Chariry registration number= 241556
Catholic People's Weeks
known as
cpw
Annuaj Report and Financi￿ Statetnent5
for the Year Ended 31 December 2021

Catholic People's Weeks
kDown as CPW
Content5
Referenec and Administrative Details
Trustees. Report
2to3
Independent Examin¢rfs R¢w)rt
Statement of Finan¢ial Activities
Sto6
Balance Sheet
Notes to ihe Financial Statements
8t014

Catholic People's Weeks
known as CPW
Reference and Administrative Details
Trnstees
Patricia Worden. President
Barbara Wil$on, Chair
Robert Cook. Secretary
Liz Dingle. Treasurer
Mtcha¢l Will¢ox
Rebekah O'Keeffe
Brid Fitzpatrick
Mary Hu¢kfield
Pablo Guidi
Gabriela Todd
Chjrity Regl$ttgtlott Number
241556
Prkn¢ipAI Offite
8 Buccleuch Avenue
Cliiheroe
BB72DZ
Independent Ex9miner
John O'8rien. employee of
Cornrnunity Accounting Plus
Units l & 2 North West
41 Talbtst Street
Notting?hwn
NGI 5LG
Page I

Catholi¢ People's Weeks
known as CPW
Truslees, Report
The tTU$tees pr¢sent the annual reptsrt togdher with the finan¢ial statements of the chariiy for the year ended 31
December 2021.
Objectives #nd activities
Objects oim
The objecis of CPW are the protnotion of the education of Catholics in their faith and its practice and the
deepeiiing of the Chrisiian life in home. parish. place of work attd s(Kiely, by the holding of residential and
other programm¢s which eater mainly bul not exclusively for the whole family.
Objeclives, stra¢egies and qclivilies
CPW runs resideniial courses. from 2 to 7 day5, duration. to help members deepen their und¢r$tandirtg of the
Catholic faith. Some courses are for all-age groups including Children: others are for adults only. All Combine
study with recreation and ihe chance to live (briefly) in ¢ommllnity. Since lockdown, CPW has also organised
on-line events wtth members meeting on Zoom. Apart from ihe very first event {whi¢h was to replace the
planned in-person event in swnmer 20201. these are usually day or evening events. Membership is open to all
Roman Catholics and people in sympathy with the Catholic irddition.
Publie benefii
CPW provides a public bEnefit by increasing the kthowled8e and understanding of the Catholic faith by its
members. and helping its members learn about living ID community..
The ¢nJstees confirtn that they have Complied with (he requirements of section 17 of the Charities Act 2011 to
have due re8ard lo the public benefit guidance published by the Charity Cotnrnission for England and Wales.
Aehievement$ 9nd performAnce
We held 3 main residential events in 2021: in Kinibury in the south. AllensfoTd in the north and a walking week
in PenniaenTnawr. Wales. We also org&nised an online weekend on the theme of prophecy. and several one
daylevening on-line lectures and discussion ¢vents, ineluding our delayed BGM in May. Wc continued to
provide x w¢¢kly opportutjity for on-line prayers which w&5 very rnu¢h appreciated. noi le&st as a way of
maintaining community at a time when travel and face-to-face meetings were Festrkcted by the ¢ovid paThdemic.
Fin#n¢i#l review
The ¥eneral fund stood 01 a littl¢ over £J4,(100 01 the end of the period. This is more ihan the amount requtred by
our reserv¢5 policy bui it has been ditTtcult lo u¢ilise the additional reserves Mhen we ar¢ unabl¢ to put on as
many residential events ￿ in pre-¢ovtd iim¢s. The Trus¢¢es have considered other options for the use of thes¢
runds and in 2022 have pui on a rtsideniial weekend for the dtveloptnent of our rurTent and wtential Helpers
(the name given to the lusuallyl youn¥ adults that supervise the children's activities at our all age ¢v¢rttsl.
The bursary fund stood al just oveT £16,000. Whilst thi5 1% 1¢$$ than at the start of the year. rnore needs to be
done lo promote the use of the bursary fund
asain dtfficult whcn fewer events are rllnning. The World Fund
had a balance of just over £1,000. with most of the funds held at ihe beginnin8 of the year now passed onto the
relevant overseas ¢harities.
The main financial risk faced by CPW is an event having to be cancelled and monies Wdid upfrotlt being
non-refundable.
Page 2

