Charlty number: 1176374
Company number: CE012ll4
RECONCILING LEADERS NETWORK
(A charitable Incorporated organlsatlon)
TRUSTEES. REPORT, INDEPENDENT EXAMINER'S REPORT AND FINANCIAL
STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2021

RECONCIUNG LEADERS NEfwoRK
CONTENTS
Pa99
Reter8n¢o and admlnlstratlvè d8talls ot Ihg ¢harlty. Its Trusto08 and adv19ers
Trustees, Teport
Independont examlner's report
Slatement ol flnanclal actlvltlas
Balance shegl
Notes to the fln8ncl41 gtoternents
8-15

RECONCIUNG LEADERS NEfwoRK
REFERENCE AND ADMINISTRATIVE DEfAILS OF THE CHARrrY, rrs TRUSTEES AND ADVISERS
FOR THE YEAR ENDED 31 MARCH 2021
TN8teo8
Mr Kon Costa, Chainnan
rs Clare Chapman
Canon Sarah Snyder
Mrs Fattma Wesson
Mr Glyn Barrett (appointed l ju￿ 2020)
Charlty rog1￿er9d
nurnber
1176374
Prlnclpal offlco
Lamb8ih Palace
Lamb8ih Palace Road
London
SE17JU
Indopèndenl Examlnor Crowo U.K. LLP
55 Ludgale Hill
London
EC4M 7JW
Bankers
BarcLgyS
99 Hatton Gardens
London
EC1N 8DN
Sollcltors
Hunters
9 Now Square
Uncoln's Inn
London
WC2A 3aN
Accountant8
Charlty Ac¢ounling Services
B108 Tfldent Business Centre
89 Blck•r8tth Road
London
SW17 9SH
Page 1

RECONCILING LEADERS NEfwoRK
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2021
Trust99s 01 the ReCo￿ling Leaders Nelwork IRLNI ara ploasad to prasent th8lr Report, whkh includes the
rectors. Report. logether wslh thé finarKial slatements of RLN for the year ended 31 Mar¢h 2021.
STRUCTUR4 GOVERNANCE AND MANAQEMEKr
Qovernlng do¢umont
Tha eharlty is eon8tilutad as a Qhapitable Incorporated Organi8ation. Its govoming d¢xumont Is Its memorandum
artides of aSS￿lation.
Oryanlsatlonal struclu
Govomance: The Tfustses ara appointed lor fixed temis and. by mutual ¢onsent, may be r8appdnled. Trustees
are recruited wtth regard to their respe¢tlv& aroas of knovAedge. skllls and exp8len¢e. Thore is a cOMpre￿nsive
pre-appw)inlment brièflng arnl an induction pro¢8ss for now Tnjstees. On-going training Is mad8 avallable to
Tru$toe$ as r￿U]r0d. During this finan¢ial year Glyn Barrett was awnied as a ngw Truslee. Sorving on ffta
board alongsid8 Kenneth Costa, Claro ChaFman, Fatima Wesson and Sarah Snyder.
The Reverand Canon Flwa Winligld is the Archtsshop's Advisor lor Reconclliation and tho de facto CEO (A RLN.
Managèmènt and admini8tration". RLN 1$ administored by Rebw Stewart (Goklstar Partners). Goldstar
Partners prowde charty office admlnlstration $•Nices and ￿MpanY se¢Yelarial duties under a eontract with RLN.
Charity Accounting SaNlces pmvide book-keeping and accounllng seNices to RLN.
The wincipal risk facing RLN 1$ tho ongolng uncertainty created by Covid-19, b)th operationally and financialty.
Tha pandemi¢ has significanlly changod th8 activtty of Ihfj RLN team.. la¢￿t0-face trnining for farilitators has
beon postponad and now digital delivery has been d8v8lopgd. There is also uncortainty regarding the level of
future grants from the Lambèth Trust and other funders givan the e¢onoml¢ downtum.
ACHIEVEMENT AND PERFORMANCE
Tha vlslon of the Archbistrmw ol cantsrbU￿8 Reconcllialion Minlsty is for th8 church to be a ro¢onallng
prasance In th8 mh48t of confllct. RLN'8 purpos8 18 to train. equlp and inspire a genoration to It￿ as
p8acèmakers and recon¢llers for a lust and Ilourishlng society. for the public benefll. both Internationalty and
nationalty.
During this p&riod, Ihg RLN team have focused on developlng the 'DIlleren￿, rA>urne. evaluating 118
effectiveness, tralnlng hosts to de15v8r the resource, and laun¢hlng a dlgllal plattorm. The Iwo goals are 11 to
Oxtend the roach and grown the movament; and 21 to equip and resourc8 the movament.
Du8 to the impact of the pandemk and ihe r¥d change of how church groups gathered, tha Dlffer&nea ¢ou
was Tgconfigurod and ad8Pted to faci￿tate groups moeting onlinè. By May 2020 a vèr81￿ ol tho Dlfforènco
cours• for online groups was available alongsida Iho In- pgrson version.
Trainin9 on how to run the coursg 8180 movgd from an Sn*8rson day event, to a 8horter tralnlng vla Mde
¢onfererte. Thè shfft to online tralnlng In¢reasad Intomational engagemenL Dudng the year 468 ¢ourse hosts
wero t￿ned online. Plans are in ￿ace lo transition the Iraining from fa¢aW￿laCe vkleo-conf8ren¢8S to tilmed
training sessions a¢cessiblg through an online18arning System. anabling people lo a¢ce$s tho Iraining anytima
from an￿￿re.
An intemational learning review on th• Drfleren¢o ¢ourse across nine countngs was undertakan, wlth in-dopth
lo￿8 groups and19aming reFths. The recommondations from the reNryew have been implamonknj to strengthen
the Course and Its delivery.
The team have worl(ed wlth senlor ¢hur¢h leadership to intagrale re¢on¢iling pra￿CeS arnl principles into the1rf8
and rhythm of church and ¢ommunty. offoring the Drff8yer￿ course as a resour¢6 for leaders to equip their
congregatlon8 and ¢hurche$.
Page 2

