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2023-12-31-accounts

Broughton Community Action

End of Year Financial Statements and Report

Year ending 31[st] December 2023

Page 1

REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 DECEMBER 2023

The Trustees present their report with the financial statements of the charity for the year ended 31 December 2023. The Trustees have adopted the provisions of the Statement of Recommended Practice (SORP) applicable to charities preparing their accounts in accordance with the Financial Reporting Standard for Smaller Entities (the FRSSE) (effective 1 January 2015).

REFERENCE AND ADMINISTRATIVE DETAILS

Name of the Charity and any other name by which a charity makes itself known Broughton Community Action operating as more[+] community coffee shop. Registered Charity number: 1153342

more[+ ]

36 Parton Road Aylesbury Buckinghamshire HP20 1NG

Charity Trustees

Susan Becker (Secretary) – Appointed 23 July 2013 Andrew Coleman (ex-officio) – Appointed 26 September 2022 Mark Harper (Chairman) – Appointed 23 July 2013 Chris Medley (Treasurer) – Appointed 23 July 2013 David Thompson – Appointed 20 July 2015 Julia Wheeler – Appointed 23 July 2013 Rev. Phil White (ex-officio) – Appointed 23 July 2013

Independent Examiner

Agnieszka Białostocka, MAAT 11 Chaplin Grove Crownhill Milton Keynes MK8 0DQ

STRUCTURE, GOVERNANCE AND MANAGEMENT

Governing document

The charity is established as a Charitable Incorporated Organisation under a constitution adopted on 12[th] August 2013. The Trustees are responsible for the management and administration of the charity. The day-to-day running of the charity is delegated to a Charity Administrator, who is an employee of the charity, and our volunteer shift leaders.

Organisational Structure

Broughton Community Action was established by Broughton Church which is a parish within the Anglican Diocese of Oxford. Trustees include the Vicar and both Churchwardens who are ex-officio by virtue of their position within the church. One Churchwarden has chosen not to take up their position as Trustee. There must be not less than two nor more than six appointed Trustees. At least two of the appointed Trustees must be members of the Parochial Church Council. During 2023 there was one part-time Administrator and a cleaner who comes in after hours on days the café is open.

Page 2

Recruitment and Appointment of new Charity Trustees

Under the constitution new members are appointed to fill vacancies by the Trustees. Induction of new members to the work of the charity is carried out by the Chairman, Charity Administrator, and other Trustees as appropriate.

Risk Management

The Trustees have a duty to identify and review the risks to which the charity is exposed and to ensure appropriate controls are in place to provide reasonable assurance against these risks.

Currently we have a practical approach to Risk Management so that, in the event of a major event, the charity could continue to operate in accordance with the charity’s objectives.

The charity has robust procedures in place to ensure we observe best practice in relation to Health and Safety with particular emphasis on food hygiene and currently have a 5-star rating following an inspection by Environmental Health. We also have in place procedures to minimise the risk of major fraud or error and regularly review further risks including financial, operations, safeguarding, data protection and environmental risks.

The Trustees have paid due regard to the Charity Commission guidance on public benefit issued 14[th] February 2014.

OBJECTIVES AND ACTIVITIES

The constitution specifies that the objectives of the charity are:

  1. To benefit the residents of Broughton, Aylesbury and the surrounding neighbourhood and to provide facilities for individuals who have need of such facilities by reason of their youth, age, infirmity or disablement, financial hardship or social and economic circumstances or for the public at large without distinction of sex, sexual orientation, race or of political, religious or other opinions in the interests of social welfare and with the objective of improving the quality of life for the residents.

  2. To advance the Christian faith amongst the people of Broughton, Aylesbury and the surrounding area.

Charitable activities

The café remains an important venue for local people to meet up. There is a dedicated team of volunteers and shift leaders who work very hard to provide a safe, welcoming atmosphere and excellent service. Visitors to the café continue to comment on the friendliness of staff and their willingness to take time to listen.

The Trustees of Broughton Community Action are very grateful to the team of volunteers for their work in ensuring the charity has continued to operate successfully and also expand the activities. We particularly thank Roger and Jo Gilbert and the volunteers who moved on during the year, after working so hard to help establish the place of the charity in the community, and we welcome the many new people who have joined us. In particular, Matt Drysdale who joined us as a volunteer and then took on the role of Administrator when Roger and Jo Gilbert moved on from Aylesbury.

