OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2021-08-31-accounts

North East Essex Chris.an Youth Outreach Trustees report and accounts for the year to 31st August 2021

Registered charity number 1168047

North East Essex Chris.an Youth Outreach Index to accounts

Legal and administra.ve details page 2
Trustee report page 3
Independent examiner’s report page 4
Statement of fnancial ac.vi.es page 5
Balance sheet page 6
Notes to the accounts pages 7 -8

North East Essex Chris.an Youth Outreach Legal and Administra.ve Details As at 31st August 2021

Registered charity number 1168047

The charity is cons.tuted as an Charitable Incorporated Organisa.on The charity is cons.tuted as an Charitable Incorporated Organisa.on
Trustees Nick Wright
Lesley Walder
Revd Graeme Ross
Revd Geof Felton
Director Tim AbboV
Registered Address Elim Chris.an Centre
Clema.s Way
Colchester CO4 3PY
Bankers CAF bank
25 Kings Hill Ave
Kings Hill
West Malling ME19 4JQ
Independent examiner Neil Loxley Accountancy Services
39 Shakespeare Road
Lexden
Colchester CO3 4DE

Page 2

North East Essex Chris.an Youth Outreach Report of the Trustees for the year to 31st August 2021

The Trustees present their annual report for the year ended 31 August 2021

The accounts have been prepared in accordance with the accoun.ng policies set out in note 1 to the accounts and comply with the charity’s governing document, the Companies acts and the statement of recommended prac.ce “accoun.ng and repor.ng by Chari.es”.

Structure Governance and Management

The Charity was established as a Charitable Incorporated Organisa.on (CIO) on 1 September 2016 being a successor to a charity of the same name registered by the Charity Commission on 29 October 1993. Under the cons.tu.on the power to appoint Trustees, of which there shall be at least three, is vested in the exis.ng Trustees.

The trustees who served during the year were:

Nick Wright Revd Graeme Ross Lesley Walder Revd Geoff Felton

Summary of CIO Objec8ves

The objects of the CIO are for the public benefit and are carried out in accordance with Chris.an principles and as an expression of Chris.an faith and without dis.nc.on of race, sex, poli.cal, religious or other opinion and are restricted to the following:

• To advance the educa.on of the public, par.cularly but not exclusively children and young people, through the provision of personal development courses, teaching resources and ac.vi.es that develop their physical, mental, spiritual and moral capabili.es.

• To provide relief primarily to children and young people in need by reason of mental or emo.onal distress, hardship or suffering, in par.cular by the provision of advice, guidance and support.

• To advance the Chris.an religion by helping members of the public grow in their understanding of the Chris.an faith and values.

During the year under review this has been carried out by receiving and using dona.ons, and offering services and training to schools churches, ins.tu.ons and individuals, mainly in the Colchester area.

The Trustees are sa.sfied with the overall performance of the trust.

Public benefit

The Trustees have had regard to the public benefit general guidance issued by the Charity Commission. They believe that the descrip.on of the Charity's ac.vi.es in this annual report evidences that those ac.vi.es carry out the Charity's aims for the public benefit.

The trustees have assessed the major risks to which the charity is exposed and are sa.sfied that systems are in place to mi.gate exposure to the major risks.

Reserves policy.

The reserves of the trust are maintained at a level which will support the con.nued ac.vi.es of the trust for a minimum of three months.

Administra8on

The trustees review all salaries each year. No employee’s remunera.on is above £60,000 pa.

On behalf of the Trustees. Nick Wright (Chair)

page 3

Independent Examiner's report to the Trustees of North East Essex Chris.an Youth Outreach

I report on the accounts of the trust for the year ended 31st August, which are set out on pages 6 and 7

Respec.ve responsibili.es of trustees and examiner

The charity's trustees are responsible for the prepara.on of the accounts; you consider that the audit requirement of the Chari.es Act does not apply. It is my responsibility to examine the accounts and, on the basis of procedures specified in the General Direc.ons given by the Charity Commissioners, whether par.cular maVers have come to my aVen.on.

Basis of independent examiner's report

My examina.on was carried out in accordance with the General Direc.ons given by the Charity Commissioners. An examina.on includes a review of the accoun.ng records kept by the charity and a comparison of the accounts presented with those records. It also includes considera.on of any unusual items or disclosures in the accounts, and seeking explana.ons from you as trustees concerning any such maVers. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I do not express an audit opinion on the view given by the accounts.

