Charlty Registratlon No. 1136760 Company Règlstratlon No. 07259164 (England and Wales) IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE ANNUAL REPORT AND FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 AUGUST 2020
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE LEGAL AND ADMINISTRATIVE INFORMATION Patrons Professor Marianne Elliott Professor Emerilus-The InslilLJle of Irish Studies, University ol Liverpool Mr John Kennedy CBE, KSG. KMCO, DL Professor Peter Shirlow FACSS, Director of The Institute of Irish Studie5, University ol Liverpool Liam Fogarty Norma Kielly-crummey Trustees SAmin E Carrulhers (Vice Chairl O Hagan ITaSUrer) S Hillhouse P Hinton Ichairl M Hogan K Kinsella L Lacey D Mcoonagh K O'Brien A Wiswell MBE IAppoinled 31 Mar¢h 2D201 DSrector B McDaid Charity numb8r 1136760 Company number 07259164 Registered offlce 151 Dale Street Liverpool L2 2AH Audltor BWM Castle Chambers 43 Castle Street Liverpool L2 9SH 8ank&rs Co-Oper&tive Bank PO Box 101 1 Balloon Street Manchestei M60 4EP
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE CONTENTS Page Trustees, report Slalemerjt ol truslees. responsibilities 12 Independent auditor's report 13-15 Stalemenl of linancial activities 16-17 BalanTr sheet 18 Notes lo the financial staternènls 19-32
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES, REPORT {INCLUDING DIRECTORS. REPORT) FOR THE YEAR ENDED 31 AUGUST 2020 CHAIR'S INTRODUCTION An exlraordinary yèar and a lanlaslic response by Irish Community C8re IICCI lo unforeseen and exceptional challengesl This year has certainly beet) different. Ways ol working and delivering our ServIS have changed and may never return lo former patterns of operalion. Throughout (he time since March, staff have shown Ihernselves to be even more adaplable, flexible and creative. On behalf ol the Board I pay tribule to Ihem for continuing to provide help and support to our clienls while developin9 new initialives. We have been enorrnously helped by staff from the Embassy of Ireland and special Covid-19 funding from the Irish Government's Emigrant Support Progiamme and the HM Govemmenl Coronavirus Support Fund in partnership with the National Lottery Cornmunily Fund. CARA (meaning 'friend' in Irish). Irish Commuiiities Togelher has bB8n established. With its CARA partners, Brian 8oru Club. Wigan,. GAA John Mitchels & Wolfe Tones,. Liverpool Irish Cenlre., Mersèy Harpg,. Comhaltas Ceoltoiri Éireann." Institute of Irish Studies Univers5ty ol Liverpool,. Irish community Care Manchester., Liverpool Irish Festival., Mersey Harps and Shenanigans., ICG h8S helped coordinate over 70 volunteers to give assistance to people particularfy vulnerable during the pandemic. The lirsl newsletler in June 2020 had a n7essage from the President ol Iieland, Michael D. Higgins, and we are honoured that he made the first Contributi lo Ihe publicalion. We thank Irish in Britain, loo, lor its crucial role in connecting organisalions nationally lo share learning and offer mutual support during the pandemic. We hope Ihat CARA is more than a short-lerm Tesponse to an emergency and can form the basis for cSoser working 8nd community support. We continue lo be gratefLtI to our local organisats'ons lor taking on sponsorship events for us and friends who continue to make donations. Their efforts conlribute valuable amounts ol uiiieslricied income that allow us to make plans lor further support to our community. Despit¢ the constraints itnposed by lockdown and responding lo an emergency, we have gone ahead with our plans lo appoint a Community Engagement & Participation Lead and lo recruit lo three posts lo expand our services in Cheshire. We have been actively involved Sn Moving lor Change, part ol our policy work In relation lo Gypsies and Travellers. Some of our intentions this year have had I8vItablY lo be reph85ed or delayed. The Diredions progfamme, to help to give employment opportunities for Ih05e not in work, has been partlGularly affecled by Ihe ie8lri¢lion on face lo face contact. We know that rising unemployment and diSplament from jobs wll make this service èven more important in the coming months. Our pS8nned relaunch of our brand and website has also been delayed but work is now almost complete. We are grateful lo Imagist for help with this work. It is an outcome from the ftjrther development of the Irish Northern Partnership, now called Frèa, so that ICC, ITish Community Care Manchesler and Leeds Irish Health & Homes have related branding. evidence of the strength of the relationship. Trustees continue to give their lull support lo ICC. Significant developments this year have been a Board review exercise. progress with review arrangemerTrts for policies and staff terms and condilions of employment. trustee training in safeguarding and experience of meetings via Zoom. We welcomed Karina Kinsella as a new tfustee, bringiThJ valuable experience in public heallh and a(zdemic research. There remain vacancies on the Board, notably for those wilh a background in law or accounting. How the office oan be used in the future is now a very livè issue. Working from home lor our slafl has had lo be Ihe norm, with both benefits and disadvantages. Hybrid working is likely lo be thè pattern lor the future which gives an opportunity lo reassess the sp8C8 we have and whether it can offer new possibilities lor Service Users. ICC has certainly risen to the challenge that e pandemic has posed. We must now ensure that we CDntinue to adapt and d¢velop, securing lunding in the tougher time ahead lo continue lo support our community. Peter Hlnton Chaly
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES, REPORT ICONTINUEDI{INCLUDING DIRECTORS. REPORT FOR THE YEAR ENDED 31 AUGUST 2020 The trustees presont their report and accounts lor the year ended 31 August 2020. The accounts have been prepared in accordance with Ihe accounling policiès sel out in note I lo the accounts and comply with the charitable company's rnemoiandum and ariicles of association, the Companies Act 2006 and "Accounting and Reporting by Charities. Slalemenl ol Recommended PiaGli¢e applicable to charities preparing their accounts in accordance with the Financi81 Reporting Standard applicable in the UK and Republic ol Ireland IFRS 1021" las amended for accouniing periods oommeneing from 1 January 20161. Objectlv&s and activitie5 The objectives of Irish Community Care, as set out in our Memorandum and Articles of Association are.. To promote the we5faTe and inclusion ol our communities In general and our Irish and Irish TraVelr communities in particulai throughout Merseyside ancl surrounding area5 regardless of gender politics, religion, sexu3lily, age, disability, SDClO-eoonomic status and ethniclracial and cultural background through a multi-agency approach. To help and relieve need, hardship, sickness and distress Ihrough the aecess of local, regional, national and inlemalional facilities for social well8Te, recreation and leisure lime occupation with the objecl of improving the conditions of life lor the community. The Iruslees have considered the Charity Commission's guidance on public benef11, induding the guidance 'public benefit.. running a charity IPB21'. Our serviees have furthered the charity's purposes for the publi benefil, enabling members of our commtjnities to link into enlillements, services and opportunities, helping them to sellle well into life here in the North Wesl., contribLJting to COFnmunity lilp and the local economy. ICC is recognised locally, regionally. natirinally and internationally as a pivotal organisation in ils ability to reach some of the mosl excluded and marginalised members ol our communilies, individuals and families who are vulnerable through poverty, low income, debl, isolation, poor accommodalion. offending, homelessness. poor physic81 andlor rnental heallh. drug andlor alcohol misuse, domestic abuse, dual diagnosis, offending, ra¢i5m, harassment, hate crime, cultural and social isolation and exclusion.
