BaNaNa SPLIT When it comes to the crunch.. We bring hope and aspiration Azamrah Accounts 2021 Unaudited Financlal Statements 28 February 2021 CHARITY REGISTrATION NUMBER: 1154047 Azam al Yauth CLI
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The trustees present their report and the unaudited financial statements of the charity for the year ended 28 February 2021.
Reference and administrative details
Charity registrationnumber
sje soar
Manchester M7 4NY Email:azamrah2@gmail.com
Website: azamrahuk.org
Mr M Bamberger (retired 10 may 2021#0 Mrs B Brand
Mrs R Goldman
Mrs N Abenson (appointed 10 may 2021)
Independent examiner wy. oward Schwalbe ACA
2nd Floor - Parkgates Bury New Road Prestwich
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BUSomae oRatk ™ NS MIVSS y, er ~~ & ™ 7 ma TTT
To provide opportunities that are safe, stimulating and inclusive during holiday periods, encouraging children and young people to choose their activities, with the emphasis on fun and enjoyment , building independence and developing social skills.
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OUI Pe ate om
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VISION ge
To empower young people , creating a space for them to develop into healthy and strong individu-
als with positive prospects. a
OUR Wf
To empower children and young people to become partners in our planning and service delivery
ensuring each activity is tailor made to suit each individual including those with disabilities.
OUR CHARITABIF ¥
OBJECTIVES Ty
The objects of the charity are: (i) the provision of facilities for recreation and other leisure time oc-
cupation for children and young people who are in need of such provision because of their youth,
age, infirmity, poverty or social and economic circumstances and with the object of improving their
lives; (ii) to help young people especially but not exclusively through leisure time activities so as to
develop their capabilities that they may grow to full maturity as individuals and members in society.
PUBLIC ¢tf
BEINEFII
The trustees confirm that they have referred to the guidance contained in the Charity Commis-
sion's general guidance on public benefit and in particular to its supplementary public benefit guid-
ance on advancing education when reviewing the charity's aims and objectives and in planning fu-
ture activities and setting grant making policy for the year.
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GRANT MAKING &
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POLICY B:.@
The charity is funded by donations and grants. The charity gives out grants in line with the above ob-
jectives.
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There were no grants paid to institutions during the year. Exceptions were made to individuals who were considered to be in need of specific holiday provision owing to disability.
The trustees consider they have met the public benefit test and outline these achievements below. The trustees measure the success of achieving the stated aims by the number and value of grants paid out for each object. The grants paid out in the year are detailed in the notes to the accounts and the trustees consider they have met their aims successfully this year.
The trustees consider the shorter term aims to be similar to the longer term aims and assess the achievements of the charity in the same manner
TEE
? ) ’ TE STRUCIURE, \ / D) j a COVERNANCI [ A ‘\ /| AND MANAGCEMENI Azamrah Youth Club is constituted under a deed dated 01 February 2013. It is a ; registered charity with a charity number 1154047 and was registered on 02 October 2013.
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Recruitment and appointment of new trustees would be in line with the Trust Deed and with the consent of the trustees. The criteria set for the suitable candidate would be an individual who is sensitive to the demands and SarequirementsEe of theIE organisation.A eee ee Pe ees ‘ There is no chief executive officer. The day-to-day affairs are assumed by Mrs Goldman on behalf of the trustees. All major decisions are taken jointly by the trustees, all of whom volunteer their time freely. The trustees are unpaid, and details of any related party transactions are disclosed as applicable in the notes to the accounts. The arrangements for setting the pay of the charity’s ~~ employees are the sole domain of the trustees. ee) i fA 1 RISK REVIEW \ The Trustees have assessed the major risks to which the charity is exposed, in particular those related to the operations and finances of the Trust and are , satisfied that systems are in place to manage our exposure to the major risks. Additional policies, procedures and safety measures have been put in place in X response to the pandemic ensuring the highest level of health and safety standards are kept to at all times, keeping within government guidelines at all times The risks faced by the Trust are primarily operational risks from ineffective grant making or direct charitable activity. These risks are managed by the trustees researching potential beneficiaries » before granting donations or paying out funds for direct charitable activity. Report back and review practices reinforce these safeguards to ensure public CASbenefit is achieveda a fromee a ll grantseS SS and payments.SSS
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TRUSTEE REPORI _ TOMAKE THE DIFFERENCE AND BROUGHTHOPEAND = —— When government guidelines precluded the possibility of running our holiday activities, _~ children and young people were devastated. All too soon, it became apparent that aside ae ad, from the toll the pandemic took on people’s lives, the emotional impacts were enormous. AN Many of our users lost those near and dear to them, and they were looking to us to fill the oe gap in their aching hearts.
