OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2024-03-31-accounts

Registered Number 1179827

HOME FROM HOME REUSE LIMITED

Micro-entity Accounts

1[st] April 2023 to 31[st] March 2024

Notes
Fixed Assets
Current Assets
Prepayments and accrued income
Creditors: amounts falling due within one year
Net current assets (liabilities)
Total assets less current liabilities
Creditors: amounts falling due after more than one year
Provisions for liabilities
Accruals and deferred income
Total net assets (liabilities)
Reserves
2023
2022
£
£
23,786
26,896
23,786
26,896
0
0
0
0
0
0
0
0
0
0
0
0
23,786
26,896
23,786
26,896

Notices

Financial Summary and Report

For the second accounting year the charity has received nor earned any income. Due to a combination of having no retail outlet and key staff/volunteer ill health. Despite this the charity has continued to divert from landfill approximately 10 tonnes of unwanted furniture by collecting, storing and passing on for reuse approximately furniture to those in need in the community.

Expenditure during this period was £3,218.89 which was primarily storage costs and some volunteer expenses. All other work was undertaken voluntarily by the Trustees and other volunteers. We had a smaller cohort of regular volunteers, currently four, due to only operation a collection/storage operation. Volunteers can reclaim their travel and lunch costs.

Home from Home Reuse Services Limited, CIO diverting this from landfill sites by collecting and supplying for reuse approximately 10 tonnes of unwanted household goods.

The Board of Trustees are now actively seeking a new retail and other outlets to build the charities income and ability to divert more goods from landfill and assist those in need in the community.

Approved by the Board on 5[th] October 2024

And signed on their behalf by: Alex Green, Chair

Breakdown Summary of Income & Expenditure

Breakdown Summary of Income & Expenditure
April 2023-March 2024
Source Income
Reuse sales 0
Collection fees 0
Grants 0
Other Income 0
TOTAL INCOME 0
Cost Centre
Staff 0
Volunteer expenses 0
Bookkeeping 324
Premises rent 2162
Business rates 0
Insurance 0
Water 0
Electricity/Gas 733
Gas 0
Vehicle costs 0
Vehicle Fuel 0
Travel 0
Telephone/internet services 0
Website 0
Printing & Stationery 0
Postage and Carriage 0
Clothing 0
Training 0
Repairs and Renewals 0
Equipment - IT/Other 0
Professional Fees 0
Subscriptions 0
Subsistence 0
Bank Charges 0
TOTAL EXPENDITURE 3219
Balance -3219
Cash in bank 23785.69 31/03/2024
Cash/Petty Cash 200 31/03/2024