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2021-08-31-accounts

GASP MOTOR PROJECT

(A Company limited by guarantee)

Report and Financial Statements for the year ended 31 August 2021

Charity number: 1128635 Company number: 6830792

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CONTENTS

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Legal and administrative information

Status

Incorporated in the United Kingdom as a company limited by guarantee on 26 February 2009, it was registered as a charity on 18 March 2009 and is regulated by the Charities Commission in England and Wales. It was established under a Memorandum of Association and is governed under its Articles of Association. All Trustees give their time voluntarily and receive no benefits from the charity. New Trustees are appointed after an interview process. Any expenses reclaimed from the charity are set out in note 7 to the financial statements.

Trustees

The Trustees of the charity, who were also directors of the company, during the period, were as follows:

Mir lan Watson, Chairman

Mr John Chaplin

Mr David Davis DL

Mr lan Digman Mr Richard Draisey Hon Treasurer & Company Secretary

Mr Stephen Drury

Mr Adam Duce Mrs Margaret Jack Mr Robert Pickles Mr Bruce Smith Mr Richard Wheeler (Retired April 2021)

Registered Office GASP Motor Project, The Sand Pit, Shere Road, Albury, Guildford, GU5 9BW

Bankers

CAF Bank Ltd, West Malling, Kent, ME19 4JQ

Management

Overall management rests with the Trustees, who are also directors of the cornpany. Day-to-day management is delegated to the Chief Executive. This role is held by Mrs Alexandra Thompson.

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Report of the Trustees for the 12 months ended 31 August 2021

The Trustees present their report and the financial statements for the year encled 31 August 2021. Reference and administrative information are set out on pages 1 to 3. The financial statements comply with statutory requirements, the Memorandum and Articles of Association and the Statement of Recommended Practice - Accounting and reporting by Charities: SORP applicable to charities preparing their financial statements under FRS102.

The Board would particularly like to thank Richard Wheeler who has served as a trustee since October 2010 and has been instrumental in the growth and development of the charity. He retired in April 2021. Additionally, the Trustees wish to thank Barrie Birchmore, who retired as Workshop Manager in February 2021. Barrie started with GASP as a volunteer, becoming the workshop manager in 2014.

During 2021, the charity continued to be significantly impacted by Covid-19 and took steps to protect its viability going forward into the 2021 / 2022 academic year.

Aims and Activities

The company is a charity which exists to advance in life and help vulnerable, underachieving young people up to the age of 25 and resident in Surrey and neighbouring counties by means of: (a) an alternative learning facility; and (b) a recreational and leisure-time activity. Using basic motor mechanics and practical engineering, it runs customised programmes that re-engage them and assist them to acquire accredited learning outcomes and social skills that will help to enable them to achieve their full potential in life and participate in society as mature and responsible individuals. There is a rigorous Safeguarding Policy in place and all staff and volunteers have Child Protection and Prevent training.

The Trustees review the aims, objectives and activities of the charity each year. This report looks at what the charity has achieved and the outcomes of its work in the reporting period. GASP reports to funders on key activities and lists the benefits the charity has brought to those groups of people that it is set up to help. The review also helps the Trustees ensure that the charity's aims, objectives and activities remained focused on its stated purposes.

The charity works to benefit different categories of young people:

e Daytime sessions — these are run by qualified engineers and experienced mechanics in the purpose-built GASP workshop, and are attended by young

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people from across Surrey and its neighbouring counties who may be disadvantaged, marginalised and under-achieving. They include students who respond best to vocational learning outside of the classroom; those who are vulnerable and have special educational needs; those at risk of exclusion from school; or those who are the subject of juvenile court orders and enrolled in an alternative learning programme. The GASP workshop provides them with a facility where they can be introduced to the basics of engineering and motor mechanics in a supervised, safe environment, working with suitable role models as session leaders. In many cases the students gain AQA accreditations.

