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2022-06-30-accounts

EXAMINED ACCOUNTS & TRUSTEES ANNUAL REPORT

ATHENLAY FOOTBALL CLUB

FOR THE YEAR 1 JULY 2021 TO 30 JUNE 2022

(SUBMITTED TO CHARITY COMMISSION 31 JANUARY 2023)

Registered Charity Number 1189912

REGISTERED ADDRESS

80 Silvester Road London SE22 9PF

CHARITY INFORMATION

A charitable incorporated organisation whose only voting members are its trustees.

THE NAMES OF THE TRUSTEES WHO MANGE THE CHARITY

Trustees: Paul Parker
Carol Squires
Mark Budd
Gary Rush
Lorraine Willmott
Michael Crane
Donald Forde
Secretary: Donald Forde (acting)
Chairman: Pauk Parker
Treasurer: Carol Squires
Club Welfare Officer: Lorraine Willmott
Charity Number: 1189912

TRUSTEES’ ANNUAL REPORT FOR THE PERIOD

From 1 July 2021 to 30 June 2022

Charity name: Athenlay Football Club

Charity registration number: 1189912

Objectives and Activities
Summary of the purposes of
the charity as set out in its
governing document
The Club’s objectives are to provide sports, recreational and leisure-
time activities for young people aged between 5 and 18 years of age.
In particular, the playing of association football, provided in the
interests of healthy living, social well-being and improving quality of
life and opportunity. The area of benefit is primarily the London
Borough of Southwark and adjoining Boroughs
Summary of the main activities
in relation to those purposes
for the public benefit, in
particular, the activities,
projects or services identified in
the accounts.
Bi-weekly fitness and football training for all young people not just
those in competitive teams. We have 21 teams with almost 500
male and female players.
We have developed a vibrant drop-in soccer school running every
Saturday and during school holidays attended by over 200 non-team
members over the year.
Statement confirming whether
the trustees have had regard to
the guidance issued by the
Charity Commission on public
benefit
The trustees have acted with full regard for the guidance issued by
the Charity Commission regarding public benefit
Achievements and Performance
Summary of the main
achievements of the charity,
identifying the difference the
charity’s work has made to the
circumstances of its
beneficiaries and any wider
benefits to society as a whole.
We have provided over 30,000 hours of footballing opportunities for
young people since June 2021 even allowing for the lockdowns as a
result of Covid. This has boosted physical and mental health of
participants and helped their families cope with the pandemic.
We have provided 15 financial bursaries to low income families.
Financial Review:
Review of the charity’s financial
position at the end of the
period
We have maintained a healthy cash flow and made a small
surplus of income over expenditure. We were fortunate to
receive Covid Support Grants from the London Borough of
Southwark
Statement explaining the policy
for holding reserves stating why
theyare held
We hold reserves to offset future facilities’ costs and coaching
development
Amount of reserves held £130,000.00
Structure, Governance and Management Structure, Governance and Management
Type of governing document Foundation Model Rules
How is the charity constituted?
(e.g unincorporated
association,CIO)
Charitable Incorporated Organisation
Trustee selection methods
including details of any
constitutional provisions e.g.
election to post or name of any
person or body entitled to
appoint one or more trustees
Trustees are appointed by the Board

This report has been prepared in accordance with The Charities Commission Guidance. The Report was approved by the Charity’s Trustees and signed on their behalf by

Paul Parker, Chair and Trustee

31 July 2022

Income and Expenditure (Profit & Loss) for Year 1 July 2021 to 30 June 2022

Current Year Prior Year
Income 2021-2022 2020-2021
Registration & Subs Received (Net of refunds and bursaries) £63,862.12 £44,697.26
Southwark Covid Grants £0.00 £19,294.29
Charitable Aid (Sponsored Walk) £0.00 £6,865.74
Sale of Kit £13,197.52 £5,905.63
Football Foundation Pitch Grant £3,115.00 £500.00
Income from Mini-kickers / Wildcats £8,714.00 £0.00
Income from Development sessions and AstroPitch use £0.00 £9,325.47
Income from Holiday programmes £4,168.00 £2,925.00
Income from Walking Football £1,792.24 £0.00
Jack Petchey Foundation £4,700.00 £1,500.00
Mid-week Programme £2,550.00 £0.00
Income from Sweet Cs Food offer £1,500.00 £875.00
Income from Film Company £2,150.00 £600.00
Refund of historical DD to DVLA £0.00 £257.25
London Sports Satellite Clubs £0.00 £0.00
Interest on bank account £1.01 £0.79
PayPal test £0.00 £0.01
Player Fines recovered £51.00 £96.00
Subtotal £105,800.89 £92,842.44
Expenses
Grounds Maintenance Grass Pitches -£22,381.75 -£9,209.21
Kit and Equipment (Includes Covid stuff) -£19,821.83 -£1,971.52
External pitch hire -£9,752.04 -£17,674.27
Electricity -£5,402.23 £0.00
SELKENT Registration & fines -£4,061.65 -£5,362.40
Coaching -£4,840.00 -£3,218.89
Referee fees -£1,894.79 £0.00
Awards Day costs -£5,437.52 £0.00
Refund to Sport England £0.00 -£4,459.00
Items for Clubhouse and Administration -£1,512.70 -£4,622.50
London FA Registration affiliation and fines -£1,340.50 -£473.00
Player Fines -£251.99 -£105.00
Tamdridge league (Girls) -£638.00 -£120.00
Jack Petchey Awards -£4,274.39 -£1,186.09
Subs refunds -£4,113.90 -£1,560.00
Safeguarding (My Concern) -£954.00 -£90.00
Catering for events and Meetings -£158.78 -£738.78
New Laptop -£640.98 -£451.14
Website -£314.20 £0.00
Water Rates -£944.79 £0.00
Insurance -£451.14 £0.00
Managers Training -£365.89 £0.00
Charitable donation -£506.90 -£600.00
Travel -£2.90 £0.00
Subtotal -£90,062.87 -£54,573.05
Gross Profit £15,738.02 £38,269.39

Balance Sheet as at 30 June 2021

Current Assets
Cash in hand & at the bank Barclays Community Account £15,738.02
Cash in hand & at the bank Barclays Premium Account £8,152.06
Cash in hand & at the bank Lloyds Treasurers Account £61,781.08
Owed by Thames Water for pitch restoration £0.00
Value of Kit & Equipment held £3,000.00
£126,035.75
Current Liabilities
Subs refunds due in July 2021 £3,000.00
Jack Petchey Foundation £313.91
Other creditors £0.00
£3,313.91
Total of Assets less Liabilities £122,721.84
Bank Reconciliation as at 30 June 2022
Opening bank balances 1 July 2021
Lloyds Treasurers Account £42,621.76
Barclays Community Account £40,494.20
Barclays Premium account £1,650.40
iZettle Balance £200.00
COVID Mitigation Grant £19,294.29
Trading surplus £18,975.10
£123,235.75
Closing Balances
Lloyds Treasurers Account £61,781.08
Barclays Community Account £53,102.61
Barclays Premium account £8,152.06
iZettle Balance £200.00
£123,235.75

Independent Examination

The above balance sheet as at 30 June 2021 together with the Income and expenditure account for the year ended on that date, is in accordance with the Treasurers books, accounts and vouchers which I have examined and are, in my opinion, correct. Signed Joshua Leigh Dated 31 July 2022