
## **’ – Chairman s Report 04/21 03/22** 

## **April 2021 – March 2022** 

This report covers the year in which the Centre was mainly closed for 5 months due to COVID restrictions.  The Centre fully re-opened in September 2021 so this report covers 7 months of restarting services. 

Items covered by this report: 

## COVID Support Grants 

We were incredibly grateful for the COVID Support Grants and Furlough payments from the government which helped us enormously through the first 5 months. 

## Therapists 

Martha, Sue and Ruth were all back to work after the restrictions and we welcomed Rachel to the team as another massage therapist.  Betonica came back to the centre, and we are very grateful to them and to all the therapists who contribute so hugely to our income over the year. 

## Brightside and Memory Cafe 

Janet Elworthy retired in September. We had one final Brightside day to say thank you to her for all her hard work over the past few years. 

Janet has been a key part of the centre for many years and her energy and care running Brightside has been a fantastic asset to the centre. I would also like to thank her for her wonderful support to Brightside members during the pandemic. We wish her very well in retirement. I am sure she will still be very busy! 

It was decided that we would merge Brightside and CAMEO into a new updated Service called Riverside. 

Janet Morison, retired from running Memory Cafe.  I’d like to take this opportunity to thank Jan, who has run this as a volunteer for many years. 

## The Blackdown Community Shed 

This new service opened under the umbrella of the Healthy Living Centre has slowly been becoming more established. New members are gradually increasing, and finances were helped greatly by the items made in the shed being sold at the Hemyock Market. Members of the shed have contributed to several community projects particularly the Parish Hall Play area and a complete refurbishment of the bench there. 

Blackdown Healthy Living & Activity Centre, Riverside, Hemyock, Devon, EX15 3SH Registered Charity No: 1154693 




## Staff 

Tracey Howe resigned from running CAMEO and I would like to this opportunity to thank her for her many years of service. 

We appointed Lynn Pulman as Riverside Manager in October and in 6 months we increased our Riverside members from 5 to 16. 

I particularly want to thank our volunteers without whom we simply could not function. Particularly notable is Janet Morison whose commitment to the centre is without equal. I would personally like to thank Peta our Centre Manager for her fantastic leadership of the centre. I am looking forward with my fingers firmly crossed to a year without major disruption. 

Mark Couldrick Chair of Trustees 

Blackdown Healthy Living & Activity Centre, Riverside, Hemyock, Devon, EX15 3SH Registered Charity No: 1154693 



ThE BLA(XDOWN
ALTHY LIVING ANDA
REPORT ANDAccouKrs
FOR THE YEAR END
D 31 MARCH 2022
Règlst8red Charlty No. 1154693

Thè Blackdown Healthy Ltvln8 ?nd ArtFvlty Centre
In¢ome and ExpendltureA¢count
For the year ended 31 Mardj 2022
Income
Donatlons
Investmènt Income
Income from Charftable Attivlties- CAMEO
lTrcome from Charltable Activltles- Community Shed
Income from Therapy Roorn
Income from Raorn Hlrè
Rent recenied from AONB
Fundraislng & Exhibltlons
COVID Support fjrants
OtherGrants
Other Income
Total Income
2022
20Zi
3.978
70
15,710
1,460
12,263
7,051
3,800
3390
143
8.082
550
19,393
41A30
8C(I
1,808
65,713
58,695
Expendlture
Fundraislng & M15cellaneous Purolase5
Charitable Attlvtties Expenditure
Communltyshed Expwses
Wages & Salarles-
Regular
Staff Penslon5
2,542
1,079
32,296
1,090
631
1,024
7,575
250
1.022
1,250
197
210
25,773
537
885
180]
4,598
Staff Tralnlng
Accountsncy & Book-keepln8
Ught & Heat
Buslness Rates
Water Rates
Telephone & Intsmet
Computer & Softsvaro Expense5
Advert15ing & PR Llterature
Wf bslte expenses
p￿￿tIng & Ststlonery
Irtr5urance
Equlpment Rèparr5
Repalrs & Maintenan
Refurbi5hmentof Mens Shed
Cleanin8 & Waste Dlsposal
PPE & COVIO Supplies
Prernlses U¢ence & subscrlptions
Remitment & Professlonal Fees
Sundrees & Refreshments
Bank Char8es
Depreciatlon
Totsl Expendlt(we
761
L217
78
79
37
IA30
12
378
2.335
828
2,019
1,407
3.276
420
131
150
560
104
1,468
1,292
1,391
833
215
15
285
1,037
62,444
45,OCK
N8t Su lus forihe Year
3,269
13,695

