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2021-08-31-accounts

REGISTERED CHARITY NUMBER: 1171182

REPORT OF THE TRUSTEES AND

FINANCIAL STATEMENTS

FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

FOR

CONNIE ROTHMAN LEARNING TRUST

Carter & Coley Chartered Accountants 3 Durrant Road Bournemouth Dorset BH2 6NE

CONTENTS OF THE FINANCIAL STATEMENTS FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

CONNIE ROTHMAN LEARNING TRUST

Page
Report of the Trustees 1 to 2
Independent Examiner's Report 3
Statement of Financial Activities 4
Balance Sheet 5
Cash Flow Statement 6
Notes to the Cash Flow Statement 7
Notes to the Financial Statements 8 to 14
Detailed Statement of Financial Activities 15 to 16

CONNIE ROTHMAN LEARNING TRUST

REPORT OF THE TRUSTEES FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

The trustees present their report with the financial statements of the charity for the period 1 March 2020 to 31 August 2021. The trustees have adopted the provisions of Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2019).

OBJECTIVES AND ACTIVITIES

Objectives and aims

The objects of the CIO are for the public benefit to promote the education of people aged 18 and younger in particular,but not exclusively, those who have need because of their youth, age, gender, infirmity or disability, poverty or social and economic circumstances, in such ways as the charity trustees think fit, including: the operation of a registered charity run independent special school developing and providing workshops, classes, and tutoring in the areas of computer science, science, technology engineering, mathematics, literacy, and the humanities. A future goal of the charity is to award to such people scholarships, maintenance allowances or grants undertaking research in blended learning and technology education with the opportunity to assist the trust in developing innovative and creative programmes.

In addition the charity seeks to:-

Advance education, social well-being, and assist in ensuring future opportunities by providing facilities, materials, supplementary education and tuition.

Improve conditions of life for under resources students through a variety of educational programmes. Enable students to advance in skills and knowledge who by reason of personal and financial hardship would be otherwise unable to engage and benefit from tuition and supplementary education. Develop and implement collaborative programmes with other educational institutions, including schools, educational trusts, and community centres.

Public benefit

The trustees have due regard to public benefit when planning and approving the charity's activities, in accordance with the Charity Commission's Guidance on Public Benefit. During the past year, the charity has operated multiple programmes for the education and development of students who have social, psychological, and physical challenges. The charity runs an alternative provision day programme for students who cannot access mainstream education for many reasons. This has included a programme for young carers funded by the Leonardo Trust and our surplus funds and a rolling scholarship programme to enable students who would not have otherwise been able to access tuition or supplementary education. We also find after-school tutoring for students. We work closely with several schools and learning authorities to develop and provide educational opportunities.

STRUCTURE, GOVERNANCE AND MANAGEMENT

Governing document

The charity is controlled by its governing document, a deed of trust and constitutes an unincorporated charity.

REFERENCE AND ADMINISTRATIVE DETAILS Registered Charity number

1171182

Page 1

CONNIE ROTHMAN LEARNING TRUST

REPORT OF THE TRUSTEES FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

Principal address 107-109 Belle Vue Road Bournemouth Dorset

Trustees

H Thiel J A H Moocarme S Brewer E Dearlove Mrs K Rothman Mrs C Hector C Griffiths (appointed 9/9/2020) G C Waylett

Independent Examiner

Carter & Coley Chartered Accountants 3 Durrant Road Bournemouth Dorset BH2 6NE

Approved by order of the board of trustees on 5 January 2022 and signed on its behalf by:

H Thiel - Trustee

Page 2

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF CONNIE ROTHMAN LEARNING TRUST

Independent examiner's report to the trustees of Connie Rothman Learning Trust

I report to the charity trustees on my examination of the accounts of Connie Rothman Learning Trust (the Trust) for the period 1 March 2020 to 31 August 2021.

Responsibilities and basis of report

As the charity trustees of the Trust you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 ('the Act').

I report in respect of my examination of the Trust's accounts carried out under section 145 of the Act and in carrying out my examination I have followed all applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent examiner's statement

Since your charity's gross income exceeded £250,000 your examiner must be a member of a listed body. I can confirm that I am qualified to undertake the examination because I am a registered member of Chartered Accountant which is one of the listed bodies.

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:

  1. accounting records were not kept in respect of the Trust as required by section 130 of the Act; or

  2. the accounts do not accord with those records; or

  3. the accounts do not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a true and fair view which is not a matter considered as part of an independent examination.

