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2023-03-31-accounts

TRUSTEES’ ANNUAL REPORT AND ACCOUNTS

FOR THE PERIOD 1 APRIL 2022 To 31 MARCH 2023

ARMENIAN COMMUNITY CENTRE (W) CIO

Charity No 1195813

Armenian Community Centre 18D High Street, Cardiff, CF5 2DZ

ACC(W) Trustee Members

  1. Chair: Dr Patrick Thomas

  2. Secretary: Hovan Torosyan

  3. Treasurer: Dr Ardavast Kanekanian

  4. Book Keeper: Alice Alisa Kanekanian

  5. Other Trustees: Dr Sonia Wardan

ACC(W) 12 Monthly Report

Trustees' report (summary) For the year ended 31 March 2023

The Trustees confirm that the Annual report and financial statements of the Charitable incorporated Organisation (CIO) comply with the current statutory requirements, the requirements of the charity's governing document, Constitution, and the provisions of the Statements of Recommended Practice (SORP), applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS102).

Objectives and Activities

To provide or assist in the provision of facilities in the interest of social welfare for recreation or other leisure time occupation of individuals who have need of such facilities by reason of their youth, age, infirmity, financial hardship or social circumstances with the object of improving their conditions of life.

Each year our Trustees review our objectives and activities to ensure they continue to reflect our aims. In carrying out this review the Trustees have considered the Charity Commission's general guidance on public benefit.

The Trustees have complied with the duty in section 17 of the Charities Act 2011 to have due regard to public benefit guidance published by the Commission.

The Charity is responsible for management and activities in the Armenian Community Centre at 18D High Street, Llandaff CF5 2DZ.

The Trustees have continued to provide a suitable and convenient place for the Armenian Community & members of other communities for cultural and social activities. This is aimed at improving the life of the members, wider public and new families settling in Wales, the UK.

Achievements and performance

EQUIPMENT

GOVERNANCE

Regular Trustee meeting are crucial for the exchange of ideas & the decision making process. These are held at the Centre during the year.

I.T. & WEBSITE

We are pleased to say that we are well advanced in the development the ACC(W) website to include;

ACC(W) e-mail address

On Line Shop for Hy Design and Books

On Line Library to be incorporated in to the existing community website and to be catalogued.

Website is updated frequently with new and upcoming events.

FINANCES

ACCOUNTS

The annual Accounts are produced in preparation for submission to the CC and HMRC.

Corp Tax - Not applicable but will need to fill in tax comp to confirm.

We are now registered for Gift Aid and hope to make the first submission shortly

While the bank balance is not large, we do not foresee a situation where the Centre is unable to operate.

Costs where possible have been minimised thus ensuring the maximum amount has been collected for Good Causes.

Number of employees is zero.

FUND RAISING

DONATIONS

John Torosyan Trustee Secretary

Armenian Community Centre (W) Registered Charity Number 1195813 Receipt & Pa￿nentS for the year ended 31 st March 2023 2022-23 2021-22 Notes Income Expenditure Excess of Ineome over Expenditure Add Cash and Bank Balances brought forward Balances carried fonvard 4.205.65 1,964.25 2,241.40 1,384.16 7.16 1,3TI.(KJ 1.377.00 3,618.40 1.377.00 Represented By: Bank and ash Balances Current Account LI0￿J5 3.618.40 1.377.IKI Petty Cash Cheques not cleared 3.618.40 1,377.00 The att&hed Notes fomi an integrd part of tt)e knwnts The al￿ knounts ￿re apwoved by the Truslees rffj.. 08110r2023 ned= Chairperson: P Th(Mnas Treasurer. Kanekanian

Notes to the Accounts Note 1: Income 2022-23 650.(M) 565.(K) 2021-22 750.CKJ Membership Subscriptions Fundraising (Activities, Events) GiftAid Collections Donations Online Shop sale Book Royalties Use of Hall Bank Compensation Grants Bank Interest 488.(K) 2.500.00 2.65 20.00 497.16 50.00 67.00 Sub Total 4.205.65 1.384.16 Note 2: Ex enditure 2022-23 2021-22 Insurance Rates Water and Sewerage Services Elettricity Water & Sewerage Administration (Printin& Photocopy) Repairs & Renewals Materials and cleaning Activities. Events Charity don3tion, Student Sponsorship Charity/Fair Expenditure Bank Charges Web charges 1.096.75 36.(N) 7.16 3CK).(M) 380.(K) 1S0.C 1.50 Sub total 1,964.25 7.16