Plawsworth and Kimblesworth Community Centre and Recreation Ground (Charity No: 1174075) (https://www.nettlesworthcommunitycentre.co.uk)
Annual General Meeting, June 13[th] , 2023
Trustees’ Annual Report
The charity, which began as a CIO on 1[st] January 2018, has the following aims:
The objects of the CIO are to run a Community Building and to promote, for the benefit of the inhabitants of Kimblesworth and Plawsworth Parish and Sacriston parish (“area of benefit”) without distinction of sex, sexual orientation, age, disability, nationality, race or political, religious or other opinions, the provision of facilities for recreation or other leisure time occupation of individuals who have need of such facilities by reason of their youth, age, infirmity or disablement, financial hardship or social and economic circumstances or for the public at large in the interests of social welfare and with the object of improving the conditions of life of the said inhabitants.
This report covers the period from June 2022 to June 2023.
The current trustees are:
John Barclay (Chair); George Kendall (Vice-Chair); Lisa Walker (Bookings Secretary); Lillian Walker; Heather Liddle (Treasurer); Diana Barclay (Minutes Secretary); Bill Jackson (appointed by Kimblesworth and Plawsworth Parish Council).
Peter Beard resigned as a Trustee during the course of the year, for family reasons.
Our constitution allows a minimum of 6 and maximum of 12 Trustees
The Management Committee of the Centre consists of the Trustees and meets every month. Membership of the Charity is open to any member of the community, on completion of an application form.
The Nettlesworth Centre continues to be used by a wide range of groups, and continues to be an important hub for our villages and the surrounding community. The Sacriston Youth Project continue to be an ‘anchor-tenant’ and makes excellent use of the building; one room (the Conference Room) has been designated as an SYP Youth Room. Other regular users during the period of this report include: The Community Café; Little Stars; Mini Melodies; two Dog Training groups; Sugarcraft; Durham Music Theatre; the Parish Council; and a local arts group.
The Centre and the Recreation Ground were the site of a hugely successful family Fun Day both in June 2022 and in June 2023. The funding for these events was largely supplied by the Parish Council. We hope to make this an annual tradition.
With the loss of gas heating in the main building, we were able to install Infrared heaters in the main hall and the Canteen, which have proved successful.
The rise in energy costs has hit our finances hard: both electricity and gas bills have been hugely higher this year.
We still have plans for significant refurbishment of the building, and have commissioned D3 to provide an options report. The Trustees have agreed priorities for refurbishment, but we are unable to progress until the new lease is in place. The Council are working with the Lambton Estates and with CISWO to resolve this matter, but we are currently in limbo. The building remains just adequate, but refurbishment would allow a significant enhancement of our activities, We have a number of ambitious plans for the development of the building and the attraction of new users.
We are hugely grateful for the hard work undertaken by Peter Beard, in relation to our buildings maintenance. We also record here our immense gratitude for the faithful and efficient work performed by Lisa Walker, our Bookings Secretary, and for the energy, vision and highly effective administration performed by Heather Liddle, our Treasurer.
John Barclay (Chair) on behalf of the Trustees
