Cefn Golau Together Association (Cefn Golau Together) A Charitable Incorporated Organisation {ClO) '• CEFN GOLAU v • I-v TOGETHER Trustees Report and Financial Statements Financial period 01-9-2024 to 31-08-2025 Charity Number 1194406 Company Number CE025923
• CEFN GOLAU TOGETHER Trustee R8lXIrt and Financlal Statements Financial peiiod 01-9-2024 to 31.08-2025 Contents Page Legal and Administrative Information Trustees Report Accounts for Ihe Financial Period Balance Sheet Income Expenditure Notes forming part of the financial statements 10 Independent examiners reports 12 21Page
.. CEFN GOLAU TOGETHER Cefn Golau Together Trustees report for the Financial period 01-9-2024 to 31-08.2025 Legal and Administratlvo Infom7atlon Organisatlon & Structure Charity Name.. Cefn Golau Together Association (Working name Cefn Golau Together) Structure.. Foundation Model Charitable Incorporated Organisation Charity registration number- 1194406 Company registration number". CE025923 Registered Office Aneurin Bevan House. 40 Castle St, Tredegar NP22 3DQ. Operational address The Community Hous8. 87 At11ee Way, Cefn Golau. Tredegar, NP22 3TD Contact info@¢efntogeth8r.org Manag8m8nt Committee K. Hughes H. Trollope J. Mills J. James A. Williams E. Dyte Chair (as of 31-03-25) Trèasurer Chair. Resigned 31-03-25 Banker5 Smart Money Cymru, Aneurin Bevan Housè. 40 Castle St, Tredegar NP22 3DQ. The Co-operative Bank plc. P.0. Box 101, 1 Balloon Street, Manchester, M60 4EP Bankers 31Page
• CEFN GOLAU TOGrrHER Trustee Report and Financial Statements Financial perlod 01-9-2024 to 31-08-2025 Aims and Objectlves Cefn Golau Together is a Foundation model Charitable Incorporated Organisalion. It operates according lo is constitution, registered with the Charity Commission on 10th May 2021, amended 10th June 2022 Vision That all resid8nts living in Cefn Golau enjoy a high quality of1rf8, are able lo achieve Iheir economic. social and educational goals, and are part of a strong, prosperous and Caring local ¢ommunty. Objects The prevention of pov8rty and the relief of thos8 in need, hardship or distress in the community of Cefn Golau. To promote the conservation, protection and improvement of tho physical and natural environment To furlher or benefit the residents of Cefn GolaLJ and the neighbourhood, without distinction of sex, sèxual orlentatlon, race or of political, religious or other opinions by associating together Ihe said residents and the local authorities, voluntsry and other organlsations in a common effort to advance education and to provide facilities in the interests of social welfare for reuealion and leisure time occupation wilh the objedive of improving tho ndIts.0nS of life for the residents. Planning and delivery Cefn Golau Together are part of the Building Communities Trust- Invest Local programme. As part of this programme we work lo a 3 year Driving Change Plan. 41Page
• ••• TOGETHER Trustee Report and Financial Statements Financial period 01-9-2024 to 31-08-2025 Trustees Report The Managemenl Committee presents its Trustee's report for the Financial period 01-9-2024- 31-08-2025. Main Activities Undertakon Worked throughout the period with our key partners.. Buikling Communrties Trusl, Coalfields Regeneration Trust, Cefn Golau Tenant's & Residènt's Association, Tai Calon, Game On, Aneurin Leisure Trust and Keep Wales Tidy to deliver services and activities lo residents of the Cefn Golau estate. Worked in Partnership with Tai Calon and Cefn Golau Tenants & Residents Association to operale a Community house al 87 Atle8 Vvay, Cefn Golau. This venue was used as a base of operation, lo house staff and host prolects, activities and visiting services. Worked in Partnership with Keep Wales Tidy, TAFY and Social Farms & Gardens to create and maintained a community garden at the community house. Worked in Partnership with Blaenau Gwent County Borough Council to deliver a children's garden uaft club and use the community house as a warm hub and deliver Cuppa and Company sessions. Worked in Partnership with Game On to deliver children's Sport & Snack session throughout school half- terms and summer holidays. Worked in partnership with Coalfields RegeneratK)n Trust to organise and deliver a Communiiy Fun Day with free activities. rldes and food and pursue a new build community centre project. Maintained a MUGA on the estate for public use. From September 2024 we launched a low-cost. subscription-b8sed community Food Pantry lo help families cope with the cost of living crisis. From its opening to 1° August 2025 this service has fulfilled almost a thousand weekly subscriptions. In all activibes undertaken the Trustees have had regard to the guidance issued by the Charity Commission on public benefit. Approved by the Management Committee on 24th August 2026 and signed on ils behalf Karen Hughes- Chair 5 IPage
