Hambleton
Community Action
TRUSTEES REPORT
Charity Name.. Hambleton Community Artion
Reglstered charity number: 1164895
Prlntlpal address: Ground Floor Office SLtlte, 159- 160 High Street, Northallerton, DL7 8JZ
Names of the charity tfU5tees lat 31" March 20241
Namè
Michael Harvey, Chair
Oavid Wa5ker, Treasurer
Andy Powell
Steve Hadwin
Fiona Ellin from July 2023
Nigel Fox from January 2024
Tracy Rose until November 2023
Sally Anderson, Vice Chair, until May 2023
David Blades until May 2023
Elizabeth Robson until September 2023
Chief Officer
Lil Lockey Cmgr FCMI
Independent examlners
TP Jones &Co LLP, First Floor, 23 Victoria Avenue, Harrogate, HGI 5RD
Bankers
Virgin Money, 35-37 High Row, Darllngton DL3 7QT
Funds are also held with
Triodos Bank
Shawbrook Bank
Redwood Bank
Govemlng document
Constitution adopted by Trustees in October 2015, last amended 161h De￿mber 2015
How the charitv 15 constitutèd
Charitable Incorporated Organi5atlon
Charity trustee selertion method
The Trustee Board is elected by membeis at the Annual General Meeting. The Trustee Board have the ability to co-
opt persons to serve on the Board if any vacancies remain unfilled after the Annual General Meetin8.
Summary of the objects of the charity set out in the Èoverning docwment
The objects of the CIO are..
To promote for the public benefit the efficiency and effectiveness of the voluntary sector in the District of
Hambleton, North Yorkshire and surrounding areas in particular but not exclusively by..

the provision of information, advlce, education, training, seNices. resources and any other support,.
encouraging and supporting innovatioll and the meeting of new or unmet need,.
the promotion of charitable givlnE and volunteering.
the promotion and delivery of seTvices to asslst in the advancement of educatlon, the protection of mental and
physical health and the relief of poverty, distress and sickness within the area of beneflt.
such other charitable objects as the trustees shall from time to time determine
Summary of the maln actlvities in relation to these objerts
When considering the oims. objertives Gft)d plGF)ned octivitEsfor the Orgonisation, the Trustee5 take ¢7ccount of the
informotion contoirjed in the Charity Commission's genertslguffdance on public benefit. In particulor. the Trustees
considerhowplanned uctivities willcontribute to the oims ond objectiwes they have set out.
On 23 Novernber 2023, ourcolleague Lizzie Clapham, who had worked the charity for 17
years, sadly passed awayaftera veryshort illness. Lizzie had worked as our Finance officer,
Volunteer Co-ordinator, and most recent￿ as Volunteering Development Officer, and had
been a huge influence on the organisation and its people. She was much loved, and her
passlng wa5 a difficult time for us all. We are grateful for the kind words ol support from
friend5 in the sector, partner organisations, and members of the communlty. She is very
much m155ed by us all.
Over the last twelve months, Hambleton Community Action has continued to provide a range of practical
interventions that enable and encourage participation socially. economically and within the community. Our
Innovative person-centred. strength-based approach underpins all our activities, and we see other ch3ritie5
increasingly adopt variou5 aspects of this. Sadly, we are seeing increasing levE15 of need, and increasing complexity
of need, against a backdrop of increased competition for funding due to the cost of living crisis. and becaL)sÈ many
larger funders have been reviewSn@ thelrphilanthroplcprioritie5. We continue to see a majorlty of pFovidersfocusing
on intensive short-term support andlor provision of advice, guidan￿ and signpostlng, resulting in high demand lor
those lon8er-term interventions that provide a stable pathway towards sustained wellbeing.
The year April 2023 to March 2024 marks our first year as thè Community Anchor Organization ICAO) for
Northallerton- part of a network of place-based organizations appointed by North Yorkshire Council to support
community resilience.
In June 2023, we opened UpFront, our community space, on the High Street, with our social supermarket, Pantry &
Produce in operation from December2023 onwards. These new facilities have been welcomed by locals and visitors
alike. bringing our services to people who would not otherwise know about us, providing a safe, warm. welcomlng
Space, friendly atmosphere, daily activities, digital support ènd food. The additional space has created opportunities
to hire out rooms, and several charities land a bank) are regularly on premise.
As in otheryears, we have continuèd to support people in a variety of ways based on both ongoing and emerging
needs and requests. Duringthe yearwe continued to expand ouroffertoour communities, introducingnew projerts
and cementing our reputation for responsiveness and creativity. As part of our ongoing effort to working
collaboratively and at a systems level, we became a member of the Hambleton & Richmondshire Local Care
Partnershipi and are leading on its Health Inèqualitie5 project.
As ever, we would like to thank all our volunteers, whether paused Or retlred from volunteering. or tontlnuin8 in
the role, forthe amazing contribution you èll make to our communities. The staff team to.ordin3tes, but our
volunteers deliver. Thankyou all.
Our newer ventures Complement existing core activities.
Our community car scheme (covering Northallerton, Bedale gnd surrounding areas) have returned to pre-
pandemic levels, Wlth new members and new volunteersjoining throughout the year. Changes in the NHS
systems land strikes) have been challenging. with last-minijte appointment bookings and can￿lIatIOnS

dlffScult to manage.
Existing partner Stokesley and District Community Care Association passed the baton to us when the r)ew
Carer5 Break scheme tender was announced. HCA 15 now the lead partner for Hambleton and
Richmondshire, with f ive other partners contributing to the contract delivery.
Our Lottery-funded Let's Getconnetted projertgoesfrom strengthto strength, provlding wellbeing support
to hundreds of individuals via one-to-one ar)d group settings. We continue to offer our monthly craft
5essionsat ftivendale and Abbeyfield5, aswell as our three Women's Éroups and bereavement social groups.
Social activities and groups have sprung up within UpFront, including a Chess Club, weekly crafts,
conversation, English-language Practi￿ and numerou5 training COLJf5es open to members of the public. We
provided training in using public transport to refugees and asylum seeker5, coupled with outdoor wellbeing
Our Wheels2Work moped ban scheme continues to provide a lifeline to its clients during the last year,. we
continued to develop our model in relation to how thi5 is effectively managed to maximize the learning
elements for young people.
We continued io offer our supported volunt&ering program, again using funds from the legacy generously
left to Hambleton Community Action by our late trustee, June Darrah. Our Busy Buddies- HCA'S original
5UPPOrted volunteerSng community- have evolved to 3 volunteerirtg tearn that also provldes peer social
support.. they meet regularly as friends. whilst continuing to provide monthly coffee afternoons in
Richmond. Our Stepping Stone5 Project continues to provide 5UPPOrt to people developing their
employability skills through volunteering, eitherwith HCA, or through HCA.
By Your Side- a project that supports people wlth Imalnlyl healthcare and welfare appointments, etc. that
started in 2022 has proved increasingly needed. Demand for 5LlPPOrt with welfare assessments,
paperwork, with medical and DWP appointments is high.
To further our ambition to make the wellbeing benefits of volunteering accessible to all, the regional
Incluswe Volunteering Network has focused on developing a toolkit for access,. thi5 work will be
complemented by our Supported Volunteering in North Yorkshire development work which will see an
information Tesourtr published in the current financi31 year.
Outside of Hambleton Community Action direct service delivery. we rernain artive in many local, regional
and county-wide networks, partnerships and strategic Steering groups.
We continue to disseminate resources in the Northallerton parish area for older people in distress, on behalf
of the Gra£e GardnerTrustees.
A summary of the malh achievements ¢an be found In the Hambleton Communlt¥Adlon Impact Rèport 2023124
Hambleton Communlty Actlon's Aims for 2024125
11 UpFront- development of our digf(al hub"UpFront about Digital"
21 FurtheT development and expansion of our By Your Side project
31 The launch of our new website
41 The Introduction of our e-WAV wheelchair accessible vehicle to build flexibility into our community car
scheme
Sl Piloting three projects to deliver the Local Care Partnership's Health Inequalities project that we lead.. these
are..
Provlding support for expectant parents and parents of young children
b. Delivering health checks in agricultural communities
Explorlng clustering of medical appointments to ease transport challenges
61 We will continue to work collaboratively with other organi5ations to deliver for OLJr communitles
through our existing networks
b. by growing our networks
through collaborative projert5
d. providing support to elderly residentsof Northallerton through funds provided by the Grace Gardner
Trust
71 We wlll maintain and grow those core seNices (described above) that have been helping local people for
many year$ and are proven to have significant positive benefSts forwellbeinE and access to servi￿$

81 We will introduce a number of new Projerts, which have been developed through discussions with clients,
partner5, Staff and volunteers
91 We will continue to invest in volunteers and staff, providing appropriate (>pportuntties for training and
support, and further developing capacity within the organlsation, and within the sector
Funders
In 2023124 Hambleton Community Action was grateful for support from the following organisation5'.
North Yorkshire Counc51
The National Lottery (Reaching Communities)
Children in Need
Community First Yorkshire
Humber & North Yorkshire Integrated Care Board
Northallerton BID
& various donations
Flnanclal Revlew
These accounts are presented as a consolKlated record within which indiv￿u31 funds are classed as Unrestricted. or
Restrirted or as p8rt of the Designated Fund.
Grants are recognised in the Statement of Flnancial Actwities when the charity has unconditional entitlement to the
resources.
At 31 March 2024 HCA had total assets of £217, 10112023 -> £303,547). Within this figure HCA'S unrestricted funds
were £lQ4,45412023-> £145,297) wtth restricted funds £I6,￿OI2023 -> nil) and designated funds of £96,64712023
-> £158,250). The designated fund was set up with receipts of £260,0￿ in 2021 from a legacy of the late Trustee
lune Darrah. During 2021122 a further £9,781.99 aJ)d during 2022123 the final, final amoLJnt of thls legacy of
£1812.07 was received. During 2023124 £615QJ).00 of expend￿Ure was charged to the designated fund12022123
£82,022.43 was charged to the designated fund).
During the yearthe Wheels to Work van was replaced. The pur¢h85e c05t of £36223.OOwas offset by part exchange
of £9500.fJ) forthe old van. North Yorkshire County Council provided a £200￿.00 grant forthe purchase, with
conditions for Stage repayments should the van be disposed of within 5 years. This results in the £16000.(K)
restricted income funds to be carried forward a5 at 31" March 2024 and a transfer of £4000.(K) that is no longer due
between the restricted funds and the unrestricted funds. The £9500.00 gain on fixed assets is the value received In
part exchange for the asset that had been fully depreciated in the accounts at the start of the year.
Operationally after asset adjustments, HCA had an operational deficit of £86446.aOforthe period.
HCA holds a Risk Management Reg￿ter, which is rev*wed at each meeting of the Board of Tru5tee5, identifying kev
risks for the organi5ation and mitigating 3Ction5 to reduce the likelihood and impact of these risks on the
or8anlsation.
Looking forward, the finances of HCA are likely to be affected by the transition to a unitary local authority, and the
introduction of the Mayoral Combined Authority. In both c3ses there is some uncertainty about fvture funding
prioritles and avallabllity. The Tru5tee5 receive regularreportsto ensure the ch3rityremains well placed to deliver Sts
services and ensure that the reserves policy is fully met. HCA15 also taking a proactwe approach to m8ximising
income and reducing expenditure.
This is the final year in which funds have been designated bythe tfU5teesto develop fdpacity wlthlnthe organisation
and 5UPPOrt long-term projects that were of particular interest to June Darrah..
Capacity building
scheduled updates and improvements to IT infrastructure and hardware, telephonv
creation and support for Business Development Officer role
Wheels2Work project

Ongoing support and redevelopment of the scheme to better align to the needs of our target dient
group
Supported Volunteering project
Increased capacity to enable us to provlde appropriate levels of support to all who want to volunteer
Supporting increased diversity of volunteers, and of volunteering opportunities
Any of the legacy funds remaining unspent by the end of the current financial year will be re classified as
unrestricted.
Pollcy on reseNe5
HCA aims to achieve sufficientfree reseNes (unrestricted funds not committed or invested in tangible fixed assets)
which will..
5UPPOrt those projec15, and the general costs of the organisatlon, where expenditure is incurred before
funding is redaimed.
finance the development of new artivities to the stage where e¥terrkal funding can be obtained.
provide time to seek new funding sources at a project's conclusion or facilitate restructuring of the
oryanisation whi15t meeting on-going obligations induding staff redundancy payments.
As a guide, the Trustees have agreed that the free reserves held by HCA should be equ￿alent to approximately 6
months bvdgeted expenditure of unrestricted funds and this criteria was fully met by the accounts of the
organisation at 31st March 2024.
As at 31" March 2024, HCA held £104,454.CO in unrestricted reserves.
Investment policy
HCA holds no investments and will not purchase or dispose of any investmentswlthoutthe approval of the Trustees.
All funds are kept with Banks approved by the Trustèes, with the aim of ensuring a balan￿ between interest
received and charges incurred on accounts. In this period HCA had accounts with Virgin Money Bank, Redwood Ban
Shawbrook Bank, Triodos Bank, Hampshire Trust Bank (for part year).
SIGNATURES
CHAIR..
DATE: 02. 11.Z<
TRUSTEE.,
DATE: ,) > IE. Zi¥

Charil No
eriod
1164895
CHARITY COMMISSION
FOR ENGLAND AND WALES
Hambleton Communil Aclion
Annual accounts for the
To
erio
en
dal*
Period start d8te
0110412023
3110312024
Section A
statement of financial activities
Restrlcted
Income
funds
Recommended categorles by
8Ctivlty
Unrestricted
funds
Designated
funds
Prlor year
funds
Total funds
Incoming resources (Note 31
Income and endowments from:
Donaiions and legacies
chan￿b￿ actlvltles
Other Iradlng act￿1119$
Investments
F01
F02
F03
F04
F05
S01
6.529
137,492
1,027
5,429
6,634
346,662
1,027
5,429
5,238
261,826
7,012
3,543
S02
so3
209.170
S04
Sepawie maleiial item of In¢ome
(Xher
$06
2,828
212,003
2,828
362,
80
1,189
278,808
Total
Resources expended (Note 61
S07
150,477
ExpÈndlture on..
204,820
204,820
192,003
192,003
61,603
61,603
458,426
58.426
356,835
356,835
Total
S12
Net incomel{expenditurel before invèstment
gainslllossesl
813
S14
54.343
20.000
61.603
95,946
78,027
Ntsi gainslllossesl on invèslmenis
Net Incomellexpenditure)
Extraordinary items
Transfers between funds
Other re¢ognised gainslllossesl..
S15
$16
S17
54.343
20.000
61,603
95,946
78,027
4,OOQ
4,000
Gains and k)58es on rtrvaluelion of fixéd 8$$ei8 for thè tharlvs
u$$
Othor gainslllossesl
Net movement in funds
S18
S19
9,500
9,500
S20
40.843
16,000
61,603
86,446
78,027
Reconcillation of funds..
Toi81 funds brought fonward
Tolal funds carrled fonvard
S21
145,297
104,454
158,250
96,647
303,547
217,101
381,575
303,548
16,000

Section B
Balance sheet
Re8trlcted
Income
funds
Unrè$trl¢t8d
funds
De$lgnafed Total thls
Funds
year
Total last
year
Fixed assets
Tanglble assets
F01
F02
F03
F04
(Note 141
Total fixed assets
F05
802
B05
Current assets
Dèbtors
(Note 191
Cash at bank and hand (Notè 241
Tot81 current assels
B07
Bog
fj3,273
13.273
18,974
396,144
415,118
Blo
Credltors,. amounts falllng due withln
one year
(Note 201
37,197
135.520
172,717
111,570
Net currenl assels/(liabllltlesJ
812
03,54
rotal assets léss Gurrent liabilittes
B13
Credltots: amounts falllng due after
one year
INote 201
Provisions for liablllties
B14
B15
Total net assets or liabilitles
Funds of the Charity
Deslgnat8d funds (Note 271
Restricted income funds INote 271
Unrèstrlcled funds
Revaluatlon réserve
B16
120,455
96,646
217,101
303,548
817
96,646
96,646
16.000
104,455
158,250
Bl8
16,000
104,455
145,298
820
821
Total fund5
303,548
Sign8d by one or Iwo trustees on behalf of all
the Iruslee5
Oate ol
approval
ddlmml
Signature
Print Name
'I¥L
C17a (Excell
1610912024

