CFthriry reWrats￿ number.. 11691¢18
Reach Community Projects (CIO)
forthe YeBr Ethl 30 S¢pt¢mb¢r202I

Reach Community Projects {ClO)
Contents
Referertt and AthDiDistrative Drtai15
2to4
Ststment of Try51¢¢s' Rw0n￿bilitI￿s
state￿￿TrI of Financial Activiuex
Balan¢e Sheet
Not¢s to th¢ Fin￿￿]81 Statery￿Dts
9t016

Reaeh Commllnfity Projetts (CIO)
Reference AdmiDistrative Detsils
Roy Gr¥l¥am
Alisoo (Thorley
David Ilow¢ll
Claire Darrntott
Senior M*Mgtment T¢x
Htyy Wilsoti MBE
Ann Allen- R￿"gned 31 March 2021
Ju5tine CallllD1s￿strthlck - AprA)inted l April 2021
Room I Wisdom Facth"ties Ccntre
42 Ho]lattds Ro*1
Haverhill
sI￿oIk
CB9 8SA
1169108
Charlty Rogistrntion Npmber
Independebt Ex4miner
Suffttrjk
CB8 ONF
Page I

Reach Commll￿ty Projects (CIO)
Tr*st¢¢s' Report
The tnjstees PTEsellt the rrp)rt t¢Jgctbcr wtib the financial ststefj)¢￿ of tk CTr￿1ty for the year eDd¢d 30
Septe]Dber2021.
Trn5tees
Roy Grakn
AlÈson Chorley
Gavin Rowden
David Howcll
Objective5 aTtd adtvtt
Hayerbill is an ar¢a of great nee4 charncicrised by high lev¢ls of social deprEvatiO￿ debi attd low ttlcome. At
REACH we believe that ¢veryone deserves ￿ liv¢ their lives to the fi]Jl. HoweveE. W)V¢rty h&8 a devaststing
¢ffe¢t on individual Al￿ familv life. Debi. low incoDJe hothcles5[￿ can lead ￿ ￿￿￿ts1 b¢¥]th problesn4
Tel￿￿0n5hiP br¢¥kdowL low aspÈYatiow [DargU￿lI"S1tiO4 TMM)r bea]th atsd low %lf-¢*eenL
The purpose of REACH is u) support iDdivÉduaE￿famt￿lts iu fin￿￿￿al crisis in and aroTmd Havertjill. restonng
pwple's dignity and rewving theirl
To Assist us with mt55iOll rLLn a nUTDbeT ofprojects atsl activiti&s aamed & w￿0ver￿n8 and r¢501TriDg the
root JS5u¢s that our clients are ¢xp¢rierKiD8."
- A drowtn ccDtre armf attess WiDt for all REACH resource& op¢n weekdays,
providing a wanij welcome and prxtical help for pe(yle Strugg]ing wryth poverty. t.g. housiti& ben¢fiL
fomi completion. job searching and so mwh T[￿re
Money Ad￿et- Fr¢e face to facc debt advirz forpwk StrU￿1thg with debt
Foodbank- Emerget)cy food for unexpected crises
Stsrter Packs- E$5ential iKddiDg and kiicbtswatr vkn SOTlleo￿ lilet￿lY has ￿1th]nE
Cli¢tst Atd - Financial assistsDr¢ through dorkqtiott-based projects ￿ch as Acts 435 1www.xts
435.or8.uk) to ptovtde essential items as b¢d5. wkne go￿, g&$ and electricirv
Reacb tnto th¢ Coullnunity - All of the REACH re50ur¢es tsken out to those tlw unDOt get in ￿ see
U5 whether il's because of ill hcalth ot geoyapbical T¢aSO
O￿T key values Art:
Gencrosity- if in doubl w¢ witl always sttk to be 8en¢wo
R¢Spo￿lb1lity - This has to be roupltd with rwTr&ilty. iKbth from the people we are helping a￿d
how we disthTr*ute the Tesowces entrusted ty us
Be]tevitig for bett¢T-Out CUTreoi circwnstsm do have ￿ detmnine ow future
Honesty- Jusi as we nc¢d the pcople. Ive helpitig Lo be IK>Desi with t(K) need to be honcst
about what ￿ Can realisiically do to help theoL
Structur4 govern*tt¢e Ind mana¥eDXDt
NtitHTe ofgoverning
As a CharstabLe InC0Tw>rat￿ (trganiS￿ (CIO) bpve 4 Board of TTllStees which meets on ) Tegular basis.
Th¢ board oveTrees alld the njtining of rhariry includjrtg ¢arefj2]ly monitoriD8 our fimding and our
impact on the l(Kal commurrity. New trus1tt5 are app)inted based ots the skil]s that thry will btillg io the trust¢e
oup.
o￿￿￿13￿￿0￿[Str￿￿Vr¢
We have I l rnembers of staff. Stsff roles are P￿leCts Dit¢thT. Office Maw. aieDt Relatiot)ship$ Mthag¢r.
3 coll￿￿￿1ty Outreach Adviseo Benefits & Welfare Adviset. Projects Admitiisttztor. Apprerttiee

