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TRUSTEES ANNUAL REPORT YEAR ENDED 30th JUNE 2023
The trustees, who are also Directors for the purposes of the Companies Act, have pleasure in presenting their report and the unaudited financial statements of the charity for the year ended 30th June 2023.
LEGAL STATUS: Harmony Youth Project is a registered charity (number 1129290) incorporated under. The Companies Act 2006 as a charity limited by guarantee and not having a share capital.
OBJECTIVES OF HARMONY YOUTH PROJECT: To assist young people, especially those who are disadvantaged in the borough of Bolton and the surrounding areas in realising their true potential through the medium of creative of arts and sports.
ORGANISATION: The Management Board comprises of six elected members. A copy of the full report can be obtained from the Company Secretary at the registered office.
TRUSTEE'S RESPONSIBILITIES: 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 at the end of the year and of the incoming and outgoing recourses for the year then ended. In preparing those financial statements, the trustees are required to select suitable accounting policies and them consistently, making judgements and estimates that are reasonable and prudent. The trustees must also prepare financial statements on the going concern basis unless it is inappropriate to presume that the charity will continue its activities. The trustees are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial statements comply with the Companies Act 2006. The trustees 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.
The trustees who served the charity during the period were as follows: John Hynes Brett Pemberton Saleem Atcha Leah Elcock Ian Read Rachel Crowe
Chairman’s Report 27/03/2024
Harmony has had a remarkable fiscal year 2022-23, with substantial accomplishments and a better financial outlook than the previous year. Funders' feedback shows an increase in funding proposals, resulting in a careful selection procedure that favours exceptional initiatives or allocates limited funds, frequently to specific regions. Despite the competitive landscape, Harmony has distinguished itself by receiving financing from a variety of organisations throughout the year, demonstrating the quality of our initiatives and our dedication to providing a first class service.
Our devoted volunteer staff continues to thrive in a variety of fields, including Youth Counselling, Photography, Videography, Music Production, Artistry and food support to local families, while efficiently handling day-to-day operations including administration, finance, and project management. Harmony has stayed at the heart of our community since its inception in 2001, thanks to a strong network that includes Bolton Council, Bolton CVS, Bolton Youth Offenders Team, Bolton Jobcentre, Greater Manchester Constabulary, Clarion Futures, and a variety of local businesses.
Harmony has expanded its community outreach by providing crucial food parcels and clothing to those in need, as well as presenting meaningful educational programmes throughout Bolton, thanks to funding from Bolton Council, Clarion Housing, and the JD Foundation. Internally, we continue to welcome and support young people experiencing varied issues by providing a nonjudgmental environment and a wide choice of activities such as access to free counselling services and after school clubs.
As we move ahead, Harmony emphasises its commitment to providing high-quality services, protecting its reputation, and functioning as a critical hub for the Bolton community. With resilience and dedication, we will maintain our high standards of excellence and remain a reliable ally for people in need.
Mr John Hynes (Chairman of Harmony youth project).
Harmony Youth Project Annual Report 2022-23
Harmony Youth Project remains steadfast in its mission to furnish a secure and nurturing space wherein young people can foster their creativity, talents, and essential life skills. Through a diverse array of programs, we strive to embolden both children and their families, fostering self-assured, adept, and conscientious individuals poised to effect positive change within their communities. Our initiatives encompass Easterzone, Summerzone, Winterzone, Warm Spaces, Open Access, Food Bank, Mental Health Photography Project, Windrush 75[th] anniversary and Recording Studio.
Throughout 2022-23, our commitment to delivering charitable endeavours centred on the well-being and advancement of young people persisted unwavering. These endeavour’s encompassed initiatives targeting anti-bullying, provision of fundamental necessities, mental health support, and training in employability skills. The efficacy of these charitable pursuits was evaluated through surveys, feedback mechanisms, and individual progress assessments, revealing tangible enhancements in participants' well-being, self-assurance, and skill acquisition.
