Company Number: 07630060 Charity Number: 1143156
Friends of Bude Sea Pool
Accounts
31 October 2021
Independent Examiner's report on the accounts
| Report to the trustees | |
|---|---|
| / directors / members of | Friends of Bude Sea Pool |
| On accounts for the period | |
| ended | 31 October 2021 |
| Charity No 1143156 | Company No 7630060 |
| Set out on pages | 5 to 9 |
| I report to the charity trustees on my examination of the accounts of the company for | |
| the period ended 31st October 2021. | |
| Responsibilities | As the charity’s trustees of the Company (who are also the directors of the company |
| and basis of report | for the purposes of company law), you are responsible for the preparation of the |
| accounts in accordance with the requirements of the Companies Act 2006 (“the | |
| 2006 Act”). | |
| Having satisfied myself that the accounts of the Company are not required to be | |
| audited for this year under Part 16 of the 2006 Act and are eligible for independent | |
| examination, I report in respect of my examination of your charity’s accounts as | |
| carried out under section 145 of the Charities Act 2011 (“the 2011 Act”). In carrying | |
| out my examination, I have followed the Directions given by the Charity Commission | |
| (under section 145(5)(b) of the 2011 Act. | |
| Independent examiner's statement |
I have completed my examination. I confirm that no material matters have come to my attention which gives me cause to believe that::- |
| • accounting records were not kept in accordance with section 386 of the Companies | |
| Act 2006; or | |
| • the accounts do not accord with such records; or | |
| • the accounts do not comply with relevant accounting requirements under section | |
| 396 of the Companies Act 2006 other than any requirement that the accounts give a | |
| ‘true and fair’ view which is not a matter considered as part of an independent | |
| examination; or | |
| •the accounts have not been prepared in accordance with the Charities SORP | |
| (FRS102) | |
| I have no concerns and have come across no other matters in connection with the | |
| examination to which attention should be drawn in this report in order to enable a | |
| proper understanding of the accounts to be reached. |
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Signed Date
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| Signed | Date |
|---|---|
| Name | Philip Sanderson |
| Address | Philip Sanderson Accountants Ltd |
| Chartered Tax Advisers | |
| 38 Lansdown Rd | |
| Bude EX23 8BN |
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Friends of Bude Sea Pool Company number: 7630060 Charity Registration Number: 1143156 Trustees Annual Report for the period ended 31 October 2021
Principal Address
The Old Toilets Summerleaze Car Park Bude EX23 8HJ
Trustees:
Paul Tilzey Mark Matthews Martyn Holehouse Gill Cannon Sarah Moore
Bankers
Cambridge & Counties Bank, Charnwood Court, New Walk, Leicester, LE1 6TE. Barclays Bank, Leicester, Leicestershire, LE87 2BB.
CAF Bank Ltd. 25 Kings Hill Avenue, Kings Hill, West Malling, Kent ME19 4JQ Co-operative Bank plc, PO Box 250, Skelmersdale, WN8 6WT
Structure Governance and Management
The charity is constituted as a Company Limited by Guarantee and governed by the memorandum and articles of association. Trustees are appointed at General Meetings of the Company. The running of the company is by a committee of no more than 10 people elected at General Meetings of the Company. The Trustees oversee this committee.
Objectives and Activities:
The company's principal activity is the maintaining of the historical sea pool on Summerleaze Beach, Bude. In practice this means that we manage, maintain and, where possible improve Bude Sea Pool (BSP). Since we took over responsibility for the pool in 2011 on a 99-year lease from Cornwall County Council our Trustees, Committee members, paid employees, volunteers, and sponsors have worked together to ensure that BSP provides a safe, open access, free of charge environment for swimming and related activities for the use of local residents and visitors alike. In 2011 the company took over the responsibility of the pool from Cornwall Council and contracted for significant improvement work to be undertaken.
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Achievements and Performance
Despite Covid, BSP has been open in the past year as permitted by government guidelines. The use of the facilities has been welcomed by locals and visitors alike.
