Registered Charity No: 1151297
BRIONYS GIFT
REPORT AND ACCOUNTS
YEAR ENDED 18 FEBRUARY 2024

BRIONYS GIFr
REPORT AND ACCOUNTS
YEAR ENDED 18 FEBRUARY 2024
CONTENTS
Page
Legal and Administrative Information
Trustees. Report
Independent Examinerfs Report
Recelpts & Payments Account
ststement of Assets and Liabilities
Notes to the Financial Statements
Page 2

BRIONYS GIFT
LEGAL AND ADMINISTRATIVE INFORMATION
YEAR ENDED 18 FEBRUARY 2024
Full Name:
BRIONYS GIFT
Reglstered Charlty
Number:
1151297
Contact Address:
25 Victoria Street
Stalrfoot
Barnsley
South Yorkshlre
S70 3EP
Mr Darron Thomas Woodward
Mrs Meayla Ann Woodward
Mrs Shona Tutin
Bankers:
Barclays Bank plc
Lelcester
LE87 28B
Indep¢ndent Ex•min¢r:
Chrlstopher Stones
Communlty Accountant
Bèrn51ey CVS
23 Queens Road
Barnsley
S71 5PN
Page 3

BRIONYS GIFr
TRUSTEES. REPORT
YÉAR ENDED 18 FEBRUARY 2024
The Trustees present their report and accounts for the period 19 February 2023 to
18 February 2024.
Structur¢i governance and management
Brfonys Glft is an unincorporated charltyi reglstered wlth the Charity Commission and
governed by way of a trust deed, adopted 13 March 2013.
The affalrs of the charity are managed by the trustees, who may exerclse all the powers of
the charlty. The liability of the members of Brionys Glft, in the event of wlndlng up of the
charityi is limited to a sum not exceeding £100 per trustee.
Appolntm¢nt of trustees
In accordance wlth the terms of the constitutlon, trustees can only be appointed by
resolutlon passed at a properly convened meeting, or a decision of all of the trustees.
The twstees who served during the year are shown on page 3 of thls report.
Charltable aims and objertives
The objerts of the charity are..
To relieve the 5ickne55 and distress of children who are suffering from life lirniting Illness
and condltlons such a5 cancer in such ways as the trustees shall think fit, In particular by
the provlslon of glfts and the grdnting of wlshes.
Publlc benefit
In shaping the objectlves for the year, the trustees have paid due regard to the public
benefit guidan￿ published by the Charlty Comml55ion. The trustees consider that all
actlvlties as outlined in thls ￿pOrt meet the public benefit requlrement.
Review of the year
Brlonys Glft continued to support children and young adults wlth cancer and other Ilfe
Ilmltlng and Ilfe threating illnesses and conditions in accordance with charlty's alms.
The fvndraising shops In Wombwell contlnue to be part of the heart of the community
promoting the charity and bulldlng communlty spirit. Alongside thls the shop5 save Items
from landfill, promoting sustalnabllity and glve the local community access to low cost
items. The awarene55 which the shops bring to the cause has been key to several large
onatlons whlch have benefited the children. This indudes not only money but new items to
be donated dlrectly to the ward and craft packs which we have been able to donate.
One again we contlnue to make positive connettlons with families of children on treatment
and continue to offer support moving forward. We contlnue to offer free magic shows and
other entertainment as well as free photography in order to capture tlme for the famllles
and provlde lasting memorles.
Brfonys Glft contlnues to be a positive presence within the communlty offerlng volunteerfng
opportunltles for the unemployed people as well as those suffering wlth anxlety and
depresslon alongslde those wishing to fill thelr time sUPPOrting a worthwhlle cause.
Page 4

BRIONYS GIFr
TRusfEES' REPORT coThtlnu•d
YEAR ENDED 18 FEBRUARY 2024
The Charity's policy on reserves
The trustees ￿CognIse the need to keep reserves at a level whlch wlll glve the charity stsbillty
to enable it to continue to operate in the future and alm to hold a minimum of £7,500 in reserve
at any one tlme. The actual level of reserves held by the d)arlty on 18.02.2024 was £34,847
(18.02.2023.. £20,502).
Related Partles
The trustee5 conslder that there are no related parties to the charlty.
Trustees responsibilities tor the flnanclal stateméf
The trustees are responsible for keeping proper attountlng records, which disclose wlth
reasonable accuracy the finanaal posltion of the charlty at any tlme and enable the
trustees to p￿pa￿ financial statements for each financial year. The trustees are also
responslble for safeguarding the assets of the charlty and hence for taking reasonable
steps for the prevention and detection of fraud or other irregularities.
Flnanclal Posltlon
The flnanclal statements are set out In page5 7 to 9.
The Recelpts and Payments Account shows a surplus for the year of £14,345 (2023.. deficit
£3,336). Total funds of the charfty at year-end stand at £34,847 (2023: £20,502).
The trustees declare that they have approved the report above.
Slgned on behalf of the charity's trustees:
Signed:
Date.. 53nl March 2026
M A Woodward, Trustee
Page 5

