ChArfity reglstrAtffion uumber 1167151
BEXLEY SIIAP
ANNUAL REPORT AND UNAUDITED FINAIYCIAL STATEMEIYTS
FOR THE YEAR ENDED 31 MARCH 2023

BEXLEY SNAP
LEGAL AND ADMIIYISTRATIVE INFORMATION
PAtroD
Steve Backiey OBE
Trustees
J Toliday
M White-Peart
S JoDes
K Horry
E Bardrick
V Buckley
(Appointed 8 Jwie 20221
(Appointed 28 NovembEr
20221
Chgrity nurnber
1167151
PrlnelpAI Addruj
Nornbandy Children's Centr¢
Trairford Avenu¢
Barnehur51
K¢nl
DA7 6QP
Independent tximlner
Darren Harding ACA FCCA DChA
Richard Place Dobson S¢TViW Limited
TIA Alexandrn Durrant
IOA-12A High Street
E￿¢ Orinsle4d
W¢st Sussex
IiH193AW
BAnkers
National Westminster Bank pl¢
Bexlcyhcath Shoppin8 Centre
I rownley Road
Bexleyheath
DA6 7JG
CAF Bank
25 Kin&8 Hi115 Av¢nue
Kings Hill
West M#llirtg
Ktnt
NIE194JQ
CCLA ItL¥estmettt Man8grm¢nt Ltd
85 Quttn Victoria Street
London
EC4V 4ET

BEXLEY SNAP
CONfENTS
PAge
Trustees, report
Independent ¢xamineVs report
Stat¢ment of fJnan¢L31 activities
B￿AlleC sheet
Not¢3 to the financi￿ stslements
7-21

BEXLEY SNAP
TRUSTEES, REPORT
FOR THE YE4R ENDED 31 MARCH 2023
The Th18tees present their annual report and financial statemenL8 for th¢ year ended 31 March 2023.
The finaoctai statements hav¢ been prepared in ac¢ordance with the accounting policies set out in note l Éo the finwi¢ial
statemenis and Comply with the charity'5 Consiitution, the Charities A¢[ 2011 and "Accountijig Reporting by Chartties..
Statement of Recomm¢nd¢d PTaCtiee applicable to charitie5 preparing their a¢counts in ac¢ordaDce witl) the Financial Reporting
Standard applicable in the UK and Republic of Ireland (FRS 10?). leifeciive l January 20191.
Oblectfvt$ #ttd #ttfvltl
B¢xley Snap has the vision that di39bltd children hav¢ choitts and • right￿ a fidfilltD8 life.
To achieve this. we offer a variety of differcnt club5 for disabled children and young pwpl4 while reducing the igolation and
frustration experienced by th¢ir families.
We do this by..
H&viti8 the Child or par¢nVcarer èt the heart of our thinkin8 and planning
Fociising on what childr¢n can do and encoura8in8 thern to push their bound￿1¢5 to experience and try new thin88
RtSPi)nding to new n¢eds as they emer8e
We are committed io the following vaiue5'.
Und¢rstdnding and showin8 respect and ¢ommilln¢nt to the families we work with
Passion beLause disabl¢d thildren and young p¢ople always &"champion'
Actively listening so that we can help r¢dts¢e the stW88le &nd battle that parents fa¢¢
Se¢in8 ih¢ disablcd Child as part of a whol¢ fomilv wilh ditfereni support needg
Beliiving ihAI di34bl¢d ¢hildren belong and are welcome in our community
The -Irustees have have complied with the duty in section 17 of the Charilic5 Aci 2011 to have due regard Its publi¢ bcnefit
guidance published by the Charity Commission. The Tn￿¢￿$ believe the obje¢iive$ and aims Set Lbove fiiifil th¢ public
benefit rrquircincnts 5Ct out in die guidance published by the Commission.
Aehlevement8 •Md p¢rformgnce
Oiir F.rtrly Year% Project welconie9 families al the stsrt of iheir journey supporting them throuyli dixgnosis of their ¢hild's
coi)dition, 8ignpo3tin¥, emotional supJx)n liiiking with other famili¢5 lo rcduce 5cnse of isolation and modelling pracliul
m¢#sure8 to aid dev¢lopmeiit through play. 41 diffcrent cliildr¢n regul8rly &cessed play 5¢ssions with tlieir pareni/¢4r¢r,
totAlling 669 hrs,
Placement requ¢sL8 for our commissioned S¢Tvices through the tAJndon Borousli of Bexley ¢oJilinue to exceed deinand.
Individual tsrget Ar¢ s¢t lor childrcn attending our Holiday schemes and Little Explorer$ Saturd8y club% with mil¢stone
achievements cel¢braied. 3,498 Short break houts delivered to 97 diffcrctrt childr¢n.
Additional fiindirtg through the Bexley HAF (Holiday Adivities and FIK)d) programme enabled u5 to deliver additional holiday
scheme provision of 184 hours di￿￿& the tht¢r and summer holidays to ?1 ditT¢rent disabled children eligible for fi¢¢ school
meals,
Four youth Sroups (Empire, Ily Space, YAC and Vikl for various age groups b¢tw¢¢n 12 to 25 years, enjoy ¢hoosin8 their
own activity timetable in¢orporarin8 their favourtte actiTr'iti¢s trip5 in the ¢ommuni¢y. Staifand volwiteers support members
to increase their social inf¢ra¢titsns and independent living skills. Through the Jack Petchey Achiev¢m¢nt Awards scheine
individiial members are recognised for their posjtive Contributio￿5UPport of otb¢r5 or personal achicvcment within their youth
groLlPS, a5 Voted for by their peers. The ￿O¢jaI¢d funding compliments youth gTOUP activitie5 and provide additional
equipment or trips out chosen by th¢ nominee.
Thanks to additional fiinding from th¢ jack Petchq Found*ion, we Launc4￿ a ttew drama project. with th¢ pilot group
support¢d by Divergent Drama. Two groups conquesed their anxiety and ll￿¢5 to perform Jack and the Beanstalk to a
standing ovation by family and friends.
Access Sport8 funded a tlew stM)rts element to oitr aft¢r %hcrf)l ¢lub Sthrt Movin& embedding physical a￿1VItieS each weeL
w¢lcomed by atte[1d￿.
page I