Catholic People's Weeks
known as CPW
Trustees, Report
Polio? on ￿serVeS
Our reserve5 policy Tequires us to hold between £1 1.000 and £25.(M>O to cover flu¢tuation5 in cash flow (paying
for a residential centre before rnembers have paad their bills) andlor the financial risk of an event havin8 to be
¢￿¢¢17¢d and monies paid upfront being non-refundable.
Structure* governance And mgnagement
Naiure ofgoveruing d￿￿ment
The ¢hariiy is operated under the rnl¢s of ils ¢onstituiionltrust d¢ed adopted 0000 and most recently amended
0000.
RecrMi¢menl andopp(pinimenl tru5tee5
Trustees are recruited from th¢ In¢tnb¢rship. Members are asked at each event they attend if (hey are interested
in being on the committee. They are also asked when notified of the BGM whether they wani to put themselves
forward for any vacant position5. They are then voted on at the BGM. Mcmbers can also be co-opted onto the
¢OTnrnittee by tht TTUStees at any point.
Statement of Trustees, Respon5Rbilities
The trustee5 are respon%ible for preparin¥ the tru5tee5' retK)rt and the financial 5taternents in accordance with the
UDit¢d Kingdorn A¢counting Stsndard5 (United Kingdom Generally Accepted Accounting Praciictl and
applicable law and regulations.
The law applicable to chaTilie5 Tequire5 the trustees to prepare financial 5tatement5 for each fiiiaiicial year which
give a tru¢ and fair vi¢w of thc stale of affairs of Ihe charity and of Ihc incomin8 resources and application of
resources of the Charity foT that pertod. In preparing these financial sthtements, Ihe trust¢es are required ro..
select suitable accounting polici¢s and then apply them consi5tently*
observe the methods and princip1¢5 in the Charities SORP,.
make judgements and eslirnates that are reasonable and prudent..
stale whether applicable accounting standards have been follo￿,¢d, subject io any material departures
dis¢los¢d and explained in the financial statements- and
prepaTe th¢ finan¢ial stat¢ni¢nt5 ori the going con¢em basis unless it is inappropriate to presume that the
charity will continue in business.
The trustees are responsible for keeping proper ac¢ounting records that disclose with reasonable accuracy at any
time the financial position of the ¢harity and enable theni lo ensiire that the financial statements comply with the
Charities A¢t 201 l. the applicable Charities (Accounts and Reports) Reoulaiions. and the pn)visions of the
¢onstiiuiion. The trustees are also responsible for safeguarding the assets of the charity and hence for taking
r¢asortabl¢ st¢ps for the pr¢v¢ntion and detection of fraud Qnd other irregularities.
and signed on its behalf by..
Barbskra Wilson
Trustee
Pa8e 3

Catholic People's Weeks
known as CPW
Independent Examiner's Report to the trusteeg of Catholic People's Weeks
Independent exY4rniner'$ rep)rt to the trystees of C*tholic People's Weeks
l report to the tTUStees on my ¢xaminatton of the accounts of Catholic People's Weeks (the Charity) for the year
ended 31 Dec¢mber 2021.
Responsibilities and ba515 of report
As the trustees of the charity you are resportsible for the preparation of the accounts in accordance with the
requirements of ihe Charities Act 2011 {'the Act'}.
I report in respeci of my examination of the Charity'5 accounts carried ollt under section 145 of the 2011 Act
and in Ca￿yIng out my examination I have folloived all the applicable dir¢¢tions given by the Charity
Commission under Section 145{51(b) of the Aci.
Independent ex*mlner'$ statement
I have cornpl¢t¢d my examinatton. I confirm that no matters have come ¢0 my attention in conllection with the
¢xamination giving m¢ ¢aMse lo b¢lieve that in any material respect..
accounting records w¢r¢ not kept it) respect of the Charity as required by section 130 of the Act. or
2. lh¢ accounts do not accord with those re¢ords; or
3. th¢ accounts do not Comply with the aecounting requiretnents ¢on¢eming the fomi and content of accounis
set olli in the Charities (Accounts and RepK)rtsl Regulations 2008 other than any requirement that the
a¢￿Unts give a 'true and fail view which is not a mait¢r considered a5 part of an independent examination.
I have tLO con¢¢rns and have come across other tnatters in ronne¢¢ion with the examination to whith att¢niion
should be drawn in this report in order to enable a proper und¢rsiatkding of the account5 to b¢ r¢A¢h¢d.
rien Msc, FCCA. FCIE. employee of Community Accounting Plus
Fellow of the Asso¢iarion of Charity Independcnt Examiners
Units l & 2 North West
41 Talbot st￿¢t
Nottingham
NGI 5LG
31110122
Page 4

