COMPANY REGISTRATION NUMBER: CE014815
CHARITY REGISTRATION NUMBER: 1179468
Borth Community Hub
Company Limited by Guarantee
Unaudited Financial Statements
31 March 2024
NTAN
Chartered accountants
23 College Steel
Lampeter
SA48 70Y

Borth Community Hub
Company Limited by Guaranlee
Financial Slatemenls
Year ended 31 March 2024
Page
Trustees, annual report (incorporating the director's report)
Independent examiner's report to the trustees
Stalement of f inancial activities {including income and
expenditure account}
Statement ol f inancial position
Statement ol cash flows
10
Notes to the financial slalements
11
The following pages do not form part ol Ihe financial statements
Detailed statement of financial activities
22
Notes lo the detailed statement of financial activities
23

Borth Community Hub
Company Limited by Guarantee
Trustees. Annual Report (Incorporating the Director's Report)
Year ended 31 March 2024
The trustees, who are also the directors lor the purposes of company law, present their report and the
unaudited financial slalements of the eharity lor the year ended 31 March 2024.
Reference and adminlstrative details
Reglstered charity name
Borth Community Hub
Charity reglstr8tion number
1179468
Company registratlon number CE014815
Principal oflice and registered Borth Community Hub
office
Clarach Road
Borth
Ceredigion
SY24 5LW
The trustees
Ms V. Joy Cook
Mr R Jones
Mrs R T Dalton
Mr R Quant
Mr H Hughes
Mrs M Haynes
Ms C Bainbridge
Ms J Bal Isha
Mrs M Griffilhs
Ms S J Dalton
(Resigned 1 January 20241
(Resigned 20 October 20231
(Appointed 10 January 20241
(Appointed 26 February 20241
Inde￿ndent ex8mlner
Mrs Calrin M Skelton FCCA
23 College Steel
Lampeler
SA48 7DY
structure, govemance and management
Borth Communty Hub is a charitable incorporated organisalion (CIO registered number 11794681
governed by its conslilulion. 11 was registered as a CIO on 06.08.18. In January 2021 the CIO
changed ils name from Borth Family Centre to Borth Community Hub as this better reflects the wider
work of the charity across the community.
The aims and objects ol the charity are in Borth and surrounding districls in the North ol Ceredigion.

Borth Community Hub
Company Limited by Guarantee
Trustees. Annual Report (Incorporaling the Director's Report) (continu
Year ended 31 March 2024
Structure, governance and managemenl (¢ontiywed)
Appointment of Trust¢e$
Trustees are appointed as sel out in the conslilulion of the charity. Professionals and seThice users
within the community, who have a personal interest in the charity, are invited to join the management
commitlee. Nomination forms are completed and applicants are voted onto the committee as
appropriate. Committee members can also be co-opted when appropriate.
Trustee Induction and Training
As part ol induction all Iruslees are DBS Checked and shown the relevant documentation and policies
and procedures regarding the running ol the Community Hub.
Organlsatlon Slructure
Trustees are consulted on all aspects of accounting, policies and procedures and involved in the
decision-making regarding the day-to-day running ol the centre and funding applications and the long
term vision lor the cenlre. The Manager is responsible lor keeping order ol files, ollice work and over-
seeing all other day-lo-day aclimlies al the cenlre as well a8 the management ol stall, accounts,
funding applications and strategic planning.
Rlsk Management
Borth Community Hub conducts risk assessments before undertaking any activities or events and
ensures that appropriate DBS checks are undertaken for those working ¥Mth children or vulnerable
adutts. Financial risks have been reviewed and procedures put in place accordingly. A reserves policy
has been established in line with the identified risks.

