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2022-03-31-accounts

DALMAR HERITAGE AND FAMILY DEVELOPMENT

Charity Incorporated Organisation (C.I.O)

Financial Statements

For the period ended

31[st] March 2022

Registered Charity No: 1185551

1

DALMAR HERITAGE AND FAMILY DEVELOPMENT

Year Ended 31[st] March 2022

Principal address:

The Selby Centre Selby Road London N17 8JL

Committee Members:

MS SHAMSA ADAN MS RODA HUSSEIN MS NUR MAYE OSMAN

Governing document

The organisation is operated under the rules of its constitution.

Independent Examiner and Accountant:

TACTS Accountant Chartered Certified Accountant 61 Fountains Crescent Southgate London, N14 6BD

Bank:

Cashplus bank

2

DALMAR HERITAGE AND FAMILY DEVELEOPMENT

FINANCIAL ACCOUNTS

FOR YEAR ENDED 31[ST] MARCH 2022

CONTENTS

Pages

7. Independent Examiners Report

8. Statement of Financial Activities

9. Balance Sheet

10-12. Notes to the Accounts

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DALMAR HERITAGE AND FAMILY DEVELOPMENT Year Ended 31[st] March 2022

Annual Report

The committee are please to present the financial report for the period ended 31[st] March 2022, the first accounting period of the Charitable Incorporated Organisation.

Structure, Governance and management

Dalmar Heritage and Family Development is a charitable Incorporated Organisation (CIO), registered with the Charity Commission and governed by its constitution, dated 30[th] September 2019.

If the CIO is wound up, the members of the CIO have no liability to contribute to its assets and no personal responsibility for settling its debts and liabilities.

The affairs of the charity are managed on a day-to-day basis by the trustees, who may exercise all the powers of the CIO.

The trustees of served during the year are shown on page 2 of this report.

Appointment of Trustees

In accordance with the terms of the constitution, there must be at least three charity trustees. If the number falls below the minimum, the remaining trustees can act only to call a meeting of the trustees or appoint a new trustee.

The charity trustees may not appoint any charity trustee if as a result the number of charity trustees would exceed the maximum.

Each new trustee is given a copy of the constitution and the latest trustees’ annual report and accounts, on or before appointment.

Charitable Objects

TO FURTHER OR BENEFIT THE RESIDENTS OF EALING, ENFIELD, HARINGEY AND THE NEIGHBOURHOOD, WITHOUT DISTINCTION OF SEX, SEXUAL ORIENTATION, RACE OR OF POLITICAL, RELIGIOUS OR OTHER OPINIONS BY ASSOCIATING TOGETHER THE SAID RESIDENTS AND THE LOCAL AUTHORITIES, VOLUNTARY AND OTHER ORGANISATIONS IN A COMMON EFFORT TO ADVANCE EDUCATION AND TO PROVIDE FACILITIES IN THE INTERESTS OF SOCIAL WELFARE FOR RECREATION AND LEISURE TIME OCCUPATION.

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DALMAR HERITAGE AND FAMILY DEVELOPMENT Year Ended 31[st] March 2022

Achievements

Although it was difficult, we had a successful and very busy year. As the pandemic hit, we completed many projects to do with mental health and wellbeing. Such as the following. We held a general talk and discussion about how important the vaccine is for adults and children; we shared a poster for our beneficiaries concerning the topic and we also used our WhatsApp group to share the poster. We also reached a wider audience online and at zoom meetings.

Dalmar has worked a partnership with The Bridge Renewal Trust and supported North Central London CCG’s engagement and community outreach work to help NCL residents stay healthy.

We did a healthy eating workshop which the purpose of was to provide activities to reduce obesity, type2 diabetes and high blood pressure in the Somali community in Enfield, Haringey and Ealing. We held weekly culturally accessible exercise classes for the Women in Enfield and Haringey. We ran a healthy lifestyle project that engages with the local community who visit Selby Center in Tottenham. We did projects surrounding the negative stigma attached to mental health by our community and we published a book about mental health awareness and information where they can get help, we translated this in English and Somali. We Did Sport activities to keep young individuals fit and occupied with structured exercise and sport.

The sessions provided warm up games, football coaching and football games. Our community loves verbal communication and it is just as important to us that a library can become a space where verbal skill can be practiced as well as reading skills and the ability to collect books. So, we have done both things.

This year we focused our audience on two different groups. Firstly, there were women who were born in Somalia who do not have confidence with reading in English. Secondly there is a younger generation of Somali women born in Europe, who had not before read their mother tongue. We succeeded in combining the two groups, both groups increased confidence. We are very proud that female readers transformed and evolved into confident writers and speakers so much so that some of our members dared to write books of their own because of our meetings. This year is the first time we created the Dalmar Library containing books that we publish ourselves or discovered through our reading groups and cultural events. We have so far held three community meetings to discuss the project and received support from a cross section of the diaspora in different parts of the UK. Ten Somali diaspora authors have promised to give us a copy of every book they write.

