PARK ROAD COMMUNITY TRUST
REPORT AND FINANCIAL STATEMENTS
FOR THE PERIOD ENDED TO 31ST JANUARY 2022
Charity Commission Reference Number 1180359
PARK ROAD COMMUNITY TRUST REPORT AND FINANCIAL STATEMENTS
| Contents Legal and Administrative Information Statement of Trustees' Responsibilities Report of the Trustees Independent Examiner's Report Statement of Financial Activities Balance Sheet Notes to the Financial Statements |
Page 1. 2. 3 - 4. 5. 6. 7. 8 - 13. |
|---|---|
PARK ROAD COMMUNITY TRUST
LEGAL AND ADMINISTRATIVE INFORMATION
| Chairman : |
Chairman : |
Chairman : |
Chairman : |
Mr. A. H. S. Variava | ||
|---|---|---|---|---|---|---|
| Treasurer : |
Mr. Z. Patel | |||||
| Trustees : |
Mr. M. Islam | |||||
| Mr. S. M. Khan | ||||||
| Mr. A. Butt | ||||||
| Mr. A. Islam | ||||||
| Mr. I. Bham | ||||||
| Mr. M. Y. Bham | ||||||
| Mr. A. Butt | ||||||
| Mr. I. Monir | ||||||
| Independent Examiner : |
Walter Dawson & Son | |||||
| Unit 12, Pennine Business Park | ||||||
| Longbow Close | ||||||
| Bradley | ||||||
| HD2 1GQ | ||||||
| Bankers : |
Barclays Bank PLC | |||||
| Leicester | ||||||
| Leicestershire | ||||||
| LE87 2BB | ||||||
| Solicitors : |
Handslaw Solicitors | |||||
| Dewsbury Business Centre | ||||||
| 13 Wellington Road | ||||||
| Dewsbury | ||||||
| WF13 1HF | ||||||
| Registered Office : |
Mencap Hall | |||||
| Park Road | ||||||
| Batley | ||||||
| WF17 5LP |
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PARK ROAD COMMUNITY TRUST
STATEMENT OF TRUSTEE'S RESPONSIBILITIES
The charity trustees are responsible for preparing a trustees' annual report and financial statements in accordance with applicable law and United Kingdom Accounting Standards including Financial Reporting Standard 102: The Financial Reporting Standard applicable in the UK (United Kingdom Generally Accepted Accounting Practice).
The law applicable to charities in England and Wales requires the charity trustees to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity and of the income and expenditure of the charity for that period. In preparing the financial statements, the trustees are required to:
-
(a) select suitable accounting policies and then apply them consistently;
-
(b) observe the methods and principles in the Charities SORP;
-
(c) make judgements and estimates that are reasonable and prudent;
-
(d) state whether applicable accounting standards have been followed, subject to any material departures disclosed and explained in the financial statements;
-
(e) prepare the financial statements on the going concern basis unless it is inappropriate to presume that the charity will continue in business.
The trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the charity and to enable them to ensure that the financial statements comply with the Charities Act 2011, the Charity (Accounts and Reports) Regulations 2008 and the provisions of the trust deed. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud or other irregularities.
2
PARK ROAD COMMUNITY TRUST REPORT OF THE TRUSTEES
FOR THE PERIOD 31ST JANUARY 2022
The trustees present their annual report and the financial statements of the charity for the period 31st January 2022.
The financial statements have been prepared in accordance with the charity's accounting policies and the charity's trust deed, the Charities Act 2011 and Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102).
1. Structure, Governance and Management
The charity is managed by Mr A. H. S. Variava with the help of secretary Mr A. Butt as well as 8 other trustees. These have overseen the continued building works of Masjid Taqwa Park Road and regularly held meetings to keep all trustees updated on progress. In order to determine the future events of the charity, all trustees have to give their approval before work development commences.
2. Objectives
The charity has acquired and is further developing Masjid Taqwa Park Road provide worshipping facilities which can be used by members of the community. This includes prayer sessions as well as educational sessions for younger chilldren. When planning the activities for the period, the trustees have considered the Commission's guidance on public benefit.
3. Achievements
The performance of the charity is monitored by the trustees through regular meetings and the means of feedback from users of the Mosque. During the period, Masjid Taqwa Park Road has become fully functional for users of the community.
4. Financial Review
The trustees have accumulated over £86,098 cash at bank and in hand to enable completion of the mosque development as of the year end. Donations continue to be taken to help in future development work. Going forward, the charity is in a good financial position to continue improvement works.
5. Reserves Policy
Reserves will be re-invested back into the Masjid maintaining and improving the experience for all local community users.
3
PARK ROAD COMMUNITY TRUST REPORT OF THE TRUSTEES FOR THE PERIOD TO 31ST JANUARY 2022
This report was approved and authorised for issue by the trustees on 14th March 2024 and signed on their behalf by:
Mr A. H. S. Variava Trustee
4
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF PARK ROAD COMMUNITY TRUST
I report to the trustees on my examination of the financial statements of the charity for the period ended 31st January 2022 which are set out on pages 6 to 13.