Borth Community Hub
Company Limiled by Guarantee
Trustees. Annual Report (Incorporating the Direclor's Report) (eoniinued)
Year ended 31 March 2024
Objectives and activities
The objectives ol the charity are all about prevention, early inlervenlion. improving well beir¥J,
resilience and reducing loneliness and isolalitsn. We run a Family Cenlre, Youth Club , Men's Shed,
Community Café and a variety ol activities lor older adults. These include Walking4Wellbeing.
Dementia Friendly Group and Creative Get Together Group.
The constitution states the objective is-
To advance education and protect and preserve emotional and psychological health by the provision ol
a community hub lincluding a family cenlrel for the support ol those in need ol such facilities To
establish the cornmunity hub and to maintain and manage the same Iwhelher alone or in co operatic)n
with any local authority or other person or body) in furtherance ol these objects.
The aims ol the Community Hub are lo reduce loneliness and isolation, foster a sense of bttlonging
and provide support sessions and meaningful activities which have a positive Impact on health and
wellbeing. Provide a sign posting service for those who require addition21 support beyond the scope of
Borth Community Hub.
The objectives lor the next year are to continue to=.
provide activities and advice in a suitable way depending on the needs ol the community-
Enhance the Youth Club focusing on young people's health and wellbeing.
Enhance our actNities and services lor oldèr adults particularly reducing isolation and loneliness lor
those who lind it difficult lo access services and activities by themselves.
Continue to delwer and develop our Men's Shed Group.
Continue to deliver and develop our Family Centre sessions and semces.
Continue lo deliver our Community Café, Clothes Bank, Book Swop and our Warm Welcome Space
under our Cost ol Living project.

Borth Community Hub
Company Limited by Guarantee
Trustees, Annual Report (Incorporating Ihe Director's Report) f¢ontinued)
Year ended 31 March 2024
Objectlves and actlvities (¢ontitrw¢dJ
Public Benefit
The charity serves the public by providing a service-
To families Mriih children aged 0-4 years10-11 during school holidays) through Borth Family Centre.
This includes our Clothes Hub and Book Swop.
- To young p￿pIe aged 11 to 17 through Borth Youth Club
To older adults through Borth Caring Community including our Dementia Friendly Group, Creative
Gel Together Older adult group and Walking4Wellbeing.
To men through our Men's Shed group
To the whole community through our weekly community café and our oiher Cost 01 Living Project
activities including our Warm Welcome Space.
The centre also works closely wth other like-minded organisations and therefore is able lo sign-post
families and individuals ol all ages in need to other professionals. By providing this service we preserve
and protect health and relieve stress wthin family relationships and households.
strategic report
The following sections lor achievements and performance and financial review form the strategic
report of the charity.

Borth Community Hub
Company Limited by Guaranlee
Truslees, Annual Report (Incorporaling the Director's Report) {contimwl?
Year ended 31 March 2024
Achlevements and perforrnance
This financial year Borth Community Hub received funding lor a third year from a People and Places
National Lottery 3 year Grant. This granl enabled us lo run all our core seNices including Borth Family
Centre, Borth YoLJth Club, Borth Men's Shed and activities for older adults.
A grant from Moondance enabled us lo continue to employ a financial and admin support workerl
volunteèr co-ordinator.
We received 8 small amount of funding from ihe Welsh Government via Ceredigion County Council
from a variety ol support funds. These included Direct Food Support Scheme, Discretionary Homeless
Fund and Food Poverty Fund. We used these funds lo support the most vulnerabl& in this cost-ol-living
crisis alld expanded our capacvcy in our Community Calé and Warm Welcome Space.
We received funding from Families First via Plant Dewi to deliver family support and family acliwlies
through our Family Centre work. We ran sessions lor families wth children aged O 10 4 years
throughout the year and increased the number ol sessions throughout the summer by running ould(K)r
play sessions on two days a week for families with children aged O 10 11 years. We also received
funding from the Welsh Govemment Patlnlinder project and were able to deliver parenting support
courses and additional sessions lor families.
Several grants were awarded by CAVO. A Caring Communilies granl to fund mlnlbus hire and
transport lo enable many older adults to reach us after our bus service was signili¢antly reduced to a
two hourly service. Additional amounts ol funding were also received lor Community First Aid and our
participation in Ihe Anchor Group in Ceredigion which is run by CAVO. We began work on achieifjng an
Investing in Volunteers Award. CAVO funded support with this process.
We received funding from a Cost ol Living Lottery Grant which enabled us to employ a Cost ol Living
Co-ordinator ro expand our Community Cale, Warm Space Provision and our support.
A Food Partnership Ceredigion grant enabled us to train two members of stall in Community Food and
Nutrition Level 2 and to dèvelop and deliver a programme ol cookery courses to teach the basi¢s of
healthy allordable food. We were supported by the NHS Community Dietitian in this project who also
trained staff in facilitation skills.
Stall and volunteers received training on a wide range ol subjects to ensure we are able to deliver a
high standard ol through age support. This training induded First Aid , Mental Health First Aid, Breast
Feeding Support training, Family Links Parenting Support and Welcome lo the World Training, Level 3
and Level 2 Food Safety and Allergy Awareness, Walk Leader and Lo￿and Walk Leader Training,
GroBrain Baby and Toddler Training. Elk5an Speech and Language Training and Modern Slavery.
The charity continued to be managed by a team of Trustees drawn from a wide range ol professions
and backgrounds. The eharity employed a Family Gentre Manager, a Family Support Worker, Youth
Workers, a Men's Shed Co-ordinator, Play Workers. an admin and tinanci￿ supwrt worker, cleaner
and a Cost ol Living Co-ordinalor.

