REGISTERED COMPANY NUMBER.. 07531073 (England and Wales)
REGISTEI RED CHARITY NUMBER: 1143453
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL ST ATEMENTS
FOR THE YEIIR ENDED 31 MARCH 2024
FOR
AGE CONCERN DOVER LIMtTED
(A COMPANY LIMITED B Y GUARANTEE)
Mccabe Fol'd Williains
Chai'tei'ed ACCO￿1]tantS
Charlioll House
Doiir Street
Kent
CT16 IBL

AGE CONCERN DOVER LIMITED
CONTENTS OF THE FINANCIAL STATEI MEI NTS
FOR THE YEAR ENDED 31 MARCH 2024
Page
Report of the Trustees
Independtnt xaminer's Report
Stxtenieiit of Financial AetivilTe5
Balaiiee Sheet
Note5 to the Financi81 Stateineiits
8 10 17
Detaile(I Stxtement of Fiiiaiicial Activili
18 to 19

AGE CONCERN DOVER LIMITED
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2024
Tl)e truste¢s who are also dllE¢tors of the cliarity for the pu￿(}SeS of th¢ cO￿panICS Act 2006, present their report with
the financial statements of the ¢hgrity for the ye￿. ended 31 Mttrch 2024. The I￿ste¢S have adopted the provisions Df
Accounting and Reportiiig by Chariti¢s- Statement of Recommetkded Practice applicable to chai'ities prepai'ing their
accounts in sccordance with the Financial Repot1ing Standard applicable in the UK and Republic of Ireland (FRS 102)
{effective l Januory 2019).
OBJECTIVES AND ACTIVITIES
Objective5 alld aikns
We operate uiidei. the tradinL) nanie of The Riveiside Centre, Dover.
Oui. aim is lo proinote the welfare of all people ov¢i' 50 in Dover aiid the surroiiiiding ai'ea. We do this by providiiig
lunches, u'ansport and a ranx¢ of other activities at the Rivejside Day Centie.
We coiilinue to seek additional finance to support and develop our existing sej'vices. In plam)ing OLir activities the
Trusteeb keep in mind the Cliai'ity Conimission's giiidance on public benefit, as well as the requsrenients of the Care
iality Coinmission.
ACHIEVEMFNT AND PERFORMANCI
Tlie fiiiancial pi'oblems predicted in tht previous financial report appear to have been n￿nagVed efficiently lll that despite
oiii. ¢onlinued i"efui'bislunent progi?Iiune our flnancial situatioli remaÈns stable. This h&s beet) achieved in the following
Ivays..
I. Oui. IDQin rental imcome in¢r¢ased over this financial year by providing a fuytlier chiropody clinic & week, providing
room hur for seated yoga and chaii. exei¢is¢s as ivell as increased i)umbers attending otliei. activities 4¢ the Centre. (hir
catering Iiumbers also iiicreased over the ye&r.
2. Increasitkg oiii. income stiEatn froni our chai'sty sliop wliereby ttiTnover was increased by aboiii £16,000 foi. the
rinancial yeai..
3. The solar paiiels installed at ilie eThd of tlie piEvious financial yeai. offset some of the inci¢ased costs iii¢iii'iEd by the
enei'gy Ci'Ésis.
4. Obtaining financial (Tranls for both Jefurbislunenl ai)d provision of activittes at the Centre. T]ie Kent Coiinty
Foiindalion gi?iit of £IO.000 was ¥iven to ftind soni¢ staff costs foi. oui. snack bar and provide sottie assistance ivith oiir
ongoing iiieal deliveiy service. A Natior￿[ lottery gi'ant for £9,999 was obtaii)ed to go toivard5 the cost of I'¢fui'bisliing
our kitchen so tliat it ivoiild be able io catei. foi. increased iiiiiiibers attending the Centre. A Post Code Lottery br1c nt for
£25,000 was obtained and llsed to help fund the Cet]tYe a5 Ivell as pay foi. the ki¢clien I'efi]I'bsshment and otlier stiuctui'al
chattges that l)ad to bc n￿de to the Centre to increase space lor rooin hire ai)d oilier 4c(ivities.
All tlie above mea￿LI.eS have allow¢d the Centre to oontll)ue to floiii'ish in the coiiimunity witlioiit putiingi it at i'isk from
the economic pi'essui'es that hfive be¢D present througli tlie fiiian¢ial year.
FII¥IANCIALRF.VIEIW
Fillancial p05ltioii
Durinu the year tlie chaiiiable coinpany niade a suiplus of £5,551 (2023 £37,996). At tlie year eiid tolal uiyestricted
r¢serves ivere £367,761 (2023 £316,382) of wlii¢li £192,165 (2023 £152,712) was ￿adIlY available. At the year end
there iYer¢ 81$0 i'esti'icled fiiiids of £33,068 (2023 £78,896).
FUTURE PLA Trjs
Tlie foi'ecast Éoi. i)ext year is to ¢othliniie oiir IEfi)rbishinent w'ogiiinnie, in paiticiilai. providing a sealed oiitdoor space at
tl)e bclck of tlie builditig iiext to the River lo incre%ige cater￿￿6 tui'novei. but a150 PTovide EJ space for ic w'dening eliib
activity for the con)Inunity.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Gov¢riiimg docu1￿etit
The company is I'egistered as a charitfible company liiiiited by giiarantee a￿d is conslitiited by tt Memorandum of
Association dated 16 FEbi￿Ary 2011.