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES. REPORT ICONTINUED)(INCLUDING DIRECTORS, REPORT) FOR THE YEAR ENDED 31 AUGUST 2020 Achievements and performance What an interesting, inspiring and hectic lime 2019-2020 has been. In addition to the challengès of demand lor Seices, iesource conslraints, funding applications and ieporting, recruiting staff, office restructure, we have lived ihrough a peiiod ol history that has not previously been experIend in our lifetime. And as always insle8d ol standing still and merely delivering existing services Irish Comrnunily C3re delivered more,. selting up remote woikino quickly and efficiently," assessing additional sUPPOrt needs existing Service Users might have in light of lockdown". leading the way on an innovative North West Irish Community response lo lockdown, inlonning and influencing policy and decision makers locally, regionally and nationally about the particular and additional experiences and anxieties ol our communities at this lime. We h8ve also learnt the many challenges including capacity, resource5 and governance issues that need to be consiL1ered and 8¢tion&d when leading on an extensive ¢ross community inilialive. We have Made significant progres$ in implementing our Business Plan 2019- 2022, a plan that clearly sels our vision ol ensuring well informed, empowered 3nd vibrant Irish communitie5 ln the North Wesl,. and our mission lo b8 a leading participant in the provision of support, information and guidance lor all Irish oommLsnilies. Our aims are based on three key pillars.. (ltrliver SL"IVlCC'4 11Tr41t prni¥iotL iiidepf.'Trdpnc.v. iiiiprovÉ. ir¥trndiJ( e i)pyr511iinilp5. Wp tlttr i'.oriiiiiittp(I In 1Siarr)pioi)Triis' Ilie Fi¥,lii loi lill uiji Care W¢. yroisivli. tlii. wvlllJLPi%ill di)d i11{.1-401l vl dll Iiisli i)gtsiJlL' IritsL(Elve ijl uliiirc. J80, backgfoiiiid 01 I013lifJr). Ille io5PQ£t pcoplE, i'alite divoisity and Communsty Wp l)iiilrl ,iiirt s11."laii)4able £eiviitss tliroijgh auilienlil oiiLI vi31Jl psrlnersliiy5 Jnil Ll?ai ¢orTrTIILllltatlCitlJ. We &rL CODllllltiod tD d Cl7[1. of li?èmivoFK diiil CollbratiOn. Connecilon
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES. REPORT {CONTINUED)IINCLUDING DIRECTORS. REPORT) FOR THE YEAR ENDED 31 AUGUST 2020 We 581 four demanding goals and this year we h8v8 made significant progress.. Jiil)lPVETIILlll In addition l(> new areas of work., we have continued with our very important COTe services deliverng quality assured, c(Jllurally 5ensilive, advi, advocacy and support serviGes. offering vital support in limes ol crisis, hardship and distress. ICC interventions have made sure that people are sale and well, develop confidence and friendships and have improved life opportunities. We locus on creating ind&pendence encour8ging self-help and resilienc8 and enabling people to make positive decisions and d)oices. Up until March 2020, thesè services have been delivered both 81 our offices bases in Liverpool, EllesmerÈ Port and Wigan and through community outreach i.e. home, hospital and prison vi51ts across Liverpool Cily Region, Gheshire and Wigan 8Nd through regular health and wellbeing and social activities. We are extremely proud ol how quickly we were able to adapt to the changed work environment imposed by GOVID-19 and lockdown., how we risk assessed and managed staff health and well b8ing and performance throughout this period. Slaff, Volunleers, Trustees, Service Users and der partners have shown resilience and worked creatively. tirelessly and flexibly to ensure that vulnerable people In our communities continued lo stay safe. well and conneed during these extraordinary limes.
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES. REPORT ICONTINUEDI(INCLUDING DIRECTORS, REPORT) FOR THE YEAR ENDED 31 AUGUST 2020 Analysis of data fmm ICC Service User Management System ISUMSI 1st September 2019- 31st August 2020 evidences the reach, extent and impacl of our work". AdviLL, Advoracy i& SiJi)i)(Irt JpiIII(:P No. Service Users No. of Dependent Children Request Passpori Applications Nr). B4iTcfirit7rie iittriar.tionti AdviLe & A(Ivocacy SL&ivtcv 14edlth rllltl WL.Illininq Ar.tivitipb SL'I)t 19 2Ql.O Wiiral Irish Group (Weeklyll Irish Tuesd8y Club (Weeklyll Thursday Group (Monthly) Guimhne Memory Support IFortnighUyl 783 190 142 Nc). 150 60 100 12 Phone Pèrsonal l Dro Other Third Party Email Home l Hospit81 Visil Letter Prison Accom Other I'otcil IterCtIon£ 2tJ19 ?020 4204 25g4 972 672 327 276 183 93 64 27 Irish Lan uage Group (Weekly) Irish Voices 40 FIv.1c Itli & WpllbtJinu Total Beneficlaries Beneliciaries Advice, Advocacy & Support Beneficiaries Heaiih & Wellbeing Activities Totci5 Bp.nplitriill'iCq ?019 2n?0 1115 374 an in Support Requests 1200 I0 411) 2(D M.,.. .1 i.,.-.l.i.l.-. Supporl Requests
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES, REPORT ICONTINUEO){INCLUDING DIRECTORS, REPORT) FOR THE YEAR ENDED 31 AUGUST 2020 Outcomes 35( 25 15 OutcomE5 The following Case Studies are leslamenl lo th¢ real and lasling difference lo people's lives that ICC makes. Irighl click to open hypertinkl. hl s.'Illin url.comllCCCaseSIu s-2019 Partnèyshlps ICC is recognised as a trtjsted comrnunity organis3lioTr, held in high regard locally. rloallY, nationally and internalionalSy. Partners include local authorities, Clinical Commissioning Groups, Heallh Setvices, Social Landlords. Private Landlords. Department of Work & Pensions, Addiction Services, Prisons. Probation, Youth Offending Tearns, Poli, Women & Children's Aid, Education & Training Providers, Universilie5, BAME Partnery. CVSS, Age UK, to name 8 few. We liaise Closely with the Embassy of Ireland, Passport Of[15, Crosscare Migrant Support in Dublin, Safe Home, Irish Council lor Prisoners Overseas, and thè exiensive Irish Britain network. ICC is very proud to report that this year has been a year of slTengthened p8rtn&rships and Collaboration eVIdend in langible projects. The introduction of the CARA initiative was labour intensive lor ICC in terms of ensuiing governance and syslems IN place and in rnanaging expectations. However w8 are greally Inspired by the generosity of our communities,. the groundswell of volunteers who came forward lo offer practical 8nd emotional support, the fundrgising initiatives carried out by GAA partners. the we81th of online oultural activities vailable. The progranime has been a great success and has been promot8d locally, nats'onally and globally as an excellent COVID-19 community response. We recognise the importance of harnessing these resources going forward lor the benelil ol vulnerable people in our communities and communily organisations. To quolg Uacht3ran na hÈireann Michael D Higgins in his opening address for the CARA Newslelter.. Itin CA ANe rJUNE2 'Last year. during a mosl wonderful visit lo Liverpool. I slated Ihal, regions do not exist on paper, but occiii orgaTri¢311y by the bringing of p&ople, inslitutioi?s, and resourc8s, huma17 and plFy5ical, logelher. The 'CARA.' Irish Communities Togelher Throtjgh COVID-19' inilialive, which Gombines the capabilities of mor8 Ihan 1Q Irish community organisalions in the North West of England, reflects so well lh8 kind of regioal Gning togelh8r thal l envisaged,
