Company number.. 00329203
ANNUAL REPORT AND FINANCiAL STATEMENTS FOR THE YEAR ENDEE$ 31 MARCH 2024
FOR
THE LEAGUE OF WELLDOERS
IA company limrtad by guaranleel

Company nuinber.. 00329203
THE LEAGUE OFWELLDOIRS
CONTENTS OF THE ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED J1 MARCH 2024
Page
Lsgal & Admlnlstratlve 08talls
Report of the Council of Management
Statement of Flnan¢ial A¢tlvltle$
Balance Sheet
Note8 to thB Flnanclal Statem8nt8
Report of the Indep&ndont Examlner
10
D8tallod Income and Exp&ndilurg A¢¢ount
11

Company number.. 00329203
THE LEAGUE OF WELLDOERS
LCGAL AND ADMINISTRATIVE INFORMATION
FOR THEYEAR ENDED 31 MARCH 2024
Page I
COUNCIL OF MANAGEMENT:
JCDaty
R W Bevan
RKOrme
I C Gfeene
P S Whitrield
P B Ouggan
H O'Neil
REGISTERED OFFICE..
119-133 Limeksln Lane
Live￿001
Me15eyside
L5 8SN
COMPANY NUMBER:
00329203 IErylat)d and Wales}
CHARifY NUMBER..
22443e (Enoland snd Wales)
INDEPENDENT EXAMINER..
K J Miller FCA
John Kerr
Charlefed Accounlanls
375 E8lon Road
Wesl Derby
Liveipo
MeTseysidg
L12 2AH
BANKERS..
HSBC Bank PLC
99.101 L¢rd Streel
LNerpool
MetsÈyside
L2 6PG

Company nymb8r'. 00329203
THE LEAGUE OF WELLOOERS
REPORT QF THE COUNCIL OF MANAGEMENT
FOR THE YEAR ENOED 31 MARCH 2024
Page 2
Tho members of the council ol monagement. who are the direclors for th8 purpose ol company law. present Ihelr annual
report wilb the financi8151atements of Ihe charitable Company for the year 8nded 31 March 2024 which 8re a150 prepared
to meet the requiietnents far a directors, ieport and at¢ounts lor Cornpani8s Act purpose8. The legal and adminlstralive
inlormaliori Set out on pag¢ 1 forms part ol this report.
The financi81 $18tsmenls comply with the Charilies Act 2011, the Companies A¢1 2006. the Memomndum anil Afticle5 01
Association and Accounting snd Reporting by Charilies.. Slal8menl of Recommended Praclice applicable to Charities
preparing their a¢c¢unts in accor6ance with Ihe.Financial Reporting Standard applicab￿ in the UK Bnd Reyublic ol
Irelancs IFRS 1021 Èffective 1 January 2019.
OUR PURPOSES AND ACTIVITIES
The purposes of th& charilable company are lo carry on charrtable work arnongst those in naed togèlhef with th8
opèratlon and m3n89emenl ol rommunily-based centres dedicated lo this task. In addillon, in line with the vision of Ouf
loundÈr Lee Jones, the charilaèlo company 15 Involwed wilh leaching out to people ol a11 ages across Mersey$ide with
view lo improving Iheir quality of life.
In shaping ovr otyectives for the year and planning our a¢livllies, th8 council of managemenl have considered the
Chaiity Commission's 9uidance Dn public benefit, including the gu@8nce 'publi¢ benefit.. running a charity IPB21'. Th8
Charity relies on the income frDm donats'on5, fees and charges lo cover 115 opefaling ¢08t8. Affordability and access lo our
lacililies is important to us and is refifjcted in our pricing policy,
ACHIEVEMENTS. PERFORMANCE AND PLANS FOR THE FLSTURE
The results for th? yèar aTrd fiiiancial po$itk)n of the charilable Company are 8$ shown In the annexed financial
slatemenls. Duririg previous y&ars the charitable company was fortunalÈ lo receiv8 somè sizeable legacies which h￿ve
enab18d it io continue lo develop the operalion ol the Lee Jones Centre 2nd Goédard Ha11 which are used by the
communily. The ¢oun¢il of management continu8 lo seek Turther Ivnding to enable them lo Improve and expand thè
18cililies offered and lo enable Ihetn lo continue lo provide luriher ¢harilable support for those in need. They lako this
opportunity Of fuilher recognising the contributions of limg and effort mad6 by the rnany friénds, volunteers, Stall and
supporteT5 wilhoul whon) the achievements to dale would not have happened and, are proud to b8 recognised as
valued community resouice.
