OpenCharities

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2022-12-31-accounts

Annual Accounts Year to 31 December 2022 op@trnears

Table of Contents

Trustee Report.............................................................................................................................. 3-5 Statement of Financial Activities.....................................................................................................6 Balance Sheet................................................................................................................................. 7 Notes to the Accounts................................................................................................................8-10

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Trustee Report

For the year to 31 December 2022

Section A - Reference & Administration Details


Charity Name Open Ears Charity number 1181896 Charity Address 6 Westfield Road Leicester Leicestershire LE3 6HR Charity Trustees Anthea Owen (Chair) Christine Pitts Julia Chapman (Treasurer) Mary Bucknall (Vice-Chair) Marylin Kilsby Associate Members Emily Owen Marilyn Baker Susanne Willdig Tracy Williamson

Section B - Structure, Governance & Management


Description of the charity’s trusts Open Ears is constituted by its Foundation CIO Constitution (Dated 4/1/2019) Management of the charity the charity is managed by its trustees. Selection of new trustees The existing trustees are responsible for the selection of new individuals. The final decision is made by a vote of this group.

Section C - Objectives & Activities


A summary of the objectives and activities of the charity are set out in its governing document

Open Ears is a non-denominational Christian charity for people who have various degrees of impaired hearing, mainly (but not exclusively) those who communicate orally, assisted by hearing aids or cochlear implants and lip-reading.

Objectives:

The objectives of the charity are, for the public benefit:

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Trustee Report - Continued……….

For the year to 31 December 2022

Activities:

The activities of the charity are:

Section D - Achievements & Performance


We send our members Christmas and Easter cards, and a birthday card where we are aware of this date. The aim being to help out members feel supported and included, as well as encouraging them to consider the true meaning of Easter and Christmas.

Focus on Corporate Prayer : We continue to meet for prayer at our three-monthly formal Trustee and Team meetings and have held online community prayer meetings for our members. These have been well received and, going forward, we plan to hold prayer times with our members more regularly.

We are currently looking at how we reach and communicate to our members as well as trying to grow our membership. In an effort to reach more people we have employed someone to run our social media accounts on a part time basis for one year initially, from 1[st] December 2022.

We have successfully held several online conferences, prayer meetings and quiz evenings for our members. Positive feedback has been received regarding these meetings and we

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continue to look for additional ways to support and reach out to our members.

Donations:

There is no subscription fee, and we are grateful that several members donate to Open Ears, enabling the aims of the charity to be fulfilled. Where applicable, Gift Aid is claimed.

Trustee Report - Continued……….

For the year to 31 December 2022

Section E - Financial Review


Charity’s policy on reserves:

The charity's previous policy was to have as a minimum level of reserves funds equivalent to three months’ worth of expenditure. However with the current worldwide economic situation as it is, as a result of the Pandemic and the low level of regular income we are receiving, the trustees have taken a decision to increase this to twelve months.

Section F – Declaration


The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees:

Signed Mary Bucknall Name: Mary Bucknall Position: Vice Chair & Trustee Date: 12 July 2023

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Statement of Financial Activities

January - December 2022

Jan - Dec 2022 Jan - Dec 2021(PY)
Income
Donations 5,823 4,908
Total Charitable Income 5,823 4,908
Expenditure
Bank Charges 74
Charitable Contributions 1,137
Consultancy 4,328 4,358
Insurance 497 508
IT 172 144
Legal and Professional Fees 200
Magazine 1,861 1,606
Miscellaneous Costs 61
Payroll Expenses 825
Printing, Postage and Stationery 378 591
Subscriptions 405 377
Website 180 252
Total Expenditures 8,920 9,033
Net Charitable Income/ (Expenditure) (3,097) (4,125)
Other Income
Interest Received 505 6
Net Other Income 505 6
Net Income /(Expenditure) £(2,591) £(4,119)

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Balance Sheet

As of December 31, 2022

As of Dec 31, As of Dec 31, 2021
2022 (PY)
Cash at bank and in hand
Current Account 5,433 4,677
Deposit Account 60,000 60,000
Total Cash at bank and in hand 65,433 64,677
Debtors
Accrued Income 272 166
Prepayments 0 3,932
Total Debtors 272 4,098
Net Current Assets 65,704 68,775
Creditors: Amounts falling due within one year
Current Liabilities
Accruals 358 468
Other Creditors 0 370
Total Current Liabilities 358 838
Total Creditors: amounts falling due within
oneyear 358 838
Net Current Assets/ (Liabilities) 65,346 67,937
Total Net Assets /(Liabilities) £65,346 £67,937
Charity Funds
Funds - Restricted 51,221 60,141
Funds - Unrestricted 14,125 7,796
Total Charity Funds £65,346 £67,937

The company was entitled to exemption from audit under s477 of the Companies Act 2006 relating to small companies. The members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006.

The trustees acknowledge their responsibilities for complying with the requirements of the Companies

Act with respect to accounting records and the preparation of accounts.

These accounts have been prepared in accordance with the provisions applicable to small companies subject to the small company’s regime and in accordance with FRS102 SORP.

Signed on behalf of the charity’s trustees:

Signed: Anthea Owen

Name: Anthea Owen

Position: Chair of Trustees

Date: 12 July 2023

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Notes to the Accounts

For the year to 31 December 2022

1 Basis of preparation

1.1 Basis of accounting

These accounts have been prepared under the historical cost convention with items recognized at cost or transaction value unless otherwise stated in the relevant notes to these accounts.

The accounts have been prepared in accordance with the Statement of Recommended Practice: Accounting and Reporting by Charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) issued on 16 July 2014 , and with the Charities Act 2011.

1.2 Going Concern

The accounts have been prepared on a going concern basis. The trustees have no concerns about the charity’s ability to continue for the next 12 months.

1.3 Change of accounting policy

The accounts present a true and fair view and no changes have been made to the accounting policies.

1.4 Changes to accounting estimates

No changes to accounting estimates have occurred in the reporting period.

1.5 Material prior year errors

No material prior year errors have been identified in the reporting period.

2 Accounting policies

2.1Reconciliation with previous Generally Accepted Accounting Practice (GAAP)

There are no differences between funds under previous GAAP and those determined under FRS 102.

2.2Recognition of income

These are included in the Statement of Financial Activities (SoFA) when:

The recognition of income criteria is explained for different sources of income below:

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to be part of that gift and is treated as an addition to the same fund as the initial donation unless the donor or the terms of the appeal have been specified otherwise.

Notes to the Accounts – Continued…..

For the year to 31 December 2022

2.2 Recognition of income – Continued…..

2.3Expenditure and Liabilities

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Notes to the Accounts – Continued…..

For the year to 31 December 2022

2.4Assets

3 3 Restricted & Unrestricted Funds

3.1Creation of Charitable Incorporated Company (CIO):

3.2Restricted & Unrestricted Funds:

4 Paid Employees

4.1Staff Costs:

Jan - Dec 2022 Jan - Dec 2021(PY)
Salaries and wages 825 -
Social security costs - -
Pension costs - -

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Jan - Dec 2022 Jan - Dec 2021(PY)
Other employee benefts - -
Website - -
Total Staf Costs £ 825 £ -

4.211.2 Average head count in the year

Two new employees were hired on a fixed one-year contract commencing on 1 December 2022. These employees assist the Trustees in the Governance of the charity as well as managing social media.

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