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2024-03-31-accounts

WEST LONDON SOMALILAND COMMUNITY

ANNUAL REPORT AND ACCOUNTS

Year ended 31 March 2024

REGISTERED CHARITY NUMBER

1128309

1

ANNUAL REPORT AND ACCOUNTS

CONTENTS:
Legal and Administratve informaton
Trustees/Directors’ report
Statement of Financial Actvites
Balance Sheet
Notes forming part of the fnancial statements
Independent Audit Report
Page No.

3-4
5-6
7
8
9-11
12

2

ANNUAL REPORT AND ACCOUNTS

REGISTERED CHARITY NUMBER 1128309

REGISTERED OFFICE: 80 East Ave, Hayes, London, UB3 2HR

BANKERS: HSBC BANK Hayes, London

ACCOUNTANTS

AFLAH ACCOUNTING SERVICES Unit 8, 122-126 Coldharbour Lane London UB3 3HL

3

DIRECTORS AND TRUSTEES FOR THE YEAR ENDED ON 31 MARCH 2024

The directors of the charitable company are its trustees for the purpose of charity law and throughout this report and are collectively referred as trustees.

Liban Abdid Chair
Ahmed Aden Treasurer
Abdilaahi Warsame Secretary
Axem Youssuf Trustee
Ismail Jama Askar Trustee
Ahmed Mohamed Trustee

Centre Manager

Souleban

Structure, Governance and Management

Risk Assessment

4

TRUSTEES’ REPORT

Objectves and Actvites

MISSION

Our mission is to empower Somalilanders in West London to enable them to participate meaningfully in the society as confident citizens, knowing their rights and responsibilities. We also strive to promote community cohesion.

VISION

Our vision is to make West London Somaliland Community a successful organisation which effectively addresses key issues concerning Somaliland community including education, family matters, sports and youth activities, meaningful integration in the mainstream society. We are committed to seeing our community to be successful citizens in this country.

AIMS

To facilitate and help the integration of the Somalilanders in West London into the wider society and promote community cohesion. To raise awareness about the parental responsibility and to enable to face the challenges of parenting of the 21st century. To prevent the Somalilanders youth involvement in crimes, and to relieve those who are in condition of need, hardship and distress. To enable the Somalilanders in West London to remain involved through training, workshops and conferences, in the reconstruction and development of Somaliland while simultaneously participating actively in the UK society. To promote and maintain the cultural identity and heritage of Somaliland and to advance education of the public on all aspect of the history of Somaliland.

ACTIVITIES/EVENTS APRIL 2023– MACH 2024

Finance workshop with the money Charity

A Personal Financial Management Workshop in partnership with The Money Charity. It covered planning finances, facing debt, saving to achieve goals, choosing financial products and managing everyday money. Throughout the workshop, participants developed a personal action plan to help them transfer what they had learned into their everyday lives.

Parent Discussion Group

A discussion group was hosted for parents who are concerned about their children's education in Hillingdon. 28 parents attended the discussion to air their concerns. The main issues were the school curriculums and unfair treatment of their children in the schools. The attendees represented the parent body of 6 primary schools in the Hillingdon borough. The attendees decided to create a Hillingdon Somali parents association which would branch across the 6 -7 schools that the children attend

Community Meeting

A community meeting was held at the center in an effort to better understand the needs of the community. Issues discussed were; ways in which to increase the community membership, the possibility of amending the center opening hours to better serve the community etc.

5

Community Iftar (Ramadan)

A community Iftar was hosted at the center. 15 members of the WLSC contributed generously to the event, which saw 70 attendees including Somaliland’s Ambassador to the UK. The event also acted as a way for us to reach a diverse section of the Somali community in Hayes and beyond.

26[th] June Women’s Brunch

The community came together to celebrate Somaliland’s Independence Day on 26[th] June 2023.

Qur’an Classes

Saturday & Sunday classes for 7-15-year-old.

Adventure Day

Staff organized an adventure day for young people in Hillingdon accompanied by their parents. About seventeen young people were taken on a day out as part of the center's effort to engage positively with the community and youth in particular.

Garden Planting

A group of 6 youth spent the day planting flowers in the WLSC garden. They learnt about the variety of flowers and plants that grow in the UK and Somaliland. They were also taught the importance of flowers and bees in the ecosystem.

