REGISTERED COMPANY NUMBER: CE020428 {England and Iplalosl
REGISTERED CHARITY NUMBER.. 1187544
REPORT OF THE TRUSTEES AND
UNAUDrrED FINANCIAL STATEMENTS FOR ThE YEAR ENDED 31 MARCH 2024
FOR
COMMUNITIES FOR ALL CIO

COMMUNMES FOR ALL CIO
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
Page
Report of the Trustees
1 to 3
Indeptndent Examirtèr's Report
Statèment of Financlal Act[vI￿e$
Balan¢9 Sheet
Notes to the Flnanclal Ststsments
7 to 9
talled Statement of Flnanclal Actlvltles
10

COMMUNrnES FOR ALL CIO
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2024
The trustees who are 8fso dtréctors ot the charfity for the purposes of the Companles Act 2006, present their
r•port Mth the finanaal 5tOtsrnents of tha charfty for tho year onded 31 March 2024. The trusle6s have adopted
the PrO￿$10nS of Accounting and Reporting by Charttie5'. Statement of RecOMme￿ed Practice applicable to
aribes preparing their accounts in accordance with the Flnancial ReFKJrting Stsndard applicable in the UK and
Republic of IrelaThY IFRS 1021 leffecl've 1 January 2019).
Objectlves and acttvltJe$
The principal aim5 and objeCt￿e of the charitable ￿rnpanY ar8:
- to SUFPOrt such general tharftable Purposes as the trustees may in their absolute dwretion, in particular but
not exclusNety'.
- to ao*nce edU￿tion and training.,
- to help reduce poverty in the communty
to pro￿de or assfst In tha pro￿s1On of f8¢11rties in the interests of so¢lal wetfare for recreatlon or other ￿lSUre
tima O(Lupa￿rn of indivvjuals who have a need of suth fati1￿•$ by Teason of their youth. age infimity or
disability, financSal hardshlp or social drcumstsnces wth the otTriect of Impro￿ng their conditions of life;
to prornote social indusion for the public benefft by worlung with people within swially and ￿OnOMicallY
dtsadvantsggd areas of Manchester {suth as Crumpsall, Cheetham Hai, Blathèy and Clayton) Irrespeetrve of
th8ir 8thnic origin, religion, beli8f or ¢re8d linduding mèmbers of thè Muslim eommunity but also olher fatths
and of no fatthl and to relèva neads of such people and assk%t them to Integrate into society.
Whil6 plannirwj th& objectsvès and actlvlues, the trustees have ￿nSIdered the Charity Commis&ons guidanie
on publlc beneltL
- to support those at èxtremes of age in temis of socialising and support
- to support those wtr¥) are vulnerabb such as refvgees. asylum seeks and other vulrh8fdble group8
- to provide support to th¢)8e affected by the pandemic
Achlev8ment and performaneè
During this period a number of initiatives were supported through provision of grarts. These inrjuded the
fOlbv￿ng.'
- Youth in￿ativeS in wrth Manthester wherè youth 8re 8UF¥)Orted with e safe space to relax, SOCIa￿Se and b&
mentored by youth le*Jèrs. youth clubs. trips and other engagement activiues. These projects indude:
support to Ihe vulnerable and needy during the cost-oHiwng crisis wilh support by prO￿dIng fijod and ot￿r
essential item drop offs for those in need and ￿ntinUIng Ih9 SuP￿rt with warm welcorn8 Ixmpaign providing a
warni place for local residents to rest and stay during the winter and cold8r pe￿0d5
- haatth awareness s&ssion8 by holding h&81th 8warene$s sas￿0￿$ includlng heatth falrs h&alth promolc
￿pa￿]n¥
- Olbtrèath work with dtfFèrènt tt)mmunéOes Indudlng kiterfeith walks. wee￿Y cycllng chjb and cydiro repair
$8$slons to 8nwuragè gréen eentras and k)oklng after th& 8n¥Aronment. dean up and other SUPFxJlir
in￿ativeS indudiThJ reading clubs.
Provlde free school meals to chlldren local In k)cal areas of deprivation durfng holklays th foo(l and ac(ws
to a safe place with activthes aThJ sup[Y)￿ng the horneless and needy
Supporting youth and leadershlp initsatives by sending youth on ¢xmps and trip8 to 9nix>ur8g¢ them by
travelling to camps and building essentyal skll$ nggjed for tgam work and leadership. youth social avants have
been encouraged all￿n9 youth to t8am bulld
Women actiiities Includlng coffee momings, child drown Sessions, toddler groups and socialising sessions
helplng to tad(le loneliness. Other wc*nen only sessK)ns indude heatth awaren88S $988ions. carèer supwrt
adv￿ and nemorluro OPFX)rtunides
- Health promotion wilh exercise sesyons for men and women
engagement actiwlies including youth dubs for boy$ and gids wlth school holhjay dubs, ￿llIon classes to
support those struggling and helping young ￿>ple to IrW)ro￿ thair grades and improve attainment, exefase
session for the elderfy and young on 8 weekly basis. Weekty foolball sessior* and badminton sessions takg
ace for caring age groups.
- We have arranged trips for th)se who are knety a￿1 wilh tsmlllo$ to traval to places l*e B￿CkpO￿ meet
and engage wth others and have a good day OUL
Pagè 1

