THE TORCH ASSOCIATION
TRUSTEES’ REPORT AND ACCOUNTS FOR YEAR ENDED 31[st] MARCH 2021
Charity Registration No. 515527
THE TORCH ASSOCIATION
| LEGAL AND ADMINISTRATIVE | INFORMATION |
|---|---|
| Registered Charity Name | THE TORCH ASSOCIATION |
| Charity Number | 515527 |
| Trustees | Mr Brian Massey MBE (Chairman) |
| Mr John Robinson | |
| Mrs Bryony Gibson | |
| Hon. Treasurer | Dr Howard Forrest |
| White Gates Cottage | |
| Elvaston Park Road | |
| Hexham | |
| Northumberland | |
| NE46 2HT | |
| Principal Address | Torch Centre |
| Corbridge Road | |
| Hexham | |
| Northumberland | |
| NE46 1QS | |
| Bankers | Barclays |
| Priestpopple | |
| Hexham | |
| Northumberland | |
| NE46 1PE |
CONTENTS
| Page | |
|---|---|
| Trustees' Annual Report | 1-2 |
| Independent Examiner's Report | 3 |
| Statement of Financial Activities | 4 |
| Balance Sheet | 5 |
| Notes to the Accounts | 6-9 |
Trustees' Annual Report
Year ending 31 March 2021
Formation of the Charity
The Charity was established through a Charitable Trust Deed dated 13[th] September 1984.
Objectives of the Charity
The relief of illness and suffering of all disabled persons resident in a defined local area of Tynedale and beyond by providing, managing and maintaining a Centre for recreation or other leisure time occupation and in particular by providing facilities for competitive and non- competitive sports.
Administration
The names of the Trustees of the Association are provided above. Where vacancies arise, they are advertised externally and among the Trustees’ personal contacts.
The administration of the Charity is conducted through a Management Committee, working in accordance with the formal amended constitution approved in July 2017, and meeting quarterly under the chairmanship of one of the Trustees, Mr Brian Massey.
Organisation
There are two employees, one a part time administrator and the other a part time caretaker/cleaner/barman .
Management
The Management Committee continues to focus on and address the following issues:
1. The need to raise the profile of the Torch Centre within the town of Hexham.
2. The need to increase income to meet the cost of repairs and maintenance on the building.
3. The need to maximise the use of the letting rooms and bar.
4. The procurement of grants to carry out substantial repairs and improvements to the building.
Risk Assessment
The Management Committee duly considered all the risks to which the Charity is exposed and was satisfied that it had in place appropriate measures to mitigate any exposure to such risks.
These risks include any ongoing covid lockdown restrictions, any falling usage with resultant drop in income and any unexpected maintenance and capital expenditure.
Page 1
Strategic Review
Following the coronavirus lockdown all facilities at the Centre were immediately temporarily closed down and the two part-time members of staff furloughed. During lockdown, there has been no regular income to the charity, whilst expenditure has been reduced to the minimum.
Thanks to the Government's furlough payments and a business grant of £10,000 and together with generous grants from local Trusts the future of the Torch Centre has been secured with adequate funds to meet outgoings over the year to the end of March 2021.
Financial Performance
Despite the implications of the Covid pandemic and related lockdown, the Charity was able to generate funds through a number of different routes including grants from various Trusts, the County Council and Government business grants. This enabled some essential upgrading of the internal facilities to be undertaken during the year.
Reserves Policy
The Trustees conduct a review annually to ensure that there are sufficient funds to maintain the charity’s financial stability and ongoing development. The Trustees’ reserves policy is to ensure the charity holds unrestricted free reserves, after taking account of any fixed assets which are required for ongoing use, equivalent to the cost of closing down the charity.
At 31[st] March 2021, the charity had unrestricted reserves of £13,617. The Trustees aim to ensure that the level of free reserves is now maintained at a minimum of £14,000 in line with the stated policy.
Serious incidents
During the year, there were no serious incidents recorded which the Trustees were required to report to the Charity Commission.
Public Benefit Statement
The Trustees have referred to the Charity Commission’s general guidance on public benefit when reviewing the charity's aims and objectives and in planning future activities. In particular, the Trustees consider how planned activities will contribute to the Torch Association's charitable purpose and objectives.
