1143440
Hoylake Parade Community Centre
(A company Llmited by guarantee)
Trustees, r.eport and financial ststements
fow the year ended 31 Marth 2022
11
•ACW4KY9•
2800312023
COMPANIES PIOUSE
*51

Hoylake Parade CornfflunityCertr•
IA cOM￿nY Limit•d byluaranteel
Contents
Charf5 Repryt
NotestothefinaK4al statenvts

Chair's Report
A challenging year for Hoykke Parade as for the first half of the year the Communty
Centre building r￿￿1n￿￿ cbs8J to the general publ￿ due to the sitUat￿n with the
The Communty Polre StstK)n, Popws Cafe aThJ the S3ndedin95 NU￿ery remain￿1
opera￿nal during the FericKd of C[osu￿ and a number of rocmms Èt to small business
l￿rS also continu&l to generate income for the Trust. The Govemment fvrlough sch
and other support grants fr(Mn the I￿al autlmxity. We￿ key to keepirrfJ afk)at and enabling
the retenthjn of our tEmTrnent slaff unbl the r￿ne￿ in SeiX￿rtber 2021.
In 2019 we wekomed co-opted tr￿, DavKi steV￿s. Jill AThJerton.Stevens and
Julio CarY￿cho. In April 2020 they were forffkilty apN)inted to the trf)ard. lrym&ljatety prior
to our re0￿nIng in September we saw the ￿ljnat￿)n of 3 long stsnding directorsltrustees,
John Magee, Vaughan WillkHThs and Rijjer Bates. Furthem￿re, the remaining
dIr￿r5￿ accept￿ the rebrement rtsonatK)n of ￿n9-s￿nding directorltrustee
Ray Davies al our AGM in October 2021. The current remaining director5Aru5tees would like
to thank those who T￿￿Jn￿l for t￿'r trfw-sknding se￿￿e to Hoytake Par* Communty
Centre.
Upon rwning saw several staffing changes. th6 and other challenges the
ntre has rgToin&l open. The dIr￿r$￿ruStets taking a rn0￿ attive role in the day to
day running of the centre has steadiad the ship and kept us on an even keel during a rather
stormy peritsj.
e(okings have increas&1 sifKe reopeniNJ. New staff have teen taken on. Users of the
centre have eXPr￿d positr￿ comments rejarding how the pkce ts run. We look forward
with confidence to the next year and continuing to Sen￿ as a centre for the local
communty.
Jvlièn Piiest
. Chak of Trustees

Hoylwke P4ra¢e Community Centre
IA corripany Lknited byzuarnnteel
L•g•l Ind •dmihi5trnti¥e inft•rm•tign
Charity number
1143440
Company reglstration number
7639033
Registered Offi￿ '
The Parade
Hoyle Road
Hoylake
Merseyside
CH47: 3AG
Trustee$
Robert.V Williarn5
Roger Bates
Jill Anderton-stevens
William R,Davies
Robert. E Magee
Julian Priest (Chairl
Dawn T Smith {Treasurer)
Julio Camacho Bonila
David Stevens
. . reswed 01.09.3Y21
. X).11))21
. le5￿￿d 07.[￿.2021
Accountant$
Loughrey & Co
38 Market Street
Hoylake
Wirral
. CH47 2AF
Bankers
Unity Trust Bank
9 Brindley Pla
Birmingham
BI 2H8