RESERVES POLle.Y AND GOING CONCERN
Reserves a￿ needed to bridge the gap b8tween the spending and re￿1¥1￿9 of incomè and to cover unplanned
emeigertcy repairs and other expenditure. The members ol the counc*l ol managèm8nl have eslablishod a policy
whewby the unreslficled funds not commilled or invesled in tangible IiKed assets I'lhe free ￿S£￿e$,) held by the charity
should be behyeen 9 12 months of the lesources éxpended, which equales lo ba￿eeN approximately £235,000 10
£315.000 in general funds. Al this level, the ￿eM￿r8 ol Ihe council of management feel that they wtsuld be able 1¢
continua the current activities of the charity in Ihe event of a Significant drop it) funding. Al Present the Ir8e r85eNes
exce8d this largel level and the m8mbers of Ibe ¢oun¢il ol management a￿ considering tho possibl8 future expansion ol
(peralions whlch 5$ expected lo utilise re5ervps for th8 future benofil ol Ouf b8n8ficiarios.
In preparing the accounts, thè councll of manag8m8nt con$lder8 Ih3t the charitable company has sulficienl resources to
continug operations for Ihe foieseeable lulure.
STRUCTURE, GOVERNANCE ANO MANAGEMENT
The league ol Welldoers Iwhich can trac8 ils roots back lo May 18931 is a company limited by guarantee, incorpofaled
on 26 June 1937, and regisleied a5 3 tharily on 23 January 1964. Mernbers of Ihe charitable company guafantee lo
contribute an gmounl not exceeding £10 in the event of the charity windin9 up, The company is oovernecl by th8 policie5
rnade IIDM timg lo tim8 by th& members of Ihe council of m8nagem&nt iogelher with th8 l&rms of ils Memorandum and
Articles of Assoctalion which sel out the gbjecls and powers of lh& wmpany. The PFocedure5 for the appointrnent,
reliremenl. and reMov81 of members of the council ol m8nagement are strl out in the Article5. All memb8rs of IliFJ council
ol management are encoura9ed to allend appropriate external tr8inin9 evenl$ wher¢ Ihese wlll f8¢ilitsle lh& undertaklng
of their role. The day-lo-day opsralional aspecls of the charily have been delegal&d to the Manager and his tgam.
The following wero member$ gf Ihe council ol rnana9emenl du￿￿9 Ihe year and up lo the dale of this report..
Roy Whitley Eevan, Reginald Kenneth Orme, John Christopher Daly, lan Christopher G￿ene, Phyllis Susan Whiifiekl,
Peter Beinafd Duggan and Hugh O'N8il I8ppoinl8d 24 August 20231.
RELATED PARTIES
None of the ¢oun¢il of management ieceivs remuneratlon or other financial benefit from their work with the charlly and
any contra¢luo1 relationship wilh a related party musl be dlsclosod to the full boatd. In the current year, no sv¢h related
party Iransaclions w8re reptsrted.

Company number: 00329203
THE LEAGUE OF WELLOOERS
REPORT OF THE COUNCIL OF MANAGEMENT- contlnued
FOR THE YEAR ENOED 31 MARCH 2024
Page 3
RISK MANAGEMENT & COVID.19
The ¢ounci1 of man3gemont have a risk rnanagemenl slrategy whlch comprises.. an annual review of Ihe principal risks
and uncerlainlies that the ¢harily faces and, Ihe establishment of policies. syslern5 and pro¢Èdures lo miligal8 those
risks idenlilied in the annual revi8w,' and the implemenlalion of procedure8 desi9ned to minimise or fflanage any
F)olential impact on Ihe charity should those risks mat8ria1ise.
Financi81 sustainability is the major financial risk for the charity. A key element in the management of financial risk is
regular review of available liquid funds to sellle debts as they fall due and aclwe management of trade debtors and
Cfedilor balan￿5 to ensure suff1cient working capital i& available.
