REGISTERED CHARrrY NUMBER.. 11nStrd Report ofthe Tno*e5 and Firyawal Statemenis fvrthe Year Ended 31 March 2ff25 YOUTh WORKS PIORTWPTONSHIRE 6 c Hal Rcod NN14 IUE
YOUTH WORKS NORTHAMPTONSHIRE Contents of the Financial Statements for the Year Endeil 31 March 2025 Page Report of the Truste*s 1 to 4 Siaternent olTtustees' Respon$lbllltlo5 R¥port of the Indep•nd•n¢ Audltors Statement of Financial ActivitSa8 8alan¢e Sh•et 10 Cash Flow Statement Notes to th• Ca$h Flow Stat+mont 12 Not05 to the Flnanclal Ststornents 13 to 18
YOUTH WORKS NORTHAMPTONSHIRE Report olthe Tru•t¢• for thg Ygar Ended 31 Morch 2025 The truste9$ present Iheir report W1h the finanugl $t8temerrts the ch8nty ftx the y6af eThJp4J 31 2tr25. Tho trustees hav8 8dopl8d Iht provisKJn$ ol Accoun'Tra 8nd Re(Kl¥¥J by Ch4thth.. slemen1 ol Re&)rnmeThJeO PrA¢tt• appliCae lo ch8nbe$ pparing Ir aountS in 8CttKd0n tha Fm8th>81 R8pornrg St•ThYard 8F8ble in ti UK and Republic of Iland IFRS 1021 lertecb¥e l January 2019 OBJECTIVES AND A¢TivrriES Oblectl¥es and act1v5 Thg obJ"e¢D"ves of Youth wkS NOrthampthi are the avancerneI of Jile in your¥ people by. acb.ng 0$ resource for young UP to the age of 25 swrs liwlrHJ in Ntytharnpt0r by provldry advice and as$bts and OT9anising pgramme8 of [Ka1, educatk)r01, emotlonJ supwrt and (thr a¢Uvilles as a means ofr. 1818dvan¢dng in Ilfe and helplng young people by devdoplrvJ tsir Skllls, ¢apacllOes and c8paNftlos lo enabkn them participate in society as ind8p8ndanL maturo and r85ponsibl8 indiwiduals., Ibl adva1ng edu¢atK>n". Icl reln9 Unemploent.. Idl pmoing recrea)al and 18isure b.me acliwty In the Intwe5ts of SLK4al weware for pwle living in Ihe area of benefrt wlx) have need by r8850n of their w)uth, age, infifmty or di5aL¥"hty. pov8rty or SC¢1 and econcffl circum$tsnces with a view to impng the condibons of li18 ol such persons. Our phih)sophy on wth engagernent and our passion for (x)nbnualty impTh?ng Ihe qudty of our serwces means are always adapting to the ¢hangJng needs of YOU people. Publlc beneflt The Trusiees have tak due regard lo th? Charity Cornmissirffi's guidance on terfiL Our currn)t servThs Indude-. - An edtsration proms1 for young peop18 at risk of exclu5K)n from man$tM education or those people Strugglj to engage wlh m8in5tr8am aducahon to knprovg educational attainment. - Café 08k- 8 Ioc81 CAI8 Ihat 8150 offer5 work expernce ancl Opportun8$ for wJurvJ p90pI8 In our s8rvtes. Counselling and a rar8 of other support seN1$ and targeted inlerventrjns to aLklre55 mental il health aThJ iTnprDve ernob.onal so¢ial webeIng. - RE."Start- a tiansib.ons service $upporbng Ung Feoplg Iran5ttffjing forith to adult m8ntd heath servi. - A range of clubs, acb"vrties, an(J projects to irnprove soci81 wellbeing and skill d8velopm8ThL A range of wmmutlty events. a¢b¥ili8$, and projects lo raise publi¢ awareness of th8 iS5U88 affacting peo• and marginalisedlmiwty groups such as th8 LGBTQ cornrnunity, thern to participate in Ihe WKler mmun Page 1
YOUTH WORKS NORTHAMPTONSHIRE
R•port of th• Trustees
for th• Yoar End 31 March 2025
ACHIEVEMENTS AND PERFORMANCE
Charitable a¢tivitie8
y*th Works Community Cdtege & Café Oak
202412025 our Cornmuntty Cdleg8 had 14 students thr(whout th8 year and saw 12 of Ihem rnove on at Iho ond ol