UNAUDITED FlINA'cIAL STATF.NIENI TS FOR THE YEAR ENDED JI .IULY 2022 FOR KII%IBLF.SIVORTH & PLAII'SII'ORTH COINlhlUNITY ASSOCIATION
IKlIllBLESII'ORTH & PL.411'SII'ORTH CO.Ililll:"Ii ITI".45SOC-J..tI-IONI' C'ONI TEINTS OF THE FIN.4INC'I.4L ST.4TEIIEliTS FOR THE I"E.4R ENI DED31 DECEIllBER 2022 P.4CE Iniomc and I..)nlIT< AIxi)UftL TlrfllrflL ShL'Lt CIiLmL Approial CertitJLaie RLPM)n of ihL Indetnden[ r.NaminLT
KI.IIBI.ESII'ORTH & PL.AII'SII'ORTH CO.11.1111,YITI'.4SSOC-I.ATIONI FOR TIIE I'E.4R ENI DED 31 DEC-ENIBER 2022 REI'EiNiIE.4CC'OIIyi T I nrt5trict¢d Fund5 ITthresiritted Funds 2022 2022 2021 2021 COIIE Funding(CJfLinis 26,8)8 16,666 277 7,887 23,946 Ik)nJlion5 Sundrn" Illcome 43,801 31.833 TOTAL IJC'O.IIE 43,801 31.833 EKPEINDITITRE Cjrant IXP¢nJiiur¢ 2.354 7.8(M) 13.980 Reniq.ea5ehold fee l.iÈhi &. hLai Il'titer raies Lleanino Compuikf c.XPinses l.e?al &- pTh)IL%%lI)nal InsuranL¢ KLpairs and ml4 intenancc Suhsiriptions A¢¢vunlJnii f¢X'S 4,997 9.16 5,803 81) i)6 i,96) 1,097 17,010 494 4.lYI 271 i?0 489 4,7)6 48 TOT.4L ENPEINSES 31,833 I'ET SL'.RPL(ISiIDEFIC'IT) FOR THE I'E.IR TranslLY billlien fllnds RET.4INED S('RPLiisiIDEFIC'ITI BROI.'GHT FORII'.4RD RET.41NED SI'RPLliSIIDEFICITI TO C-.4RRI" FORII-.4RD 268
KIfvIBLESWORTH & PLAWSWORTH COIMfvIUNITY ASSOCIATION FOR THE YEAR ENDED31 DECEMBER 2022 BALANCE SHEET Notes 2022 2022 2021 2021 FIXED ASSETS CURRFNT ASSETS BIL l)k- ciitrent accoiint I 29.414 27,789 29,414 27,789 CURRENT LIABILITIES Creditors and accruals (29.146) 127,789) 29,146 27,789 NET CURRENT ASSETS LESS CURRENT LIABILITIF.S 268 TOTAL NET ASSETS 268 RESERN'ES Genernl Funds ?68
KIMBLESWORTH & PLAIVSIVORTH COTrlITrlUNITY ASSOCIATION FOR THE YEAR ENDED JI DECEMBER 2022 P40TES TO THE BALANCE SHEET Deferred Grant expenditure ?9,0?6 ?7,789 AccoiLntanc)' acciuals 29.146 27.789 RESERVES 2022 2021 B<llance bllii'd Surplus l Deficit for l'ear 268 Balllnce clfii"d 268
Kimblesivorth & PlaivsiTr'orth Communiti, Association St Unaiidite(l Financial Statements for the Year Ended 31 December 2022 Client a roval certificate We approi'e the tinanci1< I statenients and confirni ii"e hai'e made ai'ailable all relei'ant records L1nd inlonn&21ion t.or their prepantion.
GBM Accountants Limited 19b Front Street Sacriston. CntY Durham. DH7 6JS t.. 01913710427 e.. infoagbmaccountants.com www.gbmaccountants.com Independent eiaminer's report ¢0 the trustees of Kimbles)i'orth & Plaii'sii'orth Communih. Associalion, I report on the accounts for the }"ear ended 31" December 2022. Respectii'e rc5ponsibilities of trustees and examiner The ch4lrit)' s trustees are responsible for the preparation of ihe accounts. The chc1ril} s tru51¢¢S consider that an audit is nol reqiiired for ihis period (linder Section 144(2) of the Charities Act 2011 (Ilie 201 l Act) and that an independ¢nt e.Kaminalion is reqiiired. Hi< I'ing Sl¢ tisfiL'd mi'sell that the ch1< rili- is not siibjecl lo aiidit under compan}. laii- and is eligJible lor independent elamiiialion: it is m). responsibilil). lo. eiamine the accounts Linder Section 14) of the 2011 Act to folloii. the procedures11c id doiim in the General Directions gii'en b}. the Charit}, Commission (IindLr Section 14i(i)(b) of Ihe 201 l Acl)= and to st1( te ii-heiher particiilar matters hai'e conie to m). attention. Basis of the in(lependent eKaminer's reporl M}. ex<iiiiill<1tion ii"1c S Ciirried out in 1< ccordance ii.iih ihe Genenl Direclions gii'en b). the Ch<1riti' Conimission. An ex<illii111& lion incliides li rei'ieii. of Ilie accoiiiilints records Lept b!. Ilie cli¢1rils" coinparison ol-tlle 1< ccoiints prL"SLnled ii'iili those relords. It also incliides consider¢2tivn 01. 1( ni. uniisLlIl1 ilenis or diSLlosiires in Ilie <1CCOllllts. and seek'inLJ eip11< ll¢l1ioiis Ironi I'OU Lls triislees coiiceriiinc) Ic ni. siicli ni<11ters. Tlie procedlires uiidertak¢n do not proi'ide 1<11 the ei"idence th<lt ii'oiild be reqiiired iii <911 iidit. <1nd coiiseqiienil!" no opinion is &iiien as l() ii"lietlier the <1ccoiinls prLseiil a 'tnie nd I"c1ir i'ieii- ¢111d IliL report is liiiiited lo tliose Ill1¢ tie15 sel OLII ii? Ilie slcilLillL'iIIs beloi%". GBV Accodniant> I m "=oTnoan TS70'812::ry.J, -* orfie 36 8icoriTe J Dr,.. 'Iip>ard a,,.fwJham T>22 SF