A118nlion has also be8n focused on non-financial fi5ks arising from fire. health and safety and loo($ hygiene. These risk8
are managed by ensuring procedu￿$ ancs accredilalions ale up to dale, having robust policies and prO￿dureS in place.
and regular awarenes8 training lor staff and volunteers in Ih8s8 operational areas.
The COVID-19 outbreak ¢feated a major challenge with a high lev81 of uncertainty lor many Charities. The council of
management look prompt action lo prolecl cash Ilow including reducing oulgoings and taking advanta9e ol government
gran15 and $upport measures. In addition, the Lee Jon&s Cenlfe wa5 ulilised lo provide a mass lesling and va¢¢inalion
lacilily. 8ased on the a5sessmenl$ carried oul, the ¢harilable company believes that il has a financial posilion that will
enable il lo ¢onlinue the operation of the facililies and service5 provided.
RESPONSIBILITIES OF THE COUNCIL OF MANAGEMENT IN RELATION TO THE FINANCIAL STATEMENTS
The members of the ¢ounc41 of managemanl are responsible for preparing a tru8le8s' annual report and finan¢lal
slalem8nts in accordance wilh applicable law and Uniled Kingdom Accounlin9 Standard5 Iuniled Kingdom Generally
A¢cepl8d Accounting Pfa¢licel.
Under company law the trustees musl not approve the financial statements unless they are satisfied that they give a tfue
and fair view ol Ihe Stalo of affairs of the ehafltable company and of the incoming resources and application ol resources,
including Ihe income and expenditure, of Ihe chaiilable ¢pmpany for Ihal period. In preparing the financial slalem8nls.
they are required to..
select suitable accounting policies and then apply them consistently.,
ob881vo the methods and principles in the Charities SORP..
make judgements and estimales that are ￿3$Onable and prudent..
stale whelher applicable UK accounting standards have been followed, subjoct to any mat8rial
departu￿$ disclosed and explained in the Iinan¢ial slatemenls.,
prepare Ihe financial 5talements on Ihe golng concern basi5 unless il 18 inappr¢prlats lo pr8sume Ihal
the charitable company will ¢onlinue on that ba818.
The council ol management are responsible lor keeping proper a¢counling records that disclose with iea80nable
8ccuracy at any time the financial posilion ol Ihe charitable company and to enablc them to en5uie Ihal the fin8nci81
81atemenls ¢omply wilh the Comp3ni8s Acl 200e. They are a150 iesponsible for safeguarding Ihe assels ol the ¢harilable
company and hence for taking reasonable 51ep$ lor th& prevention and detection of fraud and other iriegvlorilies.
This report ha8 been prepared in accordance with the special piovisions of Part 15 01 tho Cornpanies Ad 2006 ielaling to
sma11 ¢ompani&s.
BY OROER OF THE COUNCILOF MANAGEMENT:
J C Oaly- Mernber ol the Council of Management

omp?ny number.. 00329203
THE LEAGUE OF WELLDOERS
STATEMENT OF FINANCIAL ACTIVITIES IINCLUDING INCOME IIND EXPENDITURE ACCOUNT
FOR THEYEAR ENDED 31 MAR¢H 2024
Pagg 4
31.3.2024
31.3.2023
Un(eslri¢led Reslricted Tolal
funds
funds
f*Jnd8
Tolal
fund5
Income:
Donalions & grfl$
23.775
23.755
30,669
Lega￿tr$
4.000
Charitabl8 aclivilies, room hire & fund8 generated
177.660
177,660
84,887
Grants- Job Retention Stheme
Investmgnl and renlal income
34.509
34.509
33,092
Total Imcoine
235.924
236,924
132,648
Expondlturè:
Costs of opeialion ol cenlres and fundraislng
310,50ts
310,600
220,949
Investmool management eosts
2.928
2,028
2.861
Governan¢e costs
3,318
3,318
3,289
Total expendituro Inole 21
316,746
316.746
227,099
NBt ittcoinel18xponditiirel for t116 year
and nèt movem81lt In funds b8foi8
other re¢ognlsed gains and Ios885
180,8221
180,8221
194,4511
ILossesll gains on inve5tfflenl assets
11.190
11,190
111.3001
N&t movement In fuThd8 for the year
89,6321
69.6321
1105,7511
R8conclliation of funds
Tolal fund$ brought lo￿ard
757,295
2,654 759,949
865,7
Total funds carrled forward
687,663
2.654 890,317
759,949
The slalemenl of financial aclivilies incorporates Ihe income and expenditure account.