• CEFN GOLAU Trustee Report and Financial Statemonts Flnancial perlod 01-9-2024 to 31.08-2025 Flnancial A¢tivitles Accounts for the Financial period 01-9-2024 to 31-08-2025
• CEFN OOLAU Trustee Report and Financial Statements Financial period 01-9-2024 tg 31.08-2025 Financlal Activities Cefn Golau Together Balance Sheet as at 31 August 2025 Notes Fixed Assets Tangible assets Inveslments Restricted Unrestricted 0.00 0.00 0.00 0.00 Current Assels stock Debtors Cash at bank and in hand o.oo 0.00 87608 0.00 0.00 12499 Creditors: amounts falling due within one year 0.00 Net Current Assels £87608 £12499 Net Assets £87608 £12499 Unrestrlcted funds (designated reserve) Restricted funds £12499 £87608 Total Funds £100107 The number of paid employee5 during the period was O. No members of the Management committee received remuneration during the period. Approved by the Management Committee on 24th August 2025 and signed on its behalf Haydn Trollop& Treasurer 7 IPage
TOGETHER Trustee Report and Financial Stalements Financial period 01-9-2024 to 31.08-2025 Financial Activilies Cefn Golau Togelher Incomo for the p8riod ending 31 August 2025 Notes Grants Invest Local {BCT Tredegar Town Council Tai Calon Arnold Clarke BGCBC Restricted Unrestncted Total 19762 100 600 2500 12414 35376 Other Interesvdividendslrefunds Subscriptions (food pantry) 1187 4985 6172 37861 3687 41548
. CEFN OOLAU TOGETHER Trustee Report and Financial Statéments Financlal perlod 01-9-2024 to 314)8-2025 Flnancial Activiligs Cefn Golau Together expenditure for the period ending 31 August 2025 Notos Restricted 57528 70 77 1698 Unrestricted Total Projecvactivty costs Bank fees Email Hosting Utilities Insurance 59858 0.00 59858
Trustèè Report and Flnancial Slatomenls Financlal period ol-2024 to 31 8-2025 Financial Aetlvllles Notes formlng part of the financial stalements 1. The charrty has no direct employees. 1 staff member was deployed undef a provider agreemenl TAFY during this period. 2. The Charily has been allocated restricted funds under the Invest Local programme. While the trustees do have the power to direct use of these funds. they are held by Building Communities Trust and issued to a fund holder, Coalfields Regeneration Trust on an agreed plan. As such they do not form part of these accounts. Accounting Poll¢ies The principal accounting policies are summarised below. The accounting policies have been applied consistently throughout the year. (a) Basis of accounling The financial statements have been prepared under the historical cost convenlion, as modified by Ihe inclusion of fixed ass8t investments at market value, and in accordance with Charily Commisslon guidance. Charity reporting and Accounting November 2016 {CC15d}. (bl Fund accounting Unrestricted funds are available for use at the discretion of the trustees in furtherance of the general objectives of the charity- Unrestricted funds include a revaluation reserve representing tho rest81ement of investment assets al market values. Designated funds are unrestricted funds earmarked by the Management Committee for particular purposes. Restricted funds are subjected to restrictions on their expenditure imposed by the donor or through the lerms ofan appeal. (c) Incoming res(wrces All incoming resources are included in the statement of financial activities when the charity is entitled to. and virtually certain to receive, the income and the amount can be quantified with reasonable accuracy. The following policies are applied lo particular categories of income- Voluntary income is reiVed by way of grants, donations and gifts and is included in full in the Statement of Financial Activities when receivable. Grants, where entitlement is nDt conditional on the delivery of a specific performance by the charity, are recognised when the charity becomes unconditionally entitled to the grant. 101 Page