Summary of Achievements and Impact of Covid-19)

Like so many charities and organisations, GASP continued to be significantly impacted by the Covid-19 pandemic and periods of lockdown. Thanks to the support of our funders, we had been able to postpone many courses from summer 2020, to the academic year 2020/21. Whilst delivery exceeded expectations in the autumn term, the return to lockdown in January 2021 forced GASP to close once again.

Upon the rollout of the vaccination programme, GASP was able to restart sessions in March 2021 bringing back the most vulnerable of our young people first. By the summer term we hada full timetable. Despite being closed for the spring term, and

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the disruption caused by additional periods of isolation for schoal groups, over 160 young people attended GASP courses with lengths varying from 6 weeks to the academic year (two terms in reality).

Thanks to funding from the Community Foundation for Surrey, we were able to implement the extended the number of activities available, through the purchase of new equipment and teaching apparatus, including laptops and 3D printers, and increased the number of AQA certificates offered to all those who attend our courses,

In response to the challenges reported above, GASP has successfully piloted our refined courses. Building on the curriculum review completed during the first period of lockdown, we worked with our young people and referring organisations to review and improve our syllabus, this included increasing some courses from 10-12 weeks to the full academic year and inviting mixed cohort groups. Although initially a pilot programme, the mixed groups have proved exceptionally popular, with young people thriving away from potentially negative peer influence and having the opportunity to demonstrate their strengths and build positive relationships.

In addition, we have extended our work with the Police and Youth Justice Teams and have a number of young people on referral orders attending, with fantastic outcomes. This included summer courses for those receiving Free School Meals and a diversionary course in the evenings for young offenders at Woking Police Station.

GASP was delighted to partner with Big Leaf Foundation, supporting 12 displaced young people through a partnership summmer school of ESOL and motor mechanics. It was a fantastic success, and we very much look forward to warking with them again this academic year.

Sadly, our evening Engineering Youth Clubs were also suspended during the periad of lockdown. However, we were delighted to welcome our young people back to the workshop and remain extremely grateful to our volunteers Rob Cooke, James Martin, Alex Pettit and Bruce Shaw, for their ongoing support and engagement with GASP.

In total GASP delivered over 250 teaching sessions which equates to over 750 teaching hours. In addition, over 80% of our students achieved one AQA, with at least 20% achieving two or more — an exceptional outcome for such a fragmented year.

During this period, the GASP Trustees and CEO have extensively considered and

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Demand for GASP courses has increased significantly and the Board have outlined how the charity is to respond to increased needs of Surrey’s vulnerable young people. This Board has approved a marketing and fundraising strategy, as well as outline plans to increase operational delivery and geographical expansion. Along with this, there is a recognition of the need for investment in staff, equipment and content.

Public Benefit Statement

The Trustees have referred to the guidance contained in the Charity Commission's general guidance on public benefit when reviewing the charity's aims and objectives and in planning its future activities. In particular, the Trustees consider how planned activities will contribute to the aims and objectives that have been set.

The primary purpose of GASP is to provide an alternative practical learning facility that predominantly helps 14 to 19-year olds — most of whom are disaffected, disadvantaged and under-achieving — to achieve and contribute more than anyone thought possible through positive personal development. We teach basic motor mechanics and practical engineering skills with a holistic approach, empowering these vulnerable young people to take positive action and laying the foundations for further vocational training and realistic employment opportunities. It is a local initiative that reaches out to young people countywide. By helping to tackle antisocial and offending behaviour, GASP contributes considerable public benefit to local communities across Surrey, in accordance with the Charity Commission Guidelines on the provision of public benefit.

Fundraising responsibilities

In September 2020 GASP employed our first professional fundraiser, thanks to funding from No Fear Bridge. During the period under review GASP developed a fundraising strategy which clearly reflects the charity's values and challenges the proportion of income received from referring organisations, and grants and foundations. The strategy also considers the changing fundraising landscape and the financial risks we may face as a result. Although only a small charity, this strategy reflects the fundraising rules under the Charities Act 2016 and the Code of Fundraising Practice. The charity has now budgeted a fundraiser as a permanent support cost in recognition of the need to invest to achieve our strategic objectives.