RECONCILING LEADERS NEfwoAK
TRUSTEES. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2021
Dilference 'chaMi￿ons. havfr helped slrongthon Difference over the last year, and vrill be a key part of futurg
development. Th• Champions integrate Oifferenca into tha thythm of their Church lite, run dio¢e88-vlda roll outs
of the course and p(oneor Dlllw6n¢a In sgctors such as pri30n$.
FUTURE PLANS
The next financlal year will focu8 on the followfng araa6 01 development and growlh."
In¢reaso aware￿$ arKI 8ngag8ment thr¢)ugh digKal Communications. In Awil and May 2021 an online
¢ampaign vill Eaunch featuring a film 8erie8 from ￿chb1$hoP Justin Welby. The campaign and film series
ms to grow 8mail subscrfptions and engagement with Différence, increasing the number of pecple runnlng
the Oifforen¢g Gourse. Further awarene88 gènèration is planned through addliional broadoa31s Sueh a8
Christian radlo, pod¢asl and Christian TV nelY￿rks.
Creats a $u$talnablo meth￿j of training to fa¢ililate scal8. In summor 2021 training on how lo run Ihe
DMleron¢e ¢oui$e wll transition to an onfine, asynchronou$16aming plattom. wtth training films that people
can ￿eW anyume, anywhwe. Dovelop partnershlps Mth other onling Igarning plarforms lo also host
Difference.
Church and Chaplaincy engagem8nl- working with Bishops and Deans In EnglarKI to support and resourco
their roconcllialion work in church88 and ¢ommunitlos, in partkular a close partnership with tho dlo¢ese of
Coventy. Work wth Forces Chaplains in the Royal Air Force and Brfll$h Amy, ottorfng the Difference
coursè as a resource. Work with ¢h¥ain¢ios in prisons, offering low-tech opllon$ for runnlng the ccwrso in
prisons. for oxample the need to provide DVD8 wlth cthrse conlgnt.
Increase inlamational engagemont. Tho Course wll bg translatgd into Spanish and Portugu66è by autumn
2021. Resource Dillerence Champions who engage with and promote Dlffarence in their Mnt8xI.
Support tho Ar¢hbishop ol Canterbury with wbjor roconciliation priorities and weparailon for Lambeth
Confarenco 2022.
FINANCIAL REVIEW
The tolal incomo for the parlod was £173,877 ¢ompri8ing grants and donations. Tho Trust905 saek to Continue
to release ihe funds raised aach year to fund the work of the charity. The total funds of Reconciling Leaders
Network at 31 Mar¢h 2021 wgre £82,032.
Re#erve8 pollcy
Taknng one year y￿th anothèr. thg TnJ8te8S 88ek to spgnd all not In￿me as it arfses. Truste88 8eek to maintain
a 6uFficlent base of unrostricted funds approprÉate to the operallon of tho charlty. The T￿￿te88 consider lh* the
value of the unrostri¢t8d funds at 31 Match 2021 of £69,082 meèts these objo¢tN6S.
Golng Conc•rn
Aftor rna￿ng appropriate enquiri•$, incluthng asse8$mants of thg key rFsks and future budgets. the Trusteos
ha￿ a reasonablg gXPgCtalion that tha charty has adequate rosources to continue in operational exlslanc8 lor
the forosoeable futuro. For this reason, the Trusleg8 ¢ontinuo to adopt the going concem basis in preparing the
finan¢ial statements. Furth9r details rggarding the adoption of th& going con¢•m basis can be found in ihe
Accounting Polkl6$ at Noto 1.
Pago 3