yèar 11 - many bawng wlh qualffjicats'ons and tx)srtive
YOUTH WORKS NORTHAJAPTONSHIRE Report of ¢ht Trustewd forth• Y•Jr End•d 31 March 2025 In N¢)vemb8r over 30 p1a and thetr lamllbs look part ki Lwern ParJ81 We rA&o$ed lo th Seb Factor . Kelledry's T818ni Show - very Patr, Jam•5 Acasier. was one of the judges. Al furkts rawd in mem(ryof S8basiian are being donateij lo Youlh W(k$ aNJ a ing ¢0 be used to cr8aied 'Sebastian's Supwt SeNc8' oHenThJ emotyThl %bn9 $ukwi to those 8f18c ty famity memt¢r in pd118 w. And in March we ce18brated Orang8 Oay by wring oratye in Sebs rnemory. At Chrtrnas 8Tr9siock Adv)t endar ¢J(wted haK their 1Ur¥JTang yth Works en8lg to fuy day training programme fcrf all ¢oun5elh)rsl Thi5 programmè gave our coun5elby5 an oprthunity 10 furth skius to emwwer Ung pwe in ex[oring and expressing th•¢ lh0hts and fÉelir¥Js. We were aLg) aL to putrth8se sand tray5, pupwis and other resou lo be used Th the ¢OLffjs servic88 as See lh8 Inrx8ase in under 11's needing mental heath gJpporL INe end&1 Ihe fuTh1raisiThJ year wlh cOnr Scott$ farn1 and friermjs d&iYing to dcthte to Ycth WO in Comols mwnory. We rk wlh kJl$ ol yourMJ people t1 51atislirA w)ung men 8rè underrew8sant8d in our 58rvK8s and we are IoDking al how we can address ihal. This moneywill be usa lo suppyxtthat %vork_ F#4ANCIAL REVIEW Flnjnrld po•ltlon Y(MJth Works Nothamplon5hire have h•J a SC8S$1ul r.. Youth wo$ Cc4 r))ntinued to rnaintain p8rtn8r5hip5 wlh kyal Seconcsary Sch$ and lh6 L£ Authority Inclusion Team 18ading lo Iha school working at cApacty. Th topther the c(mitmentfrOM the N£¥thamplonshtr¥ Integrated C8re 8oard and Public Health, to proMd8 mentsi health support for our l¢xxl soung p8oJYe for 2024r2025. means Youth Works Northampknn5hire 18 financtY Sere for the finanod year. In aeLx)rdance with rgwmmend&d pra¢ty, it ts Youth WLYks NOrtharnptorllre,$ poJKy to hold reseNes equDialEnl to Six month's runnlng costs. The free reserves of £772.597 12024.. £754,302) hÈkl ai 3151 March 2025 arè above Ihl$ levd. Unrestrict8d funds higher than these would be {s1(ed designated funits by Ihe Board of Twsiees who me klan5 to ensuro tho be51 us8 of them, h8lpln9 10 sacure Ihe future delivery of seTrices lo Iho ¢haty's b8nefioanes. Thi5 is dekn.led in the R8serwes PrAiGy. The trus$ have assessed ihe rnajoF risks lo whith the CW is exKWJ5ed and ar8 saty"sffed that Sys$ are in pL8c8 lo miugale exposure to ts major risk5. STRUCTURE, GOVERNANCE AND hlANAGEIIENT Governing document The ch8nly is conlrthd by it8 wfrming thurnenl, a deed of trust aThJ con5'tutos an unincorpor•t8d ch8Tty. R•crultm•ni •nd appolntrn•ffj of now tni8to0 New Trustses are apKMxnted with gard lo the skilLs, kThxwledge and experCe needed fw the 8ffecli 8dml&ll?ts"on of th8 ¢hanty. New TnJ$tee5 are reuuited vla leaiures shared through winled puallOn5. wial rn18 and thrgh kxal and region nel%wfk5 targeted accotding lo the skills and knoedge QUIred. Ap£ts are ter¥wd by a panel of Trust88s bvho readb a as ts) the suit8tAbty of the applicanl. Youth W¢yks N0rthaMpthire ac1h89 to th'r 8qud opwrtunib'es thrOh all elemenls d the recruitment prLu&B. AJI sucrs51ul caridklates are apFQY7ted subj8Ct lo a satisfacty 08S check for a tfveeknyear tem. Ml new tru$tee$ rwAiv8 8'Ntsw Trustsa lnl0rman Pack, includ6S a copy of Youth Work5 North8mptonshwe's uJnsbbJtion, the lat8sI anrwal repjrt. nfcYrna"om re1sts to Iha r£4e of Ihe Trstee and a numb8r of tM)licies key to their rc48. REFERENCE AP40 ADMINISTRAMVE DETAILS Rtyi•t•rnd Chrfty nurnb•r 1177502 P890 3