Reserves

The Trustees wish to build up Unrestricted Reserves to a level to cope with financial contingencies. Our target for Net Free Reserves (i.e. Unrestricted Reserves after as ss ri ee eetSeeedRaa—

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the net book value of Fixed Assets rernoved) has previously been based on the requirement to provide one term’s continuing support to young people. However, with the change in course lengths and longer-term commitments, the Trustees have agreed this figure should reflect six months costs, to ensure GASP is able to fulfil our obligation to our yourig people and their referring organisations, whilst putting in place alternative arrangements to support them, if we are suddenly faced with a permanent reduction in our funding or other financial challenge. In financial terms, for the 21/22 budget year, this equates to approximately £125,000.

At £137,858 our Net Free Reserves are slightly higher than our policy statement, however following a restatement of the prior year’s financial statements (See Note 2 to the financial statements) this now also includes £15,841 of unrestricted grants received which are included within these reserves. The Trustees will continue to review the level of reserves to ensure the target figure continues to reflect the associated funds required to put in place alternative arrangements for our students should this be needed.

Financial Results

The attached financial statements show that the charity recorded a surplus of | £21,099. This figure reflects the challenge of being closed for the second term of the academic year including the need to defer Charitable activities to 2021 / 2022.

Donations and grants received in the year amounted to £113,466. Further details are shown in the notes to the financial staternents. The Trustees wish to record their thanks to all donors for their support. We expect demand for the charity’s activities to continue to grow; resulting in more sessions being provided to more young people, with a resulting increase in operating costs. We have slightly increased the proportion of income generated by charitable activities; however, it is anticipated that the organisation will continue to need to raise funds through fundraising to cover the remaining significant proportion of support costs.

None of the Trustees received any remuneration from the charity.

Investment policy

The Trustees now invest any surplus cash in an instant access deposit account at the bank. Interest income for the period was £12.

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Risk review

The Trustees have conducted their own review of the major risks, including health and safety and safeguarding, to which the charity is exposed, and systems have been established to mitigate those risks. This includes assessing the specific risks arising from Covid-19. The charity’s governance arrangements surrounding risk and key applicable policies are reviewed regularly to ensure that they still meet the needs of the charity. The Board has allocated responsibility for health and safety and safeguarding to specific Board members to ensure relevance and compliance. checks are conducted for both workshop and mobile operations.

Statement of responsibilities of the Trustees / directors

The Trustees (who are also directors of GASP for the purposes of company law) are responsible for preparing the charity's arinual report and financial statements in accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practice).

Company law requires the Trustees to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity and of the incoming resources and application of resources, including the income and expenditure, of the charity for that period. In preparing these financial statements, the Trustees are required to:

The Trustees are responsible for keeping adequate accounting records that disclose with reasonable accuracy at any time the financial position of the charity and enable them to ensure that the financial statements comply with the Companies Act 2006. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

In so far as the Trustees are aware:

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The Trustees are responsible for the maintenance and integrity of the corporate and financial information included on the charity's website. Legislation in the United Kingdom governing the preparation and dissemination of financial statements may differ from legislation in other jurisdictions.

Basis of preparation

This report and the financial statements have been prepared in accordance with the provisions applicable to companies subject to the small companies regime. The Trustees have not required the financial statements to be audited.

Approved by the Board of Trustees of the charity on 9" March 2022 and signed on its behalf

by

lan Watson, Chair of Trustees.

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Independent examiner's report to the trustees of Gasp Motor Project (‘the Company’)

| report to the charity trustees on my examination of the accounts of the Company for the year ended 31 August 20271.

Responsibilities and basis of report

As the charity’s trustees of the Company (and also its directors for the purposes of company law) you are responsible for the preparation of the accounts in accordance with the requirements of the Companies Act 2006 (‘the 2006 Act’).

Having satisfied myself that the accounts of the Company are not required to be audited under Part 16 of the 2006 Act and are eligible for independent examination, | report in respect of my examination of your charity’s accounts as carried out under section 145 of the Charities Act 2011 (‘the 2011 Act’). In carrying out my examination | have followed the Directions given by the Charity Commission under section 145(5) (b) of the 2011 Act.