We have delivered tangible and enduring improvements to the pool and its associated amenities while ensuring that regular essential maintenance is completed to a yearly schedule. This has entailed us conducting an energetic and imaginative fund-raising operation, backed by a successful campaign to raise awareness of BSP's importance to Bude and the BSP's visibility at both local and national levels. BSP is an asset to the town and contributes to pulling in revenue to local businesses. Pool use, and recognition of the BSP's importance to the leisure economy of Bude that is generated through social media feedback, has increased year on year. BSP is frequently a top-rated visitor attraction on TripAdvisor. We are well-regarded and respected in the local area – We continue to receive the support of many local businesses, and in addition to the many businesses which have been long term
t
We have also responded positively to the changes in the environment in which we operate, both regulatory, financial and more broadly as Bude develops as a year-round holiday destination, and, just as importantly, we have always looked ahead and sought to be proactive in developing BSP in ways that will secure its long-term future as an amenity for the local community and visitors alike, whilst retaining its natural and open aspects
Financial Review:
The Charity has changed its accounting year end to 31st October, therefore these accounts cover the seven month period to 31st October 2021.
As at 31st October 2021 the charity had uncommitted reserves of £156,965 (31st March 2021: £108,860). The charities income has increased by £24,810 to £172,815 (31st March 2021: £148,005). Expenditure has increased by £7,594 to £124,710 (31st March 2021: £132,304).
No charge is made for the use of the pool. It is free to use all year round. Our main income year on year is derived from membership fees with further income, particularly over the summer holiday months, coming from the sale of BSP merchandise, beach hut and deck chair hire, visitor donations and most recently, a Visitor Giving scheme. We are fortunate to have ongoing sponsorship from a range of local and national businesses. Their regular support makes a substantial contribution to costly recurring pool maintenance tasks and provides additional advertising for Bude and the pool. In addition, and where our plans and projects require substantial capital funding, we have made successful bids for grants. The past year has seen a substantial rise in the sale of merchandise, as a result of both locals and visitors supporting the charity by spending in the shop.
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In the period ending 31 October 2021 our total income of £172,815 was made up as follows:
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Beach Huts Hire £18,248 10.56%
Collection Tins £6,607 3.82%
Corporate Membership £9,937 5.75%
Donations £11,081 6.41%
Fundraising £5,445 3.15%
Gift Aid £6,589 3.81%
Grants £5,000 2.89%
Covid Grants £8,000 4.63%
Interest receivable £1,023 0.59%
Membership £17,834 10.32%
Merchandise £82,241 47.60%
Storage £810 0.47%
£172,815 100.00%
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Future Plans:
The trustees have updated the strategic plan for the sea pool and it covers 1 April 2020 to 31 March 2025. The plan is published on the sea pool website. The plan includes the work and development for the plan period and looks forward to the 100th anniversary in 2030 of the construction and opening of the sea pool. The plan remains for the sea pool to remain open to the public free of charge for the foreseeable future.
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Friends of Bude Sea Pool Registered number: 07630060 Balance Sheet as at 31 October 2021
| Current assets Prepayments and accrued income Creditors: amounts falling due within one year Net current assets Total assets less current liabilities Accruals and deferred income Net assets Capital and reserves Average number of employees |
31/10/21 £ 340,057 2,873 342,930 (4,752) 338,178 338,178 (135,000) 203,178 203,178 Number 8 |
265,769 - 265,769 - |
31/3/21 £ 265,769 265,769 (135,000) 130,769 130,769 Number 5 |
|---|---|---|---|
The company is a private company limited by guarantee and incorporated in England. Its registered office is The Old Toilets, Summerleaze Car Park. Bude. EX23 8HJ.
The directors are satisfied that the company is entitled to exemption from the requirement to obtain an audit under section 477 of the Companies Act 2006.
The members have not required the company to obtain an audit in accordance with section 476 of the Act.
The directors acknowledge their responsibilities for complying with the requirements of the Companies Act 2006 with respect to accounting records and the preparation of accounts.
The accounts have been prepared in accordance with the micro entity provisions of the Companies Act 2006 and FRS 105, The Financial Reporting Standard applicable to the Micro-entities Regime. The accounts have been delivered in accordance with the provisions applicable to companies subject to the small companies regime. The profit and loss account has not been delivered to the Registrar of Companies.
