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2024-12-31-accounts

The Ente rlse Club for Disabled Peo le Annual Re ort For The Year Ended 31st December 2024 Admlnlstratlon Stru re and Govemance The Enterprise Club for Disabled People is constrtuted by Deed of Trust and is a registered Charity No. 230264. Its address is Enterprfs• Hou80, 16 Avon Street, Coventry, CV2 3GL. Charlty Trustees Mr A.C. Benfield {President) Mr D.J. Potter {Secretary) Mrs M. Potter (Treasurer) Mrs R. Reason Dr L.D. Clark Mrs L. Ifeland Mr P. Manger Mr M. Johnson Mrs L. Ha¢kett-Frost Génoral Manager Mrs J.K. Simms Chairperson Mr C. Simms Ob ects and Actlvltles The objects of the Charty are to provKle or assist in the provision of facilities in the interest of social welfare for the recreation and leisure time occupation of people with disabilities in Coventry and the surrounding district with the object of improving their quality of life. The charity's membership numbers some 150 and is staffed by 5 part-time employees and some 50 volunteers. The Social and Fundraising activrties are carried out by a sub-committee of members, the majority of whom are disabled.

The main activities and services provided for the membership. with either physical, leaming or sensory disabilities, over five days and evenings each week. are designed to meet the main aims and objectives of the charty and can be summarised as follows: Daytime Activities 1. The 'A Team,, a day time session for young adults with disabilities, 2. Day Centre including regular lunch excursions, 3.Handicraft Group, 4. Short Mat Bowls practise sessions. 5. Support Group Evenlng Actlvltles 1.Social Evening, 2. Sports Group. 3. Short Mat Bowls League Matches. 4.Theatre Trips A Transport Service is operated by the chanty to support the Weekly Activities Programme. Over 850A of the membership of 150 is dependent on a(xes8ible transport to enable them to gain access to the facilities. The charty ￿rrenIty owns three accessible mini buses. all of which have been purchased as a resutt of fund raising ventures, grants and donations. Mlnl Bu• Fl••t The Truslees have a longstanding six-ye3r replacement programme In place so that Ideally the vehicles are disposed of before they become unreliable and costly to repair. In effect this means that funding has to be available to replace one vehicle every tsvo years. The six-year timescak was lapsed due lo the reduced use of the vehicles during the Pandemic. Our last new vehide went into service in April 2023. over a year later than scheduled. The next replacement is going ahead during 2025. This vehicle will replace the one dedicated to late Gommrttee mernber KathTie McAulrffe and her name will be carried forward onto the new minibus. The wheelchair ac￿Ssible Peugeot Expert People Mover donated in 2018 enhances the Servi￿ we provide, particularly as some our activtties are over subscribed and it is more economical to use when transporting small groups of members; our Short Mat Bowls teams and committee members.

The charity funds the salaries of two part-time employees to support the Transport Service; Transport Co-ordinator and a minibus driver, who operate the vehicles during the day. Since March 2024 National Lottery Awards for All Funding has been in pla￿ to partially support the minibus driver position for Iwo years. A team of volunteers drDie the vehicles on a rota basis in the evenings. A part-time General Manager, employed by Trustees, deals with the day-to-day running of the charity, induding all the administration work, submission of grant applications, and oversees the annual Fundraising Programme. A part-time (ten hour per week) Session Supervisor Post (daytime) wa8 introduced in October 2018. The Session Supervisor works closely with the volunteers to ensure thal they all have duties allocated to them, offering supervision and advu as required. The Session Supervisor has been able to use our e8tabli8hed volunteer netsvorks to recruit volunteers and a88iSted by the General Manager pursue new conts¢ts. A part time (ten hours per week) evening Session Supervisor post was created in June 2021. The Sheldon Trust has awarded a grant to partialty support the post for one year from February 2025. The postholder takes responsibility for the volunteers attached to the evening groups which ensures that adequate assistance 18 available to cover the catering serrfice and member's activities. Initially. this proved to be a challenge due to an acute shortage of volunteers coming forward to cover evening sessions. However the situation improved towards the end of 2023 when several evening volunteers were recruited and adequate support has remained in pla￿. Achlevements and Perfornianco Fundlng The Trustees prepared the annual budget and identified funding prioritie8. The current economic climate and cost-of-living crisis is having an adverse effect on income and expenditure. particularly the S￿nIfICant increase in utility charges. Major fundraising opportunities have decreased since the Pand8mic. The club is now more d8p8ndent on its own internal fundraising schedule. grants from Charitab￿ trusts. donations, and bequests. The charity is currently covering the majonty of the salary costs for five part time p08ts. Over the past Iwo years we have managed to secure partial support for the Iwo Session Supervisor positions and the minibus driver post. but there has not been a successful outcome for the senior positions. The Way Forward The Trustees review the suC￿S, shortcomings and general operations to establish if these are still relevant and appropriate to seNe the membership and to develop ideas, 'Vision' and a business plan for the dub's growth over the nexl five to ten years. SU￿SSion planning is also a priority. The acquisition of the fomer day nursery ne￿ door to the dub by the President's company has presented an opportunity to create a therapy garden for members. There has been no acc￿￿ to outsKle space Sin￿ the charity moved to its current sile in the late 1950's. Members are able to sit oUtS￿e and relax with friends. enjoy barbeques, engage in activrties while taking advantage of the Spring and Summer weather. New activities are being introduced to include basic gardening skills. weeding, mowing and planting. Raised beds and planters will ensure the activities are accessib￿ to all members. The garden is now available to host major fundraising events such as the Summer Fayre.

