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2022-10-31-accounts

Page
Reference and administrative details ofthe charity, its trustees and advisers
Trustees'
report
Independent
examiner's
report
20
Statement offinancial activities 22
Balance sheet 23
Notes to the financial statements 24- 31

Research outputs Type Link
htt s www ov uk flood-and-coastal-
Flood hydrology project summary erosion-risk-man ement-research-re orts
roadmap and documents flood- h drolo -roadma
The future
hydrology
offlood
in the UK
Journal Paper h doi or 102166 nh 2 22053

Research outputs
Natural
flood
Type Link
h: www ciria or
Itemoet
iniProduc
management
manual
Guidance report Code=C802F&Cate o -FREEPUBS

Title and link Journal Authors Status
Invi ed
ers ectives Chalen
esand
Natural
Hazards and
Tubaldi, Eetai+ Published
future directions
in im
rovin
brid e
Earth System JBATrust co-author
fold Sciences
Prediction offlood
uantiles at
Hydrology Research Filipova, V.et al+ Published
un
au edcatchmentsforthe
JBATrust co-author
conti
uous USA usin
Artificial Neural
Networks
sin
mi ro-catchmen
ex eriments
Hydrological Hankin, Betal+ Published
for multi-local scale modellin
of
Processes JBATrust co-author
nature-bas
solution
S atial scale evaluation
offorecas
Journal of Hooker, H.etal. Published
flood inundation
ma s
Hydrology
Thetem
oralclusterin
ofstorm
Natural
Hazards
Jenkins, L.J.,Haigh, I.D., Published
sur e wave hei
ht and hi
h sea level
Camus, P.et aL+JBA
exceedances
round the UKcoastline
Trust co-author
Geomor
hiceff ctsofnaturalflood
River Research and Lo, H. W.,van Leeuwen, Published
mana
ement w od
dams in u
land
Applications Z.,Klaar, M.,Woulds, C.,
streams &Smith, M.
The future offlop
h drolo
in the UK
Hydrology Research Lamb, R.etal Published

Unrestricted Total Total
funds funds funds
2022 2022 2021
Note E 2
INCOME FROM:
Donations
and legacies
2 180,789 180,?89 209,923
Investments 3 3775 3775 3053
TOTAL INCOME 184584 184564 212 976
EXPENDITURE ON:
Charitable
activities
4,6,5 223464 223464 234466
TOTAL EXPENDITURE
223 464 223464 234 466
NET EXPENDITURE BEFOREOTHER RECOGNISED
GAINS AND LOSSES (38,900) (38,900) (21,490)
NET MOVEMENT
IN FUNDS
(38,900) (38,900) (21,490)
RECONCILIATION
OF FUNDS:
Total funds brought
forward
277804 277 804 299294
TOTAL FUNDS CARRIED FORWARD
The notes on pages 6to 13form part ofthese financial statements.

INCOME FROM DONATIONS
AND LEGACI
ES
Unrestricted Total Total
funds funds funds
2022 2022 2021
6 6 6
Donated services 148,352 148,352 142,153
Donations 31,648 31,648 37,915
Sales 789 789 425
Other income 29,430
Total donations and legacies
Total 2021 ~I~3 ~0 922

Unrestricted Total Total
funds funds funds
2022 2022 2021
E E

ANALYSIS OF GRANTS
Grants to
Grants to Support
Institutions Activities Total Total
2022
E
2022
E
2022 2021f
Grants, Activities undertaken 27 000 135251 102331 164447
Total 2021
2022
E
2021f
Grants to institutions 27,080 46,852
Research projects
Project pipeline development
Training projects
32,806
19,732
82,713
56,997
60,598

SUPPORT COS TS
Activities Total Total
undertaken 2022f 2021f
Sub-Contractors associates 31,731 31,731 28,272
Sundry expenses 774 774 898
Communication and website 13,982 13,982 29,942
Computer
consumables
and soRware licences 1,149 1,149 532
Motor and travel expenses 3,306 3,306 1,752
Office costs 4,218 4,218 754
Insurance 470 470 501
Legal and professional 1,453
Depreciation 3,217 3,217 3,543
Total 2021 ~LB7~77 7

Unrestricted Total Total
funds funds funds
2022f 2022
6
2021f
Accountancy fees 2,244 2,244 2,244
Bank charges 42 42 28
NET INCOME/(EXPENDITURE)
This is stated aRer charging:
2022f 2021

9. TANGIBLE FIX EDAS S ETS
Plant and Nlotor
machinery vehicles Equipment Total
6 6 F 6
Cost
2116
I
2021 031011 2022 37100 20100 1 607 58896
Depreciation
At 1 November 2021
Charge for the year
31,848
3217
20,100 1,607 53,555
3217
At 31 October 2022 35D65 201DD 1607 56772
Net book value
At 31 October 2022
At 31 October 2021
10. DEBTORS
2022 2021
E
Trade debtors 905
Other debtors 1,000 37,917
Prepayments
and accrued income
28,800
11. CREDITORS: Amounts falling due within one year
2022f 2021
Trade creditors 3,896 20,021
Other creditors 18,342 975
Accruals and deferred income 1,868 2,640

STATE MENT OF FUNDS - CURRENT YEAR
Balance at Balance at
1 November 31October
2021 Income Expenditure 2022
E E E E
Unrestricted funds
General Funds
STATEMENT OF FUNDS - PRIOR YEAR
Balance at Balance at
1November 31October
2020f Income Expenditure f 2021
General Funds 299294 212 976 ~234466 277 994
Total of funds

Unrestricted Total
funds funds
2022 2022
E
Tangible fixed assets 2,124 2,124
Current assets 265,534 265,534
Creditors due within one year (28,754) (28,754)
ANALYSIS OF NET ASSETS BETWEEN FUNDS - PRIOR YEAR
Unrestricted Total
funds funds
2021 2021
Tangible fixed assets 5,341 5,341
Current assets 296,099 296,099
Creditors due within one year (23,636) (23,636)
~~04 2~704