EASTHAM COMMUNITY CENTRE LIMITED
CONTENTS OF THE FINANCIAL STA TEMENTS
FOR THE YEAR ENDED 31 IAARCH 2022
CONTENTS
Page
Company Information
Trustees, Report
4t06
Independent Examinerfs Report
Statement of Financral Athibes
Bala￿ Sheet
Notes to the Financial Statements
10t015

EASTHAM COMMUNITY CENTRE LIMITED (Limlted by Guarantee)
CHARITY & COMPANY INFORMATION
FOR THE YEAR ENDED 31 MARCH 2022
REFERENCE AND ADMINISTRATIVE DETAILS
Charity Name
Eastham Communty Centre Ltd (A Company Limited by Guarantee)
Registered Company Number
07947565 (EnglaThJ and Wales)
Registered Charity Number
1165552
RegigteTrd Office
Delamere Community Centre
Delamere Avenue
E8stham
Wrral
Mer$ey￿de CH62 9ED
TrusteeslDirectors
George Noel Thomas
Kevin James Sutton
Lewis AndTh4 M&)Jonald
Bank•r6
HSBC Bank
58 8romborowJh Village Road
Bfomborough
Wirral
Merseyside
CH82 7ET
Independent Examlner
Counting for Communities Ltd
16 Holmwood Drive
Liverpool
L37 1PQ

EASTHAIA COMMUNITY CENTRE UMrrED (Lqnited by Guarantee)
TRUSTEES, ANNUAL REPORT
FOR THE YEAR ENDED 31 MARCH 2022
The trustees, who are also directors of the chartty for the purposes of the COmpan￿S Act
2006, present their report with the finanaal statements of the charrty ft)r the year ended 31
March 2022.
The aco)urrts have been wepared in ￿1rda￿ with the accountFng ￿1cleS set out in note
1 to the a£rounta and comply with the Charities Act 2011 a￿1 the 'A¢￿inting and Repbwting
by Charities: Statement of Recommended practi￿ applicable to charFties preparing their
ac￿Unts in accordance the Financial Reporting Standard applicable in the UK and
Reputlic cl Ireland (FRS 102) (effedive 1 January 2019)..
STRUCTURE. GOVERNANCE AND MANAGEMEpir
Governlng docum&nt
The organwtion is a registerwj charity and company limited by guarantee arKI the goveming
documerrt is the compan￿5 memorandum and artdes of association d*d 13 February 2012
amended by resolutions dahl 15 Odolxr 2013. 18 August 2015 arKI 12 February
2016.
Inductlon and tralning of new trustees
Trustees are apwinted on the ba&s of their ability to bring to the Board a range of skills to
assist in the g0veMan￿ and develop1￿ of the Charity. In additFon, Chanty Commission
literature ts given to 8U Ttu*ee8 on ￿ woing te813 in t)ftler to as8i8t them to untsr*a
their legal resrM)nsibilittes.
Oryanlsaknal Structure
Eastham Community Centre Ltd is a registered dmnty ￿ The Charity com￿*s81[￿n. Charity
Number 1165552 and a registered Cornpany Limrt&l by Guarantee with Companies House
Company Number 07947565. The ￿'rectOrS meet six times a year and are responsi1￿ for the
strategic thredion and policy of the charity.
Risk idenoficatlon and management
The Board of Directors has revie+￿1 Ihe major risks to which the Chanty is expos￿. It has
regularty rell￿Wed the key financtal infomation and has examined other oper*ional and
business risks whid) the Charity fa￿. It also confirms that there are established systems in
Pla￿ to mibgate &gnfficant risks and where ne(￿ry resFM)nd to them. The Board of
Trustees seeks to maintatn a le￿1 of unrestiicted funds to Irtrt a minimum of Iwo years (x)re
running *8.
Public Ben•fft
Vjhen planning and programming activities for the locd resFdents of The Wrral, the Trustees
of Eastham C￿￿munrtY Cents Ltd are nmndlul of the Charity Commissions guidelines on Public
Benefft.

