ST ANDREWS CENTRE A PLACE FOR PEOPLE 2023-2024 Annual tJnnr+
Trustee members Deborah Douglas Chair Jackie Heath Vice Chair Alvan Wright Treasurer Sonia Weston Church répresentative Fiona Platt After school and Playscheme representative Community represenlalive Community representative Nursery represenlalive Daniéla Jackman-Jones Derek Charlton Vacancy Patron Rev Barry E Carter MBE Rev John Grundy Rev Simon Loviti Ex-officio Trustees Independenl Accountant Layton Kaye & co 51 NonNood High Street London, SE27 gJS Bank accountsnt Barclays Bank Registered Company number 7545607 Charity registration number 1141957 Ofsted regislralion number EY437798 21Page
Organisational Mission and Aims "The charities objects are to promote the benefit of the inhabitants of the neighbourhood Served by St Andrews United reformed Church, Brockley and especially young people, without distinction of sex, sexual orientation, race or, of political, religious or other opinion by associating together the said residents and local authorities. voluntary and other organisation5 in a con7mon effort to advance education and. in the best interests of social welfare, to pmvide facilities for recreation and leisure time pursuits with the objective of improving the conditions of life for the residents" (Articles of Association 2011) st Andrews Centre aims to provido services which aro identified by, and cater for, the diversity of the local community. St Andrews centre has worked within the community for over twenty-five years and has a proven history of identifying and responding to the need5 and interests of the local community. The centre currently provides a holistic range of services encompassing a wide age range, in addition the centre hires its venue to other community groups and servic• providers to extend and maximise provision to the local community. Servlces provided by St Andrews include. Play and stay sessions on Wednesdays and Fridays for familles with children under five. Not for profit Nursery, Providlng full and part time provislon for children from two to five years. (Playscheme for under five children available) After school service collecting from three local schools. Playschemes during school holidays. Youth clubs from eight to eighteen years. Luncheon club for pensioners. Hall hire. St Andrews will, in dlrect response to local need or government initiatives, extend its service provislon through the development of additional programmes. 31Page
Term time weekly programme MONDAY.................................................................................................. 8am-6pm......Community Day Nursery. Full day care for 2-5 year olds. Tel: 020 8692 5041 3-6pm...........After School Club.. Collection service for Beecroft Garden Gordonbrock & John Stainer primary schools. For more Information email. saintand aol.com 4.15-6.30pm...Derya's Dynamic Dance Class.. a.de mail.com 7-8pm............Zumba with Carla" Contact Carla Tel: 07404 686074 TUESDAY................................................................................................. for7-11 yrs 8am-6pm...... Community Day Nursery. (See Monday) 11am-2pm.....Brockley No1 Club.. A social club for the over 50's. Exercise, activities, outings, and lunch. 3-6pm...........After School Club., (See Monday) 7.30-9.30pm... Lewisham Black Fathers Group." and SL Steppers. WEDNESDAY............................................................................................ 8am-6pm.......Community Day Nursery. (See Monday) 10am-12pm....Parent & Toddlers Drop-in.. £2.50 a child Lots of fun and activities for under 5's. 10am-3pm......Baby Sensory.". www.bab senso 3-6pm............After School Club., (See Monday) 4-5.pm.......... Weekly Capoeira - kids classes- WNW. itchulakin 7.15--8.30pm..Aerobics & Circuit Training." All levels welcome. THURSDAY............................................................................................... 8am-6pm.......Community Day Nursery. (See Monday) 1-2.30pm.........Alcoholics Anonymous. 3-6pm............After School Club., (See Monday) 4-6pm..............GemmaSandy Perform gemmasandy@perfomi.org.uk 6.30-8.30pm . .Youth Club., A youth club for young people aged 8 years +. .com ** mail.com ** ** ** 7.15-9.15.pm.. Community Choir singing for all www.soulchoirs.com FRIDAY............ 8am-6pm.......Community Day Nursery. (See Monday} 10am-12pm....Parent & Toddlers Drop-in.. £2.50 a child Lots of fun and activities for under 5's. 3-6pm.......... .After School Club.. (See Monday) 4-6.30pm.......Street Dance with Natasha. E-mail: dn a.natasha mail.com SATURDAY................................................................................................ 41Page
9am-1.30pm...FaipNeather Dance Children's Dance Classes. 07455437774 y Sport Football coaching for boys & girls 2-7 yrs.. I Info orts.co.uk .Children's Party Hire call for info 0208 694 2459 E-mail., sainland s aol.com SUNDAY.................. ** For info ca51 9-12pm....... 07737984496 2-8pm.. .Children's Part Hire call for info 0208 694 2459 E-mail. saintand aol.com
Agenda Welcome and refreshments. Introductions Minutes of the previous year's Annual General meeting Maters arising Reports Presentation of accounts Election of trustees and Officers Appointment of Auditors Any other business Date of next meeting Close 61Page
St Andrews Centre Annual General Meeting Minutes Date 1610412024 Time 6.30pm Jackie Heath IJH}. Alvan Wright {AW), Sonia Weston (SW), Mandy Hoskins (MH), Deborah Douglas IDD). Niki Teather {NT, Nursery and Centre manager), David Williams (DW Finance Officer}, Johann Williams IJW ASC and Community manager, Andrew Gill {AG ASC and community manager. Truslees Present Staff present Accountanl Lorraine Kaye (LK) Rev John Grundy (JW, Ex Officiol, Rev Simon Lovitt (SL Ex Officio), Derek Charllon (DC ProspeGtive Irusleel, Fiona Platt (FP Prospective trustee), Niki Teather Apologies Minutes taken by em Minutes Introductions JH welcomed everyone to the meeting and thanked trustees, staff and Accountant for their continued commitment Minutes of the annual general meeting held on the 24 of November 2023 agreed and signed. Reports Chairperson5 report presented by JH, no questions from Ihose present. Nursery report presented by NT, no questions asked. JW presented the report for the ASC and playscheme, no questions asked. Presentation of accounts -Layton Kaye LK reporied that while the centre finances had progressed since the previous year, the organisations finances had nol returned to pre-COVID levels. LK recorded an overall loss of £20k. Report accepted E18clion of trustees. JH declared that as a result of several issues, that she would be standing down as chair of the board of trustees, she added that she would continue to stand as vice chair and continue to support the newly appointed chair for 71Page
as long as required. JH added that she would also continu6 lo aGt as the Nominated person for Ofsted. Election of chair DD agreed lo undertake the role of chair, this was proposed by JH and seconded by MH. No dent from olher trustees present, motion carried. Election of Vice Chair DD proposed JH for the position of vice chair, this was seconded by MH, no decent from other trustees present, motion carried. Election of Ireasurer JH proposed MH, this was seconded by DD, no decent from Other trustees, motion carried. Election of secretary Not filled. Appointment ofAuditors The board of Iruslees agreed to retain the services of Layton Kaye & Co. Motion proposed by JH and seconded by SW. Motion carried. Any other business None Date of the nextAGM meeting Thursday the 12 of September 2024 Meeting adjourned IL fipln 204 81Page
