PELTON FELL COMMUNITY PARTNERSHIP
Cblldren's Play Area, Brocknvell Centre, Pelton Fell
ANNUAL REPORT FOR THE
FINANCIAL YEAR 202312024

Pelton Fell
Community Partnership
PFCP Annual report for 202312024
Chatr's Remarks
As usual the year had it5 Ups and downs.
A down was the need to use 3 substantlal proportlon of reserves to cover costs not met bv
unrestricted funding.
Ups were that thanks to the efforts of our Lead Youth Worker, Donna Brown, considerable
funding has been received to maintaln existlng actlvltles and start new ones. Of partlcular
importance was the commitment of 2 funders to provide some medium term grants (3 years
from 2023 to 2026) towards the core costs of the Centre (utilities, building maintenance,
staff etc.)
In addition usage of the Centre increased substantlally (See Sectlon IVI
This report sets out in more detall:
the activitie5 takin8 place at the Centre; and,
who has provlded the grant fundln8 to enable those activities to take place.
Sectlon Vl of the report outllnes the Dlrectors, vlew of the sltuatlon In the medlum term
The separate Independent ExamSnerfs Report and its accompanying Financlal Statement and
Balance Sheet Indicate how the funding that the Partnership has been able to generate has
been used.
However, it is of considerable concern that the Partnership is so dependent on considerable
external fundlng for Its activlties for the benefit of the residents of Pelton Fell. It is becomin8
clearer that future external fundlng wlll become harder to obtaln.
As such, the Partnership will need to develop its own independent funds if the service5 that
are avallable currently are to continue. To that end, it will be seekin8 the support of
residents and others living, worklng and visitlng Pelton Fell to contrlbute to its charltable
aims for the area and so help to continue the development of a successful and vibrant
locality.
Chair
July 2024
PFCP Board of Dire¢tOTS Annual Report for 202312024: as approved on 14. August 2024

Pelton Fell
Community Partnershlp
INDÉX
Page
Chair'.8 Rcmarks
Reference and Administrative Delails
li
Structure, Governance and Managemenl
Iii
Objectives
Iv
Iv.]
Activities, A¢hievements and Perfornmnce
Achieving the Firsi ChaTilable Objeciive
IV.IA 'I'he Management of Ihe Brockwell Centre
IV. l B Offer Educational, Employment and Vocati()nal ()pportunitiL
IV. IL Provide Support Groups and Leisure Activities
IV. ID Develop ICT Facilities for all ages
IV. l E Provide Health and filness Sessions
IV. IF. Focus for Children and Young people
10
10
io
IV.2
Achieving the Second Charitable Objective
IV.2A Representing local people
IV.2B Promotion of pcrp and the Brockwell Centre
IV.2C Recruit and Manage Voluniccrs
IV.2D A¥sist in the F.mployment of 1￿Cal People
IV.2E Emergency Planning
IV.2r lundraising
12
12
12
12
Financial Review
12
vi
Pla￿$ for the Future
13
vii
Statement of Public Benefil
13
ANNEX I
ANNEX 2
ANNEX 3
Grants. Assistance in Kind
14
Activities of the main Hirers of the facilities of the Brockwell Centre 15
Partners in the Provision of Aclivili¢s
16
PFCP Board of Directors Annual Report for 202312024: as approved on 14th August 2024

Pelton Fell
Community Partnership
Annual report for the Financial year 151 Aprll 2023 to 31st March 2024
on behalf of the Board of Dire¢tor$
Reference and Admlnlstr2tlve Detalls
Name of Companylcharity.
Pelton Fell Conmiunity Partnership,
Company Registration Number: 06846269 [13th March 2009]
Charity Registration Number:
1129699 [18th May2009]
Re8lStered under the Data Protection Act 1998 {Reg. No. Z3464157}
PrincipaVRe8iStered Address,.
The Brnckwell Centre. Craghead Road, Pelton Fell,
Chester le StreeL Co. Durham DH2 2NH.
Membership
1.6.1
Board of Directorsrrrustees
PoNition
01104123 to 19109123
19109f23 to 31103124
Noi
Chair
Mr& L, M•r•h411
Serv¢ till Sept. 2026
Vice chair
Mr. D. Slm
Mr. A. Dull
Mr. C. R .nDld
Sffv¢ till Sept 2026
Serve till Sept. 2026
Trea¥urw frum 17101r24
Serve till Sept 2024
. C. Re noldj
Mr. D. Slm ¥on
Mr. D. Slm Jon to 15111123
Other
Dirtttors
Cllr. Mr. Htnlg CBE
Cllr. Mr. S. K Henlg CBE
Mrs. N. Arm8tro
Mrn S-B Beetham
Sekve till Sept. 2024
Serve till Sept 2026
Sryve ti115(yt 2024
Save till Sept 2￿26
NOTES:
(i)
The Board comprising the Dirertors {indicuted in Bold abov¢} authori3ed the
signature of the Annual Report at its Meeting held on 14th AUg￿$t 2024
Where a name is underlined it sbow8 the Dir¢ctor is a 'rommuni￿, Director as defined
by Article 9.4 of the Articles of Asso¢iation. Mrs L. Marshall becathe a "ConllnUDi￿,
Director on 9. May 2024.
(lll) Karbon Holl￿ Ltd. and Durham Aged Mineworkers Housing Association can nominate
observers to attend Board mectings.
(ll)
PFCP Board of Directors Annual Report for 202312024: &8 approved on 141b August 2024

1.6.2
Members
As at 31￿ March 2024, there were 70 memkn.
During the year 2 ncw menthers were electcd and subscqucntly became DirectOT8 at the 2023
Annual General Meeting in September.
Senior Member of staff. Ms. D Brown, Lead Youth Worker
ReleV￿t Organisations
I)urham County Council,
County Hall, Durham DHI SUL
Durb￿ Aged Mineworkers
Housing Association
Karbon Homes Limited.
168 Front Stree( Chesfrr le StreeL Co. Durham DH3 3YH
Number Five, Gosforth Park Avenue,
Go8fortb Business Part
Newcastle upon Tyne NE12 8EG
Unity Tn￿t Bank,
Nine Brindleyplace, 4 Ouzells Squar¢, Birniin8ham Bl 2HB.
Indewdeni Examiner:
B. J. Strauglwi and Co, Epworth House, 7 Lucy Street,
Chester le Street, Co. Durham DH3 3UP
Solicitor:
Muckle LLF, Time Central, 32 Gallow8ate,
Newcastle upon Tyne NEI 4 BF
li
Structure Governanee and Management
11.1
Constitution:
Article5 of Association and Memorandum of Association
[Adopted 5th March 2009]
The Partnen>hip is a Private Limited Company
IJ.2
Orgawsation of Committees and meetings
The Board of Directors met in the months of May. July and November 2023. and, January, March
2024, Th¢ Annual General Meeting 2023 took place in Septcmber.
11.3
Existing Partnership Administralive Policies and pro¢edures are..
(A)
Code of Conduct {ReferenGc Al }' Confidentiality {A2}' ConAi¢t of Interest {A3];
Declaration of Interest {A4}, Reduction in Noise at, and dispersal fro￿ th¢ BTockwell
Centre {A5}' Public Interest Discloswe ("Whistleblower's Polic￿,) {A6}' Complaints
fronl tk Public {A7}.
(B)
Financial regulations {Reference Bl revised in May 2023 }' Expenses {B2}.
(c)
Equal opportunities including Rerniitment and Training {Reference Cl }' Harassment
PFCP Board of Directors Annual Report for 202312024.. as approved on 14" August 2024

{C2}. Volunteers {C3}; DisciplinAry attd Grievance Procedures {C5}: Director's Code
of Conduct {C6}.
(D)
Protection of children in Telation to E-safety {D3}.
Revised policy for the Protection of People {Reference D4A approv¢d July 2023) which
supercedes policies on Protsction of Children {Reference DI } and Protection of
Vulnerable Adults {D2}.
(E)
Health And Safety at Work {RefereDce El })' Reporting of Injuries, Diseases and
Dangerous Occurrenc¢s (IUDDOR) {E2}: Risk Assessment {E3)' Risk Ass¢ssmcnt
Overview for the Partnership's General Management Process {E3(i)}' Risk Assessment
overview for Activities at the Bro¢kwell Centre {E3 (li)}; Manual Handling {E4}: Lone
working {E5}; Smoking {E6}' AlcohoVDrng Misuse {E7}; Use of Closed Circuit
Television (CCTV) {E8}.
Dats protection {Reference Fl }.
ll.4
Serio￿9 Incident Report
In February 2024 a complaint was received and deali with under the Partnership'8 relevant
Pn)cedures and ¢ompleted in April, The nature of the complaint W88 such that it led to a rq)ort to
the Charity Con)mission in June 2024. The Commission was 8atisfied with the way in which the
Partnership had dealt with the matter.
11.5
Appointment of Directors
Directors are appointed in a¢¢ord8n¢e with the Arti¢les of Associatiory number.9 9, 11 & 12.
Tbe minimum number is 5 and the maximum 15. The majority of Directors Should be
"Community Directors"
In accordance with the Partners Agreement ending the Pelton Fell Neighbourhood Parthership
both Durham County Council and Bellway Homes have a righi to nominate a person as a director
on the Board. That agreement can end by mutual consent at any time after June 2011.
Bellway Homes decided not to exercise that right with effect from September 2015.
11.4.1 Induction and training of Directors
On appointtnent, Directors receive a Welcome pack which contain¥ arnongst other infornialio
copies of:
Inforniation about the PartnerS￿'p. Charity Tn￿tte roles and responsibilities.
Details of the role of a Director and Partnership officers with relevant Job Descriptions.
Memorandum and Articles of Association.
Details of some policies and procedures and inforniation on acc¢s$ to the rentsinder.
Directors are encouraged to undertake training where required.
PFCP Board of Director8 Annual Report for 202312024: as approved on 14th August 2024