RECONCILING LEADERS NETWORK
TRUSTEES. REPOFIT (CONTINUED)
FOR THE YEAR ENDED 31 MARCH 2021
STATEMENT OF TRUSTEES. RESPONSIBILITIES
The Trustee8 aro wponslbte for preparlng the Rep)rt of the Trust6e8 and the fInar￿ st8temerrt8 In
accordance vilh aFplicabl8 law and Unlted Klngdom Acc￿n￿r1d Standards (Unhed Kngdom Ge￿ralty Accaptod
Accounting Practice).
Chartty law requlres the trusteos to prepare a 8tstement ol assets and liabrfltl8s lor each financial yearwhkh glve
a true and talr VI￿ of ihe stat8 of affalrs of the charita￿e Incorporated organisation and of the Incoming
resouffjas and ap￿ICation ol rosources. Including the receipts payments. of the charttable irthrporated
fxganK%atlon for that period. In preparfng those financld slalem8nts. tha Trustees are rffjulred to.,
s•le¢t surtable accounttng poncl88 and then apply them conslsl&nlly:
obs•tvè the mgthod5 and wInci￿8 in the CharfY8s SORP,.
maké ludgments and 8Stsmates that ara r￿￿Onabl6 arKI prudent:
prepare the fina￿la1 staternarts on the golng concern basls untess li Is InaFpropriats to prgsumo that the
charltable I￿orpOrated organisath)n wlll corrtlnue In operatlon.
Thè Twsteeg are r&sportgibl8 lor kèeplng proper accounting records which disd¢)se wlth reasonable ac¢ura¢y, at
any tlme, th8 financial position of the ¢haTttablg incorporated organisaoon. These enthè them to gnsure that tho
Ilnancial statements comply wllh th8 Chadle8 Act 2011. They are also ressJ%tslble for safeguardlng the assets of
tho charitable Incorporat8d orgenisallon and hence lof taklng reasonable ￿8p$ for the prevantlon and det8Ctlon
ol fraud and other irrggulaTMes.
Th8 mak&up of thè TrLbStee body Is r&￿eWed r4ularlyto ensure that It Is suitatly skilled and dlverna.
Approved by ordor of the mombers of the of Trusl8es on 22 June 2021 aThd slgned on thotr bahall by..
7/a-
Mr Ken Costs
Chalmian
Pagé 4

## **RECONCILING LEADERS NETWORK** 

## **INDEPENDENT EXAMINER'S REPORT FOR THE YEAR ENDED 31 MARCH 2021** 

## **Independent examiner's report to the Trustees of Reconciling Leaders Network ('the charity')** 

**I report to the charity Trustees on my examination of the accounts of the charity for the year ended 31 March 2021, which are set out on pages 4 to 13.** 

