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2023-12-31-accounts

Cheltenham Bridge Club Trustees Annual Report and Accounts For the year ending 31 December 2023 Cheltenham Bridge Club CIO Registered Charity 1188825

Contents

Report of the Trustees ....................................................................................................................... 3 Governing Document .......................................................................................................................... 3 Objectives and Activities ..................................................................................................................... 3 Governance and Management ........................................................................................................... 3 Achievements and Performance ......................................................................................................... 4 Membership ........................................................................................................................................ 5 Premises .............................................................................................................................................. 5 Reserves .............................................................................................................................................. 5 Declaration .......................................................................................................................................... 6 Independent Examiners’ Report to The Directors of The Trustee Company ......................................... 7 Respective responsibilities of trustees and examiner ........................................................................ 7 Basis of independent examiners’ report ............................................................................................. 7 Independent examiners’ statement ................................................................................................... 7 Statement of Financial Activities ........................................................................................................ 8 Balance Sheet .................................................................................................................................. 10 Cash Flow Statement ....................................................................................................................... 12 Statement of Accounting Policies ..................................................................................................... 13 Notes to the Financial Statements .................................................................................................... 15

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 2

Report of the Trustees

Governing Document

Cheltenham Bridge Club is a charitable incorporated association (CIO) which operates under a Constitution registered with the Charity Commission on 31 March 2020 and modified on 12 May 2021 and 27 April 2022. This Constitution closely follows guidance from the Charity Commission and the English Bridge Union. The registration number for the charity is 1188825. It is constituted under the law of England & Wales and operates in that jurisdiction.

The Constitution provides that the trustees of the Club shall manage the affairs of the Club and may for that purpose exercise the powers of the Club in accordance with its Constitution. The Constitution provides that there shall be a minimum of five trustees and a maximum of seven.

Pursuant to Clause 25 of this Constitution, the CIO has instituted Rules, approved by the members, for running the operation. Under these Rules, day-to-day operational details are delegated to a Management Committee, who are responsible for implementing decisions ratified by the trustees.

Objectives and Activities

Cheltenham Bridge Club (the Club) owns and maintains premises for the purposes of providing bridge playing opportunities for its beneficiaries, and for the teaching of bridge.

The objectives of the Club, as set out in the Constitution, are:

Governance and Management

The operational activities of the CIO started on 1 May 2021 when it acquired the undertaking and all the assets and liabilities of Cheltenham Bridge Club, an unincorporated association, as a result of a vote of the members of the unincorporated association on 28 April 2021 to transfer the undertaking, assets and liabilities to the CIO.

Membership of the Club is open to anyone who is interested in furthering its purposes and accepts the responsibilities of membership set out in the Rules.

The trustees, officers and Management Committee are elected by the members of the Club at the Annual General Meeting of the Club. The officers of the Club are the Chairperson, Secretary and Treasurer. The officers are members of the Management Committee and the Chairperson and Treasurer are trustees of the Club by virtue of their respective offices. In addition, there are up to five independent trustees who are not members of the Management Committee.

The elected charity trustees shall hold office for a term of three years and may stand for re-election a further two times. Vacancies arising among the elected charity trustees may be filled by election by the members of the Club at the Annual General Meeting. During the year, additional or replacement trustees may be appointed by the members of the Club or of the other trustees of the Club. The maximum number of trustees is seven.

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 3

In planning the Club’s activities, the trustees kept in mind the Charity Commission’s guidance on public benefit.

The Club is affiliated to the English Bridge Union (registered company number 358588) and, by virtue of this affiliation, members of the Club are also members of the Gloucestershire Bridge Association.

Trustees

The officers and trustees of the Club at 31 December 2023 were:

 Alan Wilfred Wearmouth Chairperson of Trustees Became a trustee on 28 April 2021

 Helen Janet Bryant Secretary of Trustees Became a trustee on 28 April 2021

 Jacqueline Saitch. Treasurer of the Club, and ex officio Trustee. Became a trustee on 13 May 2023

During the year ending 31 December 2023 the following individual was a trustee of the Club as set out below:

 John Tobias Royan Roberts 18 October 2022- 13 May 2023 All trustees were briefed on the role of trustees of Cheltenham Bridge Club, given copies of the governing documents of the Club, and referred to the guidance on the Charity Commission website relating to becoming a trustee and to the guidance on public benefit.

Policies for trustee recruitment, training and induction are in the process of development.

