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2025-06-30-accounts

Acumen Community Buildings Ltd

Report and Financial Statements for the year ended 30 June 2025

Charity number 1177852 Company number 10780847

Acumen Community Buildings Ltd

Report and Financial Statements for the year ended 30 June 2025

Contents Pages
Directors’ and Trustees’ Report 3 - 8
Independent Examiner’s Report 9
Statement of Financial Activities 10
Balance Sheet 11
Notes to the Financial Statements 12 - 17

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Acumen Community Buildings Ltd

Trustees’ Annual Report and Financial Statements

For the year ended 30 June 2025

Charity Registration Number: 1177852

Company Registration Number: 10780847

Reference and administration details

Charity name: Acumen Community Buildings Ltd

Registered charity number: 1177852

Company number: 10780847

Registered office address: Kepier Hall, Church Street, Houghton-le-Spring, DH4 4DN

Trustees and Directors

The trustees, who are also the directors of the charitable company under company law, who served during the year and up to the date of this report were:

Independent Examiner

Mr R Maddison MBA

Structure, governance and management

Acumen Community Buildings Ltd is a charitable company limited by guarantee (company number 10780847) and a registered charity (charity number 1177852). The company was incorporated on 20 May 2017 and was registered as a charity on 6 April 2018. The charity is governed by its Memorandum and Articles of Association.

Trustees are appointed by the members on a skills basis, ensuring that all trustees have a commitment to the charity’s area of work and the skills needed to deliver the strategic plan. One new trustee was appointed during the year, bringing additional skills in the management of buildings. The trustees met during the year both in person and via hybrid meetings.

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Trustee induction and training

New trustees receive an induction on appointment, which includes meeting the existing trustees and senior staff, a tour of the charity’s premises, and copies of the governing document, recent accounts, recent minutes, and Charity Commission guidance on the duties of trustees (including CC3 and the public benefit guidance). Trustees are encouraged to undertake further training during their term of office and matters of governance and emerging risk are reviewed at trustee meetings.

Risk management

The trustees have reviewed the major risks to which the charity is exposed and have established systems and procedures to mitigate those risks. Principal risks identified during the year included the loss of premises, income volatility from grant funding, energy costs and safeguarding. Mitigations include diversification of income through earned rental and contract income, the building of free reserves, partnership working, and adherence to safeguarding policies appropriate to the activities delivered.

Objectives and activities

The charity’s object, as set out in its governing document, is the promotion for the benefit of the public of urban or rural regeneration in areas of social and economic deprivation (and in particular in the Sunderland coalfields and surrounding area) by all or any of the following means:

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Public benefit

The trustees confirm that they have had regard to the guidance issued by the Charity Commission on public benefit when reviewing the charity’s aims and objectives and in planning future activities. The activities described in this report are delivered for the public benefit and are open to all members of the local community.

Achievements and performance

This was a year of steady, consistent growth in the charity’s activities, accompanied by significant operational challenges. Earned income from rental of space to charities and social enterprises continued to grow, alongside contract income for the delivery of youth activities, digital inclusion, arts and cultural activity, and mental health support. The cost-of-living crisis and elevated energy costs continued to put pressure on both income and expenditure. Notwithstanding these pressures, the charity delivered a surplus on its unrestricted activities and applied all of its restricted grant income to the purposes for which it was given. Further detail is set out in the Financial Review below.

The Old Rectory and relocation to Kepier Hall

In October 2024 the charity agreed with Sunderland City Council, the freeholder of The Old Rectory, to surrender the existing commercial lease and to participate in a Community Asset Transfer (CAT) process for the building. The charity submitted a full CAT application supported by a sustainable business plan, in excess of 2,000 signatures of community support, and over 50 letters of support from local, regional and national partners. An agreement was made to pay an ongoing rent of £300 per month against the debt that had been incurred during Covid-19 closures and the subsequent energy crisis.

During the same period the charity was successful in a bid to the VCSE Energy Efficiency Grant, which would have funded replacement of the gas boilers and a range of further energy-saving measures at The Old Rectory. The CAT was not awarded to Acumen and the lease was awarded to another organisation. Following the outcome, the trustees moved the charity’s operations to Kepier Hall at the end of April 2025, with surplus furniture stored by Tyne Tees Heritage Transport. The trustees are grateful to all of the partners and supporters who assisted the charity through this transition.

