ChaAty registration number 1166598 (England and Wal•sl
BERWICK YOUTH PROJECT
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025

BERWICK YOUTH PROJECT
LEGAL AND ADMINISTRATIVE INFORMATION
Ex•¢utlve Commlttee
Plr S. Weightman MBE
Mr G. Scott
Mr S. Clough ITrèasur&rl
Mrs K. Stra¢han
Mr K. Smith
Mr S. Landels (Ghairl
MrA. Bakei ISe¢retaryi
Sgt D. Budge
Mrs A. Williams
Cllr M. Greener
Cllr P. Rowe
(Appointèd 2 Junè 202SI
(Appointed 2 June 20251
Charity number
1166598
Prindpal addrtss
10 Golden Square
BeNickryUPOn.Tweed
TD15 1BG
Independent examln•r
Colin Frame CA
17 Walkergale
Berwick-upon-Tweed
Northumberland
TD15 1DJ
Bankern
Bank of Scotland
61 Hide Hill (Berwick Branch)
Berwick upon Tweed
Northumberfand
TD15 1EN
Solkltors
T.C. Smith
9 Church Street
Be￿ICk upon Tweed
Northumberfand
TD1S 1EF
Investmènt advlsors
Brewin Dolphin
Apollo House
Etrt)racum Way
York
Y0317RE

BERWICK YOUTH PROJECT
CONTENTS
Pago
Trustees, report
Independent examin¢e$ report
StalemèAt of financial aclivities
Batance $heel
10
Notes to the financral slal¥menls

BERWICK YOUTH PROJECT
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 MARCH 2025
The Exe¢utive Committee pre$enl their report and finan¢i81 statements for the year ended 31 Ma￿h 2025.
The financial statements have been prepared in aca)rdance with the accounting policies set otrt in note 1 to the
financial statements and comply with the Proje¢t's governing docurnenl. the Charities Act 2011, FRS 102 'The
Financial RepO￿ng Standard applicable the UK and Republic of Ireland" and the Charthes SORP 'Accounting
8nd Reporting by Charities.. Statement of Recommended Practi￿ applicable lo chariligs preparin9 their a¢xounls
in accordance with the Fina￿la1 Reporttng Standard appliCa￿e in the UK and Republi¢ of Ireland IFRS 102}".
Objèctives and A¢tSvltl¢s
Berwick Youth Project lthe ProlecVs} objects for whlch il was set up are-
Th¢ advancement of education for the public benefit in particular those yourtg persons betsveen the ageB
of 13 to 25 years, by providing advi￿ and guidanca up)n questions of housing, socA81 welfare benefits,
homelessness. unemployment and other related topics.,
The wolection and preservatx)n of the good health of young persons who are or have been ihe victim5
of sexLEal or drug abuses by the Provis￿)n of advice and a counsellifig and support servtce,.
The provision of short term accommrrtlalion and support for young people agtd 16 to 25 in housing
r￿d,. and
The Provision of sooal education and cultural opp(*￿n1￿eS for young people whith may indude
overseas opportunrties.
Thè Vision Ststement
The lundamentsl purpose of the Project 1$ to assist those young people who are stru9gling in lrfe to achieve their
11 potenbal. The Project offers Ihls assistance in several ways..
We provide an Information and Support Project from our premises in Berwid( town cent￿. It is open for
37 hours each week, and staffed by experienced workers including trained volunteers. We offer acces$
to infomatio>n on many topKs pertinent to young people's lives. such as housing, drugs and alcohol,
sexual relationships, employment and training. Practical help is also on offer kn ctsmplele forms. make
telephone contacts and $0 on. The Project has an appropriately qualified Counsellor lo help support
young people wrth therapeutic interventions. In addition. we can provKle essential 3kills training lo
improve lileiacy and nurnera￿. Through our rela110115hips with other partners, we can offer access to
firnding sources and oPp￿nI￿e$ for challenging experiences at home and abroad.
The Beehive Young People's C8fO is open on fv40 evenings and onè day each week, providing a safe
environment lor young people to meet in a popular I￿atiOn. This venue offers a base for otsr Youth Work
team, and enables many young people lo access the range of opportuni11os on offer. These In¢lude
holiday programmes. trips and outdoor aclniities.
Our Supported A¢¢ommodation project provides young people with the opporlunity lo live independenuy
for the fi¥$t time. OUT first floor housing in Golden Square is well maintained and fvmished, and we offer
housing and SUPPC*rt to 16 to 25 year olds who are in housing need. often because of family breakdown
or where they expefien¢g particular geographical disathiantage. Our current capacty is six young
resldonts, Wlth daytime on-srte support and 24fT emergency support available.
We provide support lo students with additional learn￿9 needs through a partnership with Be￿1
Academy. Wrth funding support from the A¢ademy, we can provide an altemativè ctsrriculum designed to
prepare young people with the wath¢al, emotional and vocatsonal $kills that 3 mainstream programme
would strugglè to deliver.
The Trustees {ExecLrtive Committee) have paid due ward to guidance issued by the Charity Commission Kl
deadiThJ what activibes the Projed should ¢Jndertake.

