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2024-03-31-accounts

CHESTERFIELD AND DISTRICT SHOPMOBILITY LTD DIRECTORS' REPORT AND UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2024

Blue Cloud Accounting Solutions Limited 128 Saltergate Chesterfield Derbyshire S40 1NG

Chesterfield And District Shopmobility Ltd Directors' Report and Unaudited Financial Statements For The Year Ended 31 March 2024

Contents

Contents
Page
Company Information 1
Directors' Report 2—4
Independent Examiner’s Report 5
Income and Expenditure Account 6
Balance Sheet 7
Notes to the Financial Statements 8—11

Chesterfield And District Shopmobility Ltd Company Information For The Year Ended 31 March 2024

Directors, Trustees and Management Committee Mr Colin Mitchell (Chair) Mrs Elaine Hinde (Treasurer) Mrs Christine Mitchell Mr Anthony Hayden Mr Paul Eardley Secretary Mrs Christine Mitchell Company Number 07106728 Charity Number 1136369 Registered Office and Business Address Ground Floor New Beetwell Street Chesterfield S40 1QR Accountants Blue Cloud Accounting Solutions Limited 128 Saltergate Chesterfield Derbyshire S40 1NG Bankers Barclays Chesterfield Branch 37 Rose Hill Chesterfield S40 1LS

Page 1

Chesterfield And District Shopmobility Ltd Company No. 07106728 Directors’ Report For The Year Ended 31 March 2024

The Board present their tenth annual report and financial statements for the year ended 31 March 2024.

Directors, Trustees and Management Committee

The directors, trustees and management committee who held office during the year are shown on Page 1 of this report.

STRUCTURE, GOVERNANCE AND MANAGEMENT

Governing Document

Chesterfield & District Shopmobility is a charitable company, limited by guarantee, incorporated 16 December 2009 and is registered with the Charity Commission, registration number 1109952. It’s memorandum and articles of association were adopted 18 December 2009 under company registration number 07106728 to govern it’s affairs. The company was originally registered as Shopmobility Derbyshire Ltd but changed its name to Chesterfield and District Shopmobility Ltd on 21 October 2011. The company eventually commenced active trading 1 April 2013 replacing the services previously operated through its unincorporated organisation.

The liability of members in the event of the company being wound up is limited to a sum not exceeding £10. The memorandum of association restricts the use of the company’s income and property, such that they must be applied solely towards the objects of the organisation and specifically disallows the payment of any dividend, bonus or profits to it’s members.

Tax Status

The company is a company limited by guarantee, a registered charity and is exempt from corporation tax and income tax.

Trustees

The board of Trustees also acts as the management committee and is responsible for the overall governance of the charity. It meets on a regular basis to review the general running, strategic direction and policies of the charity. The trustees are also directors of the company. Director/trustees are either elected on the recommendation of members of Chesterfield and District Shopmobility Ltd, fellow director/trustees or coopted and the minimum number of director/ trustees is 3 with a current maximum of 15. One third of the director/trustees shall retire at each annual meeting along with all newly appointed director/trustees. At this year’s annual meeting the following director/trustees will retire and will be seeking re-election:

The board delegates certain powers and responsibilities relating to the daily management and administration of the charity. These powers are controlled by the need to regularly report back to the main board in order that any decisions made under delegated powers are fully ratified.

OBJECTIVES AND ACTIVITIES FOR THE PUBLIC BENEFIT

The company’s objects and principal activities are to:

The director/trustees confirm that they have referred to the guidance contained in the Charity Commission’s general guidance on public benefit when reviewing the charity’s aims and objectives.

ACHIEVEMENTS AND PERFORMANCE

The director/trustees’ main priority remains to ensure that the services delivered under our previously unincorporated organisation, and that users have come to value, particularly in the Chesterfield area, continue. This enables the organisation to offer all users the higher quality of life they have experienced and enjoyed over the past 34 years.

Plans for the future

Reserves Policy

The aim of the company is not to make profits but to use any surplus funds to promote and finance the future growth of the organisation.

Chesterfield And District Shopmobility Ltd Company No. 07106728 Directors' Report For The Year Ended 31 March 2024

FINANCIAL REVIEW

Principal Sources of Funding

The principal source of funding for the charity has historically been Chesterfield Borough Council, which has enabled us to operate our core services as well as covering staff costs and rental of the premises. Due to funding cuts the council are unable to provide further funding for the foreseeable future. Other avenues for funding grants are being explored, however, in the meantime, the principal source of funding has become our Hire Services, which totalled £30,255 in the year ending 31/03/2024 and is included in ‘Hire Charges and Other Income’ in the Statement of Financial Activities on Page 6.