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The trustees are extremely grateful to all our volunteers for the support and time they invested and provided the charity with, allowing us to maintain a steady level of support to our users both throughout the initial lockdown and subsequently when regulations prohibited the delivery of on site provision.
We would also like to extend our appreciation to our funders and supporters for ‘ being with us along the way’ as hard and stressful as it got enabling us to respond to arising need.
FUTURE FPIANS | To reintroduce our programmes for boys during school holidays as well as new programmes to address the needsof children and young peoplestrugglingwith either their own or a family[members’] mental health issues.
~.To provide youth with accreditation upon completion of life skill workshopsincluding first aid, woodwork ~, To set up activities duringhalf term school holidays
Due to the increased level of those struggling with food poverty, the charity will ensure that all users attending activities will receive awarm packed lunch.
APPRECIATION
The trustees wish to express their appreciation to Bnos Yisroel School for the free use of their facilities whilst running the services.
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The trustees wish to express their appreciation to the various grant making authorities listed in the ——— grant income note to the accounts. The trustees are certain that without their support these youth Gol clubs would simply not have taken place. NS!
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listed in the ———
these youth youth Gol
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| Giveto have childrenfun, meet a safe friends space and reducegroup influencesnegative peer Encourage Physical development, balance, spatial awareness and Endurance Help develop confidence, self esteem and life skills Enhance wellbeing and Self-develooment Nurture creativity and Develop teamwork skills a
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All activities during Covid 19 took place in line with govemment guidelines
Youth are supported to take up new interests, to achieve and arechallengedtodevelop skills and confidence. The emphasis is to have fun and enjoy spending time with friends accessing a wide range of opportunities. We empower young people to become partners in our work, by hearing their voice which helps shape the current future programmes of the charity
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Weare passionate about helping our youth improve physical fitness, develop healthy lifestyles and promote overall well-
being.
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Gm ITE SKILIS WORKSHOD EE
By teaching new skills, we increase participants understanding of the world around us and equip them
with the tools they need to live a more productive and fulfilling life.
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Rs WRITING SKILLS Re MONEY MANAGEMENT ie, NUMERACY
/ HYGIENIC SKILLS -™ FOOD PREPARATION BAKING
LEREEREER ERE L EEE EEE
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wee EFCREATIONAL OPPORIUNIIIS am
For children everywhere, summer, winter and school holidays are a chance to stretch, unwind and
shine. Our recreational activities provide opportunities to try something new thus developing
confidence and independence.
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Children who may be having difficulties in parts of the school curriculum find an expressive outlet through art. It’s a way we uncover talent that may not be seen otherwise.
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yA ACHAE VED EAS SS Alb bbb GbbiAdivGt SSD The charity received £7,714 in donations and £25,900 in grants during the year. The charity paid out £30,234 directly for youth club expenditure including materials, equipment, refreshments, play workers, other direct costs and support costs.
The trustees consider the above expenditure is in line with the objects of the charity.
The charity’s website was developed to allow for public, users’ and volunteers’ input.—this is an achievement in itself!
Although the nature of the club involves the provision of on-site holiday activities, adjustments were made in response to the pandemic when government guidelines precluded the possibility of this provision.
1500 resource activity packs comprising arts and crafts, exercise CD’s, sports equipment and healthy snacks were packed and delivered to children and young peoples homes providing them with hours of fun to keep them occupied when schools were closed.
Food parcels containing dry goods including tuna, pasta, crackers, flour plus more were delivered to 250 homes including those who were isolating or struggling with food poverty
In response to user feedback this project was then changeda little Rather than send food items that were not always the families choice and at times wasted, the charity provided over 250 food vouchers for families to go out and buy food items that were nourishing and healthy without having the burden of how to pay for it.
The project addressed the isolation and loneliness of the elderly members of the community. Giving 75 young people the opportunity to connect with and develop an appreciation for the older members of society.
There were no material fundraising costs during the year.
