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2021-03-31-accounts

HOPE INTO ACTION READING

TRUSTEES'/DIRECTOR’S REPORT AND ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2021

Company Registration No. 09358716 (England and Wales)

Charity Registration No. 1175092

1

HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

CONTENTS

Reference And Administrative Details 3
Objectives And Activities 4
Achievements And Performance , 4
Future Plans 5
Financial Review 5
Structure, Governance And Management 6
Independent Examiner’s Report 7
Statement Of Financial Activities 8
Balance Sheet 31 March 2020 9
Note 1 Basis Of Preparation 10
Note 2 Accounting Policies 11
Note 3 Analysis Of Income 12
Note 4 Analysis Of Expenditure 13
Note 5 Debtors 13
Note 6 Creditors 13
Note 7 Fixed Assets 13
Note 7 Charity Funds 14

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HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

REFERENCE AND ADMINISTRATIVE DETAILS

Charity name: HOPE INTO ACTION READING HOPE INTO ACTION READING
Charity registration number: 1175092
Company number: 09358716
Appointment Date
Trustee / Director: Dr Richard Croft (chair) 10.12.17
Dr Pamela Ward 17.12.14
Mrs Susan Ralph 30.09.18
Mrs Mary Langshaw 25.06.19
Franchise Manager Mary Lewis, appointed 01/01/2021
Franchise Holder Hope into Action, East of England.
Bankers Barclays Bank
Independent Examiner Mr Mervyn Thomas

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HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

OBJECTIVES AND ACTIVITIES

The Charity’s objectives are for the public benefit and are specifically to relieve sickness and financial hardship and to promote and preserve good health by the provision of funds, goods, or services of any kind, including the provision of accommodation in such parts of the United Kingdom or the world as the Trustees from time to time may think fit.

Hope into Action: Reading (HiAR) is a Christian housing charity with the objective of breaking the cycle of housing poverty in Reading. HiAR is a franchise of Hope into Action East of England (see section on Structure and Governance). We enable churches to provide homes for those who find themselves without a home. In the period covered by this report, we maintained two houses. The tenants have been supported by paid ‘Empowerment Workers’ (EWs) who keep the tenants focussed on maintaining their tenancy, building networks of support around them, accessing public funds, and, if applicable, maintaining employment.

Each house is also partnered with a local church providing a team of volunteers, the ‘Friendship and Support (F&S) team’ who befriend the tenants and help in the process of widening their social network. The EWs and F&S team meet with the tenants on a weekly basis, sometimes more often.

The tenants are provided with support in the following areas: maintaining their tenancy; recidivistic behaviors; substance misuse, addiction, recovery and self-harming; physical health in relation to doctors’ appointments, general health, and well-being; mental health and wellbeing including confidence and self-esteem as well as more pronounced mental health issues; encouraging them to get involved in volunteering and social activities; education, employment and training appropriate to the individual; improving family relationships where they have broken down; finance, budgeting, and debt assistance.

HiAR provides housing by finding people who are prepared to invest sums of money in buying a house which is then leased to the charity. The investors receive a small return on their investment (2%) which they receive monthly or quarterly.

ACHIEVEMENTS AND PERFORMANCE

The last year has been dominated by the Covid-19 epidemic and the restrictions it has imposed on working. Nevertheless, the two houses that HiAR operates – one for men, and another for women and their children – have remained safe places for our residents. Our two EWs continued to visit the residents virtually most of the time using Zoom, and provided for their needs during the difficult period of lockdown. Neither staff members, nor any of the residents became positive for Covid-19 and remained well throughout the whole period. Both houses were operating at nearly full capacity with 2 women and 2 children or 3 women and 3 children in the women’s house (maximum capacity 3 women and 3 children); and between 3 and 4 men in the men’s house (maximum capacity 4). In addition, the church F&S teams continued to interact with the residents by phone and Zoom.

The year has also been one of change for the staff of HiAR. Executive Director, Tom Ward, stepped down in July 2020; in addition, one of the EWs who had himself previously been a resident, left the charity. We are grateful to both of them for their service, particularly to Tom who actually founded HiAR and led it for several years. Louise Cross was employed as an Empowerment Worker in October. She was previously employed by HiAR and we were grateful for her experience which she was immediately able to deploy. Towards the end of 2020 we advertised for the position of Franchise

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HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

Manager (with a very similar job description to Executive Director) and received a number of good applications. At interviews it was clear that there was one outstanding candidate and we were delighted to appoint Mary Lewis to the position beginning on 1[ st ] January 2021. She was able to bring her experience working as an EW for 2 years to her new role and has already made a significant, and wholly positive, impact.

