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2022-03-31-accounts

Wolverhampton Coronary Aftercare Support Group

Registered Charity No. 701667

Website: www.have-a-heart.co.uk Email: wcasg79@gmail.com

The Queen’s Award for Voluntary Service 2008

ANNUAL REPORT AND ACCOUNTS

For the Year ending 31[st] March 2022

Wolverhampton Coronary Aftercare Support Group

Registered Charity No. 701667

79 Woodcote Road, Tettenhall, WV6 8LG

Annual Report

Objects

To promote any charitable purpose for the benefit of persons resident for the time being within the catchment area of the Heart and Lung Centre at Wolverhampton who have suffered any form of cardiovascular illness, and for the benefit of their carers, and in particular the advancement of education and rehabilitation.

This is achieved through fundraising and by offering services such as patient to patient counselling; patient and carer partnership meetings; patient representation on local, regional and national bodies; and, wherever possible, working in partnership with the management of the Heart and Lung centre to support clinical and rehabilitation services within the Black Country. The Group commissions phase 4 cardiac rehabilitation exercise services for patients with cardiovascular disease; currently provided through Have A Heart Wolverhampton (HAHW). HAHW is a non-profit company affiliated with the Group and working collaboratively with NHS cardiovascular and respiratory services at the Royal Wolverhampton NHS Trust to support patient rehabilitation.

Trustees

During the last financial year the Group has been managed by a Committee consisting of the following Trustees and Members:

PATRON: Dr. A. Frost MBCHB FRCA PRESIDENT: Mrs. G. Fenner OBE CHAIRMAN: Mr. A. K. Timmis MBE JP VICE CHAIRMAN: Dr R. Leslie SECRETARY: Mr K. Timmis ASSISTANT SECRETARY: Mrs. M. Wilson TREASURER: Mr. C Scordis BSc (Hons) PG Dip ASSISTANT TREASURER: Ms J. Davies EVENTS COORDINATOR: Ms J. Davies 500 CLUB SECRETARY Mr. A. Edge OFFICIAL PHOTOGRAPHER Mr. A. Edge PUBLICITY Mr. M. Passmore COMMITTEE MEMBERS: Ms. S. Brookhouse; Mr. H. Chumber; Mr K. Jellyman ; Ms E. Richards; Mrs. L. Taylor; Mr R. Stewart-Marrat.

Staff Members

Mrs B Porter; Mrs D Pullinger; Ms K Wise.

Exercise Programme Coordinator

Ms J Davies

In addition the Group has over 400 Ordinary Members, consisting of patients, carers and members of patients’ family and friends.

Accounting Policies

The accounts have been prepared under the historic cost convention on an accruals basis in accordance with the Charities Act 2011.

Incoming Resources

All incoming resources are included in full as soon as the following three factors can be met:

Legacies

Legacies are accounted for as incoming resources once the receipt of the legacy becomes reasonably certain. This will be once confirmation has been received from the representatives of the estate that payment of the legacy will be made or properly transferred and once all conditions attached to the legacy have been fulfilled.

Deferred Income

Where income has been received in advance of the funds held on trust fulfilling all the conditions attached to it, it is treated as deferred until all of the conditions have been met.

Resources Expended

Grants Payable

Grants payable are payments made to third parties in the furtherance of the charity’s objectives as outlined in the charity’s Constitution. They are accounted for on an accruals basis where the conditions for their payment have been met or where a third party has a reasonable expectation that they will receive the grant.

Management and Administration Costs

These are accounted for on an accruals basis.

Reserves

A General Reserve Account contains £50,000, available for use in case of emergency. If utilised either in whole or in part, it will be replenished as soon as practicable.

There is also a policy to maintain a balance on the General Account of at least £20,000 for day to day usage.

Funds in the “Have a Heart” Account are for distribution as charitable gifts to benefit patients and carers of New Cross Hospital and in particular of the Heart and Lung Centre at New Cross Hospital as appropriate and as decided by the Group Committee from time to time.

The other accounts contain funds which are restricted for the purpose and use of the departments to which they relate.

Fixed Assets

This is equipment owned by the charity on a written down value after depreciation.

Structure of Funds

Where there is a legal restriction on the purposes to which a fund may be put, the funds are classified in the accounts as a restricted fund. Funds where the capital is held to generate income for charitable purposes and cannot itself be spent are accounted for as endowment funds. Other funds are classified as unrestricted funds.

Funds which are not legally restricted but which the trustees have chosen to earmark for set purposes are classified as designated funds.

Benefits

No Trustee or member of the Group has at any time received financial benefit from the Group. Legitimate expenses, however, incurred on behalf of the group, have been paid when claimed.