BEXLEY SNAP
TRUSTEES, REPORT (CON[Th￿ID)
FOR THE YE4R ENDED 31 h£4RCH 2023
Fiinding from Tlie SEC Foundation. the Royal Wamt Holden Associatitsn, die BNI Foundation. The Masonic Charitahle
Foui?dation, general fundraising atld corporate support from a number of local businesses. Snap liave been wble to instsll
8ensoiy suit in the NomiaThdy SEND Hub, comprising of a sensory room. inieratiive projector and saft padding in Dur ball pil
room. Th¢ equipment will significantly complim¢nt our work offertllg & theryutic space for children.
16 volunteers regularly gave their time oyei the coutse of the year to support us with goYertMice. office administration, running
tiviti¢s with children or decoration artd njaintenartce ofthe ¢erhtr¢ and our facilities.
Snap's Board of TTUStees continue to provide strategie support 8nd direction 4nd are l(x)kin8 to expond expertise within Finance
and Fimdrw3ing and rEcruitme]Jt of aTreB5urer
Vlnancilll revl¢w
The iesulis for the year ar¢ shown in the Ststement of FinaDciai Affliviiiej. Th¢y show a d¢fJcit of £14,928 {2022.' £3,252}.
R¢￿ry¢S poll¢y
At 3 Lst kqarch 2023 tlie chdrity's reserves were £168,4681?022.' £183,396)
The trustees have adopted a policy the charity should hold three months. expenditure in un¢omfftitted res¢rv¢s to provide
8dcqu8te workin8 eapi¢ai and the resourees to fund an orderly close should il become necessary. At 3 1st March 2023
uncommitted reserv¢s, excludins fixed Assets of £66,076120?2: £67,145), represen*d approximately 3.1 (?02:: 3.61 mDnths'
expenditure.
As parl of their duti¢J th¢ TN$t¢45 hav¢ consid¢red the risks ￿ Bexl¢y Snap'8 stability and ability to eoihtinue Its work, The
Tru4tees have don¢ this by identifyin8 and 3ngly5Ln8 TLsk$ by s¢Y¢rity of risk and the likelihwd of Li h4ipening wid agreed
&¢tion lo mana80 these risks.
Stry¢turep gov¢rn4n¢e and mAtt#Remeni
Thc Gharity IS Boverned by ils Cons¢iliition. whith w&s ￿00¢d when the chaTity r¢gist¢red w a Charitable Incorporated
Or8unisation ICIOI on 17th May 2016.
The Truyteey who served durin8 the yollr and up to the datr of signature of the fimneial statements were..
R Hambr(￿k
IResigJied 22 Au8115120231
J Toliday
W Jen¢hn¢r
M White-Peart
S Jones
K Horry
E Bardri¢k
V Buckley
{Resi8ned 22 May 20231
(App)inted 8 June 2022)
IAprx)int¢d *8 Nov¢mber 20221
Management
The management of the charity is the respon8Lbility of the Trust￿. who are elected under the tem$ of the Ctsnstitution. The
TrustC65 delegate the day to day mana8ement ofthe charity and its operations to die Director.
Rel#ted pwrtles
W¢ have a¢hieved succegs through our partnerships with Woo¢tside Aca(lemy. Norniandy Primary School. Norniandy SEND
Hub, A¢¢¢ss Spo¢ SEC Foundation. Apex Lift5. (he London Boroiigh of Bexley, Bexley Voluntarv SeM¢e Coun¢il, The
Masoni¢ Foyndation and Lod8es. BNI Inte8rity Chapter. and The Lord Hill Pub. The Alma Pttb and the generosity of lo¢a]
SME's15mall to mediutll-5ized enterprises}.
PB8e 2

BEXLEY SNAP
TRL'STEES, REPORT (CONTINLID)
FOR THE YE4R EIVDED 31 MARCH 2023
Th6 Truste¢s' re]x)rt was approved by the Board of TnIs￿e5.
E Bardrick
Datt..
pDge 3

BEXLEY SNAP
INDEPENDE￿T EXAMINER'S REPORT
TO THE TRUSTEES OF BEXLEY SYAP
I repori to the T￿￿[eeS on my examination of ihe f￿ancial ststements of Bexley Snap (die charity) for the year ertded 31 Marcli
2023.
Responslbllltles aRd basls of report
As the Trustte5 of Iht chdrity you are r¢spDnsibl¢ for th¢ preparatioth of the financial statements in accordance with the
r¢quirements of the ch￿illeS Act 2011 {the 2011 Ad).
I report in reSp￿t of my examination of the charity's financial swemeDts c8rried out under section 145 of the 2011 Act. In
carrying out my examination I have followed all the applicable Diredion5 given by the CJ]xrity Conmission under section
145{5)Ibl of the 2011 A¢1.
Indeptndeni exAmlner's st4i¢meni
Your attcntion is drawn io ih¢ (￿t thai th¢ ¢hwity h&8 prep￿ed financial Statements in ￿¢0￿dance with Aceountirt8 and
Reporting by Charities preparing thcir ￿¢(ThUnt5 in accordance with the Fin￿¢181 Reporting Standard applicable iTh the UK and
Repiiblic ol. Ireland IFRS 102} in preference to the Accountin8 atld Keporting by Charities,, Slat¢m¢nt of Lecotnmettded
Practice issued on l April 2005 which is r¢f¢rr¢d io in the extant regulations bui has now been withdrawn.
l understond thAt this has been done in order for finaTh¢iAJ Ststments to provide a true and fair view in a¢￿rdanCe with
Generally Ac¢ept¢d Accounting Prncti¢¢ effe¢tiv¢ for t¢porting periods begirtning on or after l January 2015.
I have Gompl¢t¢d my ¢xarninaliOn. l Confimi that no matters have Come to my attention lrt eotthection with the examin&tion
giving Ene eAuse to believe thdt in any material res￿£1.
ac¢ounting records w'ere noi kepi in respe¢t of the charity as r¢quir¢d by Section 130 tsf the 2011 Act: or
the financiai statem¢iils do nol &c￿rd with thos¢ r¢cord5,' or
the finan¢i&l staieni¢nts do not comply with the 8pplicable requirements concerning the forni gnd content of accouiits set
out in the Ch8ritie5 IA¢¢ounls gnd R¢porLsl Regul￿10ft8 2008 other than any requiT¢ment that th¢ ￿c￿UnIS give a tru¢ and
fair view whi¢h is not a matt¢r ¢onsid¢red 85 part of wi iJideW￿tnt examination.
I have no cot)cemg and have come across no other matters in COT￿e¢ll0￿ with the exwnination to which llttention should be
drawn in this report in order to enable a proper understanding of the financial statcmcnts to bc rcached.
Darren HkrdingACA FCCADChA
Richard Place Dobson Services Limited
TIAAlexandra Durrant
IOA.12A High Street
Ea¥t Cirinstead
Wcst S115sex
RH193AW
23 January 2024
page 4

