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2021-12-31-accounts

Farnham Repair Café: Annual Report 2021: 01/01/21 – 31/12/21 [Financial Report as @ 07/02/22]

Template adapted from Section 7, Charity reporting and accounting: the essentials, November 2016 (CC15d), Charity Commission for England and Wales

1. Reference and administrative details

Charity name

Farnham Repair Café

Charity number

1172613

Address

C/O University for the Creative Arts, Falkner Road, Farnham, Surrey GU9 7DS

Names of trustees

Notes

2. Structure, governance and management

Date of constitution

18[th] April 2017

Number of trustees

7

Trustee policy

Maintain existing trustees (as appropriate receive proposals for new trustees)

Type of charity

Charitable Incorporated Organisation (CIO)

3. Objectives and activities

Purpose of the charity

To protect and safeguard the environment for the public benefit through the promotion of repair and re-use of products as a means of preventing and minimising waste disposal.

Main activities

To organise 12 x 3 hour events related to repair and re-use annually

4. Achievements and performance

Achievements: 4 Year Comparison

2021*0 2020 0 1 2019 2018
Events 7*10 4*2 12 13
Visitors 316 238 781 680
Products-in 216 174 626 506
Repairs 142 125 416 337
Repair rate 66% 72% 67% 67%
Landfill diversion(tonnes) 0.40 0.30 1.05 1.06
CO2 reduction(tonnes) 3.71 2.86 9.88*3 9.94*3
Satisfaction 98% 97%*4 98% 99%
Citizen savings £14,537 £10,455*5 £36,877 £30,174
Website hits*6 6049 1110 - -
YouTube channel hits*7 505 129 - -
CO2 Calculator hits*8 927 550 - -
Facebook repair advice*9 - 71 - -
Webinars 1 4 - -

Notes: 0 FRC activity declined in 2020-21 due to CV19, 1 Updated repair data included for 4 events; 2 Includes 2 x physical & 2 x drop-off events; 3 Updated based on revised CO2 calculation methodology (2018); 4 Data based on 2 x physical events; 5 Includes data on 2 x physical events with 2 x drop-off added); 6 Dedicated website launched April 2020 (Data April – Dec 2020); 7 FRC YouTube channel established on July 2017 (Monthly data collected from August 2020); * 8 Online repair CO2 calculator launched April 2020 (Data based on standard tool: April – Dec 2020); 9 Data collected from April 2020 (included 4 x ‘live’ online chat advise sessions before decision made to move to ‘open’ service). 10 Includes data on 3 x drop-off/4 x open sessions

Performance milestones achieved in 2021 (individual & cumulative)

5. Financial review (see financial statement)

Financial summary: 4 Year Comparison

2021
2020
2019 2018
Opening balance (01/01/21) £3070.19 £3435.92 £3554.98 £1674.19
Income £1935.56 £1254.50 £3460.80 £2809.88
Costs £1797.48 £1620.23 £3579.86 £929.09
Surplus/(deficit) £138.08 (£365.73) (£119.06) £1880.79
Closing balance (at bank) £3208.27 £3070.19 £3435.92 £3554.98

Income sources: 4 Year Comparison

2021
2020 2019 2018
Donations £1643.00 £858.50 £3460.80 £2383.30
CAF donation from BP £ -
£ - £ - £176.58
Grants £ - £ - £ - £250.00
Gift aid £162.76 £ - £ - £ -
Other £129.80 £396.00 £ - £ -
Total £1935.56 £1254.50 £3460.80 £2809.88

6. 2021: Risk Analysis (Significance/Likelihood) and [Mitigation]

7. Public benefit statement (also see 3.)

Public benefit (adherence to): 4 Year Comparison

To protect and safeguard the environment for the public benefit

2021*0 20200 1 2019 2018
Repairs completed 142 125 416 337
Repair rate 66% 72% 67% 67%
Landfill diversion(tonnes) 0.40 0.30 1.05 1.06
CO2 reduction(tonnes) 3.71 2.86 9.88*2 9.94*2

Notes: 0 FRC activity declined in 2020-2021 due to CV19, 1 Updated repair data included for 4 events; *2 Updated based on revised CO2 calculation methodology (2018)

8. Information on fundraising

Approach

9. Plans for future periods

2022: Aims, objectives and activities

By order of the Board of charity trustees

Martin Charter, Chair, Board of Trustees, Farnham Repair Café, 07/02/21

FARNHAM REPAIR CAFE_Financial_Statement_2021 (1st January 2021 - 31st December 2021) as @ 01/01/22

Opening balance as at 01/01/21: £ 3,070.19
Closing balance as at 31/12/21: £ 3,208.27
Income (between 01/01/21 - 31/12/21) Income (between 01/01/21 - 31/12/21)
Donations - collective £ 965.50
Donations - individual £ 277.50
Donations - corporate £ 400.00
Grants £ -
Gift aid £ 162.76
Other £ 129.80
Sub-total £ 1,935.56

Expenditure (between 01/01/21 - 31/12/21)

Insurance £ 63.53
Promotion (inc Business Cards) £ 74.84
PAT calibration £ 225.60
Food/coffee/teas £ 172.40
Equipment £ 136.91
Consumables (inc CV19 purchases/
3DP filament) £ 91.40
Corporate clothing £ -
Team dinner £ -
Miscellaneous £ 32.80
Distribution to Spire Church £ 1,000.00
Sub-total £ 1,797.48
Annual surplus/defecit £ 138.08
Closing balance £ 3,208.27