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2023-03-31-accounts

Frizinghall Community Association

Charity Commission Report

March 2022 – April 2023

Frizinghall Community Association has been recovering from the impact of the pandemic and has been finding its feet 2023

There has been staffing changes and difficulties which the Trustee Board have managed. Sharon Cullerton who provided a small number of hours admin left in the year. However, we are delighted that she is happy to be a point of reference on an ad hoc basis. There have been difficulties with maintaining a contracted cleaner however a temporary arrangement is in place and will be reviewed going forward. Amjid Hussain continues to provide admin and essential technical support for the community centre. The Centre lost its main Volunteer, Parvez Ahmed who was very respected and lost the respect of the trustees, the association and the community at large. The passing of Parvez will leave a huge gap in the skill set.

FCA are working with JUMP and have given agreement to JUMP for the MUGA to be upgraded. FCA have established parameters of the agreement and basis of use going forward and have liaised with Frizinghall Primary School to establish a timetable for use that is beneficial to the community and school curriculum.

New aluminum doors have been installed in the centre which have modernized and provided extra security. The doors are also help with maintaining heating the building and ensuring fire safety standards. The centre has also invested in new events tables. Information Technology equipment has been updated and replaced as necessary with new licenses purchased for software. The centre have continued to provide a variety of activities such as school and youth activities programs. Hot food and food parcels have continued throughout this financial year. The Centre have tried to sustain on-going projects and activities along with being open to booking for community events and are always open to new developments finances allowing.

Youth Service has continued and new classes have started in the community centre that provides teaching and new skills to people of the local community.

Mr Zafar mahmood reached the end of his term and stepped down. The post was advertised in the local community for prospective candidates. The decision was made for Mr Zafar mahmood to be re-elected for the next three years

The Trustees approved the accounts for 2022/2023

The Trustees

Mr. Zafar Mahmood, Mr. Liaqat Ali Khan and Mohammed khan

FRIZINGHALL COMMUNITY ASSOCIATION

CHARITY NUMBER 1176705

ANNUAL REPORT AND FINANCIAL STATEMENTS FOR THE YEAR ENDED

31 MARCH 2023

Page 1 of 9

FRIZINGHALL COMMUNITY ASSOCIATION

GENERAL INFORMATION

ADDRESS: FRIZINGHALL COMMUNITY ASSOCIATION FRIZINGHALL COMMUNITY CENTRE Midland Road Frizinghall Bradford BD9 4HX ACCOUNTANTS: MARIAN & CO. ACCOUNTANTS & FINANANCIAL ANALYSTS 17 Parkway House 80 Risby Gate Street Bury Saint Edmunds Suffolk IP33 3AQ

Page 2 of 9

FRIZINGHALL COMMUNITY ASSOCIATION

INDEX TO THE STATEMENTS OF FINANCIAL AFFAIRS
FOR THE YEAR ENDED
31 MARCH 2023
PAGE
GENERAL INFORMATION 02
INCOME AND EXPENDITURE 03
BALANCE SHEET 04
SCHEDULE OF DEPRECIATING ASSETS 05
NOTES TO THE STATEMENTS: 06
SOURCES -GRANTS AND DONATIONS 07-08

Page 3 of 9

FRIZINGHALL COMMUNITY ASSOCIATION

STATEMENT OF FINANCIAL ACTIVITIES STATEMENT OF FINANCIAL ACTIVITIES STATEMENT OF FINANCIAL ACTIVITIES STATEMENT OF FINANCIAL ACTIVITIES STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31ST MARCH 2023
(INCORPORATING INCOME AND EXPENDITURE ACCOUNT)
Unrestricted
Restricted
Total
£ £ £
INCOMING RESOURCES
Incoming resources from:
Charitable Activities b/f (5,938)
49,958 44,020
==============================================================
Grants -City of Bradford - 8,650
8,650
Hall hire 28,257
000 28,257
Others: 000 58,340 58,340
28,257
66,990 95,247
Employees Costs:
Salaries 2,235 6,703 8,938
Travel & Subsistence 440 1,260 1,700
2,675
7,963 10,638
Administrative Expenses:
Rate, Heating, Rent/services chgs 11,950 4,373 16,323
Depreciation/computer parts 386 000 386
TV/telephone 159 647 806
PSA/ Commnity Admin 100 314 414
12,595 5,334 17,929
Legal & Professional Fees:
Insurance/Accountancy 1,239 2,312 3,551
Pest control, Gas control etc. 000 568 568
Cathedral leasing LTD 561 31 592
Main hall Refurbisments: Lightings 109 4,164 4,273
New Chairs/banquetingTrolley 000 8,983 8,983
1,909 16,058 17,967
Events Project:
Food/Kitchen materials 429 1,909 2,338
Youth & Children Activities 000 4,500 4,500
Meals for Men/women 000 1,478 1,478
HSF/HAF/Food Parcel 6,667
12,297 18,964
Summer/Christmas 2,990 000 2,990
10,086 20,184 30,270
Net Incoming/(Outgoing) Resources
For the period 31st March 2023 992 17,451 18,443
For the period 31st March 2022 (5,938) 49,958 44,020
Total Incoming Resources 28,257 66,990 95,247
Total Resources Expended (27,265) (49,539) (76,804)
Total funds carried forward 31/3/2023 992 17,451 18,443
==============================

