OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2021-12-31-accounts

Registered charity No. 221407

,

Henry, Duke of Cleveland Charity

Annual report for the year ending 31% December 2021

The Trustees present their report for the year ending 31% December 2021.

The Trustees of the Henry, Duke of Cleveland Charity during 2021 and appointing bodies where appropriate were:

Lord Barnard (Chairperson) Raby Estates. Ex-officio Trustee. Mr D. Peake Raby Estates. Ex-officio Trustee. Position Vacant Church of St Mary the Virgin, Staindrop, County Durham. Ex-officio Trustee. Mr J B Poole Co-optive Trustee. Five year term. Mr E R Chicken Co-optive Trustee. Five year term.

The object of the Charity is to provide housing for deserving persons of good character aged 60 years or over within the vicinity of Staindrop, County Durham. The charity has 12 properties. The administration of the Charity is carried out by the Clerk to the Trustees who receives an annual remuneration.

Under the Charity Commission Scheme (governing document) the Trustees may establish a Cyclical Maintenance Fund for the purpose of providing for items of ordinary maintenance and repair for the almshouses as may occur at infrequent but regular intervals such as internal and external decoration and professional fees. The Trustees have also established an Extraordinary Repair Fund to provide for future major expenditure such as extraordinary repair maintenance and rebuilding of the almshouses. These funds are invested in income and accumulation shares with the M&G Charity Multi Asset Fund and the COIF Charities Deposit Fund.

The Charity has a general income/expenditure (Community Account) with Barclays Bank at 31 High Row, Darlington DL3 7QS.

The Charities Independent Examiners are Addison and Co, 91 Galgate, Barnard Castle, County Durham, w77, OnMr KevinthebehalfAllen,ofClerk the Trusteesto the Trustees.|

----- Start of picture text -----
|
----- End of picture text -----

14" October 2022.

Independent Examiner’s Report on the Accounts

Report to the trustees/members of | Henry, Duke of Cleveland Charity

Registered Charity Number 221407

On accounts for the year ended 31.12.21

Respective responsibilities of As the charity’s trustees you are responsible for the preparation of the trustees and examiner accounts; you consider that the audit requirement of section 144 of the Charities Act 2011 (the Act) does not apply. It is my responsibility to state, on the basis of procedures specified in the General Directions given by the Charity Commissioners under section 145(5)(b) of the Act, whether particular matters have come to my attention.

Basis of independent examiner’s My examination was carried out in accordance with the General Directions report given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I do not express an audit opinion on the view given by the accounts.

Independent examiner’s statement

In connection with my examination, no matter has come to my attention.

have not been met; or

----- Start of picture text -----
(2) to which, in my opinion, attention should be drawn in order to enable a
proper understanding of the accounts to be reached.
sit DTfrbbirg,—
Date + Octoser Wer
Name DAVIO ADDISo~
----- End of picture text -----

Relevant professional qualification Member of the Institute of Chartered Accounts in England & Wales or body (if any)

Address Addison & Co, 91 Galgate, Barnard Castle, Co Durham

;

HENRY, DUKE OF CLEVELAND BALANCE SHEET

YEAR TO 31 DECEMBER 2021

----- Start of picture text -----
|||||||||| |---|---|---|---|---|---|---|---|---| |Unrestricted|Restricted|Restricted| |:|Fund|Fund|Fund|Total|Total| |General|Cyclical|Extraordinary|2021|2020| |£|£|£|£|£| |FIXED|ASSETS|;| |Land|&|buildings|11,402.34|11,402.34|11,402.34| |Investments|5,107.76|38,717.65|311,647.90|355,473.31|305,349.32| |Total|fixed|assets|16,510.10|38,717.65|311,647.90|366,875.65|316,751.66| |CURRENT ASSETS| |Debtors/prepayments|1,896.35|1,896.35|1,849.60| |Cash|100,435.42|-40,723.52|-13,940.00|45,771.90|72,510.28| |Charities|Deposit Fund|11,848.51|11,848.51|11,847.09| |Cash|in|hand|0.00|37.70| |Total|current|assets|102,331.77|-28,875.01|-13,940.00|59,516.76|86,244.67| |CURRENT|LIABILITIES| |Receipt|in|advance|0.00|0.00|0.00| |Creditors/accruals| |Amounts|due|<|1 year|1,531:27|1,531.27|994.00| |Total|current|liabilities|1,531.27|0.00|0.00|153127|994.00| |TOTAL ASSETS|LESS|CURRENT|LIABILITIES|117,310.60|9,842.64|297,707.90|424,861.14|402,002.33| |Creditors| |Amounts|due>|1 year|:|0.00|0.00| |NET ASSETS|117,310.60|9,842.64|297,707.90|424,861.14|402,002.33| |CAPITAL|FUND| |Unrestricted|Fund| |General|117,310.60|117,310.60|103,270.16| |Restricted|Fund| |Cyclical|9,842.64|9,842.64|14,636.26| |Extraordinary|297,707.90|297,707.90|284,095.91| |TOTAL FUNDS|117,310.60|9,842.64|297,707.90|424,861.14|402,002.33|

