Reglstwed Company Number: 00333713
Charity Number: 702ZJ3
Community Council of Lancashire Ua Communlty Futures
(A company limited by guarantoo)
Trustees, Report and Flnancial Statements
For The Year Ended
31 March 2024

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
coKrENTS
l and adM￿18traI1ve informalion
Trusteeg report
Ind8pendent examlnerfs report
Statement of financial activities
Balarce Sheet
Ststement of cash fio
10
Notes to the financial statements
11

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
LEGAL AND ADMINISTRATIVE INFORMATION
Tru8t•ès
John Hymas
Albwt Aldnson
Gordon Harter
Char
Vice Chair
Treasurer
Laura Yates FitZsimorK8
Company Secretary
Regl8tered Offlce
Denise Parting
BrenbM)od House
15 Vict(Yla Road
FuEwoxl
Preston
PR2 8PS
Chief Exe(xJtpie
C•)mpany reglstsrod numbor
)333713
Charlty r•gl8l•r•d number
702233
Independent •xaminor
N P Smlth FCCA
R¢knrham Taylor Limited
21 N8vigation BuBines8 Vlllage
Navlgatlon Way
AShton￿n-Rlbb1e
Preston
PR2 2YP

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNrrY FUTURES
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2024
The trustees submlt their 8nnual r8POrt and the financlal statement4 whlch are also prepared to meet the
requirements for a dlrectors. report and accounts for Companies Act purposes. of Communlty Council of
Lantsshire (th9 ch8rity) for th8 year ended 31 March 2024. The financid Statements have been Frepared in
accordan￿ with the 8cwunting policies set out in notes to the acAxJunts arKI comply with the charity's governing
dcwment, the Chartiies Act 2011 and Accounling and Rewtlng by Charities.. Statement of Recommende(I
practi￿ applicable lo chartties preparing thek accounts in accordance WFih the Financlal Reporting Standard
applicable in the UK and Republic of Ireland (FRS102) wblished in Octobar 2019.
The Infomiation contained on page 1 fonns part of rewJrL
Structurn, GOV•rnan￿ and Management
Th8 ctrwity is 8 company limited by guwantee. wlthwt share capital. and is govemod by its M8morandum and
Artides of AssoclatTon. The princlpal activlty of the charity is promotkjn of any charitable wrposes for th8
benefit of the Community in the county of LaneA$hire arKJ Ihe wider North West region.
Method of appointment or •lèctlon of tn￿te23
marHgement of the charity FS the responslbllty ￿ the trusleeg vhjo are dected and CO•OPted under the lerms
of the Articles of Associatton.
Trustees are elected each year by members at ts Annual General Meeting.
TfE trustees, who also act a8 directors for the purposes of the Companks Act, who served the charity durfr¥J the
year ar8 on page 1.
Trusle• rncruitment. Inductlon and trnSning
Trustees are recruited 8ccording to th8ir 8klll8 and arwas of expertlse commensurate wllh the ¢heriVs aims and
objectives. Induction tralnlng is provided to all trustees on appolnlrnent to familiarise them wlth the work of tr
organlsatlon and to ensure that they Can make an Immedlate contribullon to its strategic management. TRining
has been developed by the organi8ation *thlch covern, Inter alla. gOVernar￿ and Bafeguarding matters. Trustees
are encouraged to particlpate In thls tralnlng to enhance tsir skill bas8 and strengthen their acGountabS11ty to the
chaiity. The charty aware of kne need to strengthen the skllls of the Board of Trustees 8nd throughout the year,
èfftirts have been made to generate interest in trusteeship by engaging a recruitment agency and encouraging
members to nomlnate candkjates.
Trustees. Ilabillty
The trustees of the charity guarant88 to C(M￿lEYjte an wnount rM)l exceedlng £1 to the assets of the (tsity in IP
event 0f￿nd1￿J up.
Rlsk pollcy
The trustees have conducted a revi8w of th8 major risks to whlch the charty Is exposed and developed polrci8S
to mitwe those risks. Having conducted an internal revi8w of operational procedures this year. trustees have
approved actions to develop a longer lerm strategy to ensure the charty minlmls88 financial fisk, strengthens
extsttng services and devdops new one8. Intemal risks are minimised by the implementation of procedures
authorisatton of all transactions and projects and to ensure consistent quality of delivery for all operational aspects
of the charty. These procedures are periodically reviewed to ensure they still meet the needs of the charity. The
main risks hav8 been embodied in a risk register whi¢h recths the likellhood and Impact of each rlsk wlth current
protethe measures. The ongolng risk8 arlsing COVIt>19 ￿111 be considered within 8lN>rt twm financlal
plannlro and loro-lerm sustainabilty of servlce8.

