• CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees. Annual Report for the period
From 1•t Aprfl 2022 Period start date To 31¥t March 2023 Period end date
Charity name: The Shed (Trnide)
Charity regtstrabon number 1175457
Objectives and Activitss
Summary ofthe purpw of
the charity as set (xjt in its
P*a 1.17
The otyect of the CIO . .
of {prÈmarity) men's gcx)d health in the
Tamestde area. for the public ter*ft in
retired. unemployed or have health Fssues
through the provision of fau"Iities for
(¢cupati￿$ including prackn(21 interests.
skills sharing, the leamiThJ of r￿W skills.
oItErwi*, the trustees shall have P(Y￿er
To establish a (x)mmunty wortshop and to
maintain. manage. or c(*Terate with any;
other charity. organisatvjn. company or
management of such thitie5 promoted by
the chty in furtheran￿ of the atM)ve
The Shed's Vision is:
We Ydnt to be a plaz people (and
PhysicalPy ￿tIVe
ra￿ of health and wellbeing &ti¥it*s
overtiThE in ¢Jrder to achieve its charitabte
inyne to sustain the Shed n the bnger

Managng the Shed as a comfflunty
asset for the putAic benefft by hosting a
range of wa¢t￿l activitEs to aid
Tam&8bJe citizens to age knell.
ProvKJing a range of Servi￿ artd
Young Onset Dem￿ts andl(x Mild
nitive Im
im￿nt.
Summary ofthe main
Pwa 1.17 •xl
1.19
purposes for the publr
tenefft. in particular, the
M(Yrthtry SUPFer club
The Men's Ro)m
Men in kitchens
Here & There Gr￿p- monu
visits.
Chess Ctub
Use of smart hone
In pursuance of their obligations in regard
lo ensurirNJ public benefft of the Shed's
proViS￿n, running and rewrting of publ
benefft trustees have copies of P81. PB2
arKI P83 guIda￿e whKh are discussed.
. at meets.
statement confinntrvJ
P*a 1.18
had regard to the guKI
issued by the Charity
Commission rm publ
Y￿M
Pwa 128
Poly on grant makxvJ
P*a 1.38
including p￿g￿n related
investment
Not ¥FA￿able
The 14 ¥c￿nteerS with al aspects of
the PToj&#. The majority coveT the fotbwing
Pa3 128
Contributb)n made t
volunteers
of wood to:
Help sh￿Ide￿ to make &KI comp
Make and deliver items for hxal

GeneTrting a small ￿nc￿nt of F￿me
for sale of gar(kn items to the publ￿ to
r￿Ver the cost of matefHEs.
Voluntews also require the nLYmal
knowledge ar)d ski115 of any voluntew-
empattry. safeguarding. first awj. clear
communicabons. etc..
StEc* skitled volunte￿$
Men-wkkilchens:
storage of fthj
Economic focMI pknrnt¥J indudr
shopplng for one.
rectpes
Range of technki￿ and
methods
&xial eating with guest diners
Monthty Suprtr Club- food, mitsic.
quizzes, guest SF*aker5 are ¢Nganised
Spx)rb"ng memcyies
Partu￿r skiys aThJ are
rw4uired for this acty.
The aim is to evoke happy memories
rmne lirnited *ivities
technokw (use of Smartphone}. These
activrts￿ require wiallst knowledge
atKI skils from t￿[X)￿ volunteers.
The Shed Organ￿ed and run weekty
Other
Achievements and Perfomiance

Shed out a rwart￿ty suNey
of sheddern to Mlentify nfomiation that
will help It describe the k￿lI1ve impact
il is having and hb3hlight areas for
Summary ofts main
ach*vemerrts of the charty.
identifying the dIffe￿n￿ the
charit￿$ has mth to
the Circumstan￿ of its
P¥a IJ)
business pkn.
citing that shedders and their carers are
generaltry fvsed with the Servi￿ and
teneffts to S(￿ as a
who￿.
Most responses caied the qualty of the
indivxlual t)eeds and circumsta￿.
In June 2022 the St￿j were warded
the Q￿n.$ Awwd fcx- Voluntary
Seprf￿e and r￿￿￿ed the ￿rtificate and
crystal in a ceremony in Septemi
2022.
Youm
The Shgj continues to ￿)joY a hig
level of (Kcupancy based on eight
fulltime sh￿Jd￿day. The current
numbers are sbll slighty down on pre-
pandemic figures but rt is expected that
wilh Confiden￿ building some hesitht
Shedde￿ will retum.
P¥0 1_41
Ind￿ of beneficiaries. value ofthe
Ser¥￿e.
Th￿e havenl been ￿ saf8Juarding
There havenl been any CLynpbints
about the Shed.
Several C￿p11rne￿ts have been
memtHs an￿Or carers.
The Shed remains finaTr￿aIty sound
through a mtxed source of income:
The men make a small contrlbution as
and when attend. Six pounds per
visil is chargwj whth is unchanged
Sin￿ the Shed OFened in 2017.
Perfornance of fundraising
Part 1.41
Meth(￿ of funding the attendance of
some older vulneratAe tren.
G￿nts have been ￿rded for specir
nisation

applicztron by the Shed.
A small ￿OUnt of iKome {less than
8%) is generated ty the &*s of items
manufactured at the Shed
PJ? 1.41
against obj.ectr
Other

