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2024-03-31-accounts

Filed successfully on 14 May 2024 at 22:32 BST

Accounts

Computations Company Tax Return

WYKE COMMUNITY AND CHILDRENS CENTRE LTD

Company Registration Number: 6484333 (England and Wales)

Unaudited micro entity accounts for the year ended 31 March 2024

Period of accounts

Start date: 01 April 2023 End date: 31 March 2024

Page 1

WYKE COMMUNITY AND CHILDRENS CENTRE LTD

Contents of the Financial Statements

for the Period Ended 31 March 2024

Company Information - 3 Profit and Loss Account - 4

Balance sheet - 5

Footnotes to the Balance Sheet - 7

Page 2

WYKE COMMUNITY AND CHILDRENS CENTRE LTD

Company Information

for the Period Ended 31 March 2024

Registered office:

Company Registration Number:

HUDDERSFIELD ROAD WYKE BRADFORD BD12 8AA

6484333 (England and Wales)

Page 3

WYKE COMMUNITY AND CHILDRENS CENTRE LTD

Profit and Loss Account

for the Period Ended 31 March 2024

2024 2023
£ £
Turnover 547,942 432,117
Cost of Materials (
)
113,785
(
)
100,231
Staff Costs (
)
334,397
(
)
247,844
Other charges (
)
94,737
(
)
79,252
Profit or (Loss) for Period 5,023 4,790

Page 4

WYKE COMMUNITY AND CHILDRENS CENTRE LTD

Balance sheet

As at 31 March 2024

Called up share capital not paid:
Fixed Assets:
Current assets:
Creditors: amounts falling due within one year:
Net current assets (liabilities):
Total assets less current liabilities:
Creditors: amounts falling due after more than one year:
Total net assets (liabilities):
Capital and reserves:
2024
£
1
49,364
(
)
19,343
30,021
30,022
(
)
25,000
5,022
5,022
2023
£
1
8,802
32,343
(
)
15,741
16,602
25,405
(
)
20,705
4,700
4,700

Page 5

WYKE COMMUNITY AND CHILDRENS CENTRE LTD

Balance sheet continued

For the year ending 31 March 2024 the company was entitled to exemption under section 477 of the Companies Act 2006 relating to small companies.

The members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006.

The directors acknowledge their responsibilities for complying with the requirements of the Act with respect to accounting records and the preparation of accounts.

These accounts have been prepared and delivered in accordance with the provisions of the small companies regime applicable to micro-entities.

This report was approved by the board of directors on 14 May 2024

And Signed On Behalf Of The Board By:

Name: Joanne Hayhurst Status: Director

The notes form part of these financial statements

Page 6

WYKE COMMUNITY AND CHILDRENS CENTRE LTD

Footnotes to the Financial Statements

for the Period Ended 31 March 2024

1. Employee Information

Average number of employees: 25

Page 7

WYKE COMMUNITY AND CHILDRENS CENTRE LTD

Footnotes to the Financial Statements

for the Period Ended 31 March 2024

2. Off balance sheet disclosure

No

Page 8

WYKE COMMUNITY AND CHILDRENS CENTRE LTD

Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Computations

Apportionment of profits

Start date of accounts: End date of accounts:

01 April 2023

31 March 2024

WYKE COMMUNITY AND CHILDRENS CENTRE LTD Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Detailed profit and loss

Summary of detailed profit and loss

£
Gross profit or losses
Gross profit or losses: 434,157
Coronavirus Job Retention Scheme income
Total income from coronavirus (COVID-19) business support grants: 0
Other Coronavirus grants
Other Coronavirus grants: 0
Interest received
Interest received: 0
Trading account
Turnover
Turnover/sales: 547,942
Cost of sales:
Cost of sales: 113,785
Gross profit
Gross profit: 434,157

WYKE COMMUNITY AND CHILDRENS CENTRE LTD Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Expenses £
Directors', employees and subcontractor costs
Salaries and wages: 334,397
Legal and professional costs
Accountancy and audit: 1,900
Legal and professional charges: 6,635
Property costs
Light, heat and power: 13,842
Repairs, renewals and maintenance: 35,342
General administrative expenses
Bank, credit card and other financial charges: 1,205
Insurance: 4,665
Travel and subsistence: 5,823
Vehicle expenses: 7,673
Administration and office expenses: 17,653
Total expenses
Total expenses: 429,135