EASTHAM COMMUNITY CENTrE UMrrED (Limited by Guarantee)
TRUSTEES, ANNUAL REPORT - CONTINUED
FOR THE YEAR ENDED 31 MARCH 2022
OBJECTIVES AND ACTIVITIES
The Objeds of the Charity are to further or benefft Ihe residents of Eastham, the wider South WArral
area and other Distiicts the Trustees shal deem appropriate, wtthout distinction of gender, sexual
orienti*ion. ra￿. age. disability or of any political. re]igious or other opinions. Thts will be achieved
by as$ctiating together the said residents and the l(Thl aLrthorities. voluntary and other
OfQahi8alions in a 6)rnmon èffort 10 adVar￿ édueation and ￿ Pfovidé laeilitiè3 in thé oi
social y￿lfare for recreation and leisure time ocrupation with the obJectFve of improving the
condilions of lrfe for the re&dents of Eastham. We seek to pron￿le community involvement and
cohesion, facilitate the provision of play and other xtivities for younger people and other activtties
which will benefft the residents of Eastham.
ACHIEVEMEKf AND PERFORMANCE
Eastham Community Centre Ltd has had another drfficult year OFerationally due to the COVID 19
pandemic and the need to CoM￿Y to government legislation and regulations. This resutted in the
Community Centre being unable to continue all *ivities and events throughout the year.
The Community Centre is still heavily dependent on and supported by the increasing recruitment and
involvemert of volunteerJ.
The Centre continues to play a pivotsl role in tackling Social Isolation in Eastham" and supporting
individuats and families with a 'bottom up" approxh and continued support from partners,
stskeholders and volunteers. We have also been able to maintain our users and activities to pre
COVID levels with the ex￿pIlOn of a reduction in children's parties at the weekends.
We have continued to provide f(K*J hamFers and delivered lunches and dinners, whenever and
wherevor possible for I￿ sid8nts and famili•s ov•r th• y•ar.
FINANCIAL REVIEW
The year ended with an increase in our surplus. primarily due to income from grants from central
and local govemment. Successful bids were also made to other foundalyon trusts and partners
and donations Y￿re re￿IVed locally through busine&8es and residents to support indiwduals and
families in Éastham and v￿rra1 South.
Arthough income from regular users significantly Ir￿reased in the year. it was still lower than the
years before the Covid 191(thlown regulations.
PLANS FOR THE FUTURE PERIODS
The Direth)rs retain their confidence that Eastham Communty Centre Ltd is established on 8
sound financial footing. Eastham Communty Centre Ltd has n<M teen operating independently
of Wirral Borough CounGtl for over 10 years as a wmpany limtied by guarantee. In that time,
usa3e of the Delamere Communty Centre by both r8gular and ttc2sional users has increas￿1
considerabty.
Efforts IiT-,'Il bo made to li aeas• the nurn￿r of volunt•ors who aro activo in both th• us•r groups
and cccasional use of the Delamere Communty Centre.
We will strive to further build and maintain our relationships with our regul8r users and potential
new users to maintain the currènt and fuiure sustainabilty of the Delamere Community Centre.
We wll continue to pursue opportunities for future funding to improve the facilitie5 and services at
the Centre to develop our local o)mmunty offerfurther.

EASTHAM COMMUNITY CENTRE UMITED (Lmnlted by Guarnntee)
TRUSTEES. ANNUAL REPORT - CONTINUED
FOR THE YEAR ENDED 31 MARCH 2022
STATEMEKf OF TRUSTEES RESPONSIBIUTIES
Company law requires the Dire(knrs to prepare financia Statem￿ for e￿h finanrial
period that give a true arKI fair view ofthe state of affairs of the company and of ts income
and expenditure for that period. In preparing those finanoal statemerts, the Direct{￿ are
sekna Sultat￿ accounting ￿￿[caeS and then apply them consistenty:
rdke judgements and estimatss that are ￿sOnable arKI pruden(
epare the financial statenHts C￿ the going o)r¥xn basis unless it is
inappropria•A to presupw •hat the cornp￿ will (￿lAL* as a goiNJ cdjncem;
slale whether apF4icable acJxK[ntI￿ standards haNE been follo*ed. subject to any
material derArture disclosed *KI explained in the finaTh?al statements.
The dire(Xor5 are resrnn&ble for keeping proper accountFng records which disdose with
reasonable a(xurxy at any time the finanaal position of the company and to enable them
to ensure that the financial accounts cOm￿Y with the ConN)anies Act 2CMJ6. They are also
responsible for safeguarding the assets of the comFony and hen￿ for taking reasonable
steps forthe preventton and detection of fraud and other irregularities.
By Order of the Board
K. J. Sutt
Date..
9112121............................