A. K. Timmis MBE JP C Scordis BSc (Hons) PG Dip Group Chairman Group Treasurer

WOLVERHAMPTON CORONARY AFTERCARE SUPPORT GROUP

(Registered Charity no. 701667)

ANNUAL ACCOUNTS 2021/2022

1st April 2021 - 31st March 2022

INCOME AND EXPENDITURE ACCOUNTS

GENERAL INCOME AND EXPENDITURE ACCOUNT (Unrestricted)
INCOME
Refund on Bank Charges
Transfer to Have a Heart Account
EXPENDITURE
Just Giving Fees
Transfer to Have a Heart Account
Other Items
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
£
73
73
216
216
(143)
24,035
31/03/2021
£
0
216
216
(216)
24,251
BALANCE CARRIED FORWARD 23,892 24,035
500 CLUB INCOME AND EXPENDITURE ACCOUNT (Unrestricted)
INCOME
Subscriptions
EXPENDITURE
Prizes
Transfer to Have a Heart Account
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
£
2,615
2,615
1,261
1,261
1,354
8,736
31/03/2021
£
3,537
3,537
1,075
1,075
2,462
6,274
BALANCE CARRIED FORWARD 10,090 8,736
HAVE A HEART INCOME AND EXPENDITURE ACCOUNT (Ring-fenced)
31/03/2022
£
INCOME
Fun Walk
0
Will
70,859
Transfer from United Trust +Accured Int
50,000
Donations / Sales / Raffles
7,752
Special Events
6,983
135,594
EXPENDITURE
Purchase of Equipment and sponsorship of trials
5,304
Transfer of Funds
50,000
Goods for Sale / Raffle Prizes
20
Investment in Have a Heart Project
76,259
Fun Walk
Transfer of Funds to Administration and Rehabilitation accounts
0
131,583
SURPLUS / (DEFICIT)
4,011
Balance brought forward from previous year
3,654
31/03/2021
£
0
10,960
20,904
15,530
3,023

INCOME
Fun Walk
Will
Transfer from United Trust +Accured Int
Donations / Sales / Raffles
Special Events
EXPENDITURE
Purchase of Equipment and sponsorship of trials
Transfer of Funds
Goods for Sale / Raffle Prizes
Investment in Have a Heart Project
Fun Walk
Transfer of Funds to Administration and Rehabilitation accounts
SURPLUS / (DEFICIT)
Balance brought forward from previous year
50,417
12,263
50,781
0
0
63,044
(12,627)
16,281
BALANCE CARRIED FORWARD 7,665 3,654
GENERAL RESERVE ACCOUNT (Unrestricted) 31/03/2022
£
31/03/2021
£
BALANCE BROUGHT FORWARD AND CARRIED FORWARD 50,000 50,000
REHABILITATION ACCOUNT (Ring-fenced)
INCOME
Rehabilitation Income
Transfer from Have a Heart Account
EXPENDITURE
Rehabilitation Expenditure
SURPLUS / (DEFICIT)
Balance brought forward frompreviousyear
31/03/2022
£
10,130
10,130
39,402
39,402
(29,272)
22,682
31/03/2021
£
1,661
25,000
26,661
30,792
30,792
(4,131)
26,813
BALANCE CARRIED FORWARD (6,590) 22,682
ADMINISTRATION AND PUBLICITY ACCOUNT (Ring-fenced)
includes Petty Cash
INCOME
Sundry income
Transfer from Have A Heart
EXPENDITURE
Administration and Publicity Expenditure
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
£
0
0
0
3,773
3,773
(3,773)
10,495
31/03/2021
£
0
6,000
6,000
5,856
5,856
144
10,351
BALANCE CARRIED FORWARD 6,722 10,495
HEART AND LUNG CENTRE ACCOMMODATION AND TRAVEL ACCOUNT (Ring-fenced)
31/03/2022
£
INCOME
0
EXPENDITURE
Contribution towards Accommodation and Travel
0
0
SURPLUS / (DEFICIT)
0
Balance brought forward from previous year
21,694
31/03/2021
£