WYKE COMMUNITY AND CHILDRENS CENTRE LTD Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Coronavirus (COVID-19) business support grants £
Coronavirus Job Retention Scheme (CJRS) and Eat Out to Help Out scheme (EOTHO)
CJRS Received: 0
CJRS Entitlement: 0
CJRS overpayments already assessed or voluntary disclosed: 0
Coronavirus support schemes overpayment now due: 0
Other coronavirus grants
Amount received from other coronavirus grants: 0

WYKE COMMUNITY AND CHILDRENS CENTRE LTD Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Car purchases

WYKE COMMUNITY AND CHILDRENS CENTRE LTD Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Machinery and plant

£
First Year Allowance (FYA)
Cars qualifying for FYA: 0
FYA expenditure - other than cars:
Total expenditure qualifying for FYA: 0
FYA claimed: 0
Annual Investment Allowance (AIA)
Expenditure qualifying for AIA: 0
AIA claimed: 0
Main pool
Written down value of the main rate pool brought forward: 0
Cars qualifying for writing down allowance at main rate: 0
Expenditure qualifying for writing down allowance from main pool - not including cars: 0
FYA not claimed: 0
AIA not claimed: 0
Total expenditure qualifying for main rate: 0
Proceeds from disposals from main pool: 0
Writing down allowance claimed from main pool: 0
Main pool written down value carried forward: 0
Special rate pool
Written down value of the special rate pool brought forward: 0
Cars qualifying for writing down allowance at special rate: 0
Total expenditure qualifying for special rate: 0
Proceeds from disposals from special rate pool: 0
Writing down allowance claimed for cars that qualify for special rate pool: 0
Special rate pool written down value carried forward: 0

WYKE COMMUNITY AND CHILDRENS CENTRE LTD Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Structures and buildings Allowance

WYKE COMMUNITY AND CHILDRENS CENTRE LTD Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Summary totals

£

Capital allowances

Net allowances

Trade net allowances:

0

WYKE COMMUNITY AND CHILDRENS CENTRE LTD Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Adjustments
£
Profit before tax: 5,022
Additions
Net loss on sale of fixed assets: 0
Deductions
Non-trade interest received: 0
Net capital allowances: 0
Adjusted profit/loss
Adjusted trading profit for the period: 5,022

WYKE COMMUNITY AND CHILDRENS CENTRE LTD Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Summary

£

Qualifying Expenditure

Qualifying expenditure on machinery and plant on other assets:

0

WYKE COMMUNITY AND CHILDRENS CENTRE LTD Utr: 2573422218 | Accounting Period: 01/04/2023 - 31/03/2024

Summary: figures transferred to CT600

£
Trading and professional profits: 5,022
Net trading and professional profits: 5,022
Profits and gains from non-trading loan relationships: 0
Income from a property business: 0
Profits before other deductions and reliefs: 5,022
Qualifying donations: 0
Total Profits chargeable to Corporation Tax: 5,022
Trading losses: 0

Company Tax Return CT600 (2024) Version 3

for accounting periods starting on or after 1 April 2015

Your Company Tax Return

If we send the company a 'Notice' to deliver a Company Tax Return it has to comply by the filing date or we charge a penalty, even if there is no tax to pay.

A return includes a Company Tax Return form, any supplementary pages, accounts, computations and any relevant information. The CT600 Guide tells you how the return must be formatted and delivered. It contains general information you may need to deliver your return, links to more detailed advice and box-by–box guidance for this form and the supplementary pages.

The forms in the CT600 series set out the information we need and provide a standard format for calculations.