**This report is made solely to the charity's Trustees, as a body, in accordance with section 154 of the Charities Act 2011. My independent examiner's work has been undertaken so that I might state to the charity's Trustees those matters I am required to state to them in an independent examiner's report and for no other purpose. To the fullest extent permitted by law, I do not accept or assume responsibility to anyone other than the charity, the charity's members as a body and the charity's Trustees as a body for my independent examiner's work, for this report, or for the opinions I have formed.** 

## **Responsibllltles and basis of report** 

**As the Trustees of the charity you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 ('the 2011 Act').** 

**I report in respect of my examination of the charity's accounts carried out under section 145 of the 2011 Act and in carrying out my examination I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the 2011 Act.** 

## **Independent examiner's statement** 

**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 that in any material respect:** 

**1. accounting records were not kept in respect of the charity as required by section 130 of the 2011 Act; or** 

**2. the accounts do not accord with those records; or** 

**3. the accounts do not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 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.** 

**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: Dated:** 6 August 2021 

## **Tim Redwood FCA** 

**Crowe U.K. LLP 55 Ludgate Hill London EC4M 7JW** 

**Pages** 



RECONCILING LEADERS NEfwoRK
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 MARCH 2021
Restrlcted UnrnstYl¢tad
funds
lund$
2021
2021
Total
tunds
Total
fUr￿S
2LY20
Income Irorn:
Donation$
173,877
173,877
414.384
Total Ineome
Expendltur• on:
Charfl*8 a¢tiviknos
173,877
173,877
414,384
7,OlXI
233,771
339,Z37
Tolal exp8ndlluro
226,771
233,771
339,237
Net <expendfture)nncome
Transfgrs between lunds
17,000)
20,000
(52,894)
(20,000)
(59094)
75,147
13
Not movoment In funds
Recon¢lllatlon ot lunds:
Total funds brought forward
Net movement in funds
13,OlJO
{72,894)
(59,894)
75.147
141,926
(72,894)
141.926
(59m)
13,000
75. 147
Totsl lundg cavrlod torward
13,000
69.032
82,032
141,926
Tho notes on pag8s 8 to 15 form part of these IlrAncial statèmerrts.
Page 6

RECONCILING LEADERS NEfwoRK
BALANCE SHEEr
AS AT 31 MARCH 2021
2021
Note
Tanglblo assets
10
1,847
1,647
Curmni assèts
Dabtor8
Cash atbank and In hand
11
759
164,718
9T￿7
185,200
CredStor8: aM￿nts falilng due 4¥lthln ono
12
(16.512>
(24.921)
Nel current 8s8els
81R55
140,279
Totsl nol ￿9013
84032
141.926
Charfty fvnd8
Restrlcted funds
Unrestrkted fuFKIs
13
13
13,0(Xl
141.926
Total ￿ndS
141.926
The lInar￿al stst8ments approv8d and aulhoA8ed for Issug by Iha Trustse8 on 22 Juno 2021
and s￿ne& on Iholr b8half ty.
ly
Mr8 Clare Chapma
Mr Ken Costa
{Chalr ol TNstee8)
Tho not08 ¢)n pages 8 to 15 tom part of the88 ffinancl￿ statements.
Pagg 7

