OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator. This document is also available as Markdown.

2024-12-31-accounts

ACE SPACE ANNUAL REPORT FOR THE CHARITY COMMISSION 2024

2024 has been another good year for Ace Space The audiences for our music events have been variable but generally good. We understand that this is in line with similar venues in the area. The numbers have been steady so the future is looking promising. Many of our regular hirers remain with us and with the addition of several one-off hirers this element of our business is looking very buoyant. Our Art displays continue to be appreciated by our audiences as we offer local artists a chance to display their work. We continue with our programme of repairs and renovations as funds and labour becomes available. Further improvements to our CCTV, Ethernet and Electrical services have also been completed. Our long awaited multi access toilet facility has finally been completed and is a welcome addition to our facilities. This has been another good year with a steady improvement in footfall and with our future plans we look forward to continuing this into the next year.

24th July 2025

Acespace

Statement of Financial Activities

For the period 01 January 2024 to 31 December 2024

Unrestricted Unrestricted Retricted Endowment Prior Year
Funds Funds **Funds ** Total Funds Total Funds
Unresuuu
Incoming resources
Incoming resources from generated funds
Voluntary Income 1,236 17,000 - 18,236 23,990
Activities for generating funds 51,471 - 51,471 48,582
Other Income Resources 65 - 65 45
Investment Income 869 - 869 191
Total incoming resources 53,641 17,000 - 70,641 72,808
Resources expended
Cost of generating funds - - -
Cost of generating voluntary income - - -
Fundraising Trading Costs 25,299 - 25,299 19,328
Charitable Activity:1 10,839 - 10,839 11,780
Governance Costs 1,368 - 1,368 1,104
Other resources expended 16,578 17,000 - 33,578 36,192
Total resources expended 54,084 17,000 - 71,084 68,404
Net of incoming/outgoing resources before transfers - 443
- - - 443
4,404
Transfers
Gross transfers between funds - in - - - - -
Gross transfers between funds - out - - - - -
Net incoming/outgoing before other gains/losses - 443
- - - 443
4,404
Other recognised gains/losses
Gains/losses on investment assets - - - - -
Gains on revaluation,fixed assests,charities own use - - - - -
Net movement in funds - 443
- - - 443
4,404
Reconciliation of funds
Total funds brought forward 29,582 8,144 - 37,726 33,322
Total funds carried forward 29,139 8,144 - 37,283 37,726

ACE SPACE

Accountants Report for the year ended

31[st] December 2024

I have prepared the attached statement of accounts from the books, records and information supplied to me and I hereby certify them to be in accordance therewith.

These accounts have not been audited.

V Kyle-Lawrence Clere Bookkeeping Services Ltd.

Approved (Treasurer)