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2022-12-31-accounts

Food 2 All Annual Re rt of the Trustees Forthe Yead Ended 31" December 2022 The Trustees present their report with the financial statements of the charity for the year ended 31 December 2022. The trustees have adopted the provisions of Accounting and Reporting by Charities". statement of Recommended Piactice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland. Objective and Activities The prevention or relief of poverty in the UK by providinB.' Food, items, and seNices to indwiduals in need and/or charities, or other organisations working to prevent or relieve poverty. Flnancial Remew This Charity wa5 able lo collect limited funds and due to the impact of Covid and cost of living increasing linflationl the activity during the period was constrained. Reference and Administrative Details Registered Charlty Number 1188563 Printipal Addres5 66, Norfolk Avenue Slough Berkshire SLI 3AD Trustees Mr. N A Bukhari Mr. S Khan Independent Examiner Three Leave5 Ltd chartered Certified Accountants Rockware Business Centre Office 16 5 Rockware Avenue Greenford U86 OAA

Stru(￿re, Governance and Management The charity is controlled by its governing document. a deed of trust and constitutes an unincorporated charity. Rtsk Management The trustees have a duty to identify and review ihe risks to which the charity is exposed and to ensure appropriate contfo15 are in place to provide reasonable assurance against fraud and error. Approved by the order of the trustees on 30, June 2023 and signed on its behalf by.. Mr. N Bukha ee

FOOD 2 ALL CHARITY NUMBER 1188563 ANNUAL RETURNS, ACCOUNTS AND TRUSTEES, ANNUAL REPORT (TAR) 31ST DECEMBER 2022

Annual accounts for the eriod Perio(J end date Period start dale 0110112022 To 3111212022 Section A Statement of financial activities lincluding summary income and expenditure account> Rostricted income lunds Unrestrlcted funds Endowm&nt funds Recommond•d ¢at•gorioB by activlty Total lunds Prior year funds Income (Nole 31 Income and èndowmenls ITOM.. Donations arK1 *gacies Chafitab￿ adiwlies F01 F02 F03 F04 F05 24.706 6,138 24,706 6,138 5,150 Other Iradtrrfj aclwrtie5 Covid Grani (Covid 191 Separale mater411 ilern of It￿)rne Olhtr Total Expendlture (Notes 61 Expendlture on= Raising f￿d$ Charilable Oonalion 10,193 30,844 30,844 15,343 1,500 4,500 17,607 6,290 1,500 4,500 17.607 6,290 2,500 6,000 4,899 Prernises Rent Electnc & Gas Olher Total 29,897 29,897 13,399 Net incomel{expenditurel before tax for the reporting period 947 947 1,944 Tax p4yats Net incomellexpenditure) after tsx before Investment gainslllossesl 947 947 1,944 Nel gainslllossesl on Inveslrnenls Net incomellexpenditurel Extraordinary items Transfers between funds Other recognlsed gainsl(losses): 947 947 1.944 Gains and1055es on revalu8iion ol fixed assets lor the ¢hairtVs use Ol￿r 9ainslllossesl Net movement in funds 947 947 1,944 Reconciliation of funds.. Tolal funds trfoughl forward 1,944 2,891 1,944 2,891 Total funds carried forward 1,944

1188583 Section 8 Balance Sheet ReBthcted Unrgstriclgd funds Endowmont Total thi8 fund$ year fund Totsl last y•ar Flxed assets Intangible a580ts Tanglble aSBets Heritage assets Investm•nts F01 F02 F03 F04 F05 (Note 151 INote 141 INotè 161 (Note 171 Total fixed assets Current assets Stock¥ INote 181 Debtors INoie 191 Inv•$tments (Note 17.41 Cash at bank and in hand (Note 241 Total current ass•is 2.891 2,891 2,891 1.944 Credltors: amounts falling du• within ong year (Note 201 Net current assetslfllablmties) 91 1,944 Tolal assets less current Ilabilltles 1.944 Creditorn.. amounts falllng due after one year INote 201 Provl8ion$ for Ilablllties Total net assets or liabilities Funds of the Charity Endowment funds INote 271 Re$triGted income funds (Note 271 Unrestrictsd fund8 Revaluallon reserve Fair ¥alu• r•8WVe 2,891 2,891 yo￿1 funds The company was enthled to exemprlon from audit under $477 ofthe Companles Aet 2006 relatlng to small ¢ompanies. The members have not required Ihe company to oblain an audfflt In accordaneè wllh section 476 of tho Companies Act 2006. The directors a¢*nowledge their respons1blll¢￿S for complylng wrth th• rèqulrements ofthw Companios Act with respect to accounting records and the preparalion olaccounls. These accounts have been preparedffln acconlance with Ihe provisions applieable to small companies subjecl to the small Gomponie5 regirne Jnd in accordance with FRS102 SQRP. Signerl ty one or bvo Iruslee51directors on behaK ol all Ihe Date of approval ddlmml Piinl N Mr Naseem Bu 3010612023 Cc17a_charita￿e_c0rnpany_Dec 2023

