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2024-09-30-accounts

Registered
number꞉
09073560

BRADBURY
CARE
CENTRE
LIMITED UNAUDITED
FINANCIAL
STATEMENTS FOR
THE
YEAR
ENDED
30
SEPTEMBER
2024

LTO
Accountancy
Limited

Bradbury
Care
Centre
Limited Contents

Page
CompanyInformation 1
Accountant'sReport 2
IncomeandExpenditureAccount 3
BalanceSheet 4
Thefollowingpagesdonotformpartofthestatutoryaccounts꞉
DetailedIncomeandExpenditureAccount 5—6

Bradbury
Care
Centre
Limited Company
Information For
The
Year
Ended
30
September
2024

Directors MrAdrianSilvester
MrsMandySilvester
CompanyNumber 09073560
RegisteredOffice BradburyCareCentre
ClaypitStreet
Whitchurch
Shropshire
SY131NT
Accountants LTOAccountancyLimited
MAAT
ChurtonRoad
Farndon
Chester
CH36QP

Page
1

Bradbury
Care
Centre
Limited Accountant's
Report For
The
Year
Ended
30
September
2024

In
accordance
with
the
engagement
letter
dated
,
and
in
order
to
assist
you
to
fulfil
your
duties
under
the
Companies
Act 2006,
we
have
compiled
the
financial
statements
of
the
company
from
the
accounting
records
and
information
and explanations
you
have
given
to
us.

This
report
is
made
to
the
directors
in
accordance
with
the
terms
of
our
engagement.
Our
work
has
been
undertaken
to prepare
for
approval
by
the
directors
the
financial
statements
that
we
have
been
engaged
to
compile,
to
report
to
the directors
that
we
have
done
so,
and
to
state
those
matters
that
we
have
agreed
to
state
to
them
in
this
report
and
for
no other
purpose.
To
the
fullest
extent
permitted
by
law,
we
do
not
accept
or
assume
responsibility
to
anyone
other
than
the Company
and
the
Company's
directors
for
our
work
or
for
this
report.

You
have
acknowledged
on
the
balance
sheet
as
at
year
ended
30
September
2024
your
duty
to
ensure
that
the
company has
kept
proper
accounting
records
and
to
prepare
financial
statements
that
give
a
true
and
fair
view
under
the
Companies Act
2006.
You
consider
that
the
company
is
exempt
from
the
statutory
requirement
for
an
audit
for
the
year.

We
have
not
been
instructed
to
carry
out
an
audit
of
the
financial
statements.
For
this
reason,
we
have
not
verified
the accuracy
or
completeness
of
the
accounting
records
or
information
and
explanations
you
have
given
to
us
and
we
do
not, therefore,
express
any
opinion
on
the
financial
statements.

Signed

16/12/2024

LTO
Accountancy
Limited MAAT Churton
Road Farndon Chester CH3
6QP

Page
2

Bradbury
Care
Centre
Limited Income
and
Expenditure
Account For
The
Year
Ended
30
September
2024

TURNOVER
Otherincome
Costofrawmaterialsandconsumables
Staffcosts
Depreciationandotheramountswrittenoffassets
Othercharges
NETSURPLUS
2024
£
388,071

(1,178)
(249,446)
(16,267)
(99,179)
22,001
2023
£
311,902
19,317
(5,531)
(187,398)
(21,486)
(78,649)
38,155

Page
3

Bradbury
Care
Centre
Limited Balance
Sheet As
At
30
September
2024

Fixedassets
Currentassets
Creditors꞉AmountsFallingDueWithinOneYear
NETCURRENTASSETS(LIABILITIES)
TOTALASSETSLESSCURRENTLIABILITIES
Creditors꞉AmountsFallingAfterMoreThanOneYear
NETASSETS
RESERVES
2024
£
29,625
67,302
(53,603)
2023
£
41,217
54,446
(56,028)
13,699 (1,582)
43,324 39,635
(9,515) (27,827)
33,809 11,808
33,809 11,808

Notes

1. General
Information

Bradbury
Care
Centre
Limited
is
a
private
company,
limited
by
shares,
incorporated
in
England
&
Wales,
registered
number 09073560.
The
registered
office
is
Bradbury
Care
Centre,
Claypit
Street,
Whitchurch,
Shropshire,
SY13
1NT.