Community activities and wellbeing

The charity continues to deliver a full weekly programme of activities addressing physical and mental health, wellbeing and social isolation for adults, with around 150 people using the charity’s facilities each week. A new Tuesday Trekkers walking group has grown rapidly and now welcomes more than 40 people (plus dogs) each week. Less frequent activities run during the year included a drumming circle, a heritage research group, and short courses ranging from crochet and wreath making to employment and skills.

Youth work

A new part-time youth worker was recruited during the year, enabling the charity to maintain a consistent youth offer comprising an after-school drop-in, two youth clubs, and the Holiday Activity and Food (HAF) Programme for 11- to 16-year-olds. The HAF programme delivered 320 places over the summer and received positive feedback from Together for Children. The charity’s youth provision continues to address a

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long-standing gap in services for young people in the area, and demand has been strong throughout the year.

Social enterprise development

The charity has continued to support people in the area who are starting or developing social enterprises. There is now a strong cluster of organisations working together to make a difference in the Sunderland coalfields area around Houghton-le-Spring, forming part of the County Durham and the Coalfields Social Enterprise Place — a Social Enterprise Places designation recognised by Social Enterprise UK and an indicator of the strength of social enterprise activity in the area.

Houghton Feast and community events

In October 2024 the charity led on a number of events on the first Saturday of Houghton Feast, including illuminations in Rectory Park (with a heart designed by local children to reflect the theme “kindness is at the heart of Houghton”), the traditional Ox Roast, the model fairground, and the Houghton Feast Parade, supported by the 41 Club. The charity also worked alongside Houghton-le-Spring Residents on Kids in the Park and the after-parade entertainment. The charity did not receive Council funding for any of these activities.

The charity was not invited to be part of the 2025 Houghton Feast Steering Group. The trustees are working with partners including the Houghton Feast Trust and Space 4 with a view to bringing more community involvement into the 2026 Feast

Big Lunch

The charity was unable to host the Big Lunch in June 2025. Plans are in place to celebrate a Christmas Big Lunch in late 2025 and deliver a Big Lunch in June 2026.

Financial Review

The principal sources of income during the year were rental income from charities and social enterprises sharing the charity’s premises, contract income for the delivery of youth, digital inclusion, arts and mental health activities, and restricted grant income to support specific projects.

During the year the charity received a number of small restricted grants totalling £15,439, all of which were applied in full to the purposes for which they were given. The closing balance on restricted funds at the year end was therefore £nil (2024: £14,310, which was also fully applied during the year).

The charity’s unrestricted (general) funds delivered a surplus of £4,718 for the year (2024: deficit), increasing unrestricted reserves from £23,947 to £28,665. Total reserves moved from £38,257 to £28,665, a reduction of £9,592 which reflects the application of the prior year’s restricted balances to their intended purposes.

The trustees consider that the underlying financial performance of the charity is positive: unrestricted income exceeded unrestricted expenditure, and reductions in recurring overheads following the move from The Old Rectory to Kepier Hall in April 2025 are expected to support a continued surplus on unrestricted activities in the current financial year.

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Reserves policy

The trustees’ policy is to hold sufficient unrestricted (free) reserves to support the charity’s operations for at least three months. At the year end the charity held total reserves of £28,665, all of which were unrestricted, with no restricted balances carried forward. The trustees consider that the level of free reserves at the year end is broadly in line with the policy and intend to continue to grow unrestricted reserves over the coming year.

Going concern

After making appropriate enquiries, the trustees have a reasonable expectation that the charity has adequate resources to continue in operational existence for the foreseeable future. Accordingly, the financial statements have been prepared on a going concern basis.

Plans for the future

In the coming year the charity will consolidate operations at Kepier Hall, continue to grow its weekly community programme (including the Tuesday Trekkers walking group, currently running at Kepier Hall, and the youth clubs, currently running at the Churchill Square Community Room thanks to gentoo), maintain and develop the youth offer, and seek to participate in Houghton Feast 2026. The trustees will also continue to rebuild free reserves and to diversify income.

Trustees’ responsibilities in respect of the financial statements

Company law requires the trustees, who are the directors under company law, to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charitable company at the year end and of the net incoming or outgoing resources of the company for the year then ended. In preparing these financial statements the trustees are required to:

The trustees are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the charitable company and which enable them to ensure that the financial statements comply with the Companies Act 2006. They are also responsible for safeguarding the assets of the charitable company and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

Independent examiner

The trustees have taken advantage of the provisions of the Companies Act 2006 in respect of the audit requirements for small companies and have opted for an independent examination in accordance with the Charities Act 2011.