AGE CONCERN DOVER LIMITED
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 Th￿iCH 2024
STRUCTURE, GOVERNANCE AND MAf4AGEMENT
Recruitment and appointnient of ti'ustees
The maiiagement of the charirable cornpany is tlie respDnsibility of the Tn￿lee5 who Are elected and co-opted under the
iemjs of the ￿.litIeS of AssociatLOn.
Organisational striicture aThd (leeision makiiig
Tl)e Ti'ustees delegalE Ihe day to day respoiisibility for the orgaiiisatioii to the Chief Officei..
Risli maiiag¢ment
Tlie Trusiees have asses9ed the ]najor risks to ivhich the charitabl¢ coinpaiiy is exposed, in particlllar those related to tbe
opeiations and fEiiances of the charitable Company, and al'e satisfied tliat systeins and pi'o¢edures are in place to mitigate
our exposure to the A￿jor risks.
REI FERII NCE AND ADMIF41STRATJVE DET AILS
Registered Coinpaiiy nllmbei.
07531073 {Eiigland i< lld Wjles)
Registei'ed Chaiity iiumber
1143453
Registered office
Riverskde C¢nlre
Maison Dieu Gai'dens
DOVER
Kent
CT16 IRL
Ti'iistees
Mrs M Pi'essnell
Di. A J Stellon
RIVick
Mrs S E Parkin (I'esigiie(126.7.23)
S J Brice
A Suinmers (11 Ppoillted 26.7.23)
g E M Clarke (appointed 26.7.23)
IMd¢pendent Ex&niii)er
Mr l D Pascall
Mccabe Ford WilliatllS
Chai'tcrcd Accoiinlanls
CILirlton Elouse
Dour Street
DOVER
Kei)t
CT16 IBL
Baiikei'5
National Westniinst¢r Bank PIC
DEAL
Kent
CT14 6EW
Page 2

AGE CONCERN DOVER LIMITED
REPORT OF THE TRUSTF.ES
FOR THE YEAR ENDED 31 MARCH 2024
This repoi't has been prepared in accordance with the special pi'ovisions of Part 15 of the CoTnpanies Act 2006 1'elatin&
to small companies.
Approyed by order of the board of trustees on ..L%.Yqa4¢Tr￿ 20
and sibjned on its behalf by..
Dr A J Stellon- Trustee
Page 3

INDEPENDENT EXAIVIINER'S REI PORT TO THE TRUSTEES OF
AGE CONCERN DOVER LIMITEI D
Indtpemdent examiner's report to the trustee5 of Age Coiicern Dover Limited ('the Company,)
I report to the charity trustees on iny examination of the accounts of tl)e Coinpany for the year ended 31 Ma￿h 2024.
Responsibilit1¢5 and basis of rtpoi't
As Ilie cliarity's 11'115tees of tlic Conipgny (and also ils directors for the purposes of con)P1< ny law} yoii al'c respoiisible for
the preparation of the accounts in accordance iyith the i'cquirements of the Companie5 Act 2006 ('the 2006 Act,).
Having satisfied myself that tlie accounts of the Compic ny are not requii'ed to be audited iindei. Part 16 of tlie 2006 Act
and are eligEblc foi. independent exan)inatioii, I report in respect ofiny examination of youi. cliarity's accounts (15 caTried
out und¢r Sectioll 145 of the Charities Act 2011 ('tlie 2011 Act,). In canyingj oiit my examination I have followed the
Dll'ections given by the Chai'ity Coinii)ission under Section 145(5) (b) of the 201 l Act.
ITidepeiident txaminei S 5tatenient
Since yoiii. chai'ity's giross income exceeded £250,000 your examiner must be a member of a listed body. I can confw
that l am qualified to undeitake the exainiiiation because l am a Inembei. of the Institiite of Chic 1lei.ed Accounlanls in
England and Wale5, which is one of the listed bodies.
I l)av¢ coinpleled my exaTniiiation. I confirm that no matters have coine to my attention in eonnection ivith the
examination Ljivingj nie cause to believe..
accountingl I'ecords wcie iiot kept in respect of tlie Conipany as IEquired by Section 386 of the 2006 Act. or
the accoiiiit% do iiot accoi'd ivith those records,. oi.
the accoiinls do not coinply witli the accoiinting i'eqiiirements of Section 396 of the 2006 Act otheT than any
reqiiiieIiTreiit tliat the accounts give a true and faiT view ivhich is not a n)aller con5ideiEd as pail of an independent
exaniination. or
the accoiint5 have iiot been prepai'ed in accordance with the methods and pi'inciples of the Statement of
Recoinii)ended Pr]clice for accoiintiiig aiid r¢poitiiig by chaiilie5 {applicable to charities pi'epai'in¥ theii. accounts
in accordai)ce willi the Financial Reporting Sian(lard applicable in tlie UK and Republic of Ireland (FRS 102)).
J have no concems and have comc acr055 no otlier rnattei3 in coniiection iviili Ilie exaniination lo wrhich atteiition should
be drdivn iii Iliis repoit in oi'dei. to enable a pi-oper iii)dei'staiiding of Ilie accounls to be iraclied.
Mi. l D Pascall
Mccabe Ford Williams
Chc1l"lered Accoiiiilants
cli￿7l.1t0n Hoiise
Doiii. Street
DOVER
Kei)t
c'r16 IBL
Date..
PaLie 4

