting Ltd
37 Rossell Drive
Stapleford
NG9 7EG
Page I

THE BESTWOOD PARTIYERSIIIP
Com
anv Iyumber 04882639
DIRECTORS, ￿NNUAL REPORT
The directors - who are the charity trustees for the purpose of the Charities Act, (and are collectively
referred to as The Bestwood Partnership Fonmi), submit theii annual report and financial statements for
the year ended 31 March 2024. The trustees have adopted the provisions of th¢ Stst¢m¢nt of
Rewmmended Prdctice (SORP) "Accounting and Reporting by Charities" (FRS 102) in preparing the
annual reFx)rt and financial ststements.
STRu￿uRE, GOVERNANCE Ah'D MANAGEMEKr
The Charity is re8lSter¢d under the Charities Act and incorporated under the Companies Act 2006 and is
governed by its Memorandum and Articles of Association, dat￿ I September 2(Ki3. Ihe Board of
Directors has the wwer to appoint additional directors and In￿l¢eS as it considers fit to do so.
OBJECTIVES
The objective of the organisation is the prnmotion of urban r¢gcDcration in areas of social and economic
deprivation { and in particular, The B&stwood Estate in Nottingham ) by all or any of the following
l) The relief of FK)verty
2) The relief of unemployment
3) The advancement of olu¢ation. training or retrainin& particularly among unemployed people
4) The provision of recreational facilities for the public at largc or those who by re&son of their
youih. age. infirn)ity or disablement, poverty or social and economic circumstan¢es, have need of
such facilities
5) The promotion of public safety and prevention of crime
6) Such other means as may from time to time be deterniined subject to the prior written consent of
the Charity Commissioners for England and Wales
For further information about our activltles please visit our website at wiviv.bestwood.org.uk
THE BESTWOOD PARTNERSHIP AS AN ORGANISATION
The Beshvood Partnership Conference meets ai l¢ast onc¢ a year. b¢twcen October and March. This is
the Annual General Meeting for legal purposes, and is when elections take place and statutory reports
submitted. This is also a key Partnership meeting for organisations a&sociated with th¢ Bestwood
Partnfflship. Major decisions about the direction of the Partnership may be made. All residents of
Bestwood Eslale over 18 automatically have a right to membership and stand for election and take part in
elethions to Bestwood Partnership For￿￿ which is the everyday decision-making body of the
PartneT5hip, noTmally meets bi-monthly. The members a￿ the Directors of the Company and nominated
as the Trustees of the Charity. Numbers are made up through co-option. The Chair, Treasurer and
Company Secretary 8nd other honorary officers are el￿ted by the Forum out of its number.
su1￿commIttee$ and Partner5, meetings are convened as required by Bestwood Partnership Forum.
these vary in number, worker and T¢sidenl membership and iepresentation from the City Council and
other agencies. The Fonim may also, from time to time, on an ad hoc basis, sct up additional iyorking
groups. These do not have decision-making pow¢rs (unless expressly delegattsj by the Forum) but eKlSt
to oversee the various projects and activilies associated with ihe Partnership. The Forum ts also
rePr&sent￿ on many other groups and organisations City-wide and in the local area.
Pag¢ 2