The General Manager, who is also the charity's designated Safeguarding Offi￿r. and two Trustees su¢¢essfiJlly cornp￿ted a Level Three Safeguarding Adults Training Course. The Transport co-ordinatorldayts.me Session Supervisor, the evening Session Supervisor, and two Trustees hold Emergency First Aid at Work Certtficates. IL Therapy Garden (work in progress) Indivldual Groups Individual groups within the Club continue to play their part in OLJr overall programme. After the Pandemic many organisations remained closed or reviewed the setvices they offer. A8 a result, the club is receiving an unpre(Edented number of enquiries and referrals. The 'A' Team, a social group for young adults, is very popular and many new members have been welcomed over the past year. The group is currently operating at full capacity. Members have continued to participate in a variety of activities which offer opportunities to communicate, make friends, educate, and promote general health and V￿lIbeing. Members enjoy themed arts & craft projects. seated exercise to music, Pool, Snooker, Darts, Mini Crossbow, Wii Games. and quizzes. EXcurS￿nS out in the wider community have continued and members have enjoyed regular trips to Ten Pin and occasional pub lunches. The Handicraft Group has made a significant contribution to the club during 2023. Sales of gocNJs made by our dISab￿d members ex￿eded all exPeCtat￿n8 at the Summer Fayre and Christmas Bazaar. During the year in-house sales have been robust. The Day Centre members continue to partiGipale in a varw of a￿l¥It￿S including weekly quizzes. word search puzzles. adult colouring, and prize Bingo sessions. The number of attendees has increased during the year. Pub lunches are a regular feature on the group's agenda. The y￿eklY support group introduced after the Pandemic for members who were adversely affected by the isolation and lad( of contsrt with friends has proved to be very beneficial. It has become a pennanent fixiure in our weekty activlties programme. Members have time to talk in a small group situation which helps to relieve anxiety and build confiden￿.