The 8talemenl of financlal aclivili08 includes all gains and losses reco9ni$ed in the year.
All incomè and expenditure derives from continuing aclNilies.
Th8 not8s form part ol Ih65e financial statements

Company number.. 00329203
THE LEAGUE OF WELLDOERS
BALANCE SHEET
31 MARCH 2023
Page S
31.3.24
31.3.23
Notes
FIXED ASSETS
Tangible assets
Investments
329,099
298 143
339.718
313,339
TOTAL FIXED ASSETS
627,242
653,057
CURRENT ASSETS
Debtors
Cash at bank and in hand
25,498
11,317
110907
TOTAL CURRENT ASSETS
73.054
122,224
LIABILITIES
Creditors falling due within one year
15.332
NET CURRENT ASSETSI ILIABILITIESI
106892
TOTAL ASSETS LFSS CURRENT LIABILITIES
690 317
759 949
THE FUNDS OF THE CHARITY
Reslricted income funds
un￿strICted income funds
2,654
687 663
2,654
757 295
TOTAL CHARITY FUNDS
690,317
759,949
The company 1$ enlilled lo exernplion Ifom audit under Section 477 01 the Compani8s Act 2006 lor th8 year ended
31 March 2024.
The members have not required th8 company to obtain an audll of its finanGial statements for the year ended
31 Ma￿h 2024 in accordance wilh Section 476 01 Ihe Companies Act 2006.
The membèrs ol Ihe council of managemenl acknowledg8 their responsibilities for..
lal en$ufing that the Company keeps accounting records which comply with Sections 386 and 387 tsl the Companie5
Act 2006 and
Ibl pwparing financi31 stalem8nls which give a Irue and fairview of the slate of affalrs ol th8 cornpany as al the end ol
each financial year and of its income and expendiluie loi each financial year in accordance wilh the requirements
of Seclion$ 394 and 395 and which otherwise comply wilh the requirement$ of the Cornpanies Act 2006 relating lo
financial slalements, so far as applicable to the company.
These financial $lal*menls have been prepared in accordance wilh the spe¢ia1 prOV￿s1onS ol Parl 15 of the CompÈni8s
Act 2006 relaling lo $m211 companies and conslilute Ihe annual accounts required by the Companies Act 2006 and are
lor circulalion lo membÈrs of Ihe company.
The financial statements We￿ approved by the Coun¢il of Management and authori5ed foi issue on 11
Were
on ils behalf by..
z< and
J C Daly- Mernber of the Council of Management
The noles form part ol these financial statements

Company number: 00329203
THE LEAGUE OFWELLDOERS
NOTES TO THE FINANGIAL STATEMENTS
FOR THEYEAR EMDEJ 31 MARCH 2024
Page 6
ACCOUNTING POLICIES
The principal accounling policies adopted, judgements and koy sources ol estimallon un¢ertainly in thB
preparation of the financial slalemenls are 88 follows..
8a51$ of pr¢p3rallon
The financial 8latemenl$ have been prepared in 8ccordante wtlh Accounting and Rgporliry by Chaiilies..
Statement Dr RecoM￿ended Pra¢tiC6 applicable lo chariliÈs preparing their sccounls in accordance with Ihe
Financial Reporling Stgndafof applicable in the UK and Republic of Ireland IFRS 1021 effe¢live 1 January 2019,
the Financial Reportln9 Standard applicable in the UK and Republic ol Ireland IFRS 1021 and thè Gompanlgs Act
2006. The League ol Welld08fS mE8ts the delinition of a public benefit entity under FRS 102. Assets and
liabilit185 are initially recognised 81 hi5tori¢al cost or transaction valuo unless Olherwise 51aied in Iho relsvanl
accounting policy notes.