BERWICK YOUTH PROJECT
TRUSTEES, REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Achlevements and PerfaTmance
The Project continues lo provide a s￿Iled, al￿SSIble and effective helpiny service for young people in Norlh
Northumberland. Issues thal we had started lo see pre-COVID have in our opinion been exacerbatsd by the
pandemic. and we're seeing increasing numbers of young people struggling to deal with the ¢hallenge5
p￿sented by everyday life and a lack of emotional rosllien¢e teading to problems at home. Sch￿)1 and work.
During the last 12 months, 20512024.. 2011 young people a¢ce5sed our Information. Advice and Support Serwice,
with 7412024.. 621 receiwng Intensive support Ilhat is, a longer period of engagement addressing signifieanl and
potentially hamiful feelings, attitudes and situations) over a total of 745 12024.. 6951 sessions. An average of 11
12024= 12) s¢ssions per service user is, we feel, an indlcalor of the Fnvestmenl we m8ke in those ywng people
who have most lo gain from our provision. and we don't pla￿ an arbitiary lirnil on their needs.
An additional 75 12024.. 551 individual's a¢ce8sed group provisMJn, either for 8peciffic on&-off events or mo
regular Pfovision such as the Communty Crew. a youth group largeted al young people i)n the margins of their
peer group.
During this period. w$ have direc¢ly attommodated 712024.. 41 young people fof a total of 15612024.. 951 weeks
which is an Increase on last year.
Oc£uparKy rates have steadily improved post.COVID and we've ¢glebraÉed three young people sutrA55fv1ty
moving on to new lenanci¢$.
Estrangement from farnilies continues (o be the main reason young people apply tor support6d accomrnodatton.
the majority of iesidents this yÈ8r have baen due to relationship breakdowns with parents. Only one of our
residents had prior experien￿ of living on their own and geneTally without very little outside support. Much of our
support is based around gainirry wactical èxperience of managing a ten8ncy. budgetsng money lo meet
household costs. daiming appropriate benefits. practical wistrations at GP and dentist. re9131ering on choi
based letting site$ and ensurin9 they have CV and ID in reodiness for work. Thi3 is in addi1￿ to pre tenancy
training accredited by AQA.
The inlrodu¢tion of Of$ted registration and its polenlial impact on our servtce continues to rumb￿ along.
Registration appears to lack Consideration of Smal￿r providers with no ￿duCtion I sliding scales boin9 apparent
in their substantial lee rates. Ofsted registralion is a mandatory requiremerrt to be attepted as an approved local
aulhorty provider for 16- and 17-yeaf olds.
We'd really like to acknowledge and thank those funders who continued to support us, particularly the National
Lollery Community FLFnd, BBC Children in Need, the Ballinger Trust. the FB and PFB Lough Fund, the Wellèsley
Tnjsl and sever81 smaller donations administered by the Community Foundation, including the Northem Angel
Fund.

BERWICK YOUTH PROJECT
TRUSTEES. REPORT {CONTINUED}
FOR THE YEAR ENDED 31 MARCH 2025
Flnanclal Revlew
Th¢ UnrestrKted General Fund re￿rderf a surF4us of £198,480 al 31 M8r¢h 2025 P024'. £80.503 defiat}.
The Project has again been successful in maintaining 8nd developing existing activities. totsl resourc¢s
expended during the year lotslled £282,88612024.. £296,039).
The balance of free fund5 8131 Mar¢h 2025 was £320,81812024'. £122,338). The Unre51ricted Designated Fund
balance represents the value of the Project's LaThJ and Buildings, togèther with specific Pfojecls the Executive
Committee hav¢ agreed to support 8nd exp¢oTe over the coming perl(xl, totalling £803.93512024.' £822,643}. The
Restricted Fund totslled £38,984 12024.. £43,018) and consists of donations and grants re￿Ived for speci
purposes aThJ related expenditure.
During the year. the Prolèct agreed to act as an agent and to distribute grants on behalf of the Notional Lotttrry
Community FLfrr￿ fvndèd NorthLmberfand Youth Work Nefv￿rk, totalling £344,097 (see Note 261.
Reserves Pollcy
The Executive Committee have reviewed ihe Proiecfs reserves. Thls feview considered the nature of the income
and expend(ture streams, the need lo match variable income wilh fixed o)mmitments and ihe nature of the
reserves.
The EXecu￿ve Committee considers that Ihg reserves held. together with lunding aThangements will allow ihe
Project to fully meet its objects in the Short to medium term.
Invèstment Policy
Investrnents are professionalty managed by Brown Dolphin, who provide advice lo an¢J a¢t on the Instruixlons ol
the Project's ExeGutive Committee.
Investment objectives as presoibed to Brewin Dolphin are to achleve an income relum with cautious risk. Wth
this in mind, Brewin Dolphin have otegorised the Youth Projed as wishing to retain a degree of safety in their
Investment strategy but are alsts lotsking for a higher Tale of investment return than that assori8ted with being
'tno)me dependent,. In doing sts. they a￿pt that the value of Iheii Énvestments and the income frorn them, are
not guaranteed and will rise and f811 to a greater extent than with an 'income dependent, portfolio. AS much as
half of the relum is expected lo be delivered from fued interest invostments, the yields from whtch are more
predictable than Capttsl apprec¥alion from equity mafkets.
Thé investment portfollo is therefore comprised of a large proportion of British Governmenl securities (Giksl or
bonds issued by othèr secjjre supranational organisations such as the European Investment Bank, as well as
other income produc4ng Investments, such as corporate bonds and preference 5hare5. Thtrse investments ¢ould
forrn approximately one third lo a half of the portfolio. Thè rémaining exposuie is expected lo be athieved
diversified investments such as funds. index trackers and other Collective Inve51m8nt Soherne$. The portfolio
may incorporate #n allocation lo direci shares ol laiger companies which BTvwin Dolphin believe have
sustainable dividend yield5.
Risk Managem*nt
The Executive Commitiee have ujnducted a revsew ol the major risks to which the Proierj is exposed and
recognise the import8n¢e of, and their responsibility for. risk management. Ttrw afe 8(xordingly developing a
system for regular reviow lo mitigate the fisk5 identified.
Public Ben•flt
In considenng the operation, 8thievements and performance and finances of the PToJect, the Executive
Committee are satisfied that publi¢ benefft has been provideil in 8¢cordance with the Charl￿S Act 2011 arhj
guidance issued by the Charity Commi$$ion.

