AGE CHISWICK AGE CONCERN CHISWICK ANNUAL REPORT For the year ended 31 March 2024 Age Concern Chiswick Registered Charity number 1164423 The Friendship Club, Oxford Road North, London W4 4DN Tel 020 8742 7007 ageconcemchiswick@outlook.com ewncemchiswick.or
AGE CONCERN CHISWICK- Registered Charity No. 1164423 STRUCTURE, GOVERNANCE AND MANAGEMENT Age Concern Chiswick is a Charitable Incorporated Organisation (CIO) and i5 subject to a Constitution dlld 15 October 2015. The Trustces and Honorary oleerS arc clccted by members of thc charity at an Annual General Meeting. Trustee5 form the Executive Commi¢t¢e of the charily. The Trust¢es have giv¢n ¢onsid¢ration to th¢ major risks to whi¢h ¢he ¢harity is exposed and have satisfied themselves (hat w>licies, syst¢m5 ond pJv¢edures are ¢stablished in order to mana8e them. AgeUK decid¢d to change the nature of their relationship with the various Age Coneem units around the UK and our Friendship Agreemcnt with thcm expired on 31.03.24. Instead we have agrccd a licence to Ctsntinue using th¢ Age Q>ncern logo. W¢ also have good relations with AgeUK Hammersmith and Fulham and Ag¢UK Hounslow. Current Executive Commiliee Chair Mr David Lov¢8rov¢ Mr Pankgj Pa1 Mr David Lovegmve Vice-chair Actin8-SecreLary Treasurer Mr Pankaj Patel Mrs Emma Medd Volunteer co.ordinator Member5 Ms. Anne CTowcroft Mrs BaTbara Ennis Ms. Simran Sablok Mr5 Patricia Sterne Ms. Gayla SyTnon Op¢raiions Manager Ms. Liz Combes Objectives and Activities The objcctivc of Age Concern Chiswick 15 to promote the relief of eldcrly peoplc in any manner which now i& or h¢reafter may be, deemed by 18W to be charitable within Chiswick atid Brentford. Wc also wclcomc pcoplc from neai.by aregs. Specifjcally wc aim to promote ihe well-being ofold¥r p]e help make life a fulfilling and cnjoyable expericnce. We run a Friendship Club with regul a¢livities, outings and special evenis. In undertakÉng the charity's activities, the Trus¢e¢s have had regard to the Charity Commi&%ion's guidance on public bcnefJL.
AGE CONCERN CHISWICK- Registered Charity Iyo. 1164423 REVIEW OF THE YEAR TO 31.03.24 Organisational Development At the AGM held on November l@h 2023 Sinan Sablok and Gayla Symon were ¢onfirm¢d in their positions on the Executive Committe¢. Pankaj Paiel wa5 ¢l¢¢l¢d a5 Vi¢¢-ChJir In February 2024, after many years of servi¢¢. Swa loannides steppeil down os Secretary. Sara had also eITtiVelY been our Operations Manoger. The committee agreed to employ Liz Combes as a part time Operaiions mager and David Love8rove agreed to acL as Secretary until a replacement could be found. Steps wcre tsken to improve the promotion and pricing of the hire of our pr¢mises with the aim of incre&8ing our revenue. '.Activities and Events We held our usual programtne of activities and evenis which ineludcd a Coronation Tea and a christm Lunch and Tea. A team of volunt¢eT5 from IM(ilfndcavour ran the former. A I'ea Dance was held sn Octobcr a5 part of the Hounslow Oldcr People's Fe%tiva] and was aitend¢d by 10 non-Tnembers. A¢tivitics in¢lud¢d line dan¢ing, chair yoga and keep fit. Regular outings were orglsed. Chiropody sessitsns forour members were also availablc. At thr time of the AGM there were 155 paid-tsp members. ' Financial Overview Our financial positloll 15 hea]thy. A smaller surplus was gen¢ratrd for the year 2023.24 compared to the previous . ycar.