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2021-04-30-accounts

Company Number: 07953782 Charity Number: 1151635

Danson Sports Football Club Limited

Report & Accounts

30 April 2021

Danson Sports FC Limited Registered Office/Club Facilities: Mayplace Sports Ground, Perry Street, Crayford, Kent, DA1 4RB.

Danson Sports Football Club Limited

Contents Page
Legal and Administrative Information 1
Directors/Trustees Report 2
Approval Statement & Treasurers Report 3
Profit and Loss Account 4
Balance Sheet 5
Notes to the Accounts 6 - 8
Detailed Profit and Loss account 9 - 10

Danson Sports FC Limited

Legal and Administrative Information

Constitution

Danson Sports FC Limited is a company Limited by Guarantee and a Registered Charity governed by its Memorandum and Articles of Association. Company Number 7953782. Charity Number 1151635.

Directors and Trustees

The Directors of the Charitable Company (“The Charity”) are its Trustees for the purpose of Charity Law.

Directors/Trustees Mr Stephen Wicks (Chairman)
Mr David Kelly (Vice-Chair)
Mr Ronald Box
Mrs Toni Hooton (Treasurer)
Mrs Barbara Box
Mrs Lorraine Rayner (Welfare Officer)
Mr Stephen Rayner (Secretary)
Secretary Mr Stephen Rayner
Registered Office Mayplace Sports Ground
Perry Street
Kent
DA1 4RB
Bankers Barclays Bank PLC
6 Market Place
Bexleyheath
Kent
DA6 7DY

1

Danson Sports FC Limited Directors/Trustees Reports For the Accounting Period ending 30[th] April 2021

The Directors/Trustees present their Report and Accounts of the Company for the year ended 30[th] April 2021. The Members have adopted the provisions of the Charities Act 2006, the Companies Act 2006, the Statement of Recommended Practice Accounting and Reporting by Charities (SORP 2005) and the Charities accounts and reports regulations 2008 in preparing the Annual Report and Financial Statements of the Charity. The information set out on page 1 forms part of this Report.

Governing Document

Danson Sports FC Limited was incorporated on the 17[th] February 2012 under the Companies Act 2006 as a Private Company Limited by Guarantee. On the 12[th] April 2013 Danson Sports FC Limited obtained Charity Status. The Company’s Memorandum of Association establishes the objects and powers of the Charity and it is governed under its Articles of Association.

Appointments of Directors/Trustees

A new Director/Trustee may be appointed by a majority of the existing Directors/Trustees.

Directors/Trustees

The following persons served as Directors/Trustees during the Accounting Period to 30[th] April 2021 Mr David Kelly Mr Ronald Box Mrs Toni Hooton Mrs Barbara Box Mrs Lorraine Rayner Mr Stephen Rayner Mr Stephen Wicks

Objects of the Charity

The Directors/Trustees have in setting the objectives and planning the activities given full consideration to the Charity Commissions guidance on Public Benefit.

The Charity’s objective is to provide affordable sports and recreational facilities to the local communities and to provide those who come from deprived backgrounds the same opportunities.

Structure

The Board (Trustees/Directors) is currently made up of 7 members who meet on a quarterly basis to discuss and minute the strategies, policies and general direction of the Charity. The Board also uses this time to discuss, minute and review finances and other related business matters that may arise.

Statement of the Directors/Trustees Responsibilities

The Directors/Trustees are responsible for the preparation of the accounts. They consider that an audit is not required for the accounting period ended 30[th] April 2021 in accordance with section 144(2) of the Charities Act 2011 and with section 476 of the Companies Act 2006. The Directors/Trustees acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.

Small Company Provisions

This report has been prepared in accordance with the provisions in part 15 of the Companies Act 2006 applicable to companies’ subject to the small companies’ regime.

This Report was approved by the board on 4[th] February 2022.

Stephen Rayner Director/ Trustee (Secretary)

2

Danson Sports FC Limited Approval statement For the Accounting Period ending 30[th] April 2021

We approve these accounts which comprise of a Receipt and Payment Account, Balance Sheet and the related notes. We acknowledge our responsibility for the accounts, including the appropriateness of the accounting basis as set out in note 1, and for providing all the information and explanations necessary for their compilation.

These Accounts were approved by the board on 4[th] February 2022.

Stephen Rayner Director/Trustee (Secretary)

Treasurers’ report on the unaudited accounts to Danson Sports Football Club

You have approved the Accounts for the year ended 30[th] April 2021 which comprise of a receipts and payments Account, Balance Sheet and related notes. In accordance with your instructions, I have compiled these unaudited accounts from the accounting records, information and explanations the club have recorded from 1[st] May 2020 – 30[th] April 2021.