RECONCIUNG LEADERS NETWORK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2021
G?norn1 Infomiallon
Reconciling Leaders Netwo￿ 18 a charitable incorwrat8d oryanlsation Ilmtt8d by guarant80 Irogistored
number CE012734) and a register8d charity in England and Wdes (number 11763741. Ils rogistered offi¢0
is L8mbth Palace. Lambgth Palace Road, London. SE17JU.
Ac¢ouMlng polldeg
2.1 8a$lg ol proporatlon ol flnan¢lal statom•
The financial ststaments have b99n prepared In aKordan¢e th8 Charltlos SORP IFRS 102) -
Accounting and Reporting by Charities: Statamenl of Aocommgnd8d Praetieè aFplicab￿ to charities
preparing their accounts in accordance wth the Financial Reporbng Stsndard aFpll¢able in thfr UK
and Republic of Ireland IFRS 102) leflKtive 1 January 2019}, Ihe Financial Reportlng Slandar(I
appbcablg in the UK and RerAA)lic of Ireland {FRS 102) tha Charithes Ad 2011.
Ra¢on¢iling Loaders Networt( meots tho dofinitKJn of a public bènolit •ntty under FRS 102. Assets
and liabilitie$ are initialty recognised at histor&il cosl or tran8a¢tlon value unt8$8 othorvise stat8d in
Ihe relovanl axounting y)IKy.
22 Qolng concern
Having roviewed th• fina￿la1 p)sition, the Trusle8s havo a rèasonable 8xpectaik)n thai Ihe charlty
has adequats ￿sourC8S to ¢ontinuo its activltias for tho forèseèabla futurg and that therg are no
material uncertainties about its ability to ¢ontinuo. A¢¢ordlngly thèy ¢ontlnue to adopt a going ¢on¢•m
ba818 in preparing the financial 8tatem8nts.
2a Income
All Incorne is reoognised Or￿ the charty ha8 enlitlement to Ihe income, It L8 probabfa that the Income
will be réceived and the amount ol income recelvable cAn be measured reliably.
2A Expendlturo
Expendllure 1$ accounted ICK on an accruals bas58 and has bèen Classified under headings that
aggregats dl costs related lo tho category. Whère costs cannot be attributed to partwlar headings
thoy have baon all(xatod to activities on a basi8 conskSt8nt wth the use of re80urce.
2J Tanglble Ilxed a88et• and dèprnclatlon
Tangibl• fixod aGsels ara carried at cost fiot of deprecialon 8nd any provl8lon for impainnent.
D4xa¢iation Is charged so as lo allocate the ci)st of tangibie fixed assets less th8ir resldual value
over tholr e6tlmated u￿ul Ilvos. uslno thè straight-lina mgthod.
Depreclatlon Is P￿￿ded on Ihe foll￿￿ng bas18:
OFfic8 equipment
2.6 Dobtorn
Trade and other debtors are recognis8d at the Settlement amount after any Irade di8¢ounl offerad.
Prepayments are valued at the amount propald not of any trade dixounls due.
Page 8

RECONCILING LEADERS NEfwoRK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2021
A￿)untIng polldos (contlnuod)
17 Cash al bank and In hand
Cash at bank and In hand In¢ludes eash and short-tem) hSghly Ilquld investrn8nts wth 8 short maturty
of threo months or less from tho date of acqulsition or q)anlng of the deposlt or slmilar ac*ount.
2.8 Llabllltles and prov181on8
Liabililles are recognlsed whon thare Is an obllgatlon at thè Balanc6 Éh6at date as a rèsult of a past
event. it is probabla that 8 Iransl8r ol economtc bèft￿1t wtm be required In 8ettlemgnt, and the amount
ihe Settlement can b8 e8tlmated reliably.
Liabiliti88 are recognis8d at tho amoL*nl that Ihe charity anlidpales it wlll pay to $attle the debt or the
amount it has rec81ved as advanced payments lor the go￿￿9 or Se￿iCe$ il must provid8.
2J Flnandal Inslrument$
The ¢harity onty has finartial assets and linanGial liabilitie$ ol a kind that qualify as basic finanGial
Instruments. Bas￿ finawal In81rum&ntG are Inltlally r8cognlsed at transaclion value and subsequonlty
measured at amortisad cost using the ellective Inleresl methcfvj. Financial assets held at amortisgj
¢08t comp(tS8 cash ai bank and in hand, togeiher with trade and olher d8lXors. Financial liabiliti86
hatd at amortised c08t comprise trade and other credltors.
110 Pen•lon$
The charity operates a defined contrfbutlon ￿nSIOn scheme and Ihg pon81on ¢harg6 r9prosents the
amounts payable by the Charity to the fund In respect of the year.
2.11 Fund acmuntlng
General funds are unrestricted funds whi¢h are availthe for use at the discretion of the Trustees in
furtherance of the ganeral obje￿IveS 01 thg charity and which have not been designaied lor oiher
purposgs.
Restrfctod funds are lund$ whkh are to bo usod in a¢*A)rdanc• vith swfi¢ restrlctions imposod by
donors or which have bean raisèd by the charity for part￿lar purposes. The costs of raising and
administering such lunds aro charged against the speth fund. The aim and usa of each restrict&J
lund is set out in the notes to the financial statements.
Page 9