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Andrew A Clark Chartered Accountant Carter & Coley Chartered Accountants 3 Durrant Road Bournemouth Dorset BH2 6NE

5 January 2022

Page 3

CONNIE ROTHMAN LEARNING TRUST

STATEMENT OF FINANCIAL ACTIVITIES FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

Period
1/3/20
to Year ended
31/8/21 29/2/20
Unrestricted Restricted Total Total
fund funds funds funds
Notes £ £ £ £
INCOME AND ENDOWMENTS FROM
Donations and legacies 2 955,063 18,000 973,063 625,929
Other trading activities 3 153 - 153 -
Total 955,216 18,000 973,216 625,929
EXPENDITURE ON
Raising funds 4 48,947 - 48,947 -
Charitable activities 5
Education 683,014 10,960 693,974 420,746
Other 54,315 6,081 60,396 35,805
Total 786,276 17,041 803,317 456,551
NET INCOME 168,940 959 169,899 169,378
RECONCILIATION OF FUNDS
Total funds brought forward 212,719 - 212,719 43,341
TOTAL FUNDS CARRIED FORWARD 381,659 959 382,618 212,719

The notes form part of these financial statements

Page 4

CONNIE ROTHMAN LEARNING TRUST

BALANCE SHEET 31 AUGUST 2021

Unrestricted
Restricted
fund
funds
Notes
£
£
FIXED ASSETS
Tangible assets
11
5,070
959
CURRENT ASSETS
Debtors
12
2,839
-
Cash at bank
397,838
-
400,677
-
CREDITORS
Amounts falling due within one year
13
(24,088)
-
NET CURRENT ASSETS
376,589
-
TOTAL ASSETS LESS CURRENT
LIABILITIES
381,659
959
NET ASSETS
381,659
959
FUNDS
14
Unrestricted funds
Restricted funds
TOTAL FUNDS
2021
Total
funds
£
6,029
2,839
397,838
400,677
(24,088)
376,589
382,618
382,618
381,659
959
382,618
2020
Total
funds
£
1,375
-
265,091
265,091
(53,747)
211,344
212,719
212,719
212,719
-
212,719

The financial statements were approved by the Board of Trustees and authorised for issue on 5 January 2022 and were signed on its behalf by:

H Thiel - Trustee

The notes form part of these financial statements

Page 5

CONNIE ROTHMAN LEARNING TRUST

CASH FLOW STATEMENT FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

Notes
Cash flows from operating activities
Cash generated from operations
1
Net cash provided by operating activities
Cash flows from investing activities
Purchase of tangible fixed assets
Net cash used in investing activities
Change in cash and cash equivalents
in the reporting period
Cash and cash equivalents at the
beginning of the reporting period
Cash and cash equivalents at the end
of the reporting period
Period
1/3/20
to
Year ended
31/8/21
29/2/20
£
£
143,349
198,657
143,349
198,657
(10,602)
(2,063)
(10,602)
(2,063)
132,747
196,594
265,091
68,497
397,838
265,091

The notes form part of these financial statements

Page 6

CONNIE ROTHMAN LEARNING TRUST

NOTES TO THE CASH FLOW STATEMENT FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

1. RECONCILIATION OF NET INCOME TO NET CASH FLOW FROM OPERATING ACTIVITIES

Net income for the reporting period (as per the Statement of
Financial Activities)
Adjustments for:
Depreciation charges
Increase in debtors
(Decrease)/increase in creditors
Net cash provided by operations
Period
1/3/20
to
Year ended
31/8/21
29/2/20
£
£
169,899
169,378
5,948
688
(2,839)
-
(29,659)
28,591
143,349
198,657

2. ANALYSIS OF CHANGES IN NET FUNDS

At 1/3/20 Cash flow At 31/8/21
£ £ £
Net cash
Cash at bank 265,091 132,747 397,838
265,091 132,747 397,838
Total 265,091 132,747 397,838

The notes form part of these financial statements

Page 7

CONNIE ROTHMAN LEARNING TRUST

NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

1. ACCOUNTING POLICIES

Basis of preparing the financial statements

The financial statements of the charity, which is a public benefit entity under FRS 102, have been prepared in accordance with the Charities SORP (FRS 102) 'Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2019)', Financial Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Republic of Ireland' and the Charities Act 2011. The financial statements have been prepared under the historical cost convention.

Income

All income is recognised in the Statement of Financial Activities once the charity has entitlement to the funds, it is probable that the income will be received and the amount can be measured reliably.