Catholic People's Weeks
known as CPW
Statement of Fillancial Activities for the Year Ended 31 December 2021
TotAI
2021
Ttstal
2020
Unrestricted
Restricted
Note
Income and Endowments from:
Donation5 and legacies
Charitable activities
Invesimeni income
735
25.761
279
735
28.308
279
565
17,365
379
2.547
Total Income
26.775
2,547
29,322
18,309
Expenditure on:
Charitable activities
124,126)
135,3101
10,682}
Total Exp¢nditur¢
124,126}
135,3101
110,6821
Net movement in funds
2,649
18.637)
{5.988)
7,627
Re¢onciliatioN of furEds
Total funds brought forward
32.861
26.005
58,866
51,239
Total funds Carried fOrn￿rd
35.510
17,368
52,878
58,866
All of the charity's activitie5 derive from continuing operdtions durin8 the above two periods.
The funds breakdown for the period i5 shown in note I l.
The notes on pages 8 10 14 fomi an int¢grdl part ofthe5e financial statements.
Pa8e 5

Catholic People's WeelLS
known as CPW
Statement of Financial Activities for the Ye8r Ended 31 December 2021
These the figures for the previous ac¢ouniing period and ore iDcluded for compxr•tlve purposes
Total
2020
Unrestricted
Restrieted
Note
Ineome 8nd Endowrnents from:
Donations and legacies
Charitable activities
Investment income
565
7.501
379
565
17.365
379
9.864
Total In¢om¢
,445
9,864
18,309
Expenditure on:
Ch￿lIable a¢iivities
17,9521
1?,7301
110,682)
Total Exp¢nditur¢
17,9521
2.730
10.682
Net movement in funds
493
7.134
7.627
Reconciliation of fuMds
Total fi]nds brought forward
32,)68
18,871
51,239
Total funds c&rried forward
32.861
26,005
58,866
The notes ort pages 8 to 14 fonn an integraj part of these finan¢ial stai¢m¢nts.
Page 6

Catholic People's Weeks
known as CPW
(Registration number: 241556)
Balance Sheet as at 31 December 2021
2021
2020
Note
Current 9ssets
Debtors
Cash at bank and in hand
1,703
54,282
(2,4301
64.855
55.985
62.425
Creditor&: Amounts falling due within one year
10
13.107}
13.5591
Net Assets
52.878
58,866
Funds of the ¢h*rity:
Restricted ineome funds
Restricted funds
17.368
26,005
Ilnrestrieted income funds
Unresiricttd funds
35,510
32,861
Total funds
52,878
58,866
The financial staÈements on page5 5 to 14 were approved by the Injstees, and authorised for issue on
..11.10122.. and signed
IheiT behalf by..
n81
Trustee
The noies on pages 8 10 14 form an iniegral part of ihese financial statements.
Page 7

Cv4tholic People's Weeks
knolvtt as CPW
Notes to the Financial Statements for the Year Ended 31 December 2021
l Aeeouotlng policies
Statement of complignce
The financial statements have been prepared in accordance with the second edition of ihe Charilies stsiem¢n¢ of
Recommended Practice issued in October 2019. the Financial Reportin8 Standard applicable in the United
Kingdom and Republic of Ireland {FRS 1021 atkd the Charities Act 2011.
Basi5 of preparation
Catholic P¢opl¢'s Weeks meets the definilitsn of A public benefit entity under FRS 102. Assets and liabilitie5 are
initially recogrtised at hisiorical cost or transaction value unless otherwise stated in the r¢l¢vani accountin8
]K)li¢y notes.
Exemption from preparirtg g cg8h flow $tÈtement
The ¢harity opted to adopt Biilletin I published on 2 February 2016 and have ther¢for¢ not included a cash flow
stateTnent in thes¢ financial statements.
Going coneern
The financial statements have been prepared on a going concern basis.
The trustees &ssess whether the use of going concern is appropriate i.e. whether there are any material
uncenainties related to events or conditions that may cast signifi¢ani doubt on the abiliiy of ihe charity to
¢on¢inu¢ as a gotng ¢on¢em. The trustee5 make this assessment in resp¢ct of a period of one year from the date
of approval of the financial slatemeftts.
Income endowments
Voluntary income including donataons, gifts. legacies and grants that provide core funding or are of a general
nature Is reco8nised when the charity has entitlement to the income, it 15 probable that the income will be
received and the amount can be measured with sufficient reliability.
Donalions a￿dIe£￿tI
Donations 8nd legacies are recognised on a receivable basis when r¢¢eipi is probable and the amount ¢an be
reliably measured.
Deferred income
Deferred income represents amounts received for future pertods and is ￿leaSed to incomin8 re$gurces in the
period for which. it has been rectived. Such income is only deferyed when..
The donor specifies that the grant or donation tnust only be used irt future accounting periods,. OT
- The donoT h&5 imposed ¢ondiliOllS which must be met before the chariiy has ￿nCOndItiOnal entitlement.
Invejithenl incon
Dividends ar¢ r¢cognised once the dividend ha5 been declared and notifscation h&s been r￿Cl¥ed of the dividend
due.
Page 8