Food Bank:
The Food Bank initiative saw remarkable success throughout 2023, providing vital food parcels to individuals in need across the borough. This achievement was made possible through collaboration with specialised local agencies, the generous contributions of food donors, a partnership with Neighbourly and the dedication of numerous volunteers. The project extends support to families and individuals struggling due to various factors such as redundancy, illness, mental health challenges, financial difficulties, and homelessness.
Warm Spaces:
Our Warm Spaces initiative is tailored to furnish a secure and supportive environment for vulnerable individuals. Offering nutritious snacks and beverages ensures that those from low-income backgrounds have sustenance, which may be their sole source of nourishment.
Easterzone:
Easterzone 2023 emerged as a resounding success, drawing the participation of over 30 young individuals daily in an array of activities spanning arts and crafts, music, drama, and sports. Positive feedback from parents and caregivers attested to the programme's high quality and its favourable impact on participants.
Summerzone:
Summerzone 2023 witnessed a similar triumph, with more than 50 young people daily engaging in an assortment of activities, including excursions to theme parks, outdoor pursuits, and creative workshops. Moreover, participants were afforded opportunities to hone skills such as public speaking, leadership, and teamwork.
Winterzone:
Winterzone 2023, a recent addition to our roster, met with enthusiastic participation, attracting over 35 children daily. The program offered various activities, including creative workshops enabling participants to fashion their own Christmas decorations.
Our Open Access:
Our Open Access initiative remained steadfast in providing a secure and supportive place for young people to socialise, unwind, and take part in diverse activities. Offerings such as board games, table tennis, and video games were supplemented with nutritious snacks and beverages to sustain energetic engagement.
Mental Health Photography Project:
The introduction of the Mental Health Photography Project proved highly successful, offering youths a platform to express themselves through photography while fostering awareness of mental health and well-being. The culmination of their efforts was showcased in a local gallery exhibition.
Windrush 75[th] Anniversary:
In February we were funded by ‘awards for all’ to run a special project for the Windrush 75[th] anniversary. This project saw over 50 children take part in educational workshops, craft sessions and a celebration event to honour the merging of the Windrush generation with British culture. The exhibition showcasing their works was displayed in our centre throughout the year.
These charitable endeavour’s culminated in tangible positive outcomes, bolstering the wellbeing, self-assurance, and skill set development of young participants and their families. We remain steadfast in our commitment to supporting the youth of Bolton and eagerly anticipate furthering our endeavours in the ensuing years.
Conclusion:
In summary, 202-23 stands as a remarkable year for Harmony Youth Project, wherein we provided young people and their families with a diverse array of programs fostering wellbeing, creativity, talent, and vital life skills. Positive feedback from participants, parents, and caregivers underscores the quality and impact of our initiatives, motivating us to continue nurturing opportunities for youth advancement in the future.
Family Support 2022-23 June'23 13.4% July '22 August'22 May'23 September'22 October'22 November. 22 April '23 December'22 March '23 February '23 8.1 January '23 Youth Support 2022-2023 June'23 July '22 May'23 August'22 8.3% April '23 September'22 October'22 March'23 February '23 November, 22 January '23 December'22
The figures provided indicate the monthly count of individuals throughout the entirety of the year.