Expenditure

Liabilities are recognised as expenditure as soon as there is a legal or constructive obligation committing the charity to that expenditure, it is probable that a transfer of economic benefits will be required in settlement and the amount of the obligation can be measured reliably. Expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all cost related to the category. Where costs cannot be directly attributed to particular headings they have been allocated to activities on a basis consistent with the use of resources.

Tangible fixed assets

Depreciation is provided at the following annual rates in order to write off each asset over its estimated useful life.

Fixtures and fittings - 25% on cost Computer equipment - 33% on cost

Taxation

The charity is exempt from tax on its charitable activities.

Fund accounting

Unrestricted funds can be used in accordance with the charitable objectives at the discretion of the trustees.

Restricted funds can only be used for particular restricted purposes within the objects of the charity. Restrictions arise when specified by the donor or when funds are raised for particular restricted purposes.

Further explanation of the nature and purpose of each fund is included in the notes to the financial statements.

Pension costs and other post-retirement benefits

The charity operates a defined contribution pension scheme. Contributions payable to the charity's pension scheme are charged to the Statement of Financial Activities in the period to which they relate.

continued...

Page 8

CONNIE ROTHMAN LEARNING TRUST

NOTES TO THE FINANCIAL STATEMENTS - continued FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

2.
DONATIONS AND LEGACIES
Donations
Fees receivable
3.
OTHER TRADING ACTIVITIES
Fundraising events
4.
RAISING FUNDS
Raising donations and legacies
Staff costs
Other trading activities
Purchases
Aggregate amounts
Period
1/3/20
to
Year ended
31/8/21
29/2/20
£
£
49,912
-
923,151
625,929
973,063
625,929
Period
1/3/20
to
Year ended
31/8/21
29/2/20
£
£
153
-
Period
1/3/20
to
Year ended
31/8/21
29/2/20
£
£
48,835
-
Period
1/3/20
to
Year ended
31/8/21
29/2/20
£
£
112
-
48,947
-

continued...

Page 9

CONNIE ROTHMAN LEARNING TRUST

NOTES TO THE FINANCIAL STATEMENTS - continued FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

5. CHARITABLE ACTIVITIES COSTS

5. CHARITABLE ACTIVITIES COSTS
Direct
Costs
£
Education 693,974
6. SUPPORT COSTS
Governance
costs
£
Other resources expended 6,471

7. TRUSTEES' REMUNERATION AND BENEFITS

There were no trustees' remuneration or other benefits for the period ended 31 August 2021 nor for the year ended 29 February 2020.

Trustees' expenses

There were no trustees' expenses paid for the period ended 31 August 2021 nor for the year ended 29 February 2020.

8. STAFF COSTS

Wages and salaries
Social security costs
Other pension costs
Period
1/3/20
to
Year ended
31/8/21
29/2/20
£
£
615,675
355,728
40,997
22,316
4,944
3,897
661,616
381,941

The average monthly number of employees during the period was as follows:

Period
1/3/20
to Year ended
31/8/21 29/2/20
Staff 33 23

No employees received emoluments in excess of £60,000.

continued...

Page 10

CONNIE ROTHMAN LEARNING TRUST

NOTES TO THE FINANCIAL STATEMENTS - continued FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

9.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
Restricted
fund
funds
£
£
INCOME AND ENDOWMENTS FROM
Donations and legacies
625,929
-
EXPENDITURE ON
Charitable activities
Education
420,746
-
Other
35,805
-
Total
456,551
-
NET INCOME
169,378
-
RECONCILIATION OF FUNDS
Total funds brought forward
43,341
-
TOTAL FUNDS CARRIED
FORWARD
212,719
-
Total
funds
£
625,929
420,746
35,805
456,551
169,378
43,341
212,719

10. KEY MANAGEMENT

The Trustees have identified R Parson, E Rothman and M Riding as key management.

The total remuneration cost including gross pay, employers national insurance and employers pension costs in the 18 month period was £215,481 (2020 - year £67,304).

continued...

