HWHC LIMITED
TRUSTEES. REPORT AND UNAUDITED ACCOUNTS
30 APRIL 2022
Rogistered Company: 06893067
Registsred Charity: 1129592
*A8DIVFOK•
2PJ09r2022
COMPANIES HOUSE
#140

HWHC LIMrrED
REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2022
CONTENTS
Pa
Referen￿ and Administratave D8lails
Trustees, rep￿t
Independent exominerfs rewl
Stat•mont of finanoal adivities
Balance Sheèt
10
Statement of Cash Ilcv
11
Notes to the finanoal stateM￿ts
12-16
Detailed Statement of Finanaal Ac*ivibes
17-18

HWHC LIMITED
REFERENCE AND ADMINISTRATIVE DETAILS
Company wistration number
CW93C
Charity registration numter
11295¥2
Other n•ne cl￿rity known by
Hampstead & Weslminster Ho(*ey Clubllhe'thb.)
The Board ofTruslees
Mr G O Ra*in
Mr R J Sykos
Miss S L Gelling
Mr KA Murphy
Mr R A ja￿￿5
Pr1r￿1pal at*Jress
R•sen¥oir Cottago
Mount Vivw Rogd
London. N4 4SP
Bankers
Uoyds Bank
Great PO￿and Street
Lmd
Independent examiner
Mtyi Asso¢rate5
6 Swngfield Road
GrOOm￿dge
Tunbridgg INdls. TN3 9RE

HWHC LIMITED
TRUSTEES, REPORT
FOR THE YEAR ENDED 30 APRIL 2022
Structuro, Govemance and Management
The organisation is a charitatAe company Innited by guarantee. irthrporated on 30 April 2009 and regTslered as a
charity on 13 May 2009. The c4)mpany ¥ras esta1￿1She¢j under a Mewrfxandum of AssorAalion whith eslablished the
objects and powers of the tharitabb o)mpany and is govemed under ils Arts'des of Assoe4ation. In the event ofthe
company boing wound up members ¥e requir¢d to contribut8 an amount ex¢eeding £10.
The di￿￿orS of the LX)mpany are 81$) c*anty Injstees for th8 Kxffposes of tharity I￿. The caub is c￿ntrOlled by
Board of Directors, who are re4le¢i¢d annualty at the AGM and whith d¢l¢gatg day-to4lay operabons to
management committee.
Objectives and actlvitles
The o*'e(Aive of ¢*arity is the Kyomotion of Lx)mmurnty P8rb"opabon in f*althy reueat￿n by the prowsion of
facilities lor tho playin9 of fwk•y. This ind￿je$..
Fxilitating ￿rti￿pa￿'on in hoc*6y at all levels and ages Lwjth sexes. arwj encouraging aTrJ dèveloping a
high physical ar￿ m¢xal starthrd in FAayer5'
Encouraging and devdoping I￿[eY in Lond￿.
Providing Irainir¥J opportunib.es lof instrucb.on of ￿aYIng hcthy, eoath'ng and Lmnpiring I￿￿Key., and
Cwperating vAh England Hockey in ￿ prowsion of FAaytng and other facilities for the gam.
Hampstead and Westminster Hoc*ey Club was sel up more than 1Q) years ago in 1894 sir￿£ then has
851ablished itself as a signifKaM hockey Presen￿ in ￿ntral LcrfNlon. reguhqrfy fuming 19 adult teams each week
encompassiNJ all levels of ability {national league to local and regional leagu0$1 and induding three veterans teams.
One of the main day lo day athvitl8s of If* dub 1$ to supwt ar•J ￿￿￿note this vride divwsty of hockey involvement
and balancing th8 needs of all the teams.
The dub seeks on the one hand to SUPFQrt the highest ath￿￿ng teams, and by d(Mng so lo attract the best coathes
and playefs. allowng their skJ"Ils and expenerte to be of benefit lo tr* rest of the ar#J the work yourE players
from the wider (rjmmunity. At the same trne. players aTra c¢athes atta(*efJ lo dub run hockey s&s￿On$ for
young or nawly interesle(I players from Ihe I￿[ a￿8 to ty *>Jt and davelop their hockey interest in an infornal way.
The dub plays most of its htxkey on the Ic￿1 authority ovmed ¥trf￿"8I pitches at Paddington Recreation Ground. for
ith il pays rent to Westminster Councgl. The club has a vested interest lo work the l¢xal authority lo ensure
that the faolrties provided are fit wrpose. 9) that not cfflly the memters of the dub Ixrt also the wd¢r local
community users benefit. The dub works ￿th Weskninstsr C￿nCIlI0 cainsid¢r ways in it ean promote these
8sXivi*es, for Instan￿ with linknng with local S￿￿￿1&
On a c¢ntsnual basis, the dub 8ncourago$ its own members lo parb¢ipate in coathing aThJ ￿￿piring. ￿ th& dub
funds players for ￿a¢￿ing qualffic8ts.ons and umpiring qualificab.ons as appropriate.
The club actively work5 With Engkgnd Hc¥*ey lo seek out opp)rtwikn'es and ways in which il can promote tha
game of hockey and further EngL4nd H￿keyS naticfftal objeth.ves in the ￿traI London area.
Achiev•m•nts and PerfoTmance
The dub goes from sirenglh to Stron￿ both on and off the fieha. Followffj the success of our Mens 1 s first foray into
European hockey comFelition in 2021 they wwe able to rolum in the 21r22 seas￿, again wfom)ing well although
not able lo qualify for the final knoc* out stages at E05ter 2022. The L*ie$ 1s ewalthed for Europe for the first time
following their second place finish in the Premier Leawe t• ￿s￿ng th* ￿ dub wil again b8
represented in iniemalional mmpetitson this criming seasw.