Sincerely, John Hynes Harmony Youth Project Chairman
REGIERED COMPANY NUMBER: 00054333 (England Wales) REGISTERED CHARITY NUMBER: 1129290 Re of the Tm gand FinAl&l Staicmenis for thc Y r E edJOJ ne 202 TH Accounting SoluEion& Suite 3 Tumcr BLs][SS Centr¢ Greengat¢ Middlewn Greater Manchest¢r M24 IRU
HarnTh Youih P ecl ComnIS of the F"inHncial Srannts r rhe Year End 30 Jiine 2023 Pag R¢pNt of the Trust¢¢5 Inthpendeni Exan]irtVs Report SiotenKni of Finan¢wdl Activiiies Balnnce Sheet Notes (o Ihc FiDattcial Statements Derail St¢ethi of Financial A¢tivLIi¢S
Hannon Youth PTO of the Tnt¢¢5 for thc Year Eiid¢d 30 J The ttwste¢s iyho 8t¢ also dirociors of thc ¢harity for thc pwpos¢s of thc Q>nwanies Act 2006, pr¢n( their repori with the financial stlllemcnis of the charity foi. the ycar ended 30 Jurse 2023. The In1C¢S h&vc adoptcd Ihc provisions of Accounting and Reportsnb by amriues: Stenli1 of ReeomtEnded P17¢tic¢ applicable io thariti¢s prcparin8 tiieir accounts ii) a¢cordance with the Financial Rq)orting St&ttdard appliL7ble In the UK and Rq)ublie of Tr¢laNd (FRS I2) 1¢fy¢cti l January 20191. STRucfuRE, GOVERNANCE AND MANAGEMENr GoYernlll8 docllment The charity is contyollcd by its governiiig do¢uin¢nr, J d¢¢d of trns( and ¢oDsiiwies a limitcd company, liniited by guarnnt¢o. 8s defiid by the Conipwiies Act 2006. REFERENCE AND ADhrfYNisfRATIVE DETAILS Rtglstsred Cowp&ny nu]lllJer 06054333 {Eng]aDd aiid Wales) ReRl$tered ChATity nnThbtr 1129290 Reglstered offtte Iolb Bradshawgyt¢ Bolion Gr¢ater Man¢lKstrr BLI IQD Trjsttts J Hyn¢s Trust¢c S Ateha Trus(ec Miss L S El¢oek Truse Ind¢p¢ndent EXan¢r Steven Tray TH Ac¢ounEin8 Solutions SuiEe 3 Turner B11C$S Cents Greengaic Middleroft Greater M¥n¢h¢s¢r M24 IRU ArjprOv by ordcr of the board oftntses 01126 Apr&1 2024 and signcd on its bchalf by.. J H>m¢s- Trns JCJL Page I
Indc i)dcnt Exainincr% R¢ Hamion Youth Pro Cet rt to ihc TrucL% of Indepedent emmlney's report to the trusttt5 of Harmony Vovth Project {'the Compgny,) I report to ch&ri(y wiees on my ¢X]natiOn of the accounts of tl)e COENI)Y for tile yetr endcd 30 June 2023. ResponslblllEle5 b8si$ tsf report As th¢ chariry's trusiecs of the Compony Land al80 its directo[5 for th¢ pury)oses oeeompany knw) you are responsible for the preparaiion of the a¢¢ounts in cordanCe wilh the r¢quirements of Ihe Companies Aci 2006 1'th¢ 2006 Actr). Having slltisfi¢d myself th81 the accounts of the Con)pany are not reqUid to Ix audid under Part 16 of the 2006 A and ay¢ ¢ligible for independent examiliatio T rcJx)rt in resm of rny ¢xaMiiiaiion of your charitys accounts a5 carried out under S¢etion 145 of the Chariti¢s A¢t 2Ql l {Ihe 2011 Act'l. lji canying out my ¢xaininatioll I have foll¢)wed the Dir¢eiftons given by thc Charity CDJThnission under S¢¢tion 145{51 Ibl of thc 2011 ACL Independent ¢MIner.1 itsttment I have completcd my exaniinaiion. I confirn) that llo rnauers Iwve com¢ io my atteniiou ¢onnE¢tion with th¢ exalniiiation giving ciuse to bcli¢ve'. accountin rccords were not kept iii rcsPCCt of thc Compally as rcquiltd by Section 386 of th¢ 2006 A¢( or the ace0ll1S do iiot wth those Lrcords; or th¢ accounts do nol comply wlh the accounring r¢qUimEnts of Sceiion 396 of tli¢ 2006 Act othei. (han any