The Blathlown Healthy Uvln8andActlvMy Centr•
Balan¢t SheÈt as at31 PAar(* 2022
2022
2021
FIx8dAs60ts
TanglbleAssets
5,874
4,147
Totsi RxedAssets
5,874
4,147
rrentA5sets
Short Term lrnvestments and Deposlts
Debtors
Q5h at bank and In hand
62,251
6,599
19,953
62,383
1,385
25,345
Total Curr¢ntAsset5
88,803
89.113
ShorrTemi Credltors
1,233
3,085
Net CurrentAssets
87,570
86,028
Total Assets Les$ Current Uabllltfes
93,444
90,175
Represented by
Oe518nated Reserve
41,250
41,250
General Fund5
52,194
48,925
A¢cumulzted Funds at 31st Marth
93,444
90,175
Approved bythe T
stees
Trustee
Dèted
Trustee
Oated

The Blackdown Hèalthy Uvln8 and Actl¥lty Ceft
Notss to theA¢¢ounts
Y•arended 3tst Mar¢h 2022
A¢countlng Pollde¥
6asls of Ac¢ountlng
These accounts have been prepared accordano with FRSSE and the Charttles 50RP.
Chan8e In bas18
Ther¢ htt5 ben no change In the valuatlon rules and methods of atcountln8 slnce lastyear.
h￿e5 to prevlous awiunts
There have been no thanges to prevlous accounts
EKpendltur¢
Jndependont exarnlner5 remuneratlon
2022
2021
Examlners Fee
GAnts to In5tltutknn5
The￿ were no 8rants to Institutions
Tèn81￿¢ Flxed assets
Cost
As at l Aprll 2021
Addttlons
DIsp05als
A5 at 31 March 2022
Equlpmonl
Totol
34,852
3,195
34,852
38,047
34,852
Deprrfiatlo
As at l Aprll 2021
Charge forthe year
As at 31 March 2022
30,705
1,468
32,173
29.668
1,037
30.705
Net Book Value
As at 31 March 2022
5,874
4,147
Equlpment Is depreclated on the reduclnE balance basls at 20% per annum

The Blackdown Healthy UvlnB and Acttvlty C•ntro
Notes to the Ar￿Unts
Year Ended 31st March 2022
cr￿lItOrS
(Amounts falling due wlthln one yearl
2022
2021
Trade Credltors
Vloletchapman Loan
Transferred to Donatii)n$
1,233
3.085
13,0001
3,085
1,233
DeSI￿ated Reserve
The reserved fund represents nlne months operatlnk Costs whlch thÈtrustees considerto be a prudent
tfme Scale for the chailty to cope wlth disaster Tecovery in the event of unforeseen cir£umstances and
to continue to dellver Its core actI￿tIes.
The appFOPrtate level of the ￿seNe Is revlewed on an annual basi&
Future Commltments
The charfty has no future comrnltments notprovided for In the aCCOLmts.
Guarantses
The charlty has glven noguarzntee5.
Se¢ured Loans
The charkty has reGelved no loan5 secured on any of Its assets.
¢ortln8$nt Uabllthes
The charlty hos no conwngent Ilabiiities.