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES, REPORT ICONTINUEDIIINCLUDING DIRECTORS, REPORT FOR THE YEAR ENDED 31 AUGUST 2020 COVID-19 brought into sharp locus how ihe nèèds of Irish communities were multiplying and resotjrees across all partner organisations werè stretched. It greatly exposed the additional digital inclusion barriers and dssadvan13ges experienced by our cornmunilies. Such bairiers included access lo online aclivilies, knowledge and skills lo get aclive online and aCsS lo a technology device. CARA Programme has been able to provide IT equipment to a sm311 number ol people. We have learned how18bour intensive it is lo talk through use Cif tech over the phone. Fréa (the partnership belween ICC, ICC Manchester and Leeds Irish Health and Homes) has undertaken a Ihree monlh Digital Research Programme and we are currently developing our strategy lo address Digital Inclu510nlExclusion in our communities. Policy work continues to be a wcial area of work al ICC both locally, regionally and nationally, and indudes.. Launch ol'we're Still Here '3 1011ow up study lo 'Here lo Slay,, research into tlie needs and preferences of Gypsy and Traveller communities in Cheshire, Halton and Warringlon We look forward to taking the recommendations of this report lonvard through ICC'S newly expanded Cheshire service, Moving for Change working wi¢h Gypsy Traveller organisations across England, Wales, Scotland and Northern Ireland with a particular focus on Toadside families. This is a live year programme supported by National Lollery Community Fund. Gypsy Traveller Roma Liaison Group at Ministry lor HoL¢sing Cominunilies and Local Govemmenl IMHCLGI. Raising awareness, understanding and appropriate response to the experiences of Irish and Irish Traveller people in the Criminal Justice System. We delivered an excellent cultural programme during lockdown to ensure p80ple in prison had access lo extra phone credit. ststionery and postage lo keep in touch with family, so very important for people who were in 'double lockdown, with no visits and suspension of all pris)n activities. We are exploring the new Probation Dynamic Framework as an opportunity to sustain and develop our work in Ihis area. Key role in COVID-19 res11nCe forums, highlighting cultural concerns and additional barriers. Ensuring inclusion of our communities in discussions around ra and ethnicity locally and nationally, ensuring more equitable access lo service, opportijnities and community resources. Acknowledgements Suslainabilily remains a majc>r concern and ch8llenge-, particularly in light of Ihe addilional economic, political, health and social pressures presented by COVID -19. We are also facing the addilional and as yet unknown challenges of Brexit. ICC is deeply indebted to OUT Tange ol funders whose continued investment and flexibility during COVID-19 has enabled us lo provide much needed services. We acknowledge in particular the continued support from the Irish Governmenl Emigrant Support Piogramme through the Department ol Foreign Affairs and Trade. Thi5 programme invests significantly in our information, advice and outreach services and our specific engaoernent woik with older people across Merseyside and Wigan. In recent years the programme has also invested in our prison Inre8ch service, providing a pivotgl ro%p in supporiing people in prison and Iheir families tland and across UK. The Irish YoLtlh Foundation continues lo recognise thé particular dirricullies faced by young Irish and Irish Traveller people. It supports our work in offering a vital support service lo people either newly arrived or seltled here e,9. for finding a place to live, a job or training, keeping wdl. managing debl and ke8ping ec*)necled lo culture. community and horne. We are now in the third year ol fvnding from Lloyds Bank Foundation, crltcial to delivering our pThson in reaeh and through the gale reselt1ement support programme.
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES, REPORT {CONTINUEDI(INCLUDING DIRECTORS. REPORT FOR THE YEAR ENDED 31 AUGUST 2020 Continued sUPPOrt from Local Authorities i.&. Liverpool City Counal, Wirral Borough Council and Cheshire West and Chester Council has enabled ICC lo engage with and deliver vital support seroices to the Irish and Irish Traveller families in these 8rg3s. ICC in partnership wilh Wirral Change delivers the BME He8lth Irnprovemenl Contract in Wirral addressing health inequalities experienced by our cotllmunilies. This futu of all public lundimg remains uncertain as local authorities struggle to balance budgets in light ol COVID-19. We will continue to lobby foi investment in community specific services lo effectively reaoh those most in need ol support. We are delighted to announce new funding from the European Social Fund to deliver Directions a Lirpool City Region prograrnme supporting people who are furthest from the labour m8rkel lo develop new skills in readiness for employment. The additional economic ehallenges during COVID-19 will have particular implications lor this programmè. National Lottery Community Fund INLCFI has awarded three year funding to develop our Travelling lo Independence Programme in Cheshire. We are lookiny forward lo recruiling lo three new positions lo drive forward this important work. We also acknowledge the crucial COVID-19 specific funding received from Iiish Government Emigrant Support Programme, Htbl Government Coronavirus Support Fund in partnership with NLCF, Irish Youth Foundation, Lloyds Bank Foundation and Liverpool City Council Business Support Funding which has enabled ICC to sustain existing services, develop new initiatives and ensure COVID sale working enviTonMent8. Key eletllgnls ol our sustainability slrategy g(xng forward are.. Excellent governance Demonstrating outcomes and impacl Longsianding Relationships with KÈY Funders Business and Philanthropic 5UPPOrt via Fréa Excellent Financial Management Reserves and Conling&ncy Planning • Marketing and PR Investment in new work slre8m$ . Altractin9 new audiences ICC is all about Care. Community and Connection. Thanks to all Friends of IGC who have supported r work throughout the year,. our volunteer team who continue to be the backbone of ICC., everyone who has attended or supported community even15 or organised fundraising aclivitr'es on (>ur behalf. We extend our thanks lo Irish Voices, lh8 Service User and Volunteer Forum who provide vital grass roots insight, cTrproduce seDAces and influence change. All your SLJPPOrt has enabled ICC to provide vital support to people in tIMes of crisis. hardship and distress and to enable our communities to come together, supporting each other Ihfough celebrats'ons and regular health and well being and social activities. If you want to lind out more about becoming a Friend ol ICC, just gel in touth.
