REGISTERED COMPANY NUMBER: 07667261 (England and Wales) REGISTERED CHARITY NUMBER: 1143553
Report of the Trustees and Unaudited Financial Statements for the Period 30 November 2020 to 29 November 2021 for Cardiff Central Youth Club Ltd
BYB Accountancy Ltd 39 Cardiff Road Llandaff Cardiff CF5 2DP
Cardiff Central Youth Club Ltd
Contents of the Financial Statements For the period 30 November 2020 to 29 November 2021
| Page | ||
|---|---|---|
| Report of the Trustees | 3 | |
| Independent Examiner’s Report | 7 | |
| Statement of Financial Activities | 8 | |
| Balance Sheet | 9 | |
| Notes to the Financial Statements | 10 |
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Cardiff Central Youth Club Ltd (Registered number: 07767261)
Report of the Trustees For the period 30 November 2020 to 29 November 2021
The trustees who are also directors of the charity for the purposes of the Companies Act 2006, present their report with the financial statements of the charity for the year ended 29[th] November 2021. The Trustees have adopted the provision of Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the financial reporting standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1[st] January 2019).
Objectives and Activities Objectives and aims
The charity is governed by its Articles of Association.
The charity’s purpose is to:
-Provide facilities for the local community to participate in amateur sports and leisure activities. -Provide sports activities in a safe, clean and supervised environment.
How our activities deliver public benefit
We follow Charities Commission guidance on public benefit and the charging of fees with our objects.
The charity provides gymnastics and other physical recreation facilities for the benefit of young people in Cardiff and the surrounding areas. The charity is situated in a socially deprived area of the city (the area of Splott, where the charity is based, is in the 10% most deprived areas of Wales as declared in the 2014 Welsh Index of Multiple deprivation).
Gymnastics requires specialist equipment and high ratios of qualified coaches to gymnasts to meet requirements of the Governing Body. The charity will always need to charge fees for the use of the facilities. However, we constantly review our fee structures and spending to ensure that activities are as affordable as possible.
The charity provides gymnastics training with British Gymnastics and Welsh Gymnastics qualified coaches. We offer opportunities for young people to participate at all levels of gymnastics. We also host competitions.
The gymnastics facilities are open seven days a week, offering a variety of activities to suit all ages and abilities. These include but are not exclusive of; Parent and toddler play gymnastics sessions Structured tiny tumblers gymnastics session Pay as you go recreational gymnastics sessions Recreation gymnastics courses Girls Novice Squad Girls Advanced Squad Girls Elite Squad Boys Novice Squad Boys Advanced Squad Boys Elite Squad Teen Gym Adult recreation sessions
We aim to introduce young people to the rewards of living a healthy, physical lifestyle. We teach the importance of regular exercise, healthy food choices and aspire to inspire young people to enjoy a healthy lifestyle.
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Cardiff Central Youth Club Ltd (Registered number: 07767261)
Report of the Trustees For the period 30 November 2020 to 29 November 2021
Achievements and Performance
Achievements and performance summary
The last twelve months have been very challenging for Cardiff Central Youth Club, however, these challenges have made us stronger and have proved that there is a deep vein of passion and commitment within the membership of the club. The Trustees, staff and volunteers at Cardiff Central Youth Club are determined to continue to support and develop the charity to provide gymnastic opportunities for all in the community it serves.
This year we have had three Trustees resign, our centre manager and also administrative and coaching members of staff. Cardiff Central Youth Club has sought to improve its structure and communication and provide contingencies for loss of personnel. A new Board of Trustees has convened and is determined to take the club forward with a more robust business plan ensuring that the club remains financially as well as operationally viable through the currently challenging pandemic environment. A full-time centre manager has been recruited and is working closely with the Board of Trustees to ensure that business objectives are being identified, reviewed and met. The interim club committee of parents has been replaced by the strengthened board working closely with the new full time centre manager.