The Trussel Trust Foodbank continues to operate out of more+ on Wednesdays with a steady stream of customers. Knit and Natter has been a regular fixture on Friday afternoons.

Page 3

One success story is our partnering with the Probation Service to help and give opportunity for offenders to give back to the community and have a fresh start. This has worked well, and people placed with us have continued volunteering once they complete their time with us.

Throughout the year our activities included regular prayer meetings, knit and natter on Friday afternoons, board games, and gatherings of friends for coffee and bacon rolls. We hosted Christingle and Christmas services. Here’s what our customers say:

… more[+] café is just what is needed in this area; especially good place for people with mobility problems as not far to walk; always a warm welcome from staff and customers; it’s good for people who are lonely or live alone; always someone to chat to; … if I am feeling down, my spirits lift after I have been to the café.

FINANCIAL REVIEW

Overview

This tenth year of operation has again been challenging for Trustees and volunteers.

Following Roger and Jo’s decision to leave Aylesbury we found it difficult to recruit sufficient volunteers to cover all the hours we would like. This resulted in the café having fewer opening hours than in the previous year. The Trustees have been exploring ways to increase the use of our premises and extend the times we can open. There has also been a need to invest in the premises. This included purchasing some new equipment and replacing worn out furniture.

The Trustees are also grateful for the generosity of individual donors who made generous personal donations and to the Secretary, Susan Becker, for her efforts in identifying sources of funding and compiling the grant applications. We particularly acknowledge and thank the members of Broughton Church for their support.

Reserves policy

During the year covered by this report the charity spent some of our cash reserves but is still holding sufficient reserves to fund our normal operations. In 2024 we will need to ensure we raise additional funds to ensure long term viability.

The lease requires us to pay rent in advance every three months. In addition, the Landlord holds a deposit equivalent to 6 months’ rent. The Rent Deposit money is not available to the charity and is therefore identified in the accounts as a separate restricted fund.

To minimise the risk the Trustees believe it is essential to maintain sufficient cash reserves to guarantee a minimum of 3 months’ salary costs and fund the quarterly rent payments.

Future plans

The lease for our premises is due for renewal in 2024. We very much hope to negotiate a new lease with the Landlord. Initial discussions have been very promising.

In 2024 we plan to open on Saturday mornings once a month. This will give an opportunity for people who are working during the week to both visit the café or volunteer to help.

In line with the Trustees’ priorities the current focus is less on income generation from the café and much more on being a community hub in line with the charitable objects. In 2024 we will be exploring how best to serve the community with renewed energy and optimism.

Page 4

Statement of Financial Activities

Unrestricted
Restricted
Endowment
Total
Prior year
funds
funds
funds
funds
total funds
Income and endowments from:
Donations and legacies
Income from charitable activities
Other trading activities
Investments
Other income
Total income
Expenditure on:
Raising funds
Expenditure on charitable activities
Other expenditure
Total expenditure
Gains / losses on investment assets
Net income / (expenditure) resources before
transfer
Transfers
Gross transfers between funds - in
Gross transfers between funds - out
Other recognised gains / losses
Gains on revaluation, fixed assets, charity's own use
Net movement in funds
Total funds brought forward
Total funds carried forward
Represented by
Unrestricted
General fund
Restricted
Rent Deposit
12,747


12,747
20,756
17,334


17,334
16,731
599


599
1,009
262


262
84
282


282
31,226


31,226
38,582
5


5
487
42,546


42,546
42,509
582


582
959
43,134


43,134
43,956




(11,907)


(11,907)
(5,374)














(11,907)


(11,907)
(5,374)
26,975
6,250

33,225
38,600
15,067
6,250

21,317
33,225
15,067


15,067
26,975

6,250

6,250
6,250

Page 5

Balance sheet

Total funds
Prior year funds
Fixed assets
Tangible assets
Current assets
Debtors
Cash at bank and in hand
Liabilities
Creditors: Amounts falling due in one year
Net current assets less current liabilities
Total assets less current liabilities
Total net assets less liabilities
Represented by
Unrestricted
General fund
Restricted
Rent Deposit
Funds of the church
4,012
2,894
4,012
2,894
9,723
8,777
7,906
22,363
17,629
31,140
324
810
324
810
17,305
30,330
21,317
33,225
21,317
33,225
15,067
26,975
6,250
6,250
21,317
33,225

