Charlty RegIstr￿¢)n No. 1175385
SOUTH ESSEX COMMUNITY HUB
ANNUAL REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022

SOUTH ESSEX COMMUNITY HUB
LEGAL AND ADMINISTRATIVE INFORMATION
TNst•
J Hindley
M Clark
O'Neil
G Sandfrird
D Solli$
T Taylor
J Pennington
(Appointed 20 July 20221
(Appointed 20 May 20221
(Appointed 1 May 20221
IAppoinl8d 20 April 20221
Charlty numb•r
1175385
Prlnclpal addr•
324-325 char￿11 Squa
Soulhond on Sèa
E888X
SS2 SSP
Ind•p•nd•nt •xamln•r
P Aslafford FCCA
457 Souththurth Road
Southgnd ￿ Soa
Ess8x
SS12PH

SOUTH ESSEX COMMUNITY HUB
CONTENTS
Pag•
Trustees report
Stal8m8nl of Trusloos r8sponslbilitioS
Independent examin&rfs rgport
Statgmont of ffinan¢ial aotiwties
Balanca 8he•l
Noto8 to tho finon¢io18t8t&m&nt$
8-17

SOUTH ESSEX COMMUNITY HUB
TRUSTEES REPORT
FOR THE YEAR ENDED 31 MARCH 2022
Th8 trustèes presènt their annual report and financial slatemènls for thè year ended 31 March 2022.
The financial statements have been prepargd In accordanc8 with th6 accounting pollcles set out in note I to the
finan¢lal stslemenls and comply with the charity's goveming documenl, the Charities Act 2011 and 'Accounting and
Reporting by Charili85'. Statement of Recommended Pr8cti¢8 applicable to charities preparing Ihelr accounts in
acmrdance wlth the Financial Repoiting Standard applicable in thg UK and Republlc ol Ireland IFRS 1021.
laffeclivo 1 January 20191.
Thè charlty18 reglsler•d England and Walgs under rgglslrafjon numbèr 1186951.
Oblo¢tlv•s and a¢tlvltl•$
We're here lo promote and 8tr8ngthen community cohesion and to lend a helping hand through..
0Sgital Incluslon
Help to acce$$ lo￿1 $gNS¢es
- Employabilhy 8UPPOrt and advice
. Promotion of posSUve mantal w&llbaSng and physkal h&aith
- Aclivilie$ for children and young pèopl
Inlormabon on the management ol debt and to help lo improvo finandal ¢8pabillty
- Volunleorlng opportunltlos
Publ1¢ B•n•fft
The TnJ8tees confim Ihit Ihtry have compllod with the duty In 8gcllon 17{Sl of the Charflle8 Act 2011 with regards 10
tho Chorille$ Commission guklance on public bonefil when r&vi6wlng the charlty's alms and objoctiva$ and planning
future 8clivitl8s. Having regard lo Iho activi11gs ond achigvgmgnts of the chanty tha Tru8lee8 are of tho opinion th41 It
conllnugs lo luMI ils cttar6tabl8 purpose.
A¢hl•¥•m•nt• and p•rformanc•
The charity has ￿ntinUed lo deliver hlglFquallty $8rvlcè8 to thè lo￿1 eommunlty throughout th• ￿ar. Our
community Hub offer has supported engagement wlh over 4800 people. Our cora offer of Digi181 Inclusion ha8
supportei12102 peopl$ in the year. 56% of SECH servi¢8 usars have Ilttle or no access to thè inlernel., our proposal
provides vStal support lo help people access digital services In Soulh8nd. Over 50% of ouf sgrvlco users live
inwards ol high Social Deprivation within th8 top 10¥• Nallonally. The other prominent areas of Support ar6 Housing,
Benefit and Job Support. Wè hav8 SUPPOrt8d ovar 160 émèrgèney food vouehèrs 8$ part ol the Southend Food
Bank nefv￿rk.
SECH has worked and developed its Youth Offèr In the North Road cha￿1, Wé art in the second year of Its
developmenl. Our Youth offer ha5 had over 1100 engagements in the year., we are providing activiiles Monday to
Friday ond Holiday activities in no term times. Our engagement levels per session have grown by 50% since
$tartgd.
We have supported thg d¢v¥lopmont of tha multicultur81 Southend group. a women's group of minorty communiti
rtsming together lo share culture 8n¢J communlty activities. provKling a safg. supportivo ènvlronmgnt for womon.
SECH h88 offered free acce38 to the chapel and helped the group to dovgk>p wor*iny in p¥rtnorship.
Roach out to montal h&alth oparatlon$ In our chap81. providing mental health sUPPOrt groups lo communlty
mernbern. We have partnered wlh other s9rvi￿$ and providtrrs to d&liv•r activiti8s and s8ssion$ in th• chopol. W•
are working in a fully collaborative way and open lo new actlvilies lo support communlty needs.
SECH has ￿eUr0d lundin9 from the Henry Smith Foundation over three years £150,OChJ supporb'ng our communty
Hub mod81 and towards cora costs.
SECH ha5 beèn a leading m•mbor of th• ¢ommunlty In the development and estsbllshment of the Food Alliance.
this partnership approach of food providers and stskeholders is tsking on Southend on Seas Food Poverty issues
working collaboratively to tackle inequalities.
The contsnued successful development of the SECH Community Hub Model provides ex¢ellenl value for money.