Reach Community Projects (CIO)
Trnstees, Rtport
to FoodbaDK to ResoLrrc¢ C¢nts¢ advis¢TS. We hav¢ s¢¢D • incr¢as¢ in peopl¢ vo14mt¢criDg wryth us for
their Duke of Edillb￿8b Award. We have a nuttth of volunteers re￿I￿e additioDa] supw>rt, this inclu<ks
partt*tyW with Howe Eve hi)uK (Mcwk and BrI)&dI￿SH¥ll SclK>oL
A large prow1ion of clietjt-facitig takes place at our R¢sow¢e C£ntr¢. The R¢sourc¢ Centr¢ is i
dropin ¢¢ntre. or*n from 2-5pm Monday-Friday plu5 morni@evenings for appointments. It is our fo{￿ba￿k
distribthion centrt. but we are so ]Tr)ueh more thats a fo(wJbatsk We cast our clieth visits and work our
¢iients to uu¢over th¢ rwoD5 for th¢ wsil with the aim of re50fving the Ulld¢rty￿ that caused them
conK to w. AttlK)ugh there is not iitne restrkction on how long a cliettt caD sr*nd with us. wc do tcnd th set WJ
appointtnents fw th¢Ythx¢ ra5es ouLsidc ofth(plli
trustees CODfirm th2t thry h8ve corty]ied with the reqUIr￿ts of 8ecEion 17 of the ClaTiti&s Act 2011 to
have due re8*d to tbe pllblit b¢￿fit gumkne publisbrd bythr Cbarity Commission for Englaryl a#d Wa]¢&
202(V2021 was a challcnwg year for eVe￿y. We st*nt n￿st of the year WOAtttig tbrollgb a global pattdemi¢
and as & result had to Cbangc our of WOTking gov¢rnTnent restrirtiOlJS: still be availabk ￿ the
local community who needed us. W¢ sto14￿d all facc to face interatlions and I￿Ved over ￿ virtijal l ieleph
interactions with dooT Step drop5 to deliver C￿erg￿. f￿￿1 box¢& As restrictions lifted we wcr¢ able to move
back to a normal way of
DuriDg the pandemic we lost tnany of ow regujar volunteus. W¢ retrnited new voluttrws {￿all¥ of ￿1¢￿ ha
been placed on firlougb by their employers). and gs restriOioDS lifted son* of previous vohmteers were
Y4bl¢ to come back to u&
Despite this we wer¢ still abk to-.
• Distribute 787 f￿d boxes that 1578 people (546 V+rre cbildten)
. Helped 62 famiiÉes entre￿hed debl iticlLM1mg 12 of these {IP/.) bec0t￿e free from debt
. Distrsbut¢d a lotal of £5.499 winter fvel poverty gratsts kn 28 fan)ilJes to help themkeep their homes wami ov¢r
the winter period
b Help 73 fxwilies living TD the r¥JTrl are&s ￿ HaTrthill
We lawJ¢hed a new Proj￿ ID NewDwket offeriDg debt 8nd welfare advice (there is alr¢ady a fTh)dbaDk in
Ne￿ryjJarket). F*caus¢ of th¢ of self ref¢rrdls 45 V*rll as agew refcTrals wc Were geung in this are&
We are indebted to all those who hav¢ aSSi￿¢d us in mi&sTon to lift families out of povety in and around
HaveAJill. Thauk you to our many volun*crs wlM> Pvt their t￿lle on a regulaE basis. Thank you too to our
partllers. these ittlude Tnwell TTUSL Vl¢st Suffolk Council. Soutb &DJbridge5hire District Council. Suifo]k
Commurrity Foutthion. HavtTbill TowrÈ CourKil, Catntffidgesbite CoMm￿ty Foundatio￿ MTS L D Rope.
B¢atricc LaiD& Postcode P]a¢es TnL¢ Suffolk C• COW￿1[ Garfield W¢5ton FoundatioD and of course
those that wish to remaia Th¢r¢ are nJQTe iThJiYidual do[x)￿. businesse& conmwnity groups,
church¢$ artd %hoois who bave all conknljuted to rnakc 2021L21 a very fiuitfvl y¢aT. Th#nk you
Roy Graham. Cbair of Trus¢ec4 Hcnry Wilg)n. CEO
Phtt5 for futhre period5
Ow imTtLed5ate plau5 fo¢￿ on hdpiDg families vkno ￿ in fow*ial uisis PaTu¢ularly as thc starts to 80
in to a cost of livmg ¢ri$i5. We aye expecting an incrcase in the need fordebt &fvi¢e over th¢ year as ljigher
utility bills and cost of fi￿1 starts to biL
We w￿1 to ge¢ bett¢r at our strategic pknDm8 at)d thet¢fo￿ to testnthre our leade￿h[p tearn early in
the next financial year. This will cDab]¢ to a prLw strategtc plan in place for tbe next tbree y¢ars ortd
V¢ U5 a£lear directiOL
Pa8e 3

