

## **Trustees’ Annual Report for the period** 

**From 01/04/2020 Period start date   To 31/03/2021                             Period end date** 

## **Charity name:Highcroft Community Centre CIO** 

## **Charity registration number: 1153987** 

## **Objectives and Activities** 


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SORP reference<br>Summary of the purposes Para 1.17 To provide the space and resources for<br>of the charity as set out  a<br>in its governing  number of groups to provide a range of<br>document activities to promote the benefit of the<br>inhabitants of Stockland Green and the<br>surrounding area. This is to be carried<br>out  without distinction of sex, sexual<br>orientation,  race or politics, religious or<br>other opinions,  by associating together<br>the said inhabitants  and the local<br>authorities, voluntary and other<br>organisations in a common effort to<br>improve  facilities and service provision<br>in the  interests of social welfare,<br>community cohesion and improving<br>conditions and life  chances for local<br>residents.<br>Summary of the main  Para 1.17 and  There are a number of groups that<br>1.19<br>activities in relation to  currently  use the centre who offer a<br>those purposes for the  range of activities  for all ages and<br>public benefit, in  abilities. Some are physical  activities<br>particular, the activities,  such as exercise classes, and  cricket<br>projects or services  and martial arts groups, which in the<br>identified in the  main, will  contribute to the health and<br>accounts. well-being of the  participants, and<br>others contribute to building  social<br>cohesion.<br>Statement confirming  Para 1.18 As a range of groups use the centre, and<br>whether the trustees  the<br>have had regard to the  Centre welcomes and encourages<br>guidance issued by the  residents from all  backgrounds to join in<br>the activities offered  at the Centre, the<br>Charity Commission on<br>public benefit Trustees feel that the  centre’s aims are<br>met and that due regard  has been given<br>to the guidance issued by<br>the Charity Commission on public benefit.<br>**----- End of picture text -----**<br>


## **Additional information (optional)** 



## You may choose to include further statements where relevant about: 


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SORP reference<br>Highcroft Community Centre does not<br>make  grants so does not hold a policy on<br>Para 1.38<br>Policy on grant making this<br>Highcroft is not in a position to explore<br>social  investment at this time so we do<br>Para 1.38<br>Policy on social  not hold a  policy on this<br>investment including<br>program related<br>investment<br>The Trustees of Highcroft Community<br>Centre<br>Para 1.38<br>Contribution made by  are the charity trustees and volunteers<br>volunteers and are responsible  for the<br>management of the centre.<br>Which can include litter picking,<br>gardening and  opening and closing the<br>centre . Without the volunteers it is un<br>likely the centre would survive in its<br>current form.<br>Highcroft Community Centre is an<br>Other organisation that recognises and<br>welcomes diversity and are committed<br>to providing an  environment that is<br>free from any form of  discrimination<br>on any of the protected characteristics<br>set out in the Equality Act 2010<br>Although the centre has carried<br>out<br>adjustments to meet the needs of<br>residents  who are or become<br>disabled, we are willing  to make<br>further adjustments if the need<br>arises.<br>The Centre is committed to<br>safeguarding  and promoting<br>the welfare of users of the<br>Centre and all groups and<br>volunteers are  expected to<br>share this commitment.<br>**----- End of picture text -----**<br>


## **Achievements and Performance** 

SORP reference 



||Summary of the main<br>achievements of the<br>charity, identifying the<br>diference the charity’s<br>work has made to the<br>circumstances of its<br>benefciaries and any<br>wider benefts to society<br>as a whole.|Para 1.20|Highcroft Community Centre has been<br>able to provide space and resources to<br>groups to provide opportunities for<br>many residents in Stockland Green<br>which would not be available if not for<br>the existence of the centre in the local<br>area..<br>The groups who use Highcroft<br>Community Centre have had good<br>attendance  however  the  lockdown  in<br>March 2020 and subsequent lockdowns<br>throughout 2020 and 2021 have<br>impacted attendance and activities, as<br>the  centre  was  forced  to  close  for<br>various periods<br>However activities include-<br>- exercise classes for more mature<br>persons and martial art classes for<br>young people<br>- Cricket this activity attracts people of<br>all  ages  in  the  local  area  particularly<br>those of south asian heritage.<br>The team provides free coaching<br>sessions for young people, not available<br>locally  and  has  ambitions  to  set  up  a<br>girls team.<br>All  these  activities  contributes  to  the<br>health and well-being of the participants<br>and builds confdence and a chance to<br>meet  with  like-minded  people.  These<br>groups also enable people to meet and<br>make  new  friends  in  a  friendly  open<br>environment. All of this will help to make<br>a  diference  in  people’s  lives  and  the<br>wider community.<br>However there is still capacity during the<br>week  to  attract more usage of  the<br>Centre and hence increase our income.||
|---|---|---|---|---|



