Charity Number 1174417
INSPIRED NEIGHBOURHOODS CHARITABLE TRUST LIMITED
Report and Accounts
for the year ended
31 March 2021
Reglstered Company Number: 10924365 (England & Wales
Company Llmlted By Guarantee
IIIIMIIIII
"A4KIXOIY*
2411212021
COMPANIES H¢JJSE
A12
#110 1

INSPIRED NEIGHBOURHOODS CHARITABLE TRUST LIMITED
CONTENTS PAGE
Page
Legal an¢J.Administratr¥e Infomiation
Truslees Rewl
Independent EXamin￿S Reptyl
ststement of Financial Acti¥￿e$
Balance Sheet
Notes to Ihe Accounts

INSPIRED NEIGHBOURHOODS CHARITABLE TRUST LIMITED
LEGAL & ADMINISTRATIVE INFORMATION
FOR THE YEAR ENDED 31 MARCH 2021
Incorporated
21st Augusl 2017
Ccrfnpany L¥nited by Guarantee
Regi$t•r•d Nam&
InS￿red Neighbourhoods Charitable Trust Limited
Registered Cofflpany Number
10924365
R•gi5tsr•d Charity Numb•r
1174417
R•gister¢d Offi¢e
Wright Watson Ente￿rise Cent
40 ￿biOn Road
8010 9PY
Directors & Trustees
A Bashir
M A J Breailey
Z Hussain
Lmai
J Steele
Bankers
Nalwest Bank
Indep•nd•nt Examiner
TO￿ve11 Oent ￿'MIted
1-3 Sl Ann's Hace
Petlon Lane
Halrfax
HX1 5RB
Page I

INSPIRED NEIGHBOURHOODS CHARITABLE TRUST LIMITED
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 MARCH 2021
l. Strurture. Govefnan¢e and Management
Inspired Neighbourhoods Charitable Trust IINcf) is a company limited by guarantee
incorporated on 24th August 2017 wrfih company number 10924365. The company was
established under a Memorandum and Articles of Association which form INCT'S
"governing documents~.
INCT is also a charity registered on 24 August 2017 wtth chartty number 1174417 .
Accordingly, the Board of Directors of the company a￿ also its trustees for the purpose of
charity law- however. throughout this report they are collectively referred to as"Directors".
The Dirertors:
Name:
Start Date:
A Bashir
R Dewedi
21 August 2017
21 August 2017
6 February 2019
31 January 2019
31 January 2019
31 January 2019
L Mairs
I Steele
M Brearley
Z Hussain
The Board of Directors is responsible for the strategic direction and sound overall management of
INCT. The Board of Directors has members from a variety of professional background5 and
experience of Health. Asset Management. Community Development and Economy relevant to
INcf's ethos and Work. The Directors meet about every 6 to 8 weeks to discuss and decide upon
strategic and business matters.
A scheme of delegation is in place and day-to-day responsibility for the provision of the seryices
rest with the Chief Executive supported by the Senior Management Team and Finance Officer.
The Chief Executive is responsible for ensuring that IN￿ delNers the services that have been
commissioned or funded and that key performance indicator5 are met.
Bank:
NATWEST Bank. 1 Mathet Street. Bradtord BD1 1EG
Accountants: Torevdl Dent Ltd. 1-3 St Ann's Place. Pellon Lane. Halitsx. HX1 5RB.
Pa9e 2