Achievements and Performance

The Club’s success in attracting existing and new members back to face-to-face play has been gradual but steady. By the end of the year, numbers playing face to face has increased dramatically and online has sadly diminished accordingly. The Club continues to provide and promote regular sessions of online bridge both at “gentle” and competitive level. Including both face to face and online sessions, the Club hosted 5077 tables of bridge in 2023, an 8% increase compared with 2022.

The Club held its annual Bournemouth Bridge Holiday in January 2023 (which was sold out) and in August 2023 the 2023 Cheltenham Congress was held at Deans Close School, run jointly by the Club and the Gloucestershire County Bridge Association.

Bridge tuition at all levels has remained a core activity during the year. The Club offers an introduction to Bridge for beginners, tuition and mentoring for developing players, “gentle bridge” sessions for less experienced players, “Bridge in a Weekend” courses and refreshers for those who may be out-of-practice. The “Tweak to Transform” seminars and playing practice sessions have proved extremely popular with 188 players attending seminars and 138 participating in practice sessions.

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 4

The Club’s activities have been greatly assisted by willing volunteers, all of whom fulfil vital roles in the Club’s operation, and to whom we are very grateful. The Club’s growth in numbers attending face-to-face sessions – 16 tables or more is now the norm - is only possible due to many volunteers undertaking activities such as Directing, Scoring, and providing refreshments at bridge sessions as well as membership of the Trustee Board and Management Committee and behind the scenes activities such as duplimating, and, of course, the maintenance of the building. The table money collected has doubled from the year previous as have the costs affiliated to the increased numbers. But overall the Club is in a very good place.

Membership fees and table money are determined by the membership at the Club’s Annual General Meeting. No change was made at the 2023 AGM.

Membership

At the end of the year 2023 there were 524 full members and 32 Student members – 556 members of the CIO. in addition, there were 24 online fee paid visitors. (In 2022 there were 536 full members and 2 Students - 538 members of the CIO and 27 online fee paid visitors).

Premises

The Club is the registered owner of freehold premises at 4 Tivoli Road, Cheltenham GL50 2TG. The Club’s principal office is at this address

Reserves

The Trustees consider it is appropriate to provide for the retention of reserves as follows:

Strategy

The Club’s medium-term strategy remains under review, building on the Strategy Report formulated in 2022.

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 5

Financial

The club remains in a healthy financial position.

Declaration

The Trustees declare that they approve the report and accounts for the period ending 31 December 2023 on 26[th] March 2024.

Signed ............................................................

Alan Wearmouth, Chairman on behalf of the Trustees

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 6

Independent Examiners’ Report to The Directors of The Trustee Company

FOR THE YEAR ENDED 31 DECEMBER 2023

I report on the accounts of Cheltenham Bridge Club for the year ended 31 December 2023, which are set out below.

Respective responsibilities of trustees and examiner

The trustees are responsible for the preparation of the accounts. The trustees consider that an audit is not required for this year (under section 144 of the Charities Act 2022 (the Act)) and that an independent examination is needed. It is my responsibility to:

Basis of independent examiners’ 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 the 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 examiners’ statement

In connection with my examination, no material matter has come to my attention which gives me cause to believe that, in any material respect:

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 accounts to be reached.

………………………………

Martin Howard FCA Date: ……………..

Hazlewoods LLP Chartered Accountants

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 7

Statement of Financial Activities

Cheltenham Bridge Club CIO

For the year ended 31 December 2023

Income from charitable activities
Joining Fees and Subscriptions
Table Money
UMS in table money
Online income
Online costs
Learners’ sessions
Training Income
Training fees
Catering, Stationery & Courses
Net Training Income
Rental Income
Bar income
Catering costs
Net bar costs
Special events
Holiday Income
Donations and Fundraising
Investment Return (Congress)
Other Income
Total Income
2023
£
income
10,882
47,102
10,269
3,392
17,315
2,948
-
1,123
4,441
256
1,200
1,856
2023
£
direct
costs
-8,099
2023
2022
£
£
net
income
10,882
11,070
26,354
39,003
25,856
5,740
3,392
1,865
21,584
10,286
2,948
2,051
28
-1,400
1,584
1,123
4,441
4,540
256
164
1,200
600
1,856
240
2023
2022
£
£
net
income
10,882
11,070
26,354
39,003
25,856
5,740
3,392
1,865
21,584
10,286
2,948
2,051
28
-1,400
1,584
1,123
4,441
4,540
256
164
1,200
600
1,856
240
2022
£
direct
costs
-3,962
-12,461
-8,437
-463
2022
£
net
11,070
22,392
13,395
1,865
12,684
2,051
-15
834
4,540
164
600
240
£69,820
-4,529
-6,417
-612

