FYLDE crrizENS ADVICE BUREAU LTD
ANNUAL REPORT AND UNAUDITED ANANCIAL STATEMENTS
FOR THE YEAR ENDED 31 IAARCH 2024
CompAny Regl$tratlon No. 07450392 (Eng1w￿ Wal•s}
Charlty Roglstratlon No. 1140175
•JD12vr65*
1611212024
COMPANIES HCiJSE

FYLDE CITIZENS ADVICE BUREAU LTD
LEGALANDADMINISTrATIVE INFORMATION
Trusts¢ Bo•
Mr l R Driver
MrAQJrp
Mrs C Christiè
Mr5 A Galbraith
Mr T J Gascoyne (Chair)
Mr M Paxton (Appointed 7 Fets￿￿ry 2024)
Charfty number
1140175
Company numb•r
07450392
Reglst•r•d offic•
Council Offi¢es Moor Street
Kirkham
Preston
Lancashire
PR4 2AU
Ind•p•ndont exarniner
Champion AcLxJuthts LLP
Unit 2 Olympic Court
Boardmans Way
Whitehills Business Part
BlackFwl
Lancashire
FY4 5GU

FYLDE CITIZENS ADVICE BUREAU LTD
CONTENTS
P¥g•
Trustees. report
1ndeF￿l0nt exam1￿￿$ reFxNi
Statement 0ffinancvaft￿-
Balance sheet
Notes to the finanual ststements
7-16

FYLDE CITIZENS ADVICE BUREAU LTD
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 MARCH 2024
The Trnstee board. who act as Dire￿￿$ for the purrM)ses of I>￿￿anY Eaw, present their report and &￿Unts for the
year ended 31 March 2024.
The eharilable o)mpany was incsporated on 24 Nov8mbor 2010 and o)mm8nrxl on Ihe 24 March 2011.
wh*n the fomigr unincorporated charty F￿de Citizens A(fvice Bureau. (forrned in 19671 was v4ourTrd up and its
assets and liabilibes transfe￿ed into the new entity.
Thg financiol ststements haw bgen prepared in acc1)rdan￿ wrlh the acLyJunting ￿lIcIeS sgt out in note 1 to the
financial statements and ¢ompty with the ¢harity'$ Memrandum & Ariicles ofAssoaation. the Companies Act 2006
and 'Accounling ar￿ Reporting by Charibes: Staten*nl of Reu)mmerKled pract￿ applicable to charilies preparing
their accounts in accordance wilh the Fin8n¢ial Rep(thg Stsndard 4iplicable in the UK and Republic of Ireland
(FRS 102}" leffectNe 1 January 2019).
Obj•etives ond actlvilies
The ¢haritys objects are to yomote any chaiitable purpose for th• public benefit by the advancemont of education.
the protection and preseNation of heath and the relief of poverty. sickness ar￿ distress in particular. bul without
limitation. for the benefit of the cornmunity in the Borwgh of Fylde and swrouTrJing areas.
The policies adopted in furtherance of these objects are to eslablsh and provide and asstst in the provision of
Citttens Advice servKes and ¢yJllets supptying a f￿, indep&rKlent, conftlenlial and impartial seThice of advice,
informatw)n and counsel to everyone regardless of sex. disability. sexual Orienta￿￿. age or nationality across all
areas. Athce and infomiakn are pw.ded on a wde rarye of subjects induding debt. welfare i*nefits housing,
employment. consumer issues. relationships, famity matters. health. education. discriminabon, immigration and the
law. ¢ogelher wlth w law spetJfKalty in debl and weffare b&nefits. The charity also provides speciallsl domestic
abuse $uppDrt"The Servi￿ is provided face to face, by telephone ¢x by email.
Citizens Advice Fyldo is fvlty commilted to ¢(Ynpkne T*thh the requiRments of the genoral Data Protection
Rogulalrons IGDPR) Data Prote¢tionAd 2018 aThl any SL￿@s5(￿le91S1ati0n.
The Charity is out￿n$¢d ard rewlated by the Financial ConductAuthLYity- FRN 617610.
The Trustee Board assesses arNJ develops the Buwness Plan ￿ an annual basis based on evkdence gained
through Consultati￿ with Stake￿Ide[S and need5 asseSSm￿ts.
Public benefft
Th8 Trusts8 Board they have complied WTlh their dut￿ in accordance with the aims of the Charity and have
paKI due regard to guidance issued by the Charity Commission on rwblic benefft and oxercigng those duties.
Development. aCtsv￿es andachlevements thls ￿ar
To achieve its aims arKI objg¢tives. the charity prwd05 athce 1hr￿ a variety of projects as well as a 'G8n8ralist
The projects ur¥Jertaken during this financial year ￿..
Rosemary Project. Advice and SUPF¢rft Is prov*Jed to those experlenckwJ or at rlsk of DomestkAbuse.
Macmillan- Bonefits advi¢e and support pocrfjle with a cancor diagrwis and their tsmili8s.
At Hom• ProJ•¢l . A h¢)mo visiling advrc8 seThrc4 for thosè who canr*)t ¥tsil eitrler th8 Kirkham or St Annes office
due to ¢Jlsabilty or carlng responsit4liti8s.
Fyld• Mon•y-Adebt and budgeling saw¢8.
Hous•hold Support Fund - Providing advice WKI d1str￿UlIng fina￿al suppc*t ¥*ith erergy costs and other
essenbal costs.

