May 9[th] 2025. 

## _**Trustee’s Report**_ 

The Trustees are satisfied with the progress of the LAYCA Organisation. I would like to thank my fellow trustees, Ann Hunter and Gary Allport for their support in the LAYCA community centre. 

Ann Hunter is now our social secretary and Gary Allport is our president. Our treasurer Daphne Rayner died in February, we miss her very much. We now have two new treasurers, Mrs Carol Davis and Mr Callum O’Hara. 

We are now in our 27[th] year and we get good support from the public. Our bookings are very good, and we make the public welcome. Bingo is very popular on a Wednesday and a Friday thanks go to Joan for running it. 

Our finances are in good order. 

Thanks go to the committee and all our volunteers. 

We have our Lighthall nursery in the building which good work in this locality. We work very closely with them. 

Our council representative on the committee is Annette Mackenzie, who is the new Mayor of Solihull for the next twelve months. 

John Shaw, 

Chairman, Trustee. 



LAYCA
Independent Examiner's Report
Income and Expenditure Account for the year ended 31 December 2024
Report to the Trustees l Members of LAYCA
Respective re$pon$ihilitie8 of trustees and examiner
TIIL Lliiirily's trLi4IL¥s are rLspoiisiblL t'or tlie preparation of the accounts. Tlie charity's trLlStees consider that
an aiidit is n()t reqLI i red for tliis year linder section 144 of the Cliarities Act 2011 (the Charities Act) and tliat an
indLpciidenl exainination is iieeded.
It is iiiy respon.8ibility to..
exaiiiine the accounts under section 145 of the ChArities Act,
to lollow the proc¢dures laid down in the general Directions given by the Charity Commission (under section
145(5 }( b) ot'the Cliarities Act. and
to Slute wheth¢r pnrticulor mult¢rs hove come to my ottention.
B#8ig of indL'pendLint L*xAn)iner'8 slatenient
My L'xiilli iiitil i()ii w&.8 carriLd i)ul in acL()rdance with gencral Directionq given by the C.liarity Comm iq.qinii. An
L'Xtll)11 Iliilic?11 I IIL ILidL's d I-L'V IL'W c)I' IliL IILLI)uiiliiig rLLurds k¥pi by iIiL Lliurity #lid a Luinpari.%oii of ilie aLLoiints
prL'%ei)ILII willi Ili(i.%c reLI)rd.%. It nls() iiicliide.s cnn4ideratiiin of any iiniisual ilcin.q or disLlosiire9 in thc ACCOLllIts
and %eLk i lig L'xplunulions from tlie triislLes concerni iigp aliy SLicli mattcrs. I'lie procedures undertaken do not
pr()vidc all IIiL LvideiicL tliat woiild be required iii ai) aiidit, and coiisequently no opin ion is given as lo
wlieilier Ilie aLLoiinls present a 'truc and fair, view and Ihe repi)rt is l imited to Iliose Inatters set out in tlie
slal¢inei)t below.
IndL'pendent exiiminor'j statement
Iii coiinectioii witli Imy L'xainiiiation. no maltcr has come to my attentioii
wliicli give.9 ML reosonuble cAuse lo bLlieve thut in. ony material respcct, thc reqliirements:
lo kLep accuunting records in accordance wilh section 130 of the Charities Act: and
to prLpafL llLLuLinl¥ whiih occord will) tlic accoLinling records aiid comply with Ihc a¢¢ountin8 r¢quir¢mcnts
()I' IIIL Llidrilies ALI l)av¢ iiot be¢ii mel: or
lo w11icli. ili iiiy opinion, allcntion shoiild b¢ drawn in order to enabl¢ a proper und¢rstanding of tli¢ accounts
l() bL' I'LtlLIILd.
Signi,d:
Dale:
09 /of /7
ATFIOS IIUSINF,SS ,SOLUTIONS
Charlcrcd Certificd AccountAnts

LAYCA
Draft Income and Expenditure Account
For the year ended 31 December 2024
2024
2023
Income
LLlti ngs
Donation
Subscriptions
SpcLial evLnts
Unlinown rL¢¢lPt
C()1 l iiilerest
43,452.50
44.226.32
500.00
418.00
7.657.40
409.00
7,040.40
2,437,40
3,063.95
53.679.30
55,865,67
I￿SS Expcnditure
349.30
2,375.40
839.73
7.712.44
7,979.87
2.199.91
4,$C)9.95
2,162.48
23.094.fj5
839.18
306.00
469.40
1.581.81
1,163.84
6,045.05
3,792.00
2,098,22
7,638.81
2.112.02
17,541,02
618.20
306.00
68.16
134.87
WalLr rc1te.
TL'IL'phone
F,'ILLtriLity
RLliise
M¢iinlLiiance
InsLif£inL¢
Wabves and natlL)nlll i nsiirance
MLlYlC, TV aiid SMBC IiLcncey
ALc()unlancy
Sicili(IllLI'y uiid p().stage
Mi5LLI luneous
39,38
52,881,70
797.60
43.569,42
12,296.25
Kxcess IncomelF.xpenditure
LLs% L'XPLI)ditLire on capital itcms:
RLplaLing l igjhting
CoinpLltcr
3,730.00
400.00
Su rplusl{Deficit) lor the year
397,(?
8,566,25
Blink and Inve51nieiits at 31.12.23
Surpliis1( Del ILil) lor tlie year
Balance as it 31,12.24
58,933.42
397.60
50,367.17
8,566.25
59,331.02
58,933.42
Repreyented by:
cni r investinents
Curreiit Auuount
49.144.47
10,186.55
46.707.07
12,226.35
59,331.02
58,933.42
Dated:
6 7/c7f/c
ATHOS BUSINESS SOLUTIONS
Chartered Certified Accouutants