-Ihis was mostly due to expenses related io keepin8 our premises in good condition dnd complying with . vsrious regulations. We a have adequate rcscrves bu( we arc COAslant]y looking lo gtt)erate extra revenue through hall hire and other fund-T8ising a¢tivitie$ to enablc us to provide better services to our m&nbers as described below. A View of the Future Our aim is tQ sl¢adily iner&9se and improve the services offered to ollr members. This 18 largely depettdt ot) recruitin8 more voluntr$ to 5UPPOrt OUT opEration5 and to undertake SPlf1¢ development role5. Candidate5 for thc lattcr are=_ Improved liaison with thc London Borough of Hounslow Organising more talks and possibly films Stronger management of premises repairs, maintenance and enhancement Helping members with transport Increasing th¢ choice of food offered to mcmbers Not all of these aims will bc ML within a year but l am confident thal progre55 will be whieved. It remains our ambition 10 open on a third day cach week but the dcploymcnt ora suitablc volunts%r co-DrdinalioD and management t(x)l is still proving elusive. Finally l thank my f¢llow Trustees and all volunteers for iheir outstanding errorts and tontribution$. David Love8rove, ChaÈr
AGE CONCERN CHISWICK- Registered ChArity No. 1164423 INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF AGE CONCERN CHISWICK I r¢port to the Trustees on my examination of the Accounts of Age Concern Chiswick (the Charity) for the year ended 31 March 2024, which are set out on pag¢s 2 to 7. Responsibilities and Basls of Report As the Trustees of the Charity, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 ("the Act"). I port in respect of my examination of the Trustee's accounts carried out under section 145 of the 2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of th¢ 2011 Act. Independent Examill¢r's Statement I have completed my examination. I confirm that no makrial matters have come to my atlention in connection with ihe examination giving me cause to believe that in any material reSpt.. (l) accounting rewrds were not kept in respect of the Charity as required by section 130 of the Acl. or (2) the accounts do nol accord with those records; or (3) the accounts do not comply with the applicable requirements concerning the form and Content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a'a true and fair view" which is not a matter considered as part of an independent examinalion. I have no concerns and have come across no other matters in connection with the examination to which attention should b¢ drawn in this report in order to enable a proper understanding of the accounts to be reached. 2 Castle Business Village Sthtion Road, Hampton Middlesex TW12 2BX GARETH PETER REES, FCA on behalf of PB ASSOCIATES CHARTERED ACCOUNTANTS
AGE CONCFRN CHISWICK- Registered Charity No. 1164423 STATEMEiYf OF FINANCIAL ACTIVITIES FOR THE YEAR ENDFD 31 MARCH 2024 2024 2024 Note Restricted Unrestricted 2024 Tolal 2023 Total Income and Endowment from: Membership subscriptions Donations Grants from Council 1.487 2,585 1.487 2,585 938 7,332 1.500 Activitie5 in furtherance of the Charity's Objects.. Club activities Hall rental 13,189 16,225 13,189 16,225 11,792 11.889 Investment income: Interest 756 756 131 Total Incoming ResDur¢¢5 £NIL £34.242 £34,242 £33.582 Resources Expended Direet Charitable Expellditure: Cbaritable activity 30,332 30,332 28,526 Managcment and Administration 1,170 1,170 570 Total Resources Expended £NIL £31,502 £31,502 £29,096 Net (Outgoing}IIncoming R0ree$ 2.740 2,740 4,486 Total funds brought forward 170,131 170,131 165,645 Total funds carried forward £NIL £172,871 £172,871 £170,131
AGE CONCERN CHISWICK- Registered Charity No. 1164423 BALANCE SHEET AS AT 31 March 2024 Note 2024 2023 FIXED ASSETS (For the Charity's use) Tangible Fixed Assets 1&4 74,477 75,061 CURRENT ASSETS Prepayments Cash at Bank and in Hand 2,551 96,413 95,640 98,964 95,640 CREDITORS 570 570 Net Current A55ets 98.394 95.070 NET ASSETS £172,871 £170,131 FiDaneed by: General funds (Unrestricted) 172,871 170,131 R¢slriGted funds £172,871 £170,131 Approved on behalf of thc Trustees on and signed on their behalf by: TRUSTEE . TRUSTEE The notes onpagets 5 10 7formparl ofiheNe Accounts.