THE BF.STWOOD PARTNERSHIP
Co
Number 04882639
DIRECTOR'S thThIJAL REPORT CoNT￿'UED
Workers of the Partnership are primarily (and currently exclusively) those directly employed, and
project volunteers, but also have been at tim￿ workcrs cmployed by other organisations who by
a8reement work with the Partnership,. The lead officer is currntly the Partnership CovOTdinator, who
CUTrently line manages the teanL and to wbom authority is delegated at the discretion of the ForLUn.
Tbere are % nllrn￿r of ways for people in the area to tske part in the work of the Partnership:
Firstl
, &8 a resident, being a member of the Partnership &% a whole. This giv&s you rights to elect
Forum members and participate in major deLisions at confereAl￿5.
econdl as a Director. by standing for election to become a Fornm Member at a Conference (also a
Charlty Trustee) This makes you a key decision-tnaker over our activity on a day-to4lay basis. An
alternative is to be a membcr co-optcd by the Fonmi &s a whole beCa￿e of particular expertise (especially
from thc public or private sector) or as an additional resident member. The last category exists in order to
balance und¢t-repr¢so]tstion in membership of the ForLun. This may be geographical, or by gcndcr,
¢thni¢ background or other consideration in line with our Equal Opp￿tieS policy.
Thirdl
, as a Working Group member. The sub.8roups and working groups of the Forum as they arise
arc opcn to and welcome additional members, developin8 and 8uidin8 the projects which we run to the
benefit of people on the Estste 8nd surrounding are&. suitsble for wple with specific areas of interest.
Fourthl
, as a VoluDteer. contributtng your time to particular project adivity. This is hands-on, and
practical, and is central to the effective running of the projects. New voEunteers are Always nteded.
Finall a8 an Employee. From time to time job opportunities aTise within the organisation. Residents of
the area ar¢ Pdrtlcwl(￿EY welcome as applicants, and many have ￿ da￿ been successful in obtaining paid
work within our projects or other projects assoeiattsl with us. Thc majority of the Partnership's employees
have always been local residents, which 15 in linc with the ¢thos of th¢ organisatiOfL
ACHIEVEMENfs AND PERFORMANCE: Summarv of k
ro
ect &ctlvl 2023-24.
The year 2023-24 has been succwfid, following considerable changes in project ￿tiVity and
responsibilities in the past few years Our service to local citizens continues without compromise. We
continue to have responsibility as Area One Lead organi5ation for the City and the employability support
projects continu¢sto have a major impact to the benefit of loca] pwple. We also developed project activity
in the St Anns area (6) of the City in ossociation with The Renewal Tn￿t.
l. Are2-B#sed Grant- Area One Lead.
This activity, fundcd by Nottingham City Council, covers Bestwoo4 Bulwell and Bulwcll Fo￿￿t wards.
and has a number of coL8tituent elements. partnership development and co-ordination, support to
jobseekers and provision of educationaj opportunities. activities for and outreach io young pcople. and
groups operdting in the are& The Bestwi)(xJ Partnership is Area Lead Organisation for this activity. and
Bulwell Toy Library is a key partner working alongside us. A wide number of partners have delivered
this project with us in the first of a three-year project and a higb percentage of the fimding is uscd to
support these p8rthers in their project delivay. This project fiumling ti&$ in closely with the Nottingham
Works activity.
Page 3

THE BESTWOOD PARTNERSHIP
Com
Iyumber 04882639
DIREcfoR'S ANNUAL REPORT CONTINUED
2. External Outreach: ATex-Based Grant- Dellve
in Areg Two Ba5ford ward.
This activity, funded by Nottingham City Council througb Castle Cavendish as Area Lead Organisatio
is the Bestwood Partnership's delivery of employability SUPPOrt in th¢ B&sford and St Anns wards.
3. Ste
Into Work-Em
ability Su
rt- Nottln
am Works 4 You
This project. funded by Nottingham City Council Tr'ottin8ham Works) with remairring ESF funding,
consists of a caseload of residents who seek education an(Vor employmenL together with:
P*thwavs to Health and Social Care- Em
abili
su
This replaced the Getahead proje¢L a8aiD partly fundcd through the residual European Social Fund.
4. UKSPF.
This is a new project with central govemment fundin8 through Nottingham City Council, following the
end of European funding. for ¢mployability supportl
5. Communi
Cham
ion Vaecine
ro
ecL
This is a health projrt promotin8 take-up of the COVID Va￿lDe and at the same time genernj health and
well-being in the communityi
6. Local Em
werment- Core infrastructure fundin
This is our Central, default fund to undetpin our running costs, and it also covers additional comrnunity
and group development work in Bestwood and surrounding area and is subsidised through our incom¢
from the local Business Units received as an ongoing grant from Nottingham City Council. We have
continued to support One VisioD Partnetship management Committee. W¢ continue to deliver l.T. and
associated training at Southgladc Access Centre, into which the Partnership Invest￿ commitment and
fijnding from the outset as an Adult Education Centre. Our primary delivery point is Bestwood
Community Ccntre.
7. Be5hi'ood Estate Commullity Centre.
This fund includes the running wsts and income to the Community Centre, which is our base but still
continuing to operaie as the main venue for B&stwood Estate. Nursery provision and group activities take
place in the Centrq and so we continue a long history of provision in the local ar¢L
8. Bulwell and Bulwell Forest Fuud.
This fund will provide for activity in the Bulwell and Bulwdl Forest wards through Vision Business
Units income (granted by Nottin8hom City Council) which now opcrdtes as a distinct fund involving
local people in the choice of activitic5 to be Identifi￿ for supw>¢ in association with One Vision
Partnership.
9. Holida
Activitv Fund
This is a new Nottingham City Council-funded project for young people 5-16, now running into 2024-25.
Our staff team for the whole financiaI year 2023-24 consisted of Donna Denning (Partnership Co-
ordinator). Michelle Cooke (Community Engagement & Employrnent Advi50r). Nicola O'connor
(Employment Advisor), Charlie Wayman ffmployment Advisor), Kelly Murphy (Employment
Advisor). Shaun Francis (Outreach Employrnent Advisor) and Liz Polterton IOffic¢ Cleaner).
tNDEPENDENT EXAMINERS
We will be asking Cygnet Accounting Ltd to examine our accounts next year, subject to approval at the
next Bestwood Partnership Conference.
Page 4