Independent examiner’s statement

| have completed my examination. | confirm that no matters have come to my attention in connection with the examination giving me cause to believe that:

| have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Signed:

Name: David Wilson FCMA

Address: Pincott Cottage, Pincotts Lane, West Horsley, Surrey KT24 6JH Date: 9 March 2022

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GASP MOTOR PROJECT (Company Number 6830792)

Statement of Financial Activities

For the year ended 31 August 2021

Notes Unrestricted Restricted Total2021 Total 2020
(Restated)
£ £ £ £
Income and endowments from:
Donations and legacies 3 47,629 65,837 113,466 109,696
Charitable activities 4 38,625 49,146 87,771 85,151
Other trading activities - - . -
Other 5 5,757 - 5,757 8,260
TOTAL 92,011 114,983 206,994 203,107
Expenditure on:
Employment Costs 6 75,424 58,830 134,254 111,234
Other Running Costs 6 19,848 31,793 51,641 42,863
TOTAL 95,272 90,623 185,895 154,097
NET INCOME/(EXPENDITURE) (3,261) 24,360 21,099 49,010
Transfer between Funds s - - -
NETMOVEMENT IN FUNDS (3,261) 24,360 21,099 49,010
TOTAL FUNDS AT 31 AUGUST
2020 14 159,596 28,701 188,297 139,287
TOTAL FUNDS AT 31 AUGUST
2021 14 156,335 53,061 209,396 188,297

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GASP MOTOR PROJECT (Company Number 6830792)

Balance Sheet as at 31 August 2021

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2021 2020 (Restated)
Notes £ £ £ £
FIXED ASSETS
Tangible Assets 10 18,476 23,463
CURRENT ASSETS
Debtors & prepaid expenses 11 7,363 2,945
Cash at Bank and in hand 255,097 221,949
CREDITORS
Deferred Income 12 (64,452) (57,989)
Accrued Expenses (7,088) (2,071)
NET CURRENT ASSETS 190,920 164,834
NET ae OO
ASSETS __ 209,396 __ _188,297
FUNDS
Unrestricted funds 156,335 159,596
Restricted funds 14 ____ 209,39653,061 _ _188,297_28,701
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For the year ended 31 August 2021, the Charity was entitled to exemption from audit under sectian 477 of the Companies Act 2006 relating to small companies.

Directors’ responsibilities:

The Trustees have not required the charity to obtain an audit of its financial statements for the period in question in accordance with section 476:

Approved by the Directors on 9*° March 2022 and signed on their behalf by

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lan Watson — Chair of Trustee

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GASP MOTOR PROJECT (Company Number 6830792) Notes to the Financial Statements for the Year ending 31/8/2021

Notes to the financial statements for the year to 31 August 2021

1. Accounting Policies

General - These financial statements have been prepared under the historic cost convention and in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102), the Charities SORP (FRS1Q2) effective 1st January 2019, the Comipanies Act 2006, and the Charities Act 2011, as applicable for smaller entities.

Going Concern - At the time of approving the financial statements, the Trustees have a reasonable expectation that the Charity has adequate resources to continue in operatianal existence for the foreseeable future.

Charitable Funds - Unrestricted funds are donations and other incoming resources receivable or generated for the objects of the charity without further specified purpose, or with a specified purpose but not repayable if not used in full and are therefore available as general funds. Restricted funds are to be used for specific purposes as laid down by the donor or grant provider or refunded if not so used. Expenditure which meets these criteria is charged to the respective fund, together with a fair allocation of management and support costs.

Income - Voluntary income is received by way of donations and gifts and is included in full in the Statement of Financial Activities when receivable. Grants are recognised in full in the Staternent of Financial Activities in the period in which they are receivable, unless they ara time related or contain unfulfilled conditions in which case unutilised grants are carried forward in the Balance Sheet. Volunteer time is not included in income, as per the Charities SORP. Fixed Assets - Fixed assets are stated at cost and depreciation is provided at rates calculated to write off each asset over its expected useful life as follows:

Donated Assets - Donated assets are included in income at fair value and are capitalized if the value is greater than £500.