HWHC LIMITED
TRUSTEES. REPORT
FOR THE YEAR ENDED 30 APRIL 2022
Intemalional success was also experienced by a numt*r of dub players. from representing ong of the home countries
as well as South Africa in the Pro Leag￿. European ch￿FH0nshlps a￿j the Comm¢)nweallh Games alongside
players al Wdnous age groups. playing intemab.onal Masters hockey for the fKxne nations the 040s up lo and
induding the 070s.
The charity has continued to monitor perf￿￿CeS against its objeth.ves this year lo provide wide-r8rtrJ4ng
opportunikn.es for the partic1pati￿ in h¢xkey both full-time dub m￿bèr5, ¢X£a￿onal players. and for an increasing
number of young people fr￿ the local o)mmunty. Hmver. the main fc￿$ has of n8cessty been to ensure ￿th thè
finanaal se¢urily and Ihe se¢)Jrity of hockey f￿lItieS of the ￿￿) sJth that hockny wovision and will rnntinue to
provide opportunities for all age groups aThJ abilib"es.
The dub successfijlly ran 19 adutt teams and 28 junior teams in 2021r22, which covwed all playing abilrties. It is
anticipated Ihat %milar levels of hockey pro¥ision v*ill continue as the 2￿2r23 se￿n 0)mmen￿$ frtyn Septemb
2022.
Both the Mens and Ladies teams continue to meet th￿r pthnTrance tanjets henc* enabliro the dub io ￿ntinue lo
improve itsjunior hockey offenng throu￿ the of fmgh qualty o)athing by the p&Yornance g]uad memters.
Memb8rship and Partlclpation
We have approxrmately 4W paying a￿11 dub memters., of 55 are slud8nts ¢x po0* not ￿rro￿lY in
employment and up to 30 players have a regukqr Wue nJrF(MJt cn behaff of the Supervets and Grand masters.
Members pay gjbsrytions via the th'red debrt systems to streanline and %mplfy Ihe process for all parbes, in
order to ensure that we remain as affofdable as p)ssible. now offer subsuption payments monthty dirècl
debits spread over 6 rn￿thS to our menkners.
Our WTdef dub netsvcfk ig exiensivg, and thg reath of our n￿letter5 gK) out to 1C(JO+ v#hth comprises a mix of our
members, alumni and pare￿S of junior ￿0Yers. Our rec¥uitsnent over the last couple of Yea￿ has been so Su￿Ssful
that the core section of the dub was filled to r*ar capaaty wth great su￿sS in atlraL#irYJ new members who have
newly moved to Lon¢S)n from other countries. There is room fof grcAth wthin the teams ol play1ng members and we
are ac*vely retyuiling new membws to the o)re dub to strengthen team numbers I*￿'ng tho ts)mpeb'ts've seawn.
We conts.nue to promote Veter￿ hockey wth an aim of retaining existing members and reryuiting members
sh lo o)ntinue playing hockey wth peO￿e of Iti￿r own age groups. We ojrrenljy njn rn￿)5 veterans {over 40's) and
'supe¢ veterans {over 50.51 teams and a 'Grand Masters, lewn for the over 60's in the London League. In addition. the
women's veterans team have a squad of e￿$ting members aThJ histcfjcal tyayers vtho have been attracted bad( to th8
dub to for occasional sorial and Engl￿d Hodtey ojp ganes. We ¥6 also nJmiNJ mixed teams that are
LYJmpets"ng in the England Hct*ey cOM￿ts11c￿.
Junior Develowient
Hl4WHC Jun￿ membership is c¥ppod at 6(Kl players frc¥n age 5 to 18. otx main constraint being access to
Jitable hockey faalilies. We have a waitsng list of arwrvj 20) juniors. demon*rating the level of demand fcf junior
hockey al all age groLVS.
49 players from U12 - U18 gained county r8cs)Jnition. seven Oayers vftre selecled for Perfonnance Cenlres and one
for England. The playing perfornance highlight were the U16 boys V*hJ gained promots.on lo Tier 1 and were runners
up in the Tier 2 natsonal ￿Jp.
The dub pro￿ded five teams in London Ycwth Gam&s. oflhwn reathing th8 finals.
Club ￿rfornianc8.
The dub embraced re￿rn ¢* a full seag)n in 2021r22 and ￿nts"nUed sU￿￿S 8t the lop end of the
dub.