SOUTH ESSEX COMMUNITY HUB
TRUSTEES REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Flnanclal review
The charity achieved total income of £268,572 12021 £174,541) with resourcos exp&ndod of £259,661 {2021
£180.7281. creating a surplus of £8,911 compared lo a defiat of £6.187 in 2021.
The chartys finan￿￿ position in March 2022 shows a strong posilion", however, this has been dug to the prudent
use of unrestricted funds. which will counter the many challenges and financAal uncertainty we face in the coming
ygar. With changes to local govommenl grants and additional communty nee(Is, we have taken steps to ensu￿ w8
can confidentially conb'nue the expansion of thg sorvices wo offer and deliver ongoing long-temi projects.
The Trustees have established that the ￿serve policy of Ihe charity is the amount needed lo cover 12 weeks
0￿rab"fig costs. This indudes the costs of running tsvo sites, maintain 5 staff and over 20 volunteers and this would
enable the hub to provide a continuity of SwvI￿ to its ben&fi￿aries.
Fund balances al the year end stand al £174.422 12021 - £165.5111 ol whid) £170,163 are unrestrid8d (2021
£168,656). This balance of unr8slrictgd fvnds is Considered to be suffKient to meet tho r*s&rves policy of Ihe
trustees.
Pl•nnlng for ¢ontingen¢i¢$
Hubs.. The charity now leases premises and a short-temi room h1￿ to t￿￿9 the servt¢e8 of SECH to the heart of
each local ￿Mmunity wlhin Ihe town. Rgnls and ulllity cost will in¢reasè.
Staff.. The work of SECH has been remarkable, considering we currenfjy have onty thrèe full-time staff members
supported by a great team of Volunteer% and Trustees who all play a signiffcant part in service delivery. However,
areas IA our administration may need ffwjre support with the existing structure, and a new stsff member will be
required.
Contract workers: Will be engaged during the pilot stage of project delivery suty'8et to k>ngevty of project these may
be employed in the future.
Level of Reserves.. Is maintained for a minimum ￿riod of three months to allow for *xp8ndilure on staff wages.
rents arKI redundancy payments.
The breathing sp8(*s project is in defi¢it 81 the end of the finan¢ial year as the project spanned over tsvo finanaal
years and there is a timing drfference bett￿n expenditure requirements and receipt of the final Instslm&nl of
In￿m9.
The tNsle85 have 8ssessod th¢ major risks to which the charty is oxksxad. and ore satisfied that systems are in
place to miligale exposure to the major risks.
Plans for future perfods
SECH has taken 8 very positsve view of thg communws futurg ngeds. SECH PLts famili&s first., wg have ello¢live
community cohesion at the heart of all we do. W$ will ¢ontinu¥ to '.
"Deliver seNi¢ès that strangthan our community. Helping people in the Southend area to increase their skills.
improve employment prosp8¢ts. and help them aecess the right services in their time of need..
We havè p￿pared to m￿1 the issues expected due to the long-term effects of the lockdown on mental healih and
the well-being of children and young people. We have e$tabli$hod an addilional HUB which wlll focus on tho m¢ntsl
heath and well-being of families and young people. We are looking to dèvèlop and èxp8nd our family Community
htjb and offer to engage with the diverse communities in Southend. providing a space for communities lo interact
arKJ work ¢ollaborativ&ly. Our youth provision bwll give a richness of opportunits'es to support the holistic development
of individuals to en8ble all to achieve their best, to be their best and to move confk1ently and successfully on to their
next stage in lrfe.
Structure. governance and management
The charity 18 controlled by its govemlng document, 8 deed of trust and constllules an unSn¢orporaled tharity.