Chairpersons report St Andrews Cenlre conlinues to be a presence within the local community. Our Nursery and After-school facilities are well used Ihough are not at full capacily. I have recently resigned my post as Chair of the Management Commiltee due to ill heallh, but the post has been succeeded by Deborah Douglas. I'm sure all staff members will join me in welcoming Deborah to the post and give her the same support afforded to myself. I will remain on the committee as Vice Chair until Deborah has been brought up to speed oflin the role. Our community initiatives (nurserylstay and playlsenior citizen grouplyouth seNices} remain fairly viable but could do with some new strategies lo engage more users to recognise and grow their capacity. We have been fortunate to gain two new members lo our management committee, Derak Charlton, and Fiona Plalt. Both have long term involvement wilh St. Andrews. It is wilh sad news that we will be losing Iwo key members of staff in April and May 2024, respectively. Joanne Blades (nursery Practitioner) has been wilh our nursery facility since it's conception - 41 years and has decided to retire from her post for personal reasons. Niki Teather who had the courage to oversee the management of the nursery and centre over the last 10 years will be moving onto an exciting post with Bexley Council. I'm sur8 all staff will join me in wishing both Joanne and Niki the very best with their future endeavours as they will b8 truly missed. Our sincere thanks to all staff members whilsl we undertake recruitment of Ihe posts Joanne and Niki will leave vacant. It is at Ihis point Deborah and me would like to thank all centre staff members for their Gonlinual commitment in supporting the centre and its activities through this period of change. I would like to personally'thank, John Grundy- Minister of St. Andrews URC, Sonia Weston Church Secrelary. StAndrews URC and St. Andrew's URC congregation for their continual support of St. Andrew's Centre. Long may we continue to work in harmony for the community. Jackie Heath & Deborah Douglas Vice Chair & Chair- St. Andrew's Management Committee 91Page
Nursery and Centre Managers report The impact of COVID has continued lo be felt within Ihe nursery and a low birth rate which occurred after the pandemic has resulted in low attendance within the nursery and occupancy, has not returned to pre-COVID levels. Nursery life has however inevitably continued, and practitioners have continued to work hard to provide excellent opporlunilies and experiences for the children attending. This year, thanks to Sharon, the nursery have participated in tho Royal Horticultural Gardening Sociely awards achieved a level three. Sharon Hogsden (Deputy manager), supported by Jamie Miller Ilhird officer in Charge) have also led provision for children and families through Ihe Making it real scheme which involves providing support and advice for children and families within their home around literacy. Why I hymt Throughout the year the staff team have continued lo undertake training to improve their practice and provision for children. Most of the nursery practitioners undertook the new Government Early years development training course which involved weekly training over the course of three months. Other courses included, safeguarding, speech and language development and courses specifically relating to a range of topics to support children with additional need. Talisha Salmon {practitionerl is currently undertaking a level five lead practitioner course and Yvonne Sewell-Edwards Ilhird officer in charge) is scheduled to begin the level three Special Educational Needs Coordinator in March. Further our staff leam includes Iwo apprentices undertaking a level three child educator course. 10IPage
While our staff team has remained stable over the years, this year we have said goodbye lo Erica Francisco and Sharon Bonner. Joane Blades. Joanne who was employed wilhin the nursery for over forty years, will be retiring at the end of April and I too will be leaving al the end of May. Recruitment for nursery practitioner continues lo be difficult, and while the Government Is working to respond lo the shortage of nursery practitioners through the Childcare recruitment campaign, unfortunately Lewisham is not as yet amongst the boroughs offering a £1000 tax free payment to new employees. The posls of third officer in charge and nursery manager are being advertised. l am pleased ta note that Andrew Gill will be undertaking the centre manager aspect of my role and I wish him every success. On a personal note, I would like to thank Barry Carter {Our patron) for the opportunity to join the St Michaels and Sl Andrews Community over thirty five years ago, Sonia Weston, JaGkio Heath, and Yvonne Hepburn for the opportunity to join and the StAndrews board of trustees for supporting me through my professional journey. Lastly my sincere thanks go to the St Andrews stsff team who I will miss immensely and specifically Sharon who has supported me throughout in what sometimes has felt like a very surreal experience. My passion for the voluntsry sector and desire lo make a differenGe has been nurtured wilhin st Andrews, Thank you. Niki Taather 11 IPage
After school and playscheme report Our numbers are going up al Gordonbrook, John Slainer and Beecroft, w8 have new children starting and other children extending to more day from the 2 previous schools. Joyce works five days alongside Tracy. Kimlee also works 4 days. Johann and Andrew have changed days. To accommodate for the rising numbers on Mondays and Tuesdays, so Johann will be helping Kimlee and Shareef when the numbers are high. Andréw has a volunteer help with the numbers while going lo Beecrofl. Playscheme The Easter Playscheme and th6 summer playscheme went well with about 25+ children we worked alongside the HAF programme (which helps parents whose children receive Fsmlfree school meals)to receive free spaces in the morning from 10 am- 2 pm (we only run the one session), we also have superstar sports who run a session in the morning andlor afternoon. We only receive from the HAF programme in Easter & Summer playschemes. 121Page
Stay and play report. Hall hire The Hall hire has picked up since all the closures and restrictions, with the hall hired out most weekends for children's parties. The evening hire has also picked up with hall hire between 4 pm- 6 pm all week booked out. The Monday dance group has extended their time as has Carla the Zumba lady who has extended her time for h8r sessions for 10 weeks. Thursdays is Choir group in the Carter Hall. Andrew can lock up for community hire as he is at youth club. Mondays and Tuesdays are still free for hire during the days. Pensioner club Pensioners No1 group The No.1 Pensioners luncheon club has a long history at Sl Andrews.11 was told when I started here over 30 years ago that it was slarted during Ihe Second World War by the council.) So, we were saddened by the closure forced during the COVID pandemic, and the losses from it. But il has now restarted and moved from Friday to Tuesday, the numbers are not as high as they were, but it has between 6 and 10 regulars, and we are open to new mernbers. It starts with a seated exercise class, followed by lunch, we used to go out once a month to a restaurant, cafe, or park and are hoping to re start these trips as the weather warms up a bit. 131Pi1ge