Paul Tilzey Director Approved by the board on 10 February 2022
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Friends of Bude Sea Pool Profit and Loss Account
for the period from 1 April 2021 to 31 October 2021
| Turnover Other income Cost of raw materials and consumables Gross profit Staff costs Other charges Profit before taxation Profit |
31/10/21 £ 163,792 9,023 (25,775) 147,040 (49,363) (25,268) 72,409 72,409 |
31/3/21 £ 137,136 10,870 (26,546) 121,460 (48,512) (57,247) 15,701 15,701 |
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Friends of Bude Sea Pool
Detailed profit and loss account items for the period from 1 April 2021 to 31 October 2021
This schedule does not form part of the statutory accounts
| Sales Sales Other income Covid Grants Interest receivable Cost of raw materials and consumables Purchases Staff costs Wages and salaries Staff training and welfare Travel and subsistence Other charges Premises costs: Rent Light and heat General administrative expenses: Telephone and fax Broadband Installation Stationery and printing Bank charges Insurance Equipment expensed Software Repairs and maintenance Sundry expenses Legal and professional costs: Accountancy fees Advertising and PR |
31/10/21 £ 163,792 8,000 1,023 9,023 25,775 48,721 217 425 49,363 644 620 1,264 258 - 3,424 880 1,437 1,717 1,577 12,459 500 22,252 660 1,092 1,752 25,268 |
31/3/21 £ 137,136 9,836 1,034 10,870 26,546 48,117 395 - 48,512 1,052 856 1,908 538 4,795 3,997 257 3,885 4,932 1,689 31,409 400 51,902 655 2,782 3,437 57,247 |
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Friends of Bude Sea Pool Detailed balance sheet items as at 31 October 2021
This schedule does not form part of the statutory accounts and should NOT be sent to HMRC
| Current assets Stocks Trade debtors Cash at bank and in hand Prepayments and accrued income Prepayments Creditors: amounts falling due within one year Trade creditors Other taxes and social security costs Accruals and deferred income Accruals Capital and reserves Profit and loss account Profit and loss account Brought forward Profit |
31/10/21 £ 24,304 895 314,858 340,057 2,873 148 4,604 4,752 135,000 203,178 130,769 72,409 203,178 |
31/3/21 £ - 976 264,793 265,769 - - - - 135,000 130,769 115,068 15,701 130,769 |
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Friends of Bude Seapool Income and Expenditure by fund For the period ended 31 October 2021
| Unrestricted Designated Restricted £ £ £ Income Beach Huts Hire 18,248 - - Collection Tins 6,607 - - Corporate Membership 9,937 - - Donations 11,081 - - Fundraising 5,445 - - Gift Aid 6,589 - - Grants 5,000 - - Covid Grants 8,000 - - Interest receivable 1,023 - - Membership 17,834 - - Merchandise 82,241 - - Storage 810 - - 172,815 - - Expenditure Accountancy 660 - - Administration expenses 4,298 - - Advertising and PR 1,092 - - Bank charges and interest 880 - - Insurance 1,437 - - Office premises 2,868 - - Promotional goods 25,775 - - Repairs and maintenance 14,176 - - Broadband Installation - - - Sundry 499 - - Wages and salaries 48,721 - - 100,406 - - Movement in Funds for the year 72,409 - - Funds brought forward 130,762 - Funds carried forward (see below) 203,171 - - Funds carried forward General 157,407 - - Play Equipment 1,909 - Beach Hut Replacement 20,000 - 179,316 - - Future Expenditure committed to Summer Season Running Costs 35,000 - - Structural Repairs 100,000 - - 135,000 - - |
Perod to 31st October 2021 £ 18,248 6,607 9,937 11,081 5,445 6,589 5,000 8,000 1,023 17,834 82,241 810 172,815 660 4,298 1,092 880 1,437 2,868 25,775 14,176 - 499 48,721 100,406 72,409 130,769 203,178 181,269 1,909 20,000 203,178 35,000 100,000 135,000 |
Year to 31st March 2021 £ 16,325 2,999 13,336 31,767 34 9,130 1,425 9,836 1,034 22,814 37,745 1,560 148,005 655 6,224 2,782 257 3,884 2,303 26,546 36,341 4,795 400 48,117 132,304 15,701 115,068 130,769 108,860 1,909 20,000 130,769 35,000 100,000 135,000 |
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