GBM Accountants Limited 19b Front Street. Sacriston. County Durham. DH7 6JS t.. 01913710427 e. info ¢xgbmaccountants.com www.gbmaccountants.com In(lependent eiaminer's statement In connection ii'ith m). examination, no matter has come to m). attention: { l ) ii"hi¢h li'es me rei1s0nable Ciiuse to beliei-e ihat. in an). material respect: the r¢qiiirements to keep accounting records in accordance ii'ith Section 130 of the 201 l Act; and lo prepLire 2L ccoiinls ii'hich ciccord ii'ith ihe accounling records and lo compl). ii'iih the ¢iccoiiiiliniJ reLiuiremenis ot.the ?0 I l Act hlc lie not been mel- or (2) to ii"hiLh: in m!" opinion: attention should be drdi%'n in order to enable ¢1 proper Iindersll¥ ndin(F of the aceoiinls lo be reached. Mr G Bell GBM Accoiinlanls Lid 19b Front Sireet Sacri51on Counli" Diirhatn DH7 C)JS 9 Jliiie ?0?" GBN1 tsccodnTant< L m teo Comoam. NO..3-.1812 ¢Ef¥JarC. st. -ce 5ii 84Kwfad Dfve Wsmyard Bill Ts22 5FA
UNAUDITED FlINA'cIAL STATF.NIENI TS FOR THE YEAR ENDED JI .IULY 2022 FOR KII%IBLF.SIVORTH & PLAII'SII'ORTH COINlhlUNITY ASSOCIATION
IKlIllBLESII'ORTH & PL.411'SII'ORTH CO.Ililll:"Ii ITI".45SOC-J..tI-IONI' C'ONI TEINTS OF THE FIN.4INC'I.4L ST.4TEIIEliTS FOR THE I"E.4R ENI DED31 DECEIllBER 2022 P.4CE Iniomc and I..)nlIT< AIxi)UftL TlrfllrflL ShL'Lt CIiLmL Approial CertitJLaie RLPM)n of ihL Indetnden[ r.NaminLT
KI.IIBI.ESII'ORTH & PL.AII'SII'ORTH CO.11.1111,YITI'.4SSOC-I.ATIONI FOR TIIE I'E.4R ENI DED 31 DEC-ENIBER 2022 REI'EiNiIE.4CC'OIIyi T I nrt5trict¢d Fund5 ITthresiritted Funds 2022 2022 2021 2021 COIIE Funding(CJfLinis 26,8)8 16,666 277 7,887 23,946 Ik)nJlion5 Sundrn" Illcome 43,801 31.833 TOTAL IJC'O.IIE 43,801 31.833 EKPEINDITITRE Cjrant IXP¢nJiiur¢ 2.354 7.8(M) 13.980 Reniq.ea5ehold fee l.iÈhi &. hLai Il'titer raies Lleanino Compuikf c.XPinses l.e?al &- pTh)IL%%lI)nal InsuranL¢ KLpairs and ml4 intenancc Suhsiriptions A¢¢vunlJnii f¢X'S 4,997 9.16 5,803 81) i)6 i,96) 1,097 17,010 494 4.lYI 271 i?0 489 4,7)6 48 TOT.4L ENPEINSES 31,833 I'ET SL'.RPL(ISiIDEFIC'IT) FOR THE I'E.IR TranslLY billlien fllnds RET.4INED S('RPLiisiIDEFIC'ITI BROI.'GHT FORII'.4RD RET.41NED SI'RPLliSIIDEFICITI TO C-.4RRI" FORII-.4RD 268
KIfvIBLESWORTH & PLAWSWORTH COIMfvIUNITY ASSOCIATION FOR THE YEAR ENDED31 DECEMBER 2022 BALANCE SHEET Notes 2022 2022 2021 2021 FIXED ASSETS CURRFNT ASSETS BIL l)k- ciitrent accoiint I 29.414 27,789 29,414 27,789 CURRENT LIABILITIES Creditors and accruals (29.146) 127,789) 29,146 27,789 NET CURRENT ASSETS LESS CURRENT LIABILITIF.S 268 TOTAL NET ASSETS 268 RESERN'ES Genernl Funds ?68
KIMBLESWORTH & PLAIVSIVORTH COTrlITrlUNITY ASSOCIATION FOR THE YEAR ENDED JI DECEMBER 2022 P40TES TO THE BALANCE SHEET Deferred Grant expenditure ?9,0?6 ?7,789 AccoiLntanc)' acciuals 29.146 27.789 RESERVES 2022 2021 B<llance bllii'd Surplus l Deficit for l'ear 268 Balllnce clfii"d 268
Kimblesivorth & PlaivsiTr'orth Communiti, Association St Unaiidite(l Financial Statements for the Year Ended 31 December 2022 Client a roval certificate We approi'e the tinanci1< I statenients and confirni ii"e hai'e made ai'ailable all relei'ant records L1nd inlonn&21ion t.or their prepantion.