Youth club Thursdays.- 6:15pm lo 8:15pm Age group: 8 10 16 OurTheme for 2023124, chosen by the young people, is 'Young and Healthy Energy Hub,, and has included the following activities.. Making nutritious food on a budget, Learning First aid Football training by members Using the computers to improve learning & T- shirt design Youth Club After September 2023, our numbers reduced but this was expected due to some children changing schools and friendship groups. We called and texted all parents and gained very us8ful information about how we could also improve our offer to young people. Our members started to revise our publicily and presentations at the Ladywell Assembly meating proved useful as we had few new members join us in November 2023. One of our team joined the Ladywell Assembly Commissioning group and this has proved useful with regards lo knowledge about the makeup of the ward with regards to types of housing in this area made up of social and affluent neighbours. This will help us to target areas. We planned to visit local schools with a view to speaking at a local assembly or during tutor group sessions, but this has not yel taken place. Our main aim for May to June 2024 is to leaflet homes as bad weather has affected our ability to go oul. After the 'purdah', regarding local and London eleclions, which have poslponed a number of council activities, we have been invited to talk about st Andrews youth club al the Lewisham Central local assembly. Funding The computers and Play & Stay equipment bought with NCILILadywell Assembly funding have provided new and educational activitieslequipmenl for all to use. The Play and Slay groups have seèn a decline in numbers due lo a number of children starting school bul the Friday session has seen a small growth in numbers. New activities have been welcomed and a few parents have asked to use our computers to check their benefits and make job applications. This has proven that there is some community cohesion which can be built on. Staffing Our staff team has years of experience, including skills gained from youth work, working with younger children, Information Advice & Guidance. 141Page
We must mention here, the tireless work of our volunteer, Shareef, who has proved himself to be a reliable and hardworking individual. He has supported some of our more vulnerable members and brought out posllive social skills which 2 of our most vulnerable members did not have when they firsl joined us, and it was touch and go whether they would continue coming and they still are. Ethel Punter Andrew Gill Kimlee Albert Shareef Muhammad (volunteer) Aliya Sheikh Ethel Punler April 2D24 forAGM
Accounts for fiscal year 2023-2024 161Page
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Acknowledgement and Thanks Lewisham Early years, service Lewisham Healthy Activities Fund The Drumbeat Outreach Service Lewisham and Greenwich NHS Trust Specialisl Teachers and Educational Psychology Service Zebedee's meals The St Andrews local community Testimonials 181Page
COMPANY REGISTRATtON NUMBER.. Q75456Q7 CHARITY REGISTRATION NUMBER,, 1141957 ST ANDREWS CENTRE Company Limited by Guarantee Unaudited Financial Statements 31 March 2024
ST AIWREWS CENTRE Company Limited by Guarantee Financial Statements Year ended 31 March 2024 Page Tste¢S, annual report (incoqK>fdting the directovs r¢port) Independent examinevs report to the tNs¢ees Sthtement of financial activiti (including income and expenditure account) Statement of financial position Notes lo the financial statements The folloivlng pages do not forni part of the finandal statements D¢tail¢d statement of financial activities 21
ST ANDREWS CENTRE Company Limited by Guarantee Trustw, Annu41 Report (Incorporating the Director's Report) Year ended 31 March 2024 The trnsiees, who are also the directors for the purpos¢5 of co]Dpany law, pr¢s¢n¢ their report and the ullaudited rillancial staiemenls of ihe chlty for thc ycar ended 31 Marrtl 2024. Reference and 4dmlntstrative det4ll5 ReBlstered charity ST ANDREWS cErRE Charlty realstratli)n number 1141957 Comp8ny regbtratlon number 07545607 Prlndp81 offlce alld reKlstered offlce Brothl¢y Ro4d LA>ndon SE24 2SA JRcqueJine Heath (Chair) Sonia Weston Alvatt Wright cfreasurerl Thelma Mojiis Yvonne Hepburn Mandy Hoskitlg Mark Be¢sley Ms Fiona Plati IR¢lircd 16 OrtobBr2023) (Retired 30 Jutte 20231 (Retired 4 April 2024) (Reiired 16 Octobcr 2023) (Rclired 20 July 20231 (Appoint 31 January 20241 (Served from 14 Febwary 2024 10 30 April 2024) (Served from29 September 2023 to 7 Febrnary 2024) Iservcd from 15 April 2023 to 9 May 21124) IServ¢d frojn 15 April 2023 to 30 April 2024) Mr Derek Charlion Ms Amgjjda Hoskirtg M8 Daniela Ja¢kmatrJones Ms DeborahDouglas Indepettdent ¢xamlner Loralne Layton FCCA 51 Norwood High Street SE27 9JS
ST ANDREWS CENTRE coMpnY Limited by Guarantee Trustees, Annual Report (Incorporating the Director's Report) (Cerf) Yew ended 31 Mgreh 2024 Structure* governance rnanagemEnt The Centre is a comparty limited by guarantee and 18 therefore govern¢d by i¢s ttLernoratLduttL and articles of a¥wciaiion. It is also re8i81cred wAth the Charity ComrThi53ioll. The Th]st¢¢s arg appoiDl¢d on the basis of their kJJowledge of the eduClOn&1 and social tleeds of th¢ romrnunity. Tn]stees recruited froin thc local COllnIty or inteiested local residents. All trusoes are required to obtain CRB certification and must famil5gri3e thejskselyes with the charities policies and practise8. Knowledge and exp¢ri¢nc¢ of the tru8tee'5 role is obtvined through att¢[an¢t of regular Ituslees and suc0[nItle¢ meeting5. The CorruDittcc mcct i)n A reglllar basts to decide on the operational deci5ion5 and needs. Trustse meetings ore attended by ]netnbets of the genior managemonl team of ttL¢ c¢ntre, who subrnit their reports on the conduct, achievemettts. fJJwices and ongoing development of th¢ clwity. None of the tnL8tees have a benefjcial interest in the company. All of the iNsttt8 ar¢ tllembers of the Gort]pany artd guarantee io contrAbute £1 in Itle tn( of a winding Th¢ trustees Bre tesponsible for the management of risk% fac¢d by th¢ thatity. The principle risks ]ie in the area of safeguarding child proteciion and the need to ensur¢ the continued fvJ]dirtg of the activities. Th¢ k¢ys ¢ontrols employed gTr'. - fomjai agendas for trustC¢S and ¢ollunitte¢ D)eetittBS'. - cottlprctS1V¢ 5trategiG plannin8. budgeting and managemetlt accountiJJg' - ¢5tsblishirtg ]ines of reponing alld organi8ational 5¢ruGturing - clear authorisillg and writlcnpolici
ST ANDREWS CENTRE Company Llmlted by Guarantee Truste, Annual Report Oncorporating the Director's Report) l¢onrfM¥rdl Year ended 31 March 2024 Objtctiyes and wctivitie8 The company's prin¢ipa] objective is the provision ol nuTS¢ry aft¢T schoDI club snd youth servlces to people within the community. The objeet is to provid¢ tlluch netd¢d Support a¢ro&5 th6 COItimutiity in respect of cbildeare and youth BUPPOrt. In 5elting th¢s¢ obj¢c(iv¢s artd plaxmin8 Its &ctiviueE, St Andrews directors have givetl evruI collsid¢ration to th¢ Chwity Commission's getteral guidattce on Public Benefit. Th¢ charity's objects attd its wincipal activity conlinuc to be tlmt of providing pre-school nursery lacilities alld after school care for the Jocal community within thc BroGkl¢y Area. The nursery provid¢s sigDifi¢Hnt public benBfit Lrt the following areas.. * advanc¢mt of ¢arly education.. proTnoliort of social hamnY.. * #dvan¢etnent of child health., * rejief of social disadvanthge. Strateglt report The following section8 for actLi¢vcm¢nts and perfom)ance and financial review for th¢ stragic report of the chariiy. Achlevements and perfonthoo¢e Th¢ Nursery. AfteTschoDI Club and Youth sessions continu&s to be the ]nairt focus of the Centre, ¢nsuritLg that W6 provide much needed support acr05S the Cotnmunity in respect of Child¢are Youth Servicu. The After4chool Club contLtLU¢S to be a 'self-financing' project and as such, not a service for profit. The Nursery continues to maintain ¢onsisietti ttumbers of children and providc affordable ¢hiid¢are provisiotl for th¢ local orn]nunity.