Section C
Notes to the accounts
Note 1
Basis of preparatlon
Yhls section should b6 completed by all charities.
1.1 Basis of accountlng
These account5 have been prepaTed tjnder the historical cost convention with items recognised al cost or transaction
valu8 unle55 Otherwise stated in the relevant nolelsl to these 8QCOLJnts.
The accounts have been
repared in accordance with..
th9 Statement of R8commended Practice.. Accounting and Reporting by CharitiBs preparing
Iheir accounls in accordance with the Financial Reportino Standard ap JiGoble in the UK and
Republic ol Ireland IFRS 1021 issued on 16 July 2014
and with.
and with.
the Financia5 Reporting Standard appllcable in the United Kingdom and R8publiG of Ireland
IFRS 1021
and with the Charities Act 201 fj.
The charity Constitutes a public b6n61il enlily as defined by
FRS 102.
Yes
1.2 Golng concern
If there Arè materlal uncertaln(l&s related to &v8nts or conditions that castsignificanl doubt on thè charlty's
ability to contlnue as a golrjg concern, pleasa provlde Ihe following details orstatè "Not applic8ble- If
approprlète..
An explanotSon as to those fa¢lors that
support the conolusion th81 thé charity is a
going concem-,
Disclosur8 of any uncertainties that make tho
going concern assumption doubtful.,
Whère accounts are not prepared on a going
concem b8sis, please dlso1ose Ihls lact
together with Ihe basis on which the Irus188S
prepared Ihe accounts and the reason why the
¢harily is not regard6d as a going concem.
Not Appllcabla
No¢ Appllcable
NotApplicabl8
1.3 Change of accounting pollcy
Th8 accounts present a true and fair view and the accounting policies adopted are thos8 outlllled in note I l.
Yes
Please disclose..
(i) the nature of the change in a¢countlng pollcy,.
liij the réasons why applylng Ihe new aecountlng pollcy
provid85 more reliable and more relevant Informatlon,.
and
CC17a IEKcell
1610912024

(iiij lh* amount of the adjustment for each Ilna affeeted
in th• eurrenl perlod, eèeh prior perlod presanted and
the aggregale amount of the adjustment r&lating to
perloats before those presented, 3.44 FRS 102 SORP.
1.4 Changes to accounting estimates
No changes lo accounting estimates hav6 occurrgd in the r6porting period13.46 FRS 102 SORPI.
Yes
No
Please dis¢los8.'
(l) th8 nalure ofany changes,.
Not Applicable
NotApplicable
(11) th* effec¢ of th& change on income and èxpense or
assèts and Ilabllltlgs for the currentperlod,. and
(111) where praetlcable, the effect of the ch8nge In onè or
more future perlods.
NotAppllcalJl8
1.5 MJlerial prior year errors
No material prioi year error have been identified in the reporting period13.47 FRS 102 SORPI.
Yes
No
Please disclose.-
Not Applicable
(i) the nature of th8 priorperiod error,.
(iij for each prlorperiod presentèd in the 8¢Gounls. tha
amounl of th6 correction for each account line item
affected,. and
Not Applicable
(ill) the amounf of the correctlon at Ihe beglnning of the
earli&stprior period presented in the a¢¢ounts.
Not Appllcable
CC178 (Exc811
16109r2024

ection C
Note 2
Notes to the accounts
Accounting policies
Please complete Ihis note when first r8POrtlng under FRS2102. Section 35 of FRS102, requires 3 reconcili8lions lo b
presenled, if all are 8pplicable.
con
2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
Please provide a description
of the nature of each change
in ac¢ountlng policy
Not Applicable
Reconcllatlon olfunds per prgvious GAAP fo funds determined under FRS 102
stsrt of
End of
perlod
p&riod
Fund balancÈs Ès previously
stated
Adjustments..
Fund balanctr as restated
Reconcilation of net income/(n8t expenditure) per previous GAAP to net income/(net expendilure) under FRS
102
End of
Net incomèllaxpènditurel as previously
Statèd
Adjuslments."
Prevlous period net Incomellexpenditurel
as restated
CC17a {Excell
1610912024

SeGtion C
Notes to the accounts
cont
Notè 2
2.2 INCOME
Accountlng pollcles
This sisndèrdlisi olaG¢ountillS7 polic￿s h9& app118dbythe charilyexr.epl fforlhose ÉiGk&d'No"or'We'. Wh&re a
djffofenl or8ddi1￿￿6Ip0I￿yhos been adopl&O Ihen Ihis 1.% dela￿¢6 fft Ihe box belnw.
Rèeoonilion of income
Tthese are included In Ihe Slalemgnl of Financial Atilvilies IsoFAlw*en'.
the charily becomeg Ènii119d lo the res￿rC0S..
il is likely than not that the Ituslees thlll receiVO Ihe re50urces,' snd
the Tnonelaryvalue can be mÉ$sured suffkI￿i wllablllty.
No
la
Yes
No
Nla
Offsotllng
There been nts offselllng of assets and Ilab11￿l9S, orlnwme and ￿¥￿$95, requKe
or pem)itled by Ihe FRS 102 SORP or FRS 102.
Yes
N18
Gronts Bnd dtsnaiions are incjuded ￿ the SOFA then Ihe general Inr(wno
ret￿ni￿(￿ criteria are mel 15.10 19 5.12 FRS102 SORPI.
In Ihe case ol performance r&latsd gran16. inGom& musi ￿cogNised lo Ihe
exlenl Ihal ihe chsrily has provlded ihe speciThod gfyjds or seTvlc&s as ￿tIll$M*￿t to
the grant only occurs ￿en pèrformance related eondllions arg met15.16 FRS 102
soRpI.
Grants and donatlons
Yes
No
Nla
L¢gacles
Lega￿e5 are iTbGluded in the SOFA then recelpl is piobÈNe, thalls. then there has
bcen gr8nl ol probate, the executors have established that Ihere are suffi¢lenl 25sels
In the eslale and any cond11￿n￿ allached lo the legacy dlhErwlhin the ciJnir(Y of
the charfty or hav8 b8en rnel.
Yès
N13
Governmont granr
Yes
Tho Charity has receFvèJ gov*mm8nl grants In repodlng p￿1{￿j
Gitt Ald re￿1¥able is included In intomè there Is a valld dè4ar$t￿n from the
donor. Any Glll Aid arn￿￿1 rerov8red on a don8tlon 1$ tonsldered to bg Pdrt ofih81
grfl and Is Ireaièd xs an addition ￿ Ihe sam$ fund as the inSllal donatlon unless the
donor ￿ the leTms of thé 8pp8al have sp8cified 01he￿$8.
Tax reclalms on
dorFalions and gllts
Yas
No
Nla
¢¢nira¢tual income and
ptrforman¢e related
es
Nla
Thb Is Mly iFKluded in Ihe SoFAon¢e Ihe charityhds provthd lh8 rdaled 9￿dS or
seNi￿5 cr mei ihe p6rfoimance r&￿ted condlUan$.
Yes
No
Donaiad good5
Donaied goods are measured 81 falrvalug Ilhe amount for ¥thlch th9 aS591 COU￿ b&
oxchanged} unless Impraclical lo do 50.
Nla
Thè c¢$1 ol ally51￿k of goods donaitd IOT dlslribulK)n lo be￿I￿all@S ￿ deemed lo be
the fairvaluè of Ihosè gifts at th8 lime ol Ihelr récknipl and they a￿ remgni5cd on
ret¢lpi. In the re￿1￿9 period In whKh the Stocks are disiribuied. Ihey afe racognbsed
as an exp&nsa 81 lh8 carwng amounlol the $iocks al dis1n￿lIC￿i.
Donaled goods for regale ar¢ measured 81 faIrv8￿¢ initial recognitic￿. vknl¢h1s Ilh8
axpedèd prtr&Bds from Sa￿ less ihe exp8Gled c051s of s8le. Bnd recognisod
'IrKotne Irom olh8r liadlw aclivilies, vrilh ihe correspanding stock rewnlsed In Ihtr
b8lance $h¢ei. On ils sale valuÈ of is charged againsl'lncome Irom olher
trading activities, and Ihe proceeds from 5a18 are also recognisod a5'1nGome from
olhertradlnu act￿￿leS,.
Yes
Nla
Yes
Nla
Go(Mts donaled for Dn-ooiw use by the C1￿￿rtY are rewnised as tangIb￿ as5elB
Indudgd in th& SOFA as Sn¢omiw resources ￿en racelv$bl$.
Yes
No
Nla
GIH$ in kirKI for use by th8 chariiy are SrbGlud8d in Ihe SOFA a$ frotn d￿EllonS
¥thgn receri8Ue.
Yes
Nla
Donated s8rvlce8 and
Don￿ed services and lacllllles $<B induded in the SOFA VdhÈn <Èt.8jved al Ihe valub of
Ihe gift lo the ¢harityryiwid8d the value of Ihé glll Can bp mea5ur£d rollab￿.
D￿ated sèNlc&s and facilities Ihal are consumsd Immediglely are recognlsed as
IncY)m¥ ￿th an equivalent amouni re¢ognised as an expen98 vnderihe appropriale
heading In SOFA.
YÈS
Nl
Yè8
No
Nl8
Y8s
No
Nla
Support ¢0$18
The th8rityh8s expenditure on support ¢o8ts.

Y&8
Nl
Volunttgr hAIp
The value of any vo14nlary help recepied S￿lL￿￿ed in Ihe Ke￿￿19 ￿118
descri￿￿ in Ihe truslegs, annual report.
es
Income from Inter46t,
royaltlès and divldend$
Thls Is Inc￿￿ed the account¥ receipt is wobatle and Ihe amount r8¢¢lv£bl8
¢aft be measured r@liably.
es
Nla
from membeTshlp Membgr6hip subs¢rfpllons recelved thè n8ture of a gln arè le￿@nISed In DDnalivns
subscrlptlons
aThS Legaoea.
Membership subscrfp1iL￿S ¥thich gr¢es a memberthe right lo thy 88iwces (* Olh8r
ben0fl1S aye recognisfjd as Income earned from thè provision of gotsds ano Se￿Ice5 $8
Income from ehariiable &cliyiliéS.
Insur9n￿ cl¥lm$ are only indudgd in Iha SOFA Iho gwèral income reGogniil
criIBd$ are mel15.10 to S.12 FRS102 SORPI and gra Included as an ttÈm ofdher
come in the StsFA.
Thls Includ85 any reallsed or unreslised galns OF losses on Ihe sele of uiveslTnents and
anygain or108s resulting IrorTr r£walulng Inveslmenls 10 ￿rke1 vaSue al the end of the
year.
es
Sètllemènl of Insurantè
181rn5
Yes
Nla
InvestTnent 9ainJ and
YÈS
NIA
2.3 EXPENDITURE AND LIABILITIES
Liabllity recognltlon
abilllitrs ar6 recognised where li Is mole likdy Ih¥n noi Ihal Iherg is a leg4 or
¢¢nslEuGtive oblig3lion commlllin9 th8 thailly lo pay out r8sourcpts 2rhd the amount ol
Ihe obllg8iion cdn be measurèd wilh reasonabl8 certalnly.
Support costs h8ve been alloGaled btriween goveman(* ty)815 othHT suppori.
GovornAnce and 8UPPQrt Covernance c05l5 comwrse all Costs invdving publK a¢couMiatxlity ol the ¢harfiy and
A&S
its compliawe ￿1th iÈoulalion and good praclice.
Suppm costs indudo ¢Èntrgl funG1kn5 arhd have been aloc314d 10 2divltycost
C818gories on 8 b8sis con8lSl¢nl I4￿th use ol res<wrcès, eo BUoGaling prtperty (￿S16
by areas. or ptrr¢¥pila, s18ff costs bylhè Ume spent oihèr costs by
usa0&.
Whgr8 the charily gives a gr¥nl ￿ryth condiiions forits payrnentbsing • spedfie level of
Grants wth p6rformance servrce or oulpul to be provided, Such grants 8rg ￿]Y rectyjnised in ihe SOFA once I
condltlons
reGiplenl al gr8nl has prO￿ded Ihe specified 8epA¢e or oulpul.
Whare Iher8 arè no condllions aliachiry 1¢ the oraTrl Ihal enailes Ihe thor ch&rfly to
GTani¥ PAyable wllhout
re81isll¢alty avoid th& commlbn&nl, a liability lor lunding obligation musl be
pgrformanc• condlllonw re¢ognised.
Yes
No
Nla
es
Yes
No
Nla
8È
Yes
No
Nla
Yes
Nla
Redundancy ¢ost
The ch8rity mÈd8 no redundancy paymants ihe r8PMlng perlod.
Y8S
Nla
Dèferred In¢orn8
No material ilom Ol deferred Incorna h88 Oèdn incIL￿e￿ in lh8 accounts.
trs
Nla
CTeditOT8
The charity has ¢redilors aré mt8$ured at seNlerntsni amounts18ss any tradè
di%counls
A Ilthlily is rne8sv*d on recognilion 81 Ils higlorical cost and then subGequÈnlly
Provlslons for 1lab1lltl￿ measurèd at Ihe be51 eslim$ie of Ilie amount rttolrired to Sett￿ tho oblig$UDn al I
rÈportln9 dalo
Thè Char￿lY accouDL5 ftsr bas￿fil￿nCIaI Snslwmenlson In￿￿1 re¢DJnllion 8S Por
P8ragTaph 10.7 FRS102 SORP. Subsequent tnaasureTDenl Is gs por paraymphs 11.17
to 11.19. FRS102 SORP.
Yes
No
Nl¥
Yes
Nl
Instrumènts
2.4 ASSETS
Tangibltr Jxèd assgts for These are ca￿taIls8{1 il IhBy¢an be us8d for mtye ih8n one year, 8nd ¢091 al lea$1
use by ch8rlty
3,000
Yes
Nla
They are valved al cost.
The depre¢l8iion rates and methods used are di5Glosed In note 9.2.
The charlly has Inl£ngible fixed asgpts. Ih81 is. nOn-[n￿etary as6e15 that do nol have
phyglcal sub8lanr.9 bul are Identifiable ore Control￿ by the chariiy through
cus1￿Y or lègal rlgh15. The amtsrtlsallon ral&s tnelhods used ar6 distlosed In nol8
lttlÈnulble fixtrd as8•ts
Yes
Nla
es
No
They are v8lued 91 ¢091.

