Charlty R•glstratlan No. 1156096
Company Registratlon No. 08642517 (England and Wales)
THE CLUB CRICKET ORGANISATION LIMITED
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2020

THE CLUB CRICKET ORGANISATION LIMITED
LEGALAND ADMINISTRATIVE INFORMATION
Trustees
thAr R Book
mrMJO￿*n
Mr C H Lewls
Mr C J Buckle
Mr S M Prodger
Charlty numbor
1156096
Company number
08642517
Principal addres$
Flat 1
Manor Wood Lodge
1 C￿MbehU[SI Close
Barnèt
Herts
EN4 OJU
Regl$t•rfjd offlce
24-26 Hlgh Slreet
Hampton Hlll
Hamplon
Middlesex
TW12 1PD
Independent examiner
Carter Ba(*erWinler LLP
66 Prescot Street
London
E1 8NN

THE CLUB CRICKET ORGANISATION LIMITED
CONTENTS
Page
Truslees. reprxt
Independent examinefs report
Slalemenl of finan(Y818¢tiviti8s
Balance sheet
Notes to the financial slalements
7-12

THE CLUB CRICKET ORGANISATION LIMITED
TRUSTEES, REPORT (INCLUDING DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 AUGUST 2020
Th8 Iwstees present their report and fjnanual statements the year ended 31 August 2020.
The accounts have been prepared in a¢￿)rdance vrilh the aC￿lfiting policies sel out in note I to the accounts
and comply wlh the charIt￿S Articles of Association. the Companies Aci 2(KJ6 and -Accounling and Reporting
by Chariiies= Slalement of Recommended Practice applicable to charities preparing their accounts in
accordance with the Financial Reporting Standard applicable in Ihe UK and Republic of Ireland IFRS 102)" {as
amended for accounting periods commen(ing fiom 1 January 2016)
Oble¢tiv&s and aetlvltles
The charitls objecls are to promote communily partiupation in heallhy re(Tration by the playng of crid(el and
olhor sports capable of improving heallh and has been rKJ d)ange in these during the year.
The trustges have paid due regard lo guidan￿ issued by tho Charity Commission in detadlng what aclivilies
the charity should undertakè.
A¢hl•v8ments and perforn]an¢è
During Ihe year. the ChaTily Consolidated its position wlhin the (xcket community and ralsed awareness of its
objeclives and aims. Having received an initial donalion to allow Ihe charity lo begin operations a book enlilled
The Reluclanl Umpire was published by the charity lor sale through the tharity websile to raise funds. The
ele¢lronlc version of the tr￿k is being wepared fordislribulion at Ihe end 012020.
The Trustees have put a major emphasls on raising funds for the distribuiion and supply of portable
defibrillator units lo cricket and teams. The Charity has obtained donalions from private trusts and
individuals and has obtained an increased donation of a furfher £2(K).000 from thè England and Wales Crickot
Board for IhSs purpose in our accDLbnliny yèar 2019120.
In March 2020, the World Health Organization declared COVID-19 (Coronamrus) a global parKlemSc. The
COVID-19 pandemic has caused global economic uD¢&rt8inty and has adversely affected workforces.
e¢onomies, and financial markets globally. Measures have been pul in place to combat Ihe spread of the
virus. which in¢lude the implementation of travel bans. self-imwsed quarantine periods. social distancing. and
temporary closures of non-e5sefttial businesses. The pandemic has curiailed the raising of funds in Ihe year.
as ihe cricket clubs have not been able to open and Iherefore operdle as nomwl, so Ihe charity have not btsen
able lo purchase equipment.
Flnancial review
The charity continues to explore ways to obtain n9w funding to meel its objectives.
R•seNes policy
The Trusle8s are satisfied wth the slate of affairs of the Charity.
The Charity has resolved lo hold a reserve of £500 to CA)ver ony outstanding short 18m) seuetarial and
administrative functions payable to third parties.
The trustees has assessed the major risks to which the charity is exposed, and are salisfied that systems are
in place lo mitigate exposure to the major risks.
The trustee's have assessed the major risks lo the Charftys aCtI￿lieS as follows..
a. Fraud andlor embezzlement- thè Truslee's have pul into pla¢x suitable safeguards for signatori8s lo the
Charilys account lo miligale su¢h risks.
b. Liligalion - the Tmslee's have given due dli igen(* to all ￿ntracal￿al arrang8ments wth third parlies which
might lead to any liligation.
c. Cyber attack- the Trusl•è's have used their best endeaV￿rS to secure ￿MmUnICatIOnS tK)Ih intemally and
externally.