ST ANDREWS CENTRE Company Limited by Guarantee Trustees, Annual Report (Incorporating the Director's Report) (¢ONthwtd) Year ended 31 Mgreh 2024 Fln#ntlal revlew RRVE POLICY PyrpoBe St Andrew's Centre have ¢5tabJi5hed the charity reserve leve18 for the puryose of meeting ttle ¢harity'3 objectives to en8ure the Continued QPeTation and stability ef the mis8ioll* programtliC5, ¢mploy]nent and ongoing operations of the Centre. ThL5 polsGy m8k¢s provision for unforeseen obligation5 aJHI ¢m¢r8ency Sittlaiions having taken into &ccount th¢ moirt risks of the organisation. Resetves a]so enable the Centre to provid¢ buffering irttemal fijrtds for the orgaDisaliollal prioriti Such as sataries and rut1n8 costs. The res¢rve 15 intrnded to provide a base for silualions Buch as a sudd¢n increasB irt expenses. one- time ullbudgeted expens¢s, unanticipated loss in funding, or uninsured 1055. Th¢ r¢seTves are ttoi intended to replace a penn8n¢nt loss of snceme or elitijinaie an ongoing budget gap. It 15 art amouttt sufficient to maintsitl oflgoing oprraiions of the organisaiion for a a minimum p¢riod of 6 mDnths. R¢Krvu are needed: - To cover the costs of providing th¢ s¢ryl¢tts withregard w conunitments. - To maintaitl gjjd rnanage its on80in8 services,. - To cov¢r th¢ administraiiort and suppTrn without which th¢ tharity ¢otsld not fvncuon. EXTERNAL RESERVE POLICY Th¢ full not¢ on regerves can be fot under not$ 21. The trhjslees, annual report and th¢ 5trat¢gi¢ report were approved on 13 May 21)24 8nd si8tted on behalf of thc bog of llijstees by: JKqueline Heath (Chair)
ST ANDREWS CENTRE Company Limited by Guarantee Independent Examiner's Report to the Trustees of ST ANDREWS CENTRE Year ended 31 March 2024 I repurt 10 the tru51ees on my cxaminauon of th¢ finauGiaJ 5tatcmenls of ST ANDREWS CBNfRE {the charli) f the year ended 31 March 2024. Responslbffilltles And basls of report A8 the trusl¢e8 of the comp8tty12rtd HIBO its director8 for the purposts of company lawl you are reBponsible for the pr¢paTaliorL of the financial statements in ac¢ordance with the requirements of the Cotnpani¢5 Act 2006 I'the 2M6 Act'l. Havin8 sausfied my56lf th4t th¢ accounts of the compatty are not required to be audited uttder Part 16 of the 2006 Act and are eligible for ind¢p¢tLd¢nt examillation. I report in respect of my eAamination of the charity's aecoutlts a5 cattied out under s¢40zI 145 of the Charities Act 2011 I'the 2011 Act'l. In calrying out my examination I havc followed the Directions given by the Charity Comtnission under section 145(51(bl ofthe 2011 Act. Independent ex8mlner's st8temth¢ Sinre th6 ChIty'S gross incon% exceeded £250.ffl0 your eiaJJJirw must be a member of a body lis*d in sertson 145 of the 2011 Act. J confarjn Itlat I am qualifLed io undettske the exami[ti0nbc¢a5¢ I am a member of the AssociAtion of Ciwiered Certifid AG¢ountanls, which 15 one of the li8ied bodi. I have ¢otnpleted ]ny ¢K4nJinatiOTL. I confirm ttt no matters have come 10 my 8tt¢ntion in wntLC¢tion with the examination giving m¢ to beli¢v¢- accounting records were not kept in respE£t of tht charity as rcquired by section 386 of the 2(ffi Act., or th¢ firlancial statemetlts do not accord with those records. or the finaucial Stat¢llntS do not comply with the accouJJting req¥irements of section 396 of th¢ 2006 Act other than any requirement that the accoutLt5 giv¢ a'true 9d fairf view whicb is not a maiiereonsidered 15 part of an ijjdependeni examination. or ItL¢ financial stalemenis have noi beell prepared itt &ecord8rtce wlih th¢ TDethods and PTinciple8 of the StatWLent of Recommended Pracuce for accountin8 attd reportirtE by chHritie5 applic&ble to charities PTep8ring their accounts in accordance with the FiJJallcia] Reptirtitt8 StalldaTd app]ic&ble in th6 UK alld Republic of Ireland {FRS 1021. I have no concerns attd have come o¢ro$$ no oth¢r tnatt¢r5 in connection with the examination to whieh atlenuon 51Lould be drawn in this report in order to etthle a proper under5talirtg of thr o¢counts to be rcactLCd. Loraine Layton FCCA Independent Ex8n]in 51 Norwood High Stre¢t IA)ndon SB27 9JS 13 May 2024
ST AIWREWS CENTRE Company Limited by Guarantee Statement of Financial Activities (including income and expenditure account) Year ended 31 March 2024 2024 Restricted funds Totsl fund5 Total fur3 2023 UnrestrActed fund5 Nole Income and endosTrnents Dollations and le8]es chilable activities Other trading acuvAiies Inveslmcnt incorlle Other incortle 49,167 396,299 2,822 557 30.430 49,167 396,299 2,822 557 30.430 28,261 401,407 1,189 69 39.781 479,275 479,275 470,707 Expendlture Expcnditur¢ on charitabl¢ &ctiviti¢5 Total expendlture io,ii 542.146 1494 544,640 491,363 491,363 542,146 2,494 544,640 Ne¢ expendlture and net DveMentIn fun (62.871) {2.494) (65,365) 120,656) Reeonclllatlon of tunds TotHI fi]nds brought forwatd 88,254 2,494 90,748 111,404 Total [d$ tArrled forward 25,383 25,383 90,748 The stal¢tn¢nt of flnancial aGlivities includes all gains and losscs rccognis¢d ill th< y¢Fx. All inGoTn¢ ynd ¢Kptndilure derive from colltiiiuitlg activiti. Thell0t OllPg8es 8 to 19fom y•rt of thpst nCIal8temellI
