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2022-07-31-accounts

Crewe Youth Club

Accounts for the Year Ended

31st July 2022

Charity Number 1167350

Crewe Youth Club

Registered Charity Nos 1167350

Accounts for the year ended 31st July 2022

Index

1 Trustees report 2 Balance sheet 3 Statement of financial activities 4-5 Notes to the accounts

1

Crewe Youth Club

Trustees report on the Accounts for the year ended 31st July 2022

From its inception in 1961 the Trustees of Crewe Youth Centre (and then Crewe Youth Club) saw their role to manage and run a traditional youth club. The original youth club stood on land at Mirion Street and was a well-known landmark in Crewe. In 2014 the building was destroyed in a fire. Since then, the Trustees explored a number of avenues to re-build it as a youth club. However, the award of the Towns Fund bid to Crewe has caused us to stop and reflect on how we go forward. The Towns Fund bid has allocated significant funds to Onside to build an £11 mio Youth Club at Oak Street. This renders another youth club at Mirion street unnecessary.

The Trustees have reflected on this and we have sought alternative ways to meet our Trustee obligations. We have decided to develop the land we own at Mirion Street in two phases, working with other organisations who share similar values. Phase I is to develop 50% of the site with the South Cheshire Amateur Boxing Club ('SCABC'). Success in the Town's Fund bid (awarded £600,000) and grants from YIF mean we have been able to start to develop a programme of work to deliver a new gym building for SCABC. These accounts reflect the start of the work on that programme, developing designs and starting the process of achieving planning consent.

We have no debt and are establishing regular fund-raising actions which will support our project development. The Trustees are focussed on delivering the new boxing gym and are optimistic about the development of the Mirion Street site.

2

Crewe Youth Club

Balance Sheet

As at 31st July 2022

2022 2022 2021 2021
Fixed Assets Notes £ £ £ £
Tangible assets 2 56,206 56,206
Current Assets
Debtors and prepayments - -
Bank 3 20,744 10,298
Cash 30 30
20,774 10,328
Current Liabilities
Creditors 4 - 1,620
Net Current Liabilities/Assets 20,774 8,708
Total Assets Less Current Liabilities 76,980 64,914
Net Assets 76,980 64,914
Funds
Unrestricted fund 5 66,980 64,914
Restricted fund 6 10,000 -
76,980 64,914
Approved by the Trustees on and signed on their behalf by:-
--------------------------------------------- Trustee
Insert name of Trustee

Crewe Youth Club

Statement of Financial Activities

For the Year ended 31st July 2022

INCOME
Rent and hire fees
Fund raising events
ACTIVITIES FOR GENERATING FUNDS
OTHER INCOMING RESOURCES
Cheshire East Borough Council Grant
Restricted Funds
EXPENDITURE
Insurance
Release of accountancy provision
Legal fees - re sale of land at Mirion street
Restricted Expenditure
SURPLUS (DEFICIT) FOR THE YEAR
£
750
-
2022
£
750
1
10,000
10,751
10,000
305
1,620
-
-
1,315
-
nil
12,066
£
500
-
2021
£
500
-
500
419
15
434
66

Crewe Youth Club

Notes to the Accounts

For the year ended 31st July 2022

1 Accounting policies

Accounting convention

The financial statements are prepared under the historical cost convention and under the accruals basis of accounting.

Donations, legacies, gifts, Grants receivable and other income

Are credited as income in the year in which they are receivable.

Tangible fixed assets

Individual fixed assets are capitalised at cost and depreciated over there useful life.

Equipment 20% reducing balance basis

Fund accounting

Funds held by the charity are either:

Unrestricted general funds. These are funds which can be used in accordance with the charitable objects at the discretion of the Trustees.

Designated funds. These are funds set aside by the Trustees out of unrectricted general funds for specific future purposes or projects.

Restricted funds. These are funds that can only be used for particular purposes within the objects of the charity. Restrictions arise when specified by the donor when funds are raised for particular restricted purposes.

2
3
4
5
6
Fixed Assets
Freehold
Property
£
Cost
At 1st August 2021
56,206
Disposals
-
At 31st July 2022
56,206
Depreciation
At 1st August 2021
-
Disposals
-
At 31st July 2022
-
Net book value
At 31st July 2021
56,206
At 31st July 2022
56,206
Cash
Bank
Cash
Liabilities- amount falling within one year
Accruals
General Fund
Brought forward 1.8.2021
Net movement in funds
Carried forward 31.7.2022
Restricted Fund
Brought forward 1.8.2021
Net movement in funds
Carried forward 31.7.2022
Equipment
£
-
-
-
-
-
-
-
-
2022
£
20,744
30
2022
£
-
-
2022
£
64,914
2,066
66,980
2022
£
-
10,000
10,000
Total
£
56,206
-
Total
£
56,206
-
56,206
-
-
-
56,206
56,206
2021
£
10,298
30
2021
£
1,620
1,620
2021
£
64,848
66
64,914
2021
£
-
-
-