Borth Community Hub
Company Limiled by Guarantee
Trustees. Annual Report (Incorporating the Director's Report) Icontlnued)
Year ended 31 March 2024
Flnanclal revlew
Reserves Polley
The trustees have reviewed the risks lacing the organisation and have determined that reserves 013
months, running costs should be held in order lo protect against the suddenlunexpecled loss ol
funding or other unanticipated problems. This would equate to around £38.000. Reserves of £50,713
are held al present. The Iruslees have reduced the designated fund for the improvements lo Ihe
insulation and heating ol the building and the installation of more sustainable and allordable healing
systems to to £15,000. The work is planned to take place over the next couple ol years. Trustees
review the reserves level at least annually and whenever new services are introduced.
The trustees, annual report and the strategic report were approved on 20 January 2025 and signed on
behalf of the board ol trustees by=
RPQ
Mr R Quant
Trustee

Borth Community Hub
Company Limited by Guarantee
Independent Examiner's Report to the Truslees of Borth Community Hub
Year ended 31 March 2024
I report lo the Iruslees on my examination ol the financial slalemenls of Borth Community Hub Ilhe
charity) lor the year ended 31 March 2024.
Responsibilities and basis of report
As the trustees of the company land also ils directors lor the purposes of company lawl you are
responsible lor the preparation ol the financial ￿ateMentS in accordance with the requirements of the
Companies Act 20061'lhe 2006 Act'l.
Hawng satisfied myself that the a¢¢ounts ol the eompany are not required to be audited under Part 16
ol the 2006 Act and are eligible lor indep8ndenl examination, I report in respect ol my examination ol
the charity's accounts as carried out under section 145 of the Charities Act 2011 I'the 2011 Acl'l. In
carrying out rny examination I have followed the Directions given by the Charity Commission under
section 14515llbl ol 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-
accounting records were nol kept in respect ol the charity as required by section 386 01 the
2006 Act., or
the financial $18tements cjo noi accord with those records,. or
the financial slalements do not Comply with thè aceounting requirements of section 396 of
the 2006 Act other than any requirement that the account8 give a'true and 18ir' view which is
not a matter considered as part of an independent examination., or
the financial statements have noi been prepared in accordance with the methods and
principles of the Statement of Recommended Practice lor accounting and reporting by
charities applicable lo Charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021.
I have no concerns and have come across no other mallers in connection with the examination lo
which attention should be drawn in this report in order to enable a proper understanding ot the
accounts lo be reached.
Cmskelton lJan 16, 2025 09.'33 GMT)
Mrs Calrin M Skeyton FCCA
Independent Examiner
23 College Steet
Lampeter
SA48 7DY

Borth Community Hub
Company Limiled by Guaranlee
Statement of Financial Actlvities
(including income and expenditure account)
Year ended 31 March 2024
2024
Restricted
funds Total funds
2023
Unreslricled
funds
Total funds
Note
Income and endowments
Donations and legacies
Other income
11.094
50
173,345
184.439
50
204,237
430
Total income
11,144
173.345
184,489
204,667
Expenditure
Expenditure on charitable activities
Total expendilure
2,745
173,278
173,278
176,023
176,023
145,330
2,745
145,330
Net Income and net rnovement In funds
8,399
67
8,466
59.337
Reconciliation of funds
Total funds brought lonNard
Totsl funds carried forward
57,314
65,713
81,768
139,082
79,745
139,082
81,￿5
147.548
The statement of financial activities includes all gains and losses recognised in the year.
All income and expenditure derive Irom continuing actimties.
The t)otes on pages 11 19 20 fom part ol these financial ststements.

