Reglstered Number 070m6 Charity 1133679 LONGFIELD HALL TRUST Report and Accounts forthe yearended 30 September3)22
LONGFIELD HALL Trust Re8lstered Number0703(M96 Icharity 113%J9] Report and Accounts forthe Year ended J) September 2022 CONTENTS Trustees, Report Examinerfs report Statement of Flnancial Artivities Balance Sheet Notes to the Accounts
LONGFIELD HALL TRU5r Registered Number07030W Icharity 11336791 Trustees Reportforthe year ended 30September 2022 Trustees The trustees who served during the year were as follows: Mr William RKhard Ollard Ms Juliet Williams Ms Patricia Omonua Ms Kikelumo Omonua Mrjames Gardiner-Hill Ms Christina Hughes-onslow M5 Clare Cary Ms Rosycrehan Ms Hannah Thompson Registered offr 50 Knatchbull Road. London, SE5 gly Bankers Barclays Bank PLC, Leicester, LE87 2BB Charrty Aims Longfield Hall Trust manages the historic Grade 2 listed Hall on behalf of the local community. I n Ortober 2019 it signed a 39 year lease on LongField Hall with the London Borough of Lambeth. It achieve5 Its charitable objertThies by looking after and improving the building and providing an affordable Spa for education, perforrnan, rehearsals, recreation. meetings and other actwf(ies.
LONGFIELD HALL TRUST{Company limited byguardnteel Registered Number 0703l ltharity 1133679] Independent EKaminerfs Reportto the Trustses of the Charity I report to the trustees on the accounts of the Company forthe yearended 30 September 2022. Respective responsibilities of Trustees and Examiner The charity's trustees are responsible forthe preparation of the accounts. The chafit*s trustees consider that an audit is not required forthis year under settton 144 of the Charities Act 2011 (the Charities Act) and that an independent examination is needed. It 15 my responsibility to: examine the accounts under5ection 145 of the Chartties Att to follow the procedures laid down in the general Directions given by the Charity Commission (under sertion 14515llbl of the Charitie5 Act, and to state whether particular matters have come to my attention. Basis of Independent E¥aminerfs report My examination was carried out in accordan with the general Directions gwen by the Charity Commission. An examination includes a review of accounting records kept by the charity and a comparison of the accounts presented with those records. It a150 includes consideration of anv unusual items or disclosures in the accounts, and seeking explanations from you a5 trustees concerningany such matters. The procedu$ undertaken do not provide all the evidence thatwould be required in an audtt and Consequent no opinion is gnien as to whetherthe accounts present a "true and fair view" and the report ts limfced to those matters set out in the statement below. Independent Examinerfs Statement In connection with my examination, no matter has come to my attention which gives me reasonable cause to believe that in any material SpeCt the reqU1Ments.. to keep accounting records in accordance with section 130 of the Charttie5 Att- and to prepare accounts which accord with the accounting record5 and tompiy with the accounting requirements of the Charities Act have not been met,. or 2. to which. irb my opinion, attention should be drawn in orderto enable a proper understanding of the accounts to be reached. John Googe FCCA 32 Trent Court New Wanstead London EII 2TF
LONGFIELD HALL TRUST (Company limited by guaranteel Registered Number (1703(*% Icharity 1133679] STATEMENT OF FINANCIALACTIVITIES Ilncorporating Income and Expenditu Account & Statement of Total Realised Gain5 and Losse51 For the year ended 30September 2022 Unrestricted Funds Restrirted Funds Total Funds Total Funds 2021 INCOMING RESOURCES Grants and donations reNed 56.957 56.957 4CE,627 Incoming sOurCeS from generated funds-. Voluntary income 107.579 51,018 Total Incoming Resources 107,579 56,957 164,536 457,S45 RESOURCES EXPENDED Total Resou5 Expended 69,221 16L1 158,716 NET INCOMING/IOUTGOINGI RESOURCES/ NETMOVEMENTIN FUNDS IU264) 735 298,929 TOTAL FUNDS AT IOCTOBER 10,152 529,578 539.no 240,801 TOTAL FUNDSAT305EPTEMBER i L17 314 539 730
LONGFIELD HALL TRUST (Company limited byguaTrnteel Registered Number lyl03 [charity 1133679] Balan Sheet as at Xl September2022 Notes 2021 Fixed assets Tangible assets 653.1 678,448 Current assets Debtors an(1 prepayments Cash at bank 17,749 17,993 6,319 15,037 Current liabilrcies Creditors and accruals due within one year Net current assets (63,ffi8) 166,8351 Creditors due after one year NetAs5ets Reserve5 Retained unrestrirted reserve Restrirted funds Total reseNes 25.1 517 314 10,152 529 578 539 730 The trustees are satisfied that forthe year in question the chartsble company was entitled to exemption ffom the reqU1mellt to obtain an audtt under section 477 of the Companies Act 2(6 and that no member or members have qUIred the company to obtain an audit of its accounts for the year in question in accordance wtth section 476 of the Act. However, in accordance with section 145 of the Charf(ies Act 2011, the accounts have been examined byan Independent Examinerwho report appears on page 3. The dirertors acknowledge their responsibilities for comptying with the requirements of the Companies Act 2( with respett to accounting COrdS and the preparation of accounts The accounts have been ppared in accordance wrth the provisions in Part 15 of the Companies Act 2QK16 applicable to companie5 subject to the small companies. regime and in accordan wr(h the Financial Reporting Standard for Smaller Enttties (effective January 20151. Approved by the trustees on 24January 2023 and signed on their behalf by- William Ollard. Director Director
LONGFIELD HALL TRUST (Company Ilmited by guarantee) Registered Number 0703W [tharity 1133679] Notes to the Accounts forthe year ended >) Septsmber 2022 l Accounting Policies Basis of measurement and preparat)n of accounts These accounts have not been audtted. but they have been externalty reviewed. 2 The Company is limited by guarantee and consequentw does not have a share capital. 3 The Charsty prerni5es are the subject of a lease from Lambeth Council. No liabilty is shown in these accounts as tt is experted the property will be tranSferd to Longfield Hall Trust under a capttal asset transfer. Assets are depreciated overthe following periods: Off ice equipment over 3 year5 Leasehold improvements over their estimated useful lrfe of between 5 3nd 40 years Tangible Assets 2021 Leasehold oiri lrnprovements Equiprnent Total 697.283 Q920 704.203 Total 263,398 Costas at l Ortober Additions at cost Cost as at cost 30 September 697 285 L9al 71h1203 Depreciation as at l October 21.243 4512 25.755 Depreciation charge for the year 23 Depreciation as at 30 September 549 12,941 Net book value a5 at 30 SepterTtbe 417 Addf(ionsto leasehold improvement5 inthe comparatNe yearrepresentthe costs of building improvement works carried out and bought into use during that year. The grants that funded these works are treated as restricted fundsamortised overtheirexpected useful life, from financial year 2020121 onwards.