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Small company special provisions

This report has been prepared in accordance with the provisions applicable to companies subject to the small companies’ regime as set out in Part 15 of the Companies Act 2006.

This report was approved by the trustees on 29 April 2026 and signed on their behalf by:

Katherine Welch OBE DL

Chair, Director and Trustee

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Independent Examiner’s Report on the Accounts

I report to the trustees of Acumen Community Buildings on my examination of the accounts for the year ended 30 June 2025 set out on pages 8 to 14

Respective responsibilities of trustees and examiner

The charity’s trustees are responsible for the preparation of the accounts. The charity’s trustees consider that an audit is not required for this year under section 144 of the Charities Act 2011 (the Charities Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner’s statement

My examination was carried out in accordance with general Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from the trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair’ view, and the report is limited to those matters set out in the statement below.

Independent examiner’s statement

In connection with my examination, no matter has come to my attention:

Signed R.J.Maddison Date 27 April 2026

Name Mr R J Maddison MBA

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Acumen Community Buildings

Statement of Financial Activities (incorporating an Income and Expenditure Account) for the year ended 30 June 2025

Note
Unrestricted
Funds 2025
Restricted
Funds 2025
Total Funds
2025
Total Funds
2024
£
£
£
Incoming resources
3
Generated funds
Voluntary income
Activities for generating funds
420
-
420
148
Investment income
55
-
55
52
Charitable activities
103124
15439
118563
147000
Other incoming resources
-
3215
Total incoming resources
103599
15439
119038
150415
Resources expended
4
Generation of voluntary income
-
-
-
Charitable Activities
93048
29749
122797
138117
Governance costs
-
Other resources expended
4833
4833
3103
Depreciation
1000
1000
2779
Total resources expended
98881
29749
128630
143999
Net income/expenditure (-) for the year
4718
-14310
-9592
6416
Reconciliation of funds
Total funds brought forward
23947
14310
38257
31841
Net movement in funds throughout year
4718
-14310
-9592
6416
Prior Year adjustment
Total funds carried forward

28665
0
28665
38257
Note
Unrestricted
Funds 2025
Restricted
Funds 2025
Total Funds
2025
Total Funds
2024
£
£
£
Incoming resources
3
Generated funds
Voluntary income
Activities for generating funds
420
-
420
148
Investment income
55
-
55
52
Charitable activities
103124
15439
118563
147000
Other incoming resources
-
3215
Total incoming resources
103599
15439
119038
150415
Resources expended
4
Generation of voluntary income
-
-
-
Charitable Activities
93048
29749
122797
138117
Governance costs
-
Other resources expended
4833
4833
3103
Depreciation
1000
1000
2779
Total resources expended
98881
29749
128630
143999
Net income/expenditure (-) for the year
4718
-14310
-9592
6416
Reconciliation of funds
Total funds brought forward
23947
14310
38257
31841
Net movement in funds throughout year
4718
-14310
-9592
6416
Prior Year adjustment
Total funds carried forward

28665
0
28665
38257
Note
Unrestricted
Funds 2025
Restricted
Funds 2025
Total Funds
2025
Total Funds
2024
£
£
£
Incoming resources
3
Generated funds
Voluntary income
Activities for generating funds
420
-
420
148
Investment income
55
-
55
52
Charitable activities
103124
15439
118563
147000
Other incoming resources
-
3215
Total incoming resources
103599
15439
119038
150415
Resources expended
4
Generation of voluntary income
-
-
-
Charitable Activities
93048
29749
122797
138117
Governance costs
-
Other resources expended
4833
4833
3103
Depreciation
1000
1000
2779
Total resources expended
98881
29749
128630
143999
Net income/expenditure (-) for the year
4718
-14310
-9592
6416
Reconciliation of funds
Total funds brought forward
23947
14310
38257
31841
Net movement in funds throughout year
4718
-14310
-9592
6416
Prior Year adjustment
Total funds carried forward