BERWICK YOUTH PROJECT
TRUSTEES, REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Future Plans
Having come lo the condusion that our proposed development of the former CommLmty Centre in Palace Street
East was unviable. Ihe bullding was put on the market and sold in August 2024. The Prosecl is keeping an open
mind as to ftrture growth of Supported A¢commodation. wth r￿nt Changes to provisions lor 1& and 17-yeai
olds and Of$led regislratFon having as yet an unknown impact.
The Project is still workn'ng on 8 lease agreement on a woodland area dose lo Screm¢rston, with a view lo
creating a mountain bike track for local young people to Use Safety. These di3CUSStons commenced in 2021. bul
were derailed by Stomi Afyven, which decimated the woodland and neces5tlaled an exlensive operatlon to make
the area safè. Berwick Town Counal may prove to be a ¥wlling partner in making this initsalive come to fruition.
Currently our property al Gold¢n Square is in very good worklng order. benefthing from significant decoration and
maintenance projects, most ¥ecenlly to the Beehive young peop￿.6 space. Open aC￿sS youth work is an aFea
we wish to ¢J¢velop more of, utilising our excellent premises and equipment. However. in the absence of
Sustainable funding. rt's likety we'll need to wait untsl there has been a poltti¢31 shift and gre*er resources offèred
by statutory bodies.
We have been 8 lèading partner in the development of the NorlhtFmberland Youlh Work Ne￿Ork. whith has
grown rapidly into a County wKlo representatwe body with 15 organisations in membership.
Structure, Govemance and Management
The Project is administered and managed in accordance with its C{￿$thtU41On adopted on 19 April 2016 and is
registered as a Charitable Incorporated Organisation with ihe Charity Commission (Charity Number= 11665981.
Trustees
The ExecutNe Committee who served during tho yearwere..
Mr S. WeFghlman MBE
MrG. Scott
Mr S. Clough ITrea$urer)
Mrs K. Stra¢han
Mr K. Smith
Canon C. Smith
Mr S. Landels (Chair)
MrA. Baker (se￿tary)
Sgt D. Budge
Mr S. Gibson
MrsA. Williams
Cllr G. Brown
Cllr M. Greener
Cllf P. Rowe
(Deceased 11 January 20251
(Resigned 7 Aprtl 20251
{Resigned 1 May 20251
{App02nled 2 Junt 2025)
{Appornt8d 2 June 20251

BERWICK YOUTH PROJECT
TRUSTEES. REPORT (CONTINUED
FOR THE YEAR ENDED 31 MARCH 2025
Management of the Project
The Project is managed by the members ofthe Executive Committee. The rnembers of the Execulive Comrnitteo,
representing in18rested bodies, are elected 8nnually and fall within the definition of Trustees under the Charrties
Act. The Executive Committee who served during th¢ year are listed above and under the Projecvs Legal and
Administrative Information. The Project Manager (John Bell), a non-voting comrn￿ee mernber, is responsible for
the day to day management of the Project, in his 31st year and is accountable to the Executive Committee. The
Project Man&Jer is responsible for all employees and voiunleers.
The Exeujtive Commlttee of the Project meet on a qu8rtèdy basis, and the Project Manager provides actiwly and
financial reports to these meetings. The Exe￿11¥0 Committee incl¢Jde independent membef5 of the community
and interested bodies. EXe￿tiVe Commillee memb&rs are required to declare Iheir eligibility lo fvlfil the legal
responsibiliiies of the rolè, and induction training and appropriate documentation is offered to new members.
Currenlly T¢arn Leaders manage different elements ol the Project's activities. being., Infom)81ion and Support
{Debr8 Jerdan) and Supported Housing (Jackie W8lson}, both of whom have over 20 years of service. Cordelia
Scott left the Project in January 2025 to pursue a new career in Newcastle and we wish her every sU￿e$S in her
nèw post. DLsring her time with us she gained her Degr8¢ in Psychology and a host of different experiences, and
we can reflect positively on otRr role in supporting the development of an excellent member of staff, who will be
huge asset to the young p8opl8 of Tyneside. In July 2C125 we 8pptsinted Meaghan Watson to the new position of
Apprenb'ce Youth Support Vvorker, an inlliative that will see her studyin9 for a Degree in Communty and Youth
Work at sul￿erIa￿d UnNefsily alongsido her work at the Project.
Employees and Volunteers
We would like to extend our sincere thanks to all that have supported the Proje￿, bul in particular the many
organisations who have generously donated lo our work, lo our staff and volunteers for their skill and dedicalion.
to Northumberfand County Councsl lor their administration of our payroll, to Greaves Wesl and Ayre for the
accLJunling suppgrt and advice, to our ExecutNe Comrnittee for representing the Project in the wider community
and to all the local retsil&r$ for the supply ot goods 81 discounted prices from lime to time.
Stat•ment of Tru5tee$' RespOnsibil￿tieS
The Executive Cornmittee ale responsible fcl preparing the Trustees. Report and the financial statements in
accord8nce with 8ppliG8ble law and United Kingdorn Accwnting Standards {United ￿ngdarn Generally Accepted
A¢wunting Practic*}.
The law appticabl8 to charities in England and Wales requires the Executiv¥ Commtttee to prepare financial
statements for eath finanryal year which give a tnje and fair view ol the $tate of affairs of the Project and of the
incoming resources and application of ￿SoUrCeS of ihe Project for that year.
In prepartng thèse financial statements, the Executive Committee are required to..
- sele¢t surtable acLountiThJ poliaes and then apply them consistently.,
- observe the method5 and prindples In the Charitses SORP;
. Make judgements and e8timales that arè reasonable and prudonl-
state whether applicable accounting standards have been followed, sulie¢t lo any material ¢Joparturgs
disdosed and explained in the financial stslemeftts.. and
prepare the financial statements on the going ¢oncem basis unless il is in8ppfopTiate lo presurne that tho
charty will c￿￿tInue in operation.
The Execthive c(￿mIttee artr responsi￿e for keeping 6uffioenl a￿O￿ntIng records that disdose with reasonable
8coJra¢y at any time the finarhcial postbon of the Project and enable them to ensure that the finanual statements
comply with the Charitios Act 2011. the Charity {Accounls and Reports) Regulatsons 2008 and the provisions of
the trust deed. They are also responsible for safeguarding the assets of the Project and heFKe for taking
reasonable steps for the prevention and detect&)n of fraud and other irregularities.

BERWICK YOUTH PROJECT
TRUSTEES, REPORT (CONTINUED
FOR THE YEAR ENDED 31 MARCH 2025
The Imslees, report was approved by Ihe Board of Executive Committee.
Mr S. Clough (Treasurer)
Trustee
Mr S. Landels (Chalr)
Trustee
Dated.. IJ:! #. Jr.