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES, REPORT ICONTINUEDIIINCLUDING DIRECTORS. REPORT) FOR THE YEAR ENDED 31 AUGUST 2020 Financi81 review The rÈsulls lor Ihe year and the charity's financial position at the end of the yèar are shown in the attached financi81 statements. Income for the year tolalled £495,57012019'. £393.1181 ol which £426,351 12019.. £329,280) related lo funds upon which a restriction was placed. Tolal expenditure was £457,23612019.. £419,204) giving an overatl surplus for the year of £38,334 12D19". defiul of £26,086). Al the year end, lolal reserves were £559,395 12019.. £521,061). Plans foy Future Periods As we work through and emerge from the uncertainties of COVID-19 we recognise theie 31e signiflcanl challenges ahead for 811 and we are looking foard to rising lo these challenges and embracing new opportunities ahead. We will d81iver on the strategic framework as sel oul in our Business Plan 2019-2022. This year we will18unch our new brand and idenlily., a fresh new look lo consolidate Irish Community Care as a leading OrganSation in ensuring well informed, empowered and vibrant Irish tommunities in the North Wesl area. Going concern The vse of the going conr basis of accounting is considered appropriate because there are no material uncertainties or conditions that may cast signllicanl doubt about the ability of the charitable company to continue as a going concern. Income is expected to remain consislenl and any decrease would be matched by a decrease in 8S50aaled costs. The accounts include lestricted funds of £270k and deferred incotne of £136k whi¢h will be carried forward lo 2020121 and matched against expendiluTe for the new financial year. The Truslees believe that the charitable company is well placed to manage its operational risks successfully despltè the current uncertain economic outlook. Investment policy and objectives The Trustees have considered the most appropriate poliay for investing resources and have decided that bank dep0511s meet their requireTnent lor short and medium term protection ol resources. The Trustees consider Ihe rEturn on funds from this source to be the most suitable currently av8i18ble. Reserves Policy It Is the policy of the charitable company to create and maintain unresliicled funds which 8re not committed lo (designated lundsl or invesied in tangible fixed assets at a level which, because ol the relalively limited amoLJnts involved, provides as much asyurance ol fulure operaling resources as possible. Operating resDurces are to cover managemenl. adminislralion and support costs and lo respond lo unforeseen circumstances. The current level ol Iree reserves is l93,421. This level ol reserves is considered necessary lo ensure short lei continuance of activity thels in the evenl of signifiGant reductions in or cèssalion of lunding. Risk Pollcy The Trustee5 have examined the major strategic, busingss 8nd operational risks which the charitable company may face and believe that all the major risks have been identified. The Trustees have adopted a form21 risk assessment procedure and have eslablished systems lo ensure that Ihe necessary steps can be taken ID lessen these risks.
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES. REPORT ICONTINUED)IINCLUDING DIRECTORS. REPORT) FOR THE YEAR ENDED 31 AUGUST 2020 Structure, goveynanee and management The OFg8nisation is a charitable company, lirniled by guarantee (registered in England and Wale5 company no.072591641. incorporaled on 19 May 2010. The COTnpany was established under a Memorandum of Associalion, which established the objeds and powers of the company and is governed by its Articles of Association. The charitable company was registered with the Ch8rily Cc>mmission on 6 July 2010 as a tharily Icharily no.11367801 to promote the welfaie and inclusion of our communities in general and our Irish and Irish Traveller communities in particular Ihroughoul Meiseyside and surroundsng areas and to help and relieve need, hardship, sickness and distress through access to local. regional, national and international facilities lor soGial welfare, recreation and leisLJre lime occupation with the object ol improving the conditions ol life lor the community. The Iruslees, who are also the direclors lor the purpose ol company law, and who served during the ye8T were.. S Amin E Carrvlhers (Vice ChaiTI O Hagan (Treasurer) S Hillhouse P Hinton Ichairl M Han K Kinsella L Lacey D McDonagh K O'Brien A INiswell MBE (Appointed 31 March 20201 Appointment of trustees, membership an(J board fuE)Ctloning The Board of Tiuslees is responsible lor selting the strategic direction ol th8 organisation while day to day management Is devolved to 8reege McDaid, the Director. The tnjstees meet bi-rnonlhly or more frequently, if required, with sub groups meeting bi-monthly and task groups developed when ne$sarY. New Iruslees are proposed and agreed al Iruslees, meeting and their training needs are assessed #nd Ihe appropriate skills developed. None of the irusÈees has any benef5C181 interest in the cowp8ny. All of the Iru5tees are members of the charitable company and gu8r8nlee to contribute £10 in the event of a winding up. Auditor Our current Auditor BWM was appointed in 2013 after a su¢¢essful response to our 2012 tender document. They have been reappointed each year since. Good practice and due diligence would indicate that we should now revisit the market to ensure we are still receiving best value and appropnale service. A lender ¢Jocurnent will be c¢rculaled to potential alternatives in January 2021 f(w a decision in March 2021. BWM wll also be invited to re lender. Disclosure of Information to auditor Each of the Iruslees has confirmed that there is no infomalion ol which they are aware which is relevant to the audit, but of which the auditor 18 unaware. They have further confirmed that they have taken appropriale st8P5 lo identify such relevant information and to establish that Ihe auditor is aware ol such information. 10
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE TRUSTEES. REPORT (CONTINUEDI{INCLUDING DIRECTORS. REPORTI FOR THE YEAR ENDED 31 AUGUST 2020 Small company provisions The report has been prepared in accordance wth Ihe spècial provisions Felaling to small companies within Part 15 of the Gompanies Act 2006. On beh board ol trustee O Ha9an ITreasurer Trusle8 Dated.. nttsn (Chairl Truslee Dated..