-1,400
-43
0 -750
100,784 79,727 £95,936

Expenditure is shown on the next page

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 8

Expenditure
Note
Bridge Stationery
Equipment Repairs and Maintenance
IT Consultancy Costs
Other IT Costs
Cafe costs
Prizes and Entry Fees
Directors Course Costs
Depreciation, Bridge Equipment
3
Total Bridge Costs
Building Repairs and Maintenance
Air purifiers
Contingency reserve
Depreciation, Plant and Other Equipment
3
Cleaning
Insurance
Water Rates
Telephone and Internet
Utilities
Total Occupancy Costs
Bookkeeping and Accountancy Fees
Professional Services
Total Administrative Costs
Members' Loans Interest
Youth Bridge Costs
iZettle and bank charges
Payments to charities from events
Sundry Expenses
Total Other Costs
Total Expenditure
Surplus from charitable activities
2
2023
782
373
306
1,174
849
192
180
1,447
£5,303
25,413
0
10,000
3,724
10,498
2,578
1,941
600
3,311
£58,065
1,342
73
£1,415
0
190
210
259
236
£895
£65,678
£14,049
2022
79
1,943
263
1,179
892
137
825
803
£6,121
9,036
3,594
0
4,052
8,963
2,336
1,775
600
3,282
£33,638
318
870
£1,188
1,036
0
177
561
285
£2,059
£43,006
£26,814

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 9

Balance Sheet

Cheltenham Bridge Club Charitable Incorporated Organisation

As at 31 December 2023
Fixed Assets
Investment
Tangible Assets
Buildings
Plant
Bridge Equipment
Other Equipment
Furniture & Fittings
Total Tangible Assets
Total Fixed Assets
Bar Stocks
Debtors and Prepayments
Debtors
Accrued income
Prepayments
Total Debtors and Prepayments
Cash at Bank and in Hand
Deposit Account
Current Accounts
Total Cash at Bank and in Hand
Total Current Assets
2023
£
2300
217,236
7,521
5,662
189
5,483
236,091
238,391
-
-
502
666
1,168
155,996
15,090
171,086
172,254
2022
£
500
217,236
10,027
4,995
297
4,982
237,537
238,037
64
48
1,300
494
1,842
81,208
36,806
118,014
119,920

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 10

Liabilities

Current Liabilities
Accounts Payable
Accruals
2024 Subscriptions/Training in Advance
Member Deposits
Holidays Holding Account
VAT
Total Current Liabilities
Net current assets
Net Assets
Unrestricted funds
See note 2
Surplus Brought Forward
Surplus for the Year
Surplus Carried Forward
1,466
4,680
13,420
9,112
26,000
4,503
59,181
113,073
351,464
307,415
44,049
£351,464
932
3,393
11,048
8,546
24,220
2,403
50,542
69,378
307,415
280,601
26,814
£307,415

The financial statements set out on pages 9 to 15 were approved by the Trustees on 26[th] March 2024 and were signed on its behalf by:

Alan Wearmouth

Chair of Trustees

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 11

Cash Flow Statement

Cheltenham Bridge Club Charitable Incorporated Organisation

For the year ending 31 December 2023

Cash flows from operating activities
Net surplus from operating activities
Add back depreciation
Purchase of fixed assets
Cash surplus from operating activities
(Increase)/decrease in stock
(Increase)/decrease in debtors
Increase/(decrease) in reserves
(Decrease)/increase in creditors
(Decrease)/increase in VAT due to HMRC
Cash flows from financing activities
Repayment of members loans
Net change in cash
Cash and cash equivalents at 1st January
Cash and cash equivalents at 31st December
2023
£
14,049
5,171
-3,724
15,496
64
-1,126
30,000
6,538
2,100
53,072
0
53,072
118,014
171,086
2022
£
26,814
4,854
-5,340
26,328
-64
1,648
0
2,150
-836
29,226
-43,000
-13,774
131,788
118,014

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 12

Statement of Accounting Policies

The principal accounting policies have been applied consistently in dealing with items which are considered material in relation to the CIO’s Financial Statements.

Basis of preparation

The Financial Statements have been prepared in accordance with the Statement of Recommended Practice ‘Accounting and Reporting by Charities’ (update bulletin 1 applying FRS 102) and the Charities Act 2022. They have been prepared on the historical cost convention. The format of the Statement of Financial Activities has been simplified when compared with last year, to enable members to see more easily the performance of the club.

Going concern

The trustees of the charity believe that the charity has adequate resources to continue in operational existence at for at least 12 months from the date the report and accounts are approved and continues to use the going concern basis of accounting in preparing the annual Financial Statements.