THE BESTWOOD PARTNERSHIP
Com
Number 04882639
DIRECTOR'S ANNUAL REPORT CONTINUED
RESERVES POLICY
It is the Policy of the Besiw(M)d Partnership to hold in reservc funds to sustain the Partnership and its
activity in the event of a tcmporary or pernjanent loss of external fundin8 or sufficient income to
perpetuate some or all of its projects. A d¢si8nated reserv¢ figure will be sustained whcre po&8ibl
Indicative desi8nalions for the reserve fund arc as follows:
Payment of statutory redundancy and othcr obligatory eMplO￿ent costs.
Discretionary redundancy and cA)mp￿Sation payments. It is notol thal compawtion in the event of
redundancy over and above statulory payments is discretionary and there is no eontractual right to any
additional payments over and above the statutory scheme.
Paymenl of costs for a three-month period. and additional payments under Contract.
Staff costs for three months, prior to which redundancy noiices may ne&J to be issued.
Reserves fund Indlcatlve aUoc2tlons:
Payment of slatulory rcdundancy & obligatory employment costs. 20,(M)O
Payment of discretionary redundancy and compowtion pa￿ents. 40,CX)O
Minimum running eA)Ms (non-staffing) for a thr￿MOnth period 20,000
Siaff costs for a period of three months. as redepl0￿Cn¢ period 40,OLKI
Payment of additional conlraclual Pa￿nents
10.(
Deslgnat¢d (￿A￿lMum) reserv¢
130.000
Use of reserves above thls level will be re8ardal as free rescrv¢5 to be used at th¢ Forum's dis¢r¢tio
with priority to the following:
Staffing and [ur￿lAs Costs for core management and activity for onc year.
Additional staffing and activity &s the ￿nd may allow. prinwily for forward planning in individual
projects and delivcry of kry activity identified by the Forum.
Tot21 (optlmAI) r¢serve
240,000
If reserves exceed thc optimal reserve funds need to bc put to immediate use for capital. stsffing or
aciivily purposes, lo the curreni or following budget years, as determinfyj by the Forum.
The R&s¢rves Policy and ils allocalions are SubJ￿t to annual rcview.
PLBLIC BENEFIT STATE￿IENT
Th¢ I"rustccs confimi thal thcy complied with their duty to havc due regard to the 8uidance on public
benefit publishLyJ by the Commission in exercising thcir powers or duties.
FINANCIAL OVERVIEW
The directors ar¢ pleased with th¢ financial situation for 2023-24. The opportunities taken last year to
reorganizc and consolidate with a view lo immcdiate financial seawity and improvc Ihc pmspects for
longer tenn sustainability Iw paid off, and work in thc previous yeaT to optimise our funding strat¢8y in
advance of 2023-24 ensured an extraordinarily successful outcome. During the year bmployability
activity increased, and our Area Lead role has had an excellent year. And it has also been enhanced.
There were difficuliios in finalising paymenls in respect of the business units {Glade and Firth Way) but
these have subscqucndy been Te501ved. As a consquencc we remain in a $tron8 position to carry on
effeeiively in the current and following year
Chris Hooper
Chair
Date:
Page 5