----- End of picture text -----

.

Signed by TWO TRUSTEES on behalf of all TRUSTEES

----- Start of picture text -----
Lord Barnard 8 WAS ol a Mr
Date: 21% Geek.P Deze. J B Poole A Len| oe OQ _
SY. [13”] WwW Joee .
----- End of picture text -----

.

HENRY, DUKE OF CLEVELAND INCOME AND EXPENDITURE ACCOUNT ‘YEAR TO 31 DECEMBER 2021

----- Start of picture text -----
||||||||| |---|---|---|---|---|---|---|---| |Unrestricted|Restricted|Restricted| |Fund|Fund|Fund|Total|Total| |General|Cyclical|§|Extraordinary|2021|2020| |£|£|£|£|£| |INCOME|:| |Contributions from|residents|29,160.00|29,160.00|27,300.00| |Investment|income| |Dividend|income shares|316.31|2,146.96|2,463.27|2,041.51| |Dividend|accumulation|shares|13,611.99|13,611.99|17,960.31| |Charities deposit fund|1.42|1.42|31.07| |Total|incoming resources|29,476.31|2,148.38|13,611.99|45,236.68|47,332.89| |EXPENDITURE| |Direct|Charitable|Expenditure| |Routine|maintenance|5,521.83|5,521.83|3,388.82| |Cyclical/extra-ordinary|repairs|6,942.00|6,942.00|68,590.67| |Water|rate,|council|tax etc|2,967.24|2,967.24|3,187.37| |Insurance|1,848.07|1,848.07|923.90| |Warden|service|271.44|271.44|271.44| |Sundry expenses|97.00|97.00|147.35| |National|Association|of Almshouses| |subscription|427.84|427.84|530.00| |Mortgage|interest|0.00|0.00|0.00| |Management &|administration| |Remuneration|of Clerk|3,324.98|3,324.98|3,000.00| |Miscellaneous|petty cash|197.47|197.47|95.00| |Independent Examiners fee|780.00|780.00|744.00| |Total|resources expended|15,435.87|6,942.00|0.00|22,377.87|80,878.55| |Net incoming resources|before transfers|14,040.44|-4,793.62|13,611.99|22,858.81|-33,545.66| |Transfers| |Total|funds|brought forward|103,270.16|14,636.26|284,095.91|402,002.33|435,547.99| |TOTAL FUNDS|CARRIED FORWARD|117,310.60|9,842.64|297,707.90|424,861.14|402,002.33|

----- End of picture text -----

HENRY, DUKE OF CLEVELAND NOTES TO THE ACCOUNTS YEAR TO 31 DECEMBER 2021

1. PRINCIPAL ACCOUNTING POLICIES

The Charity is governed by a Scheme of the Charity Commissioners. These accounts have been prepared in accordance with applicable accounting standard and Accounting and Reporting by Charities — Statement of Recommended Practice FRS 102.

a) The accounts are prepared on the historical cost basis.

b) Housing Land and Buildings.

The only real property owned by the Charity is a block of 12 Almshouses constructed in the second half of the 19" Century. No accurate record of their cost is now available, and the Balance Sheet included only the cost of the improvements carried out since 1985, funded by grants and mortgage loans from the Housing Corporation and from the Charity’s own resources. Since the property is maintained in a good state of repair the Trustees are of the opinion that it is not appropriate to provide for depreciation thereof.

c) Housing Association Grant

The grant, shown as a deduction from the cost of the improvements carried out since 1985, is repayable in certain circumstances, particularly following sale of the property. The Trustees do not intend to sell any part of the property and do not anticipate that the grant will become repayable.