AGE cof4CERN DOVER LIMITED
STATEMENT OF FINANCIAL ACTIVITIES
(INCORPORATtNG AN INCOME AND EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED 31 MARCH 2024
2024
Total
fitnds
2023
Total
ftmds
UnrestrÉcted
funds
Restricted
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
89.561
69,669
159,230
175,613
Charitable activities
Salei of Ineals
Sales of snacks
Ti'anspol't
Personal caTe
Cards, wool and misc¢llaThe0￿S
Deinentia support
Diabetes Peer Suppoit
92,671
8,947
1.602
6,758
4,090
2,065
92,671
8,947
1,602
6,758
4,090
85,700
2,200
84,525
8,420
2,778
5.016
3,190
98,794
83,635
2,200
Othei. tsading activities
liiv¢stment income
7,058
3,482
7,058
3,482
3.868
2,259
Total
216,234
155,504
371,738
384,463
EXPENDITURE ON
Cliaritable g¢livilies
Infoi'mation aiid advice service
Sales of ni¢als
Sales of snacks
Transport
Peisonal care
Cai'ds, wool and miscellaneou5
Household siippoit
Deit)cntia suppott
Diabetes Peer Support
714
139,393
16.183
3,598
5,623
4,274
714
152,393
22,084
3.598
5,623
4,564
61,449
115.155
2,200
13,000
5.901
180,568
19,848
5.519
5,562
4,743
48,726
77,304
290
61,4g19
103,425
2,200
1,730
Othei.
3,426
3,426
2,lJ16
Total
184,941
186,265
371.206
344.236
Net giaiiisl{losses) on investments
5,019
5,OL9
(2,181)
T INCOMfil(EI XPCI IN'DITURE)
Tyansfei's betiveen fiiiid5
36.312
15,067
(30,761}
(15,067)
5,551
37,996
18
Net movement in fiiiids
51,379
{45,828)
5.551
37,996
RECONCILIATION OF FUNDS
Toial funds bi'ought foi'wrd
3J6,382
.395,278
557,282
TOTAL FUNDS CARRIED FORWARD
367,761
33,068
400,829
395,278
The nole5 form ijart of tliese ffftaiicilc I St1￿ len)et)is
Pa¥￿e 5

AGE CONCERN DOVER LIMITED
BALANCE SHEEI T
31 MARC.H 2024
2024
2023
Notes
FEXED ASSETS
Tangible assets
Investll)ents
12
13
175,596
60.469
163,670
55,450
236,065
219,120
CURRKNT ASSETS
Siocks
D¢btoi
Cash at bank 8t)d in hand
14
15
2,200
9,086
185,716
2,200
11,281
173.863
197,002
187,344
CREDITORS
Aiiiouiits falling due within one year
16
(32,238)
(11,186)
NET CURREJNT ASSEITS
164,764
176,158
TOTAL ASSETS LESS CURRENT
LIABILITIE% S
400,829
395,278
NET ASSETS
400,829
395.278
FUNDS
Ui)YestYicled fiinds
Restricted fiinds
18
367,761
33,068
316,382
78.896
TOTAL FUNDS
400.829
395,278
Tl)e chai'ilable ¢oinpai)y is entitled to exeii)ption froin audit under Section 477 of the Coi)Ipaiii¢s Act 2006 for the year
eiided 31 MaT¢h 2024.
Tlie membei's liave Iiot required tlie coinpany to obtaii) &n aiidil of its fiiiaiicial statements for Ilie yeai. ended
31 Mairh 2024 in accoi'daiice iiitli Scetion 476 of the Companies Act 2006.
The trLisiees 41¢knowledgc thcir rcsponsibilities for
ensiiriiig that Ilie chai'itabl¢ cnn)pit ny keeps accoLinting records Ih&t comply iwith s￿E]0￿$ 386 and 387 of tl
Coinpanies Act 2006 aTrd
piepai'ing fmancial stateinents ivluch &iive a Irue Jnd hii. View of the state of iiffairs of tlie cliaritable company as
at the end of each financial ye&i' and of it5 siirplus or deficit lor each fiiiaii¢ial year in accoi'dance ivitl) the
iYqiiii'eTI)ents of Seetioiis 394 and 395 aiid ivliicli othei-i¥ise coinply with tlie i'eqiiiyetnenls of Ilie Companies Act
2006 relaiing to f￿ncIal staten)ellls, so f41r as applicable to the chai'itable collip￿]y.
(bl
The iiotes fom) part of these finaiicial slateiiieiits
eoniiniied..

