Ff•slinlog C¢mmunlty *3¢4y¢laOon
For tho y•ar 31 March 2(124

Report oftha Tr￿ta08
Report ofthe Indepe￿ Exanlner
Note8 to the fingtKial Btstements

Ffogunlog C(xnmurfty Awclallon
R891ster￿ CIMrity Numb¢r. 502458
Glyn Danl
Ann MeiTi¢Jno Coxo
Geralnt Pawry - Appoinlad 1 Nwil 2023
PrfnclpAI addr8SS
Canolfan Gymdeilhasol Bro Ffesfjnlog
Ffor(Id Wynne
Blaenau FfestlNog
Gwy￿dd
LL413UF
D E ThomoB
J Llywetyn Hughe8 & Co
Chartered A￿oufttants
T￿r Bont
LlanTh

have adopkd the provFsions of AcC(￿nI￿9 8nd Re{￿Ing by Chariti88: Slatamontof Reo)mmendgd Praclice apptl(2ble to
charilres prnparing th￿r arxounts in accoTdanr* the Fman¢ial Rwung stsndard aP￿bE0 In the UK arrtl Repubk of
Ireland (FRS 102) (Effectre 1 January 2015).
ConstI￿tIon and objects
urtwi distrid of Ffe￿inIoq and ts *rtKXXI.
communty.
Publk benefft
Tha trusteeG confirm ttr￿t have compkd vlth thelr dulks as set Se(thn 17{5) of the 2011 Charflies Act to IHve
Financial Roviv
The thriws toial fund balarKX at the finarmaat year end was £78,￿ (2023: £81,197)
The majorlty ¢f the diarky's Income Came fr(xr the h¥e of rooms for the benefft and ojnlnlxrtions rec￿ed from
other volunlwy groups towards pr￿niSeS cost&
applicable law Unlted lfjngdom ktowtiing StarKlards Ojnited ￿r￿d0M Generally Awted A(xounting practi￿).
The law appli(xble to ctwlkn In and waes. ts Chartties Acl 2011, Charity (A￿1￿rtts arKI Reports) Regulations
2fKJ8 and the provlslorB of ts In18t deed fequlres truste8S to prepare Stat&ne￿ for eath financkl year vthlch
glve a twe and falr vlew of the slate of affalrs of the of In¢xmiry re80urc88 and appiic8tlon of resources,
induding ts income 8nd expendth, ofthe tharity for that p￿1. In wepaiiry those finarnaal statem￿, tNstee8 aro
requirad to
obseNe Ihe methods arKI ￿nCJth In the Ctorlty SORP.
rdkejudgemenis and estimatss that are r￿sonable ar¥J
prepare the financial statements on ts gthg o)ncem ba8fs Ew*88 It Is Inapwowkn to pre8ume that the charly wl
the financial p08iUon of tho charity and to ￿able them to that the firAndal staterr￿nts etjmpty wlih thé Charitt08 Act
2011, thè Charity (ACCA)￿ ￿ Reports) Regulatlons 2008 and the provIsi￿S ofthe trust deed. Tlw are also resp)nslble
for safeg￿rding the assets ofthe ¢harity and fortsking reawrth steps for1￿ PreV￿￿On and detectson offra￿1
and other hYegLdarffj#.
S. 11.2oZ*...
Approv•S by ¢rderrAthe board of tnffjtee8c￿....... . .... . .... .....
and Signed on its bthlf by:

Ffesllnlog Communlty thaclalion
I report to the truste•s On my wmlnakn oftt* accounts ofts atN)ve Tr￿ forthe year ended 31
2024.
R09ponsibiliti99 and basis of report
Chariks Act 2011 Cthe Arf).
I report In respect of my examination ofthe TN8fs out under se(kn 145 of th8 Pd and In carrylng out my
oxamination I have folowed all applicable DirECtions given by ts Charity Corrnnlmn uTrJer ￿[On 145(S) (b) of th8 Acl.
IndO￿ndOnt •xamlnorf8 8tatemwit
exanlnalion gNiNJ me cause to bef*ve that in ary m￿e[la1 respert
1. the ac¢ounting re￿rdS were not kept In acrwthc* vAlh sedkm 130 ofthe Chaiities Pd or
2. the a￿)Unts did not acxxrd wilh those reLMKds', or
3. the accounts did not comply wilh the aPprth￿ ¢>)￿￿11￿J the lonn and Ofa￿xaMts 8& out in the
Charities (Acuunts and Rep(xis) Regulation5 2￿8 other thw any r&wirement the aX￿ntS th a IJu8 and faIr￿
l ¢onfimi that there are other matter8 to whlth y￿r attsn￿on be drw to enable a proper uThaèrstandlNJ of the
a¢a)urrt8 to ￿ reached.
D E Thomas
J Uybvetyn Hughes & Co
Charterwl Atxourrt8nts
Ty'r Bont
Uanrwst
LL26 OEY