There were no related party transactions in the reporting period.
The split between restricted and unrestricted funds is as disclosed on the face of the SOFA.
There was an overall net gain and net movement in funds for the year amounting to £5,386 of which £1000 relates to the unrestricted fund.
Owing to the coronavirus pandemic, fewer programs were provided and subsequently income and expenditure fell; we will report further next year.
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The trustees feel that the activity reflects the charity’s profile and standing within the local community. The impact for future years’ expenditure is self-evident and the trustees would like to record their appreciation for all the financial support received from benefactors during the course of the year.
The Unrestricted Fund represents the unrestricted funds arising from past operating results. The trustees wish to keep reserves as low as possible so as to maximise paying out for the clubs.
The Trustees are satisfied that the balance of the Fund is an acceptable level of reserves given the nature of revenue receipts against grants payable.
In considering the limited financial obligations of the charity, the trustees have resolved to maintain a minimum reserve practical for donations which are seasonal.
The free unrestricted reserves stand at £10,942.
| — — - - 7) pean Since our charity works with vulnerable children and young people, safeguarding is considered an extremely important risk in our work. We have a framework of consents, controls, policies and proce-
Mrs B Brand Trustee
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INDIPIINDINT EXAMINA S KEPORL IC LEAL ITKUSILLSOF A/ANKAL YOULL ClUI
| report to the trustees on my examination of the financial statements of Azamrah Youth Club (‘the charity’) for the year ended 28 February 2021.
fQOO” KESPONSIBILILIES Ss AND bASIS OF KELOKS
As the trustees of the charity you are responsible for the preparation of the financial statements in accordance with the requirements of the Charities Act 2011 (‘the Act’).
| report in respect of my examination of the charity's financial statements carried out under section 145 of the 2011 Act and in carrying out my examination | have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
O © * dbvbobobeteAvdabedved Po-2 EAAMINEKS SIATLINENS
| have completed my examination. | confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:
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accounting records were not kept in respect of the charity as required by section 130 of the Act; or
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the financial statements do not accord with those records; or
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the financial statements do not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair! view which is not a matter considered as part of an independent examination.
| have no concerns afid have come across no other matters in connection with the examination to which attention should be dy4wn in this report in order to enable a proper understanding of the accounts to be reached.
Mr Howard Schwalbe ACA Indgpendent Examiner
2nd Floor - Parkgates Bury New Road Prestwich Manchester M25 OTL
28 June 2021
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2021 2020
Unrestricted Restricted
funds funds Total funds Total funds
Note £ E £ £
Income and endowments
Donations and legacies 4 9,714 25,898 35,612 48,318
Investment income 5 8 - 8 Ps
Total income 9,722 25,898 35,620 48,325
Expenditure
Expenditure on charitable activities 6.7 5,336 24.898 30,234 44.714
Total expenditure 5,336 24,898 30,234 44.714
Net income and net movementin funds 4,386 1,000 5,386 3,611
Reconciliation of funds
Total funds brought forward 6,556 - 6,556 2,945
Total funds carried forward 10,942 1,000 11,942 6,556
The statement of financial activities includes all gains and losses recognised in the year.
All income and expenditure derive from continuing activities.
2021 2020
Note £ £ £
Current assets
Cash at bank and in hand 42,542 7,156
Creditors: amounts falling due within one year 42 600 600
Net current assets 11,942 6,556
Total assets less current liabilities 11,942 6,556
Net assets 11,942 6,556
Funds of the charity
Restricted funds 1,000 -
Unrestricted funds 10,942 6,556
Total charity funds 13 11,942 6,556
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These financial statements were approved by the board of trustees and authorised for issue on 28 June 2021, and are signed on behalf of the board by:
Mrs R Goldman ( Trustee)
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Imogine wokin9 UP In fhe morning, - Lvith a Luorryin9 thoL4ght-' whot Lvill I do give My children for ILAnch; only to open the doorond find o hL4ge box fLAII of grocerieg, cheese, 40gh(Arts, plL4S loods rnore. Azomrohl We felt you were 'holding our hand<os we strLJggled Lvithjob loss for6 month& THAnK ¥oui -rnrsS- To the dedicated team ofA)zomrGh. we hove no words to descrlbe the joy YOLA broLAght to our house, 9ameg, toys, crafts-oll our6 children Lvere kept bLASy foro full week ollowing Ll fo rest Lvhilst recovering from Copn -mrsL- Hotring a brother with disobilitles, is-" no picnic and Gt times OLAr house feels like o pressure cooker. mrs S ond mrs G- l Lvont to thank yo(A, for helpin9 me cope with it by treoting me Lvith so mony goody bogg filled ith gomes, toys, crofts ond loods more, which kept Me bLASy ond reloxed whilstl isolated ot home. - Choni G- •/ /
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The charity is a public benefit entity and a registered charity in England and Wales and is unincorporated. The address of the principal office is 4 Ivy Gardens, Salford, Manchester, M7 4NY.