THE CLUB CRICKET ORGANISATION LIMITED
TRUSTEES, REPORT {CONTINUEDI{INCLUDING DIRECTORS. REPORn
FOR THE YEAR ENDED 31 AUGUST 2020
Plans for futur• perlods
Th8 Charity wll continue in 115 role as a provider of fijnds to amateur and recreational cricket. The defibrillator
supply project wi51 continue for the foreseeable future. The Trustees are in negolialion with other charities and
organisalions lo further Ihe inlerests ol ¢ricket clubs in their pursuit of new members. The Irustees will uso
Ih$lr bast efforts to promote thè values of club cri¢ket in Ihe context of their local communi118S.
Strudur81 governance and management
The d)arity is a company rim1￿ by guarantee.
The Iruslees, who are atso the directors lor the PLtrpos8 of company law. and vtho seNed during th8 yoar
were..
Mr R Book
MrMJOwen
Mr C H Lewi$
Mr C J Buckla
Mr S M Prodger
Trusteès are recruited Irom volunteers from wilhin the ejlcket community. of people wth experien¢8 In the
running of grass r(K)Is crickel dubs and organisations and are appolnted by ratification of th6 existing board of
trustees.
Nonts of the trustees has any ￿nefI￿al interest in the company. All of the truslees are members of the
company and guarantee to contribute £1 In the event of a winding up.
There are re￿Ie￿ partles.
te
ort was approv8d by the Board of Trustees.
Mr R Book
Tnjslee
Dated..
?.s{,...I
IL4

THE CLUB CRICKET ORGANISATION LIMITED
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF THE CLUB CRICKET ORGANISATION LIMITED
I report to the truslees on my examination of Ihe financial slalwnenls of The Club Crid(et Organlsalion
Limiled (the charity} for Ihe year ended 31 August 2020.
Responslbllltles and basls of report
A5 the trustees ol the charity {and also its (Jirectows for Ihe purposes of usmpany lawl you a￿ responsible
for the preparation of th$ financial slalements in acuKdance wlh the requirements of the Companies Act
2006 {the 2￿6 A¢tl.
Having satisfied myself that the financial slal8wnenis of Ihe charity are nol required lo be audited under Part
16 of the 2006 Ad and are eligible for Independent examinalion, I report in respect of my examinalion of th6
charity's finan¢i81 slalemenls carried out under seclion 145 of Ihe Charities Act 2011 Ilhe 2011 Acll. In
carryiny out my examinalion I have followed all the atwicable Direclions given by the Charity Commission
under section 14515llb} of the 2011 Act.
Indepèndent examlnerfs statement
Since the charity's gross incom8 exceeded £250.0￿ yC￿1r examiner musl be a member of a bcdy lisled in
section 145 of the 2011 Act. I confirm that l am qualified to undertake Ihe examination because l am a
member ofthe Institule of Chartered Accountants in Eruland and Wales. which is one ol Ihe listed bodles.
I have completed my examinalion. I confim thal no matleis have come lo my attention In connection wlh
the examination gwing me cause lo believe Ihat in any materi81 respeci=
aecounting records were not kept in respect of the tharity as required by section 386 of the 2006 Act.
the finan(aal statemenls do not a¢(x)rd those reoJr(Is'
the financial statements do not comply wsth the accounting requirements of section 396 of Ihe 2006 Act
other than any requirement that the accounts give a true and fair view which Is not a malter consldered
as p8rt of an independenl examination- or
the financlal stalemenis have not been prepare(l in accx)rdance with the melh(xls and principles of the
Sialement ol Recommended Practice for acA)uniing and repofbng by challties appllc2ble lo charities
preparing Iheir Accounls in accordance vJith the Finan(aal RerM)rting Slandard applicatrAe in Ihe UK and
Republic of Iieland IFRS 102)-
I h8ve no ￿}nCernS and have come a¢ro&8 no other matters in ¢x&nnection with the examination lo whlch
attention should be drawn in this report in order lo enable a proper understarKling of the finall￿al ststements
to be reached.
Paul WooseyACA. FCCA
66 Prescot Slreet
London
E18NN
Dated-. 3 Marth 2021