Fun Fitness Club

A fun fitness club for 7-15 year old was formed. About 10 kids attended and took part in a host of fitness and activities.

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STATEMENT OF FINANCIAL ACTIVITIES (Including Income and Expenditure Account) for the year ended 31 March 2024

2024
STATEMENT OF FINANCIAL ACTIVITIES (Including Income and Expenditure Account) for the year ended 31 March 2024
Notes UNRESTRICTED FUNDS RESTRICTED FUNDS TOTAL FUNDS TOTAL FUNDS
£ £ £ £
2024 2023
INCOMING RESOURCES:
Voluntary Grants (1) 0 5,000 5,000
1,356
Contributons 8,075 - 8,075 6,201
Donatons 7,778 - 7,778 10,528
Rent receivable: Cafeteria (1) 13,660 - 13,660 9,245
& hall hire
Total IncomingResources: 29,513 5,000 34,513 27,330
RESOURCES EXPENDED:
Charitable Actvites (2) 22,058 4,000 26,058 57,100
Support Costs (2) 2,263 0 2,263 428
Governance Costs (2) 400 0 400 300

7

TOTAL RESOURCES EXPENDED:
Net Surplus/Defcit for the year
Opening funds Transfer of funds
Opening funds Transfer of funds
Transfer of funds
**CLOSING FUNDS: **
24,721
4,000
28,721
57,828
4,792
1,000
5,795
765
0
0
0
5,792
(30,498)
6,560
37,058
0
0
0
0
10,587
1,765
12,352
6,560
BALANCE SHEET
AS AT 31 MARCH 2024
WEST LONDON SOMALILAND COMMUNITY
2024
FIXED ASSETS
Notes
£
COMPUTERS & OFFICE FURNITURE AT COST
(3)
13,928
LESS ACCUMULATED DEPRECIATION
(13,071)
NET BOOK VALUE
857
2023
£
13,928
(11,989)
1,939

8

TOTAL FIXED ASSETS TOTAL FIXED ASSETS 857
1,939
CURRENT ASSETS
DEBTORS
PREPAYMENTS
CASH AT BANK & IN HAND
(4)
TOTAL CURRENT ASSETS
CURRENT LIABILITIES
CREDITORS
(5)
NET ASSETS
RESERVES:
RESTRICTED FUNDS
UNRESTRICTED FUNDS
TOTAL
4,040
4,140
0
0
7,855
781
TOTAL CURRENT ASSETS 11,895
4,921
(400)
(300)
NET ASSETS
12,352
6,560
RESERVES:
RESTRICTED FUNDS
UNRESTRICTED FUNDS
1,765
765
10,587
5,795
TOTAL
12,352
6,560

Approved by the board on 29/01/2025 and signed on behalf of the board by:

S Ahmed Aden (Treasurer)

---------------------------------------

NOTES FORMING PART OF THE FINANCIAL STATEMENTS:

ACCOUNTING POLICIES:

9

1b) INCOMING RESOURCES:

Voluntary income includes donations, gifts, legacies and grants that provide core funding or are of general nature are recognised where there is entitlement, certainly of receipts and the amount can be measured with sufficient reliability. Such income is only deferred when:

Income from charitable activities includes income received under contract or where entitlement to grant funding is subject to specific performance conditions is recognised as earned (as the related goods or services are provided). Grant income includes in the category provided funding to support performance activities and is recognised where there is entitlement, certainly of receipts and the amount can be measured with sufficient reliability.

1c) RESOURCES EXPENDED:

Expenditure is recognised when a liability is incurred. Contractual agreements and performance related grants are recognised as goods or services are supplied. Other grant payments are recognised when a constructive obligation arises that result in the payment being unavoidable.

1d) RESTRICTED FUNDS:

Restricted funds are to be used for specified purposes as lay down by the founder. Direct and support expenditure, which meets these criteria, is defined to the fund together with a fair allocation of other costs

10

1e) UNRESTRICTED FUNDS:

Unrestricted funds are funds received with no restrictions placed in their expenditure and are available as general funds.