Ho¥l•ke P•r•de Comn¥JnityCertre
(Acompany Limited bY￿￿Tartee1
. for th*￿*re1th4 31 Mlrth 2022
dIreth￿ ol Hoykke Parode C(Inm￿ty Certre FwK6es of(wpny kn¥arnl the year aTrJ up
lotb• dale of Ihis rewt areset out ori page 1.
sirurturei 4o¥ernance and manaymert
g￿n￿atron is a thrit*4e cLryaThy firr•I￿ by gMxrard* lièy*red in Er¥J18TrJ aTrJW*s, No 0763>)33) incur>yatsJ L
and haffig ffgthred è5 4 chwty 11434401 ￿ 1&h 3J11.
and 1$ go¥emtsl by ￿Art¢￿sOfA5SCO*m d*d l&h May 3J11 am￿￿fj by a SP￿ Re¥Kthkn dthd 7th N0￿Mb￿ X)11.
Hoykike Parade Community Cenlre vaa trd mrwthe W P¥8de ConNNnity Centre as
¥ ¢ertre fr*lhe benefft oftre
The Board ofTrustees aFwnts c4fws*tK) are rE5F￿￿tlE1ts￿￿ thy tothy ofthe Certre. Hoybke Parase Community
Centre i% rnan￿ed wmed by a manèJement CUnft￿ee. of trtrAee5 aTrJ a rrfjrntw ofadvsers and staff memters.
Oblecii¥es •nd *tIl¥l￿e$ b•rnfil
¥epxtng rewrements fLY ts year 31 Marth 3JZ2.
ComrnuF¥ly Cer*e in Hoykke.
dher dtstnd51he trustees deem apwopThle wit1￿ c4 sex. sexLd uierrtakn. ￿. th5a￿.￿y ￿ crf w1￿cal, relvJiouB or
ether opinions by assocrdlin9togÈlh¥ttE 5•d resKJwts aryl the 3llho￿.e5. ry9¥￿ in a ctynmm ¢ffL¥t to
advance educalin aThJ to wrN*Je in the irrtere*of5Ly￿￿ for l1mecttupb￿ vAh thp rèiec*ve
reqw*ements.

Hoylake P•rade Communty C•ntre
IA¢ompanyilrnited by•￿1¥nte01
paP￿rt ottht trustees (Int￿PO￿tin¢ the dlrettors repwtl
Flnan¢kl re¥lèw
Total income f¢N the yearwast12B.972 (￿￿1£169.61•.:
Total exFend1lu￿kr ￿ ynrvAs £140.￿ {￿21£17•.￿l
At 31st Marth ￿ Ihe ewatrle *oi at £219.11513)J123J.4281
ststement of tvustses, r¢swisibilllies
Thetrustees Iwho *e ol Hoylake P*8de Centre forthÈ pJrFose L4tompany knfl *e reSpp￿4)le fry
PFep3pTrJ Ihe Trustees. Arwthl Rerth and lher￿￿#￿ staternents in acct￿ applrable LwaTrY UK ￿e￿4UY
oflhe charilat4e ccmwy aThJ ofth¢ yK¥Jrning reEtyJr¢ts and ap*O1ix ofr950urc*& wKkJding
the irKome and expent*ure, cl the chwtth company"fr* Fer&#J. In wepar*yJ these fmar*ial 81*em*ts.
etrustee5 we teguired to."
8dec* gjrtable aFWythem coiststwity..
ob5er¥e the rr*tt%)tsand th? Clwth5 SORP,"
ke jL*emert5 and estKrvte51h* a￿ r*5W4t4e and wwknt".
State *thelher a￿￿t4e UK have t*} f￿￿￿￿1. gJtr4edto any wr•1V￿ '
departLwesdisclosed exfvd.ln the fironual stslemerts.. and
t￿1 Iher¢yntony *ill ¢¢Attviue
. fLn8n¢kql Ft&iti.￿ cl the Gh¥it4bkn enthlkn to erwe Ihat tsfir0rKwl stalements corrply wth Ihe
the Ccffipanies Acl 2C￿ aTrJ the Chanties Act ￿15. T￿Y areatso resp￿￿￿e ftr saleguarthrvJ the aw15 ofthech)nl*
¢unrény and l*n(ttr18kng reascro￿e *6trthe pre5*ntX￿ aThY{lettttw￿ ol clhwirrgw*ities.
Srn•ll ¢omp•ny provisions
to Ihe srnal companles regime and in accuéarte YAth FRS7(Y2 SORP 15.
On behaff of the
JLth'an Piiest
Dlredor