• CEFN GOLAU Donated services and facilities are included at the value lo th8 charity where this can be quantif18d. The value of seNice$ provided by volunteers has not been included in these accounts. Investment income is induded when receivable. Incoming resources from ch8rilable trading activity are accounted for when earned. Incoming resources from granls, where related to performance and specific deliverables, are accounted for as the charity earns the righl to consideration by its performance. {d) Resources expended Expenditure is recognised on an accrual basis as a liability is incurred. Expenditure includes any VAT which cannot be fully recovered, and is reported as part of the expendilure to which it relates: Costs of generating funds comprise the costs associated with attracting voluntary income and the costs of trading for fundraising purposes. Charitable expenditLJre comprises those costs incurred by the charity in the delivery of its aclivities and seNices for ils beneficiaries. It includes both cosls that con be allocated directly lo such acttvities and those costs of an indirect nalure ne88ary to support them. Governance costs include those costs asso¢iated with meeting the constitutional and statutory requiremenls of the charity and include thè audit fees and costs linked to Ihe strategic management of the charity. All Costs are allocated between the expenditure categories on a basis designed to reflect the use of the resour. Costs relating to a particular activity are allocated directly, others are apportioned on an appropriate basis. le) Fixed assets Fixed assels (excluding inveslmenls) are stated at cost less accumulated depreciation. The costs of minor additions or those costing below £1,000 are not capitalised. Depreciation is provided at rates calculated lo write off the cost of each asset over ils expected useful life. which in all cases is estimated at 4 years. Impairment reviews are carried out as and when evidence comes to light that that the recovetable amount of a functional fixed asset is below ils nel book value due to damage. obsolescence or other relevant factors. Investments held as fixed assets are revalued at rnid-markel value at the balance sheet date and the gain or loss laken to the Statement of Financial Activities. (gl Reserves policy The trustees will maintain a general reserve of up to 1 years operating costs. This policy will be reviewed annually. IIIPage
• CEFN GOLAU TOGETHER CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to the trusteesl membgr5 of Cefn Golau Together Association On accounts for the year 31-08-2025 ended Charity no 1 1194406 {if any) I Set out on pag•s 6-10 I report to the trustees on my examination of the accounts of the above charity ("Ihe Trust.) for the year ended 3110812024 Responsibilities and As the charity trustees of the Trust, you are responsible lor the preparation basls of report of the accounts in accordanc8 wlth the requirements of the Charities Act 2011 {'the ACY'I. I report in respect of my examination of the Trust's accounts carried oul under section 145 of the 2011 Act and in carrying out rny examination, I have followed the applicable Directions given by the Charity Commission under section 145{5}Ib) of the Act. I have completed my examination. I confirm that no material matters have come to my attention I in connection wilh the examination which gives me cause to believe that in, any material respect- accounting records were not kept in accordance with section 130 of th8 Act or the accounts do not accord with the accounting records Independent examinerfs statement I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounls to be reached. Pl&ase delele the words in the brackets if they do not apply. Signed: Date: 24-08-2026 Name: Ceri Jones R¢levant professional qualificationls) or body lif any): Address: I Coalfields Regeneration Trust | Aneurin Bevan House 121Page
• CEFN 130LAU TOGETHER 40 Castl8 Sl, Tredegar NP22 3DQ Section B Disclosure Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts.. directions and guidan for examinersl- Give here brief details of any items that the examlner wishes to dlsclose.