Keyworth & District Community Concern
Registered Charity Number 1166637
Trustees’ annual report for the period:
Start date: 1st May 2023 End date: 30[th] April 2024
Objectives:
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To relieve the needs of elderly people in Keyworth and the surrounding area by the provision of a Day Care facility and the provision of recreational and leisure time activities provided in the interest of social welfare, designed to improve their condition of life.
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To provide a community transport service for the inhabitants of Keyworth and the surrounding area who are in need of such a service because of age, sickness or disability (mental or physical) or poverty, or because of lack of availability of adequate and safe public passenger services.
Key actions:
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Moved forward on our strategy of replacing our older bus and having two buses of different age profiles, by placing an order for one new bus.
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Applied to the Lottery Community Fund to part fund the new bus purchase, and were delighted to be recognised and rewarded as a Group helping our Community thrive.
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Reinforced our intention to provide a good value Community bus service by maintaining the current rate we charge Member Groups for borrowing our buses despite rising operating costs.
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Managed a significant increase in bus usage. In twelve months our buses were used by more than 90 local groups, carrying over 4,000 passengers on 345 different journeys.
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Supported other local Groups & Charities by promoting their services through artwork on the outside of one bus.
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Continued to provide a much needed Tuesday Club service to many elderly local inhabitants. New customers are being sought following the withdrawal of attendees from a local Care Home.
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Extended our monthly fundraising scheme by introducing the 125 Club. This generates important income, alongside the many generous donations received from local Groups & Individuals.
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Reviewed the risks associated with all our areas of work, and actions have been taken or planned to address any notable issues
Financial Review:
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The financial position of the charity continues to support both short term operating costs and long term bus replacement funding.
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Our accounts have been subject to an independent financial review. For the period of this review the charity reported a surplus of £7,098 and net assets stand at £101, 675
Looking Ahead:
- Attracting new Trustees, Leaders, and Volunteers remains a key priority if we are to maintain the level and quality of our Community work.
The Trustees will continue to assess the Charity response to the changing demands for our services
Registered Charity Number 1166637
Keyworth & District Community Concern
Registered Address: 1 Belvedere Close, Keyworth, Nottingham, NG12 5JF
Trustees: Andrew Tuckwell, Eddie Pettipher, Margaret Eggleston, David Culpan, Kevin Walden, Ian Machan
Structure: The Charity is managed by a committee that meets approximately every month. The Tuesday Club is run by the Tuesday Club Manager and the Buses by the Bus Manager. The committee comprises the Trustees and some volunteers. The Charity recruits Trustees from within the committee.
Andrew Tuckwell Chairman
orth & District Communi Concem (Charitable Incorporated Organisation - Regislered Charity No. 1166637) Statement of Financlal Activilies for the 12 months to 30 A rll 2024 3014124 3014123 ommuni Bus O eration Donations from Bus Users £13,017 Totsl Bus Income £13017 Bus Expenditure Insurance Fuel Cost Maintenance & Tax Sundry Expenses Depreciation of Buses 2.104 -£ 3.964 -£ 3,631 -£ 731 -£11000 -£ 1,813 -£ 3,600 -£ 2.629 -£ 905 -£11000 Total Expenditure re Bus Operations Shortfall on Bus Operations 10 319 hor Income - Donatlons l Grants I Intsrn6t Unrestricted Income from Donations l Grants l Bank Interest £16,720 £11,012 Other Ex Hall Hlre & Administfdtion Costs -£ 1.209 1,104 Deficit l Excess in Income over Expendlture 411 eTfvJe