Reach Commllknfity Projects (CIO)
Trustees. Report
We are workxll8 Witb parth￿5 to cxpaad w offer gwaphically. bllt s¢t up food thstn"bwioll points iD
nu>re accessibk areas tIMt are Stsff￿ by volunteers from local cbwcbes. Wt Wtll thorrty be lauttching o
ottIiTJe debt t￿14 that will direct people thjough the of debt ￿lIst Vditing foi an adviser io ¢ontyc¢ them.
Our longerternh thas include providing moTr Vol￿￿ring optioTL% espe¢ia]ly to youn8 peopl¢ aTe CUTTet)lly
unemployed. Extrt)ding outreach work to T￿￿1 villages and areas where there is no ¢uttent debt advice
provisÈon to make it rnore accessibl¢ to pwle living Tn these a￿s. We are akn d¢v¢loping our parnetships
v/ith other agcncl￿ chaTiti¢s churches to help t¥ea* a whole t1￿￿ of $wrt around an individual or
family in ncca.
Poliry on restrves
Reserwcs are that part of a charrtys mvestri¢ted fiu¥Js that is fteety avwlabk to stxnd 00 any of the clwitys
pthpO￿. REACH maintsiTk% free unre5triaed re￿Ne$".
- To providc a leyel of worknng capitsl that protects tk cothtDuity of its CO￿ w
. To prollldt a IgY¢l of filnding for uttexpe¢ied op[￿"tieS
- To providc cover for Iisk5 5wb as u[￿oreSeen expe￿11￿￿¢ or UDanticipate41 h)&8 of income.
The ]K>ard of review th¢ kn critrria with referw to REAcffs str2t¢gy and Annual Plan aud
detwmiD¢ the L2rgct level of free rc%rYcs to mtti the￿.
The board of tr]stees WAll at lillK5 de5ignatt fi￿￿16 from f￿¢ reser￿% for 5i8Difir￿nI project C051s or replateD*nt
of D)ajot 25S¢
The aecounts sel ou( OD the followillg pages the activitw ofthe dwi"ty.
r¢port was approvedby th¢ trus*¢s of the charity OD 27 July 2022 and si8ned 00 ILS behalf b
Page 4