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE STATEMENT OF TRUSTEES. RESPONSIBILITIES FOR THE YEAR ENDED 31 AUGUST 2020 The trustees, who are also the directors ol Irish Community Care Ltd for Ihe purpose of company law, are responsible for preparing the Trustees, Report and the fin8ncial 518tements in 8CCDrdgnce with applicable law and United Kingdom Accountillg Standards (United Kingdom Generally Accepted Accounling Practi1. Company Law requires Ihe Iruslees lo prepare financial $latemenls lor each financial year which give a Irue and fair view ol the state ol affairs ol the charitable company and ol the incoming resoLJrs and application of resources, Including the inoome ènd expenditure, of the charitable company for that year. In preparing these linanci81 stalernenls, the trustees are reouired tts.. select suitable a¢¢ounling policies and ihen apply Ihem consislent¢y', obseNe the methods 8nd winciples in the Charities SORP., make judgements and estimates that are reasonable and prudent,, and prepare the financial slalements on the gng concern basis unless il is inappropriate lo presume thal the charitable company will continue in operation. The trustees are responsible for keeping adequate accounting records that disclose with reasona accuracy at any lirne the financial posits'on of the charitable company and enable them lo ensure that the fin3noi81 slalemenls comply wilh the Companies AGI 2006. They are also responsible lor safeguarding the assets of the charitable Company and hence lor taking reasonable steps for the prevention and detection of fraud and other Irregularitses. 12
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS OF IRISH COMMUNITY CARE LTD Opinion We have audited the financial staternents ol Irish Communily Care Ltd lihe 'chaTilable company'l for the year ended 31 August 2020 which comprise the slalement ol financial activities, the balance sheet and the notes to the financial slalernents. including a summary of significant accounting Policies. The financial report¢ng tramework that has been applied in their preparation is applioable law and United 'ngdoM Accounting Standard8, inGluding Financial Reporting Standard 1D2 Tlie Financi81 Reporting Standard applicable in the UK and Repiiblic of Ir8land (Uniled Kingdom GenerallyAcc6pted Accounting Practice). In our opinion, the financial statements.. give a true arxj fair view of the stale of the charitable company's affairs as at 31 Augu512020 and of its incoming resources and applioation ol resour5. for the year then ended., have been properfy prepared in accordance with Uniled Kingdom Generally Acpted Accounting Practiee". and have been Prepad in accordance with the requirements of the Companies Act 2006. Basis for opinion We conducted our audit in accordance with International Standards on Auditing IUKI IISAS ILIKII appli¢able law Our SponSibl11t1eS under those standards are further described in the Atjdilor's responsibilities for the audit of Ihe financial statements section ol OLJr report. We are independent ol the charitable company in a¢cordan¢e with the ethical requirements that are relevant to our audit of the financial stgtemenls in the UK, induding the FRC'S Elhical Sl8lldard. and we have fulfilled our other ethical responsibililies in accoidance with these requirements. We believe that thè audit evidence we have obtained is sufficient and appropriate l¢F prowde a basis f our OnIon. Conclusions r81atlng to going cor¢cern We have nothing lo report in respect of the following matters in relation to which the ISAS IUKI require vs lo report to you where.. the trustees. use of the going concern basis of accounllng in the preparation of the financial statements IS not appropriale., or tlie trustees have not disdosed in the finan¢i81 slalements any idenliffed material un¢ertainfies that may cast significant doubt aboul the charitable company's ability lo continue to adopt the going concern basis of accounting lor a period of at least twelve monlhs from the dale when the financial statements are aulhorised for isskje. Other informatio The trustees 3re responsible lor the olher information. The other information cornprises the information included in the annual report, other than the financial slatBTnenls and our auditor's report Ihereon, Our opinion on the fingncièl slalemenls does not cover the other inlortllation and, except to the exlenl olherwise explic1Y staled in our report, we do not express any form of assurance conclusion Ihereon. In connection with our audit of the financial statements, our responsibilily is to read the other information and, in doing so, consider whether the other inlormation is materially inconsistent with Ihe financial staternent5 or our knowledge Dbtained in the aLJdit or otherwise appears lo be malerially misstated. 11 we identify such mateTial inconsistències or apparent material misslalemenls, we are required lo determine whether Ihere is a material misstatement in the linanoial 518temenls or a material mi5slalemenl of the olher information. 11. based on the work we have performed, we conclude that there is a material misslalement of this other information, we are required lo report that fact. We have nothing lo repori in this fegard. 13-
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE INDEPENDENT AUDITOR'S REPORT (CONTINUED TO THE MEMBERS OF IRISH COMMUNITY CARE LTD Opinions on other matters prescrlbèd by th& Companles Act 2006 In our opinion. based on the work undertaken in the course ol our audit.. the inlortnalion given in the Trustees, Report. which includes the Diiectors, Report prepared for the purposes of company lew, ftsr the financial year lor which the accounts are prepared is Gonsistent wilh the accounts., and Ihe DITectois' Report included within Ihe Trustees. Reporl has been prepared in accordance wtth applicable legal requirements. Matters on whi¢h wè are rèquired to report by exception In the light ol the knoedge and undeTSt3nding ol the charitable company and its environment obtained in the course ol the audit. we have not ideniilied material mi5Stalements in Ihe DiFeclors' Report Fncluded within Ihe Trustees, Report. We have nothing lo report in respect ol the folloMAng matters in relation to which the Companies Act 2006 requires us to report lo you if, in our opinion,. adequate and proper accounting records have not been kept. or retums adequate for oui audit have not been received branches not visited by us., or the fin8ncial statements are not in agreement with the accounting records and returns., or certain disclosures ol Iiustees, remuneration specified by law are ntst made,. or we have not received all the information and explanations we require lor csur audit., or the trustees were not enlitled to prepare the financial statements in accordance wth the sma11 companies regime and take advantage ol Ihe small companies, exemptions in preparing the trustees. report and from ihe requirement lo prepare 8 slral8gic rèport. Responslbllltle$ of tyustfras As explained more fully in the sl3lemenl of trustees, responsibilities. Ihe truslees, whc> are also the directors ol the charitable company lor the purpose of company law, are re5ponsibl8 lor th8 preparation ol the financial si8lemenls and lor being satisfied that they give a true and fair