P16parallon of the accoiints on a golng ¢on¢em ba8ls
In preparing Ih? arcounls, th& council ol management have taken account of the financial resources availab￿ to
thg ¢harity and cons1der thal th8 charity should be able lo conlinup operations fof the foreseeable luturo.
Irlcowne recognlllon
Items of Income are r?cognised and includeil in th8 accounts when all of the 1011owing crittria are mel.. the chafity
h85 entilleThenl tD Ihe funds., any pefloimance eondilions atta¢hed lo Iho ilemlsl ol income hav& been m81 or are
ILslly within th& ¢onlrol of the charity.. Iliere is suffiaent certainty that receipt of the incomts is consideied Pfobable.,
and the amount can be rntsasured reliably. The value of seNices provided by volvnleers ha5 not b?en included in
these ac¢ountS.
Expendlture recognltlon
Expenditu￿ 18 recognised onc* Ih8re is a ￿gaI or construclivg obiigation to make a payme￿1 to a third party, il 15
probable that settlement wtll be required, and the aM0￿￿t of thg obllgaiion ¢an bg m88sured reliably.
Tanulbl6 lixed assels
Depr6¢ialion is PFovlded at th8 f(Alowing onnual rates in order lo write ofl each assat over it8 estimated useful life-.
Freohold properties
2QA on cost
FixlLties and filtin9S
IO% on cost
Molor vehicles
25% on cost
Compyler equipmenl
25% on ¢05t
NET INCOMEI IEXPENDITUREI
This 1$ stated aller ¢harging'.
31,3.2024
31.3.2023
Depreciation- thvned a55els
Independenl ExaminaboTr and a¢¢oynt8ncy fees
lJ.339
3,306
12,441
The members of Ihe ¢Duncil ol management were ngt paid noi did they receive any other benefits Ifom
Èmploymentwilh the charity in the year12023,' £nill neilh8r were they reimbursed expenses during the year12023'.
£nill. No mern￿r received payment lor piofèssion81 or other servi￿$ 8upplied lo IhB chèrity12023.. £nill.
ANALYSIS OF STAFF COSTS AND STAFF NUMBERS
31.3.2024
31.3.2023
Wages and salar*e5 INO prvployee had ernolun)ents in excess of £60,000)
Employers Nation81 In5Utance- Social security costs
Penslon ¢onlribulions
111,022
4,486
876
105,995
2,663
1,338
11G364
Tho average monlhty head ￿Unt during the year was 88 folk>w5'.
Managen)ènl and operdlion ol tho communily-based eènlfes

Company nunibor.. 00329203
THE LEAGUE OF WELLDOERS
NOTES TO THE FINANCIAL STATEMENTS- tontinufyd
FOR THE YEAR ENDED 31 MARCH 2024
Pago 7
CORPORATION TAX
The charity 1$ exempt frgrn tax on Incom¢ and gains tc the extent that these ale applied to its ch8ri18ble tsbjects.
TANGIBLE FIXED ASSETS
FSxtur98
and
Fr88hold
propertle5
Motor
vehlcles
Ctsmpiiter
oqulpment
Tot#l$
COST
At 1 April 2023
Additions
Disposals
818.738
60,092
27,109
3,284
2.720
709,203
2,720
8.7491
6,7491
Al 31 March 2024
618738
705 174
DEPRECIATION
Al 1 April 2023
ChaFg& for year
Eliminat8d on dlsp0881
279,418
12,375
59,695
66
27,109
3,263
898
369.485
13.339
At 21 Ma¥ch 2024
291 179
69,761
20,360
4,161
376.076
NET BOOKVALUE
At 31 March 2024
326 945
331
1,823
329.099
At 31 March 2023
339,320
397
339,718
6. FIXED ASSET INVESTMENTS
Inve$lm8nts held as fixed ass&ls are revalued at rnid-markel value at th8 balance sheel dale and IhB galn or1088 taken
to the Stalemenl ol Finanrial AcI￿vIlb?5
Ll8ted
InvestTno11ts
VALUATION
Al 1 April 2023
Additions
Disposa
RevalualK>ns
313,3J9
105,196
1131,5821
Al 31 March 2024
298 143
NET BOOK VALUE
Al 31 March 2024 slated Dn a fair value basis as reporte¢Y by Ralhbone In¥&slmenl Managemant
298 1A3

Company number.. 00329203
HE LEAGUE OF WELLDOERS
NOTES TQ THE FINANGIAL STATEMENTS- ¢onlinued
FOR THE YEAR ENDED 31 MARCH 2024
Pag• 8
DEB TORS
31.3.24
31.3.23
Tr8d& debtoi$
Other dgbiors
Pr8paytnenls and ?￿rUed Incorne
1,240
22,000
2,258
2.882
25,498
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3.24
31.3.23
Trade creditors
Socia1 security and other taxes
Accwals and deferred income
Olher ￿edItorS
4.2S9
1,610
3,538
672
8,416
2,078
4,633
20$
15.332
ANALYSIS OF MOVEMENTS IN CIIARITA8LE FUNDS
At 1 Aprll
2023
Incomln
Rvsflurcp
Outgolnu
Resourco
At S1 March
2024
R¢strf¢l&tl Intomo lunds..
