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2024-12-31-accounts

C

Trustee's Annual Report and Financial Statement For the period 1 January 2024 - 31 December 2024.

Appointed Jan. 2019 Sept.2017 Jan. 2024 Mrs Lynne Turner May 2022 Paul Woolman Secretary Jul. 2024 Meg George Mar. 2022 Colin Bibby July 2023

Names of Charity Trustees Name Office Stewart Harris Chair Treasurer

Resigned

Charity details.

Name Friends of the Mount (Pembs) (FOTM) Number 1174455

Names & Address of Advisors.

Name Address Barclays Bank UK Plc Leicester LE 2BB

Address 16 larch Road Mount Estate Milford Haven Pembs. SA73 3BY

Structure, Governance & Management

Description of the Charity's Trusts

To provide a Community Centre for social welfare, recreation and leisure time occupation with the objective of improving the conditions of life for the residents of the Mount Estate and those who use the Community Centre in particular.

How the Charity is Constituted.

FOTMP is a Charitable Incorporated Organisation.

Trustee Selection Methods.

Potential trustees are identified by their interest in the wellbeing of the residents of the local area and the skill they would bring to the board.

How New Trustees are Inducted and Trained.

Where an individual has been identified as a potential trustee, they are invited to join a trustee meeting as an observer. Training is tailored to the needs of the individual. All trustees have a copy of the CIO.

Objects.

Statutory Declaration on Public Benefit.

The Trustees declare that they have complied with their duty to have due regard to the guidance on public benefit published by the Charity Commission in exercising their powers or duties.

Executive Summary.

Since the opening of the Centre the trustees have continued to see a growth in the in the number of groups now utilizing the facilities provided and in the number of residents coming to the Centre.

The provision of a more friendly outdoor space with the outdoor seating, garden planters and a marquee in early 2022 has been very successful and enjoyed by all users of the Centre.

Trustees continue to be actively involved in the operation of the Centre on a daily basis

We have seen leave Trustees in the year due to personal reasons we continue to monitor the situation and confident we are able attract new trustees.

Activities, Achievements & Performance.

A small increase in numbers using the Centre by all groups has been noticed following new charitable groups using the Centre’s facilities which is welcome.

We continue to encourage users to become volunteers in the activities they are involved in and this encouragement will continue.

.

Financial Review.

Statement of the Charity's Policy on Reserves.

The Trustees continue to maintain a policy of free reserves in unrestricted funds at a level which equates to approximately 12 months of unrestricted charitable expenditure. This ensures that trustees can undertake any expenditure to maintain the premises and replace any items.

The Trustees confirm that there are no funds in deficit as outlined in the statements of assets & liabilities.

Trustees have continued to ensure the Centre is financially secure.

Funding for the Centre continues to come from donations, grants and fund raising.

Particulars of any outstanding debt / guarantees given by the Charity.

This provision of guarantees continue to be met as outlined in previous reports.

The Trustees declare that there are no outstanding debts which are secured to any assets of the charity as at the date of the latest assets & liabilities statement.

Declaration.

The trustees declare that they have approved the above report and authorised that it be signed on their behalf.

Stewart Harris Chair

Trustee of Friends of The Mount (Pembs)

INCOME AND EXPENDITURE STATEMENT FOR FRIENDS OF THE MOUNT 01.JAN - 31 DEC. 2024

Income.

Expenditure

Pembs CC/Pavs/Numeracy 1649.00 Pembs CC/Pavs/Numeracy 1649.00 Br. Gas Elect.
704.72
Mount Stores 200.00 Vodaphone
125.82
Priory Project 80.00 Wi Fi
334.78
St. Davids DC
800.00 Water Rates
178.27
Young Life Int. 820.00 Access Ins.
528.29
Mark Evans Photographer 225.00 Boiler Service 135.84
Pembs . CC Polling days 700.00 Cleaning
663.00
Pembs. CC 225.00 Cleaning materials 39.76
TGP Cymru 25.00 Pavs Membership 30.00
S. Chamberlain 20.00 Heatng Oil
532.55
Pety Cash 208.69 Service Fire Ext. 48.00
Marquee repairs 75.09
Screwfx shelving 279 .96
G.G. Thomas (Boiler) 5485.20
Key cutng 46.65
Electric Testng 300.00
_ _
Total
4952.69
Total
9507.93
Opening Bank Balance 01 Jan 2024 21803.09
Income
4952.69
__
26755.78
Expenditure
9507.93
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Bank Balance 31.Dec. 2024 £17247.85
___
Cambridge & Countes Bank
as at Balance 31 Dec. 2024. £15406.20
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