Borth Community Hub
Company Limited by Guaranlee
Statement of Financial Position
31 March 2024
2024
2023
Note
Current assets
Cash at bank and in hand
147,548
139,082
139,082
139,082
Net current assets
147,548
Total assets less current1Sablllties
147,548
Funds ol the charity
estricted lunés
Unrestricted funds
81,835
65,713
147,548
81,768
57,314
Total charity funds
15
139,082
For the year ending 31 March 2024 the charity was entitled to exemption from audit under section 477
ol the Companies A¢1 2006 relating lo small companies.
Directors. responsibilities..
The members hav& not required the company to obtain an audit of its linancia statements lor the
year in question in accordance wrth section 476-
The directors acknowledge their responsibilities for Compl￿ng with the requirements ol the Act
wth respect lo accounting records anij Ihe preparation ol financial statements.
These financial staiemenls have been prepared in accordance with the provisions applicable to
companies subject to the small comp￿[es, regime.
These financial slalements were approved by the board of Iruslees and authorised for issue on 20
January 2025, and are signed on behalf ol the ￿ard by:
RPQ
Mr Fl Quant
Trustee
The notes on pages 11 to 20 form part ol these financlal ststemenls.

Borth Community Hub
Company Limited by Guaranlee
Statement of Cash Flows
Year ended 31 March 2024
2024
2023
Cash flows from operatlng activities
Net income
8,466
59,337
Adjustments for..
Interest payable and similar charges
Cash generated from op&ralions
42
8,508
59,337
Interest paid
Nel cash from operating activities
1421
8,466
59,337
Net Increase in cash and cash equlvalents
Cash and cash equivalents at beginning of year
Cash and cash equivalents al end of year
8,466
139,082
59,337
79,745
147,548
139,082
The notes on pages 11 to 20 form part of these Ilnanclal stslernenls.
10

Borth Community Hub
Company Limited by Guarantee
Notes lo the Financial Statements
Year ended 31 March 2024
General information
The charity is a public benefit entity and a privat& company limited by guarantee, registered in
England and Wales and a registered charity in England and Wales. The address ol the registèred
off ice is Borth Community Hub. Clarach Road, Borth, Ceredigion, SY24 5LW.
Stslement of compliance
These financial statements have been prepared in compliance with FRS 102, 'The Finanoal
Reporting Standard applicable in the UK and the Republic ol Ireland,, the Statement ol
Recommended Practice applicable lo charrties preparing their accounts in accordance wrth the
Financial Reporting Standard applicable in the UK and Republic ol Ireland IFRS 1021 Icharities
SORP IFRS 10211 and Ihe Companies Act 2006.
Accounting policies
Basis of prep•ation
The financial statements have been prepared on the recelpis and payments basis.
Going concern
There are no material uncert&nlies about the ¢haritls ability to continue.
Judgemen18 and key sources ot eslimalion uncertainty
The preparation of the financial statements requires management lo make judgements,
estimates and assumptions that affect the arnounls reported. These eslimales and judgements
are continually reviewed and are based on experi8nce and other factors, including expectations ol
future events that are believed to be reasonable under the circumstances.
Fund accounting
Unrestricted tunds are available lor use al the discretion of the Iruslees to further any ol the
charity's PLJrposes.
Reslricled funds are subjected lo reslriclions on their expenditure declared by the donor or
through the terms of an appeal, and tall into one ol bNo sub-classes." restricted income funds or
enéowmenl funds.
Incomlng resources
All income is included in the statement ol financial activities when income is received by the
charity. The following specific policies are applied lo particular categories ol income..
income from donations or grants is recognised when there is evdence ol enlillemenl lo the gift,
the amount is received into the CIO funds.
income from contracts lor the supply of services is recognised Mrilh the receipt of funds for the
contracted serwce. This is classified as unrestricted funds unless there is a conlraclual
requirement for il lo be spent on a particular purpose and returned if unspent, in which case it
may be regarded as reslricled.
11