Recordlng Studio
500
500
LCVS
(Maglc school fvndiiigl
Zufich Communlly Ttusl
IC8mera51
North Llveipool
1.000
1.000
754
754
400
4￿)
Tol81 rtrslricted TrJnd5.'
2.654
Vnre$trltlod Income fund¥:
Gener81 funds
757,295
235,924
305,556
6B7,663
otals funds..
759 949
At l Aprll
2022
23S 924
Incomlng
Resovrtus
3D5,556
OulgolRg
69031
t 31 Mirch
2023
Re$lrl¢ted In¢omè funds..
Re¢ordlng Sludio
(Fulure slvdio funding)
LCVS
Iklapic school lundinpl
Zurich Communily Trusl
ICam8ia$l
North Liverpool
500
500
1.iY)O
1,000
754
754
400
4DO
Tolal f8slrfcled lunds..
2.654
2.654
Unrosldclod Incomo fvnds..
General funds
777.346
283.32LI
197.626
757,295
otals lunds:
780 000
283 326
197626

Company Aumbei.. 00329203
THE LEAGUE OFWELLDOERS
NOTES TO THE FINANCIAL STATEMENTS- continued
FOR THEYEAR ENDED 31 MARCH 2024
PagB 9
10. ANALYSIS OF NET ASSETS BETWEEN FUNDS
A131 March 2024
G¢noial Fund8
R88trÉct8d Fund8
Total Funds
Tangible fixed assets
Investments
Cuffenl 8ssel$
CiedSlors
329.Q99
298,143
70,400
19,9791
329,099
298,143
73,054
19,9791
2.654
Net assats at
ear ond
687 683
fj90,317
At 31 IA&rch 2023
General Funds
Restricted Funds
Tolal Fund$
Tangibl? fixed assets
Invgstmenis
Curr8nt assets
Creditors
339,718
313,329
119,570
115,3321
339,718
313,339
122,224
115,3321
2,654
Nel assets at
ear end
757 295
759,949
11.
FRC ETHICAL STANDARD. PROVISIONS AVAILABLE FOR SMALL ENTITIES
In common many other charities ol our $ize and nature we use our Indo￿nde$ll Examiner trj assist with the
preparation ol (he financial statements.
12.
LEGAL STATUS OF THE CHARITY
Tho Gharily is a pri¥8le company. limited by guaianteo, regisleied in England and Wa18s and h85 no sharg capital. I
tho Event of th8 charitable company b8ing wound vp, the liabilily In respe¢l of the guarantee Ss limited to £10
member ol lh8 company. The comparJy'8 registered our[￿er and registered olfice address c8n be found Dn pa9e 1. Tho
charitable comp8ny is a Publlo B&nefrt Entity.

Company number.. 00329203
INDEPENDENT EXAMINER'S REPORTTO THECOUNCIL OF MANAGEMENT OF
THE LEAGUE OF WELLDOERS
Pauo 10
I report to Ihe counal ol management on My examinalion cf the accounts of th8 charitable company fcr the ypar ended 31
March 2024 whlch are s?1 out on page5 4 to 9.