BERWICK YOUTH PROJECT
INDEPENDENT EXAMINER'S REPORT
TO THE EXECUTIVE COMMITTEE OF BERWICK YOUTH PROJECT
I report to the Executive CommTttee on my examinatior* of the financial statements of Berwic* Youth Projeca {the
Project) forthe year ended 31 March 2025.
Respongibiliti•s and basls of report
As the Exècutive Committee of the Project you are respon$lble for the preparats'on of the finanual statemen1$ in
accordance with the requirements of the Charibe5 Act 2011.
I report in respect of my examina￿On of the Projecvs financial stslements c8rried out under section 145 tsf the 2011
Act. In carrying out my examinatlon I have followed all ihe applicable Direction5 given by the Charity Commission
under section 14515)Ibl of th6 2011 Act.
Independ•nt examlnerf8 Statement
Sines the Project's gloss inc4m¢ ¢x¢¢èded £2SO,O(Y) your examiner must be a rnernber of a body listed in section
145 of the 2011 Act. I confirni that l am qualified to undertake the examination because l am a member of the
Instiluts of Chartered Ac£ounlanl$ of Scotland, which 1$ one of the listed bodies.
I have completed my examinats'on. I conffirrn that no matters have ￿rne to my attention in ¢onne¢tion with the
examination gNing me cause to believe that in any material respe¢t'.
accounting records were not kept in respect of the Projed as required by section 130 of the CharitièsA¢t 2011.
the ffinancial statements do not accoid with those records.. or
the finan(xal statements do not comply with the applicable requiremonls ¢orttrning the forrn and contenl of
accounts set out in the Charities IAccounts and Report51 Regulations 2008 other than any requirernent th81 the
accounts give a true and fair view which is not a matter consKlered a5 part of an independent examination.
I have no concems and have come acro55 no other matters in connection wth the exarnination to which attention
should be drawn in thi5 report in order lo enable 8 pr¢)per understanding of Ihe aoxunts to be reached.
Colln Frame CA
17 W81kergale
BenNick-upon-Tweed
Northurnberfand
TD15 1DJ
Dalo-.

BERWICK YOUTH PROJECT
STATEMENT OF FINANCIAL ACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2025
Current financial year
Unrestricted Unrestrlcted R¢strlcted
funds
funds
lunds
gèneral da8lgn¥ted
2025
2025
Total
Totsl
202S
2025
2024
Note$
Income and end
wments from.
Grants and donati￿8
Charitable activib'es
Inveslments
Othei income
27.358
67,979
9.601
203,350
150,713
178,071
67.979
9.607
203,350
147.2
36.713
7,667
Total income
308,288
150,713
459,001
191,676
Ex
Raising funds
2,083
2.083
2,084
Charitable actNittès
107,350
18.708
154.745
280,803
293,955
Total resoureè¥ expend•d
109,433
18.708
754.745
282,886
296,039
Net gainslllosso$) on investment8
13
{3751
13751
{3,802}
N¢t movement In fund¥
f98,480
118.708)
14.032)
175,740
(108.1651
Fund balances at 1 April 2024
122,338
822,643
43,016
987,997 1.096,162
Fund balane¢s at 31 March 2025
320,818
803.935
38,984
1.163,737
987.997
The statement of financAal activlli¢s indudes all gains and losses reco9nised in the year.
Atl income an%Y expenditLTrre derives Irom continuing activities.

BERWICK YOUTH PROJECT
STATEMENT OF FINANCIAL ACTIVITIES (CONTINUED)
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2025
Prlor financial year
Unrostrlcted Unrestricted Restricted
fund$
funds
fund$
gèneral designated
2024
2024
Totsl
2024
2024
Notes
come and ndowmonts from:
Grants and donations
Charrtable activities
Investments
S1,IS
36,713
7,667
96,100
147.2
36,713
7,667
Total incomè
95,576
96,100
191,676
•ndItu￿ on:
Raising funds
2,084
2,084
Charitable aclivities
170.193
18.708
105,054
293,955
Total rosources expènded
172,277
18,708
105,054
2S6.039
Net gainsllloss¢sl on investments
13
(3.802)
{3,802)
Net movément In funds
{80,5031
{18,7081
18.954) 1108,165)
Fund balances at 1 April 2023
202,841
841.351
51.970 1,0%.162
Fund balancgs at 31 March 2024
122.338
822,643
43,016
987.997
The statement of financta actNities includes all gains and losses réeognised in the year.
All income and expendituré derives from ￿ntInuing actNities.

BERWICK YOUTH PROJECT
BALANCE SHEET
ASAT31 MARCH 2025
2025
2024
Note$
Fixed assets
Tangiblo assets
Investments
14
15
646,765
215,424
669,9E6
216,341
882.189
886,307
Curr•nt as$èts
Stocks
Debtors
Cash 81 bank arKE in hand
16
17
100
16.542
91,LX)6
17.355
349.$31
366,886
107.648
Creditors: amounts falling duo wthin
on* year
18
165.3381
15.9581
Net current assets
301.$48
101,690
Total assets loss eurrent liabilitles
1.163.737
987.997
The funds of the Proje¢t
Rèstricted inctbrne lunds
Unrestricted fvn¢Js- 9eneral
UnrestriGted funds- designatsd
20
38,984
320.818
803.935
43,016
122,338
822,643
21
1,163,737
987,997
The financial statements wtr￿ approved by the Exethe Committee on ......l)... Q(t4W... 2a i<
Mr S. Ck)ugh (Tre8$urer)
Trustee
Mr S. Landels (Chairl
Trusts•
10-