INDEPENDENT EXAMINA TION TO THE MEMBERS OF EASTHAM COMMUNITY CENTRE
LIMITED (Llmited by Guarantee)
FOR THE YEAR ENDED 31 MARCH 2022
I rep￿ on the acc￿nts for the year ermled 31 March 2022 set out on pages 8 to 15.
Respeclive responsibilitles of trustees and exarnlnef
The charity's trustees are responsibte forthe preparation of the actounts. The d)aritYs
trustees consider that an audit is not required for this year under section 144 dthe Charities
Act 2011 (the Charities Aca) and that an independent trxaminatson is requited.
It is my Wnsibilty to:
e￿￿Ine the acc￿nts under seclion 145 of the Charities Ai*
to folltrw the procedures lad down in ￿ Genernl Diredions given by the Charity
Commission (ur￿[ se011￿ 14S (S)(k) of Chaiitios Act, and
to st* whether particular matters have o)rrE to my attention.
Basis of the independerrt examine￿$ report
My examination was carried out in ￿CordanCe with the General Directions given b¥ the
Chartty Commission. An examinatson indudes a review of the accounting r6rords kept by the
charity and a cfjmparison of the accounts presented with those records. It also indudes
consideration of any unusual items or disdosures in the accounts. arKI seeking exklanations
from the trustees con￿mIng any such matters. The protyjures undertaken do not provide
all the e￿iden￿ that would be required in an a￿lit, and o)nsequently no opinion is grven as
to'whethar +le ac£oL'nts preL.
matters set in the SL*Ir￿ belcw.
8rtd fair vievl the report is limited to those
Independent •xaminerts statemert
In connection with my examination, rlo matter has come to my attention:
which gives me reasonable wse lo believe that. in any materiaF resF*d. the
requirem￿.
. to keep acr/Junting records in ¥a)rdarKe with $￿tIOn 130 of the Charities Ad", and
b. to prepare &counts whith a(n)rd with the accounting records. compty Wtth the aceounting
requFrem*.- & the Charities A
have not met. or
to which, in my opinion, attention shoukl te drawn in order to enable a proper
undetstanding of the rnnts to be reathed.
Name.. StepI￿n Leonard BA. FCCA
Counling For Communities Ltd
16 Holmwood Drive,
LiverpooI, L37 1 PQ

EASTHAM COMMUNITY CENTRE UMITED (Llmited by Guarantse}
STATEMENT OF FINANCIAL ACTIVITIES
(INCORPORATING AN INCOME AND EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED 31 MARCH 2022
2022
iknrestiw Restric￿1 Total
Funts
Funds
Funds
INCOMING RESOURCES
Incon* & endowThnts fronr
Donations and legacies
Charitable &*bit
14,561
21.717
1.072
25.985 40,546
21.717
1,072
55.133
EStm&ts
19
Total incon
37.￿ 25.985
63.338
RESOURCES EXPENDED
Expendi￿re on:
Raising fur
27.
19.832
47,388
Total oxpend6ture
27.556
19.832
47A88
Net inconp l (expondi￿re) for the ￿ar
before transfe
9.797
6,153
15.950
16.P)34
13
Net ineonw l (expenditurn) for the s•ar
10,452
15,950
16.634
RECONCILIATION OF FUNDS
Total funds fcThwd
43,142
73
56,574
TOTPL FUNDS CPRRIED FORWPRD
53.594 35,564
89,158
73,208
There are recognised gains or losses other than the net m¢y4ement in funts for the 81)ove two
financial ye￿s. All incoming reS￿rr* resources exp8nded deriNe fn)m cxxrtinuing activities.