Catholic People's Weeks
known as CPW
Notes to the Financial Statements for the Year Ended 31 De¢¢mber 2021
Expenditure
All expendiiure is recognised once there is a legal or eonsiruciive obligation to thai expenditure, it is probabl¢
settlement is required and the amount can be measured reliably. All costs are allocated to the applicable
expenditUTe heading that aggregate5 similar costs to that category. Where cost5 cannot be dircctly attributed to
particular headings they have been allocated on a basis consistent with the u5¢ of resouTce5, with central staff
costs allocaied on the b&%is of time spent. and depreciation charges allocated on the portion of the &sset'S U5¢.
Other support COS15 are allocated based on the spreaé of Staff Costs.
Choriluble oclivilies
Charitable expenditure comprises those costs incurred by the ehariiy in the delivery of its activities and services
for ils beneficiaries. It includes both costs that can be allocated directly 10 such activities and th05¢ f05ts of an
indirect Natu￿ ne¢essary to support them.
T8xgtion
The ¢harity is considered to pass the tests s¢t out in P&rdgraph I Schedule 6 of the Finance Act 2010 and
therefore it meets the definition of a charitable company for UK COTporation tax purposes. Accordingly. the
chariry is potentially exempt frojn taxation in r¢spe¢t of income or capital gains received within ca¢egories
covered by Chapter 3 Part I l of the CoTporation Tax Act 2010 or Se¢tion 256 of the Taxation of Chargeable
Gains Act 1992, to the extent that such incorne or gains are applied ex¢lusiv¢ly to charitable purpos¢s.
Trade debtors
Tradc debtors are amourtts d￿e from customers for merchandise sold or %Tvi¢es perfornied in ihe ordiTWy
ourse ofbusin¢ss.
Trade debtors are recognised initially at the transaciion price. They are subsequently measured at amortised cost
usin¥ the efrTecti¥e interesi method. less provision for impaiment. A provision foT the impainnent of debtor5 is
esiablished when there is objective evidence that the Charity will no¢ be able tts colleet all amounis du¢
according to the original temis of the r￿Cl¥ab]eS.
Cash and cash equiv*lents
Cash and cash equivalents comprise cash on hand and call dep051ts, and other %hort-tem highly liquid
investments ihat are readily convertible to a known amount of cash and aT¢ subject to an insignificant risk of
¢han8e in value.
Trade creditors
Trade creditors are obligations to pay for goods or services ihai have been aCqUi￿d in thc ordinary ¢our5e of
business from supp15er$. Accounts payable are classified as Current liabilities if the charity does not have an
unconditional right, * the end of the reporting period, to defer settleinent of the creditor for at least twelve
months after the reporting date. If there is an unconditional right to defer Settlement for at le&st twelve months
aft¢r the reporting date. they are prcsented as non-current liabilities.
Trad¢ Creditors ar¢ recognised sniiidly Bt the irJnsactson prsce and subsequently rne854Jred at amortised cost
using the effeciive interest method.
Page 9

Catholic Peopl¢'$ Weeks
known as CPW
Notes to the Financial Statements for the Yegr Ended 31 D¢e¢mber 2021
structure
Unrestricted income funds are general fund5 that are available for use ai th¢ trustees, discretion in furtherance of
the objectives of the charity.
Restri¢ied income funds are those donated for use in a particular area or for Specific purpos¢s. the use of which
is restricted to ¢hat area or purpose.
2 In¢ome frorn don#tion$ and legacie5
Unrestricted
funds
Gemeral
Total
2021
Totsl
2020
Donations and legacie5'
Donations from individuals
735
735
565
735
735
565
3 Ineome from ¢hAritsble gctivi¢ies
Ilnre5trieted
fund5
GeTrer81
Restricted
fund$
Total
2021
TotAI
2020
tk)nations
Gift aid
SubscTlPtions
Residential week5
2.015
532
2.015
880
1.558
23,8.55
6,711
5.569
1,718
3,367
348
1,558
23.855
25.761
2,547
28.308
17,365
4 Investment intome
Unrestricted
fund$
Gener*1
Total
2021
Total
2020
Interest receivable and similar in¢ome.'
Interest re¢¢ivable on bank dcposits
279
279
379
5 Expenditure on ch&ritable activitie$
Unrestricted
funds
General
Restricted
funds
Total
2021
Totgl
2020
Page 10