BEXLEY SNAP
STATEMENT OF FINANCIALACTTVITIES
INCLUDIPIG I)CO.ME AND EXPENDITLTRE ACCOUNT
FOR THE YE4R ENDED 31 MARCH21123
Unreytritted
funds
2023
Restritted
ruDdJ
2023
Tot#] Unr¢strict¢d
fllnds
2022
Restricted
funds
2022
Total
2023
2022
Intome from:
Donations and legacies
Parental contributiotjs
Fundraising events
Investment income
164,736
39.283
4,194
2,117
19.472
4.294
184,208
43,577
4.194
2.117
l41,868
31,101
2,097
56
34.238
3.189
176.106
34,290
2,097
56
Totsl Incotn¢
210,330
23.766
2J4,096
175,122
37,427
212,549
F.x
Raising fiiiids
57,711
57,711
9.496
9,496
Chllritable a¢tivitie5
155,653
33.660
191,3lJ
159,226
47,079
206,305
To¢01 resources expemded
213,364
35,660
249.024
168,722
47,079
215,801
Ntt expenditure for ihe yearl
Net movejiieiit ill (umds
(3.034)
{11.8941
(14,928)
6,400
{9,6521
13,252)
Fund balan¢¢3 8t l April
202?
136,149
47247
183.396
129,749
56.899
186,648
Fund b4lBncu At 31 M*rcb
2023
133.115
35,353
168.468
136,149
47.247
183,396
The ststernent of financial activities in¢lud¢s ￿] byin5 and losses recognised in the y￿.
All income and expendittwe derive from continuing a¢liviliH.
pa8c 5

BEXLEY SNAP
BALANCE SHEET
ASA T31 Th£4RCH2023
2023
2022
P4ottJ
Flxtd ai%tts
InI￿gIble assds
Tangible 0ss¢ts
12
13
202
28.598
400
37.990
28.800
38,390
Current #ssets
Debtors
Lash at bank and in hand
14
13.344
131,468
37,871
149,566
144.812
187,437
Credltors: •mounti filllng d￿¢ wlthlll oDe
yeAr
15
(5.1441
142,4311
N¢t ¢urrent ￿Sets
139.668
145,006
Tot#l thssets les1 rurrent114bUItI
168,468
183,396
Inrome funds
Re.$trieied funds
18
35,353
47,247
D¢signatcd fvnd3
Gener￿ unrestricted fuThd$
19
64,926
68,189
64.9*6
71223
136,149
168,468
183.396
The fin￿¢]41 stst¢m¢nts were approv¢d by the TnLqtee5 on .....
E Bai'dri¢k
Trustee
page 6