Financial Review
Rev￿￿ ofthe ch￿r￿S
financial postsM at end
Paa 121
P*a 122
stating why they are hekl
time empw with a total of eight
rrying a SI￿hty lar￿ r￿erve rf
income stK)uld taN
The Shed is grcmtng and we are rKAV
tr¥ety hx)king for larger premises
P*a 122
NIA
eNes
P• 124
de￿11
Explanation of any
uncertatntss abcxrt the
charity (xinlinuing as a
concern
WA
Paa1
Additional Inform￿ (optional)
The principal source {70%) of funding
The pfIr￿ik￿l
sources of funds (irKludry
any fundraising)
the Shed.
1.47
other l(thl groups.
e.g. Ambilic￿ for Ageff￿, for SFwfi
shedder5' fees. These activitss include:
whith are free to users at the p)Fnt of
Inveslment wlicy and
obiectNes including any
scKial investrnent rdicy
adcyted
P•a 1.46
Man [￿k may come a teductKJn in
A descWKin oflhe ￿Tripal
rtsks faci
P¥a 1.46

Structure. Governance and Management
Description of
trusts..
Type of goveming dcK#Jment
P¥a 125
Hthv is the charity
constituted?
P*a125
'aled
cio
Paa 125
induding detai& of
constitutional provisions e.g.
election to post or name of
Trustees a￿ not appointed by
to app￿t one or more
trustees
Addilional informakn (optional)
You ma
Nthy apwinted trustees spend a day
{or two half day5) in the Shed to view
Policie5 and procedures
adopted fw the indwlion
P¥a 1.51
. Mditicxwl trainm￿ is given by tak
new trust&5 through the CUfTent &year
plan and exp&ining ¥%that still needs to
be done. hcw4 and
who set wlicies and prccedures to
hieve is aims and obJ"ectives.
The arKI prC£edu￿ are
structure and ary knider
Pwa 1.51
Ca￿dIna￿￿ WI￿) is sUPF￿rted to Iwo
part.time staff
The St￿d is rKrt part of ary fomial or
RelatK)nship with any
reFaled wties
P*# 131
Other

Reference and Administrative detsils
Cha
The Shed
Thes
1175457
The sI￿d ITamesKle)
Lothy House
Birch Lane
DukinfEkJ
SK16 SAU
R istered ch
numter
Names of the charity trustees Manage the ¢haTity
oirrte
rfan
10
11
12
13
14
15
16
17
18
19
20
Sha￿￿an Birtles
R CatteraH
Paul
es
Paul Rooke
Treasurer
TnJstee

Maria Bai
micti￿1 Barlth¥
Tntstee
Trustee
NIA
Funds hekl as custodian trnstees on behalf of others
DesCript￿n of the assets
hekl in this capaity
MIA
Name and obi&ts of the
ch&ity on whose behalf the
assets are held how this
falls within the custodian
chariVs obpcts
Details of wrangernents for
safe custody arrfj
from the charrty's
assets
Type of advlser
Name Address
Michael Matthews
Exemptions from disclosure

NIA
Other o
"onal inf0m￿tIOn
Declarations
￿gn￿ on behalf of the Charitys trustees
Signature(s)
Full name(s)
Position (eg
Secretsry. Chair, etc)

## 

## 

|Gene「a=nfo「matlon<br>Accountants’Report<br>Tradln望and Profit and Loss Account<br>Baしance Sheet|a<br> <br>g<br>1<br> <br>之<br>∴<br>∴<br>3<br> <br>4<br>P|
|---|---|





## 



|Income|||||||
|---|---|---|---|---|---|---|
|Sales包jobs|||||||
|Cost of sales|||||||
|Purchases|う,70う||||||
|丁○○しs|1_1旦旦||||||
|G「oss P「ofit|||||||
|Othe「 income|||||||
|Attendance fees||||48,239|||
|Donatうons||||694|||
|FundralSlng E>entS||||466|||
|G「ants童glfts||||10,74与|||
|Interest receivable||||旦|||
|Administration ⊂OStS|||||||
|Accountancy<br>AdvertlSing and webslte<br>Canteen||4<br> <br>5<br>6<br>1<br>||2<br>1<br> <br>。<br>1<br>|||
|Cしeaning<br>Computer and sofware costs<br>Donatjon<br>Insurance<br>Postage<br>StatlOnery and pnntlng<br>Sundry<br>Teしephone and fax<br>Estab=shment costs<br>Rent<br>Repairs and ma而enance|<br>4<br>6<br>朝<br>。<br>4<br>。<br>う<br>。<br>8<br>う<br>。<br>0<br>与<br>9<br>,<br> <br>2<br>6<br> <br>1<br>坐<br>「<br>ヽ<br>)<br>7<br>8<br>。<br>2<br>迎<br>4||う,204|<br>Z<br>2<br>0<br>う<br>う<br>7<br>6<br>4<br>9<br>。<br>之<br>3<br>。<br>与<br>1<br>之<br>8<br>。<br>4<br>6<br>う<br>坐<br> <br>,<br>与<br>7<br>う<br>坐<br>4|〇<br>〇<br>一|82|
|Wa墾eS COStS|||||||
|Wages and saしaries|3Z,760||||||
|Professional fees<br>丁「ave冊n窒<br>Motor expenses||216||器<br>一<br>皿<br> <br>1<br>|||
|DeDreCiation costs<br>Depn MV<br>DepreclatlOn||||<br>6<br>。<br>坐|||