YOUTH WORKS NOftTHAIPTONSHIRE Report ofthe Trustees lor th• Y•ar End•<l 31 141ar¢th 2025 Prlndpal address Kessione 97 Rwkingham Road Ketten NN16 9HX Trustee5 DrSCCurrie D L Loma$n8y MsMADon J W8bsl8r Ms L Verity A Rok lappointed 1.9.241 Mrs R Sbet Mrs T Marbn lappK)inbJ 4.11241 Audltord Infinrtas ACcnI8nts knmited Unit 6 North Busww Park Chefry Hall Road Kottènry Northampt}Shlre NN14 1VE ro¥ed byrKthr of of It$tee$ .......-........................... ....... ar¥J s•anE*I its bthdf by. s L Verty- Twstee
YOUTH WORKS NORTHAMPTONSHIRE Statement of Tiu$tees' Re8ponslbllltl•• forthg Ywr Ended 31 March 2025 The tr¢Jsree5 are reswffislbie ILY wepaTfy RepL¥t of the Trustees aThJ the fiTraF1 st8tements in X(dar with applicable L8w and United lfjngdom A(tountiTvJ S18ndards Iunibj Kingdom Generdly Accepted AcCntIra Pracb"cel. Charity law qUIreS the trustees lo prepare flnancial statements for eath financial r. UThr that bw, th8 Irustses have elected to prepare U)e finaTrcial slaiemenis in accordants 4wth UINted Kjngdom Generaly A¢¢epte# Ac&yJnling Pwts¢e (Uniled Kingjom A¢counling Starntsr(Is and applicat48 Wl. Under tharity law the trustees must not approve the financi35 statements unless Ihey are satisfied that they grye a tnje and fair wew of the stats of affairs of thè charity and of the incoming rereeS and applic81k of reSrceS. Iuding the income and expernlilure, of Ihe chwty lor that poriod. In preparng those fin8ncid 5tstsrnents, the trustees are required lo select suitable a¢coJniiw FK4Kies and then apptythem ttfflsstenlly, observe lh8 rnelhods and plpleS in the Charities SORP", mak& Judgemerst5 and 8Stimates that are reasonab and wud8nL stale whether accounting stsndards have been fc4lowed, subject to any matpial depare$ dLsck)seO and explained in the financ4 statemenL8', pr8pare the frnancial 51aièmènls on the going corscern basis unless rt is Inawopriaiè lo pr85Urn8 th8t the charlty will continue in bus$$. The trustees are respsIble tr kegping proper ac¢ountiThJ records di5¢bse wlh re2son8ble accuracy at any tvne the financial positbon of lh6 charity and to anae them lo ensure Ihai the financial ststemenls comply the Charities AL1 2011 and The Charity {AunIs and Repwtsl Regulatsons 2008. Th8y a also fy5ponsibl8 for safeguarding the assets of the tharity and hence fty tsking reasonable steps for the pr8ventK)n and detection of fraud and Olhr IrTegularities. Page S
