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2022-03-31-accounts

Report to the Trustees
Report ofthe Independent
Auditors
7-8
Statement of Financial Activities
Balance Sheet 10
Cash Flow Statement
Notes to the Financial Statements 12-20
Detailed Statement
of
Financial Activities 21-22

2023 2023 2023 2022
Unrestricted Restricted Total Total
Notes Funds Funds Funds Funds
f:
Income and endowments from
Donations
and legacies
36,091 36,091 46,691
Other trading
activities
Other income
2,431,353
10,204
2,431,353
10,204
2,611,974
8,474
Total 2,477,648 2,477,648 2,667,139
Expenditure
on
Raising funds 1,492,813 1,492,813 1,503,245
Charitable
activities
Charitable
activity
467,669 467,669 737,575
Total 1,960,482 1,960,482 2,240,820
Net income 517,166 517,166 426,319
Transfers
between funds
13
Net movement
in
funds 517,166 517,166 426,319
Reconciliation
of
funds
Total funds brought forward 2,478,013 2,478,013 2,051,694
Total funds carried forward 2,995,179 2,995,179 2,478,013

Forces Support Limited
Balance Sheet
as at31stMarch 2023
2023 2022
Total Total
Notes Funds Funds
Fixed assets f.
Tangible assets 348,269 354,818
Current assets
Debtors
Cash at bank and in hand
Cash at bank for future funds
69,094
793,440
1,888,848
64,284
425,554
1,879,049
Creditors 2,751,382 2,368,887
Amounts
falling due within one year
12 (104,472) (245,692)
Net current assets 2,646,910 2,123,195
Total assets less current liabilities 2„995,179 2,478,013
Net assets 2,995,179 2,478,013
Funds
Unrestricted funds 2,995,179 2,478,013
Total funds 2,995,179 2,478,013

Notes 2023 2022f
Cash flows from operating activities
Cash generated
from operations
17 377,685 384,994
Net cash provided
by operating
activities
377,685 384,994
Cash flows from investing activities
Purchase
oftangible
fixed assets
Sale oftangible
fixed assets
(366,251)
23,200
Net cash provided
by/(used
in) investing activities (343,051)
Change
in cash and cash
equivalents in the reporting period 377,685 41,943
Cash and cash equivalents at the beginning ofthe reporting period 2,304,603 2,262,660
Cash and cash equivalents at the end ofthe reporting period 2,682,288 2,304,603

2023 2022
E
Donations 36,091 46,691
36,091 46,691
Other trading activities
2023 2022
F F
Shops —sale ofdonated goods 2,431,353 2,441,500
Government grants 170,474
2,431,353 2,611,974

4. Raising funds Raising funds
Other trading
activities
2023 2022
F
Staff costs 862,428 842,489
Rent, rates and water 192,584 133,506
Light and heat 99,356 145,728
Repairs and maintenance 5,816 25,727
Insurance 12,985 13,486
Other establishment costs 69,827 52,205
Motor expenses 16,720 13,242
Travel and subsistence 26,109 15,698
Telephone
and internet
4,855 4,061
Sundry expenses
Collection ofdonated goods 175,934 233,785
Credit card charges 26,199 23,318
1,492,813 1,503,245
5. Charitable
activities
costs
Support
Direct costs (see
Costsf note 6) Totals
Charitable
activity
266,885 200,784 467,669
Support costs
Governance
Management costs Totals
E F
Charitable activity 196,284 4,500 200,784

2023 2022
E F
Auditor's remuneration 4,500 4,300
Depreciation —owned assets 13,527 12,023
Surplus on disposal offixed assets (6,978) (13,227)

Staff costs
2023 2022
Wages and salaries 947,582 918,291
Social security costs 59,565 49,240
Other pension costs 34,387 54,301
1,041,534 1,021,832
The averag e monthly
number
ofemployees
during the
year was as follows:
2023 2022
Charitable projects 1 1
Shops and fundraising 54 55
Management and administration 9 9
64 65

10. Tangible fixed ass ets
Land and Office Motor
buildingsf equipmentf vehiclesf Totalf
Cost
At 1st April 2022 315,000 3,154 76,150 394,304
Additions
Disposal (24,900) (24,900)
At 31st March 2023 315,000 3,154 51,250 369,404
Depreciation
At 1st April 2022 1,801 37,685 39,486
Disposal (31,878) (31,878)
Charge for year 714 12,813 13,527
At 31st March 2023 2,515 18,620 21,135
Net book value
At 31st March 2023 315,000 639 32,630 348,269
At 31st March 2022 315,000 1,353 38,465 354,818
11. Debtors: amounts falling due within one year
2023f 2022f
Other debtors 35,459 36,570
VAT 13,687 17,937
P repayments 19,948 9,777
69,094 64,284
12. Creditors: amounts falling due within one year
2023f 2022f
Trade creditors 78,662 214,880
Social security and other taxes
Pensions 4,448 4,165
Accruals 21,362 26,647
104,472 245,692