COMMUNMES FOR ALL CIO
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2024
- We have supported sustainabilty award programmes enc4JJragiTrJ living I￿¢$ and SUPFKXt ttw In naad
We have been holding gardening sèssThis in the summer months èncouragwNJ Feople to 8r¥Jage with
garthing activities and meet others too orn a weekly basis
- W8 have h81d hdiday sd*mas for Y￿ng people 10 have 8 safè p5acE to stay and en9aga th others and
6njoy acti￿tieS during sd)ool holldays
- We have exercJse. nLrtribon and We￿￿t managemont b support women on a regular basls wrfh ftjlty tr8in&l
- We have hekl wnThunty engagement events wothng p90pb frcm dlfferent backgrouN1$ and sharing
p¢)sitive wnpact 8tixtg8 loo ovgr a ¢up of taa and refreshments
- For our young people in the communty. we have heky open $vènts help￿￿ young people to asplro to succeed
and svoceod which hag been very boneflclal
- Wa hold a sc￿nce fair svith a ￿eat turn0￿ of young peowe
- We help arrdnge trps for young wp18 to museums and places of Eaaming and fun in hdiday pgricds
- During the winter peitod wè hav& provKIBd food hamper8 to th8 ejdeity as a present frtsm thè organlsath)n al a
tlm6 of dlfflculty targetir¥J malnly those bvho are isolated or 8lone
- We supported local charitses hdyng rais¢ monèy gjch as for Macmillan coff0& momlng apprecHtirvJ thg groat
work dcTrne by tharn
- We have held rnartAI arts W￿l0ft$ f(* adults and Children and ¥￿IfiC sesslons for women onty tco (knrfng
for all groups
- We have hèld communty events such as funfairs with hundrods atteThJing from th8 lotal communty
- We have promoted eco•friendly events wth video 8(regning on greener planet wtth gr8at loca atteThJarKe
- W8 have held culbjral events for drfferent o)mmunitigs 8nwuraging community cohesitsn
- We have held events arouThJ greater awareness on gamblirKJ ts hamis engaglng d6fferent communffjes
- We work other local groups on supportive in￿alIve$ and attend their avants and they attend vjr events
Ipirva to build these ￿lab"onshIpS ervJagiNJ with a diveTS9 group of peop
- We eelebrate intemaoonal woThn day and hold an 8vent to invrte women frgm acFOSS thè communitses to
celebrate wth inspiratuial tslks and foch
Financial review
Full detsils of income and expenditure foT the year a￿ set out In the Statement of FinanLial Actwibes Pags
5. The ol trustees reviews the reserv8 policy on an annua basis to ensure adeqL￿ fvnds are avaaable to
cover management and administration and Supp￿ c￿.
structure. governan¢9 and mana9emènt
Govornlng document
The tharty 15 ￿ntr￿led by its goveming documenL a deed of trust, and constttrrtes a IMnlt8d company, limited
by guarantse. as defined by tha Cc*nponies Act 2006.
C4A ts a charitable Inco￿orated organi$8th?n Id)arfty reglstration rwmbèr 11875441 and incorporatsd on 20
January 2020 as a registered tharity. The compat)y comrn?nc8d trading on 1 April 2020. The company 18
governed by its Memorandum & Articles ol Association. Thè dlrectors, who 8rg the trustees in charity law, arè
restKiwiblg for Ihe overall management and wntrol gf th8 company working with other pe￿OnS ¢)n 8n antirèly
voluntary basis.
Trustees are app(*nled in accordan￿ with C4A Initsative's Iwsbiubon. The twstees have kept up to date with
all the relevant aspects of their role and rasponsibilltres, assured in Ihe knowwge that Ihe r￿eSSary ¢ontrcAs
not only exist but function gff&(Iri8ly. thus enabling the trustees to f￿u3 their affotts on maximi￿ng the
charitys cash flow. Trust8ès eonstanlly review the major risks to whick the thartty 1$ &XFN)sed and $y5tams are
estabfished to mttsgate these.
Refaronc¢ and admlnlstratlv• detalls
Registered Company number
CE020428 (England and Wal8sl
Re9lst*red Charity numb•r
1187544
Pag& 2