11.5.1 Staff - Paid
Name
Position
EmployM￿ll Stat
External
Funding
Ms. D. Brown
Ms. N. Ri¢h8rdson
Lead Youth Worker
Youth Workcr
Part time 22105117 ongoing
Part time IA)7117 till
25103124
Port time19AMf22 on80ing
Temporary fiDm 12101122
Part time 1106123 ongoing
Various fvndffs
Various Fundus
Ms. L Hunt
Ms. C Woz¢ncroft
Youth Work
Temporary ol¢aner
Cleanerl Att¢ndant
Various Fundus
UK Youth Fund
Plus I Sessional worker- Self-employe
Since 20th June 2011, the overall supervision of staff has been delegated to the D¢$ignated
Director, currently the Partnership's Chair.
11.5.2 Staff- Volunteers {See a180 IV.2C below}
The Partsjerthip is findin8 It difficult to recruit adult volunteers who could serye in nwAy ways
and make valuable contributions to the day to day activities and rnanagernent of the Partnersbip.
As of 3111 March 2024, the Partnership currendy has 3 volunteers.
There are 3 Senior Youth Club volunteers. all members of the varAOUS youth groups who are
known as Youth Club Ambassadors.
Objectlves
Objects of the Compattylcharity
The objects are sei out in Clause 3 of the Memorandum of Association, namely:
The Cbarity'8 Objects (Objeets) are.
to further or benefit the community of Pelton Fell in a fully inclusive manner
associating together the said community and statutory authorities, voluntary
and other organisations in a common effort to advance education and to provide
facilities in the interests of social welfare for recreation leisure time occupation with
the objective of improving conditions of life for the community and,
by
to develop the capacity and skills of the community of Pelton Fell in such a
way that local residents are better able to identify and deal with matters that affect
them and so that such residents can participate more fully in so¢i¢ty,"
PFCP Board of Directors Annual Report for 202312024: as approved on 14th August 2024

Iv
Activities, A¢hievemeDts and Perforn)ance
Attendance 8tstistics for the year are given below:
The overall attendance at the Centre was 14,692. an average of 293+ per week based on a 50
week year. It was 35 /0 more than for the previous year (10,861)
The increase was due nvdinly to improved attendance in young people's activities (6,344 as
against 4,274) and the continuation of various activitie8 Started the previou5 year such as
Brockwell Buddies (903 cf 463) and Br(Kkwell BTunch (1.923 ¢f 474).
(See Graph and Section IV.I below for more detail)
Centre user statistics
Apr 2023 - Mar 2024
3.972
3.500
3.1X)O
2.500
1.5(Y) iAg9 . . .
1,402
.838...
934
113
43
General -
Social -
Family Learning -
l.ifestyle and F.xercise
stsff, Visitors to the centre.
Parties, Social events, etc.
Brnckwell Buddies IToddlers Playgroup) - 903 4 Coffee & crafL8 - 31
Smile Tbrougb Sport- 195, Gende Circuits - 23D, Zumba - 84;
Pelton Fell CA- 900+.
Courses at the Centre "Have a Good Dog"
Junior (ages 6 - 12), Senior {13 - 19),
Wednesdays and Saturda)
Young people and their families during school holidays
History group - 263. Brnckwell Brunch- 1,923
Princes Tn￿1 courses,
Attendance at BoarQ Committe¢s and assooiated meetings
Adult learning -
Young people -
Youth people other-
School holiday cafe -
Older people-
Employment Advice -
PFCP meetings -
PFCP Board of Directors Annual Report for 202312024: as appmved on 14th Au8USt 2024

The statistics above exclude usage of th¢ associated Children's Play area Mulii Use Games
Area IMUGA).
Iv.1
Achievitig the Fitst Charithblc Objective
IV. IA The Management of the Brockwell Centrc
The Centre is managed under the tern]s of a 99 year lease from the Durham County Council
which was sign¢d on 25 January 2012 and subsequently registered at the Land Rcgisty office in
April 2012. Its farilkties includ¢:
Internal. within building
External
Public toilets with limited changing facilities.
Car parking for u8er8- 21 space8"
Main hall - capable of division into 2.
Terracelpatio area for 8pectstors'
Offices to leVrent- 3 Nr,;
M¢eting rooll￿ to letlrent- 3 Nr.
Children's play are&8 With equipmenl suitable for
various age ranges:
Kitchen and ￿fe with provision for bar use.
Floodlit Multi U8e Games Ar¢a with markings for 5
aside football, basketball and t¢nnis;
AudioNisual Equipment.
Hearin811)op
Landscaped open space,
Provision for collection and subsequent
digposal of small electrical equipment and
batteries
Other facilities include a basic café service.
The Hire of some of the facilities is an imporiani part of the business plan for the Centre.
The main hirers during the year were..
"Smile Tbrough Sport" and "Pelton Fell CA"
{Se¢ ANNEX 2 below for details of the rel¢vant activities.}
The Centre is used as a polling station for I￿al and central governrnenl electioDS
Details of Funding are given below (Section V and ANNEX I)
Details of the usage of tbe Centre and other activities a￿nEed by or through the Partnership in
order to fulfill its Charitable aims are given below:
IV. l B Offer educational, employmenl and vocational opportunities
IV.IB (i)
History Group: Mel weekly on Tuesdays {ex¢ept duTing school holidays) for
sessions of 2 hours with an averdge attendanL¥ of 8.
IV. I C PTovide support ￿0upS and leisure activities
IV.IC (i)
Credit Union: is atfiliated to NE First Credit Union and by trained l(Kal
volunteers.
Miners, Banner group.. In July the banner was paraded and displayed at the
Durham Miners, Gala and paraded at the Remembrance Day ServirK in
IV.IC {ii)
PFCP Board of Directors Annual Re￿rt for 202312024: as approved on 14th August 2024

November held at the War Memorial PadL .
Brockwell Buddies Play group:
Is for children under l and their
parentslcarers. Commenced in October 2022. The attendance throughout the
year was 903.
Brockwell BrLmCh..
Provides hot tlleal at the Centre or as tskeaway&
Startcd in January 2023 attd is weekly durxng school tern￿. 1,923 meals were
provided in the year foT serving about 75 differenl people
Coffee and Crafts:
Started weekly in Jllnuary 2024. It provides
opportunities for th08e attending to improve their artistic skills accompanied by
light refreshments. Attendance w&s low totaling 31 over the 3months
P¢lton Fell CA..
see ANNEX 2 for details
Averdge attendance at th¢ ¢nd of the year increased to 25. ahnost 500/0 up on
that for ?022123.
Smile Through Sport:
See ANNEX 2 for detsils
Average attcndance is Currently 5 with a maximum of 8.
IV.IC (iii)
IV.IC (iv)
IV.IC (v)
IV. IC (vi)
IV.1 (vii)
IV. l D Devel()p ITC. f(tLilities tor all ages
The IT equipment Provided funded through grants received in previous years is used by residents
for various activities most notably job searches and seeking infom￿ll0n.
The C¢ntre is registered as a UK Online Ccntre.
IV. l E Provide Health Hnd fitnc%% sc%%ions
IV.IE (i)
Gentle Circuits: 18 held on Wednesday mornings durAng school terni time for
older people; average attendance is 5 excluding the instrnctor.
Zurnba..
Commenced in February 2024 with an average at*ndance of
17 excluding the instructor
Defibrillator - is available at the Centre adjacent to the rnain entrance
It had been deployed 5 timey during the year but never used.
IV. IE (li)
tv. IE (iii)
IV. l F Focu8 for Children and Young people
IV. IF (i) c￿'1drell and Youth a¢tivities based at The Brockwell Centre ain] to improve and
develop positive mental well being in the children and youn8 people of Peltrjn Fell,
This is achieved through sessions that cover key areas including physi¢al a¢tivity•
¢r¢attvity, outside play and socialising.
(a)
Junior Youth Club (Ages 6 - 12) - Provided young people with opportunity to take part
in a wide range of activities that they plan alongside the youth work team.
65 different young people have accessed junior youth club in the last 12 months.
Senior Youth Club (12 - 19) - The Club mel once very week during terni time and bas a
core group of16 young people attending each week. They enjoy taking part in activities
such as cooking, music and having group di8cussions.
Girls Group (11- 19) - The Group met on a weekly basis at The Brockwell Centre and on
average tbere are 12 young people attenthng the session. The Session was developed to
provide the girls with their own space and opp()rtunity to access support and guidance
from the youth work team.
Outdoor Activity session- This scssioll Was deyelopcd during COVID and continues to
be the session with the bighest attendancc each week. It provided a number of different
opportunities for the young people which included multi sports coaching provided by
CNTS Sports Stars, social action, art and craft and outside play.
72 different young people have attended these 8essioJL8 over the past 12 months
(b)
(¢)
(d)
PFCP Board of DI￿t0[S Annual Report for 202312024". as approved on 14th August 2024
10