Brian Massey
Trustee and Chairman of the Management Committee September 2021
Page 2
Independent Examiner's Report to the Trustees of THE TORCH ASSOCIATION
I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 31 March 2021 which are set out on pages 4 to 9.
Respective responsibilities of trustees and examiner
As the charity trustees of the Trust, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).
I report in respect of my examination of the Trust’s accounts carried out under section 145 of the Charities Act 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examiner's statement
I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination which gives me cause to believe that in, any material respect:
-
accounting records were not kept in accordance with section 130 of the Act or
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the accounts do not accord with the accounting records
I draw attention to the accounting policies and annual report of the trustees, which highlight the ongoing disruption during the year as a result of the Covid-19 pandemic. My opinion is not modified in respect of this matter.
As set out in these accounting policies under “going concern”, the trustees have considered the impact of the pandemic and all other activities on the charity and have concluded that although there may be some negative consequences, it is appropriate for the charity to continue to prepare its accounts on the going concern basis.
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached.
Philip Hall CPFA
12 Kingswood Park Bonsor Drive Tadworth Surrey KT20 6AY Date: 14 September 2021
Page 3
THE TORCH ASSOCIATION
Statement of Financial Activities including Income & Expenditure Account for the Year Ended March 2021
| Notes Income Donations & Fund raising 2 Investment Income 3 Charitable Activities 4 Total Income Expenditure Charitable Activities 5&10 Total Expenditure Net Movement in Funds Total funds brought forward Total funds carried forward |
2021 Unrestricted Funds Restricted Funds Total Funds 27,138 7,850 34,988 12 0 12 -3,443 14,205 10,761 23,706 22,055 45,761 16,805 26,317 43,122 16,805 26,317 43,122 6,901 -4,262 2,639 141,521 4,262 145,782 148,421 0 148,421 |
2020 Total Funds 14,702 16 24,593 39,311 37,277 37,277 2,033 143,749 145,782 |
|---|---|---|
Page 4
THE TORCH ASSOCIATION Balance Sheet as at 31st Mar¢h 2021 Notes 2021 2020 Tanglble assets 134 135,179 Stocks Cash In bank & at hand Totsl Current Assets 551 1.248 9,356 10,603 Z2,982 2334 Uabllltles Creditors: due wh1n one year 9,917 Net Currert Assets 13,617 10,603 Totsl Assets less current Ilabllltles 148N21 145,782 Represented bv Fixed Assets Unrestrltted Reserves Restricted Re5eTves Total Funds 134,804 13,617 135.179 6.341 4,262 145.782 148.421 The Accounts were approved by the Trustees on..... Mr Brian Ma55ey TNst•• r John Robinson Page 5
THE TORCH ASSOCIATION
Notes to the Accounts for the Year Ended 31[st] March 2021
Note
1 Accounting Policies
1.1 Basis of preparation
- The Financial Statements have been prepared under the historical cost convention and comply with the Companies Act 2006, Charities Act 2011 and Accounting and Reporting by Charities: Statement of Recommended Practice (SORP) applicable to charities preparing their Financial Statements in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102).
1.2 Incoming resources
Donations, fund raising and charitable activities are recognised when received by the charity.
-
1.3 Resources expended
-
All expenditure is recognised by the charity when the liability has been incurred. Expenditure is recognised on an accruals basis as a liability is incurred. Governance costs include those costs associated with meeting the constitutional and statutory requirements of the charity and include accountancy fees and costs linked to the strategic management of the charity.
Tangible fixed assets and 1.4 depreciation
-
The amount of the Leasehold Building being depreciated is the original cost (£148,679) less its expected residual value (£130k); depreciated in equal instalments over 50 years. All earlier Equipment and Fixtures & Fittings purchased have now been fully depreciated. New purchases are fully written down in the year of purchase.
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1.5 Stock
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Stock is valued at the lower of cost and net realisable value.
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1.6 Accumulated Funds
Restricted funds are subject to specific conditions by donors as to how they may be used.