Free Reserves

Free reserves available for use by the charity are deemed to be those that are readily realisable, less funds whose uses are restricted or designated for specific purposes. The calculation excludes fixed assets that will continue to be used in the day to day running of the charity.

Risk Management

The board are continuing to review all of the major risks to which the charity is exposed. Where appropriate, systems or procedures are being established or strengthened to mitigate the risks the charity faces. Internal control risks are being minimised by the implementation of procedures for the authorisation of all transactions and projects.

Procedures are in place to ensure ongoing compliance with health and safety of staff, volunteers, members and visitors to our operational centre. These procedures are periodically reviewed to ensure they continue to meet the needs of the charity. DBS checks are carried out for all director/trustees, staff and volunteers.

Chairman’s Report

Colin Mitchell Chairperson

Chesterfield And District Shopmobility Ltd Company No. 07106728 Directors' Report For The Year Ended 31 March 2024

Statement of Directors’ Responsibilities

The management committee are responsible for preparing the Directors' Report and the financial statements in accordance with applicable law and regulations.

Company law requires the directors to prepare financial statements for each financial year. Under that law the directors have elected to prepare the financial statements in accordance with United Kingdom Generally Accepted Accounting Practice (United Kingdom Accounting Standards and applicable law). Under company law the directors must not approve the financial statements unless they are satisfied that they give a true and fair view of the state of affairs of the company and of the surplus or deficit of the company for that period. In preparing the financial statements the directors are required to:

The directors are responsible for keeping adequate accounting records that are sufficient to show and explain the charitable company's transactions and disclose with reasonable accuracy at any time the financial position of the charitable company and enable them to ensure that the financial statements comply with the Companies Act 2006. They are also responsible for safeguarding the assets of the company and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

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

Small Company Rules

This report has been prepared in accordance with the special provisions relating to companies subject to the small companies regime within Part 15 of the Companies Act 2006. On behalf of the board

Mr Colin Mitchell Director

Page 4

Chesterfield And District Shopmobility Ltd Independent Examiner’s Report For The Year Ended 31 March 2024

Report of the Independent Examiner

I report to the trustees on my examination of the accounts of the above charitable company for the year ended 31 March 2024.

As the charity's trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).

I report in respect of my examination of the charitable company’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

The charity’s gross income exceeded £25,000 and I am qualified to undertake the examination by being a qualified member of The Association of Accounting Technicians.

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination which gives me cause to believe that in, any material respect:

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

Signed

Page 5

Chesterfield And District Shopmobility Ltd Statement of Financial Activities (including Income and Expenditure Account) For The Year Ended 31 March 2024

Unrestricted Funds
2024
Notes
£
Incoming Resources
From generated funds
Voluntary Income:
Donations
745
Grants
10
12,452
JRS (Furlough)
-
Investment Income
-
From Charitable Activities:
Hire charges and other income
47,372
Total Income Resources
60,569
Resources Expended
Charitable Activities
11
51,313
Workshop Activities
12
12,350
Governance Costs
13
4,747
Total Resources Expended
68,410
Net incoming (outgoing)
(7,841)
Transfer between funds and PY adj
-
Net incoming (outgoing) funds
(7,841)
Fund balances b/f at 01/04/2023
13,336
Fund balances c/f at 31/03/2024
5,495
Unrestricted Funds
2024
Notes
£
Incoming Resources
From generated funds
Voluntary Income:
Donations
745
Grants
10
12,452
JRS (Furlough)
-
Investment Income
-
From Charitable Activities:
Hire charges and other income
47,372
Total Income Resources
60,569
Resources Expended
Charitable Activities
11
51,313
Workshop Activities
12
12,350
Governance Costs
13
4,747
Total Resources Expended
68,410
Net incoming (outgoing)
(7,841)
Transfer between funds and PY adj
-
Net incoming (outgoing) funds
(7,841)
Fund balances b/f at 01/04/2023
13,336
Fund balances c/f at 31/03/2024
5,495
Restricted Funds
2024
£
-
-
-
-
-
Total Funds 2024
£
745
12.452
-
-
47,372
Total
Funds
2023
£
453
10,479
-
-
49,328
60,569 - 60,569 60,260
51,313
12,350
4,747
-
-
51,313
12,350
4,747
59,189
11,794
2,460
68,410 - 68,410 73,443
(7,841)
-
-
-
(7,841)
-
(13,183)
(2,486)
(7,841)
13,336
-
-
(7,841)
13,336
(15,669)
29,005
5,495 - 5,495 13,336

The notes on pages 8 to 11 form part of these financial statements.