EASTHAM COMMUNITY CENTRE LIMITED (Llmited by Guarantee)
BALANCE SHEET
At 31 MARCH 2022
REGISTRA TION NUMBER: 07947565
2022
2022
Unrestrthj Reslrthj
Funds
Funds
2022
Totsl
Funds
2021
Total
Funds
FIXED P3SETS
Tangibte assets
12,058
1.931
13,989
7,888
CURRENTPSSETS
Debtors
Cash at bank and K hand
10
11
1,787
40.397
42.164
1,767
74,030
75,797
2,273
33.633
33,633
.v
66,297
CREDITORS
Amounts falling due within one year
12
{628)
(628)
(977)
NET CURRENT A8SETS
41.536
33,633
75,169
65,320
TOTAL ￿SETs LESS CURRENT
LIABILITIES
53,594
35,564
89,158
73,208
FUNDS
Unresikn'cted funds
Restricbj funds
TOT￿ FUNDS
13
53,594
43,142
30,066
73.208
35,564
35.564
35,564
89.158
53.594
For the year erKling 31 March 2022 the (xxnpany was entitled to exemption from audit under section
477 of the Companies Ac# 2006 rdating to small o)mpanies.
Dlrectors, ￿pOnSIbIlitse5
The members have not required the ts)mpany to obtain an audit of its aCc￿Unt5 for the year in
qLSestion in akncordance with secti& 1 476 of the CGmi panies Act 2006
The directofs thowledge their resp)nsibilities for tt)mplying wtth the requirements of the
Companies Act 2006 wth respect to actountrng re￿)rdS and the preparation of accounts.
These accounts have been prepared in accordan￿ with the provisions applicable to companies
subject to the small companies, regime.
The financial stat8￿nts w8r• 4)proV￿1 by th• 8oard of Trust80s and w•rn $ignod on it$ t￿half by:
I l. i J..l.J.a.................
K.J.S
DireL*or
Date
The notes fom r4rt of these finanaal statements

EASTHAM COMMUNITY CENTRE UMITED {Limit8d by Guarantse)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
1. ACCOUNTliw POUCIES
Basis of preparation and accountlrvJ convention
The finanaal statements of the charity, which is a public benefft entrty under FRS 102. have trEen
prepar&d under the historical cost convention. the Companies Act 2006, the Charities Acl 2011 and
'Accounting and Reporting by Charities.. Ststement of R￿0MMended Practice for Charities,
applicable to charities preparing their ac)xiunts in ￿)rdanCE with the Financial Reporting Standard
applicable in UK and Republic of Ireland (FRS 102) (effective 1 January 2019). The charity has
taken advantage of the disdosure exemption in preparing these finanrAal ststements. as penxitted
by FRS 102. the requirements of Sethon 7 Statement of Cash Flcrbvs.
The accounts are prepared in sterliThJ, which is the functional ￿rren￿ of the chaiTty and monetary
amount8 in the68 fj.nancial 6tet.ements are roijnded to the nearest £.
Golng Concern
At the time of w)roving the ￿Trts, the trustees haNE reasonable expectalion that the charity has
adequate resources to continue in operattonal existen￿ for the foreseeable future. Thus the trustees
continue to adopt the going concem basis of accounting in preparing the &o)unts.
Inccme
Incoming recognllion
All incoming resources are induded on the Statement of FinancÉal Acbvities (SOFA) when the chartty
is legally entiNed to the income ayl the amount ¢￿n be quantified with reasonable accuracy
Incomlng Resources with Relatod Expenditure
Ilthere in￿Ming reSoUr￿S have rdated expenditure (as fundratsing or contract income} the
incoming resourr￿ and relat&l expenditure are reported gr05s in the SOFA
Grants and Donallons
Grants and donations are only induded in the SOFA when the Charity has unconditional entFdement to
the resource.
Contractual In¢om8 and Perforniance Related Grdnts
This is only indud￿j in the SOFA once the related goods or services have Lwen delivered.
Volunteer H•lp
The value of any ￿lUntary help received is not IndUd￿ in Ihe aCt￿nts.
Invesbnent Incom?
This is induded in the a¢¢ounts when re¢xvabte.
endituTr and Llabilibes
Liability Recognition
Liabilities ar8 f8tt¥-. ;sed as as th•r• IS a leg* or Constructi￿ obl￿allOn conrtng ttrTr• charity
to that expenditure.
Governance Costs
These indude costs of the preparation ￿K1 examination of sLgtutory accourts, tts o)sts of trustee
meetings and cosi of any legal to trustees on govem*Ke or constitutional matters.
10