ST ANDREWS CENTRE Company Limited by Guarantee ststement of Financigl Position 31 March 2024 2023 Note Current 4ss¢ts D¢biors Cash at bank and in h8ttd 18 8.5YI2 97.279 46.891 46,891 106,181 Creditors: amounts falling due withln One year Ne¢ ¢vrr¢nt assets 19 21.508 15.433 25.383 90.748 Total 9&8ets less tllrrent 118bllltles 25,385 90,748 Net assets 25.383 90.748 Fund5 of the chari¢y Restricte41 funds Unre8iriCt¢d funds 2,494 88.254 25.383 To¢81 eharA¢y fwids 21 25,383 90,748 For the year ending 31 March 2024 the ch1¢Y was cntitl¢d to exrmption from audit uler secttort 477 of the CoD)pani¢s Act 2006 rclating to small companie4. Dircc¢or5' r¢5pvn&ibiliti¢5: The members have not required th¢ compaTLy to obtain an audit of its fittArtcial statements for the year in question ill accordance with sectiotl 476. Th¢ dttec¢ors Acknowledge Iheir responsibilities for cotnplying with thc requirements of the A¢t with rpect to accounting records and the preparation of financial 81atements. These financial 8talements have been prep8xed in accordanc¢ with the provisions applicable to companies subject to the smaIl companies, regi. These financial stat¢m¢nts wwe approved by th¢ board of ttvstses and authorised for i&8ue on 13 May 2024, ynd ar¢ sign¢d on b¢haifof th¢ boaTd by.. Ja4udine Heath (Chair) Trustre ThE llOtt5 8 to 19 fom yhrtof thelenbwclal Btstemen
ST ANDREWS CENfRE Company LIted by Gllarntee Notes to the FinAnci&l Statements Year ended 31 Mareh 2024 G¢ner41 inforrnatlon The chari(y is 3 publir b¢nefit entity and a private cotnpany IiTllited by guaTaDl¢¢, registered in Englattd attd Wales and a registered Charity Engla[ and Wa]¢s. The address of the re8iSted 15 Brock]ey Road. London, SE24 2SA. S¢•¢ement ofcornpli4nce These fittan¢l&l st4temertts hav¢ been prepgJed in compliance with FRS 102.'The Fitwidal R¢pDrting Standard applicable in the UK and the Republic of Ir6JwJd', the Statement of RecoJJJmended Practice applicable to charities preparing their accounts in oerordonff with the FinancÉal Reporting Standard app]icable in the UK aTrd Republic of trelattd IFRS 102) {Chariti¢$ SORP tFRS 102)) the Companies Aci 2006. Accountlng pollcles Re5eTYes poIlcy PurpoBe The reserv¢ poli¢y for St AndW,5 Centre is to ensure ttle stability of the mission. pro8rammes, employttnt and onEoing opuations artd to provid¢ a 5Durr¢ of internal funds foi the organisaiional priorilies Such as salaries and nlnnirtg cost. Goal The r¢5¢rv¢ is intded to provide an internal source of funds for situations such as a sudden increase in expenses. one-ti]ne uDbudgetEd expEns¢5, unanti¢iPgt¢d loss in fiding or uniDsured loEs. The reserves are not intended io replace any pennarteni loss of incume Dr ejitninate an ongoiDg budget gap. Th¢ r¢s¢rv¢ is atl ajnount 5uffLcicnt to maintain oJJgoing operations of the organisaliDrt for a pBtiod of 6 month5. Fund5 beyond the atllounts held in reserves will be used for the btfIt of the communl(y cetttre.lt WAS Agteed thRt swplu5 funds could further be used a8 follows- -to 8ive finart¢iNI Sup1 to ¢xisting comttLUtLity aclivitics, if rcquir¢d. -to make major Ind minor improvettMl$ to th6 c¢D¢r¢ to provid¢ a w¢lcoTning ¢nvironm¢nt. -to promote the community centre through prittiing of posters and leafteis and the devdopm¢o¢ of a cotnmunity ccntrc website -t0 5UPWttraining llttds of community centre Biaff, volunteers and conmiittee members The cotmnit*¢ will ¢OnSLdEr on a Tcgular basis th¢ Icvels of funding Itlat it holds and how this fuThding can be used to bettefii thB cotnmunity centre and its gssocialed Rctivitie5 service5. Bas18 ofprepAfAtlon
ST ANDREWS CENTRE Company Limited by Guarantee Notes to the Flnanclal StateMents{coXtlrttaj Year ended 31 Marth 2024 AtcountlKg pfylldes Iwtrfllmed) Colng ThcK are llo materiaI uttcert¥inti25 about th6 thity'S 8biiity to colllinue, Djsflosure exemptlons The entity sat15fse% the criteria of being a qualifyAÈL8 entity as d¢fin¢d in PRS 102. As such, advamiage ha8 been tsken of the following di6G105ur¢ exemption¥ available ullderpara8f8ph 1.12 of FRS 102.. Judgements and key 8oure4s of tImatIOn UDcertAIRty The PrePatiOn of the fiD8tttial stktemenls requir¢5 ttwiag¢ment to m8kc judxcmtsnts, esiimatss and H55urnplions that aff¢Gt the amounis reported. These estllnaies andjudgemejbts 4r¢ CODtinuaUy reviewcd aod bo8ed on ¢Kperienc¢ ottKrfaclorB, includiDg expeclauoks of future events thal art beli¢vrd io be reasonable u*uier the circuttjstantes. Fund gtcountln8 Unrestricted funds are available fofuse at the discretion of thp trustees to further any of the clkarity's purposeÈ. Designared fimds are uJMicted funds eorma¢ked by the tNs1¢¢5 for particularfuwre project or comnjitmcnt. Re8trict¢d funds Subjected to restrictions on their expenditur¢ de¢lawd by th¢ dLmor or through the t¢Ill ol atl appeal, Hnd fall inlo onB of two 5ub-classes.' restyicied illcome funds or endowment funds. Atl incomin8 r¢source$ px¢ irtclud¢d in th¢ 5t31em¢nt of financial activities wkn entitlement has passed io the djatity., it is probable that the ¢conornic b¢n¢fiis a580cialed with thc transaction will flow lo the ciwiiy and the amount can bereliably measured. The follo8 specific policie5 ar¢ applied toparticular categories of incott%'. incollK from dDnalions or grants is recognised wheEL ther¢ li evidence of ¢ntill¢m¢nt to th¢ gifL re1p1 is probabl¢ Hnd its 8mount can be measured reliably. gacyincome ib r0818ed when ttceiw AS probabEe tlld entitlement as estthli8hBd. i]xome from donated good$ 1$ #ured at th¢ foir valu¢ of ¢h¢ goDds Unl& this 15 itnpractical ts) xasure relÈably, in which case the value is derxved from lh¢ cosi to the dorjor or th¢ estimated r¢saJe value. Donalcd facilities and services are reCoglsed In thB aCCOUnls when TEceived if the valuE can b¢ reliably naSUred. No amouDts a itt¢luded for lkn contribution of gelleral volunteers. income from ¢ontractÈ for the supply of s¢rvices 1$ gnISed with th¢ d¢isv¢ry of th¢ wntra¢t¢d ryi¢¢, This is cla8sifLed as ujmtrieted funds un]es& there is a eotttractual requir¢meni for xi 10 b¢ $p¢llt ort a PticUlarputp0s¢ and retumed if Un8[n4 in which caseit maybe regarded as restricted.