This Report was approved by the board on 4[th] February 2022.

Toni Hooton Director/Trustee (Treasurer)

David Kelly Director/Trustee (Vice Chair)

3

Danson Sports FC Limited Income and Expenditure Account For the period from 1[st] May 2020 to 30[th] April 2021

Notes 2021 2020
£ £
Income 2 303,827 412,488
Expenditure (353,922) (401,044)
Net Income (50,095) 11,444
Net Income on Ordinary Activities before Taxation (50,095) 11,444
Tax on Profit on Ordinary Activities 3 - -
Retained Net Income for the Period (50,095) 11,444

4

Danson Sports FC Limited Balance Sheet As at 30[th] April 2021

Notes
£
Fixed Assets
Tangible fixed Assets
4
Current Assets
Debtors
Stock
5
5
0
6,245
Cash in bank and in hand
10
78,239
84,484
Creditors: Amounts
falling due within one
year
6
(14,905)
Net current assets
Total assets less current
liabilities

Creditors: Amounts
falling due after more
than one year
7

Net Assets
Capital and reserves
Accumulated Fund
8

Accumulated funds

2021
£
£
86,498
86,498
0
4,419
53,682
58,101
(15,187)
69,579
156,077
(63,539)
92,538
114,449
(50,095)
64,354
2020
£
86,710
86,710
42,913
129,623
(15,174)
114,449
103,005
11,444
114,449

5

Danson Sports FC Limited Notes to the Accounts For the period from 1[st] May 2020 to 30[th] April 2021

1. Accounting Policies

Basis of preparation

The accounts have been prepared under the historical cost convention and in accordance with the Financial Reporting Standard for Smaller Entities (effective April 2008) on the basis of the receipts and payments recorded in the clubs accounting records during the accounting period 1[st] May 2020 – 30[th] April 2021.

Income

Income is represented by the value of all monies received for the period for services to members including donations, sponsorship and income from other activities.

Depreciation

Depreciation has been provided at the following rates in order to write off the assets over their estimated useful lives.

Fixtures and Equipment 25% Reducing Balance Football Equipment 25% Reducing Balance

Long Term Lease

Legal cost incurred for the period up to to 30[th ] April 2014 was £5,620 in regard to the company’s 25 year lease; this amount is depreciated over the course of the lease by £235 per year.

2. Income

. Income
Sponsorship, Donations & Fundraising
Catering Sales
Facility Hire
Other Income
Credits
Revenue Grant
Membership Income*
2021
£
8,363
24,108
10,524
-
-
88,161
172,672
303,828
2020
£
32,563
76,630
41,167
80
-
40,066
221,983
412,88

3. Taxation

The Directors/Trustees are of the opinion that the company/charity is a non-profit-making organisation. No UK Corporation Tax Liability will arise on the company’s retained net income for the period.

6

Danson Sports FC Limited Notes to the Accounts - For the period from 1[st] May 2020 to 30[th] April 2021