THE CLUB CRICKET ORGANISATION LIMITED
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOMEAND EXPENDITUREACCOUNT
FOR THE YEAR ENDED 31 AUGUST 2020
Unrestricted Restriet•d
funds
funds
2020
2020
Total
Total
2020
2019
Notes
ncome from:
Donations and legacies
Charitable adivities
Investments
92.174
6.902
126
21N).(MXI 292,174
6.902
126
114.774
7.841
Total Ineome
99,202
200.000
299.202
122.670
Raisino funds
5,902
5,902
5,463
Charitable a¢tivities
75.170
165.170
64,858
Total resources expended
81,072
90.000
171,072
70.321
Net incom• for the yearl
Net movemont In funds
18.130
110.000
128.130
52,349
Fund balances at 1 Seplember 2019
59,383
7.034
Fund balances at 31 August 2020
77.513
110,IKK)
187.513
59.383
The slatemenl of finanual activities inthdes all gains and k)ss85 recognised in Ihe year.
All income and expenditure derive from continuing ac11vit￿$.
The slalemenl of financial activities also (xynplies the requIrem￿ts fly an IrK0￿ and expenditure account
under the Companies Act 2006.

THE CLUB CRICKET ORGANISATION LIMITED
BALANCE SHEET
AS AT 31 AUGUST 2020
2020
2019
Notès
Fixed as58ts
Intangible assèts
Current assets
Stocks
Cash at bank and in hand
10
1.814
2,134
11
571
65.111
193.275
193.275
65.682
Craditors: amounts f8lling du8 within
one year
12
(1,576)
{5,433)
Net ¢urrent assets
185,699
60.249
Total assets less current liabilities
187,513
62,383
Creditors.. amounts falling du• after
more than one y•ar
13
13.0001
Net as$•ts
187.513
59,383
Income funds
Reslricled funds
Unrestricted funds
14
110,￿•
77.513
50,0(
9,383
187.513
59.383

THE CLUB CRICKET ORGANISATION LIMITED
BALANCE SHEET (CONTINUED)
AS AT 31 AUGUST 2020
The Company is entitled lo the exemption from the audit requirement wntained in $8Ction 477 of the Companles
Act 2006, for the year erHled 31 August 2020.
The Iruslees aGknowledge their responsibililies for ensuring thal the charity keeps 8¢¢ounting records whlch
comply with section 386 of the Act and for preparing finanaal slalements which gNe a Inje and fair view of the
stale of affairs of th8 company as al the end of the finanrAal year and of its incoming resources and applicalion of
resources. including its income and expendilure. for lh8 finanual year in accordance wth the requiTemtsnts of
sectlons 394 and 395 and which othe￿Ise comply wth Ihe requirements of the Companies Act 2006 relating to
financial statements, so far as applicable lo the u)mpany.
The members have not required the cA)mpany lo obtain 8n audit of its financial s18tements for the year In
question in accordance wth section 476.
Thesg finandal statements have been p￿Pared in accAydance wth the pyovislons applicable lo wmp8ni8s
sublecl to Ihe small companies regime.
The financta
9.316a.IAo
lalements were approved by the Trustees on .. .
Mr R B(K>k
Trustee
Company Regi$tratlan No. 08642517

