
## **– CROWS Community Rights of Way Service** 

## Charity number 1201645 

**Annual Report and Financial Statements For the period 01/04/2023 to 31/03/2024** 




**Contents ...................................................................................................................... Page** _**Trustees' report for the period 01/04/2023 to 31/03/2024 .................................................. 3**_ **Reference and administrative details of the charity, its trustees and advisors .............................. 3 Structure, governance and management .................................................................................... 4 Method of recruitment and appointment of trustees ................................................................. 4 Objectives and activities ............................................................................................................ 4 The charity's objects and public benefit statement ..................................................................... 4 The charity's main activities ....................................................................................................... 4 Achievements and performance ................................................................................................ 5 Risk management ...................................................................................................................... 5 Financial review ........................................................................................................................ 5 Reserves policy.......................................................................................................................... 6** _**Annual accounts for the financial period 01/04/2023 to 31/03/2024 .................................. 7**_ **Section A - Receipts and payments ............................................................................................. 7 Section B - Statement of assets and liabilities at the year end ..................................................... 7** 

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## **Trustees' report for the period 01/04/2023 to 31/03/2024** 

## **Reference and administrative details of the charity, its trustees and advisors** 

The trustees during the financial period and up to and including the date the report was approved were:- 

**Name Dates** Patricia Brennan Appointed 03/01/2024 Peter Clarke Resigned 24/04/2024 Alice Eleanor Green Appointed 24/04/2024 Linda Joyce Heald Appointed 26/04/2023 Jan Jeremy Langowski Appointed 26/04/2023 David Purcell Appointed 24/04/2024 Richard Guy Stephenson Appointed 26/04/2023 

## **Charity Number** 

The charity was registered with the Charity Commission for England and Wales, number 1201645, on 19/01/2023. 

## **Principal address** 

Unit 3 Mount Shed Banksfield Road Mytholmroyd West Yorkshire HX7 5NW 

## **Bankers** 

Virgin Money Ltd 25 Manchester Road Burnley BB11 1HX 

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## **Structure, governance and management** 

CROWS is a Charitable Incorporated Organisation governed by a constitution adopted in January 2023. 

## **Method of recruitment and appointment of trustees** 

The trustees of the charity are the founding trustees of the charity or are otherwise appointed by the trustees.  Trustee appointments are made in accordance with the constitution of the charity. 

## **Objectives and activities** 

## **The charity's objects and public benefit statement** 

CROWS is a charity working to provide or assist in the provision of facilities in the interest of social welfare for recreation or other leisure time occupation within the upper Calder and Ryburn valleys in the Metropolitan Borough of Calderdale, of individuals who have need of such facilities by reason of their youth, age, infirmity or disability, financial hardship or social circumstances with the object of improving their conditions of life by working to maintain and improve public access to the countryside in the area. 

In setting our objectives and planning our activities, our Trustees have given serious consideration to the Charity Commission’s general guidance on public benefit and , in particular, in relation to the charity’s objects . 

## **The charity's main activities** 

The objectives of the organisation are achieved by: 

- Repairing, maintaining and installing signposts, bridges, boardwalks, stiles, steps. 

- Improving drainage, cutting back encroaching vegetation. 

- Liaising with, and making representations to, Calderdale Council, path users, landowners, statutory authorities and local community organisations. 

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## **Achievements and performance** 

Most of our work involved small jobs that had been reported by the general public, but we also completed a few milestones, e.g:- 

- We made several improvements on the **Pennine Way** that were identified by Natural England. 

- The **Todmorden Moor Geology trail** had deteriorated and was completely refurbished with new waymarks and boardwalks.  CROWS is helping to get this fascinating walk re-published. 

- Waymarks on the **Calderdale Way** were renewed and the current set of directions checked.  CROWS has helped with the publication on the **Heart of the Pennines** website. 

- Significant repair work was carried out on the popular **riverside path in Cragg Vale.** The work included replacing two bridges at Castle Gate Dam which had become unsafe. 

- We have repaired and improved the routes for a new **3 Walks Around Pecket Well leaflet** produced by Friends of Calderdale Countryside. 

- The large flight of steps above **Scaitcliffe Woods leading to Flailcroft** was rebuilt. 

**Over 900 days were worked by around 30 volunteers.** We have working parties volunteering on three days a week (in nearly all weathers). 

## **Risk management** 

The Trustees have introduced and documented a risk management process to assess business risks and have implemented systems to mitigate these risks.  Internal risks are minimised by the implementation of procedures or authorisation of all transactions and projects.  This also ensures consistent quality of delivery for all operational aspects of the Charity.  Procedures are in place to ensure compliance with health and safety of staff, volunteers, clients and visitors to relevant sites.  These procedures are periodically reviewed to ensure that they still meet the needs of the Charity. 

## **Financial review** 

Net receipts for the year were £26,232 and net payments were £22,340.  This resulted in an increase over the previous year of £3892 in cash funds. 

Sources of income are well spread with no reliance on any one source and controls are in place to monitor income and expenditure on a regular basis. 

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## **Reserves policy** 

The charity's free cash reserves at the year end were £22,832. It is the charity’s policy to maintain a reserve to provide working capital in the region of £15,000 to fund its general activities for the year ahead. 

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CROWS - Community Rights ofway Service
Annual Accounts 2023-2024
Section A Receipts and payments
(All the money held in a single un￿Stricted fund.
This year
Lasi yeèr
Receipts
Indwidual donattons
Foi work (Jone for Caklerdale MBC
For work done fortown and p8ith
councfls
Other recelpls for￿th done
Bank interest
Other recei
ts
8,089
855
8.870
5,882
S,850
4.653
11.268
163
2.492
21
Total Receipts £
26.231
21.918
Payments
M8terials
Tools and Eouipment
Volunteer expenses
Admin and fued costs
Bankcharges
Olh8r
10,768
1.644
4.141
5,666
109
12
9.761
1.454
3.943
4,12B
Total payments £
22,339
19,286
Net receipts £
3,892
2,633
16.307
18 939.68
Cash funds 311312023
Cash fvnds 3113r2024 £
Section B - Statement of assets and liabilities at the year end
Cash funds
Current Account ￿irgin thneyl
Savin
s Account
6,639
16,192
22,831
10,910
8,029
18,939
Total cash funds £
Other monetary assets
Assets used by the charity
Tools al the depot
Stocks of materials
Aud([￿ and f￿n
correct with no issues by:
nature
Print name
Approved by Board of Trustees and signed on ￿S behalf by:
&gnature
Print name
Date of approval
1*1111202F