INSPIRED NEIGHBOURHOODS CHARITABLE TRUST LIMITED
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 MARCH 2021
2. INcf'$ W151on, Ml$4on and Values
INcf's Ylslon is to:
To create prosperous, cohesive and 5UStairtable places to live and work where healthy and
phy5icalty active residents enjoy better access to education. employment and learning
opportunities to enable them to dream bg and achieve great things.
INcf's mission is to:
Interact and work with local communrties io enable everyone in our communities to be healthy,
prosperous and happy.
INCT'S ¥alues are
Respect
Trusi
Integrity
Passion
Partnership
3. INcfs Objectives and Acliwlties
• IN￿ will deliver mental wellbein8 and physical health services to tackle health inequalities.
IN￿ will develop physical assets to provide locality based services making them accessible
to all sections ot ihe community.
INCT will deliver employment and enterprise support services- welfare and debt advise to
tackle poverty.
INCT will engage local residents, businesse5, 50cial enterprises and key stakeholders to
consult upon and improve services.
4. A¢hlevements and Performance
INCT has secured a substantial grant of Euopean Funding to undertake refufbishment to a grade
2 listed building in Bradford City Centre- Guardian House (old Registry Office). The works have
now been completed in partnership with Bradford Council and Bradford Care Trust. who have
agreed to become an anchor tenant at the property- We have atso secured other tenants and
are confident of letting all spaces available in due course.
5. Fundralsing Policy
During this year we have received and spent a European grant to enable refurbishment of
Guardian House. We also received a grant from Architectural Heritage Fun<J and some
emergency COVID grant5 during the year. Furthermore, we have recently secured a large grant
to deliver mental heatth help from Leeds Hosprtal Charities Foundation.
Going forward, it is clear that the grant-making environment continues to be very difficult,
but we continue to look for fundraising opportunities so that capital works can be carried
out at Guardian House as well as revenue funding to support our vision and purpose.
Page 3

INSPIRED NEIGHBOURHOODS CHARITABLE TRUST LIMITED
TRUSTEES. REPORT
FOR THE YEAR ENDED 31 MARCH 2021
6. Relatèd Parties
IN￿ remains committed as always to work in partnership with k>cal ststutory and voluntary
agencie5. as thi5 aviMd5 duplitation and maximises value for money for funder5 and the
commvrtity at large.
We *ek partnership with other agencies in 8radford to prowde adde(I value service5 to our
servite users and bring much needed inward investment to INCT.
7. Risk Management
The Board continue5 to manage risk5 on a regular basis to protect the organisation and sefwce
users and maintains a risk register.
8. Reserves Pollcy
The Trustees have examined the companvs requirements for reserves in light of the main
risk5 to the eompany.
9. Responsibilities of the Dlre¢torsifrust•es
Cofnpany law require5 the director5 to prepare financial statements for each financial year
which 8ive a true and fair wew of the state of the affairs of the company as at the balance
Sheet date and of its incomin8 resourres and application of resourtes. including in¢ome and
expenditure. for the financial year. In preparing those financial $￿teMents. the Directors
should follow best prartice and..
al Select suitable accounting policie5 and then aP￿V them consistentlv..
bl Make judgements and estimates that are reasonable and prudent;
cl Prepare the financial statements on a Boing concern ba515 unle55 It 15 inappropriate t
assume that the tompany will continue on that basis.
The Directors are rèsponsible for maintainin8 proper accounting records which disclose with
reasonable accuracy at any tiffle INcfs financial positi¢)n, and to enable them to ensure that
the financial 5tstements ¢omply with the Companies Art 2006. The Directors are also
responsible for safe8uarding the assets of the company and, hence. f¢Y taking reasonable
steps for the prevention and dètection of fraud and other irregularbtie
In accordance wilh company law, as the companTrKs Directors, we certify that..
al So far as we are aware there is no relevant information of which the companrfs
accountanis are unaware; and
bl As the Directors of the company we have tsken all ihe steps that we ou8ht to have taken
in order to make ourselves aware of any relevant infOrmat￿)n and to establish that the
company's accountants #re aware of that information.
10. A¢countin8 Principles and Authorisation
The Financial Statements have been prepared in accordance with the Staternent of Recommended
Practice.. SORP IFRS 1021 and in accordance with the special provbsions of Part IS of ihe Companies Act 2006
relating to small entities. and INCT'S governing documents.
by
edir
ors on 16 December 2021 ar￿ signed on bts behalf under delegated authority by..
Abid
ashir
Chairperson
Page 4