COMMUNITIES FOR ALL CIO
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 21J24
Regrstered offi
Cotnrnuniti8s For All
421425 Ch88th8rn Hill Road
Man¢hesteT
M8 OPF
Trust•
Z KosaT
M Shafiq
MJAmin
Ind•p•nd•nt Examln•r
Far(x)k Patel FCA
Xeln8din
Ground Fjoor
Citygate
Longridge Road
Preston
PR2 5BQ
Approved by ordgr of the board of trustees on ......... .
8nd 8igwd on its behalf by..
J Amln - Trusts9
Pa￿3

INDEPENDENT EXAMINER% REPORT TO THE TRUSTEES OF
COMMUNITIES FOR ALL CIO
Ind8p8ndent examinÈrfs report to th* trustees of Communktles For All CIO Ilhe Company'l
I r8px)rt to the charity trustees on my exarnination of the a￿Unts of thè Company for the y88r ended 31 March
2024.
Responsibilities and ba$is of report
s the tharity's trust88s of thè Company land also ts directoxs for the purposes of company lawl you arè
re8ponsible for the preparation of the a(£ounts in 9ccx)rdan￿ ￿th the Tequirem6r)ts of the Cornpanies Act 2006
Cthe 2006 Act'l.
Ha*ing satisfied rryself th81 tt)e a¢￿Unts ol the Cornpany are not requlred to be audit8d under Part 16 of Ihe
2fA)6 Act and ar8 81i&¥blo for irKlependent examination, l tspt)rt in ￿pect of my examinalon of your than￿$
accwntg as carried out under se￿lOn 145 of the Charities Act 2011 I'lhe 2011 Acfl. In carrying out my
oxamlnation I hav• followed Ihe Diredons gNen by thè Chaity commi￿on urKler Section 145151 Ibl of Ihe
2011 Act.
Ind*￿nd*nt examlnerfs $tatement
I have C4)mpleted my examination. l (x)nfimi that no matters have ¢oma to my attention in Connection with the
examlnation givirvJ me cwse to beligvg..
acwuntirvJ recc*ds were not kept in respect of the Company as rtqulred by Sectiw 386 of Ihe 2CK
Act.. or
the accounts do not accord with those records.. or
the accounts do not coM￿Y with the 8¢xounting requiroments of S*ion 396 of the 2006 Act olhar than
any requirement that the acu)unts give a true and fair wiew whic*h ￿ not o matter ￿ls[dered as part of
an independent examination.. or
the 8w)urts havè not baèn prepa￿d in accordanc￿ V￿th Ihe methods and prinaples of the Statement of
Racommended Practice for accourbting and rtrporong by chariti88 lappbicabb to charfbes preparing thair
accounts In a￿O[dar￿ with the Finandal Repoitng Standard applicable in the UK and Republ￿ of
Ireland IFRS 102)).
I hava no CO￿rn$ and have corne across rK) other matters in ￿nn￿etiOn Y￿th the examin8tlon to whith
attention shouky be dravm in this rèrth In order to enable 8 proper understandlng <rf thè accounts to
reached.
Farook Patel FCA
Xeinadin
Ground Floor
Citygat
Longridge Ro&d
Preston
PR2 5BQ
Date..
Page 4