4. Tangible Fixed assets

Land and Buildings Fixtures and Equipment Football Land and Buildings Fixtures and Equipment Football Land and Buildings Fixtures and Equipment Football Equipment Total
£ £ £ £
Cost
At 1st March 2013 930 2,963 580 4,473
Additions 4,690 4,160 756 9,606
Disposals 0 0 0 0
At 30th April 2014 5,620 7,123 1,336 14,079
Additions 0 0 0 0
Disposals 0 0 0 0
At 30th April 2015 5,620 7,123 1,336 14,079
Additions 0 0 4,959 4,959
Disposals 0 0 0 0
At 30th April 2016 5,620 7,123 6,295 19,038
Additions 35,000 0 4,571 39,571
Disposals 0 0 0 0
At 30th April 2017 40,620 7,123 10,866 58,609
Additions 0 13,033 0 13,033
Disposals 0 0 0 0
At 30th April 2018 40,620 20,156 10,866 71,642
Additions 0 23,916 0 23,916
Disposals 0 0 0 0
At 30th April 2019 40,620 44,072 10,866 95,558
Additions 19,788 3,420 0 23,208
Disposals 0 0 0 0
At 30th April 2020 60,408 47,492 10,866 118,766
Additions 0 6,00 3,300 9,300
Disposals 0 0 0 0
At 30th April 2021 60,408 53,492 14,166 128,066
Depreciation At 1st March 2013 0 741 145 886
Charge for the Period 235 1,595 298 2,128
At 30th April 2014 235 2,336 443 3,014
Charge for the Period 235 1,197 223 1,655
At 30th April 2015 470 3,533 666 4,669
Charge for the Period 235 898 167 1,300
At 30th April 2016 705 4,430 834 5,969
Charge for the Period 235 673 1,365 2,273
At 30th April 2017 940 5,103 2,199 8,242
Charge for the Period 1,985 505 2,167 4,657
At 30th April 2018 2,925 5,608 4,366 12,899
Charge for the Period 1,985 3,637 1,625 7,247
At 30th April 2019 4,910 9,245 5,991 20,146
Charge for the Period 1,985 8,707 1,219 11,911
At 30th April 2020 6,895 17,952 7,209 32,057
Charge for the Period 3,222 4,488 1,802 9,512
At 30th April 2021 10,117 22,440 9,011 41,569
Net book value At 30thApril 2014 5,385 4,787 893 11,065
At 30thApril 2015 5,150 3,590 670 9,410
At 30thApril 2016 4,915 2,693 5,461 13,069
At 30thApril 2017 39,680 2,020 8,667 50,366
At 30thApril 2018 37,695 14,548 6,500 58,743
At 30thApril 2019 35,710 34,827 4,875 75,412
At 30thApril 2020 53,513 29,540 3,656 86,710
At 30thApril 2021 50,291 31,052 5,154 86,498
5. Debtors
Other Debtors
Stock
6. Creditors: Amounts falling due within one year
Loans from Directors
VAT Account
Finance Agreement
Other Creditors
7. Creditors: Amounts falling due after one year
Finance Agreement
Other Creditors
8. Accumulated Fund
Net Income for the period
2021
£
-
6,245
6,245
2021
£
-
-
9,289
5,616
14,905
2021
£
13,094
50,445
63,539
2021
£
(50,095)
2020
£
-
4,419
4,419
2020
£
-
-
12,825
2,362
15,187
2020
£
15,174
-
15,174
2020
£
11,444

9. Balance sheet events

The Company entered into a long lease of 25 years with the London Borough of Bexley in respect of Land and Buildings known as Mayplace Sports Ground, Perry Street, Crayford, Kent on the 15[th] June 2013 at an annual rent of £10,000, The rent was reviewed in 2018 under the terms of the lease and the annual rent is currently £11,274.

10. 3G Sinking Fund

The Company is obliged to maintain a sinking fund at a rate of £25,000pa, commencing June 2017, for the future repair/replacement of the 3g facility.

During 2017-18 £801.09 was applied to the
replacement of damaged fencing at the 3g
compound
During 2018-19 £8350.80 was applied to the re-
crumbing of the carpet
During 2019-20 the fund was not fully topped up
due to income curtailed by C19 enforced closure
During 2020-21 the fund was not fully topped up
due to C19 closures over a high amount of this
period with income severely affected
In Out Total Bal
25,000 (801) 24,199
25,000 (8,351) 16,649 40,848
10,000 (0) 10,000 50,848
8,034 (1,734) 6,300 57,148

8

Danson Sports FC Limited Detailed Profit and Loss account For the period from 1[st] May 2020 to 30[th] April 2021

2021 2020
£ £
Income 303,827 412,488
Playing Expenses (103,091) (171,635)
General Administrative Expenses (353,922) (229,409)
Retained Income for the Period (50,095) 11,444
See page 10 for further details

9

Danson Sports FC Limited Detailed Profit & Loss Account For the period from 1[st] May 2020 to 30[th] April 2021

Income
Sponsorship, Donations & Fundraising
Catering Sales
Facility Hire
Other Income
Credits
Revenue Grant
Membership Income
Playing Expenses
Vehicle, Travel and subsistence
Catering and Presentations
Coaching Fees
Kit and Equipment
Facilities & Pitch Hire
FA & League Fees, Costs & Fines
Depreciation
Referee/Officials Fees
General Expenses*
Stationary & Printing
Bank Charges& Interest
Repairs & Maintenance of Equipment & Facilities
Sundry Expenses
Donations
Accountancy & Legal Fees
Computer & Office Expenses
Club Utilities
Stock Lost (Due to Covid 19)
Rent & Rates
Insurance
Staff Related Costs
2021
£
8,363
24,108
10,524
-
-
88,161

172,672
303,828
-
20,063
1,905
61,307
-
2,819
9,512
7,485
103,091
630
5,615
63,867
-
-
4,814
4,619
11,689
6,245
12,032
3,454
137,866
229,409
353,922
2020
£
32,563
76,630
41,167
80
-
40,066
221,983
412,488
-
69,311
5,730
47,843
-
18,731
11,911
18,109
171,635
3,071
1,665
70,689
-
-
-
196
16,771
5,260
17,082
3,594
111,082
229,409
401,044

10