THE CLUB CRICKET ORGANISATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2020
Ae¢ountlng policies
Charlty Infomiatlon
Tha CILJb Cricket Or9anisation Limited is a private company limiled by guarantee in¢orporated in England
and Wales. Th6 regislered office is 24-26 High Stre81. Hamplon Hill. Hampton, Middlesex. TW12 IPD.
1.1 A¢¢ountlng convention
Thè accounts have been prepared in a¢<x)rd2nce wlh the charivs Arfides of Asso¢iatlon, the Companies
Acl 2006 and -A¢¢ounting and Repotting by Charities- Statemenl of Recommended Practice appli¢able to
charities preparing their accounts in accordan¢% with the Finan￿al Reporting Standard applicabl¢ in the
UK and Republic of Ireland (FRS 102)" las amended for acxx)unting periods commencing from 1 January
20161. The charity Is a Public Benefit Enllty as defined by FRS 102.
The ¢h8rity has taken advantage of the prwsions in the SORP for tharities applying FRS 102 Update
Bulletin 1 not to pr8pare a Siatemenl of Cash Fjows.
The financial slalemènts are prepared in steiling. which is the functional caJrrenGy of the tharily. Monetary
amounts in those financAal slalemenis are Tounded to the nearest £.
The financial stslements have been prepared under Ihg historical cost convention, modified lo in¢lud6 the
revalu81ion of freehold properlles and lo include inveslment properties and certain financial Inslrumenls at
faSr value. The prindpal a¢counling w)lides adopted are set ¢xJl below.
1.2 Golng concern
Al thè time of approving the financial stslemants. the trustees have a reasonable expectalion Ihal the
charily has adequate reSoUr￿S lo continue in operational exislence for the foreseeable fulure. Thus the
trustees continue to adopt the going concern basis of accounting in preparing the finanaal slalemgnts.
1.3 Charltable funds
Unr¢stricled lunds ar8 available for use at the discretion of the trustees in furtheranco of their charitabl8
objeclives unless the funds have boen designated for other purKM)ses.
1.4 Incomlng resource5
Income Is recognised when the tharity is legalty entided to il after any perfomiance conditions have been
mel, the amounts can b8 measured reliably, and it is probable that income will be received.
Cash donatlons are recognised on receipt. Other donations are rewgnised once the charity has been
notified of the donation, unless performance ¢ondittons require deferral of the amount. Income tax
r8coverable in relation to donations received Un￿ Gift deeds of cA￿enant is recognised at the lim8
ol the don8ts0n.
Legacies are recognised on receipt or olherwise if th8 charity has been notified of an impendSng
dislribulion. th8 amoLFnl is known. and receipt is expected. If the amount is not known. the kgacy Is treated
as a contlngenl asset.
Turnover is mÈ8sured al the fair v8lue of Ihe consideratlon received or receivable and represents amounts
receivable for go(xJs and seNi(£s prowded in the nomial COU￿ of I￿sIne&s. net of discounts, VAT and
other sales relal8d tsxes.

THE CLUB CRICKET ORGANISATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2020
Accountlng policies
(Contlnuedl
1.5 Resources expended
Cost of ggnerating furnls (y)mprise of Ihe cx)st asso(¥*ed atlracling voluntary inttjme.
1.6 Tangible fixed assèts
Tangible fixed assets are initialty ￿8S￿red at cost arKI subsequenlly measured al cost or valuation. net of
depreciatlon and any impaimient losses.
Depreciation Is recognised so as lo ￿te off Ihe cost ￿ V8luallon of assets less their resldual values over
their useful lives on Ihe foiiowing bases:
Website
15% Redudng bakn
1.7 Stocks
Stocks are staled al the lower of cost and nel realL￿ble value.
Net realisable value is the ostimated selling less all estimated u)sls of wmpleiion and ¢>)sts lo be
incurred in maikellng, seUiThJ and disllibulion.
1.8 Cash and cash equival8nts
Cash and cash equivalents include cash In hand. derrt)sits hekj at call wlth banks. other short-temi liquid
investments with original malurilies of lh￿e months OT less, and bank overdrafts. Bank overdrafts are
shown within borrowngs in cu￿nI liabilities.
Donations and 18gacles
Unrestricted Restri¢tod
funds
funds
Total
Tolal
2020
2020
2020
2019
Donations and gifts
92.174
200.000
292.174
114,774
For the yèar ended 31 August 2019
14,774
I￿.000
114.774
Charltable activities
2020
2019
BcK>k Sales
Golf day salès
Film dislllbulion sales
22
6.400
480
101
6,300
1.440
6,￿2
7.841