Page 11

CONNIE ROTHMAN LEARNING TRUST

NOTES TO THE FINANCIAL STATEMENTS - continued FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

11.
TANGIBLE FIXED ASSETS
Fixtures
and
Computer
fittings
equipment
£
£
COST
At 1 March 2020
-
2,063
Additions
743
9,859
At 31 August 2021
743
11,922
DEPRECIATION
At 1 March 2020
-
688
Charge for year
279
5,669
At 31 August 2021
279
6,357
NET BOOK VALUE
At 31 August 2021
464
5,565
At 29 February 2020
-
1,375
12.
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2021
£
Trade debtors
2,839
13.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2021
£
Trade creditors
1,375
Taxation and social security
21,062
Other creditors
1,651
24,088
Totals
£
2,063
10,602
12,665
688
5,948
6,636
6,029
1,375
2020
£
-
2020
£
3,236
12,560
37,951
53,747

continued...

Page 12

CONNIE ROTHMAN LEARNING TRUST

NOTES TO THE FINANCIAL STATEMENTS - continued FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

14.
MOVEMENT IN FUNDS
Unrestricted funds
General fund
Restricted funds
Clothworkers
TOTAL FUNDS
Net movement in funds, included in the above are as follows:
Unrestricted funds
General fund
Restricted funds
Hargreaves
Clothworkers
TOTAL FUNDS
Comparatives for movement in funds
Unrestricted funds
General fund
TOTAL FUNDS
At 1/3/20
£
212,719
-
212,719

Incoming
resources
£
955,216
10,000
8,000
18,000
973,216
At 1/3/19
£
43,341
43,341
Net
movement
At
in funds
31/8/21
£
£
168,940
381,659
959
959
169,899
382,618
Resources
Movement
expended
in funds
£
£
(786,276)
168,940
(10,000)
-
(7,041)
959
(17,041)
959
(803,317)
169,899
Net
movement
At
in funds
29/2/20
£
£
169,378
212,719
169,378
212,719

continued...

Page 13

CONNIE ROTHMAN LEARNING TRUST

NOTES TO THE FINANCIAL STATEMENTS - continued FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

14. MOVEMENT IN FUNDS - continued

Comparative net movement in funds, included in the above are as follows:

Unrestricted funds
General fund
TOTAL FUNDS
Incoming
resources
£
625,929
625,929
Resources
Movement
expended
in funds
£
£
(456,551)
169,378
(456,551)
169,378

The general fund is available for use for the primary activity of education as specified within the governing document.

The Hargreaves restricted fund was utilised in full on the close the gap programme at the Summer school in 2021.

The Clothworkers restricted fund was spent on IT infrastructure and capital expenditure on computer equipment.

15. RELATED PARTY DISCLOSURES

There were no related party transactions for the period ended 31 August 2021.

Page 14

CONNIE ROTHMAN LEARNING TRUST

DETAILED STATEMENT OF FINANCIAL ACTIVITIES FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

Period
1/3/20
to Year en ded
31/8/21 29/2/20
£ £
INCOME AND ENDOWMENTS
Donations and legacies
Donations 49,912 -
Fees receivable 923,151 625,929
973,063 625,929
Other trading activities
Fundraising events 153 -
Total incoming resources 973,216 625,929
EXPENDITURE
Raising donations and legacies
Wages 47,528 -
Social security 31 -
Pensions 1,276 -
48,835 -
Other trading activities
Purchases 112 -
Charitable activities
Wages 568,147 355,728
Social security 40,966 22,316
Pensions 3,668 3,897
Rent and rates 27,764 11,636
Insurance 11,230 2,493
Light and heat 4,225 2,084
Consultancy 6,698 11,004
Repairs and maintenance 2,682 2,667
Cleaning 3,835 2,047
Travel 451 1,321
Carried forward 669,666 415,193

This page does not form part of the statutory financial statements

Page 15

CONNIE ROTHMAN LEARNING TRUST

DETAILED STATEMENT OF FINANCIAL ACTIVITIES FOR THE PERIOD 1 MARCH 2020 TO 31 AUGUST 2021

Period
1/3/20
to Year en ded
31/8/21 29/2/20
£ £
Charitable activities
Brought forward 669,666 415,193
Training costs 4,967 4,865
Educational supplies 10,077 -
Exam fees 3,316 -
Fixtures and fittings 279 -
Computer equipment 5,669 688
693,974 420,746
Other
Stationery 6,612 10,965
Software 23,398 870
Telephone 2,777 942
Promotion and advertising 187 1,106
Professional fees 10,470 16,778
Subscriptions 9,689 2,117
Sundry 411 151
Bank charges 381 123
53,925 33,052
Support costs
Governance costs
Accountancy and legal fees 6,471 2,753
Total resources expended 803,317 456,551
Net income 169,899 169,378

This page does not form part of the statutory financial statements

Page 16