Catholic People's Weeks
known as CPW
Note5 to the Finallcial Stat¢m¢nt$ for th¢ Y¢ar Ended 31 December 2021
Unrestriet¢d
funds
General
Restricted
funds
TotAI
2021
Totsl
20211
Materials
Accomniodation & meals
AtTiliations
Bank charges
Bursary distributions
Insurances
Speaker costs
Travel
World fund distributitsns
Website
Professional fee5
Administration
1,040
19.607
45
164
1,040
19,607
45
4,568
45
26
2,177
62
2,177
418
420
894
8.981
1.058
480
418
406
266
420
894
8,981
2.730
950
1.034
621
1,058
480
24,126
11.184
35,310
10.682
6 Independent ex&tniner's fees
During the period, ihe fee5 payable lex¢llldin8 VATI tts the charity's independent examiner Community
A￿OUntIng Plus #re analysed as follows..
2021
2020
Independent examination
400
400
Pagell

Catholic People'$ WeelLS
known as CPW
Noles to the Financial Statements for the Year Ended 31 December 2021
7 TAxation
The charity is a registered charily and is therefore exempt from taxation.
8 Debtor5
2021
2020
Trdde debtors
Prepayment5
1,203
500
12,9301
500
1,703
12.4301
9 CAsh and tash equiv8lents
2021
21120
Cash at bank
54,282
64.855
10 Creditors: f#lling due within one year
21121
2020
Trade creditor5
Other creditOT5
Deferred incomt
2,107
480
520
3.529
30
3.107
3,559
P8ge 12

Catholic People's Weeks
known 8s CPW
Notes to th¢ Financial Statements for the Year Ended 31 December 2021
I l Funds
Balance At 31
Deeernber
BAlance at I
Jgnu8ry2021
Intoming
resourc¢5
Resources
expended
2021
Unresiricied funds
Gelleral
General fiEnd
32.861
26.775
{24.1261
35.510
Restricted funds
Bursary fund
World fund
Training fund
17.264
.543
198
978
1,569
(2.178)
19.006)
16,064
1,106
198
Total restrieted funds
26,005
2,547
17.368
Total funds
58,866
29.322
{35.3101
52.878
Bgl*nee at 31
December
2020
Bal#n¢e 4t I
J#nuary 2020
Ineoming
re50uree$
Ruovr¢e5
expended
Unrestrteied funds
Generol
GenerAI fund
32,368
8,445
(7,9521
32,861
Restricted
Bursary fund
World fund
Training fund
12.987
5.686
198
4.277
5.587
17,264
8.543
198
(2,7301
Total re$tri¢¢ed funds
18,871
9.864
{2.7301
26,005
Total fuTrds
51,239
18,309
110,6821
58,866
Th¢ $pe¢ific pllr]x)ses for which ihe fwids are io be applied are as follows..
The BuJ5ary fund is to provide dis¢tsunis th¢ (051 of events to those who would not otherwise be able to
afford to join.
The World fund doThation5 Ère collected from member& at)d p8ssed onto the overseas charities. with partic￿lar
Charities being nominated ai each ewent.
The Training fund wa5 given to us by CCLA for th¢ Provision of an annual leeture.
Page 13

Catholic People's Weeks
known as CPW
Notes to the Finaneial Stalements for the Year Ended 31 December 2021
12 Angtysis of thet *sset$ between fllnd5
Unrestricted
21121
Totgl funds
General
Restrieted
Current assets
Current liabilities
38,617
13,107)
17.368
55,985
3,107
Total net assets
35,510
17,368
52.878
Unrestricted
2020
TotAI funds
General
Restricted
Cuttent assets
36.420
13,5591
26,005
62,425
3.559
Current liabilitie
Total net asseis
32.861
26.005
58,866
13 Tru$t¢es remunerAtiotL txpen$&
During the period 5 Trustees reeeived reimbuT5etntnt for ¢xp¢nses including travel, administration aThd materials
totalling £1,069.
No irnst¢es. nor any persons cot)n¢¢ted with them, have received any ￿m￿neratiOn from the charity during the
No trustees have received any other benefits from the charity during the year.
Page 14