During the period between Tom Ward leaving his post, and Mary Lewis’s appointment (a period of 5 months), the charity was managed directly by the Trustees, who met regularly with the EWs. In addition, one of the members of the F&S team from Reading Family church played an important role in supporting the residents of the men’s house. St John & St Stephen’s church has continued to actively support the women’s house.

FUTURE PLANS

Depending on how the Covid-19 pandemic plays out, we plan to return to more normal operations with in-person visiting and support of the residents by HiAR staff and members of the F&S teams.

Our dream for 2021 is to open the third house. Mary Lewis, Franchise Manager, has been discussing the Hope into Action project in her own church for some time, and by the end of this reporting period, plans are advancing. The Parish priests from English Martyrs, St James and St William of York Roman Catholic churches have confirmed their commitment to support the project. A group of volunteers has been identified as the foundation of the church F&S team. A group of investors has pledged sufficient investment and an offer has been accepted on a suitable property. We hope and pray that by the time the next annual report is published, the third house will be open!

FINANCIAL REVIEW

The year began with operational cash standing at £23,635 and ended at £13,653 Following the previous year of stability, this year has been costly with changes in staff from the departure of our Executive Director, recruiting a new Franchise Manager, and a new EW. With all of these changes going on we still managed to implement some much-needed work to both houses, a new boiler installed at Cholmeley Road and the rear garden of Kensington Road completely opened up and cleared with a shelter built to house tenant bikes. In hindsight, this was perfect timing as it gave the men’s house an outdoor space to retire to during the pandemic.

Having struggled in previous years to obtain additional funding we decided to employ a professional fundraiser this year on a one-off basis and thanks to him we attracted donations of circa £40,000. This has helped us fund some important professional development courses for our staff, ‘Developing resilient mentoring’, ‘Strategies to tackle homelessness’, ‘Drug and alcohol testing’ and ‘Wellbeing in the voluntary sector’.

As our financial year ends we have secured an office and provided our staff with laptops and printers. We have also secured funding for a new house and ordered new beds and mattresses in preparation with funds that would otherwise have been refundable if not spent within the tax year.

Risk and Reserves Policy.

In accordance with changes made to our Debtors policy at the advice of our Independent Examiner, we have written off £13,861 of uncollectible invoices which were past the due date. As a result, our Debtors at year-end is zero. Our reserves policy is not to hold more than 3 months’ worth of charitable expenditure in reserve unless there are specific requirements for so doing. We are building our reserves to enable us to purchase additional housing stock. To this end, the Trustees have designated a further £10,000 in this financial year.

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HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

STRUCTURE, GOVERNANCE, AND MANAGEMENT

The organisation is governed by Articles of Association and is constituted as a Charitable Company (limited by guarantee). It is overseen by a board of trustees who are self-appointed.

Current and any new trustees are referred to guidance from the Charity Commission on their website under the heading of “Trustee Role and Board”. The trustees have developed an induction pack that includes guidance from the charity commission, information about the charity itself including a section on the vision of the charity and how the organisational structure, business/growth plan, and marketing/fundraising plans all serve the vision of the organisation.

Current trustees all have experience of being on boards of either companies or charities and substantial experience in their respective fields and capacities within which they act as trustees of the charity. There is also support available to the trustees from HIA’s national operation.

In terms of the charity’s organisational structure, during the period covered by this report, the charity was managed by the Executive Director, Tom Ward from April until July; and by the Trustees until the end of 2020 when Mary Lewis took over as Franchise Manager. The Empowerment Workers work directly with the residents under the supervision of the Exec Director, Trustees, and Franchise Manager respectively.

Hope into Action: Reading is a full franchisee of Hope into Action: East of England. The franchisor updates the Hope into Action model on a regular basis to keep it in line with best practice, legislation and to continually improve on the methods employed to achieve the best outcomes possible. Regular training advice and assistance are offered by way of away days, quality franchise assessments, and an annual two-day retreat.

Whilst there is a requirement to maintain the core elements of the Hope into Action model as part of being a franchisee, Hope into Action: Reading is free as an independent organisation to adapt the model to local circumstances and requirements. The trustees take this responsibility seriously and are keen to ensure that the charity implements the model faithfully since it has been demonstrated that it works but also to make sure that there is also an aspect of local expression and development. In relation to risk and risk management, policies and procedures are in place to manage risk as best as can be foreseeable. Logs are maintained in order to record any incidents that may present a risk to the organisation and how risk is being managed:

Operating policies and procedures are in place for Continuity of Operations; Safeguarding; Critical Incidents and Sudden Death; First Aid incidents; Data Protection Breaches; Staff Training and HR.