P•rad• Communitycentre
{Awmpany Limited by¢uarant*è)
lorthe yo•re+Mled 31 M•rth 2021
R•s￿£t1￿ rnspansilAIIt1•5 OttriJ5tees •nd Independert examlnef
The ¢haritls Iruslees are also Ihe dKeclors ofthe c¢nyny lor wrprAes¢f¢tYnpany reswtkfcf
weForalion of Ihe arKwnts. ThÈtnA5tee5 ¢orts¥JErttrot ￿ a￿ltt rqiUr￿ 5ecl*Jn 144 ofthe aTrJ ttrot
an independent exaMinatiC￿ r*edèJ. tt is my les￿*1b￿fy W".
urvjer 14I5Xbl offv *£4. arnj
Basls of IndwndÈNt Èmarnlmf's 514ternent
It atso 1ndtths¢tytsthratV￿ ofany Unus￿ d￿￿￿Jres Iftthexc￿rtS. sethTrJ eXP￿rAt￿n8frOrn wju astTLtslee8
¢orKerniThJ any Such mattets. The prIx￿re5 undBrtak• &) rK* wovK*sal w)ukl ￿ required ￿ an •xlit aTrJ
cottsequenuy rs as to ¥4ttelher tt*&crAmls arMlf¥ vi*¢ and the rewl ￿ lrted lo Ihc*e matters
8e¢ ¢>Jl in ￿ Slat￿1errt tekAv.
In&p•nd•nt •x•fflI￿ffs sl•t•m•nt
to tdieve that fft any material res￿&..
the x¢tyJnt8 thd not aoyJrd *ilh tt* accoLwttirvJ rwd5".
Ih acccunts did not cornply t￿ath1¢a￿* requremerts c(frnniry
fc¥m and content ofacLtyJrts ¥d Ihe CPwii*5 (Accwnts arxl Rewxtsl
ReguL3tws 3xe other Ihan any rewremerrt that the authnls Jve a trRand fa
M•rk l￿hre¥ FCA
IndePeb￿ÉTrt •x4rniner

Hoyla*e Parade Communty Centre
Cha
Com
No
No
Annual accounts for the
1143440
7639033
eriod
. Perk)d start t18te
Period end
01.04.21
To
31.0322
Section A Statement of financial activities (including summary income
and expenditure account)
Prior year
funds
Recommended ￿tegorIeS by activity
funds
nds
Totsl funds
In¢ome (Note 3)
In￿m0 and endowrnents frorn:
[knat￿n$ grants 8ThJ
ChanlatAe *tMtie¥
F01
F02
F03
F04
F05
soi
37,285
91,670
15
37,285
91,670
15
109,458
60,016
13
62
(Xhertradinll
Investments
Separ*e matetsl ol ￿¢1
(Jher
66
169,615
Total
Expenditure (Notes 6)
Expendi￿1¢ on:
Raising runts
128 972
128,912
1.È15
169.908
140,295
140,295
S10
t￿h￿r
$11
Total
$12
140.295
140,295
171,723
Net incomel(expenditure) before tax for.
the reporting period
S13
11,323
11.323
2,108
Tax p8yab
S14
Net incomel(expenditure) after tsx before
investment gainsl(losses)
S15
11.323
11,323
2,108
Net pinsllbs8e81 on ￿￿*9tir*nt8 .
S16
Net incomel{expendlture)
Extraordinary items
Transfers between funds
Other recognised gainsl{losses):
S17
11.323
11,323
2,108
$1
S19
Gains and10sse5 on of 45xts fortt
¢harWsown u8e
(Xher gal￿1{￿&Se5I
&21
Netmovement In funds
S22
11.323
11,323
2.108
Re¢onclllatlon of
fiinds."
Tt&l Iwd8 brought forward
230,428
219 105
230 428
219.105
232,536
230,428
Total fvnds carried ft•nvanl
S24