SOUTH ESSEX COMMUNITY HUB
TRUSTEES REPORT {CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
The trusteès who seNed during the year and up lo the date of signature of the finanaal slatsments were:
J Hindley
M Clark
A Moalllm
A Wait0
A Hepworth
Or C Miles
M Fenn
M O'Neil
L Hyde
G Sandford
D Sollis
T Taybr
J P&nnlnglon
(Resigned 11 October 20211
(Resigned 1 April 20211
(Resigned 1 April 20221
IRo$igned 8 Febwary 20221
IR¢$igned 1 May 20221
{ResSgned 4 November 2021)
(Appointèd 20 July 20221
(Appointed 20 May 20221
(Appointed 1 May 2022)
(Appointed 20 April 2022)
The Charity 18 loolang to increase thè p￿￿le of the board and hav8 a makeup indusNe of South Essex divofsg
communiliès.
The tnjstees consider the best methods of attracting a diverse ran￿ of Candidates with the skills the charity ne*ds.
This may include 8dvertising in thè local andlor specialist press and using trustee brokerage servlces. Sh¢rt-listing
and interviews take place against agreed criteria. Interviews are ¢arrigd out by a small panel of Irustses. and each
candidate is asked similar questions trj ensurè a fair and obj'ective approach. Preferred candidates are idgntified
and invited to join the trusltses. subject to references. formal vetting and approval by thg full truslee board.
Unsuccessful candidates are notified and thankéd for thgir intgrosL
twst8es dologate the responSi￿.I1ty of day to day opgr8tions to the fdlowing key persons:
Dawd Preston- Hub Project Coordinator
K8yAbbey- Bookkeeper
Tho ¢harity th&n usas fr88lanea stall to deliver il's proiacts in the communty.
The Trustees reportwas approved ty the Bo8r(l of Trustees.
J Hindiey
Dats..
2oz3

SOUTH ESSEX COMMUNITY HUB
STATEMENT OF TRUSTEES RESPONSIBILITIES
FOR THE YEAR ENDED 31 MARCH 2022
Tht tru81ee8 arè responsible for preparing the Twslees Report and ihe finarrial stat•ments in accordancg wlth
applicablg law and Unlled Klngdom Accounting Standards {Uniled Kin9dom Generalty Accepted Accounting
Pra¢ti¢el.
The law appllcablè to d)arftlès in England and Wales requlr8$ the trtJ81888 lo prépare financial statements lor 8ach
financial yéar which give a tru8 and fair view of the stat8 of affairs of the charity and of th& incoming rèSoU￿S and
application of resources of thè ¢harlty for that year.
In preparin9 Ihes• flnaneial $talem&nls, the Irustsès arè réquirèd lo..
- select suitable accounting poll¢ies and then apply them consislenlly;
- obsèrve thé mèthod8 and principles in thè Chariti&s SORP;
. make Judgements and esUm8tes Ihal are rea8onable and prud&nl'
- $ts18 whelhor 8ppllcable accounung standards have been lollowed, subled to any materi81 departures dlsdoséd
and explalned In the financial stalemenls., and
p￿part thè financlal slatsments on the 9e4ng wncom ba$1¥ unles811 is In8pproprlate lo presume that thè ehafity
wlll conunuo In operalS0n.
The tnJst88s ale responsible for k8eping sufficient accounllng records th81 disclose Wllh rea8¢nable accuracy al any
Ilme the flnanclal po$lllon of Ihe charfty and enablè them lo en8urè that the financial slot6rnents compty w4th the
Chariti88 Act 2011, the Charity (Accounts and Reports) Regulations 2008 and thg provlslons ol Ihe Irusl deed. Thay
are also responsible for safeguarding the assets ol the charity and hencè for taking r8asonabl8 Steps lor the
preventlon and detectlon of fraud and other Irregularlll•s.