## **Additional information (optional)** 

## You may choose to include further statements where relevant about: 

**A** ll of the objectives have been met in that groups offer a range of activities for all Achievements against Para 1.41 residents of Stockland Green without distinction of sex, sexual orientation, race objectives set or politics, religious or other opinions. Other organisations have been involved with the Community Centre to improve facilities and service provision in the interests of social welfare, community cohesion and improving conditions and life chances for local residents. Room hire fees have been affected by the pandemic but there has been an increase Performance of on this since last year.  No additional fund 




**----- Start of picture text -----**<br>
fundraising activities  Para 1.41 raising activities have occurred due to the<br>against objectives set uncertainty and a  lack of opportunities<br>during the pandemic<br>Highcroft does not have a direct<br>investment strategy , so are unable to<br>Investment performance  Para 1.41 submit evidence<br>against objectives<br>In spite of the lock down – the bar renters<br>Other decided to come back and reopen the bar<br>in spite of losses they incurred due to lock<br>down.<br>**----- End of picture text -----**<br>




## **Financial Review** 


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Review of the charity’s  Para 1.21 The Centre has managed to cover all costs<br>financial position at the  over the year and manage to make a<br>end of the period surplus. Any surluses will be utilised to<br>improve facilities at the Centre. There is a<br>schedule of work and improvement<br>required to keep the Centre as a<br>welcoming place to attend and to maintain<br>the safety of all who attend the Centre<br>Statement explaining the Para 1.22 Highcroft Community Centre has only one<br>policy for holding  or two major sources of income and these<br>reserves stating why they are not always guaranteed. Income is<br>are held generated through use of the space we<br>offer or through grant applications. With<br>uncertainty caused by the pandemic it is<br>especially prudent to ensure that there are<br>sufficient funds available to “tide” the<br>Centre over if existing sources of income<br>are lost hence having a policy for holding<br>reserves<br>Amount of reserves held Para 1.22 £26,546.00<br>Reasons for holding zero  Para 1.22 Highcroft Community centre does hold<br>reserves reserves-as above<br>Details of fund materially  Para 1.24 There are no funds in defecit.<br>in deficit<br>Explanation of any  Para 1.23 We have entered a partnering agreement<br>uncertainties about the  with the Pioneer Group during the past<br>charity continuing as a  year which provides assistance and<br>advice .<br>going concern<br>**----- End of picture text -----**<br>


**Additional information (optional)** You may choose to include further statements where relevant about: 


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Room hire and grant applications.<br>The charity’s principal<br>sources of funds  Para 1.47<br>(including any<br>fundraising)<br>Highcroft Community Centre does not have<br>an investment policy as it rarely has a<br>profit each year and any profit will be<br>Investment policy and<br>objectives including any  Para 1.46 reinvested in the Centre rather than<br>invested elsewhere.<br>social investment policy<br>adopted<br>Ageing volunteer base,<br>Lack of expertise in some areas.<br>A description of the  Para 1.46 Fund raising activities limited due to Covid<br>19<br>principal risks facing the<br>Partnership agreement failing or ending<br>charity<br>Other<br>**----- End of picture text -----**<br>




## **Structure, Governance and Management** 


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Description of charity’s<br>trusts:<br>Type of governing  Para 1.25 CIO Highcroft Community Centre is<br>document  governed by a constitution<br>(trust deed, royal charter)<br>How is the charity  Para 1.25 CIO<br>constituted?<br>(e.g unincorporated<br>association, CIO)<br>Trustee selection  Para 1.25 Trustees are usually recommended by<br>methods including details current trustees or advisors and are<br>of any constitutional  elected as per our constitution<br>provisions e.g. election to<br>post or name of any<br>person or body entitled<br>to appoint one or more<br>trustees<br>**----- End of picture text -----**<br>