Statement of assets and liabilities

General Designated
Restricted Endowment
This year
Last year
Fixed assets - Tangible assets
Furniture, Fixtures and Fittings -
Computers and IT -
Totals
Current assets - Cash at bank and in hand
CafCash Current Account -
CafGold Reserves Account -
Petty Cash -
Totals
Current assets - Debtors
Rent Deposit Account -
Electricity Account -
Accounts Receivable -
Rent Deposit -
Totals
Liabilities - Creditors: Amounts falling due in
one year
Accounts Payable -
Totals
Grand total
3,775



3,775
2,579
236



236
315
4,012



4,012
2,894
1,493



1,493
2,015
6,064



6,064
20,044
349



349
304
7,906



7,906
22,363
26



26
26





(649)
3,446



3,446
3,150


6,250

6,250
6,250
3,473

6,250

9,723
8,777
324



324
810
324



324
810
15,067

6,250

21,317
33,225

Page 6

Analysis of income and expenditure

Total
Unrestricted Designated
Restricted
Endowment
This year
Last year
INCOME AND ENDOWMENTS
Donations and legacies
0101 - Gift Aided Giving - Bank
852



852
852
0110 - Gift Aided Giving - Cash






0201 - Other planned giving
100



100
240
0301 - Donations (Other)
157



157
611
0310 - Cash Donations (Café)
438



438
767
0501 - One-off Donations (Gift Aided)






0601 - Tax recoverable on Gift Aid
202



202
405
0801 - Regular Grants (Charities)
10,200



10,200
9,450
0811 - One-off grants (Charities)
248



248
2,708
0821 - Other Grants
548



548
5,722
Total
12,747



12,747
20,756
Income from charitable activities
0510 - Regular Activities
798



798
399
1220 - Till receipts - Café income
16,535



16,535
16,332
Total
17,334



17,334
16,731
Other trading activities
0550 - Fundraising Events





324
1225 - Till receipts - Fundraising
559



559
679
1226 - Till receipts - MORE+ Eco





5
1230 - Advertising income






1240 - Lettings - fund raising
40



40

Total
599



599
1,009
Investments
1020 - Bank interest
262



262
84
Total
262



262
84
Other income
0901 - Other income
282



282

1250 - Sales of fixed assets






Total
282



282
Total
Unrestricted Designated
Restricted
Endowment
This year
Last year
INCOME AND ENDOWMENTS
Donations and legacies
0101 - Gift Aided Giving - Bank
852



852
852
0110 - Gift Aided Giving - Cash






0201 - Other planned giving
100



100
240
0301 - Donations (Other)
157



157
611
0310 - Cash Donations (Café)
438



438
767
0501 - One-off Donations (Gift Aided)






