Retered Clwity No - 1167395 Good to Give Back Trustees, Report and Accounts For the Year Ended 31 December 2024
TRUSTEES? REPORT AND ACCOUNfS FOR THE YEAR ENDED 31 DECEMBER 2024 CONTENTS PAGE Legal and Administrative Details Trustees, Report Statement of Financial Activities Balance Sheet Notes to the Accounts IIP3ge
REFERENCE AND ADMINISTRATIVE DETAIIS OF THE CHARITY. ITS TRusfEES AND ADVISEKS FOR THE YEAR ENDED 31 DECEMBER 2024 Tr$1¢ Ms Carol)Tr Brown 2. Mrs Delores Stewart 3. Miss Sh?rlene Brown 4. Michael Stewart 5. Angella Morrison Cbarlty reglitered Nrnber 1167395 Date ofehrltable reglstratiOII 31 May2016 Prittcipl oifrte addrtss GOODTOGIVE BACK 50 Si. ErVa Road W105QT Seerttsry Ms Carol Brown Banker5 HSBC Baok 21Page
TRUSTEES, REPORT FOR THE YEAR ENDED 31 DECEMBER 21124 The Board of Tnisle¢s. who ore th¢ tnLStees for charity law pOse$, submit their annual report and the rinancial slatements of Go(Ml To Give Back foT the year ended 31 December 2024. The Board of Trustees Cotthrnis that the annual report and fjtkancial statements of the ChaTity comply witb cwrcnt staiutory requtrements. the requirements of the Charitvs governing document and the provisions of the Statement of Recommended Prnctice (SOBTr)'Accounting and Reporting by Charities (revised 2005),. Strueture* governance attd management The 3 Trusteos are: Ms Carolyn Brown 2. Mr¥ D¢loS Strwart 3. Miss Sbarl¢ne BTown 4. Michael Stewart 5. Amgella Mols0n The TnLee$ play a primary role in ¢%rIng good govctnance and functioning of ihe foundation. The Board's role. lunclions and responsibilitics arc quitc clcarly dcfinol. The CharAty cuffenily has a dedie2ted te2m of Advisory board mefflbers in the UK who have help¢d to secure fancIal support and contiibute to th¢ futu plalltiing of the orgdnisation. GoverDing document: Go(Ml To Give Back 15 an CIO Foundation forn)ed on 31 May 2016 and rcgistered as a charity on 31 May 2016. Re¢ruitment and appoiolment oftrusttts: Thtt memiKrs of tbe General Trustee Bo8rd arc trustccs for the purposes of charity law. New trust¢¢s Y be appointed by rc501ulion of a meeting ofthe Injstecs. Much ofthe charity's work focuses upoll the promotion of the Christian religton and ihe nvming and maintenance of its plucos of worship. The Generdl TTUSt¢e Board seeks to Cll5urc that the needs of this group are appropriately Icflected thmugh thc diversity of the trnslee body. To enhance ihe polential pool oftrustee4 the charityh4 through SelectVe vertising and networkiDg with voluntary org2ni¥alions acttve in th¢ sector. sought to identify those who would be willing to become membcrs of thc charity and vs¢ thcir own experience to 2S51St the cltarity. Rlsk Man?g¢ment: We are committed to a policy of identtfyin& monitoring and managing the risks that might advetsely affect the activiltes in which we are involved. In ihis contexL risk As defined as the potenlial to fail to achieve charity objectives for loss, financial and rcpulational. inherent An lh¢ cnvironment in which wc operate in th¢ nature of th¢ trdnsactions undertaken. The principle risk of the charity has been its dependence on voluntary income. Trust¢¢s have initial¢d various presseS to mitigate such risk, so that the ehaTity has suificient reserve in the event of adverse condition(s). The tnistees have also examined other operational and business risks which they face and confirni that they have tak¢n st¢ps to mitigate the si8nificant risk& TRUSTEES. REPORT 31Page