In the event of major incidents, the Executive Director/Franchise Manager liaises with the Chair of Trustees who keeps the board informed of ongoing developments. Discussions take place to learn from the experience and to do things differently where required. Written reports are made of all major incidents, subsequent discussions, policy changes as a result, and amended practices. Significant alterations to this structure will be taking place from 1 st April in line with the planned changes set out above. The Franchise Manager and board will remain in place with additional structures in place across the wider organisation.

SIGNED ON BEHALF OF THE TRUSTEES SRRalph Susan Ralph (Trustee) 20/12/2021

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HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

INDEPENDENT EXAMINER’S REPORT

I report to the charity trustees on my examination of the accounts of the charity for the year ended 31 March 2020 as set out on pages 12-18

As the charity’s trustees of the Company (who are also the directors of the company for the purposes of company law), you are responsible for the preparation of the accounts in accordance with the requirements of the Companies Act 2006 (“the 2006 Act”).

Having satisfied myself that the accounts of the Company are not required to be audited for this year under Part 16 of the 2006 Act and are eligible for independent examination, I report in respect of my examination of your charity’s accounts as carried out under section 145 of the Charities Act 2011 (“the 2011 Act”). In carrying out my examination, I have followed the Directions given by the Charity Commission (under section 145(5)(b) of the 2011 Act.

I have completed my examination. I confirm that no material matters have come to my attention which gives me cause to believe that:

• the accounts do not comply with relevant accounting requirements under section 396 of the Companies Act 2006 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; or

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.

Signed: Mervyn Thomas Dated: December 21st 2021

Address: 128 Putnoe Lane, Bedford, MK41 8LS

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HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