Note 1

TOTAL 2024 TOTAL 2023
DONORS RESTRICTED(2023) UNRESTRICTED(2023) **(£) ** (£)
FOYLE FOUNDATION 5,000 - 5,000
-
CONTRIBUTIONS 8,075 8,075
6,201
RENT RECEIVABLE 13,660
13,660 9,245
GROUND WORK UK - -
1,000
HEATHROW COMMUNITY - - 176
DONATIONS 7,778 7,778
10,528
NHS NWL - - - 180
TOTAL 34,513
5,000 29,513 27,330

NOTE 2

EXPENSE RESTRICTED FUNDS (£) UNRESTRICTED FUNDS (£) TOTAL - 2024 TOTAL- 2023
Charitble Services 129
- 129 9,572
Volunteer's expenses - 776 776
8,611
Rent & Lease 17,850
21,850
4,000 24,050
Photocopying & Printng 519 519 679

11

Website & Sofware - 214
-
Utlites 709 709
4,545
Telephone, Fax & Internet 348 977
348
Bank Charges 62 62 97
Depreciaton charges
1,082 1,082 1,286
Waste Collectons 268 268 114
Purchases 15
15 1,862
Events & Trips 300 300
4,071
Travel Expenses - 1,022
-
Sundry Expenses - - -
TOTAL 26,058 57,100
4,000 22,058

NOTE 2

SUPPORT COSTS

EXPENSE
Insurance
Repairs & Maintenance
-2,263
2,263 428

RESTRICTED FUNDS (£) UNRESTRICTED FUNDS (£)
TOTAL-2024 TOTAL-2023
-
- 100
2,263
2,263 328

NOTE 2

Governance Costs

12

EXPENSE
Accounting fees
RESTRICTED FUNDS
(£)
~~-~~
-
UNRESTRICTED FUNDS (£)
400
TOTAL-2024
TOTAL-2023
400
300
400
300
400

NOTE 3

Fixed assets costing in excess of £250 are capitalised and are shown at historical cost. Depreciation is provided, after taking into account of any grants receivable. Tangible fixed assets are depreciated at 20% reducing balance basis.

TANGIBLE FIXED ASSETS

TANGIBLE FIXED ASSETS
Cost
OFFICE
FIXTURES
TOTAL
EQUIPMENTS
COMPURTERS
& FITTINGS
£
£
£
At 01 April 2023 3,247 612 10,069 13,928
Additons - - - -
At 31 March 2024 3,247 612 10,069 13,928
Depreciaton
At 01 April 2023 1,308 612 10,069 11,989
Charged in the year 1,082 - - 1,082
At 31 March 2024 2,390 612 10,069 13,071
Net Book Value
At 31 March 2024 857 - - 857
At 31 March 2023 1,939 - - 1,939

NOTE 4

CASH AT BANK AND IN HAND

The Organisation's cash balance is £7,855 as at 31 March 2024.

NOTE 5

CREDITORS

The association has correctly accrued an accountancy fee of £400, which relates to services that were carried out in the financial year ending 31 March 2024.

Taxation

The charitable company is exempt from taxation under sections 466 to 493 of the Corporation Tax Act 2010.

Cash flow statement

13

The company has taken advantage of the exemption in Financial Reporting Standard No. 1 from producing a cash flow statement on the grounds that it is a small company

TRUSTEES EXPENSES

The trustees neither received nor waived any emoluments during the period.

INDEPENDENT EXAMINER’S REPORT FOR THE YEAR ENDED 31 MARCH 2024

I report on the accounts of the charity for the year ended 31 March 2024, which are set out on pages 7 to 11.

Respective responsibilities of trustees and examiner

The trustees (who are also the directors of the company for the purposes of company law) are responsible for the preparation of accounts. The trustees consider that an audit is not required for this year under section 43(2) of the Charities Act 1993 (the 1993 Act) and that an independent examination is needed.

Having satisfied myself that the charity is not subject to audit under company law and is eligible for independent examination, it is my responsibility to:

Basis of independent examiner’s report

My examination was carried out in accordance with the general Directions given by the Charity Commission.

An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustees concerning any such matters.

The procedures undertaken do not provide all the evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.

Independent examiner’s statement

In connection with my examination, no matter has come to my attention, which gives me reasonable cause to believe that in any material respect the requirements:

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-----------------------------------------Hassan Ali Accountant

Date: 29/01/2025

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