FOR THE YLR ENDED 31 DECLIiBER 21124 . Public Benefit: The TnLStees have Complied with the duty in Section 4 of the Charities Aci 2(Ki6 and havc patd due Tegdrd to publi¢ benefit when preparing this reporL The benefit provided to the public is nSist¢llt with the aims of th¢ clwity in UK Objectlves and a¢tlvities: (l) The preventson orrelief of poverty in London and wi(krpaTts of the United Kingdom by pn)viding ilems and services to individuals in need andlor charities or other organi3ation4partnets working to relieve povety. (2) To act as a resource lor young people living in London Borougk8 and wider patls of the UK by pmvidiDg Advice and assistsnce and organising prngrammes of physicaL educaiional and other activitie5 as a meaas olpToviding recreational and leisure titne activity in the interesi of social welfare for people living in tbe area of benefit who have need by roson of their youd4 ag4 infirniity or disability. poverty OT social and economic clrcutnstaCS WAth a view to iti4>zovins the conditions of life of such perso (3) To promote equallty atrd dtversily withiti wr progra15 b>? (A) The elimination ofdsscrlmirn on th¢ of race? gcnder, disability. sexual orientation or religion: (B) Promotin8 a¢tivities to foster understsnditig between people from divetse baek8rth5. Fin2Dcial revlew: The largest conlribution to the charity for the year came from donation5 rffeld ftom Ial churckn The charAÈy b&s be8uD its c]JAritable activities from May201& Th¢ Charity ¢utrently ain to designate the iotal fund r¢¢eived Itss ¢xpcnsc5 for the main )bj¢¢tiv¢ of the charity. s for future perlods: The Charity pla to develop Tfdrious fundrdisiDg stratrgy to include rna marketin& Besides mass marketing arfftd events. the ¢Ity is aiming to achieve its targ¢ts thmugh securing donations from willing individual& A development board may be Creed io help include otheravenues of fuo(hisillg to be includAI in the )r2rly St2tement of Board OrTntte9, respoBsiIMlitfi The Board of TTUStees are tespotLsible f(r prepamg the AnJual Report and the fitwKial $tst¢m¢nts in accordance with applicable law and United KIn10M GetternllyAcceptcd Accounting P1¢e. Charity Jaw applicable to ¢harities in EDgl4nWWales requiTe5 the Board of TnLSte¢s ro Prep fjnancial statements for ch financial yeaT which giv&8 a tnK and far View orth¢ stat¢ of affairs of the Cliariiy alld ofthe surplus or deficit of the Charily for that p¢rird ]n preparing those sta(em¢nLs th¢ Board of Tne$ baY¢: Sele¢teAI suitsbl¢ accowilin8 policies and applied them consiSteDtIy. Made judgments and estimates that are reasonable and pNdenL Stated whether applicable acciHmting Stand¥ bave been followed subject to anymatffial dep8meS dis¢losed and explained in the fllBncAal strtemen and Preparcd the fllwicial slatements ona going Concern bu515 (unless it is iDapproprAate to prtsume that the Chaiiry will con¢Trnv¢ Opernti}. TRUSTELY REPORT 41Page
FOR THE YEAR ENDED 31 DECEMBER 2024 The Board of TnLSte&s h&s overall responsibility for etwittg that the Charity has an appropriate system of controls, financial and otheTw&se. They are also responsible for keeping proper accounting records wbi¢h diselose with rOllable accurncy at any time the financial position of the Charity and enable them to ensure that tbe fuwicial statements Comply with ih¢ CbaTiti¢s Act 1993. They are also responsible for safeguardiDg the assets of the Chariiy and hence for takitTrg reasonable steps for the detection and prevention of fraud and other irregularities. The Board of Tnte¢S is reSpo41ble for the maintenance alld integrity of the ¢orne and r]nancial ittfomtstion. Legislation in ihe United Kingdom governtng the prepardtion and dissemination of financial statements MAY differ from legislation in other jurisdictions. Statement of disclosure of infomtstion to independent examiner Ive. &% tbe Ttustees of the Charityvibo held office at the date of approval of these financial statements &8 set out OD page 2 each confwn4 so far os we are awar< that: There Rs no relevant information of which the charItS independent examiner ar¢ unawaTt' and we havc tkken all the st¢ps tl)at we ought to bave t2ken as Tnistees in order to make ourselves aware of an) relevant infoTmation and to tblish that the char&ty's independent cxarniner is aware of that tnfornwtion. Independent Miner. The Charitqs indep¢ndcnt cxawnincr. NF Financial Solutions Ltd Clo G(M)d to Give Ltd. h&s indicaled Iheir willingness to offer Ih¢ms¢IS for appointment. This rcport was approved by the Trustees on and signed on their behalf by: Ms C Brown Date . (£LoqLTroL5 51Page