NDEPENDEI¥4T EXAMINER'S REPORT TO THE TRUSTEES OF
THE BESTWOOD PARTNERSHIP
Com
aDV Number 04882639
l report on the accounts of the charity for the year ended 31 March 2024 as set out on pages 7 to 13.
Respe¢t5ve responsibilities of trn$ted #nd eX￿[ner
The trustees (who are also the directo￿ of the company for thc putPOSCs of company law) are responsible
for the preparation of the accounts. The tTUStees consider that an audit is noi rquir￿1 for this year und
section 144(2) of the Charities Act (the Act). and that an indeprndent examination is needed.
Having satisfied myself that the charity is not subject to an audit under company law and is eligible for
independent examination. it is my reswnsibility to:
examine the accounts under section 145 of the Act"
follow the procedures laid down in the general Directions given by the Charity Cornmission (under
section 145(5Kb) of the Act" and
state whether particular matters have come to my attention.
Basls of independent examlner's statement
My examination was carried out in accordancc with gencral Directions given by the Charity Commi&sion.
An examination includes a rcvicw of the accounting re<x)rds kept by the Charity and a comparison of the
accounts pr¢s¢nted with those [￿ordS. It also includes consideration of any unusual items or disc105UTCS
in the accounts. and se¢king explanations from you as trustees concerning any such matters. The
procedures undertaken do not provide all the evidence that would be required in an audiL and
nsequently no opinion is given as lo whether the accounts present a and fair view" and the report
is limited to those malters set out in the statement below.
Independent eiamiDer's statement
In the course of my examinatioo no matttt has come to my attthtion:
which gives me teasonable cause to believe tha¢ in any material re5pttL the rquirem¢nts:
to keep accounting recA>rds in acwrdaace with section 386 of the Companies Act 2006: and
to prepare accounts which accord with the accounting records, comply with the accounting
requirements of se¢tion 396 of the Companies Act 2006 and with the methods and PTin¢iples
of the Statement of Recommended Practice: Accounting and Reporting by Charities
have not been meL or
to which, in my Opinio￿ attention should be drawn in order to enable a proper understanding of the
accounts to be reached.
Neil Harris
Cygnet Accounting Limited. 37 Rossell Drive, StaPlefor￿ NG9 7EG
Dxte:
Page 6

THE BESTWOOD PARTNERSHIP
Com
Number 04882639
STATEMEIYT OF FINANCIAL A
IVITIES FOR THE YEAR ENDED 31 MARCH 2024
CORPORATING AN INCOME & EXPENDITURE ACCOUNT
DesigDi¢ed
Fynds 2024
Total
2024
Total
2023
Notes
Incomin
Resource%
Incoming rtsourets from gener#ted
funds:
Aetiviltu for 8¢neratin8 fimds
Room hire and rent
Investment income
Baok inier
10860
10860
17217
Wrilten back
Incomlng resources from ebxrlt*ble
actlvltl¢8
-45599]
45599J
Total Incomlng r¢sourceJ
Resource
ended
Charltable Ittlvltlei
500935
500935
395359
GoverDance costs
Total rttourte$ expend¢d
Net In¢omltt81(outgoSDE) resourcex
before other recognlsed galDsIOo$ses)
aQ18.aQ
{35009)
(35009)
163152
Other rttognlsed gAlnsl{losses):
Realisuj 8ains/(loss¢s)
Net incomel
ex
endlture
for th
ear
(35009)
(35009)
163152
Unr￿lIS¢d 84ins on invesimcnt ossds
Ntt movemtllt In Fundi
(350091
(350091
163152
, Reconciliation of Funds:
Tothl funds brought fotw8rd
Toial Fut]ds canied forward
8679
83
Page 7