(e)
Mini Youth Club (Ages 4-6)- Tbe Club provided the younger members of the village
with the opporturrity to develop their confidence before they attend Junior Youth Club.
The young people take part in a wide range of activities including cookntig. outdoor play,
games and art and cratl
18 different young people have taken advantsge of mini youth club.
School Holiday Activities (Ages 5 - 16)- The Youth Café continues to be extremely
successful and well attended part. Activities include cooking. art & craft, gardening,
multi 8POrts, games and nature walks whilst also having access to free food and
refreshments. On average there arc 35 attending at each sessioL Over 120 diffcrent
young people have been supported in the last 12 months.
Youth drop in ( All ages)- Happened on a weekly basis and provided young people with
the OppOrt￿ltY to access support and advice from the youth work le￿, whilst also
having the opportunity to take home unsold prothice from Gr¢ggs.
On average. 20 people acce88ed this project each week.
Trips- Trips continue to be the most asked for activity by the young people. In the past
12 month8 the young people have enjoyed trips to Ford Casde, Winter Wonderlan(L
Jump Gionts. Jump 360, Adventtre Valley, Go K8rting, Planet Leisure, Evolve Youth
Incluston project, South Shields, Clip and Climb, Wake Park and McDonalds
Assistance to the Bullion Hall Conllnunity Centre- Bullion Hall Youth Activity Group
has ¢QDtinued to grow in number in the past 12 month8, There being two 8es8ions ea¢h
week with over 40 young people attending each week. Scssions are held on a Wednesday
and Friday, the Friday group is a snmller group who prefer a quieter environment.
The young people have enjoyed a wide range of offsite activities including trips to Ford
Castle, Evolve Youth Inclusion Project. Jump Giaft￿ Jump 360, Paintballing, Whickham
Thorns, South Shields, Arcades and McDonalds
(0
(h)
(i)
IV,2
Achieving the Second Lharilable Objective
IV.2A Represcnling local pcople
IV2,A (i)
Chester le Street Area Action Partnership (AAP)
The Portnersbip w&8 represented at 2 of the 3 groups, i.e. "Community Supporf, and '£ost of
Living"
In additio￿ the Partnership took advantage of funding available from the AAP for varAOUS
activities. See ANNEX I below.
IV2.B Promolion of PFCP and the Brockwell Centre
IV2 B (i)
Newsletters- None were published during the year
IV2 B (ll)
Website
The Partnership's websitc www.
. cltonfell.o
i.uk provides the community and visitors with
infomation on PFCP, its pr0jCc￿ ¢ommunity groups and activities, news and events, history
of Pelton Fell and an online business directory. Currently its forntht is under review.
IV2 B (iii)
"Faceboov,
A Facelxiok page is: hti s:/lm.facebook.con￿fbe-Br0CkWell-Celltre-606S622o94I56I8I and
utrently has 615 followe￿.
Another Facebook page which sets out the Parthership's youth a¢tivities is.. Gernn￿ Bird
hi( s.'IlwwW.facebook.conV￿rofiIC Jih ?id-100009927047779
and it bas 1,301 friends and I I I followers
A new Facebook page was set up in late November 2021 with the address., The Brockwell
Centre Pelton Fell and has 537 followers.
PFCP Board of Directors Annual Report for 202312024: as approved on 14tb August 2024
11

Overall rtnore effort will be needed to maintsin these web based facilities which have proved to be of
great benefit to the Partnersbip,
IV2 B (iv)
Other sites
[nforn￿tt0n on the Centre is also avallable at County Durham Families Inforftnation Service
'lies.inf ) and Durham locate (
klservicesll
IV.2C Recruit and manage volunteers {See ll5.2 above}
The Partnership ha8 registered volunteers wkn support the Credit Unio4 Youth Sessions. Sociaj Events
and the day to day nLllni￿ of the Brockwell Centre.
The Partnership has developed a volunleer induction pack that supports the recruitment and induction
of the volunteers in to the 018allisation.
IV.2D Astriist in th¢ ¢mployment of local people
IV.2D (i)
Sessional activities
Activities organized by the Partnerthip and others e.g. "Smile Tbrough Sport" and private parties
provAde employment for local people either as individuals or organisations.
IV.2E Emergency Planning
In late November 2021, Stonn "Arwen" resulted in a power cut for part of the village which lasted for
approximately 4 days and show¢d that an Em¢rgen¢y plan sI￿uld be developed for the area.
WO￿ comrnenced on such a plan which w&s intended to be developed in co-operation with the County
Council's Emer8ency Planning Team and other or8anisations in the village. Unfortunately due to lack
of resources there has been no progres8.
IV.2F Fui)dnising
Specific donations and other income clas8cd as donations rai8ed £ 8,537.20. all of whi¢h was for
Partnersbip unrestricted use.
However the bulk of the funding was obtained through being 8ucce88ful with applications to varAOUS
different organisations for fimding projects. See ANNEX I below
Flnanelil revieiv
Funding
There has been Success in obtaining grant funding for activiti￿ to benefit the area. See ANNEX I
below.
Policy on 'Yhe Reserves" {in¢luded viitbin"Designated Fund8"}
The Parthership has a financial reserves policy in accordance with good practice.
tn March 2012 it was agreed that the reserve fimd should eventually provide for the costs of:
(a) Staff redund8n¢y costs as al March 2025 ". £ 5,900
(b) Runtil￿ costs (essential) for Brockwell
Centre for up to a maximum of 6 months
(c) Redecorntion costs on a 5 year cycle
Provided.. 3.30/0- £ 195
£ 27,975
£ 2,120
There is a need for fimds to be obtained to incre&8¢ this provision,
"Dcsignalcd Funds"
'The Reserves" from V.2 above
Funds deposited by Bingo Club for its own use..
(i)
(li)
£ 195.00
£ 361.72
Thus the overall"Designat¢d funds" available totsled £ 556.72 as at 31 It March 2024.
PFCP Board of Directors Annual Report for 202312024: as approved on 14 August 2024
12

Plans for the Future
202412025
The Partnership's strategic priorities remain as:
(i)
The development of a funditig strdlegy to ensure fLllMls to enable the running of th¢ Bmckwell
Centre and work on community engagcmcnt and developnTht.
The pmvision of community development activities to give rise to;
(li)
(a)
Ib)
(c)
More engagement and better cohesion"
Improved capacity and active citizenship"
Improved h¢&It￿ standard of educatio￿ and prospects of etllployn]ent and 80
contiibute to the local economy.
The Clean, Green and Safe Charter and associated matters.
The development of other projects to provide improvements in the local environment
(iii) (a)
(b)
As regards the futswe, the UK Youth 8rant received initially in March 2023 will be provided for a
further 2 years (i.e. ¢ov¢ring the period March 2024 to February 2026). Subsequently. a Cbildren in
Need gr&nt which stsrted in June 2023 and covers some other Centre costs in addition to youth staffing
costs continues for a further 2 ycar8 (i.c, till May 2026). Funders are more willing to assist with the cost
of using the facilities provided.
Furtber fundlng for activities is being sought, as will an Incre￿ in income from hire costs due in part
to an increase in charges and att increase in privat¢ hire of facilities at the Centre. As a result it is
expected that unrestricted funds will increase over this period and so result in imprnved viability.
Vl.2
202512027
AS noted immediately above, the financial viability is expected to improve,
However, as staled in Section 11.4 above, '£ommunity Dire¢tors" (effectively local resldents) have to
be in a majority. It may well prove necessary io Modify the Current Articleslmemorandum of
A￿ciatiOtt to ensure the continuation of the Parthership and the operation of th¢ Centre.
In 2025, the Pelton Fell area will be included in the Pelton ward of the County Council for ¢I￿tOr81
purposes. It appears likely and desirable that it be included into an existing local government parithed
area in that war
Statement Ibf Public Benefit
The D1￿CtorS consider that they have complied with their duty as Clwity TTUStees to have due regard
to the guidancc on public benefit pubjished by the Charity Commission in exercising their ￿werS and
duties.
Approved by the B08rd of Directors on 14th August 2024
Signed on behalf of the Directors by:
Linda Marshall, Chair
Colin Re
Ids, Secretary
PFCP Board of Directors Annual Rewrt for 202312024.. ￿ approved on 14th August 2024
13

