Trustees. Annual Report for the period
Pencmj slart dale
Pwiod end dale
)23
2024
From
Section A
Reference and administration details
Charity name
Cefn Golau Together Association
Other names ¢harity is known by
Cefn Golau Tty3ether (Working Name)
Registered charity number {rf any)
1194406
Charlty's prlnclpal address
Aneurin Bevan House
40 Castle St
T￿degar
Postcode
NP22 3DQ
Names of the charity trustees who manage the charity
Dales acled rf not for who
Trust￿ name
Office Ilf any)
Namp of persgn lor body) entJtl¢d
toa
trust
ifan
E. Dyte
K. Hughes
H. Trollope
J. Mills
Chair
VI￿-Chair
Treasurer
J. James
A. Williams
Appointed 284J2-2024
ResKJned 02-10-2023
R. Roberts
10
12
13
14
15
16
17
18
19
20
Names of the trust•os for the charity, rf any, (for éxampl•. any custodian trustees)
Name
Dates acted rf not for whole
ear
TAR
March 2012

Names and addresses of advisers {Optional infomiation)
Jpe of adviser
Address
Name of chief executive or names of senior stsff mernbers (Optional InfO￿ation)
Section B
Structure,
overnance and mana
ement
Description of the charity's trusts
Constituthjn
Type of goveming document
How the charity is constituted
FOunda￿n CIO
Trustee selection methcrfjs
Appointment by resoiution of the Trustees
Additional governance issues {Optional infornmlion)
YOLJ may choose to include
additional information, where
relevant, aboLrt=
policies and procedures
adopted for the induction and
training of trustees.,
the charity's organisational
structure and any wider
network wilh which the charity
• relationship with any related
parties.,
tnJstees' consideration of
major risks and the SyBtem
and procedures to manage
them.
Section C
Ob'ectives and activities
The prevenbon of poverty and Ihe relief of those in need, hardship or
distress in the o)mmunity of Cefn Golau.
Summary of the objects of the
charity sot out in its
governlng document
To promote the conservatw)n. proteth'on and improvement of the physical
and rkilural environm8nl.
To further or beneftt the residents of Cefn Golau and the neighbourhood.
without distinction of sex. sexual orientstion. ra￿ or of political, religious
or other opinions by associating together the said residents and the local
authorits'es, voluntary and Ott￿r oroanisalions in a common effort to
TAR
March 2012

advan￿ education and to provide facilities in th8 interests of social
welfare lor recreation and leisure time occupation with the objective of
improving Ihe condilions of life for the resKJents.
Workéd wth partners to operate a community house and community
garden on the Cefn Golau estsle Delivered projecls including free food
parcels. coffee momings. chikjrens sport session. children5 garden craft
sessions. free summer Fun Day and organi5ed social trips.
In all actiwlies undertaken the Trustees have had regard lo the gumjance
issued by the Charity CommissTron on public benefit.
Summary of the maln
activities undertaken for thè
public bonefit in relation to
these objects (include within
this section the ststutory
declaration that trustees have
had regard to the guidance
issued by the Charity
Commission on publlc
benefrt)
Additional details of objectives and activitios {Optional infomialion)
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March 2012

You may choose lo indL#de
further statements. where
relevant, about..
policy on grantmaking"
policy programme ￿lated
investment-
contribution made by
volunteers.
Section D
Achievements and performance
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March 2012

Section D
Achievements and performance
Worked throughout the period with our key partners.. Building
Communities Trust. Coalfields Regeneration Trust, Cefn Golau Tenant'5
& Resident's Associatw)n, Tai Calon. Game On, Aneurin Leisure Trust
and Keep Wales Tidy to deliver serVI￿S and activities to residents of the
Cefn Golau estate.
Summary of the main
achievements of the charity
during the year
Worked in Partnetship with Tai Calon and Cefn Golau Tenants &
Residents Association to operate a Community house at 87 Atlee Way.
Cefn Golau. This venue was used as a base of operation. to house staff
and host prc¥ects. actiV51ies visiting servI￿s.
Worked in Partnership vnlh Keep Wales TKIY. TAFY and Social Famis &
Gardens to ueate and maintained a communty garden at the community
house.
Worked in Parlnership with Blaenau Gwent County Borough Council to
deliver a children's garden craft dub and use the comrnunity house as a
warm hub and deliver Cuppa and Company sessions.
Worked in Partnership with Game On to deliver children's Sport & Snack
sessi¢)n throughout schwl half-temis and summer holidays.
Worked in partnership Coalfields Regeneration Trust to organise and
deliver a Community Fun Day with free activities, rides and food and
pursue a new buikl community ￿ntre project.
Maintained a MUGA on the estste for public use.
Distributed free fcth parcels to residents to alleviate the cost of living
crisis.
Sewred Police and Crime Commissioner's funding lo employ a Growing
Cl￿rdinal0r to lead and develop environmental and fcM)d projects.
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March 2012