THE BESTWOOD PARTNERSIIIP
Com
an
Number 4882639
BALANCE SHEET AS AT 31 MARCH 2024
Note
2024
2023
Fixed Assets
Tangible assets
Current Assets
Debtors
Cash and bank
158887
413309
209687
3965)5
572196
606222
Creditors: amounts due witbin one yesr
Net current ￿Sets
20413
19430
551783
586792
Net Assets
Income Funds
Designated fijnds
551783
586792
Restricted funds
Total Funds
The Company is entitl¢d to exemption from audit under section 477 of the Companies Act 2006 for the
year ended 31 March 2024.
The members have not r4uired the company to obtain an audit of its accounts for the year ended 31
March 2024 in accordance with se¢tion 476 of the Companies Act 2006.
The directors acknowledge their responsibilities for".
a) ensuring that the company keeps accounting records which ¢omply with Sections 386 and 387 of the
Companies Act 2006 and
b) preparing financial stalemcnts which give a truc and fair view of the statc of affairs of the COTnpany
as at the end of each fllwicial year and of ils SUry)lus or d¢ficit for each financial year in ac¢ordance
with the rwuircments of Sections 394 and 395 and which othetwise comply with the requiranents of
the Companies Act 2CK16 relaling to financial statements, so far &s applicable to the company.
The financial statements have been prepared in accordance with the special provisions of Part 15 of the
Companies Act 2006 relating to small companies.
These financial statements were approved by the Board of Dir￿t0[S on
d signed on its behalf by:
- Director
u/
- Director
Page 8

I'HE BES'fwooD PARTNERSIIIP
Com
an
Number 4882639
NOTES TO THE ACCOUNTS
Accounting PolA¢ies
Ba$ls of Preparatlon
The financiaI statements have been prepared under the historical cost Convention and in
a¢¢ordanc¢ with the provisions of S¢¢tion l A "Small Entities" of Financial Reporting Standard
102 'The Financial Reportkng Standard applicabl¢ in th¢ UK and Republic of Ireland" the
Charitics ACL the Companies Act 2(M)6 and the Statement of Recommended Practice:
"Accounting and Reporting by Charitias" (FRS 102).
The charity has availcd itself of Paragraph 4 (1) of Sthajule l of the Small Companies and
Groups (Accounts and Directors. Report) Regulations 2(M)8 and adapted the Companies Act
fonnats to r¢fl¢ct the special nature of the charity's activities.
a) All service level agreements and other income are accounted for gross when rec¢ivable, as
long &$ they are capable of financial measurement. This includes gifts in kind. included at
C5timatcd valuation.
b) All ¢xp¢nditure is account¢d for gross. and when incurred.
c) Resource5 expended includes the direct costs of the activities and depreciation on related
assets. Fixed assets are included at cost or valuation: there are no material uncapitaliscd
fixed assets.
d) Dq)reciation is provided to write off the Cost or valuation. less estimated residual values, of
all fix￿1 assets, over their expected useful lives. It is calculated at the following rates:
Fixtures & Fittings
33 on cost
e) Designated funds are amounts which have been set &8ide at the discretion of the trustecs for
specific. but not legally binding, pury)ose.
Rentals applicable to opcrating Icases where substantially aIl of the beneftts and risks of
Own￿shIp rernain with the lessor are charged against Tesources expended as incu￿ed.
The company pmvkdes a defift￿ benefit pension scheme for its employee5 by way of
participating in the Local Govcrnmcnt Pcnsion Schcme ( previously. Nottinghamshire
County Council l. However, as this is a multi-employer scheme, the company is unable to
identify its shar¢ of the underlying assets and liabilities in the scheme on a consist¢nt and
re&sonable basis. The company has therefore accounted for the schme as if it were a defined
contribution scheme.
Incoming Resources from charitable aetivitles
2024
2023
Notttngham City Council
The Reftewal Trust (Nottingham City Council fvnding)
Castle Cavendish (Nottingham City Council funding)
417789
26952
I 1250
506180
15332
21500
Total Servlee Level Agreements* grants & donations
Page 9