ANNEX I
Grants, Assistance in Kind
Grants ￿¢¢iVed in Financial Year 2023J2024
Amount -£
Period
Onc Youth Chester le Street
Onc Youth Chester le Street
14.706.33
3.5(M).00
04123 - 03124
04123 to 09124
Youth Activities
Youth activities- E&8ter & surnm¢r
school holida
Youth Activities-jnisthous
Youth activities- Residential
One Youth Chester le Street
On¢ Youth Ch¢st¢r le Street
2 305.00
1,968.00
04123 to 03124
03124
Ta lor- Wim
DCC: KC HENSOI-23
DCC: 22NB-CHES 013
DCC: 23HA- CHES 001
DCC: 23DFE-CHES 003
DCC: 23HA-CHES 013
DCC: 23DFE-CHES 013
DCC: 23HA-CHES 017
DCC: 23DFE-CHES 020
DCC: 23DFE-CHES 023
DCC: Fun & food
200,00
300.00
05123
05123
05123
05123
07 to 08123
10123
12123
02124
04124
04124
10123
Coronation
Coronation
Brockwell Brunch
Youth café Ma
half tern)
Summer Youth café
October
uth cafe
Youth café- Christtnas
Youth café- Feb
half ter
Youth café- Junior's Ea8ter holiday
Youth ¢af& Senior's E&8tcr holida
art
1231.50
10,650.00
1835.00
2 272.50
1,795.00
6,121.00
2,172.00
1095.00
Tesco- via Groundwork
07123
Brockwell Brunch
CDCF: Grant A686587
CDCF: Grant 694682
CDCF: Grant A700381
CDCF: Granl OGA4417250
CDCF: Grant A717306
CDCF: Grant A718190
CDCF: Grant 730310
9,875.00
04123 to
07123
07123
12123
01124
1124 to 12124
1124 to 12124
Povert hurts
11500.00
1,977.50
Household su
Povert
hurts
Junior & senior
outh clubs
ani8ation Sustainabili
Welcome s.
aces
ort
Karbon Home8
400.(K)
11123- 2124
Winter Warnlin
UK Youth: Unrestrlcled
2. instslment of 3
15,0(M).
03/24 to 02125
Youth Staff, Utilities & Centre
costs
BBC Children in Need
181 inslajment of 3
13,538.00
06123 to 05124
Youth Staff, Centre miscellaneous
costs
500.00
07103
DoDations- unrestricted
OVERALL TOTAL
122 940.83
]b or Ivork Ydt Bullion Uydll
Funder
Amount -£
Period
Use
One Youth Chester Ic Street
One Youth ches￿ le Street
14,706.33
3,500.00
04123 to 03124
04 to 09124
Youth Activities
Youth activities- Easter & summer
sch￿1 holida
Youth Activities- miscellaneous
One Youth Chester le Street
GRANT INCOME TOTAL
2,643.00
20 849J3
04123 to 03/24
PFCP Board of Directors Annual Report for 202312024: as approved on 14th August 2024
14

ANNF.X 2
Activity of th¢ main external Hirers of the facilities of the Brockwell Centre
Smile Through Sport
Commenced in September 2022 on Thursday evenings during school tern) times for I hour
A weekly sport and physical activity club for children and young people with disabilities or
SEND. Th¢ club provides p¢cr support for parents and carers as well as providing m¢aningfu]
activity for the pBrticipaats.
For more inforniation on the group's activities plea8e contact '
01670 457 757. Iwebsite..
or telephone
Cocalne Anonymous Pelton Fell
Meet on Wednesdags 7pm till 8pm. The group started n)eeting in October 22 for the pwpose of
helping people with drink and thug abuse i&8ues by using a 12 Step program.
The leader, who lives locally. h&s been in recovery for over ten years. He has been a part of Cocaine
Anonymous since leaving rehabilitstion in 2013 and used th¢ twelve step5 prograDune throughout that
titne el￿where.
The group is extremely prnud of it activities in Pelion Fell with attendance avernging 17. Its members
travelling in for meetings from throughout County Durbam and Tyneside. The 8roup not only welcome
individuals who have a problem with drink and or drugs but also any family metnbers or professionals
who would like to know more about rwovery.
For more inforn]ation on the group's activities please contact by telephone a men)ber at 07900 178 999
PFCP Board of Directors Annual Report for 202312024: as approved on 14th August 2024
15

ANf4EX 3 Partners in the provision of Activities
Dsstvlc?
v•u Actlor4
artn•r5hlp
Durhamwl4*:
•1
IUNATOOV
County Council 1*1
IJ*L.-.
I)UIII IA,M
(trMMLINITy
,.￿￿E YOUTH
CAF
Gl¥¢sltr Lfr Shett
charitiesAKlFMdat￿n
CHILDREN
IN NEED
GREGGS
COMMUNITY
FUND
UIC YOUTFI
PFCP Board of Directors Annual Report for 202312024: as approved on 14th August 2024
16

I Q SEP 2024
Polton Fell Communlty Partnershlp
Flnanclal Statements for tho yoar to 31st March 2024
Charlty No 1129699
Company No 6846269

Pelton
11
ommunit Pa
nersh
Page
Company Infomiatlon
Tru8teeslDlreGtor8 Report
24
Independent Examlner8 Report
ststernent of Fln8nclal Activltles
Balance Sheet
Note8

CI• NB
tton Fdl CvNnunltyP•rb
DH2 2W
Ch•rty MJmb•r
R•o￿ThI Underth• tht• 19P8 rK+ Z31641S7
Po•PJon
Ch•
Vl¢a Ch￿r
15KW23 to Jih)3f24
Cllr.
S•N• ill S•pt2026
S•pt 2028
S•MI thr S•W2026
Trna•w from 17m1124
S•ry• S•0 2024
S•rv• tlll Sw 2024
Sem Sw 2026
S•rve 111 Sw 2024
Sffi 1111 S•pt2028
TruJw•f
Cllr Mr S A H•nl9 C8
Cllr Mr S A H•nlo CBI
l)Th• Bo•rd ¢ornprf8tNJth• Thr•clth¥ lknd*•t•d In bokl abml •ulhothd th• *n•tur• ofth• Anrnml R•wt th Its rnmung h•kl on 14th Au9U8t
2024
21Whef• • n•m• * undorfln•d tt th• Dlr•cknr kn • Dlrtttor •• ¢•ffln•d byAthkn 9.4 •fth• Ank*¥ ofA•*xL•tlJn. ktr• L
M•rnh•M bKarn• a fommu*W C4rxtor on 9th May 2024
31 K•rbon Llmw, Duth Ag•d PAMr8' H¢xNlng A•wchdon ¢*b Tr)mlMt• ob•rn• to•tt•nd
Duth•n County c￿r*I1
￿rn. Dutham DH15UL
PO Box 31 The Grov•. Horn•• Amcthllon, Ch6st•r l• Str••1
Co Duth•m DH3 3YH
Gojknth P•th Awn￿, N￿￿•￿0, NE12 8EG
HDudnpA88￿I￿I1On
rt>oTr Hornu Llmllo(1
Ind•F4ndeM EMmln•r
8 JStr•uohn
B J Slr•Wn 4nd Co
Ep%￿nh Hous•. 7 Lucy Str•Dt, Ch•thi lo StrwL Co Durtwm OH3 3UP
8ank
Nln• Brfndlty Plau, 4 ChJz•lli Squ•r•, Blmilffjham B12HB
MuckL* LLP
T*r• C•nty•l. 32 G•llowo•ts, T>T* fvIE14BF
84nk•rn
Soll¢ttern

P•lton
011 Communi
Partnershl
Dlroctor61frustees Report for the year •nd•d 31st March 2024
Go￿rnIn9 Docurn•Tht
The organlJAUon18 a Company LlmSknY by Gugr8nte8 kno)rporatad on the 131h M•rch 2009 And reglBtered a•
dwrrty on 18th May 2009.
Tho Objects ar• Set out In Clau80 3 of the MeThKxandum ofAssodatlon. namoly..
To furthw or benofit the wmmunlty ol Pelion Fell In a IrK4uJlve mBnner by 0•8cthtlng togotr*r the 8okJ
communlty and ststulory authDrltle8. vol￿18ry 4Th1 other tyganbation8 In a o)mmon offort to advance •Jucatk*n
aThl ID provlde.fa¢llW•g In the Inloresty o180cl•l ￿lI￿ra for rormuon l818Urn tlme Or￿paI￿)n tha obJ*tlve of
Improvlng condlllom of Ilfe for tho aThl
To dovelop th• ￿pa￿ty and oftho communlty of P*in F811 In such a vffjy thal local re8klonts are better
able to Identlfy a￿1 deal vllh m•tt•r8 that affact them and 80 that 8uch r881dents c8n partlclpate mre fully In
80dety.
R•crultm•ftl Appolntm•nt and lnduetlon
Th• pro¢edure8 ft*llovMd ar• detalled In Iho •nnu•l report (*•￿10n11.4.l1
The Dlr•ctDr8 have condu¢t8d o r•vlew ol th8 rmlor r&k8 k) thè rJ)arrty18 •¥po￿d. Where approprlDte,
$yslems or pio¢edure8 hev• been establlshed to mltl9alo Ihe rf8kg the charlty fac8B. Inlorn81 Contro18 been
Implemented r85POCt ol tran￿¢t￿n3 aulhorleallon. Proc•dur08 are In Pla￿ lo on8ur• th• heahh orKI 8•fety of
•tsff, volunloorl •rKI vl8ltorn to the e•ntre.
The 8ctlvltl08 arKI perfomence durtrg ihe perlod are tJetaW In ihe Annual Report.
R••pon•lbllltl•• of Th• Dlr•ctor8
The dlrectors ei• 108ponslble for prepar￿￿ tho Oketh. R•port and th• Inanclo18tatements In accordarKè vAlh
•ppllcable hw regulatl¢)ns.
Companylow rw4ulres tha dlrector8 lo prgpare finarKlal 8lat•monts for ￿ch flnan¢lo1 year. UrKler Ih8t law the
dlrecbrn have ele¢ted to preparo the financlal stateff*nts In accordance bmlh UnFtsd Klngdom Genor81Jy
Accept8(l Acrx•unllng Practlco (Unllod KlThJdom Accountlng Slandar(19 end appllcable18wI. Unrjer company law
Ihe dlroctor8 musl not approve the financhl statements unless they &r8 that they glve 8 true and fair
vlew of the 8ts18 of affalr8 of Iho corrpany arKI of the profil ty10s8 of th8 ¢ompany for that year.
In prepaflng IhoBe flnanclal st81ement8, the dlreth are fequtred to..
¥elect 5ultsb18 8ccountlnp pollcla8 aTrJ then apply them cYJnslslonUy,'
make lud9ements 8Th1 a¢CCMJnllng e8tlmates that are r•a8on8bl• ar￿ prudent:
6p4re th• Ilnonchl stalements on tho golng ￿rK￿rn b881$ unl88511 ￿ In8pproprlal8 to
prnsumo thal thè ¢Thi￿nY wlll contlnue In t￿IneSs.
The dlreGtor5 are responslble for keeplng adequats accounllng records that 8re suffiGienl to show8nd expl8ln the
rnpanvs transactions and dwose with reasonab16 al any tlme the flnandal posluon ol the ¢omp8ry
and en8blo thèm to ensure that the financlal Statements wlth the Companles Act 2006. They are also
r88ponslble for safe9u8rdlng the assets of the company and hm fr>r laklng reoson8blo steps lor tho preventknn
and 1Sot6cUon of frnud anil other *regulJrMes.