requiremciit that di¢ accounts siv¢ a t¢ and fair leW whieh is not a iiiaiL¢r co1ldered as part of an liePc1knIL exalalL00. or the 4Lccuwils bave no¢ br¢n PlLywed in accordan with the methods and prin¢iplcs of tlic Staicmciir of R¢¢ommended Prartice for acColitIng and rcporting by charili¢s (applicable to choritics preparing ttKi¥ ac¢ountS in a¢¢ordancc with the Finuncial R¢porting Sr#ndard applitablc in ihc UK and Rcpublie of Irelaiid (FRS 102)). I have no concerns and l?ave come acTOSS no other n¥iters kn conncction with the eYaminatioTr to whicli 8tt¢n¢ion should be drawn in thi8 r¢port in ordcr to ennble a propcT UndcT5IaT1B of tht accounts to bc reached. st¢tI Ti?y TH A¢ccwntiiiy Solutions Suitc 3 Tum¢i' Businc5s Centre GrccngR(e Middl¢ton Grcattt Mw)cliester M24 IRU 20 April 2024 Page 2
Han sratenn1 of Fi iviti d30J 202 30.6.23 Unrc$tri¢tcd fund 30.6.22 Total lids Not INCOME AND ENDOWMEiYfs FROM Donations and legaeitts 142.357 137.423 EXPENDITURE ON Riisiiig funds 137,789 150.366 NET TNCOMEI(EXPENDITURE) 4.568 1129431 RECONCILIATION OF FiTNDS Totsl fwids brot1 fonvard 35,952 48,895 TOTAL FUNDS CARRIED FORWARD 40,520 35.952 Th¢ notas forni part of thLx financial sraternents
Harmon Yoiith PYO e lance S]et 30.6.23 Unrcstrictcd fiind 30.6.22 Tothl fijnds Nol¢s FIXED ASSETS Tangiblc as5aS 29.019 314J8 CURIiENT ASSETS Cas]i at bank 11,501 3,514 NET CURR ASSET5 11,501 3.514 TOTAL ASSEIS LESS CURRENT LIABILITIES 40,S20 35.952 NET ASSE13 40,520 35.952 Ururstrl¢d thnds 40,520 35,952 TOTAL FUNDS 40.520 Thc charii8ble ¢ompany is entitled th exanption from audit llndcr Secuoii 477 of thc Companies Ac¢ 2006 for the ycar ended 30 JUM¢ 2023. The nrnthc¥s hAV¢ not requKrcd tlic company to obtsin OD audit vf its financi&l stot¢nKnts for the y¢or ¢I¢d 30 Junc 2023 ill accordarKc with Seclion 476 of ihc ComrAnies Aci 2006. Th¢ tntstees ecknowled8e thEiT TrS57b1III1cs for ensuring that th¢ ¢haritabl¢ wrnpany keeps a¢coimtiDg rccords that comply with SectioT 386 alid 387 Df th¢ Compani¢5 Act 2(X)6 and pr¢paring financial 5tat¢rrttsts which give a truc 8t fair vi¢v/ of thc stAte affairs of th¢ ¢h4ritable compony as I thc ¢nd of taeli finaiicial ycar and of its suryIDs or deficit for cCh financial ycar in &ccord&nce wyrh the rcquir¢m¢nts of S¢¢tion$ 394 #nd 395 and wlii¢li odrw¢ comply with tlie reqiiircmcnis of the Compofii¢s Act 2006 relaring to fiiiancial stalennts. so far applic&bl¢ to th¢ ¢hAritabl¢ ¢omp•ny. Ib) Thcsc fittap¢i81 stgten*nts hav¢ been prcpowd iii g¢¢ordance with th¢ pmvisions applicablc to ¢h4rifable companies subject the 5mnll companios regime. The filn¢la1 statcjnejits were approved L>y th¢ Boald of Trtes ai)d authoris¢d for issue on 26 April 2024 and sisned on irs behklf by= J Hyn¢s- Tru5tec The moi¢s form part of ihe5e finaii¢ial Ststtincnts Pa8¢ 4