Company information

1 Company name WYKE COMMUNITY AND CHILDRENS CENTRE LTD WYKE COMMUNITY AND CHILDRENS CENTRE LTD WYKE COMMUNITY AND CHILDRENS CENTRE LTD WYKE COMMUNITY AND CHILDRENS CENTRE LTD
2 Company registration number 6 4 8 4 3 3 3
3 Tax reference 2 5 7 3 4 2 2 2 1 8
4 Type of company 0

Northern Ireland (NI)

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Put an 'X' in the appropriate box(es) below
5 NI trading activity 6 SME
7 NI employer 8 Special circumstances
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About this return

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This is the above company's return for the period
30 from DD MM YYYY 35 to DD MM YYYY
0 1 0 4 2 0 2 3 3 1 0 3 2 0 2 4
Put an 'X' in the appropriate box(es) below
40 A repayment is due for this return period
45 Claim or relief affecting an earlier period
50 Making more than one return for this company now
55 This return contains estimated figures
60 Company part of a group that is not small
65 Notice of disclosable avoidance schemes
Transfer Pricing
70 Compensating adjustment claimed
75 Company qualifies for SME exemption
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About this return - continued

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Accounts and computations
80 I attach accounts and computations for the period to which this return relates X
85 I attach accounts and computations for a different period
90 If you are not attaching the accounts and computations, say why not
Supplementary pages enclosed
95 Loans and arrangements to participators by close companies - form CT600A
100 Controlled foreign companies, foreign permanent establishment exemptions, hybrid and other mismatches - form
CT600B
105 Group and consortium - form CT600C
110 Insurance - form CT600D
115 Charities and Community Amateur Sports Clubs (CASCs) - form CT600E
120 Tonnage Tax - form CT600F
125 Northern Ireland - form CT600G
130 Cross-border Royalties - form CT600H
135 Supplementary charge in respect of ring fence trades - form CT600I
140 Disclosure of Tax Avoidance Schemes - form CT600J
141 Restitution Tax - form CT600K
142 Research and Development - form CT600L
143 Freeports and Investment Zones - form CT600M
144 Residential Property Developer Tax (RPDT) – form CT600N
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Tax calculation

Turnover

145 Total turnover from trade £ 5 4 7 9 4 2 . 0 0
150 Banks, building societies, insurance companies and other financial concerns -
put an 'X' in this box if you do not have a recognised turnover and have not made an entry in box 145
Income
155 Trading profits £ 5 0 2 2 . 0 0
160 Trading losses brought forward set against trading profits £ . 0 0
165 Net trading profits -box 155 minus box 160 £ 5 0 2 2 . 0 0

Income - continued

170 Bank, building society or other interest, and profits from non-
trading loan relationships
£ 0 . 0 0
172 Put an 'X' in box 172 if the figure in box 170 is net of carrying back a deficit from a later accounting period
175 Annual payments not otherwise charged to Corporation Tax and
from which Income Tax has not been deducted
£ . 0 0
180 Non-exempt dividends or distributions from non-UK resident
companies
£ . 0 0
185 Income from which Income Tax has been deducted £ . 0 0
190 Income from a property business £ 0 . 0 0
195 Non-trading gains on intangible fixed assets £ . 0 0
200 Tonnage Tax profits £ . 0 0
205 Income not falling under any other heading £ . 0 0
Chargeable gains
210 Gross chargeable gains £ . 0 0
215 Allowable losses including losses brought forward £ . 0 0
220 Net chargeable gains -box 210 minus box 215 £ . 0 0

Profits before deductions and reliefs

225 Losses brought forward against certain investment income £ . 0 0
230 Non-trade deficits on loan relationships (including interest) and
derivative contracts (financial instruments) brought forward set £ 0 0
against non-trading profits .
235 Profits before other deductions and reliefs -net sum of boxes 165 to
205 and 220 minus sum of boxes 225 and 230
£ 5 0 2 2 . 0 0
Deductions and reliefs
240 Losses on unquoted shares £ . 0 0
245 Management expenses £ . 0 0
250 UK property business losses for this or previous accounting period £ . 0 0
255 Capital allowances for the purposes of management of the business £ . 0 0
260 Non-trade deficits for this accounting period from loan relationships
and derivative contracts (financial instruments)
£ . 0 0
263 Carried forward non-trade deficits from loan relationships and
derivative contracts (financial instruments)
£ . 0 0