Report of th• Indep•ndenl Audit¢>rn to tl Tru•iw• ¢1 Youlh Works NortmPtOnhlr• Oplnlon We have a1rted the fmn(ia ststom¢nts Works Nrythamrknsb40 lthv 'olWI lor tho ar w¥J•J 31 Mafth 2025 rxmmsykne the Statsmgnt ol Flnanclal Acts81. Ihe BolwKv Sheel. the Cash Fkr Slatemenl and notes lo th2 finan1 Slatemls. irvAl[¥j a surnmary of $KJnikant XCLwnling firwwl rerx' Irarne¥ tttal has been aprAd iheir proparatm * 8prAKot4e ¥J UThlod StArthtd IUnrt8d Trtinfvi Generaty Accepted Pracbc•l. In wr 0)n lh8 finAnC# slaiem6nts'. give a true and f&r of Ihe staia ol the tharitya Jffaws a 8131 2025 a015 ty)comlng ragwm appliCatn of resources. lor lh6 than ended.. . have baen ware in accordance vfith unl Kuv>kn Gen8r Aapj kn>JJntiThJ Pr&tie•', aThJ have been rwared in ac<>ydance lh8 WU1MentS of lh8 Charitss Ad 2011. Bas1$ foroplnlon W8 coThlu¢ied otsr aj11 in adar 1h lnrnan Standards on Ath.ting IUKI IISA8 IUKII and appbI& I. Our reynsfy"Iities under Ih05e $tsndds arB turther des¢nbed In the Auditors, responybi4bes for the 8Jrt of lh8 fln8ncial $taiÈmenis seLon of our r8rx)rt. We are independent of Ihe charity accordance ¥Mth Ih8 8thical requirements thai are relevant to our audit of the finan8 slalem8nls In the UK, including th? FRC'S Elhic81 Slarxlard, and we have fuffilkd our other 8th1 respNtsibilibes ITh accordance th888 requirements. We telieve that the audit avidence we rove obtained is suffirAent arKJ apwowiate lo providè a basu8 f¢rour Cwi¢lysions ielatin9 to going concern In autlibng the financiJ 5tatemenls, w8 hawe ¢on¢luded thal the trts5t885' use of thè goirKJ tsas6 of ac¢ounw In the pwiaration of the far1 ststsmwts is apprtyiat8. Based on the work have perforrned. we have not Kl8ntifi8d any Material un(rtainb"es tslatsTvJ lo events or conditions that. Individuaty or leVely. may ¢asl svJnffi¢arnt doubt on the tharitys to eontnue 88 8 9)Ing ¢JJrK8m kn a perkyl of at least efve Mth$ from en the finartial statetnents are aulhwised for issue. Our re5kK)nsibilities and the respcxsibilities of the tru8tee8 wilh reS[rt to g)ing ncM are descrfbed in r8b8vant SOn9 of Ihis ie Olh•r lrtlormatlon The trustees are respon5iblÈ for the other infomi8liJn. Th& olher information cornprises thè inf)n indJad in the Annual Report. other than the financial stal8rnents and our Rep¢ of the Indeppndenl Auditor5 theT80n. 04Jr opnM)n on Ihe finarcial statements does not covef the olher mformats.on and. except to Ihe extent oth8rwlse eWi¢iUy stated In L¥Jr rekK¥t. we do aot express any fom ol aswrance C4)$) IheFeon. In c3)nMGknn wlh our audit of finanoal stalemen(s, our $)sIblty is to read the othgr informatK)Th atkl, in dtsng $0. consider wh8th8r the other Inforrnalion is MaterlY incJJnsKEtent with the fanCIal statements Cf 0r kredge obtair1 in Ihe audit or othemse arvars lo be rnaterialty misststed. 11 we identfy 5uth rnaterial inconsist8ncaÈ8 or apparenl rnaterwl misstaternents, W8 ar8 required to deterrnine ther this gives rise lo a rn8terfal rnssstatement in the finwKial ststements Ihemsefves. If, ba on Ihe rk we have perf0m1J. we condud8 Ihat there is a matsfial mbststgment ol Ihls other informakn. we ar8 rwulrBd to report Ihat fact. Wtr have nolhlng to rw)rt in this r8gard. Matter& on Thich we are roquired to r•port by excepTr Wa have nothiry to rewt In pect of the folbwing m&tt8rs there the Ch8rfYes IAccounts and Repts} Regylauons 28 rwire5 US to report io sY)u Ir, in ouropinioTr'. th8 informauon glven in the Rewrt of tho Twstees 15 incons&tsnl any malertal r85pecl ith the financial statements., or suifiuenl cOun1n9 r8(xxtts have nol bean k8Pt', or the finanual slalements are not agreement %4hth Ihe accounting TBcord5 ar*J relurrts.. we h8ve not received all the information aThJ expjanatiorts we r8quir8 for our audit. Payo 6