AGE CONCERN DOVER LIMITED
BALANCF. SHEEIT- eonlinued
31 MARCH 2024
These financial statements Iiave been prepared in accordance with the provisions applscable to charitable companses
subject to the sinall companies reginie.
The f￿ancIal statements were approved by the Board of Trustees and authoi'ised for i5511e
IS.f4.•QQp¥..Ja.*.... and weir signed on its behalf by..
on
A J Stellon- Trustee
The i)oles forin part of these finaiicial slateimeiils
Page 7

AGE CONCERN DOVER LIMITED
NOTES TO THE FINANCIAL ST ATLMKNTS
FOR THE YEAR ENDII D 31 MARCH 2024
SIATUTORY INFORMATION
A&Te Concern Dovei. Limited is limit¢d by guaroiitee and i'egistei'ed in Et)gland and Wales. The Ineinbeis of the
charitable company air th¢ Trustees nanied in the Reptht of the Trustees. In the eveiit of the chai'itable compaiiy
being wound UP> tlie liability of each inen)ber 15 liniEted Lo £1. The charitable ¢oinpanys registered Thumber and
registered office aadi'ess caEi be found in the Repoi't of the Tiustees.
The pi'esenlation ciirrency of the f￿ancial statements is the Pound Stei'ling (£).
ACCOUNTING POLICIES
Basis of prepariii¥ the fiiianelal statemeihts
The financial 8taten)ents of the charitable compaiiy. which is a public benefit entity linder FRS 102, have been
pr¢pai'ed in accordaiice ivith ilie Charities SORP (FRS 102) 'AccollntinuJ and Rq)orling by Cliarities.. Siat¢ineiit
of Recomniended Practice ftpplitable lo cliarilies PiEparing theii. accounts tn accordance ivith the Financial
Repoilinu Stand￿'d applicable ui the UK and Republic of ￿"e1c7nd (FRS 102) (effective l January 2019),,
Fiiiaiicial Reporting Staiidard 102 'The Finai)cial R¢portitig Staiidai'd applicable in tlie UK and Repiiblic of
Irelaiid, and the Con)panies Act 2006. The finan¢ial stateinents have been pi'epai'ed linder the Iiistorieal cost
¢oiivenlioii, with the exception of investments which are incliLdEd at niarket value, as Inodified by the Irvaluation
of cerlaii) assets.
Th¢ finaiicial stateiiienls liave been pi'epaiE(l on a going concei'n bASlS. Theie are no Inatej'ial uncei'lati)tt¢s ivhich
cast doubt on the chai'itable company's ability to coiitinue as a going coiicein.
PrepArAfioii of ¢OElS01idated financial stat¢inent5
Thc fi1)ancial statements coiitain information about Age Coiicem Dovei. Liihited as an individual con)pai)y and
do not contain consolidated fiiiancial iJifom2< tioti as the p&Yent of a group. The ¢liai'ily is ¢x¢nipt linder Section
399(2A) of tlie Companies Act 2006 fr011) t]ie requll'Eri)ents to prEpaiE consolidated fiETrnrial statein¢nts.
Income
All income is recognised ii) the Stftteinent of Financial Activities oiice Ilie cliai'iry lias entitlemeii¢ to tlie ￿nds, it
s probable tliat tlie incoine i¥ill be iyceived and Ilie anioLIEJI Lan be measured reliably.
Govei'nintnt grants which al'e reveniie based ￿'antS are IE¢ogJiised a5 incoine over tlie periods ill wl)ich tlie
IEl¢lted expenditure is iiicurred. Gi?nts for the pw'pose of giving i]nmediate finai)cial .support ivith no related
tiii'e costs t)re recogiiised as i]iconie wheal receivable.
No ainoLiiils are iiicluded in the fiiian¢i#l stateTneiits foT the services doiiated by voliinteers.
Expen(liture
Li#bilitle5 are recoLTnised as expeiidiliiir as soon as tliere is a legal oi. constl'LlCtive Ob￿lgatiOn coJhii)itting IlJe
chai'ily to tliat expenditiire, it is prob11 ble that a transfer of eeoii(Jmic besiefit.% ivill l)e ￿qll￿red in setileimejit and
the <llllOLint of tlie obligcl1ion eaii bc inea%uird rcliably. ExpcnditL)rc is acci)unted fot. on ali a¢¢riials basis and has
been classified iiiidei. h¢adiiiLTrS tliat aggregaie all cost related to the catebloiy. Wliere c05t5 cariiiot bo dii'cctly
atli'ibuted to Pl¢ rticular lieadiiigs they have been allocated to activiti￿ on a basis consistent ivith Ilie iise of
resources.
Tangibl¢ ffixed assets
Depi'eciatiott is provided at the foll(TrwiDL) anDual rates in ord¢r lo write off each asset over ils £s1illLated u5efiil
lif¢.
Fteeliold pi'operty
Furnittiye and fixtures
Motoi. vehicles
Cornputer equipinent
20/u 011 Cost
0/0 on cost
200/0 ori cost
33Yo on cost
Stocks
Stocks aiE valiied at tl)e low¢r of (ost aiid iiet realis&ble value, after Inaking diie allo14pan￿ foi. obsolete and slow
lovin&> items.
Page 8
ontinued...