FYLDE CITIZENS ADVICE BUREAU LTD
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
Achlevom•nts and perfomance
Signif￿an1 activities and achievemen¢s aga￿$toty8cfrveS
Once again, Ihrougl*)ut 2023-24 the Chairty has met all of its ￿traCtUal obligabons and achieved all perf0m￿nCe
related oulct)mes. in tems of cases dealt vAh duriry the year.
Durlng the financial yéar 2023r24 we assisted 1955 clients. ORen a client presented with more than issue and
soma clients sought ad￿ce on several separate cttasti)ns. Accordingty, during the year athce was provided on
7045 individual issues.
We participate in Ihe Customer Ser41￿ Initiative operdted nalionalty by Cibzens Advi￿. That suryey reveals that
80% said th8t they bé likdy ￿ very likety to rn(*)mmend tyjr sen1￿ to famAy or friends.
The national Performance Qu81ty Framework is empk)yed to ensure qualty of advi￿. ryjstomer satisfaction and
effective leadership. Citizens Advice Fykje the AQS {Adwce Quality SlarKlardl mark and is therefore subj'ect to
a manage￿n( Finance and Compliance Audit every 3 years. A Leadership SelfAssessment Process undertaken In
January 2024 ￿nfimi9d bhat Citszens A(fvico Fykde m¢t the requirad stsrmlard in all asp8cts of governance,
management and planning.
Outcomes 8nd beneffts
All the charity's work en$U￿S the pfjop￿ of Fylde are able to access inforrnation. athrce and casework to supwrt
them to resolve tt*ir Ind￿ldual Problems. This improves econ￿1¢ wolkbeing, housing conditions. and improves
heatth and well-being a$ well as gThing p80p￿ the confidence to manage future Challenges.
Flnanclal revlow
The resutts for the year we as set in Ihtrattached Statsm8nt of.Financsal AdiwtK*S.iThorn was a net operational
deficit for the year am¢JJnting k) £6.952 12023 . deficit £16.044}. At ts Balance Sheet d*e. total reserves
amounted lo £111.443 12023 £118.3951. being unrestricted fijnds of £111.443 12023 . £118,395) and reslrited
funds of £Nil12023 . £Nill.
ReseThes polKy
The Reserves Policy is to maintsin a ger￿ra1 reserye and a maintenance and devek)pment reseNe. The purpose of
the General Reserve is to cover periods of finonrial diff￿lty and to provide suffioent funds for a smooth wind-up of
the company should this ever be necessary in the event of a major furKler withdrawing supwt. This is currently sel
at £65.328.
The purpose of the maintenance arKI devewment reseThe is to ensure current levels of provision of service is
maintained should there bo a s￿rt[aLl in fuThJing. In •Jdibon. Ihe reserve furKI make provision for fulure
developments of servic8.
Maiorrisks
The TNstees have assessed Ihe major risks lo vthich Ih? charity is exposed, and arg satisfied that systems are in
place to mibgate exposure to lh8 major risks.
Strudure. govornance and managom•nt
The Trustees meet at least f￿r times p8r year ptus the knnual General MeetiNJ.
Trustees. vA)o are also Directcvs crf the wrpany. are appointed in accfjrdance ¥rith the Articles of AssocSation of thè
Charity.
The Trustees Board plays 8 cnjdal TO￿ In gNing the slratwc dlreclion and vision for chafity. The Trustee Board
OV8rsees the finances and is res￿n￿ble for ensuring the viabilty of the Chaiity, as w811 as managing risks and
ensurirvJ effective operation. Being a Trustee is a vokmtsry rcAe and they reofve no remuneration.

