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2023-06-30-accounts

COMMUNITIES WELFARE NETWORK

Supporting needs and improving lives

ANNUAL REPORT

2022-2023

CHARITY INFORMATION

Board of Directors

Chairperson Felix Wohi Vice-Chair Sister Henriette Mahan Treasurer Beugre Jacques Ndouba Secretary Miss Yllo Aya Kohi Vice-Secretary Mr Frabrice Kragbe Vice-Treasurer Miss Lydie Sykely

Registered Address 49 Camberwell New Road London SE5 0RZ

Correspondence Address 37 Chapel Street London NW1 5DP Email Address cowelfare.net@gmail.com Twitter @Network_Welfare Company N0: 05199047 Charity N0: 1167437

1

CONTENT

Items Pages
Directors Report 3
Aim and Objectives 4
Financial Review 5
Activities & Outcome 6-8
Financial statement 9-14
Independent Examiner 14

2

DIRECTORS’ REPORT

The Directors present their report and the financial statements for the year ended 31 of March 2023

The Communities Welfare Network (CowNet) was established in 2003 as a charitable Community Organisation and a company limited by guarantee.

The organisation is based in London supporting the needs of disadvantaged people from minority communities, particularly, Asylum seekers, Refugees migrants, displaced people from their country of origin because of war, victim of violence, political or religious beliefs, intimidation and threat to their lives.

Most of the organisation’s activities are focused on tackling poverty, social exclusion, capacity building of the communities and welfare support services.

3

AIMS AND OBJECTIVES

The aims and Objectives of the organisation are:

The advancement of education and the tackling of causes of poverty affecting Minority Communities throughout Lambeth, Southwark and Westminster.

And the aim is achieved by carrying out the following activities:

4

FINANCIAL REVIEW

This Financial year we had unrestricted income of £18,020 and restricted income of £39,686. Total income was £57,706. We had a surplus of £773 on the unrestricted income and £2331 surplus on restricted income. Income brought Forward from previous year amounted to £34,330, giving a total of £37434 carried forward over the period 2023-2024. The charity had unrestricted reserves of £14835, and restricted reserves £12200 to continue pending projects. At the end of 22/23, total Reserves was £27035.

Public benefit statement

In shaping our objectives for the year and planning our activities, the trustees have considered clause 17 of the Charity Act 2011 and the Charity Commission’s guidance on public benefit.

The above achievements demonstrate the public benefit arising from the Charity’s activities.

Risk Management

The trustees have assessed the major risks to which Communities Welfare is Exposed and are satisfied that the systems are in place to mitigate exposure to the major risks including risk assessment, maintaining a risk register, which is reviewed annually.

5

Activities For The Period 2022-2023

Employment Support Services

The employment support services targeted people who are not in employment and self-employment. We delivered one to one service at the centre and telephone advice sessions. The activities included CV building and job interview technic sessions, basic IT skills training, online Job applications and voluntary job placement. The programme benefited 24 people.

Advice and Support Services

The organisation’s advice and support services covered the following areas:

We delivered one to one advice and information sessions and made 14 referrals to specialist. About 48 People benefited from the activities

English Skills (Esol Project)

The organisation has delivered ESOL (English for Speakers of other languages) at pre-entry level and Entry Level 1 for 14 refuges and asylum seekers.

The aim of the activities was to improve migrants, refugees and asylum seekers’ English skills and facilitate their integration into the wider community and entry into part or full-time employment.

6

Rising Living Cost Support Services

We run important support services to people affected by the rising cost of living so that they can survive, improve their confidence and resilience.

We assisted about 44 people mainly from minority communities through food and essential items supplies, domestic works, befriending and interpreting services.

Achievement and Performance

7

PLAN FOR 2023-2024

We will support about 28 people in this programme to improve their skills and employability chances.

We aim to support about 21 children in need from poor families who have no alternative.

8

FINANCIAL STATEMENTS

Unrestricted
Restricted
2023
£
£
Grant receivable (1)
39686
39686
Fundraising & Donation
9800
9800
Membership
320
320
Centre rental fees
7900
7900
Total Incoming Resources
18020
39686.00
57706
Resources Expended
Salary & Wages
7600.00
7600
Sessional Trainers Cost
3400
4500.00
7900
Rent & Rates
3260.00
13800.00
17060.00
Heat/Light/ utilities
3300.00
3300
Insurances
340.00
340
Telephone Internet & Fax
1800.00
970.00
2770.00
Post/Stationery
520.00
520
Printing & Publicity
855.00
855
Delivery cost and travel expenses
760.00
340.00
1100.00
Accountancy cost
220.00
220
Refreshment
380.00
120.00
500.00
Volunteer Cost
3300.00
3300.00
Depreciation Charge
967.00
967
Maintenance & Repairs
220.00
300.00
520
Administration Cost
400.00
300.00
700
Food Bank & Essential Items
4100
4100
Equipment
2300.00
2300
Fundraising cost
240.00
310
550.00
Total Resources Expended
17247.00
37355.00
54602
Net Incoming Resources
773.00
2331.00
3104
Total Funds at 1 April 2023
773.00
2401
3104
Fund B/F
34330
Funds Carried forward at 31 March 2023
37434
Unrestricted
Restricted
£
£
39686
9800
320
7900
Unrestricted
Restricted
£
£
39686
9800
320
7900
Unrestricted
Restricted
£
£
39686
9800
320
7900
Unrestricted
Restricted
£
£
39686
9800
320
7900
2023
39686
9800
320
7900
2022
54200
5800
276
3900
2022
54200
5800
276
3900
2022
18020
3400
3260.00
1800.00
760.00
220.00
380.00
3300.00
967.00
220.00
400.00
2300.00
240.00
39686.00
57706
7600.00
7600
4500.00
7900
13800.00
17060.00
3300.00
3300
340.00
340
970.00
2770.00
520.00
520
855.00
855
340.00
1100.00
220
120.00
500.00
3300.00
967
300.00
520
300.00
700
4100
4100
2300
310
550.00
64176
13600
10060
15800
2300
340
2180
560
740
1744
1300
440
3890.00
523
390
676
4320
37355.00
54602
2331.00
3104
2401
3104
34330
37434
58863
5313.00
58863
5313.00
29017
37434 34330.00