HWHC LIMITED
TRUSTEES, REPORT
FOR THE YEAR ENDED 30 APRIL 2022
The Ladies 1st Xl finished secmd in Premier Divis￿ ofthe National League. th8 top divi￿On in dub hockey in
England and their best evgr PerfO￿anCe whith resulted in them walifyirKJ for EU￿pean C￿MpetitiOn in 2022r23 for
th• first liiio.
The Ladies 2$ finished mid lable in the National League conferen￿ th'vi&on.
The Mens 1st Xl erM1ed 4th in the league, ￿other L¥edItab￿ F￿)￿nance alth¢￿gh noi enabling to qualify for
Europe. They did however compete in the EuroHcKkey league in Arrtwerp in O¢*ber 2021 then subsequenlly in
Barcelona in April 2022 as a result of their performances in the prior yeafs, where Ihey narrO￿Y lost at both events to
Mannheimer before wintng Ihwr subsequent rnatthes a3ainsl a mixturg of Irish, and East European &des.
The Mens 2$ h•Y a g￿d first season in the National Lèag￿ division. Trhthere after a slow start tlw ended
up mid table.
The I￿ntinued suoxs of trf)th seclions of Ihe dub was highlighted ty Ihe numbor of play•ts W¢fe sèlected to be
part of the Commonweanh Games in 8irningh8m in JulylAugust 2022. ArcNJnd 15 players from the dub partiopated
. with Holly Hunt, Gra￿ Balsdon and Lily *inning gold m¢d*s playirwJ for EngL•nd Women and Wll Calnan
winning bronze for England Men.
The rest of the adult play wthin lh8 orea of Er#Jland Hockey. We had fve Ladies Sides all of whom
retained their pjsitions in their respecaive leagues, with one highligrrt being th& intewtion of 15 juniors into thg Ladies
sidgs. There were nine Mens teams. sx in the adult leagues and three in th8 Masters I V8tffans sects"ons. The Zak
Honds were promoted ￿thoUgh ended up replaL?ng tl* Mens 3s ￿lo￿n9 IM"r relegation. Again. th8 Men were able
to integrate a number of juniors through the use of a o)lts team wf*re a number of adult rnembers played al￿Side
the juniors.
Future develownents:
A$ the 2022123 s¢as¢n approa¢he$ thg dub o)nlinu¢s to f¢￿$ on tho r*ed to havo loroer temi seamity over its
facilities. Westminster Ctrjnai ojntinue to supwt the dub aThJ we are fortunate to have use of a newly laid water-
based pitch at Paddington Recrnation Ground in Mada Vale. UCS 1$ an imF¥)rtant second iilch that 15 used regulafty
for dub matches, junior sessions and dub training. We have also agreed to SUPFrtxt Mill Hill sc*ool develop a junior
programme njn by HWHC and in relum we will have the a)ility to use the t4WJ t￿Y at the Scho￿ whi
gives us more ￿rtaInty over faalikn.es that we Can use.
Last y8ar we reported that we were (Th of a wup of dubs that we wwe in the pyocess of gaining amurtation from
England Hoca(ey lo become a Junior Talent Centre. We are delighted lo conffim thal Y￿ have compleled our Year
1 accreditation such that we are rrf)w recowised as an Er¥Jl￿d Hockey Talent Centre for 2022.
In addrtion we are one cl a small numtws of dth ar0￿d the ￿untry lo have been 4)wnted as a Junior Talent
Academy for the cerrtral ar¥J north London area *fiich is aimed at deve￿￿ng high perfomancg players in tho 15-18
age group. A small numt*r of players, 2S boys and 25 girts, wll be sdected and receive hw quality focused training.
some of whom will hopefvlly rewesent Ihe Club at the Ser￿Or leNpls in fU￿rfr.
Financial Revi•w.
ReseNes are needed to bndge the gap befvfftn sporKliro and ro￿1￿n9 of Trsouros and lo cover Lnplanned
emergen(ies and replacement of dub wl¢*es and I801￿"es. The finanoal strategy of the club is to..
Ensure that the athslt dub is largely seif4undiNJ thrw ￿bse￿pts"OnS malctt fees
To provide junior hockey that is afford*le for all. induding prowding scholarships or ￿angal gJpp)rt ￿re
needed, wPiilsl o)ntrilyJting towards the oNprall njnning ￿51S of the dub
Encourage top intgmational arKI tr)mestic I￿￿eY players into Ihe dth, wowding finanaal 5UPPQrt vhwe
needed in recognrtion of the o)st of INing in crf near to Central Lortd￿.