view, and for such inleTnal control as the Iruslees determine is necessary to engble the preparation ol financial statements that are free from material misslalemenl, whether du& lo fiaud or error. In preparing the financial statements, the trustee5 are responslble for asstsssing Ihe charitable ¢ompany'$ 3bi1Sty to continu& as a going concein, disclosing, as applicable, malters related to going concern and using the going concern basis of accounts'ng unless the trustees either intend to liquidate the charitable company w to cease operations, or have no iealisliG allemalive but lo do so. Audltor's responsibilities for the audit of the financial slotem9nt$ Our objectives are to obtaln re8son8ble assurance about whether the financial statements as a whole are free from materi&l misstatement, whelher due lo fraud OT eiror, and to issue an auditoi's report that includes our opinion. Reasonable assurance is a high level of assurance, but is not a guarantee that an audit conducted in a¢Gordan¢e with ISAS IUKI will always detect a material mi55talernenl wherTr il exists. Mi5s18lemenls can arise from fraud or erior 8nd arè considered malerial if, individually or in the aggregate, they could reasonably be expecled to Influen the economiB decisions ol users taken on the basis of these financial statements. A further description ol our responsibilitles for the aLJdit of the financial statements 15 located on the Financial Reporting CoLJncil's website at.. hllp'.IlwN.frc.org.uklauditorsresponsibililies. This description loms part of our auditor'5 report. 14-
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE INDEPENDENT AUDITOR'S REPORT (CONTINUED) TO THE MEMBERS OF IRISH COMMUNITY CARE LTD Use of our report This report is made solely lo ihe charita6 company's merrbers. as a body, in accordanee with Chapter 3 01 Part 16 01 the Companies Act 2006. Our 8udil work has been undertaken so that we might slate lo the charilable company's members those matters we are required to state lo them in an auditors. report and for no othtrr purpose. To the fullest exlenl pefmilted by law, we do nol accept or assurre rèsponsibility to anyone other Ihan the charilable company and the charitable company'5 members as a body, lo¥ our audit work, for Ihis report. or lor the opinions we have formed. Peter Taaffe FCA CTA DChA Isenior Statutory Auditor) for and on behalf of BWM Chartered Accountants Statutory Auditor Castle Chambers 43 Gastle Street Liverpool L2 9SH 15
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE STATEMENT OF FINANCIAL ACTIVITIES INCLUDING INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31 AUGUST 2020 Current financial year Unrestrlcted Restricted funds funds 2020 2020 Total Total 2020 2019 Notes nco Donalions and legaaes Charitable activities 7,409 61,810 7,409 488,161 5,896 387.222 426,351 Total Income 69,219 426,351 495.570 393,118 Charitable activitie5 32,730 424,506 457.236 419,204 Total expendlture 32,730 424,5( 457,236 419,204 Net movemgnt in funds 36.489 1,845 38,334 126,0861 Reconelllation ol funds Fund balances at I Seplembei 2019 252,596 268,465 521.061 547,147 Fund balances at 31 August 2020 289,085 270,310 559.395 521,061 The statement ol fin3nThal activities includes 811 gains and105ses recognised in the year. All income and expenditure derive from continuing activities. The movement in funds detailed above ¢omplies with the Tequirements lor a statement ol changes in equity under FRS102. The statement of financial activities also complies wth Ihe quiremntS for an income and expenditure account under the Companies Act 2006. 16-
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE STATEMENT OF FINANCIAL ACTIVITIES (CONTINUED) INCLUDING INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31 AUGUST 2020 Prior financial year Unrestricted Restricted funds funds 2019 2019 Total 2019 Notes Donations 2nd legacies Charitable activities 5,896 57,942 5,896 387,222 329,280 Totsl incom6 63,838 329,280 393,118 Charitable activities 77,653 341,551 419,204 Total expenditure 77,653 341,551 419,204 Net movement funds 113,8151 112,2711 126,0861 Rèeonelllation of funds Fund balances al 1 September 2018 266,411 280,736 547,147 Fund balances at 31 August 2019 252,596 268,465 521.061 The s18temenl of financial 8clivi118s includes all gains andlosses recognised in the year. All income and expenditure derive from continuing activities. Thè movement in funds det8iled above complies wlh the requirements for a statement ol changes in eqully under FRS102. The slalement of financial activilies 8150 complies with the requirements for an income and expenditure account under the Companies Acl 2006. 17
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE BALANCE SHEET AS AT31 AUGUST 2020 2020 2019 Notes Flxed ass8ts Tangible assets 10 664 918 Current assets Debtors Cash at bank and in hand 12 301,827 412.610 48,301 481,940 714,437 530,241 Liabilitles Gredilors.. amounts falling due wilhin one year 13 1155,7061 110,0981 558,731 520,143 Total net assets 559,395 521,061 The funds of the charlty Restricted funds Designaled funds General unreslricled funds 17 18 270,310 268,465 195,000 94,085 180,000 72,596 Total unreslri¢led funds 289,085 252,596 Total charity funds 559,395 521,061 These financial statements have been prepared in accordance wth the provisions applicable lo Gompanies Subject to Ihe small companies regime. The 8ccotsnls were approved by the Trustees c>n .. O Hagan (Treasure Trustee inton (Chairl Trustee Company Registration No. 07259164 18
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 AUGUST 2020 Accounting policies Charlty information Iii5h Community Care Ltd is a private company limited by guarant* Incorpor8ted in England and Wale5. The registered office is 151 Dale Street, Liverpool. L2 2AH. 1.1 Accounting convention The accounts have been prep8F8d in accordance with the charitsble company's mernorandum and articles of association, the Companies Act 2006 and "Accounting and Repotting by Charities.. Statement of Recomrnended practi applicable to chaiities preparing theii accounts in 8ocordance with the Financial Reportiiig Slandard applicable in the UK and RepLiblic ol Ireland IFRS 1021" las amended for accouhling periods commenc4ng from 1 January 20161. The charitable cornpany is a Public Benefit Entity as defined by FRS 102. The Charity has t8ken advantage of Ihe provisions in the SORP lor Ch8rities applying FRS 102 Update Bulletin 1 not to prepare a Sialemenl of Cash Flows. The financi81 51atements are ppared in steding, which is the functional currency of the ch8Yitable Company. Monetary amounts in these financial statements are rounded to the nearesl £. The accounts have been prepared Ljnder the historical cost convention. The principal 8ccc>unting policies 8dopted are sel OLJt below. 1.2 Going concern At the time of approving the accounts and as detailed in the Trustèes, report. th8 Trustees have consid8red the impact of Covid-19 on the charity and the Trustees have a reasonable expectation that the charity has adequate resources 19 coniinue in op&ralional existence lor the foreseeable lulure. Thus, the Trustees continue lo adopt Ihe'going concern, basis of accounting in pr¢paring the ac¢ounls. 1,3 Charitable funds Funds held by the chaiitable company ar8.. U17reslrict8dgener81 funds- these are funds which can be used in accordance vAth the chari18ble objects al the discretion of the trustees. ReslriGled fiinds are funds which are lo be used in accord8ncÈ wilh specific restrictions imposed by donors or which have been raised by the charity for particular purposes. The airn and Ljse ol each resliicted fund is set out in the notes lo the Iinaneial statements. D8signaled lunds comprise funds which have been set aside at the discrètion ol the trusiees for specili¢ purposes. The purposes and uses of tho designated ndS are sel oul in the notes to the finanaal statements. 19-