LONGFIELD HALL TRUSf (Company lirnited byguardntee) Registered Numberl7lOW6 Icharity 1133679] Notes to the Accounts forthe year ended *)September 202Z 4 Debtors and Prepayments 2022 2021 Trade Debtors Prepayments Total 10.336 4.219 5 Creditors. Attruals and Deferred income 2021 22,573 36.123 29,495 Credttors and accrua15 Amount held on behaif of third parties Loans due wrthin l year 42,555 29,495 Total Loans due after l year 6 Related party transartions. There have been no reportable transactions with the directors. 7 Capttal commitments At 30 September 2022 LHT had commttted £Nil12021 £12,SCKJI in respect of out-of- contrart works completed as part of the hall upgrade and accessibilty works.
LONGFIELD HALL TRUST (Company limited by zuarantee) Registered Number 0703C*% [tharity 1133679] Noles to the Accounts forthe year ended 30 Septsmber 2022 8 Restrirted funds Brou ht fo¥ward Incomin resources Resources ex ended Carried fOard £4.337 Grant from Ecosystems Coldharbour to fund delivery of My Ends Violen redurtion project I9,1) qi(m) £.( Grantfrom Sport England to fund a new hall sprunglloor. Th•s is wrftten off overthe expected useful life of ten years. £2.631 £(350) a281 Grant from sport England to fund free dance and Pilate5 dasses for over 555 at risk of isolation. £nAI Grant from London Communlty Foundation to fund free dan and Pllate5 classes for the over 55's at risk of isolation. q9911 £3,1 £1,323 Grantfrom The Emst Hetht Charitable Foundationto fund Lon8fieldVoi5commUnity CholrweeY artivities. qL798) £1.962 £1.6 q3.570) Grant from Greater London Ah0rityt0 fund Knit Fit programme. £NIL £nS1 Grant from Active Lambeth to fund Silveryoga q5CQ) É1893} Grantfrom Power to Change to fund support Business Development Support q580) £7,920 Grant from Awards For Ati to fund Weekly Drama Classe5 for an acadernic year. q7,1(X)I Grant from London Community Foundation to fund A Celebration of the Platinum Jubilee. q3,29)1 £6,710 Grantfrom London Community Foundation to fund Craftyour Future. LONGFIELD HALL TRUST(Company Ilmlted byguamteel
Registered Number0703(fj% [charity 11336791 Notes to the Accounts forthe yearended 305eptember2022 RestTiCted Funds (conlinued)~ Capitsl Improvements detail ht fowrd Incomin resources Resour$ ex nded Carried foThvard £nll £4,925 q4,9251 Grant from Lambeth BC CUPSto lund Behind The Scenes Enll £nll £51920 Grant from BIFFA Awards to fund capital improvements to Longfield Hall £(L528) £96,027 q1694) £93.333 Grant from City Bridge Trustto fund capital improvements to Longfield Hall £39,599 £nil qi,iii) Grant from Garfield Weston Foundation forcapital improvements to Longiield Hall £24764 Q06.792 Grant from Power to Change to fund capitsl improvements to Longfleld Hall q5,9ni £17,820 £17.320 Grant from Swire Charitable Trust to fund capltal improvements to Longfield Hall. q5(X)) £35.639 £4639 Grant from Veolia Envlronmentsl Trustto fund capital impn>vements to Longfield Hall qi,(wi qL258) Grant from Viridor Credits to fund capital improvements to Longfield Hall. Grants to fund capitsl improvements to Lonrfield Hall [detailed above] £517 314
LONGFIEU) HALL TRVST(Company limited byguaranteel Registered Number070308% ltharity 1133679] Detailed Expenditure for the yearended 305eptember2022 [Not part of the statutory accounts] 2021 Rent and rates 10.345 Staffing 26,957 30,937 Office costs 3.717 Repairs 14.341 23,170 Direct grant lated 38.316 Community Events 1.1 Waste collertion 659 Utilities 3,149 Insurance/SecurFty 3.429 Cleaning 17.436 16.051 Bookkeeping and accounts 5,020 Professional fees 1,482 Depreciation 953 Leasehold Amortisatio 20,(81 11,861 IRecoveredl/lrrecoverable VAT {3,037) 8.871 Total