## **Additional information (optional)** 

You may choose to include further statements where relevant about: 


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All new trustees are provided with a copy<br>of all our policies and procedures including<br>Policies and procedures  Health and Safety, Safeguarding Children<br>Para 1.51 and young people, and safeguarding<br>adopted for the induction<br>People at Risk, IT etc. Trustees attend a<br>and training of trustees<br>committee meeting prior to being accepted<br>to the Committee<br>Highcroft Community Centre is a traditional<br>Committee set up with Chair, Treasurer and<br>The charity’s  Secretary and Trustees all elected. We also<br>Para 1.51 have a partnering agreement with the<br>organisational structure<br>Pioneer Group<br>and any wider network<br>with which the charity<br>works<br>Partnering arrangement with the Pioneer<br>Group,<br>Relationship with any  Para 1.51 to support the creation of a stable and<br>viable community business, supporting the<br>related parties<br>local community and contributing to the<br>social, environmental and economic well-<br>being of Stockland Green<br>Other<br>**----- End of picture text -----**<br>


## **Reference and Administrative details** 


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Charity name Highcroft Community Centre<br>Other name the charity  N/A<br>uses<br>Registered charity  1153987<br>number<br>**----- End of picture text -----**<br>





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Charity’s principal  485 Slade Road<br>address Stockland Green<br>Birmingham<br>B23 7G<br>**----- End of picture text -----**<br>




**Names of the charity trustees who manage the charity** 

- **Dates acted if not for** 

- **Trustee name Office (if any) whole year** 

- 1 Frank Wootton Chair 2 Cheryl Dockery Secretary 3 Mr F Harris 4 Mrs J Chapman 5 Mr P Williams 6 Ms P Gouldingay 7 Mr N Nash Appointed 05/10/21 8 Mrs Jane Pscuik-Smith Resigned Jan 2021 9 Mr P Perkins Resigned 20/03/2021 

- 10 Mr R Vernalls Appointed 05/10/21 11 Mrs P Nash Appointed 05/10/21 12 Mrs R Vernalls Appointed 05/10/21 13 Ms k Thrupp Appointed 05/10/21 14 15 16 17 18 19 20 

Corporate trustees – names of the directors at the date the report was approved- **N/A** 

## **Director name** 

## Name of trustees holding title to property belonging to the charity- **N/A** 


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Trustee name Dates acted if not for whole<br>year<br>**----- End of picture text -----**<br>




## **Funds held as custodian trustees on behalf of others** 

Description of the assets N/A held in this capacity Name and objects of the N/A charity on whose behalf the assets are held and how this falls within the custodian charity’s objects Details of arrangements N/A for safe custody and segregation of such assets from the charity’s own assets 

## **Additional information (optional)** 

## **Names and addresses of advisers (Optional information)** 

## **Type of adviser** 

**Name** 

**Name of chief executive or names of senior staff members (Optional information)** 

## **Exemptions from disclosure** 

Reason for non-disclosure of key personnel details 

**N/A** 

## **Other optional information** 



## **Declarations** 

**The trustees declare that they have approved the trustees’ report above.** 

**Signed on behalf of the charity’s trustees** 

**Signature(s) Full name(s)** Cheryl Dockery **Position (eg Secretary, Chair, etc)** Secretary **Date** 26[th] January 2022 



Charlty Reglstratlon Number: 1153987
Highcroft
Community Centre ao
Unaudited
Finanaal Statements
for the year ended
31 March 2021