FYLDE CITIZENS ADVICE BUREAU LTD
TRUSTEES. REPORT (INCLUDING DIRECTORS. REPORT) (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
The day4iHJay manwmgnt of the charity is carried out by the Chief Exerjjtive, Natalie Traynor. assisted by an
Advice Service Manager, Advice seThi￿ Supervisors and an Administrator. The chariWs services are carried out by
paKI members of staff 8$ well as volunteers who generously gNe their time without any financial rernUnerat￿n. All
staff and volunteer5 undertake a comprehensive trdiThn9 prwamrne before bw.ng certiffied lo give advice, and
receive ￿gUlar ￿fresher trainitw a$ appropriate.
arty is a oimpany limited by 9uarantee and does r￿lt have a share ￿pItal.
The truslee LY)ard, are also the ¢Jireclors for the purFx>se of ￿MpanY law. and served during the year and
up lo the dats of sKJnature of the financial statements were:
Mr l R Driver
MrA Curphey
Mrs C Christie
MrsAGalbraith
Mr T J Gascoyne ICh8ir>
Mr M P8Xton {appointed 7 Fèbruary 2024}
Recruitment gnd*9ppolntn￿nt of trustee$
New trustees are app¢inled by way of fcffiwl opplirAtion arthj interview proces5. Their appointment is confirmed al
the nextAnnual General Meeting.
None of the Twstees have any benefitial interest in the company. All of the Trustees are ffembers of the company
and guaranteeAo contribute £1 in the evenlof 84winding up.
rt was approved by
e Bwd ofTruste8S.
MrTJ
ne
Dale-. ..................

FYLDE CITIZENS ADVICE BUREAU LTD
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEE BOARD OF FYLDE CITIZENS ADVICE BUREAU LTD
I report to the trustee board on my. examinatw of fnancial ststernnts cl Fylde Citizens Advic• Bureau Ltd (the
charity) for the year ended 31 March 2024.
Responsibilities and ba*is of report
As the trustee boaid of the ¢harity {arKI also its directrys for the wrF*)ses of (xmpany Lqw) you are responsible for
the preparation of ￿ finan(xal statements in accyJrdanc8 with the requirements of the Companies Act 2006 (the
2006 Art).
Having satisfied myself Ihat the financial ststernents of Ihe charity are not required lo be audited under Part 16 of
the 2006 Act and are eligible for independent examination. I report in resFeCt of my examination of the charity's
financial statements carried out U￿jer section 145 of the Charities Act 2011 {Ihe 2011 Act). In ¢arying out my
examination I have fol￿Wed all the appltcabje Directions given by the Charity Cornrrmssion under section 14515Mb)
of the 2011 Ac
Indèpendent examlnerf$ statement
I have completed my examination. I confimi that no matter5 have o)me to my attention in connedion the
examination giving me cause to bolK*ve that in any material respect..
accounllng recijrds were not kept in respect of the charity as requyed by section 386 of the 2006Act', or
the financial stslements do not accord ￿1h those reccrfts; or
the !Inancial statements do not compty wth th8 8¢ts)untiTrJ requirements of sedion 396 of the 2006 Act Dlher
than'any requirem6nt that the atxounts give a true and fair view whith is not a matter considered as part of an
independent examination,.
the finanaal statements have rK>t been prepa￿d in accfffdance with Ihe methods and principle$ of the
statement of Recommended Practice for accounting and. reporting by chaAlies applicable to Charities
preparing their accounts in arxordartt with the Financial Rewling sI￿dard appluble In the UK and
Republic of IrelaThJ IFRS 102).
I have no concems arKI have eome across no other matters in connectK*n wlth the examlnatlon to whlch attention
should be drawn in this report in order lo enable a pn)per U￿JerStsndin9 of the finanual ststements to be reached.
Ch•mpion AC¢(￿n*1nts LLP
ChampK>n AccAyJntsnts LLP
Unit 2 Otympic Court
Boardmans Way
Whilehills Business Pwk
BlackFwI
FY4 SGU
Dated".
9 ao>¥