28665
0
28665
38257
Note
Unrestricted
Funds 2025
Restricted
Funds 2025
Total Funds
2025
Total Funds
2024
£
£
£
Incoming resources
3
Generated funds
Voluntary income
Activities for generating funds
420
-
420
148
Investment income
55
-
55
52
Charitable activities
103124
15439
118563
147000
Other incoming resources
-
3215
Total incoming resources
103599
15439
119038
150415
Resources expended
4
Generation of voluntary income
-
-
-
Charitable Activities
93048
29749
122797
138117
Governance costs
-
Other resources expended
4833
4833
3103
Depreciation
1000
1000
2779
Total resources expended
98881
29749
128630
143999
Net income/expenditure (-) for the year
4718
-14310
-9592
6416
Reconciliation of funds
Total funds brought forward
23947
14310
38257
31841
Net movement in funds throughout year
4718
-14310
-9592
6416
Prior Year adjustment
Total funds carried forward

28665
0
28665
38257
Note
Unrestricted
Funds 2025
Restricted
Funds 2025
Total Funds
2025
Total Funds
2024
£
£
£
Incoming resources
3
Generated funds
Voluntary income
Activities for generating funds
420
-
420
148
Investment income
55
-
55
52
Charitable activities
103124
15439
118563
147000
Other incoming resources
-
3215
Total incoming resources
103599
15439
119038
150415
Resources expended
4
Generation of voluntary income
-
-
-
Charitable Activities
93048
29749
122797
138117
Governance costs
-
Other resources expended
4833
4833
3103
Depreciation
1000
1000
2779
Total resources expended
98881
29749
128630
143999
Net income/expenditure (-) for the year
4718
-14310
-9592
6416
Reconciliation of funds
Total funds brought forward
23947
14310
38257
31841
Net movement in funds throughout year
4718
-14310
-9592
6416
Prior Year adjustment
Total funds carried forward

28665
0
28665
38257
Note
Unrestricted
Funds 2025
Restricted
Funds 2025
Total Funds
2025
Total Funds
2024
£
£
£
Incoming resources
3
Generated funds
Voluntary income
Activities for generating funds
420
-
420
148
Investment income
55
-
55
52
Charitable activities
103124
15439
118563
147000
Other incoming resources
-
3215
Total incoming resources
103599
15439
119038
150415
Resources expended
4
Generation of voluntary income
-
-
-
Charitable Activities
93048
29749
122797
138117
Governance costs
-
Other resources expended
4833
4833
3103
Depreciation
1000
1000
2779
Total resources expended
98881
29749
128630
143999
Net income/expenditure (-) for the year
4718
-14310
-9592
6416
Reconciliation of funds
Total funds brought forward
23947
14310
38257
31841
Net movement in funds throughout year
4718
-14310
-9592
6416
Prior Year adjustment
Total funds carried forward

28665
0
28665
38257
Note
Unrestricted
Funds 2025
Restricted
Funds 2025
Total Funds
2025
Total Funds
2024
£
£
£
Incoming resources
3
Generated funds
Voluntary income
Activities for generating funds
420
-
420
148
Investment income
55
-
55
52
Charitable activities
103124
15439
118563
147000
Other incoming resources
-
3215
Total incoming resources
103599
15439
119038
150415
Resources expended
4
Generation of voluntary income
-
-
-
Charitable Activities
93048
29749
122797
138117
Governance costs
-
Other resources expended
4833
4833
3103
Depreciation
1000
1000
2779
Total resources expended
98881
29749
128630
143999
Net income/expenditure (-) for the year
4718
-14310
-9592
6416
Reconciliation of funds
Total funds brought forward
23947
14310
38257
31841
Net movement in funds throughout year
4718
-14310
-9592
6416
Prior Year adjustment
Total funds carried forward

28665
0
28665
38257
Note
Unrestricted
Funds 2025
Restricted
Funds 2025
Total Funds
2025
Total Funds
2024
£
£
£
Incoming resources
3
Generated funds
Voluntary income
Activities for generating funds
420
-
420
148
Investment income
55
-
55
52
Charitable activities
103124
15439
118563
147000
Other incoming resources
-
3215
Total incoming resources
103599
15439
119038
150415
Resources expended
4
Generation of voluntary income
-
-
-
Charitable Activities
93048
29749
122797
138117
Governance costs
-
Other resources expended
4833
4833
3103
Depreciation
1000
1000
2779
Total resources expended
98881
29749
128630
143999
Net income/expenditure (-) for the year
4718
-14310
-9592
6416
Reconciliation of funds
Total funds brought forward
23947
14310
38257
31841
Net movement in funds throughout year
4718
-14310
-9592
6416
Prior Year adjustment
Total funds carried forward