Roport olthe kndeP•Ddt Audliorn to ts TnNt•n ol Youth W¢rtES Northarnptonhlr• R•Bpon$lblll#•s of Irust• As explained mce fully In Ihe Ststement of fftbSte85' R8swThkn. fv tr1$ afo ro¥ for the of the fin8nal slaternents a true fay vw. fty Mrtwnal as th8 tW5t88s d818fftTh 18 necessary to efiab thè w8wati(m of fina #al71$ Ihttt are Iree IrDm Maleri rn155tat•menl, due ki fraud or 8rrc<. In wep8ring the firncIal Strten1S. th8 trustets are r8sFA8 frK ass8ssThJ the atAty io a8 • altemative tKJt ts) do so. Our wponslbS1Stl¢• for th• audlt of th• financlal 8taltyw AL# and rel8vant regtio mad& ( havirvJ eff8Ct IherwJr¥Jer. material rnisstatement. lvhetlw due to fraud ¢x errDr. and to a RepNyi ¢A Ihe IndrfEndent Auditors that incjudes our tspinw)n. Re8sonablÈ as5urarFce is a hMJh vel of asWJrar. not a guwantee that an audit rlutted In awrdance wth Isk IUKI will ahwdy5 detect a material rni551ateirnt %then it exists. Mi5Staternents can aris& from fraud or error and 3r8 consk1èred Mate rf. NIdU in the awegate. they rea50naL4y be experts) lo infitJgn¢e the e0)rliC tjeusions of users tsken basis of th8se Sktements. Enquiry of management th ¢arwl vAth 9)vernan aTnd Wli81 &vJaib)n daims as as aciud. 5uspecled and aleged fraud; Reviwwng minute5 of meetings ol Ih056 charpj thith Tr¢.. Assessing the exteftt of ¢JxnFlnce the regAatTh have a ¢kncl Mala1 effera on Ihe financ?1 ststements or the operatims of the (x)rnpany erwryaNJ inSpth.. las and regulatic•)s,' Perfomiing audit work over th8 iisk of mww8ma)t tN8s override of Wllrd5, iNJdiThJ testing of joumal entries nd oth8r adjustm8nt5 for aFvropriat8n85s, evSkl Ihe IxJs¥ws ralbM of trdnsacajons Iwtside the A furtfr de$cnpts of w reSpLSitls aLht ol the financaal slatem8nts Iat8 cfi Ihe Financial Repth"ng C¢xJnrifs *b5rte at wwW.fLg.UIjaItCrf8sP4kn. Th fcths part Lrf our Rep(Kt of th8 Ind8pend8nt AUdrtS.
Report of the Independent Audilorn to tho Tru•te•s of Youth Works Northampton$hlre U80 of our report This report is made sowy to Ihe Lthariys trus18e5. a$ 8 trN)dy. in %%ith 4 of ts Charities Ints an(J Rekwxtsl Regulabons 21K18. Our audil Iws been uThJeriaken so that we mb3ht stste to th8 trust88S those matters we are required io st21e lo Ihem in auditors. rekKI and for rKJ other purpose. To the luuest extent permitted ty kw. %%e do nol accept or ass ¥e5wysthity to artyr? other Ihan the charity and ¢haritrfs tnJ5tees as a body. audrt rJrk, thiS rermrt orf(¥ Ihe ryinv)ns have fomied. Infinitas Ac¢tniants Mrted Unit 6 North Busine$$ Park Cherry Hall Road Kettering Norihamptonshife NN14 1UE P•a• 8
YOUTH WORKS NORTHAMPToNlIRE Staternent of Finan¢i•l A¢livi•S lor th• Y•ar End•d 31 March 2025 2025 Unrestrlct•d fund 2024 Tolal fvnd• INCOME AND ENDOWMEp4fs FROM 15. 6,547 ChaFitable acti¥ltl•s Educatk)n serwces 1.444.718 1.368,170 75.308 23.321 Inv05tm8nt Irojrne 22.707 Total 1,558.436 1,397,424 EXPENDrruRE ON Charltable actlvltles 1,540.141 1.286,530 NET INCOME 18295 110.894 RECONCIUATION OF FUNDS Toial funés br(w4hl f(Thar 754.302 643.408 TOTAL FUNDS CARRIED FORWARD 772.597 754.302 Pap9