STATEMENT OF FINANCIAL ACTIVITIES

Notes Unrestricted
Funds
Designated
Funds
Total to
March 31
2021
Total to
March 31
2020
Categories by activity
£
£
£
£
Incoming resources
Donations and Legacies
3
56,359
-
56,359
8,675
Incoming resources from charitable
activities
4
48,537
-
48,537
55,621
Total Incoming Resources
104,896
-
104,896
64,296
Resources expended
Costs of Generating Funds
4
2,500
-
2,500
3,802
Charitable activities
4
93,573
-
93,573
48,005
Governance costs
200
-
200
160
Total resources expended
96,273
-
96,273
51,967
Net incoming/(outgoing) resources before
other recognised gains/(losses)
8,623
-
8,623
12,329
Transfers between funds
(10,000)
10,000
-
Net movement in funds
(1,377)
10,000
8,623
12,329
Total funds brought forward
21,559
18,000
39,559
27,230
Total funds carried forward
20,182
28,000
48,182
39,559
Notes Unrestricted
Funds
Designated
Funds
Total to
March 31
2021
Total to
March 31
2020
Categories by activity
£
£
£
£
Incoming resources
Donations and Legacies
3
56,359
-
56,359
8,675
Incoming resources from charitable
activities
4
48,537
-
48,537
55,621
Total Incoming Resources
104,896
-
104,896
64,296
Resources expended
Costs of Generating Funds
4
2,500
-
2,500
3,802
Charitable activities
4
93,573
-
93,573
48,005
Governance costs
200
-
200
160
Total resources expended
96,273
-
96,273
51,967
Net incoming/(outgoing) resources before
other recognised gains/(losses)
8,623
-
8,623
12,329
Transfers between funds
(10,000)
10,000
-
Net movement in funds
(1,377)
10,000
8,623
12,329
Total funds brought forward
21,559
18,000
39,559
27,230
Total funds carried forward
20,182
28,000
48,182
39,559
Notes Unrestricted
Funds
Designated
Funds
Total to
March 31
2021
Total to
March 31
2020
Categories by activity
£
£
£
£
Incoming resources
Donations and Legacies
3
56,359
-
56,359
8,675
Incoming resources from charitable
activities
4
48,537
-
48,537
55,621
Total Incoming Resources
104,896
-
104,896
64,296
Resources expended
Costs of Generating Funds
4
2,500
-
2,500
3,802
Charitable activities
4
93,573
-
93,573
48,005
Governance costs
200
-
200
160
Total resources expended
96,273
-
96,273
51,967
Net incoming/(outgoing) resources before
other recognised gains/(losses)
8,623
-
8,623
12,329
Transfers between funds
(10,000)
10,000
-
Net movement in funds
(1,377)
10,000
8,623
12,329
Total funds brought forward
21,559
18,000
39,559
27,230
Total funds carried forward
20,182
28,000
48,182
39,559
Notes Unrestricted
Funds
Designated
Funds
Total to
March 31
2021
Total to
March 31
2020
Categories by activity
£
£
£
£
Incoming resources
Donations and Legacies
3
56,359
-
56,359
8,675
Incoming resources from charitable
activities
4
48,537
-
48,537
55,621
Total Incoming Resources
104,896
-
104,896
64,296
Resources expended
Costs of Generating Funds
4
2,500
-
2,500
3,802
Charitable activities
4
93,573
-
93,573
48,005
Governance costs
200
-
200
160
Total resources expended
96,273
-
96,273
51,967
Net incoming/(outgoing) resources before
other recognised gains/(losses)
8,623
-
8,623
12,329
Transfers between funds
(10,000)
10,000
-
Net movement in funds
(1,377)
10,000
8,623
12,329
Total funds brought forward
21,559
18,000
39,559
27,230
Total funds carried forward
20,182
28,000
48,182
39,559
Notes Unrestricted
Funds
Designated
Funds
Total to
March 31
2021
Total to
March 31
2020
Categories by activity
£
£
£
£
Incoming resources
Donations and Legacies
3
56,359
-
56,359
8,675
Incoming resources from charitable
activities
4
48,537
-
48,537
55,621
Total Incoming Resources
104,896
-
104,896
64,296
Resources expended
Costs of Generating Funds
4
2,500
-
2,500
3,802
Charitable activities
4
93,573
-
93,573
48,005
Governance costs
200
-
200
160
Total resources expended
96,273
-
96,273
51,967
Net incoming/(outgoing) resources before
other recognised gains/(losses)
8,623
-
8,623
12,329
Transfers between funds
(10,000)
10,000
-
Net movement in funds
(1,377)
10,000
8,623
12,329
Total funds brought forward
21,559
18,000
39,559
27,230
Total funds carried forward
20,182
28,000
48,182
39,559
Notes Unrestricted
Funds
Designated
Funds
Total to
March 31
2021
Total to
March 31
2020
Categories by activity
£
£
£
£
Incoming resources
Donations and Legacies
3
56,359
-
56,359
8,675
Incoming resources from charitable
activities
4
48,537
-
48,537
55,621
Total Incoming Resources
104,896
-
104,896
64,296
Resources expended
Costs of Generating Funds
4
2,500
-
2,500
3,802
Charitable activities
4
93,573
-
93,573
48,005
Governance costs
200
-
200
160
Total resources expended
96,273
-
96,273
51,967
Net incoming/(outgoing) resources before
other recognised gains/(losses)
8,623
-
8,623
12,329
Transfers between funds
(10,000)
10,000
-
Net movement in funds
(1,377)
10,000
8,623
12,329
Total funds brought forward
21,559
18,000
39,559
27,230
Total funds carried forward
20,182
28,000
48,182
39,559
Notes Unrestricted
Funds
Designated
Funds
Total to
March 31
2021
Total to
March 31
2020
Categories by activity
£
£
£
£
Incoming resources
Donations and Legacies
3
56,359
-
56,359
8,675
Incoming resources from charitable
activities
4
48,537
-
48,537
55,621
Total Incoming Resources
104,896
-
104,896
64,296
Resources expended
Costs of Generating Funds
4
2,500
-
2,500
3,802
Charitable activities
4
93,573
-
93,573
48,005
Governance costs
200
-
200
160
Total resources expended
96,273
-
96,273
51,967
Net incoming/(outgoing) resources before
other recognised gains/(losses)
8,623
-
8,623
12,329
Transfers between funds
(10,000)
10,000
-
Net movement in funds
(1,377)
10,000
8,623
12,329
Total funds brought forward
21,559
18,000
39,559
27,230
Total funds carried forward
20,182
28,000
48,182
39,559
104,896 - 104,896 64,296
-
-
-
2,500
93,573
200
2,500 3,802
93,573 48,005
200 160
96,273 - 96,273 51,967
8,623 - 8,623 12,329
(10,000) 10,000 -
(1,377) 10,000 8,623 12,329
21,559 18,000
28,000
39,559
48,182
27,230
20,182 39,559

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HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