28665
0
28665
38257
Note
Unrestricted
Funds 2025
Restricted
Funds 2025
Total Funds
2025
Total Funds
2024
£
£
£
Incoming resources
3
Generated funds
Voluntary income
Activities for generating funds
420
-
420
148
Investment income
55
-
55
52
Charitable activities
103124
15439
118563
147000
Other incoming resources
-
3215
Total incoming resources
103599
15439
119038
150415
Resources expended
4
Generation of voluntary income
-
-
-
Charitable Activities
93048
29749
122797
138117
Governance costs
-
Other resources expended
4833
4833
3103
Depreciation
1000
1000
2779
Total resources expended
98881
29749
128630
143999
Net income/expenditure (-) for the year
4718
-14310
-9592
6416
Reconciliation of funds
Total funds brought forward
23947
14310
38257
31841
Net movement in funds throughout year
4718
-14310
-9592
6416
Prior Year adjustment
Total funds carried forward

28665
0
28665
38257
Note
Unrestricted
Funds 2025
Restricted
Funds 2025
Total Funds
2025
Total Funds
2024
£
£
£
Incoming resources
3
Generated funds
Voluntary income
Activities for generating funds
420
-
420
148
Investment income
55
-
55
52
Charitable activities
103124
15439
118563
147000
Other incoming resources
-
3215
Total incoming resources
103599
15439
119038
150415
Resources expended
4
Generation of voluntary income
-
-
-
Charitable Activities
93048
29749
122797
138117
Governance costs
-
Other resources expended
4833
4833
3103
Depreciation
1000
1000
2779
Total resources expended
98881
29749
128630
143999
Net income/expenditure (-) for the year
4718
-14310
-9592
6416
Reconciliation of funds
Total funds brought forward
23947
14310
38257
31841
Net movement in funds throughout year
4718
-14310
-9592
6416
Prior Year adjustment
Total funds carried forward

28665
0
28665
38257
£ £ £
420 - 420 148
55 - 55 52
103124 15439 118563 147000
- 3215
103599 15439 119038 150415
- - -
93048 29749 122797 138117
-
4833 4833 3103
1000 1000 2779
98881 29749 128630 143999
4718 -14310 -9592 6416
23947 14310 38257 31841
4718 -14310 -9592 6416
28665 0 28665 38257

All the charitable company’s operations are classed as continuing and recognised gains and losses and movement on reserves are shown above.

The notes on pages 12 to 17 form part of these accounts.

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Acumen Community Buildings

Balance Sheet as at 30 June 2025

Note Total Funds 2025 Total Funds 2024
£ £
Fixed Assets
Tangible assets 7 1000 3779
Depreciation 1000 2779
Total fixed assets 0 1000
Current Assets
Debtors 8 18496 23789
Cash at bank and in hand 16043 23857
Total current assets 34539 47693
Liabilities
Creditors: amounts falling due within one year 9 3224 2695
Payroll Taxation 2549 5652
Wages 101 88
Total current liabilities 5874 8436
Net current assets 28665 40257
Total assets less current liabilities
Creditors: amounts falling due after more than one year 0 2000
Provisions for liabilities and charges -
Net assets 28665 38257
The funds of the charity 12
Restricted income funds 0 14310
Unrestricted income funds 13 28665 23947
Prior Year Adjustment
Total charity funds 28665 38257

For the financial year ended 30 June 2025 the company was entitled to exemption from audit under section 477 of the Companies Act 2006; and no notice has been deposited under section 476. Directors’ responsibilities:

These accounts have been prepared in accordance with the provisions applicable to companies subject to the small company’s regime as set out in Part 15 of the Companies Act 2006.

Signed on behalf of the Trustees

Kate Welch OBE DL Director and Trustee Date 29 April 2026

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Acumen Community Buildings

Notes to the Financial Statements for the year ended 30 June 2025

Note 1: Basis of preparation

Note 2: Accounting policies

2.1 Incoming resources

This is only included in the SoFA once the related goods or services have been delivered.

12 | P a g e

Notes to the Financial Statements for the year ended 30 June 2025

2.1.7 Donated services and facilities

These are only included in incoming resources (with an equivalent amount in resources expended) where the benefit to the charity is reasonably quantifiable, measurable and material. The value placed on these resources is the estimated value to the charity of the service or facility received.

2.1.8 Volunteer help

The value of any voluntary help received is not included in the accounts but is described in the trustees’ annual report.

This is included in the accounts when receivable.