ST ANDREWS CENTRE Company Limlted by Guarantee Notes to the Financial Statements Year ended 31 March 2024 Accountlng polldes (¢OMlfMued) Resource5 expended E%p¢tOitUT¢ 15 [08n15¢d on an a¢a]S baé]& 05 a liability 56 Incu<d. ExpBnditure itLclude& VAT whith XTUJOt b6 fiilly I0v¢rea. Hnd is clas5ifLed under headings of the statement of fi0CIal activities to whith it relates.. expetlditure otl raisin8 fund5 includes th¢ c051s of all fundraisin8 aetiviti¢5, ¢veDts, Jkondthritabl¢ trading adivitsr5, and the ¥yle of donad goods. expettditure on charitable a¢¢iviiie8 include8 ail costs incurred by a charity in undertaking actlvilies that further ils charitable aim8 for the ben¢fLt of its betLefLCL¥XiCS, including those support costs and c051s relating lo the governance of the Clty apportioned to ¢haritabl6 actsvities. other expenditure includes oll expenditure that is neither relat to raising funds tor the ChltY nor part of its expenditure on charitable activiiie8. All cosi8 are allocatrd to expenditure categori¢s r¥flecting th¢ u%¢ of the tesoutce. Direct CDSts atttibuiable to a 5itLgl¢ activity are allocat¢d directly to that activity. Shared costs are apportioDed beiweett the activitie8 they contribute to on a r¢asonabl¢ jUStifiHbl¢ and CDUSjStsrtt bosis. TrNglble wets i rjxed assets are ini¢ially recorded at cost, Fixed assets lcxcluding investrncnts) arc 5tal¢d at cost l¢s$ a¢¢umulakd depreciation. The costs of minor additions or those costiDB below £l,OOD rto( capiialised. Depreciatlon D¢pre¢ialion is ¢alcula*d so AS to write off the cost or valuation of an a55et, 1¢5s ils Ksidual volue. over the Éeful economic life of thai assei as follows.. Fixtures and Efittin88 Motor Vehicle Equiptllent 25% r¢duGing balan r¢ducittg balart¢e 25% redu¢ittE baianee Jmpairment Orred A r¢vi¢w for sndicator5 of imp4irmerti is ¢srried out ai each reponing date, with the recovwHble llmouttt being estirnated where such indicatois exist. Where the carrying value exce¢d5 th¢ r¢¢ov¢rable 8mDlJrtt. the asset LS ittjpaired &¢cordittgly. Prior impairments are also r¢vi¢wed forw5ible reveTsHI at eadL reportijjg da For the purposes of impairnient testingi whEn it is rtot possible to estimate the recoverabl¢ amount of irldividual asS¢t, r&tirnat¢ is made of the recoverable amount of the cash-generating unit lo which the &sseL belengs. The c25h-generaiittg unit is the smallest identifL8bl¢ gTQUP of assets that ittcludes the asset attd 8eneraies cash indows that larg¢ly independ¢nt of the cash infiows from other assets or groups of assets. io-
ST ANDREWS CENTRE Company LAmited by Guarantee Notes to the Financial Statements IconrfJrtr4d) Year ended 31 March 2024 Accountlng pollckg IMpaInent of tlxed auets (cOnltMuedl Foi Impo]lsnt ttill8 of goodwill, the goodwill acquired ID o business conLbitsAtion is. from th¢ acquisition e, allotated to each of th¢ c85h-getL¢ratinB units thal are expetted lo b¥ncfEt ftom Ihe &yneTgips of the combination, inupcctive ef whethet other pssets orliabiJiti¢s of the charity arc as5Lgncd to thosc units. Flnanclal In5tNments A finon¢ial asset or a fan¢1a1 liability 18 recogniscd onty when the entity becomes a party i# the conlraclual prDVÈSiOttS of th¢ inutument. Basic fjntsttciai in6trum¢Dts ar¢ initially renIsed at the amouDt receivable or pable includang any related transaciion costs, unless the Atrangement COn5titUle& a fLnan¢iTkg tran5&ctioR, where it L8 ognIsed at the prcsem value of Ihe fuDJre payments discouxted ai a market rat¢ of illi¢r¢st for a simil4r debt instrunt. cUt a55ets and rUent liabilities subsequently measured ar the cash or oiher ¢ensYderditon ¢xpeet¢d to b¢ paid orr¢c¢iv¢d &rJd tLOt dh5¢0unted. Oth¢r fiTJ&nCI in5tnEtnEnts are 5ub5equelltiy measured at fair valw wlth any ch8nges recogntsed ill profit pr lo&5. Fitkrtcial assets that are tneasured &t cost or rtTWEti8ed CDSt Ér¢ re¥lewed for obje¢tive ¢VAd¢nce of impaEThent at the end of each reportirtg date. If th¢ is objcclive evidence of impaiTtne]](. an impairffle]Jt105s is reco8nised under the appropriaie headin8 itt the statemeJJt of financial a¢liviti¢s which th¢ initial gain wa$ rt¢ogoi$ed. Defjlled eontrAbudon plans Contribution5 to d¢fLned contiibution plans are recogLu8ed as all cxpens¢ in thc pcriod in which the relatcd service is provided. Prepaid corttiiblltlons are treOEJlsed Is an 458tt tD Ihe exiertt ¢hat the prep&yttwit will l¢ad to a reduction in futurc paytnents or a Eash refund. When contributions noi expecied io be setiled wholly within 12 months of the end of the reporting dale in which th¢ cttyloy¢c5 render the related 5etvic¢, th¢ liability l5 ttKasured on a di5countcd pr¢s¢tit valuc basis. Th# of the di6¢oont IS Tecogniscd as an exp#D$¢ ill thc perivd in which ir arises. Limited by guaran¢¢¢ The chtiriiy 15 a company limiled by 8uaran(ec Bnd has no capilal. The liability of each in th event of willdtJJg up is limited to £1. Donation5 and legacles UTwestricted Total Funds UDrestricted Total Funds 2024 FUTr 2023 DonalioD8 MacaroDi Woods Income 2.8tMJ 2.800 ii.
ST ANDREWS CENTRE Company Limited by Guarantee Noies to the Finandal S¢atements{wJrtnNed) Year ended 31 MoTch 2024 DDn#t10 legarle5 (¢pnrfArMd) Unrcstrictrd TotAI Funds Ful5 2024 Unrestricted Tothl Fund8 2023 C¥#nts L¢wishaJn Council .. BlY Health C4xe I£wisbam Coun¢il.' Early Pupil Prcinium Lewishartj Coutt¢il-. lThclusion Fund 824 12,122 33.421 824 12,122 33.421 49,167 5,239 1.084 21,938 5.239 1,084 21,938 49,167 28.261 28.261 Ch4rltil)le actlvltlcs Un¥¢[1r1¢d Funds Restricl¢d Ttal Fwads Funds 2024 Nursey F¢es R¢c¢ivob16 A*er School Club Fees Receivable PlayschcmeFees Re¢ciYable Lewislmm Coutt¢il.. HoliJayA¢tiviti¢$ and Food Programme Youth Club aNome Pjay & Stay PIAyschem¢ HethY ictiv¢ fuT 277,750 100,073 12,594 277.750 100,073 t2,594 2,382 3,500 396.299 2,382 3,500 396,299 Ullre5tricled Fund5 Restiicled Total Funds Funds 2023 Nursey Fe¢5 R]Vabl¢ After School Club Fees Rtteivthle PlayELh¥tnB Fees R¢cYivable Ixwisham Council.. HolidayActiv&ties at Food Programme Youth Club incoTn6 Pliy & Stay Playscheme Healthy active fund 298.455 64.199 17.437 298,455 64,199 17837 1,800 3.144 1,8(K) 3.194 1.972 14,350 50 1.972 14,350 396,463 4,944 401.407 12.