Independent Examiner's Report to the Directors and Trustees of
Inspired Neighbourhoods Charitable Trust Limited
for the year ended 31 March 2021
I report to the charity'5 trustees on my examination of the accounts of the Trust for the year
ended 31st March 2021 which are set out on pages 6 to 9.
Res
¢ctiv¢ res
nsibilitie5 and basis of the re
As the charity's trustees of the cornpany {and also it5 directors for the purpose of the company lawl
you are responsible for the preparation of the accounts in accordance wrth the requirements of the
Charities Act 2011 and the Companies Aci 2¢)061'the 2006 Act'l.
Having satisfied myseff that the accounts of the Trust are not ￿qUIred to be audited under
Part 16 of the 2￿6 Act and are eligible for Independeni ExaMinat￿n, I report in respect of mv
examination of your charity's accounts as carried out under section 145 of the Charities Act 2011
I'the 2011 A¢t'l. In carrying out my examination I have followed the direct￿ns given by the
Charity Commission under section 145151 Ibl of the 2011 Act.
Independent Examlnrf's Statement
I confirm that l am ou3lified to undertake the examination because l am 3 member of the
ssociation of Charrered Certified Accountants. which is oTre of the listed ￿dieS.
I have completed my examination. I confirm that no matters have come to my attention in
connection with the examination giving me cause to believe=
l. Ac¢ountin8 records wefe not kept in respect of the Trust as required by section 386
ofthe 2006 Att. or
2. The accounts do not accord wrth those records. or
3. The accounts do not comply with the accounting requirements of section 396 of the 2006
Act other than any requirement that the accounts give a 'true and fair view. which is not a
matter considered a5 Part of an independent examination- or
4. The accounts have not been prepared in accordance with the methods and principles of
the Statement of Recommended Practice for accoLsnting and reporting by charitie5
lapplicable to charities preparing their accounts in accordance with the Financial Reporting
Standard applicable in the UK and Republic of Ireband IFRS 10211
I have no concerns and have come across no other matters in connection with the examination to
which attention should be drawn in thts report in order to enable a proper understanding of the accounLI
to be reached.
anlha J Sutcliff• F.C.C.
Torèvtll Dent Llmited
1-3 St Ann's Plac•
Pellon Lane
Halilax. HX15RB
Date..
Pa9e 5

INSPIRED NEIGHBOURHOODS CHARITABLE TRUST LIMITED
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2021
2021
2020
Restrid
Funds
Unrestrict•d
Funds
Total
Funds
Total
Funds
Incom?:
Grant5
Covid Grants recaN8d
208.058
9.626
208.058
9,626
7.880
Total
217.684
217,684
7.880
Ex
nditur•:
Charilable activities
Cther costs
14.515
2.319
14.515
2.319
25
6(K)
Total
16.834
16,834
625
Surplus for the period
200.850
200.850
7,255
Total funds brought forward
7.255
7.255
Total fund$ ¢#rried fonw•rd
208.105
208.105
7.255
The statement of financial acts.vil￿ includes all gains afKt losse5 in the year. Al income resou￿¢$ expgndgd
derive from continuing aclivibes.
Page 6

INSPIRED NEIGHBOURHOODS CHARITABLE TRUST LIMITED
BALANCE SHEET
FOR THE YEAR ENDED 31 MARCH 2021
2021
Total
FuDd$
2020
Total
Fund$
R•strKted Unr¢strict•d
Funds
Funds
Noles
Fixed Assets
Tangible assets
624.308
624.308
192.157
Currmt Ass•ts
Cash al bank
Debtors
31
38,418
1,688
1.688
Total Current Assets
1.688
38.449
Liabllltl•s:
Am¢xJnls falling due w¢thin one
Total Curreftt Ass•ts
2,617
2,617
600
1929)
{929)
37.849
Total As59ts l•$$ Curr•nt Liabili¢i•s
623,379
623.379
230.006
L•abilities:
Amounts falling due after one yEar
141S.2741
(415.2741
1222.7511
Total Net Assets
208.105
208.10S
7.255
Funds
Unrestricted funds
Reslricled funds
208.105
208.105
7.255
Total Funds
208,105
208,105
7,255
The company is entiued to eXeMpt￿n from audit under Section 477 of the Companies A¢1 2006 fcf the year
ended 31 March 2021.
The member5 have not rèquired the company to obtain an aL*Jrt of it's financial statements for the year ended
31 March 2020 in accordance with Secb"w 476 of the C￿panIeS kl 2006.
The directors a¢knowlecJge Ih*'r responsibil￿e$ f￿.
al Ensuring that the company keeps accountirtrg rec(xds wthich cOm￿Y &clw)n$ 386 and 387 of tho
Companies Act 2006 and
bl Preparing financial stalements which give a true and fair view of Ihe state of affair5 of the company a5 at
the end of each financial year and of ils profit or loss for each financial year in accordance wth the
requirements of Se¢b"on 394 and 395 and which otherwise the reqUireM￿ts of the Cornpanies
Act 2006 rdaling lo financial statements. so far as applicable to the ctynpany.
These financral statements have been prepared in accor(1an￿ wth the special provisi￿ts of Pan 15 of Ihe
Companies Act 2006 reLating to small companies and with the Charib'es SORP IFRS 102)
leffective January 2015)
The Fina
behal
ial Ststements apwove<l by the Board ofTrustees ￿ ..
and signed on its
d 8ashir
Chairporson
Page 7