The Sports Group combined with the Short Mat BovAs Sedion remains the largest group within the club. Weekly in-house league games in a variety of sports are h￿hlY competitive. The club has one team entered in Ihe WapNickshire & Coventry District Short Mat Bowls League. The current season commenced in October 2024 and reaches its climax in February 2025. Like many other grassroots sporting activities Short Mat Bowls is still struggling to recover from the conséquences of the Pandemic. The 'Lock Down, periods gave people ample opportunity to consider their social commitments and make Changes to their IrfeSty￿S. A high percentage of bowlers fall into the 'seniorf age group and post Covid-19 many decided that they no longer wanted to commit to evening matches due to the late finishes or travel in winter weather conditions. The Bowls Development Allian￿ is working with the English Short Mat Bowls Association to offer practical support and advi(* to those counties who are experiencing difficutties. Fundralslng The annual Walkathon organised by Coventry Leofric Lions, re-branded as Move4Fun, took place in May 2024. A team of thirty-nine members and volunteers from the Enterprise Club participated raising £3.￿0 in sponsorship to support the transport sen41￿. The annual in-house Easter raffle raised £527. the annual Summer Fayrè took place on 23rd July raising 1.639.95. the Christmas Bazaar in November brought in a record £2,300 and the major Christmas Draw raised a further £775. Handicraft sales raised £1,175, the coffee bar and catering sa￿9 brought in £6000. Minor weekty raffles. Black Out Card8. and a weekly 100 Club al80 bring in a significant income. Grants and Donatlons The securing of grantsldonations from Charitable Trusts. Businesses etc. in addition to the Management Committee's own fundraising venture8 18 essential if the club is to continue to flourish. Funding is required to support the weekty programme of actNities, our transport requirements and also enables the Management Commrttee io purchase necessary items of equipment and carry out minor repair and refvrbishment projects to keep the building in a sound and secure condrtion. Ganaral GrantslDonationB Coventry General Charities -£23,￿l￿partIal support for utilities, purchase of bulk supplies of activity materials (handicraft supplies, arts & crafts materials etc). subsidy for members, Christmas lunch. renewal of building insurance policy. refvrbishment of snooker and pool tsbles, rep1a￿rnent of emergency Iyhting system National Lottery- Awards For AII-£19,62￿partIal support for minibus driver and Casual Driver salaries, transport costs, partial support for uts'lty costs The Eveson Trust-9850-support for cleaning contract. two deep cleans, minor refutbishments to wash room facilities The Screwfix Foundation-£5.0(X)-partial 8UPPOrt for r8platsment Central heating boiler & thermostaticalty controlled radiator valves The 29th May 1961 Chaiitable Twst -un￿strICted donation £5,000

The Charitable Tnjst - £2,5CY) -partial support for rep1a￿rnent boiler The Citizen Local Fund - £1.150 - to support development of Therapy Garden Bonds & Fords Almshouses & Coventry church (Municipal) Charities- £1.000 - To support members, actNitEs F.C. Stokes Charrtable Trust - £750 - UnreStr￿ted donation The Asda Foundation Grassroots Grants - £4LK) - lo support Therapy Garden Donation - Allesley Festival - £150 Donation - Coventry Caravan & Carnping Clut￿£500 Donation-ln Memory- Late Duncan Lindsey- £1.079.65 8equest-Late John Tasker - £4,235.29 {third payment) Annual donation: The 29th May 1961 Charitable Trust - £5,000 Our Volunteers The charity is very actNe in the wider communty and volunteering opportuniti8s are always available. The Annual Report drav￿ attention to the impact that volunteers have on the day-to4ay running of the charity. All the activities undertaken depend on support from volunteers to enable them to be carried out efficiently so that they provide maximum benefit to our disabled members. We currently have reliable volunteers available to assist wrth the catering, the transport service and the activity sessions. Volunteers provide our members With the services they cannot manage themselv69 and our members achieve with the support of volunteers. We attract volunteers from a variety of Sources; Coventry Voluntary Action, The Duke of Edinburgh Award Scheme, sixth fomi students from local schools, and the wider community. We recognise that there is a great deal of competition for volunteers. as many organisations are having to make cuts to paid posts to rely increasingly on support from the voluntary sector. The charity works to provKle volunteers wilh skills and experience that will equip them for the work place. We want to ensure that volunteering is a worthwhile and productive experience, so we offer training to our volunteers. A group of ten minibus drNers hold the MIDAS {Mini Bus Dfiver Awareness) qualificatlon. Safeguarding training is also made available to all volunteers. Volunteers are also offered the opportunity to develop further skills by taking an Emergency First Aid at Wod( Course. The Len & Peggy Tasker Diamond Award. narned after one of our late Founder members, is presented annualty to a volunteer who has given eX￿ptIOnal service to the charty. Our volunteer mission statement sums up the significant o)ntribution made by our volunteers.. Volunteers are our'Heroes' 'Volunteers. Enable. Enrich. and Enhan￿ our members, lives,

Flnanclal Review and Reserves Pollcy As detailed in the Statement of Financial Activities, total income for the year was £145,60112023 . £1561536). During the yearthe charity major donations from: Coventry General Charities £23,000 National Lottery (Awardsfor All) £19.620 29, May, 1961 £10.000 Screwfix E5iQOQ Eveson Trust £&ooo Expenditure in the year of £142,365 (2023.. £140.4771 re5v￿ed in a net surplus of E3,23612023: £16,059) before an inve5tment10s5 of £35812023- £7841. Note 12 to the accounts details the representation of funds and shows that the free reserves (vnrestricted funds) were £3071624 (2023 . £307.484). Net current assets amounted to £123113412023.. £1221434). In 3013 the Trvstees established a reserves policy whereby unrestricted reseNes should ideally be maintained at a level equating to at least 6 months of vnrestricted expenditvre. In 2024 the unrestrirted expenditure of the charty was £90,49112023 '. £96,136). On this basis the free reserves of the charity significantly exceeds the vnrestricted expenditvre and would meet the requirements of the reserve5 policy. To provide further clarityi at the 31 December the net current asset5 Of the charity (predominantly cash) were 1.9 time5 the total expendrture of the charity for the year12023.' 1.8)