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
A¢¢ountlng policies
Charity infomlatlon
BerwKk YoLrth Project (the P¥ojecll 15 a Ch8fitable Inc*rporated Organisation. registered in England wth Ihe
Charity Commission, nLtmber 1166598.
1.1 Accounting convention
The finanri81 slateme4)Is have been prepared in accordance with the Projed's govÈmirtg do¢ument, the
Charities Act 2011, FRS 102 The Finanaal Reporting Standard applicable in the UK and ReptJbli¢ of Ir818nd'
and the Chariti6$ SORP "Accounting and Reporting by Chafilies.. Ststemenl of Recommended Practi
applicable lo eharities preparing their accounts in accordance wrth the Financial Reporting Slandar<l
applicable in the UK and Republic of Ireland {FRS 1021. The Proiect is a Public Benefit Entity as defined by
FRS 102.
The Prolect ha5 taken advantage ol the provi$lon$ In thè SORP for charities not to prepare a statement of
rash fflows.
The financial statements are prepared in slerfing, whith ￿ the functional rJJrrtrncy of the Proj¢d. Monetary
amounts in these financial statements are rounded to the neare51 £.
Thè finanaal statements have been P￿par￿d under the historical cost convention. modified lo include certain
finanaal instruments 81 fair value. The Prindpal accoLtnting poliaes adopted are set out below.
1.2 Going concern
Al the time of approvtng the a¢¢ounts, the Executive Commthee have a reasonable expectation that the
Project has adequate resources to continue in operational existence for the foreseeable futsjre. Thus the
Exeuative Cornmillee continue to adopt the going concèm basis of accounting in preparing the accolsnts.
1.3 Charltable fund¥
Unrestricted lunds are available for use al the discretion of the Executive Committee in furtherance of thwr
char¢table objedives unless the fvnds have been designated for other purposes.
Designated funds are unrestricted fvnds that have been Sel a$ide by the Exewtlve Commlttee lor particular
purposes.
Restricted funds are funds vA)ich are to be used in accordance with specafic feslridions imposed by donors or
which have been raised by the Pioject for particular purposes. The cost of raising and administering
nds are charged against Ihe specific fund. The restricted income received during Ihe year has been spent
on Pfojects in accofdance with the restii¢tion$ Imposed.
1.4 Incoming resour¢•$
Income is fecognised when the Project is legalty enlilled lo (( after any performance o)ndlllon$ have been
met, the amunts mèasured reliably. and it is probable that in¢x)me WI￿ be ￿ceIve11.
Cash donations are recognised on receipt. Other donations are rett)gnised on¢e the Project has been nottfied
ol the donation, unless performance condii*)ns require deferral of the 8mounL
Legaryes 8re recognised on receipt or otherwise rf the Proie¢t has been notified of an inwending di$lribulic*),
the amount is known. and rec¢ipt is expected.
Intangible donations are included at the value of the servi¢es provlded.
11

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Accountlng policies
Icontlnu•dl
l.S Resourcès *xpended
All èxpenditure is accounted for on an aGc¥uals basis. Resourcos expended are alloc*ed to the particular
a¢tNty where the cost can be diiectty related to that adwity. However, the cost ¢)f ()verall dite¢b"on and
administration on each a¢tivty, comprising the salary and overhead costs of the eentral fvnction, is
apporlioned on the lollowing basis. based on tho amount of staff lime attributable lo èath activity.
Dlrect
Charitable
Expenditure
700
50%
50%
70%
75%
Managemfrnt Costs of
and
Generdtlng
Adminlstratson Funds
20¥.
io%
50%
50Vo
20Y•
25%
Project Managerfs Salary
General Purpose Property Costs
Accomm¢xl81ion Project Property Co818
Ptsst89è, Ststionery, Adverbsing & Telephone
Adminislralion Costs
100
1.6 Tanglble flx•d assets
Tangible fixed assets arè initially measured at Cost and subwuently measured al ctssl or valuatKJn, net of
depreaation and any impairrnent losses.
Depreciatton is recognised so as to write off the cosl or valLtation of assets less their restdual v8lug$ over Ihoir
useful lives on the tollowing bases..
Land and buildings
Property improvements
Equipmènt and computw equipmgnl
Fixtu￿$ and fitting$
Motor vehicles
None and straight line t)v8r 35 yea
20% straight line
25Yo straight line 9￿j 33.33% 8lraight line
150h reducing balance
25% reduan9 balance
The gain OT loss arising on the disposal of an asset is determirted as the difference betweèn the salg
proceeds and the carrying value of the asset. and is Tecognised in net incomel{eKpenditure) for the year.
Fixed a$sel$ 8Te capitalised, at cost where the purchase price eX￿ed$ £500.
Any donated assets are capltalised at their estimated value at the tsme of receipt of the grft.
1.7 Fixed asset investments
Fixed asset investments are initially measured at trans8Ction price excluding trans8¢tion eos15. and are
subsequently measu¥¢d at fair value at each reporting dale. Changes in fair valLtg are recogniqed in net
incomel(expendilur$) for the yw. Transacty)n costs are expensed as incurred.
1,8 Impalnnent of fixed assets
At each reporting end date, the Proje¢t reviews the carwng amounts tsf ils tangible assets lo detem)Ing
whethei there is any indication th* those assets have sulfered an impairment loss. If any such indication
exists, the recoverable amount of the asset is estimated in wder to deteTmine the extenl ol the impalmi$nl
loss Irf any)_
12-

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Accountlng polScles
{Contlnu•dl
1.9 Stocks
SILyA(s are stated al ihe lower of Cost and e5timatsd sèlling price less costs to complete and sell. Cost
comprises direct materials and, where applicable. direct 18bour ¢o$ls and those overheads that have bee
inujrred in bringing the stod(s to their present location and condition. Items held for distribution al no or
r¢ominal cnnsideration are measured at the lower of replacement ￿81 and ¢osl.
Net realisab1e value is the estimal¢il $elling prica less all estimated wsls of completion and c051s to be
inojrred in marketing, selling and distribution.
1.10 Cash and cash èqulvalents
Cash and cash equivalents indude cash in hand. depo$it$ held at call vmth banks, other short-temi fiqutd
investments with original maturitie5 of three months or less. and bank overdrafts. Bank overdrafts are shown
within bofrowings in current 5iabililies.
1.11 Flnanclal instruments
The Projeet has elected to apply the provisions of Se¢tion 11 'Basic Finanaal Instruments. and Section 12
'Other Finanual Instruments Issues, of FRS 102 to 81101 its financial instruments.
Fina*Kial tnstruments are recognised in the Project's balance sheet when the Project becornes party lo the
contractual provlsions of the instrument.
Financial assets and liabilities are offsel, with the net amounts presented in the fin8nri81 st8lemenls, when
there is a legally enforceable rÉght to set off the r￿Ognised amunts and theTe is an intention 10 settle on a
net basis or to realise the a$sel and settlè the liability simtjrtaneously.
8a$ic financial assets
Basic financi81 as$ets, whi¢h indude debtors and cash and bank balances, are inth.ally measured al
transact*)n PFice indud¢ng transadion costs and are subsequently carried at amortised cost using the
effe¢*ve interest method unless the arrangement constitutes a financir*g transaction, where the transaction is
measured al the present value of the fuluTe recèipts discounted at a market rate of interest. Financial assets
dassified as receivable within one year are not amortised.
Basic financffal liabiliti•s
Basic finanaal liabililies. including cred4tor5 and bank loans are inibally recognised at transaction price unless
the arrangement constitutes a finanryng Iran58¢tion, where the debt instrumenl is measured at the present
value of tho future payments disC￿￿￿ted al a market rate of Ènl&r8St. Finanaal liabilitiè$ dassified as payab
thin one year are not amortised.
Debt instruments ara subsèquently carried at amortised cost. using the effectwe interest rale method.
Trade c¥editors are obligation$ lo pay for gc4)ds or services that have been acquired in the ordinary course of
operations from suppliers. Amounts PaYa￿e are classified as Current liabilities if payment is due within one
year or less. If not, they are presented as non-ctsrrent liabilities. Trade creditors are recognised initialty at
transaction price and subsequently measu￿rt at amort15ed cost using the effeciive interest method.
Derecognltlon of flnanelal Ilabllldes
Finanaal liabilities are derecognised when the Pioje(a's conlr8ctual obligation$ ¢xpire gr ar¢ discharged or
cancelied.
13-