HIGHCROFf COMMUNtrY CEKfRE ao
The trustees present their rewrt along with the financial statements of the charity for the
year ended 31st March 2021. The Trustees have adopted the Provisions of the Charities
Statement of Recommended Practice (Financial Reporting Standard 102) -"Accountsng and
Reporting by Charities- effective from l* January 2015 in preparing the annual report and
financial ststements of the charity.
prtndpal Actlvlty
The provision of Community Centre facilities.
The management committee members vtho seTr￿d during the year and subsequently were
as follows:
Mr F Wootton
Chair
Ms C Dockery
Mr F Harris
Ms J Chapman
Mr A P Williams
Ms P C￿)Uld1ngaY
Mrs J Pscuik-smith
Resigned January 2021
Mr P Perknns
Re￿gned 20103121
Mr R Nash
Appointed 05110121
Mr R Vemalls
Appointed 05110121
Ms P Dance
Appointed 05110121
Ms K Thrupp
Appointed 05110121
IglTrLrofi iDTnlTllJnl&Y
-r*:.rÈ I IG

copfftpirs
Page
Organisation information
Rep)rt of the Management Committee
Independent Examinerfs Report
Ststement of Income and Expenditure
Balance Sheet
Notes to the finarKial Statements
9-12
For Management use only:
Detsiled Income and Expenditu￿ Account
13
Aidhirnrt CoiDnlLifiit* Cf.nf[p CIG p inanc 131

HIGHCROFf COMMUNITY CENTRE ao
Oryanisation inforniation
TRusfEES
Mr F Wootton (Chair)
Mr F Harrrs
Ms J Chapman
Mr A P Williams
Ms P Gouldingay
Mr R Nash
Mr R Vemall
Ms P Dance
Ms K Thrupp
SECREfARY
Ms C thxkery
REGISTERED OFFICE
Slade Road
Erdington
'rmingham
West Midlands
B23 7AU
CHARrrY REG NUMBER
1153987 (England and Wales)
BANKERS
Uoyds TSB PIC
207 High Street
Erdington
Birniingham
B23 6SZ
INDEPENDENT EXAMINER Adrian McKeown
LMH Accountants Ltd TIA Trevor Jones & Co
582 - 586 Kingsbury Road
Erdington
Bimiingham
B24 9ND
IL'-p.!I CL*Y)-,IL J.
PclgL'

REPORT TO THE MANAGEMENT COMMrrrEE
The financial statements have been prepared in accordan￿ with the accounting policies set
out in Note l and comply with the trust deed and applicable law.
Structure, Governano and Management
The charity was established by deed dated 16m September 2013, under charity number
1153987, and operates for public benefft. The prinopal office is Slade Road, Erdington,
Birmingham, West Midlands, B23 7AU.
The trustees held office throughout the year and to date. The power of appointing new or
additional trustees rests with the continuing trustees.
The charity has no stsff of its own. All deci￿OnS regarding the charFty are taken by the trustees
alone.
Periodically, the trustees idenbfy and review major risks. Where wactical andlor appropriate,
decisions are tsken to reduce or remove them.
The trustees are supported by a local organisation, which has significant experience in
developing community services arKI managing faalities.
Objectives and Future Plans
The Object as stated in the charity deed is to promote the benefit of the inhabitsnts of
Stockland Green and the surrounding area without disttnction of sex, sexual orientstion, race
or politics, religious or other opinions, by associating together the said inhabitsnts and the
local aLrthoribes, voluntsry and other organi5ation5 in a common efftirt to improve faolitie5
and service provision in the interests of social welfa￿, communlty coheslon, and improving
life conditions and life changes for local resldents.
Accordingly, the trustees have discretion over the use of the charivs funds.
The trustees deploy an income and Expenditure accounting system, reconciled with the bank
balance befo￿ each committee meeting. There are finanaal protocols in place which stipulate
that expenditure over £500 must have the authority of the tM)ard of trustees.
The trustees consider that the tnjsys achievements and perforniance meet the public benefit
requirements and the activities and performance are satisfattory.
Finanaal Review
The charity's resources increased by £26,546 in the year.
The unrestricted funds at 3151 March 2021 and 31st March 2020 were held as follows".
2021 (£)
2020 (£)
As at l Aprfl
Surplus for the year to 31 March
As at 31 March
14,424
26,546
40,970
6,952
7,472
14,424
Ighi. ofi Qi7Tn17'.' Ifi4lN. C."