Reach Community Projects (CIO)
Statement of TrusItt￿. Responsibilities
The ttwstees (who art a]so the directors of Reach CoDY￿ty Projects (CIO) for tht puTpose5 of company law)
are Te5pon5ibl¢ for preparing the tnL%tw' rq>ort and th ￿n￿ClaI ststenKnts iu acrorda]K¢ wtth th¢ Ullit
KingdoEll Accounting Stalldards (United Kingdom GeneTrlly Accemed Ac¢ountmg Pr8ctt"ce) and applicable law
and regulations.
Company ]aw requircs the ¢rnsiees to pro)are fijwcial ststrmeDts for each financial year. Under CODwaDy law
the tsi￿s ￿￿$t not approve the fiJancia] swements UDle&s they orc satisfid that they give a true a￿] fair view
of th¢ st3* of affairs of the r]JaTitrbl¢ ¢ompauy atsd of its jutom1￿8 res04ttces aod applicatlOD of resources,
ineluding its iwTrmc and eXpeEMh"￿[e. for thai puiod. In preparing these filw￿la1 stat¢tTW]ts, th¢ trustees art
sclect suitable accounting policies and gppty them con5ast¢nty.
obse￿¢ the pritieiples the CTrJatities SORP:
D￿k¢ j￿Jg¢r1￿Dts and estimatrs that are r¢asonabl¢ and prndenL
stst¢ wheth¢r applicable UK A¢countiDg StarMlard5 have been follovKd. thitct to any mat¢riaJ depp[￿r¢S
disclosed and explained in the firwial Stateme￿S.. and
prepare the fiDancial ststemeDts on the 80itig concern basis it is inapprO￿te lo presu￿& that the
chsriiable COTnpany will conliTwe tn busTD¢SS.
The Irusiecs arc respo￿$￿bIt for keepitig adequate records that are sufficiem to show arml explain th¢
charitable Ir8n5actioEs and disclose with reasonable aecwacy al 8ny tiTD¢ the fillanrial position of the
charitabLc ¢omwky and eJable them to eowre Ihat the fina￿*1 ststemettts co]wly with thc Companies Act
2￿￿6. Thev are also responsible for 5aftg￿g the of the ch*titsbk ¢oJwny JE￿ hea¢¢ for toling
reasonable 5tw for the prevention and detection of fra￿1 atsd other irre8ukn.
Page 5

Reach Community PYoJeets {CIO)
IndependeDt Examilltr'5 Report to the trustees of Reach Community Projects (CIO)
I rewkrt to the ¢harity tr￿￿tteS my ¢XtiWiJWtion of the xcounts of the cbjrity r￿the year end¢d 30 Scpl¢mbcr
2021 which are set out page5 7 to 16.
Respectiye responslbllitres of trustees and
As tbe chaTty'5 ttustccs of Reach Conu)uDity Projects (CIO) you are r¢sp)twble for the preparatioty of the
accounts in accordatt¢¢ wtth the reqwre￿ of the Cljarities Acr 201 I.
I report in Eebyect of my examinDtion of yow cljarity's a¢e4)unts &% ¢Jrried under sectiott J45 of the ClwiÈi
Act 2011 and in Ca￿)￿n8 out rny examin￿10￿ I have folloBrd the Direction8 yvety by the Cljarity Corm)JiBsion
uttder s¢¢tion 14515Xb) of the 2011 Art
l•dependeDt txaminer's 8tstety¢•t
Stttce Reach Cotnmunity Projc¢ts (CIO)'s VOSS iUCVTnC exceeded £250,0(X> yotyr examiner mu# be a nxtJA*r of
a b¢)dy listed in sectioo 145 of the 2011 ACL I conftsm that l am qualified to uttdcrtak¢ the examination because
I am x of Chartered Cthtified AccO￿ll￿. which is one of the lis*d bodies.
I have wleted exam1￿tiOrL I COrth￿ that mitt¢r5 bavc Comc ￿ my attetitÉOD ID cor￿c¢tion with th¢
exami]10ti4)n giviDg me ca￿e to believe".
. accouttting records wEr¢ TCSPXt of Reach Con4rn￿ty Pmjects (CIO) a5 rquir¢d by section
130 of the Charities A￿. or
3. the accounts do noi comply with the accounting requirett￿ts con¢erniDg the forn) apd CODlent of accouots
set out in the CFtoriti¢s (Accoults ar#1 Report8) Regulation5 2(X)8 other than atly f¢quiT¢ITKnt that the
acco￿￿ ￿ve a 'ts￿e aTMI fair whicb is not 8 Jnatter ¢OnSid￿¢d as part of at) independ¢ni
I have Jxo ¢on¢erns haye come acro￿ ￿ other matters in roDn¢ciion with the exami￿tion to Ivhich attentio
Should be drawT itt this trwrt in order TO cwble aproper under#3tiditig of the accowits to be read￿￿
List KiDg
Chartered C¢rti
BuTdett King Accoimlw Limited
8 The Hamilio
Nevm)ath¢t
Suffolk
CB8 ONF
5 .0..cro8tL IOZL
Page 6