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
TRusfEES' REPORT
FOR THE YEAR ENDED 31 MARCH 2024
Objedves and actlvltles
The focus of Communlty Councll of Lancashire& activittes is on service delivery and promotion and developm*rt
of 50clal. economic, cultural and communlty ¥tivty. working with voluntary groups and in partnership with public
authothies.
Althwgh the charity Is observing growth in all areas of &tivtty. reduction in income from dilFdcare in prev10￿$
years continues to impact on cash flow.
Tho for Ihe year were to:
Continue to deliver high qualty childcare services Increase levels of Income to provide ￿l￿er￿leS In
eath Eetting.
Maxlmlse gr2nt Income for operational and business aciivty.
Contlnue to develop family support services to Pelp those wornt affected by th8 Cost of livirvJ crlsls.
Continue to increase Support to njral communliies.
Continue lo klentlfy long term solutions to funding m actlvty.
The short term objective 18 to use evldence provided through the dellvery of grant and contraot funded work to
maxlmlse fundlng through grant ald and commissioned work. The long-term objective is to Im￿ement a strategy
that will ensure th8 charlty Is sustainable and fil for the fulure.
Granl Ma￿n9 policlos
The clRrity does not make payments of grants on its cwn behalf but acts as an administrator for furKlers. Any
grants m8de are therefore In accordance with the grant maklng policy of the funder.
Achievwnents and performan¢•
Athvlty has been conslstent wlth achtevement of Object￿$.
1. Charitable Activty
1.1 The charty su¢(%ssfully rxxnpleted d8lfvwy of the Connecting Communitles In Lancashire (CCIL)
Project in September 2023. Contim￿l work with Lan(xshire Assoclallon of Village and Community
Halls (LAVCH) wÉll enable bene￿larieS of the prolect to continue to access a(fvice, gUid￿Ce and
P8er support.
1.2 Defra funding was secured again this year. in p8rtnership with ACRE. and continues to make a
slgnmtsnt contributton to outcome focu5sed acllwty to meet the needs of rural communities. This
fundirYJ enables us to rdenttfy snd r88PK)nd to the specifiG needs of rural communlties arwj promote
theirvalue to statutory decision maker8. We measure the suttess ofthis actlvty through community
networks and individuals who have benefitted from our vth In thls area and continued demand for
our services.
1.3 Chorley and South Rlbble CCG inteAlm grant dellvery to build capacity and capability ￿thIn the
VCSE sector In C8ntral Lanc4shlre. ended In March 2023. Afurther granl was r￿￿Ve0 lo Continue
ddlvery until the end of thls finanGlal year.
1.4 Brentyrn￿ House continues to Provlde offy% a￿)MMOd￿n to 2 organi&qtlorts: Selnet and
Be8n$tsik Busin&%s Support Incorn from this actlvlty ¢onlribute5 to the overhead costs of the
ilding.