H•rllage assets
The ¢￿ritY ha5 heril8ge 88StrIS. Ihal is, non-mon91ary asseis Wilh hi$ioriG, 8rtisllc,
scienlilic, lechno1ogic81, geophyslcBI orwvirontP7enlAI qu$lillès that gre held and
m8iniained piinupally lor Ihelr coniribulion to knowl8dge and cullurts. Tho depreciaiion
iales and methods as disclosed kn nDte 9.6.1.4.
Nla
Yes
Nla
They 8re vsluÈd ai cosl.
Investments
Fixed assei inveslfflenls in gLPoied shale5. Iradèd bonds and slnllar invesknents ar
valued al inilwlly ai ¢081 arwj subsequeniiy al fairvalue lth$ir markel value) al Ihts year
end. Th¥ Irealmenl is sppllÉd to un11518d Investmen15 uths$ 181r value c8nnol
bo tneaswed rellably In which case il is measured 81 cost less rmpaimi&nl.
Invesltn8n18 held for resa￿ or pondiny thBIrs8￿ and cash and cash equivalanL% vAlh
n181uriiy d810 ol lesB Ihan 1 ￿ar are Irealed as curFenl ass81 inveslm8nls
Yes
Yes
Nla
Stocks and work in
progress
Siock$ held for Sale as ofnofyrharii8Ua IradÈ aré measuw ai the orcosl tr nel
rEalisable value.
Yes
Nl
Gwds orservices yowded as pan of a charilabk aclivily measured 81 wi w*118ablo v81ue
based on t￿ se￿iCe pot2nii31 provided by Iieins of slorJ(.
WoFk in wogr&ss 1$ valu¢d ai c05tlass 8ny forgsee8bl¢ l¢K85 that is likely to tsccur￿ ihe
conlrgcl.
es
es
Nla
Oebttys lirKludwio Irdde debloT3 aFwJ loans recÈiV8blyl are m&ssured on Inibal [￿09Th1￿¢￿ al
3fjtt1emenl gmount afterany trade discounts oramount 8dvanc£d bylhe charity.
sUb￿quen11y. Ihey are mÈaÈured al the cash orolher Cons￿81811¢n expected lo be received.
Tho charily has has inves1[ne￿$S thich Il holds lor resale or pendirbg their sale and cash and
cash equivaleni$ ￿TrIb a malurily dole. less than one yaar. These includè cash on dep￿t ar
¢esh eqiiivalenlswlh 8 Iiigiiifrfy dale of less than one year held ftsr inveslrn&nl puiposos ralhar
than lo meal short lerm cash c(Nxmiim¢nis as they f£ll due.
Yes
No
Nla
Debtors
Curront asset
ItW•6tm4nls
Yes
Nl2
Yes
Nla
They8r8 valu£d 81 fail value except wtrere they qualrfy as ba￿¢ inslrum&nts.
POLICIES ADOPTED
ADDITIONAL TO OR
DIFFERENT FROM
THOSE ABOVE

Note S
Analysis of incomtr
sldGt*d
FJJndR
Totsllund5
PNory••r
Donations
6.529
8.534
Gefjert 9rants Pro￿&￿ by gov¢Fnmetthther
Toial
6,53d
5.230
Charttabl¢
North Y0thshi￿ Cw
Hamb1eton DSS
Councl
62.SY6
107.8f
170.442
100.735
fjo 000
5,000
15,1&3
Two R￿1￿
s Communil Fo￿￿31￿￿
"drÈn In N&¢d
68.053
$hlr6
24,954
5,449
HNYICP
ComMuDII tal HaallhTransIO￿
AR
5.000
f.200
et Stro
NorI￿lIert￿n BID
5.orxi
s.orx)
fjo,000
1.200
1,600
100
428
406
User￿tribUll0N8
C&r
chè
Wh891s 2Watk USÈI Incorog
Volunieer Md
An
5,135
23.808
1,280
12,525
12.525
22.985
457
Total
137.492
261 826
Inwme ICoMffli$¥ron8d SHtvIcÈ3
ed $Bl#sllrwr4nc&recoV
1.757
225
225
Total
Income fr&
Inv•$trnonts'.
5.429
3,543
and ￿2$1￿
m8
&429
5.429
3,543
of Incom¢
T￿￿1
Oth•r'.
Ge
2.828
2,828
Total
TOTAL IN¢OME
IS0477
212 003
362 480
278 808
l Otheilnform4tbn'.
IlnÈtsthè Ihth• ￿OrY￿arY￿aSUnr•$IrktQd oxcqpi lor.. Ipièa&*
provSde dp5¢rfptbll and omountsl
￿*b￿l￿&￿Tr£I￿￿0Ra&1rtGt¢d*￿d
£I4￿u&v￿r8￿￿cled.Uthp￿Thi￿￿kn￿t1d￿0UrIltr￿
£18l2￿1￿￿rrtd loth8 De6￿￿te6fUnd.
Whereanyendowmtnl lund IscvnvBrttd knto Income
reportkng peiiod. plèasog￿thorQ4IllTht0y ihèeonv•t81on.
Nolwkatrle
%SlihlM thèlMcomplt4msgbr*v•lh•followFny Itèms arÈ Mat4rfal..
RecelvedthefrnalparfoYlkn1ega￿f10￿￿￿nerTo￿￿tstt￿t
foinis1hgths￿￿aIÈd ￿ndS&t￿p￿ ￿ wawbu5￿&¢S
e¥mwrtl1h￿1WaSiec￿ed ￿221￿3w3% t1812.07.
Tli8Grac6GardneTTN5I-ullh&£50Witte•ied In2022123.Ih
￿￿￿10[£118?￿￿5u￿￿￿1Th2D￿r23 th8￿M01t3811
bgusetsln 302Jr24 IA202J124 theamoUntrf£2B28ws
suthtslUOWMwreGeivFd.
È58831&ava1￿10f0I u¥pln ZQ¥P25.
CC170 (Exull
16m9￿024

Note d
Analysi5 of recelpts of
government grants
Des¢rlption
This year
Last yèar
Govemmènt grant
Government grant
GoveTnment qrant
Govornment 4rant
Government grant
Government qrant
Government grant
Governmont grant
Government grant
Government grant
Government grant
Gov8rnment grant
Government grant.
Government grant
Governrn&nt grant
Government grant
Government grant
Govèrnment grant
Government grant
Governmènt qrant
Government grant
Government grant
Government grant
Government grant
Government grant
Government grant
Government arant
NYC Car S¢heme
NYC former NYCC R&spile Sitting
NYCC Carers 8reak
NYCC Fundinq Stronger CotMiunilies- COV￿-19
NYC Communty Anrhor
NYCC Kicks18rt
NYCC Menlal Health Transformation
NYC SHIC
NYCC Wlnter Pr8ssur88
NYCC Small Grant- Community Transport Funding
NYCC Moorsbus
NYCC CLLR funds- for Harbus Timetables
NYCC W2W Conlrlbullon tOW8rds new van
NYCC ecompass
NYCG Supported Volunteerino tnalch funcjing lo TNL
NYCC Personais8d Care Prograrnrne
NYC former HDC Car Scheme
NYC former HDC RTAP
NYC former HOC volunteeri￿ Hamblelon
NYC former HOC W2W
ROC R TAP
NYC Former RDC W2W
The National Lolt8ry Community Fund
Children In Need
Communlly First yO￿shire
Health Inequalities Fund IIC81
UKSFP
12,601
5.716
37,447
12,601
11,432
26,000
15,000
8,492
.15,0
15,000
5,000
2,496
1.000
1.000
20,O¢Y)
20.000
22,631
2,000
5,600
2.500
3,000
10,000
2,000
8,000
4g,377
18,829
17,835
15,000
20,000
20.000
5.800
2.500
3,000
10,000
5.000
68.732
12.468
25,000
36,500
Othar
Other
Heys Smilè
Asda
1.011
1,600
Other
Grace Gardner Trust
5,000
5,000
Total
Please piovlde detalls
Of any unfulfilled
condNlions and other
contlngenGle$ attaching
10 grants Ihat hav8
beèn recognAsed in
income.
£101,085 Grants Rec￿Ve￿ In 2022123 arè re￿vant lo 2023124.
£150.901 of Gr8nls r&c8lvad in 2023124 are due lo be used in 2024125.
Please give de¢ails or
otljer fom)s of
govammeRtasslsl&nce
from whlch ¢h& Gharily
hAS directly benefjted.
Nol Appllc8ble
Othorltr)lomJ8¢io
Th8 sum of £5000.00 from the Grace Gardner Twsl was passed lo HCA from
North8llerton Town Council lo work in parfnership with tha Grace Gardner
Trustees lo meel Ilie Irusl's alms of allewaliiig iJlslwss and hardship 8mong
oldei peokla 1P￿ng ￿rythIn Ine boundary of the Parish Northallerton. A furfher
£5￿0.[￿) w3s passed lo HCA In March 2024.
CC17a (Excèll
1610912024

Section C
Notes to the accounts
cont
Note 5
Donated goods, facilitles and services
This year
Last year
Seconded staff
Use of property
Other
Please provide details of the
accounting policy for the recognition
and valuation of donated goods,
faclllties and services.
Not Applicable
Please provlde details of any
unfulfilled conditions and other
contingencies attaching to resources
from donated goods and seNices not
recoanised in Income.
Not Appllcable
Please give details of other forms of
other donated goods and services
not recognised in the accounts. eg
contrlbutlon of unpaid volunteers.
Many of HCA'S sèrwcos are delivered by unpaid
volunteers who only recelve r6imbursed
expenses. This is discussed'further In the
Trustees Roport
CC17a (Excell
11
1610912024

Note 6
Analysls of èxpenditure
Unr?$lrtcted Rèstrfct•d Dèslgnatèd
funds
fund4
funds
Totkl lunds Pr4oryg8r
Anal Is
Fundraising Tradino Support Costs
Valunlary Incomts Support Costs
Total ex
endlture on ralsl
funds
Expendlture on
raislng funds-
Expenditur8 on
charltable
Bank Charges
CBT Training
Copier Costs
Oeprè¢iatio
Payroll C0515
Fuel
737
737
842
7,245
81,438
1.579
7,245
279,295
1,579
3,205
56.151
11.095
285
28,563
638
288
136,884
60,973
220,303
2,526
2,094
6.994
12,371
2,687
12,109
566
48,071
1,182
440
95
3,532
Insuran
Mi8cÉllaneous
27,487
28,664
5,859
283
oriic6 Coslsl Stslloneryl P08t8ue
Publicily Marketing, Even
Renv Room Hire
Road Tax
Equipmant (Revenue)
StsftTraining
Staff Trav61
Subscrip140nsl Affllia14'0nslAdmln Cosi$
Telephone
20,956
638
1,579
594
733
2,312
594
80
210
3,840
13.386
13,013
559
639
210
13,386
13.013
Vtthicle Insurance
Vehicle Running Coslsl Mainlenancel
S8McAngl S2foiy Eouipm8nl
Volunteer Travell Support Costs
Audll A¢¢ountsncy Twslee Cost
11,664
5.665
17.204
726
6,770
1.816
12,4
19,650
726
12.438
14,959
660
630
Gracg Gardnar Trusi
2.828
2.828
1.189
Total expenditure on charltable
actlvltles
204,820
192,003
61,603
458.426
358,835
TOTAL EXPENDITURE
204 820
192003
61,603
458 426
356 835
6.1 Other Infomiatlon..
Analys1$ of expenditure on charitable actlvltl88
Grafit
lunillDg
Actlvliy or
yog¥8mnJe
Support
Cost$
Totsi thl
year
Taialprlor
year
AcllvltSes undortakfjn dlrectly
ACtlvltlo¥
Other
Total
PrloryÈai expBndlture on charllhble acllvill•s
can b6 ¥nalysed as follows-.
Wllhln Iho expèndlture It•ms abovo
followlng Items Jrg material.. (please disclosè
the nature, amount and any prlor yèar
an>Dvntsi
CC17a IExc811
12
16￿￿2024

Section C
Notes to the accounts
cont
Note 7
Extraordinary items
Note 8
Funds received as agent
8.1 The Charlty did not rocelve any funds as an agent in thls year.
CC17a {Ex¢ell
13
1610912024

Section C
Notes to the accounts
cont
Note 9
Support Costs
Please complete this note if the charity has analysed its expenses using activity
categories and has support costs.
Ba8is of
allocation
{Des¢ribe
method)
Raising funds
Support cost
les
exam
Activity 1
Activity 2
Activity 3
Grand total
Govemance
Charitable Activity
Fundraising Activity
Generating Voluntary
Income
Other
Total
Please provide detalls of the accounting policy
adopted for the apportiTonment of costs between
activities and any estimation techniques used to
calculate their apportionment.
NA- Not activity based
CG17a (Excell
14
1610912024

Section C
Notes to the accounts
cont
Note 10
Detalls of certain items of expenditure
10.1 Fees for examlnatlon ofthe accounts
Please provide details of the amountpaid for any statutory external scrutlny of
accounts and other services provided by your independent examiner. If nothing
was paid please enter .0. in the appropriale box(es).
This year
Estimated
Last year
Actual
Indgpendent examiner's fees
726
660
Assurance services otherthan audit or independent examination
Tax advisoryfees
other fees {for example.. finan¢lal advice, consultancy, accountancy services) pald
to the independent examiner
Total
726
660
CC178 (Excel)
15
1610912024

Not& 11
Pald emplo￿08
Pleoyecomplele Ihjs nofA Mlhg¢harJtyh¥s4ny•mpl¢yAÉs.
11.1 St•llCo41
Thls yoar
L¥styfjar
251724
199.gJ9
8odpl 5eGurlty Costs
Penslon cosls Idé15nédtQnidfyudonscheM•l
716
1rf.B59
22
P￿ls& d¢1*15 or￿p￿dIt￿ra on staff Wor￿n9forth
chnrhy whoso ¢oiitrActS Bre pald by avÈlatèd
Ple45e•lvtd•ldlls ofEh&Atsmb¢rtslempJ0￿aS whosé bwn8fll$(oxcludlnpemploydr
pansltyn¢￿tsj1ej1wI1h￿n each bllndoN£*O.OOOfYom£60.QOOupwdrds. If*bete4te n05Uch tr*nsacllons.
NoemP￿yts8 réeÈ5V￿ employeE beneflls léxcluthnll
Gostslforthttr•portlni Péhod of mcrelhHn£eo,OOD
PJèasèpYov1dèi￿ totgl omountpald to
kqy m4nag4mènt pÉrsonnÉi Ilhclud
trnT¥tEPg and ¥enlorrnaM40ffi1ontl f
th•lr 8oYvkns tts th¢ ¢hgrify
NOtiG
IIJ Awrag•hF4d count In th•y•ar
Thè p#rfÈ Dflhocharfty Sn whl¢hth•
plty4è&
Numbir
Number
Govomanco
To
&0
11 J P￿Y￿￿nt￿tO wnpPw#s olhèts I*Arludinglru8ioul
•0Èbèx￿9loth4￿U1Ure of the
PleiBo Blat¢thB l•ed authormyor
rèa&0￿ formBklng tho PKyrnont
pr￿8•￿tth th• Èmountolth•pi￿￿
l(Yv4luoof anywa1￿r el a rfghlttsAO
#Ssptl
NLV4E
11.4 Rtdund•nty
Pl9*$•com￿oI•
Tot01 amtsunt paymont
N(WE
Tho naluro of Iho payménlleaÈh, è$$¢t
Nty4E
Thoéxt•nlol r4duttd3llCytthdlnB 4rth•
balanco sh•ot dat•
PKN8gslat•thé a¢tauntln9 pottcyfor
nyiEdundanGy ortwmlnatlon
paymènts
NONE
CC17AIExcqll
l&WZ4

Section C
Notes to the accounts
cont
Note 12
Defined Contribution pension scheme or defined benefit scheme accounted
for as a defined contribution scheme.
12. 1 Please complete this note if a defined Gontribution pension scheme is operated.
Amount of contrlbutions recognlsed In
the SOFA as an expense
Not Appll¢able
Please explain the basis for allocating
the liability and expense of defined
contributlon pension scheme between
activltles and between restricted and
unrestricted funds.
Not Applicable
12.2 Please Complete this sectlon where the charlty participates In a defined benefit ponsion plan but Is
unable to ascertain Its share of the underlying assets and Ilabilities.
Please confirm that altough the scheme
is accounted for as a defined
contribution plan, it is a defined benefit
plan.
Please provid8 such Information as is
available about the plan's surplus or
deficit and the implications, if any, for
the reportlng charity
Not Applicable
Not Applicable
12.3 Please complete this section where the charity partlclpates in a multi-employer defined benefit
pension plan that is accounted for as a defined contribution plan.
Describe the extent to which the charity
can be liable to the plan for other
entities. obligation5 under the terms
and conditions of the multi-employer
plan
Not Applicable
CC17a (Excell
1610912024

Section C
Notes to the accounts
cont
Note 13
Grantmaking
Please complete thts note if the ¢harlty m8de any grants or donations which In aggregate form a material part of
the charitable actlvltles undertaken.
13.1 Analysls of grants paid Ilncluded in cost of charltable activities)
No material grants paid in the year
CC17a {Excell
18
1610912024