Responsibilities and Basis of Report
As the trustees of the charity you are responsible for the preparation of the financial statements in accordance with the requirements of the Charities Act 2011 ('the Act').
I report in respect of my examination of the charity's accounts carried out under Section 145 of the 2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under Section 145(5)(b) of the 2011 Act.
Independent Examiner's Statement
I have completed my examination. I can confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:
(a) accounting records were not kept in respect of the charity required by Section 130 of the Act; or
(b) the financial statements do not accord with those records; or
(c) the financial statements do not comply with the applicable requirements concerning the form and content of the financial statements set out in the Charities (Accounts and Reports) Regulations
2008 other than any requirement that the financial statements give a 'true and fair view' which is
not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the financial statements to be reached.
Julie Young FCCA ACA WALTER DAWSON & SON
Chartered Accountants
Unit 12, Pennine Business Park Longbow Close Bradley HD2 1GQ 14th March 2024
5
PARK ROAD COMMUNITY TRUST STATEMENT OF FINANCIAL ACTIVITIES
FOR THE PERIOD TO 31ST JANUARY 2022
| NET MOVEMENTS IN FUNDS RECONCILIATION OF FUNDS EXPENDITURE ON: Raising Funds TOTAL INCOME AND ENDOWMENTS INCOME AND ENDOWMENTS FROM : Donations and Legacies TOTAL EXPENDITURE Total Funds at 31st January 2022 |
Notes 4 5 7 |
Total 2022 Total 2021 £ £ 102,554 121,241 102,554 121,241 46,529 38,559 46,529 38,559 56,025 82,682 56,025 82,682 |
|---|---|---|
All incoming resources and resources expended derive from continuing activities.
6
PARK ROAD COMMUNITY TRUST BALANCE SHEET AS AT 31ST JANUARY 2022
| UNRESTRICTED FUNDS Debtors Cash at Bank and in Hand CURRENT ASSETS FIXED ASSETS Tangible Assets General Funds Designated Funds CREDITORS: Amounts Falling Due Within One Year The Funds of the Charity: NET CURRENT ASSETS |
Notes | £ £ £ £ 334,080 294,401 334,080 294,401 332 373 86,098 68,185 86,430 68,558 (2,645) (1,118) 83,785 67,440 417,865 361,841 417,865 361,841 - - 417,865 361,841 417,865 361,841 2022 2021 |
£ £ £ £ 334,080 294,401 334,080 294,401 332 373 86,098 68,185 86,430 68,558 (2,645) (1,118) 83,785 67,440 417,865 361,841 417,865 361,841 - - 417,865 361,841 417,865 361,841 2022 2021 |
|---|---|---|---|
| 8 9 10 11 |
|||
| 294,401 67,440 |
|||
| 86,430 (2,645) |
|||
| 417,865 - |
|||
| 361,841 | |||
| 361,841 | |||
| 361,841 |
The financial statements were approved and authorised for issue by the Trustees on 14th March 2024 and signed on their behalf by:
Mr A. H. S. Variava Chairman
7
PARK ROAD COMMUNITY TRUST NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD TO 31ST JANUARY 2022
1. STATUTORY INFORMATION
Park Road Community Trust is a charity domiciled in England and Wales, registration number 1180359. The principal place of business is 1 Bridge Street, Batley, West Yorkshire, WF17 5NU.
2. COMPLIANCE WITH ACCOUNTING STANDARDS
The financial statements have been prepared in accordance with Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) and the Charities Act 2011.
3. ACCOUNTING POLICIES
The financial statements have been prepared under the historical cost convention.
The presentation currency is sterling.
The particular accounting policies adopted are as follows:
- (a) Donations, Legacies and Similar Incoming Resources Donations, legacies and similar incoming resources are included in the year in which they are receivable, which is when the charity becomes entitled to the resource.
(b) Grants Receivable and Local Authority Fees
- Grants receivable and local authority fees are credited to the Statement of Financial Activities (SOFA) in the year for which they are received. Deferred income represents amounts received for future periods and is released to income resources in the period for which it has been received.
(c) Expenditure
- All expenditure is included on an annual basis and is recognised when there is a legal or constructive obligation to pay for expenditure. All costs have been directly attributed to one of the functional categories of resources expended in the SOFA. The charity is not registered for VAT and accordingly expenditure is shown gross of irrecoverable VAT.
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PARK ROAD COMMUNITY TRUST NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD TO 31ST JANUARY 2022
3. ACCOUNTING POLICIES (continued)
(d) Tangible Fixed Assets
Depreciation is provided on a straight line or reducing balance basis over the expected useful lives of each category of tangible fixed assets:
Freehold Buildings Fixtures and Fittings
No depreciation. 25% per annum on written down value
(e) Fund Accounting
Funds held by the charity are either:
-
. Unrestricted general funds - these are funds which can be used in accordance with the charitable objects at the discretion of the trustees.