Reach Conllnunity Projeets (CIO)
Statement of ￿nancial Activities for the Year Ended 30 September 2021
(Including Income gnd Expenditure Account 4Dd Statement of Total Recogllised Galns
a￿d iA>sses)
Vnrtslrl¢t¢d Restrkt¢d
fuTrds
f￿ndS
Total
21121
IneomE #nd Endowments from:
DOTJatiO￿ aryl l¢wie5
85J60
311.034
396,394
2)
Total in¢om¢
85360
311,033
396.393
E4￿ndIt￿re OB:
Raising fimds
Cbaritablc activities
Othu expenditure
Tokl ex￿￿]1￿￿¢
(27.991)
(88,815}
(185,893)
(27.991)
{126231)
1198393
(37.416)
115¢M))
49.91
302,699
352,615)
irtcome
35.444
(16.121)
8.334
IA121
43,778
Net nM)vemw)t tti
19.323
24.455
43,778
Rttoo¢fi￿tl0A of
Total fth brots8hi forward
5&897
77.623
134.520
12
76,220
102.078
Unrestricted Restricted
178298
Total
20211
lkneome and Endowmtnts froAL
tlonations and le8a¢ies
185215
152.1
337,375
185218
152.160
337.378
ExpendI￿re on:
Rgising fimds
Charitsble activities
Other expetidiftre
Total ¢xptsJitwc
{33.581)
53.213
{155,437
(8721
(123,590)
7207
{34,4531
{70J77J
{162,644}
135.805
131,669
267.474)
Net income
49.413
69.904
49,413
20.491
69,904
7.487
57,132
64.619
Total fimds ¢aEri¢d forward
12
56.
134.523
All of the rbanty's activitits thrive fiom t4bnbDuing opuations the abDve two wiods.
Pa8e 7

Rexch Commulllty Projects (CIO)
(Registrgtion number: 12345678)
Balanee Sheet as at 30 September 2021
2L121
2020
Note
Ftsed isstts
T8Jgible a&%ets
3,415
Curr¢tyt 458ets
Debtor5
Cash &t bank attd hand
io
4,034
180,816
6.373
137.532
184.850
143,905
Credlttsrk Amowits ftht due syithin one ytsr
14et current •s*ts
9.967)
9,382
174,883
134.523
Net asjets
178298
134,523
Fwids of th¢ eklritv.
R¢stri¢ted Incoll￿ funds
RestriGt¢d fiu¥Js
102.078
77.623
Unre5trActed Intome
Uortstritted furyjs
76220
56.9(nJ
Totsl f4Jds
178
134.523
The fit)alldial slatements on pages 7 to 16 wrovd by the tr￿, outh0ri5ed for issue on 27 July
2022
glled on their behalf by.
Roy Graham
Page 8

