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2022-06-30-accounts

Trustees’ Annual Report for the period

From (start date) 0 1 0 7 2 1 to (end date) 3 0 0 6 2 2

Section A

Reference and administration details

Charity name

Inspired

Other names the charity is known by

Registered charity number (if any)Charity’s principal address

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3RdFloor –Allenby House 3RdFloor –Allenby House 3RdFloor –Allenby House 3RdFloor –Allenby House 3RdFloor –Allenby House 3RdFloor –Allenby House 3RdFloor –Allenby House 3RdFloor –Allenby House
1A Temple Road
London
Postcode N W 2 6 P J

Names of the charity trustees who manage the charity

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Trustee Name Office (if any) Dates acted if not for
whole year
Name of person (or body)
entitled to appoint
trustee (if any)
Mahboubeh Gaffarizad Chair
Farzaneh Majidi Treasurer
Shirin Rahimi Secretary

Names of the trustees for the charity, if any (for example, any custodian trustees)

Name Dates acted if not for whole year

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TAR

March 2012

TAR M8r¢h 2012

Section A Reference and administration details (continued)

Names and addresses of advisers (optional information)

Type of adviser Name Address Name of chief executive or names of senior staff members (optional information) Section B Structure, governance and management Description of the charity’s trusts Type of governing document Constitution (eg trust deed, constitution How the charity is constituted Association (eg trust, association, company) Trustee selection methods Elected from Membership (eg appointed by, elected by) Additional governance issues (optional information You may choose to include additional information, where relevant, about:

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TAR

March 2012

Section C

Objectives and activities

Summary of the objects of the charity set The charity's object is to promote the voluntary sector for the public out in its governing document benefit by enabling access to its’ offices and services and providing support to other charities and organisations in the voluntary sector. To promote social inclusion for the public benefit by working with members of the community who are socially excluded by virtue of their age, gender, disability, language and ethnic origin and to relieve their needs and to assist them integrate into society.

Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)

In planning the activities for this year, the trustees have continued to review the Guidance on Public Benefit published by the Charity Commission at the trustee meetings. The summary of the charity's main activities are as follows: We have continued to organize and hold our annual calendar of large ceremonial events. At these gatherings, there is live music, key note speakers and food and refreshment is provided. Notable amongst these gatherings were the Christmas gathering, the Winter Equinox gathering (yalda), the Persian New Year gathering as well as the Ramadan gathering. These gatherings offer an invaluable opportunity for members of the community to gather and it allows families, especially those living in exile to meet in a safe space and in a welcoming environment.

Furthermore, we have continued the weekly gatherings online which we initiated as a result of the covid lockdowns. Our virtual meetings allow the service users to share their life experiences and information in real time, without the need for being physically present in the same room. This has provided a lifeline to many vulnerable and isolated people in the community.

Additional details of objectives and activities (optional information)

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~~TAR~~

~~March 2012~~

Section D

Achievements and performance

Summary of the main achievements of the Achievements and Performance: charity during the year

We have continued to work with and to educate young people whose parents fled their homeland as well as refugee children and children currently without a status. Many of these children were born in the UK or have arrived in the UK as young children while others are new arrivals. In many cases, this upheaval has caused a conflict of identity as these children struggle to forge an identity. Often these children experience a conflict between their family, their background and their culture which may contradict the values of the society in which they live. In addition, many of these children are from Muslim backgrounds, which in the current political climate adds additional pressures. One of our greatest successes continues to be organizing meetings and Q&A sessions, aimed at helping these children identify as British and helping them embrace British values and way of life, while at the same time respecting ~~their cultural heritage, allowing the children to thrive in a cohesive and~~ inclusive manner. We have assisted the victims of domestic violence in the community. Often these women do not speak English and are therefore unaware of their legal rights and are lonely and isolated. We have provided these women with the latest information on their legal rights as well as assistance with their housing rights, children’s rights, immigration rights as well as information with respect to separation and divorce. We provide these services in person but also online. A legacy of the covid lockdowns, online services remain a popular alternative to our person meetings.

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TAR

March 2012

Section E Financial review

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Brief statement of the
Inspired Charity does not have a reserves policy.
charity’s policy on reserves
Details of any funds materially in deficit N/A
Further financial review details (optional information)
You may choose to include additional
information, where relevant, about:
• the charity’s principal sources of funds
(including any fundraising);
• how expenditure has supported the key
objectives of the charity;
• investment policy and objectives including
any ethical investment policy adopted.
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Section F Other optional information

Section G Declaration

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The trustees declare that they have approved the trustees’ report above
Signed on behalf of the charity’s trustees
Signature(s)
Full name(s) MRS Mahboubeh Ghaffarizad
Position (eg Secretary, Chair, etc) Chair
Date
0 4 0 4 2 3
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TAR