SOUTH ESSEX COMMUNITY HUB
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF SOUTH ESSEX COMMUNITY HUB
I report lo the tru81ees ￿ my examinathjn of the finarKial statemonts of S¢xrth Essex Community Hub (tho tharity}
for the year erKt•d 31 March %)22.
R•#ponslbSlltl•s and b•$ls of r•port
As the trustees of the charty you are reswnsitAe for the preparation of the finanwl ststem￿ts in accordanco wAh
the wulremgnts of th& CharSti8s Act 2011 Ithe 2011 Act).
I rewrt In respect of my examinatbn of thts ¢harity's finanaal statements caffbed oul under se¢tKJn 145 of th• 2011
Act. In carrying OLrt my examination I have fdtowed all the appl￿ble Directsons gNen by the Chanty Commission
under g￿tion 145(5Kbl of the 2011 Ac¢.
Ind•p•nd•nt •x•mln•rf• •tal•m•nt
Since the challty's gross income exceeded £250.000 your examiner must be a member of a body listod In sttJon
145 of the 2011 Art. I confirm that l am qUaIffi￿ lo undertake tho examinat*Jn b￿uSe l am a m8mb6r ol, which l¥
ono of thè116led bodéo8.
Your attèntion Is drawn to Ihtr fact that the Ltsity ha8 Pf•PorwJ finonoal ststements in accordance wth Acc4wnling
and Repo￿.n9 by Charitie$ prepaiing th&ir accounts in acc¢Kdance with thè Finanrjal ReportSng Stsndard appllcab
in the UK and Republic of Ireland {FRS 1021 in preference to the ACC￿n￿'n9 and R8porbng by Charilies.. Statement
of Recomm8nded Pr8Ctice issued on 1 AwS12005 *th1th Ss refer￿d to kn Ihe extsnt wuLgtion$ bul now t)ofjn
thdrawn.
l understsnd Ihat Ihl8 has bgon In order lor flnanclal statements to provtdè a truè and falr VI￿ Sn a¢cordan¢4
with Gen6rallyAtteptod A¢￿Unting Pra¢tic8 effective for reporliThJ periods boginning on or 0ft8r 1 January 2015.
I h&ve completed my ex8minolhJn. I confinn that M m•lters havo 4>Th to my attention in connacthryn wrfh tho
examination glving mfr causg to boligve that in any matenal r¢spect:
?¢￿￿n￿.ng rncords w•ra not kapt In rosF￿￿ of tha th817ty as by so¢(lon 130 of the 2011 Act: or
the fln8ndal $tstgmgnts do rnt accord wth those records.. or
the fin8noal st8t&ment$ do not with th& appiicabkn requirem￿ts ￿nc•m1ng th• form and conlenl of
accounts sel out in the Charftio$ IACO?￿13 arKJ Rep￿ts> Regulati￿5 2008 other than any requlrnment that th•
a¢￿￿rts give a tru8 and fair wew whith i8 not a mattor considered as part of an iThJ8pondgnt oxamlnaJon.
I have no concem8 8nd h8ve o)m• acro$8 no other maller8 In ¢>)nnethn vAth the ex8minallon to whl¢h 8ttonlSon
should be drawn in this report in to enable a mr ￿n￿r513ndIng of U)e financial statements to be reached.
tallord
457 South¢hurch Road
Southend on Sea
Essex
SS12PH

SOUTH ESSEX COMMUNITY HUB
STATEMENT OF FINANCIALACTIVITIES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 MARCH 2022
Unr•stri¢ted R•strlct•d Total UnroStri¢t¢d R•$trfct•d
fund¥
funds
fi•nd$
funds
2022
2022
2021
2021
2021
Nots$
Incomè and endowmènts from:
Donations and lega¢ies
Charitablo a¢tithti¢s
Other income
15
237.3S7
15
268,557
31.2(Kl
157.155
15,750
172.905
Total Incom•
237.372
31.200
268,572
158.791
15.750
174.541
Ex
endlture on:
Charilable actiwb85
201.251
57,969
259.220
113.726
67.002
180.728
10
441
Total resources exp•nded
201.692
57.
259.661
113.726
67,rMJ2
180.728
M•t Incomlngl{oiityoing)
rn$OUfUS b¢lor• transf•rs
126.769)
8.911
151.252)
16.1871
Gross tsansfers belween
fijnds
{34.173}
34.1n
{571
57
Net incomèll•xpenditure) for
the yearl
N•t mov•m•nl in funds
1.507
8.911
45.008
(51.1951
{8.1871
Fund balances at 1 April 2021
168.656
13.1451
16S.511
123.648
171,698
Fund balances at 31 March
2022
170.163
4.259
174,422
168.656
(3.1451
165,511
The ststsmont offina￿oI actsVIt￿ ￿ludeS gains and ktsses rec£4￿lSed in the year.
All income and expendi￿lTe derivo from ¢onliMirtg ath"vilies.