FYLDE CITIZENS ADVICE BUREAU LTD
STATEMENT OF FINANCIAL ACTivmES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2024
Unrnstrlcted Restricted
lunds
funds
2024
2024
Total Unr•strithd Restricted
funds
funds
2023
2023
Total
2024
2023
Income and eThdowMe￿ frorn:
Donations and legau8S
Charitsbk acbwties
Oiher income
5.975
129.259
5.975
192.624
2.095
137.829
1,560
63.365
3.333
141,162
1,560
Total Income
138.778
63,365
202,143
141,484
3.333
144.817
Exp•ndltur• gn:
Charitstile aciivities
145.730
63,365 209,095
157,528
3,333
160,861
Total expendilurn
145.730
63,365
209.095
157.528
3.333
160.861
N•t •xpendltur• and
mov•m•nt in funds
{6.952)
(6,952)
(16.0441
(16,0441
R•conclllatlon of funds:
Fur#J balan￿ al 1 April 2023
118,395
118,395
134.439
Fund balancts al 31 March
2024
111.443
111.443
118.395
118.395
The ststemenl of firtanctal activil]es includes all gains and losses reconNsed in the year. AM incowne and expenditu
derivg frorn continuing activities.

FYLDE CITIZENS ADVICE BUREAU LTD
BALANCE SHEET
ASAT31 AIARCH 2024
2024
2023
Fix•d assets
Tangible assets
12
416
1,396
Curr•nt ass•ts
Debtors
Cash al bank and in harKI
13
330
309,281
222,174
222.618
309,611
. Crndltorn: amounts tslllng due within
one year
14
1111.591)
{192.612)
111.027
116,999
Tot*1 as#•ts l•$$ eurr•nt li#bllltlès
111.443
118,395
Net amets exGluding pension liabillty
111.443
118,395
funds'-of the ch*ity
Unreslricted funds
111.443
118.395
111.443
118.395
The Company is enlitled to the exemption from the a￿111 requirement ¢￿taIr￿d in section 477 of the Comp8niesAct
2006. for the year ended 31 Marc* 2024.
The directors acknowledge th*r responsiblltties for complwry v￿th the requirements of the Companles Act 21x16
with rospect to ￿l￿nI1Thg reclyds and the preparation of financial statements.
The rr*mbers have not required the company lo oblain an audit of ts T￿nc4a1 statements for the year in question in
accordance with sectlon 476.
These finanaal slatements have been prepared in a￿)Id￿ wilh the provisims applicable lo comp8nteg subject
lo the small companies regime.
The financial sts
I.1￿ 221
nts were approv&J bylhe trustee board on...... . ............
MrTJGa
Company reglstration number 07450392 (England and Wales}