EASTHAM COMMUNITY CENTRE LIMITED (Limited by Guarants•)
NOTES TO THE FINANCIAL STA TEMENTS - CONTINUED
FOR THE YEAR ENDED 31 MARCH 2022
Grants and Pefr_Thance Condloons
Vvhere the charity gives a grant with o)nditsons for its payment being a speofic level of service outpui
to be prowded, such grants are only recognised in the SOFA or￿e the recipient of the grant has
provided the specific Servi￿ or output.
Grants payabl• without Perfomiance Conditions
These are only recognised in the accounts when a ￿MMItment has been male and there are no
conditions to be met relating to the grant which remain in the control of the charity
Flxgd assèts and deprnciation
Depreciation is provided at the foll(ywing annual rates in orderto write off e&h asset over its estimated
useful lrfe. The fdlthving rates and are used.
Plant & Equipment 25% straight line
Fixtures & Fittings
IT Equipment
25% straiglrt line
25% straight line
All equipment, fixtures and fftts.ngs with an original cost of tess than £500, are written off in the year in
which the 6xp8ndA..
..? w& In￿¥1 ed on the basis th*& iv
ie n*Lui* of the company's ac&viti•s,
the￿ is no expectation that the cost of the assets will be recovered in the way of future revenues.
Cash and cash equivalerrts
Cash and I￿Sh equivalents indude cash in hand. deposits held at call with banks, other short-temi
liquid investments with original maturities of three months or less. and bank overdrafts.
Flnancial instruments
The charity only has finarKaal assets arKJ finanoal liabilitses of a ￿'nd that qualfy as basic financial
in51ruments. Basic finanual instrumerrts are inttially recognised at transaction value and subsequently
measured at their settlement value wth the exoption of bank loans whith are subsequerrtty measured
at amortised cost using the effective interest methc*J.
Taxatlon
The charty is exempt from corpor8tion tax on ts charitable

EASTHAM COMMUNITY CENTRE LIMITED (Limited by Guarantee)
NOTES TO THE FINANCIAL STA TEMENTS - CONTINUED
FOR THE YEAR ENDED 31 MARCH 2022
INCOMING RESOURCES
2022
2022
Unrestrthd Restricted
2022
Total
2021
Total
2 Donations & legacles
Wirra Counc
C(H)p
Amold Clwk.
LCVS
Edsential
Other donations
HVRC Job Retention
Asda
Groundwork UK
National Lottery
CAW
Communty Fwndation
He8wall R￿nd TatA•
Steve Wjrgan
PH Holt
11,850
15,500
2,700
1,000
1,5
3,994
319
972
32.161
2,700
2,711
3,030
972
1,464
5,311
500
750
250
5,000
1,040
5,000
2,757
55,133
14,561
25,985
2022
2022
Unrestricted Restricted
2022
Totsl
2021
3 Charitable activities
Room Hire
21,717
21.717
21.717
21,717
7,239
7,239
2022
2022
2022
Unrestrthd Restricted Total
2021
Total
4 Other trading activltlos
Other income
1,072
1,072
1.072
909
909
,vi
2022
2022
Unrestricted Restrict
2022
Total
2021
Total
6 Investn*nts
Bank interest receiwable
19
19
RESOURCES EXPENDED
2022
2022
Unrestrthd Restricted
2022
Total
2021
Total
6 Raislng funds
oth
12

EASTHAM COMMUNITY CENTRE LIMITED (Limlted by Guarantee)
NOTES TO THE FINANCIAL STA TEMENTS - CONTINUED
FOR THE YEAR ENDED 31 MARCH 2022
2022
2022
Unrestricted Reslricted
2022
Total
2021
7 Charitable activitles
&)Vema￿e costs (see belLW)
Salaries
F¢>￿1 purchases
Cleaning
Telephone
rr Costs
550
11.546
18,956
2,338
1.214
144
10.574
972
16,029
11.646
16,029
1.811
1,428
144
1S0
2,521
1,811
1.428
144
150
2.521
994
1.395
90
264
1,01
1.998
21
70
329
510
43
LvJht Peat
Ratss and water
Gardening seNces
rketing
Centre equipment
Insurance
interAnce and repairs
staffI￿lunteer expenses
Post A Stationery
2,833
1,306
1,175
1.396
90
291
697
459
1,006
1.998
21
70
329
610
781
Garage Rental
Bank charges
Sundry
Summerlxmas acbvitss
DeVeci￿l0n
529
1,679
2,078
46,666
2,767
27,556
965
19,832
3,732
47.388
2022
2Q21
Included in Governance costs
IndeFe￿nt examinevs fees
550
550
2Q22
2021
8 Stsff Costs and Eni)knspe$
Wages and salaries
Sccial security costs
Pension
11,400
11,400
146
11.546
146
11,546
emfv eamed £80.(X)O or more durirvJ the year
2022
2021
The a¥prage nUM￿r d emKA0￿ during the year was:
13