Section E
Financial review
The Irustees will maintain a general reserve of up to 1 years operating
costs. This policy will be reviewed annually.
Brief statement of the
charity's policy on reserves
Details of any funds materially WA
in deficit
Further financial review details (Optional infonnation)
You may choose to include
additional infomiation, where
relevant about".
the charity's prinGipal
sources of funds (including
any fundraising);
how expenditure has
supported the key objectives
of the charity.,
investment policy and
objectives including any
ethical investment tM)Iicy
adopted.
Section F
Other optional information
Section G
Declaration
The trustees declare that they havo approved the trustees. report abovè.
Signod on behalf of the charity's trustees
Signaturels)
Full namels)
Position (eg Secretary. Chair.
otc)
kA¥¢W f/2oLugE
Date
2?-03-24
TAR
March 2012

Cefn Golau Together Association
(Cefn Golau Together)
A Charitable Incorporated Organisation (CIO)
'• CEFN GOLAU
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Trustees Report and Financial Statements
Financial period 01-9-2023 to 31-08-2024
Charity Number 1194406
Company Number CE025923

'• CEFN GOLAU
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Trustee Report and Financial Statements
Financial period ol-￿2023 to 31-0&2024
C¢>ntents
Page
Legal and Administrative Information
Trustees Reporl
Accounts for the Financial Peritsj
Balance Sheet
Income
Expenditure
Notes fomiing part of the firkgnaal ststements
10
Independent examiners reports
12
21 Page

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TOGETHER
Cefn Golau Together
Trustees report for the Financial period ol-￿2023 to 31￿2024
Legal and Administrative Infornmtion
Oryanlsatlon & Structure
Charity Narne.. Cefn Golau Together A5socialion (Working name Cefri Golau Togeth8r)
Structure: Foundation Model Charitable Incorpcrdted Organisation
Charity registration nurnber: 1194406
Company registratKJn number: CE025923
Registerod Office
Aneurin Bevan House. 40 Castle St. Tredegar NP22 3DQ.
Operational address
The Communily House. 87 Attlee Way, Cefn Golau. Tredegar, NP22 3TD
Contact
infD@cefntogether.org
Management Committee
E. Dyte
K. Hughes
H. Trollope
J. Mills
J. Jame5
A. Williams
R. Roberts
Chair
Vice-chair
Treasurer
Appointed 28-02-2024
Resigned 02-10-2023
Bankers
Smart Money Cymnj, Aneurin Bevan House, 40 Caslle St. Tredegar NP22 3DQ.
The Co-operative Bank plc. P.0. Box 101. 1 Ball¢xtyn Street. Manchester. M60 4EP
Bankers

"• CEFN GOLAU
• • • ¥ TOGETHER
Trustee Report and Financial Statements
Financial period 01-9-2023 to 31-08-2024
Aims and Objectives
Cefn Golau Together is a FOundat￿n model Charitable Incorporated Organisation.
It operates according to is constitution, wistered with the Chartty CommissH)n on 10th May 2021.
amended 10th June 2022
Vision
That all residents liwng in Cefn Golau enjoy a h￿h quality of life. are able lo achieve their economi¢, social
and educational goals, and are part of a strong. prosperous and caring I￿al community.
Objects
The prevention of povety and the relief of those in need, hardship or distress in the community of Cefn
Golau.
To promote the conservation, protection and improvement of the physical and natural environment.
To further or benefit th8 residents of Cefn Golau and the ne￿hbourtj0O￿, without distinction of sex, sexual
orientalion. race or of polilical. religious or other opinions by associating together the said residents and the
local aulhorities, voluntary and other organisations in a common effort to advance education and lo provide
facilities in the interests of social welfare for recreatM)n and leisure time occupation with the objective of
improving the ¢ondits'ons of lrfe for the residents.
Planning and delivery
Cefn Golau Togelher are part of the Building Communities Trust- Invest Local programme. As part of this
programme we work to a 3 year Driving Change Plan.