SOUTH ESSEX COMMUNITY HUB
BALANCE SHEET
ASAT31 MARCH 2022
2021
Flxed a8i•t•
Tangibl8 assets
11
6.S13
Curr•nt a•s•t•
Dèblor5
Cash al bank aThJ in hand
12
2,159
174.474
1.800
159,027
176.633
180.827
Cr•ditorn: amounts f•lllDg du• wlthln
on• y•ar
13
18.1941
(1.8291
N•t Current assets
168,439
158.998
Total aH•ts l••• ¢urr•nt114bllltl
174,422
165,511
In¢om• fund•
Rastrictad furwjs
Unreslrfcled funds
14
4.259
170.163
13.145)
168.656
174,422
185.511
27.01. 13
The finandal stal8m8nts approved by the Truste￿ ￿ .........................
J Hindley
Tfu•ts•

SOUTH ESSEX COMMUNITY HUB
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2022
Accountlng pollcl•s
Charity informatlon
South Essex Community Hub 1$ a unlncorporated charitable entity.
1.1 A¢¢ountlng conv•nllon
The financial statements have been P￿Pared in ac¢ordance with the charitys goveming document. thg
Charities Act 2011, FRS 102 The Financial Reporting Standard applicable in the UK and Republic ol I￿land.
I"FRS 102.1 and the Charities SORP "A¢wuntiThJ and Reporting by Charities.. Statgment of Re¢ommended
Practice opplicable to chariles preparing their 8ccounts in accordan￿ with the Finan¢i81 Reporting Standard
applicable in the UK and RepubliG of Ireland IFRS 1021. (effective 1 January 20191. The charity is a Publlc
Benefit Entity as defin•d by FRS 102.
The charity has taken advantage of the provisions in the SORP for thariti83 not to prepare a Ststemenl of
Cash Flows.
Tha financial statèments hav8 d8P8rt8d from the Charitie8 (A¢cwnts and Reports) Regulations 2008 only to
the extent required lo provide a true and fair view. This departura has invofv$d following the Statement of
Recommended Practice for charities applying FRS 102 rathèr than the versKJn of the Statemant of
Rgcommendgd Practlce which Is referred to in the Regulations but vthith has since been withdrawn.
The financial st8temènts are prèpared in stsrfing, whi¢h 1$ the functional ujrrency of the Charity. Monetary
amunts in these fina￿81 staternents are rounded to the nearest £.
The financial statements have been prepared under the hi$tori¢al cost w)vontK)n, modthed lo includ8 th9
revaluation of freehold propeities and lo include investrnent properties and certain financAal instruments 01 fair
value. The prinapal accounts'ng policies adopled are set out b8k)w.
1.2 Golng c¢ncorn
Al the lime of approving the financial 3tatèmenls. the Iruslees have a reasonable expectation that the charity
has adequate resources to continue in operational existence for the foreseeable fvlure. Thus the trustsos
conkn'nue to adopt the going ¢on¢em basis of accounting in preparing the financial statements.
1.3 Ch*rltsbl• funds
Unrèstricted funds a￿ avallabte for use at the disuetion of the trustees In further8n¢e of thelr charitable
obje¢bves.
Restn"¢tea ftJtx1s are subject to specific conditions by donors as to how they may be used. The purposes and
uses of th& rgstridod funds are Set out in the rK)tes to th8 financial statements.
Endowmenl fvnd$ are subject to speaffic c4Jndition8 by donors that the capitsl must be maintained by thé
charity.
1.4 Incom•
Income is recognised when the charity is legally entiued to it aft8T any perfomance condili¢)n$ havè been me(
tha amounts can ba measured rèliably. and it is probable that ino)me will bè r6¢6ived.
Cash donations are recognised on receipt. Other donations are reLwnised once thè charty has been notified
of the donatitsn. unless porfom)ancg oonditions r8quir8 deferral of the am¢Junt. Income tax recoverable in
relation to donation5 receivgd under Gifl Aid or d¥¥d$ of ¢ov$nant is r•¢ognis8d at thè tim* of th8 donation.
Legacies are ro￿gniSèd on raeaipt or otheMis8 if the charity has be&n notified of an impanding distribution.
the arnounl 15 knowTJ. and roceipt i$ 0xp￿•d. If th• amount is not known, 18ga¢y is tr93t￿ as
contingent asset.