Deductions and reliefs - continued

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265 Non-trading losses on intangible fixed assets £ . 0 0
275 Total trading losses of this or a later accounting period £ 0 . 0 0
280 Put an 'X' in box 280 if amounts carried back from later accounting
periods are included in box 275
285 Trading losses carried forward and claimed against total profits £ 0 . 0 0
290 Non-trade capital allowances £ . 0 0
295 Total of deductions and reliefs -
total of boxes 240 to 275, 285 and 290 £ 0 . 0 0
300 Profits before qualifying donations and group relief -
box 235 minus box 295 £ 5 0 2 2 . 0 0
305 Qualifying donations £ 0 . 0 0
310 Group relief £ . 0 0
312 Group relief for carried forward losses £ . 0 0
315 Profits chargeable to Corporation Tax -
box 300 minus boxes 305, 310 and 312 £ 5 0 2 2 . 0 0
320 Ring fence profits included £ . 0 0
325 Northern Ireland profits included £ . 0 0
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Tax calculation

326 Number of associated companies in this period
327 Number of associated companies in the first financial year
328 Number of associated companies in the second financial year
329 Put an 'X' in box 329 if the company is chargeable at the small profit rate or is entitled to
marginal relief
Enter how much profit has to be charged and at what rate
0
X
Financial
year (yyyy)
Amount of profit Rate of tax
%
Tax
330 2023 335 £ 5022 340 0.19 345 £ 954.18
p
350 £ 355 360 £
p
365 £ 370 375 £
p
380 385 £ 390 395 £
p
400 £ 405 410 £
p
415 £ 420 425 £
p

Tax calculation - continued

Corporation Taxtotal of boxes 345, 360, 375, 395, 410 and 425 430 £ 9 5 4 . 1 8
Marginal relief 435 £ 0 . 0 0
Corporation Tax chargeablebox 430 minus box 435 440 £ 9 5 4 . 1 8

Reliefs and deductions in terms of tax

445 Community Investment Tax Relief £ .
450 Double taxation relief £ .
455 Put an 'X' in box 455 if box 450 includes an underlying Rate relief
claim
460 Put an 'X' in box 460 if box 450 includes an amount carried back
from a later period
465 Advance Corporation Tax £ .
470 Total reliefs and deduction in terms of tax -
total of boxes 445, 450 and 465
£ .

Coronavirus support schemes and overpayments (see CT600 guide for definitions)

471 Coronavirus Job Retention Scheme (CJRS) Received £ .
472 CJRS Entitlement £ .
473 CJRS overpayment already assessed or voluntary disclosed £ .
474 Other coronavirus overpayments £ .

Energy profits levy

986 Energy (Oil and Gas) Profits Levy (EOGPL) amounts liable £ . 0 0
987 Electricity Generator Levy (EGL) exceptional generation receipts £ . 0 0

Calculation of tax outstanding or overpaid

475 Net Corporation Tax liability -box 440 minus box 470 £ 9 5 4 . 1 8
480 Tax payable on loans and arrangements to participators £ 0 . 0 0
485 Put an 'X' in box 485 if you completed box A70 in the supplementary
pages CT600A
490 Controlled Foreign Companies (CFC) tax payable £ .
495 Bank levy payable £ .
496 Bank surcharge payable £ .
497 Residential Property Developer Tax (RPDT) payable £ .
500 CFC tax, bank levy, bank surcharge and RPDT payable
- total of boxes 490, 495, 496 and 497
£ .
501 EOGPL payable £ .
502 EGL payable £ .
505 Supplementary charge (ring fence trades) payable £ .
510 Tax chargeable -total of boxes 475, 480, 500, 501, 502 and 505 £ 9 5 4 . 1 8
515 Income Tax deducted from gross income included in profits £ .
520 Income Tax repayable to the company £ .
525 Self-assessment of tax payable before restitution tax and
coronavirus support scheme overpayments- box 510 minus box 515
£ 9 5 4 . 1 8
526 Coronavirus support schemes overpayment now due- total of boxes
471 and 474 minus boxes 472 and 473
£ 0 . 0 0
527 Restitution tax £ .
528 Self-assessment of tax payable- total of boxes 525, 526 and 527 £ 9 5 4 . 1 8