BEXLEY SNAP
NOTES TO THE FINANCL4L STATE.MEhTS
FOR THE YEAR ENDED 31 h£4RCH 2023
A¢couMtl￿g polltAes
Charlty infor￿#110￿
Bexl¢y Snap is a charitable in¢orporot¢d orgonisation registered on 17 May 2016. The trustee& who are al80 members of
the Management Committee. are named in ti)¢ TThsiees' Atmual RepotT.
1.1 Aeeountlng eoDveniion
The financial stydttments have beetl prepared in Kcordance with the ChaTiti¢s Act 2011 and 'Accounting R¢portiti8
by Charities.. .8ta¢em¢nl of Recotnmeijded Piadice applicable to charities preparing their accounts in ￿￿Ordanc¢ with the
Finaiicial Reporting Standard applicable in the UK alld Republic of Ir¥lond IFRS 102) (effective l JaThuary 2019)" I'he
charity is o Piiblic B¢n¢fit Entity L8 defthed bj FRS 102.
The charity has tAken advBnta8¢ of the proYi8ions in the SORP ftir Ch￿1t1¢S apptying FRS 102 Update Bulletin I not to
prepare a Statem¢nt of Cash Flows.
Th¢ finon¢i81 statements have departed frorn the Charttie5 (Accounts and Rtportsl Regul8tiDns 2008 (Fnjy io ti)e extent
r¢quired to provid¢ a irue and fair view. This departure has involved following the Stot¢m¢nt of R¢cominended Pra¢tice
for ch8rilics applying FRS 102 rather than the version of thc Slal¢ment of Recominend¢d Practi¢¢ whi¢h is referred to in
the R¢gulatiotL5 but which has since b¢¢n withdrawn.
The financi813tat¢m¢nts are prepared in Merling, which is the furtctional Currency of th¢ chgrlty. Monetsry 8mount$ in
these fitJanci81 Statements are rounded io the nurest £.
The f1rtanc1￿ St￿¢m¢n￿ have be¢D pr¢pared under the hi$lori¢￿ ¢ost eonvetttion.
1.2 Golng tontern
At Ihe titne of Approving ihe finan¢ial statements, the Th￿ee$ have a ￿480nable expecl8tion Lh8É the charity ho8
ad¢quate resoLLrces to ¢ontinu¢ in operational cxis¢en¢e fi)r the foreseeable future. Thus th¢ Trust¢¢S Gontihue to adopt th¢
going concerii bssis of accountinB ID pr¢parin8 th¢ financial st*¢rn¢n￿.
1.3 Chgrlt8ble funds
Unrestricted fiinds Are a￿lIable for iL4e HI the discretion of the Trustees in ￿[th¢fanC¢ of their ¢h8ritable objectives.
Desi8nated funds comprise Lmrestrictcd funds which have been Set &side by the ¢ntytees for particular purposes. The aitn
and use of ¢a¢h designakd fund is set out Sn the notes to the fJnaThcial $taiem¢nts.
egtrieted funds Ar¢ subject to specific condtiions by doJior5 ￿ to how th¢y may be used. Thc purposes ￿ld u5¢5 of the
restrictcd fund5 ar¢ set out in the notes to the finan¢id statcmcnts. The Cost of raisin8 and administering 5urh funds is
har¥ed a8&inst the spe¢ifi¢ fund. The aim aod us¢ of each restricted fuJ]d is set out in th¢ notes to the finanwi41
st8t¢meryts.
1,4 Inco￿t
Incoine is recognised when the charity is leg￿lY entitled to it after any perfOrni￿¢¢ conditions have been me¢ the
amounts ¢an be measured reliably. and it is probable income will be ]t¢eiv¢d.
Cash donations are recognised on receipt. OthEr donations are reco8lli5ed ooce the Ch￿lty has 6Een notifi¢d of the
donation. unless ptrformance eonibrions rquire deferrat of the atDounl. Incom¢ tax re¢ov¢r8bl¢ in relation to donations
received linder GiftAid or dee(Lq of coveDaiit i5 ￿ognIsed at the time of the donation.
Le8aCLes ￿e rerognised on receipt or otherwise iftbe charity be￿ uotified of ￿ impendin8 distribution. the Ainount
15 known, and receipt is expected. If the arnount is not knowtL the legacy is ¢i¢atd &$ a contingeiit asset.
Int￿gIble in¢ome which represents th>Dated go(Kb and servicc5 i5 included ai the value to the ch￿lty only wh¢r¢ this can
be quantifi¢il and a third party i5 karing the cost. No amoutlts are itsrluded in the f￿anCial stst¢menis for services
dollated by volunteers.
page 7

BEXLEY SNAP
NOTES TO THE FINANCIAL STATEMENIS (CONT￿TED)
FOR THE YE4R ENDED 31 M4RCH2023
Accountlllg poiitlos
(Continued)
Revetiue grants fire recognised in fiill in the Statement of Finaiicial A¢iivities on the easlier of when they are received or
when th¢y are r￿e1vable. unless they relat¢ to a specific fucure periol in which cas¢ they are def¢rTed to that period,
Gr4nts for capiial purchases are crediied to restricted income when received. Depre¢iation of fixed assets pur¢h8sed wit
su¢h grants is charged againsi the restrict￿ or against a designated equipment fund where acquisirion of the asset
h&9 satisfjed the donorfs I￿tentiOnS. Where a fjxed Asset is dooated to the elwity for its own use. it is treated in a similar
Way io a r¢5tri¢ted grani.
Inv¢stment income, including interesl is Credi￿ ￿ In￿Me io the year in which li is receivable.
l.S Expendlture
Liabilities ar¢ recognised As exp¢ndiNr¢ as soon as there is a l¢gai or ¢onstnJ¢tiv¢ obligaiion committing the Charity to
that exp¢nditure, li 15 probable that a transfer of economic benefits will be required in sett]emen( and th¢ ainouiit of th¢
obli8&tion c2n be me&sured reliably.
All ¢xp¢ndiwre 15 accounted for on an aCcn￿lS basis and has bttD included under expense categories that Rggrega¢e
COSt5 for allocoiion ￿ activities. whe￿ costs cannoi be directly attributed ￿ partiC4Jlar activities they have been allocated
on a basis Consisient with t1￿ use of the resour¢¢$.
xpenditure on raising funds Comprises ihose costs incurred in seeking voluntary contributions end do no¢ include the
¢osi of disseminating information in support of the ¢harit8ble activities.
Govcrn8n¢¢ costs are tliose costs incurred iii conmecuon wi￿7 enabling the cliarity to coniply with external regulation,
constitutional and stsiutory requirements and in prtsvidin8 SUPPOrt ￿ the truslees in die dis¢har8¢ of their statiitory
duti&s.
Support ¢0sts are thos¢ in¢urrtd dire¢tty in supw ofexpenditure on the obj¢Gts of the charity and include project
maThageineDt. Support costs are allocated to 17undr8isin& Lrovernance 8Ad ChArttable Activities oil ihe basis of effort
¢xp¢nded by mallagement and *d￿j￿iStratiVe ￿aff on these adivities.
The charity 1$ not registered for VAT. Bxp¢nditure includes atiribut&l¢ VAT which eaThnot b¢ re¢owered.
1.6 JlltAllgible nxed xs$tts other th•D gogdwlu
Intan¥ibl¢ as5Cts aiquircd scparatcly fTom a bu5in¢s5 are Two￿15¢d at wst ar¢ sub%qu¢ntly measured 4t ¢ost1¢53
umulRted wJnortLsatjOD.
Amorttsation is rerosThi$¢d so as to writ¢ off the cost or V￿VatIon of &55¢ts le85 th¢ir r¢SIdu￿ values ov¢r their useful
lives on the following b&8es'.
Website
3 y¢Jr5
1.7 TaDgible fjx¢d •$J¢ts
Tangiblc fLxed &ssets are initiatly messured at cost and subsqutntty mea5UTed at C05t or vaJuatioJ4 net of depreciation
and any impatrment losses.
Depreciation is r¢¢ognised so os to writ¢ off th¢ ¢osi or valu&iion of assets less their residual valu¢s over their useful
lives on the following bas¢s'.
FUr￿ture. fixtures & fittings
Eqiiipmertt
Motor vehicles
5 y¢ar5
Comput￿S 3 yws, play equipment 5 ye4rs
8 years
page 8

