Annual Trustee Report 2022
Registered Charity No. 516616
We are a well established registered charity and operate within the rules and regulations of the Charity Commission, HMRC, our own governing document and the laws of England and Wales.
The charity is based at and operates the Gordon Moore Centre, 300 Carmarthen Road, Cwmbwrla, Swansea which we rent from Swansea City Council at a peppercorn rate.
The objectives of the charity are to further the interests and welfare of disabled people.
2a) Mission
To help and support mentally and physically disabled people in the community.
2b) Strategy
-
To provide and maintain two support groups one on a Tuesday and the other on a Wednesday occasionally. We also provide various other activities outside the centre.
-
To operate and maintain a centre suitable for disabled users.
-
To provide training to help volunteers caring for mentally and physically disabled people.
Trustee Board
The trustees are legally responsible for the operation of the charity.
Officers - Christopher Holley OBE (Chair), Malcolm Connor (Secretary), Steve Berry(Treasurer), Hilary Hammett (Vice Chair) Trustees - Sam John, Jo Waller
Co-opted Members Chris Ward
Patron - Terry Williams (of Dire Straits fame).
Structure
The strategic and operational activities are run by the Board of Trustees which meets monthly. An Advisory Board also meets regularly and reports to the Trustees. This Advisory board comprises representatives of the various user charities that use the centre. Day to day management is carried out by the officers and a volunteer Building Manager.
Annual Trustee Report 2022 Page 1 of 4
The charity is run completely by volunteers with no paid staff at all. Volunteers are recruited mainly by word of mouth but also with the help of the Swansea Centre for Voluntary Services.
FINANCES
(See audited accounts - available online at the Charity Commission.)
Income
Our Major source of income is from donations both from individuals and organisations plus occasional grants. Other income comes from operating the snack bar and from various fundraising activities.
Expenses
Planned capital expenditure has been severely impacted by the financial pressures we have suffered during the pandemic.
The vast majority of expenses are incurred by the general operation of the centre itself. This includes utilities, insurance and maintenance of the buildings. A major expense has been the replacement of the velux windows on the 2nd floor (£18,000).
Reserves Policy
As a legal entity we are obliged to handle our funds in a responsible manner. We, therefore, deem it necessary to plan for future financial operations.
The Charity Commission requires a Reserves policy..
In determining our reserves policy the trustees took into account a number of influences including -
-
Cash flow (and forecasts)
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Analysis of future needs, contingencies and risks the potential consequences for the charity not being able to meet them.
-
Review of existing funds and reserves;
-
Review of future income streams;
-
Review of likely future expenditure;
-
Review of past operational and other trends;
-
The likely effects of changes on the public and beneficiaries;
-
Review of the major risks facing the charity;
The charity operates a large complex including a four storey building plus a number of small outbuildings, and is currently valued at approximately one million pounds. Our rates liability this year is £52,000.
Good practice deems that about 5% (£50,000) of the value of the buildings be made available as a contingency reserve. We have this sum in two accounts at the HSBC in Swansea notwithstanding the deficit incurred during the pandemic.
Annual Trustee Report 2022 Page 2 of 4
The centre is not considered a capital asset as it is leased from Swansea City Council at a peppercorn rent.
We also operate two disability vehicles .
Operational Fund
We had an operational fund of over £10,000 at the same bank. These sums to be used for immediate remedial work to the building or facilities and to act as a buffer should we lose expected income for any reason.
This has been severely reduced due to the impact of the pandemic.
Investments
The current rate of interest at HSBC is very low and the trustees have authorised that some of the funds be conservatively invested in an account offering better interest rates.
Budget
Last year we made an operational loss again due to the pandemic.
The present budget suggests an operational deficit although this will need reviewing due to recent changes within the centre.
The officers of the charity have suggested that a neutral budget i.e. no losses or surplus be aimed for this year.
Communications
We endeavour to keep our members and the other charities that use the centre updated on our activities. To do this we publish both a digital and a printed newsletter.
We also use Facebook and are looking into the possibility of using other social media options.
CCTV
Since the introduction of the CCTV system, police have been able to identify a sneak thief. Wilful damage was also caught on camera and the culprit identified.
Kitchen
Our kitchen continued to meet the Food Standards Agency star rating.
ROOMS
Basement
Small Gymnasium, Storage, Power plant, Lift control room
Ground Floor
Toilets (with disabled facilities), Music Therapy, Sensory, Switchroom, Main Kitchen, Storage, Meeting Room 1, Model Railway layout, Foyer, Hall, Snack Bar, Playroom, Poolroom.
1st Floor
Toilets (with disabled facilities), Computer Room, Therapy, Lifeskills, Trauma counselling, Main Office, Art Room, Meeting Room 2, Meeting Room 3.
Annual Trustee Report 2022 Page 3 of 4
2nd Floor
Model Railway layouts and support.
Out Buildings
Maintenance Storage 1 and 2, Workshop, Aviary and Poly tunnel.
User Groups
During the year we continued to support -
Bent but Not Broken - Trauma support. Buddies - disabled children ages 5 to 16 with a variety of activities. Cwmbwrla Park Working Group.
Dyversity - disabled children ages 5 to 16 with a variety of activities. Rising Stars - disabled children supported through music and dance. Rising Stars Academy - for younger children. Swansea Counselling and Wellbeing Service.
Swansea Model Railway Group - catering for able and disabled people of various ages Swansea Sings - Community Music Swansea Tai Chi U3A groups - Laptops, Mahjong, Ukulele and Yoga Walsingham Support- Sensory and music therapy
Activities have been restricted due to the pandemic but things are improving. We continue to seek more users.