Borth Community Hub
Company Limited by Guarantee
Notes to the Financial Statements (continiyed)
Year ended 31 March 2024
Accounting policies (¢Olllit)ued)
Resources expended
Expenditure is recognised on an cash basis. Expenditure includes any VAT which cannot be fully
recovered, and is classified under headings ol the statement ol financial activrbes lo which il
relates=
expenditure on raising funds includes the costs of all fundraising activities, events, non-
charitable trading activities, and the sale ol donat￿ goods. call "FlushPolieyP"l- expenditure on
charitable activities includes all costs incurred by a charity in undertaking activities that further ils
charitable aims for the bÈnelii ol ils beneliciaries, including those support costs and CDsls relaiing
lo the governance ol the charity apportioned lo charitable activities.
other expenditure includes all expenditure that is neither related to raising funds for the charity
nor part of ils expenditure on charitable activities.
All costs are allocated to expenditure categories reflecting the use ol the resource. Direct costs
attributable lo a single acb.vity are allocated directly to that actNity. Shared ¢osts are apportioned
between the activities they contribute to on a reasonable, justrfiable and consislenl basis.
OperatSng leases
Lease payments are recognised as an expense over the lease lerm on a s[ra￿￿hl-1lne basis. The
aggregaie benefit ol lease incentives rs recognised as a reduction to expense over the lease
term, on a slraighl-line basis.
Flnancial instrumenls
A financial asset or a financial liability is recognised only when the charity becornes a party to the
contractual provisions ol the instrumeni.
Basic financial instruments are initially recognised at the amount receivable or payable including
any related transaction costs.
Current assets and current liabilities are subsequently mè8sured al the cash or other
consideration expected lo be paid or reter￿ed and noi discounted.
Debt instruments are subsequently measured at amortised eost.
Where investments in shares are publicly traded or Iheir fair value Can otherwise be measured
reliably, the investment is subsequently measured al fair value with changes in lair value
recognised in income and expenditure. All other such investments are subsequently measured al
cost less impairment.
Other financial instruments, including derivatives. are initially recognised al lair value, unless
payment lor an asset is deferred beyond normal business terms or financed al a rale ol interest
that is not a market rate. in which ease the assel is measured at the present vJue ol the future
payments discounted al a market rate ol interest lor a similar debl instrument.
12

Borth Communily Hub
Company Limited by Guaranlee
Notes to Ihe Financial Statements (contlnuedj
Year ended 31 March 2024
Accounting policies (wjllnuod)
Financial instruments {contlnuedJ
Other financial instruments are subsequet)Ily measured ai lair value, wth any ehanges
recI￿nised in th& statement ol financial aclivities, with the exception ol hedging instrLJments in a
designated hedging relationship.
Financial assets that ar& measured al cost or amortised cost are reviewed for objective eiadence
of impairment at the end ol each reporting dale. 11 there is objective evidence of impairment, an
impairment loss is recognised under the appropriate headFng in the statement ol financial
activities in which the initial gain was recognised.
For all equity instruments regardless ol signili¢an¢e, and other financial assets that are
individually significant, these are assessed inclividually lor impa1rment. Other financial assets are
eilher assessed individually or grouped on the basis ol similar credit risk characteristies.
Any reversals of impairment are recognised immediately, lo the exlenl that the reversal does not
result in a carryfjng amount of the linancial asset that exceeds what the ¢arrying amount would
have been had the impairment not previously been recognised.
Limited by guarantee
If the CIO is wound up, the mernbers of the GIO have no liability lo contribute lo ils assets and no
personal reswnsibilty for settting ff(s debts and liabilities.
t)onations and legacies
Unrestricted
Funds
Restricted Total Funds
Funds
2024
Donations
Donations 8nd grft
Donations lo Red Cross Appeal
10.983
10,983
GTants
Grants receivable
Grants repayable
111
180,004
16,6591
173,345
180,115
16,6591
184,439
11,094
Unrestricted
Funds
Restricted Total Funds
Funds
2023
Donations
Donations and grfi
Donations to Red Cross Appeal
8.957
8,957
641
641
13