The cost of running a large gymnastic facility, ensuring that it is staffed and equipped to the national governing standards to meet safety and welfare needs is high. Restrictions on activities and closure of the club to comply with pandemic regulations has seriously affected cash flow in the year. Staffing is the main cost, and this has been reviewed. Staffing costs have been cut through the deletion of two full time permanently employed coaching posts. To survive the pandemic crisis, the club has made maximum use of government funding schemes. Staff have been furloughed in the year whilst the club was forced to shut or shrink its activities as regulations have demanded. The bounce back loan scheme has also been utilised. The new Board of Trustees recognised that in year measures to keep the club afloat through the worst of the pandemic has drawn down significantly on its resources and increased its levels of debt necessary to maintain cash flow. Footfall against the levels reported last year have drastically declined. This is a temporary decline as underlying demand for gymnastic activities provided by the club remains strong. However, as a result the Board commenced a review of opportunities to increase future revenue streams and to cut the cost of operations and/or make them more efficient.
Investment performance
This year the Charity has consolidated its costs to provide its purpose.
Gymnastics equipment to the value of £3,616 was purchased during the year.
Financial Review
Financial position
The charity made a surplus of £12,198 (2019/20: surplus of £3,944). The total unrestricted net assets stand at £35,646 (2019/20: £23,448).
Income decreased to £233,213 (2019/20: £247,146), however this level of revenue is expected to increase as covid restrictions continue to ease across England and Wales.
The average monthly number of staff employed by the club decreased to 18 (2019/20: 20).
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Cardiff Central Youth Club Ltd (Registered number: 07767261)
Report of the Trustees For the period 30 November 2020 to 29 November 2021
Reserves Policy
The Trustees have recognised an amount should be retained in unrestricted reserves to continue with the current activities of the charity in the event of a decrease in income. This amount is not committed or invested in tangible fixed assets (‘the free reserves’). Reserves are needed to bridge the gap between the spending and receiving of resources to cover unplanned emergency repair and other expenditure.
The Trustees consider the ideal level of free reserves should be £160,000. This is calculated as the amount needed for 3 to 6 months budgeted expenditure.
However, as of 29 November 2021, the level of free reserves stood at £12,915 (2019/20: (£5,842)). Our aim over the longer term is to increase the amount held in reserves.
Structure, Governance and Management
Governing document
The organisation is a charitable company limited by guarantee. It was incorporated on the 13[th] June 2011 and registered as a charity on the 1[st] December 2012. The company was formed under a memorandum of association. The memorandum of association sets out the objectives, governance and powers of the charitable company.
Corporate Governance
The Trustees make a valuable contribution to the strategy, management and day to day running of the Charity. They carry out the Charity’s strategy and policy framework. The Board of Trustees meets monthly to discuss the charity’s financial performance and strategic planning. Minutes are kept of all meetings. The board of Trustees makes decisions that affect the strategic direction and approve substantial financial commitments. Each Trustee has one vote and decisions are made when there is a majority.
There have been no significant changes in policy during the year.
Organisational structure
The club has a volunteer committee led by a Trustee chair. Other key positions are Club Secretary and Treasurer. The committee has sub committees as needed. It meets monthly with minutes kept and reported to the Trustees. The coaches are led by 2 head coaches and have representatives on the committee.
Wider network
The club is affiliated to Welsh Gymnastics and British gymnastics and follows the policies of these governing bodies with regards to health and safety, safeguarding, anti-doping, conduct and equality.
Risk management
The trustees have reviewed the major risks the charity might be exposed to. The trustees monitor and respond to risk on a monthly basis or when needed.
Reference and Administrative Details
Registered Company Number
07667261 (England and Wales)
Registered Charity Number
1143553
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Cardiff Central Youth Club Ltd (Registered number: 07767261)
Report of the Trustees For the period 30 November 2020 to 29 November 2021
Registered Office
Cardiff Central Youth club Ocean Park Ocean Way Cardiff CF24 5EF
Trustees
Paul Bryan Genevre Louise Wilsher Michael Higgins M M Davies (resigned 14[th] December 2020) G R Evans (resigned 14[th] December 2020) R Shelagh (resigned 14[th] December 2020) P Teoh (resigned 14.12.2020)
Independent Examiner
Gary Butt BYB Accountancy ltd 46 Cardiff Road Llandaff Cardiff CF5 2DT
This report has been prepared in accordance with the special provisions of part 15 of the Companies Act 2006 relating to small companies.