NO￿*ke P*adp Crymiurlycerthg
1143440
7639
Company
Section B
Balance sheet
iknrotiirict•d Endowfflmt T￿1th1# TotallA•t '
lunds
lund
fuThd8
y•ar
Fixed assets
angible a55ets
Tangible assets
Herltsge a$xts
veslrnents
Fr
iNotr
164.1Z3"
164.IfJ
169.815
164.124
164.124
169.816
Current assets
stocks
Debtors
knvestrnents
{Not• 81
8.010
8.010
Cash at I￿k and In hand (Note 10)
rotsi curyentassets 010
49.371
57,381
49.371
57,381
2.017
Cieditors: *rkwnts faHlno due wlth
one year
{Note 91
s4.￿1
54.981
1.612
230.428
Creditors: rnnts fallThvJ d4Je aft•r
one year
(Note g)
Provlslons for Ilabllltles
814
Bis
T•ialn¢i ass•ts or Ilabll
Reserves of the Charity
Fndowm•nt fvnd5
219.1C6
219.105
2X),428
B17
R•strictqd capltal reserv•
Unrestricted ￿PItal reserves
R*valuation reserve
Falr value reserve
Bl•
Blg
219.1C6
219.1C6
).428
219.1
1Y.105
2J).428
Comp8nles Act 2006.
SIQ2 SORP.
..ar*J Ihrrir by.. '
Julian Priest
Dawn SmSth
OMJ
17a iexcdl

Section C
Notes to the accounts
Note I
Basis of pveparation
This sectlon should be compl•t•d byallelwiU•s.
1.18asis o! accounting
Thèse accounts have teen prepared under the h￿t0￿1 cost conventton iterns Tecognised at cost oi
transaction value vnless other¥sw stated in the rdevant note(sl to these accounts.
The accounts have been prepwed in accordanc•￿th".
the Statement of Reeommendtd Practice". Accounting and Reporfsng by Chanbes
prepariAg th•r accounts ui &cordance vthh the Finantia Reporbng Stsnd8rd app1"c￿e
In the UK and Rtpubk of Ireland IFRS 1021 Bsued on 16 Juty 2014
. and
and *Tth'
the AnaM¢o1 R¢p)rtJ"ng Standard apF*at4e In the United ￿"nI￿￿o￿ and Reput￿"¢ of
Ireland IFRS 1021
• and bmth Chanbes Act 2011.
The chanty eohsbtutes a put4K benefft entity as ¢Yefined
FRS 102."
12 Going Cofbcern
Mthere are rnateiial uncerlw.nbes relatsd to •vents oreonditions thateast slgniffcant doubton the
charitys abllity to contynue as a g￿ng concem. plea￿P￿vIde th• following d•tails or statè-Nor
•ppli¢able-. rfappropriate..
An exF4analion a5 to those factots that SUPPDrt
the conclusion that the charity is a g￿Trg
oncern",
At thè time olapwoving th• a¢count4 the fwstees hav• a
50nabkexp•cratlon that th• Charity ha5 adequate
rnsoutcos to Contift￿ op•rniing lor the forseeable futurn.
DY&dosure of any un¢ertaintss that Make Ihe
going concem assumpb.on douLthI"
MIA
Where ac¢ounts are not wepared on a gcing
¢oncern bag"s, F4ease (tselose lact
together wth the basis on whth the trustees
prepaied the accounts and the reason whythe
chaiity is not regarded as a g￿ng concern.
NIA
13 ChaThae of acc<xmtMry policy
The accounts wesent a true •n¢J f•rvi¥w and no th*ges have mado to the ¥¢¢OUntyng poh¢￿ adopted In
note { }.
No"
(i) lh• nalurn of the chang• in acc¢xMthgpolicy."
NIA
(IQ Iho r8•sons whyapplying the newaccountiijq
policy provldos mor• rèliableandmore relevant
WA
CC17a I£Kthll
io

