OpenCharities

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

2022-12-31-accounts

FULHAM AND SOUTH KENSINGTON Final draft for YOUNG MEN'S CHRISTIAN ASSOCIATION

REPORTS and approval at the FINANCIAL STATEMENTS Period ended 31 December 2022

Charity no. 251555

641-643 Fulham Road London SW6 5PU

FULHAM and South Kensington YMCA

Final draft for Annual Report of the Fulham & South Kensington YMCA

Résumé

The previous Annual Report, dated 20th May 2022 summarised activity and events during 2021/22 concerning the hostel, the three attached shops, and Cranford Road Tonbridge. This report provides an update for 2022/23, with the exception of financial transactions, which are summarised to the end of 2022.

Executive Committee Meetings

The Executive Committee (including the Trustees as ex officio members) meets each year immediately before the Annual Meeting. The other three main committee meetings took place on 9th July 2022, 8th October 2022 and 21st January 2023. During the year David Griffiths gave notice that he was stepping down from the committee due to problems with his health. David first came to the YMCA as a member of the Covenanter group which met there, and subsequently joined the committee for a number of years. We are most grateful to him for his long and faithful service. approval at the

The Hostel

The hostel is in good condition and well-presented. The tenants have exercised their option to extend the current lease by a further 15 years when it expires in 2027, and a new lease is in preparation.

Shops

All three shops are currently leased out. Although we are now in a strong financial position, we are nonetheless aware that the current state of the economy (and therefore our income) remains uncertain. Day to day management of the properties is overseen by a local firm of Chartered Surveyors. AGM

Cranford Road, Tonbridge

The specialised facilities at Cranford Road continue to be enjoyed by a person with chronic special needs and her full-time carer. A new gas central heating boiler has been installed.

Allocation of Funds

During 2022 we have been able to support the following projects:

-1-

FULHAM and South Kensington YMCA

Incorporation The Trustees and the Committee have instructed solicitors to advise them on the best way to modernise theFinal draft for 1898 Trust Deed and incorporate firstly the Trusteeship and ultimately, if so advised, the Association itself.

Risk Assessment and Reserves Policy

When making grants we carefully assess each project before agreeing funding, performing necessary due diligence on the churches and other organisations making applications. Because of our ongoing commitments and the need to allow for possible future loss of income we have now updated our Reserves Policy: this is detailed in the accompanying financial statements.

Public Benefit When assessing projects, the management committee has regard to the guidelines set out by the Charity Commission and the objects of the Association. Beneficiaries are requested to report on their work to the Association's Annual Meeting (where possible). The committee therefore considers that in providingapproval at the accommodation for a disabled person and her carers, and in making the above grants to further various projects benefiting other Christian communities and their neighbourhoods (with a particular focus on outreach to young people) it has fulfilled the public benefit requirements of the charity and met the objects set out in our rules of association.

Conclusion

We thank God for His continued provision, and pray for wisdom as we seek to restructure the Association to meet the challenges of the twenty-first century. AGM

Joel Shepherd 13 May 2023

The Trustees

Paul Laffey, Andrew Maltby (Treasurer), Martin McCauley (Chair), Joel Shepherd (Secretary), Ivor Sowton, Jeff Shepherd, Martin Hartigan, Jonathan O'Brien, and Jonathan McDowell

Paul Laffey, Andrew Maltby, Jonathan O'Brien, Ivor Sowton, Jeff Shepherd The Executive Committee

-2-

FULHAM and South Kensington YMCA

Final draft for
approval at the
Balance Sheet as at 31 December 2022
2022
2021
General Fund
Balance Brought forward
97,556.61
3,487
Excess of income over expenditure
51,739.48
148,070
Transfer (to)/from designated funds
(76,000.00)
(54,000)
Free reserves
73,296.09
97,557
Designated reserves
224,000.00
148,000
Total funds
£297,296.09
£245,557
Represented by:
Rent paid in advance
0.00
0
Debtor
6,937.15
7,679
Cash with CAF Bank
335,281.86
282,137
41396.14
Deposits with CAF Bank
0.00
0
Creditors
(850.00)
(600)
Rent in advance
(44,072.92)
(43,660)
Total
£297,296.09
£245,557
Final draft for
approval at the
Balance Sheet as at 31 December 2022
2022
2021
General Fund
Balance Brought forward
97,556.61
3,487
Excess of income over expenditure
51,739.48
148,070
Transfer (to)/from designated funds
(76,000.00)
(54,000)
Free reserves
73,296.09
97,557
Designated reserves
224,000.00
148,000
Total funds
£297,296.09
£245,557
Represented by:
Rent paid in advance
0.00
0
Debtor
6,937.15
7,679
Cash with CAF Bank
335,281.86
282,137
41396.14
Deposits with CAF Bank
0.00
0
Creditors
(850.00)
(600)
Rent in advance
(44,072.92)
(43,660)
Total
£297,296.09
£245,557
Final draft for
approval at the
Balance Sheet as at 31 December 2022
2022
2021
General Fund
Balance Brought forward
97,556.61
3,487
Excess of income over expenditure
51,739.48
148,070
Transfer (to)/from designated funds
(76,000.00)
(54,000)
Free reserves
73,296.09
97,557
Designated reserves
224,000.00
148,000
Total funds
£297,296.09
£245,557
Represented by:
Rent paid in advance
0.00
0
Debtor
6,937.15
7,679
Cash with CAF Bank
335,281.86
282,137
41396.14
Deposits with CAF Bank
0.00
0
Creditors
(850.00)
(600)
Rent in advance
(44,072.92)
(43,660)
Total
£297,296.09
£245,557
97,557
148,000
£297,296.09 £245,557
at the
0.00
0
6,937.15
7,679
335,281.86
282,137
0.00
0
(850.00)
(600)
(44,072.92)
(43,660)
£297,296.09
£245,557