HWHC UMITED
TRUSTEES. REPORT
FOR THE YEAR ENDED 30 APRIL 2022
To rnise funding from donations aThJ sirnilar methanisms to cover the significant costs arising from both the
Mens and Ladies dub playiro at the highest level of domesiic hockey as well as withNI Ewope. the￿bY
ensuring that these costs do not fall onto the adult club sedKJn
And to ensure that those playets Trn ￿Ceipt of support from the club cOntri￿e bac* to the in fdrious
means, especially through PrO￿￿J￿g (x)aching to the junTh sedion as well as Some aduft training
The financial posilion ofthe dub reMa￿S a c*alleTrJe. given the s*JnrfKant dependency on donat￿)nS from a lIm￿ed
number of people who have been wiilNYJ to ensure that the aMbrt￿ns ofthe dub in seekiTr3 to be one ofthe top dubs
in the ￿untry are not ovety constrain&J by a lack of fvndiNJ. Such dependency does not wovtde any long-tenn
SeoJr￿Y offinance and as a resutt the c4ub has recenty annourtc&J the launch of the 1894 Club, designed to broaden
the number of peO￿e who are willing to wovmle regular fuThJwvJ to the club.
Early indThttons suggest that theTr is a willingness amDrwJst the rnembeTr. alurnni. parents of Junio￿ end ott*r
supporter3 ofthe chjb to pro4ThJe such fundiNJ- we are immensety apwecaati* of those who ha¥e al￿￿JY srjned up.
The results ofthe periryj are set out on page 9 of the ffinan(¥al stateTh*nts attacjjed lo this re&h￿l. The dub has made
a loss of£23.020 (2021.. k)ss 01 £2.497) for1he year whiL* reduL*d the existiNJ S￿￿U5 within the reserves to £8,999
(2021.. £32.019) to ￿ carr*d forwa￿ at 30 Aw'l 2022.
Tru51ees' responsibilities:
The trustees (who a￿ atso dire(*ors of HV¥WC Limled fty the purFQ5e5 of cornpany law) responsible for pTrparirwJ
the Trustees. ReFort and the financial staternents in acc¥>rdance apwble law and regulations.
Company Law requires the trustees to prepare financial statements for each fift￿(￿al year. Under Company Law the
trustee5 musl not approve the financial stateffEnts unless they are Satsf￿d that they give a true ar￿ fair view ofthe
state of affairs of the charity and of the incomNig resources arm1 ap￿t&￿10n of resources. induding the income and
expenditure, of the chaiity for Ihat peri(MJ. In wepariThJ these financial s&tsments. the trustees are required lo:
seletx suitable aco)unting polic4es and then apply them c4)nsisienty:
observe the methods and princples in the Charibes SORP:
make judgments and estimates that are reasonable arx1 pr￿nt.
stale whether applicable UK Accounting SlaThaanls ha￿ been followed: and
prepare the fnan(aal statements on the going con¢em basis unless it 15 inapprwiate to pre5urne that the
charitable cornpany will continue in twsiness.
The trustees are fesponsibts for keeping alewate accountiThJ records that are sufficient to show and explain th8
charity's transactions and disclose with reasona￿¢ accuracy at any lime the financial posiiion of the charity and
enable them lo ensure that the financ481 stalen*nts conwy with the Companies Acl 2006. They are also fesponsible
for safeguatding the assets ofthe charity and hence trtsking reasonable steps for the weventb)n and detedion of
fraud and other irregulwities.
Signed on behalf f Ihe l)oarrl
ykes
Trustee
7 September 2022