11) the amounraf Iheadiustmtht for exh lineaifoctèd
In tho cufftntperiod, each wiorperiod presenledarnl
the aggrtqate amount of the a<liu¥tment relatsnq lo
periods beffo￿ tIK>sepresen¢ed, 3.44 FRS102 SORP.
NIA
No ehanges io accounting e5fjmates have occurred in the reForting penod {3.416 FRS102 SORPI.
No"
Pleas? diselos•".
n th•n•ture of any changes..
NIA
(li) the offedolthe • on incomeandexpw•se or
assets andliabllilles for Ihe curTrntperioLI.' and
WA
iij) wlwe praelieabl•. th• eff￿t01th• change in on•or
NIA
1.5 Material prlor Jtar errors
No m*erial prior
r error have tttn l¢Jen1￿ in the re[￿ting p￿dI3.47 FRS102 SORPI.
No"
'.rtk as apkYwrF**
Pl¢a$• di$dose."
(i) th• nature of thè priorpoF>tid •m)r.'
NIA
(li) kir ￿¢￿ priorperiodpresenMtin rh• accounr4 the
amount olthe corr•aion for each account lin• iiem
affecled,. and
NIA
li) Iho amount ofth¢ at the bgginning ofthg
NIA
C17a IErt¢ll

Section C
Notes lo the accounts
Iconll
Not• 2
fhl$ sts0dwdtystola¢¢ouDkn•￿¢f•$b￿s beenapph*dbythechwtyeYceptTDrtrThetleleted. IV7xR•
2.1 RECONCIUATION WITH PREVIOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
ifi¥t•uth* Ptslicy
rtof
Fund baI•nrt5aswe¥￿￿ .
ty•l•n¢* restated
102
ststed
as restaled
17A (EWAI)
12

Section C
Noles lo the accoun15
Note 2,
2.2 INCOME
WA.
rrywred trrfth•FRS 101 SQRPorFA5 101.
Gr*ht$ *ld thb•ilOm*
Yes"
No.
fi￿￿.1010 5.12 FRSlf2SORP).
L•gxle$
YES.
Yes.
Tax reclalfflson
Contrictuol InccAI* Wdd in tho wJ6aT
No.
gr•m$
No.
No.
Wo.
No.
No.
ND.
Nla.
s￿￿1¢04¥
No.
Nl&"
Volunteer he
Ye6.
No.
CC17 PRS 102 SCIIP
13
2210V2WL3

royaMlesaRddl¥iderth rdw.
subserlptyon$
Yes"
el*lm#
c¥itero•re (S.10105.12 FRs102sCffj￿d
(¥me ID 4*5cFA.
Yes.
Investmentgalng •r
10s5es
2.3 EXPENDITURE AND LIABILMES
txlthsate is nw)re 14W
Yes"
Nla"
Yes.
¢Dnditlrns
Yes.
Nla"
No.
Nl¥'
Yes.
ovlsborbs lor atlh8 bB*lq51M￿ re4wadkn•th•d4WL￿attr*
No.
Nfa.
Instiuments
) 11.19. FRSi02 S(*P
2.4 ASSETS
s• bychaTIty
£x
Yes.
Np.
a.
Tl*areTAl￿d 410¥.
HEvttage a5Sqts
sc*nlthc. leGhnctt¥￿. 9tt**rys￿￿ ty ènviiofmwftsi 4L4I*Slhar and
ranlAined piwpal* forttrthr io kr•* aThJ Thede￿￿1
yaluèl ai In￿*41 cos1 4rK1 gAswrth4tfaii ¥¥Je) al theyr
Yes.
Nla.
CC17 FRS 1￿$011p
14

8tocks
No"
Yes.
No.
Nlg.
Yes"
NIO"
Curvent asset
Yes"
No"
POUCIES Afx)PTED
ADDm14NL TOOR
DIFFERENT FRC•I
CC17 FRS 102S<>IP
15