These financial statements have been prepared in compliance with FRS 102, 'The Financial Reporting Standard applicable in the UK and the Republic of Ireland’, the Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (Charities SORP (FRS 102)) and the Charities Act 2011.
ul, 3. ACCOUNTING =a POLICIES Se BASIS OF PREPARATION
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The financial statements have been prepared on the historical cost basis, as modified by the revaluation of certain financial assets and liabilities and investment properties measured at fair value through income or expenditure.
The financial statements are prepared in sterling, which is the functional currency of the entity. DC) OA -COINC CONCIRI There are no material uncertainties about the charity's ability to continue.[ESTIMATION][UNCERTAINTY] eal JUDCEMENT & KEY SOURCES[OF] The preparation of the financial statements did not require management to make judgements, estimates or assumptions that affect the amounts reported. FUND ACCOUNTING Unrestricted funds held by the charity are funds that can be used in accordance with the charitable objects at the discretion of the trustees. Restricted funds held by the charity relate to specific youth club grants received by the charity that remain unspent at the year end in line with each grant funders regulations.
Oe)Q INCOMING RESOURCES cCS All incoming resources are included in the statement of financial activities when entitlement has passed to the charity; itis probable that the economic benefits associated with the transaction will flow to the charity and the amount can be reliably measured. The following specific policies are applied to particular categories of income:-
-income from donations or grants is recognised when there is evidence of entitlement to the gift, receipt is probable and its amount can be measured reliably.
-legacy income is recognised when receipt is probable and entitlement is established.
-income from donated goods is measured at the fair value of the goods unless this is impractical to measure reliably, in which case the value is derived from the cost tothe donor or the estimated resale value. Donated facilities and services are recognised in the accounts when received if the value can be reliably measured. No amounts are included for the contribution of general volunteers.
-income from contracts for the supply of services is recognised with the delivery of the contracted service. This is classified as unrestricted funds unless there is a contractual requirement for it to be spent on a particular purpose and returned if unspent, in which case it may be regarded as restricted.
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< RESOURCES EXTENDE!I
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Expenditure is recognised on an accruals basis as a liability is incurred. Expenditure includes any VAT which cannot be fully recovered, and is classified under headings of the statement of financial activities to which it relates:
_expenditure on raising funds includes the costs of all fundraising activities, events, non-charitable trading activities, and the sale of donated goods.
_expenditure on charitable activities includes all costs incurred by a charity in undertaking activities that further its
charitable aims for the benefit of its beneficiaries, including those support costs and costs relating to the governance of the charity apportioned to charitable activities.
_other expenditure includes all expenditure that is neither related to raising funds for the charity nor part of its
expenditure on charitable activities.
All costs are allocated to expenditure categories reflecting the use of the resource. Direct costs attributable to a single activity are allocated directly to that activity. Shared costs are apportioned between the activities they contribute to on a ail reasonable, justifiable and consistent basis. FINANCIAL INSTRUMENTS
A financial asset or a financial liability is recognised only when the charity becomes a__ party to the contractual provisions of the instrument.
Basic financial instruments are initially recognised at the amount receivable or payable including any related transaction costs.
Current assets and current liabilities are subsequently measured at the cash or other consideration expected to be paid or received and not discounted.
Debt instruments are subsequently measured at amortised cost.
Where investments in shares are publicly traded or their fair value can otherwise be measured reliably, the investment is subsequently measured at fair value with changes in fair value recognised in income and expenditure. All other such investments are subsequently measured at cost less impairment.
Other financial instruments, including derivatives, are initially recognised at fair value, unless payment for an asset is deferred beyond normal business terms or financed at a rate of interest that is not a market rate, in which case the asset is measured at the present value of the future payments discounted at a market rate of interest for a similar debt instrument.