CEFN GOLAU
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Trustee Report and Financial Statements
Financial period 01-&2023 to 31-0&2024
Trustees Rewt
The Management Committee presents ils Twstee's report for the Financial peric¥J 01-9-2023 - 31-08-2024.
Main Activities Undortaken
Worked throughout the period with our key parlnets.. Building Communities Trust, Coalfields Regeneration
Trust, Cefn Golau Tenant's & Resident's Associats'on. Tai Calon, Game On, Aneurin Leisure Trust and
Keep Wales Tidy to deliver services and activities to residents of the Cefn Golau estate.
Worked in Partnership with Tai Calon and Cefn Golau Tenants & Residents Association to operate a
Community house at 87 Atlee Way. Cefn Golau. This venue was used as a base of operation. to house
staff and host projeds. activilies arKI wsiting services.
Worked in Partnership with Keep Wales Tbjy, TAFY and Social Fams & Gardens to create and maintained
a community garden at the community house.
Worked in Partnership with Blaenau G%venl County Borough Council to deliver a children's garden craft
club and use the community house as a wa￿n hub and deliver Cuppa and Company sessions.
Worked in Partnership with Game On to deliver thildren's SpM)rt & SnaGk session throughout schcyJl half-
temis and summer holidays.
Worked in partnership with Coalfiekls Regeneration Trust to organise and deliver a Community Fun Day
bwth free activities. rides and food and pursue a new build community cenlre project.
Maintained a MUGA on the estate for public use.
Distribut8d free f￿￿ par￿1$ to residents to alleviate the cost of liwng crisis.
Secur8d Police and Crime Commissionerfs funding to emph)y a Growbr¥J Coordinator lo lead and develop
environmental and food projects.
In all activities undertaken the Trustees have had regard to the guidan￿ issued by the Charity Commission
on public benefit.
Approved by the bAanagement Committee on 2￿ August 2025 and signed on its behalf
Karen Hughes- VI￿ Char

'• CEFN GOLAU
TOGETHER
TTUStee Report and Financial Statements
Financial period 01-9-2023 to 3141&2024
Financial A¢livities
Accounts for the Financial period 01-9-2023 to 31-08-2024
61 Page

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Trustee Rewt and Financial SLitements
Financial period 01-9-2023 to 31-08-2024
Financial Activities
Cefn Golau Together Balance Sheet as at 31 August 2024
Notes
Fixed Assets
Tangiblè assets
Investments
Restricted
Unrestricted
0.00
0.00
Current Assets
Stock
DebtQTS
Cash at bank and in hand
0.00
0.00
8812
0.00
109605
Creditors: amounts falling due within one year
Net Current Assets
£109605
£8812
Net Assets
£109605
£8812
Unrestricted funds (designated reseNe)
Restricted funds
£8812
109605
Totsl Funds
£118417
The number of paid employees during the period was O.
No mernbers of the Management committee rec￿Ved remuneration during the period.
Approved by the Management Commtllee on 20￿ August 2025 and signed on its behalf
Haydn Trolloptr Treasu

CEFN GOLAU
•• • ¥ TOGETHER
Trustee Report and Flnanclal SL*ements
Financial period 01-9-2023 to 31-08-2024
Financial Aclivitios
Cefn Golau Together In￿ for Ihe period erKling 31 August 2024
Notes
Grants
Invest Local (BCT)
Police & Crime Commissioner
Tai Calon
TFW
BGCBC
Restricted
Unrestrlcted
Total
136288
9857
1016
7965
158527
Other
Interesudividendslbonuses
Ticket sales
426
725
159252
159678

'• CEFN GOLAU
TOGETHER
Trustee Report and Financial Statements
Financial period 01-￿2023- 31-08-2024
Flnancial Activities
Cefn Golau Togethw expenditure for the period ending 31 August 2024
Notes
Restricted
73179
55
73
Unrestrictsd
Total
Projecuactivity costs
Bank fees
Email Hosting
73307
73307
91 Page

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Trustee Report and Financial Statements
Financial period ol-￿2023 - 31-0&2024
Financial Activities
Notes fomiing part of the financial statements
1. The Charity has no direcl employees. 2 stsff were deployed under provider agreements with
CoalfElds Regeneration Trust and TAFY during this period.
2. The charity has been allocated restricted funds under Ihe Invest Local programme. INhile the
tnjstees do have the power to direct use of these funds they are held by Building Comrnunilies Trust
and issued to a fund holder. Coalfields Regeneration Trust on an agreed plan.
As such they do not fomi part of these accounts.
A¢¢ounting Policies
The principal accounting policies are summarised bebw. The acGounting wlicies have been applied
consistently throughout the year.
(a)
Basis of accounting
The financial statements have been prepared under the historical cost convention, as modified by the
inclusion of fixed asset investments at market value, and in accordance with Chanly Commission guidance:
Charity reporting an(i Accounting November 2016 {CC15d).
Ib)
Fund accounting
Unrestricted funds are available for use at the discretion of the trustees in furtherance of the genwal
objeclives of the charity. Unrestrict8d funds include a revaluation reserve representing the restatement of
investment asset5 al maTk8t valu8S.
Designated funds are unrestricted funds earnarked by the Management Committee for particular purposes.
Restricted funds are subjected to restrictions on their expenditure imwsed by the donor or through the
temis of an appeal.
(¢1
Incoming resources
All inrnming resources are induded in the statement of financial activities when the charity is entitled lo.
and virlually certain to ￿ceiVe, the income and the amount can be quantified with reasonable accuracy.
The following t)olicies are applied to particular categories of income:
Voluntary income is received by V4Try of grants. donalions and grfts and is included in full in the Statement of
Financial Activities when receivable. Grants. where enlitlemenl is not conditional on the delivery of a
specific perfomiance by the charity. are recognised when the charity becomes unconditionally entitled to
the grant.
IOIPage