FYLDE CITIZENS ADVICE BUREAU LTD
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
A¢¢ounting policies
Charity infomlatlon
Fylde Citizens Advtce 8ureau Ltd is a private company limtted by guarantee incorFX)raled rn England and
Wales. The registered office is Council offi￿ Mcor Street. Kirkham. Preston, Lancashire, PR4 2AU.
1.1 AccountlThg convention
The financial ststements have been prepared in accordan￿ with the tgoveming documenti. the
Companies A¢t 2006. FRS 102 Yhe Financial Reporb'ng S18fidard applicabb in the UK and Republic of
Ireland" I'FRS 102"} and the Charities SORP "A￿)untIng and Reporting by Charities= Statement of
Recommended Pracb"ce applicab￿ lo charities preparing their accounts in accordance wth the Finanaal
Reporting Standard applicable in the UK and Repthlic of IrelarKI IFRS 102)" {effectNe 1 January 2019). The
¢hority is a Public Benefft Enw as deffir*d by FRS 102.
The charity ha$ tsken •d¥anlage of the &Ktyisions in the SORP for dwilios not to prepare 8 Statement of
Cash Flows.
The fin*Klal stslements are prepared in slertrwj. 1$ the functional wrrency of Ihe charity. Monetsry
amount$ in these fnancial statemerts ￿ rourKled to the nearest £.
The finanaal stslements have been prepared under the historKal txist convention. The principal accounting
policies adopted are set out bekMT.
1.2 Golng ¢¢)n¢•m
At the time of approving the finanoal stateff*nts, the trustee board have a reasonable expectation that the
charity ha5 adequate resources to ¢onlinu¥ inwrabonal existen¢e for the foreseeable future. Thus the
trustee boarrj ¢ontinue to adopt the going basts of accounting in preparing the financial State￿nIS.
1.3 Charltsbk funds
Unreslricled fijnds are available for use al the di5udion of the trustee board in furts￿r￿n￿ of their charitable
c*jectives.
R8slricted fvnds are subject to speofic cg)ndffjons by donors or grant0￿ as to how they may be used. The
purposes and uses of the restricled funds are set ¢)ut in th8 notes to financlal statements.
Endowment furKls are subpct to spKifK CA)nthb￿ by Ikytrxs that Ih8 capital must bg maintained by the
charity.
1A Incom•
I1￿0m& B rew3nis8d when the charity is legalty entilled lo it aftér any perfOmWr￿ condtlions have been met.
the amounts can be measupd reliabty. and it is probablg that inccrfne wll be received.
Cash dmtions are recognised on receipt. Other dor￿1**1$ are reQ￿rIsed CrfK* the charity has been notffied
ot the donation. unless perfomance condilions require deferral of the amount. Income tax recoverable in
relation to donations received under Giftpid or deeds of covenant is recognised al the time of the donation.
Legacles are recognised on ￿(top1 or olherwise rf the chanty has been notrfied of an impending distribution.
tho amount is known. and receipt is expected. tl thè amunt is not known. Ihe legacy 1$ treated as a
continggnl asset.

FYLDE CITIZENS ADVICE BUREAU LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
A￿ntIng poll¢l•s
(COnllnu￿j
1.5 Expendltur•
Expendrture is recogni5ed once tWe is a legal or (>JnslnKtive oblhjathon to transfer ecorbomk benefft lo
third party. it is probable that a transfer of eccmnic benefits will be required in settlement. and the amount of
the obligatpJn can be measured relrabty.
Eynditure 1$ classffied by athity. Thè eosts of oach acbvity are made up of the totsl of direct costs antj
shared costs, Including support ￿Sts inviAved in urKlertaking eath acbvty. Direct costs attributabl8 to a singl8
adivty are allocated direclty to that #C￿￿ty. Shared cosls ¥th￿h contribute lo more than one activity and
suprth costs which are not attrilm5tab￿ to a single acliw are apwtiongd beiweon thoso adivities on a basls
onsistenl wrih the use of ￿SourCes. Central staff costs are allocated on ts basis of time spont, and
deprec¥ation L*arges are allocated on the portK)n of the a5sefs use.
Restricted funds arg to b8 used for Ihe spe(xfic purposes a$ kid down by the don￿. Exlwliture vthich meets
this criteria 1$ identified to the fund. together with a fair aIkxa￿n of managemont and support costs.
Unrestricted d)aritsble expeThJilur8 wnprises those costs ir￿Urred by Ihe chanty in the delivery of its
activibes and services for its benefickiries.lt includes both costs that be alotated directty lo such activities
and those costs of an indirect nature necessary lo support them.
Governance costs inckjde Ihose (osts assooated vAth meetiThJ statutory requirements of the tharity and
include the independent accountanfs fees.
1.6 Tangible fixed assets
Tangible fixed assets are Initial￿ measured al cost and subsw4uwly measured at t￿$1 or valuation, nel of
depreciat￿n arKI any impaiment losses.
Depreciation is re￿nised so as to ￿lte off Ihe Lxjst or valuation of assets less Iheir residual values <wer their
useful lives ￿ the followbng bases:
Fixtures. ffttings & equipment
25% on ¢x•st
The gain or loss arising ￿ the disposal of an a￿1 is deterrnln￿ as the dIfferen￿ belween the sale proceed5
and the caryirvJ Value of the asse( a)d is recognised in th8 ytalement of finanaal actmties.
1.7 Impaliment of fix•d ass•ts
At gach repofling end date. the thanty reviews Ihe caryirrfJ amounts of its tangible assets to determine
ther there is any indication Ihat Ihosg assets have suffered an impainr*nt loss. tf any such indication
exists. the recoverable amount of the asset ts estimated in order lo detemiine Ihe exlenl of the impainment
loss Irf any).
1.8 Cash and ¢a$h •qulvalents
Cash and cash equivalents include cash in harKI, deposils hekj at call with banks. other short-tem liquid
investments original malurrties of three months or less. and bank overdrafts. Bank overdrafts are Shown
within bomJwirwJs in current liabilitres.