Approved by order of the board of trustees on and signed on it’s behalf by
P Byron – Trustee
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Independent Examiners Report to the Trustees of Cardiff Central Youth Club Ltd (Registered number: 07667261)
Independent examiners report to the trustees of Cardiff Central Youth Club Ltd (‘the Company’)
I report to the charity trustees on my examination of the accounts of the Company for the period 30 November 2020 to 29 November 2021.
Responsibilities and basis of the report
As the charity’s trustees of the Company (and also its directors 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 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 – matters of concern identified
I have completed my examination.
I draw attention to note 2 in the financial statement which indicates that the charity holds free reserves of £12,915 at the period end which is significantly lower than the aspired levels noted within the reserves policy in the Trustees Report. This figure includes an amount of £14,636 written off in the accounts for the PAYE creditor relating to note 16. Without this write of the free reserves would be a negative of £1,721 which is still an improvement on the prior year.
I confirm that no other matters have come to my attention in connection with the examination giving me reasonable cause to believe that in any material respect:
-
Accounting records were not kept in respect of the Company as required by section 386 of the 2006 Act; or
-
The accounts do not accord with those records; or
-
The accounts do not comply with the accounting requirements of section 396 of the 2006 Act other than any requirement the accounts give a true and fair view which is not a matter considered as part of an independent examination; and
-
The accounts have not been prepared in accordance with the methods and principles of the Statement of Recommended Practice for accounting and reporting by charities (applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS102).
I confirm that there are no other matters to which your attention should be drawn to enable a proper understanding of the accounts to be reached.
The impact of uncertainties due to COVID-19 and the current economic climate on our independent examination
Whilst COVID-19 remains most of the associated restrictions have been or continue to be lifted. However, the legacy it leaves will continue to have a significant impact on the economic environment and the full effects of this remain uncertain. This uncertainty remains relevant to the independent examination and the appropriateness of the going concern basis of preparation of the financial statements and associated disclosures. All of these depend upon assessments of the future economic environment and the Charity’s future prospects and performance. We have applied a standardised approach in response to the above uncertainty when assessing the Company’s future prospects and performance.
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Gary Butt FMAAT BYB Accountancy 39 Cardiff Road Llandaff CF5 2DP
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Cardiff Central Youth Club Ltd
Statement of Financial Activities (Incorporating an Income and Expenditure Account) For the period 30 November 2020 to 29 November 2021
| Note s Income and Endowments from Charitable Activities Recreation and other leisure facilities 4 Other trading activities 3 Other income 5 Total Expenditure on Raising funds 6 Charitable activities Recreation and other leisure facilities 7 Total NET INCOME/ (EXPENDITURE) Reconciliation of Funds Total funds brought forward Total funds carried forward |
Period 30.11.20 to 29.11.21 Unrestrict ed fund £ 110,873 57,715 64,625 233,213 3,840 217,175 221,015 12,198 23,448 35,646 |
Period 01.12.19 to 29.11.20 Unrestrict ed fund £ 115,940 44,395 86,811 |
|---|---|---|
| 247,146 9,982 233,220 |
||
| 243,202 | ||
| 3,944 | ||
| 19,504 | ||
| 23,448 |
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The notes form part of these financial statements Cardiff Central Youth Club Ltd
Balance Sheet 29 November 2021
| Not es Fixed Assets Tangible assets 13 Current Assets Stocks 14 Debtors 15 Cash at bank Creditors Amounts falling due within one year 16 Net current assets Total assets less current liabilities Creditors Amounts falling due after more than one year 17 NET ASSETS Funds Unrestricted funds 20 Total funds |
Period 30.11.20 to 29.11.21 Unrestric ted fund £ 22,731 500 8,404 66,910 75,814 (23,209) 52,605 75,336 (39,690) 35,646 35,646 |
Period 01.12.19 to 29.11.20 Unrestric ted fund £ 29,290 500 11,257 79,895 |
|---|---|---|
| 91,652 | ||
| (45,617) | ||
| 46,035 | ||
| 75,325 (51,877) 23,448 |
||
| 23,448 |
The charitable company is entitled to exemption from audit under Section 477 of the companies Act 2006 for the period ended 29 November 2021. The members have not required the company to obtain an audit of its financial statements for the period ended 29 November 2021 in accordance with Section 476 of the companies Act 2006.