AGE CONCERN DOVER LIMITED
NOTES TO THE FINANCIAL STATEMENTS- coRtiiilled
FOR THE YEI AR NDED 31 MARCH 2024
ACCOUNTING POLICIES - eontinued
Taxation
The chai'iiy is exempl froill coworation tax on its ¢liaritable activities.
accouiiting
Unrestt'icted funds can b¢ used in accordance with the cliai'itable objectives at the dis¢retitsn of tlle trnstees.
Resti'Ected fvndg can oiily be used for particiilar restricted purpose5 Wlthin the objects of tlie cliarity. Restri¢tioiis
arise ivhen specified by the donoi. or ivhen ￿ndS are raised for particular restricted purposes.
Furilier explanation of the natstte purw)se of each fund is incliided in the notes to the financial s¢atemenÉs.
Hire piii'cliase and le#siii£ eoinmitinents
Renlals paid UTtder operatU)L lease% are cliarged to the Stateinent of Fii)an¢ial ActivitÉe5 on a straight line basis
over the period of the lease.
Pensioii eosts and other post-retii'eineMI bcnefits
The charitable coit)pany opei?tes a defined contribution pension sGheJne. Contributions payable to the charitable
company's pension sclieine are chai'ged lo the Statement of Finaiicial Activities in the period to ivhicl) they i'elate.
I￿v￿lMe11tS
Fixed &s5et investments are iiiitially i'ecognised at their knny&¢tion cost and subsequently Ineasured at fair value
at the Balance Slieet date, unl¢s5 fair Yalue cannot be nieasui'ed I'eliably ii) Ivhicli case 1¢ ib nleaS￿r￿d al cost less
InpaTrment. Investment &iains and losses. Ivhether realised or unrealised, are coinbined and 5hoTh'n Èn the
S1atement of Financial Activiti¢s.
DOIY ATIONS AND LEGACIES
2024
2023
Donalsons- gei)eral
Donation froni Dover Age Conceiii Ltmited
Graiits
12,081
52,480
94,669
15,033
42,761
117,819
159,230
175,613
During tlie ye￿. the cliaritable ¢QTMpany received various goveiniiieiit ￿allts ivliich al'e included iji the &bove.
£48,570 (2023 £84,900) wfts received fi'oin Dover Disti'i¢t Coiincil aiid £100 (2023 NIL) Ivas received fi'oin
I)over Towii Council.
OTHER TRADING ACTIVITIES
2024
2023
Fiindri1isiiig events
Hall hll'e
3,784
3,274
2,333
1,535
7.058
3,868
PaLJe 9
coiiliniied...

ACE COIYCERN DOVER LIMITED
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THE YEAR EIWED 31 MARCH 2024
INVESTMENT INCOME
2024
2023
DivideTrd5 recesvable
Deposit account interest
1,612
1,870
1,612
647
3,482
2,259
CHARITABLE AcrIvrTIE4 S COSTS
Dll'ect
Costs (see
note 7)
Support
costs
Totals
Information and adyice service
Sales ol-meals
Sales of snacks
Transpoit
Pei'50llal care
Cai'ds, wool niis¢ellaneous
Houseliold support
Dejneiilia Si￿ppOrt
Diabetes l)eei" Support
714
75,254
14,636
2,265
714
152,393
22,084
3,598
5,623
4.564
61,449
115,155
2,200
77,139
7,448
1,333
5,623
3.403
42,649
30,712
2,200
18.800
84,443
197.273
170,507
367,780
DIRECT cosrs OF CHARITABLE ACTIVITIES
2024
2023
Staff costs
Minibiis expenses
Tiavel expcnse
Purcliases <iiid consiiniables
Bad debts
124,939
1,606
6,645
64,038
45
113,823
1,308
9,336
54,239
197.273
78,706
NF.T INCOMF.I(EXPENDITURE)
Net incomel(exi)endituit) is staled aft¢i' chai'ging/{crediting)..
2024
2023
DepiEciation - owned assets
Hire of plant alid n)achinery
Deficit on disposal of fixed assets
idtp¢ndpJit exaniiners fees
EI.107
9.427
513
2.61K>
3,426
2,016
PaL>e 10

