Trustees, Annual Report for the period Period start dale Period end dale Year Frc To Section A details Reference and adninistration Ihrity nare Co Iden C(Tffr(n Shed Other ns charity is knoMI by The Shed Registered charity nLrter { if any) 1168361 Carity's principal address 154 Main Road Colden Cornr Imncheste r Postcode r21 1TJ of the charity t rustees vtho mana3e the Gharity person y) entitled to appoint trustee if an Trustge na7 Office (if any) tÈtes acted if not for )le year Peter Doug las Peter Eales Rob Veck krrY Haigh thvid Sno1 I rian Kelly Keith Green Steve Badhan Cha i Man Treasu re r retary Cristopher rris 10 12 13 14 15 16 17 18 19 20 of the trustees for the chari ty, i f any, (for exJnple, any custodian trustees) tktes acte not orw ear Nrn and addresses of advisers (Q)t ional infonat ion) THI arch 20Z2
of adviser &kJress of ch ief executive or na)Es of senior staff mfjthrs (Opt ional infonnation) Section B nBnagaTEn t Structu re, governance and cript ion of the Charity's trusts stitution Type of govern ing docLrrMt Fk)N the charity is constituted Associat ion Trustee se lect ion methods lected by M8rters at Jit ional governance issues (Optional i nformation) The Shed is run by a managrnt C(nmittee, Al l Off icers are t rustees and are assisted by up to f ive other m8rtErs who may or may not be Trustees. They al I give their t ime voluntari ly and receive no ranurEration or benef its other than that enjoyed by a I I m8rtvs. You may choose to include additional information, tEre relevant, aboul.. ,] pol i c ies and procedures adopted for the induction and tra ining of trustees., the charity's organisat ional structure and any wider network with which the charity The Colden Shed is a m8rter of the UK Men's Shed Associat ion (U) vknich provides helpful advice and OPF)ortun it ies for joint programEs. Shed marters occasional l y attend the Southern 'S Shed Network quarterly meetings to exchange ideas and advice wi th other local Sheds. relationship with any re lated part ies., E] t rustees, consideralion of major risks and the syslan and procedures to nmage than. Section C Objectives and activit ies To prornte the preservat ion and protecl i on of good health, for the publ 1¢ benefit by preventing people, part icularly, but not exclusively. o Ider m8rters of the cminfftity wi th in (blden CLinr(¥) and the surround ing area, f rcTn be ing socia I ly excluded, and assisting thn to integrate into society through the provision of faci l i t les in which they can meet, to undertake physical or recreational act iv it ies, learn or pass on ski I Is and knowledge and support each other social I SmIEry of the objects of the charity set out in its govern ing docwrEnt TAR arch 2rt2
The organisation aims to provide a safe, fu I ly equipped, elccming locat ion, prediininatel but not exclusive ly for older m6rters of the CCTltY o l ive in Colden Ctsrtr and the surrounding vi I l ages. Our aim is to offer scnBthere to t. take part in workshop activit ies if so desired, but rmre important ly to soc ia l ise and overconE possib le isolat ion of the m8rtErs. Acl ivit ies are ainEd at both the personal projects of rretsrs, but more predoninately at group projects to produ ItnS either for sale to support local funds, or for local groups such as the l ocal Pr imary School. local playgroups, churches and the local C¢yrrrLnity Asso¢ iat ion. SLm)Bry of the main activ i t ies undertaken for the public benefit in re lat ion to these objects { include within this sect ion the statutory declarat ion that trustees have had regard to the guidance issued by the Charity Ctjmiission on publ ic benef it) In p lanning act ivi t i es. we have had regard to the Charity C431Thissions guidan on publ ic benefi t. An exryle of th is, is y have opened up to non-r5 the vi I lage to join us on our organised tri ps out. Addil ional deta i Is of objectives and activ i t ies {Optional infomiation) You may choose to include further statanents, b%here relevant. about.. F()1 icy on granbnaking., F()licy progrrn related investment., contribution made by volunteers. TPR rth 2022
Section D Ach ievaTEnts and perfo mance The last year has been one of adjustrnent and gett ing used to sloNly being OFen again after the trau of deal ing with CL)vid. We have E1C0nl f ive nwtsrs who have intergraded ¥••EI l and help on projects. As it has beccn kncN%n thal we are again open, mthr5 of the v i I lage have approached us to hel p then. We have a Iso c(Jnpleted tasks for both Colden ccrnn and Twyford Churches. I t is ou r hope that th is UFward trend continues into 2023. Smry of the main aChieVrentS of the charity during the year TPR arch 2af2
Section E F inancia I review retain a reserve of £2500 in the Shed accounts to cover annual running costs p Ius a further £1250 to cover rraintenan and unforeseen aTrrgency repa i rs. Brief stat8Mt of the charily's pol icy on reserves EEtai Is of any funds teria I ly in def ic it Further f inancia I review detai Is {Optional infonation) principa Sour o un Ing Is t rough maytersh ip ees ich are suppl8TEnted f rcm i tS made for sa le wi th in the orkshop at local conTnllity fayres. These funds cover the day-by-day expendi ture on i tnS such as the lease, Insu rance and workshop ConSu)Ies. I f we have an eXsS for the year i t is reta ined to SUFport the costs of f uture refurbislynent. You may choose to include additional infonnation, ere re levant about". the charity's principal sources of funds ( including any fundraising)-, hoN expend i tu re has supported the key object ives of th& charity O investsnent pol icy and object ives includ ing any ethica l investrnent pol icy adopted. Section F Other optional infonnation Section G Declaration The trustees declare that they have approved the t rustees report above. Signed on behalf of the ch trustees Signature(s) Full n(s} Position t*te rch 2tQ2
The Colden Common Shed Registered charity No: 1168361 Accounts for the year 1st July 2021 to 30th June 2022 Approved by the Trustees Name igned 2L >.Z¢L cLLL4 CA Audlted by Name Slgned Date Ic 110 IIGZI_ )¥NJG
The Colden Common Shed as at 30th June 2022 Accounts for the year INCOME {£) 1st July 2021 to 30th June 2022 This Year Change -1.04 545.00 57.00 -238.35 0.00 -175.53 135.00 Last Year Bank Interest Subscriptions Donations Gift Aid Grants Product Sale5 Misc Income 3.27 420.00 55. 238.35 2.23 965.00 112.00 0.00 0.00 509.00 135.00 684.53 Total Income 1401.15 1723.23 322.08 EXPENSES (£) last Year 24.1X) This Year 0.00 0.00 250.00 326.00 209.13 13.10 476.71 800.93 170.00 Change -24.00 0.00 480.39 28.43 209.13 -230.28 318.83 403.00 170.00 AffiSation Fees Grant Purchases Lease Costs Insurance Project Purchases Materials for Produrtion Ongoin8 Consumables Infrastrutture & Maintenance Misc Expenses otal expendlture 730.39 297.57 243.38 157.88 397.93 1851.15 2245.87 394.72 . Summary otal Income Total Expenditure Total Balance Balance BIF Movement 1723.23 2245.87 Balance C/F 15650.10 -522.64 15127.46 Movement on year Business Premlum Communlty Association Petty Cash Total Balance Brought Forward 14842.04 681.64 126.42 Movement -397.77 -520.14 395.27 Carried Forward 14444.27 161.50 521.69 650.10 -522.64 15127.46 10110120 P8go1of1