THE BESTWOOD PARTNERSHIP
Com
Number 4882639
NOTF.S TO THE ACCOUNTS COLYftNUED
Analysh of Tot%1 Resources EIpeDded
2024
2024
2023
2023
Ch2ritable Aetlvltles
Staff costs ( note 10)
Establishment expernses
Management & administration
Grants to 8roups l activities
240494
50377
16777
193287
213393
14477
16131
151358
5(K1935
395359
Governance costs
Indepcndcnt exarnin¢r'8 fee
1718
Total Resourees Expended
T Angible Fixed A$$ets
Flxtures &
Flttings
Cost or valuation:
As at l April 2023
Additions
47857
As at 31 March 2024
Accumulated dep￿ciatIon.
As at l April 2023
Charge for year
As at 31 March 2024
47857
Net book value at 31 March
2024
Net book value at 31 March
2023
Uncapitaliscd Fixed Assets have been written off to the Ino)rne and Expendtture Account in
previous year5, and are made up of office fixtures and fittings with a negligible current net book
value.
Page 10

THE BESTWOOD PARTNERSHIP
Co
an
l%umber 4882639
NOTES TO THE ACCOUNTS COIYTINUED
Debtors
2024
2023
Due within one year:
Other D¢btors
Prepayments and accrued income
158887
209687
Creditors: Amounts Falling Due Within One Ye*r
2024
2023
Dcfetred income
Accruals
20413
19430
Outllne Summary of Fund Movements
Opening
Balance
Incoming
Resources
Outgoing
resources
Closing
Balan¢¢
Oosses)
D￿l￿ated
Funds
586792
466851
1860
£551783
All funds are Designated Funds, and are classed as single funds. They are as follows:
l. Area One Lead (Bestw'ood, Bulwell and Bulwell Forest Thards)
2 Area-Based Grant (Basford and St ADns wards)
3 Employability Support
4 UKSPF
S Comrnwiity Champfton Vaccine
6 Lotal Empowerment
7 Bestwood F.state Community Centre
8 Bulw¢ll And Bulwell Forut fund
9 Uoiiday Activity Fund
A $unullAry of the projects to which these funds relate gre outlined fin the Dlreetors. Report.
Pagell

THE BFSTWOOD PARTNERSHIP
Co
V4Dv Number 4882639
NOTES TO THE ACCOUNTS CONTINUED
Analysis of Net Assets behveen funds
Fund balances at 31 March 2024 are
repres¢nt¢d by.
Desi
funds
TotAI
2024
Tangible Fixed Ass¢ts
CuTrent Assets
Current Liabilities
572196
20413
572196
20413
Transfers
Non¢.
io.
Staff costs
2024
2023
Salaries & staff payments (excl. reimbursements)
Social Security costs INI employ¢r contributions)
Pension costs (LGPS cmploycr contribulions) (note 13)
198797
19496
19338
170313
17509
15015
Retmbursements for travcl I paym¢nts nol under PAYE
2863
4556
Average number of employees:
Full-time
No employee received a salary of over £60,000.
Page 12

THE BESTWOOD PARTNERSHIP
Com
Number 4882639
NOTES TO THE AccouNfs coh'TtNUED
Net Ineome/(txpendAtur¢)
Net incomeJ(expenditure) is Stat￿ after charging:
2024
2023
tndependent examiner's remuneration
Depreciation - owned assets
Directors,￿rUstees, emoluments, expenses & other
benefits etc
925
1718
12.
UltimAte Controlling Party
The company is controlled by the Board of Directors.
13.
Pensions
The company providcs a defined benefit pension scheme for its employees by way of participating
in the Local Government Pension Scheme (Notlinghamshire Pension Fund). However. as this is a
multi-employer scheme. the company is unable to identify its sEwe of the underlying assets and
liabilities in the scheme on a consistent and reasonable basis. The company has therefore
accounted for the scheme as if it were a defined contribution scheme. with the costs of the
schemes charged to the stsiem¢n( of financial acliviti¢s.
Page 13