2. FIXED ASSETS, FREEHOLD AND BUILDINGS

2021 2020
£ £
Balance brought forward 277,447.74 277,447.74
Additions
Housing Association Grant 266,045.40 266,045.40
Disposals
Balancecarriedforward 11,402.34 11,402.34

NOTES TO THE ACCOUNTS (CONTINUED) YEAR TO 31 DECEMBER 2021

:

HENRY, DUKE OF CLEVELAND

3. FIXED ASSETS, INVESTMENT INCOME SHARES

2021 2020
£ £
:
Atvaluation at 5 February 1976, with subsequent additions at cost.
Common Investment Fund, Income Shares
At beginning ofyear 21,253.41 21,253.41
Additions duringthe year 22,572.00
Atend ofyear 43,825.41 21,253.41
Market value 76,798.90 48,774.71
9585 shares - General Fund 5,107.76 5,107.76
48744 shares - Cyclical Maintenance Fund 16,145.65 16,145.65
25926.515 shares - Cyclical Maintenance Fund 22,572.00
43,825.41 21,253.41

4. FIXED ASSETS, INVESTMENT ACCUMULATION SHARES

At valuation at 5 February 1976 with subsequent additions at cost. National Association of Almshouses Common Investment Fund Accumulation Shares.

2021 2020
£ 2
At beginning ofyear 4372.692 284,095.91 325,607.60
Additions duringthe year 142.601 13,940.00 -59,472.00
Accumulation income added during year 13,611.99 17,960.31
Atend ofyear 4515.293 311,647.90 284,095.91
Marketvalue 472,766.98 404,542.66
5. DEBTORS AND PREPAYMENTS
2021 2020
Amounts fallingduewithin oneyear £ £
Debtorsandprepayments 1,896.35 1,849.60

HENRY, DUKE OF CLEVELAND NOTES TO THE ACCOUNTS (CONTINUED) YEAR TO 31 DECEMBER 2021

:

6. CREDITORS AND ACCRUALS

----- Start of picture text -----
||||||| |---|---|---|---|---|---| |2021|2020| |Amount|falling due|within one|year|£|£| |Creditors &|Accruals|1,531.27|944.00|

----- End of picture text -----

Amounts falling due after more than one year.

Loans on mortgage secured by a charge on the Charity’s housing land and buildings repayable by equal instalments of principal and interest, the final instalments falling due March 2019.

7. RESTRICTED FUNDS

Extraordinary Repairs Fund — Restricted Income Fund

This is a reserve fund for major expenditure and is invested in accumulation shares. It was set up for the purpose of providing for the extraordinary repair, improvement or rebuilding of the Almshouses of the Charity.

Cyclical Maintenance Fund — Restricted Income Fund

This fund is retained by the Trustees to meet items of ordinary maintenance and repair of the Almshouses as occurring at infrequent intervals, e.g. internal and external redecoration and the cost of professional fees in respect of Quinquennial Inspections. It is invested in the Charities Deposit Fund and Income shares.

----- Start of picture text -----
|||||| |---|---|---|---|---| |EXTRA| |FUND NAME|ORDINARY|CYCLICAL| |£|£| |Incoming Resources|13,611.99|2,148.38| |Expenditure|0.00|6,942.00| |Gains and|losses|(net movements)|13,611.99|-4,793.62| |Opening balance|284,095.91|14,636.26| |Transfer|from|General|Fund| |Closing balance|297,707.90|9,842.64|

----- End of picture text -----

Transfers from the General Fund to the Extraordinary Fund for the purchase of Accumulation shares NIL

From the General Fund to the Cyclical Maintenance Fund NIL

The Extraordinary Fund and Cyclical Fund were both overdrawn at the year end with the overdrawn element represented by funds held in the General Fund. Since the year end these funds have been transferred from the General Fund to the Extraordinary Fund and Cyclical Fund.

8. CAPITAL COMMITMENTS

There were no commitments for capital expenditure at 31 December 2021.