Governance Costs - These include any Trustee expenses and any Independent Examiner's Fee.

Operating Commitments - The Charity operates from the Sandpit and pays rental for this usage.

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GASP MOTOR PROJECT (Company Number 6830792) Notes to the Financial Statements for the Year ending 31/8/2021

2. Restatement of Prior Years

Following a review, we have decided to change the implementation of our accounting policies, resulting inthe need to restate the financial statements for the year ending 31st August 2020.

1) Grant income that had been deferred is now recognised in the year of receipt unless they are time related or contain unfulfilled conditions.

2) Grants for capital purchases are now recognised as income into a Restricted Fund. The amount is transferred to Unrestricted Funds on acquisition of the asset unless there is a specific restriction preventing this.

3) Some income previously classified as Unrestricted has now been classified as Restricted. Expenses charged to these funds have also been reclassified.

4) Opening balances for 1st September 2019 have been calculated to allow for the above.

The main effects of the restatement have been to move some Unrestricted Iacome to Restricted Income, and to increase overall reserves because of the reduction in Deferred Income. Tables comparing the Restated and Originally published SOFA and Balance sheet for 2020 are shown kelow.

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GASP MOTOR PROJECT (Company Number 6830792) Notes to the Financial Statements for the Year ending 31/8/2021

3. Donations and Legacies

Donations and Legacies income includes grants received for the general activities of the charity, as opposed to specific courses. The trustees ane extremely grateful to all of those who have provided support. The charities and other organisations which supported us in the period are listed below

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Charles Russell Spechlys Community Fund (CFS) Coleman Trust Z = 7
DonorsviaLlocalGiving |GarfieldWeston ;
Hilden Charitable Trust __{iChaplinEsq.
NoFear Bridge _
| The Albert Hunt Trust __
|The Borrows Trust —__ —— ____| The Community Foundation for Surrey
| The Masonic Charitable Foundation ____| The Mrs Smith and Mount Trust __

The Office of the Police and Crime The Peter Harrison Foundation
Commissioner a
The Wates Foundation
4, Charitable Activities
Charitable Activity income represents sums received from schools for specific courses and sums
received from grants with performance conditions. The trustees are extremely grateful to all of
those who have provided support. The charities and other organisations which supported us in the
period are listed below
AG Manly Charitable Trust | __ EXON Esso.” __ :
|Geoff Herrington Foundation_
| DameSarahGoad
High Sheriff Youth Awards __ NoFear Bridge_ _ a
Speedomick __ _ __| The Betty Risely Trust _
|The KFC Foundation _ __ UNUM __
| Sally Varah _ ___| WaltonCharity :
Woking Borough Council _ ; _

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5. Other Income

Other income represents miscellaneous sums received including bank interest of £12 (£175 in 2020) and income from the disposal of workshop materials no longer in use.

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GASP MOTOR PROJECT (Company Number 6830792) Notes to the Financial Statements for the Year ending 31/8/2021

6. Costs

Overhead, Support and Delivery Costs were incurred as follows.

Overhead, Support andand Delivery Costs wereCosts werewere incurred as follows.
2020
2021 (Restated)
£ £
Employment Costs 134,254 111,234
Other Running Costs
Rent and premises costs 12,418 13,922
Insurances 4,824 4,321
Consumables 3,748 2,734
Marketing 468 332
Vehicle maintenance and fued 1,951 2,145
Depreciation 4,987 5,986
Other costs 23,245 13,423
Total other running costs 51,641 42,863
Totalresourcesexpended 185,895 154,097

7. Trustees

None of the Trustees {or any persons connected with them) received any remuneration or benefits from the charity during the year and there were no expenses reimbursed. There were no related party transactions except as shewn in Note 16.

8. Employees

The average monthly number of employees during the year was

2021 2020
Number Number
Operational 5 5
Admin & Management 4 3
Total 9 8

No employee received more than £60, 000 in salary and benefits during the year.