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS ICONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Aecountlny policiv4
IContlnued}
1.12 Employeè bgnefft¥
The cost of any unused holiday entitlemènt is recognised in the p&riod in which the employee's service$ are
recèived.
T#rrrMn8tion benefits are recognlsed immediatety as an expense when the Proiect is deman$lralSy committed
lo terminate the ern￿OYment of an employee or lo provide termination benefits.
1.13 Leases
Rental$ payable under operating leases. including any lease incentives re￿iVed, arè ¢harged as an expense
on a straight line basis over the term of the relevant lease.
1.14 Grants
All gr8nt$ 8re used for charitsble expenditure and capit81 items 8nd are Tecognised in full in the year in which
they are receNable. or whan the conditsons lor receipt hav8 been met.
1.15 Income from Inv•stm¢rtts
Invè5tmenl income comprlses dividends receivable during the year on listed investmtrnl$ held in the
Unrestiicteil General Funds and interest receivable.
Criti¢*l accountbng ostlm#ts$ and ludgements
In the application ol th& Projecl's accounting poli¢ie$. the ExeuJtNe Committee are required lo make
judgements, estimatgs and assumptions atX)Ltl the carrying amount of assets and liabilitie3 that are not readily
apparent from other SOUT￿$. The estimates and 85socialed assumptions are based on historical experience
and other factors that are considered to be relevant. Actual results may drffer from these estimates.
The estimates 8nd underfying assL*mptions are reviewed on an ongoing basis. Revisions to ac£ounling
eslirrates are rècognised in the peiic¥J in which the estimate is revised Whe￿ the revision affects only that
period, or in the period of the rev*sion and futuro periods where the revision aff¢ds both rJJrrenl and fuiure
periods.
Grants and don*￿￿nS
Unr•stri¢ted Restrlcted
funds
fund¥
Totsl
202S
Totsl
2024
Oonalions and grants
Legacies receivable
24.358
3.000
150.713
175.071
147,296
27.358
150,713
178,071
147,296
Unreslricied donations $nrt grants indudes an Intan9ible donation ot £1.00012024.. £1,000) in the forni of
p￿roll services given ty Northumberfand County Counal and recorded as Prolessional fèe$.
14-

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Chpritsble activitits
2025
2024
Charitable rental income.. Rent and hwsing benefils
67.979
36,713
Investments
2025
2024
In￿me from listed investments
Interest receivable
8.328
1.273
7.505
162
9,601
7,667
Othèr In¢om•
2025
2024
Nel gain on dispos81 of18nglblg fixed assets
203,350
Raislng fund¥
2025
2024
Investment management Costs
2,083
2.084
2,083
2,084
15-

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
Chorltsblt actlvltles
Direct Go¥•rnanee
Costs of
charltable
¢osts generating
expendlturo
funds
Totsl
2025
Total
2024
Staff costs
DeprecAalion and Impairment
Postsge, statKJnery, telephone and
advertising
Sundry expenses
Property cost$
Activities and evenls
Motor expenses
Volunteer expenses
Tf8tning and travel expenses
Fumishings, linen and kitchenware
Professional fees
Awounlancy fee
Publications and subscriptions
Community Centre expenses
124,344
32,869
10,269
5,134
139,747
32.869
151,888
20,350
6,043
127
24.315
13.675
9.863
370
3,781
2.032
1,726
42
24.315
863
8.632
169
48.830
13.875
9,863
370
3,781
2.032
10,799
4,090
2.802
6,868
159
61,176
20,455
8,962
6,374
10.799
4,090
10.820
2,802
1.885
650
223,565
51.241
5.997
280.803
293,955
Analysis by fund
Unrestricted funds- general
Unrestricted funds- designated
Restr￿ted fvnds
68.104
18,708
136.753
39,246
107.350
18,708
154,745
11,995
5,997
223,565
S1.24t
5,997
280,803
For the y•ar ended 31 March 2024
Unrestricted funds- general
Unr8stiicted funds- design*ed
Restr￿ed fvnds
133,179
18.708
79.282
37.014
170.193
18.708
105.054
20,007
5,765
231,169
57,021
5.765
293.955
Govemance costs indudetl payments to the independent ￿arnI￿er of £4.090 12024.. £4,044) for
aceoijntancy services.
Net movement In fund
2025
2024
The net mov6menl in fur￿$ is stated aft¢¥ chargingl{¢xediting}.'
Depredalion of owned tangible fixed assets
Profit ors disposal of tangible fvxed assets
32,869
1203,350}
20,350
16-

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
10 Ex•cuttve Commlttee
No ￿M￿neratIOn12024. £Nill directty or indirectly out of the fvnds of the Project was paid or payable for the
year to any Executive Committee Member or lo any person or persons known to be connected with any of
them.
No reimbursement12024'. £Nill of expenses has been madg or is due to be made to any Executive Committee
Member in respect ofthe year.
11 Employees
Number of èmployees
The average morhlhly number of employees during the year was..
2025
Number
2024
Number
Full Ilme employ￿$
Employment Costs
2025
2024
Wages and Salaries
Soaal securtty costs
Other pension c0515
120,628
11,380
7,739
131,860
11,731
6,297
139,747
151.888
There were no employees whose annual remunerati¢n was £60.000 OT more.
12 T•xatlon
The tharity is exempl from tsxation on its activities because all tts income is applied charitable purposes.
13 Net gain￿(11}$se5I on inveBtrnents
2025
2024
Revaluation o16nvestments
Gainlllossl on sale ol inveslrnenls
(16,4681
16,093
1,231
{5,0331
{3751
13.8021
17-