We rely heavily on a small number of dedicated volunteers for much of the work around the centre, but these marvellous volunteers have disabilities themselves. It would be great if we could muster a few more volunteers to help out with the odd jobs.
We would like to thank the various user groups for their support both financially and with volunteering. It is clear that we would not be able to operate the centre without them.
There have been no serious incidents that have not been reported to the Charity Commission.
Malcolm Connor (Secretary) on behalf of the Trustees Oct 2022
Copyright and legal information about this document
This document is for information only, and therefore is not a binding contract and does not confer legal rights on any person. FOYD reserves intellectual property rights for information and materials provided under this policy, including those materials distributed under an open licence.
| Document | Version | Trustee Approval | Remarks |
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| CD TDA | Oct 2022 | ||
This Controlled Document to be reviewed annually.
Annual Trustee Report 2022 Page 4 of 4
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FRIENDS of the YOUNG DISABLED
RECEIPTS & PAYMENTS
YEAR ENDED 31st OCTOBER 2022
year ended Receipts
Payments
year ended 31st Oct.2021
31st Oct.2021
£
£
£
£
6965 Donations Business 7,844 Bank charges 52
5203
Donations Group 10,410
Centre equipment
1,000
7,857
348
Donations individual
7,628 Fuel
830
70
Interest
32
Vehicle tax 296
395
Bus hire
899
Insurance- building
3,637
3,003
Snack bar 1,908 Insurance-vehicles
2,131
1,170
Subscriptions 1,258 Repairs -building
18,337
7,967
3556
Miscellaenous 52
Repairs -vehicles
160
0
Telephone & computer
425
591
Snack bar
1,941
0
Utilities - electricity
3,096
3,354
- gas
14,507
-94
- water
2,302
695
Licences
346
329
16,142
Total receipts 30,031 9.125
DEFICIT
19,029
25,267
49,060
Total payments
49,060
25,267
STATEMENT OF BALANCES
£
Notes
accumulated funds and reserves at beginning of the year
65,050
1 Buildings - the Resource Centre is owned by the City and County of Swansea and leased to
deficit for the year
accumulated funds and reserves at of year end
19.029 46.021
the Friends of The Young Disabled on an operating basis. The Charity is responsible for the building's maintenance which is subject to reversion conditions should the Charity cease to operate at the site. The insured value of the building is £1,000,000.
Bank and other balaances at 31st October 2022
46021
2 Accumulated funds and restricted funds at 31st October 2022 amount to £46,006 and are required to meet unforseen repairs, and Impovements to the building and to improve services.
EXAMINER,S REPORT TO THE TRUSTEES OF THE FRIENDS OF THE YOUNG DISABLED
I have examined the financial records of the Friends of the Young Disabled for the year ended 31st October 2022.
In common with many organisations of a similar nature, financial control depends upon the close involement of its officers. Where Independent confirmation of the completeness of the records was not available I have accepted the assurances of the Treasurer that all transactions have been reflected in the records.
The above financial statement has been prepared from the financial records and vouchers presented to me and subject to the foregoing are a summary of the receipts and payments for the year and balances at the year end.
Signed:
B McNamara
7th. February 2024
zz2 i lllil .i*&llf 2 ri
FRIENDS of the YOUNG DISABLED
RECEIPTS & PAYMENTS
YEAR ENDED 31st OCTOBER 2022
year ended Receipts
Payments
year ended 31st Oct.2021
31st Oct.2021
£
£
£
£
6965 Donations Business 7,844 Bank charges 52
5203
Donations Group 10,410
Centre equipment
1,000
7,857
348
Donations individual
7,628 Fuel
830
70
Interest
32
Vehicle tax 296
395
Bus hire
899
Insurance- building
3,637
3,003
Snack bar 1,908 Insurance-vehicles
2,131
1,170
Subscriptions 1,258 Repairs -building
18,337
7,967
3556
Miscellaenous 52
Repairs -vehicles
160
0
Telephone & computer
425
591
Snack bar
1,941
0
Utilities - electricity
3,096
3,354
- gas
14,507
-94
- water
2,302
695
Licences
346
329
16,142
Total receipts 30,031 9.125
DEFICIT
19,029
25,267
49,060
Total payments
49,060
25,267
STATEMENT OF BALANCES
£
Notes
accumulated funds and reserves at beginning of the year
65,050
1 Buildings - the Resource Centre is owned by the City and County of Swansea and leased to
deficit for the year
accumulated funds and reserves at of year end
19.029 46.021
the Friends of The Young Disabled on an operating basis. The Charity is responsible for the building's maintenance which is subject to reversion conditions should the Charity cease to operate at the site. The insured value of the building is £1,000,000.
Bank and other balaances at 31st October 2022
46021
2 Accumulated funds and restricted funds at 31st October 2022 amount to £46,006 and are required to meet unforseen repairs, and Impovements to the building and to improve services.
EXAMINER,S REPORT TO THE TRUSTEES OF THE FRIENDS OF THE YOUNG DISABLED
I have examined the financial records of the Friends of the Young Disabled for the year ended 31st October 2022.
In common with many organisations of a similar nature, financial control depends upon the close involement of its officers. Where Independent confirmation of the completeness of the records was not available I have accepted the assurances of the Treasurer that all transactions have been reflected in the records.
The above financial statement has been prepared from the financial records and vouchers presented to me and subject to the foregoing are a summary of the receipts and payments for the year and balances at the year end.
Signed:
B McNamara
7th. February 2024