Fund accounting

Unrestricted funds are the charity’s general funds that are available for use at the trustees’ discretion in furtherance of any of the charity’s objectives. Within the unrestricted funds is a designated fund that relates to the legacy received by Cheltenham Bridge Club from the late Derek Rue. These funds have been set aside for training and refurbishment purposes. The movements in this designated fund during the year are shown in note 2 to the accounts.

Incoming resources

All income is recognised once the CIO has entitlement to the funds, it is probable that the income will be received and the amount of income can be measured reliably. Holiday deposits are held in a holding account and recognised as income once the holiday has taken place. Payments into player accounts are recognised as income when the player has taken part in a chargeable session. Income from Bridge Base Online is recognised on an accruals basis.

Expenditure

Expenditure is recognised when a liability is incurred, when there is a legal or constructive obligation committing the charity to the expenditure and the obligation can be measured reliably.

Tangible fixed assets and depreciation

The CIO owns the freehold property at 4 Tivoli Road, Cheltenham, Gloucestershire, GL50 2TG. The property is an operational asset and is stated at a historic carrying value. In the opinion of the Trustees, the open market value of the premises at 4 Tivoli Road is considered to be in excess of £1.3million.

Other tangible fixed assets, comprising plant (principally the lift) office and bridge furniture and playing equipment (see note 3), are stated at cost less accumulated depreciation. The CIO capitalises assets with a cost of £500 or more and an expected useful life of at least three years.

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 13

Depreciation for assets other than the freehold property is charged on a straight-line basis at the following rates:

following rates:
Plant and machinery 10 years
Fixtures and fittings 10 years
Bridge and other equipment 5 years

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 14

Notes to the Financial Statements

Year ended 31 December 2023

1. Trustee remuneration, staff costs and contribution made by volunteers

During the period under review

i) no remuneration nor any expenses were paid to any of the Trustees. ii) no staff were employed iii) the CIO was managed and operated entirely by volunteers

The teaching programme was delivered by self-employed tutors, the cost of which is shown as “training fees” in the Statement of Financial Activities.

The work of the management committee, and day to day directing of bridge sessions (with the exception of one weekly online session) were performed by volunteer members of the CIO. Without the contribution made by volunteers, it is likely that the CIO would have had an excess of expenditure over income.

2. Unrestricted funds allocation

General Fund
Maintenance Reserve
Contingency Reserve
Derek Rue Training Fund
Derek Rue Refurbishment Fund
Surplus
at start
of year
Allocation
for the
year
Surplus
carried
forward
301,194
14,049
315,243
0
20,000
20,000
0
10,000
10,000
5,816
0
5,816
405
0
405
£307,415
£44,049
£351,464

The maintenance reserve is made up of £20,000 set aside for large scale maintenance to the premises at 4 Tivoli Road.

The contingency reserve is made up of £10,000 set aside for any unforeseen short- or medium-term cessation, or forced relocation, of the bridge-playing and teaching activities taking place in the Club premises.

The Derek Rue training and refurbishment funds are in relation to a legacy payment from said individual, to be utilised for specific training and refurbishment costs.

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 15

3. Fixed Assets

The building represents the club premises which is an operational asset and is carried at historical cost. In the opinion of the trustees, the open market value of the club premises is in excess of £1.3 million

Cost
Balance b/f
at 1.1.23
Additions
Disposals
Balance c/f
at
31.12.23
Depreciation
Balance b/f
at 1.1.23
Charge for the period
On disposals
Balance c/f
at
31.12.23
Net book value
at
31.12.23
Net book value
at 1.1.23
Building
Plant
(lift)
Furniture
&
Other
Bridge
Total
Fittings
Equipment
Equipment
£
£
£
£
£
217,236
25,067
26,158
4,284
18,540
291,283
-
-
1,610
-
2,114
3,724
-
-
-1,000
-2,118
-3,118
217,236
25,067
26,768
4,284
18,536
291,891
-
15,040
21,176
3,987
13,545
53,748
-
2,506
1,109
108
1,447
5,170
-
-1,000
-2,118
-3,118
-
17,546
21,285
4,095
12,874
55,800
217,236
7,521
5,483
189
5,662
236,091
217,236
10,027
4,982
297
4,995
237,537

Investment in Congress

2300

238,389

The investment represents the joint venture with Gloucestershire County Bridge Association to run the Cheltenham Bridge Congress. This is stated at cost. Cheltenham Bridge Club has accounted for its share of the net assets and profits of Cheltenham Bridge Congress during the year.

Annual Report to the Charities Commission 1.1.23 – 31.12.23

Page 16