Ther e were no res tricted
funds
in 2023.
At 1st At 31st
April Income Expenditure Transfers March
2021 2022
F F E
The National Lottery repairs
and maintenance fund 10,000 (33,524) 23,524

Minimum
lease payments
under non-cancellable
ope
rating
leases fall due as follows:
2023 2022
Within one year 114,750 68,066
Between one and five years 277,417 190,420
392,167 258,486

Reconciliation
of n
et income to net cash flow from operating
activiti
es
2023 2022
Net income for the reporting period (as per the
Statement of Financial Activities) 517,166 426,319
Adjustments
for:
Depreciation
charges
13,527 12,023
Profit on disposal of fixed assets (6,978) (13,227)
Write back of tangible fixed assets
Decrease
in stocks
(Increase)/decrease in debtors (4,810) 8,886
Increase/(decrease) in creditors (141,220) (49,007)
Net cash provided by operations 377,685 384,994
Analysis ofchanges in net funds
At 1/4/22
F
Cash flow
f
At 31/3/23
E
Net cash
Cash at bank and
in
hand 2,304,603 377,685 2,682,288
2,304,603 377,685 2,682,288
Total 2,304,603 377,685 2,682,288

2022 2022 2022
Unrestricted Restricted Total
Fund Fund Fund
f. E
Income and endowments from
Donations
and legacies
36,691 10,000 46,691
Other trading
activities
2,611,974 2,611,974
Other income 8,474 8,474
Total 2,657,139 10,000 2,667,139
Expenditure
on
Raising funds 1,503,245 1,503,245
Charitable
activities
Charitable
activity
704,051 33,524 737,575
Total 2,207,296 33,524 2,240,820
Net income 449,843 (23,524) 426,319
Transfers
between funds
(23,524) 23,524
Net movement
in
funds 426,319 426,319
Reconciliation
of
funds
Total funds brought forward 2,051,694 2,051,694
Total funds carried forward 2,478,013 2,478,013

Detailed Statement of
for the year ended
Financial Activities
31stMarch 2023
2023 2022
Income and endowment
Donations
and legacies
Donations 36,091 46,691
Other trading
activities
36,091 46,691
Shops —sale ofdonated goods 2,431,353 2,441,500
Government
grants
170,474
Other income 2,430,971 2,611,974
Other income 10,204 8,474
Total incoming
resources
2,477,648 2,667,139
Expenditure
Wages and salaries 804,612 777,556
Employers'
national
Pensions
insurance 42,593
15,223
34,378
30,555
Rent, rates and water 192,584 133,506
Light and heat 99,356 145,728
Repairs and maintenance 5,816 25,727
Insurance 12,985 13,486
Other establishment costs 69,827 52,205
Motor expenses 16,720 13,242
Travel and subsistence 26,109 15,698
Telephone
and internet
4,855 4,061
Sundry expenses
Collection ofdonated goods 175,934 233,785
Credit card charges 26,199 23,318
1,492,813 1,503,245
Charitable
activities
Wages and salaries 62,125 62,912
Employers'
national
Pension
insurance 8,101
15,371
7,828
19,635
Materials
purchased
787
Legal and professional fees 465 646
Project related purchases 180,823 435,530
266,885 527,338

Detailed Statement of Financial A
for the year ended 31st
ctivities (continued)
March 2023
2023 2022
F
Support costs
Wages and salaries 80,845 77,823
Employers'
national
insurance
8,871 7,034
Pension 3,793 4,111
Rent, rates and water 3,917 7,859
Light and heat 2,594 633
Insurance 3,152 2,110
Motor expenses 3,021 3,579
Repairs and maintenance 6,235 39,905
Travel and subsistence 831 2,426
Legal and professional fees 24,709 20,161
Telephone
and internet
19,677 17,768
Sundry expenses 4,170 3,707
Bank charges 7,762 7,647
Printing,
post and stationery
696 878
Recruitment
and training
6,666 4,087
Computer
and website
expenses 2,544 2,443
Staff welfare 2,083 300
Tangible fixed asset written off/(written back)
Credit card charges 8,169 4,670
Depreciation
oftangible
and heritage assets 13,527 12,023
Profit on sale oftangible fixed assets (6,978) (13,227)
Governance costs 196,284 205,937
Auditor's
remuneration
4,500 4,300
Total resources expenses 1,960,482 2,240,820
Net income 517,166 426,319