2.2 Expenditure and liabilities

Support costs include central functions and have been allocated to activity cost categories on a basis consistent with the use of resources.

2.3 Assets

13 | P a g e

Notes to the Financial Statements for the year ended 30 June 2025

Note 3 Analysis of grant income

Note 3 Analysis of grant income Note 3 Analysis of grant income Note 3 Analysis of grant income Note 3 Analysis of grant income
Unrestricted
Restricted
Total 2025
£
£
£
Grant Income
Groundwork Stronger
Start
1000
1000
The Joicey Trust
550
550
DWP A2W
389
389
Firstport Boost
5000
5000
Electrical Safety First
5000
5000
Groundwork Stronger
Start
500
500
NE Youth Music
3000
3000
Total incoming resources
0
15439
15439
Note 4 Analysis of resources expended
Unrestricted
Restricted
Total 2025
£
£
£
Charitable activities
Staffing
Sessional staff/Consultant
Administration/IT
Refreshments
Consumables
Building Costs
Charitable Expenditure
33624
9322
5700
1554
865
17450
24114
29749
33624
9322
5700
1554
865
17450
53863
Other Resources
Expended
Bank Interest/Charges
Depreciation
Bad Debts (Rent owed by
tenants of The Old
Rectory)
117
1000
5135
117
1000
5135
Total resources expended
98881
29749
128630
33624
9322
5700
1554
865
17450
53863
117
1000
5135
98881
29749 117
1000
5135
128630

14 | P a g e

Notes to the Financial Statements for the year ended 30 June 2025

Note 5 Details of certain items of expenditure

There were no trustee expenses during 2025

Note 6 Paid employees

During the year, the organisation employed three part time members of staff and bought in sessional time for administration and other activities

Note 7 Tangible fixed assets

The company owns office equipment valued at £1000 at the start of the year with depreciation of £1000 during the year.

Note 8 Contingent Liabilities

The charity is in dispute with Sunderland City Council in respect of rent said to be owed for the period during which the charity's activities were affected by Covid-19 restrictions and other unexpected costs. The trustees do not accept that the full amount claimed is properly due and are pursuing a review of the position through the channels available to them.

In order to preserve the charity's position pending resolution of the dispute, a payment plan of £300 per month was agreed with the Council. Payments made under this plan during the year have been recognised in the Statement of Financial Activities as expenditure and are not made in admission of the underlying liability.

At the date of approval of these financial statements the outcome of the dispute cannot reliably be estimated. Accordingly, no provision has been made in these financial statements in respect of the disputed amount, which is disclosed as a contingent liability in accordance with Section 21 of FRS 102 and the Charities SORP. The trustees will reflect any change in the position in the financial statements for the year in which the matter is resolved.

Note 9 Debtors and prepayments

Analysis of debtors 2025 £ Debtors as per Sales ledger 18496

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Total 18496

Note 10
Creditors and accruals
Analysis of creditors
Creditors as per purchase
ledger
Total
2025
£
5874
5874

Note 11 Transactions and related parties

There were no transactions between related parties

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Notes to the Financial Statements for the year ended 30 June 2025

Note 12 Movements on funds

Fund balance
b/fwd
Incoming
resources
Outgoing
resources
Transfer
between
funds
Fund balance
c/fwd
Fund balance
b/fwd
Incoming
resources
Outgoing
resources
Transfer
between
funds
Fund balance
c/fwd
Fund balance
b/fwd
Incoming
resources
Outgoing
resources
Transfer
between
funds
Fund balance
c/fwd
Fund balance
b/fwd
Incoming
resources
Outgoing
resources
Transfer
between
funds
Fund balance
c/fwd
£ £ £
£
£
Restricted funds
Groundwork Stronger
Start
1000 1000
The Joicey Trust 550 550
DWP A2W 389 389
Firstport Boost 5000 5000
Electrical Safety First 5000 5000
Groundwork Stronger
Start
500 500
NE Youth Music 3000 3000
National Lottery CF 14310 0 14310
0
Total funds 14310 15439 29749
0
0
Note 13 Net assets by fund
Fixed assets
Net current assets
Long Term creditors
Total assets
Total 2025
£
-
28665
-
28665
Unrestricted
£
Restricted
£
- -
28665
-
28665 0

Liability of Members

The liability of members is limited by guarantee. In the event of the charity being wound up during the period of membership, members would be required to contribute an amount not exceeding £1.

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