BEXLEY SNAP
NOTES TO THE FINANCIAL STATE_MENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2023
Accountillg pollcle5
(Continu¢d)
The gllin or loss arL5in8 on the disposai of an asset is detemiined &8 the difference between the sale pr￿e£d5 and the
c￿rying value of th¢ asset. and is le¢O￿ls¢d in the S￿eThe￿t of fillan¢iai activitie5.
l.8 Cash And tgsh equTvAlettts
Cash and cash equivalents i￿]Ude c&8h In hand and deposits h¢ld at call with banks.
1,9 Flllamclol Initrum¢llts
The charity has elected io apply ihe provisions of S¢Luon I I 'B￿l¢ Fin&nciat InstnTh¢nts' and Section 12 '0ti)¢r
Finan¢1￿ InytrLLment5 Issu¢s' of FRS 102 1(F all of its fjnancial instrJJment5.
Financtal in5trLimerts are recognised in the ¢harity'$ balan¢¢ shttt wh¢n the charity becom¢s party to the contr&ctual
provtsions of the instrumeA¢.
B&sleJ7MuKclal ¢wets
Basic financial Jsjets, whi¢h include debwr8 cash 8nd bank b￿an￿$, art Initially me&8ur¢d at iransaction price
including transaction costs and are subsequendy carried ai amorused cost using the effective inr¢r¢st method unle.ls the
rrang¢m¢nt ¢onstitirt¢s a finan¢in8 ¢ransa¢tion, where the tratwiion is rnWu￿d at the pr¢s¢nt value of the futur¢
receiply discounted ￿ a mArkei rate of ini¢r¢5t. Financial assets ¢lwifLed ￿ teeeivable within one year are not
amortised.
Ba51c Jlnwiclalllrtbllliles
Basi¢ fin￿1cl￿ liabilities including creditors ore inifiaily Teco8nised at rran5aQion price. Financial liabili¢i¢s classifiod as
payable wtihin on¢ yegr are not arnortis¢d.
Trade creditors are obli8atioths to pay for goods or xervitts that have been a¢quired irt the ordinary course of operations
from suppliers. Amoiiiits payable arc classified as current libbilities if pa>'menl is duc within oiie year or less. If not, tliey
are preyenied as nonvcurrent liabilili¢s. 'I'rxde credilors are recognised ini¢ially at tratisdction PTi¢e and ¥ubsequerhtly
meAsiired at amortised cost Lisifi8 the effe¢rive interest method.
1.10 TgY8tiort
The charty is exernpt from ¢orporation atsd in¢om¢ thx its iticome is applied for ¢hJrit&ble purposes.
1.11 Employ¢t benents
The Lost of any unused holiday ¢ntiil¢m¢rbi is re￿gnISed tn the period in which the employee's serviees are r￿e1ved.
Termination benefjts Nrc rwo8nis¢d immediately as expens¢ when the charity is deinonstrably ¢ommitted to terminate
the employm¢nt of an employee oi to provide tcrminlltion benefits.
1.12 Retlrernent benefits
Payin¢nts to defined Contribution retirement b¢Thefit scherne5 are charged as gn expense ￿ they fall due.
1.13 Leosts
Rentals payable under ope¥8tin8 le&8es. where substantialty all of the ben¢fits and risks of OWtt¢T5hip remain with the
lessor, are eharged as w expense on a strai￿1 line basis over the term of th¢ relevgnt le4se.
page 9

BEXLEY SNAP
NOTES TO THE FINANCIAL STATEMEliTS (COINTThIED)
FOR THE YE4R ENDED 31 hL4RCH 2023
Crltleal aetountlng éstlnhate$ athd Judgements
In the application of the chATity's a¢¢ounling policies. thc TruSLttS arc r¢quired to make judgements, estimates and
assumptions about the carryin8 8mount of assets and liabilities ￿￿t are no¢ readily 8pparent from otlier 50urccs. llic
estimates and &*8ociat¢d as5UTnptions ar¢ based on bi$iori¢&l experience snd othcT factors that are considered to be
relevant.A¢tuaJ results tllay differ from these estimates.
The estimalcs iUMleTlying &s8umpuons are reviewed on an ongoing b4sis. Revisions to accounting estim8tes are
recognised in ihe period in which the c8tima¢¢ is revised where the revisioTh affe¢ts only that period, or in th¢ pcriod of
the Tevision and future periods where the revision Affects both ¢urr¢n¢ gnd fuiure period5.
Key yourcu ofeJtlmxtlorA utteertilnty
Allocatlort of 5ripport tosts
Th¢ ailocotiDn 8t￿ apportionm¢nt of support Costs is b&£ed on dirKt Costs expend￿ for each activity.
In the t￿￿tee5, jud8emcni no other material estimths hlve b¢¢D usa in the prepArntiOn ofthe fuwi¢ial 3ta¢¢m¢nt5.
poge 10