Note 14
Tangible fixed assets
Pleasè complete this note if the charity has any tangible fixed assets
14.1 Cost or valuatlon
Vehlclès
Computer
equlpment
Flx¢ure$ &
Flttlngs
Plant &
Machlnery
Total
Al the beginnlng of
the vear
Addillons
13,249
870
14.119
36,223
36,223
Revaluations
Disposals
Transfers '
113,2491
13,249
Al end of the year
36,223
870
37.093
14.2 Depreciation and impaimients
SL
**
Basis
SL
SL
SL
SL
Straight Line
{"SL"lor
Reducing
Balance
Rate
200
25°/0
25Yo
25°
Al beginning of the
vear
Disposals
13,249
870
14,119
113,2491
13,249
Depreci8llon
7,245
7,245
Impaimenl
Transfers,
At end of th8 year
7,245
870
8,115
14.3 Net book value
Nel book value al the
beginning of the year
Net book value al the
end of the year
28,978
28,978
CC17a IEKell
19
16109r2024

14.4 Impalrment
Please provide a descrlptlon of tho Ovgnts and
circumstances that led to the recognltlon or
reversal of an impalrment loss.
Not Applicable
14.5 Revaluallon
If an accounting policy of revaluation is adopted, please
the effective date ofthe revaluation
Not Applicable
rovide..
the name of independent valuer, if applicable
the mefhods applied and signlflcant
assumptions
the ¢arrylng amount that would have been
recognised had th8 assets been carri8d under
the cost model.
Not Applicable
Not Applicable
Not Applicable
14.6 Other disclosur&$
(i) Please state the amount of borrowlng costs,
if any, capitalised in the construction of tangible
fixed assets and Ihe Gapitalisation rat8 Used.
(iij Please provide the amount of conlraetual
Commitments for the acquisitlon of tangible
fixed assets.
(iii) Details of the existence and ¢arrylng
amounls of property, plant and equipment to
whlch the charlty has restricted titlo or that are
p18d_oed as Security lor liabllllles.
Not Applicable
Not Applicable
Not Applicable
The "Iransf8rs'row is for movements bolween fixed ass81 calegories.
P188se indicate the m&thod of depreciation by deleting the molhod nol applicab16 (SL = slraighl
CC17a (Exc611
20
1610912024

Section C
Notes to the accounts
Note 15
Intangible assets
Please complete thls note if the charity has any intangible assets
15.1 No intangible assets held by the charity in this perlod.
Note 16
Heritage assels
Please Complete this note If the charity has heritage assets
16.1 No Heritage assets held by tho Charity in this period
Note 17
Investment assets
Please complete this note if the charity has any investment assets.
17.1 The charity held no Fixed asset5 Investments during the period
Note 18
Stocks
Please complete this note if the charity holds any stock items
18.1 The charity did not hold any stock during the period.
CC17a (Excell
21
1610912024

Section C
Notes to the accounts
cont
Note 19
Debtors and prepayments
Plgasa complete thls note if the charity has any
debtors or prepayments.
19.1 Analysis of debtors
Unrestricted
Rèstricted
Designatèd
Total this
ear
Last year
Trade debtors
Prepayments and a¢crued income
Total debtors
1,424
11,849
13,273
1,424
11,849
13,273
3,728
15,246
18,974
CC17a (EX￿1}
22
1610912024

Section C
Notes to the accounts
{cont
Note 20
Craditors and accruals
Please complets thls note If the ¢harlty has any ¢rèdltors orarcruals.
20.1 Analysis of creditors
Unrestrlcted
Restrlcted Deslgnated
Total
Total
Thls year
Thls Y•ar
Thls vear
This year
Last year
Trade Creditors
Accruals and deferrèd Income
37,197
37,197
135,520
135,520
172,717
172,717
111,570
111,570
Total
20.2 Deferred Income
Please complete this note If the Gharlty has deferred incomè.
Pl$ase ex
lain th• reasons wh
income is dèfèrred.
Grant Income recelved In adv?nc8
Movemènt An deferred income aGcount
Unrestrlcted
Restrlcted
06sI
nat9d
Thls Year
Last Year
Balance at the start of the reportlng pèrlod
Amounts addèd in current perlod
Amounls released to income from prevlous period5
Balance at the end of the r&portlng peylod
103943
262659
103943
278947
10,283
103,943
10,283
103,943
16288
-231231
.231231
16288
135371
1516S9
CC17a (Excell
23
1610912024

Section C
Notes to the accounts
cont
Note 21 Provisions for liabilities and charges
Please complete this note if you have included In Charity expenditure any provisions. A provision Is made
when the charity has a liability of uncertain timing or amount.
21.1 Please provide..
a brief description of any obligations on the
balance sheet and the expected amount and timlng
of resultlng payments.
an indication of the uncertaintles about the amount
or timing of those outflows., and
the amount of any expected reimbursement, 5tatlng
the amount of any asset that has been recognised for
that expected reimbursement.
Not Appllcable
Not Applicable
Not Applicable
21.2 Movements In recognised provisions and funding commitment durlng the perlod
This year
Last year
Balance at the start of the reporting period
Amounts added in current period
Amounts charged against the provlslon In the current period
Unused amounts reversed durlng the period
Balan¢e at the end of the reporting period
21.3 For any fundlng commitment that is not
recognised as a liabillty or provision, provide details
of commitment made, the time frame of that
commitment, any pérformance-related conditions
and detalls of how the commitment will be funded
{with contracts for capltal expenditure separately
identified).
Not Applicable
£7.4 ￿nere unresiriciea Tunas nave Deen aesignaiea
to a fund commitment, please dlsclose the nature of
any amounts designated and the likely timing of that
expenditure.
Not Applicable
CC17a {Excell
24
1610912024

Section C
Notes to the accounls
cont
Note 22 Other disclosures for debtors, Greditors and other basic financial instruments
22.1 Please provide information about the
sFgnifican¢e of financial instruments leg. debtors,
creditors, investments etcl to the charity's financial
posltlon or performance, for example, the terms and
¢onditions of loans or the use of hedging to manage
financial risk.
Not Applicable
22.2 If the charity has provlded financial assets as a
form of security, the Carrying amount of the financial
assets pledged as security and the terms and
conitions related to its pledge should be glven here.
Not Applicable
CC17a (EX￿1)
25
1610912024

Section C
Notes to the accounts
cont
Note 23 Contingent liabilities and contingent assets
23.1 The charity héld no contingent assets or Ilabllltl&$ during the perlod orthe preoeeding year.
Note 24
Cash at bank and in hand
Unrestricted
Roslricted
D&$lqnated
Thls vear
Last yèar
Petty Cash
Vlrgln Money Current
Virgln Money Deposit
Redwood Bank 95 day notice
CAF 60 day notice (Shawbrook Bankl
Hampshire Trust Bank 1 year bond
Triodos Bank
224
75,071
2,573
1.577
224
80,677
32.573
92,517
30,000
39
27,793
77,167
89.377
80,000
71,467
50,301
3,960
30,000
51,000
15,000
1,646
40,000
15.000
36,016
35,560
40,000
111,576
Total
Note 25
Fair value of assets and liabilities
25.1 Please provld• dètails of the charity's exposure to
credlt rl$k Ith8 risk of Incur¥lng a 105s due to a debtor
ot paying what Is owodl , IiqLEidity rl$k Ithe risk of not
being able to meet short term flt)anGial demandsl and
market risk Ithe rr$k that the value of an Investment will
fall due to change5 in the market) arising from financial
nstruments to which the ¢harity is exposed at the end
of the reportlng perlod and explaln how th8 charity
manaoes those rlsks.
NotApplicabl¥
25.2 Please glve details of the amount of change Sn the
fair valu8 of basic finan¢lal Instruments (debtors,
creditors, Inve$tmonts Isee sectlon 11, FRS 102 SORPII
measured at fair value through th8 SOFA that Is
attributable to changes in credit risk.
NotAppllcabie
CC17a IEx¢ell
26
1610912024

Section C
Notes to the accounts
{¢ont)
Note 26
Events after the end of the reporting period
Please complete this note events (not requiring adjustmenl to the accounts) have o¢curred after the
end of the reporting period but before the accounts are authorised which relate to conditions that
arose 8fter the end of the reporting perlod.
Please provide detalls of the nature of the event
Not Applicable
Provide an estimate of the financial èffect of the
event or a statement that such an estlmale cannot be
made
Not AppliGable
CC17a IEx¢ell
27
1610912024

Sèction C
Notes to the aecounls
cont
Note 27
Charlt funds
27.1 Detalls of matèrial funds held and movements during thè CURRENT reporting period
Please give det•lls oflhe moveMe￿t$ ofmalerlal Indlvlduèl Aujjds In Ihe iepoillhppprlod togelherwlth a balaftcfjnu flgur* for rjtherfunds.. The Total lunds.
Ilotsre belowshotsldreconclle lo Totalffup(ts'ln Ihe blanace shatyi.
' Key.. R. restrl¢ied InGOmO fLtnds. Includlngspaclal trusts, of the ch•rlty,' D- Desiynaled lund$.' UR. unreslrlctèd funds
b8lances
brought
forward
balance5
aTried
forward
R,OorUR
Purp0$9 and Reslrlcllons
Galn8 and
IDBSÈS
Incomè
Expendlturs
TraTh8fer8
Fund names
sed
or everyday opsralions
vthére Ihe fu￿51￿ has not b99n
asslgnèd lo a rt751rfGled or
HaMb￿￿n CthmunltyAclion
UR
145,298
150,477
204.820
4,000
9,500
404,455
June's legqcy
Charily as pef Ihe vAshes ol Ihé
lale Tr￿Slee of H$mhlelon
158,249
61.603
,646
amb19ton CommuntyAGtion
RestriC￿d lunds usgd during the
y9HI
212.003
192,003
14.0001
16,000
Total Funds
303.547
362,480
458,426
9.500
CC17a (Extell
28
16nW2024

Section C
trlotos to tho a¢caunts
Notè 27
Charlt funds
cont
27.2 Details ol wnatorlal funds held arid movemen18 duTlng the PREVIOUS rèportlng p¢rlad
Please dotslls oifhe movemonts oftYJ&t4rial Indlvlclualfund5 It> the reporlinupariod touerherM4lh • baljncknu Ngure for'othurfunds.. The Tolal funds.
Igure bglowshouldrecoficllg la 'Tor41 lunds'ln Ihg btsyJkC• sheet.
' Koy.. R- reslrictedincome Ivnds, Including sp4clBI trusts, of Ihp tharlty.. D. Deslgnatqdfunds.. anLI UR- unreslylcted fvnds
un
balAiices
brought
forward
vju
un
balèncès
cavrlèd
forward
R.URorD
P￿￿Ose and R08trlctions
Incotn8
Expen￿￿t￿r
Transfers
Ioss•5
Fund n4moS
Used for evoTrdayoperaiior
where ihe fvnding has nol been
gsSV￿ed to a reslrKled or
de51gnated lund
Hambleion cOm￿ni1yAc￿o
UR
145,297
143,115
14g.(M
145.013
EsIa￿lshed lo Inveslin the thgliiy
8S P8r Ih8wshc8 of lata
T￿S￿e ofHamblelon ¢(M￿n11Y
Aclion
Jun8's lryacy
238A60
82.022
1,812
158.250
HaMbl8lon Comtwn5tyAcUon
Rgstrfcled Funds v58d th
y8ar
129,800
129,8
Ttst81 Funds
381 575
278 808
CC17a (Excdl
16n9J2024

Section C
Notes to the accounts
contl
Note 27
Charity funds (contl
27.3 Transfers between funds
Reason for transfer and where ondowment is converted to income,
legal power for its conversion
Amount
Between unrestricted and
designated funds
Between unreslricled and
restricted funds
Element of restricted grant from North Yorkshire County Council that
was given to help purchase the new Wheels lo Work van, that is now
sed on the scale of re
ments schedule.
4000
Between endowment and
restricted funds
Between endowment and
unrestricted funds
27.4 Designated funds
Planned use
Pur
ose of the desi
nation
Amount
June's Legacy
96.646
Funds have been designated by the trustees to develop Gapacity within the organisalion and support
long-lerm projects that were of particular interest to June, over the course of four financial years
.Capacily building
-scheduled updates and improvements to IT infrastructure and hardware, telephony
-creation and support for Business Development Officer role
.Wheels2Work project
-ongoing support
.Supported Volunteering project
-Increased capacity lo enable us lo provide appropriate levels of support lo all who want to
volunteer
-supporting increased diversity of volunteers, and of volunteering opportunities, employability.
CC17a (Excell
30
1610912024

Section C
Notès to the accounts
Icontl
Note 28
Transactlons with trustees and related partles
If the charlty has any fransaG¢ions wlfh related partie5 (otherlhan the trustee expenses expl8lned In guldance notesj detalls
of such transactions should beprovided in thls note. If there are no Iransacllons lo report, pleaso enter"True" In the box or
-False" If there arè t￿trY88¢t10￿s to report
28.1 Twstee remunèratlon and beneflts
None of the truslee5 havo bèen pald any remuneratlon or recelved any other benÈflts from an
émploym8nt wlth thelr charlty or a relatod entity (True or Falsel
TRUE
Plea58 giv8 delails of why remuneration or other
employmentbenefits were paid.
NotAppllcsble
Where an èx gr8ti& payment has been made to a tmslee,
provld8 8n explanatfon of tho naturo of the payment.
NotAppllc8ble
28.2 Trustees, expans•s
If the charily ha5 pald frustees exp&nses for fulfllllng thelr duties. deta115 of su¢h Iransacllons 5hotsld be provlded in this
note. If there arè tjo transacllons to report, please enler'frue" in ¢hÈ box below. If there are trarJ$8clkJns to report, ple•se
enter"Falso".
No tru5to0 gxponses have b88n Incurred ITrue or Falsel
TRUE
Please provlde the number of tmstees relmbursed for
oxpen5e$ orwho had expènses pald by the charlty
NotApplleable
28.3 Transactlonlsl with related partles
Please give détalls of 8ny transaction undertaken by (or on behalf ot) the charlty In which a relatèd p£rty has a rnaterial
Inlerest, In¢luding wh8re fund$ havo bèen held as ag8nl lor relatedparties. If Ihere pre no such transactlons, please enter
Yrvo. In Ihe box provided.
There have beam no related party transactlons In the mportlng perlod (Tru¢ or Falsel
TRUE
Forany rolaledpartyj plsase provlde details of any
guaranlees given orre¢elved.
CC178 IExcdl
31
1610912024

Section C
Notes to Ihe accounts
{cont)
Note 29
Additional Oisclosures
The following are significant matters which are not covered in other notes and need to be included to
provlde a proper understandlng of the accounts. If there is insufficient room here, please add a
separate sheet.
Nol Applicable
CC17a (Excell
32
1610912024

Hambleton
Community Action
TRUSTEES REPORT
Charity Name.. Hambleton Community Artion
Reglstered charity number: 1164895
Prlntlpal address: Ground Floor Office SLtlte, 159- 160 High Street, Northallerton, DL7 8JZ
Names of the charity tfU5tees lat 31" March 20241
Namè
Michael Harvey, Chair
Oavid Wa5ker, Treasurer
Andy Powell
Steve Hadwin
Fiona Ellin from July 2023
Nigel Fox from January 2024
Tracy Rose until November 2023
Sally Anderson, Vice Chair, until May 2023
David Blades until May 2023
Elizabeth Robson until September 2023
Chief Officer
Lil Lockey Cmgr FCMI
Independent examlners
TP Jones &Co LLP, First Floor, 23 Victoria Avenue, Harrogate, HGI 5RD
Bankers
Virgin Money, 35-37 High Row, Darllngton DL3 7QT
Funds are also held with
Triodos Bank
Shawbrook Bank
Redwood Bank
Govemlng document
Constitution adopted by Trustees in October 2015, last amended 161h De￿mber 2015
How the charitv 15 constitutèd
Charitable Incorporated Organi5atlon
Charity trustee selertion method
The Trustee Board is elected by membeis at the Annual General Meeting. The Trustee Board have the ability to co-
opt persons to serve on the Board if any vacancies remain unfilled after the Annual General Meetin8.
Summary of the objects of the charity set out in the Èoverning docwment
The objects of the CIO are..
To promote for the public benefit the efficiency and effectiveness of the voluntary sector in the District of
Hambleton, North Yorkshire and surrounding areas in particular but not exclusively by..