ST ANDREWS CENTRE Company Limited by Guarantee Notes lo the Financial Statements (¢•WllTrwedJ Year ended 31 March 2024 Oth¢r tradlrtg actlvklt5 Ujjrestrieted Total Flld$ Unrestrtc¢ed T41 Fund5 Fullds 2023 21J24 Nlwsery Fundraising Fundraising Youth Club Mini Bus Hire 1,445 427 950 1.445 427 950 39 500 650 39 500 650 2,822 2.822 1.189 1.189 Invtstmelltffincome Ullr¢s(riGl<d Total Funds Funda 2024 Unrestricted Total Funds Fullds 2023 Bank inieresi re¢eivabl¢ 557 557 69 69 Other kntome Unrestti¢l¢d Tolal Funds Funds 2024 Unrestricted Tola] Funds Fund 2023 Hall Hire 30,430 30,430 39.781 39,781 13-
ST ANDREWS CENTRE Company Llmlted by Guarantee Notes to the Flnancial Statements (coNtIRtr4d) Year ended 31 Mgreh 2024 10. Expendlture charitable activltle5 by type U]Jrestti¢l¢d FundÈ Restricted Total Funds Fur5 2024 Nursery After School Club Playscheme Centre Youth Club Building Renovatiotl ML'tii Bus Expens¢5 Inclusion project Support Costs 368,643 92.817 10.940 51,817 3,291 3,882 1,707 4.432 4,017 542,146 1,800 370.443 92,817 10,940 51,817 3.985 3.882 1,707 4.432 4.617 694 2,494 544,640 UnK5tricled Fund5 Restricted Total Futtds 2023 Nursery After School Club PIoy5ch¢n Centre Youth Club Building Rettovaiion Mini Bus Expejjses Inclusion project Support Costs 329.687 78.380 18.229 43,684 3,080 6,909 1,231 3,566 4,147 329,687 78.380 18,229 43,684 5,530 6,909 1,231 3,566 4.147 2,450 488,913 2,450 491,363 Il. Expendlture on tharltable 4ctlvltleB by actlvlly type Artiviti¢s undertaken directly Support costs Tot41 h5 2024 Toi#l fut 2023 Nursery Aft¢r SchLK>I Club PIAySthen Centre Youth Club Building Renovation Mini Bus Expens¢s tnclusiort prOjt Governance cosis 370,443 92,817 10.940 51.817 3.985 3,882 1,707 4.432 370.443 92,817 10.940 51,817 3,985 3,882 1,707 4.432 4,617 329,687 78,380 18,229 43,684 5,530 6,909 1,231 3.566 4,147 4.617 540,023 4.617 544.640 491,363 14-
ST AIYDREWS CENTRE Comp4ny Limited by GuArHntee Not48 to the Flnandal Statements (¢oAIIKu¢d) Year ended 31 Mareh 2024 12. Net ¢xpEnditure N¢t ¢xprnditure is slated after clwginW{crediting)'. 2024 2023 IA)ss on disposal of herita8e assets 2.243 4.947 13. Independent exathatlon fees 2024 2023 Fees payable to the indepettdent eKHJniner for.. Independenl examinaiion of the financial BIatellnIS 1,855 1,885 14. Stfiff co$ts The total 81aff costs and eJJJployee benefits forthereportittg period Ar¢ all8lyKd a5 follow5.. 2023 Wagcs arld sal1 Socittl security f05ts Employereontiibutiorts tD peiisLOrt plans 365.434 18,316 4,876 388,626 349.877 16,792 5,159 371,828 Th¢ aveTage head count of P10y¢¢5 during the year was 25 12023.. 241. The averagc number of full-time ¢quiva]entetnploy¢¢s dwittg th¢ y¢ari5 4nalyo¢d as follows- 2024 No. 2023 Nursery After School Club & Youth Club 17 17 24 No employe¢ r¢1ved employe¢ bertefits of more than £OO.O(X) durAn8 the year12023'. Nxll. 15. Trustee remllneratIon and expenseB No remutwratLori or other benefits from employment with the Charity or a related entity were received by the Iru5tC¢S. 10. Company limitsd by 8u#rgnte¢ The charity is a company limited by guaran*e and has no siwe capital. The liability of ¢ach member itl the ¢Yent of winding up is limit¢d to £1. 15-
ST ANDREWS CENTRE Company Limited by Guarantee Note5 to the FinanciB] Statements l¢owlnMd) Year ended 31 March 2024 17. T4Mgible rjX a55¢¢s Fixtures and riiiittgs Motor vehicles Equipm¢nt Tf>to1 Cost At l AprAI 2023 and 31 Mar¢h 2024 DepredAtloll At l Aprll 2023 And 31 March 20 Carrylng gÈmovnt At 31 M&rch 2024 20,239 6.457 13,423 40.119 20,239 6.457 13.423 40.119 At 31 March 2023 18. Debtors 2024 2023 Pr¢pay[[L13 alld a¢uu¢d inrorn¢ Oth¢rdgbtors 3.670 5,232 8,902 19. Credltor6: othunts f8llin8 due wltbln mi y¢#r 2024 Payments received on coUnt Trade creditors AccnE&ls and dtfellrd income Social $ecwity gnd othtrtsxes 1.635 1.623 12,976 5,274 1.635 1,625 6.925 5,248 21,508 15,433 20. Pensions other post retirennt ¢11 D¢ftn¢d co¢rIbutIon ple Thr amouut r¢wgJ>is¢d in Art¢om¢ or Mptoditure as at) expttns¢ in re]a¢ion to defiDed contiibution plan5 was £4,87612023.. £5.159). 16-
ST ANDREWS CENTRE Company Li]ted by Guarantee Notes to tht FinaneiAI Statements(wJtthJ*¢d) Yvar ended 31 March 21124 21. Anlllysls of tharltsble fullds unres¢rIct lund8 At 31 March 202 A( l April 2025 ItLCQElle ExpenditurE G¢LBrql Fut 88,254 479,275 1542,146) 25,383 A¢ l Apdl 2022 lttrome Expettdiiure 31 March 2023 Gtherrti Fut 111,404 465,763 (488,913) 88,254 17.