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE NOTES TO THE FINANCIAL STATEMENTS ICONTINUED) FOR THE YEAR ENDED 31 AUGUST 2020 Accounting policies Icontinued 1.4 Income All income is included in the Statement ol Financi81 Actlvities when lh8 charitable company Is entitled to it and the amount can be ouantilied with re8sonable 3ccuracy. The following specific policies are applied to particular categories of income.. Voluntaiy income is recelved by way ol donations and is included in full in the Slalement ol Finanoal Activities when reiVed Grants are Included in the Slalement of Financi81 Acliwties when 18ceivable and expenditure is matched lo the related fund Capital grants are recognised in the Statement of Financial Activities when receivable. Capital grants received for the purpose of providing fixed assets are a¢counled lor immediately as restricted funds. The Ireatment ol fixed assets purchased depends on the basis on which Ihey are held. 11 required by the terms of the grant, the fixed assel is held in a festricted fund bul where the 8cquisilion ol the flxed assel discharges Ihe restriction, the asset will be held in an unrestrlcied fund. The relevant fund is then reduced oveT the eslimateil useful economic li16 of the assel in line with its depreciation. Contractual in¢ome lor services performed is recognised in the Statement ol Financial Activities to tt)e extent Ihal the charity has provided the seTVlCe. 1.5 Expenditure Expenditure reflects all arnoullls paid and accrued during thg year. Expenditure includes any VAT which ¢annol be lully Fecovered. and is reported as part ol the expenditure to which il ielates. All costs are allocated between the expenditure categories of the Slalemenl of FinancTral Activities ISOFAI on a basi3 designed to reflect the use ol the resouice. Ch8rilable expenditure comprises those costs incurred by the Charitab company in the delivery of its activities and services foi ils beneficiaries. 11 includes both costs ihal can be allocated direclSy lo su¢h ctivities and those costs ol an indirect nature necessary to support them. G0v8rTran cosÈs iepresenl c05tS associated wilh meeting the conslitutional and statutory requirements of the charity and inclvd6 the audit fees and costs linked to the strategic management of the charitable company. 1.6 Tangible fixod assets Tangible fixed assets are measured al cosL net of depreciation and any impairment losses. All assets costing more than £500 are capitalised at cosl. Depreciation is provided al rates calculated lo write off the cost less eslimaled residual value of each asset over ils expected useful life, as follows.. Fixtures, fittings & equipment Computers 14.25OA on a slr8ight line basis 14.25% on a straight line basi5 The gain or loss arising on ihe disposal of an assel is delertmined as the difference between the sale proceeds and the carrying value ol the asset, and is recognised in net incomellexpenditure) lor Ihe year. 1.7 Impalyment of fixed assets At each reporting end date, the charitab18 company reviews the carrying amounts of ils tangible assets to determine whether there is any in(Sication that those assets have suffered an impairment loss. If any such indication ex5sls, the recover8ble arnount of the asset is eslimated in order lo determine Ihe extent of Ihe impairment loss lil any). 1.B Cash and cash equivalents Cash and cash equivalents include cash in hand, deposits held 3t call with b8nks, other short-term liquid investments with original malurilies ol three months or less, and bank overdr8ft8. 20-
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 31 AUGUST 2020 Accounting policies (Continued) 1.9 Financlal instruments The charitable company has elected to apply the provisions ol Section 11 'Basic Financial Instruments. and Section 12 '01her Financial Instiumenls Issues, ol FRS 102 to all ol its lin3ncial inslrumenls. Financial instruments CogniSed in the charitable company's balance sheet when the Charitable Gompany becomes party lo the contractu81 provisions of the instrument. Financial assets 8nd Iiabililies are offsel, with th& nel amounts PTesented in the financial statements, when there is a legally enforceable right lo set off the recognised amounts and there is an intention lo settl@ on a nel ba513 OT to realise the asset and sellle Ihe liabiliiy simultaneously. Baslc financial assets Basic finaiiciaS zssels, which include debtors and cash and bank balances, are initially measured ai Iransaclion price Including transaction cosls and are subsequeritly carried at amortised ¢ost using the effective interest meihod unless the arrangement constitutes a financing tr3nsaolion, where the iransaclion Is measured al the present V31ue ol the lulure receipts discounted at a market rale ol interest. F*nancial assets classilied as receivable Milhin one year are not atllortised. Basic financial Ilabilities Basic linanual Iiabililies, including creditors and bank loans are initially recognised at Iransacts'on prloe unless the arrangemenl constilules a financing transaction, where Ihe debt instrument is measured al the present V31u8 of the fulure payments discounted at a market rate ol interest. Financial liabilities classified as payable wilhin one year are not amortised. Debt instmmenls are stjbsequenlly Carried at am0sed cosl, using the effeolive interest rale melhod. Trade creditors are obligations lo pay for goods or services that have been acquired in the ordinary course ol operations from suppliers. Amounts payable 3re classified as curi8nt liabilities il payment is dtje within one year or less. If nol, Ihey are presenled as non-currenl liabilities. Trade creditors are recognised initially at transa¢lion price and subsequently measured al amortised ¢ost using the effective inlerest method. DereGognition of flnanclal liabilities Financial liabilities are deFecognised when the charitable compgny's contr8olu81 obligations expire or are dis¢harged or cancelled. 1.10 Employee beneflts The cost ol any unused holiday enlillement is recognised in the period in whiGh Ihe employee's seNice5 are received, if malerial. Termination beneliis are recognised Immediately 8$ an expense when tlie charitable company is demonstrably committed to terminale the employment ol an employee or lo provide termination benefils. l.ql Retlrem&nt benÈfit5 Paymenls lo defined contributi(x) retirement benefit schemes are Gharged as an expense as they fall due. 1.12 Leasès Rent81s payable under operating leases, including any lease inntiVeS received, a Cliarged as an expense on a strai9ht line basis over the term ol th8 relevanl lease. 21