EASTHAM COMMUNITY CENTrE UMITED (Limited by Guarants•)
NOTES TO THE FINANCIAL STATEMENTS - CONTINUED
FOR THE YEAR ENDED 31 MARCH 2022
9 Flxed
Plant &
Equ1￿1ent
FiX￿re$ &
Fittings
uipment
Total
At 1 P4xI 2021
Disposals
ddtb(x
At 31 2022
450
(450)
5,855
5,655
10.547
(755)
4,178
13.970
191
(191)
11.188
(1.396)
9,833
19.626
Depreciation
At 1 April 2021
On Disposals
Charge for year
At 31 2022
450
(450)
586
2,659
{755)
3,146
5.050
191
(191)
(1,396)
3,732
Net Book Value
t 31 March 2022
5.069
8,920
13,989
7,888
At 31 Varch 2021
7.888
2022
2021
10 Debtors
Prepaymerts
Debtors
301
1,972
2,273
1,767
2022
2021
11 Cash at bank and in hand
Current bank account
DeFQSit bank account
Cash in harKI
41.236
32.769
31,052
32,756
216
64,024
74,030
2022
2021
12 Credltors . an￿Unts falling due *ithin one year
cruds
Credltors
Hwtc
977
28
628
977
14

EASTHAM COMMUNITY CENTRE LIMrrED (Limited by Guarnntse)
NOTES TO THE FINANCIAL STATEMENTS - CONTINUED
FOR THE YEAR ENDED 31 MARCH 2022
9 Flxed A6s•ts
Plant &
Equipment
FiX￿re$ &
Filti'nas
uipment
Total
A 1 2021
Disposals
ditK)ns
At 31 Plfirch 2022
450
(450)
5,655
5,655
10,547
(755)
4.178
13,970
191
(191)
(1,396)
9.833
19,625
Depreclation
At 1 2021
On Dispjsals
Charge for year
At 31 Wch 2tr22
450
(450)
2,859
(755)
3.146
5.050
191
(191)
3,300
(1,396)
3,732
4636
Net Book Value
31 March 2022
5,069
8,920
13,989
31 Ikrch 2021
2022
2021
10 Debtorn
Prepayments
Debtors
267
301
1,972
2,273
1.767
2022
2021
11 Cash at bank and In hand
Current trAnk account
Deposrt bank ac¢ount
Cash Èn hand
41.236
32,759
36
74030
31,052
32.756
216
64,024
2022
2021
12 Creditors . aTrounts falling due ￿￿thIn one s•ar
cruats
Credikys
HMRC
977
628
977
14

EASTHAM COMMUNITY CENTRE UMITED (Llmlted by
Guarantso)
NOTES TO THE FINANCIAL STATEMENfJ - CONTINUED
FOR THE YEAR ENDED 31 MARCH 2022
Balance at
31 ￿￿rch
2021
13 Moven*nt In Fund8
Balance at
31 March
2022
Transfers
lcome E%sendiiure In / (Out)
Ur.*strlctod Fkn'-..ds
Gerwal Fund
43,142
37.353
(27.556)
655
63.694
Re8trlct•d Funds
C(wp Tor krtchen
cL￿0P for bathro(xn
Wirral Counc
2.896
(965)
1,931
2,700
27,170
2.700
15,500
1,000
1,500
27.170
(14.845)
(1.000)
{1.500)
(231)
{319)
(972)
(19,832)
(655)
d Clark
LCVS
Edsential
3.763
Other donathy
HMRC Job Ret8ntv)n
319
972
25,985
(655)
35.664
Total Funds
73.208
63,338
{47,388)
89,158
14 Tru8tse6' Renwneration and Benoffts
There were no trustees, remuneratKsn or other benefits for the year end&Y 31 Varch 2022
nor for the year ended 31 Vorch 2021
15 Trustees. Expgn8es
There were no trustees. expenses paMJ for the year erKled 31 fv￿r¢h 2022 nor for the year
ended 31 Plorch 2021
16 Capitsl con￿￿￿￿ntS
The company had no captsl ccxnmrtrnents at 31 2022 (2021.. None) either
contracted for or authorised by the direckns but rnt contracted for.
15

EASTHAM COMMUNITY CENTRE LIMITED
(A COMPANY LIMITED BY GUARANTEE)
REGISTERED COMPANY NUMBER: 07947565 (England and Wales)
REGISTERED CHARITY NUMBER: 1165552
REPORT OF THE TRUSTEES AND
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2022