Reach Community Projects (CIO)
IYote5 to the Flnantixl S￿tell￿nts for Ibe Year Ended 30 Septtmbtr 2021
l A¢￿u￿tIng policies
Swnmary of signifKant *trountang policKe& And ke) xtounliNg e*lwfes
The priTrcipal ac¢ouTLt]D8 po]icies applid in tbe pre[￿atiOn of these fina￿ClaI stste￿llts are sEt out below.
These pohties have be¢n Co￿lStentlY applied lo all the years preseDt& unless 0tlL¢Twi￿ stste¢l
Stst¢n￿nt of RecoJJ)mended Pwtic¢ arolicable to clxriiies plparmg their accouTLts in xcordance with the
Finatriaj RwrtiDg Standard app]i¢abl¢ th¢ UK 8TwJ Republic of Irelalld (FRS 1021 {effe¢tiv¢ l JAnwry
?015) - Iclwities SORP (FRS I02}k the FitiaDtia] Re￿r￿ Stsndard 3pplicable in the UK and Republir of
[re1w￿ (FRS 102). Thry a]so tomply with the CoJDpanie5 Act 21KJ6 and awities Aci 2011.
B#sis of preparatlo
R¢a¢h Projects {CtO} rt*eL8 th¢ d¢fuJiuoD of a public benefii entity FRS 102. A$5ets and
liabiliiies arc Èniiially re¢ognÈ5ed ￿ his￿riCAl cost or ttatwiion v4]ue UDle$5 othetwise stawl in the relev•nt
ac¢owAting polscy notes.
Goillg ¢oncern
Th¢ ttustrcs COTk%ider thai there are no rniterial U[￿tr￿tieS about tbe cbaritys ability to continue as a goitt8
concern oot siguificant areas of unce￿ry that affett the caTrving W￿lle of &ssets beld by the cbaTity.
llltome and eDdtswments
A]1 itt¢on* i5 rrfogniscd QDCC the clwity ¢otitlcu¢nt to the inconA it is PEobable th* th¢ in¢om¢ will bc
rrf¢iv¢d Bnd the amount ofth¢ io¢ouK rffeivable call Ix rtliabty.
DonaÉioJJs are rt¢ognis¢d when the cbartty bas beth) nWified TTh wriltng of l)oth the amount a￿d sett]ement datr.
In the event that a dototion subject w corMt"tions witr a level of pcrfornwice by the charity bEfore the
¢harity is ¢￿ttled to the futtLts, is deferred and not iecoglli5￿ until either those conditions *re fully
m¢t. or the fiLlfilm¢nt of those conditions is wbolly within the control of the ellarity and 1¢ is probable that tb¢se
onditions ￿1] bc fidfill¢d iti th¢ ￿￿K)rtIng puio
Legacy ￿fts are recO￿ll5¢d on by ¢as¢ basi5 following the gr8M of PTob&t¢ when the
adtsJintStr2torfexecuior for the e$tst¢ has ¢OTnmunicated in bDth the and settlcmejrt date. tu th
event that th¢ gift is in the form of an asset i)th¢r than a fi]Jancial Irad￿ on a tecogDised stock
exehwe. reco￿lItiOn 15 subjext ￿ the value of the beiD8 ffeliably DKJ5wable with a dwee of re￿ll*bIe
accwacy and the title to the asset bav]ng been tra￿fer￿[ to ctwity.
Grqnts receivable
have been MCL Where perf0mla￿e conditioLs are attachal ￿ the grant and are yet to be the illrtir£ is
rccogDi8ed &$ a liability and iDcluded on th¢ balallce 5bcet as deftllcd income to be r¢l¢as¢d.
DI￿den￿8 are rewgDis¢d OTKe the divide￿1 bas b¢¢n dcclarcd ar#1 notification has be<n re￿]Ve{] of the th"Vkd¢nd

Rea¢h Conllnunity Projects (CIO)
Notes to the Flnancial Statements for the Year Ended 30 September 2021
Expendityrt
All eXpe￿Il¢￿re 15 rccogttised once there is a l¢ga] or ConSt￿ve obligation to that ¢xpendIb￿e. it 1$ probable
settlem¢nt is requirt%l 3tKI the anM)uttt fan be meas￿ed r¢liably. All ¢osts ar¢ allocated to the applicabl¢
expellditilre heading thai aggregatr si￿1￿ar costs ￿ that utegory. Where costs be directlv attrjbuted io
particular hcaditigs they have been all<￿ed on a blsis ¢OTk8iStent vritb the usc of r¢wttrces. with central staff
costs allotatrd OD the b&8is of time spcnL attd dew¢ciation charges altttat¢d on the POTtiou of the asset's U5¢.
Oth¢r SUPFrtTrrt Costs are allocated b¥¢d the spread of stsff ￿5t&
RaisywzfvThds
traditig attivities that rais¢ fi]nds.
Charitable expenditure those cort8 illetslred by the ¢lwity ID th¢ d¢liv¢ry of its aciiyities attd services
for ils bcrteficLaTE¢5. It inclEMles b(rtb costs that can be allocaicd directly to 5wh actiwilies ano those costs of an
G(1ver￿￿te costs
These include the costs attributsblc to the tharity's ¢owliance with consti¢ittioiial aJMI staww requir¢rtKnts.
ittrlwiing audiL Strategi¢ and tr￿te¢s.5 D￿dingS aud ￿l￿bUr￿ expeu5¢&
T￿￿110
The ¢haity is eonsidertd ￿ pa&s tbe tests s¢t ovt in Par8wb I Scheduk 6 of thc FtDance A¢t 2010 and
th¢r¢foie it mttts the It¢fmitioD of a eharitsbl¢ compaDy for UK £oTroratson tax pwposes. Actordjllgly, the
charity is potentially exelnpt from tsxation in respeei of inconae or capital gaiDS recetved ￿thi9 categories
coy￿ed by Ch?pier 3 Part I l of the CoTporatton Tax Art 2010 or Wion 256 of tbe Twtion of Chargeable
Ga%Ds Act 1992. to the cxt¢Dt or gaiDS are a￿lled excI￿}ve1Y ￿ clthritable PWFW)8es.
Tangible fixed *s%ets
Individua] fJx¢d a55ets COStiD8 £IIKJ.00 or more are itiitially rccord&a at COSL t￿8 aRy Subseq￿￿t aL¥mn￿alcd
depreciation and sub5cquent ac¢wnulated losses.
Depretiatitin ¥mortisation
Depreciatithj is provided on fixed a&%ets so as ￿ WTile off thc or val￿tiO￿ less estimated
reS1th￿ valu¢, over their wethed useful ¢fO1￿MEc life.
Trade debtors
TJxd¢ debt0￿ are du¢ from for mCTchaDdise soId or Servic￿ perf￿ in thc ordiu8ry
course of busi1￿$.
Tr￿¢ debtots iecognis¢d initialty at the trdTwcrion prtsce. Tbey are sLtbs¢queDtly an￿rtistd cost
using the efft¢tive inieresr rttethod, k5s provision for A provisio￿ for the irnpairnvkt of trade
debtors is esiabltshed vthen the￿ 15 objective evidw tb* the clwlty wjll nDi b¢ able lo ¢oll¢ct all amouDts thie
a¢¢ordsng to the or)￿n2] t¢¥llks of the reteivabl¢&
Casts tod u$b ¢qDivak&ts
Cash and tash ¢quTva]ents Compri￿ ¢#sh OD IMnd aTrl call deposits, and othu short-tertn highly liquid
inv¢5tmcnts thai are readÉly coDvethTr*le to a kn)wn allK>unt of cash •KI atr 5ubjc<t io an insignificant risk of
change in value.
Pag¢ 10