AGE CONCERN DOVER LIMRTLD
NOTES TO THI FINANCJAL STATEMENTS- coiitlniied
FOR THE YEAR ENDEID 31 MtskRCH 2024
TRtJSTEES' REMUNERATION AND BENEFJTS
Thele We￿ no trustees, reiiillneration or other benefits for the yeai. ended 31 Mtjrcl) 2024 nor for the yeai. ended
31 M￿'¢h 2023.
Triisttes, expenses
During the yeai. expenses totalling £699 (2023 £1,014) weir paid to one In]stee (2023 tsvo tnjslees).
Jo.
stAFF cosrs
2024
2023
Wages and $alttries
Social security costg
Other pension costs
2Q8,399
10,171
3,048
198.548
7,453
2,683
221,618
208,684
Tlie avei'abje Inonihly null)ber of einployees diii'ing tlie year was as follows..
2024
15
2023
16
No employees received einolunients in excess of £60,000.
ii.
COMPARATIVES fioR THE STATEMENT OF FINANCIAL ACTIVITIES
Utirestticted
fLinds
Restricted
funds
Total
fiinds
INCOME AND ENDOWMENTS FROM
Donations and legacies
60,694
114,919
175,613
Cliaritablt Xetivities
Sales of meals
Sales of snacks
TraftgPOI't
Pei'sojial cal'e
Cards. iyool and miscellat)eous
Demeiitia support
84,525
8,420
2,778
5,016
3,190
84,525
8,420
2,778
5,016
3,190
98,794
98.79gi
Otllei. ti'adiiig aciivities
Inve5tiiieiit incoii)e
3,868
2,259
3,868
2,259
Total
17J,750
213.713
384,463
EITENDITURE or4
ChRritablt activitie5
Sales of in¢a15
Sales ol'sna¢ks
TrAnsport
Pej'sonal care
Card5, wool miscellaneoiis
Hoiis¢hold suppoi'l
Deii)entia siipporl
164,033
13,595
5,519
5,562
3,882
16,535
6,253
180,568
19,848
5,519
5,562
4,743
48,726
77,3(14
861
418,726
77,304
Othei.
2,016
2,016
Page 11
coi1tinu￿...

AGE CONCERN DOVER LIMITED
NOTES TO THE FJNANCIAL ST ATEMENTS- conlinued
FOR THE YEAR F.NDCI D 31 MARCH 2024
il.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTtvrrEES- coiitiniied
u￿.¢StrIcted
Resti'icted
fiinds
fiinds
To1al
fiEnd5
Tot#1
194,607
149,679
344,286
Net bJainsl(losse5) on iiivestEnenis
(2,181)
(2,181)
NET INCOMEI{EXPENDITURE)
Transfers betiveell fujids
126.038)
3,202
64.034
(3,202}
37.996
Net movenient IR fuiids
(22,836)
60,832
37,996
RECONC.ILIATION OF FUNDS
To(al fiinds bi'ouglit lorward
339,218
18.064
357,282
TOT AL FUNDS CARRIED FORWARD
316,382
78,896
395,278
12.
TANGIBLE FJXEID ASSETS
Furniture
and
fixtures
Freehold
propeily
Motor
vehicles
Computer
eouipi)ient
Totals
COST
At l Api'il 2023
Additions
Disposals
161,358
47,375
26,022
(4,770)
8,500
13,358
350
230,591
26,372
(4,770}
At 31 March 2024
161,358
68,627
8,500
13,708
252,193
DEIPRECL4TION
At l Api'il 2023
Charge foi. year
Eliminated on disposal
17,853
3,227
35,097
5,352
(1,431}
2,125
1,594
11,846
934
66,921
11,107
(1,431}
At 31 Maich 2024
21,080
39.018
3,719
12,780
76,597
NET BOOK VALUE
At 31 Mai'cli 2024
140,278
29,609
4,781
928
175,596
At 31 Maroh 2023
143,505
12.278
6,375
1,512
163,670
Page 12
cotttiniied...

AGE CONCERN DOVER LIMITED
NOTES TO THE FINANCIAL STATEMENTS - eontinued
FOR THE YBAR E4 NDED 31 MARCH 2024
13.
FIXED ASSET IiYVESTMENTS
Shar¢s in
groLIP
undertakings
Listed
investments
Totals
MARI<ET VALUE
At l April 2023
55,448
S,019
55,450
5,019
Revaliiations
Al 31 March 2024
60,467
60,469
NET BOOK VALUE
At 31 Marcli 2024
60,467
60,469
At 31 Maith 2023
55,448
55,450
There wei'e inveshnent assets outside the UK.
The company's investmenls at the balance sheet date in the 5hJir capital of coinpanies include tlie followiiw..
Dovei. Age Coneerii Liinited (02868332)
Regi%tcied office.. Riverside Cenlie. Maison Dieu Gardens, Dovei., Kent, CT16 IRL.
Nattiir of busin¢gs.' Reiail sale of second liand go(Kis
Class of 5hare-.
Oiylinaiy
liolding
100
31.3.24
31.3.23
Aggre&Fale capital and I'eseiV¢S
14.
STOCICS
2024
2023
Stocks
2,200
2,200
15.
DEBTORS.. AMOiINTS FALLING DUE WITHIN ONE YEAR
2024
2023
TL7de debtors
Otlier debtoi's
Prepaynieiils and a¢cwed sncoine
2,469
2,480
4,137
652
7,761
2.868
9,086
11,281
Page 13
continiied..