(o
¢7) 0

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
15 Fix•d asset investmènts
Llsted
Invèstments
Cost or valuatbon
At 1 April 2024
Addition5 in year
Valuali¢n changes
Disp0s81s
216.341
73,833
1375)
174,375}
At 31 March 2025
215,424
Carrylng amount
At 31 March 2025
21S.424
Al 31 March 2024
216.341
Flxed asset inv•stments revalued
Listed invostmenls are slated at market valLtè. The historical cost of the investments is £225.456 {2024.'
£210,773).
Investments are stated at their mid-markel value al Ihg balance sheet date.
Investments are professionalty Managed and valued by Bfgwin Dolphin. The investment objecbves are to
achieve a b8lance of income and capital growth with an emphasis on income, assuming a low risk profile.
The unrealised gain$ l (loss•s} arising from changes in market value are adjusted against th¥ UnrestTKted
General Funds.
16 Sto¢ks
2025
2024
Finished go¢￿$ and goods for resale
100
17 Dobtors
2025
2024
Amounts falllng du* within on• y•ar.
Piepayments and accrued ir¢come
17,355
16,542
19-

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
18 Creditorn: amounts falllng due wlthln one year
2025
2024
Notes
Deferred income
Other creditors
Accruals
19
2S.380
35,605
4,353
1,005
4,953
65,338
5.958
19 Deferred Income
2025
2024
Other ¢Jglerred income
25,380
Delerred in¢orne is made up as follows..
Ballinger Charitable Tnjsl
Corn Foundation." F.B. & P.F.B. Lough Fund
National Lottery Community Fund.. Northumberfand Youth Work Nefv￿tfr
10,000
5,000
10,380
25,380
20-

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
20 Restri¢tsd funits
The income funds of the Project indude resthcted funds comwising the following unexpended balanc£s of
donats'ons and grants held on trust for speafic PL¢rposes'.
At 1 April
2024
Incoming
resource
Re¥oUr￿8 At 31 Mar¢h
expended
2025
Fixed Asset Fund
43,016
150,713
(154,745)
PTevlou$ y¢ar:
At 1 Apr51
2023
Incom5ng
resource3
Resources At 31 Ma￿h
expended
2024
Fixed Asset Fund
Communty cent￿ Fund
43,492
8,478
96,100
198,576)
18,478)
43.016
51,970
96,100
(105.054)
43,018
The Restricted Fixed Asset Fund consis1$ of donations and grants receNed for specrfic purposes and related
expenditure. The balance carried fO￿ard represents fijnds to be used in the nexi year and the value of
restricted items ¢apitalised.
The Restricted Community Centre Fund o)nsisled of donatlons and grants le￿1¥ed speufically for the
purpose of potential￿ redeveloping the fomier Community Centre. However. as indicated within the 2024
TN5tees Report, the ExecutNe Committee decided that it W8s not in the Projeds best interests to pursue a
redeveloprnenl project due to rlsing Costs and time limited funding offers expiring. Therefor8, thè building was
subsequently sold on the 20 August 2024.
21

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
21 Unrestricted funds- d#signated
These are Un￿stricted funds which a￿ malerial to the Project's activities and have been deslgnated by Ihe
Execulive Comfflillee for specific purposes.
At 1 Aprll
2024
Resources
frxponded
Tran¥fer8 At 31 March
202S
Property Fund
CommLtnily Centre I Supportgd
Aceommodalion Fund
Apprenticeship Training Fund
Mountain Bike Track Fund
Mini Bus Replacement Fun
622,643
118.708)
803,935
200,1M)
121JO.0001
130.LX)O
30,CKIO
40,rx)o
130.1YXI
40,000
822.643
118,708}
803,935
Previou¥ year.
At 1 April
2023
Resources
expendad
Tran¥fer8 At 31 March
2024
Property Fund
Communty C8nlre I Supported
Accommodation
641.351
118,7081
622,643
200,000
200.000
841.351
118,708)
822,643
The Property Fund was a Restrided Fund tl8nsferred from the ohj Prolect in Te8pect of the premFses of the
Projeci's Goldèn Square site. It represents the value of Ihe land and building, wilh deprecrdtion ¢harged
annually against the fund over the remaining life of the building. As there are no longer any restiidions on this
fijnd as it Is oUts￿th any claw back pèriod, the Executive Committee dectded in 2018 to transfer the errtire
balanc4 into 8 deS￿nated fund.
The Community Centre I Supported Accommodation Fund was a fvnd designated by th* Executive
Commltt¢e l¢)wards the potential redwelopmenl of the fomier Community Centre, or any other such
replacernent c*f Supported Accommodation prowsion. Howev¢r. following the decision not to pursue the
redevelopment of Ihe lomer Communty Centre, the Executhle Commsttee took the decishtin lo re-designate
the funds for the foslowing p*Jrposes by w>y ol transfer.
£130,000 for an Appfenliceship Training Fund- designated In order lo fijnd tsyo apprenliceships in Conjunction
wSth Sunderland Universty and cover employment costs f¢y a minimum offv40 years.
£30.000 for a MoLtntain Blke Track Fund - designated in ordor to explore the creation of a mountain bike track
at Scremerston.
£40,1)00 fof a Mini Bus Replacement Fund- designated for a future Teplacement of the Projecys vehicles.
-22-