The Enterprise Club for Disabled People ststement of Financial Artivities For the Year Ended 31 December z024 2024 2023 Total Endovmient Totsl Notr Funds Funds Funds Funds Funds Incom•'. Donations ènd Legacie5 61635 51364 1281376 Charitable ActNr(ies 7.358 7,3s8 6,105 Investments 7,026 511 Other JJ8 228 Tot•1 In¢om• ExP•r￿11vrl.' Expendrfcure on charrtab •Clfviti¢s Total Exp•ndltur• Net incomellexpendrturtl (>2yl 6,490 236 16,059 Losson Investment ass•ts (3581 ts$81 17841 Tr•nsfer betw¢n funiJ5 Net movements in fvnds 40 1,878 1&27S Reconclllatlon of fvnils.. Total funds broughtforward Tot•1 fvndsc•rried for•rd Tho statment•f fiftaTrcr41 a<tryf(ies inckd5•119oims ar￿ kns5e5recognxd in the year. All In¢tyne and expenditure derlve from continuing attivtties.

The Enterprise Club for Disabled People Balance Sheet as at 3151 December 2024 Note 3024 2023 FIXED A55ETS Tangible Assets Investments 215774 226,820 25&963 267,367 CURRENT ASSET5 Building Society Dep05itS Debtors and PrepayThents Bank Balance5 163,828 10%136 4005 39,868 8,648 005 &868 Cash in Transrt and in Hand 5131 TOTAL CURRENfASSETS 272,832 Js8,657 CREDITOR5 Amount5 falling duewtthin oneyear io

333 440 NET CURRENT ASSETS 24499 25513x7 NET ASSErs 62 21 FUNDS Haryweston Endowmentfund Restricted funds 13 2￿,838 7,625 210,100 Unre5tncted fvnds 307t484 TOTAL FUNDS 62 12 Theaccounts on pages 8 to 17were apwoved M beha￿oftheTwu5teeS by: qRe4k. 29 A.C. Benfield. Chainnan M.Potter. Treaswer Dated

The Enterprlse Club for Dlsabled People Note5 to the Accounts (continued) For the Year Ended 3Srt December 2024 Accounting Policies {al Basis of Accounting: The financial ststement5 have been prepared in accordance wtth the accountit)g policies set out in note i to the financial statements and cpmply with the charstY5 goveming document, the Charltles Act 2011 and"Accovnting and Reporting by Charities- Statement of Recommended Pra(tice applicablè to charities preparing their accounts in accordance wfth the Financial Reporting Standard applicablt in the UK and Republic of Ireland IFRS 1021" leffectlve i January 20191.The accounts are produced on the accruals and prepayments basis. Ibl Incomln9 re￿￿rCes.. Donations, grants and all other incoming resources are accounted for on a receivable basis where this is quantffiable. The value of services provided by voluntèers has not bèen in¢lvded. Icl Resource5 expended: Expenditure15 recogni5ed on an Kcount ba515 and analysed by natural category. Idl Depreciation: Depreciation is provided atthe following rates based on the estimated u5efvl life of these ftxed a55et5 and their anticipated residual value.. Vehitlts 16 21396 straight line Fvrnrture, FixturÈs. Frttings and Equipffnt 20% reducing balance Computer Equlpment 33 ￿396 straight line (el Fund accounts= (il Unre5trirted funds are donations a￿ other income received orgenerated for the objerts of the charity without hjrther specified purpose and arè availèble as fvnds which the charity may V5e for Its purposes at hs dlscretlon. (li) Oes19nated fvnds •re donations and other income received which 15 5peclflcally des19nated by the trustees for a specrflc purpose. {iiil Restricted funds are to be used for specified pLrrp¢)ses as laid down by the donor. Expenditure which meets these crtterio is identified to the fvnd. {ivl The Endowment fvnd is described further in rlote 13. io