INCOME
EXPENDITURE
Contribution towards Accommodation and Travel
SURPLUS / (DEFICIT)
Balance brought forward from previous year
0
0
0
0
21,694
BALANCE CARRIED FORWARD 21,694 21,694
STROKE ACCOUNT (Restricted)
INCOME
Stroke Donations
EXPENDITURE
Trasfer to Acute Stroke
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
£
0
0
0
0
31/03/2021
£
0
0
0
0
BALANCE CARRIED FORWARD 0 0
ACUTE STROKE UNIT
INCOME
Transfer
Stroke Donations
EXPENDITURE
Stroke Expenditure
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
£
0
0
0
1,082
1,082
(1,082)
3,502
31/03/2021
£
0
0
0
0
0
0
3,502
BALANCE CARRIED FORWARD 2,420 3,502
CARDIOLOGY ACCOUNT (Restricted)
INCOME
Cardiology Donations
accural
EXPENDITURE
Cardiology Expenditure
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
£
1025
0
1,025
2,340
2,340
(1,315)
1,446
131
31/03/2021
£
436
0
436
4,306
4,306
(3,870)
5,316
BALANCE CARRIED FORWARD 1,446
Cormatix Study
INCOME
Course fees / sponsorship
EXPENDITURE
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
£
0
0
0
0
0
0
1,005
1,005
31/03/2021
£
0
0
510
0
510
(510)
1,515
BALANCE CARRIED FORWARD 1,005
INTEGRATED CCU ACCOUNT (Restricted)
INCOME
Integrated CCU Donations
Transfer from Have a Heart
EXPENDITURE
Transfer to H&L admin
Integrated CCU Expenditure
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
£
3,675
0
3,675
0
3,921
3,921
(246)
16,697
31/03/2021
£
7,653
7,653
0
6,500
6,500
1,153
15,544
BALANCE CARRIED FORWARD 16,451 16,697
CARDIOTHORACIC ACCOUNT (Restricted)
INCOME
Cardiothoracic Donations
EXPENDITURE
Cardiothoracic Expenditure
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
£
95
95
89
89
6
1,586
31/03/2021
£
2,942
2,942
2,135
2,135
807
779
BALANCE CARRIED FORWARD 1,592 1,586
CARDIAC CATH SUITE ACCOUNT (Restricted)
INCOME
Cardiac Cath Suite Donations
EXPENDITURE
Cardiac Cath Suite Expenditure
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
£
0
0
0
0
0
31/03/2021
£
0
0
0
0
0
BALANCE CARRIED FORWARD 0 0
HEART FAILURE ACCOUNT (Restricted)
INCOME
Heart Failure Donations
EXPENDITURE
Heart Failure Expenditure
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2021
1,020
1,020
0
0
1,020
0
31/03/2021
507
507
483
483
24
(24)
BALANCE CARRIED FORWARD 1,020 0
HEART AND LUNG ACCOUNT (Restricted)
INCOME
Heart and Lung Donations + Transfer
EXPENDITURE
Heart and Lung Expenditure
SURPLUS / (DEFICIT)
Balance brought forward from previous year
31/03/2022
0
0
0
0
3,000
31/03/2021
0
0
639
639
(639)
3,639
BALANCE CARRIED FORWARD 3,000 3,000
TOTAL INCOME AND EXPENDITURE 31/03/2022 31/03/2021
£ £
TOTAL INCOME 104,227 35,289
TOTAL EXPENDITURE 133,667 113,924
NET INCOME (29,440) (78,635)

BALANCE SHEET

FIXED ASSETS
TOTAL FIXED ASSETS
CURRENT ASSETS
Barclays Bank plc. - Account
Lloyds Bank plc. - Current Account
Saffron Building Society
United Trust Deposit
Nationwide Building Society Account
CURRENT LIABILITIES- Accruals
31/03/2022
£
0
9,301
103,075
0
26,716
0
0
139,092
31/03/2020
£
0
7,971
87,578
0
76,230
0
-3,247
168,532
NET ASSETS 139,092 168,532
REPRESENTED BY:
Income and Expenditure Accounts
General Account
500 Club Account
Have a Heart Account
Sponsored Salaries Account
General Reserve Account
Rehabilitation Account
Administration and Publicity Account
H&L Centre Accommodation and Travel Account
Stroke Account
Acute Stroke Unit
Cardiology Account
Heart and Lung Account
Heart Failure
Symposium
Integrated Critical Care Account
Cardiothoracic Account
Cardiac Cath Suite Account
23,892
10,090
7,665
0
50,000
(6,590)
6,722
21,694
0
2,420
131
3,000
1,020
1,005
16,451
1,592
0
24,035
8,736
3,654
0
50,000
22,682
10,495
21,694
0
3,502
1,446
3,000
0
1,005
16,697
1,586
0
139,092 168,532

CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to the trusteesl members of Wolverhampton Coronary Aftercare Support Group On accounts for the year ended 31.03.2022 Charity no (if any) 701667 Sot out on pages P3ge$3to11 I report lo the trustees on my examinalion of the accounts of the above charity ('the Trust") for the year ended 3110312020. R8sponslbllltles and basis of report As the chariws trustees, 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 examinalion of the Trust's accounts Carried out under section 145 of the 2011 Act and in carying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145{5Xb) of the Act. Independent I have completed my examination. I confirm that no material matters have examinarfs statement come to my attention in connection with the examination I have no wncems and have come across no oth8r matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. Signed: Date: 2025 Name: Relevanl professional qualification(s} or body (if anyl: cIA7ftsAf Address: 64Pp&rf Lio￿A￿LJ? &T ￿]￿(3 If e> IER Oct 2018

Sectlon B Disclosure Only complete if the examiner needs to highlight material matters of concern {see CC32. Independent examination of charity accounts.. direclions and guidance for examiners). Give h8r8 brief details of any items that the examiner wishes lo disclose. IER Oct 2018