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES
OF HWHC LIMITED
I report lo the charity trustees on my examination of the aC£(￿lS of H￿c Limite(I for the year ended 30 April
2022 which comFxise the Statement of Financial A(*vitye$, the SUMM￿ Ir￿orne and Expendi￿re AccounL the
Balance Sheet, the Stalemenl of Cash Flcws and the rdated notes.
RMponslbllltl•s and b•sls of r•port
As the tnJste8s of the thaTity {and also ils dire¢*oTs for the Fxffposes of cx)mpany l&¥) you r8spon$ible for
the preparation of the accounts in acC￿rdan￿ with the requirements c¢ the Ccmpanies Aca 20C8 Clhe 2006
Adl.
Having sabsfied myself that the accounts of the charity are r￿t required to be audited Part 16 of the 20C
Act and a￿ ellglbl8 lor Independent examinatson. I report in respe(* of my examination of your charivs
accounts as cwried out urxler sed'on 145 of the Charities Aci 2011 Iyhe 2011 Ac*l. In carying out my
examinats'on I have followed the Direc*ons gvan ty the Charbty Cwimiswi under seth.on 145(5Xbl of the
2011 ACL
Ind•p•nd•n¢ •xamln•fs stat•m•nt
As the chantys gross Ir￿￿me exceeded £250.OCKJ your examirnr musl be a member of a body listed in section
145 of the 2011 Act. I C3)nfim that l am qualrfied to utNJertake the eXaMinatic￿ because l am a member of
Institute of Chartered AC￿Urrtants in England aThJ Waes.
I have completed my examinatiM. I can that rn material matters haN* oJn¢ io my aitention in
nneclion with the ex￿1n8￿.0n me &￿se to bdieve that
accountsng records werg fKIt kept in awdanc* seclion ￿ ot the 2(Kfj Act ". or
th8 acmunts do not ar￿d those r¢oJrds', or
th8 ￿Counts do not comply with the accounting requiromèr)ts under seth.on 3% of the 2CQ6 Act other
than any requirement that the accounts give a'l￿￿ aTrJ fa* viww wfMct* 1$ not a matter considered as
part of an independent examinalicfi", LY
th8 aclxunts have not been prepared in accordance with Ihe Charities SORP (FRS 1021.
I have no concems and have C￿ne acfoss no other matters in cJ)nw*on with thè examin8tion lo which
attenti1￿ Should be draw￿ in this report fft order to enable a propw Undèrstandi￿ of the a(￿Mjnts lo be
reached.
Matthew Lawson ACA
7 September 2¢Y22
Magi Associates
6 Springfield R¢)•J
Groombridge
Tunbridge Wells, TN3 9RE

HWHC LIMrrED
STATEMENT OF FINANCIAL ACTIVITIES
(Incofj>oratlng an kncome and Expendlture Accowrt)
FOR THE YEAR ENDED 30 APRIL 2022
Re*rfcted
Funds
2022
Total
Funds
2022
Tolal
Funds
2021
Funds
2022
Note
INCOME
Income frcxn..
Donab'ons and lega¢ies
Charitable activities
Other trading activilies
91.317
441,685
16.379
91,317
441.686
16,379
40,638
216.881
4.781
TOTAL INCOME
549.381
549,381
262.300
EXPENOITURE
Expenditure c￿".
Charitsble artiv￿a8
Other
$69,677
11724
669.677
12.724
254.410
10.387
TOTAL EXPENDITURE
572.401
572,401
264.797
Net M0￿m•D¢ In fund¥
123,020)
123.020)
(2,497)
Balances bro￿h1 f(Thiard
19.394
11625
32,019
34,516
Transfer
Balances carrled fornard
(3,626)
11625
8.999
32,019