2. Average
Number
of
Employees

Average
number
of
employees,
including
directors,
during
the
year
was꞉
12
(2023꞉
10)

For
the
year
ending
30
September
2024
the
company
was
entitled
to
exemption
from
audit
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
in
accordance
with
the
micro‑entity
provisions.

On
behalf
of
the
board

Mrs
Mandy
Silvester

Director

16/12/2024

Page
4

Bradbury
Care
Centre
Limited Detailed
Income
and
Expenditure
Account For
The
Year
Ended
30
September
2024

TURNOVER
Sales
OTHERINCOME
Otheroperatingincome
COSTOFRAWMATERIALSANDCONSUMABLES
Costofsales꞉
Purchases
Distribution꞉
Wastedisposal
STAFFCOSTS
Costofsales꞉
Subcontractorcosts
Directors'salaries
Directors'NI
Wagesandsalaries
EmployersNI
Employerspensions‑definedcontributionschemes
Administration꞉
Recruitmentcosts
Stafftraining
Staffwelfare
Healthandsafetycosts
Protectiveclothing
Staffentertaining
DEPRECIATIONANDOTHERAMOUNTSWRITTENOFF
ASSETS
Depreciationofmotorvehicles
Depreciationoffixturesandfittings
Depreciationofcomputerequipment
OTHERCHARGES
Otherdirectcosts꞉
Consumableitems
Otherdirectcosts
Premisesexpenses꞉
Rent
Lightandheat
2024
£
£
388,071

388,071
846
332
(1,178)
4,681
52,458
7,143
168,173
6,882
3,527
242,864
474
1,130
3,466
1,512


6,582
(249,446)
6,415
9,462
390
(16,267)
34,098

34,098
6,500
15,139
2024
£
£
388,071

388,071
846
332
(1,178)
4,681
52,458
7,143
168,173
6,882
3,527
242,864
474
1,130
3,466
1,512


6,582
(249,446)
6,415
9,462
390
(16,267)
34,098

34,098
6,500
15,139
2023
£
£
311,902
19,317
331,219
5,531

(5,531)
2,774
34,079

144,539

2,100
183,492
611
2,081


433
781
3,906
(187,398)
4,571
16,915

(21,486)
30,158
2,884
33,042
4,500
11,875
...CONTINUED
388,071
(1,178)
(249,446)
(16,267)
242,864 183,492
474
1,130
3,466
1,512

611
2,081


433
781
6,582 3,906
6,415
9,462
390
4,571
16,915
34,098
30,158
2,884
34,098 33,042
6,500
15,139
4,500
11,875

Page
5

Bradbury
Care
Centre
Limited Detailed
Income
and
Expenditure
Account
(continued) For
The
Year
Ended
30
September
2024

Waterrates
Cleaning
Premisesinsurance
Generaladministrationcosts꞉
Hireandleasingofplantandmachinery
Vehiclerunningcosts
Vehiclefuelcosts
Vehicleinsurancecosts
Vehiclerepaircosts
Computersoftware,consumablesandmaintenance
Repairs,renewalsandmaintenance
Printing,postageandstationery
Telecommunicationsanddatacosts
Accountancyfees
Legalfees
Professionalfees
Otherservices
Subscriptions
Professionalsubscriptions
Bankcharges
Sundryexpenses
NETSURPLUS
2,495
637
2,968
(99,179) 2,111
754
2,342
(78,649)
27,739 21,582


5,714
1,865
4,123
5,463
6,066
958
3,872
1,447
1,158
660
2,937

1,844
193
1,042
108
272
5,739
2,352
4,350
2,071
1,100
1,019
3,593
1,545

185

870

188
633
37,342 24,025
22,001 38,155

Page
6