mm ement Liabilities 24 Flx•d AM•t• Peugeot DK66 Peugeot DK67 3,591 32 9.091 11,911 22,911 Curr•nl Asset8 Bank Accounts {Unr8stricted> 27,961 70,071 Bank Accounts (Reslrictedl New Bus 58,000 Tuesday Club Cash 211 Sundry Debtors Sundry Debtor- GM Coachwork Replacement Bus Deposit paid 759 1,667 8ank accgjunt 125 Club 91,395 n,221 Currnnt Llabllltles Sundry Creditors Creditors- 125 Club 156 283 Net A88•ts Lc4J
R•pr•sonted by Capltal & Reserv•s Capital blA• Previous Year Def1¢ l Excess for Year 94.577 411 Total 1. The accounts ar6 prepared on a Cash AccountirvJ Basis. 2. Bu• D•prnclatlon Pollcy & R•plaum•nt Optlan# Whilsl Cmmunity buses have ustsful lives 8xceeding ten y8gTS, the Tru5t8es bel that il is prudent to write down new vehicles ovar no kjnger than 8 yearn. This invofves on 8nnuo1 d¢precIatft eharge ICK each Peugoot of £5.5CQ: thus the tot81 charge for the year IS £11,CO). We have again reviewed our bus reF4acemenl opts'ons this ye8r. bul unfortunalely Ihere is slill no viable altemalwe to diesel al this time. We havo th8refore made th8 deciskjn to replace Lxjr oklesl bu¥ wth another dlesel vehd8, lor whlch a £3.000 deposit has been paMI {shovm as a sundry (Jebtorl. We also some taprt81 restrided atK¢ve lor the Bus Replacement bala {£58.000 this yearl. 3. 125 Club'Lotl•ry' typ• Sch•m• Tht Trustees sel up this scheme in Aprl 2017. The partbdpanls now subxribe for 125 . numbers and their contribulions are maintsined thwh a soparale bank account. The b818nce of Ihls 8ccount was £1.475 as ai 30 Apdl 20241£1,272, 2023). The sthemé ontributed £1.360I£1.3, 2023) to th• oryJanisolh?n durirvJ tho per1. R•urv•• PolScy The Trustees consider it prudent to maintsin a Worting Capilal Reserve of £5,CllO to ensure that 811 operatlng expen, p8rtkularty the annual molor and public liability Insurances, tan be mel vthen due. Al oiher Cawtsl is earmarked to s¥Jpport the Day Centre and the Communty Bus operation. and for wudent bus replacement when consider8d appropriate. 14 May 2024 i. I&(•v PcfviA (Rri IAEI
CHARITY COMMISSION F(Kt ENGLAND AND WALES Independent examinerfs report on the accounts ser.tion A Inilppendei)t Examiner s Report R•port lo th• trust• KeYh and Distric4 C(mmuiMty C(¥n(xm On accounts for the yoar end•d 2023r24 Charlty no (If any) 1186637 8•t out on p•q•• I report to tr trustees my eXnIn9110n of tho acwJnts of the above charity llhe Trusf) for the year endod 304T2024 R••pon•lblllll•• and b••h of r•port Ao tr• Charitys trustees, you re8pon8ibl8 for thè Fnparation of the o¢¢ounts in accordancé iih tr foquirements of the ChorrtI Act 2011 A(Yl. l rnport in re8rd of my examination of the Trust's accounts ¢orried out under secb.on 145 of the 2011 Ad and in rying oul my examination. I have folkrwed all apFAi¢41)le Threction8 gr¥en by Charity Commission under 8eCtion 145(5)(b) of the Act. Ind•pondgnt examln•¢• •lat•m•nt I have comwed my examinalion. l Mnfim) that no material matters have come to my attention in Connecti with tha èxamination (other than Ih81 discjosed b81tr') whith gi¥08 me caLMe to bolw• that in, any matorigl th8 aKounting recordJ YJre not k•0 ni accordance vthh section 130 of the Charities Act.. or the accounts rt acc4xd wilh the accountiThJ records; or the accounts dKI Mt ¢cmFAy the a01¢ae rtyuirements conceming the fom) and content of accounts 86t out in the Charities (AcUnIS and Reptrts) RegU.On8 2008 other than any reqLsirement that the a¢counts give a Irue and fairf vthich is rt a matter conshdered a8 Pgrt of an indepenthnt examinatlon. I have no concerns aThJ have come across no her matters in conneclion wrth the examination to hthi¢h attentK)n should be drawn in this report in order lo enable a woper urvJ8rstarnling ofthè acL¥>unts to bg reached. . Please d81ete the dS in the brts rfthey do not apply. sned. 11102125 Nam•: James Manton Rolovant profomional quallfi¢atlon{s) or body {If anyl: Fetltrw of Tr Ch¥tsred IAanagement Accountant (FCMA) retired. IER Oct 2018
Addr•#•: Keyworth Nottiryham NG12 5HQ Section B Discloslire Only coMpte rf the examiner needs lo hKdhlighl material matters of concem (see CC32. Independ¢nt eX1n•tiOfi of &count8'. dire¢*on8 aTrJ guKlance for examiners}. Glv• h•r• brl•f d•t•ll• of any Il•m• that th• •xamln•rwl•hM to d11cl•. WA IER O¢t 2018