the provision of information, advlce, education, training, seNices. resources and any other support,.
encouraging and supporting innovatioll and the meeting of new or unmet need,.
the promotion of charitable givlnE and volunteering.
the promotion and delivery of seTvices to asslst in the advancement of educatlon, the protection of mental and
physical health and the relief of poverty, distress and sickness within the area of beneflt.
such other charitable objects as the trustees shall from time to time determine
Summary of the maln actlvities in relation to these objerts
When considering the oims. objertives Gft)d plGF)ned octivitEsfor the Orgonisation, the Trustee5 take ¢7ccount of the
informotion contoirjed in the Charity Commission's genertslguffdance on public benefit. In particulor. the Trustees
considerhowplanned uctivities willcontribute to the oims ond objectiwes they have set out.
On 23 Novernber 2023, ourcolleague Lizzie Clapham, who had worked the charity for 17
years, sadly passed awayaftera veryshort illness. Lizzie had worked as our Finance officer,
Volunteer Co-ordinator, and most recent￿ as Volunteering Development Officer, and had
been a huge influence on the organisation and its people. She was much loved, and her
passlng wa5 a difficult time for us all. We are grateful for the kind words ol support from
friend5 in the sector, partner organisations, and members of the communlty. She is very
much m155ed by us all.
Over the last twelve months, Hambleton Community Action has continued to provide a range of practical
interventions that enable and encourage participation socially. economically and within the community. Our
Innovative person-centred. strength-based approach underpins all our activities, and we see other ch3ritie5
increasingly adopt variou5 aspects of this. Sadly, we are seeing increasing levE15 of need, and increasing complexity
of need, against a backdrop of increased competition for funding due to the cost of living crisis. and becaL)sÈ many
larger funders have been reviewSn@ thelrphilanthroplcprioritie5. We continue to see a majorlty of pFovidersfocusing
on intensive short-term support andlor provision of advice, guidan￿ and signpostlng, resulting in high demand lor
those lon8er-term interventions that provide a stable pathway towards sustained wellbeing.
The year April 2023 to March 2024 marks our first year as thè Community Anchor Organization ICAO) for
Northallerton- part of a network of place-based organizations appointed by North Yorkshire Council to support
community resilience.
In June 2023, we opened UpFront, our community space, on the High Street, with our social supermarket, Pantry &
Produce in operation from December2023 onwards. These new facilities have been welcomed by locals and visitors
alike. bringing our services to people who would not otherwise know about us, providing a safe, warm. welcomlng
Space, friendly atmosphere, daily activities, digital support ènd food. The additional space has created opportunities
to hire out rooms, and several charities land a bank) are regularly on premise.
As in otheryears, we have continuèd to support people in a variety of ways based on both ongoing and emerging
needs and requests. Duringthe yearwe continued to expand ouroffertoour communities, introducingnew projerts
and cementing our reputation for responsiveness and creativity. As part of our ongoing effort to working
collaboratively and at a systems level, we became a member of the Hambleton & Richmondshire Local Care
Partnershipi and are leading on its Health Inèqualitie5 project.
As ever, we would like to thank all our volunteers, whether paused Or retlred from volunteering. or tontlnuin8 in
the role, forthe amazing contribution you èll make to our communities. The staff team to.ordin3tes, but our
volunteers deliver. Thankyou all.
Our newer ventures Complement existing core activities.
Our community car scheme (covering Northallerton, Bedale gnd surrounding areas) have returned to pre-
pandemic levels, Wlth new members and new volunteersjoining throughout the year. Changes in the NHS
systems land strikes) have been challenging. with last-minijte appointment bookings and can￿lIatIOnS

dlffScult to manage.
Existing partner Stokesley and District Community Care Association passed the baton to us when the r)ew
Carer5 Break scheme tender was announced. HCA 15 now the lead partner for Hambleton and
Richmondshire, with f ive other partners contributing to the contract delivery.
Our Lottery-funded Let's Getconnetted projertgoesfrom strengthto strength, provlding wellbeing support
to hundreds of individuals via one-to-one ar)d group settings. We continue to offer our monthly craft
5essionsat ftivendale and Abbeyfield5, aswell as our three Women's Éroups and bereavement social groups.
Social activities and groups have sprung up within UpFront, including a Chess Club, weekly crafts,
conversation, English-language Practi￿ and numerou5 training COLJf5es open to members of the public. We
provided training in using public transport to refugees and asylum seeker5, coupled with outdoor wellbeing
Our Wheels2Work moped ban scheme continues to provide a lifeline to its clients during the last year,. we
continued to develop our model in relation to how thi5 is effectively managed to maximize the learning
elements for young people.
We continued io offer our supported volunt&ering program, again using funds from the legacy generously
left to Hambleton Community Action by our late trustee, June Darrah. Our Busy Buddies- HCA'S original
5UPPOrted volunteerSng community- have evolved to 3 volunteerirtg tearn that also provldes peer social
support.. they meet regularly as friends. whilst continuing to provide monthly coffee afternoons in
Richmond. Our Stepping Stone5 Project continues to provide 5UPPOrt to people developing their
employability skills through volunteering, eitherwith HCA, or through HCA.
By Your Side- a project that supports people wlth Imalnlyl healthcare and welfare appointments, etc. that
started in 2022 has proved increasingly needed. Demand for 5LlPPOrt with welfare assessments,
paperwork, with medical and DWP appointments is high.
To further our ambition to make the wellbeing benefits of volunteering accessible to all, the regional
Incluswe Volunteering Network has focused on developing a toolkit for access,. thi5 work will be
complemented by our Supported Volunteering in North Yorkshire development work which will see an
information Tesourtr published in the current financi31 year.
Outside of Hambleton Community Action direct service delivery. we rernain artive in many local, regional
and county-wide networks, partnerships and strategic Steering groups.
We continue to disseminate resources in the Northallerton parish area for older people in distress, on behalf
of the Gra£e GardnerTrustees.
A summary of the malh achievements ¢an be found In the Hambleton Communlt¥Adlon Impact Rèport 2023124
Hambleton Communlty Actlon's Aims for 2024125
11 UpFront- development of our digf(al hub"UpFront about Digital"
21 FurtheT development and expansion of our By Your Side project
31 The launch of our new website
41 The Introduction of our e-WAV wheelchair accessible vehicle to build flexibility into our community car
scheme
Sl Piloting three projects to deliver the Local Care Partnership's Health Inequalities project that we lead.. these
are..
Provlding support for expectant parents and parents of young children
b. Delivering health checks in agricultural communities
Explorlng clustering of medical appointments to ease transport challenges
61 We will continue to work collaboratively with other organi5ations to deliver for OLJr communitles
through our existing networks
b. by growing our networks
through collaborative projert5
d. providing support to elderly residentsof Northallerton through funds provided by the Grace Gardner
Trust
71 We wlll maintain and grow those core seNices (described above) that have been helping local people for
many year$ and are proven to have significant positive benefSts forwellbeinE and access to servi￿$

81 We will introduce a number of new Projerts, which have been developed through discussions with clients,
partner5, Staff and volunteers
91 We will continue to invest in volunteers and staff, providing appropriate (>pportuntties for training and
support, and further developing capacity within the organlsation, and within the sector
Funders
In 2023124 Hambleton Community Action was grateful for support from the following organisation5'.
North Yorkshire Counc51
The National Lottery (Reaching Communities)
Children in Need
Community First Yorkshire
Humber & North Yorkshire Integrated Care Board
Northallerton BID
& various donations
Flnanclal Revlew
These accounts are presented as a consolKlated record within which indiv￿u31 funds are classed as Unrestricted. or
Restrirted or as p8rt of the Designated Fund.
Grants are recognised in the Statement of Flnancial Actwities when the charity has unconditional entitlement to the
resources.
At 31 March 2024 HCA had total assets of £217, 10112023 -> £303,547). Within this figure HCA'S unrestricted funds
were £lQ4,45412023-> £145,297) wtth restricted funds £I6,￿OI2023 -> nil) and designated funds of £96,64712023
-> £158,250). The designated fund was set up with receipts of £260,0￿ in 2021 from a legacy of the late Trustee
lune Darrah. During 2021122 a further £9,781.99 aJ)d during 2022123 the final, final amoLJnt of thls legacy of
£1812.07 was received. During 2023124 £615QJ).00 of expend￿Ure was charged to the designated fund12022123
£82,022.43 was charged to the designated fund).
During the yearthe Wheels to Work van was replaced. The pur¢h85e c05t of £36223.OOwas offset by part exchange
of £9500.fJ) forthe old van. North Yorkshire County Council provided a £200￿.00 grant forthe purchase, with
conditions for Stage repayments should the van be disposed of within 5 years. This results in the £16000.(K)
restricted income funds to be carried forward a5 at 31" March 2024 and a transfer of £4000.(K) that is no longer due
between the restricted funds and the unrestricted funds. The £9500.00 gain on fixed assets is the value received In
part exchange for the asset that had been fully depreciated in the accounts at the start of the year.
Operationally after asset adjustments, HCA had an operational deficit of £86446.aOforthe period.
HCA holds a Risk Management Reg￿ter, which is rev*wed at each meeting of the Board of Tru5tee5, identifying kev
risks for the organi5ation and mitigating 3Ction5 to reduce the likelihood and impact of these risks on the
or8anlsation.
Looking forward, the finances of HCA are likely to be affected by the transition to a unitary local authority, and the
introduction of the Mayoral Combined Authority. In both c3ses there is some uncertainty about fvture funding
prioritles and avallabllity. The Tru5tee5 receive regularreportsto ensure the ch3rityremains well placed to deliver Sts
services and ensure that the reserves policy is fully met. HCA15 also taking a proactwe approach to m8ximising
income and reducing expenditure.
This is the final year in which funds have been designated bythe tfU5teesto develop fdpacity wlthlnthe organisation
and 5UPPOrt long-term projects that were of particular interest to June Darrah..
Capacity building
scheduled updates and improvements to IT infrastructure and hardware, telephonv
creation and support for Business Development Officer role
Wheels2Work project

Ongoing support and redevelopment of the scheme to better align to the needs of our target dient
group
Supported Volunteering project
Increased capacity to enable us to provlde appropriate levels of support to all who want to volunteer
Supporting increased diversity of volunteers, and of volunteering opportunities
Any of the legacy funds remaining unspent by the end of the current financial year will be re classified as
unrestricted.
Pollcy on reseNe5
HCA aims to achieve sufficientfree reseNes (unrestricted funds not committed or invested in tangible fixed assets)
which will..
5UPPOrt those projec15, and the general costs of the organisatlon, where expenditure is incurred before
funding is redaimed.
finance the development of new artivities to the stage where e¥terrkal funding can be obtained.
provide time to seek new funding sources at a project's conclusion or facilitate restructuring of the
oryanisation whi15t meeting on-going obligations induding staff redundancy payments.
As a guide, the Trustees have agreed that the free reserves held by HCA should be equ￿alent to approximately 6
months bvdgeted expenditure of unrestricted funds and this criteria was fully met by the accounts of the
organisation at 31st March 2024.
As at 31" March 2024, HCA held £104,454.CO in unrestricted reserves.
Investment policy
HCA holds no investments and will not purchase or dispose of any investmentswlthoutthe approval of the Trustees.
All funds are kept with Banks approved by the Trustèes, with the aim of ensuring a balan￿ between interest
received and charges incurred on accounts. In this period HCA had accounts with Virgin Money Bank, Redwood Ban
Shawbrook Bank, Triodos Bank, Hampshire Trust Bank (for part year).
SIGNATURES
CHAIR..
DATE: 02. 11.Z<
TRUSTEE.,
DATE: ,) > IE. Zi¥

Charil No
eriod
1164895
CHARITY COMMISSION
FOR ENGLAND AND WALES
Hambleton Communil Aclion
Annual accounts for the
To
erio
en
dal*
Period start d8te
0110412023
3110312024
Section A
statement of financial activities
Restrlcted
Income
funds
Recommended categorles by
8Ctivlty
Unrestricted
funds
Designated
funds
Prlor year
funds
Total funds
Incoming resources (Note 31
Income and endowments from:
Donaiions and legacies
chan￿b￿ actlvltles
Other Iradlng act￿1119$
Investments
F01
F02
F03
F04
F05
S01
6.529
137,492
1,027
5,429
6,634
346,662
1,027
5,429
5,238
261,826
7,012
3,543
S02
so3
209.170
S04
Sepawie maleiial item of In¢ome
(Xher
$06
2,828
212,003
2,828
362,
80
1,189
278,808
Total
Resources expended (Note 61
S07
150,477
ExpÈndlture on..
204,820
204,820
192,003
192,003
61,603
61,603
458,426
58.426
356,835
356,835
Total
S12
Net incomel{expenditurel before invèstment
gainslllossesl
813
S14
54.343
20.000
61.603
95,946
78,027
Ntsi gainslllossesl on invèslmenis
Net Incomellexpenditure)
Extraordinary items
Transfers between funds
Other re¢ognised gainslllossesl..
S15
$16
S17
54.343
20.000
61,603
95,946
78,027
4,OOQ
4,000
Gains and k)58es on rtrvaluelion of fixéd 8$$ei8 for thè tharlvs
u$$
Othor gainslllossesl
Net movement in funds
S18
S19
9,500
9,500
S20
40.843
16,000
61,603
86,446
78,027
Reconcillation of funds..
Toi81 funds brought fonward
Tolal funds carrled fonvard
S21
145,297
104,454
158,250
96,647
303,547
217,101
381,575
303,548
16,000

Section B
Balance sheet
Re8trlcted
Income
funds
Unrè$trl¢t8d
funds
De$lgnafed Total thls
Funds
year
Total last
year
Fixed assets
Tanglble assets
F01
F02
F03
F04
(Note 141
Total fixed assets
F05
802
B05
Current assets
Dèbtors
(Note 191
Cash at bank and hand (Notè 241
Tot81 current assels
B07
Bog
fj3,273
13.273
18,974
396,144
415,118
Blo
Credltors,. amounts falllng due withln
one year
(Note 201
37,197
135.520
172,717
111,570
Net currenl assels/(liabllltlesJ
812
03,54
rotal assets léss Gurrent liabilittes
B13
Credltots: amounts falllng due after
one year
INote 201
Provisions for liablllties
B14
B15
Total net assets or liabilitles
Funds of the Charity
Deslgnat8d funds (Note 271
Restricted income funds INote 271
Unrèstrlcled funds
Revaluatlon réserve
B16
120,455
96,646
217,101
303,548
817
96,646
96,646
16.000
104,455
158,250
Bl8
16,000
104,455
145,298
820
821
Total fund5
303,548
Sign8d by one or Iwo trustees on behalf of all
the Iruslee5
Oate ol
approval
ddlmml
Signature
Print Name
'I¥L
C17a (Excell
1610912024

Section C
Notes to the accounts
Note 1
Basis of preparatlon
Yhls section should b6 completed by all charities.
1.1 Basis of accountlng
These account5 have been prepaTed tjnder the historical cost convention with items recognised al cost or transaction
valu8 unle55 Otherwise stated in the relevant nolelsl to these 8QCOLJnts.
The accounts have been
repared in accordance with..
th9 Statement of R8commended Practice.. Accounting and Reporting by CharitiBs preparing
Iheir accounls in accordance with the Financial Reportino Standard ap JiGoble in the UK and
Republic ol Ireland IFRS 1021 issued on 16 July 2014
and with.
and with.
the Financia5 Reporting Standard appllcable in the United Kingdom and R8publiG of Ireland
IFRS 1021
and with the Charities Act 201 fj.
The charity Constitutes a public b6n61il enlily as defined by
FRS 102.
Yes
1.2 Golng concern
If there Arè materlal uncertaln(l&s related to &v8nts or conditions that castsignificanl doubt on thè charlty's
ability to contlnue as a golrjg concern, pleasa provlde Ihe following details orstatè "Not applic8ble- If
approprlète..
An explanotSon as to those fa¢lors that
support the conolusion th81 thé charity is a
going concem-,
Disclosur8 of any uncertainties that make tho
going concern assumption doubtful.,
Whère accounts are not prepared on a going
concem b8sis, please dlso1ose Ihls lact
together with Ihe basis on which the Irus188S
prepared Ihe accounts and the reason why the
¢harily is not regard6d as a going concem.
Not Appllcabla
No¢ Appllcable
NotApplicabl8
1.3 Change of accounting pollcy
Th8 accounts present a true and fair view and the accounting policies adopted are thos8 outlllled in note I l.
Yes
Please disclose..
(i) the nature of the change in a¢countlng pollcy,.
liij the réasons why applylng Ihe new aecountlng pollcy
provid85 more reliable and more relevant Informatlon,.
and
CC17a IEKcell
1610912024