March 2012

Inspired Profit & Loss Statement 0110712021 to 3010612022 Income Donation Standing order Donalion IR Cash Income Membership FEE Grant- Women and Youth Agains Grand Olher Organ HMRC Charities- Gift Aid Miscellaneous Income Total Income £24,451.00 £2,249.50 £34,410.29 £3,129 50 £291.00 £13.600.00 £13.000.00 £10,472.84 £1.415.00 £103019.13 R¢fund of Donations Gross Profil £103,019.13 Expenses Admini3lralive Exp Refreshment Eltri¢ily and GaB Postage Stationary Rent and Rale Storage Insuranca Transportation Web - Email Depreciation cost Motor Expens66 Total Administrative Exp Fundraising Exp. Monthly A¢c Fee Occupancy Costs Sundry èxp Total Occupancy Costs Total Expenses £246.86 £4.214.61 £11.05 £13.82 £63,844.80 £180.00 £105.34 £55.20 £930 34 £147.86 £89 749.86 £96.00 £80.71 £80.71 £89 92e.s9 Operating Profit £13 092.54 Other Income Proje¢ts Expenses Evènts 1 Event 2 Asylem Well8r* £10,512.80 £126 83 £1.455.42 4.26 efnending Ttst81 Projects Expenses £12.139.30 Net Profit I (Lossl £953.24

Inspired Balance Sheet As of June 2022 Assets Fixed Assets Computer Equipment Computer EqLJipmenl Origin81 Co CorrFPUter Equipment Accum Depre Total Computer Equipment Total Fixed Assets Current Assets Cash 81 Bank and In Hand CAF Bank Petty Cash Paypal Total Cash at Bank and in Hand Office Deposit Office Deposit Total Current Assets Total Assets £5.062.37 -£4.396.85 £6e5.52 £685.52 £5.778.96 £58.97 £23.00 £5,860.93 £20.000.00 £25,860.93 £26,526.45 Current Liabilities Creditors LB Brent Inkind D1￿cl Accruals Total Creditors Ttrtal Current Liabilities Total Liabilities £0.80 -£0.06 £440.23 £440.97 £440.97 £440.97 Net Assets £26.085 48 Gèneral R8serves Retained Eamings Historical Balancing Current Year Earnings £24,988.04 £148.20 £953.24 Total Total General Reserve £26.085.48 £26.085.48

I CHARITY COMMISSION ' FOR ENGLAND AND WALES Receipts and payments accounts CC16a Forthe pe￿¢xl from To 0110712021 3010612022 Section A Receipts and payments unre81￿Cted funds Restricted fund8 Endowment fund8 Total fLEnd8 Last yoai io thB n￿r¥¥I totho r￿ar￿ £ to the noareBt£ trtthe ll0a￿t£ Al Ree•lpt¥ Donatson Standing Order Don8tion IR Cah Incom Grani Giftthd 24.451 2,249 34.410 3,130 24,451 2,249 34,410 3.130 10.473 1.415 291 ta,473 Membership F 291 Sub total(Gross NnGome for AR) 103.019 103,019 A2 AB$et and Investment sales, Isee tablel. Sub tot81 103.019 103,019 A3Pa ments Admin15trabve Expwses FU￿ra￿￿g Expenses Sundty Exnses Projects Expen5e¥ 89.750 96 81 12.139 88,750 11139 Sub total 102,06e 102,oe8 A4 Assèt and In￿lment ￿￿has05. see table) Sub total 102.066 1U2,086 Not of ree•lpts/(paymonts) 953 9S3 A5 Tr3n8ler8 belwètrn fund• A6 Cash fund8 last year 8nd Cash funds thi$ yoar end 963 CCXX R1 accounts Issi 2011112024

Section B Statement of assets and liabilities at the end of the period Unreytricted Restricted fund$ fund8 ¢0 nfr8￿t£ Endowtnenl funds to £ Categories Detalls to B1 Cash lund8 Pety Cash 59 Total cash lund$ 59 rqc4ipts andpBymgrf$ x4YJrtlill Unre¥trictgd funds to nearMt£ Rest￿¢ted fund9 Endowment fund8 to n￿r•S[£ Detsils Cal BaDk Fund towhlrh a589t bolon eurr•ntv•ltso lonal Details Cost loptloTrDII fund to wthlch Detalls Computws o•t loptton•ll Curr•nt¥•lu• lonal 84 AB8•ts retained for the charlty's own use Fun¢J to wh￿h Ilabill r￿0￿ 441 Amount du• onal When du Deta116 Curroni ￿¥bIl￿$s{ wt I B5 Liabilitie S￿r￿d by one or tru81888 on behHff of all thE trustees Date of rov81 S￿nature Print N8mè skifih-176h,"Mi 1.11202 CCXX R2 accounts ISSI 2011112024