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2021-03-31-accounts

LUTLEY COMMUNITY ASSOCIATION Charity Registration Number 516095 TRUSTEES REPORT AND ACCOUNTS YEAR ENDED 31ST MARCH 2021

P & R TAXATION SERVICES 1, HAMPTON GARDENS PEDMORE STOURBRIDGE DY9 0AW

1

LUTLEY COMMUNITY ASSOCIATION INDEPENDENDENT EXAMINER’S REPORT TO THE TRUSTEES OF LUTLEY COMMUNITY ASSOCIATION

I report on the accounts of the Charity for the year ended 31st March 2021 which are set out on pages 3 to 8.

Respective responsibilities of Trustees and Examiner

The Charity’s trustees are responsible for the preparation of the accounts. The Charity’s trustees consider that an audit is not required for this year (under section 43(2) of the Charities Act 1993 (the 1993 Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner’s report

My examination was carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and 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 aspect the requirements

have not been met: or

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

P & R Taxation Services 1 Hampton Gardens, Pedmore Stourbridge West Midlands DY9 0AW 19 November 2021

2

LUTLEY COMMUNITY ASSOCIATION STATEMENT OF FINANCIAL ACTIVITIES YEAR ENDED 31ST MARCH 2021

Note Restricted
Unrestricted Total

Unrestricted Total
Total
Funds Funds 2021 2020
£ £ £ £
Incoming resources
Donations & Similar 5 - - - -
Incoming resources 2 Nil 894 Nil 894
Activities in furtherance
of the charity’s objects 3 -
66733 66733 48143
Bank Interest - - - -.
Total incoming resources - Nil 66733 66733 49037
Resources expended
Costs of generating funds 4 - - - -
Charitable expenditure:
Centre Costs 6 Nil 61046 61046 57752
Governance costs 7 -
2314 2314 2162
Total resources expended Nil 63360 63360 59914
Net incoming (outgoing)
Resources for year 7 -
3373
3373 (10877)
Total Funds at 31st March 2020 . 20736
20736 31613
.
Total Funds at 31st March 2021 - 24109 24109 20736

The notes on pages 5 to 8 form part of these accounts

3

LUTLEY COMMUNITY ASSOCIATION BALANCE SHEET 31ST MARCH 2021

Note 2020 2021
£ £ £ £
Fixed Assets
Furniture & Equipment 8 4786 7095
Current Assets
Debtors and prepayments 5289 3000
Clubs/Societies Reserve Account 5118 12021
Bank Current Account 250 250
Cash in hand . 3 445 .
10630 16322
Liabilities:due within one year
Creditors & accruals . 650 650 .
Net current assets 9980 15672
Net assets 14766 22767
Funds
Restricted 9 Nil Nil
Unrestricted
10 14766 22767

.

Approved by the trustees on 19 November 2021 and signed on their behalf by:

……………………………………… M. PRIEST ) ) ) Trustees ) ) ……………………………………… J BALMFORTH )

The notes on pages 5 to 8 form part of these accounts

4

LUTLEY COMMUNITY ASSOCIATION NOTES TO THE ACCOUNTS YEAR ENDED 31ST MARCH 2021

1 Accounting Policies

a Accounting convention

The accounts have been prepared under the historical costs convention, and follow The Statement of Recommended Practice, Accounting and Reporting by Charities (Charities SORP 2005) and applicable accounting standards.

b Incoming resources

Incoming resources from the Centre are recognized in the Statement of Financial Activities for the year in which they are receivable.

Grants are recognised in the Statement of Financial Activities in the year in which they are receivable.

Investment income is included when receivable.

Voluntary income received by way of donations and gifts is included in full in the Statement of Financial Activities when received. The value of services provided by volunteers has not been included.

c Donations

Donations received for the general purpose of the Charity are credited to “Unrestricted Funds”. Donations received in connection with specific projects are Credited to “Restricted Funds”.

d Resources expended

Resources expended are recognised in the period in which they are incurred.

e Tangible fixed assets and depreciation

Tangible fixed assets are stated at cost.

Depreciation is calculated to write down the cost of assets over their expected useful lives at the following rates:

Furniture and equipment etc. 25% reducing balance

2 Donations and similar incoming resource

Restricted Funds Unrestricted Funds 2021 2020 Restricted Funds Unrestricted Funds 2021 2020 Restricted Funds Unrestricted Funds 2021 2020
£ £ £ £
Subscriptions &
Donations - Nil Nil 894
Grants
. Nil Nil
Nil Nil
Nil Nil Nil 894

5

LUTLEY COMMUNITY ASSOCIATION NOTES TO THE ACCOUNTS (continued) YEAR ENDED 31ST MARCH 2021

3 Activities in furtherance of the charity’s objects

Hire Fees:
Groups
Private
Job Retention Grants
Covid 19 Grant
Fund Raising
Membership & Donations
.
Restricted Unrestricted Total Total
Funds Funds
2020 2021
£
£
£ £
-
45598 45598 874
-
1765 1765 1982
-
Nil Nil 17001
Nil Nil 25000
-
780
780 Nil
-
894
894 Nil