(iiij lh* amount of the adjustment for each Ilna affeeted
in th• eurrenl perlod, eèeh prior perlod presanted and
the aggregale amount of the adjustment r&lating to
perloats before those presented, 3.44 FRS 102 SORP.
1.4 Changes to accounting estimates
No changes lo accounting estimates hav6 occurrgd in the r6porting period13.46 FRS 102 SORPI.
Yes
No
Please dis¢los8.'
(l) th8 nalure ofany changes,.
Not Applicable
NotApplicable
(11) th* effec¢ of th& change on income and èxpense or
assèts and Ilabllltlgs for the currentperlod,. and
(111) where praetlcable, the effect of the ch8nge In onè or
more future perlods.
NotAppllcalJl8
1.5 MJlerial prior year errors
No material prioi year error have been identified in the reporting period13.47 FRS 102 SORPI.
Yes
No
Please disclose.-
Not Applicable
(i) the nature of th8 priorperiod error,.
(iij for each prlorperiod presentèd in the 8¢Gounls. tha
amounl of th6 correction for each account line item
affected,. and
Not Applicable
(ill) the amounf of the correctlon at Ihe beglnning of the
earli&stprior period presented in the a¢¢ounts.
Not Appllcable
CC178 (Exc811
16109r2024

ection C
Note 2
Notes to the accounts
Accounting policies
Please complete Ihis note when first r8POrtlng under FRS2102. Section 35 of FRS102, requires 3 reconcili8lions lo b
presenled, if all are 8pplicable.
con
2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
Please provide a description
of the nature of each change
in ac¢ountlng policy
Not Applicable
Reconcllatlon olfunds per prgvious GAAP fo funds determined under FRS 102
stsrt of
End of
perlod
p&riod
Fund balancÈs Ès previously
stated
Adjustments..
Fund balanctr as restated
Reconcilation of net income/(n8t expenditure) per previous GAAP to net income/(net expendilure) under FRS
102
End of
Net incomèllaxpènditurel as previously
Statèd
Adjuslments."
Prevlous period net Incomellexpenditurel
as restated
CC17a {Excell
1610912024

SeGtion C
Notes to the accounts
cont
Notè 2
2.2 INCOME
Accountlng pollcles
This sisndèrdlisi olaG¢ountillS7 polic￿s h9& app118dbythe charilyexr.epl fforlhose ÉiGk&d'No"or'We'. Wh&re a
djffofenl or8ddi1￿￿6Ip0I￿yhos been adopl&O Ihen Ihis 1.% dela￿¢6 fft Ihe box belnw.
Rèeoonilion of income
Tthese are included In Ihe Slalemgnl of Financial Atilvilies IsoFAlw*en'.
the charily becomeg Ènii119d lo the res￿rC0S..
il is likely than not that the Ituslees thlll receiVO Ihe re50urces,' snd
the Tnonelaryvalue can be mÉ$sured suffkI￿i wllablllty.
No
la
Yes
No
Nla
Offsotllng
There been nts offselllng of assets and Ilab11￿l9S, orlnwme and ￿¥￿$95, requKe
or pem)itled by Ihe FRS 102 SORP or FRS 102.
Yes
N18
Gronts Bnd dtsnaiions are incjuded ￿ the SOFA then Ihe general Inr(wno
ret￿ni￿(￿ criteria are mel 15.10 19 5.12 FRS102 SORPI.
In Ihe case ol performance r&latsd gran16. inGom& musi ￿cogNised lo Ihe
exlenl Ihal ihe chsrily has provlded ihe speciThod gfyjds or seTvlc&s as ￿tIll$M*￿t to
the grant only occurs ￿en pèrformance related eondllions arg met15.16 FRS 102
soRpI.
Grants and donatlons
Yes
No
Nla
L¢gacles
Lega￿e5 are iTbGluded in the SOFA then recelpl is piobÈNe, thalls. then there has
bcen gr8nl ol probate, the executors have established that Ihere are suffi¢lenl 25sels
In the eslale and any cond11￿n￿ allached lo the legacy dlhErwlhin the ciJnir(Y of
the charfty or hav8 b8en rnel.
Yès
N13
Governmont granr
Yes
Tho Charity has receFvèJ gov*mm8nl grants In repodlng p￿1{￿j
Gitt Ald re￿1¥able is included In intomè there Is a valld dè4ar$t￿n from the
donor. Any Glll Aid arn￿￿1 rerov8red on a don8tlon 1$ tonsldered to bg Pdrt ofih81
grfl and Is Ireaièd xs an addition ￿ Ihe sam$ fund as the inSllal donatlon unless the
donor ￿ the leTms of thé 8pp8al have sp8cified 01he￿$8.
Tax reclalms on
dorFalions and gllts
Yas
No
Nla
¢¢nira¢tual income and
ptrforman¢e related
es
Nla
Thb Is Mly iFKluded in Ihe SoFAon¢e Ihe charityhds provthd lh8 rdaled 9￿dS or
seNi￿5 cr mei ihe p6rfoimance r&￿ted condlUan$.
Yes
No
Donaiad good5
Donaied goods are measured 81 falrvalug Ilhe amount for ¥thlch th9 aS591 COU￿ b&
oxchanged} unless Impraclical lo do 50.
Nla
Thè c¢$1 ol ally51￿k of goods donaitd IOT dlslribulK)n lo be￿I￿all@S ￿ deemed lo be
the fairvaluè of Ihosè gifts at th8 lime ol Ihelr récknipl and they a￿ remgni5cd on
ret¢lpi. In the re￿1￿9 period In whKh the Stocks are disiribuied. Ihey afe racognbsed
as an exp&nsa 81 lh8 carwng amounlol the $iocks al dis1n￿lIC￿i.
Donaled goods for regale ar¢ measured 81 faIrv8￿¢ initial recognitic￿. vknl¢h1s Ilh8
axpedèd prtr&Bds from Sa￿ less ihe exp8Gled c051s of s8le. Bnd recognisod
'IrKotne Irom olh8r liadlw aclivilies, vrilh ihe correspanding stock rewnlsed In Ihtr
b8lance $h¢ei. On ils sale valuÈ of is charged againsl'lncome Irom olher
trading activities, and Ihe proceeds from 5a18 are also recognisod a5'1nGome from
olhertradlnu act￿￿leS,.
Yes
Nla
Yes
Nla
Go(Mts donaled for Dn-ooiw use by the C1￿￿rtY are rewnised as tangIb￿ as5elB
Indudgd in th& SOFA as Sn¢omiw resources ￿en racelv$bl$.
Yes
No
Nla
GIH$ in kirKI for use by th8 chariiy are SrbGlud8d in Ihe SOFA a$ frotn d￿EllonS
¥thgn receri8Ue.
Yes
Nla
Donated s8rvlce8 and
Don￿ed services and lacllllles $<B induded in the SOFA VdhÈn <Èt.8jved al Ihe valub of
Ihe gift lo the ¢harityryiwid8d the value of Ihé glll Can bp mea5ur£d rollab￿.
D￿ated sèNlc&s and facilities Ihal are consumsd Immediglely are recognlsed as
IncY)m¥ ￿th an equivalent amouni re¢ognised as an expen98 vnderihe appropriale
heading In SOFA.
YÈS
Nl
Yè8
No
Nl8
Y8s
No
Nla
Support ¢0$18
The th8rityh8s expenditure on support ¢o8ts.

Y&8
Nl
Volunttgr hAIp
The value of any vo14nlary help recepied S￿lL￿￿ed in Ihe Ke￿￿19 ￿118
descri￿￿ in Ihe truslegs, annual report.
es
Income from Inter46t,
royaltlès and divldend$
Thls Is Inc￿￿ed the account¥ receipt is wobatle and Ihe amount r8¢¢lv£bl8
¢aft be measured r@liably.
es
Nla
from membeTshlp Membgr6hip subs¢rfpllons recelved thè n8ture of a gln arè le￿@nISed In DDnalivns
subscrlptlons
aThS Legaoea.
Membership subscrfp1iL￿S ¥thich gr¢es a memberthe right lo thy 88iwces (* Olh8r
ben0fl1S aye recognisfjd as Income earned from thè provision of gotsds ano Se￿Ice5 $8
Income from ehariiable &cliyiliéS.
Insur9n￿ cl¥lm$ are only indudgd in Iha SOFA Iho gwèral income reGogniil
criIBd$ are mel15.10 to S.12 FRS102 SORPI and gra Included as an ttÈm ofdher
come in the StsFA.
Thls Includ85 any reallsed or unreslised galns OF losses on Ihe sele of uiveslTnents and
anygain or108s resulting IrorTr r£walulng Inveslmenls 10 ￿rke1 vaSue al the end of the
year.
es
Sètllemènl of Insurantè
181rn5
Yes
Nla
InvestTnent 9ainJ and
YÈS
NIA
2.3 EXPENDITURE AND LIABILITIES
Liabllity recognltlon
abilllitrs ar6 recognised where li Is mole likdy Ih¥n noi Ihal Iherg is a leg4 or
¢¢nslEuGtive oblig3lion commlllin9 th8 thailly lo pay out r8sourcpts 2rhd the amount ol
Ihe obllg8iion cdn be measurèd wilh reasonabl8 certalnly.
Support costs h8ve been alloGaled btriween goveman(* ty)815 othHT suppori.
GovornAnce and 8UPPQrt Covernance c05l5 comwrse all Costs invdving publK a¢couMiatxlity ol the ¢harfiy and
A&S
its compliawe ￿1th iÈoulalion and good praclice.
Suppm costs indudo ¢Èntrgl funG1kn5 arhd have been aloc314d 10 2divltycost
C818gories on 8 b8sis con8lSl¢nl I4￿th use ol res<wrcès, eo BUoGaling prtperty (￿S16
by areas. or ptrr¢¥pila, s18ff costs bylhè Ume spent oihèr costs by
usa0&.
Whgr8 the charily gives a gr¥nl ￿ryth condiiions forits payrnentbsing • spedfie level of
Grants wth p6rformance servrce or oulpul to be provided, Such grants 8rg ￿]Y rectyjnised in ihe SOFA once I
condltlons
reGiplenl al gr8nl has prO￿ded Ihe specified 8epA¢e or oulpul.
Whare Iher8 arè no condllions aliachiry 1¢ the oraTrl Ihal enailes Ihe thor ch&rfly to
GTani¥ PAyable wllhout
re81isll¢alty avoid th& commlbn&nl, a liability lor lunding obligation musl be
pgrformanc• condlllonw re¢ognised.
Yes
No
Nla
es
Yes
No
Nla
8È
Yes
No
Nla
Yes
Nla
Redundancy ¢ost
The ch8rity mÈd8 no redundancy paymants ihe r8PMlng perlod.
Y8S
Nla
Dèferred In¢orn8
No material ilom Ol deferred Incorna h88 Oèdn incIL￿e￿ in lh8 accounts.
trs
Nla
CTeditOT8
The charity has ¢redilors aré mt8$ured at seNlerntsni amounts18ss any tradè
di%counls
A Ilthlily is rne8sv*d on recognilion 81 Ils higlorical cost and then subGequÈnlly
Provlslons for 1lab1lltl￿ measurèd at Ihe be51 eslim$ie of Ilie amount rttolrired to Sett￿ tho oblig$UDn al I
rÈportln9 dalo
Thè Char￿lY accouDL5 ftsr bas￿fil￿nCIaI Snslwmenlson In￿￿1 re¢DJnllion 8S Por
P8ragTaph 10.7 FRS102 SORP. Subsequent tnaasureTDenl Is gs por paraymphs 11.17
to 11.19. FRS102 SORP.
Yes
No
Nl¥
Yes
Nl
Instrumènts
2.4 ASSETS
Tangibltr Jxèd assgts for These are ca￿taIls8{1 il IhBy¢an be us8d for mtye ih8n one year, 8nd ¢091 al lea$1
use by ch8rlty
3,000
Yes
Nla
They are valved al cost.
The depre¢l8iion rates and methods used are di5Glosed In note 9.2.
The charlly has Inl£ngible fixed asgpts. Ih81 is. nOn-[n￿etary as6e15 that do nol have
phyglcal sub8lanr.9 bul are Identifiable ore Control￿ by the chariiy through
cus1￿Y or lègal rlgh15. The amtsrtlsallon ral&s tnelhods used ar6 distlosed In nol8
lttlÈnulble fixtrd as8•ts
Yes
Nla
es
No
They are v8lued 91 ¢091.

H•rllage assets
The ¢￿ritY ha5 heril8ge 88StrIS. Ihal is, non-mon91ary asseis Wilh hi$ioriG, 8rtisllc,
scienlilic, lechno1ogic81, geophyslcBI orwvirontP7enlAI qu$lillès that gre held and
m8iniained piinupally lor Ihelr coniribulion to knowl8dge and cullurts. Tho depreciaiion
iales and methods as disclosed kn nDte 9.6.1.4.
Nla
Yes
Nla
They 8re vsluÈd ai cosl.
Investments
Fixed assei inveslfflenls in gLPoied shale5. Iradèd bonds and slnllar invesknents ar
valued al inilwlly ai ¢081 arwj subsequeniiy al fairvalue lth$ir markel value) al Ihts year
end. Th¥ Irealmenl is sppllÉd to un11518d Investmen15 uths$ 181r value c8nnol
bo tneaswed rellably In which case il is measured 81 cost less rmpaimi&nl.
Invesltn8n18 held for resa￿ or pondiny thBIrs8￿ and cash and cash equivalanL% vAlh
n181uriiy d810 ol lesB Ihan 1 ￿ar are Irealed as curFenl ass81 inveslm8nls
Yes
Yes
Nla
Stocks and work in
progress
Siock$ held for Sale as ofnofyrharii8Ua IradÈ aré measuw ai the orcosl tr nel
rEalisable value.
Yes
Nl
Gwds orservices yowded as pan of a charilabk aclivily measured 81 wi w*118ablo v81ue
based on t￿ se￿iCe pot2nii31 provided by Iieins of slorJ(.
WoFk in wogr&ss 1$ valu¢d ai c05tlass 8ny forgsee8bl¢ l¢K85 that is likely to tsccur￿ ihe
conlrgcl.
es
es
Nla
Oebttys lirKludwio Irdde debloT3 aFwJ loans recÈiV8blyl are m&ssured on Inibal [￿09Th1￿¢￿ al
3fjtt1emenl gmount afterany trade discounts oramount 8dvanc£d bylhe charity.
sUb￿quen11y. Ihey are mÈaÈured al the cash orolher Cons￿81811¢n expected lo be received.
Tho charily has has inves1[ne￿$S thich Il holds lor resale or pendirbg their sale and cash and
cash equivaleni$ ￿TrIb a malurily dole. less than one yaar. These includè cash on dep￿t ar
¢esh eqiiivalenlswlh 8 Iiigiiifrfy dale of less than one year held ftsr inveslrn&nl puiposos ralhar
than lo meal short lerm cash c(Nxmiim¢nis as they f£ll due.
Yes
No
Nla
Debtors
Curront asset
ItW•6tm4nls
Yes
Nl2
Yes
Nla
They8r8 valu£d 81 fail value except wtrere they qualrfy as ba￿¢ inslrum&nts.
POLICIES ADOPTED
ADDITIONAL TO OR
DIFFERENT FROM
THOSE ABOVE