Dalmar Heritage and Family Development Company have now merged with the Charity CIO set-up under the same name and assets and liabilities transferred to the charity. The board has passed on a resolution to now close the company with companies’ house. The organisation will stay operational under the CIO structure.

We give thanks to all the funders, staffs & volunteers who supported us this year.

5

Reserves policy and going concern

The Board has assessed the charity’s requirements for reserves in the light of the main risks to the organisation. As a result, the Board has approved a policy whereby the unrestricted funds not committed, should be held in reserve and maintained at a level which ensures that Dalmar’s core activity could continue during a period of unforeseen difficulty. The target reserve amount represents at least 6 months’ (26 weeks) expenditure and will be reviewed annually.

Risk management

The trustees have a risk management strategy which comprises:

● an annual review of the principal risks and uncertainties that the charity undertakes.

● the establishment of policies, systems and procedures to mitigate those risks identified in the annual review; and

● the implementation of procedures designed to minimise or manage any potential impact on the charity should those risks materialise.

The Trustees constantly review risks relevant to the charity. Any risks identified are reported to the Trustees and decisions made on how to minimise risk.

Trustees and their responsibilities

Charity trustees are the people who serve on the governing body of a charity. They may be known as trustees, directors, board members, governors or committee members. The principles and main duties are the same in all cases. Trustees have, and must accept, ultimate responsibility for directing the affairs of a charity, and ensuring that it is solvent, well-run, and meeting the needs for which it has been set up.

Our volunteers

Dalmar is very involved in the community and relies on voluntary help. Around 4 volunteers assisted with our on-going activities. We wish to thank our volunteers for their loyal support and contribution.

Future plan

The charity has now been operational. The company set-up previously under the same name will be closed and now merged into the charity to continue its charitable operations. The charity is planning to recruit more trustees to strengthen governance. We will continue to apply for funding to sustain the organisation activities.

Signed on behalf of all members,

Ms Shamsa Adan (Trustee) Date: 10/06/2022

6

Independent examiner’s report to the trustees of Dalmar Heritage and Family Development.

I report on the accounts of the Trust for the year ended 31[st] March 2022, which are set out on pages 8 to 12.

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(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner's report

My examination was carried out in accordance with the 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 you as 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:

(1) which gives me reasonable cause to believe that in any material respect the requirements:

have not been met; or

(2) to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Date: 10/06/2022

Chartered Certified Accountant

TACTS Accountant, 61 Fountains Crescent, London, N14 6BD

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DALMAR HERITAGE AND FAMILY DEVELOPMENT DALMAR HERITAGE AND FAMILY DEVELOPMENT DALMAR HERITAGE AND FAMILY DEVELOPMENT DALMAR HERITAGE AND FAMILY DEVELOPMENT DALMAR HERITAGE AND FAMILY DEVELOPMENT DALMAR HERITAGE AND FAMILY DEVELOPMENT DALMAR HERITAGE AND FAMILY DEVELOPMENT DALMAR HERITAGE AND FAMILY DEVELOPMENT DALMAR HERITAGE AND FAMILY DEVELOPMENT DALMAR HERITAGE AND FAMILY DEVELOPMENT DALMAR HERITAGE AND FAMILY DEVELOPMENT
INCOME AND EXPENDITURE FOR THE PERIOD ENDING 31ST MARCH 2022
INCOMING RESOURCES
Grant to provide charitable activities
Awards For All
Women's Resource CE
Big Issue Invest
Power to Change
Covid-19 Response
Enfield Voluntary Action
Income from generated funds:
Parent's Voluntary Contributions
London Borough of Enfield
School For Social Fund
London Catalyst
HAF & Child Care
Local Connect Fund
Worker's Educational Association
Haringey Council
The Bridge Renewal Trusts
Other Income
TOTAL INCOMING RESOURCES
RESOUCES EXPENDED
Charitable Expenditure
Sessional Workers & Staff Cost
Office and Venue Hire
Ofsted & DBS
Administration costs
Activity materials and resources
Volunteer Expenses
Transport and Travel
Equipment
Professional fees
Refreshments
Teachers and Consultancy
Depreciation
TOTAL RESOUCES EXPENDED
Net Incoming/Outgoing resources
FUNDS BROUGHT FORWARD
FUNDS CARRIED FORWARD
Unrestricted
Funds
£
-
-
-
-
-
-
19,769
4,539
5,500
2,000
2,300
-
-
-
7,135
-
Restricted
Funds
£
-
4,000
-
-
-
5,000
-
-
-
-
-
-
-
-
-
9,000
12,357
2,878
-
682
824
526
-
1,100
-
467
-
-
18,834
(9,834)
Funds
2022
£
-
4,000
-
-
-
5,000
19,769
4,539
5,500
2,000
2,300
-
-
-
7,135
-
Funds
2021
£
9,280
-
10,400
9,225
12,340
1,000
10,982
-
-
-
-
2,500
1,000
13,000
1,000
4,343
41,243 50,243 75,070
24,087
4,049
742
3,750
2,321
1,972
1,162
1,443
827
285
3,477
1,265
36,443
6,927
742
4,432
3,145
2,498
1,162
2,543
827
752
3,477
1,265
35,656
6,383
203
2,585
1,305
2,558
1,170
755
1,120
90
1,200
1,265
45,380 64,214 54,290
(4,137) (13,971) 20,780
11,907 9,834 21,741 961
7,770 - 7,770 21,741