Pefton Fell Communlt Partnershl
Dlrectorsrrrusteos R•port for tha year •nd•d 318t March 2024
V.1 Fundlng
Thtte ha8 been 8ucctso In obtalnlw grnrt fund*w for actrAtkn to bernlR the aroa. For det8118 See An[￿ 1 b
detslled onnual rerKXt
V2 Pollcy on R•Mr¥•¥ Ilnclud•d wlthln" D•slpn&t•d Fund•ry
The partnershlp has a finondal rnserves ￿lcY In 8cctydance wlth good yactlce
In March 2012 ft was agre•d that the reserve fuKI $tthld eveniually provlde for the c0818 of..
81 Posslble staff redund8ncy co8ts13.3% of rewlrfjd 85 at Morch 20251
b) RunnlrvJ c04ts for the Brockwdl Centro UP to o maxlmuin of 6 month81O% of r8qulredl
c) Redecoratson rthts on a 5 star wle (0% of requlred)
Sub Totsl
d) Bingo Club contrlbulbnB
Total Dulgnatod Funds at 3l•t March 2024
195
382
557
Vl.1 Outlook for 2024r25
The partn8r8hlp'8 Straleglc prlorflle8 remaln a8 .
The developmènt of 8 fund￿ 8tr8tegy to •MuM furKl$ to en8t4¢ thè runnlrvj of tha 8rockw•ll Contre
and V•ork on ¢ommunlty •ngapment and dov•k>pmont.
Tho provlslon ol communlty dev•topm•nt acfvKkn8 gt¥hg rl8• to .'
81 More engagement arKI better co￿8￿n. ￿d.
bl Improved cap8clty and acllve cttlzen8hlp; arvj
¢1 Improved health, •landord ol educalth and pr08P8cts ol fjmploymenl (arKI 80 contrlbule io the local e¢0￿MY)
al Tho a8on. Green •nd sale Charter and as80claterl m8tters; JrKr
b) The devdopm•nl ol other woJects lo provlde Imwovements In the Ioc81 envlronmenl
As rgJard8 Ihe future, the ou¢look18 b￿hlOr as the UK Youth Grant recelved In March 2023 wlll be provtded for 8 total of 8
further 2 years (l.e. covwlr¥J th8 perlod March 2024 to February 2026). Subsequenuy. a Chlldren In Need grant whl¢h
started In June 2023 covws soma Olher Centre costs In addluon lo staffing costs for thls yèar and 8 fvrther 2 ￿ar8
(l.e, untll M8y 2026). Funders are r￿le wflllno to 8S861 wllh the cost of uslng the facllllles provlded.
Further fundlng for actlvlYes Is bein9 sought. 8$ wlll an Increasè kn In￿rne from hlre ￿sts due In part lo an Increase In
¢har9es and en Increase In prlvate hlre ol fBcifilles al the Centre. As a result11 Is expectsd Ihol unfeslrl¢ted fvrK18 WIII
Increase over thls Peri(￿ and w f•suIt In Improv•d vlabllty.
VI,2 202512027
As noted Immedlaldy aLx)ve, the fina￿la1 vlobllltyls expected to ImFYOVe.
Hobwv•r as 81at•d In Secllon11.4 above, 'Communlty Dire¢lor8" (effocllvely lo¢al resldontsl have to be In a maJoty.11
well wove necessary lo rnodlty the current Arll¢lesNemorandum of Assoclation to ènsure Ihe continual￿n of Ihè
Partnwshlp and th8 operalK)n of the Cantre.
In 2025 the Pelton Fell areo is proFosed for in¢luslon In the Pelton Ward of ihe County council ior 818cloral purpos85. It
appears likely and desirabl8 that it be Incbded into 8n exlsth¥ Ioc81 govwrwnent parlshed area.
The Dlreclors considgr th81 they have complled w6th thelr dity as Ch8rlty Trustees to have due reg8rd lo the
guidance on puLllc benefit pub115hod by the Ch8rlty Commi58lon In exercising their powers and duties.
Approved by the Boar(l of Dlrnclors ?t Its meellng on 14th August 2024
Signed on behaw of the Directors by..
Chalr
Seuetary

Pelton F•ll Communl
Partn•rsh
Inde
ndent Examlner's Re
or
r erKI•
We report OD the unaudit¢d accounts of the chaTity for the ptyiod l April 2023 to 318t March 2024 8et out on the lttacbed
Reipeetfv¢ Tuponslbllltles of tru•tseB and eximkn¢r
As the charity'$ tru8tee5 (who ftre also the directors of the wnpany for the puryoses of compary l•w>, you are responsible
ror the prcpatation of the accounts iti &c￿rdance with the rquircments of the Con￿¥nIC$ Act 2006 (*be 2006 Act'j.
Having 8&ti8fKd my8¢lf that the accounts of the CotDp8ny are not r¢quircd to be audited for this year undcr Part 16 of tbe
2006 Act eli8ible for ind¢p¢nd¢nl ¢xpmination, l Teport in re8pecl of my examinolion of your charity'8 8¢Wmt8
¢mi¢d out urmler 8e¢tion 145 of the Charitics Act 2011 {'the 2011 A¢l'). In carrying out my examitiatloty I have followed
the DireetiOD8 8iVCD by the Charity Commi88ion (under Section 145(5)(b) of the 2011 Act).
Blih of IndepeDdent ¢x*nthi¢r'i rtport
My ¢XamiDalioD was catried out in aCCOTdan¢e with the general Dire¢tion$ given by the Charity Commission, An
examination iDcludes a review of the &ccountiD8 records kept by the chaTity aod a comparison of th¢ o¢¢ouDts presented with
those records. It Also in¢hJdes considerntion of any unusual ilaD8 or disclosures ttt the 4e¢outtts, abd seeking explanations
from you as trustees CODcernin8 •Dy 8uth mattcrs. The procedures undertakeD do Dot provide all the evidence that would b¢
required in gn oudil and conseqtsent]y no opinion 18 gtven as to wh¢th¢r the a¢counts present 4'lru¢ and.fair view- and the
repon 18 limited to thos# matters 8¢t out in the st&l￿Dent below.
IDdeptndeDt examlntr'i 8titernent
I bave completed my cxazllination. I confirni thai no material matters bav¢ lo my attention which give me ￿use to
believ¢ that:
a¢eounling Tewrds were noi kept in llecordan￿ wiib $e¢tion 386 of the Companies A¢¢ 20￿,, or
the accounts do noi i¢¢ord with su¢h r¢wrd$; or
the am)UDts do not comply with relevant accounting requir¢m¢nl$ UDdcr 8ection 396 of the Companies Act 2
other than any requirement thal the accounts give a 'tru¢ and fair. view which is noi a marteT ¢onsidered as part of
an independent examination: or
the accounts hive not be¢n prq)ared ID accoTdan¢e with the Cbarities SORP (FRS102).
ughan
B J Strau8han And Co
Chartered Accountants
Epwortb Hou5C
7 Lu¢y Street
Chester le Street
Co DurhaTn
DH3 3UP
Dat¢

ellon Fell Communl Part
men
of Flna
cial
nded 318
es
dln
119).(h)
InCOTr￿n￿ R•••uro••
11b),(¢l
t>on•lloTr• and lund rnlfylng
Int•r••t f￿￿blO
AcllvllI￿ to lurthvr th• chadVs obl•cl8.'
Grants and ￿nI￿¢t¥ ￿ •dvl¢•, Infom)allon and gupwt
CJRS Grant•
R•nl, room hlro, •1¢.
10,749
18,575
127,216
143,791
71.637
12,018
12,016
8,733
rotd Ihoomlnq A•￿Ure•l
127 218
R••our¢M Sxp•nd•d
Wa0•• and ••larl
18,447
9,284
45.456
61.903
R•nt •nd rwn hlr•
R•p•lr•, Mrvlclnq •nd ¢l••nlng
S•curlty
Lk•ne•$ Ind p•rmlt•
49.009
5.537
1.312
8,524
8.524
8.741
2,825
448
5.753
2.825
413
2278
443
36
T•l•phon• and knl•rn•l
1.511
447
144
224
614
2.025
1,027
144
324
39.431
M•rk•lkng and ￿￿￿nOtIOn
Sl•ff trav•1
Youth wol•cl coBI•
Volunlwf *nd Staff tr*lnlng
Bank ¢h•rg
D•w•rJ•tlon
8os$bn•l 4¢tlvlt•4 •nd youth trl
L4gal yof•88lonal
In•ur•n¢o
othof
3.845
593
219
39,431
30,950
113
115
11n
29,239
1.718
29.239
2,300
3,218
135
672
3.218
135
32.280
3,749
3,091
Totil R•s•uKo Exp•nd•d
41,e64
124.873
188.537
141.010
Sur￿￿￿0*11￿1I for lh• y•ai
14.4631
2.343
12.1201
149,8911
TranBl•T• b9*￿in fvnd•
B•l•nc• bl
16,098
52,981
69,079
118.970
Totsl •131st M4r¢h 2024
11,6&5
88,959
(Nolt: As 9rw$ Incorne ol lh• en￿ty 1$ Lg88 than £aDO.OCW.
rgsourc•g havg boèn analy8•d by nalulal
da$Bffi￿14on (l.•. Bglarl•s, w•36S •tc.) Tathr than by 4clivty.)
PAO8 S