The Enterprlse Club for Dlsabled People Notes to the Accounts (continued) For the Year Ended 31 December 2024 DoNtioMarKI Leg•ci UnTestrKted RtstrKted Endowmert FLmds Funds Fvnds Totsl Funds 1024 2023 General Dcffiathjns Le9a¢its Tran5POrt Grnnts: CoventryGenerèl Charrties Joguar Landrover leart of En9lantJ CSW Heart of En9land 39th May 1961 Chèrrty New Bus Grants Citizen &413 135 17.998 %413 33S 141192 27,591 18,163 174 2>000 Isi 372 5110 27,000 4150 Eveson TnJ51 Coventry Church IMunKry>all Charit￿$ ASDA Coventry and D151n"ct Ch•rItab￿ Trust WPHChanty S(rewPIx AwardsforAII General FundralOng I,ooo 400 400 694 21500 590 X9.610 2&979 64625 2&979 1191989 22,708 1261376 581364 The Charity beneffts 9reatly from the invdvement and enthusiastic support of its manyvolvnteers, details of which are included in our annu41 report. In accordance wrth accounting Standards. the economic contribvtion of oui volvnteers Is not me)svred In the •c¢ounts. Inc•m• fmm Charit•bleAthi VnrestrKted RestrKted End0*Tr￿t Funds Total Funds Funds 2024 2023 Ropm U3a9e 100 Club Theatre Events )00 2,844 4316 3159B 7t358 &316 21598 71358 1,226 6,105 li

The Enterprise Club for Dlsabled People Notes to the Accounts (continuedl For the Year Ended 31st December 2024 Incornefrom Invertmw Unresthrted Restricted Fund5 Endovfflient Funds Total FL+nds Funds 2024 2023 Dividends RecÈNed lste bel¢)wl Imerest Recewed ¥oio 5017 7.026 51017 7ioz6 2.502 531 In¥ortm•1￿ Ass•ts 2024 1023 $96 Investment Stock 2025 Investments at Plistori( C05t 40,￿9 50,204 40,547 50.204 The charty held fortythousand. cffie hundred and ewjhty-nine poundsand 23 pence of $96treasury st¢xk 2025. Atthe 31" December, 2024 the prlce per £ioD of stc<k was £icrf)12023.' £w.891. Allthe chamys inve5unent income arlses from the investment stock ènd interest-beamg deF￿lac£(￿l}ts. Other In¢om• Unre5trided Restricted Endo￿1 Funds Funds Totsl Fund5 Funds 2024 2023 Mernbers Subscnptk)n M15cellaneou5 Inc￿1￿ Catering DIsPOsal of Fixed Assets 496 331 496 443 967 91133 71000 17,543 101401 101401 228 1&228 Exp•ndituryon Ch•rit•bbe Artiviti UnrestrKted F￿d5 RestrKted Endowment Funds Funds Total Funds 2024 2023 Tran5POrt C•terin9 Events Staff Colls Utilities linc. Wat*) Insurance Telephone Posta9e, printtn9 •nd srationery no 7,550 13,280 7,969 4,605 S7,568 1&348 2,759 62 J 38 151417 71297 310 53,021 13,233 21593 2,107 5&538 4,648 759 6z3 38 YG 1257 2,498 2,030 758 13,354 5,377 4svu 2,227 7t401 41484 820 Cleaning and HY9￿ne Sport5 Equipment Oepreciation Craft and Equipment IT Softwarè and Conwmables Affiliation Bowling Gardening Training Music Liconse General Expensès Legal and Professional Fees Bank Charye5 Intlependent Examinatthb 203 345 134 22.698 22,901 2L907 1,315 390 430 259 1,459 &134 246 338 &550 zz8 338 1,550 118 280 901491 5&874 142,365 1401477 12