Indopend•rtexamlnor8 report to th6 trustee8 of
The 8la¢kdown H•althy Uvlng and Actlvtty Contr•
I rgport on fhe ac¢ounts year8nded 31 Mavch 2￿42, chaiitynumber 278819.
whl¢h qre 8etout on pag￿ 1 to 4.
Re¥pe¢tlvo r￿ponSIbIl￿199 of tru8tee8 and oxamlnor
Th8 chatltys trustges are responslble for the pr8parallon of th& a¢coun¢s.
Th8 ¢harrty's tsvsteès consiéèr that an audit is not r8quired forthls ysar un¢Jer8eckn'on
144121 of the Charkn88 Act 2011 (tho 2011 Act) that an IrF(J6pgndenl examlnatio
Is need8d.
11 is my respon8ibllty LD..
6xamin$ the ar£oLtnts under sectlon 145 of tho 2011 Act,.
to follow Ihg procedures lakl down In Ihe g8n&ral DI[￿On$ glven by the Charlty
CDmmI851on undgr $8Ctton 145tSllbl of th9 2011 Act,. 8nd
to state whelhar partknular matter8 have corno lo my attention.
Bagls ollndèp￿dent examln8rfs roport
My èxamination was c8rrl•d out in accordanc8 ￿th tha géneral Olrecuons gfv8n by the
etharity Commisslon. An examin8Uon Include5 8 r8vi8wof the accountlng records kgpt by
the charlty and a comp3rfson oftho accounts pr6sented those records.
It also Indude8 cons5d&raUon of any unu8ual Il&ms or dlsclo8ur8s In tho a￿oUnts,
an(J Eeeking 8xplanations from you as truste68 wncemlng any 8uch m8tt8r8.
The proeeduws undertaken do not provlde all the èvldanco thatwould b& requlrod In
an audlt and GQnsÈquen￿Y no oplnlon Is giv6n as to the accounts presenta
trua and fair vlaw. arKI the report is Irrnlt8d to tr089 matters 58t ¢)ut In Ihtr stslemenl bdow.
Indepfrndont oxamlnerfs statsmant
In connectlon wlth my 8x8mlnation, matter h85 come to my attentlon..
111 whloh glves me reasonable ¢ause to bdS6ve th8t in any rnater￿1 resped the requlrem9nts.'
to keap accountln9 records In accordance 89(aion 130 of the 2011 Art Ènd
to pr8par8 account8 whlcE7 accord with th8 acoounlng records and complyuAth the
accountlng requirgmènls of the 2011 Act have not been met,. or
121 to whl¢h, in rny opinlon, attention should ba drawn In 0￿ert0 enaNe a propar
und8rstandlng of th8 aecounts to bo rgached.
Marig
ohns FCCA
8atchelor and CompanyA¢¢ountants Llrntsd
Chartton Hou88, 32 Hlgh Street
Cullomplon,
Dgvon
EX15 1AE
17th May 2022

Indepéndent oxamlnerfs rèport to the trust86s of
Thè Blackdown Ha#lthy LMbVJ and C•ntr•
l ￿POrt on the &counls forthe year ended 31 March 2022, charlty numbor278819,
whlch aro Sel out on pages 1 to 4.
Resp￿tIve wpon$lbllltlg9 of trustees and oxamln
Th8 ¢harfty'$ Iruste8s are rgsponslble forthe pr6P8rallon of Ihg actounls.
The chartty's trusle&s considèr that an audS115 not rèqusred forth18 year under s¢¢tion
144121 of tha Ch*ribas A¢t 2011 Itha 2011 Act) and that an ind&pBnd&nt examinauon
18 n88dad.
It is my rèsponslbllty to..
&xamine the 8ccounts untter $8cllon 145 of the 2011 A￿,.
to tollow the proceduras lakl (knvn In the gen@ral Directions glv•n byth8 Charity
Comm1861oll under 88CUr￿ 14515llbl of th8 2011 Ac(. and
to stat8 whether parb"uJlar mattèrs havo trome to rny attenhon.
Bag[8 of independ•nt•xamlngP8 r¢port
Myex8minalk)n was carded out in accknrdanca WI￿ tha 98n&r81 Dir8¢tlons glven ty
Ch•rity CommlsÈion. An 8xarninatyo¥t In￿U￿86 a r¢vlew of the accounting records kept by
the chafity and a comparison ofthe accounts presented with those records.
Itatso Includes eonsld6ration of any unusual ilgms or dl8dosures In the a(*ounts,
and seeking expl8n8tions from you as trust8es conc8ming any such rnatt8r8.
The procedures undort8ken do not provlde all th6 evldence that would b8 requlred In
an audlt and conseqv8nty no oplnion is glvan as lo whether the accounts present a
trug and falrv16w' and the report is Ilmlbj to Ihose matters sèt out in the $tat8mgnt bdow.
Indèp¢ndent examln¢ts statement
In conn8Ctlon wlth my examlnatK)n, no m8tter has come to myattention..
171 which glves me reasonable cause lo bellevo that in any material r8¥pBct the fequlrem8nts.'
lo keop a¢ty)unUng records In accordance wth secuon 130 of the 2011 Act, an
to preparg accounts whlch accoril with the accounNng records and rnmptywlth Iho
accounting r6quir8menb of th8 2011 Act have not begn met., or
121 ID which, In my oplnlon, attontion 8houkS be drawn in order to enable a proper
understandlng of th& accounts to b8 roa¢hed.
M8rl8
ohns FCCA
Batchèlor and CgmpanyA¢wuntsnts Llmlted
Charthn Nouse, 32 HkJh StrÈgt
Cullomplon,
Devon
EX15 1AE
17th May 2022