Notes to the accounts

Basis of preparation:

These accounts have been prepared on a receipts and payments basis and accord with s42(3) Charities Act 1993, modified for unpaid liabilities which were contracted for prior to the balance sheet date, no distinction being made between transactions of a capital or revenue nature.

AGM

Non monetary assets:

The YMCA trustees are the beneficial owners (subject to the relevant trusts) of the following assets, the legal title of which is held by the trustees:

Land and buildings

The land and buildings situated at 641-643 Fulham Road, SW6 5PU and at 1 Cranford Road, Tonbridge, Kent.

Liabilities

The charge of the Stafford Railway Building Society over the freehold property in Tonbridge to secure a mortgage was redeemed during the year at a cost of c.£9,942.

Treasurer's report to the Trustees

The accounts and statement of assets set out on this and the attached pages relating to the year ended 31 December 2022 are as approved by the committee of management

Andrew Maltby Treasurer 13 May 2023

-3-

and South Kensington YMCA

FULHAM

Independent examiner’s report to the trustees of the Fulham and South Kensington YMCA Final draft for

I report on the accounts of the Fulham and South Kensington YMCA for the year ended 31 December 2022 which are set out on pages three, five and six.

Respective responsibilities of trustees and examiner

As the trustees you are responsible for the preparation of the accounts; you consider that the audit requirement of section 43(2) of the Charities Act 1993 (the Act) does not apply. It is my responsibility to state, on the basis of the procedures specified in the General Directions given by the Charity Commissioners under section 43 (7)(b) of the Act, whether particular matters have come to my attention.

Basis of the independent examiner’s report My examination was carried out in accordance with the General Directions 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 seekingapproval at the 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.

To the trustees:

Independent examiner’s report

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

  - AGM

have not been met; or

2 to which, in my opinion, attention should be drawn in order to enable proper understanding of the accounts to be reached.

Stuart Moffatt

London

13 May 2023

-4-

FULHAM and South Kensington YMCA

YMCA YMCA YMCA YMCA YMCA
Final draft
Income and expenditure account for the year ended 31
2022
Income
£0.00
budget
for
December 2022
2021
Donations, offerings and tax recovery 0 0.00 0
Rents 163693.31 163693 246036.14 246036
Insurance reimbursed 3515.98 3516 2859.69 2860
Membership fees 30.00 30 70.00 70
167239.29 167239 248965.83 248966
Interest 283.22 283 0.00 0
Mortgage advance 0 0
approvalat
167522.51
167523
0
Expenditure
0
0
the
248965.83
248966
Insurance 4025.19 4025 3324.15 3324
Maintenance/Rates 8630.92 8631 4976.86 4977
Meeting expenses 1793.79 1794 1205.95 1206
Accountancy 50.00 50 50.00 50
Bank charges 81.50 82 96.50 97
Mortgage payments 9945.63 9946 1823.64 1824
Professional fees 450.00 450 16950.00 16950
Donations
Youth work
AG~~M~~
24977.03
70852.00
24977
0
70852
28427.10
57178.00
28427
57178
0
Sundry 19954.00 19954 15291.00 15291
90806.00 90806 72469.00 72469
0
Total expenditure 115783.03 115783 100896.10 100896
£0
Excess of income over expenditure 51739.48 £51,739 £148,069.73 £148,070

-5-

FULHAM and South Kensington YMCA

Notes to the accounts Designated funds Final draft for

The trustees have allocated funds to meet future commitments which are held as to:


Contingency reserve
Youth work
Other work
Net movement in funds
2021
Allocated
Expended
2022
40000
84000
0
124000
86000
64852
70852
80000
22000
17954
19954
20000
148000
166806
90806
224000

76000

-6-