HaiThon Youth Pro Notes lo thE Fimncial Statemerlts for the Year Ended JO June 2023 ACCOUNTING POLICIES Bx$S8 olprepariNg tb¢ finAnd4J st•t¢menti The flnhnciol staiements of tlie ¢hlli'itable company, which is a publi¢ bBii¢fi( enlity uiidcr FRS 102, have been prqred in accordance with the Chariiics SORP {FRS In21 'A<couniing aiid RewrtiDg by Cliai'iri¢s= Sratcmont of Rccommei)ded Pr9Ctice applicabl¢ to Ihariti¢$ preparing their a¢counts in accordancc with the Finwicial Reponifig Siaiidard applicable in th¢ UK and Republic of Ireland (FRS 102} {¢fftctivc l January 20191,, Finalicial Reporiing SiandaJYi 102 The Finaiwral Reporting Standard applicabl¢ in tlic UK and Republic of Ir¢land' and dic Cornpttnits Act 2CO6. Th¢ finaiKial stat¢¥nenis hav¢ bccn prcplred und¢L th¢ hisroriul cost convaitioii. Intom¢ All sncomc is reco¥ni8ed in the Sr8ien)ent of Finanei81 A1Vill¢S once ilic ¢hHrity has entiilemeni io fvnds, il is probabl¢ that thc ill¢on will be ee1Ved and thc amount ran be mra$uTfjd rpli&bly. Expel1thre Liabilities are r¢cogni$ed as ¢xp¢ndilurc as soon as thcTC 1$ a Ic8kl or con$trueiivc obligation commiiiillE the charity to that expendimre. it is probable thal a transfei. of ¢coDomic b¢iicfits will b¢ r¢quiTed in setilemeni 2nd the omoiint of tlic obl1atiOn cali bc Iwsud r¢liab]y. ExrKndiftire is aceounied for on an accrual8 bAsi5 8ThJ has bcen clossificd undcr hc&din8S that all cost iElatcd to thc catcgory. Wlwr¢ Cosrs unno¢ be dirc¢t 8uributed 10 particular headiii85 thcy havc be¢th allocat¢d to activitics on a basis ¢onsisteni with the use of TgnRlble fixed 8$5ets Dq)re¢iation is provided at the followtiig winual rcs in order to vThitc off ¢a¢h dSSCt ovei. its esliniated usethl TsxgttoD The charity is exempt from coTwration thx on its ¢harirabl¢ adivitie& Fund accountt# u11$triL*td fiiiids tAn be used in ieeordancc wtth Ihc charithble objectiv¢& 41 the discrciion of thc trusttcs. Rcstricted fLmds can ot)ly bc us¢d for porticylar we5tri¢ted purposc¥ withitl thc object5 of th¢ ch4rity. Resrrictiortg arise vA)en specified by tlic donor OT whEn fvnds are rdi$cd for panicular resrricied purws¢s. Furth¢r¢xplanation of thc nature and purposc of ch fund is included in the uote$ to th¢ financi 5tatrm¢nts. Hire purchase and lelslng commitmtnts Reiitals paid Lukn opcrdung Icascs arc charged to thc Sl8t¢m¢nt of Fli)wi¢lal Acciviries on A StrN¥8ht liiie basis ovtr the p¢riod of thc le¢. NET INCOMEI(EXPENDITURE) Nci Incomellexpendiiurel is ststcd a(ter char8tn81(crtdilii)g)'. 30.6.23 30.6.22 DepTcciaiion- tswn¢d assets Oth¢r opcrating leases 9,510 9.435 7,712 12,717 Pag¢ 5 continukxt...
Hvmon Youth Pro ¢ct Notes to die Financial Stai¢ments- for th¢ Year End¢d 30 Jiin¢ 2023 ntinucd TRUSTEES, REMIINE114TTON AND BENEFITS Thcr¢ were no crustees, remunerdts or Otr bcncfits for the year eTrJed 30 June 2023 nor for the ycar cndcd 30 June 2022. Trusteeg, cen$c5 There were no trwiees, expenscs paid for tli¢ ycar eDded 30 Junc 2023 nor for thc yL%f CL1dcd 30 June 2022. COMPARATIVES FOR TRE sfATEMENT OF FINANCIAL A1vIT[Es Unr¢srrieicd fund INCOME AND ENDOWMENTS FROM Donations and Icycics 137,423 EXPENDITURE ON Raising fid5 150.366 NET INCOMEI(EXPENDtTURE) 1119431 RECONCILIATION OF FUNDS Totsl fuith brou811( forwllTd 4R.895 TOTAL FUNDS CARRJED FORWARD 35.952 TANGIBLE FIXED ASSETS Fixtiw Jnd rittinBs Cor]iputCT Cqulpnnt Totals COST Ai l July 2022 Additions 93,954 6,091 2.095 90.049 6.091 At 30 Jun¢ 2023 100.045 2,095 102.140 DEPRECIATION At l July 2022 Chargc for>w 61.978 9.395 1,633 63.611 9.510 AI 30 Jwie 2023 71,373 1.748 73,121 NET BOOK VALUE AI 30 June 2023 28,672 347 29.019 At 30 June 2022 31,976 462 32,438 PayF 6 contimKd...