## 

|Cost - b/fwd<br>Cost - additions<br>Depn置b/fwd<br>Depn - Cha「ge<br>FA- VehicIes<br>Cost - b/fwd<br>Depn - b/fwd<br>Depn - Charge|へ<br>ん<br> <br> <br> <br>1<br> <br> <br> <br>L<br>′<br> <br>∴<br>一<br>乙<br> <br>1|王<br>-<br>8<br>8<br>2<br>0<br>2<br>6<br>。<br>塑<br>2<br>9<br>8<br> <br>0<br>0<br>0<br>3<br>4<br>。<br>埋<br>朔|||L<br> <br>I<br> <br> <br> <br> <br> <br>し<br>っ<br>∴<br>∴<br>へ<br>ん<br> <br>1|仁<br>一<br>7<br>。<br>。<br>1<br> <br>1<br>8<br>緋<br>坐<br>6<br>2<br>之<br> <br>0<br>0<br>0<br>1<br>8<br>。<br>埋<br>6<br>与<br>。|警<br>-|
|---|---|---|---|---|---|---|---|
|墜旦皇||||||||
|Current account||||||||
|Reserve account||||||||
|Old account||||||||
|Pettv cash||||||||
|C「edito「s||||-<br>i<br>⊃||堅<br>調<br> <br>2<br>|つ<br>」<br>8<br>「<br>∠<br>つ<br>↓|
|AccruaIs<br>PAYE ∂nd NI<br>Tameside Age UK<br>Tameside Dementi∂ Group<br>Trade credltOrS|(<br>i<br>う<br> <br> <br>2|3<br> <br>1<br> <br>「<br>⊃<br> <br>0<br> <br>0<br>-<br>「<br>∠<br> <br>-<br>i<br>⊃<br> <br>7<br> <br>0<br>3<br> <br>3<br> <br>1<br>一<br> <br>(<br>ノ<br>一||||<br>3<br> <br>。<br>。<br>担<br> <br>型||
|Net assets<br>Funded By<br>Profit and loss account<br>Brought forward<br>Net profit<br>Total funds|圏||棚<br>哩<br>∴<br>∴<br>曜<br>週||圏||胆<br>坐<br>∴<br>∴<br>硬<br>鑑|





CHARITY COMMISSION
FOR ENGLAND AND WALES
T14@ Sll
Receipts and payments accounts
CC16a
For the perfod
To
1?4
Section A Receipts and payments
Unrestricted
Rèstricted
fund5
Endowment
funds
Total fvnds
Last year
Al Receipts
Funoraising
￿￿3110￿5 and L￿3¢Y
Memben% 5ubscriptons
Interest ￿￿vert
122
2.150
41123
$12Z
1150
42,123
2.238
11.439
48.239
tota
or
ARJ
49.435
61,916
etan
Isee table).
nvestment sa
tots
Totsl recwpts
49,43S
49.&35
61.916
A3Pa
ments
Cost Offur¥Jra151rvJ
Wages
Rtnt
Rep3irs
Insurance
Tdephoneand fritemet
Printing postsge 8nd Stall￿
Professional lees
AdYerbs4llg
Canteen and swdnes
Mclorexpenses
6,893
32,780
4.&)2
402
4.4$0
29.512
4,575
978
230
32.760
4,802
402
449
108
602
4.960
12
É70
1.291
Sub total
50,786
47,508
A4 Asset and investsnent
urchases
see table
Motor
Equspmfrntfi¥tute5 and fitbngs
Sub total
50,786
4T,508
Net of recelpts/{paymentsJ
AS Transfers between funds
A6 Cash funds last year end
Cash funds this year end
1,351
1,3S1
1{408
45.159
45,159
46.510
CCXX R1 accounts ISS}
2610112024

Section 8 Statement of assets and liabilities at the end of the period
Unrestricted
Restricted
Endowment
funds
Catew4e$
B1 Cath fund5
441
Details
D•t*ls
Details
charws 4>￿ use
Details
BS Lia￿1￿￿5
Datè of
E49llF
CCXX FQ ISS