During the year a continued higher level of investment was made in the Community centre,
which was required to generate more income over the longer tem, making the facility mo
sustainable.
Accounting and Reporting Responsibillties
The trustees are requi￿ under the Charities Act 2011 and the Statement of Recommended
Practice applicable to charities preparing their accounts in accordance with the Financial
Reporting Standard in the UK and Republic of ]￿land (FRS 102), to prepare financial
statements for each financial year which give a true and fair view of the charity's financial
artivities during the year and of its financial position at the end of the year. In preparing
financial ststements glving a true and fair wew, the tru5tee5 should follow best practice and".
Select Suitable accounting poliaes and then apply them consistenty.
Make judgments and estimates that are reasonable and prudent.
State whether applicable accounting stsndards and ststements of recommended practice
have been followed, subjett to any departures disdosed and explained in the financial
Statements, and
Prepare the financial ststements on the going con￿rn bass unless it is inappropriate to
presume that the charity will continue in operati(Jn.
The trustees are ￿￿nSible for keeping accounting records which disclose with reasonable
accuracy the financial position of the charrty, and which enable them to ascertain the financial
POSltion of the charity, and which enable them to ensure that the financial statements comply
with the Charities Art 2011, the Charity (Accounts and Reports) Regulations and the provisions
of the trust deed. The trustees are responsible for safeguarding the assets of the charity and
hence for taking reasonable steps for the prevention and detection of fraud and other
irregularities.
Approved by the trustees on £ g . l £Z
and signed on their behalf by:
Mr F Wootton
(Chaimian)
Ms C Dockery
(Secretsry)
2E.01 ZLJI
digfiirofi CiiiDm, Inily ."e*"re L IG
.nlPP,l% sj i,,

INDEPENDENT EXAMINER5 REPORT TO ThE TRusfEES OF
HIGHcR0￿ commuN￿y CEltrRE CIO
l ￿port to the Trustees on my examination of the financial statements of Hlghcroft
Community Centre CIO (the Charity) for the year ended 31 March 2021.
Responslbllltjes and basls of report
As the Trustees of the charity (and also tts directors for the purrM)ses of company law), you
are responsible for the preparation of the financial ststements in accordance with the
requirements of the Companies Art 2(K16 (the 2006 Act).
Having satisfied myself that the financial statements of the charity are not required to be
audited under Part 16 of the 2(yJ6 Act and are di9ible for independent examination, I report
in respect of my examination of the charivs financial statements carried out under section
145 of the Charities Act 2011 (the 2011 Act). In carying out my examination I have
followed all the applicable directions given by the Charity Commisgon under settion
145(5)(b) of the 2011 Act.
Independent examinerfs Statemert
I have completed my examination. I confinn that no matters have come to my attention in
connection with the examination giving me cause to believe that in any material respect:
l. Accounting records were not kept in respect of the tharity as required by section 386
of the 2006 Act, or
2. The financial statements do not accord with those records; or
3. The financial ststements do not comply with the accounting requirements of section
396 of the 2006 Art other than any reQUi￿rnent that the accounts give a true and
fair view which is not a matter considered as part of an independent examination: or
4. The financial statements have not been p￿pa￿ in accordance with the methods
and principles of the Statement of Recommended Practice for accounting and
rem)rting by charities applicable to charities preparing their accounts in accordan
with the Financial Reporting Stsndard applicable in the UK and Republic of I￿land
(FRS 102).
I have no con￿m5 and have come across no other matters in connectton the
examination to which attention should be drawn in this ￿port in order to enable a proper
understanding of the financial ststements to be reached.
LMH Accountsnts Ltd TIA Trevor Jones & Co
Old Bank Chamber5
582-586 King5bury Road
Erdington
Birmingham
B24 9ND
Dated ....................................
r*iElI, oli Ccmni.Jni&y
trnrtr￿ Cic, . IYén(l¢j ciaLf-IliS!nib il h,IRrcr,
021
i'aE£- 16

HIGHCROFf COMMUNrrY CENTRE ao
ststernent of Financial Activities (Incorpornting Income and Expendlture
Account) for the Year Ended 31 March 2021
2021
2020
Income
56,564
55,061
Cost of Incon
Net Income
56,564
55,061
Adm5nistrdtion Expenses
(30,018)
(47,589)
Other Operatlng Income
Opernting Surplusl(Deficit)
26,546
7,472
Interest Received from Bank Accounts
Surplusl(Defftit) on Ordinary Actlvltles
26,546
7,472
Surplusl(Deflat) of Income over
Expenditure
26,546
7,472
All of the above results are derived from continuing actrvibes. All gains and losses in the year
are included in the above. Al income and expenditure in bjth the cu￿ent and the prior year
related to unrestricted funds.
The notes on pages 9 to 11 fom part of these ￿nanCIal Statements.
HignL 'olI Commi Inii'l Ctriiift-.

