# The Aldeburgh Library Foundation 

Charity number 1150450 

Trustees’ Report, Accounts and the Independent Examiner’s Report 

for the 

year ended 31 March 2024 



## - **Annual report for 2023 2024** 

This is the report for the Trustees of the Aldeburgh Library Foundation (ALF) on how it carried out its activities to meet its charitable objectives for the public benefit and the financial resources generated and employed. The report should be read alongside the Accounts as well as the Data Privacy and Protection, Safeguarding, Equality and Inclusion policies that are posted on our website. Broadly we meet our charitable objectives in the following ways: 

## **Partnerships** 

Board members have continued our collaboration with other local Providers, such as Aldeburgh Church Hall, Aldeburgh Primary School, the Jubilee Hall, the Fairfield Centre and others. The library is seen as a major educational resource and partners are keen to help us in achieving this aim. With 1,000 users in the Aldeburgh area and good links with schoolchildren and their parents, we believe the library will continue to serve the whole community from young to elderly, working and retired adults. 

## **Adult Education Classes** 

We have provided educational talks, classes and inclusive activities for adult age groups, enrolments have grown to over 800 a year since 2012 with the majority taking place in the library. 

## **The Friends of Aldeburgh Library** 

The Friends of Aldeburgh Library  (FOAL) was established as a supportive branch of the Foundation. Membership is free and members are Associate Members of the Foundation with representation on the Board alongside the Town Council and the Aldeburgh Society. 

## **The Library in the Community** 

The Board ensures that ALF provides community activities and helps the library when necessary with ongoing material requirements. 

## **Library Refurbishment** 

The Foundation has raised over £160,000 in funds since its inception via adult education and activities income, donations and small grants which has been used for refurbishment projects. 

## **Current year to March 31st 2024.** 

The Foundation had a strong operational year with courses generating a surplus. 

## **Financial Report** 

Course revenues were £27,618 

We have repaid the final loan instalment of £5,000 and maintained adequate financial reserves. 

## **Financial Reserves Policy** 

As a charity we have a declared financial reserves policy to hold sufficient to meet our contractual obligations for running costs of the charity for the next 12 months. These costs were £3,787 for the current financial year and the Board expects the same financial obligations to continue. 

## **Board Membership** 

We have recruited additional and replacement members to the Board and are still seeking to expand the range of skills among our Board Members. 



Aldeburgh Library Foundation
Charity No
lif anyl
Annual accounts for the period
Aldeburgh
Library
Foundation
1150450
Period
start
Pari￿ end
dale
01104123
To
31103124
Section A
Statement of financial activities
Restricted
Unrestrictsd Income
funds
fund8
Descrlptlons by natural
category
Endowm&nt Total thls
funds
year
Total last
year
Notgs
Income
Local Authority Grants
Charitable. Private Granls,8nd Loans
Donations
944
100
40
40
1,937
1,318
3,009
1,937
Incom& From Charitabl8 Aclivllias
Subscription8, Friends of Library
Education & Events
27,618
473
27,618
473
25,328
628
InGom& from olh&r trading Bcllvlti8s
N.B. All 8mounls roundad
Total Incomlng resources
Expandlwre
Cost of ch8rit8ble A¢livilles
31,012
31,012
30,383
Managernenl and Op8ralional Co$t$
Communication Costs
731
1,330
18,367
5,108
731
1.543
2,615
15,407
4,708
1.330
18,387
5,108
Educ811on Programmè & Event Costs
Library Support and Improv8men18
Cost ol Tr&dlng Acllvilles
Total rn80urco8 oxpended
Gm88 transfers between funds
25,536
25,536
24,273
Net fund8 from Oporatlon#
5,476
5,476
8,110
Not mov•ment In funds
5,478
1,294
6,770
5,476
8,110
4,870
1,294
Total funds bmught forward
Total funds ¢arrléd forward
1,294
6,770
N. B. All amounts rounded
Statement of Cash Flows
Op9nlng Cash Balance 01104123
18,487
18,487
Net funds from Operatlon8
5,478
5,478
8,110
Cash Movernent
Loan repayment
5,000
1,017
1,293
2,548
5,000
1,017
1,293
2,548
5,000
77
Increase in Debtors
Increas8 in amounts rec in advanoe
978
DeGf9858 in Credltor8
3,217
Closing Cagh Balance 31103124
16,691
16,691
18,487

Balance sheet
Balance Sheet
Total th18
yg•r
Totsl la8t
ygar
Fixed assets
Tanglble a886ts
Inve8tm8nts
Total flxed assets
Lurrent assets
Debtors
(Short term} Invèstments
Cash at bank and In hand
Total current assets
1199
182
18,669
Credltor8: due wlthln one year
Net curront ass8ts/(118bllltles)
6,294
Tot818ssots less current Ilabllftlos
6,294
Credltors: due after one year
Provlslons for Ilabllltles and ¢hargo8
Net assots
pund8 Ot the Lharity
Unre8trlcted fund8
Deslgnated fund8
Total unrestrlcted funds
Restrlcted Income funds
Endowment funds
1,294
6,770
1,294
6,770
1,294
Total funds
Signature
Dale of
roval
Dlrector and Trustse
Ann-C8therlne Batters
Chalr
,Ici3w .
23 07 2024
Dlrector and Trustee
Caroline Boyd
Treasurer
23 07 2024
2210712024