BEXLEY SNAP
NOTES TO THE FINANCIAL STATEMENTS {CONTIYUED}
FOR THE YE4R ENDED 31 AL4RCH 2023
Don#tlons Ind l¢gAcies
Unrestrlcted
ds
Rt6tricted
Tot*1 Unrestricted
funds
R¢stri¢t¢d
fi]nds
Total
21J23
2023
2023
2022
2022
2022
Donatlons and gifts
Gr8n¢5
46272
118.464
46.272
37,936
34,053
107.815
34.053
142,053
19.472
34,238
164,736
19,472
184.?08
141,868
34,238
176,106
Dortallons and glfts
Amazon Chorit4bl¢ Givinz
Aptx Lift5
Th¢ Childlwod Trust
141
14[
300
79
79
5,000
2.500
3Crf)
5,000
1,000
3,684
Cl￿P
Giv¢As Yw Eurn
3.684
.356
1,356
C1Twd Provinci￿ Lodge
Orecn PDint Gieen Lt&min8
Mts$oni¢ Ch•riiqbl¢ Foun<laiion
2,5(Y)
15(M)
2.000
2,5(H)
1500
1,000
BNI FOu￿rI￿n
WITgin mottey
Qlher
3.075
20,043
3.075
20,043
35,147
35,147
46,2n
46272
34,053
34,053
Grants r¢¢elv4bl¢ for core
aetlvlties
Loll(k)n BorouKh of B¥xl¢y
L¢u Talk
102,964
12,153
115,117
102,788
2.470
102,788
2,470
RUYHI Warront Hol(kn
A35QCiatio
SEC Found￿0
3,000
10,000
10.(KK)
Coronaviru8 Job Rtt¢niKin
SLheme
(k)n Youth
357
357
250
250
StJonL¢S'3 Pl￿¢ ChartiEbIe
Folindal￿Tr
Fr¢¢ SthwlActivity
Bexley CCG
J&ck Pet¢hey A¢h￿Ven¢￿t
Aw¥td5
2.500
2.500
12.288
20.000
11288
20,000
7J19
7,319
2.2(X)
1,700
3,900
118,464
19,4T2
137,936
107,815
34,238
142.053
page 11

BEXLEY SNAP
NOTES TO THE FIYAII'CIAL STATEMEKfs (COliTINUED)
FOR THE YEAR ENDED 31 AL4RC112023
PArent*l contrlbutious
Short BrtAkJ
Early Ye*
Total
2013
2023
2023
Par¢ntai ¢ontribiiiions
39.391
1,356
2,830
43,577
Analy5ls by
Unrestricted fwids
Restricted futhds
39.283
108
39,283
4,294
1,356
2,830
39,391
1,356
2,830
43,577
Short Bruk• Sports Early Yc•A
TotAI
ioiz
1022
2022
2022
Parental ¢ontribulioll5
33.433
34
823
34,290
An#lyyi¥ by fiind
Urw¢stri¢led funds
Restricleil funds
31,101
2.3J2
31,101
3,189
34
823
33.433
34
823
34,29Y)
Fundrilsitsg events
Unrtstrieted Unrestritted
fuNd$
fund5
2023
2022
Big Cive Campaign
4,194
2,097
page 12

BEXLEY SNAP
NOTES TO THE FINANCIAL sTATE.￿￿￿Ts {CO,NTTh'LTED)
FOR THE YEAR E￿I)ED 31 K4RCH 2023
lllvt$tmtnt ltttome
Unrestrlcted Unre5trl¢t¢d
fullds
funds
2023
2022
Int¢re3t receivable
2,117
56
Ralslng fvllds
UJLfestrltted Ullrtstrict¢d
fuJLds
fLtnd5
2023
2022
Fundr8isin8
Seekin8 donations, sronts and1¢8aeies
Other fundrwsins ¢03ts
Staff ¢ost$
Supwrt costs
431
29,900
17,7?6
9,654
253
7,760
1,399
Fundraising
57.711
9,496
57.711
9,496
page 13

BEXLEY SNAP
NOTES TO THE FINANCIAL STATEMENTS {CONTINLTED)
FOR THE YE4R ENDED 31 M4RCH2023
ChgrltAble aetfvffitie8
Sbort Bregks
Sport5 Earty Years
Totsl Short Break5 Early Years
2023
Total
2022
2023
2023
2023
2022
2022
Staff C￿ts
Activitie5
Bad debts
Bquipin¢nt &
Supplies
Legal & professiort
M18cellaneous
Office costs
Premises costs
Oiher Staff costs
Motor exp¢n6¢5
142.871
3,479
1,130
4.675
148,676
3.519
148.064
3,570
76
4,315
152,379
3,570
76
1,540
25
1,565
l.435
645
752
191
2,321
684
2,136
52
1,487
645
752
191
2,321
262
262
945
L,036
267
945
1,036
267
2,136
152,011
l.l70
4.700
157,881
159,874
4,367
164,241
Share of support
¢os¢y Isce note 91
Share of8overrtartce
sts {se¢ note 91
30.813
237
953
32,￿3
38,969
lJ63
40,332
,376
42
1,429
1.686
46
1,732
184,200
1.418
5,695
191,313
200,529
5.776
206,305
ADilysl$ by
fund
Unre8trittcd funds
RestrI￿¢d fiinds
135,010
29,190
248
1,170
395
5,300
155.653
35.660
158,417
42,112
809
4,967
159.226
47,079
184,200
1,418
5,695
191,313
200,529
5,776
page 14