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
TRUSTEES, REpoKr
FOR THE YEAR ENDED 31 MARCH 2024
1.5 Management and 8UPPOrt servlces for Galloway Hall have continued throughout the year. Trustees
have not negotlated an inuea8e In payments this year, in recognition of the Impact of COVID-19
on Income from the h811 for Ihe charlty.
1.6 COREN (Communliy Research and E￿8gernent NefrhDfk). Thls year we contlnued to provtde inFXrt
and expertise to the development growth of a COREN for the Applted Research Collaboration
(ARC). The Partnerships Manager 15 a mamber of the COREN Leadership Graup.
1.7 NAVCA furKling Yrds secured to provtde peer leaming opportunities.
1.8 A grant was recelved from Natlonal Lottwy Community Fund for a Village Agents In Lanca8hire
Pllol ProJe¢t. Thls Is an 18-month project. started in January 2024. ts) develop a model for a full
scheme.
1.9 Awards for All grarrt funding was used to develop the websbte, rr￿(ing it more accesslble to
beneficiaries for a wider purpose.
1.10 A grant was awarded by NHSE Lants & South Cumbria to Priority Wards Listenlng & Grants
Pragramme for successfvl faulitatlon of 8 sm811 Iocal grant proc888 and proVis￿n of support to
applicants.
2. Family SeNices and Chlldca
2.1 During the year. day and OLrt of s¢lx)ol (we Nyds provkled from 4 settlngs,. Jlgsaw Burscough,
CocAkidz Langho, Coolktdz Roebud( and Coolkldz Sacr8d Heart. Chlldcare conllnued to operate
below prevlous income levels, although all showad a steady increa58 In the last quarter of the year.
2.2 Trustees recognise the contlnued difficulty In recrultment. The govemment has continued to provpae
funding for parents to access free chlldcare, tr￿Ver this does not fully fund the cost of delivery.
We ￿11 continue to advocate for fully funded chlldcare at a naoonal level through m8mbership of
Early Years Alliance.
2.3 The charfty made a financial inveslment in a new daycare faollltry In Hesketh Bank, wh￿h opened
in January 2023. Unfortunately, Hesketh Bank Communlty Centre termlnated the hire 4reement
on its premi888 in September 2023, 4*tkh lrnnted the servlce from Co￿]nuIng and created 8
rinanclal loss to the charity.
2.4 Grant funding was recelved througtrK)utthe yearto Contr1￿te lo the provision of holiday club actfvity
through the HAF Programme.
2.6 Farn1￿ services have b88n prO￿ded ttrnuglK)Ut th8 year and include..
Support forfamllles to access finanaal supprt through tax free childcarè, NEG vouchers
& Universal Credlt.
Connecting and referrirvj families lo Oth￿ support agencles.
Agreement with Sacreil Heart Cathollc Sch(xY to provide support to parents.
F8mity SUPPOrt and creche facHIUes for Sanctuary Cookalongs in Preston.
Provlsion of community food markets.
Facilitation of a Christmas toy apped for Preston ¢hildren.
Pmvision of a school unifoni) bank.
2.6 Grants were recetved from SpriTVJ North to deliver heallh campaigns as part of tho famlly support
servi1*.
2.7 A grant was recelved from tr* PreBton City Councl Household Famlly Support Fund to prov#le
meals and food parcels for children and famdie5.
No fundralslng has taken place In this reportku period.
In ￿nnIng the actrviiies for the year, Ihe truste88 kept In mlnd the Charity Commission's guidance on publlc
benefit at a meeting of the trustees.