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
22 Unrèstricted fvnd$
The in￿rne lunds of the Project incltKle the followTr)g funds which have been set aside out of unrestricted
funds by the Executive Committee for Bpecifjc purposes..
At 1 April
2024
Incoming
resources
R¢8our¢•$
ex￿nded
Galns and At 31 March
loss•$
2025
Gèneral fvnds
122,338
308.288
1109.433)
{3751
320,818
Pr¥vlous year-
At 1 Apr51
2023
Incomlng
resources
Resources
expended
Gains and At 31 March
lo$$es
2024
General fuftds
202,841
95,576
1172.27n
13,8021
122,338
23-

to￿ C4
¢D￿
EgX41
J I
*0
uj

BERWICK YOUTH PROJECT
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED
FOR THE YEAR ENDED 31 MARCH 2025
24 Donations arKI Grants of £5,000 and over
During tho yeai, grants and donations fe¢ei¥ed of more than £5,000 were as follows-.
2025
£89.717
£40,000
£10,560
£10,000
£10.IX)O
£5,000
£Nil
£Nil
£Nil
£Nil
2024
£Nil
£40,000
£20.970
£27,500
£10,OIX)
£10.000
£10.000
£5.833
£5,1￿0
£5,(M)O
National Lottery Community FLEnd'. Northumberfand Youth Netrm
BBC Children in Need
Education Support SeNices
Ballinger Chantablo Twsl
Wellesley Twsl
Com Foundation.. F.B. & P.F.B. Lough Fund
Bemiaa Foundalitsn
North ofTyne VCSE
Com Fgundation.. Cost of LNing Fund
Be￿￿k Rotary Club
25 Relatsd party transaetions
ReMu￿ratIon of key management personMI
The lolal remun&ralion of thè senior management team excluding Employers Naliorwl Insurancè costs was..
2025
2024
Aggregate compensation
1(Kl,189
101.530
Key m8nagemenl has been delermtned lo bè the Executive Committee and the 3 members of the senior
management tearn. The Executive Committee receNe no remuneration or benefits.
Transaction$ wlth related parties
During thè year. the Projed inwrrgd electtical expenses as part of il's nornal maintenance programme of
njnning costs from Landels Electric81 IBoTwickl Ltd totalling £3,14912024.' £2,771>. Mr S. Landels is a Director
ol Landel$ Electrical (Berwickl Ltd as well as an Ex¢oJtive Committee Member of the Project. Al the year end
no balance rÈmained oulstanding (2024.. £NiE).
Funds received a$ agent
During the year, the Project re¢ewed £344.097 from Northumberfand Youth Work Ne￿ork. ￿nded by the
Nat101181 Lottery Comrnun¢ty Fund. These funds were provided to the Project, in order to distribute appr(wed
grant awards to SU￿esSful applicants. By Ihe 31 March 2025, funds totalling £301,798 had been distributed,
of which th¢ Project received its own share of £70,000, a$ well as £19,717 to support the hosted post of
Ne￿Ork Co-ordinator and assocjated o)sls.
The balance of £42,299 has been deferTed ar￿ will be paid OLrt aft6r the year end, with Ihe Project due to
rec¢tve a fijrthei £10,380.
-25-

BERWICK YOUTH PROJECT
DETAILED INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2025
2025
2024
Donatlons and legacies
Unrestrieted.. Grant5 and donaiions
Unrestricted.. Legac￿$
Roslricted.. Grants and donalSons
24.358
3.(KlO
150.713
51.196
.100
178,071
147.2
Invesknent In¢omt
Unrestricted.. Investment portfolio income
Unreslr4ded.' Bank interest
8,328
1,273
7,505
162
9.601
7,667
Incomlng resour¢es from charltable actlvltl•s
Unrestricted.. Rents and hotjsing benefits
Other Ineomlng resources
Unrestricted.. Gain on disptssal of tsngible fixed
a&sets
67.979
36.713
203.350
Total Incomlng rnsources
459,001
191,676
Resoure
nded
Costs of 9enerating funds
Investment managèmènt ¢osts
Unrestricted.. Investment management costs
12,0831
12.0841
8al*n¢• Carried Forward
456.918
189,5¥2
-26-

BERWICK YOUTH PROJECT
DETAILED INCOME AND EXPENDITURE ACCOUNT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
2025
2024
Balance Brought Forword
456,918
189.592
Charitable acbvltles
Dlrect charÉtable expenditure
Unre$trided'. Salari9$
Unrogtricled.. 08preciation
Unrestrided.. Postage, slalionery, telephone an¢J
advertising
Unreslrided.. S¢Jndry expenses
Unre$lricted.' Property costs
Unrestricted". A¢tivities and even15
Unrestricted= Motor expenses
un￿Stri￿ed.' Volunteers, exFenses
Unrestricted-. Tialning expenses
Unrestrided.. Furnishings. linen and kilthenware
Unrestrided-. Publications and subscriptions
Unrestricted., Communty centre expenses
Designaled.. Depreualion
Reslrided". Salaries
Restricted.. DepreCia￿n
Restricted.. Postage, slalionery, telephonè and
advertising
ReslriiAed'. Property wsts
Reslrided.. ActNitie$ and events
Restricted.. Motor expenses
Reslrided.. Fumishings, linen and kf(rhenw8re
12,485
1.207
94.368
t,166
3,434
127
19,980
11.070
8,863
370
3,781
632
2.802
3.344
18,708
111,859
12.954
119
12,898
7,855
5,962
344
6,374
650
18,708
42,286
476
3.250
17,690
12,600
3,000
4,335
1.400
1223,565)
(231.169)
Governan¢è costs
Unrestrided.. Sundry expenses
Vnrestricted.. Property costs
Unrestricted". Professional fees
Unrestrided.. Accountan
Re5kn"cted.' Sa18ries
Réstricted.. Postage, stst¥)nery. telephone and
adverts'sing
Restricted.. PTofessional fees
42
24,315
10.799
4,090
10,269
40
30,588
2,342
4,044
10.156
1.726
1.373
8.478
151.2411
(57.0211
Balance Carrled FoMrd
182.112
{96,5981
27-

BERWICK YOUTH PROJECT
DETAILED INCOME AND EXPENDITURE ACCOUNT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2025
2025
2024
Balance Brought Forward
182,112
(98.5981
Costs of generating funds
Restricied.. Salarles
Re$lriLted.' Postage. statlonèry, lebphone and
advertisin9
5.134
5.078
{5.99n
15,7651
Net movemant On Investments
Vnrestricted.. Revalu81ion gain I Iloss) on
investments
Unrestricted.. Gain l (lossl on sale of investments
116.468)
16,093
1.231
(5.0331
13751
13,8021
SurplusllDtficit) for the Year
17S,740
1108.1651
-28-