Borth Community Hub
Company Llmited by Guarantee
Notes to the Flnancial Statements (Gontinutrdl
Year ended 31 March 2024
Donations and legaciès (Mntlnuedj
Unreslricled
Funds
Restricle(i TO1￿ Funds
Funds
2023
Grants
Grants receivable
Grants repayable
900
193,739
194,639
9,857
194,380
204,237
An amount of £6,659 havg been repaid during the year due lo underspend on the restricted
project.
Other Income
Unrestricted Total Funds Unrestricted Total Funds
Funds
2024
Funds
2023
Cenler Hire
50
50
430
430
Expenditure on charitable activities by lund type
Unrestricted
Funds
Reslricled Total Funds
Funds
2024
Charitable Actwity
Support costs
2,739
167.930
5,348
173.278
170,669
5,354
178,023
2,745
Unrestrided
Funds
Restricted Total Funds
Funds
2023
Charitable Aetivty
Support Costs
1,734
142,459
1,137
143,596
144.193
1,137
145.330
1,734
Expenditure on charitable activities by activity type
A¢livities
undertaken
directly Support eosls
Total lunds
2024
Total fund
2023
Charitable Activity
Governance costs
170,669
170,669
5,354
144,193
1,137
145,330
5,354
5,354
170,669
176,023
14

Borth Community Hub
Company Limited by Guarantee
Notes to the Financial Statements (¢antlnued?
Year ended 31 March 2024
Analysis of support costs
Analysis ol
support costs Tolal 2024 Total 2023
Governance costs
5,354
5.354
1,137
10. Net incorne
Net income is slated after chargingllcreditingl..
2024
2023
Operating lease rentals
3,000
3,000
11. Independent examination lees
2024
2023
Fees payable lo the independent examiner lor=
Independent examination ol the financial slalemenls
Other linancial services
2,070
1,200
1,254
888
3,270
2,142
12. Stafl ¢osts
The total staff costs and employee benefits lor the reporting period are analysed as follows..
2024
2023
Wages and salaries
Other employee benefits
120,754
115,479
120,754
135,564
The average head count ol employe&s during the year was 1312023." 131- The average number
of lull-lime equivdent employees during the year is analysed as IDIIows=
2024
No.
2023
No.
Number ol staff
13
No employee recer(ed employee benefits of more than £60,000 during the year12023= Nill.
13. Trustee remuneration and expenses
No remuneration or other benefits from employment with the charity tsr a related entity were
received by the trustees during the yèar.
15

Borth Community Hub
Company Limited by Guarantee
Notes to the Financial Stalemenls i¢oniAntwl)
Year ended 31 March 2024
14. Statement of assets and liabilities
2024
2024
2024
2023
Cash Funds
Oeblors
Fixed Assets leslimaled market value)
Creditors
65.713
2.001
16.000
14221
81,835
147,548
2.001
16.000
{2.8151
139,082
305
16,000
111,3481
12,3931
15. Analysis of charitable funds
Unrestrlcted funds
At
31 March 202
At
1 April 2023
Income Expendrfture
Transfers
General funds
Youth, Emotional Health
& Wellbeing
Youth Cymru Reachoul
Repairs & Improvements
Fund
Running Costs
24,750
11.144
12.7451
123,0001
10,149
2,000
564
2.000
564
30,000
115.0001
38,000
15,000
38,000
57.314
11,144
12,7451
65,713
At
31 March 202
Ai
1 April 2022
Income Expenditure
Transfers
General funds
Youth, Ernolional Health
& Wellbeing
Youth Cymru Reachout
Repairs & Improvements
Fund
Flunning Costs
46.187
9,387
18341
129,9901
24,750
2,000
564
2.000
900
19001
30.000
30,000
48.751
10,287
11.7341
10
57,314
A transfer has been made to a ring fenced running cost fund in the unrestricted fund. The amount
was agreed by the btsard during the year sel at £38,000 lo be reviewed annually. A Iransler has
been made reducing the building fund by £15,000. in light of the increase amount required
towards the running costs fund, understanding ol required repair and ol the CIO financial wsilion.
16