GBM Accountants Limited 19b Front Street Sacriston. CntY Durham. DH7 6JS t.. 01913710427 e.. infoagbmaccountants.com www.gbmaccountants.com Independent eiaminer's report ¢0 the trustees of Kimbles)i'orth & Plaii'sii'orth Communih. Associalion, I report on the accounts for the }"ear ended 31" December 2022. Respectii'e rc5ponsibilities of trustees and examiner The ch4lrit)' s trustees are responsible for the preparation of ihe accounts. The chc1ril} s tru51¢¢S consider that an audit is nol reqiiired for ihis period (linder Section 144(2) of the Charities Act 2011 (Ilie 201 l Act) and that an independ¢nt e.Kaminalion is reqiiired. Hi< I'ing Sl¢ tisfiL'd mi'sell that the ch1< rili- is not siibjecl lo aiidit under compan}. laii- and is eligJible lor independent elamiiialion: it is m). responsibilil). lo. eiamine the accounts Linder Section 14) of the 2011 Act to folloii. the procedures11c id doiim in the General Directions gii'en b}. the Charit}, Commission (IindLr Section 14i(i)(b) of Ihe 201 l Acl)= and to st1( te ii-heiher particiilar matters hai'e conie to m). attention. Basis of the in(lependent eKaminer's reporl M}. ex<iiiiill<1tion ii"1c S Ciirried out in 1< ccordance ii.iih ihe Genenl Direclions gii'en b). the Ch<1riti' Conimission. An ex<illii111& lion incliides li rei'ieii. of Ilie accoiiiilints records Lept b!. Ilie cli¢1rils" coinparison ol-tlle 1< ccoiints prL"SLnled ii'iili those relords. It also incliides consider¢2tivn 01. 1( ni. uniisLlIl1 ilenis or diSLlosiires in Ilie <1CCOllllts. and seek'inLJ eip11< ll¢l1ioiis Ironi I'OU Lls triislees coiiceriiinc) Ic ni. siicli ni<11ters. Tlie procedlires uiidertak¢n do not proi'ide 1<11 the ei"idence th<lt ii'oiild be reqiiired iii <911 iidit. <1nd coiiseqiienil!" no opinion is &iiien as l() ii"lietlier the <1ccoiinls prLseiil a 'tnie nd I"c1ir i'ieii- ¢111d IliL report is liiiiited lo tliose Ill1¢ tie15 sel OLII ii? Ilie slcilLillL'iIIs beloi%". GBV Accodniant> I m "=oTnoan TS70'812::ry.J, -* orfie 36 8icoriTe J Dr,.. 'Iip>ard a,,.fwJham T>22 SF
GBM Accountants Limited 19b Front Street. Sacriston. County Durham. DH7 6JS t.. 01913710427 e. info ¢xgbmaccountants.com www.gbmaccountants.com In(lependent eiaminer's statement In connection ii'ith m). examination, no matter has come to m). attention: { l ) ii"hi¢h li'es me rei1s0nable Ciiuse to beliei-e ihat. in an). material respect: the r¢qiiirements to keep accounting records in accordance ii'ith Section 130 of the 201 l Act; and lo prepLire 2L ccoiinls ii'hich ciccord ii'ith ihe accounling records and lo compl). ii'iih the ¢iccoiiiiliniJ reLiuiremenis ot.the ?0 I l Act hlc lie not been mel- or (2) to ii"hiLh: in m!" opinion: attention should be drdi%'n in order to enable ¢1 proper Iindersll¥ ndin(F of the aceoiinls lo be reached. Mr G Bell GBM Accoiinlanls Lid 19b Front Sireet Sacri51on Counli" Diirhatn DH7 C)JS 9 Jliiie ?0?" GBN1 tsccodnTant< L m teo Comoam. NO..3-.1812 ¢Ef¥JarC. st. -ce 5ii 84Kwfad Dfve Wsmyard Bill Ts22 5FA