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE NOTES TO THE FINANCIAL STATEMENTS {CONTINUED) FOR THE YEAR ENDED 31 AUGUST 2020 Accounting pollcies Icontinuedl 1.13 Taxation The charily benefits from various exemptions from t8X8tion afforded by lax legislation and is not liable to corporation tax on inGDme or gains falling within those exemptions. Recovery is made of tax deducted from qualifying income and from receipts under Gift Aid. The charity is not able lo recover Value Added Tax. Expenditure is ieeorded in Ihe ac¢ounts inclusive of VAT. Critlcal accountlng estimates and Judgements In Ihe application ol the charitable companys aecounling policieg, the trustees are required to make judgements. eslimales and 88sumpiions aboul the cairying amount ol assels and liabilities that are nol readily apparent from other 50uioes. The estimales and associated assumptions are based on historical experience and other faclors Ihal are considered lo be relevant. Aclu81 iesulls may differ from these estimate5. The estimates and underlying assumptions are reviewed on an ongoing basis. Revisions to accounting estimates are recognised in the period in which the estimate is revised where the revision affects only that period, or in the period ol the revision and future periods where the revision affects both current and future periods. Donations and legacies Unrestricted Unreslricted funds funds 2020 2019 Donalions and gifts 7,409 5,896 -22-
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 31 AUGUST 2020 Charltable activiti85 2020 2019 Advice and support services Services provided under contracl Performance related grants Other income 37,735 438.351 12,075 36,965 329,280 20.977 488.161 387.222 Analysis by fund Unrestricted funds Reslficled funds 61,810 426,351 57,942 329,280 488,161 387,222 Perfoymance relatgd grants Irish Government Department ol Foreigh Affair5 and Tradè Emigrant Suppoit Programme European Social Fund Liverpool City Council Irish Government Communities Abroad COVID 19 Response Fund Cheshire West and Chester Council Lloyd5 Bank Foundation Ireland Fund of G8 Irish Youth Foundation Other grants 287,800 64,160 10.000 24,399 7,500 25,000 286.800 25,000 7,980 9,500 14,000 5,492 438,351 329,280 -23-
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 31 AUGUST 2020 Auditorfs remuneratlon The analysis of auditoi's remuneration is as follows". Fees payable to the chaiity's auditor 2020 2019 Atjdil ol the charity's annual accounls 3,644 3,575 Non-audlt seyvlces All other non-audil services 1,540 1,495 Trustees None ol the trustees lor any persons connected with them) received any retnuneration during the year. No trustee was reimbursed travel 8xpen5es in the year12019'. none). Employees Number of employees The average monthly number of employee5 during the year was.. 2020 Number 2019 Number Chari18ble 14 13 Employm8nt Costs 2020 2019 Wages and 8alariès Social securily costs other pension costs 302.247 20,834 12.127 266.496 21,375 10,804 335,208 298,675 Thfyre were no employees whose annual remuneration was £60,000 or more12019.' none). -25-
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 31 AUGUST 2020 10 Tangible flxèd assets Fixtures, ompuiÈrs TotAI ¢quipment Cost Al 1 September 2019 22,826 7.203 30,029 Al 31 August 2020 22,826 7,203 30,029 Depreciation At 1 Sep18mber 2019 Depreciation charg8d in Ihe year 22,645 61 6,466 193 29.111 254 Al 31 August 2020 22,706 6,659 29,365 Carrying amounl Al 31 August 2020 120 544 664 Al 31 August 2019 242 676 918 All fixed assets are applied in support of direcl Gharilable purposes. 11 Flnancial in5trument$ 2020 2019 Carrylng amount of flnancial as58ts Debt instruments measured at amortised cost 707,420 521,699 Carrying amount of flnancial liabllltles Measured al amortised cost 155,705 10,100 12 Debtors 2020 2019 Amounts falllng due wlthin one year.. Tiade debtors Other debtors Prep3ymenis and accrued incorne 78,882 78 222,867 39,680 78 8,543 301,827 48,301 Prepaymenls and zccrued income include £215,850 12019., £nill in respect ol incorne receivecl after Ihe year end. The Charily received notification frorn g lunder prior lo the year end, that payments were lo be paid in Iwo tranches this year to ensure that Ihere was no gap in funding lo organisations during these exceptional limes, and lo allow a orealer flexibility duiing uncertain and changing circumstances caused by the Covid-19 pandemic. In prior years 1000k of Ihe grant has been received prior to the year end. -26.
IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE NOTES TO THE FINANCIAL STATEMENTS {CONTINUEDI FOR THE YEAR ENDED 31 AUGUST 2020 13 Credilors.. amounls falling due withln one year 2020 2019 Notes Deleried income Trade creditors Accruals 14 135,886 14.671 5.149 5,030 5.068 155,706 10,098 14 Deferred income 2020 2019 other deleried income 135,886 Total deferred income at 1 September 2019 Amounts received in year Amounts credited lo statement of lihancsal activities 135,886 135,886 Included In deferred income are recelpls from the National Lottery Community Fund, Lloyds Bank Foundation and the Irish Youth Foundation which relate to a future accounling period and will bè recognised lo match the deliveTy of the servic&. 15 Retirement benefit schemes The charitable company operates a defined contribution pension scheme for qualilying employees. The ass8ts ol the scheme are held separately IFOM Ihose Df Ihe charitabl8 company in all independently administered fund. The charge lo the stalemenl ol financial actiwties in respect of def5ned eonllibution schemes w88 £12,127 12019. £10,804). 16 Operatlng lease commltment5 At the reporting end dBte the charitable company had oulslanding commitments for future minimum lease paymenis under non-cancellable operaling leases, vthich fall due as follows: 2020 2019 Within one year 990 13,778 -27-
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IRISH COMMUNITY CARE LTD COMPANY LIMITED BY GUARANTEE NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) FOR THE YEAR ENDED 31 AUGUST 2020 19 Analysis of net asset5 betwe8n fund5 Unrestricted Restricted funds funds 2020 2020 Tolal Unrestricted Restricied funds funds 2019 2019 Total 2020 2019 Fund balances at 31 Augu512020 are repies@nied by.. Tangible assets Current assetsl 664 664 918 918 288,421 270,310 558,731 251.678 268.465 520.143 289,085 270,310 559,395 252,596 268,485 521.061 20 Related party tfBnsactlons Remuneration of key m8nagement personnel The remuneration of key management personnel Trs as follows. 2020 2019 Key management personnél Aggtegate remuneration 107,250 43.502 One trustee donated £180 during the yoar. There were no other related party transaction5 In the year 12019.. Kevin O'Brien, a trustee, provided database maintenance Services ¢osling £1,524 lo the chaiily in the yearl. No guarantees have been given or received. 21 Company lÉmited by guarantee Irish Community CaTe Limited is incorporated under the Gompanies Act as a company limited by guarantee. The liability of the members Is lirnited to £10 in the event of winding up the chBrity. 22 Events aft8r tho reporting date Since the year end the counlry has entered into a second lockdown this has had no effect on services and the charity is operating as expected using the experience and adaptability achieved earlier in the year. -32-
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