YOUTH WORKS NORTHAMPTONSHIRE Bdance Sheel 31 Mah 2025 2025 Umr•strt¢tsd fvnd 2024 Tot•1 FIXED ASSETS Tangibl8 assets 11 60.450 CURRENT ASSETS Debtors Pr8paym8nts and ac¢ruwJ hcome Cash 81 bank and In haTr 12 174.282 1.872 PJJ2.400 240.883 1.872 I.OS2.186 978.554 1.294.941 REDORs Arnounts falling due wlh¥i one yaar 13 1266.4071 1540,6391 NET CURRENT ASSETS 712,147 754,302 TOTAL ASSETS LESS CURRENT UABIUTIES 772.597 754,302 NET ASSETS 772.597 754,302 FUNDS Unreslri¢t8d funds 14 772,597 754,302 TOTAL FUNDS 772,597 754.302 The finan al 5taternents were approved by the Bo8rd of Tnjslees and autsN)ri for issue . and were slgned on rts behall by.. L Verty- Trustee The rteS fcm part of these fiThancW statements P8g& 10
YOUTH WORKS NORTHWTONSHIRE Cash Flow Statefflant for the Y•ar Ended 31 Marcth 2025 ¢••h flows Irom op•ratlng •Etl¥ftl•• Cash gener8t8d from opwatx 1189.ts8) 1356,8431 Net (ash used in opernb"NJ Thitses 1189.3361 1356.8431 Cash flows from investing a1vities Purcase of tangible fixed &55ets I.49)) Net cash lu$e(I InyprovhJ8d tyinv•stiNJ 8Gljths (60.4501 Change bn cash anil &75h equl¥alents in the rtporting period Cash and cash equivalents atthe beginning tsf the reporting period I249.7) 1356,843 1,052,186 I,4.1Yd9 C••h and cash oqul¥•l•ni¥ •tth• •nd ot th• r•portJn9 p•rlod 802,4CQ 1.052.186
YOUTH WORKS NORTh AMPTONSHIRE Notes to th? Cash Flow Statement f¢rth¢ Year Ended 31 March 2025 RECONCILIATION OF NET INCOME TO NET CASH FLOW FROM OPERATING ACTMTIES 2025 2024 Not inGorne forthe r•porknng period la5 part Statement ol Flnancial Activltl881 Adjustments for: Oecreasellincr88sel In debtor8 Decrea58 in cr£dllors 18,295 110,894 66.601 1274,2321 1207,2181 1260.5191 Net ¢a5h used In OlatIOnS 1189,3361 1356.8431 ANALYSIS OF CHANGES IN NET FUNDS At 1.4.24 Cash flow At 31.325 N¢t Gash Cash at bank and in hand 1,052.186 1249,7861 802.400 1,052,186 1249,7861 802,400 Total 1,052,186 1249,7861 802.4(M) T not86 lomi of thes6 ststements Page 12
YOUTH WORKS NORTHMipfoNSHIRE Not•s to th• Financial Siat•m•n lor th• Y•ar Endod 31 M•r¢h 2025 ACCOUNTING POUCIES Basis of prep•flng th• financial ¥tat•meftts The financial 5ts1ernents ol the clL8rty. ¥hKh 15 a w#Jor FRS 102. have bgWJ W8p¥•J In th8 Chafibes SORP IFRS 1021 'kAxJnb"rg aTrJ Ra ty Charibes.. Slatomenl ol Relr) Starth UK Rwbt4¢ rrf IFRS 1021 leff&JNe 1 January 20191.. Finam RèkYt"TrJ StaThJw¢ 1trL Tr Finwwl ReFthry WKat4e fft the UK and Repu of Incty Exp•ndllur• Liabihbes are reccgnised 8$ explitU as S{ as tlwe LS a IW or CtruCte ot4wJation comfflitl'ng the Lanty to that 8X[ditUr8, rt wcthble Ihat a transfer of 71 bè required in settkment and the amount of the L4igation can be measur&Y le1k4. ExkvSiture ¢5 jnted f on an accruats basis and has been dafied urNJer headirvJs thal wregaie c05l relatwj to the Lztegjy. Where costs c8rml be direth attntxrted to pa.11¥ l•linys Ihey have alkntsted to aTrthies a basis consistent %ilh the use of reswr(ts. Tanoibl fix¢¢l aMts lrfe. Taxatlon Fund accounung Restricted can onfy be used fL¥ paiticthr restrthd rMMf)W Tln the objects of the chanty. Further eWanatiC of th8 nare fuThJ the notes to the financk81 staternenis. Ponslon costs and cher p05t-fetir8Thnt bon The chanty operates a defined ¢<Miln"t#JtM)n st*wDe. C(¥)trbkn paydLle to the charitl$ pgnsk)n P•38 13 rA)ntinU8d...