SOUTH ESSEX COMMUNITY HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Accounlng pollclo¥
(C¢)ntlnued)
Grant ineomè is r•c£)gnised the charity is legally entived to it after any performance oJndltion$ have
en meL the amounts can be measured reliabty. and it is probab￿ that In￿ne ￿11 be rece>ved
Th8 charty rathas ¢)n tho uso of vc1lmtas￿ to run activths. The (*arity cannot t4ac4 a monetsry value on th￿r
contribution and not induded as income to the charity.
1.5 Exp•ndltur•
Expendi￿re is reco9nised there is a legal or fJY)strth obligation lo transfer erx)rK)mSc benefit to a
third paty, it is probable that a transfer of eCx)n0￿ beneffts be requirad in sgttlomenL and the amount of
the obligation can be measured r￿la￿y.
Expenditure is dassified by activity. The costs of eath activity aro madg up of the totsl of direct eosts and
shared costs, I￿uding SUPPOrt costs involvèd in undertakiNJ eath acttvty. Direct costs attributabla to a single
activity are alhxaled directy to that a(*ivty. Shared costs wthich contribute to rn(￿e than one activty and
support costs which are not attributable lo a gngl¢ activity ￿ apportione(J befv4e8n those activities on a basis
eot)sistÈnt the ust of resoufeAS. Central staff u)sts are a4¢xated on the basis ol time spanl. and
depreciation charges are allocated on Fortion of Ihe asseys l￿e.
Expenditijre on Charits￿e aCtNit￿S inchjdes all expendibjre diredy rdated to acts￿￿￿$ undertaken lo fvrther
the l)ur￿e and athieve the objectives of the tharity and their associated support ¢>)sts.
Other expenditure represents those ilems rnt falling into ary other heading.
1.6 Tonglblo fix•d 0$sots
Tangiblé fixed a&%ets ?￿ initially measured al cost atyj $ubwuenty mgasurod at ¢ost or valuation. nel of
deprBcrats)n and any impaimient kjsses.
tkprgoation is rèccgnised so as to write off the cost or valualKffl of assets less ther re￿dUal value$ over th¢ir
Useful lives on the fr)liowng bases:
Fixtures and fftlings
Computsrs
25% redurirvJ baknce
40% redwryj ba￿[￿•
The ga￿ or k)55 8ri5ing on ts diswsal of an awt ts det￿lA￿d as the ditference beh¥een the sal8 woeA8d$
and the ca￿Ying value of the and 1$ rwnisod in th• slatamant of financial athits•s.
1.7 Impairment of tlx•d •ss¢ts
At ea(* ￿pOr￿n9 end date. the charity revièv*S the ¢8rrwng 8mwnts of its tsngible assets lo delemiine
whether 1$ any ind￿tiOn that Ihose assets have suffered an impainnent If any such indication
exists, the rw)vèrdble amoLmt of the asset is estimated in ￿der to deterynine extent of the impaim)ènt
loss (if any).
1.8 Cash and ¢ash ￿ul¥•I•nts
Ca$h and cash equivalents indLth cash in hand, deposTt5 held 81 ¢811 ￿th banks. ¢)thor 3h¢rt4erm liquid
invtsstments wth ￿ginal maturities of three IT￿thS or less, and bank oveTdraft& Bank overthafts we shown
within borTowings in ￿rrent li*¥tities.