BEXLEY SNAP
NOTES TO THE FINAryCIAL STATEMENfs (CONTINUED)
FOR THE YE4R EM)ED 31 J£4RCH 2023
Support costs
Support Costs Gov¢rDance
¢osts
2023 Support costs GovernAnce
sts
2022
Staff ¢o$ts
Depreciation
Operatiiig lease char8es
Activitics
Eqiiipinent & supplies
Lcgaj & proftssionai
Miscellanwus
OIYi¢e costs
PTcmi5¢s costs
Other staff coqts
Motor expens¢s
iO,(MX>
9,590
6,700
894
1,948
3.304
1,707
5.602
448
796
668
10,000
9.590
6,700
894
1.948
3J04
1,707
5.602
448
796
668
6,963
9.081
6,700
258
902
9.899
85
6,359
6,963
9,081
6,700
2S8
902
9,899
85
6 J59
1.182
302
1,182
302
Ind¢pend¢nt examination
Other 8overnatsce Costs
1,860
1,860
1.776
1,776
40
41,657
1,860
43,517
41,731
1.816
43,547
A11alysod between
Fundraising
Charitabl¢ p¢iivilie$
9.654
32.003
431
,429
10.085
33,432
1.399
40.332
84
,732
1,483
42.064
41,657
1,860
43,517
41,731
1,816
43,547
(h)vcrnan¢e Costs include5 pgyrnents to the ind¢p¢nd¢nt ¢iaminer of £l.860 (2022- £1.7761 for independent exomiThation
fee5.
10 Trnstees
None of the Trustees lor any persons contwthd with them) received ony r¢mun¢Tation or benefits from ihe chai'ity during
the ycar.
The Tru5t¢¢s ¢onsid¢r key management personnel cornprise the Trust¢es the DI￿tOr. The tot&1 ejnploytnent b¢nefits
(including employer pension contributions) of the key manogem¢Thl personnel were £53,928 (2022- £5? 344).
li
Employ¢¢5
The averag¢ monthly nwnber of rmploy¢¢s during the year WAS:
2023
Numb¢r
2022
Number
Full time staff
Part time slaff- full time equivalent
To¢&1
page 15

BEXLEY SNAP
NOTES TO THE FINANCLIL STATEMELYfs {COlYTtNUED)
FOR THE YDIR ENDED 31 h£4RCH2023
Employte5
(Contlnued)
Employment ¢o$ts
2023
2022
Wag¢s and 3aiaries
Social seciirity costs
Other pthsion costs
107,432
5,025
3,945
157,631
5,083
4,388
176,402
167.102
Th¢r¢ were no employees whose annual remunerntion wL% £60,000 or mor¢.
12
Intanglble fixed ajsets
Wthl
Coyt
A¢ l ApTII 2022 and 31 March 2023
600
Amortijatlott And Impairm¢n¢
At l April 2022
Amortjsoti¢)n ¢harged for the yeAr
200
198
Al 31 March 2023
398
CArrylng hmount
At 31 M¥¢h 2023
202
At 31 M8trch 2022
400
page 16

BEXLEY SISAP
NOTES TO THE FI￿ANCIAL STATEMENfs (CONTINUED)
FOR THE YEAR EM)ED 31 MARCH 2023
13 TAngible flx¢d issets
Furnlthr
Ilxmrts &
llrtiThtS
EqtslpJn¢Jt Moitsrvthk
ToiHI
Cost
At l April 2022
3,184
9J32
61.000
73,516
At 31 Maroh 2023
3.184
9,332
61.0(X)
73,516
Deprecixtlon ¥tlld Imp•irrnent
A¢ l April 2022
Dep￿lation charged in the year
l J88
598
7,450
1,169
26,688
7,625
35,526
9J92
At 31 March 2023
1,986
8,619
34,313
44,918
Cirrylng gmount
At 31 March 2023
1,198
713
26,687
28.598
At 31 March 2022
1,796
1,882
34,312
37.990
14 Debtors
2023
2022
Amounts fAIIIDg due wlthln one yexr:
Trade debtors
Other debtors
Prepaymcnts And oc¢Ned in￿rne
1,983
1,058
10,303
34,816
1,058
1,997
13,344
37,871
15 Creditor$: #mounts folllng due witknin one year
2023
2022
Nolt$
Other ￿KatiOn and S￿la1 securtty
Deferred income
Trad¢ Creditors
AccNals
3,002
2,536
32,934
4,383
2.578
16
282
1,860
5.144
42,431
page 17

BEXLEY SNAP
NOTES TO THE FINANc￿L STATEMENTS (CONTINUED)
FOR THE YE4R EKDED 31 AL4RCH2023
16
Deferred Ineome
2023
2022
Other deferred income
32.934
Deferr¢d in¢ome is incliid¢d in th¢ fuw)¢io1 follows..
Government 8rants r¢¢¢ivcd before 31 March 2023 relatill8 10 seryitts w be provided in the following financi81 y¢ar £nil
{2022'. £20,239).
Granis received from other or8anisatiotts before 3 l M8rch 2023 relating to serviees tts be provid¢d in the following
fillartcial year £nil12022.' £12.694).
17 Retfftr¢m¢nt benefit sch¢meJ
Deflned eontributlon ￿￿eM¢S
The charity eontribuies on a defined Gontribution basis tow¥ds persoiiai pensioi)s fot staff who h8ve ¢I￿t¢d to joiii the
Scheme, or are automatically eligible through autoeThrolmeni. The ￿Sets of the s¢h¢me are lield separately from thosc of
Ihe Ch￿lty. indep¢nd¢nily administered funds. 'fh¢ ￿nSIon ¢har8e r¢flecied in the Statement of Fin?Trci￿ Activiiie8
represeL)ts the amount payable by Ihe ¢harity to the pension scheme for the year.
The charge io profit or loss In r¢spe¢t of defined ¢ontribuiiort schemes was £3,945 (2022- £4,388).
page 18

