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2022-03-31-accounts

Annual Report - Tuebrook Community Centre Group (Financial Year April 2021 to March 2022)

Aims of the community centre:

To promote the benefit of the inhabitants of the Tuebrook area of Liverpool and the surrounding neighbourhoods.

This will be without distinction of sex or of political, religious or other opinions by associating the local authorities, voluntary organisations and inhabitants in a common effort to advance education and to provide facilities in the interests of social welfare for recreation and leisure time. This is with the objective of improving the condition of life for the local community.

Objectives for the coming year - (Financial Year April 2022 to March 2023)

Ensure the ongoing sustainability & viability of the Tuebrook Community Centre.

Ensure usage of the various activities which take place in the centre are maintained and are enjoyable for all participants, including youth activities & sporting activities.

Ensure our continued work with all our partners, including local Schools, other voluntary bodies etc.

Ensure all volunteers are fully trained and adhere to agreed policies of the centre.

Ensure essential maintenance of the building is a priority.

Subject to funds, look to install new shower facilities and replenish various centre and sports equipment.

Source and apply for suitable grants (national & local) to improve these facilities.

Ensure all procurement and purchasing for the centre are made with Value For Money as a prionty.

Financial Review

The financial position at 01.04.2022 is a bank balance of £10,878.91

During the previous financial year, the most significant expenditure items (other thar the usual running costs of the centre) related to grant related expenditure of sports equipment, security system, kitchen, office and coffee bar equipment.

Summary & Agreement

Jimmy Campbell - Trustee & Chair

Dated 2nd December 2022

TUEBROOK COMMUNITY CENTRE GROUP BALANCE SHEET YEAR ENDED 31[ST] MARCH 2022

FIXED ASSESTS

500,000.00

Property at Valuation
Equipment
Boxing Club
Kitchen
Office Furniture
Coffee Bar
Sound System
Security System
Table & Chairs
CURRENT ASSESTS
Cash at Bank – Deposit A/C
Cash at Bank – Current A/C
LESS CURRENT LIABILITIES
Creditors - Accountancy
Deficit for the year
RESERVE ACCOUNT
Balance at 1stApril 2021
Deficit for the year
20,000.00
10,000.00
2,000.00
1,000.00
1,000.00
1,450.00
500.00
43.37
10,835.54
10,878.91
396.00
547,500.76
(1,067.85)
546,432.91
500,000.00
35,950.00
10,482.91
546,432.91

We have prepared the above Receipts and Payments account for the year ended 31[st] March 2022 from the records supplied to us and confirm same to be in accordance therewith.

Stephen Moon & Co Accountants 33 Lisburn Lane, Tuebrook Liverpool, L13 9AE

TUEBROOK COMMUNITY CENTRE GROUP RECEIPTS AND PAYMENTS ACCOUNT YEAR ENDED 31[ST] MARCH 2022

RECEIPTS

Grants: City of Liverpool
The 64 Trust
Boxing Club
Fitness Club
Election Income
Donation – M&S Healthcare
Bank Interest
PAYMENTS
Liverpool City Council Rates
Gas
Electricity
Insurance
Water
Equipment
Leaflets & Flyers
Building Repairs & Maintenance
Warrior/Boxing – Registrations
Medals/Presentations
Accountancy
Election Costs
Cleaning and Sundry
Deficit for the year
10,667.00
1,000.00
10,503.58
4,000.00
350.00
500.00
.01
10,667.00
1,000.00
10,503.58
4,000.00
350.00
500.00
.01
27,020.59
28,088.44
(1,067.85)
1,075.20
1,024.90
1,313.00
1,372.61
617.99
13,739.12
165.00
7,395.36
215.00
90.00
396.00
175.00
509.26

We have prepared the above Receipts and Payments account for the year ended 31[st] March 2022 from the records supplied to us and confirm same to be in accordance therewith.

Stephen Moon & Co Accountants 33 Lisburn Lane, Tuebrook Liverpool, L13 9AE