Page 6
1.7 Impact of the Covid Pandemic
Enforced closures during successive covid lockdown and restriction periods meant a huge loss of normal income (87% fall in rental & 100% in bar income). However, the charity was able to take advantage of Business Support Grants from both the Government (£22.6k) and Hexham Town Council (£1.5k). the two staff were put on furlough enabling receipt of £14.2k from the Job Retention Scheme towards their salaries. Other expenditure was closely monitored, although items of cost such as utilities, insurance, etc could not be avoided. However, it proved possible to improve the reserves position to a level where the Trustees felt able to implement some overdue maintenance and property upgrade projects whilst the Centre remained closed.
The reserves at the year-end stood at £13.6k. Whilst higher than the previous target level of £10,000, the Trustees feel the additional funds are essential, given the uncertainties surrounding the continuing covid pandemic.
1.8 Going Concern
The full impact on the charity of the coronavirus pandemic is still unknown. However, limited reopening has been possible since May, and whilst many groups are looking to September at the earliest to return, the Trustees expect the charity to return to full operation. Staff remain on flexible furlough, with the scheme due to end in September. A final Business Support Grant of £8k was received in May '21, which has helped further strengthen reserves. Consequently, the Trustees are of the opinion the charity will have sufficient resources to meet its liabilities as they fall due in the coming year and consider it appropriate to prepare the accounts on a going concern basis.
| 2 Donations & Fundraising Government Business Support Grants William Webster Charitable Trust Joicey Trust Willan Trust Catherine Cookson Charitable Trust Hexham Rotary Henry Bell Trust Sybil Ridley Legacy Northumberland Community Chest JH Burn Charity Trust Jive Alive David Wilson Homes NCC Councillors Allowance COOP Karbon Homes Barbour Rothley Trust Sir James Knott Trust TOTAL |
2021 | Total Funds 24,138 1,000 2,600 4,000 500 250 400 100 2,000 0 0 0 0 0 0 0 0 0 34,988 |
2020 0 0 0 0 0 500 1,050 0 2500 200 300 1,000 4,600 290 762 1,500 1,000 1,000 14,702 |
|
|---|---|---|---|---|
| Unrestricted Funds 24,138 2,600 400 27,138 |
Restricted Funds 1,000 4,000 500 250 100 2,000 7,850 |
Page 7
| 3 Investment Income Interest Receivable 4 Income from Charitable Activities HMRC Job Retention Scheme Bar Sales (net – see below) Subscriptions Room Hire & Club Rent TOTAL Bar Profit & Loss Income Opening stock Purchases Closing stock Cost of sales Gross Margin Expenditure Salaries Cleaning Utilities TV Licence Repairs & Maintenance Insurance Performing Rights Society Security Contribution/Loss 5 Expenditure Charitable Activities General Expenditure Auditors TOTAL |
2021 12 2021 14,205 -7,335 0 3,892 10,761 0 1,248 963 -551 1,659 -1,659 0 0 1,006 157 3,900 254 0 359 5,676 -7,335 2021 43,122 0 43,122 |
2020 16 2020 0 -5,713 365 29,940 24,593 13,229 1,603 11,201 -1,248 11,556 1,673 5,109 266 1,306 153 0 247 210 93 7,385 -5,713 2020 37,277 0 37,277 |
|---|---|---|
Page 8
| 6 Trustees - Remuneration 7 Employees 8 Tangible Fixed Assets Cost At 1 April 2020 and at 31 March 2021 Depreciation At 1 April 2020 Charge for Year At 31 March 2021 Net Book Value 31stMarch 2021 31stMarch 2020 9 Creditors: within one year Trade Creditors 10 Expenditure Analysis Salaries Cleaning Utilities Post/Telephone Repairs & Maintenance Insurance PRS Security Misc Depreciation |
0 2021 2 Leasehold Building 148,679 13,500 375 13,875 134,804 135,179 2021 9,917 |
0 2020 2 Equipment 9,142 9,142 0 9,142 0 0 2020 0 2021 |
Fix & Fit 11,504 11,504 0 11,504 0 0 Total 19,373 963 3,019 1,747 15,807 762 0 1,076 0 375 43,122 |
TOTAL 169,325 34,146 375 34,521 134,804 135,179 2020 15,326 799 3,919 1,508 13,698 743 631 279 0 375 37,277 |
|---|---|---|---|---|
| Unrestricted Funds 5,168 963 3,019 1,090 4,832 762 0 596 0 375 16,805 |
Restricted Funds 14,205 658 10,975 480 26,317 |
Page 9