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2021-12-31-accounts

Trustees Report 2021

Part time Admin post developed through funding. Done as a job share to support continuity of a definite additional staff member. Necessity developed due to new work developed by Business development Officer.

They were employed to develop daytime hire and maintain nighttime hire.

We have not provided a full report for this account year as a lot of our work was still linked to the pandemic Covid 19 support through the following:

As restrictions eased, we began reintroducing room hires.

Facebook: Seaham youth and community centre Seahamyouthcentre@hotmail.com 0191 581 2426

SEAHAM YOUTH CENTRE

FINANCIAL STATEMENTS FOR THE PERIOD ENDING 31[ST] DECEMBER 2021

CHARITY NO. 1163327

OVERVIEW

1.1. Seaham Youth Centre is a Charitable Incorporated Organisation (CIO) and is governed through the Charities Act and a constitution

document (dated 27th March 2014) with voting members other than its charity trustees.

1.2. The charity trustees shall manage the affairs of the CIO and have appointed a part time administrator to manages the Youth Centre on a day to day basis.

1.3. The charity trustees must comply with the requirements of the Charities Act with regard to keeping of accounting records etc.

1.4. The aims and objectives of the Youth Centre is to help young people through leisure time activities so as to develop their physical, mental and spiritual capacities that they may grow to full maturity as individuals and members of society that their conditions of life may be improved.

1.5. During the year the Youth Centre received income of £63,951 mainly from support grants, funding and room hires. This included income invoiced in 2021 but not received.

During the year the Centre also managed to recover £5,472 owing from previous years (2019 and 2020), which are not included in the 2021 amounts.

Previous years outstanding amounts has now been reduced to £6,491, which are mainly for 2020 and action is being taken.

Expenditure for the year was £74,035 with the majority of payments for the running of the Centre such as wages. utilities, building works and maintenance. There was a deficit for the year 2021 of £10,084

1.6 The Fund Balance of £35,292 reconciled to the Bank Statement and the cash held as at 31[st] December 2021.

Independent Examiners Report

2.1. I (Gordon Fletcher, C.M.I.I.A.) have reported on the accounts of Seaham Youth Centre for the calendar year ending 31[st] December 2021.

2.2. This report is in respect of an examination carried out in accordance with the Charities Act.

2.3. The examination includes a review of the accounting records kept by the trustees, including a review of the accounts and making such enquiries as are necessary for the purpose of this report.

2.4. Based on my examination, systems and procedures have significantly improved with the appointment of an Administrator, and no recommendations were required in an internal report, apart from follow up action on the outstanding accounts No other matter has come to my attention which the trustees are not aware of, and the accounts presented do accord with the accounting requirements of the Charities act.

Gordon Fletcher (C.M.I.I.A.)

Independent Auditor

Date: 30[th] October 2022

The Trustees (Management Committee) are responsible for maintaining proper accounting records, which disclose with reasonable accuracy the financial position of the Charity. This report has been prepared in accordance with the Statement of Recommended Practice: Accounting and Reporting by Charities (issued March 2005). An internal audit report has been completed for the year 2021 and discussed with the Centre Manager and submitted.

This report has been approved by the Trustees (Management Committee) at the Management Committee meeting on ……………………………….

Income and expenditure records for Seaham Youth Centre for period ending 31[st] December 2021

Opening Fund Balance as at 1[st] January 2021 = £ 45,376 Income during the year 2021 = £ 63,951 Expenditure during the year 2021 = £ 74,035 Deficit for the year 2021 = £ 10,084 Closing Fund Balance as at 31[st] December 2021 = £ 35,292

For details of breakdown of income and expenditure, see next pages.

Reconciliation to Bank Statement as at 31stDecember 2021 Reconciliation to Bank Statement as at 31stDecember 2021
Closing Bank Balance as at 31stDecember 2021 = £ 22,855
Less paypal cheque outstanding = £ -26
Less unidentifed amount = £ - 3
Add closing cash income held = £ 0
Add invoiced income outstanding 2020 = £ 6,075
Add invoiced income outstanding from 2019
= £ 416
Add invoiced income for 2021 not recived = £ 5,975
Reconciled Balance to Fund = £ 35,292

Breakdown of income

Cricket = £ 285 Football = £ 1,130 Jazz band = £ 500 Sensory place = £ 420 Events/Parties = £ 120 Home group = £ 2,300 Ways to wellbeing = £ 480 Support groups = £ 1,190 Meetings = £ 250 Rent = £ 3,040 Refreshments = £ 120 Recycling = £ 249 Funding = £ 7,000 Grants = £37,691 JRS Furlough = £ 1,748 Refunds = £ 1,207 Donations = £ 246 Invoices not paid to allocate = £ 5,975 TOTAL = £63,951

Breakdown of Expenditure

Utilities = £ 12,034 Wages and Training = £ 35,020 Licences = £ 516 Communications = £ 1,351 Postage, printing, stationery = £ 1,353 Maintenance and Renewals = £ 6,182 Insurance = £ 2,196 Expenses = £ 75 Services = £ 5,542 Stock = £ 9,675 Miscellaneous = £ 91 TOTAL = £ 74,035

AUDIT REPORT

Seaham Youth Centre Centre Accounts

CONFIDENTIAL

INTRODUCTION

  1. On completing an Examiners report an audit was carried out on the accounts of the Seaham Youth Centre for 2021. This audit is completed along with a review of the current systems in place so as to rely on the information provided for in the accounts.

2. OBJECTIVES OF THE AUDIT

The objective of my review was to:

SCOPE OF THE AUDIT WORK

3. SCOPE OF THE AUDIT WORK The scope of the audit involved examining the accounts and the systems in place to ensure that the information contained in the accounts is correct.

  1. This report is intended to present to management the observations and conclusions of the audit. Wherever possible the observations and recommendations have been discussed with the Centre Manager.

5. SUMMARY OF AUDIT WORK CARRIED OUT

INCOME

A record of all invoices not paid for 2020 and 2019 is shown separately, and during 2021, 46% had been paid the majority outstanding is for 2020 and is being chased up with some payments made in 2022.

EXPENDITURE

BANK RECONCILAITION

CONCLUSIONS

10. RECOMMENDATIONS

Gordon Fletcher Internal Auditor Date: 30[th] October 2022