HWHC LIMITED
Registered Company Thjmber 06893067
BALANCE SHEET
AS AT 30 APRIL 2022
2022
2021
NON4URRENT ASSETS
Tangible r￿ed assets
CURRENT ASSETS
Debtors
Cash at bank and in ha
11.861
58370
9,957
91,708
ni,131
101,665
Credttots: amounts falling due
within one year
NET CURRENT ￿￿ETs
10
(61.1321
(69,646)
8,999
3ZO19
NET ASSETS
8.999
32,019
FUNDS
Restricted funds
11
11625
12,625
Unrestricted funds
General lund
11
13.626)
19,394
{3,626}
19.394
8.999
32,019
These aC￿UnIS have been prepared in aCCo￿ance with the spe(?al proNisions of Part 15 of the Companies Act 20(
relating lo small companTes.
For the year ended 30 April 2022 the cx>mpany was entiued to exetyion urthrseaion 4T1 ofthe Comp8nies Act
2006 relating to srnall corrpanies.
The Mernbe￿ have nol ￿qUIr￿j Ihe cornpany to obtain an audil ￿ a(x(Kdance wilh se(Xion 476 ofthe Conynies
Act 2(￿.
The d[￿¢t0￿ acknowledge their responsibilities for complying with the rquKements ofthe Companies Act 2006 with
respetx lo accountr￿ reca)rd5 and the pTrparati(Jn of a¢¢ounts.
Approvthl by the board on 7 Seoember2022
And signed on ts behalf
RJ. SYKES. Trustee
7 September 2022
io

HWHC LIMITED
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 30 APRIL 2022
2022
2021
Ca*h flowB from operatlng actlvltles
Net (expendltur•ylncom¢ per Ststem•rt (rf Flnffi¢i•l AthAi¢s
(23.0201
(2.497)
AdJu$¢mnts ft>r.
Depreciation of proFerty. planl and equipment
Oe¢xeaselllnc*easel in tradè and otr￿r re￿1Vable5
Inuease in trade and other payables
1.824
4, T55
25,306
{1.9041
{8,5141
Net cash provlded by owrallrvJ actfvlt￿S
133,4381
29.388
Net Cash from Invmllng acllvltles
Net cash from financlng actlvitks
Net Increa￿ In calh arnl cash equlvalents
{33,438)
29.388
Cash and ¢ash ¢qulval•nts at the btylnnlng of th• y¢•r
91.708
62.3
Cash and ca8h equt¥alents at the end of the year
58.270
91.708
Compomnts of cash and ush equlvalents
Cash and bank balances
$8,270
91.708
58.270
91.708
li

HWHC LIMITED
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2022
ACCOUNTING POUCIES
1.1 ￿UtOry Inforniati¢)n
HWHC Limited is a cl￿ritable Company limit&1 by guarantee arKI is in￿rp(￿a1ed in EnglaTrJ and Wales.
The rngistered offic• address and wnLipal pLqce of b￿neSS is Resetboir Cottag•. Mounl View Road,
London. N4 4SP.
12 Ba81s of accountlng and proparatlon
These financial stste￿nts have been prepared undw tts histon(a cost (x)nvention and in accordanc4
Y￿th the Finanoal ReportifVJ Slandar(l applicabb in the UKand Republicof Ireland (FRS 102}. The Charity
is a public benefft entity for the pwposes of FRS 102 and Iherefcre has also prepared tho finanool
statements in accordanc£ the Statement of Re(%)mm￿1ded Prath"￿ aFpIl￿ble to tharities preparing
their ac£ounls in accordan￿ V•ryth the FinaThJal Reporh"rKJ Stsndard apF4ThUe in Ihe UK and Republic of
Iroland {The FRS 102 Chanties SORPI and the Chanties Aci 2011.
The trustees have assessed whethwthe use ol the wrKJ LxjnC￿ ba&s is apFwnale and have ￿nsIdered
possible events or conditions that mighl cast ￿nfficant doubt on the abilrty of th8 Charity lo ￿ntirtUe as 8
going conc4rn. The tnjstees have made this assessment a period of al least ono yoar the ¢Jate of
approval of the financial stateménts. After mth.ng ewuiries the trustees have ttjnduded that there is a
reasonabl8 expe(lation that the Charity has adequate r8SOWCeS to cJJntinue n operational existence fcf the
fo￿seeable future. The CharFty therefc¢e contnues to *Jopt the going coneem ba&s in preparing its financial
statem•nts.
1.3 Income
Income is accounted fty when il is ￿￿0b￿8 that the income v*ill be rgceived. aKI th• alr￿Unt can t
measured feliably.
1.4 Expendlturn
All expenditure is ￿)Unted for on ￿ 8ccrJals bass has twi dassified undgr headings Ihal
aggregate all costs related to the cateo)ry.
1.5 Debtorn
Trade and other debtors are recognised at th8 setuemenl amLyJtt due. Prepayments are v8lu¢d at th6
amount prep
1.8 Depreclatlon
Depreoabon is providwj at the follwing ￿nUal rates in ￿der lo vniie off the cost of •ach assot over rt$
eypected useftl life:
Fixtures. frttings and equibjnent
25% sirawt line
1.7 Crndllorn and provl•lons
Creditors provigons 8r8 re(xonised the L*anty has a wesent obligath.on regjlting from a past
event that wll probably fesult in the transfer of lunds lo a third party and th8 amount thje to settle the
obligation b8 measured or ests'mated reliably. Creditor5 prowgons are rerngnised at
their setvwnent amount aftw allo4¥W)g fty ary trade discounts ¢￿.
1.8 Flnanclal In8tNm•n¢8
The cyjmpany has de(aed to apply the W0￿￿0n$ of Secbon 11 'BaS￿ Finanoal Instruments, and Section
12'0ther Finane4al Instrwnents IssJJe$' of FRS 102 to all of ils finanoal instruments. Finanaal instrumènts
are reo)gnised in the ￿MpanY'S baler￿ sheet when the cxynpany bect)mes pwty lo Ihg conlractual
prO￿S1on5 the instrumgnl Financaal assets and liabilities are offset. the ngt amount$ pre¥entsd in
the finanoal statements. thefe is a legaly enforLxable nghl to set off the recx)gnised amounts and
Ihere is intenb'on to sewe i)n a net l)ass orto reali58 the asset and settle the liability ￿MIlIan81)us￿.
12