Other financial instruments are subsequently measured at fair value, with any changes recognised in the statement of financial activities, with the exception of hedging instruments in a designated hedging relationship.
Financial assets that are measured at cost or amortised cost are reviewed for objective evidence of impairment at the end of each reporting date. If there is objective evidence of impairment, an impairment loss is recognised under the appropriate heading in the statement of financial activities in which the initial gain was recognised.
For all equity instruments regardless of significance, and other financial assets that are individually significant, these are assessed individually for impairment. Other financial assets are either assessed individually or grouped on the basis of similar credit risk characteristics.
Any reversals of impairment are recognised immediately, to the extent that the reversal does not result in a carrying amount of the financial asset that exceeds what the carrying amount would have been had the impairment not previously been recognised.
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| 4A DONATIONS D: LECACIES |
Unrestricted | Restricted | TotalFunds | 4 4 ~*~ -_ |
|
| Funds £ |
Funds £ |
2021 £ |
i | Av. | |
| Donations Donations . |
7,714 | - | 7,714 | |\ ; é |
|
| Souter TheCharityService |
1,000 m |
_ 1,000 |
1,000 1,000 |
‘ | 4 — |
| JCHF Jewish ChildsDay Salford CityCouncil BBC Awards forAll |
- — — - - |
= 1,800 2,498 4,000 8,600 |
- 1,800 2,498 4,000 8,600 |
/ | f f ~, te |
| Shoresh SalfordWellbeing Grants receivable Under£1,000 |
1,000 = |
- pe = |
1,000 is ~- |
~ | 4 ms |
| Salford4good JYF SkeltonTrust BoothCharities Community Foundation LocalConnection Manchester Forever PeterKershaw StJamesPlace |
- . - _ - ws - - a 9,714 |
- - - - 2,500 1,000 2,000 2'500 25,898 |
- " - _ - 2,500 1,000 2,000 2,500 35,612 |
i \ , ‘ |
\ ~ |
| snrecte, nrestricted |
Restricted |
Total Funds | ue | ||
| Funds £ |
Funds £ |
2020 £ |
~ | é _ |
|
| Donations Donations Grants Souter The Charity Service JCHFE JewishChildsDay Salford CityCouncil BBC Awards for All |
10,082 ss _ - ~ - - - |
- = =_ 2,000 1,675 2,650 9,934 9,865 |
10,082 os - 2,000 1,675 2,650 9,934 9,865 |
\ x |
|
| Shoresh SalfordWellbeing |
- + |
- 4,000 |
- 4,000 |
f™= * |
|
| Grants receivable Under£1,000 Salford 4good JYF SkeltonTrust BoothCharities CommunityFoundation Local Connection ManchesterForever PeterKershaw StJames Place |
~ - r - - = - Ka ~ “s |
1,433 4,000 4,000 2,000 2,900 2,779 wl “ - —< |
1,433 1,000 1,000 2,000 2,900 2,779 eS - ~ ie |
~*~ i |é _ \ ~ / a f |
|
| 10,082 | 38,236 | 48,318 | X | \~ |
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GH) S. INVESTMENT <7
@JL. ivcomi —
Unrestricted Total Funds Unrestricted Total Funds ‘ -
Funds 2021 Funds 2020 j \
Bank £ £ £ £ \
interest receivable 8 8 7 f |
X , | at une — a \ 4
= 6 EXPENDITURE ON CHARIIABII _ Ft
ACTIVITIES BY FUND TYPI ,\s
Unrestricted Restricted Total Funds
Funds Funds 2021 7
£ £ £ r
Youth club activities 3,330 24,898 28,228
Support costs 2,006 - 2,006 / * "
5,336 24,898 30,234 f é
i a ee
Unrestricted Restricted Total Funds : \
Funds Funds 2019 “
Youth club activities £3,206 £38,236 £41,441 \ j a
Support costs 3,272 ~ 3,273 we tA
6,478
38,236 44,714 \ \ =
Df bef of ell — — IAT 7 ) /
@ 4. EXPENDITURE OW CHARITABII /
Activities un- , é
dertaken di- Total funds Total fund ~ /
rectly Support costs 2021 2020 —
Youth £ £ £ £ | \
club activities 28,228 1,405 29,633 44,113 \
Governance costs a 601 601 601 /
28,228— 2,006 — 30,234— 44,714a \ys / 4
= § ANALYSIS O! ‘\ ,"
SER SUPPORI COSTS /
Analysis of f™ °°
support costs Total 2021 Total 2020
General office £1,405 E1,405 2,672£ ~ / et #