Reath CommuDity Projeets (CIO)
Notes to the Financial Statements for the Year Ended 30 September 2021
Trad¢ ¢rediiors
Trade creditors are obligations to Pay for 8ocds or services that have bern acquircd in the Ordinary Course of
busin4$5 from ￿PIleTS. Acc(>utts paydbl¢ ar¢ classified as Current liabilities If i]y do not have ao
unco￿litiOnal right, at the C￿1 of the rqM)riing peri(ML ￿ defer settleDYnt of the atditor for at least tw¢lve
months aft¢r the reporting date. If there is Bts unc0￿j1110lll1 right to defer settlejnent fot ￿ least twelve Ulontbs
Borrowhk%s
]nterest4)earittg boEmwing5 are Init￿lY recorded * fair tt¢t of traD5auion costs. Inicrell-bearitig
boryowings are sub5equeDtly carrKed at all￿rtiSed cosL Trith the th"ffetefftKe betw¢¢n the procc¢ds. net of
traDsaction costs. a￿d the allM)unt due on redernption re¢ognised as a charge to the Statement of Fittati¢ial
Activiti￿ overthe period of the ffl¢vont i
Enterest expens¢ is r¢cogDi5cd OD the basis of the effective iDier&4 nxthr#l and is Incl￿￿1 iti interc5t payable
and 5LmilaT charges.
Borrowings are cknified a5 liabilities unkss the cl•Ttty an uncoknnal right ￿ defer settlement of
the liability for * least tWEfve tnonths after the rewling d￿¢.
tRd strne￿re
of the objcctivcs of th¢ chariry.
Restricted In￿rne fiLt*ts arE th￿e doDatrd for w¢ in a partith aTea or for spwfic puryoses, the of vth.ch
is restrycted to that area orpurp)se.
Pageli

Reach Commullfity Projects (CIO)
Notes to the Financial Statements for tbe Ytar Ended 30 September 2021
2 Income from d&hXtioDs and lega¢les
Totsl
2021
Total
20
DO￿8{1￿1]S and l¢gaci¢s',
Donatio]ts fro]n individuals
DonatioJLS aTwJ lewies
Gift aid recl8ittied
Grants. including capital 8t*m:
38.854
29.567
38.854
29,567
26,826
49,978
215.259
20.245
23.067
16.112
37.319
16.112
37.319
Regular giwin8 and ¢8Prtal do]Jati0Th5
121,852
121,852
337.375
3 luvestmeDt ÉReom¢
Rtstrlrted
Totsl
2021
Ttyt¥l
2020
FBtrrest receivable and SiTni]ar iDeome:
Int¢r¢5t receiTr?blc on bthk deposits
4 AK*lysls of governance #Dd $upport ro5ts
UoTe5trictrd
f#*d5
Ttstsi
2021
Tot*1
21120
IndEp¢lld¢nt exatniner fees
ExaDJituti(TrA of th¢ fJDaKial
600
5 Trnstees rtmuner*tioR eyptmse5
year.
No tnIst￿5 have re¢eiYed any ￿l￿**￿T8¢d from the cbarity ¢kning ￿ year.
Page 12