THE BFSTWOOD PARTNERSHIP
Com
Number 4882639
DESIGNATED FUND I
AREA LEAD BESTWOOD BULWELL AND BULWELL FORES
Class l Area One Leydd
INCOTrIE AND EXPENDITURE ACCOUNT FOR THE PEIUOD ENDED 31 MARCH 2024
2024
2023
INCOME
Service Level Agreemenls et-
Other Income
138080
105952
Total Income
059
Charitable Aetivities:
Training
Premises costs
Travelling Expens¢s
Activitics
Telcphone & postages
Office costs
insurance
Professional fees
Equipment. materials & renewals
Cleaning & sundry expenses
Hospitalily
Grants to groups
Staff Costs
Depreciation
999
7514
343
20
63
105654
83480
48
106996
91125
Govern2nee Costs:
Independent examiner's fees
Total Ex
enditure
Net (outgoing)lincomiDg resources
This and the following schedules do noi fonn part of the Financial Statements.
Page 14

THE BESTWOOD PARTNERSHIP
Com
anv Number 4882639
DESIGNATED FUND 2
AREA-BASED GRANT BASFORD
Class 2 Externydl Outreach
INCOME AND EXPENDrruRE ACCOUNT FOR THE PEIUOD ENDED 31 MARCEI 2024
2024
2023
Ih'COME
Service Lev¢1 Agreements et¢
Written back
Other income
30059
36832
Total Income
Charitable Activities:
Training
Premises costs
Travelling Expenses
Activities
Telephonc & posta8es
Office costs
Insurance
Professional fees
Equipment. malerials & renewals
Cleaning & sundry expenses
Hospitality
Granls to groups
Stsff Costs
Depreciation
295
130
2208
9461
20648
20648
12094
Governance Costs:
Ind¢p¢ndent examiner's fees
Total E
enditure
Net (outgoingvincomlng resources
24
Page 15

THE BESTWOOD PARTNFRSHIP
Com
an
Number 4882639
DESIGNATED Tr'UND 3
Class 3 Nottin
EMPLOYMENT AND EDUCATION
m Works inel. Pathwa s
INCOME AND EXPENDITURE Accouiyf FOR THE PERIOD ENDED 31 MARCH 2024
2024
2023
INCOME
Service Level Arnents etc
Written back
Other Income
124075
169430
tal Income
Charltable Actlvltles:
Premises costs
Travelling Expens
Training
Telephone & postages
Officc costs
Insurance
Professional fees
bquipment, materials & renewals
Cleaning & sundry cxpcn5es
Hospitality
Grants to groups
Stsff c.osts
Bad debts
186
284
548
69
816
454
49
179
866
2760
144127
175535
148162
177731
Governanee Costs:
Indep¢ndcnt examincr'5 fe¢s
Tot21 Ex
enditure
Net (outgoingylncomlng re$our¢e$
Page 16

THE BESTWOOD PARTNERSHIP
Com
Number 4882639
DESIGNATED FLND 4
cla￿ 4
KSP
INCOME AND EXPENDITURE AccouKf FOR THE PERIOD ENDED 31 MARCH 2024
2024
2023
INCOME
Serviee Level Agreements etc
Written back
Other Income
14670
Total Income
Chydrltable A¢tivitles:
Premises costs
Travelling Expenses
Training
Telephone & pjstages
Office costs
Insurance
Professional fees
Equipment. materials & renewals
Cleaning & sundry expenses
Hospitality
Grants to groups
Staff Costs
Bad d¢bts
262
45
47844
48195
Governance Costs:
Independent examiner's fees
Total Ex
ndi￿re
Net (outgoing)lin¢oming regourtes
Page 17