9. Future commitments

There is no contingent or committed expenditure (2020 Nil).

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GASP MOTOR PROJECT (Company Number 6830792) Notes to the Financial Statements for the Year ending 31/8/2021

10. Tangible Fixed Assets

Buildings Workshop Workshop Total
Equipment _ vehicles
£ £ £
Cost
Balance 31 August 2020 11,708 7,550 38,403 57,661
Additions 0 0 0 0
Balance 31 August 2021 11,708 7,550 38,403 57,661
Depreciation
Balance 31 August 2020 2,829 7,152 24,217 34,198
Charge forthe year 1,171 254 3,562 4,987
Balance 31 August 2021 4,000 7,406 27,779 39,185
Net bookvalue 31 August 2021 7,708 144 10,624 18,476
Net bookvalue 31 August 2020 8,879 398 14,186 23,463
Buildings Workshop Workshop Total
Equipment _ vehicles
£ £ £ £
Cost
Balance 31 August 2019 11,708 7,550 20,595 39,853
Additions 0 0 17,808 17,808
Balance 31 August 2020 11,708 7,550 38,403 57,661
Depreciation
Balance 31 August 2019 1,659 6,607 19,947 28,213
Charge forthe year 1,170 545 4,270 5,985
Balance 31 August 2020 2,829 7,152 24,217 34,198
Net bookvalue 31 August 2020 8,879 398 14,186 23,463
Net boakvalue 31 August 2019 10,049 943 648 11,640
2019and2020Figuresarerestated

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GASP MOTOR PROJECT (Company Number 6830792) Notes to the Financial Statements for the Year ending 31/8/2021

11. Debtors

11. Debtors
2020
2021 (Restated)
Amounts fallingduewithin oneyear: £ £
School Debtors 5,100 0
Prepaid Expenses 2,263 2,945
12. Creditors
2020
2021 (Restated)
Amounts fallingdue within one year: £ £
Deferred Income - Restricted grants (see Note 13) (63,627) (56,338)
Deferred Income - Others (825) (1,651)
OtherCreditors (7,088) (2,071)

13. Operating Grants

The charitable activities of the charity include the following restricted income, some of which has been deferred. The Trustees cansider that it is not appropriate to show individual amounts by donor because this may be disclosing publicly sensitive information.

Total Operating Grants

Deferred Income Less Less Net
Income at Received Deferred Transfers Income
1/9/20 in the Income Out taken in
Year at the Year
31/8/21
£ £ £ £ £
56,338 61,272 63,627 4,837 49,146

During the year, £4, 837 from the Community Foundation of Surrey was transferred to Unrestricted Funds with the agreement of the donor.

The Trustees consider that Operational grants for specific courses are performance-related grants and should have income deferred in proportion to the number of courses undelivered at year end. These courses are similar in nature to those provided to schools which can be deferred as unrestricted income. If this Restricted Income had not been deferred then:

i} Restricted deferred income would be zero;

ii) Restricted income for 2021 would have been higher by £7,289 (2020 lower by £6,891); iii) Restricted Closing Reserves for 2021 would have been higher by £63,627 (Restricted Closing Reserves for 2020 higher by £56,338).

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GASP MOTOR PROJECT (Company Number 6830792) Notes to the Financial Statements for the Year ending 31/8/2021

14. Movement in Restricted Funds

The trustees consider that it is not appropriate to show individual amounts by donor because this may be disclosing publicly sensitive information.

Movement in Funds

Balance at Incoming Less Less Balance at
1/9/20 Resources Resources Transfers 31/8/21
Expended Out
£ £ £ £ £
Donations and Legacies 28,701 65,837 41,477 53,061
Operating Grants (see Note 13) 49,146 49,146
Total 28,701 114,983 90,623 - 53,061

15. Taxation

The company is exempt from Corporation Tax on its charitable activities.

16. Related party transactions

During the period the following related party transactions occurred.

Mrs Margaret Jack (Trustee of grant giving trust) - Betty Riseley Trust gave £7,200 to the charity as a performance related grant,

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