COMMUNITIES FOR ALL CIO
STATEMENT OF FINANCiAL ACTivmES
FOR THE YEAR ENDED 31 MARCH 2024
2024
Total
funds
2023
Total
fund$
Unr•strlct•d Rg$tri¢tgd
fund
fund
Not•$
Income And •ndowments from
DorkatN)ns and legacies
12,382
12.383
26.651
Charltable a¢tlvltlgS
Charitabb activty
Total
22,432
76,834
99,266
131,655
Expendlture on
Charltsble actlvltles
Chatitablg actFvity
3,950
71,390
75.340
70.409
Other
Total
12,001
15,951
719
72.109
12.120
88,060
10,403
80,812
NET INCOME
Transfers between funds
Not movement in funds
6,481
4,725
11,206
50,843
18,2411
19,447
11.2
50.843
Reconelllatlon of funds
Total fvThJs brought forw8rd
145.039
150.039
99,196
Total funds carrièd forwar(I
150 039
The notes forni part of th•s• financial ststements
Page 5

COklMUNmES FOR ALL CIO
BALANCE SHEET
31 MARCH 2024
2024
Total
lunds
2023
Total
lund$
Unrestricted Re5triet•d
fvnd
fund
Not•s
Current assets
Cash at bank
137.458
24,559
162.017
153.OS3
Credttors
Amounts falling dug wthin one year
11121
(7721
{3.0141
Nat ¢urr8nt assats
161245
Total assets less CUT￿nt liabblities
136.798
24,447
161.245
150.039
NET ASS￿5
Funds
Unrestricted funds
R9Strict8d fijnds
Total funds
161245
136,798
145.039
161245
The charitable company is enbtled to exernption from audit under Section 477 of thts Componle5 Act 2006 for
the year ended 31 March 2024.
The mèmbèrs hav¢ not requlred the company to obtain an audit of Is fjrlgndal statements for th8 year ended 31
March 2024 in a¢wrdan¢e wth Section 476 of the Compani8s Act 2006.
The trust8es ad{n￿￿edg8 thair responsibilities for
181
6nsurfng that the tharItab￿ company k8ep$ ac(¥)untlng records 1h8t ¢ompty wilh Sections 386 and 387
of the Companies Act 2CKJ6 and
preparing financk81 statew￿ntS which give a true and tsir vlew of Ihe state of affalrs of the charttable
company as at the e￿1 of 88d) ftnandal year ar￿ of its Surplus or deficit for aach finanrial ye8r in
ac¢tsrdance with the requirements of Sedion$ 394 artd 395 and which Other￿Se comply w6th the
requirements of the C￿pan￿S Act 2006 relatirvJ to flnandal statements. $0 far as applicAbl& to the
charftable company.
Ibl
Th889 finanaal stataments have been prepared in accordanc8 wilh Ihe FY0ViS￿ aFPlica￿e to charitable
compat)ies subject to the small Mmpanles reglme.
The fJn8ncia
on
mènts were approved by the Board of Twstees and aLth)dsed for issue
and were slgned on its behalf by=
M J Amin - Trustes
The notes fom part of these finanaal statements
Page 6

COMMUNillES FOR ALL CIO
NOTE8 TO THE HNANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
Accountlng pollcl•s
Basls of pr¢parlng th• financlal statements
The financial statements of the Charitsble company. whrd) Is a publ￿ benefft entlty under FRS 102, have
been prèp8rgd in accordanr* with the Charities SORP IFRS 1021 'Accounting and Rewrtiw by
Chatities.. Stat8rnenl of Recommended prac￿ applicablè to ch8rtties preparing their accounts in
accordance ￿th the Finanoal RèFX)rting Standard appluble in the UK and RepU￿1C of Irgland IFRS
1021 leffective 1 January 20191., Financial Reporfng Standard 102 The Fliantsal Reporbng Standard
opplicable in UK and Repubjic of Ireland, and the Companies Act 2(K16. The fin8nci81 statements
ha￿ prepared under the historical c4)st eonventkjn.
In¢om•
A41 incxjme is racLynised h) the Statèmènt of FTnancial Acthrtles once thg ch8rty ha8 enluement to thè
ftjnds, Tt is probBble that the ino)me will be rece￿ed and the amount can bè mèasu￿1 reliabty.
Exp•ndlture
LiabillU&s arg rwnlsed as gxpendnure as so)n as there Is a legal or constructive obligatmjn
Comrnittyng thè charity to that expendiiure, it is probable that a transfer of economi¢ benefits wlll ba
required in sèttlèment and the amount of the obligation can be measured relrably. Expenditure Is
accounted foi on an 8￿rual$ basls and has bgen dassified under haadlngs th8t aggregate all cost
related to the category. Where c4)sts cannot ￿ directly attributed to particular haadings fhey have be&Th
allocated to activtbès on a basss conslstent ￿th the use of resources.
Taxatlon
The charity is exempt f￿rn wrporation tax on lis chatrliabla aclfvib8$.
Fund aettourrtlng
Vnrestiicted funds be used In aeeordancè wrth the charitable objectNes at the discretion of thè
trustees.
Restricted Ajnds can onty ba usad for partic￿ar restn"i¢ed purposès within the objects of the charity.
Restrictiorts arlse when specffied by the or when funds a￿ raised fLY partlcular reststwj
purposes.
Further eXp1ar￿On of Iha nature and purpose of each fund Is Inc]uded in the t￿te$ to tha finanryal
ststemants.
Pension costs and other postthrntirèmont benoffts
The charitable company OFerates a defined ctsntribution pension stheme. Contributions P8yatAe to tho
arilable ¢ompanys p8nsion sd)erne are charged to the Statèment of Financial Actfvffjes In the pericxj
to whi(* they relate.
TrusteÈs' remuneratltsn and b8nefrt¥
Thwe were no trustees. remuneratw or other b8n8fits for the year ended 31 March 2024 [￿r for the year
ended 31 fvlarch 2023.
Tn￿tees. èxpenses
There were no trustees. expenses pald for the yèar ended 31 March 2024 nor for tha yaar ended 31
March 2023.
Page 7
Contin￿d...