This report is made lo th8 charity's council of management. as a body. in accordanTr wsih the terms of enyag8menl. To thè
fullest extent perfflilted by law, I do not accept or 855ume re5ponslbility to anyonts other than the charitablè company and thè
council of management, as a body, for my woth or for this report.
Responsibilitles and ba81s of report
As the ccuncil of manag&meni ol the company18nd also ils directors for the purposes of company lawl you are ie5ponsi)l¢ for
the preparallon of the attounts in ac¢ordance with the requlremenls of the Compan￿8 Act 20061'lhe 2D06 Acl'l.
Having satisfied myself that the accour*ts of the company are not required to be audited under Parl 18 of th8 2006 A¢1 and a
eligible for independEDI pxamination. I rfrport in respect of my exJmlnation of your ehaiity's accounts a5 carried out under
Section 145 of the Charitie$ 2011 I'lhe 2011 Acl'l, In eafrying out my examination I have lollow¢d the Difeclltyis 9iven by the
Chaflty Commlssion under section 14515llbl of the 2011 Act.
Independent exafflinerfs Y¢port
I have wmplèied my ex3mir*alion. I confirm tha¢ no matlef5 have come to My attention in connectioTr with Ihe examiftallon
giving me cause lo bellev&'.
accounting records We￿ not kept in respect ol th8 company ss reqUI￿d by section 386 01 the 2006 Act,, or
the accounts do not accord with those ac¢ounling records,, or
the 8ccounls ¢Jo not Comply wllh the accounting requlremenls of seciion 398 of the 2006 Act other than any
requirement Ihal the accounls give a 'tru& and fairf vittw which 15 not a matter con5i¢ered a$ parl of an
independent examina￿On', or
the accounts have not been prepared in accordance %Yilh the melhixls and principles ol Accounting atFd
Repoflinu by Charilies.. Slaiemenl of Recommended Praclice for a¢counling and reporting by charilles
applicable to charitie8 prepa¥ing their ac¢ounls in a¢¢ordance with the Fin3n¢ial Reportin9 Slandard applicable
in the UK and Republic ol Ifgland IFRS 1021 efte¢live 1 January 2019,
I have no conc&rns and have come a¢ro&s no other matter8 in ¢onneclion with the examinallon to which 2ttention should be
rawn in this report in order to enable a piopgr understanding of thg accounts lo be rÉach8d.
Keith J
er FCA
Joh
err. Chartered Accountants
375 Ealon Road
West Derby
Liverpool
Meiseysid
L12 2AH
li
05
IoLf

Company number.. 00329203
THE LEAGUE OFW2LLOOERS
DETAILED INCOME AND EXPENOITURE ACCOUNT
FOR7HE YEAR ENDED 31 MARCH 2024
Pag811
31.J.24
31.3.23
Incomg:
Fundrai5in9, room hire. lega¢ies. donallons & glfts
2Q1A15
99,556
Rental income
If8n15- Job Relenliorb Schem&
Income from listed investments
Interest weivable
28,913
25,293
7,308
288
7,377
422
33.092
23S.924
132.e48
Expondltvrn:
Ratès & water
Insurance8
Light. heat & poiver
Wage5 & salari9$
Nalional Insurance
Pension ¢ontfibulions
Telephone & eommunicaUon$
Po$l, printing & stalionery
Adverii$in9 & spoll5Drship
Motor & Ir8valling expens9$
Fuadraising & 8clivilies expendi¢ure
Inveslmont rnana9ement lee$
R¢pair8, ren8wg15, refurbi$hm9nts & maintenance
Cloaning & hyyierie
Se¢vrily
Slatulory filing fee
Professional le¢s
Bank charge5 & card processing fees
Profil on disposal of Motor vehicles
Depreciation- Freehold prop8rt185
Depreciation- Fixtures & fittings
Depreciation- Compvlers
2,922
10,359
22,016
111,022
4,486
876
2,170
414
664
2.661
115,167
2,928
16,21S
7,220
1,387
13
3,306
326
17501
t2,375
66
898
4,561
9,185
26,478
105,995
2,663
1,338
1,945
737
1,328
5,402
24,027
2.861
12.905
7.737
3.601
13
3,276
606
12.375
66
316,746
Net lexpendltUTell Income boloro invostmenl gaSn5 and 105$es
80,8221
94,4511