RECONCILING LEADERS NEnVORK
NOTES TO THE FINANCIAL STATEMEKrs
FOR THE YEAR ENDED 31 MARCH 2021
Crltlcal accountlng eJtlmat6a and am8 Ot ludgement
In th? appfKatlon ol the ¢harW8 ac¢ountlng polldes, Trust￿ are required to make judgments. estlmales
and as$umption8 about the carpyng value8 01 a88el8 and liabilities that are r￿t readily apparent from other
sources. The e8timates and underlylng a8sumption8 are based on historical expgrienco arKI othw factor¥
that are considered to be relavant. Actud results may differ from these ostimat6s.
The &s￿MateS and urKlorlying assumptions are roviowed on an on-going basis. Rèvisions to a¢c4wnting
e8tlmates are rgcognised in the pgriod in which the estimato Is revised if the revision affKts only that
period or in the period of revÉsion and future p8ritrJs rf the revision affects the ￿TTent arKI luture poriods.
In the vlaw of the Trustees, no assum￿on8 ¢oncemlng ih8 future or esilmation U￿ertaInty aff8Ctin9
assals and li•bilitio9 at th• Balanco Shèèt dats ar8 likely to rasutt In a mat8rlal adlu8tm8nt to their carrying
amounts in the next financial year.
Incomo Irom donallon•
Unreglrf¢tsd
funds
Totol
lunds
2021
Tot81
funds
2020
Grants
173,877
173,877
414,384
Analysls of oxpendlturo on charltablo actlvltlos
Summary by tund typa
Re$trfct8d Unr&•trlcted
lund8
lundg
2021
Total
funds
2021
lunds
2020
Charilablg a¢tivilip¥
226,771
233,7T1
339,237
Tota12020
339,237
339,237
Page 10

RECONCILING LEADERS NEfwoRK
NOTES TO THE FINANCIAL STATEMEKrs
FOR THE YEAR ENDED 31 MARCH 2021
Analysls of expendlture by actlvltles
Acllvhles
undertaken
dlrectly
Support
costs
2021
Totsl
funds
2021
Total
ftinds
2020
Charitabb activlties
189,Y23
233,771
339.237
Total 2020
295,023
44,214
339,237
Analysls of dlroct C08ts
T￿21
fundg
2021
Totsl
fvnds
Staff ¢osts
Other diroct costs
167,200
21323
186,
108.59Y
189.523
295.023
Analysls of support ￿*18
Total
tunds
2021
Totat
funds
2020
Depreciation
1,258
358
1.487
Accounting arKI bookkéeping
Trust Executive
Mis¢ellanaou$ c￿1$
Governan¢o ¢OSt$: Ind•pgnd8nt Examine¢s fe9
Govemance cost8: Legal lee8
28.800
975
4,920
44,248
44.214
Page 11

RECONCILING LEADERS NEfwoRK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2021
Indopondent examlner's remuneratlon
2021
Fee8 payth lo chaws indep•ndent examlngr for tho Indepondont
examination of the charitys annual a¢C￿jnts
4,800
Staff costs
20
2020
Wage8 and 8alarfes
Social secuiity costs
Contribution to defined contrikAJtion pension schemas
140,546
11,497
15,157
166.861
16,473
3,098
167.200
186,432
Thè average numbor ol pgrsons employed by the ¢harfty during tho year was as folk>ws:
2021
No.
2020
Avorag• h8aLknunt
No employee recetved remunerallon amounting to moro than £60,C(IO in eithor yaar.
Th• total employeè benelits ol key managament Personnel were £148,474 (2020,. £149,890).
Trustees, rernuneratlon and expen808
Dudng the year, no Tnvtste8s rwAivad any remuneral￿n. bgnglits in kind or r•1mburs￿OftI of oxpèn898
(2020- £NIL).
During the year anded 31 March 2021. no Twstee expon8es have boon IrKurrad (2020- £NIL).
Page 12