AGE CONCERN CHISWICK- Register¢d Charity No. 1164423 N(yfES TO THE ACCOUNrs FOR THE YEAR ENDED 31 MARCH 2024 ACCOUNTING POLKCIES Accounting Convention Th¢ financial statements are prepar¢d under the historic cost convention. They have been prepared to comply with the Statement of Recommended Practice.. "Accounting and Reporting by Charities" (applicable to charities preparing accounts in accordance with the the Financial Reporting Standard applicable in the UK and Rcpublic of Ireland (FRS 102), Financial Reporting Standard 102 and relevant charities legislation. The charity has taken advantage of exemptions available to small entities in the SORP and FRS 102. The Gharity is a Charilable Incorporated Organisation which was formed to take over the assets, liabilities and activities of an unincorporated charity of the same name. In accordance with Section 27 of the SORP, the accounts have been prepared on the basis that th¢ incorporated and unincorporated charities hav¢ always been part of the same reporting charity. 'fhe reasons for this treatment are'.- the beneficiary class has not significantly changed. the purpose for which funds are held has not significantly changed. the trustees have not significantly changed. lllcomillg Resources Income is re¢ognised in the ycar in which the charity is entitled to receipt and the amount can be measured with reasonable certainty. Income is deferred only when the Charity has to fulfil conditions before becoming entitled to it or where the donor has specified ihat the income is to be expended in a future period. Resources Expended Expenditure As included when incurred. Tangible Fixed Assets Fixed assets are depreciated at variable rates to write off the assets over their estimated useful lives on a straight line basis. Freehold propcrty is not depreciated on the grounds that the high residual value of the property and the very long eslimalcd useful life would render any depreciation charge immaterial. Cashfloiv Statemellt The charity 15 ¢xempt from preparing a cashflow statement.
AGE CONCERN CHISWICK- Registered Charity No. 1164423 NOTES TO THE ACCOUNfs {CONTINUED) FOR THE YEAR ENDED 31 MARCH 2024 ACCOUNTING POLICIES (CONTINUED) Value Added Tax Valu¢ Added Tax is not recoverablc by the Charity, and as such is includd in th¢ relevant costs in the Statement of Financial activities. Funds Accounting Funds held by the Charity are.. Unre.slrlded General Funds These are funds which can be used in accordance with the charitable objects at the discretion of the trustees. Further explanations of the nature and purpose of each fund is included in the notes to the Accounts. Taxation l-he Charily is exempt from Income and Corporation Tax to the extent that its incomc is applied for charilable purposes. Executive eommiltee remunerA¢ion and expenses No expenses or remuneration has been paid to any Trustee or member of the Management Commiltee during the year. Investmenl powers Under the constitution ihe Executive Committee have no specific powers to botTOW or invest in any other operation. Risk Management The Executive Committee has to assess the major risks to which the Charity is exposed, in particular those related to the operations and finances of the Charity and is satisfied that systems are in place to mitigale our exposure to the major risks.
AGE CONCERN CHISWICK- Registcred Charity No. 1164423 NOTES TO THE ACCOUNTS {CONfiNUED) . FOR THE YEAR ENDED 31 MARCH 2024 DIRECT CIIARITABLE EXPEIYDITURF (tncluding support eosts) 2024 Restricted Unrestricted Fund5 Funds 2024 Total Funds 2023 Total Funds Club Activities 12,848 12,848 11.301 4.032 Salaries and Cleaning costs Property ¢ost5 Operations Fee Telephone, Postagc and Stationery Insurance 4.050 4,050 10,964 378 10,964 378 9.006 601 601 421 300 300 2.261 Depreciation Miscellaneous 1,084 1,084 107 1.086 419 107 £NIL £30.332 £30.332 £28,526 3. MANAGEMENT AND ADMINISTRATION 2024 Restricted Unrestricted Funds Funds 2024 Total Funds 2023 Total Funds Surveyor's Fee Ind¢p¢ndent Examiner Fee 600 600 570 570 570 £NIL £1.170 £1.170 £570
AGE CONCERN CHISWICK- Registered Charity No. 1164423 NO'fES TO THE ACCOUNTS (CONrtNUED) FOR THE YEAR ENDED 31 MARCH 2024 TANGIBLE FIXED ASSETS FOR CHARrrY's OWN USE Freehold property Fixtur¢s and Fittings Computer TOTAL equipment COST At l April 2023 Additions 72,000 32,248 4,838 109,086 500 500 Al 31 March 2024 72.000 32.248 5.338 109.586 DEPRECIATION At l April 2023 Charge for the year 29,709 508 4.316 576 34,025 1,084 At 31 Mydrch 2024 30.217 4,892 35,109 NET BOOK VALUE: At 31 March 2024 £72,000 £2,031 £446 £74,477 At 31 March 2023 £72.000 £2,539 £522 £75,061 A professional valuation of the freehold property in April 2014 was £695.000. 2024 CREDITORS 2023 Accruals £570 £570 TRUSTEES No Trustees received any r¢muneration or expenses from the charity.