YOUTh VIORKS NORThAMpfoNSHIRE t4ot•s to th• Fln•nGl41 Sl•t•m•nt•- ¢MUnu•d for th• Y•4r End•d 31 M•rch 2025 DONATIONS AND LEGACIE8 2025 15.L 6.547 OTHER TRADING ACTMTIES 2025 Cafe 08k 75. INVESTMENT INCOME 202$ 23.321 22.707 INCOME FROM CHARITABLE ACTMTIES 2025 ttvlty EdueAti(x7 S@ceS Educalion 58rwc85 EducaiK)n 5ervvs Educalk)n Eoucabon services Education servi Fdu¢ation ssm Counsdling Cnsss cafe Young people's actiwties HLAiday dub Other income 257,599 1,IW.704 57,512 2.433 8.279 18.191 261,127 986,054 53.172 1.269 11.253 55.295 1,444,718 1,368,170 CHARITABLE ACTVIlES COSTS Support costs Is9• not• 71 Dlrect Costs Total$ Educalw)n serwK6s 1,517.418 22,723 1,540,141 Pag8 14 cthitlnued...
YOUTH WORKS NORTHAMPTONSHE Notes to the Flnan¢i81 Stat•m•nl•- ronttnu•d for thE Year End¢d 31 March 2025 SUPPORT COSTS Gov¢nun 22.723 TRUSTEes ReMuNERATION AND BENEFtrs ende 31 March 2024. Tru$i•••' •xp•n The were no tyu5tee5' eJwn50s p8bJ for the 31 March 225 nor for the and• 31 March 2024. STAFF COSTS 2025 2024 Wages and salar 3, 72,402 16.465 716.577 55.457 13,392 Olher Pensk c£ts 992.823 78S.426 2025 2024 Siaff 10. GOMPARATIVES FOR THE STATEMENT OF FINAN¢IALACIMTIES Unr8strlct8d fvnd INCOME ENDOWMENTS FROM Donations and 6,547 Charttable actlvlllès Educauon serdt 1.3e8,170 Investment ir]rne 22,707 1.397.424 EXPENOtruRE ON EdKaiiDn servKe5 1.286.530 PwJ8 15 )nts"D...
Nots8 to th• Flnanclal st&tsMJ- ¢onttnu•d tor lh• Yr end•d 31 M•r¢h 2025 10. fvnd NET INCOME 110.894 RECONCIUITION OF FUNDS Totsl fvnds brrAight foNArd 643,408 TOTAL FUMDS CD FORW 754.W2 11. TANGIBLE FIXED ASSETS Long l•as•hold COST Addrtkns NET BOOK VALUE At 31 March 2025 Al 31 K4arth 2024 12. DEBTORS.. AMOUNTS FALUNG OUE rhTrH ONEYEAR 2025 Trayg d8btLYB 174282 240.883 11 CREDITORS.. AMOUNTS FALUMG DUE O•lE YEAR 2025 2024 Trnde creditors 78,252 14,913 524.883 217.372 266.407 540,639 P•3& 16 )nUnued...
YOUTH VIORKS NoRTHPTOmslRE torth• Y••r End•d 31 2025 IAOVEMEMT IN FUN08 At iA2A kn funds 313.25 GwornlhJThl 18.29S Tri.597 TOTAL FUNDS 18.295 TT2,597 General fvr¥J 1.558,438 I140.141) 18.295 TOTAL FUNDS 1.558.436 11.$40.1411 18,295 11A23 funds 31.3.24 Gwral fwwj 110.894 754.302 TOTAL FUNDS 110.894 754.302 fn8fdl fvnd 1.397.424 11.286.530) 110,894 TOTAL FUNDS 1.397,424 11.286,530) 110,894 17
Not•• to th• An•n¢W si•¢•m•. cont1nd for th• Y••r End•d 31 March 2025 MOVEMENT IN FUNDS- willnu•d 11A23 kn fvnd• 31325 GeneTrlfurxl 129.189 7T27 TOTAL FUMDS 129,189 772,$97 Gen8r81 lur*J 2.9S5.860 11828.6711 129.1 TOTAL FUNDS 2.955. 11826,671) 129.189 1& OTHER FINANCIAL coMMfNENTS the p8ric•J ol ts l•aw. 1& RELATeD PARTY DISCLOSURES P•3• 18