8

DALMAR HERITAGE AND FAMILY DEVELOPMENT BALANCE SHEET AS AT 31 MARCH 2022

Notes
Fixed Assets
Tangible assets
(9)
Current Assets:
Cash at Bank and In Hand
Current Liabilities:
Creditors:
Amount falling due within one year
(7)
Net Assets
As Represented By
Unrestricted Fund
Restricted Fund
(5)
Total Funds
£
£
2022
2021
1,270
2,535
7,185
19,756
685
550
7,770
21,741
7,770
11,907
-
9,834
7,770
21,741

The accounts were approved by the Committee Members on 10/06/2022 and signed on their behalf by: -

……………………….........

(Trustee)

Ms Shamsa Adan

9

DALMAR HERITAGE AND FAMILY DEVELOPMENT Year Ended 31[st] March 2022

Notes to the accounts

1. Accounting Basis

These accounts are prepared under the historical cost convention. The financial statements have also been prepared and modified to include the revaluation of certain fixed assets and in accordance with the Financial Reporting Standard for Smaller Entities (effective January 2008).

2. Incoming resources

All incoming resources are included in the Income and Expenditure when the company is legally entitled to the income and the amount can be quantified with reasonable accuracy.

3. Resource Expendable

All expenditure is accounted for on an accrual basis and has been included under expenses categories that aggregate all costs for allocation to activities.

4 . Tangible fixed assets

Fixed assets are stated at cost less accumulated depreciation.

Depreciation is provided to write off the cost, of all fixed assets over their expected useful life as follows: -

Machinery - 33.33% straight line

5. Analysis of Restricted Fund

Women's Resource CE
Awards For All
Big Issue Invest
Enfield Voluntary Action
Balance at
1st April
2021
Incoming
resources
Outgoing
resources
Balance at
31st March
2022
£
£
£
£
-
4,000
4,000
-
8,020
-
8,020
-
1,135
-
1,135
-
679
5,000
5,679
-
9,834
9,000
18,834
-

Purpose of Restricted Fund:

Awards for All : Mental health and wellbeing. Big Issue Invest: Business and social enterprise support and adaptation. Women’s Resource CE: Education and Wellbeing Enfield Voluntary Action: Health and Wellbeing.

10

DALMAR HERITAGE AND FAMILY DEVELOPMENT: For the Year Ended 31[st] March 2022

6 . Dalmar Heritage and Family Project is a registered charitable incorporated Organisation with charity commission.

7 . CREDITORS (ACCRUALS)

.CREDITORS (ACCRUALS)
2022 2021
£ £
Accruals and other creditors 685 400
685 400

8. Debtors

The organisation has no debtors

9. Tangible Fixed Assets

Machinery
Cost
At Cost
3,800
Carried Forward
3,800
Depreciation
Brought forward
1,265
Charge for the year
1,265
Carried Forward
2,530
Net Book Value
At March 2022
1,270
At March 2021
2,535
0. Support and Governance cost
General
Support
Administration Cost
4,432
Professional fees
-
Depreciation
1,265
5,697
Machinery
Cost
At Cost
3,800
Carried Forward
3,800
Depreciation
Brought forward
1,265
Charge for the year
1,265
Carried Forward
2,530
Net Book Value
At March 2022
1,270
At March 2021
2,535
0. Support and Governance cost
General
Support
Administration Cost
4,432
Professional fees
-
Depreciation
1,265
5,697
Total
3,800
3,800
1,265
1,265
2,530
1,270
2,535
Governance
-
685
-
685
Total
4,432
685
1,265
5,697 6,382

10. Support and Governance cost

11. Staff and Sessional Workers

Total staff and sessional workers cost were £36,443. The average number of employees was 4.

11