The trustees acknowledge their responsibilities for
-
(a) ensuring that the charitable company keeps accounting records that comply with sections 386 and 387 of the Companies Act 2006
-
(b) preparing financial statements which give a true and fair view of the state of affairs of the charitable company as at the end of each financial year and of its surplus or deficit for each financial year in accordance with the requirements of Sections 394 and 395 and which otherwise comply with the requirements of the companies Act 2006 relating to financial statements, so far as applicable to the charitable company.
These financial statements have been prepared in accordance with the provisions applicable to charitable companies subject to the small financial companies regime.
The financial statements were approved by the Board of Trustees and authorised for issue on and were signed on its behalf by:
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P Byron – Trustee
The notes form part of these financial statements
Cardiff Central Youth Club Ltd
Notes to the Financial Statements For the period 30 November 2020 to 29 November 2021
1. Statutory Information
Cardiff Central Youth Club Limited is a registered charity and private company limited by guarantee having no share capital. The company is incorporated in Wales in the United Kingdom. The registered office is Cardiff Central Youth club, Ocean Park, ocean Way, Cardiff, C24 5EF. The nature of the company’s operations and principal activities is disclosed within the Report of the Trustees.
The financial statements are presented in Sterling (£), the company’s functional currency and rounded to the nearest pound.
2. Accounting policies
Basis for preparing the financial statements
The financial statements of the charitable company, which is a public benefit entity under FRS 102, have been prepared in accordance with the Charities SORP (FRS 102) ‘Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 120) (effective 1 January 2019)’, financial Reporting Standard 102 ‘The Financial Reporting Standard applicable in the UK and Republic of Ireland’ and the Companies Act 2006. The financial statements have been prepared under the historical cost convention.
Cardiff Central Youth Club Limited meets the definition of a public benefit entity under FRS 102. Assets and liabilities are initially recognised at historical cost or transaction values unless otherwise stated in the relevant accounting policy, detailed below.
These financial statements have been prepared in compliance with the Charities SORP FRS 102.
Going concern
The financial statements have been prepared on a going concern basis despite a degree of material uncertainty as a result of the Charity holding free reserves at the period end of £12,915 which is significantly below the aspired reserves policy set in the Trustees Report. The charitable company has implemented policies which will ensure that current liabilities continue to be met for the foreseeable future and that surpluses will be reported in future reporting periods. In particular, in response to the COVID-19 pandemic, the Trustees have tested their cash flow analysis to take in to account the impact on the charity of possible scenarios brought on by the impact of COVID-19, alongside the measures that they can take to mitigate the impact. Based on these assessments, given the measures that could be undertaken to mitigate the current adverse conditions, and the current resources available, the Trustees have concluded that they can continue to adopt the going concern basis in preparing the annual report and accounts.
Income
All income is recognised in the statement of Financial Activities once the charity has entitlement to the fund, it is probable that the income will be received and the amount can be measured reliably.
Other trading activities income
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Income from other trading activities includes income from facilities hire, café, shop and other sources. This income is recognised as the related services are provided and there is entitlement, probability of receipt and the amount can be measured with sufficient reliability.
It is not the policy of the charity to show incoming resources net of expenditure.