The Enterprise Club for Disabled People Notes to the Accounts (continued) For the Year Ended 31st December 2024 Analysisof staff costs. staff numbersandtntstee romunernt¥)n and exponses 2024 2023 Expenditvre includes staff costs as folh)ws". Salaries Employer Pensk)n Total Staff Costs 55243 2,325 57,568 49,989 3,031 53,013 The avera9è monthly headcovnt Was 4 Staff12023'. 4 stafft and the average morbthly fvll-time equivalent employees linclvding part-ttme staffl wa5 3 Iz023= 31. No employee was paid more than E60,00011023: nill.The charity operates and contributes to a workplace pension scheme. The charity trustee5 were not paid or received any other beneffts from employment with the charity In the year neither were they reimbursed expenses during the year12023.' nill. No charity trustee received payment for professlonal or otherserylces suppll•d tothe charty durfng the year11013= nlll. T•n9ible Fix•d Ass•ts Freehobd Moto Veh￿￿$ Fixtu￿$, FvmTrture •nd Equipment Computer Eqvlpment Tot•1 Co As at 1st January 2024 Adéitions Dispoy15 Asat 31st Oecernber 2014 098 134.123 14929 11,854 &158 379.129 14954 244098 134,123 16¥783 4158 390,983 Depreci•tion A$ 4t istjanuary 2024 Char9elorth ye•r Dlsposals As èt 31st December 2Q14 72,897 ia838 6.386 751 203 2071487 ?1,901 16*312 8%z09 40114 955 23QJ388 Net Book Value A5 at 1st January 2024 As at 31st D￿ember 2024 4SO98 149,098 64226 44.914 36,0 406 Z26,821 21&774 203 13

The Enterprise Club for Disabled People Notes to the Accounts (continued) For the Year Ended 31st December 2024 D¢btor5'. arnountsf•lling duewithinc year. 024 Prepayments 4CQ5 1.005 Cr•ditors: •mountsfolling duewrthin onèye•p. 2024 3023 HMRC Accnjèls 21441 892 358 Losson investment B•l•nce as at 3￿]112024 Ix: Anal￿5 of 141o¥•ments in Funds oJlo]12024 In¢¢ Exwdtture Transfèrs Endowm•nts R•rtrirt•d Funds Admin and Trainin9 Fund Property and EqLlprfient Appeal Transport Fund Activit1è5 Fund Heart of Englond (Helplng Hands) Heart of Englènd CSW J•9u•r Landrover Coventry GeTh¢ral Charities 1024 ASDA (Gardening) Cf(izen (Gardening) Coventry Church {Munict￿lI Charltles WPH180iler> Screwfix18oilerl AwardsforAII Eveson TnJ5t Coventry and District General ChaFIt Sport5 GrovpAppeal Covid Rèsponsel Recovery Fund Total Restrfrted Funds 5079 98,517 91977 8,355 079 101,631 76,665 8,355 16,3861 116,3121 9,500 1701 110461 804 1441 Ii,oool z>ooo 400 150 I￿998) 9,001 400 389 s80 17611 14201 121500) 1%620 140301 112271 (6441 8,590 &538 (J5381 1&75al 58364 ts48y4) 24838 Designated Funds 8uilding Fvnd 9098 149,098 Unr•*trirt•d Fvnds 8) 3.753 Is8.526 Total Funds 81 14

The Enterprtse Club for Disabled People Notes to the Accounts (continued) For the Year Ended 31st December 2024 ii: Analysis of Movmtnts in Funds IPriorYearl Losson investsnent ssets Balance a5 at 3Y1212023 oJIOy2023 I￿11￿ Transfers Endowm•nts R•strlcted Funds Cornrnunity Fund Projects Admin and Trainifi9 Fund Property and Equipment Appeal Transport Fund Activities Fund Heart of England (Helping Hands) Heart of England CSW lagvar Landrover Coventry General Charitlts 2023 Sports Group Appe•l Covid Responsel Re<overy Fvnd Tot41 R•strirt•d Funds 44167 335 134639 82,289 10,789 141,1671 12461 1079 981517 93t977 8,355 70 3,850 144 12&8081 27.000 116,3121 3+4341 14301 4850 12381 11&0201 11351 20

660 a7&674 3538 14434x1 16kn955) Designated Fund¥ Buildins Fvnd 149,098 149,098 Unr•%trid•d Fvnds 228.635 61 I8￿¥3) IsO.386 Tot•1 Funds 23 D•xrfptk+n, N•ture and PUry1￿ of Re5tric¢ed Funds Community Fund Project Property ènd Equipment Fund Admin and Training Fund Transport Fund Activitie5 Fund Volunteer Development Fund H•Art FnglanA ICQWI Coventry General Charrties Sports Group Appeal ASDA and Cltlzen PIousin9 Coventry Municipal Churthes Coventry and Distrirt Charitab￿T￿St WPH and S(fewFIx Awardsforall Eveson Trust Invellment tn club t￿Ilding (fixed asset) Propertyand equipmem to benefit the club Training forstaff, drivers and vokmte Investment in min1t￿Se${fiXÈd assetsl and running costs Health anil well-bein9 aCtwr(te5 and equipment for members Employrnent of a session supervisorand volunteer Eralnlng Fvndin9 f¢y SportSw••r Funding forthè Multip￿ artivTrtie5 of tho charity Fundin9 for ihe Sports Group. Gawtlen upkeep Fund for handKraftaaNiDe5 Funij for handKraftactNities Fv¥MI for new tKJilerinstallation Fund to SUPp￿tthe cost of trnnsPO¢ vtilities and salaries Fund to SVPPOrtcleaning and tol￿t refijrbishment 15