9

BALANCE SHEET FOR THE YEAR ENDED 31/03/ 2023

Current Assets

Cash receivable 30434 36236 Current Liability Creditors -6300 -3500 Total Net Assets 27035 34303 Funds Restricted 12200 18983 Unrestricted 14835 15320 Total 27035 34303

For the year ending 31/03/2023 the company was entitled to exemption from audit under section 477 of the Companies Act 2006 relating to small companies.

The members have not required the company to obtain an audit of its accounts for the year in question in accordance with section 476, the directors acknowledge their responsibilities for complying with requirements of the Act with respect to accounting records and the preparation of accounts these accounts have been prepared in accordance with the provisions applicable to companies subject to the small company’s regime.

Signed on behalf of the board of Directors

Felix Wohi - Director

Signed: ----------------------------------------

Date:-----30/10/-------------------------------2023

NOTES TO THE ACCOUNTS (1)

Notes to the Accounts for the Year ended 31 /03/ 2023

Accounting policies

The financial statements have been prepared under the historical cost convention, as modified by the inclusion of fixed assets investments at Market value, and in accordance with applicable accounting standards and follow the recommendation in the statement of SORP 2011 and company law 2006.

1. Grants

Grants are recognized in the statements on accrual basis following the satisfaction of any preconditions.

2. Depreciation

Provision for depreciation of fixed assets held for use by the charity is made at an annual rate calculated to spread the cost of the assets over its expected useful life. The depreciation charge rate in use is 25% on reducing balance method.

3. Restricted Funds

Restricted funds are grants awarded for specific projects and cannot be used for any other project. We apply this rule strictly.

Reserves Policy

The organization ’s reserves policy is to maintain a level of unrestricted and undesignated reserves equivalent to 3-6 months' turnover

11

GRANTS RECEIVABLE (2)

CityBridgeTrust 7500
Together London 9936
Seven FriendsFoundation 5050
FoyleFoundation 4000
AllianceFamilyFoundation 3700
LondonCommunityFoundation 5000
Westminster Amalgamated Charity 4500
Total 39686

12

DEPRECIATION OF FIXED ASSESTS (3)

2023 2022
At the beginning of the year 1568 2091
Addition 2300 2091
0
At the end of Year 3868
Depreciation
At the beginning of the year 3868 2091
Charge for the year 967 522.75
Accumulated Depreciation 3006 2613.75
Net Book Value 2901 1568.25

13

DIRECTORS’ RESPOSIBILITIES

Company and charity law requires the Directors who are also the charity trustees, to prepare financial statements for each financial year which give a true and fair view of the state of the affairs of the company and of the results of the company at that period.

In preparing those financial statements, the directors are required to: Select suitable accounting policies and then apply them consistently; Make judgments and estimates that are reasonable and prudent; State whether applicable accounting standards have been followed, subject to any material departures disclosed and explained in the financial statements.

Prepare the financial statements on the going concern basis unless it is inappropriate to assume that the company will not continue on that basis.

The directors are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the company and enable it to ensure that the financial statements comply with the Companies Act 2006.

They are also responsible for safeguarding the assets of the company and hence for taking reasonable steps and detect fraud and other irregularities.

Signed on behalf of the board of Directors

Felix Wohi - Director

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30/10/
Signed: ----------------------------------------Date:------------------------------------2023
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14

INDEPENDENT EXAMINER’S REPORT

I report on the accounts of the company for year ended 31 /03/ 2023 The trustees (who are also the directors of the company for the purposes of company law) are responsible for the preparation of the accounts. The trustee consider that an audit is not required for this year under section 43(2) of the company Act 2006 and that an independent examination needed and that the Company qualifies as a small company under the company Act 2006.

It is my responsibility to carry out procedures designed to enable me to report my opinion. My examination was carried out to ascertain that the accounting records kept by the charity are in accordance with the accounts presented with those records and that no unusual items or disclosures in the accounts come to my attention.

EXAMINER’S STATEMENT

The financial statements are in agreement with those accounting records kept by the company under section 386 of Companies Act 2006;

Having regard only to, and on the basis of the information contained in those accounting records, the financial statements have been drawn up in a manner consistent with the accounting requirements specified in section 396 of the Companies Act 2006 and with the methods and principles of the Statement of Recommended Practice 2011

23 / 09 / --------------------------------------------- Date --------------------------------------2023

Mr Yoboue Richard Community Accountant 5 Prescott House London SE17 3PH

15