Note S
Analysis of incomtr
sldGt*d
FJJndR
Totsllund5
PNory••r
Donations
6.529
8.534
Gefjert 9rants Pro￿&￿ by gov¢Fnmetthther
Toial
6,53d
5.230
Charttabl¢
North Y0thshi￿ Cw
Hamb1eton DSS
Councl
62.SY6
107.8f
170.442
100.735
fjo 000
5,000
15,1&3
Two R￿1￿
s Communil Fo￿￿31￿￿
"drÈn In N&¢d
68.053
$hlr6
24,954
5,449
HNYICP
ComMuDII tal HaallhTransIO￿
AR
5.000
f.200
et Stro
NorI￿lIert￿n BID
5.orxi
s.orx)
fjo,000
1.200
1,600
100
428
406
User￿tribUll0N8
C&r
chè
Wh891s 2Watk USÈI Incorog
Volunieer Md
An
5,135
23.808
1,280
12,525
12.525
22.985
457
Total
137.492
261 826
Inwme ICoMffli$¥ron8d SHtvIcÈ3
ed $Bl#sllrwr4nc&recoV
1.757
225
225
Total
Income fr&
Inv•$trnonts'.
5.429
3,543
and ￿2$1￿
m8
&429
5.429
3,543
of Incom¢
T￿￿1
Oth•r'.
Ge
2.828
2,828
Total
TOTAL IN¢OME
IS0477
212 003
362 480
278 808
l Otheilnform4tbn'.
IlnÈtsthè Ihth• ￿OrY￿arY￿aSUnr•$IrktQd oxcqpi lor.. Ipièa&*
provSde dp5¢rfptbll and omountsl
￿*b￿l￿&￿Tr£I￿￿0Ra&1rtGt¢d*￿d
£I4￿u&v￿r8￿￿cled.Uthp￿Thi￿￿kn￿t1d￿0UrIltr￿
£18l2￿1￿￿rrtd loth8 De6￿￿te6fUnd.
Whereanyendowmtnl lund IscvnvBrttd knto Income
reportkng peiiod. plèasog￿thorQ4IllTht0y ihèeonv•t81on.
Nolwkatrle
%SlihlM thèlMcomplt4msgbr*v•lh•followFny Itèms arÈ Mat4rfal..
RecelvedthefrnalparfoYlkn1ega￿f10￿￿￿nerTo￿￿tstt￿t
foinis1hgths￿￿aIÈd ￿ndS&t￿p￿ ￿ wawbu5￿&¢S
e¥mwrtl1h￿1WaSiec￿ed ￿221￿3w3% t1812.07.
Tli8Grac6GardneTTN5I-ullh&£50Witte•ied In2022123.Ih
￿￿￿10[£118?￿￿5u￿￿￿1Th2D￿r23 th8￿M01t3811
bgusetsln 302Jr24 IA202J124 theamoUntrf£2B28ws
suthtslUOWMwreGeivFd.
È58831&ava1￿10f0I u¥pln ZQ¥P25.
CC170 (Exull
16m9￿024

Note d
Analysi5 of recelpts of
government grants
Des¢rlption
This year
Last yèar
Govemmènt grant
Government grant
GoveTnment qrant
Govornment 4rant
Government grant
Government qrant
Government grant
Governmont grant
Government grant
Government grant
Government grant
Gov8rnment grant
Government grant.
Government grant
Governrn&nt grant
Government grant
Government grant
Govèrnment grant
Government grant
Governmènt qrant
Government grant
Government grant
Government grant
Government grant
Government grant
Government grant
Government arant
NYC Car S¢heme
NYC former NYCC R&spile Sitting
NYCC Carers 8reak
NYCC Fundinq Stronger CotMiunilies- COV￿-19
NYC Communty Anrhor
NYCC Kicks18rt
NYCC Menlal Health Transformation
NYC SHIC
NYCC Wlnter Pr8ssur88
NYCC Small Grant- Community Transport Funding
NYCC Moorsbus
NYCC CLLR funds- for Harbus Timetables
NYCC W2W Conlrlbullon tOW8rds new van
NYCC ecompass
NYCG Supported Volunteerino tnalch funcjing lo TNL
NYCC Personais8d Care Prograrnrne
NYC former HDC Car Scheme
NYC former HDC RTAP
NYC former HOC volunteeri￿ Hamblelon
NYC former HOC W2W
ROC R TAP
NYC Former RDC W2W
The National Lolt8ry Community Fund
Children In Need
Communlly First yO￿shire
Health Inequalities Fund IIC81
UKSFP
12,601
5.716
37,447
12,601
11,432
26,000
15,000
8,492
.15,0
15,000
5,000
2,496
1.000
1.000
20,O¢Y)
20.000
22,631
2,000
5,600
2.500
3,000
10,000
2,000
8,000
4g,377
18,829
17,835
15,000
20,000
20.000
5.800
2.500
3,000
10,000
5.000
68.732
12.468
25,000
36,500
Othar
Other
Heys Smilè
Asda
1.011
1,600
Other
Grace Gardner Trust
5,000
5,000
Total
Please piovlde detalls
Of any unfulfilled
condNlions and other
contlngenGle$ attaching
10 grants Ihat hav8
beèn recognAsed in
income.
£101,085 Grants Rec￿Ve￿ In 2022123 arè re￿vant lo 2023124.
£150.901 of Gr8nls r&c8lvad in 2023124 are due lo be used in 2024125.
Please give de¢ails or
otljer fom)s of
govammeRtasslsl&nce
from whlch ¢h& Gharily
hAS directly benefjted.
Nol Appllc8ble
Othorltr)lomJ8¢io
Th8 sum of £5000.00 from the Grace Gardner Twsl was passed lo HCA from
North8llerton Town Council lo work in parfnership with tha Grace Gardner
Trustees lo meel Ilie Irusl's alms of allewaliiig iJlslwss and hardship 8mong
oldei peokla 1P￿ng ￿rythIn Ine boundary of the Parish Northallerton. A furfher
£5￿0.[￿) w3s passed lo HCA In March 2024.
CC17a (Excèll
1610912024

Section C
Notes to the accounts
cont
Note 5
Donated goods, facilitles and services
This year
Last year
Seconded staff
Use of property
Other
Please provide details of the
accounting policy for the recognition
and valuation of donated goods,
faclllties and services.
Not Applicable
Please provlde details of any
unfulfilled conditions and other
contingencies attaching to resources
from donated goods and seNices not
recoanised in Income.
Not Appllcable
Please give details of other forms of
other donated goods and services
not recognised in the accounts. eg
contrlbutlon of unpaid volunteers.
Many of HCA'S sèrwcos are delivered by unpaid
volunteers who only recelve r6imbursed
expenses. This is discussed'further In the
Trustees Roport
CC17a (Excell
11
1610912024

Note 6
Analysls of èxpenditure
Unr?$lrtcted Rèstrfct•d Dèslgnatèd
funds
fund4
funds
Totkl lunds Pr4oryg8r
Anal Is
Fundraising Tradino Support Costs
Valunlary Incomts Support Costs
Total ex
endlture on ralsl
funds
Expendlture on
raislng funds-
Expenditur8 on
charltable
Bank Charges
CBT Training
Copier Costs
Oeprè¢iatio
Payroll C0515
Fuel
737
737
842
7,245
81,438
1.579
7,245
279,295
1,579
3,205
56.151
11.095
285
28,563
638
288
136,884
60,973
220,303
2,526
2,094
6.994
12,371
2,687
12,109
566
48,071
1,182
440
95
3,532
Insuran
Mi8cÉllaneous
27,487
28,664
5,859
283
oriic6 Coslsl Stslloneryl P08t8ue
Publicily Marketing, Even
Renv Room Hire
Road Tax
Equipmant (Revenue)
StsftTraining
Staff Trav61
Subscrip140nsl Affllia14'0nslAdmln Cosi$
Telephone
20,956
638
1,579
594
733
2,312
594
80
210
3,840
13.386
13,013
559
639
210
13,386
13.013
Vtthicle Insurance
Vehicle Running Coslsl Mainlenancel
S8McAngl S2foiy Eouipm8nl
Volunteer Travell Support Costs
Audll A¢¢ountsncy Twslee Cost
11,664
5.665
17.204
726
6,770
1.816
12,4
19,650
726
12.438
14,959
660
630
Gracg Gardnar Trusi
2.828
2.828
1.189
Total expenditure on charltable
actlvltles
204,820
192,003
61,603
458.426
358,835
TOTAL EXPENDITURE
204 820
192003
61,603
458 426
356 835
6.1 Other Infomiatlon..
Analys1$ of expenditure on charitable actlvltl88
Grafit
lunillDg
Actlvliy or
yog¥8mnJe
Support
Cost$
Totsi thl
year
Taialprlor
year
AcllvltSes undortakfjn dlrectly
ACtlvltlo¥
Other
Total
PrloryÈai expBndlture on charllhble acllvill•s
can b6 ¥nalysed as follows-.
Wllhln Iho expèndlture It•ms abovo
followlng Items Jrg material.. (please disclosè
the nature, amount and any prlor yèar
an>Dvntsi
CC17a IExc811
12
16￿￿2024

Section C
Notes to the accounts
cont
Note 7
Extraordinary items
Note 8
Funds received as agent
8.1 The Charlty did not rocelve any funds as an agent in thls year.
CC17a {Ex¢ell
13
1610912024

Section C
Notes to the accounts
cont
Note 9
Support Costs
Please complete this note if the charity has analysed its expenses using activity
categories and has support costs.
Ba8is of
allocation
{Des¢ribe
method)
Raising funds
Support cost
les
exam
Activity 1
Activity 2
Activity 3
Grand total
Govemance
Charitable Activity
Fundraising Activity
Generating Voluntary
Income
Other
Total
Please provide detalls of the accounting policy
adopted for the apportiTonment of costs between
activities and any estimation techniques used to
calculate their apportionment.
NA- Not activity based
CG17a (Excell
14
1610912024

Section C
Notes to the accounts
cont
Note 10
Detalls of certain items of expenditure
10.1 Fees for examlnatlon ofthe accounts
Please provide details of the amountpaid for any statutory external scrutlny of
accounts and other services provided by your independent examiner. If nothing
was paid please enter .0. in the appropriale box(es).
This year
Estimated
Last year
Actual
Indgpendent examiner's fees
726
660
Assurance services otherthan audit or independent examination
Tax advisoryfees
other fees {for example.. finan¢lal advice, consultancy, accountancy services) pald
to the independent examiner
Total
726
660
CC178 (Excel)
15
1610912024

Not& 11
Pald emplo￿08
Pleoyecomplele Ihjs nofA Mlhg¢harJtyh¥s4ny•mpl¢yAÉs.
11.1 St•llCo41
Thls yoar
L¥styfjar
251724
199.gJ9
8odpl 5eGurlty Costs
Penslon cosls Idé15nédtQnidfyudonscheM•l
716
1rf.B59
22
P￿ls& d¢1*15 or￿p￿dIt￿ra on staff Wor￿n9forth
chnrhy whoso ¢oiitrActS Bre pald by avÈlatèd
Ple45e•lvtd•ldlls ofEh&Atsmb¢rtslempJ0￿aS whosé bwn8fll$(oxcludlnpemploydr
pansltyn¢￿tsj1ej1wI1h￿n each bllndoN£*O.OOOfYom£60.QOOupwdrds. If*bete4te n05Uch tr*nsacllons.
NoemP￿yts8 réeÈ5V￿ employeE beneflls léxcluthnll
Gostslforthttr•portlni Péhod of mcrelhHn£eo,OOD
PJèasèpYov1dèi￿ totgl omountpald to
kqy m4nag4mènt pÉrsonnÉi Ilhclud
trnT¥tEPg and ¥enlorrnaM40ffi1ontl f
th•lr 8oYvkns tts th¢ ¢hgrify
NOtiG
IIJ Awrag•hF4d count In th•y•ar
Thè p#rfÈ Dflhocharfty Sn whl¢hth•
plty4è&
Numbir
Number
Govomanco
To
&0
11 J P￿Y￿￿nt￿tO wnpPw#s olhèts I*Arludinglru8ioul
•0Èbèx￿9loth4￿U1Ure of the
PleiBo Blat¢thB l•ed authormyor
rèa&0￿ formBklng tho PKyrnont
pr￿8•￿tth th• Èmountolth•pi￿￿
l(Yv4luoof anywa1￿r el a rfghlttsAO
#Ssptl
NLV4E
11.4 Rtdund•nty
Pl9*$•com￿oI•
Tot01 amtsunt paymont
N(WE
Tho naluro of Iho payménlleaÈh, è$$¢t
Nty4E
Thoéxt•nlol r4duttd3llCytthdlnB 4rth•
balanco sh•ot dat•
PKN8gslat•thé a¢tauntln9 pottcyfor
nyiEdundanGy ortwmlnatlon
paymènts
NONE
CC17AIExcqll
l&WZ4

Section C
Notes to the accounts
cont
Note 12
Defined Contribution pension scheme or defined benefit scheme accounted
for as a defined contribution scheme.
12. 1 Please complete this note if a defined Gontribution pension scheme is operated.
Amount of contrlbutions recognlsed In
the SOFA as an expense
Not Appll¢able
Please explain the basis for allocating
the liability and expense of defined
contributlon pension scheme between
activltles and between restricted and
unrestricted funds.
Not Applicable
12.2 Please Complete this sectlon where the charlty participates In a defined benefit ponsion plan but Is
unable to ascertain Its share of the underlying assets and Ilabilities.
Please confirm that altough the scheme
is accounted for as a defined
contribution plan, it is a defined benefit
plan.
Please provid8 such Information as is
available about the plan's surplus or
deficit and the implications, if any, for
the reportlng charity
Not Applicable
Not Applicable
12.3 Please complete this section where the charity partlclpates in a multi-employer defined benefit
pension plan that is accounted for as a defined contribution plan.
Describe the extent to which the charity
can be liable to the plan for other
entities. obligation5 under the terms
and conditions of the multi-employer
plan
Not Applicable
CC17a (Excell
1610912024

Section C
Notes to the accounts
cont
Note 13
Grantmaking
Please complete thts note if the ¢harlty m8de any grants or donations which In aggregate form a material part of
the charitable actlvltles undertaken.
13.1 Analysls of grants paid Ilncluded in cost of charltable activities)
No material grants paid in the year
CC17a {Excell
18
1610912024

Note 14
Tangible fixed assets
Pleasè complete this note if the charity has any tangible fixed assets
14.1 Cost or valuatlon
Vehlclès
Computer
equlpment
Flx¢ure$ &
Flttlngs
Plant &
Machlnery
Total
Al the beginnlng of
the vear
Addillons
13,249
870
14.119
36,223
36,223
Revaluations
Disposals
Transfers '
113,2491
13,249
Al end of the year
36,223
870
37.093
14.2 Depreciation and impaimients
SL
**
Basis
SL
SL
SL
SL
Straight Line
{"SL"lor
Reducing
Balance
Rate
200
25°/0
25Yo
25°
Al beginning of the
vear
Disposals
13,249
870
14,119
113,2491
13,249
Depreci8llon
7,245
7,245
Impaimenl
Transfers,
At end of th8 year
7,245
870
8,115
14.3 Net book value
Nel book value al the
beginning of the year
Net book value al the
end of the year
28,978
28,978
CC17a IEKell
19
16109r2024