Page 4 of 9

FRIZINGHALL COMMUNITY ASSOCIATION AS AT 31[ST] MARCH 2023

Fixed Assets:

Fixed Assets:
£
£
£
Equipment
Lease-
Total
F/Fitting
Hold
Intangible Assets 0 256,000 256,000
Tangible: 3,471 0 3,471
Total Fixed Assets 3,471 256,000 259,471
Current Assets
Debtors 24,519
Bank/cash @ hand 39,208
63,727
Current Liabilities
Creditors (450)
Net Current Asset 63,277
322,748
======
Capital Account
Opening capital 304,305
Capital Introduced 0
Surplus/deficit 18,443
Less: Drawings (0)
CLOSING CAPITAL 322,748
=======

We have prepared and independently examined the annexed financial statements in accordance with information given and explanations supplied to us from the accounting records of Frizinghall Community Association which have been approved by the Board of Trustees on -----------------------

and signed on its behalf.

Chair- Trustee

DATE:

Page 5 of 9

FRIZINGHALL COMMUNITY ASSOCIATION

SCHEDULE OF DEPRECIATING ASSETS

Notes to the Accounts

1. 2023
COST Fixures & Fitting Leasehold Total
& Equipment Property
£ £ £
Balance C/F 31 Mar 2015 8,063 256,000 264,063
DEPRECIATION:
Charge as at 31 Mar 2022 4,206 ------------ 4,206
Charge for the period 386 ------------- 386
4,592 ------------
4,592
==================================
NET BOOK VALUE:
NET BOOK VaLUE as @ 31 Mar 2023 3,471 256,000 259,471
==================================
NET BOOK VALUE as @ 31 Mar 2022 3,857 256,000 259,857
===================================

Remarks:

10% straight line depreciation is applied for depreciating the tangible assets for the period ended 31 March 2023.

Page 6 of 9

2. SOURCES OF INCOME FOR THE PERIOD 01 APRIL 2022 TO 31 MARCH 2023

May 2022
May 2022
May 2022
Jun 2022
Jun 2022
Jun 2022
Jul 2022
Jul 2022
Aug 2022
Sep 2022
Sep 2022
Oct 2022
Nov 2022
Nov 2022
Nov 2022
Nov 2022
Dec 2022
Dec 2022
Jan 2023
Jan 2023
Jan 2023
Feb 2023
Feb 2023
Mar 2023
Mar 2023
Mar 2023
Mar 2023
Mar 2023
Source
Amount
Unrestricted
Restricted
£
£
£
City of bradford
150.00
-
150.00
Household Support Fund
8,500.00
-8,500.00
City of Bradford
8,500.00
-8,500.00
Holiday Activities Fund
335.80
-
335.80
Holiday Activities Fund
7,939.80
- 7,939.80
City of Bradford -Core Cost
2,500.00
-2,500.00
Household Support Fund
1,000.00
-1,000.00
Household Support Fund
2,500.00
-2,500.00
Household Support Fund
2,750.00
-
2,750.00
Household Support Fund
1,000.00
-
1,000.00
Holiday Activities Fund
882.20
-
882.20
Household Support fund
5,500.00
-
5,500.00
Household Support Fund
1,600.00
-
1,600.00
Household Support Fund
2,702.50
-
2,702.50
Holiday Activities Fund
2,896.20
-
2,896.20
City of Bradford – Core costs
2,500.00
-
2,500.00
Household Support Fund
1,600.00
-
1,600.00
Hall Hire
2,920.00
2,920.00
0.00
Household Support Fund
3,2.00.00
-
3,200.00
Vm Cash back/Kid action
Activities (1.13+120)
121.13
0.00
121.13
Household Support Fund
3,327.50
-
3,327.50
Holiday Activities Fund
2,016.00
-
2,016.00
Household Support Fund
1,600.00
-
1,600.00
Household Support Fund
1,600.00
-
1,600.00
Youth Services
2,000.00
-
2,000.00
Hall hire
25,337.00 25,337.00
-
Bank Cash Back
20.83
20.83
-
Bradford Close Access
247.94
247.94
-
95,246.90
28,525.7766,721.13
Total Receipts

