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2021-03-31-accounts

Annual Accounting Statement

Covering the period from: 1st April 2020 to: 31st March 2021

Christian Youth Foundation Uppertown, Bonsall Matlock, Derbyshire DE4 2AW

Company Registration Number – 2259455 Registered Charity Number - 326203

Accounting Statement

(Receipts and Payments Basis)

Christian Youth Foundation - Charity Number 326203

Section A Unrestricted Funds

Receipts

Receipts
Breakdown Using Own Analysis
2021 2021 2020 2020
Receipts from Trading Activities Bookings - 8,499
Covid Aid
Rents
13,430
10,200
10,200
23,630 18,699
Receipts earned from 785
Investments 785
Other Receipts Gifts 1,235 1,239
IR Charities Refund/ Refunds 126 241
Misc
Concert
13 225
1,374 1,705
Loans
Total Receipts 25,004 21,189
Payments
Breakdown Using Own Analysis
2021 2021 2020 2020
Ministry and Mission Payments Salary 9,000 17,450
Casual Wages
Conferences, Seminars and Hall Hire
9,000 17,450
Payments for Administration Postage, Stat'y & Software
Property, Publicity and Laundry
Management Utilities 1,249 3,070
Licences and Fees 13 774
Bin Collections and Skip Hire 450 451
Internet
Food
996
Equipment 10
Eq't Hire, Eq'tRepairs and Maintenance 4,007 7,923
Mower Fuel and Maintenance 214 259
Craft Club Purchases
Accounting Charges
150
Computer Eq't and Software
Insurance
1,631 1,541
Bank Charges
Traveling and Fuel
248
7,564 15,422
Payments for Generating Funds Refunds
Other Payments Repairs/ Improvements to Rental Property
Gifts
Mortgage Repayment
Charges
120
6,000
7,200
(not counting as expenditure) 6,120 7,200
Total Payments 22,684 40,072
Net Surplus / (Defcit) 2,320 - 18,883
Cash Funds last year end 29,489 48,372
Cash Funds this year end 31,809 29,489

Section B Restricted Funds The Charity does not have any Permanent or Expendable Restricted Funds Section C Endowment Funds

The Charity does not have any Permanent or Expendable Endowment Funds

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Section D Statement of Assets and Liabilities at the Year End
Cash Funds Unrestricted funds Restricted funds Endowment funds
to nearest £ to nearest £ to nearest £
Petty Cash 110 - -
Current 18,318 - -
Main 8,598 - -
NatWest FOB 251 - -
Yorkshire Bank FOB 3,852 - -
Green Pastures 680 - -
Total Cash Fund 31,809 - -
Other Monetary Assets Unrestricted funds Restricted funds Endowment funds
to nearest £ to nearest £
Gift Aid Claim Due for Repayment - -
Recoverable Grants - - -
Other Debtors and Prepayments - - -
-
Total Other Monetary Assets - - -
Investment Assets Fund to which it Cost Current Value
belongs
Term Deposits - -
Other Investments - -
Total Other Monetary Assets - -
Assets retained for Fund to which it Cost Current Value
Charity's own use belongs
Land and Buildings Reassessment 385,000
Plant and Equipment General 89,696
Fixtures and fittings General 10,240
Total Retained Assets 484,936
Liabilities Fund to which it Cost Current Value
belongs
Unpaid Income Tax & N.I. Due General - -
Unpaid Salaries and Wages General - -
Suppliers Accounts Due General - -
Independent Examiners Account Due General - -
Mortgage Balance Due General - -
Builders account outstanding General - -
Other Liabilities General
Total Liabilities - -
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Independent Examiners Report on the Annual Accounts

Receipts and Payment Accounts

Report of the trustees / members of :

Christian Youth Foundation

Registered Charity Number :

326203

Company Registration Number : 2259455

For account covering year ended : 31st March 2021

Set out on Pages :

One through three above

Respective responsibilities of trustees and Independent Examiner :