sTATE]ENT OF FINANCIAL AcfIviTIES FOR TIIE YEAR CNDED 31 DECEIIBER 2024 Unrestrteted Restrieted T•tal Funds Total Funds 2024 2024 2024 2023 ID¢ornIDg ruo¥rtes Gtft Ahl Total IDttsthlog ttsmrra ReS0ve expeDded 55 161 240 Totsl Reurl cwded 55 401 MVYr¢nI fiuME forthe 1401) For th¢ye4r 4fA LO92 61Page
BALANCE SHEEr AS AT 31 DECLIIBER2024 2024 2023 FIXED ASSETS Tangible CUEiRENf ASSETS rkbto Cash at baDk 39.017 49.051 39.017 49.051 CREDrroRS: fallitig dC withn one ycar 30980 41K959 NET CURRENT A&SETS 8,037 &092 NET AssErs &037 &092 CHARITY FUNDS 037 &092 Rcstricted fw TOTAL FUNDS 037 &092 The financial statcmcnts wcre approved by the Tn¢¢5 on 8TrJ signed on thcir bcha]f. by. Ms C Brown Date: /5101/3c)2g The notes on page 9 forn? part of these finala1 slatements 71Page
FOR THE YEAR ENDED31 DECEMBER 2024 ACCOUNTING POLICIES Basls of preprdon or riuanclal •tatements Thc financial ststcmcnts havc bccn prq)arcd undcr the historical cost convention. witb the eKceplion of invcstmcnts which are included at marker Tfdlue. and in a¢¢ordanLZ with the Fillala1 Reportsng Stsndard for Snuller Entities (e(fedive ApTiI 2(M)8). The stsl¢ments hav¢ bccn prcwed in accoTdance with the Statement of Re¢ommended Practicc (SORP). 'Accounlin8 and lieporiin8 by Clwities. published in December 2005 and applicable accounting slandanl& 12 Fund Atcovntlllg G¢t]ernl fun(L8 arc unrestricted funds whi¢b gre available for use at the discretion of th¢ Trusttts in funh¢rancc of ih¢ gcnernl objectives of the charity and wltich have not been designaled for other purp05CS. Restricted fund5 are which are to in accord¢ with specific restriclions imposed by donots or which havc b¢¢n rdi5ed by thc charity for particular pu4)ascs. The costs of raising and adminisieting such funds are charged against the specific fund. The ain) and of ¢4ch r¢stri¢t¢d fund arc 5¢t out in the llOs to th¢ fuwa¢ial 5tylcraiIY. IJ In¢omlDg resourcej All incoming rtsources are included in the Ststement of activiiies wbcn ibe cbarity ¢niiil¢mcnl to ihe fund& certainty of reecipi and th¢ aUnt cao be measurcd with sufficienl reliability. Donated scrviees or facilities, whieh compris¢ donat¢d scrvIc are tncluded in income at a valuatiL)n which ts an ¢5111¢ ofthe fujallcial cost borne by the donor wh¢T¢ sh a cost is quantifiable and MsUMble. No InMe is re¢o8nised where there is no financial cost borne by a third party. Income lax rccovcrable in relation to donations r¢¢eiv¢d under Gift Aid or deed8 of (ov¢nant is rccogmised ai the time ofthe donatio Resoureeg expended ExF¢nditurc is accounted for OD an accnjals basis and h&s Ix¢n iDcluded under expe categoties that aggree all costs for all(tion to activities. Where costs cannot be dir¢¢tly allribuled to activiti they have been all(uted on 4 ba51s con51SteDI with the use ofih¢ Fundraising costs Bre those incued in seeking voluntsry Contributio and do nol include the costs of d1Minating informalion ID SUPPOrt of the charitable activitie5. Supw)rt costs are those costs incued directly in support of expendittsre on the objccts of the charity and include project management Carried out at Headquarters. Governance costs are those inelled in conne10n with 2dministtatiott of the eharity and compliance with CotitutIol and statutory requiTemeDI& Grants paydblc arc chargcd in thc )rar wh¢n the offer is madc cxccpt in those wes where the offtt is conditional. such grants iKing recognisejj as expettditurc thc conditio attaching are fulfillL GrJnts offcrcd subject to condiiiOJlS which have llot 1c met at the yearend oTr noted as a commilmenL but not acCnd as expenditu. 81Page
TRuEEs EXPENSLS There were no Trustee expenses patd for the year ended J l December 2024 (2023: Nil). CREDITORS 2024 2¢J23 Amount falling due within one year: Payments made to charities by GLNJd to Give Ltd A¢crua15 (governauce LX)St) 30,980 40229 730 91Page