Hamion Youtl) Pro cct h Firthiici&l Si*ements- Coniimi¢d for thc Ycai. Endcd 30 Junc 2023 MOVEMENT IN FUNDS N¢t movcm¢nt iii fid$ A¢ 30.6.23 At 1.722 Unre$tt4cted funds Gen¢ral fimd 35.952 4.568 40.520 TOTAL FUNDS 35.952 4.568 40.52 Net movcnxnt in fid5, includ¢d in the above ar¢ as follow5: Incoming rcsourccs ResL)W¢¢S CXPLiidcd m0vent in fvnds Unregtrlcted fund5 General 142.357 1137.7891 4,56% TOTAL FUNDS 142,357 137,7891 4,568 Comparatlves for nW¢Ml In funds Nct movcmcnt in funds Al 3Q.6.22 At 1.7.21 Unre5trS¢ted funds Gen¢ral fund 4&R95 112.943) 35,952 TOTAL FUNDS 48.895 112.9431 35,952 Coinparativc i?ct movement in lid5 irlUded Tll Ihc above are as follow5.. i¢oininb sourtt4 Rcsourc ¢xpet)d£yl Moveiiicnr iii fun(ts Uren¢t¢d fvnds Gcnffol fjjnd 137.423 11 $0.3661 {12,9431 TOTAL FUNDS 137.423 (1SOJ661 112.943) P¥ge 7 contitmjed...
Harmon Yonth Pro ccl tatemcnis- continued td 30 June f rth Y rEn MOVEMENT IN FUNDS- contlnped A ¢urr¢i)i year12 month aiid PriOT yur 12 TThMlhs combi1 position 18 as follo- Nct movemcnt infits At 30.6.23 At 1.7.21 UnreJtt4¢ted funds General 48.1395 (8J751 40.S2n TOTAL FUNDS 48,895 (8,375) 40.520 A curiEn¢ yw 12 months aiid prioT al 12 tnthS ¢on)bAA¢d net movcnKnl in fund& included in the are as follow5.. InmIng r¢sourc¢s Rcsourcc5 eXpIded Movcment in fvnds Uurestricted thnds G£3[ 279,78U {288.155) (8.3751 TOTAL FUNDS 279.780 (28&155) {8J751 RELATED PARTY DISCLOSURES There wer¢ no l&l¢d PaTiy Iransaelits for the ycar cnded 30 Jun¢ 2023. Page 8
Hai'mon Youth PTO Dctailed Star nicjit of FinaneiAI AlrI rtded 30 Jun 2023 30.6.2J 30.6.22 INCOME AND ENDOWMEKrs Donatlons and legBd ultrACted fvnd5 Re5trict¢d fur 47286 95.071 61,184 76.239 142J57 137,423 Totsl IncomJD% rerr¢S 142J57 137.423 EXPENDITURE Support ¢osti Man*gement S¢&Eion workers Kickstart wthges Othcr opcrating Icllses In5urancE Lighr and heal Telepl)onc Poslagc and slalioncry Sundri£s Moior expenses Rq)airn and rencwals Food FixNres and fitiings Compwer ¢qDipment 77,209 18,812 9,435 1,237 2.094 5.006 434 .599 4.092 6.442 64,590 35,755 12,717 1,408 9,264 4,134 256 2.78n 4.950 6.285 9,395 115 7.597 137.221 149,851 Fin#nee Bllttk eharges 568 515 Total r¢sourets expended 137.789 150J66 Net Ineomel{oxp¢nditure) 4.568 (12.9431 ils page does iiot fomi part of the stsbjtory financial s(a(cmciits P3g¢ 9