Section C
Notes to the accounts
Note 3
'kn•lysh ollrKom•
J*
furx15 Prtor￿t
DDnatlon$
and le9acl•$:
Donations and ffts
Tax RefuTrJ
charilE5
37.55
37 255
101.785
rknated g¢b>Js. faolit"*5•xI sw¥Ke8
Total
37.285
37.285
109.4S8
Chèrttab
a¢tivitie$:
ActNthies
Rental I￿A)rne
T<lal
91.670
60,016
al￿rtradIng
acllvit*s:
Photrxo
Incoffe
Coffee and (*te
Fundratsi
13
15
15
Qlher
15
15
13
Incorne Irorn
I￿stments.
Interest Irwme .
DNidend irthme
Rental and
Olher
T¢ial
Separot*
rnaterial
oflncorne
AccesSto￿rk
Insurance c￿lm- b￿r*s5 inle
Insurance CL8im & C¢Jm
salion
Other-
Gain on disp)sal of a t*¥Jible f￿d aBse¢ he&J
Cain on disposal of a related
invest1￿%
RoyallEslrom Ihe eXF*)tsI￿￿ of
h15
Other
TOTAL INCOME
128,9n
128.972
Other information..
All in¢ome in piior year was unrestriGW except tr. Iplexe
proville 41**¢ri$4iDn *fid amouvtsl
Whtre •ny endowtherrt fiJrKI 15 converted inlo inx¥ne irt thE
CC17• (Ex￿[)
16
2210312023

Wthin the income fteffls abo¥* th* ilem$ ¥*
disclose the notuvt, •iwt andany p￿>
amounts)
Wh•R lums Origin￿lY den￿l￿n{led in foreiyn ¢￿TencY have
i￿l￿dEd in inrntne. ttwts515 on those
have been traTh3lJted into sterling Icr thecurrency
Iht 8ttOthts aftdrawn ￿1.
CC17a IEx54)
17
2210312023

Section C
otès to the accounts
conll
Note 4
Expendilure
Analysls olwthdllufe
Totallund5 Prfw>ThT
Expendlture on
Nnnlng costs:
Buil¢Jiry r￿¥Ing c(£ts
staff unrf¢Arn5
712
Staff e>wtses
727
6.125
7.070
1.1
3.852
Tra￿lI¥j c£sts
Bank ch
528
671
Payroll fees
15
15
519
TolalexF*ndfture on rnnnlng costs
140.295
140,295
169.908
Expendltur*.on
ralsing lund$
Caterirvj & coff￿
fuTh*ar*TrJ
Totol
1,815
(Xh¢f
Totalother expeThlltur•
TOTAL EXPENDITURE
140295
140.￿5
171,723
Othef kn10m￿lIOn.
C4n be anaysed ￿ lolknws..
iterns are materi41' Iplease disclose
then4bsre.amoumaThl any ￿or
ountsl
CC178 (E￿[}

sUms4knJ6nalydwAINMna￿In
currency have been includod in expendithir*.
explain the basis onwlmch thos* ￿m5 ha
been tranglkted iThto$t•rflr4 lor Ih¢
in *thi¢h Ihe accothity wtdr•wn
CC17a (Ex
19

Section C
Notes to the account5
Note 5
Details of certain types of expendiwre .
FeÈs for examlnalion of the accounts
.Please provide details of the amount paid for any statutory extemal scrufrny of
accounts and other seNices provided byyourindependent examiner. Mnothing
a$ paid please enter ri, in the appropnate box(esJ.
This year
Last year
Independent examlner's fees
1320
1080
Assurance services olher Ihaft independent examination
Tax advir•Ory fees
.other fees (for example: financial advl¢e. consultancy. xcountancy seThi¢esl
paid to the independent examlner
CC178 (EX￿1)