Borth Communily Hub
Company Limited by Guarantee
Notes lo the Financial Statements (contlnue
Year ended 31 March 2024
1 S. Analysis of charitable funds {toniinu8d)
Restrieted lunds
At
31 March 202
Al
1 April 2023
Income ExpenditUTe
Transfers
Big Lottery
Caring Communities
Protect and Repair
Caring Communities
Families First
Plant De￿ Families First
Families First Youth
Club Warm Welcome
Youth Emotional Health
and Wellbeing
Friends in Need
Lottery Covid
CAVO Youth led grant
Dementia Friendly
Group
Lollery lop up
Summer ol Fun
TAF Course
Ukrainian Community
Cale and Actihqlies
Bevan
Borth Carnival
Cambrian Railways
CAVO Community First
Aid Training
Ceredigion Household
Support Funding
Comic Relief
Direct Support Grant
Discretionary Homeless
Fund
Food Poverty
Mind Our Futures
ConsuFtation
Moondance
Other
Pathfinder
44,466
115,022
1111,5771
47,911
5,700
15.7001
2,407
2,407
2,181
200
12,1811
12001
207
116
12071
194
310
3,049
1910)
2,139
877
18771
500
500
11,0001
5,923
15,0451
878
943
1,124
19431
11,1241
2,354
18.129
1,000
19231
114,6651
2,431
3,464
2,500
12,5001
17

Borth Community Hub
Company Limited by Guarantee
Notes lo the Financial Slatemenls (contlnued)
Year ended 31 March 2024
15. Analysls of charitsble funds (¢OAllnu¢d)
Penparcau Community
Hub
Potter Trust
Awards 4 All
Warm Hub Grant
CAVO Anchor Group
CAVO Transport
CAVO Transport M&n
Cost ol Living lottery
Direct food support
scheme 2
Families First summer
activities
Mind Aber CIC
Partneriaeth Bwyd
Ceredigion
359
1,000
13591
1971
903
1,000
1,000
7,403
29.052
1,000
11,0001
14,7861
113,5161
2,617
15,536
2.107
2,107
300
500
13001
15001
5,000
173.345
14,8681
1173,2781
132
81,768
81,835
Al
31 March 202
At
1 April 2022
Income Expendfture
Transfers
Big Lottery
Caring Communities
Protect and Rep&r
Caring Communities
Families First
Plant Dewi Families First
Families First Youth
Club Warm Welcome
Youth Emotional Health
and Wellb&ing
Friends in Need
Lollery Covid
CAVO Youth led grant
Dementia Friendly
Group
Lollery top up
Summer ol Fun
TAF Course
Ukrainian Community
Cale and Aclivilies
Bevan
14.136
112,606
182,2761
44,466
8,860
18,8601
12,8141
12,2941
14,2501
2.814
2.234
60
4,250
858
{8581
2,668
10
2.181
878
12611
2,407
{101
2,181
200
16781
207
560
207
116
14441
12,2861
2,286
262
12621
1,032
5,000
11,0321
11,9511
3,049
18

Borth Community Hub
Company Limiled by Guarantee
Notes lo the Financial Statements (c<mllnu¢d)
Year ended 31 March 2024
15. Analysis ol charitable funds {conrfnu&d)
Borth Carnival
Cambrian Railways
CAVO Community First
Aid Training
Ceredigion Household
Support Funding
Comic Relief
Direct Support Grant
Discretionary Homeless
Fun
Food Povety
Mind Our Futures
Consultation
Moondance
Other
Pathfinder
Penparcau Community
Hub
Poller Trust
Awards 4 All
Warm Hub Grant
CAVO Anchor Group
CAVO Transport
CAVO Transport Mpin
Cost ol Living lollery
Direct food support
scheme 2
Families First summer
activities
Mind Aber CIC
Partneriaelh Bwyd
Ceredigion
144
1,400
11441
15231
877
500
500
1,074
9,932
1,645
11,0741
14,8871
11,6451
878
5,923
1,875
14,610
11.8751
114,6101
3,000
19,486
641
2,500
16461
114,4131
11,7691
13,0521
2,354
18,129
13,058
1,128
552
359
1,000
359
1,000
4,564
14,5641
11,0001
1,000
30,994
194,380
1143.5961
81,768
16. Analysis of net assets between funds
Unrestricted
Funds
Restricted Total Funds
Funds
2024
Current assets
65,713
81,835
147,548
Unreslrict
Funds
Restricted Total Funds
Funds
2023
Current assets
57.314
81,768
139,082
19