AGE CONCERN DOVER Lif+AITED
NOTES TO THE FINANCIAL STATEMENTS- CORtiniied
FOR THE YEAR ENDED 31 MARCH 2024
16.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Tr#d¢ creditoi's
Social secui'ity aiid oth¢i' taxes
Ollier cieditoi's
Acciiials and deferred income
3,585
3,423
11,730
13,500
4,793
2,751
3,640
32,238
11,186
17.
AIYALYSIS OF NET ASSETS BEI TWEEN FUNDS
2024
Total
funds
2023
Total
Funds
Utlltsb'icled
fiinds
Restrict¢d
fiinds
Fixed a55els
Inveslmeiits
Cun'ent assets
Current liabilities
175,596
60,469
152,204
(20,508)
R75,596
60.469
197,002
{32,238)
163,670
55,450
187,344
(11,186)
44,798
{11,730)
367,761
33,068
400,829
395,278
18.
MOVEMENT FUNDS
Net
TThnsf¢rs
between
fuiids
moveinent
in ftinds
At
31.3.24
A( 1.4.23
Unrestricted funds
Genei'al flind
316,382
36,312
15,067
367,761
Restricted funds
Sundi'j, Giatits bund
Volunt¢er Fund
Hoiisehold Siipport Fiiiid
Demenlia Support
6,375
9,594
43,137
19,790
8,692
(6,784)
(12,879)
(19,790)
(15,067)
2,810
30,258
78,896
(30,761)
(15,067)
33.068
TOTAL FUNDS
395,278
5.551
400,829
PagTre 14
coi)tinued...

AGE CONCERN DOVIR LIMIT£D
NOTES TO THE FINANCIAL STATEMENTS- eontiiTrueil
FOR THE YEAR ENDED 31 MARCH 2024
18.
MOVEMENT IN FUNDS- eonlimued
Net movement in ￿nds, included in the above al'e as follows=
In¢omiiig
iesoui'¢¢5
Resow'ees
expended
Gains and
lo%ses
Moveinent
in fund5
Unreslricted ftiiid5
Gen￿￿[ ftind
216,234
(184,941}
5,019
36,312
Restricted fiinds
Gi'ants r￿Und
Volunteer Fund
Household Support Fund
Demeiitia Sttpport
Eld¢rl}' and Isolated
Diabetes Peer Suppoi't
I 1,099
(2,407)
(6,784)
{61,449)
(103.425}
(10,000)
(2,200)
8,692
(6,784)
(12,879)
(19,790)
48,570
83,635
10,000
2,200
155,504
1186,265)
{30,761)
TOTAL FUNDS
371,738
(371,206)
5,019
5,551
Comparatives for inovenient iii fiinds
Net
Inoveinent
in fiAnds
Tiansfers
beliv¢eJi
ftind5
At
31.3.23
At 1.4.22
Uiiiyslricted fuRds
Oeneral fund
Minibus fund
336,401
2.817
(31,721)
5,683
I￿.702
{8,500}
316,382
339,218
(26,03S)
3,202
316,382
Re5ti'i¢t¢(l
Covid 19 Supporl Fund
Siindry Gyants Fwid
Voliinteer Fiind
Household Siippoi't Fund
Deinentia Suppoi't
321
(800)
5,178
13,365
{321)
7,175
4,gt16
31,274
21,490
6,375
9,594
43,137
19,790
(1,502)
(1,7001
18.064
64,034
(3,202}
78,896
TOTAL FUNDS
357,282
37,996
395,278
Page 15
conlinued...