HIGHCROFf COMMUNrrY CENTRE CIO
Balan￿ Sheet as at 31 Marth 2021
2021
2020
FIXED ASSEf5
Tangible assets
2,148
3,007
CURRENT ASSErs
Bank Accounts and Cash in Hand
38,728
9,304
Debtors and Prepayments
42,814
13,566
CURRENT UABILrriES
Creditors: Amounts Falling Due within
One Year
(3,992)
(2, 149)
Totsi Assets les5 Current Liabllitles
38,822
14,424
Totsl Net Assets
40,970
14,424
REPRESEltrED BY ACCUMULATED
FUNDS
Unrestricted Funds
40,970
14,424
These financial statements V￿re apwoved by the management committee on ......
and were signed on its behalf by:
Mr F Wootton
(Chairman)
Fh LU-44¢
Ms C Dockery
(Secretary)
2Eloi/204
The notes on page5 9 to 12 ft)rm part of these ￿nanaal Ststements.
ric

HIGHCROFf COMMUNrrY CENTrE CIO
Notes to the Flnanclal Statsments for the Year Ended 31 March 2021
I PRINCIPAL ACCOUNTING POLICIES
Basis of preparntion
The financial statements have been prepared in accordan￿ with the Statement of
Recommended Practice: Accounting and Reporting by Charities, applicable to charities
preparing their accounts in accordance with the Financial Reporting Standard applicable in the
UK and Republic of Ireland (FRS 102) and the Charities SORP (FRS 102). The Trust is a public
benefit entity, as defined in FRS 102, and applies the relevant paragraphs prefixed 'PBE' in
FRS 102. These finanaal statements have been prepared under the historic cost convention.
Cash flow exemption
A Statement of Cash Rows has not been PKKluced as the charity is within the small charity
thresholds.
Income
All income is recconised On￿ the charity has entitlement to the resources, it is probable that
the resources will be received and tre rn￿etrry value of income can be measured with
sufficient reliability.
Expenditure
All expenditure is accounted for on an accruals basis and is recognised whEn there 15 a legal
or constructive obligation to pay the expenditure. All costs have been directsy attributed to
one of the functional categories of expendtture in the Statements. The charity is not registered
for VAT and accordingly expenditure is shown gross of irrecoverable VAT.
Tanglble Fixed Assets
Tangible fixed assets are initially measured at cost and subsequenty measured as at cost or
valuation, net of depreciation.
Depreciation is recognized so as to write off the cost or valuation of assets less their residual
values over their usefvl lives on the following basis:
Fixtures and fittings - Straight line 25%
Funds
Unrestricted Funds comprise those funds whith the trustees are free to use in accordan
with the charitable objects.
rj-i.ro (io fin3nLral..taiempni. 31 Mirch 20LI