BRIONYS GXFr
INDEPENDENT EXAMINER'S REPORT
YEAR ENDED 18 FEBRUARY 2024
I report on the accounts of the charityi whlch are set out on pages 7 to 9.
Respectlve responslbllltles of tNstees and exarnlner
The charlty's trustees are re5pon5ible for the preparatlon of the accounts. The trustees
conslder that an audlt Is not requlred for this year, under sectlon 144 (2) of the Charities
Act 2011 (the 2011 Att) and that an Independent examination is needed.
It Is my responslblllty to:
examine the accounts, under section 145 of the 2011 Art.
follow the procedures laid down in the general dlrectlons glven by the Charlty
Commlssloners under sertlon 145 (5)(b) of the 2011 Act; and
state whether particular matters have come to my attentlon
Basls of Independent examlnerfs report
My examlnatlon was Ca￿led out In accordance with the generdl dlrectlons glven by the
Charlty Comrnlsslon. An examlnation Indudes a revlew of the accounting records kept by
the charlty and a comparlson of the accounts presented wlth those records. It also Includes
conslderatlon of any unusual items or dlsclosures In the accounts, and seeklng explanatlons
from you as trustees concernlng any suth matters. The procedures undertaken do not
provlde all the evldence that would be required in an audlt, and consequently no oplnion is
glven as to whether the accounts present a 'true and fair vlew. and the report Is Ilmlted to
those matters Set out in the statement below.
Independent examlnerfs statement
In connertlon wlth my examlnation, no matter has come to my attentlon:
which gives me reasonable cause to belleve that in any materlal respect the
requirements to keep accounting ￿tsrds, In accordance with sectlon 130 of the 2011
Act, and to prepare accounts which accord wlth the accountlng records and comply with
the accounting requirements of the 2011 Act have not been met.
or
2. to which, in my oplnlon, attention should be drawn In order to enable a proper
understsnding of the accounts to be reached.
Q24
Signed
Date: e9ft1 March 2026
Christopher Stones
Community Accountant
Barnsley CVS, 23 Queens Road, Barnsley, S71 IAN
Page 6

BRIONYS GIFr
RECEIPTS AND PAYMFfirs ACCOUNT
YEAR ENDED 18 FEBRUARY 2024
UM¢strltW R•gtrkt4d
Fwnds
rotal
Tot
2023
2014
Receipts
Donatoons & fundrdlsing
abarity shop receipts
Other In¢ome
3,571
57.158
3,571
57.158
2,234
56,125
13
Total reteipts
60,729
60,n9
58,372
Payments
Fulfilllng w55hes & glfts for thlldren
staff c0515
4,521
60
4,521
4,027
Rent & rdtes
22,081
797
22,081
797
30,318
540
Insuran
Utllltles
(172)
3,196
2,504
1,283
8,719
626
{Ini
3,196
2,504
1,283
8,719
626
6,250
3,281
3,391
1,2S9
9,645
174
Telep￿ne & broadband
Premise5 costs
Shop consumabl&/equlpment
Vehlcle costs
Stationery & postage
Subsuiptions & membership
Card mathlne fee
738
738
1,169
1,416
43
1,681
1,681
Other payfflents
Accountiw fees
350
350
225
T*Jial payments
46,384
4*384
61,738
Surplus1(Deficit)
14.345
14,345
{3,3661
Total funts brought forward
20,502
20,￿2
23,868
Trt•l Fund$ Carried Forward
Page 7

BRIONYS GIFr
STATEMEwf OF ASSETS & LIABIUTIES
AS AT 18 FEBRUARY 2024
2024
2023
Monetary Assets:
Communty Account I (Bardaysl
Community Account 218arclaysl
Petty Cash
20,711
13,701
435
7,882
12,185
435
Total monétary assets
Assets retalned for the charity's own use:
Luton Van
Vauxhall Vivaro
PAT testlng equlpment
shel￿ng Unit
ccrv
1,955
9,500
355
325
1,955
9,500
355
700
Liabilitie$:
AccoLtntancy fee5..
Accounts 202112022
Accounts 202212023
Accounts 202312024
Cashbook 202312024
350
450
450
550
400
800
The tnjstees declare that they have approved the accounts above.
Slgned on behalf of the charity's trustees..
Date: O* March 2026
M A Woodward, Trustee
Page 8

BRIONYS GIFr
NOTES TO THE FINANCIAL 5TATEMEr
YEAR ENDED 18 FEBRUARY 2024
l. Accountlng pollcl¢s
Basis of the
aration of the accoun
The financial statements have been prepared on a Receipts & Payments basls which
summarlses the movement of cash In and out of the organisation. In this context 'cash'
Includes cash equlvalents, such a5 bank accounts where cash can be readily available to pay
debts as they fall due. This format of accounts Is avallable to non-company charitie5 Wlth gross
annual Income of £250,000 or less.
Classification of income & ex
endlture
Income and expendlture has been analysed In the accounts uslng natural classiflcatlon.
un
truct
The charity maSntaSns an unrestrfcted fund which represents funds whlch are expendable
at the dist￿tIOn of the trustees In furtherance of the objects of the charity.
Unrestricted fund5 may arise from general donations, grants of a general nature, fees
for servlce provlslon and payment for service delivery contracts.
Restricted funds may be provlded to the charity for particular purposes and may only be
spent for the purposes for which they were given. Any balance remaining outstsndlng
on a restrlcted fund at the end of the year is carrled for+vard as a balance on the fund,
unless pemiission has been glven by the funder to ￿mOVe the restrlction on the balance
outstanding. Restricted funds will arise from grants and donations glven to the charity
for specific purposes.
Taxation
Brionys Glft Is a reglstered charlty and is exempt from UK corporatlon tax on Income
from its charitable activitie5.
2. Trustee remuneratlon, beneflts and expense$
There were no payments, remuneratlon or benefits to trustees during the per1od, other
than out of pocket expenses that We￿ reasonably incurred by trustees in promotlng the
purposes of the Charlty.
3. Related Party TransJrtion$
No payments were made to related parties durtng the perlod.
4. Grants recelved
2024
Total
Funds
2023
Totsl
Funds
Unrestricted
Funds
Restrfcted
Funds
Page 9

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