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
TRiI8TEES' REPORT
FOR THE YEAR ENDED 31 MARCH 2024
Flnanclal rovl
The princlp81 funding sources fty charitable acttvlty are rentsl Income from resident partner5, commissiowl work,
Fxojects and grant furKling, which contrbute to core operatlr¥J cost5. Defra funding conlinues to resource
dedKated support to rural communities. PrI￿￿paI furmjing sources for Child(2￿ and family support continue to be
ildcare Woud￿rS, private fees and grants.
Tha surplus for Ihe year was £173.363 (2023: deftcat of £57,890). Details of income and expendi￿re frjr the year
stm)￿1 in the Statsment of Finandal Acthities on Page 8.
Plan8 for future perlods
1. Followlng completion of the Intemal revtew and delivwy ￿ a short tarm action plan, trustees wlll support
development of a strategy to achleve a lOn￿terM aim for the future.
2. Evidence of outcomes from the Villaoe Agent Plot pro￿ will be used to develop a countywidq funded
Willage Agent Scheme.
3. Grant fijndlng will contlnue to be a signifficant part of the charity'5 ir￿rne as seek to create a more
balanced. sustainable fin8ncial profil8.
Kéy managwnent porsonnel r•mun•r*lon
The clwlty 8ppIi8S 8alarles to manaoemeTrt personnel commertsurate whh duttes and that are (¥)rtsistent wlthln
the parametas of natlonally agreed rates of pay. The Charfty considerslig key mana9ement peTsonn81 to be the
Chief Executtve, Business Director, EYS Le&1 Manager and Partn8rshlp Manager.
Reserves pollcy
The reserves that tni8te8s have set asTde seek to balance the need for financial prud8nc8 With thal of ensuriNJ
SLfficient fijnds remaln avaiL8ble to detwer the Gharitys aims ar¥J objectivès. We Inlend to maintain our reserves
at a level vA)ich is at least equivalent to £170.000. being approximately three months, operating expenses.
Urrestrfcted general funds as of 31 March 2024 were £372,461. or these funds, £299,865 are held as tangible
fixed assets. leaving free reserves of £72,596 (2023: £37.311) vthich is below the trustees. targec however the
trustses will (x)ntinue to monltor the level of free reserves arKI take sleps to bring it back in line with their policy.
This report was appYov8d by the truBtees on .1! . l O:..Z*.. and sign￿1 on thelr beha
Den13e partIng￿ - Company Secretary

OMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
INDEPENDENT EXAMINER'S REpoiYr
FOR THE YEAR ENDED 31 MARCH 2024
I report to the trustees (who are also Directors for the purpose of Company law) on my examlrkglion of th8fin8ncial
statements of Community C¢)uncil of Lancashlre TIA Conynunty Fuiures ('the charitable company) for th8 year
ended 31£t March 2024 which comprlse the Statement d Financid Adivities. the Balance Shee( the Statement
of Cash Flows and related notes.
This report is made solely to the ¢harlty'S trustees, as a body, in ac(x)rdanc8 wlth sactlon 145 of the Charities Act
2011. My work h85 been undertaken so that I might sL2te to Ihe charity's trustge5 those matters l am required to
state to them in this report and for no other purpose. To the fullest exterrt P8rmltted by law. I do not a(xepl or
assume ￿ponsibIlty to anyone other Ihan Ihe charlty and the chwivs trustees as a body. for my work. for Ihis
repor( or for the opinions I have fr*med.
Responslbllities and b8gls of r•port
As Iha trustees of the charitable company you are responsibl8 for Ihe preparation of the financial slatements In
accordarts wlih the requirements of the Compani8s Act 2LK)6 (1he 2006 Act.).
Having saosfied myself that the financial statements of the chwilable company are not requirffi5 to be audlt&
under Part 18 of the Act and are eligible for Indep8rKlentexaminatlon. I report In respect of my exsmination of the
charitable company's ffinanclal statements ￿rried out under section 145 of the Charities Act 2011 {'the 2011 Acr)
and in carrying out my examlnalon I have followed all the aOi¢able Directions glven by the Charty Commiswn
under section 145(5)(b) of the 2011 Act.
An independent examlnatlon do8s nol knvolve gathering Bll the evidence that would be requlred In an audit arKJ
¢onsequently does not cover all the matters Ihat an auditor ry)nslders In giving thelr oplnlon on the financial
statements. The planniro and CA)nduct of an audlt goes beyond the limited assurarrR Ihat an Independent
8xamlnatlon can provlde. Consequently l express no oplnlon £s to whether the financial statements pr8sent a
1rue a￿1 fatr, view and my report is Ilmtte(I to those Sp8Cff￿ matters set OLrt In the Independent examlnerfs
statement.
Ind•pendent examlnees statement
sin￿ the chaTitable companWs gross Income exceeded £250,000 your examiner must b8 a m8mber of a body
listed in section 145 of the 2011 Act. I confirm that l am qualified to urKlertake the examinatlon because l am a
member of ACCA which is one of the listed bodles.
I complete(I my examination. I confi￿n that no matsrlal matters have come to my attention In connectlon v
the examination giving me cause to believe that Sn any material respect:
accountlng records were not kept in reS￿t of the cfwltable company as requiwj by section 386 of the
2006 Act." or
the financial statements do rM)t accord wth those re￿)rds. or
the finandal statements do not comply with the acc￿nting requirements of sectlon 396 of the 2006 Act
other than any requi￿rnent that the financial 5tstements give a true and falr vlew whkh Is not a matter
con6rdered as part of an independent examination.- or
the financlal statements have not been prepared in accrydan¢e with the methods and prlnclples of Ihe
Statement of Recommended Practlce for accwnting and reportlng by charities applicab￿ lo ¢haritses
preparlng their accounts In eccordance with the Financial Reportlng Standard applic8t4e in the UK arKi
Republic of Ireland {FRS 102).