AGE CONCEI RN DOVER LIMITED
r4(yfES TO THE FINANCIAL STATEMENTS- eontinueil
FOR THE YEAR ENDED 31 MARCH 2024
18.
MOVEMENT IIY FUNDS- eontillued
ComporatiY¢ net movement in fiinds, included in the abgve ave as follow5..
Resources
expended
InGomiE)g
resouires
Gains and
losses
Movement
in funds
Unrestricted funds
General fi]nd
Minibus fiind
164,305
6,445
(193,84S)
(762}
(2.181)
(31,721)
5,683
170,750
(194,607)
(2,181)
(26,038)
Re5tr5eted fiinds
Covid 19 Siipport Fund
Sundry Gi'ants Fund
Volunteer Fund
Houseliold Siippoit Fund
Demeiitia Support
Elderly and Isolttied
(321}
(8,119)
15,959)
(48,726)
(77,304)
(9,250)
{32l)
7,175
4.416
31,274
21,490
15,294
10,375
80,000
98,794
9,250
213,713
(149,679)
64,034
T(yfAL FUNDS
384,463
(344,286)
(2,181)
37,996
The Hoiiseliold Suppoit Flind represents gi.ants i'eceived from Dover District Council to 5￿ppOrt familie5 and
over 50's in food aiid l or fuel povert)i over the iviniei. hiontlis.
The Volunleei. Fund repi'csents grants i'eceivecl fKoin Abje UK Hythe & Lyminge foi. Yolunteer r¢lat¢d expenses.
The Sundry Gi'ants Fund Yepvesents the follo%ving gryant9 1'e¢¢ived in the year..
£9,999 N&ti(Inal Latlery foi. iefurbislin)ent of the kitclien.
£1,000 Sooial Enteiyi'ise Kcnt for a con]munit)' Chrislmas celebiation.
£i(N)
Dover Town Council for a King%'s Coi'onation party.
The Eldei'ly and Isolated Fund i'epi'esents y'ants i"eceived froin the Keiit Coinn)iiiiity Foiindation to as5l5t iviil) the
I'UTlliing of the ￿lack bar and meal delivei'y sei'vic¢.
The Denieniic1 Suijport fiind represents fundiiig re¢¢ived to deliver KC'CICCG Post Dia￿lost1¢ Dementia
Services.
The Diabe1¢5 Peer Siipport Fund repi'esenlg fisndin¥F received to deliver a diabetes peer to peei. support bvoup
servic¢.
TraiJ5fers beiiveeii fiiiids
Tlie transfeL' i'epre5eE)ts tl)e purcl)ase of fixed assets ivhÉch satisfies the restrictions placed on the grants ieceived.
Pttge 16
con(iniied..

AGE CONCERN DOVER LIMITED
NOTF.8 TO TFtF. FtNANCIAL STATEI MENTS- conliniied
FOR THE Yfi.AR fi.NDF.D 31 MARCH 2024
19.
RELATED PARTY DISCLOSURES
The knticles of Association of the charitable company's subsidiai'y, Dover Age Concei'n Liiniled. Irquiie it to gift
all of its profits to the charitable compaiiy. The amount receivable dlli'ing the year amounted to £52,480 (2023
£42,761). At tlie balance she¢t date the sum of£2,480 {2023 - £7.761) was owed lo tlie charitable company.
Pakie 17

AGE CONCERN DOVER LIMITED
DETAILED STA TEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2024
2024
2023
INCOME AND ENDOWMENTS
Donatio￿$ and legacies
DvIiatioiis - gieneral
DoIiatioll froin Doyei Age Concern Limited
Graiits
12,081
52,480
94,669
42,761
117.819
159,230
175,613
Otlier trAding activities
Fundraising events
Hall hiie
3.784
3,274
2,333
1,535
7,058
3,868
Ini'estmeiit Income
Dividends r￿CIV&bIt
Deposlt accoiint interest
1,612
1,870
1,612
647
3,482
2,259
Ch&i'itable #etivilie5
Income froni cliaritable activities
201,968
202,723
Total illcomiiig resoiirces
371,738
384,463
EXPENDITURE
CharilAble activities
Wages
Soctal seciirity
Pensiot]s
MÈnibus expenses
Travel expenses
Purchases ¢ind ¢onsuinables
Bad (lebts
116,710
6,990
1,239
1,606
6,645
64,038
45
107,432
5,346
1.045
1,308
9,336
54,239
197,273
178,706
Sitppoi't costs
Otli¢i-
Wttges
Social Sec￿'lty
Pellsions
HiLe of plant and inachinery
Rent and Tates
Insui'ance
Light ftnd heat
Cai'i'ied furwai'd
91,689
3.181
1,809
511
2,065
2,771
11,902
113,928
91,116
2.107
1,638
513
3,296
8,032
107,379
This page does not foriii parl of the statutory fiiiancial statements
Pa¥)e 18

AGE CONCERN DOVEI R LIMITE4 D
DET AILED STATEMENT or FINAP4CIAL ACTIVITIES
FOR THE YEI AR ENDED 3J MARCH 2024
2024
2023
other
Brought foiivard
Teltphone
Postage and stationery
Sundi'y expenses
Repclil's and n￿l￿tena￿ce
cl￿ning
Tiavel expenses
Adveitisiiib
Professional fees
Ti'aii)itkg
Subscriptions
Website and coinputei. costs
Bank charujes
Depi'eciatio
Loss on sale of tangible fixed assets
113,928
3,226
1,857
4,640
11,892
7,372
1,255
428
3,288
587
I,S03
5,341
1.483
11,107
2,600
107,379
3,259
2,893
3,391
16,610
6,073
1,240
637
2,905
1,177
2.582
4,510
1,481
9,427
170,507
163,564
GoveYiian£¢ costs
Ii)depeEident ex£iminers fees
3,d26
2,016
Total resources expended
371,206
344,286
S32
40,177
N¢t Iiicome
This does iiot foimi i)ait oFili¢ statutory fina51¢ial staten)ents
Page 19