HWHC LIMITED
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2022
th thg •xc8ptyon of any prepayments and deferred inc4)m8. all debtor armj tteditor balanos are
Jnsidered lo be bagcr￿anaal ￿strU￿nts FRS 102.
1.9 Fund acCO￿lI1n9
Unr¢stri¢ted fiJnds are available fc¢ usa at tr*e disueb.on of the trustees in fiJrthoranct of the general
objedives of the dub and which have not desTgnated for other purpo$8$.
Restricted funds are funds whith have been raised for parti¢wlar purposes. The aim and use of
each restrided fund is set out in the notes to the financaal statemenls.
1.10 Areas of critical Judgement & estlmatlon
There are no key assurnplions conceming the future and olher key sources of estimation uncertainty at
the reporting date that have a signffje4nt risk of cauwg a maierial adjustrnent to the cary5ng amounts
of assets and liabilrties ￿thin the nexl financial year.
INCOME FROM DONATIONS AND LEGACIES
Unr•stricted
Funds
2022
Total
Funds
2022
Total
Funds
2021
Fund8
2022
Donations
91,317
91.317
40,638
91.317
91.317
40,638
INCOME FROM CHARITABLE ACTIVITIES
Unrestrlcted
Funds
2022
Restiicted
FuThJs
2022
Total
Funds
2022
Total
Funds
2021
Subsc¥iplions and matth lees
Fundraising
Emergency fundrai$iThJ
Junlor c8mps and o)aching
287,903
21,345
287.903
21.345
136,222
3.800
23.823
&3.036
132h37
132837
441.686
441.686
216.881
INCOME FROM OTHER TRADING ACTIVrnES
Unrestricted
Funds
2022
Tolal
Funds
2022
Tot
Funds
2021
Funds
2022
Player support contrityjlion
Other InC￿e
400
7.979
4. 775
7,979
16,379
16.379
4.781
13

HWHC LIMITED
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2022
EXPENDITURE ON CHAIIITABLE ACTivmES
Total
2022
Total
2021
Charitable a(Xiwties
Governan￿ c£*sts- Independa* eXaMin*￿n
668,427
1.250
668.427
1,250
253,210
559,677
559,677
254.410
OTHER EXPENfMTURE
Total
2022
Total
2021
Premises ￿$ts
Depreoation
A￿ountancY
1.472
1.472
331
7.824
1.760
9,502
1.750
9,502
6.582
12.724
12,724
10,38r
EMPLOYEE ANO Key MANAGEMENT PERSONNEL
The tnthes did not remunerati￿ for th&r servi￿5 ¢n the year.
TANGIBLE FIXED ASSETS
FIX￿r¢S &
flttlngs
Total
Cost
At 1 May 2021
Additions
7,296
At 30 Awil 2022
7.296
Deproclatlon
At 1 May 2021
Charge for year
7,296
At 30 April 2022
7,296
7,296
Nel Book Value
At 30 April 2022
At 30 April 2021
14