Independent examiner's statement

In connec.on with my examina.on, no maVer has come to my aVen.on:

to keep accoun.ng records in accordance with the Chari.es Act; and

to prepare accounts which accord with the accoun.ng records and to comply with the accoun.ng requirements of the Act

have not been met; or

11 3 2022

Neil Loxley accountancy services

page 4

North East Essex Chris.an Youth Outreach Statement of financial ac.vi.es For the year to 31st August 2021

Restricted
funds
Unrestricted
funds
Restricted
funds
Unrestricted
funds
Restricted
funds
Unrestricted
funds
total Total
2020
£
£ £
Incoming resources
Gims and dona.ons 0 71,683
545
72,228
71,683
545
72,228
84,311
668
84,979
Interest
Total incoming resources 0
Resources expended
Direct charitable expenditure
Staf 4,935 63,917
6,885
8,095
78,897
68,852
6,885
9,037
84,774
76,937
6,825
6,086
Rent and Insurance
Ministry Expenses 942
Total charitable expenditure 5,877 89,848
Management & admin
Independent examiner 200
200
79,097
84,974
-6,869
-12,746
43,558
50,822
36,689
38,076
200
Total resources expended 5,877 90,048
Net surplus/defecit
-5,877
-5,069
Fund balance b/f 7,264 55,891
Fund balance c/f 1,387 50,822

Page 5

North East Essex Chris.an Youth Outreach Balance sheet As at 31st August 2021

Fixed assets
Equipment
Current assets
Debtors
bank accounts
£
cost
deprecia.on
23,111
22,611
£
cost
deprecia.on
23,111
22,611
£
cost
deprecia.on
23,111
22,611
£
net
500
2020
£
500
411
38,546
38,957
1,381
37,576 905
50,004
50,909
587
50,322
Current liabili.es
Net current assets
Total net assets 38,076 50,822
Represented by
Unrestricted fund
Restricted funds
36,689
1,387
38,076
43,558
7,264
50,822

Page 6

North East Essex Chris.an Youth Outreach Notes to the accounts

Accoun.ng Policies

General

These accounts have been prepared under the historical cost conven.on and in accordance with applicable accoun.ng standards and the Statement of Recommended Prac.ce for Accoun.ng by Chari.es Par.cular policies

Deprecia.on. Equipment used by the trust is depreciated on a straight line basis Gim Income Gim Income is recognised on a receipts basis Taxa.on As a Registered Charity CYO is not liable to any taxa.on charge on its income.

Fixed assets

ets
Equipment b/f & c/f 23,111
Deprecia.on B/f & c/f 26,611
Net book value b/f & c/f 500

Debtors

The debtors of 905 is recoverable tax on Gim aid dona.ons (p/y 1800)

Funds

Restricted income funds
Special event
Beloved
Unrepeatable
Joy
Total restricted
Unrestricted fund
b/f
income
expenditure
1,289
947
2,415
2,230
2,908
2,700
652
0
7,264 0
5,365
43,558 72,228
79,097
c/f
342
185
208
652
1,387
36,689

Assets between funds

tween funds
Restricted funds unrestricted funds
Fixed assets 500
Current assets 1,387 36,189
1,387 36,689

Employees

There were 6 employees throughout the year, none of whom earned over £60,000. No trustee was paid for their services. The staff costs are shown net of a JRS grants of 10,297

Page

7

Compara.ve Statement of Financial ac.vi.es for previous year

Restricted
funds
Unrestricted
funds
Restricted
funds
Unrestricted
funds
Restricted
funds
Unrestricted
funds
total Total
2019
£
£ £
Incoming resources
Gims and dona.ons 0 84,311
668
84,979
84,311
668
84,979
94,252
468
94,720
Interest
Total incoming resources 0
Resources expended
Direct charitable expenditure
Staf 76,937
6,825
4,093
87,855
76,937
6,825
6,086
89,848
73,920
6,823
8,413
Rent and Insurance
Ministry Expenses 1,993
Total charitable expenditure 1,993 89,156
Management & admin
Independent examiner 200
88,055
-3,076
46,634
43,558
200
90,048
-5,069
55,891
50,822
200
89,356
5,364
50,527
55,891
Total resources expended 1,993
Net surplus/defecit
-1,993
Fund balance b/f 9,257
Fund balance c/f 7,264

Page 8