RECONCILING LEADERS NETWORK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2021
10. Tanglblo flxed as8et•
Offl¢e
equlpment
Co81
At 1 Apn'l 2020
At 31 March 2021
2,607
D￿reCIat10Th
Al 1 Ap￿1 2020
Charge for thè year
870
At 31 March 2021
Not book valua
At 31 March 2021
At31 March 2020
1,647
11. Dobtors
2020
Othor debtors
759
759
482
12. Crndltors: Amoun18 falllng due wlthln ono year
2021
2020
Trade ¢reditor8
Other taxatlon and soclal $8tsJrity
Other crodilors
Accruals arKI deferred income
1,724
3,928
4,250
4,171
279
16,221
10,920
16,572
24,921
Pag8 13

RECONCILING LEADERS NEfwoRK
NOTES TO THE FINANCIAL STATEMEKrs
FOR THE YEAR ENDED 31 MARCH 2021
13. Slatoment ol tund8
Statem￿1 of tund8- eurrnnt yoAr
Balan¢fr at
31 Mar¢h
2021
Balan¢e at 1
Aprll 2020
Tran9terg
Inlout
In￿me Expendlture
unrn8trfct￿ lund3
Genoral Funds
141,926
173077
(226,771)
(20,000)
69,032
Rostrlcl8d fund*
Prfson Fund
(7,000)
13.000
Total ol lunda
141,W26
173,877
(233,7T1)
82,032
Statement ot lundg- prfor year
Balance al
31 March
2020
Balance al
l April 2019
Ir￿orne EXpendi￿re
Unrostrt¢t6d lunds
G￿er81 Funds
66,779
414,384
(339,237)
141,926
Prf8on Fund
Thls fund flnanc8S Part of tho Salary of a staff m8mbgr to suwjort swjport actsth68.
The transfèT In the year ended 31 March 2021 amounttng to £20,000 from Unrestrid8d Gen&ral Funds to
the Prsson Fund repre88N8 income that had been re¢eSved In a year rostricted to th8 Prison Fund.
Page 14

RECONCILING LEADERS NEfwoRK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENOED 31 MARCH 2021
14. Analysls ot net agget8 b8lwo8n funds
Anal￿19 of net as801$ botween lund8- Cuffont yffir
Rostrfcted Unreslrlcted
tunds
funds
2021
2021
Total
funds
2021
Tangibla Ilxgd a888ts
Curfgr¢t assets
Creditors due wlthln one year
13.000
84,827
{16,5721
97.827
(16,572)
Total
13.000
69.032
82,032
Analysls of not asso1$ betW￿Tr funds. prfor yoar
Unrestricted
fuThYs
Total
fvnds
Tangiblo lixod a888ts
Curront assets
Creditors dua within one year
1,647
165,200
124,9211
1,647
1&S,200
(24,921)
Totsi
141,926
141,926
15. P8n$lon ¢ommltment•
The Charity operates a defined contribution pension scheme. The assets of the schomo are hekl
separately from those of the charity in an indopgnd&nty administered fund. The pension cosl charge
ropresenls ￿ntrIbutionS payable by thg charity to Iha fund and amounlgd lo £14,516 (2020." £3,098).
Contributions lotalling £43 (2020.. £279 Ove￿￿} were payable to thg lund at tho Balance sheet date arKI
are included in other Creditors.
16. Relatod party irnn$acllong
During the year Ih? charity received a grant of £173.87612020: £371,881) from Tha Lambath Trust. The
Lamb8lh Trust 1$ a related paty as there were Iwo Trustoos in common during the year ended 31 March
2021, Mr Ken Gosla and Mrs Clare Chapman Ir•$ign8d as a Tru8tee ol the Lamb8th Tru81 on 1 July
2020).
Pag8 15