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Cardiff Central Youth Club Ltd
Notes to the Financial Statements For the period 30 November 2020 to 29 November 2021
Expenditure
Liabilities are recognised as expenditure as soon as there is a legal or constructive obligation committing the charity to that expenditure, it is probable that a transfer of economic benefits will be required in settlement and the amount of the obligation can be measured reliably. Expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all cost related to the category. Where costs cannot be directly attributed to particular headings they have been allocated to activities on a basis consistent with the use of resources.
Expenditure on costs of raising funds include purchases of stocks.
Expenditure
Charitable expenditure comprises those costs incurred by the charity in the delivery of its activities and services for its beneficiaries. It includes both costs that can be allocated directly to such activities and those costs of an indirect nature necessary to support them.
Support costs include central functions and have been allocated to activity cost categories on a basis consistent with the use of resources, for example, allocating property costs by floor areas, or per capita, staff costs by the time spent and other costs by their usage.
Governance costs
Governance costs include costs of the preparation and examination of the statutory accounts, the costs of trustees meetings and the cost of any legal advice to trustees on governance or constitutional matters.
Tangible fixed assets
Depreciation is provided at the following annual rates in order to write off each asset over its estimated useful life.
Plant and machinery - 25% straight line Improvement to property - 10% straight line
Fixed assets are initially recorded at cost. Only assets which cost £500 or more are capitalised.
Stocks
Stocks are valued at the lower of cost and net realisable value, after making due allowances for obsolete and slow moving items.
Taxation
The charity is exempt from corporation tax on its charitable activities.
Fund accounting
Unrestricted funds can be used in accordance with the charitable objectives at the discretion of the trustees. Given that incoming resources for the charity have no further specified purpose, the trustees deem them to be unrestricted and available as general funds.
Restricted funds can only be used for a particular restricted purposes within the objects of the charity. Restrictions arise when specified by the donor or when funds are raised for particular or restricted purposes.
Pension costs and other post-retirement benefits
The charitable company operates a defined contribution pension scheme. Contributions payable to the charitable company’s pension scheme are charged to the Statement of Financial Activities in the period to which they relate.
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Cardiff Central Youth Club Ltd
Notes to the Financial Statements For the period 30 November 2020 to 29 November 2021
Financial instruments
The charity only has financial assets and financial liabilities of a kind that qualify as basic financial instruments. Basic financial instruments are initially recognised at transaction value and subsequently measured at their settlement value.
Government grants
Government grants represent income receivable in relation to the UK government COVID-19 job retention scheme and business support grants. This is recognised in the period in which it becomes receivable.
3. Other trading activities
| Sponsorship Facilities hire Café Income Mother & toddler drop in In house competition fees Income from charitable activities Activity Gymnastic fees Recreation and other leisure facilities Sports Council Wales Recreation and other leisure facilities Welsh Gymnastics Recreation and other leisure facilities Other income Government grants |