'• CEFN GOLAU
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Donated services and facilities are included at the fdlue to the chaiity where this can be quantified. The
value of services provided by volunteers has not been induded in these accounts.
Investment income is included when receivable.
Incoming resources from tharitable trading activtty are acojunted for when 8amed.
Incoming resources from grants, where related to perf0rrnan￿ and specific deliverables, are accounted for
as the charity earns the right to consideration by its perfomance.
(dl
ReSoUr￿S expended
Expenditure ts recognised on an accrual basis as a liabilty is incurred. Expenditure includes any VAT which
cannot be fully recovered, and is reported as part of the expenditure to which it relates..
Costs of generating funds comprise the costs associated wtth attracling volunlary income and the eA)Sts of
Irading for fundraising purposes.
Charitable expendilure comprises those costs incurred by the charity in the delivery of tts actiwlies and
seNices for its beneficiaries. It includes both costs that can be allocated direclly to such activities and those
costs of an indirect nature necessary lo support them.
Govemance costs include those costs associate(I with meeting the constitutional and slatutory
requiremenls of tha charity arKI include the audit fees and costs linked to the strategic managern8nt of the
charity.
All costs are allocated between the expendilure categories on a basis designed to reflect the use of the
resource. Costs relating to a particukqr activity are alk)t2led directly. others are apportioned on an
appropriate basis.
(e)
Fixed assets
Fixed assets (excluding investments) are stated at cost less accumulat8d depreciation. The costs of minor
additions or those costing below £1,000 are not capilalised. Depreciation is provided at rates calculated to
Wfile off the cost of each asset over its expected useful lrfe. which in all cases is estimated at 4 yeats.
Impaimenl reviews are carried out as and when evidence comes to light that that the recoverable amount
of a functional fixed asset is below ils net b(￿k value due to damage. ObS￿Scence or other relevant
factor5.
Investments held as fixed a5sels are revalued at mmd-mathet value at the balance sheet date and the gain
or loss taken lo the Statement of Financial Activit￿s.
(gl
Reserves policy
The trustees will rnainlain a general reserve of up to 1 years operating costs. This policy will be reviewed
annually.
IIIPage

CEFN GOLAU
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CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's
report on the accounts
Section A
Independent Examiner's Report
Report to the Irusteesl Cefn Golau Together Association
members of
On accounts for the year 31-08-2024
ended
Charity no 1194406
Irf any)
Set out on pages
6-10
I report to the tnjstees on my examination of the acwnls of the above
charity (Ihe Trust") for the year ended 3110812024
Responsibilities and As the charity trustees of the Trust, you are responsible for the prèparation
basis of rewt of the accounls in accordance with the requirements of the Charities Act
2011 ("the Acr).
I report in respect of my examination of the Trust's accounts carried oul
under section 145 of the 2011 Acl and in carrying out my examination. I
have followed the applicable Directions given by the Charity Commission
under section 1495Xbl of the Act.
I have C¢Jmpleted my examination. I confimi that no material matters have
come to my attenticH) (
in connection with
the examination which gives rne cause to believe that in, any material
respecL
accountirb3 records were not kept in accordance with section 130 of
the Act or
Ihe accounts do not accord with the accounting records
Independent
examiner's statement
I have no concems and have come across no olher matters in connection
th the examination to whiGh attention should be drawn in ord8r to enable a
proper understanding of the accounts lo be reached.
. Please deletè thè words in the iyackets rfthey do not apply.
Signad:
Date:
20-10-25
Name: Ceri Jones
Relevant professional
qualification(s) or body
{if any):
Address:
Coalfields Regeneration Trust
Aneurin Bevan House
121 Pd8e

' • CEFN GOLAU
•• •• TOGETHER
40 Castle St. Tredegar NP22 3CQ
Section B
Disclosure
Only complete rf the examiner needs to highlight matters of concern (see CC32,
Independent examination of charity accounts: directions and guidanc& for
examiners).
131Page

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Give here brief details of
any items that the
examiner wishes to
disclose.
141P2ge