Ff••tkdog Communlty AS￿datIon
TIA Canolfan Gym(kntIM801 Bro Ff•stinlog
for tht y00r￿￿10d 31 March 2024
Funds
Fun(
20
20rJ
CharStable a(Atvltles
67053
67M53
64,917
Total InGomlng resou
68.517
e8,517
65,015
Charitabte athlties
71.508
71,508
71.508
71.5(
Net IrKom￿(exPer￿￿￿>
(2,￿)
(2,991)
4,047
RgGondllallon of Fund•
(2,991)
12,991)
4,047
Total funds brought fomard
81.197
81.197
77,1K)
Toial fimds carrfed fomrd
11
78,
78
81,197
Conllnuing ¢)wa
AU IFKomlng resourc86 arNI resou￿ ewthl delive f￿1 rmllnthng activlle8.

TIA Canoifan GYMdollh￿ Brn Ffaiinlog
2023
Tanglblo Flxed A89ets
18.￿+5
23.425
28.6T2
8.328
Cash at bth( arKI in IWNJ
164,596
71.9tB
CYedlt<x•: amounts lalliThJ du•
wlthin on• yeAr
(105295)
{14.1
59.X11
57,772
Totsl Assets10•8 Cwr•nt Uabllit186
81,197
10
78￿.
81,197
Fund8:
Unrestrlcaed furKIs
78J
81,197
Re3tTi¢tsI fill￿5
Tolal fund8
11
81.197
Approved by the TnBlees on............
12. A¢)X
8rn18igned ￿ ils l*half by:

1. Accounting poll¢l•8
a) Batsls of weparfng the finwKlal 8tatam•nts
Tho finarM?al statemen1$ ofthe (knrity, a puNc benefd erthy under FRS11f2, been prepared in
ac(xKdance with the SORP (FRS 102) 'Aixounling arKI Repothg by Chari*es: Staterne￿ of Reoommended
PrarAtce applicable lo Ixepariw tt*lr accourts *lth the Financlal Reporting Standard app￿10
the UK a￿1 Repu￿ cl IrelarKI (FRS1W (effective 1 January 2015), the FinaThi* Skndard applKstA8 In
the UK and Republic of Irdanrf and Charlttes kt 2011. Tr ffinaTh>al stat￿ts have been prepared under the
hFslorfcal cost conventhx.
b) Fund aceountlng
Unrestrided fimds are a￿lIable fix use at Ihe dwelim ofthe tn*tses kn furthemca of the 98n8ra obpcbv88 crf lh•
c) Incomln9
Expendilure B re(wii8ed on an a(wl basi8 as a knTty 18 i￿NTed. Expenthth irKJudes VAT whith cann(rt be
•) Flx•d a#o•ts
Equipment- 20% stsBight.fine
2023
Totsl
fundg
Staff costs..
Wages and natio￿1 insurance
23,138
23,138
18,
18
L￿hl and tr￿at
Irffjurances
Repairs rerthva18
20,080
2.807
18.520
2.516
8.018
2,800
752
293
3,47T
3.477
Telephone 8fKI internét dwge8
Sundry
427
427
707
cleani￿ and c¢)n8mtdes
Postsge and $￿ti￿Y
Ac￿untaI￿
Bank charges
830
Depreciatlon:
Equipmènt
71.
71,508

3. Total Inc¢miNJ mourcos
Hke of rom aKI soft
Contrlbutlons lowarLts costs
Fundralslng events
Bank knte￿t
50,275
15.126
2,452
16.114
4. Net InGome for tho yoar
2024
2023
This is stated after ch*np:
1200
1.320
5.401
Staff and numb•rn
2023
Sakries
23.138
18.960
The avera98 nun*￿ olempbyees was ￿ fojlm."
Y G￿n Gymur*4Jol staff
6. Taxatlon
7. l￿b*Orn
2023

8. Targitth Fmd A88•ts
Equlpm•nt Total
At 1 Awll 21Y23
Additiorr&
30,128
30,128
1.433
At 31 2024
At 1 Aprfl 2023
Charge for year
At 31 MaK¢h 2024
Nel book values:
At 31 Marth 2024
At 31 Mar¢h 2￿3
9. C￿￿rt0￿. amounts lalllng du• wlthln one y•v
2024
15,295
14,1
2024
2023
Total
Tanglble fixed assets
Cutrenl assets
Current
18.905
1fA.a93
105
18,
164.596
23,425
71,908
11. IAovemonts In Funds
Incoming
Tran•fer at 31.3.
G¢neral fund
78