Period 30.11. 20 to 29.11. 21 £ 19,705 26,761 6,670 4,144 434 57,714 Period 30.11. 20 to 29.11. 21 109,14 6 - 1,727 110,87 3 Period 30.11. 20 to 29.11. 21 £ 64,625 |
Period 01.12.1 9 To 29.11.2 0 £ 4,225 16,955 12,548 10,667 - |
|---|---|---|
| 44,395 | ||
| Period 01.12.1 9 To 29.11.2 0 96,648 1,600 17,692 |
||
| 115,940 | ||
| Period 01.12.1 9 To 29.11.2 0 £ 86,811 |
4. Income from charitable activities
5. Other income
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Cardiff Central Youth Club Ltd
Notes to the Financial Statements
For the period 30 November 2020 to 29 November 2021
6. Raising funds
Other trading activities
| Opening stock Purchases Closing stock |
Period 30.11. 20 to 29.11. 21 £ 500 3,840 (500) 3,840 |
Period 01.12.1 9 To 29.11.2 0 £ 500 9,982 (500) |
|---|---|---|
| 9,982 |
7. Charitable activities costs
| Direct | Support | Totals | Totals | ||||
|---|---|---|---|---|---|---|---|
| Costs | costs | ||||||
| (see | |||||||
| note 8) | |||||||
| £ | £ | £ | |||||
| Recreation and other | leisure facilities | 136,075 | 81,100 | 217,175 | |||
| Support costs | |||||||
| Managem | Finan | Informat | Other | Governa | Totals | ||
| ent | ce | ion | nce | ||||
| Technolo | Costs | ||||||
| gy | |||||||
| £ | £ | £ | £ | £ | £ | ||
| Recreation and other | |||||||
| leisure facilities | 42,732 | 3,081 | 18,414 | 16,026 | 847 | 81,100 |
8. Support costs
9. Net income/(expenditure)
| Net income/(expenditure) | ||
|---|---|---|
| Period | Period | |
| 30.11. | 01.12.1 | |
| 20 | 9 | |
| to | To | |
| 29.11. | 29.11.2 | |
| 21 | 0 | |
| £ | £ | |
| Depreciation – owned assets | 10,175 | 14,243 |
| Hire of plant and machinery | 5,851 | 19,843 |
| Other operating leases | - | - |
| Surplus on disposal of fxed assets | - | (5,683) |
| Independent examiners fees | 1,800 | 2,893 |
10.Trustees’ remuneration and benefits
The remuneration benefits paid during the year to trustees, who were also directors, totals £8,512 (2020: £8,876)
The following individuals received remuneration for the period in which they were trustees during the financial year:
| Michael Higgins Salary Benefts in Kind Pension benefts |
2021 2020 £ £ 8512 8,876 - - - - |
|---|---|
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Total remuneration package
8512
8,876
Michael Higgins is employed as the head boys coach for the charity. He was not paid to be a trustee of the charity.
This remuneration is made by way of provision in the Charity’s governing documents. Cardiff Central Youth Club Ltd
Notes to the Financial Statements For the period 30 November 2020 to 29 November 2021
11.Staff costs
| Period 30.11. 20 to 29.11. 21 £ Wages and salaries 132,90 2 Social security costs 315 Other pension costs 1,686 134,90 3 The average number of employees during the period was as follows: Period 30.11. 20 to 29.11. 21 Management 1 Support 17 18 |
Period 01.12.1 9 To 29.11.2 0 £ 153,973 2,712 3,180 |
|---|---|
| 159,86 5 |
|
| Period 01.12.1 9 To 29.11.2 0 1 19 |
|
| 20 |
There was one redundancy during the year (2020: Nil).
12.Comparatives for the Statement of Financial Activities
| Income and endowments from charitable activities Recreation and other leisure facilities Other trading activities Other income Total Expenditure on Raising funds Charitable activities Recreation and other leisure facilities Total NET INCOME/(EXPENDITURE) |
Unrestrict ed fund £ 115,940 44,395 86,811 |
|---|---|
| 247,146 | |
| 9,982 233,220 |
|
| 243,202 | |
| 3,944 |
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Reconciliation of funds Total funds brought forward Total funds carried forward
19,504 23,448
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Cardiff Central Youth Club Ltd
Notes to the Financial Statements For the period 30 November 2020 to 29 November 2021
13.Tangible fixed assets
| 13.Tangible fxed assets | |||
|---|---|---|---|
| Improveme | Plant | Totals | |
| nts to | and | ||
| Property | Machine | ||
| ry | |||
| £ | £ | £ | |
| Cost | |||
| At 30 November 2020 | 33,796 | 61,628 | 95,424 |