Tax reconciliation

530 Research and Development credit £ .
535 (not currently used) £ .
540 Creatives tax credit £ .
545 Total of Research and Development credit and creative tax credit -
total box 530 to 540
£ .
550 Land remediation tax credit £ .
555 Life assurance company tax credit £ .
560 Total land remediation and life assurance company tax credit -total
box 550 and 555
£ .
565 Capital allowances first-year tax credit £ .
570 Surplus Research and Development credits or creative tax credit
payable -box 545 minus box 525
£ .
575 Land remediation or life assurance company tax credit payable -
total of boxes 545 and 560 minus boxes 525 and 570
£ .
580 Capital allowances first-year tax credit payable -boxes 545, 560 and
565 minus boxes 525, 570 and 575
£ .
585 Ring fence Corporation Tax included £ .
586 NI Corporation Tax included £ .
590 Ring fence supplementary charge included £ .
595 Tax already paid (and not already repaid) £ .
600 Tax outstanding -
box 525 minus boxes 545, 560, 565 and 595
£ 9 5 4 . 1 8
605 Tax overpaid including surplus or payable credits -
total sum of boxes 545, 560, 565 and 595 minus 525
£ 0 . 0 0
610 Group tax refunds surrendered to this company £ .
615 Research and Development expenditure credits surrendered to this
company
£ .

Exporter information

During the return period, did the company export goods and/or services to individuals enterprises or organisations outside the United Kingdom (UK)?

616 Yes - goods 617 Yes - services 618 No - neither X

Indicators and information

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620 Franked investment income/Exempt ABGH distributions £ . 0 0
625 Number of 51% group companies
Put an 'X' in the relevant boxes, if in the period, the company:
630 should have made (whether it has or not) instalment payments as a large company under the Corporation Tax
(Instalment Payments) Regulations
631 should have made (whether it has or not) instalment payments as a very large company under the Corporation
Tax (Instalment Payments) Regulations
635 is within a group payments arrangement for the period
640 has written down or sold intangible assets
645 has made cross-border royalty payments
647 Eat Out to Help Out Scheme: reimbursed discounts included as
taxable income £ .
Information about enhanced expenditure
Research and Development (R&D) or creative enhanced expenditure
650 Put an 'X' in box 650 if the claim is made by a small or medium-sized enterprise (SME), including a SME
subcontractor to a large company
655 Put an 'X' in box 655 if the claim is made by a large company
656 Put an ‘X’ in box 656 to confirm that a R&D claim notification form has been submitted
657 Put an ‘X’ in box 657 to confirm that an additional information form has been submitted
659 R&D expenditure qualifying for SME R&D relief £ . 0 0
660 R&D enhanced expenditure £ . 0 0
665 Creative qualifying expenditure and/or additional deduction £ . 0 0
670 R&D and creative enhanced expenditure
total box 660 and 665 £ . 0 0
675 R&D enhanced expenditure of a SME on work subcontracted to it by
a large company £ . 0 0
680 Vaccine research expenditure £ . 0 0
Land remediation enhanced expenditure
685 Enter the total enhanced expenditure £ . 0 0
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Information about capital allowances and balancing charges Allowances and charges in calculation of trading profits and losses

Capital allowances Capital allowances Capital allowances Capital allowances Capital allowances Balancing charges Balancing charges Balancing charges Balancing charges Balancing charges Balancing charges
Annual investment
allowance
690 £
Full expensing 688 £ 689 £
Machinery and plant -
super-deduction
691 £ 692 £
Machinery and plant -
special rate allowance
693 £ 694 £
Machinery and plant -
special rate pool
695 £ 700 £
Machinery and plant -
main pool
705 £ 710 £
Structures and
buildings
711 £
Business premises
renovation
715 £ 720 £
Other allowances and
charges
725 £ 730 £
Capital allowances Disposal value
Electric charge-points 713 £ 714 £
Enterprise zones 721 £ 722 £
Zero emissions goods
vehicles
723 £ 724 £
Zero emissions cars 726 £ 727 £

Allowances and charges not included in calculation of trading profits and losses

Capital allowances Capital allowances Capital allowances Capital allowances Capital allowances Balancing charges Balancing charges Balancing charges Balancing charges Balancing charges Balancing charges
Annual investment
allowance
735 £
Structures and
buildings
736 £
Full expensing 733 £ 734 £
Business premises
renovation
740 £ 745 £
Machinery and plant -
super-deduction
741 £ 742 £
Machinery and plant -
special rate allowance
743 £ 744 £