Page 6

Chesterfield And District Shopmobility Ltd Balance Sheet As At 31 March 2024

Notes
FIXED ASSETS
Tangible Assets
3
CURRENT ASSETS
Debtors
4
Cash at bank and in hand
Creditors: Amounts Falling Due Within One Year
5
NET CURRENT ASSETS (LIABILITIES)
TOTAL ASSETS LESS CURRENT LIABILITIES
NET ASSETS
RESERVES
Other reserves
Income and Expenditure Account
MEMBERS' FUNDS
2024
£
£
1,693
1,693
1,650
6,292
7,942
(4,140)
3,802
5,495
5,495
5,495
5,495
2024
£
£
1,693
1,693
1,650
6,292
7,942
(4,140)
3,802
5,495
5,495
5,495
5,495
2023
£
£
2,780
2,780
5,481
8,939
14,420
(3,864)
10,556
13,336
13,336
(2,486)
15,822
13,336
2023
£
£
2,780
2,780
5,481
8,939
14,420
(3,864)
10,556
13,336
13,336
(2,486)
15,822
13,336
1,693
3,802
2,780
10,556
7,942
(4,140)
14,420
(3,864)
5,495 13,336
5,495 13,336
5,495 (2,486)
15,822
5,495 13,336

For the year ending 31 March 2024 the charitable company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

The members have not required the charitable company to obtain an audit in accordance with section 476 of the Companies Act 2006.

The directors acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.

These accounts have been prepared in accordance with the provisions applicable to companies subject to the small companies' regime.

On behalf of the board

Mr Colin Mitchell Director

Page 7

Chesterfield And District Shopmobility Ltd Notes to the Financial Statements For The Year Ended 31 March 2024

1. General Information

Chesterfield And District Shopmobility Ltd is a private company, limited by guarantee, incorporated in England & Wales, registered number 07106728 . The registered office is Ground Floor, New Beetwell Street, Chesterfield, S40 1QR.

2. Accounting Policies

2.1. Basis of Preparation of Financial Statements

The financial statements have been prepared under the historical cost convention and in accordance with Financial Reporting Standard 102 section 1A Small Entities "The Financial Reporting Standard applicable in the UK and Republic of Ireland" and the Companies Act 2006, as well as the Charities SORP FRS 102.

2.2. Fund Accounting

Unrestricted funds are available for use in accordance with the charitable objects and at the discretion of the trustees.

Designated funds are unrestricted funds earmarked by the trustees for particular purposes.

Restricted funds are subjected to restrictions on their expenditure imposed by the donor or through the terms of an appeal.

2.3. Incoming Resources

All incoming resources are included in the statement of financial activities when the charity is entitled to the income and the amount can be quantified with reasonable accuracy. The following specific policies are applied to particular categories of income:

2.4. Resources expended

Expenditure is recognised on an accruals basis as a liability is incurred. Expenditure includes any VAT which cannot be fully recovered, and is reported as part of the expenditure to which it relates.

Charitable expenditure comprises those costs incurred by the charity in the delivery of it’s activities and services for it’s beneficiaries. It includes both costs that can be allocated directly to such activities and those costs of an indirect nature necessary to support them.

Costs of generating funds comprise the costs associated with attracting voluntary income and the costs of trading for fundraising purposes.

Support costs are those costs incurred directly in support of expenditure on the objects of the charity and include project management.

Governance costs include costs associated with meeting the constitutional and statutory requirements of the charity and include the independent examination fees and costs linked to the strategic management of the charity.

All costs are allocated between expenditure categories of the statement of the SOFA on a basis designed to reflect the use of the resource. Costs relating to a particular activity are allocated directly; others are apportioned on an appropriate basis.