HWHC LIMITED
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2022
DEBTORS
2022
2021
Prepayments and &LYued inojme
9,957
11,861
9.957
10. CREDITORS: amounts falllThJ <kni *lthln
One year
2022
2021
Accounts payable
AcLTuals and deferred income
Other creditors
2.893
66.549
204
60.661
471
61,132
69,646
11. FUNDS
Balance
Balance
Incoffle
Expgnse
Transfvr
Restrlcted lunds:
se0￿b￿*d furh1
Other
8,075
076
4560
11625
11625
Gen¥al fund
19,394
549.381
1572.4011
13,6261
Total funds
31019
649,381
1672.4011
8.999
Other fvnds relate to I￿10r equipfftht and ￿aYor
12. ANALVSIS OF NET ASSETS BETWEEN FUNDS
Unr•strfcW Rfj8trfct•d
Funds
Funds
Total
Nel current assets
(3,626)
12,625
8,999
(3.626)
11626
8,999
15

HWHC LIMITED
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 APRIL 2022
12. RELATED PARTY TRANSAcnoNS
Thè dub provides 8c£ommodalicffl support to key ￿ayerS and coathes who would ot￿￿￿"se find it difficjjll lo
relocate lo and live in ￿ntral Lon(knn. A(xJrdingly. the dub enters into renta5 agreements certain
properties to enablè this to happen. In relum ￿ayerS arKI coathes will sometsm•$ make a eonlribulion towards
the rental costs as well as uimmitting to prowde c<>athing w(Yt to Ihejunicr programmo or to some of Ihe
kn¥er adult dub &des.
One such propety rwled by the club is owned by a Oirector and trustee of the dub. The rental agreement is
based on a cost retmbwsem￿I bass and hffico 1$ ¢Jinsderably below a market rental for the property. Costs
incajrred by the dub under this ag￿efflent whith was enl6Yed into in Juty 2016 were £16,2￿ in 202212021..
£8.1LW)I.
13. STATEMENT OF FINANCIAL AcThnTIES- PRIOR YEAR
Total
Funds
2021
Funds
2021
Funds
2021
INCOME
Income from".
Donaljons and l•gaue5
Charitsole a¢Xiwti"es
Other trading incAime
36.638
216.881
4. 181
40.638
216.881
4,781
TOTAL INCOME
258.3
262.3CIO
EXPENDITURE
Expenditure on..
Charitable adivitses
254.410
10.387
254.410
10.387
TOTAL EXPÈNDITURE
264.797
264,797
Nel {expendtturnVlncomg
(6.497)
(2.497)
Tmsfers tsetr￿en I￿1￿
Nel mov•monl in funds
(6.497)
(2.497)
Re¢onclllatlon of f￿08.
Total lunds brought fop•R
25.891
8.625
34.516
Total fwmls ¢aft5￿ fonya
19.394
12.625
32.019
16

HWHC LIMITED
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 30 APRIL 2022
Unrestrlct•d
Funds
2022
Restrfd•d
Funds
2022
Total
Funds
2022
rolal
Funds
2021
Income and endovfflients from:
Donations and legaoes
t>onation$
91.317
91,317
40,638
91.317
91.317
40.638
Charitable adivities
Subscriptions and matth fees
Fundraising
Emergency fundraisng
JUn￿r tamp$ and coaching
287,903
21.345
136.222
3.800
23.823
53.036
21,345
132.437
132.437
441.685
441.685
216.881
Othor trading a¢tivities
Player support cnrtn"bution
Other inmme
8.4CA)
7,979
8,400
7,979
4, 775
16,379
16,379
4.781
Total In￿me and endowments
649,381
S49,381
262,300
Expendture on:
Charitable a&l￿be$
Playing, ccAthing and player 4wort
558.427
558.427
253,210
558.427
558,427
2&3,210
Governan￿ (xjsts
Indep8TrJ8nt eXam1T￿tion
1.250
1.250
1.250
1,250
1.200
Total expend￿￿0 on charftab
actlvltlgs
559.6TI
659,677
254.410
General administrats.ve ojsts, incJuth"rwJ
depreoatson and amortisth'on
Accountancy and bookkeepirKJ
Bank charges
Cleaning
Depreciation
In$uranc*
IT costs
sub￿p￿￿$
Sundry 8xpense$
1,750
1,750
1.650
1. 128
331
1.824
1,652
3.440
36
326
1.472
1,472
4.217
3,254
27
4,217
3.254
27
1,043
17

HWHC LIMITED
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 30 APRIL 2022
Telephone, fax al￿ broadband
Total of oxpendlture of olher costs
12,724
12,724
10.387
Total expenthlure
571401
572,401
264.797
Net {•xp•ndlturnVlncome
123,0201
123.020)
(2,497)
Net movement In funds
123,020)
{23,020)
(2,497)
R•coThclllatlon of fi￿￿$.
Total furKls brtyjght forward
19.394
12,625
32,019
34,516
Totsl funds canl•d forward
13,626)
11625
8.999
32,019