Nole5 lo-:tr.e accoLn'.5
P•id ¢thployee
S*knes iSlSthrnK•
83.811
1.778
64.153
oth•i •mpbs*•
67.236
Moemployee5 recefjved employee ber*r#s lexeknllv4 emp
É60,OOtsto£69,9#9
E70 O￿loe7999
£80.CWtoe89
t90.￿All￿ egY.9•9
titX)tyJo tytI09999
pr•*s• prov40ethetrl¥l
to k*Ym*na#èrnÈntpE￿OnTr
managemeTrt) lor Ih•ii s4r¥le4st•lth•
char4ty. ForsperSff¢ •mp¥nts pthj
trustaP5,S•* Zg."
A¥trnqe hÈ*d e•th)t lfitht )
La5tyw
N¥ml
Ilumb•r
Ple•5e ￿P1￿￿￿e nthreofthe
pJyTh•n¢
Ple•se SlAethe leqll
ieasoofor rnakknq the payimfii
PleKe statsthe •nwnt rfthe
payTrenl lor value •faryw4lver¢l•
11ghtto •n4ss¢V
4 R•dufftthn¢y pa￿ts
The **¥t
e*J
fftyr*duhthrty Ov
pttym*trts
70 (Ekr•D

Section C
Notes to the accounts
{conl
Note 7
Tangible fixed assets
Please complete this note rfthe charity has any tangible fixed assets
7.1 Cost or valuation
Freehold land
& buildings
Leasehold
Improvement$
Plant,
machinery
and rnotor
vehicles
Equipment
Total
At the beginning of
the year
Additions
171,788
64,461
236,249
Revaluations
Disposals
Transfers '
At end of the year
171,788
64,461
236,249
7.2 Depreciation and impairnients
SLorRB
•*
Basis
.SL
SLorRB
RB
SLorRB
Straight
Line ("SL")
or Reducing
Balan¢e
("RB")
- Rate
15%
At beginning of the
year
Disposals
"17.022
49,412
66,434
Depreriation
3.435
2.257
5,692.
Impaimient
Transfers"
At end of the year
20.457
51.669
72,126
7.3 Net book value
Net book value at the
beginnin9 of the year
Net book value at the
end of the year
154.766
15,049
169.815
151.331
12,792
164,123
CC17a {Excel)
2210312023

7.4 Impairment
Please providé a description of the events and
circumstan¢e$ that led to the recognition or .
reversal of an impairment loss.
7.5 Reiialuation
11 an accounting policy of revaluation is adopted, lease
the eff•¢tiv• dat• of the revaluatlon
vide..
the name ol independent valuer. rfapplicable
the method$ appli•d and significant
assumptions
the carrying amount that would have been
recognised had the assets been carried under
the cost model.
7.6 Other disclosures
(l) Please state the amount of borrowing ¢ost£
If any, capitaiised in the construction of tangible
fixed assets and the ¢apitaiisation rate used.
(li) Please provide the amount ol contractual
commftments ftir the acquisition of tangible
Ixed assets.
(111) Detalls ol the exlstence and carrylng
. amounts ofpmperty. plant and equipment to
whlch the charlty has restricted title or that are
pledged as security ft)r liath"lities.
The Yrnnsfets. mw is for m0Ven￿nts behveen fixed asset ¢ategoiies.
- Please indicate the method ofdepw.alth by delets'ng the ￿￿thOd not
CC17a (Excel)
23
2J0312023

Section C
Notes to the accounts
Icontl
Note 8
Debtors and prepayments
Please complete this note if the charity ha$ any debtors or prepayments.
8.1 Analysis of debtors
This year
Last year
Trade debtors
Prepayments and accrued income
Other debtors
8.010
1.989
Total
8,010
1.989
Complete 8.2 where a material debtor 1$ reeoverable more than a year after the reporting date.
8.2 Disclosure of debtors recoverable in more than 1 year (included in debtors above)
This year.
Last year
Trade debtors
. Prep.ayments and acerued income
Other debtors
Totsl
.CC17a (Excel)
24
2210312023