FYLDE CITIZENS ADVICE BUREAU LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
A¢¢ounting polici•s
{Conlinu•d)
1.9 Fln•n¢l•l instruments
The charity has e1g¢te(J to appty the provwins of Seclion 11 'Basi¢ Financial Instruments, and Section 12
'Other Finanrjal Instruments Issues, of FRS 102 to all of ils finanual instrumonts.
Fln8ncial instruments are recognised in Ihe charitys bèlar￿ sheet when the charity becomes poty to Ihe
contractual provIs￿nS of the instrumenL
Financlal assots and labilitth ar9 offseL with the net amounts presented in the financaal ststemonts, Nvhen
there is a legally enfoTceable right to Set off the recognised amounts and there is an intention lo settl6 on a net
basis or to realise the asset and setue the liabifjty wmullaneousty.
Basic finan¢ial as$ets
Basic finanrAal assets. vthKh indude debtor5 and lash aThJ bank balan￿. are initialty measured al
transaction price including transxtion costs and ar¢ subsequentty carri￿ at amortised ￿$t using Ihe eff$cti¥e
interest method unless the arrangemnt ojnstitutes a financing transacl*)n. wheTe th8 transaction is
measured at the p￿Sefit value of the fuknre receipts dIsC￿nIed at a market rale of interest. Financial assets
classified as receivable within one year are not amorlised.
Basic finan¢lal liabilftl•s
Basic financial liabilities. induding creditors and bank loans are inth.ally recognised at transattion price unless
the arrangement constitutes a financAng transaction. vthere the debt instnjment 15 measured at the present
value of the future paym¢nts ￿lS￿le(l at a market rate of interest. Financial IAbilities dassrF*ed as payable
thin one yoar a￿ not amortised.
Debt instruments are sub5equW carried at a￿*￿tised cost. using the effectrvo interest rate method.
Trade creditrys are obligations to pay fix gLKNls or soM¢e$ that have been acquired in the ordinary course of
¢Jp$rations from suppliers. Amounts payable are classffied as currenl liabililies rf payment is due within one
year or le55. If not. Ihey are presented as nOn<U￿ nt liabilibes. Tr•le ¢re(lilors are recognised initially ot
trarJsa¢lion price and subsequenlty measuFed al amortised cost using Ihe effective interest method.
Dornc<wnlth>n of finan¢lal liabllldes
Financial liabilibes are ￿er￿niSed 7*h8n th8 L￿traCtUal Ob￿gat￿n5 expire or are discharged or
cancelkd.
1.10 Employ•• b•n•ffts
The cost of any unused holiday entiU8ment i8 in tho period in which the empw's services are
Ned.
Temiination bèn8fits are reixyJnis8d imrndiatety as an exp&1￿ Ihe charity is demonstrably committed
to lerminale the empknyment of an employee or to provide termination beneffits.
1.11 R&tlr•m•nt ￿nefIts
PayThents to defined cfjnlrtiuiion fyts"rfftnt beneffl s￿*M￿ are tharged as an expense as they fall due.