4 Costs of generating funds

4 Costs of generating funds
Nil Nil Nil Nil.
5 Centre costs
Gas
-
8096 8096 8740
Electricity Net
-
4820 4820 1093
Water
-
Nil Nil Nil
Insurance
- 1577 1577 1577
Wages & National Insurance - 29322 29322 30318
Secretarial services & Admin - 1987 1987 Nil
Window Cleaning & Waste -
2140 2140 8330
Capital Expenditure
- 630 630 4674
Repairs & Maintenance - 5596 5596 2945
Miscellaneous
- 546 546 104
Subscriptions & Licences
-
1236 1236 Nil
Security
- 5 5 900
Fundraising
-
201 201 Nil
Depreciation
-
1596 1596 2365
Totals 57752 57752 61046

6

LUTLEY COMMUNITY ASSOCIATION NOTES TO THE ACCOUNTS (continued) YEAR ENDED 31ST MARCH 2021

6 Governance costs

Telephone
Equipment Hire
Postage Stationary &
Photocopies
Accountancy
AGM expenses
Restricted
Unrestricted Total Total
Funds
Funds
2021 2020
£
£
£
£
-
1363 1363 1512
-
Nil Nil Nil
-
301
301 Nil
-
650
650 600
-
-
-
-.
-
2314 2314 2162

7 Net incoming (outgoing) resources

The following items are included in arriving at net incoming (outgoing) resources:

Wages & salaries etc
Social Security Costs
Total staff costs
Depreciation
Independent examiners fees
8 Fixed assets
Cost or valuation
At 31st March 2020
Additions
Disposals
At 31st March 2021

Depreciation
At 31st March 2020
Charge for year
Disposals
At 31st March 2021
Net book value
At 31st March 2020
At 31st March 2021
2020 2021
£
£
29322 30318
. 3289 2587
29322 28494
1596 2365
650 600
Furniture & Equipment etc.
£
52728
474
.-.
57402
47942
2365
.-.
50307
4786
7095

7

LUTLEY COMMUNITY ASSOCIATION NOTES TO THE ACCOUNTS (continued) YEAR ENDED 31ST MARCH 2021

9 Restricted Funds

Balance Received Used Balance 31/3/20 in year in year 31/3/21 £ £ £ £ Lottery Grant Nil Nil Nil Nil

10 Unrestricted Funds

Included in unrestricted funds are the following grants which the trustees have designated as follows:

Balance Received Used Balance 31/3/20 in year in year 31/3/21 £ £ £ £ Subscriptions & Donations Nil Nil Nil Nil.

11 Trustees remuneration

The trustees did not receive any remuneration or expenses during the year (2021 £Nil)

12 Capital commitments

Capital commitments at the year-end were as follows:

2020 2021 £ £ Nil Nil

Contracted for but not provided in these accounts

8

Lutley Community Association Executive Officers report year ended 31[st] March 2021

This year has once again proved more difficult even than in recent years due to the Coronavirus Pandemic. Fortunately we qualified for a £25,000 Government grant which prevented us from a trading loss and a very definite risk of having to close the business. Fortunately that threat has now been removed and we ended the year showing a small profit and the issue should not recur next year as nearly all our customers have returned since lockdown was lifted.

Unfortunately the Lockdown meant that the Centre had to close temporality and our permanent staff placed on Furlough; although we did take the decision to top up the 80% Furlough grants by 20% to ensure our staff remained on full pay. However we do have certain groups who were covered by regulations which allowed them to continue opening provided they had suitable venues available to them. Those groups were AA, Lutley Acorns and Lutley Kindergarten With our staff on Furlough the Centre was effectively unavailable to them. However we were able to agree that we would allow them use of the building for their meetings provided they undertook to carry out cleaning duties at the end of their hire sessions. We also introduced special Covid rules covering the use of mask wearing and one way systems in and around the building. These worked extremely well and we took the decision to continue the new rules when the groups returned after the uplifting of lockdown. We are grateful for the cooperation of our Centre users especially the ones who took on the extra cleaning roles. There was one negative aspect to this and that was that the normal running costs for the centre continued and we did incur a small loss during this period. However the Executive committee felt that we should absorb this rather than ask those groups involved to cover that cost.

Our lease requires us to maintain the centre building in good décor. In line with this we made a decision to redecorate the centre throughout in order to comply with the lease. We had for some years had problems with the floor in the Main Hall and the only satisfactory solution to this was to replace the floor. We are grateful that DMBC helped with the cost of this but even so we still had to find almost £2,500 towards the cost. However we would not have had the room available when Lockdown was lifted if we hadn’t gone ahead with this. That is a very important room to us and we felt that we had to have the floor replaced or risk closing the centre which would have potentially resulted in our business becoming unviable. Additionally the building once again suffered considerable damage our roof and the subsequent flood damage caused internally. DMBC again helped with the cost of roof repairs but the internal repairs had a significant effect on our cash reserves. This was not surprising as we only had the income from the three groups we allowed access to and the Covid grant. However the repairs were carried out to a high standard and many people now comment on what a lovely place the centre is to use again. We feel funds expended in this paragraph were well justified.

The accounts show that we had no income from fundraising nor from membership subscriptions. In both instances this was caused by Lockdown and we did not feel we could ask for membership subscriptions whilst t6he centre was closed.

Mrs Tether, our Centre Manager, and her staff have again worked hard keeping members fully informed of the constantly changing situation caused by the effects of Lockdown. Once again this highlights the importance of the Community Centre to the local community proved

by the number of people who contacted us because they were hoping to have use of the centre’s facilities.

We hope that the forthcoming year results in a big improvement for everyone in the fight against the awful Covid 19 virus.

M Priest Chair J Balmforth Secretary S Balmforth Deputy Chair A Montroy (Executive Committee member)

19[th] November 2021