Section C
Notes to the accounts
Icontl
Note 9
Cr•ditors and accruals
Please complete this note Mthe charity has any crndif(>rs or accruals
9.1 Analysis of creditors
Amounts falling due
within one year
This year
Last year
Amounts falling due after
more than one year
This year
Last year
Accruals for grants payable
Bank loans and overdrafts
Trade creditors
Payments received on account for ¢ontracts
or performance-related grants
A¢¢ruals and deferred income
2.400
1,405
Taxation and soclal security
Other creditors
Total
9.2 Deferred income
Please complete thls note rfthe charity has delerred Income.
Please ex
ain the reasons wh Income Is deferred.
Movement in deferred income account
This year
Last year
Balance at the start of the reporting period
Amounts added tn current period
Amounts released to income from previous periods
Balance at the end of the reporting period
CC17a (Excel)
25
2210312023

Section C
Notes to the accounts
{cont}
Note 10 Cash at bank and in hand
This year
Last year
Short term cash investments (less than 3 months maturity date)
Short tern7 ¢eposits
Cash at bank and on hand
Other
Total
49.371
60,028
49.371
CC17a (Excel)
2210312023

Note 11
Ch4fit funds
11.1 DE¢￿15 o1rn4teri•l lu*d$ h*J*Trd dunng IhÈ¢URRENT rHwxtsng wric•J
T>y•P¢ EE
RorLI'
IZO.9F2
140.
219.1(5
1•9T2
140.
X9.105
Y•s"
CC17•(EJc*l

Section C
Notès to the attounts
Nott11
Chan
funds
11.2 Detai15 Df Material funds held and the PREI*IOUS rtyThling period
Typ PE.EE
Rorll.
forward
Get￿1￿1 F
169615
232.536
169ffi15
YJil,43
No"
CC17aiExcd
2210￿028

Section C
Notes to the accounts
(conti
Note 11
Charity funds (cont)
11.3 Transfers between funds
Reason for transfer and where endowment is converted to income.
legal pOV￿r for its conversion
Amount
Between unrestricted and
restricted funds
Between endowment and
restricted funds
Between endowment and
unreslricted funds
11.4 Designated funds
Planned use
Purpose of the designation
Amount
CC17a {Ex¢el)
72103r2023

Section
Noles lo the accounts
Icontl
Note 12
Transactions with trustees and related parties
arntyansacuoos th r¢p¢
12.1 Twstee ￿U￿*r*I1oD arrfl benths
Nont ofthètrustees have been pabd any remun•rthn or rntelved aryother txneffts Irom an empts)￿￿T#1th
thelr charly <>r a related •ntty ITN* or Falstl
TRUE
In thepwvodthe ¢h*ityhas wd1n￿1•es amlbeneffts. Pleasegve ltse afi￿￿(01. aTrdlegal authoiityfor* ary
Arnourts pald or benel* vaue
Last year
Legal a￿lIty leg
ordèr. goveffllNJ
d￿Um￿￿)
RedUnd￿CY
lincltsdMvJ
5501
officeyex
yratia
TOY
Name oltll4Stee
prnvi(l* explanaiion ofthe nafy￿ of IhepayJn8nL
ofthe rdmburs¢m¢oL
SWe the numberoflwsre•s to reWrtm•ntb¢neJlts
are 8ccrnlng undera deThnedcoftlrtiu#onpeft*on
s¢h•m•.
12.2 Trustees. expense5
No ¢Ns¢¢eexpenses h￿e Ixen fFn*or Fals•)
Type Olexp￿Se$ veinliwrsed
Tlts yèar
Last year
Trav•1
Sub$i$tence
Othér Ipl•a$• $pecifyl'.
TOTAL
CC17a (Exce¥)

Plèase provhlt the nuffi￿1 oltrustees reimbyrxd for
expenses oi th had expenses pald bYtr￿ ¢harlty
12.J Transactlonlsl wAlh related partles
pmvld8d.
The￿ have I￿eR no related party transa¢llons Inth• r•porf* ￿l10a Ifn*or Falsel
TRUE
Amoun¢s
wrlitw ori
during
reporting
rtod
Nameolthetrustee
or relaled party
Relationshlp
to charity
Oescrfptl¢x oll
trans•¢th￿I$l
Balar*e at
Prwlslon lor bad
CC178 (E¥c4
31