As the charity's 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 procedures specified in the General Directions given by the Charity Commission under section 43(7)(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 Commission. Such 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

(1) Which gives me reasonable cause to believe that in any material respect the requirements:(a) to keep accounting records in accordance with section 43 of the Act; and (b) to prepare accounts which accord with the accounting records and to comply with the accounting requirements of the Act have not been met; or

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

Signature : Name: Mr David Quinn Date: 23-Sep-21 Address : Rehoboth Uppertown Bonsall Matlock DE4 2AW

Trustees' Annual Report

(Accompanying Receipts and Payment Accounts)

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Section 1 Legal and Administrative Information
Charity Name: Christian Youth Foundation
Registered charity number: 326203
For financial year commencing on: 1st April 2020
For financial year ending on: 31st March 2021
Charity's Principal Address
Bonsall Camp
Uppertown
Bonsall
Matlock
Derbyshire
DE4 2AW
Company Officials / Names and addresses of
Management Trustees Company Officials / Management Trustees
Mr Peter Cunningham 16 Hartwood Road, Southport PR99AA
Mr Daniel Twakli 21 Halsall Road Southport PR8 3DB
Mrs Suzanne Head 38 Park Road Southport PR9 9LA
Names and addresses of trust officers
Secretary
Mrs Suzanne Head 38 Park Road Southport PR9 9LA
Treasurer
Mr David Quinn Rehoboth Annex, Uppertown Lane, Bonsall, Matlock, Derbyshire DE4 2AW
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Section 1 Legal and Administrative Information (continued) Object of the charity : The advancement of the Christian Faith by the proclamation and furtherance of the gospel of God. To provide a inexpensive place for Christian groups to meet for prayer, meditation and fellowship Trust bankers : National Westminster Bank plc, 19 Dale Road, Matlock Derbyshire DE4 3YA National Westminster Bank plc, 1 Chesterfield Road Alfreton Derby DE55 7DT RSB Horwich Branch 29 Lee lane Horich Bolton BL6 7AY Yorkshire Bank 2 Millgate Wigan WN1 1YT Section 2 Activities and Achievements Activities and achievements of the The financial results are set out on pages 1 and 2 above. charity during the year in relation to Throughout the year under review the principal activities have been of the objects : Christian fellowship, the declaration of the Christian gospel, and the promotion of Christian mission. We have finished Full Board and are now only offering Self Catering facilities We are now offering the camp facilities to a local Christian old age meal group to use as a meeting place to eat and meet. We are still in the process of making the gardens more maintenance friendly and extending the Car Parking area. The Trustees are looking at new ways to create more business Disable toilet and accomadationare being considered Experiencing the start of Covid 19 All our booking cancelled. It may be impossible to survive this disruption!! Section 3 Declaration The trustees have approved the trustees' report above Signature : Full Name : Mr David Quinn Position (trustee, secretary etc.) : Trustee / Treasurer Date : 23-Sep-21

Christian Youth Foundation

1st April 2020 to 31st March 2021

Brought Forward from 1st April 2020
Green Pastures Investments 929.50 Mortgage Repayment 6,000.00
Current Acc 2,799.50
Main Acc 22,635.63
FOB Yorkshire 2,897.24 Maintenance 4,007.50
FOB Natwest 190.72 Laundry
Petty Cash 36.60 29,489.19 Mower purchase repairs and fuel
214.31
Covid Aid 13,430.00 Bungalow Maintenance 120.00
Rents 10,200.00
Gifts 100.00
Refunds 126.00
Misc 13.07 Refuse Bins 449.80
Friend of Bonsalll 1,135.00 Utilities 841.15
Water 407.84
Services and Legal 13.00
Accounting
Insurance 1,631.07
Salary 9,000.00
Casual Wages
Cash on Hand 31st March 2021
Green Pastures 679.50
Current Acc 18,318.34
Main Acc
8,597.79
FOB Yorkshire
250.72
FOB Natwest
3,852.24
Petty Cash
110.00
31,808.59
Total 54,493.26 Total 54,493.26