LAYCA
Independent Examiner's Report
Income and Expenditure Account for the year ended 31 December 2024
Report to the Trustees l Members of LAYCA
Respective re$pon$ihilitie8 of trustees and examiner
TIIL Lliiirily's trLi4IL¥s are rLspoiisiblL t'or tlie preparation of the accounts. Tlie charity's trLlStees consider that
an aiidit is n()t reqLI i red for tliis year linder section 144 of the Cliarities Act 2011 (the Charities Act) and tliat an
indLpciidenl exainination is iieeded.
It is iiiy respon.8ibility to..
exaiiiine the accounts under section 145 of the ChArities Act,
to lollow the proc¢dures laid down in the general Directions given by the Charity Commission (under section
145(5 }( b) ot'the Cliarities Act. and
to Slute wheth¢r pnrticulor mult¢rs hove come to my ottention.
B#8ig of indL'pendLint L*xAn)iner'8 slatenient
My L'xiilli iiitil i()ii w&.8 carriLd i)ul in acL()rdance with gencral Directionq given by the C.liarity Comm iq.qinii. An
L'Xtll)11 Iliilic?11 I IIL ILidL's d I-L'V IL'W c)I' IliL IILLI)uiiliiig rLLurds k¥pi by iIiL Lliurity #lid a Luinpari.%oii of ilie aLLoiints
prL'%ei)ILII willi Ili(i.%c reLI)rd.%. It nls() iiicliide.s cnn4ideratiiin of any iiniisual ilcin.q or disLlosiire9 in thc ACCOLllIts
and %eLk i lig L'xplunulions from tlie triislLes concerni iigp aliy SLicli mattcrs. I'lie procedures undertaken do not
pr()vidc all IIiL LvideiicL tliat woiild be required iii ai) aiidit, and coiisequently no opin ion is given as lo
wlieilier Ilie aLLoiinls present a 'truc and fair, view and Ihe repi)rt is l imited to Iliose Inatters set out in tlie
slal¢inei)t below.
IndL'pendent exiiminor'j statement
Iii coiinectioii witli Imy L'xainiiiation. no maltcr has come to my attentioii
wliicli give.9 ML reosonuble cAuse lo bLlieve thut in. ony material respcct, thc reqliirements:
lo kLep accuunting records in accordance wilh section 130 of the Charities Act: and
to prLpafL llLLuLinl¥ whiih occord will) tlic accoLinling records aiid comply with Ihc a¢¢ountin8 r¢quir¢mcnts
()I' IIIL Llidrilies ALI l)av¢ iiot be¢ii mel: or
lo w11icli. ili iiiy opinion, allcntion shoiild b¢ drawn in order to enabl¢ a proper und¢rstanding of tli¢ accounts
l() bL' I'LtlLIILd.
Signi,d:
Dale:
09 /of /7
ATFIOS IIUSINF,SS ,SOLUTIONS
Charlcrcd Certificd AccountAnts

LAYCA
Draft Income and Expenditure Account
For the year ended 31 December 2024
2024
2023
Income
LLlti ngs
Donation
Subscriptions
SpcLial evLnts
Unlinown rL¢¢lPt
C()1 l iiilerest
43,452.50
44.226.32
500.00
418.00
7.657.40
409.00
7,040.40
2,437,40
3,063.95
53.679.30
55,865,67
I￿SS Expcnditure
349.30
2,375.40
839.73
7.712.44
7,979.87
2.199.91
4,$C)9.95
2,162.48
23.094.fj5
839.18
306.00
469.40
1.581.81
1,163.84
6,045.05
3,792.00
2,098,22
7,638.81
2.112.02
17,541,02
618.20
306.00
68.16
134.87
WalLr rc1te.
TL'IL'phone
F,'ILLtriLity
RLliise
M¢iinlLiiance
InsLif£inL¢
Wabves and natlL)nlll i nsiirance
MLlYlC, TV aiid SMBC IiLcncey
ALc()unlancy
Sicili(IllLI'y uiid p().stage
Mi5LLI luneous
39,38
52,881,70
797.60
43.569,42
12,296.25
Kxcess IncomelF.xpenditure
LLs% L'XPLI)ditLire on capital itcms:
RLplaLing l igjhting
CoinpLltcr
3,730.00
400.00
Su rplusl{Deficit) lor the year
397,(?
8,566,25
Blink and Inve51nieiits at 31.12.23
Surpliis1( Del ILil) lor tlie year
Balance as it 31,12.24
58,933.42
397.60
50,367.17
8,566.25
59,331.02
58,933.42
Repreyented by:
cni r investinents
Curreiit Auuount
49.144.47
10,186.55
46.707.07
12,226.35
59,331.02
58,933.42
Dated:
6 7/c7f/c
ATHOS BUSINESS SOLUTIONS
Chartered Certified Accouutants