HIGHCROFf COMMUNrrY CENTRE CIO
Notss to the Financial Statements for the Year Ended 31 Marth 2021
Slgnlficant management Judgments and key sources of estlmatlon uncertalnty
The preparation of the financial statements requires management to make judgments,
estimates and assumptions that affect the application of policies and reported amounts of
assets and liabilities, income and expenses. The estimates and associated assumptions are
based on historical experience and various other factors that are believed to be reasonable
under the circumstsnces, the results of which form the basis of making the judgments about
carrying values of assets and liabil￿e5 that are not readily apparent from other sources. Actual
results may differ from these estimates. Estimates and underlying assumptions are reviewed
on an ongoing basis. Revisions to accounts'ng e5bmates a￿ recognised in the peric41 in which
the estimate is ￿vISed and in any future periods affected. There are no specific management
Judgments in applying the accounting policies of the charity that have a significant effect on
the amounts ￿OgnISed in the financial ststements.
The charity makes estimates and assumpb'ons Cc￿￿mIng the future. The resulting accounting
estimates will, by definition, seldom equal the related actual results. There are no estimates
and assumptions that have a significant risk of causing a material adjustment to the carying
amounts of assets and liabilities within the next finanoal year.
Golng concern and the Impact of the COVID-19 OUtbr￿k
The main income stream, rtsjm hire, ceased following the enforced lockdown in late March
2020. There was a limited, phased reopening of faalities from 4tn July to 4th November before
a second closure followed on P November 2020. These closures have had a detrimental effett
on the finances of the centre. However, successful grant applications totsling over £25
thousand wunds have b￿n received since March 2020 wthich should ensu￿ the short to
medium term financlal viabilty of the charity.
The trustees are of a Mew that there are suffiaent reserves to secure the immediate future of
the charity for the next 18 to 24 months and on that ba￿5 the charity is a going concem.
Flnandal Instruments
The Charity only has firkinaal assets and financial liabilities of a kind that qualFfy as basic
finanoal instruments. Basic financial instruments are initially recognised at transaction value
and subsequently measured at their settlement value. Financial assets measured at fair value
comprise cash and cash equivalents.
2. Income
2021 (£)
2020 (£)
Room Hire
Deferred Income released
Other Income
As at 31 Marth
4,014
33,168
52,550
56,564
21,893
55,061
r C"iJ F.,YJlif'.ul s1?terrL?Ylb 31 tklarcb )021

HIGHCROFf COMMUNrrY CENTRE CIO
Notss to the Hnandal Ststements for the Year Ended 31 March 2021
3. Independent examiner
2021 (£)
2020 (£)
Independent examinerfs remuneration
1,800
1,800
4. Tan9ible flxed assets
Fixtures
Flttings
Cost
At l April 2020
Additions
At 31 March 2021
3,437
3,437
Deprecla
At l April 2020
Depreciation charge for the year
At 31 March 2021
430
859
1,289
Girrying amount
At l April 2020
3,007
At 31 March 2021
2,148
S. Debtors: Amounts Pdlling due with one year
2021 (£)
2020 (£)
Trade debtofs
4,262
4,262
6. Creditors: Amunts falling due with one year
2021 (£)
2020 (£)
Accruals: Independent Examlnation and Accountancy
Other Creditors
1,800
349
2,192
7. Unre5trIrt￿ fvnds
2021 (£)
2020 (£)
As at l April
Surplus for the year to 31 March
Movement in Deferred Income
As at 31 March
14,424
26,546
6,952
7,472
40,970
14,424
.Y,lryi..al >IatL-ll￿ryt. 3 1 Lh ?02 1

HIGHCROFf COMMUNrrY CEKfRE ao
Notes to the Financial Statements for the Year Ended 31 March 2021
8. Stsff and a55(￿ated party transictions
There We￿ no staff employed by the charity in the year ended 31st March 2021 (2020: nil).
None of the trustees received any remuneration nor have they been reimbursed for any
expenses during this period or the prior period. There were no further ￿lated party
transactions noted in the year ended 31$ March 2021 or the prior year.
'l(-(11 >L 3 1 P.Id'. Lh 202 1

HIGHCROFf COMMUNrrY CENTRE ao
Statement of Financial Activitses (Incorporatlng Income and Expendlture
Account) for the Year Ended 31 March 2021
2021
2020
INCOME
Grants
Room hire
Donation
TOTAL INCOME
52,550
4,014
19,793
33,168
EXPENDrnIRE
ProiectlGrant Expenditure
5,060
Administration Expenses
General & Stats'onery
524
524
Prnmises Costs
Maintenance & Other Premises Costs
Rates
Utilities
Insurance
Cleaning
Security & Caretsking
Depreciation
4,387
4,578
1,474
12,297
1,411
349
17,728
430
10,443
1,622
1,744
859
26,599
38,267
General Administration Expenses
Telephone & Intemet
Sundry C051s
1,069
150
1,434
1.219
1,434
Legal & Professional Costs
Independent Examination and Accountsncy
2,2(Kl
2,304
TOTAL EXPENDrruRE
NEf SURPLUS FOR THE YEAR
26,546
7,472
.k Ckiiiff CIO F.