FYLDE CITIZENS ADVICE BUREAU LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
roR THE YEAR ENDED 31 MARCH 2024
Crili¢al a¢¢ounting e*timate8 and Judg•ments
In the applicat￿n of the Chari￿$ arxounting policies. the trustee board are required to make judgements.
estimates and assumptions about the ¢anying amwnt of assets and liabilths that are not readily apparent
from other sources. The esbmates and associated assumptions are based on historical experience and other
lactors that arn considered to re*vant Acknal resuffs may drferfrom these e$timalg$.
The estimalos and underlyrng assumptions a￿ reviewed on an ongoing ba￿s. Revisions to accounting
estimates are recc•Jnised in the period in the estimate ts revised where the revis￿￿ affects only that
period. or in the pericrfl of revisKm and futu￿ perK>ds where the revision affects both current and fvture
rh)ds.
Income from charttable activiti
Totsl Unrestrlc10d Re$trlcled
lund¥
funds
2023
2023
Totsl
funds
2024
funds
2024
2024
2023
Services provided under
contract
Perfomwnc8 r8lat8d
grants
32,177
32.177
35.747
35,747
97,082
63.365
160.447
1DS,415
129,259
192,624
137,829
3,333
141,162
Donallons and legacies
Unr•strlct•d Unrestrlcted
funds
funds
2024
2023
Donat*Jns and gilts
5.975
2.095
Sundry in¢om•
Unr•strkted Unrestrict•d
funds
funds
2024
2023
Other incg)me
10-

FYLDE CITIZENS ADVICE BUREAU LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 IAARCH 2024
Support costs allocated to admlles
2024
2023
Depreaation
Govemance costs
2,424
822
774
1.755
3,246
Analysed belween:
Charitable activities
1.755
3,24
Govemance costs ffjpresent payments to the ItyJeperKJent Examiner for a¢MunlanGy fees. The charity is
exempt from audit.
Net mov¢m¢nl In funds
2024
2023
net movement in lunds Is stated after chan•n￿(r¥ed￿ng).
Depreciation of owned tangitA8 T￿ed assets
981
2,424
11

FYLDE CITIZENS ADVICE BUREAU LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AIARCH 2024
Ch¥itable activiti•s
Dlre
Dlr•ct
¢harf¢able Charitable
•xp•ndlturn expènditure
2024
2023
Staff o)sts
Insurance
LvJht & heat
R8pait5 & maintenance
Printing, slationery & compLrtor
Telephone
Travel & training
Sundry expenses
Subscriptions
Legal & wofesshjnal
Rent
Staff training
141,526
437
13.536
2,204
12.757
8,983
8.102
2.257
3.820
288
12.250
1,180
107,323
554
5,625
7.333
4.010
6.442
1,575
12.250
207.340
157,615
Share of 5UPPOrt C0515 (see note 61
Share of governan￿ costs (see note 6)
2,424
822
774
209.095
160.861
Analysi• by fund
Unreslri(aed funds
Resthcted furKIs
145.730
63,365
157,528
3,333
209.095
160,861
Trusleo Board
None of ts trustee board (or any pers(w)s Con￿ ￿th them) recefved any remuneralK>n durir¥J the year.
10 Employees
The average Mi￿1h￿ nwnber ofemployees duriThJ the year was:
2024
Number
2023
NuM￿r
10
12-

FYLDE CITIZENS ADVICE BUREAU LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
10 Employees
(Continuod)
Employrn•nt costs
2024
2023
Wagés and salaries
Other pension costs
136.868
4.658
103,765
3.558
141.526
107.323
There were no employees vhK)se annual rBmun8ration was than £60.000.
11 Taxation
The charity is exempl from taxation on its 8cb¥ibes because all its in￿rne appled for charitable purposes.
12 Tanglbh fixed as90ts
Fix¢yre•.
flttlng$ &
¢tyiprnent
Cosl
Al 1 April 2023
28.082
At 31 March 2024
28,082
D•prn¢ialion and impaimb•Tht
At 1 Apri5 2023
Dewec4ation charged in the year
26,685
981
At 31 Marth 2024
27.666
Carrylng amount
Al 31 March 2024
416
Al 31 March 2023
1.396
13 Debtors
2024
2023
Amounts falllng du• wlthln om yw.
Prepayments and a¢¢rued inwn&
13-