0601 - Tax recoverable on Gift Aid
202



202
405
0801 - Regular Grants (Charities)
10,200



10,200
9,450
0811 - One-off grants (Charities)
248



248
2,708
0821 - Other Grants
548



548
5,722
Total
12,747



12,747
20,756
Income from charitable activities
0510 - Regular Activities
798



798
399
1220 - Till receipts - Café income
16,535



16,535
16,332
Total
17,334



17,334
16,731
Other trading activities
0550 - Fundraising Events





324
1225 - Till receipts - Fundraising
559



559
679
1226 - Till receipts - MORE+ Eco





5
1230 - Advertising income






1240 - Lettings - fund raising
40



40

Total
599



599
1,009
Investments
1020 - Bank interest
262



262
84
Total
262



262
84
Other income
0901 - Other income
282



282

1250 - Sales of fixed assets






Total
282



282
17,334



17,334
16,731





324
559



559
679





5






40



40
599



599
1,009
262



262
84
262



262
84
282



282






282



282
INCOME TOTAL 31,226



31,226
38,582

Page 7

EXPENDITURE

Unrestricted Designated
Raising funds
2610 - Cost of goods sold
(Fundraising)
5

2630 - Fundraising events


Total
5

Expenditure on charitable activities
2000 - Staff costs - Salaries
11,703

2010 - Staff costs - Pensions


2020 - Staff costs - PAYE and NIC
2

2100 - Staff costs - Expenses


2110 - Staff costs - Training


2300 - Rent
13,350

2310 - Landlord Service Charges
610

2320 - Accounting and payroll
303

2330 - Legal and Professional Fees


2340 - Licenses
686

2350 - Business rates


2360 - Insurance
1,621

2370 - Bank charges
315

2500 - Printing and Promotion
1,187

2501 - Website costs
18

2510 - Fire, Health and Safety,
Compliance
536

2520 - Cleaning
191

2530 - Utilities - electricity
2,136

2540 - Utilities - telecoms
492

2550 - Utilities - water
339

2560 - Utilities - Refuse and recycling
564

2600 - Cost of goods sold (Primary
Purpose)
5,811

2620 - Sundries
1,051

2700 - Examination/audit fees
100

2820 - Repairs


2830 - Decoration
109

2840 - Maintenance and Servicing
341

2850 - Fixtures and Fittings, etc.


2860 - Equipment
1,073

Total
42,546

Other expenditure
2200 - Staff costs - Other
84

2810 - Depreciation
498

Total
582
Unrestricted Designated Restricted Endowment Total

This year
Last year
5


487

5






























































5
487
11,703
11,470

65
2
315



185
13,350
13,391
610
1,012
303
449


686
606


1,621
1,558
315
339
1,187
240
18

536
63
191
58
2,136
2,646
492
488
339
226
564
377
5,811
5,814
1,051
569
100
100


109
131
341
1,327

500
1,073
570
42,546

84

498




42,546
42,509
84
573
498
386
582
582
959
EXPENDITURE TOTAL 43,134
43,134
43,956
GRAND TOTAL (11,907)
(11,907)
(5,374)

Page 8

Notes to the Accounts

1. Trading Income

Primary purpose trading is trading which a charity carries out in fulfilment of its charitable objects as stated in the charity's governing document. This would include the sale of hot drinks, cakes, and light meals as part of our aim to provide facilities and a meeting place for local residents. Ancillary trading is defined as that which is in some way complementary to a charity’s primary purposes, although it does not directly further a primary purpose. In these accounts both primary purpose trading and ancillary trading are aggregated under 1220 - Till receipts - Cafe income.

Non-primary purpose trading is trading which is intended simply to raise funds for the charity. This would include sales of products unrelated to the charitable objectives such as second-hand books or commission on the sales of art and crafts displayed on the premises. These sales are shown separately in the accounts.

See https://www.gov.uk/charities-and-trading for further details.

2. Accounting Policies

Basis of accounting

The financial statements have been prepared under the historical cost convention and in accordance with applicable United Kingdom accounting standards, the Statement of Recommended Practice (SORP) applicable to charities preparing their accounts in accordance with the Financial Reporting Standard for Smaller Entities (the FRSSE) (effective 1 January 2015).

Incoming resources

All incoming resources are included on the Statement of Financial Activity when the charity is legally entitled to the income and the amount can be quantified with reasonable accuracy.

Fund accounting

Unrestricted funds can be used in accordance with the charitable objective at the discretion of the Trustees. Restricted funds can only be used for particular restricted purposes within the objects of the charity. Restrictions arise when specified by the donor or when funds are raised for particular restricted purposes.

Resources used

Expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all costs related to the category. Where costs cannot be directly attributed to particular headings, they have been allocated to activities on a basis consistent with the use of resources.

Fixed Assets

All fixed assets are capitalised if they can be used for more than one year, and cost at least £500. They are initially recorded at cost. Where cost is not available, the Trustees may provide a reasonable estimate of cost or of the current value to the charity. Provision is made for depreciation where appropriate.

Restricted Current Assets

The Rent Deposit is a restricted fund held by the Landlord and is not repayable until surrender of the lease. It is therefore not available to the Trustees and is shown separately in these accounts.

Depreciation

Depreciation is calculated so as to write-off the cost of an asset, less its estimated residual value, over the useful economic life of that asset.

Page 9

Independent Examiner’s Report

Report to the Trustees of Broughton Community Action, Aylesbury, Charity Number 1153342.

I report to the Trustees on my examination of the accounts of the above charity (“the Charity”) for the year ended 31[st] December 2023 set out on pages 5-8 of this document.

Responsibilities and basis of report

As the charity's Trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).

I report in respect of my examination of the Charity’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent Examiner’s Statement

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination which gives me cause to believe that in, any material respect:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Name and Address

Agnieszka Białostocka, MAAT 11 Chaplin Grove Crownhill Milton Keynes MK8 0DQ

Signed ………………………………………………

28/03/2024 Date …………………………………………………

Page 10