INSPIRED NEIGHBOURHOODS CHARITABLE TRUST LIMITED
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2021
Accounting Policies
8a$s$ of a¢¢ounting
The finanual ststements have been prepared under the htstorical cost conv￿tion and are in
a￿Ordance applicable a￿untIng standards. the Charl1￿ SORP {FRS 102) and the
charit￿s Acl 2011.
Funds held by the Company
Unrestricted funds ￿present funds received by the companyt•thich are a¥￿lable to ￿ directors
to apply for the general purposes of the company as sel out in the go¥em￿g d¢xument.
Reslrictsd funds rep￿sent fvnds received for a specffic purpose.
Incomlng r•sourc•s polici•s
All incoming resources are induded in the ststement of financial activiiies when the charity is
legally entilled.lo the income and the amount can be qua￿trf￿J with lea$L￿able ac¢LJrècy.
R8sources •xpend•d policies
Expenditure is accounted for on an accruals basis and pYovision.i$ in¢hJded in the fffiancial
slalements for all known liabilities al Ihe Balance Sheet date. Irrecoverable VAT is attached lo
the spe¢ifi¢ expenso I￿Urred.
Resources Expended
Restricted
Funds
Unrestricted
Funds
Total
Funds 2021
Tot•1
Fund$ 2020
Charitablo a¢tivi¢i¢s:
Bank Charges
Legal & Profesgonal
Insurance
Telephone & Internet
Power, Light & Heat
5,5SY)
300
2,605
1.515
4,505
14,515
2.605
1.515
4.￿5
14515
5,590
Olh•r:
Accountancy
Loan Interest
600
1,719
2.319
1,719
2.319
600
Page 8

INSPIRED NEIGHBOURHOODS CHARITABLE TRUST LIMITED
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2021
Fixed Assets
Asat
31-Mar-21
01-Apr-20
Addltions
lor year
Tan8ible Assetss:.
Property & Refurbishment
192,157
432.151
624,308
192.157
431151
624.308
The addr(ion includes the purchase of Guardian House which. as reflected within the tinancwl
record5, was purchased during the year ended 31 March 2021.
Due to a delay in the submission of documentation by the 501icitor th￿ transfer ts not noted
at the Land Registry until the financial year ending 31 March 2022.
Debtors
Restri¢tod Unr¢stricted
Fund$
Fund$
Total
2021
Total
2020
Vat RefLnd due
1,688
38.418
1.688
1,688
38.418
Liabilities. due within one year
R•stricl•d Unrestricted
Funds
Funds
Total
2020
2021
Bank Overdraft
Accruals
1.417
1.21x1
1.417
1.200
2.617
2.617
Restrict•d Unrestricted
Totsl
2021
Total
2020
6 Li•b41ilies, due after on• year
INCIC
BRADNET
INCIC Loan
Bank Loan
98,154
8,220
98.154
8,220
50.000
258,900
164,531
8,220
So.￿0
258,
415,274
415.274
222.751
6. Transadions with Trustees
No Truslee received any payTrents during the ￿#r.
Page g