=============================================================================

Remarks:

Should the volunteers be paid going rate wages for the services rendered, a provision for £70,000 should be made each year. Fortunately, they have passion for their work and are always happy to use their skills to improve the lives of their communities .

Page 7 of 9

3. GRANT/DONATION RECEIEVED:

City of Bradford Metropolitan Council:

Grants for:
Core Costs
Hall Hire
Sub Total
Others:
Youth services
Household Support Fund – Food Parcels
Holiday Activities Fund
Bank cash/ VM cash back (20,83+1,13)
Bradford Teaching Close Access
Kid Action Activities
Grand Total
2,000.00
36,880.00
14,070.00
21,96
247.94
120. 00
8,650.00
5,000.00
28,257.00
41,907.00
53,339.90
95,246.90
=======

=====================================================

4. EXPENDITURES:
i) Employees Cost
Salaries (6,459+2,094.31) 8,553.31
CPA Payroll 349.00
Volonteer’sAGM refreshment 36.00
Travel & Subsistence:
Coordinator for Activities Appl form filled 1,500
Fuel/Taxi 200 1,700.00
10,638.31
=======
ii) Administrative Expenses:
Rate,Heating & Rent services (15,065+788.34+469,19) 16,322.53
Depreciation/computer services (386+0) 386.00
Sundries: TV licence/Telephone (159+647.40)` 806.40
PSA/Community Admin (100+314) 414.00
17,928.93
==========

Page 8 of 9

iii)
iv)

v)
v1)
Legal Professional Services
Insurance/Accountancy& Audit (3101+450)
3,551
Pest/Gas controls (336+40)
376
PAC security/Electrical (72+120)
192
Mainhall Refurbishments:
Repairs/Lightings (68+41+4164)
4,273
Health cathedrlal leasing LTD (561+31)
592
New Chairs/Banquetting chair trolley
8,983
17,967
=======
Events Projects:
Food and kitchen materials:
Food/cleaning/close access (205+224+1,909.25)
2,338
Youth/Children Activities (2,000+2500)
4,500
Meals for Men and Women
1,478
HSF/HAF (10,129+2168)
12,297
Food parcel Aldi
6,667
Summer/Christmas Activities(1,920+1,070)
2.990
Total
30,270
======
Revenue
Total Expenses:
Employee Cost
10,638
Admin Expenses
17,929
Legal Professional Services
17,967
Events Projects
30,270
Total Expenses
Net Incoming/Outgoing Resources
Legal Professional Services
Insurance/Accountancy& Audit (3101+450)
3,551
Pest/Gas controls (336+40)
376
PAC security/Electrical (72+120)
192
Mainhall Refurbishments:
Repairs/Lightings (68+41+4164)
4,273
Health cathedrlal leasing LTD (561+31)
592
New Chairs/Banquetting chair trolley
8,983
17,967
=======
Events Projects:
Food and kitchen materials:
Food/cleaning/close access (205+224+1,909.25)
2,338
Youth/Children Activities (2,000+2500)
4,500
Meals for Men and Women
1,478
HSF/HAF (10,129+2168)
12,297
Food parcel Aldi
6,667
Summer/Christmas Activities(1,920+1,070)
2.990
Total
30,270
======
Revenue
Total Expenses:
Employee Cost
10,638
Admin Expenses
17,929
Legal Professional Services
17,967
Events Projects
30,270
Total Expenses
Net Incoming/Outgoing Resources








95,247




£76,804
£18,443
=======

Page 9 of 9

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