14.4 Impalrment
Please provide a descrlptlon of tho Ovgnts and
circumstances that led to the recognltlon or
reversal of an impalrment loss.
Not Applicable
14.5 Revaluallon
If an accounting policy of revaluation is adopted, please
the effective date ofthe revaluation
Not Applicable
rovide..
the name of independent valuer, if applicable
the mefhods applied and signlflcant
assumptions
the ¢arrylng amount that would have been
recognised had th8 assets been carri8d under
the cost model.
Not Applicable
Not Applicable
Not Applicable
14.6 Other disclosur&$
(i) Please state the amount of borrowlng costs,
if any, capitalised in the construction of tangible
fixed assets and Ihe Gapitalisation rat8 Used.
(iij Please provide the amount of conlraetual
Commitments for the acquisitlon of tangible
fixed assets.
(iii) Details of the existence and ¢arrylng
amounls of property, plant and equipment to
whlch the charlty has restricted titlo or that are
p18d_oed as Security lor liabllllles.
Not Applicable
Not Applicable
Not Applicable
The "Iransf8rs'row is for movements bolween fixed ass81 calegories.
P188se indicate the m&thod of depreciation by deleting the molhod nol applicab16 (SL = slraighl
CC17a (Exc611
20
1610912024

Section C
Notes to the accounts
Note 15
Intangible assets
Please complete thls note if the charity has any intangible assets
15.1 No intangible assets held by the charity in this perlod.
Note 16
Heritage assels
Please Complete this note If the charity has heritage assets
16.1 No Heritage assets held by tho Charity in this period
Note 17
Investment assets
Please complete this note if the charity has any investment assets.
17.1 The charity held no Fixed asset5 Investments during the period
Note 18
Stocks
Please complete this note if the charity holds any stock items
18.1 The charity did not hold any stock during the period.
CC17a (Excell
21
1610912024

Section C
Notes to the accounts
cont
Note 19
Debtors and prepayments
Plgasa complete thls note if the charity has any
debtors or prepayments.
19.1 Analysis of debtors
Unrestricted
Rèstricted
Designatèd
Total this
ear
Last year
Trade debtors
Prepayments and a¢crued income
Total debtors
1,424
11,849
13,273
1,424
11,849
13,273
3,728
15,246
18,974
CC17a (EX￿1}
22
1610912024

Section C
Notes to the accounts
{cont
Note 20
Craditors and accruals
Please complets thls note If the ¢harlty has any ¢rèdltors orarcruals.
20.1 Analysis of creditors
Unrestrlcted
Restrlcted Deslgnated
Total
Total
Thls year
Thls Y•ar
Thls vear
This year
Last year
Trade Creditors
Accruals and deferrèd Income
37,197
37,197
135,520
135,520
172,717
172,717
111,570
111,570
Total
20.2 Deferred Income
Please complete this note If the Gharlty has deferred incomè.
Pl$ase ex
lain th• reasons wh
income is dèfèrred.
Grant Income recelved In adv?nc8
Movemènt An deferred income aGcount
Unrestrlcted
Restrlcted
06sI
nat9d
Thls Year
Last Year
Balance at the start of the reportlng pèrlod
Amounts addèd in current perlod
Amounls released to income from prevlous period5
Balance at the end of the r&portlng peylod
103943
262659
103943
278947
10,283
103,943
10,283
103,943
16288
-231231
.231231
16288
135371
1516S9
CC17a (Excell
23
1610912024

Section C
Notes to the accounts
cont
Note 21 Provisions for liabilities and charges
Please complete this note if you have included In Charity expenditure any provisions. A provision Is made
when the charity has a liability of uncertain timing or amount.
21.1 Please provide..
a brief description of any obligations on the
balance sheet and the expected amount and timlng
of resultlng payments.
an indication of the uncertaintles about the amount
or timing of those outflows., and
the amount of any expected reimbursement, 5tatlng
the amount of any asset that has been recognised for
that expected reimbursement.
Not Appllcable
Not Applicable
Not Applicable
21.2 Movements In recognised provisions and funding commitment durlng the perlod
This year
Last year
Balance at the start of the reporting period
Amounts added in current period
Amounts charged against the provlslon In the current period
Unused amounts reversed durlng the period
Balan¢e at the end of the reporting period
21.3 For any fundlng commitment that is not
recognised as a liabillty or provision, provide details
of commitment made, the time frame of that
commitment, any pérformance-related conditions
and detalls of how the commitment will be funded
{with contracts for capltal expenditure separately
identified).
Not Applicable
£7.4 ￿nere unresiriciea Tunas nave Deen aesignaiea
to a fund commitment, please dlsclose the nature of
any amounts designated and the likely timing of that
expenditure.
Not Applicable
CC17a {Excell
24
1610912024

Section C
Notes to the accounls
cont
Note 22 Other disclosures for debtors, Greditors and other basic financial instruments
22.1 Please provide information about the
sFgnifican¢e of financial instruments leg. debtors,
creditors, investments etcl to the charity's financial
posltlon or performance, for example, the terms and
¢onditions of loans or the use of hedging to manage
financial risk.
Not Applicable
22.2 If the charity has provlded financial assets as a
form of security, the Carrying amount of the financial
assets pledged as security and the terms and
conitions related to its pledge should be glven here.
Not Applicable
CC17a (EX￿1)
25
1610912024

Section C
Notes to the accounts
cont
Note 23 Contingent liabilities and contingent assets
23.1 The charity héld no contingent assets or Ilabllltl&$ during the perlod orthe preoeeding year.
Note 24
Cash at bank and in hand
Unrestricted
Roslricted
D&$lqnated
Thls vear
Last yèar
Petty Cash
Vlrgln Money Current
Virgln Money Deposit
Redwood Bank 95 day notice
CAF 60 day notice (Shawbrook Bankl
Hampshire Trust Bank 1 year bond
Triodos Bank
224
75,071
2,573
1.577
224
80,677
32.573
92,517
30,000
39
27,793
77,167
89.377
80,000
71,467
50,301
3,960
30,000
51,000
15,000
1,646
40,000
15.000
36,016
35,560
40,000
111,576
Total
Note 25
Fair value of assets and liabilities
25.1 Please provld• dètails of the charity's exposure to
credlt rl$k Ith8 risk of Incur¥lng a 105s due to a debtor
ot paying what Is owodl , IiqLEidity rl$k Ithe risk of not
being able to meet short term flt)anGial demandsl and
market risk Ithe rr$k that the value of an Investment will
fall due to change5 in the market) arising from financial
nstruments to which the ¢harity is exposed at the end
of the reportlng perlod and explaln how th8 charity
manaoes those rlsks.
NotApplicabl¥
25.2 Please glve details of the amount of change Sn the
fair valu8 of basic finan¢lal Instruments (debtors,
creditors, Inve$tmonts Isee sectlon 11, FRS 102 SORPII
measured at fair value through th8 SOFA that Is
attributable to changes in credit risk.
NotAppllcabie
CC17a IEx¢ell
26
1610912024

Section C
Notes to the accounts
{¢ont)
Note 26
Events after the end of the reporting period
Please complete this note events (not requiring adjustmenl to the accounts) have o¢curred after the
end of the reporting period but before the accounts are authorised which relate to conditions that
arose 8fter the end of the reporting perlod.
Please provide detalls of the nature of the event
Not Applicable
Provide an estimate of the financial èffect of the
event or a statement that such an estlmale cannot be
made
Not AppliGable
CC17a IEx¢ell
27
1610912024

Sèction C
Notes to the aecounls
cont
Note 27
Charlt funds
27.1 Detalls of matèrial funds held and movements during thè CURRENT reporting period
Please give det•lls oflhe moveMe￿t$ ofmalerlal Indlvlduèl Aujjds In Ihe iepoillhppprlod togelherwlth a balaftcfjnu flgur* for rjtherfunds.. The Total lunds.
Ilotsre belowshotsldreconclle lo Totalffup(ts'ln Ihe blanace shatyi.
' Key.. R. restrl¢ied InGOmO fLtnds. Includlngspaclal trusts, of the ch•rlty,' D- Desiynaled lund$.' UR. unreslrlctèd funds
b8lances
brought
forward
balance5
aTried
forward
R,OorUR
Purp0$9 and Reslrlcllons
Galn8 and
IDBSÈS
Incomè
Expendlturs
TraTh8fer8
Fund names
sed
or everyday opsralions
vthére Ihe fu￿51￿ has not b99n
asslgnèd lo a rt751rfGled or
HaMb￿￿n CthmunltyAclion
UR
145,298
150,477
204.820
4,000
9,500
404,455
June's legqcy
Charily as pef Ihe vAshes ol Ihé
lale Tr￿Slee of H$mhlelon
158,249
61.603
,646
amb19ton CommuntyAGtion
RestriC￿d lunds usgd during the
y9HI
212.003
192,003
14.0001
16,000
Total Funds
303.547
362,480
458,426
9.500
CC17a (Extell
28
16nW2024

Section C
trlotos to tho a¢caunts
Notè 27
Charlt funds
cont
27.2 Details ol wnatorlal funds held arid movemen18 duTlng the PREVIOUS rèportlng p¢rlad
Please dotslls oifhe movemonts oftYJ&t4rial Indlvlclualfund5 It> the reporlinupariod touerherM4lh • baljncknu Ngure for'othurfunds.. The Tolal funds.
Igure bglowshouldrecoficllg la 'Tor41 lunds'ln Ihg btsyJkC• sheet.
' Koy.. R- reslrictedincome Ivnds, Including sp4clBI trusts, of Ihp tharlty.. D. Deslgnatqdfunds.. anLI UR- unreslylcted fvnds
un
balAiices
brought
forward
vju
un
balèncès
cavrlèd
forward
R.URorD
P￿￿Ose and R08trlctions
Incotn8
Expen￿￿t￿r
Transfers
Ioss•5
Fund n4moS
Used for evoTrdayoperaiior
where ihe fvnding has nol been
gsSV￿ed to a reslrKled or
de51gnated lund
Hambleion cOm￿ni1yAc￿o
UR
145,297
143,115
14g.(M
145.013
EsIa￿lshed lo Inveslin the thgliiy
8S P8r Ih8wshc8 of lata
T￿S￿e ofHamblelon ¢(M￿n11Y
Aclion
Jun8's lryacy
238A60
82.022
1,812
158.250
HaMbl8lon Comtwn5tyAcUon
Rgstrfcled Funds v58d th
y8ar
129,800
129,8
Ttst81 Funds
381 575
278 808
CC17a (Excdl
16n9J2024

Section C
Notes to the accounts
contl
Note 27
Charity funds (contl
27.3 Transfers between funds
Reason for transfer and where ondowment is converted to income,
legal power for its conversion
Amount
Between unrestricted and
designated funds
Between unreslricled and
restricted funds
Element of restricted grant from North Yorkshire County Council that
was given to help purchase the new Wheels lo Work van, that is now
sed on the scale of re
ments schedule.
4000
Between endowment and
restricted funds
Between endowment and
unrestricted funds
27.4 Designated funds
Planned use
Pur
ose of the desi
nation
Amount
June's Legacy
96.646
Funds have been designated by the trustees to develop Gapacity within the organisalion and support
long-lerm projects that were of particular interest to June, over the course of four financial years
.Capacily building
-scheduled updates and improvements to IT infrastructure and hardware, telephony
-creation and support for Business Development Officer role
.Wheels2Work project
-ongoing support
.Supported Volunteering project
-Increased capacity lo enable us lo provide appropriate levels of support lo all who want to
volunteer
-supporting increased diversity of volunteers, and of volunteering opportunities, employability.
CC17a (Excell
30
1610912024

Section C
Notès to the accounts
Icontl
Note 28
Transactlons with trustees and related partles
If the charlty has any fransaG¢ions wlfh related partie5 (otherlhan the trustee expenses expl8lned In guldance notesj detalls
of such transactions should beprovided in thls note. If there are no Iransacllons lo report, pleaso enter"True" In the box or
-False" If there arè t￿trY88¢t10￿s to report
28.1 Twstee remunèratlon and beneflts
None of the truslee5 havo bèen pald any remuneratlon or recelved any other benÈflts from an
émploym8nt wlth thelr charlty or a relatod entity (True or Falsel
TRUE
Plea58 giv8 delails of why remuneration or other
employmentbenefits were paid.
NotAppllcsble
Where an èx gr8ti& payment has been made to a tmslee,
provld8 8n explanatfon of tho naturo of the payment.
NotAppllc8ble
28.2 Trustees, expans•s
If the charily ha5 pald frustees exp&nses for fulfllllng thelr duties. deta115 of su¢h Iransacllons 5hotsld be provlded in this
note. If there arè tjo transacllons to report, please enler'frue" in ¢hÈ box below. If there are trarJ$8clkJns to report, ple•se
enter"Falso".
No tru5to0 gxponses have b88n Incurred ITrue or Falsel
TRUE
Please provlde the number of tmstees relmbursed for
oxpen5e$ orwho had expènses pald by the charlty
NotApplleable
28.3 Transactlonlsl with related partles
Please give détalls of 8ny transaction undertaken by (or on behalf ot) the charlty In which a relatèd p£rty has a rnaterial
Inlerest, In¢luding wh8re fund$ havo bèen held as ag8nl lor relatedparties. If Ihere pre no such transactlons, please enter
Yrvo. In Ihe box provided.
There have beam no related party transactlons In the mportlng perlod (Tru¢ or Falsel
TRUE
Forany rolaledpartyj plsase provlde details of any
guaranlees given orre¢elved.
CC178 IExcdl
31
1610912024

Section C
Notes to Ihe accounts
{cont)
Note 29
Additional Oisclosures
The following are significant matters which are not covered in other notes and need to be included to
provlde a proper understandlng of the accounts. If there is insufficient room here, please add a
separate sheet.
Nol Applicable
CC17a (Excell
32
1610912024

Independwrt Examkner's RwttotheTrusree50f Th•C0mmwMiyCa￿ Awciaton
I reporton the accountsofthe tharity, HamlAetonCommunityA£knlCharltynumb2r. 11648951 fortheyrended
315t March 2024whlch aresetouton pages ItD35.
RespectbR rE5wrK%ibWesoftrusts*s•id Lyami
TheChantVstn￿ee98re reSpO￿￿￿f0rthe P￿parat￿)n oFthe accoUn￿The chariVstrusteescty￿7dérth3tan audltis
ot required forthlsyearundersectkin 144(21 ofthe th3ribÈSP4t2011 (the 2011AcQaryJthatan independeTht
ex3mkn3tian is needed.
It s myre5pon5ibilityto'.
examine the accounts undersettlon 145 ofthe2011A¢
fDllowthe prttedures laid dtrwn in thÈ8eneral bytheth¥rity
5t*e whether P3￿cUlar mattersb￿corne rornyattentioiL
B•s*￿IndEPendent*x3￿T￿rfS repurt
myexam1nat￿n was r4wied out in ar￿dan￿ wfth the￿￿71 r*reaknBr%*n bythE Cha
Comm￿10n. An examination includes3 ￿￿eWOtt￿accOunti￿￿L￿r￿s kept b¥￿d￿ty
and a cotTrparisOrtofthe8ttounts pre5enTrd *ith th¢￿reCord& na150 indudestonsideratK
of anyunu5u31 item5 or&ts¢losuresk) thea(courrtS, ahd sÈek&J8explanth￿frOmIVy as
trustee5coniernin8arnyth mèrter&The Pro￿Vre$￿nde￿ken￿o notprovideall the
evidencethat would ￿ rt¢uired ￿3￿?￿d[tand ¢ons4uenty Troopin￿￿ ￿gr¥2￿ asto
whethErthe accounts presentalrueand andthereportLs knitedtotlwJ5et
setout Inthe 5ktementbehw.
Indeperxlentexamkn•rfs51atemty
In connectivn wtth my t¥aMIn￿O￿. no rnatter hascometo myattÈntkn:
tye reasonabiecau*to t￿￿Yet￿ manyJ￿8Ierfal w the
requlremenL
io keepaccourity re¢ordsSn Xc4rdan￿Withse[I1un 130 dthe2011Act:and
to ptep3re3ccountswhKh ¥t¢ord theaccountir¥Trcords and ctynptywiththe
accountin¢re4vlreTh*msofthe2011ActlweAOlhÈen or
to whKh, in my opinion, att￿0￿ 5houkJ bedtawnin L¥derroen3blÈto prop2r
vnder5tandiTrgofthe aCmUntsto￿ réathed.
Xale Redfem FCCA.IMdewdent Ewlr
T Pjones &Co Li
021LA1202
23 Wirtona Avenue
Harroga
HGI 5RD