Borth Community Hub
Company Limlted by Guarantee
Notes to the Financlal Slatemenls (¢onzinued)
Year ended 31 March 2024
17. Analysis ol change$ in net debt
At
At 1 Apr 2023 Cash flows 31 Mar 2024
Cash al bank and in hand
139,082
8,466
147,548
18. Operating lease commitments
The lolal future minimum lease payments under non-cancellable operating leases are as follows:
2024
2023
Not later than 1 year
Later than 1 year and not later than 5 years
Later than 5 years
3,000
12,000
42,000
3,000
12,000
45,000
60,000
57,000
The CIO has leased the premises ol Borth Community Hub from Ceredigion County Gouncil lor
a period 0125 years from 14 March 2018. As at 31 March 2024 the annual rent was £3,000 p.a.
subject lo period￿ Teview.

Borth Community Hub
Company Limited by Guarantee
Management Information
Year ended 31 March 2024
The following pages do not fom part of the financial statements.
21

Borth Community Hub
Company Limiled by Guarantee
Detailed Statement ol Financial Activities
Year ended 31 March 2024
2024
2023
Income and endowments
Donations and legacies
Donats'ons and gift
Donabons lo Fled Cross Appeal
Grants receiwable
Grants repayable
10,983
8,957
641
194,639
180,115
16.6591
184,439
204,237
Other income
Cenler Hire
50
430
Total incomg
184.489
204,667
Expenditure
Expenditure on charltable activities
Wages and salaries
Other post-retiremenl benefits
Operating leases
Light and heal
Repairs and mwntenan
Insurance
Other establishment
Other motor/travel costs
Legal and Professional lees
Telephone
Other office costs
Other interest payable and similar charges
Training
Funday
Lunch Club
Outreach
Direct charitable activily 1 Oiher costs of sessions & events
Direct charitable activity 1 General Expenses
Direct charitable aclimty 1 Resources
Direct charitable acliNqty 1 Donation lo Red Cross
120.754
115,479
3,000
5,510
3,362
2,435
1,413
2,870
7,532
2,158
1,875
42
1,516
1.119
3,335
261
8.630
842
5,599
3,770
176,023
3,000
4,331
953
1,960
1,038
456
1,137
t,476
804
1,047
1,119
3,140
261
1,716
165
5,394
1,769
145,330
Tolal expenditure
176,023
145,330
Net 1Th￿rne
8,466
59,337

Borth Community Hub
Company Limited by Guarantee
Notes to the Detailed Statement of Financial Activities
Year ended 31 March 2024
2024
2023
Expenditure on chaTitable activities
Charitable Activity
Activities undertaken directly
Direct charitable activity 1 wag&slsalaries
Direct charitable activity 1 other employee benefits
Direct charitable a¢livily 1 operating leases
Direct charitable activity 1 light & heal
Direct charitable activity 1 repairs & maintenance
Direct charitable activity 1 insurance
Direct charitable activity 1 other eslablishmenl
Oirecl charitable activity 1 other molorllrav&l costs
Advertising and Website
Direct charitable activity 1 telèphone
Direct charitable activity l other office costs
Direct charitable activity l Training
Direct charitablè activity 1 Fun day Costs
Direct charitable activity 1 Lunch Club
Direct charitable activity 1 Outreach
Direct charitable activity 1 Other costs of sessions & events
Direct charitable activity 1 General Expenses
Direct charitable activity 1 Resources
Direct charitable activity 1 Donation to Red Cross
120,754
115,479
85
3,000
4.331
953
1,960
1.038
456
3,000
5,510
3,362
2,435
1,413
2,870
2,220
2,158
1,875
1.516
1,119
3.335
261
8.630
842
5,599
3,770
170,669
1,476
804
1,047
1,119
3,140
261
1,716
5,394
1,769
144,193
Govemance costs
Governance costs- accountancy lees
Governance cosls- legal and other professional lees
Governance ￿sIs- other finance costs
4,538
774
42
740
397
5,354
1,137
Expenditure on Charitable activities
176.023
145,330