2.5. Tangible Fixed Assets and Depreciation

Tangible fixed assets are measured at cost less accumulated depreciation and any accumulated impairment losses. Depreciation is provided at rates calculated to write off the cost of the fixed assets, less their estimated residual value, over their expected useful lives on the following bases:

Plant & Machinery 25% Straight Line Motor Vehicles 25% Straight Line Office and Computer Equipment 50% Straight Line

Page 8

Chesterfield And District Shopmobility Ltd Notes to the Financial Statements For The Year Ended 31 March 2024

3. Tangible Assets

Cost
As at 1 April 2023
Additions
As at 31 March 2024
Depreciation
As at 1 April 2023
Provided during the period
As at 31 March 2024
Net Book Value
As at 31 March 2024
As at 1 April 2023
4. Debtors
Due within one year
Trade debtors
VAT
Other taxes and social security
5. Creditors: Amounts Falling Due Within One Year
Trade creditors
Other creditors
Accruals and deferred income
Plant &
Machinery
£
4,647
-
Motor
Vehicles
£
355
-
Motor
Vehicles
£
355
-
Office &
Computer
Equipment
£

595
263
Total
£

5,597
263
4,647
355

858
5,860
2,046
1,040
355
-

416
310
2,817
1,350
3,086 355
726
4,167
1,561 - 132 1,693
2,601 - 179 2,780
2024
£
-
1,650
-
1,650
2024
£
3,050
90
1,000
4,140
2023
£
185
5,230
66
5,481
2023
£
2,564
-
1,300
3,864

6. Average Number of Employees

Average number of employees, including directors, during the year was: 3 (2022: 6) No employee received annulments of more than £60,000.

7. Trustee Remuneration and Related Party Transactions

No trustee received any remuneration during the period.

No trustee or other person related to the charity had any personal interest in any contract or transaction entered into by the charity during the period.

8. Company limited by guarantee

The company is limited by guarantee and has no share capital.

9. Taxation

The whole of the charity company’s income is exempt from taxation and is used solely for charitable purposes, therefore no tax charge has been provided for in these accounts.

Page 9

Chesterfield And District Shopmobility Ltd Notes to the Financial Statements (continued) For The Year Ended 31 March 2024

10. Grants

Chesterfield Borough Council
Provincial Grand
Freemasons
BMG East Midlands
11. Charitable Activities
Wages
Employers’ Pension
Training
Staff & volunteer expenses
Rent & premise expenses
Insurance
Equipment Hire
Vehicle expenses
Computer software
Repairs, renewals and maintenance
Printing, postage and stationery
Advertising
Telephone and broadband
Professional fees
Bank charges
Depreciation of plant and equipment
Depreciation of office/computer equip
Sundry expenses
Other interest and penalties
12. Workshop Activities
Materials and waste disposal
13. Governance Costs
Accountancy and Independent Examiner’s fees
Unrestricted
Funds 2024
£
9,755
-
1,940
757
12,452
Unrestricted
Funds 2024
£
24,243
367
-
1,776
4,617
1,652
348
4,552
230
197
284
7,406
3,060
105
560
1,040
310
191
375
51,313
Unrestricted
Funds 2024
£
12,350
12,350
Unrestricted
Funds 2024
£
4,747
4,747
Restricted
Funds 2024
£
-
-
-
-
-
Restricted
Funds 2024
£
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
Restricted
Funds 2024
£
-
-
Restricted
Funds 2024
£
-
-
Total Funds
2024
£
9,755
-
1,940
757
12,452
Total Funds
2024
£
24,243
367
-
1,776
4,617
1,652
348
4,552
230
197
284
7,406
3,060
105
560
1,040
310
191
375
51,313
Total Funds
2024
£
12,350
12,350
Total Funds
2024
£
4,747
4,747
Total Funds
2023
£
9,531
948
-
-
10,479
Total Funds
2023
£
29,342
171
348
1,897
5,631
1,592
465
2,214
486
1,045
746
9,275
3,460
105
459
1,163
298
492
59,189
Total Funds
2023
£
11,794
11,794
Total Funds
2023
£
2,460
2,460

Page 10

Chesterfield And District Shopmobility Ltd Notes to the Financial Statements (continued) For The Year Ended 31 March 2024

14. Movement in Funds

Unrestricted Funds
General Funds
Designated Contingencies
Restricted Funds
Total Funds
At 31 March
2023
£
13,336
-
13,336
Income
£
60,569
-
60,569
Expenditure
£
(68,410)
-
(68,410)
Transfers/PY
Adj
£
-
-
-
At 31 March
2024
£
5,495
-
5,495

The purpose of each fund is as follows:

Designated Contingencies

To try to provide a reserve fund against redundancy or other unforeseen circumstances.

Restricted Funds

Balance of funds received but not fully expended during the period.

Page 11