x•d kn••ts
TaNJlble au•ts
Cufr•nt A•s•ts
&24
Caoh al •nd In hond
134
125
69,132
71,924
Cr•dli¢rn: Amounts flnlno du• wlhln •n• ￿r
3,189
N•t aJ8•1•
66.102
Unr18trthd lund•
55.324
11,079
52,981
10,142
D•dw•l•d lund BlThJo Contrlbuilo
D•8tsnAt•d m4lnt•ftanc•
D•*n•t•d fvnd <D•crA•ilon, Runnlng ¢08ts, Redundancy)
Total Fund•
361
195
656
Th• f*•ctorn ar• ￿￿￿lIed Ihat th• thadty EB eniitknd to •x•mptlon from th• provlllons of th• Comp•nle4 Act 2006
(tho A￿) rèl•tr￿ to tho •tsdlt of th• e¢eA>unts for th• yogr by vlrtw of tsctlon 477, and th•1 no m•mb•r or
m•rnber8 hive requo8ted •n I￿1￿ PLvyuant to 8ofAlon 476 ofthè Aci.
Th• athnowl•dw th￿r r•w8lbJlltl•J lor.
11} •rAurtng tst th• ¢haty koy prop•r •￿Qu￿￿n9 r•eorO8 whl¢h compty wlth e•rllon 386 of the Arf
IFII pr•parln9 accounts whlch glv• a In￿ 4r￿ VIN of Ih? •latfj of4ff•trs of th• ¢ho11ty a• ai th• •nd olth
flNn¢lal ymr and of Ils profft or10sB frjr th• Iln•ndd ygjr In •¢cordanN wllh the requk•m•nls ol 8ectlon8 395
and 3g6 and whlch othepwl80 comply wlth th• reoulrements olthe Act relAflng lo flnanclal ￿lIaM•nts, In
l•r •• •re 4ppllrablo to the i*arfty.
Ttrwe ire prepared In 4cCordar￿ wsth th0 8p•dal of 15 01 lh• Com￿nI&l Act 2¢J06
relaung to 8mJN èntltkn.
Approved by the tru$t•es on ................ .............
z¢1*
nd 819ned on behajl by
..li.? !vJQ S
Sl9naturn
Company R•plstratbn Numb•r. 06846209
Paoe 6

Pelton F•ll Communit Partnershl
Notes formln
rt of the Flnanclal Statements
for the
ar ended 31st March 2024
nlln
a) The flnanclal statements have been prepared under the hlstorlcal cost conventlon, and In accordance
wlth the Companies Act 2006. and follow r8￿MmendatIOnS in Accountlng and Reporting by Charit186
preparlng thelr accounts In accordance w5th.the Flnanclal Report5ng Standard appllcable In the UK
(FRS102)188ued July 2014.
The ch8rlty constitutes a publlc b8nefft enllty as defined by FRS102.
There was no adjustment necessary on the first adoptlon of FRS102.
b) Voluntary Income Is received by way of donatk)ns and glfts and18 Included in full In the Statement
of Flnanclal Actlv1tle8 when rec8lvabl8. The value of servlces provlded by volunteers has not been
Included. Donat8d flxed assets are capltallsed at 8Stlmated market value.
c) Grants, IndLKllng grants for the purchase of flxed assets, are recognlBed In full In the Statemant of
Financlal Actlvltles for the year to whbch they relate.
d) Resources 8xpended are recognlsed In the perlod In whlch they are Incurred. Resources expended
Include 8ttrlbutabl8 VAT whlch cannot be recovered.
e) Resources expended are alloeAted to the restrlcted fund thre the costs relate dlrectly to the
funded charltable actlvity.
f) Tanglble fixed assets costing £200 or more are capitalised and Included at cost Includlng any Incldental
expenses of acquisltlon. Depreciation is calculated 30 as to vKlte off the cost of an asset, less Its
estlmated residual value, over the useful economlc lrfe of that asset a5 foll0v￿ :.
Flxtures and Fittings
200/0 Stralght Ilne
g) Unrestrlcted fund8 are donatSons and other incomlrwJ resourc88 receivable or genereted for the
objects of the charlty wtthout further spectfied purpose and are available as general funds.
h) Restrlcted funds are to be used for the specrfic purpose as laid down by the donor. ExpendSture wfilch
meets these crlteria is charged to the fund, together wlth a fair allocallon of management and supporl
costs.
l) The Charlty operates a defined contribution pension scheme for employees. The assets of the scheme
are held separately from those of Charlty. The annual contributions payable are charged to the
statement of financl81 activities.

132
2M54
.101
2315
179
1JO
10,7
2A18
100
472
2349
10
In
2.107
12
•) Wth•r• tr• •x¢••d•d ￿•￿￿*￿￿￿é￿￿nth•lJnj•r. • tr4M*rkn
¥r4f•rr•d IC*••nv•llJntstD r•rwr*kn
Ywth pr4
2 ¢thT*nuntyLwty••¢tr
4 b•nn•rgrvup•EIW
J C￿￿T•n kn n
I rothi Y•ttrf p•th
I ￿ll￿rnI Lod￿¢&￿TIjntyFUMt Y￿￿￿￿1*M￿l
• D•m•n¢th (*vJp
49.141
*•vk• 8upp¢n
DMthth•wr
31* M•t¢h2014
85,716
O•pr•c4lb)n
l•t*w12023
6U91
498
2024
At31JiMth2024
At 14lW12LL
16
110
134
PA
2.OSS
814

ommunl
mon
T•n9￿ Ilx•d w•t8
Cwrent a80•1•
Cmnt lJgblllil•8
Net •131Bt Mirch 2023
67
857
69.132
55.324
Th18 ¢￿Ill8b￿ ￿MpAnY h •¥•ffyl from corpornllon t•x on h8 ¢hrftable Acal4lU•J.
Page 9

I Q SEP 2024
Polton Fell Communlty Partnershlp
Flnanclal Statements for tho yoar to 31st March 2024
Charlty No 1129699
Company No 6846269

Pelton
11
ommunit Pa
nersh
Page
Company Infomiatlon
Tru8teeslDlreGtor8 Report
24
Independent Examlner8 Report
ststernent of Fln8nclal Activltles
Balance Sheet
Note8

CI• NB
tton Fdl CvNnunltyP•rb
DH2 2W
Ch•rty MJmb•r
R•o￿ThI Underth• tht• 19P8 rK+ Z31641S7
Po•PJon
Ch•
Vl¢a Ch￿r
15KW23 to Jih)3f24
Cllr.
S•N• ill S•pt2026
S•pt 2028
S•MI thr S•W2026
Trna•w from 17m1124
S•ry• S•0 2024
S•rv• tlll Sw 2024
Sem Sw 2026
S•rve 111 Sw 2024
Sffi 1111 S•pt2028
TruJw•f
Cllr Mr S A H•nl9 C8
Cllr Mr S A H•nlo CBI
l)Th• Bo•rd ¢ornprf8tNJth• Thr•clth¥ lknd*•t•d In bokl abml •ulhothd th• *n•tur• ofth• Anrnml R•wt th Its rnmung h•kl on 14th Au9U8t
2024
21Whef• • n•m• * undorfln•d tt th• Dlr•cknr kn • Dlrtttor •• ¢•ffln•d byAthkn 9.4 •fth• Ank*¥ ofA•*xL•tlJn. ktr• L
M•rnh•M bKarn• a fommu*W C4rxtor on 9th May 2024
31 K•rbon Llmw, Duth Ag•d PAMr8' H¢xNlng A•wchdon ¢*b Tr)mlMt• ob•rn• to•tt•nd
Duth•n County c￿r*I1
￿rn. Dutham DH15UL
PO Box 31 The Grov•. Horn•• Amcthllon, Ch6st•r l• Str••1
Co Duth•m DH3 3YH
Gojknth P•th Awn￿, N￿￿•￿0, NE12 8EG
HDudnpA88￿I￿I1On
rt>oTr Hornu Llmllo(1
Ind•F4ndeM EMmln•r
8 JStr•uohn
B J Slr•Wn 4nd Co
Ep%￿nh Hous•. 7 Lucy Str•Dt, Ch•thi lo StrwL Co Durtwm OH3 3UP
8ank
Nln• Brfndlty Plau, 4 ChJz•lli Squ•r•, Blmilffjham B12HB
MuckL* LLP
T*r• C•nty•l. 32 G•llowo•ts, T>T* fvIE14BF
84nk•rn
Soll¢ttern