SOUTH ESSEX COMMUNITY HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Accountlng polScl•s
IContSnu•dl
1.9 Flnan¢l•l In8trumènts
The ¢h8rity ha$ elected lo apply the provisions of S*¢tion 11 'Basic FinanrAal Instruments. and S8ction 12
'Other Finanaal Instruments Issues, of FRS 102 to all of it8 finanrjal instruments.
Financial Énstrum$nls are rewni5ed in the charitys balanco shoet when the charity becomgs paty to th8
contractual provision5 of the instrument.
Financial ass91$ and liabilities are offset, with the net amounts P￿$&nIell in the financial slatements, vthon
there is a legally enforceable rvJht to set off the recognised amtsunts and there is an intention to settitr on a net
bas$ or to realise the ass&t and settle the liaknlity simultaneously.
8aslc Iln•n¢l•l a$s•ts
Basic finanual assets. which indud8 debl()15 cash and bank balances. are initially measured al
transaction price including transaction costs and are subsequently earrfed al amortised ¢>xI using the effective
interest method unless the arrangemgnt constitutes a financin9 transaction. where the transaction is
measurèd at the prasènt Value of the future re¢eipls discounted at a market rate of interesL Financial assets
classified as receivable within one year are not aMor￿sed.
8151¢ financial liabilili•s
Basic financial liabilities, induding creditors and bank loans are initially re¢ogni$ed at trdnsaction price unless
the arrangement constitutes a financing transaci'on, wh8rè tha dabt instrument is measured at the prasant
valuè of th8 fvlur& p8ymènts diso)untsd al a markgl ryate of interest. Financial liabilities classrfied as payable
thin on8 yéar are not amortis8d.
Debt instruments are subsequenlly caryiad at amortisèd cost, using the effective interest rat8 mglh¢xl.
Trade creditors are obligations to pay for goods or $èrvices that hava b8èn aequirod in the ordinary course of
operations from suppliers. Amounts p8y8ble are ciassified as liabilitiès rf payment is due within one
year or less. If not, they are presented as nonrycurrent liabilitles. Trade creditors are recognis¢d inilally at
trarksaction price and subsequendy measured al amorts'sed ¢os¢ uslng Ihe effedve interest method.
D•r•cognttlon of financlalllabllftlos
Financial liabilities are derecognised when the charity's contractual obligations expire or are discharged or
cancelled.
1.10 Employ09 ￿ft¢fits
Th$ ¢ost of any unusgd holiday antitlement is recognised in Ihe period in which the employee's services are
ro¢eivod.
Terrninalion benefits ar$ r9¢ogni$￿ imm&diatèly as an axpènsa wh8n the charity is demonstrably committod
to temiinate the employment of an employee orto provide temiination benefits.
1.11 R•tlrèm•nt ban•ffts
Payments to defined conlribulion rebremont b¥nofit sch&m&s ara charyd as an èxpensa as thay fall due.
10-

SOUTH ESSEX COMMUNITY HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Critical •¢¢ounting estirnat•s and Audg•kMnts
In the application of the tharivs acojunting polKies. the Iwstees ￿ wuir&J to make judgemènts, eslimales
and assumptions about the carfying amount of assets and liatslities that are not readity apparent from other
SOL*rces. The estimates and assffiat8d #ssumpts'ons are based on historical oxperience and other that
are ¢onsidere(I to be rèJe¥anL Actual resulis may dffter from these esb"mates.
The estimates and i1nderf￿n9 assumptic￿# are revi￿￿d on an ong(Mng basis. ReVisi￿S to acC￿nting
estimates are re(y)gnised in the per*)d in wh￿h the estimate is r8vis8d where the revision affects only that
period, or in the pericNJ of the rewsion future where the revision affects both cu￿nI and fulwe
perbds.
Donatlons and l•gaei
Unrestrlcted Unrostricted
funds
fund$
2022
2021
Donabons and gifts
15
796
Charitabl* activities
2022
Project income
SerwcEs provided under ojntra
PerformancB related grants
435
60.000
208.122
7,300
120.000
45.605
268.557
172,905
Anatysis by fund
Unrestricled fun<ls
Rèstricted funds
237,357
31.200
157.155
15.750
268.557
172.905
Ott*r inc4mtr
Tolal Unrestrthd
funds
2022
2021
Othèr income
11

SOUTH ESSEX COMMUNITY HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Oth•r in¢(Mn•
(Contlnu•d)
Charltabl• actlvltl•s
charl1ab￿ Ch•ritabl•
Exp•ndlture Expendlturn
2022
2021
staff o)sts
Depreciation and impairment
Wages
Insuranc
Rent and venue hire
Emergency supplies
Printing, postage & stationery
Legal and compliance
Repairs and renewals
IT and ￿mpUter expenses
Equipment purchases
Telephone
Travd exper
Proje¢t Costs
Light & hoat
EntertainitvJ
Sundry expenses
105.979
2.737
117,191
2.754
718
21,600
21.003
7,050
430
4,750
4,354
6,855
1.325
1,498
12,020
1,431
5,140
2.655
724
91.114
5,216
152
1.490
10.295
1.350
254.510
179.048
Share of govemance ¢osts noto 71
4.710
1,680
259,220
180,728
Analysis by fund
Unrèstrict8d funds
R&$trictsd funds
201.251
57,969
113,726
67,002
259.220
180.728
12-