Reach CoDMnunity Projeets {ClO)
Notes to the Flnantial StateJneDts for the Year Ended 30 September 2021
6 Staff costs
2021
202
Staff ¢ost* d•riDg the ye*riYer<
Wag¢s and salaries
Socsal security ¢tssts
PetssioD costs
179,637
8.164
5,003
5,146
148.221
6,116
4.233
4.074
162.644
I I (2020. 8} of the oiK>ve employees participaled iry the tkfilled C0ntnkn￿iott P¢nsion S¢h¢m¢
ContributioA8 to the ejwoytt peDsioD schemes f￿the YUT totslled £5.003 {2020. £4233).
No eEthployc¢ received ettmllu￿￿nts ofTllOte than £(rf>.IKK) thing th¢ ￿T.
7 Indepthdtnt exami￿8 r¢mnMer*thi
2021
2021J
Page 13

Reach Community Projects (CIO)
Notes to the Statements for the Year Ended 30 September 2021
8 TLTXtIDtt
9 Tangtble tlxe41 *55ets
Furniture and
Total
C05t
At l October 2020
AddttiOn5
22.699
22.6
3.517
At 30 Septewber 2021
26.216
26216
Deprt¢i*tion
At l October2020
Charg¢ forth¢ year
22,699
102
22,699
Ar 30 Septrthi 2021
22.801
22,801
Net l>ook val￿¢
At 30 Scpteth 2021
3,415
3.415
At 30 Septemtr*r 2020
10 Debtor3
21121
2020
Prepaym¢uts
Other debfoT5
376
5.997
4.034
4.034
Page 14

Reach CommllDity Projects {ClO)
Notes to the Financial Ststements for th¢ Year Ended 30 September 2021
11 Credltors: falkng due on¢ y¢ar
2021
20211
Trade creditors
4,538
4.829
5.365
1,983
834
1200
Accnwjs
9,967
9,382
12 Funds
BalaTh¢e at
311
5￿pIt￿ber
2021
202
Tesollrtts expefjded
Tr¥n$ftts
UDrtstrlcttd
69260
85,360
(49,910
(28.484)
12J63
76220
12.363)
Tot&1 uDrestri¢ted f•md$
56,897
85360
{49.916)
302.699
(16,121)
16.121
76220
Restritted f￿ndS
77.623
311,033
102,078
Total f•Dds
134,520
352.61S
178298
B*lxthce at
30
tembeT
2021
ance at I
October
2020
re504rces t4￿llded Tr￿￿¢1$
Ullrcstricted fund5
CornmuDity
Food Bank
Surviving Wittte
(986)
17.9
18,515)
63.426
(99J09)
(30223}
8.515
160.16
140.478
132fA)
(997)
(3259)
(45.251)
72.1
67.818
S¢xial Enterprise
49,91
28,484
76,220
Page 15

Reach Communftty Projeds (CIO)
Note5 to the Thancial Ststements for the Year Ended 30 September 2021
BalAMtÈ at I
October
2020
30
Stptenther
2021
resollrces e4*nded
Tr4wfe
1,687
810
{14.860)
(1.6871
(810)
14.860
HAC
Furniture
112.363)
12.363
Tot*1 unre5trirted fvnds
56.897
85J
49.9161
(16.121
76,220
Rtstrlrted furtd5
Foodbank
Soci3] Enterprise
Reach th¢ CottKDunity
Client Aid
11.721
4,680
61222
82.719
13.892
I￿,842
25.950
83,630
(65.7451
{19.432)
(95.941}
(22,&)0}
98.8911
28,695
8(A)
70,123
3.2(￿
15,261
77,623
311.033
(302,699)
16.121
102,078
Tot4J fwids
134.520
396393
(352.6151
178.298
13 An¥ly5is of net asttts betwttn fvn•Js
Rtrtricted
ds
Total
Tangible fixed Issets
CuTTent a5Stts
Current ]iabilities
3,415
184,850
3.415
184.850
9,967
Totsl Det a&%cts
178.298
178298
Page 16