BEXLEY SNAP
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YE4R ENDED 31 M4RCH2023
18 Re$trl¢¢¢d funds
The income funds orth¢ charity include resirr¢ted fi￿d5 comprisuig tlie following unexpended balan¢es of doi)ations dnd
grants held on trust for specific purposes..
Movernent Im funds
Re8D¥rtes
UPEllded
.Movemtttt ITh funds
IDcomiDg
Re50urct$
BiL4Thcc Al
¢xpcndrd 31 Mgrch 21123
B•l•D¢e ai
Aprll 2021
BIlAn¢¢ It
l ApJ41 Z022
reMur¢es
Jo¢k Petehey
Aw&rd5
Early Yearg
Project
London Sport
Lord's
TAvtrner5
minibus
London Youth
G¢tlin8
AciiN'¢ Sports
Progranime
Website
Bexley HAF
ProgT&nme
Bexley CCG
470
1.980
{692}
1.758
7,428
17,0341
2,152
10,682
1,833
823
14,9671
6,538
1.833
2,829
15.3001
11,8331
4,067
41,937
{7,6251
34.312
17,6251
26,687
730
,227
284
1.034
1.227
1256
11,1701
1,220
1,227
12,288
22,052
54
491
12,153
112,2071
(4911
{21.5611
56,899
37.427
{47.079)
47.247
23,766
(35,6601
33.353
Lord'$ Tgverners mlnlbus
l)uring 2018, the chari¢y was grateful to r¢r¢ive a minibus from the Lord's TaYtrner5. The donor requires that th¢ vehicle
must only be ￿ed for tran5POrtin8 disabled ckn'ldreij and youn8 r*ople, nor ¢wi it be sold by Ilexlcy Snap. Snap's own
¢on¢ribiition to the cost of th¢ minibus has been transferred itlto the fvnd. Th¢ initial valu¢ of the fund is based on average
Costs for such vehicles.
Jaek P*tchey Awsrd5
Tliis fund holds awards t￿e1ved from the Jack Pekhey Foundaiion, which ￿ expended on projects und activities
sel¢Gted by th¢ charity'$ beneficiaries.
EArly Ye*rs Project
A fvndraised dongtion from Baby Ball¢t Shine conthbuted toward8 the Cost of this seTYiCe.
Bexley HAF Progromnje
Represents funding received ￿ enable the charity to dEliver holiday clubs for children who are entiiled to free schix)I
m¢&ls.
A¢tlve Londollers ILfyndoD Sport)
Tho funding streams f¢Kusin8 on eneourngiog disabled young p¢opl¢ to be more arliY¢ through supported activitie5
Webslte
Funded by William Kendall - Investment itsto statT trai￿ing working with a website developer to Pr￿Juct a new website
the Snap team can maintsin
pH8e 19

BEXLEY SNAP
NOTES TO THE FINANCLIL STATEMENfs (CONTINUED)
FOR THE YL4R ENDED 31 AL4RCH2023
18 Restricted fuDds
(Contlnued)
B¢xl¢y CCG
Represents fuTrdit)g to enable th¢ charity to deliver a variety of different support to re4ngage children and young people
thrCovid-19.
don Yomth - Getting A¢tlvt Sports ProgrAmmt
PTovision of physical activity through a varicty of movement gatnes and sp
19 Dtsignated htnds
Th¢ Income funds of the Charity include the followin8 designated funds which have been set Aside out of unrestricted
funds by the iriijtees for specific purposes..
Movement ID
lund5
ILcornlDI
Ou￿t5
Movement in
fund
IDeOrnillg
BalAnct At
ourc¢# 31 MArcb 2023
l April 2021
l April 2022
Capital reserve
Investsnent flind
Exi¢ 5tral¢8y
1,500
43.426
20.000
1.500
43,426
20,000
1,500
43,426
20,000
64,926
64,926
64,926
CgpltAI Res¢rv¢
This fund holds th¢ funds desi8nAknI by Snap's MAnagement Committ¢¢ for future expendimre on capital ¢quipment
nec¢Js4ry t¢1 pruvide continuity vf s¢rvic¢s
Inv¢8tment Tr'und
Diiring th# year ending 31 March 2005, o le8acy was received from the eg¢ate of Mrs Nelhe Adelaide John80n that of
her son, Mr Mauric¢ All8n John50n. rhe NI￿n￿¢M￿l Committce dKidd that £IOQ.000 shoiild bc held in on investinent
fiind. in lxder to provide some annual income for Charitable artivities Attd to protect the vajiie of the capital. The I'und Is
held in reservc for unforcsccn ctncrBcnci¢s and i5 U5cd lo ￿UrE financial stability of thc chaJity'B opcratlOllS> Particularly
wherc funding shortfills occur. It is also used to fund the st&rt-LkP Costs of new projects and initiatives.
Exit Strategy
This fund been desÉ8nated by the Mana8¢ment Cornmittee for use only in th¢ ¢ven¢ of Snap's fvndin8 drying up to
Such an cxtcnt that it lo downsize substantiajty or Can no longer continue to provid¢ services and th support fwnili¢s.
It comprises statutory redundancy pdym¢nts only.
page 20

BEXLEY SNAP
NOTES TO THE FINANCIAL STATEMENTS (COlNTI￿lIED}
FOR THE YE4R EWDED 31 MARCH2023
20
Allthly$ts of ttei *ssets between fund5
u￿r￿tricted Desigrtated R¢strlcted
funds
fuods
fund$
2023
2023
2023
Total
2023
Fund balances ai 31 MaTch 2023 hre represent¢d by:
Intangibl¢ fixed ￿sets
Trngible assets
Current 85sci￿lI1abl11tItSj
202
1.911
66,076
202
28,598
139.668
26,687
64,926
68.189
64,926
35,353
168,468
Unrestrleted Designated Restrleted
runds
funds
funds
2(122
2022
2022
TotAI
2022
Fund b&lan¢es at 31 March 2022 are represented by..
Intangible fixed asyrfs
Tangible ￿$¢1$
Current assetsllliAbiliiiesl
400
3.678
67.145
400
37,990
145.006
34,312
12,935
64,926
71.223
64,926
47,247
183,396
21 Opertstlng k#$t eommltm¢nty
Lessee
At th¢ reporting cnd d￿e the chftrity had outstandirbg ¢omrnitm¢nts f￿ futtwe minimum lease payments under non-
cAn¢ellabl¢ operating Icascs. which fail du¢ ￿ follows..
2023
2022
Within one year
6,71X)
3,350
22 RelAt¢d PArty trwnsxctioD8
There were no dI￿]050b[e related party tr￿￿￿¢tiOnS durin8 the year12022 - nonel.
page 21