P•lton
011 Communi
Partnershl
Dlroctor61frustees Report for the year •nd•d 31st March 2024
Go￿rnIn9 Docurn•Tht
The organlJAUon18 a Company LlmSknY by Gugr8nte8 kno)rporatad on the 131h M•rch 2009 And reglBtered a•
dwrrty on 18th May 2009.
Tho Objects ar• Set out In Clau80 3 of the MeThKxandum ofAssodatlon. namoly..
To furthw or benofit the wmmunlty ol Pelion Fell In a IrK4uJlve mBnner by 0•8cthtlng togotr*r the 8okJ
communlty and ststulory authDrltle8. vol￿18ry 4Th1 other tyganbation8 In a o)mmon offort to advance •Jucatk*n
aThl ID provlde.fa¢llW•g In the Inloresty o180cl•l ￿lI￿ra for rormuon l818Urn tlme Or￿paI￿)n tha obJ*tlve of
Improvlng condlllom of Ilfe for tho aThl
To dovelop th• ￿pa￿ty and oftho communlty of P*in F811 In such a vffjy thal local re8klonts are better
able to Identlfy a￿1 deal vllh m•tt•r8 that affact them and 80 that 8uch r881dents c8n partlclpate mre fully In
80dety.
R•crultm•ftl Appolntm•nt and lnduetlon
Th• pro¢edure8 ft*llovMd ar• detalled In Iho •nnu•l report (*•￿10n11.4.l1
The Dlr•ctDr8 have condu¢t8d o r•vlew ol th8 rmlor r&k8 k) thè rJ)arrty18 •¥po￿d. Where approprlDte,
$yslems or pio¢edure8 hev• been establlshed to mltl9alo Ihe rf8kg the charlty fac8B. Inlorn81 Contro18 been
Implemented r85POCt ol tran￿¢t￿n3 aulhorleallon. Proc•dur08 are In Pla￿ lo on8ur• th• heahh orKI 8•fety of
•tsff, volunloorl •rKI vl8ltorn to the e•ntre.
The 8ctlvltl08 arKI perfomence durtrg ihe perlod are tJetaW In ihe Annual Report.
R••pon•lbllltl•• of Th• Dlr•ctor8
The dlrectors ei• 108ponslble for prepar￿￿ tho Oketh. R•port and th• Inanclo18tatements In accordarKè vAlh
•ppllcable hw regulatl¢)ns.
Companylow rw4ulres tha dlrector8 lo prgpare finarKlal 8lat•monts for ￿ch flnan¢lo1 year. UrKler Ih8t law the
dlrecbrn have ele¢ted to preparo the financlal stateff*nts In accordance bmlh UnFtsd Klngdom Genor81Jy
Accept8(l Acrx•unllng Practlco (Unllod KlThJdom Accountlng Slandar(19 end appllcable18wI. Unrjer company law
Ihe dlroctor8 musl not approve the financhl statements unless they &r8 that they glve 8 true and fair
vlew of the 8ts18 of affalr8 of Iho corrpany arKI of the profil ty10s8 of th8 ¢ompany for that year.
In prepaflng IhoBe flnanclal st81ement8, the dlreth are fequtred to..
¥elect 5ultsb18 8ccountlnp pollcla8 aTrJ then apply them cYJnslslonUy,'
make lud9ements 8Th1 a¢CCMJnllng e8tlmates that are r•a8on8bl• ar￿ prudent:
6p4re th• Ilnonchl stalements on tho golng ￿rK￿rn b881$ unl88511 ￿ In8pproprlal8 to
prnsumo thal thè ¢Thi￿nY wlll contlnue In t￿IneSs.
The dlreGtor5 are responslble for keeplng adequats accounllng records that 8re suffiGienl to show8nd expl8ln the
rnpanvs transactions and dwose with reasonab16 al any tlme the flnandal posluon ol the ¢omp8ry
and en8blo thèm to ensure that the financlal Statements wlth the Companles Act 2006. They are also
r88ponslble for safe9u8rdlng the assets of the company and hm fr>r laklng reoson8blo steps lor tho preventknn
and 1Sot6cUon of frnud anil other *regulJrMes.

Pefton Fell Communlt Partnershl
Dlrectorsrrrusteos R•port for tha year •nd•d 318t March 2024
V.1 Fundlng
Thtte ha8 been 8ucctso In obtalnlw grnrt fund*w for actrAtkn to bernlR the aroa. For det8118 See An[￿ 1 b
detslled onnual rerKXt
V2 Pollcy on R•Mr¥•¥ Ilnclud•d wlthln" D•slpn&t•d Fund•ry
The partnershlp has a finondal rnserves ￿lcY In 8cctydance wlth good yactlce
In March 2012 ft was agre•d that the reserve fuKI $tthld eveniually provlde for the c0818 of..
81 Posslble staff redund8ncy co8ts13.3% of rewlrfjd 85 at Morch 20251
b) RunnlrvJ c04ts for the Brockwdl Centro UP to o maxlmuin of 6 month81O% of r8qulredl
c) Redecoratson rthts on a 5 star wle (0% of requlred)
Sub Totsl
d) Bingo Club contrlbulbnB
Total Dulgnatod Funds at 3l•t March 2024
195
382
557
Vl.1 Outlook for 2024r25
The partn8r8hlp'8 Straleglc prlorflle8 remaln a8 .
The developmènt of 8 fund￿ 8tr8tegy to •MuM furKl$ to en8t4¢ thè runnlrvj of tha 8rockw•ll Contre
and V•ork on ¢ommunlty •ngapment and dov•k>pmont.
Tho provlslon ol communlty dev•topm•nt acfvKkn8 gt¥hg rl8• to .'
81 More engagement arKI better co￿8￿n. ￿d.
bl Improved cap8clty and acllve cttlzen8hlp; arvj
¢1 Improved health, •landord ol educalth and pr08P8cts ol fjmploymenl (arKI 80 contrlbule io the local e¢0￿MY)
al Tho a8on. Green •nd sale Charter and as80claterl m8tters; JrKr
b) The devdopm•nl ol other woJects lo provlde Imwovements In the Ioc81 envlronmenl
As rgJard8 Ihe future, the ou¢look18 b￿hlOr as the UK Youth Grant recelved In March 2023 wlll be provtded for 8 total of 8
further 2 years (l.e. covwlr¥J th8 perlod March 2024 to February 2026). Subsequenuy. a Chlldren In Need grant whl¢h
started In June 2023 covws soma Olher Centre costs In addluon lo staffing costs for thls yèar and 8 fvrther 2 ￿ar8
(l.e, untll M8y 2026). Funders are r￿le wflllno to 8S861 wllh the cost of uslng the facllllles provlded.
Further fundlng for actlvlYes Is bein9 sought. 8$ wlll an Increasè kn In￿rne from hlre ￿sts due In part lo an Increase In
¢har9es and en Increase In prlvate hlre ol fBcifilles al the Centre. As a result11 Is expectsd Ihol unfeslrl¢ted fvrK18 WIII
Increase over thls Peri(￿ and w f•suIt In Improv•d vlabllty.
VI,2 202512027
As noted Immedlaldy aLx)ve, the fina￿la1 vlobllltyls expected to ImFYOVe.
Hobwv•r as 81at•d In Secllon11.4 above, 'Communlty Dire¢lor8" (effocllvely lo¢al resldontsl have to be In a maJoty.11
well wove necessary lo rnodlty the current Arll¢lesNemorandum of Assoclation to ènsure Ihe continual￿n of Ihè
Partnwshlp and th8 operalK)n of the Cantre.
In 2025 the Pelton Fell areo is proFosed for in¢luslon In the Pelton Ward of ihe County council ior 818cloral purpos85. It
appears likely and desirabl8 that it be Incbded into 8n exlsth¥ Ioc81 govwrwnent parlshed area.
The Dlreclors considgr th81 they have complled w6th thelr dity as Ch8rlty Trustees to have due reg8rd lo the
guidance on puLllc benefit pub115hod by the Ch8rlty Commi58lon In exercising their powers and duties.
Approved by the Boar(l of Dlrnclors ?t Its meellng on 14th August 2024
Signed on behaw of the Directors by..
Chalr
Seuetary

Pelton F•ll Communl
Partn•rsh
Inde
ndent Examlner's Re
or
r erKI•
We report OD the unaudit¢d accounts of the chaTity for the ptyiod l April 2023 to 318t March 2024 8et out on the lttacbed
Reipeetfv¢ Tuponslbllltles of tru•tseB and eximkn¢r
As the charity'$ tru8tee5 (who ftre also the directors of the wnpany for the puryoses of compary l•w>, you are responsible
ror the prcpatation of the accounts iti &c￿rdance with the rquircments of the Con￿¥nIC$ Act 2006 (*be 2006 Act'j.
Having 8&ti8fKd my8¢lf that the accounts of the CotDp8ny are not r¢quircd to be audited for this year undcr Part 16 of tbe
2006 Act eli8ible for ind¢p¢nd¢nl ¢xpmination, l Teport in re8pecl of my examinolion of your charity'8 8¢Wmt8
¢mi¢d out urmler 8e¢tion 145 of the Charitics Act 2011 {'the 2011 A¢l'). In carrying out my examitiatloty I have followed
the DireetiOD8 8iVCD by the Charity Commi88ion (under Section 145(5)(b) of the 2011 Act).
Blih of IndepeDdent ¢x*nthi¢r'i rtport
My ¢XamiDalioD was catried out in aCCOTdan¢e with the general Dire¢tion$ given by the Charity Commission, An
examination iDcludes a review of the &ccountiD8 records kept by the chaTity aod a comparison of th¢ o¢¢ouDts presented with
those records. It Also in¢hJdes considerntion of any unusual ilaD8 or disclosures ttt the 4e¢outtts, abd seeking explanations
from you as trustees CODcernin8 •Dy 8uth mattcrs. The procedures undertakeD do Dot provide all the evidence that would b¢
required in gn oudil and conseqtsent]y no opinion 18 gtven as to wh¢th¢r the a¢counts present 4'lru¢ and.fair view- and the
repon 18 limited to thos# matters 8¢t out in the st&l￿Dent below.
IDdeptndeDt examlntr'i 8titernent
I bave completed my cxazllination. I confirni thai no material matters bav¢ lo my attention which give me ￿use to
believ¢ that:
a¢eounling Tewrds were noi kept in llecordan￿ wiib $e¢tion 386 of the Companies A¢¢ 20￿,, or
the accounts do noi i¢¢ord with su¢h r¢wrd$; or
the am)UDts do not comply with relevant accounting requir¢m¢nl$ UDdcr 8ection 396 of the Companies Act 2
other than any requirement thal the accounts give a 'tru¢ and fair. view which is noi a marteT ¢onsidered as part of
an independent examination: or
the accounts hive not be¢n prq)ared ID accoTdan¢e with the Cbarities SORP (FRS102).
ughan
B J Strau8han And Co
Chartered Accountants
Epwortb Hou5C
7 Lu¢y Street
Chester le Street
Co DurhaTn
DH3 3UP
Dat¢