ST ANDREWS CENTRE Company Llmited by Guarantee Notes to the Fin4ncial Statements (¢ohfiw#ed) Year ended 31 March 2024 21. Analysis •f tharitable funds f¢oJtilMMta) Extern41 iieserves Pojlcy This re8eTre pujity is irt plate to ¢wr¢ that, if ikn financial sktuation of The St Andrew8 Centre m&teri4lly changc8, then a pro¢ts8 is 6¢t fDT th¢ Tru5¢¢ of th¢ bt Andre$ Qntre to follow and adth'e88 the tLat#ial ctw)gc in circumslances. Reserve fund: The fund5 he]d by Thc south Synod of Ihe United Reformcd Thur¢h(fhe SyJ]od) on beha]f of The St Artdrews's C¢ntte Iihe Centr¢lourrenily stands at £287,248 12021-£341,418. GAveo the current e¢onomi climate. the fi]nd alISEd a devBlu&tion ill thc T¢servBg of £66,033. The reserves continue to be held by The Syrlod behqlf of th¢ C¢ots¢. R4tionale: The majority of th¢ income of th¢ C¢ntr¢ is derived from Iht si Andrew'8 Community Nursery and the After School Club. Both of th¢5t are in¢¢8Ta] compDn¢nts ofthe work of the Centre. In light of the ongoing economic uttcertainty caused by the Covid-19 pandemlc the end of the transition PBriod following Brexit, the TTU5t¢# Jjoted Ind agreed that these chort8ed circumstances tevld have the pol¢nixal to affrot th¢ viabiii¢y of th¢ C¢ntr¢ ma¢rially and adversely. The Trustees agrees that a conrinued cautious approach is needed to eJJsure fth*tt¢i OmtllitThJts can bc tn¢t. Protess: In the event that la) either the Nllrsery or After School Club or Ib) bdh the Nutsery and Aftetschooi Club ceèse to use or provide services from the Centre, the Trns(ees will meei 10 inter alia discus& Ihe financial situation of the Centre, the useb of and the uses fro the Cetttre and the ielationship wiila the Bursary attdlor the Afterscbool Club andlor atty oiher Ihird-party Users. The Tru51ees will ¢on5Lder whether and to what exient to apply Ihe ReseTV¢ Fund. During this period, tho Th]st¢e will tneet regularly to assess the Operational viability of the C¢Trtsr opportuniti¢5 for oth¢rthird-party us¢. Surplus funds: The TnJ8tses have a8reed ro apply xtty surpluse8 from aoy profIt% or investmettts. excluding the Reserve Fund, for the purposes of the maierAal xmprovement of the Centre ill addiiion ro (he advancement of Ihe C¢lllres aim8 and objectives. For the avoidancc of doubl. the surplus fvnd shaIl not includc any lld5 fornLiDg part of the Reserye Fund. Thr TTU6tecs will r¢vi¢w th¢ polA¢y an annuol basio and WIld¢r lm thi5 fur18 to benefiL thB commbtiity Centre its a$soLittted activities artd services. 18.
ST ANDREWS CENTRE Company Limited by Guarantee Notes to the Financial Stateents{NIlAeAj Year ended 31 Marcb 21ll4 21. An8ly5tsofcharlt8bk (¢o4llnuedJ ReArlctEd (ndS At 31 Morch 202 At l Awil 2023 lttcome Expettditure Holid&y arlivitu artd food progratnme Youth club fi]nd 1,8QO 694 {1.8001 16941 (2.4941 1494 At l April 2022 Expenditllre 31 March 2023 Holiday 8Clivi1&8 aÈul food prograEllme Youth c]ub bjnd 1,800 694 3,144 4,944 12,4501 {2.4501 2,494 22. Anaty5ts of net bEtWEen funds Vtrr¢stri¢ied Funds Restricted Total F0& Funds 2024 Cuttent assets Creditor& IL%5 thgn l y¢qr Net &55¢¢9 46,891 121,5081 25.383 46,891 (21,5081 25.383 UJw¢s(ticied Funds Rtstrhcted Tolaj Funds Fund 2023 Curtent assets Crtsjitors Less than l ye 103,757 {15,433) 88.324 2.424 R06.181 (15,433) 90,748 Net assets 2,424 23. Rated port1¢ No trdDsactioiis wittl relat pthi¢s were urtd&taken which reqyiIed disclosuTB. 19-
ST ANDREWS CENTRE Company Limited by Guarantee Management Information Yer ended 31 Mayeh 2024 The following pY4ge5 do not form par¢ vf th¢ fIntil statemeDts. .20-
ST ANDREWS CENTRE Company Limited by Guarantee Detailed Stgtement of Finantial Actlvides Year ended 31 March 2024 2024 2023 Income and eRdowmpnts Dort4tlom$ and I¢Ea¢les Macaroni Weods IJJcome txwishatn Council: Early Hth CHr¢ IAvi5ham Council.. Early h]pil Pre1M L¢wi5haTTh Council: It¢lusion Fu]Jd 2.800 824 12,122 33,421 5,Z39 1.084 21.938 49,107 28.201 Charltable aetlvltles Nursey Fees Receiv8ble After SctLooI Club Fe¢s R%¢1ble PIaY8ch¢n Fec5 Rx¢iv8ble L¢wi5h&m Cauncil.. Holiday Activilics and Food ProgrdThLm¢ Yvuth Club illcom¢ Play & Slay Play8cheme Healihy aciivGthnd 277,750 t,[)73 12,594 298.455 04.199 17.437 1,800 3,194 1.972 14,350 2,382 3,500 396,299 40E,407 Olher tradlng actl7At5es NuT%cry Fundrai5LtLg FundraiyinB Youth Club Mitli Bu$ Hir¢ 1.445 427 950 39 650 2,822 1,189 Tnvutment Income Bk Int5( T¢]Vabl¢ 5Y1 69 Other Sne•m¢ Hall Hire 30,430 39,781 Totsl in¢oJn¢ 479,275 470,707 -21-
ST ANDREWS CENTRE Company Llmlted by Gu#rantee Detalled Statement of Financial AetlvitieS1¢gNllw¢l) Year ended 31 March 202A 224 2023 Exppnditure Expendllure om th4rJtsble ¢flYltks Wages and salaries ETDployer's NIC PEn&ion co%ls Rat¢5 and wat¢r tighi attd heat Repairs alld Enaintenance Insuranc¢ Motor vehicle expen$e5 Other mDtorltr4vel St5 L<8 3nd prof¢s8ional fe Telephone Other oificecosts Activity programme eApenseb Rrgi5¢ration requircmcnts and DBS TernpDrary ageucy stsff Food and ]nca15 Nw5¢ry -CleaTJing Nur$¢ry- St#¢ion¢ry Inclusion hlod exp¢nw E4tsipmen( and disposables Training Sunthies Bank Charges HLmo0 tt$(iur¢¢$ fees Early Pupil Premium- ac¢lvlty rosts Making itreai expenses ENCP- activity usts 365,434 18,316 4,876 1,486 54.908 8.847 3.670 1,707 115 3,282 11,337 1,468 2,243 2,142 11.143 22.011 11.222 3.862 2,587 5,7Y2 349,877 16,792 5,159 2,412 24,887 9,298 4,596 1.231 55 3,131 6,599 1.499 4,947 1,509 21.864 10,376 7,011 2.820 9,430 2,IJ02 709 361 3,601 1,899 219 357 175 3,598 1,993 102 544.640 491,363 Total expendt¢ur¢ 544.640 491,363 165,365) (20,6561 .22.