The Enterprfse Club for Disabled People Notes to the Accounts (contlnued) For the Year Ended 31rt December 2024 xz: An•lysis of Assets 8¢iWe￿ F¥nds Unfestricted RestrKted Endo￿ne￿l Funds Funds Funds Total Fund5 2023 2024 Tan9lble fixed assets Fixed a55et Investments Cash at bank and in hand Othernet current assetsiiliibiliiiesl 145301 3&189 11&461 12,328) 307.624 661473 21%714 40,￿9 27¥827 12.3281 525,462 116,821 40,547 357,653 46,36s ?1?,838 522,585 $3: H•ryW•rton Endowm•nt Fund The Sum of É5,000 wès beqveathed by the Mr HaryWeM¢)n M.B.E. to be vested in the Chairman •nd Tfeawrerforthe tirne being and onlythe Inteiest shall be used forthe general purF#)se5 of the Club until such time as the fvnd is wound up in ccordance whth the Constrtution. . R•lat•d P•rty Tr•ns•ctioM There were no related partytransartions(kthg the yearl2023.'£nifJ. 15.. C•pkal Commiim•nts There were fio outstandlng capital cOMmttw￿ a5 ai 31* Dttemtor 202412023: nlll. 16

The Enterprlse Club for Disabled People Notes to the Accounts (continued) For the Year Ended 31st December 2024 16: Prior Year Statement of Financial Artivitres 2023 UnfestrKted Restricted Endowrnent Funds Fund5 Fvnds 2022 Totsl Funds Total Funds Note Income-. Donat￿n$ and Leg•ri•s 81654 4&733 138,376 14&772 Charitable Act￿11￿$ 105 6,105 &631 Investments 512 41511 1,231 hLY Total Income 161 Expenditure.. Expendtture on ch4ritable a<tivities li Totsl Expenditur¢ Net Inc¢)mllxpend*turel 678 16,059 44,364 Losson Investmeni assets 7841 14,2191 Transfer between funds Net movements in funds 78.849 16&5741 1&275 40,145 Reconciliation of funds: Total funds brought fO￿ard li Total funds carrted forward 17

Independent examinerfs report to the Trustees of the Enterprise Club for Disabled People I report on the accounts forthe yearended 3￿t December 2014 which are set out on page5 8 to 16. Respective responsibilities of the trustees and the exarniner The charity's trustees are responsible for the preparation of the accounts. The charity's trustees consider that an audrt is not required for thi5 year under Section {zl of the Charities Act 2011 (the 2011 Artl and that an Independent examination is neeiled. It is my responsibilty to examine the account5 vnder 5ertion ¥5 of the 2011 Act,. follow the procedures laid down in the General Directions given by the Charity Commissioner section 4s Is) Ibl of the 2011 Art- and state whether particular matters have come to my attention. Basis of Independent Examinorfs Statement My examination was carried out in accordance with the General D1￿ctionS given by the Charity Comrnission. An exomination Includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes considering any unusual items or disclosures in the accovnts, and seeking explanations from the trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in a full audit and consequently no opinion is given as to whether the accounts represent a '*rue and fair Vie￿ and the report is limited to those matters set out In the statement below: Independent examinerfs statement In connertion with my examination, no matters have come to my artention.. li) which give me reasonable cause to believe that in any material respert the requirements to keep accovnting records in accordance with section 130 of the 2011 Act,. or to prepare accounts which accord with the accounting records and comply with the accounting requirements of the 2011 Act have not been met,. or 12) to which, in my opinion, artention Should be drawn in orderto enable a properunderstanding ofthe accounts to be reached. Gavin Kibble Mozaic Innovate Ltd i Kineton Road, CoventryiCV2 3NR 26th April, 2025 18