COMMUNMES FOR ALL CIO
NOTES TO THE FINANCLAL STATEMENTS * e¢ntlnuad
FOR THE YEAR ENDED 31 MARCH 2024
creditors: amounts falling due wlthln on¢ ygar
2024
2023
SO￿31 Security an¢J other taxes
Aecyued expenses
113
659
772
2,354
660
3,014
Movèmènt In funds
N•t
Transfvrs
between
funds
movèm•nt
in lund8
At 1A.23
31.324
Unrèstrlcted funds
General fund
145.039
8,481
114.7221
136.798
Rèstrlcted funds
Restrlcted
5,000
4.725
14.722
24.447
TOTAL FUNDS
150 039 a06
161245
Nel moveThrnl in fvrKl8. Included in the above are 88 fdlows..
Incoming
sources
Resoure•s
gxpgndgd
Movement
In fund$
Unrestrlcted fvTrJs
General futyj
22A32
115,9511
6,481
Restricted funds
R8Strict8d
76,834
172,1091
4,725
TOTAL FUNDS
99
comparativ￿ for movtment in funds
Net
movemgnt
in funds
At
31.3.23
AI 1A22
UDr¢strt¢tsd funds
Gèneral fund
99.196
45.843
145.039
Restricted fvnd¥
Restricled
5.000
5,0(
TOTAL FUNDS
99.196
50.843
150.039
Pagg 8
continuèd...

COMMUNIThES FOR ALL CIO
NOTES TO THE FINANCIAL STATEMENTS - ¢oniinued
FOR THE YEAR ENDED 31 MARCH 2024
Movement In funds- continued
Comparative net movament in fvn(ts. ￿dUded in the above are as folbws:
In¢omlng
rgsources
Resources
expended
Movement
In funds
Unrestrletèd fur
General fund
126.65S
180,8121
45.843
Restricted funds
Restricted
5.000
TOTAL FUNDS
131.655
80.812
Rglatgd party dlsclo$urns
Thgre were r￿ related party transact￿$ for the year ended 31 March 2024.
Page 9

COMMUNMES FOR ALL CIO
DETAILED STATEMEKf OF FINANCJAL ACTMTIES
FOR THE YEAR ENDED 31 MARCH 2024
2024
2023
Ineom& and endowments
Donatlons and legaciès
Gtfts
Donations
12383
12.383
26.658
26.657
Charltsble activities
Grants
Totsl incomlng rgsour¢•s
86,883
99.266
104.998
131,655
Exp•ndltu
Charltable actlvltT8$
Wages
Postsge and stationery
Sundries
Charitable expenditu
¢le8ning
Computer and IT
36,327
795
38250
661)
83
35,063
270
80
68.719
73.920
other
Pensitsn$
Rent
719
12,001
12720
403
10,000
10,403
Support costs
Governance costs
Accountancy and legal fee5
Total resources eynded
Ngt ineomo
1,420
1.690
Thls page does not form part of thè Sta￿t{￿Y financlaf statements
Pag& 10