SOUTH ESSEX COMMUNITY HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
Support costs
Support G¢)vwnan¢e
2022SuFWt ￿$ts Gtsvemance
2021
Audit fees
IndeFendent Examin8Vs
fge
Bank charges
2.246
2.246
2.4CiI
4.710
4.710
1.680
Analysed bets￿n
Charits￿& activities
4,710
4.710
1.680
Trustee8
None of the trustees recewed any remuneration for their ro￿ as tnjstees. The folkmng truths TeceNed
remuneralion for semces provhded lo the Charity in order to deliver projects:
M Clark £8.25012021- £8.742)
The f(4knving trustfjos reCei￿d thg fdlwng &xpwses:
M Clark £596 {2021".£3461
J H1nd￿Y £5012021."£nill
Employees
The average monthty number of emF4oyees duriry the year was:
2022
Numb•r
2021
Numbor
Employment ¢osts
2022
2021
Waw and salaries
Social security costs
Other ￿nSIOn costs
102.271
2,498
1,210
117.191
105,979
117.191
Thèrg were rKJ employees whose annual rOmLThrnl￿ than £60.000.
13-

SOUTH ESSEX COMMUNITY HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
10 Othor
Unr•strlctsd
fund$
Total
2022
2021
Nel loss on disposal of tangible fixed asséts
441
11 T•nglbl• flx•d •sMts
Flxlur•• •nd
Ilttlng•
Total
Colt
Al 1 AprOI 2021
Additions
D18ptssal8
8.349
343
13C>oi
2.918
9.267
2.647
18801
{3601
Al 31 March 2022
6.392
4,862
11.254
D•pr•clatlon and Smpalrni•nt
Al l April 2021
Depreciation charged in the year
Eliminated in respect ol disposal$
1,587
1,201
175)
1,167
1,535
11441
2.754
2.736
219
Al 31 March 2022
2,713
2.558
5,271
C*rylng amount
At 31 March 2022
3,679
2.304
5,983
Al 31 M8rch 2021
4,762
1,751
6,513
12 D•btor•
2022
2021
Amounts f*lllng du• wlthln on• y•ar:
Prepaymgnts And accrued income
2,159
1,800
13 Credltorn: •mounts falllng due wEthln one year
2022
Olher taxation and sodal sgcurlty
Trade (yeditors
Accruals and deferred income
378
4,431
3,385
129
700
1.000
8.194
1,829
14-

'E c
Ii'lil li li I
<?11<S(nv)8u)

SOUTH ESSEX COMMUNITY HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
13 Analysis ol not a$80ts bet￿￿n funds
Unrestricted Restrfcted
fund$
fund$
2022
2022
Totsl Unreslrictsd Restricted
funds
funds
2021
2021
Totsl
2022
2021
Fund Wan¢è8 at 31
March 2022 ar8
raprasantad by..
Tangibl8 assets
Current assetsllliabilities)
5.217
164.946
5,983
188,439
6,513
162,143
6,513
158.998
3.493
13,145)
170,163
4.259
174.422
168,656
13.145)
165,511
16 Op•ratln91oas• ¢ommitm•nts
A¢ the reporting end date thg charity ha(1 outstanding commitments lor fijture minimum lease payynonts under
non.cancellable operating leases, which fall due as foJlows=
2022
2021
Within one year
Between two and five ygars
3,600
21.600
3,800
3,600
25,200
The c*arity holds a short torm Igase for property at th& Vithria Sh¢)pping Centre al a rent of £21.600 pgr
annum terminating in May 2022.
The chanty also holds a S year1&¥$o for th¥ N(xth Road Cha￿1 which is at a popper¢om rent.
17 Rèlatèd party transacil¢)ns
R•muneratlon of key manaymgnt p¢rsonng1
The romunoratk)n of key managgmont pgrsonngl is as fc41¢)ws.
2022
2021
Aggragata coMpenSat￿n
31,179
2,256
16-

SOUTH ESSEX COMMUNITY HUB
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2022
17 R•lal•d party transa¢tlons
Icontlnuedl
Transactlons wlth r•lat8d partl•$
During the year the charity entered into the following transactions with f8Lat8d partie8.'
S•rvlc•s rne•iv•d from
rntat•d parties
2022
2021
Entiti&s wth $harod koy management personr
8,875
4.500
8,875
4.500
The chartty purchased consultsncy serv¢es lotslling £8,875 from NGD Productions Limited for whom D.
Preston is a director from 1st November 2021. D. Sollis. a d1￿Ctor of NGD Prthyvetions Limited. became
Tnjstee of the charity on 20th May 2022.
17-

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