FYLDE crrizENS ADVICE BUREAU LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUCD)
FOR THE YEAR ENDED 31 MARCH 2024
14 Crodllors: 4ml￿nts falllng du• within one year
2024
2023
Other taxation and social security
Govemm8nt grants
Other creditors
Accruals and defarr•d income
1.012
28,500
76.162
5.917
607
21,667
165.871
4,467
111.591
192.612
15 Retirement benefft schemes
2023
D•fined contrfbution sch•mes
Charge to profft or loss in respect ofdefin&J C<￿tr11Mrtb)n
4.658
3.558
The charity operates a dgffined conlrthutw)n pension scheme fty al qU￿lfyIng employees. Th6 assets of the
scheme are held separatdy from those of the charity in an irKlependentty administered fvnd.
16 Unmtri¢tod funds
The unrestricted fvnds of the tharity comwise the unexpeThJed balances of donalions and grants which are
not subject to specific ￿ndi￿nS by donor5 and grantors as lo how Ihey may be used. These include
designated furKIs which have been set asKle out of urnstrh#ed fvThls ty the trustees for specific purposes.
At 1 Aprll
mlng
R•¥ourc•s At 31 Mar¢h
2023 r•$4wr¢u •xpended
2024
RedurKlancy costs
General fvnds
11.730
106,665
4.933
133,845
16.663
94.780
(145.730)
118.395
138,778
1145.7301
111.443
Previous y•ar.
At 1 April
Incoming
2022 resources
Resoure•s At 31 Mareh
expended
2023
Redundancy costs
General funds
8,823
125.616
2,907
138.577
11.730
106,665
(157,528)
134,439
141,484
{157.528)
118.395
This swi is held as designated vAthin unrestsicted reseNes to o)vgr potontial redundancy costs.
14-

FYLDE CITIZENS ADVICE BUREAU LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
17 Analysig of n•t awts b•twe•n funds
Unrnstrfcled
funds
2024
At 31 Mar¢h 2024:
Tangible assets
Current assetslviabi1it￿$)
416
111.027
111.443
un￿trICted
funds
2023
At 31 March 2023:
Tangible assets
Current assets10iabilit￿￿>
1.396
116.999
118.395
The charity is oblvJed to enwre that the unrestricted reser¥es are sufficient lo cover three months operating
cos15 in Order that an ordedy njn down of the Ly)mpany coukl lake place in the event of core funding being
lost. The amount of reseNes required to cy)ver this obligatim amwnts to £48.665. The free unrestricted
reseThes there1￿e amount to £62.778.
Thi$1ovsl of reseryes is to ensure thal ￿rrent knls of seNce provision can be mainlaine(I should there b8 a
shortfall in funding. In addition the ￿SerVe fund make5 provision for future development of service.
18 R•strlcted funds
Th8 restrictsd fvnds of the charity ¢(Knprtse the unexpended balantx of ¢Yonatiorts arKI grants held on trust
subied to specific condilrons by don0￿ as to how th8y may b8 Used.
Al 1 Aprfl
In¢omlng Resourc￿ At 31 March
2023 r•$ourus
•xp•nd•d
2024
Rosemary PrOj￿t
At Horne Project
Fyldfr Borough Cwnryl for Fylde Money
Fyldts Bortywh Counol
M8cmi118n
Advuline
6.667
7.000
5.000
24,$00
12,198
8.wo
16.6671
(7.0001
15,0001
124.5001
112.1981
18.000)
63.365
163.3651
15-

FYLDE CITIZENS ADVICE BUREAU LTD
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2024
18 R•*lricl•d funds
(Conllnu•dl
Prnvious yoar.
At 1 April
InGoming R•sour¢•s Al 31 M•rGh
2022 resources expended
2023
Rosemary Project
13.333)
M8¢mlllan - beneffts adv￿* and suppcAt for people wrlh cancer thagnosrs arKI tr￿1r families.
Ro$8mary prolect - advice and support to those expeiiencing or at risk of DomesticAbuse.
At Hom• Fbmi•Ct - a home visiting advice semce t￿lse cannot visrt either the Kirkham or St Annes
Offi￿ due lo disabilty or e4ring re¥M)nSi￿"11ti"8$.
Fyldt Money- a debt ard budgeting advice servi￿.
19 R•lated party transactlons
There were no dlscbsable related paty transaraiDn$ durirKJ Ihe year {2023- rA￿e).
16-