FOOD 2 ALL CHARITY NUMBER 1188563 ANNUAL RETURNS, ACCOUNTS AND TRUSTEES, ANNUAL REPORT (TAR) 31ST DECEMBER 2022

Annual accounts for the eriod Perio(J end date Period start dale 0110112022 To 3111212022 Section A Statement of financial activities lincluding summary income and expenditure account> Rostricted income lunds Unrestrlcted funds Endowm&nt funds Recommond•d ¢at•gorioB by activlty Total lunds Prior year funds Income (Nole 31 Income and èndowmenls ITOM.. Donations arK1 *gacies Chafitab￿ adiwlies F01 F02 F03 F04 F05 24.706 6,138 24,706 6,138 5,150 Other Iradtrrfj aclwrtie5 Covid Grani (Covid 191 Separale mater411 ilern of It￿)rne Olhtr Total Expendlture (Notes 61 Expendlture on= Raising f￿d$ Charilable Oonalion 10,193 30,844 30,844 15,343 1,500 4,500 17,607 6,290 1,500 4,500 17.607 6,290 2,500 6,000 4,899 Prernises Rent Electnc & Gas Olher Total 29,897 29,897 13,399 Net incomel{expenditurel before tax for the reporting period 947 947 1,944 Tax p4yats Net incomellexpenditure) after tsx before Investment gainslllossesl 947 947 1,944 Nel gainslllossesl on Inveslrnenls Net incomellexpenditurel Extraordinary items Transfers between funds Other recognlsed gainsl(losses): 947 947 1.944 Gains and1055es on revalu8iion ol fixed assets lor the ¢hairtVs use Ol￿r 9ainslllossesl Net movement in funds 947 947 1,944 Reconciliation of funds.. Tolal funds trfoughl forward 1,944 2,891 1,944 2,891 Total funds carried forward 1,944

1188583 Section 8 Balance Sheet ReBthcted Unrgstriclgd funds Endowmont Total thi8 fund$ year fund Totsl last y•ar Flxed assets Intangible a580ts Tanglble aSBets Heritage assets Investm•nts F01 F02 F03 F04 F05 (Note 151 INote 141 INotè 161 (Note 171 Total fixed assets Current assets Stock¥ INote 181 Debtors INoie 191 Inv•$tments (Note 17.41 Cash at bank and in hand (Note 241 Total current ass•is 2.891 2,891 2,891 1.944 Credltors: amounts falling du• within ong year (Note 201 Net current assetslfllablmties) 91 1,944 Tolal assets less current Ilabilltles 1.944 Creditorn.. amounts falllng due after one year INote 201 Provl8ion$ for Ilablllties Total net assets or liabilities Funds of the Charity Endowment funds INote 271 Re$triGted income funds (Note 271 Unrestrictsd fund8 Revaluallon reserve Fair ¥alu• r•8WVe 2,891 2,891 yo￿1 funds The company was enthled to exemprlon from audit under $477 ofthe Companles Aet 2006 relatlng to small ¢ompanies. The members have not required Ihe company to oblain an audfflt In accordaneè wllh section 476 of tho Companies Act 2006. The directors a¢*nowledge their respons1blll¢￿S for complylng wrth th• rèqulrements ofthw Companios Act with respect to accounting records and the preparalion olaccounls. These accounts have been preparedffln acconlance with Ihe provisions applieable to small companies subjecl to the small Gomponie5 regirne Jnd in accordance with FRS102 SQRP. Signerl ty one or bvo Iruslee51directors on behaK ol all Ihe Date of approval ddlmml Piinl N Mr Naseem Bu 3010612023 Cc17a_charita￿e_c0rnpany_Dec 2023