BALANCE SHEET 31 March 2021

Notes Unrestricted
Funds
Designate
d Funds
Total to
March 31,
2021
Total to
March 31,
2020
£
£
£
£
Fixed Assets
Tangible assets
7
741
-
741
-
Total Fixed Assets
741
-
741
Cash at bank and in hand
20,706
28,000
48,706
23,634
Debtors
5
-
- -
16,613
Notes Unrestricted
Funds
Designate
d Funds
Total to
March 31,
2021
Total to
March 31,
2020
£
£
£
£
Fixed Assets
Tangible assets
7
741
-
741
-
Total Fixed Assets
741
-
741
Cash at bank and in hand
20,706
28,000
48,706
23,634
Debtors
5
-
- -
16,613
Notes Unrestricted
Funds
Designate
d Funds
Total to
March 31,
2021
Total to
March 31,
2020
£
£
£
£
Fixed Assets
Tangible assets
7
741
-
741
-
Total Fixed Assets
741
-
741
Cash at bank and in hand
20,706
28,000
48,706
23,634
Debtors
5
-
- -
16,613
Notes Unrestricted
Funds
Designate
d Funds
Total to
March 31,
2021
Total to
March 31,
2020
£
£
£
£
Fixed Assets
Tangible assets
7
741
-
741
-
Total Fixed Assets
741
-
741
Cash at bank and in hand
20,706
28,000
48,706
23,634
Debtors
5
-
- -
16,613
Notes Unrestricted
Funds
Designate
d Funds
Total to
March 31,
2021
Total to
March 31,
2020
£
£
£
£
Fixed Assets
Tangible assets
7
741
-
741
-
Total Fixed Assets
741
-
741
Cash at bank and in hand
20,706
28,000
48,706
23,634
Debtors
5
-
- -
16,613
Total current assets 20,706 28,000 48,706 40,247
Creditors:amounts falling due within
one year
6
(1,265) - (1,265) (688)
Net current assets/(liabilities) 19,441 28,000 47,441 39,559
Total Net Assets /(Liabilities) 20,182 28,000 48,182 39,559
Funds of the Charity
Unrestricted funds 20,182 20,182 21,559
Designated Funds 28,000 28,000 18,000
Total funds 20,182 28,000 48,182 39,559

Signed by a trustee on behalf of all the trustees:

SRRalph

Susan Ralph Dated: December 21st. 2021

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HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

NOTE 1 BASIS OF PREPARATION

1.1 Basis of accounting

These accounts have been prepared under the historical cost convention with items recognized at cost or transaction value unless otherwise stated in the relevant note(s) to these accounts.

The accounts have been prepared in accordance with:

The charity constitutes a public benefit entity as defined by FRS 102 and The Charity Commission of England and Wales

1.2 Going concern

The charity is a going concern as adequate reserves are maintained at all times.

The accounts present a true and fair view and the accounting policies adopted are those outlined in note 2

1.4 Changes to accounting estimates

No changes to accounting estimates have occurred in the reporting period (3.46 FRS 102 SORP).

1.5 Material prior year errors

No material prior year errors have been identified in the reporting period (3.47 FRS 102 SORP).

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HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

NOTE 2 ACCOUNTING POLICIES

Basis of preparation of financial statements

The financial statements have been prepared on a going concern basis under the historical cost convention .

The charity constitutes a public benefit entity as defined by FRS 102. The financial statements have been prepared in accordance with Accounting and Reporting by Charities: Statement of Recommended Practice: applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable to the UK and Republic of Ireland (FRS 102) issued on 16 July 2014, the Charities Act 2011 and UK Generally Accepted Accounting Practice as it applies from 1 April 2016.

The Trustees consider that there are no material uncertainties about the charity’s ability to continue as a going concern due to the amount of cash held in comparison to annual expenditure. There have been no changes in the accounting policies during the year.

Donations, Legacies, and Similar Incoming Resources

These are included in the Statement of Financial activities when: the charity becomes entitled to the donation, legacy, or similar income and any conditions for receipt are met; the trustees are reasonably certain they will receive it, and the trustees are reasonably certain that the value can be reliably measured.

Tax Reclaims on Donations and Gifts

Incoming resources from tax claims are included in the Statement of Financial activities at the time of receipt as this is considered to be the only time at which the trustees can be certain that it will be received.

Liability Recognition

Generally, liabilities are recognized as soon as there is a legal or constructive obligation committing the charity to the expenditure.

Pension Costs

The trust contributes to the personal pension schemes of staff members. Contributions payable are charged as expenditure in the period to which they relate.