THE CLUB CRICKET ORGANISATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2020
Investments
Unrèstrlcted
funds
Total
2020
2019
Interest racelvable
126
Raising funds
Vnrestrieted
funds
Total
2020
2019
Fundrdisin
Advertising
Other fundraising Costs
nd ublicil
851
5,051
953
4.510
Fundraising and publi(xty
5.902
5,463
5,902
5.463

THE CLUB CRICKET ORGANISATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2020
Charitablè actlvltles
2020
2019
Depreciation and imp8lrment
Heart Defibrillators
Charitable expenditure hea(ling 3
320
158.621
549
377
60,916
159,4
61,293
Share of govemance costs (se8 not8 7)
3,565
165,170
64.858
Analysls by fund
Unrestricted ftjnds
Restricled funds
75.170
90,000
14.858
50.000
165.170
64,858
For the year endgd 31 August 2019
Unrestricled funds
Reslricted funds
14,858
50.000
64,858
Support costs
Support Governance
costs
Costs
2020
2019
Legal and professional
Subscription
Bank charges
Accountancy fees
2,201
329
287
2,863
2.201
329
287
2.863
847
516
299
1.903
5.680
5,6BO
3,565
Analysed belween
Charitable activities
5,680
3.565
Trustees
None of the Irusleès {or any persons connèejed wth them) re￿Ned any remuneration or b8n6fits from the
charity durlng the year.
10-

THE CLUB CRICKET ORGANISATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2020
Employees
There were no empktryees duiing Iha year.
10 Flx¥d assets
Wèb8lt8
Cost
At 1 Seplomber 2019 and 31 August 2020
3.419
Doprèclatlon and impaimiènt
Al 1 September 2019
Depreciation d￿rged for the year
1.285
320
At 31 Augusl 2020
1,605
Carrying amount
At 31 August 2020
1,814
At 31 August 2019
2,134
11 Stocks
2020
2019
Books for sale
571
12 Credltors: amounts falling duè wlthln one year
2020
2019
Other ¢redilors
Accruals and deferred income
4,800
2,776
3,235
2.198
7.576
5,433
13 Creditors.. amounts falling due ¥ft¢r more than one year
2020
2019
Borrowings
3.000
In 2013 a loan ol £S.000 was given lo thè d)arity by The Club Crickel Conference Limilod. The net
mov8mant during the year was t3,(￿. The loan balance due to The Club Cricket Conlerence as al 31
August 2020 is £Nil {2019.' £3.(M)O).
11

THE CLUB CRICKET ORGANISATION LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2020
14 Restrlcted funds
The income funds of thè ¢th8rity indude reslricttrd fvnds C￿np￿sIng the followlng unexpended b818nces of
donations and grants held on trust for spedfi¢ purposes:
Movemènt In funds
Incomlng
¥a80ur¢•8
Balanc• at
1 September
201Y
ResoLsr¢es
Balance at
expended 31 August 2020
General restricted fund
So.(￿ 200,000
190.IY)01
160,000
50,000 200.000
190,0001
160.000
15 Unrestricted fund$
General fijnds are available for use at the Iru$lees' discrelion.
Movemtnt In funds
Incomlng
Balance al
1 Septfrmb
2019
Resources
Balance at
xpended 31 August 2020
General fund
9.383
99,202
(80.5231
28.062
9,383
99.202
{80,523}
28.062
16 Analysls of net asset$ bètween funds
Totsl
2020
Total
2019
Fund balances at 31 Augusl 2020 are represented ty.
Inlangible fixed assets
Current assetsllliabililies)
Long tsmi liabilities
1.814
185.699
2,134
60,249
{3.0001
187.513
59,383
17 Related party Iransaction$
Ther8 wero no disck)sable related p8ty traNsaCtr￿S the year (2019- none).
12-


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