| Additions | - | 3,616 | 3,616 |
| Disposals | - | - | - |
| At 29 November 2021 | 33,796 | 65,244 | 99040 |
| Depreciation | |||
| At 30 November 2020 | 12,375 | 53,760 | 66,133 |
| Charge for the year | 3,380 | 6,796 | 10,176 |
| Eliminated on disposal | - | - | - |
| At 29 November 2021 | 15,753 | 60,556 | 76,309 |
| Net book value | |||
| At 29 November 2021 | 18,043 | 4,688 | 22,731 |
| At 29 November 2020 | 21,421 | 7,869 | 29,290 |
| 14.Stocks | |||
| 2021 | 2020 | ||
| £ | £ | ||
| Stocks | 500 | 500 | |
| 15.Debtors: Amounts falling due within one year | |||
| 2021 | 2020 | ||
| £ | £ | ||
| Trade debtors | 8,101 | 11,257 | |
| Prepayments | 341 | - | |
| 8,404 | 11,257 | ||
| 16.Creditors: Amounts falling due within one year | |||
| 2021 | 2020 | ||
| £ | £ | ||
| Bank loans and overdrafts (see note 18) | 9,527 | 1,667 | |
| Other loans (see note 18) | 3,742 | 7,497 | |
| Trade creditors | 5,226 | 4,971 | |
| Social Security and other taxes | 1,704 | 17,419 | |
| Other creditors | 3,010 | 14,063 | |
| 23,209 | 45,617 | ||
| Social security due as at 29 November 2021 has been verifed by a | statement from HMRC. | ||
| 17.Creditors: Amounts falling due after more than one year | |||
| 2021 | 2020 | ||
| £ | £ | ||
| Bank loans (see note 18) | 39,690 | 48,333 | |
| Other loans (see note 18) | - | 3,544 | |
| 39,690 | 51,877 |
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Cardiff Central Youth Club Ltd
Notes to the Financial Statements For the period 30 November 2020 to 29 November 2021
18.Loans
An analysis of the maturity of loans is given below:
| Loans An analysis of the maturity of loans is given below: |
||
|---|---|---|
| Amounts falling due within one year on demand Bank loans Other loans Amounts falling due between one and two years Bank loans - 1-2 years Other loans - 1-2 years Amounts falling due between two and fve years Bank loans – 2-5years Other loans – 2-5 years |
2021 £ 9,527 3,742 13,269 19,782 - 19,782 19,908 - 19,908 |
2020 £ 1,667 7,497 |
| 9,164 | ||
| 10,000 3,544 |
||
| 13,544 | ||
| 38,333 - |
||
| 38,333 |
19.Leasing agreements
| Minimum lease payments under non-cancellable operating leases fall 2021 £ Within one year 15,619 Between one and fve years - 15,619 |
due as follows: 2020 £ 17,772 7,604 25,376 |
|---|---|
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Cardiff Central Youth Club Ltd
Notes to the Financial Statements For the period 30 November 2020 to 29 November 2021
20.Movement in funds
| At 30.11.2 0 £ Unrestricted funds General fund 23,448 TOTAL FUNDS 23,448 Net movement in funds, included in the above are as Incomin g Resourc es £ Unrestricted funds General fund 233,213 TOTAL FUNDS 233,213 Comparative movement in funds At 01.12.1 9 £ Unrestricted funds General fund 19,504 TOTAL FUNDS 19,504 Comparative net movement in funds, included in the Incomin g Resourc es £ Unrestricted funds General fund 247,146 TOTAL FUNDS 247,146 |
Net Movement in Funds At 29.11.2 1 £ £ 12,198 35,646 12,198 35,646 follows Resource s Expende d Moveme nt in Funds £ £ (221,015) 12,198 (221,015 ) 12,198 Net Moveme nt in Funds At 29.11.2 0 £ £ 3,944 23,448 3,944 23,448 above are as follows Resourc es Expend ed Moveme nt in Funds £ £ (243,202 ) 3,944 (243,20 2) 3,944 |
At 29.11.2 1 £ 35,646 |
|
|---|---|---|---|
| 35,646 | |||
| Moveme nt in Funds £ 12,198 |
|||
| 12,198 | |||
| At 29.11.2 0 £ 23,448 |
|||
| 23,448 | |||
| 3,944 |
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Cardiff Central Youth Club Ltd
Notes to the Financial Statements
For the period 30 November 2020 to 29 November 2021
21.Related party disclosures
There were no other related party transactions for the period ended 29 November 2021 nor the year ended 29 November 2020 except for those disclosed in note 10.
22.Company limited by guarantee
The charity is a company limited by guarantee. Members have agreed to contribute £1 in the event of winding up.
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