THE BESTWOOD PARTNERSHIP
Com
Number 4882639
DESIGNATED FUND
COMMUNITY CHAMPION VACCINE
Class
INCOME AND EXPENDITURE ACCOUNT FOR THE PEIUOD ENDED 31 MARCH 2024
2024
2023
tYCOiME
Service Lzvel Agreements etc
Written back
Other In<y)me
1995
13765
Total Income
Charitable Arlh4ties:
Premises costs
Travelling Expenses
Training
Telephone & postage8
Office costs
Insurance
Professional fees
Equipment. materials & renewals
Cleaning & sundry expenses
Activities
Grants to groups
stsff Costs
Bad debts
1995
1995
Governance Costs:
tndependent examiner's fees
Tolgl Ex
endlture
Y4¢t (outgoingyiDcoming resourceg
Page 18

THE BFSTWOOD PARTNERSHIP
Com
Num
er 4882639
DESIGNATED FLThD 6
COMIIIUNITY AND DEVELOPMENT
Clas$ 6 Local Em
Tvernient
INCOME AND EXPENDITURE ACCOUNT FOR THE PERIOD ENDED 31 MARCH 2024
2024
2023
INCOME
Service Level Agreements Ctc
Written back
Other income
42482
143629
2435
8404
Total Income
Charitable Actlvities:
Trainin8
Premises costs
Travelling Expet
Activities
Telephone & postages
Office costs
Insurance
Professional fees
Equipmeni, materials & renewals
Cleaning & sunthy expenses
Hospitslity
Grants lo groups
Staff Costs
Depreciation
14870
45
4229
668
1128
I504
1985
180
401
378
400
25687
133
1550
3165
23469
1785
245
895
27875
79272
32421
Covernance Costs=
Independent examiner's fx
925
1718
Total Ex
nditure
Net (outgoingyincoming resources
Page 19

THE BLSTWOOD PARTNERSHIP
Com
an
Number 4882639
DESIGNATED FUND 7
ESTWOOD ESTATE COMMUNITY CEiYfRE
Class 7 Communi
Centre
INCOME AND EXPENDITURE ACCOUNT FOR THE PERIOD EliDED 31 MARCH 2024
2024
2023
JNCOMF.
Service Level Agreem¢nls etc
Written back
Other income
399
2845
8425
Total Income
Charitable Activities:
Training
Premises costs
Trdvelling Expens¢s
Activities
Telephone & postages
OtTi¢e costs
Insurance
Professional fees
Equipment, materials & renewals
Cleaning & sundry expenses
Hospitality
Grdnts to groups
Stsff Costs
Depreciation
10265
12910
270
1085
3149
2710
13684
16705
Governance Costs:
Independent examiner's fees
Total Ex
enditure
Net (outgolngyincomlng re$our¢es
Page 20

THE BESTWOOD PARTNERSHIP
Com
anv Number 4882639
DESIGNATED FULYD 8
Bulwell and Bulwell Forest fund
Class 8
INCOME AND EXPENDrruRE ACCOUNf FOR THE PEIUOD ENDED 31 MARCH 2024
2024
2023
INCOME
Service Level Agreements etc
Written back
Other income
19114
Total Income
Charitable Activities:
Training
Premises costs
Trdvelling Expens¢s
A¢tivities
Telephone & postages
Office costs
Insurance
Professional fe&$
Equipment, materials & rcnewals
Cleaning & sundry expenses
Hospitality
Grants 10 WUPS
Staff Costs
Depreciation
13
22398
22398
13
Govern2nte Costs:
Independent examiner's fees
Total Ex
enditure
Net (outgoingyincoming resources
Page 21

THE BESTWOOD PARTNERSHIP
Com
an
Number 4882639
DESIGNATED FUND 9
HOLIDA Y ACTtVlTY FUND
Class 9
INCOME AND EXPENDITURE AccouNf FOR THE PEIUOD ENDED 31 MARCH 2024
2024
2023
INCOME
Service Level Agreements etc
Writlen back
Other Income
85117
70559
Total Income
Charitable Actlviti¢$:
Premises costs
Travelling Expenxs
Training
Telephone & postagcs
Office costs
Insurance
Professional fees
Equipment, materials & renewals
Cleaning & sundry cxp¢ns¢s
Activities
GrdThts to groups
Staff Costs
Bad debts
59585
58326
59585
58326
Governance Costs:
Independent examiner's fees
Total Ex
endithre
Net (outgolng)lincomlng resources
Page 22