Fund accounting

General funds are unrestricted funds that are available for use at the discretion of the trustees in furtherance of the general objectives of the charity and which have not been designated for other purposes.

Restricted funds are funds that are to be used in accordance with specific restrictions imposed by donors or which have been raised by the charity for particular purposes. The cost of raising and administering such funds is charged against the specific fund. The aim and use of each restricted fund is set out in the notes to the financial statements.

Resources expended

All expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all costs related to the category. Where costs cannot be directly attributed to particular headings they have been allocated on a basis consistent with the use of resources.

Governance costs are those incurred in connection with the administration of the charity and compliance with constitutional and statutory requirements.

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HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

Note 3 Analysis of income

Note 3 Analysis of income Note 3 Analysis of income Note 3 Analysis of income
Year to
31/03/2021
Year to
31/03/2020
£
£
Donations and legacies:Donations
3,509
8,675
Grants
52,850
-
Total Donations and legacies
56,359
8,675
Charitable activities:
Rental Income
47,940
55,308
Other Income relating to property
568
287
Interest
29
26
Total Charitable activities
48,537
55,621
TOTAL INCOME 104,896 64,296
Note 4 Analysis of expenditure
Year to
31/03/2021
Year to
31/03/2020
Expenditure on raising
funds:
Marketing and Advertising
2,500
3,802
Total expenditure on raising funds
2,500
3,802
Expenditure on
charitable activities
Administration
Salaries
40,106
19,600
National Insurance (Employer)
(69)
-
Pensions (Employer)
288
144
Contract for management
2,400
Office
1,617
423
Office Equipment Depreciation
247
Professional Services
1,627
1,213
Insurances
388
388
Expenses, meetings, etc.
2,148
434
Key Worker Expenses
618
1,188
Travel
314
1,115

Page: 12

HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

Direct Cost of property
Investors' return
HIA Franchise fee
Council Tax
Water rates
Repair and Maintenance
New House Set Up Costs
Tenant Subsidy
Bad Debt Write off
Governance
Total expenditure on charitable activities
12,806
1,200
3,294
388
7,983
709
6,168
13,741
200
93,773
12,728
3,166
679
3,329
1,188
10
160
48,165
TOTAL EXPENDITURE 96,273 51,967

4.1 Disclosures

No employees received employee benefits (excluding employer pension costs) for the reporting period of more than £60,000. The charity employs 2 people.

Trustees did not receive expenses acting as Trustees. The charity leases 2 properties from Investors for a period of 5 years with lease payments being classified as “Investors Return” in the accounts.

NOTE 5 DEBTORS

Analysis of debtors
Amounts falling due within one
2021
£
Trade debtors
-
Prepayments and accrued income
-
year
2020
£
16,613
Total
-
16,613

In December 2021 all debtors prior to March 2021 were judged to be uncollectable and written off.

Page: 13

HOPE INTO ACTION, READING TRUSTEES/DIRECTORS REPORT and ACCOUNTS FOR THE YEAR ENDED 31[ ST ] MARCH 2021

NOTE 6 CREDITORS

Analysis of Creditors
Amounts falling due within one year
Analysis of Creditors
Amounts falling due within one year
2021
2020
£
£
Accruals
Payroll Creditors 531
Trade Creditors 734
688
Total 1265
688

NOTE 7 Fixed Assets

NOTE 7 Fixed Assets
2021
£
Brought Forward Office Equipment at Cost -
Purchases in the year 988
Total Office Equipment at Cost 988
Brought Forward Cumulative Depreciation -
Depreciation in the year 247
Total Office Equipment Cumulative Depreciation 247
Total Net Fixed Assets 741

8. CHARITY FUNDS

Details of All Funds with movements during the CURRENT reporting period 2021

Fund names
Fund
balances
brought
forward
Unrestricted Funds
£
General Charity
21,559
Restricted Funds
Designated Building Fund
18,000
Total Funds
39,559
Fund names
Fund
balances
brought
forward
Unrestricted Funds
£
General Charity
21,559
Restricted Funds
Designated Building Fund
18,000
Total Funds
39,559
Income
Expenditure
Transfers
Fund
balances
carried
forward
Income
Expenditure
Transfers
Fund
balances
carried
forward
Income
Expenditure
Transfers
Fund
balances
carried
forward
£ £ £
£
£
21,559 104,896 (96,273)
(10,000)
20,182
18,000 10,000 28,000
39,559 104,896 (96,273)
-
48,182

The Designated fund commenced in 2020. An additional £18,000 was designated in 2021.

Page: 14