Governance costs 601 601 601 | \
2,006 2,006 3,273 / ‘
— eee /
of
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! 4
Of 2 1NDEPENDENT me
= EXAMINATION FEES ‘\
f é
: ~ =
2021 2020
£ £ | \
Fees payable to the independent examiner for: \
Independent examination of the financial statements 600 600 \ / 4
Se 10. SIAFE COSTS ,\~s
Vas! y
The total staff costs and employee benefits for the reporting period are analysed as follows: yA
z2021 :2020 4™ Es
,
Wages and salaries 9,279 12,252 ie , é
al
— —
The average head count of employees during the year was 3 (2019: 3). The average number of full- j \
time equivalent employees during the year is analysed as follows: %
2021 2020 \ / é
Number of play workers No,1 3No. P r
No employee received employee benefits of more than £60,000 during hana (2019: Nil), \ =
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AND EXPENSES fs» °
No remuneration or other benefits from employment with the charity or a related entity were received f é
by the trustees. ~ _—
Rome 12. CREDITORS: AMOUNTS l 4.
FALLING DUE WITHIN ONE YEAR , J,
2021 2020 wv” 4
£ £
Accruals and deferred income 600 600 \ \ ~
. ° — _ A
CHARIITABIFEF FUNDS f~s» 8
Unrestricted funds / é
AtO1 At 28 ~’ _
Mar 2020 Income Expenditure Feb 2021
General £ £ £ £ i \
funds 6,556 9,722 (5,336) 10,942 ! ~\
\ é
At 01 At 29 f
Mar 2019 Income Expenditure Feb 2020 2
General funds £2,945 £10,089 £(6,478) £6,556 \ 4 Sy
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a
Restricted funds funds a vA
At 01 At 28
Mar 2020 Income Expenditure Feb 2024 \ \ =
Youth club grants fund = £25,898 £(24,898) £4,000 ~~ |j _ é
- — — — I\ ‘
At 01
Mar — —— AL29 |
2019 ~— Income Expenditure Feb 2020 \ é
Youth club grants fund £ £38,236 £(38,236) =£ .Pia \A na
icine — — f ,
4 14. ANALYSIS OF NEI i/-_
ASSETS BETWEEN FUNDS
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Unrestricted Restricted Total Funds ~ ass
Funds Funds 2021 |
ennai & £ £ \ ‘
Creditors 11,542 1,000 12,542 \ / if
less than 1 year (600) _ (600) Y 4 /
heidi 10,942 4,000 11,942 ,\es
— a 7
Unrestricted Restricted Total Funds /
Funds Funds 2020 / ~, -
£ £ £
CreditorsCurrent; assets less than 1 year 7,156(600) _i 7,156(600) ~~ \f coo) &
Net me \
assets 6,556 _ 6,556 \ / y,
———— " :, A f
soe 18. TAXATION ,-«r A
Azamara Youth Club Youth Club is a registered charity and therefore a registered charity and therefore registered charity and therefore charity and therefore and therefore therefore is not liable to income tax on income not liable to income tax on income liable to income tax on income to income tax on income income tax on income tax on income on income income /
derived from from its charitable activities, as as it falls within falls within within the various various exemptions available to registered to registered registered .
charities. 4™é
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Restricted funds funds
———— " soe 18. TAXATION Azamara Youth Club Youth Club is a registered charity and therefore a registered charity and therefore registered charity and therefore charity and therefore and therefore therefore is not liable to income tax on income not liable to income tax on income liable to income tax on income to income tax on income income tax on income tax on income on income income derived from from its charitable activities, as as it falls within falls within within the various various exemptions available to registered to registered registered charities.
1500 - resource pocks protrided to youth inclLAd- in9 those with disobilities food voLAchers ai250/x food porcels coring and devoted teens tookport in 'friendly motes, project. voILAnteer providing . o totolof 820 voIIAnteer- ing hoL4rs positive r feedbock mosgive thonk - YOLA THANKS