| Summary of the main achievements of the charity, identifying the difference the charity’s work has made to the circumstances of its beneficiaries and any wider benefits to society as a whole. |
Para 1.20 | We have added to our pool of individuals and groups joining. We have maintained the number of volunteer skills hours exchanged. We supported eight neighbourhood Timebanks in Plymouth. Plymouth City Council continue to consider us an integral part of their Wellbeing Hub Strategy. With our principle funding now being provided from the Age Positive Partnership. Our social event and swaps continue to help beneficiaries combat feelings of social isolation and loneliness. We are particularly seeking to support members over 65s in this regard. Timebank South West is inclusive and remains free for all beneficiaries to join and take part. |
|---|---|---|
Additional information (optional) You may choose to include further statements where relevant about:
Achievements against objectives Para 1.41 set Performance of fundraising Para 1.41 activities against objectives set Investment performance against Para 1.41 objectives Other
Financial review
| Financial review | ||
|---|---|---|
| Review of the charity’s financial position at the end of the period |
Para 1.21 | Met our budgetary aims and maintained our Unrestricted funds at the previous level. |
| Statement explaining the policy for holding reserves stating why they are held |
Para 1.22 | A small Reserve is maintained to cover staff redundancies and potential closure contingency. |
| Amount of reserves held | Para 1.22 | £6278.00 |
| Reasons for holding zero reserves |
Para 1.22 | N/a |
| Details of fund materially in deficit |
Para 1.24 | N/a |
Charity Re9iStrati Nmier. 1127 REPORT AND ACCOUNTS for the year ended 31ST MARCH. 2025 for TIMEBANK SOUTh WEST A CHARITABLE INCORPORATED ORGANISATION
TIM BANK SOUTH INDEXTO THE FIW4CL4L sfATEMENTS Jr year 31st Tch, ¢h•rty Irrfrym*
T14NK SOUTh W IN COMPANY IPIFQRIIATJON rorthe rn ended 31st M¥th, è)25 TrusTtES Jine Re>)r*d JLty'24 Bth_ ResNwed ?4 &) &Jssell T¢Jm Cox REGISTERÉD OFF Timebk Soth Wle5t Fow Greee6 Is WVl•ttcwh Green Ptrrnouth PL54 RÉCASTERED NUMBER". 1169627 Woodl8ThJs Rose Tr20 8TE
TlhlE WEST 31ST PIARCfrI. 2025 cartys trlee3 C(je1 trAi an 15 wuired Ic¥ thi5 year le( 144 It 15 my rE5Ffnitrfty fo" To fthv thè dm) in Ihe dtitin$ ty the Chariy 145(5}(bl ofthe Art an Ihe Charty Cryrrnwn. kn examinabcffj mrjudes a Teview c4thÈ accwnb.rtg r>Jrr15. It 0 tr)es ol any WhJal items rx dts¢yO5w in ccKints xJ ex1on5 from ts InJstee& corIng $lh rnattprs audrt and rmeoutnty rL) owr)n a5 b) Tr•thefftÈr OUnts prestnt a In aTrJ YV aThJ the Is knThted to IlY)se mtters set ¢Jt n the stateTht lrt ec"cn my ex8m)"on. no matter ha5 come to rny aIeThtK". h gNes reasonat4e to Fllt thjt n aTry 5FeCt ewitr)n to whth attenkn sfKJukJ dr8%m trd9r ID Qble a propor uTrJer5knJi Amjntarrt P•)e 3
seiiiDn B Statement ¢f a$s¢ts •nu Ii•biliti¢s •t th¢ vf the pqriod L**pr
CHAQIYV COMMISSION PO trNfjiANi¥ ANV WAL45 1169627 Recei tsand ments accounts To 31103r202S 01104R024 Section A Receipts and payments Unreslr4GtwJ R•svi¢ted funds funds Tot•1 funds Al Recei Chan780 Athths Sub totallGro&% in for A2 Asset and (ftwstrnt sal•s Sub totsl A3 el Ghwitablo Ath•es 1.61 Sub total 014 Sub total Net ofro¢•ipW(p•ymrtJ 1441 14.¥3U A6 Cash funds last yEar end Cash fvnds thls vwénd Pwje 5
NK ABLE I )TES TO THE FINAlAL STAT&IEMrs for IhÈ 31st March. 225 12.781 A4A L•. T io Gr x. &rÈaV Gr*ts 8ank lrt¥est 134 151 70 ¥076 TJ. I PAYIAEIITS: 31ml25 31H)Y24 42.871 $3.315 2.7&5 2,123 539 Ta¥JNt 15 1458 i.ot1 447 1.024 2.024 165 Eryi kcr 413 143 6.31 547 1.935 P•Je6
TIME 31ST IJARCtr4 2025