-
. Designated funds - these are funds set aside by the trustees out of unrestricted general funds for specific future purposes or projects.
-
. Restricted funds - these are funds that can only be used for particular restricted purposes within the objects of the charity. Restrictions arise when specified by the donor or when funds are raised for particular restricted purposes.
Further explanation of the nature and purpose of each fund is included in the notes to the financial statements.
| 4. | DONATIONS AND LEGACIES General Donations |
Unrestricted Funds |
Total 2022 Total 2021 |
|---|---|---|---|
| 102,554 | £ £ 102,554 121,241 |
||
| 102,554 | 102,554 121,241 |
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PARK ROAD COMMUNITY TRUST NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD TO 31ST JANUARY 2022
5. RAISING FUNDS
| RAISING FUNDS | ||
|---|---|---|
| Wages and Salaries (Including NI) Sundries Repairs and Renewals Depreciation Insurance Accountancy Fees Light and Heat Rates Equipment Hire Telephone Postage and Stationery |
Unrestricted Funds |
Total 2022 Total 2021 |
| £ 39,118 823 700 3,785 436 19 333 250 - 475 590 |
£ £ 39,118 27,810 823 867 700 550 3,785 5,547 436 326 19 372 333 444 250 888 - 1,290 475 132 590 333 |
|
| 46,529 | 46,529 38,559 |
6. STAFF COSTS AND TRUSTEES' REMUNERATION
| STAFF COSTS AND TRUSTEES'REMUNERATION | |
|---|---|
| Wages and Salaries | 2022 2021 |
| £ 39,118 27,810 |
|
| 39,118 27,810 |
No employee received remuneration amounting to more than £60,000 in the period.
Trustees received no remuneration and were not reimbursed for any of their expenses in the
10
PARK ROAD COMMUNITY TRUST NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD TO 31ST JANUARY 2022
6. STAFF COSTS AND TRUSTEES' REMUNERATION (continued)
The average weekly number of employees during the period, calculated on the basis of full time equivalents, was as follows:
| Charitable Activities Governance NET MOVEMENT IN FUNDS This is stated after charging: Depreciation Accountant's Fee |
2022 | 2021 |
|---|---|---|
| No. 7 5 |
No. 7 10 |
|
| 12 | 17 | |
| 2022 | 2021 | |
| £ 333 700 |
£ 444 550 |
7. NET MOVEMENT IN FUNDS
8. TANGIBLE FIXED ASSETS
| TANGIBLE FIXED ASSETS | |||
|---|---|---|---|
| Depreciation : Charge for Period At 31st January 2022 Net Book Value : At 31st January 2021 Cost : Additions At 31st January 2022 At 1st February 2021 At 1st February 2021 At 31st January 2022 |
Freehold Buildings |
Fixtures and Fittings |
Total |
| £ 293,071 40,012 |
£ 2,113 - |
£ 295,184 40,012 |
|
| 333,083 | 2,113 | 335,196 | |
| - - |
783 333 |
783 333 |
|
| - | 1,116 | 1,116 | |
| 333,083 | 997 | 334,080 | |
| 293,071 | 1,330 | 294,401 |
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PARK ROAD COMMUNITY TRUST NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD TO 31ST JANUARY 2022
| 9. 10. |
CREDITORS :Amounts Falling Due Within One Year DEBTORS Prepayments and Accrued Income |
2022 | 2021 |
|---|---|---|---|
| £ 332 |
£ 373 |
||
| 332 | 373 | ||
| CREDITORS :Amounts Falling Due Within One Year |
|
|---|---|
| Accruals and Deferred Income Other Creditors |
2022 2021 |
| £ £ 1,150 1,050 1,495 68 |
|
| 2,645 1,050 |
11. ANALYSIS OF NET ASSETS BETWEEN FUNDS
| Current Liabilities Net Assets Tangible Fixed Assets Current Assets |
General Funds 2022 General Funds 2021 |
|---|---|
| £ £ 334,080 294,401 86,430 68,558 (2,645) (1,118) |
|
| 417,865 361,841 |
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PARK ROAD COMMUNITY TRUST NOTES TO THE FINANCIAL STATEMENTS FOR THE PERIOD TO 31ST JANUARY 2022
12. MOVEMENT IN FUNDS
| MOVEMENT IN FUNDS | |||
|---|---|---|---|
| Unrestricted Funds General Funds Total Unrestricted Funds TOTAL FUNDS |
At 31st January 2021 |
Incoming resources |
Outgoing resources At 31st January 2022 |
| £ 361,841 |
£ 102,553 |
£ £ (46,529) 417,865 |
|
| 361,841 | 102,553 | (46,529) 417,865 |
|
| 361,841 | 102,553 | (46,529) 417,865 |
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