ellon Fell Communl Part
men
of Flna
cial
nded 318
es
dln
119).(h)
InCOTr￿n￿ R•••uro••
11b),(¢l
t>on•lloTr• and lund rnlfylng
Int•r••t f￿￿blO
AcllvllI￿ to lurthvr th• chadVs obl•cl8.'
Grants and ￿nI￿¢t¥ ￿ •dvl¢•, Infom)allon and gupwt
CJRS Grant•
R•nl, room hlro, •1¢.
10,749
18,575
127,216
143,791
71.637
12,018
12,016
8,733
rotd Ihoomlnq A•￿Ure•l
127 218
R••our¢M Sxp•nd•d
Wa0•• and ••larl
18,447
9,284
45.456
61.903
R•nt •nd rwn hlr•
R•p•lr•, Mrvlclnq •nd ¢l••nlng
S•curlty
Lk•ne•$ Ind p•rmlt•
49.009
5.537
1.312
8,524
8.524
8.741
2,825
448
5.753
2.825
413
2278
443
36
T•l•phon• and knl•rn•l
1.511
447
144
224
614
2.025
1,027
144
324
39.431
M•rk•lkng and ￿￿￿nOtIOn
Sl•ff trav•1
Youth wol•cl coBI•
Volunlwf *nd Staff tr*lnlng
Bank ¢h•rg
D•w•rJ•tlon
8os$bn•l 4¢tlvlt•4 •nd youth trl
L4gal yof•88lonal
In•ur•n¢o
othof
3.845
593
219
39,431
30,950
113
115
11n
29,239
1.718
29.239
2,300
3,218
135
672
3.218
135
32.280
3,749
3,091
Totil R•s•uKo Exp•nd•d
41,e64
124.873
188.537
141.010
Sur￿￿￿0*11￿1I for lh• y•ai
14.4631
2.343
12.1201
149,8911
TranBl•T• b9*￿in fvnd•
B•l•nc• bl
16,098
52,981
69,079
118.970
Totsl •131st M4r¢h 2024
11,6&5
88,959
(Nolt: As 9rw$ Incorne ol lh• en￿ty 1$ Lg88 than £aDO.OCW.
rgsourc•g havg boèn analy8•d by nalulal
da$Bffi￿14on (l.•. Bglarl•s, w•36S •tc.) Tathr than by 4clivty.)
PAO8 S

x•d kn••ts
TaNJlble au•ts
Cufr•nt A•s•ts
&24
Caoh al •nd In hond
134
125
69,132
71,924
Cr•dli¢rn: Amounts flnlno du• wlhln •n• ￿r
3,189
N•t aJ8•1•
66.102
Unr18trthd lund•
55.324
11,079
52,981
10,142
D•dw•l•d lund BlThJo Contrlbuilo
D•8tsnAt•d m4lnt•ftanc•
D•*n•t•d fvnd <D•crA•ilon, Runnlng ¢08ts, Redundancy)
Total Fund•
361
195
656
Th• f*•ctorn ar• ￿￿￿lIed Ihat th• thadty EB eniitknd to •x•mptlon from th• provlllons of th• Comp•nle4 Act 2006
(tho A￿) rèl•tr￿ to tho •tsdlt of th• e¢eA>unts for th• yogr by vlrtw of tsctlon 477, and th•1 no m•mb•r or
m•rnber8 hive requo8ted •n I￿1￿ PLvyuant to 8ofAlon 476 ofthè Aci.
Th• athnowl•dw th￿r r•w8lbJlltl•J lor.
11} •rAurtng tst th• ¢haty koy prop•r •￿Qu￿￿n9 r•eorO8 whl¢h compty wlth e•rllon 386 of the Arf
IFII pr•parln9 accounts whlch glv• a In￿ 4r￿ VIN of Ih? •latfj of4ff•trs of th• ¢ho11ty a• ai th• •nd olth
flNn¢lal ymr and of Ils profft or10sB frjr th• Iln•ndd ygjr In •¢cordanN wllh the requk•m•nls ol 8ectlon8 395
and 3g6 and whlch othepwl80 comply wlth th• reoulrements olthe Act relAflng lo flnanclal ￿lIaM•nts, In
l•r •• •re 4ppllrablo to the i*arfty.
Ttrwe ire prepared In 4cCordar￿ wsth th0 8p•dal of 15 01 lh• Com￿nI&l Act 2¢J06
relaung to 8mJN èntltkn.
Approved by the tru$t•es on ................ .............
z¢1*
nd 819ned on behajl by
..li.? !vJQ S
Sl9naturn
Company R•plstratbn Numb•r. 06846209
Paoe 6

Pelton F•ll Communit Partnershl
Notes formln
rt of the Flnanclal Statements
for the
ar ended 31st March 2024
nlln
a) The flnanclal statements have been prepared under the hlstorlcal cost conventlon, and In accordance
wlth the Companies Act 2006. and follow r8￿MmendatIOnS in Accountlng and Reporting by Charit186
preparlng thelr accounts In accordance w5th.the Flnanclal Report5ng Standard appllcable In the UK
(FRS102)188ued July 2014.
The ch8rlty constitutes a publlc b8nefft enllty as defined by FRS102.
There was no adjustment necessary on the first adoptlon of FRS102.
b) Voluntary Income Is received by way of donatk)ns and glfts and18 Included in full In the Statement
of Flnanclal Actlv1tle8 when rec8lvabl8. The value of servlces provlded by volunteers has not been
Included. Donat8d flxed assets are capltallsed at 8Stlmated market value.
c) Grants, IndLKllng grants for the purchase of flxed assets, are recognlBed In full In the Statemant of
Financlal Actlvltles for the year to whbch they relate.
d) Resources 8xpended are recognlsed In the perlod In whlch they are Incurred. Resources expended
Include 8ttrlbutabl8 VAT whlch cannot be recovered.
e) Resources expended are alloeAted to the restrlcted fund thre the costs relate dlrectly to the
funded charltable actlvity.
f) Tanglble fixed assets costing £200 or more are capitalised and Included at cost Includlng any Incldental
expenses of acquisltlon. Depreciation is calculated 30 as to vKlte off the cost of an asset, less Its
estlmated residual value, over the useful economlc lrfe of that asset a5 foll0v￿ :.
Flxtures and Fittings
200/0 Stralght Ilne
g) Unrestrlcted fund8 are donatSons and other incomlrwJ resourc88 receivable or genereted for the
objects of the charlty wtthout further spectfied purpose and are available as general funds.
h) Restrlcted funds are to be used for the specrfic purpose as laid down by the donor. ExpendSture wfilch
meets these crlteria is charged to the fund, together wlth a fair allocallon of management and supporl
costs.
l) The Charlty operates a defined contribution pension scheme for employees. The assets of the scheme
are held separately from those of Charlty. The annual contributions payable are charged to the
statement of financl81 activities.

132
2M54
.101
2315
179
1JO
10,7
2A18
100
472
2349
10
In
2.107
12
•) Wth•r• tr• •x¢••d•d ￿•￿￿*￿￿￿é￿￿nth•lJnj•r. • tr4M*rkn
¥r4f•rr•d IC*••nv•llJntstD r•rwr*kn
Ywth pr4
2 ¢thT*nuntyLwty••¢tr
4 b•nn•rgrvup•EIW
J C￿￿T•n kn n
I rothi Y•ttrf p•th
I ￿ll￿rnI Lod￿¢&￿TIjntyFUMt Y￿￿￿￿1*M￿l
• D•m•n¢th (*vJp
49.141
*•vk• 8upp¢n
DMthth•wr
31* M•t¢h2014
85,716
O•pr•c4lb)n
l•t*w12023
6U91
498
2024
At31JiMth2024
At 14lW12LL
16
110
134
PA
2.OSS
814

ommunl
mon
T•n9￿ Ilx•d w•t8
Cwrent a80•1•
Cmnt lJgblllil•8
Net •131Bt Mirch 2023
67
857
69.132
55.324
Th18 ¢￿Ill8b￿ ￿MpAnY h •¥•ffyl from corpornllon t•x on h8 ¢hrftable Acal4lU•J.
Page 9