Notes to the Accounts
The prlnclpal accounting pollcles adopted in preparatlon of the accounts are as
follows:
1.1 Basis of Preparation
The Financial statements have be&n prepared in accordance wllh the
Ch8rilies'. Slalemenl of Recommended Practice IFRS 1021 and the
Companles Act 2006. The Aldeburgh Library Foundallon meets tho
definition of a publi¢ benefit enlily under FRS 102,
1.2 Going Concem basis
The Trustees are satisfied that the Foundation is a going concern.
1.3 Income and Expenditure recognition
Incomè from exchango transactions le.g. the provision of eduGaliona
events) is r8cognised on complètion of th8 hosting of such 8V8nls
Income from non-exchang8 transactions le.g. donations and grgnlsl is
ro¢ognised when there is reliable gvidgnce of the charity's enlill8menl
to receive the amounts of donations or grant8.
The ¢onlrlbullon of volunteer$ represents a valuabltr rasource received
by the charity and, in accordance with the Chariti88 SORP FRS 102, no
flnincial measuremen18 of th8 value of such ¢onirlbulitrn$ ar$ Included
a8 incom8 In th& ¢harlly's acccunls.
Expendllure Is r8¢ognls8d when suppll8rs of goods and $orvS¢es hav•
fulfilled their obligations lo tho charity.
1.4 Charit8bl& Reserves Policy
The Foundation'¥ cash re88rve policy18 lo m681 c¢nlr$¢lual obllgallons
arlslng wllhin 12 months.
1,5 Volunt8ers and employees
The Foundallon has no permanent employees or regular v¢lunl8er8
boyond the TruBlee Board.
1.6 Corpor&tion Tax
The FoundAllon Is exompt from tax on incomè and gains falling wllhln
section 505 of the Taxes Act 1988 or secllon 252 of th8 Taxalitsn Df
Chargoable Gains Act 1992 to the gxlenl that these are applled 10118
charitable objects.
Note8 on 2023124 Accounts
Tho Foundation recelved £944 in lo¢al oulhorily grants.
The Foundation re¢elved grants from Ea$1 Suffolk Councll and
Aldeburgh Town Council.
Th¢ Found8llon recelved don8llon$ towards th& Library relurbishmant
prol8cI Includlng sum$ d¢naled by Tru8lees.
The Trusteès ¢on$idor all managemènt and opèralienal c051s lo b&
associated with the Charilabla aclivilie8 of the Foundation.
Ex￿ndItUre on Library Support and Improvement included £992 spent
on equipment costs.
The Trustees borrowed £30,000 lo finance the balance ol the Library
refurbishment in 2019120. This year the Iruslees repaid £5,000. See
Note H below.
The Cash in hand is heSd in the Bank Account and is suff1cienl ID meet
all operational and conlraclural obligations for th? following 12 months.
The loan was an overdraft facility, interest free, not secured against
assets of the Foundation, rgpayable by December 2024, and subject lo
a review by the full Trustee Board every 6 months. The Dverdraft facility
was provided by a family member of one of the Trustees.
Since the death of Robin Boyd, his wife Caroline Boyd has become a
truslfjo and taken over as treasurer. She provided the original loan lo
the library. As of April 2024, £5,000 was still owing and this has since
been repaid.
2210712024

## **Independent Examiner’s report to the Trustees of The Aldeburgh Library Foundation (“the Foundation”)** 

I report to the Trustees on my examination of the Accounts of the Foundation for the year ended 31 March 2024 (“the Accounts”). 

## Responsibilites and the basis of this report 

As the Trustees of the Foundation (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 Foundation 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 the Foundation’s Accounts as carried out under section 145 of the Charities Act 2011. 

## Independent Examiner’s statement 

I have completed my examination and I confirm that: 

1. satisfactory accounting records were maintained in respect of the Foundation as required by section 386 of the 2006 Act; 

2. the Accounts accord with those records; 

3. the Accounts comply with the accounting requirements of section 396 of the 2006 Act other than the requirement that the accounts give a “true and fair view” which is a matter which is beyond the scope of an independent examination, and 

4. the Accounts have been prepared in accordance with the methods and principles of the Statement of Recommended Practice for accounting and reporting by charities. 

I further confirm that my examination has revealed no matters to which attention should be drawn in this report in order to facilitate a proper understanding of the Accounts. 

Name:  Mark Ballamy 

Professional qualification:  Chartered Accountant 

Address:  114 High Street, Aldeburgh, Suffolk, IP15 5AB 

Date: 8 November 2024 