Other allowances and charges

750 £

755 £

Allowances and charges not included in calculation of trading profits and losses-continued

Capital allowances Capital allowances Capital allowances Capital allowances Capital allowances Disposal Disposal value value
Electric charge-points 737 £ 738 £
Enterprise zones 746 £ 747 £
Zero emissions goods
vehicles
748 £ 749 £
Zero emissions cars 751 £ 752 £

Qualifying expenditure

760 Machinery and plant on which first year allowance is claimed £ 0 . 0 0
765 Designated environmentally friendly machinery and plant £ . 0 0
770 Machinery and plant on long-life assets and integral features £ . 0 0
771 Structures and buildings £ 0 . 0 0
772 Machinery and plant - super-deduction £ . 0 0
773 Machinery and plant - special rate allowance £ . 0 0
775 Other machinery and plant £ 0 . 0 0

Losses, deficits and excess amounts

Amount arising

Amount Amount Maximum available for surrender Maximum available for surrender Maximum available for surrender Maximum available for surrender Maximum available for surrender Maximum available for surrender Maximum available for surrender Maximum available for surrender Maximum available for surrender as group relief as group relief as group relief as group relief as group relief
Losses of trades
carried on wholly or
partly in the UK
780 £ 0 785 £
Losses of trades
carried on wholly 790 £
outside the UK
Non-trade deficits on
loan relationships and
derivative contracts
795 £ 800 £
UK property business
losses
805 £ 810 £
Overseas property
business losses
815 £
Losses from
miscellaneous 820 £
transactions
Capital losses 825 £
Non-trading losses on
intangible fixed assets
830 £ 835 £

Excess amounts

Amount Maximum available Maximum available Maximum available Maximum available Maximum available Maximum available Maximum available Maximum available Maximum available Maximum available for surrender for surrender for surrender for surrender for surrender for surrender for surrender for surrender as group relief group relief group relief group relief group relief group relief group relief group relief
Non-trade capital
allowances
840 £
Qualifying donations 845 £
Management expenses
850
£
855 £
Northern Ireland information
856 Amount of group relief claimed which relates
used against rest of UK/mainstream profits
to NI trading losses £ . 0 0
857 Amount of group relief claimed which relates
used against NI trading profits
to NI trading losses £ . 0 0
858 Amount of group relief claimed which relates to rest of
UK/mainstream losses used against NI trading profits
£ . 0 0

Overpayments and repayments

Small repayments

860 Do not repay sums of £ 0 0 or less.
.
Read the overpayments and repayments section of the Company Tax Return Guide for specific guidance on when and how to make an
entry in this box.
Repayments for the period covered by this return
865 Repayment of Corporation Tax £ .
870 Repayment of Income Tax £ .
875 Payable Research and Development tax credit £ .
880 Payable Research and Development expenditure credit £ .
885 Payable creative tax credit £ .
890 Payable land remediation or life assurance company tax credit £ .
895 Payable capital allowances first-year tax credit £ .

Surrender of tax refund within group

Including surrenders under the Instalment Payments Regulations.
900 The following amount is to be surrendered £ .
Put an 'X' in the appropriate box(es) below
the joint Notice is attached 905
or
will follow 910
915 Please stop repayment of the following amount until we send you
the Notice
£ .

Bank details (for person to whom a repayment is to be made)

920 Name of bank or building society

925 Branch sort code

930 Account number

935 Name of account

940 Building society reference

Payments to a person other than the company

945 Complete the authority below if you want the repayment to be made to a person other than the company I, as (enter status - company secretary, treasurer, liquidator or authorised agent, etc)

950 of (enter company name)

955 authorise (enter name)

960 of address (enter address)

965 Nominee reference to receive payment on company's behalf

970 Name

Declaration

Declaration
I declare that the information I have given on this Company Tax Return and any supplementary pages is correct and complete to the best of my
knowledge and belief.
I understand that giving false information in the return, or concealing any part of the company’s profits or tax payable, can lead to both the company
and me being prosecuted.
975 Name
Joanne Hayhurst
980 DateDD MM YYYY
1
4
0
5 2 0 2 4
985 Status
Manager