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
INDEPENDENT EXAMINER'8 REPORT
FOR THE YEAR ENDED 31 MARCH 2024
I have rKtr concems and have come across rKJ otsr matters in ￿nn￿lOn with the examlnation to whtch attentlon
skKxAd be (irawn in this report in order to enable a proper understarKling of the flnanclal slatements to be reached.
Mr N P Smllh FCCA
21 Navlgatlon Buslness Village
Navlg8tknn Way
Ashtor￿On-Rlb￿I8
Preston
PR2 2YP

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FufuRES
STATEhlENT OF FINANCIAL ACTIVITIES (INCLUDING INCOME & EXPENDrruRE ACCOUNT)
FOR THE YEAR ENDED 31 MARCH 21r24
Regtrlctod Unr•Btrlct•d
ndB
funds
Totsl
Charftable aclivilles: (x>mmunity projects
Ch8it8tAB &INtI￿s. thlldcare ark1 family supp
514123
4.280
35.207
302.747
SSO,030
307,027
267,522
295317
Total In¢m•
519291
337
857251
562.73
Expen(Hturn
ChBiikNe actfvllles.. communlty proleots
Chwilth actlvlllos: thiklcaxe and family supwrt
367.n1
44,602
267,217
412,322
271.566
303210
317A19
T<tsIexp•nd1￿Tr
372.089
311,819
683,88B
620
N•t irwmg1(expendltuM)
147322
173J63
(57Jg0
Tran•fer* b•i**•n fund8
Other ra¢0￿1$¢d gains 1 (Iossea):
Ailuarial g8in on defined benefft pensl)n s¢he
10
N•t N￿o￿nt In funds
147322
21.141
173A63
R•crnoillaUon of fundg:
Totsl fund8 brought forward
17.1149
421359
Tolajfvnds ca￿lEd forward
164371
372A61
538,732
All incoTne and expendlture derlve from c4)ntlnulng acIfvtt￿.
The statemerrt of finanrAal aclivities IrKlud88 all galns and losses recognised durfng the year.

S AT 31 IL4RCH 21)24
14Ta3
Er.$61
184024 74
184024
072 267.096
{1475¥ {IOh7• (30329) PBJ251
12
164271
17
12

COMMUNrrY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
STATEKENT OF CASH FLOWS
FOR THE YEAR ENDED 31 MARCH 2024
2024
20rJ
Cash ljow from OPOTailnq actlvitle5
191244
(27.979)
Cash flow from inve8tlng aGtlvlties
Investment Income
Net cash flow from In￿StIng actlvltlos
Not docrofjm in cash and ¢a8h •qulvalonts
191.438
(27,979)
Cash and cash equlvalents brought foNRrd
67,561
95,540
Cash and ca8h oqufvalonts carrf•d forw*d
258,999
67.561
Conslstlng of:
Cash at bank and In hand
258,999
67A61
R￿)n￿lIatIon of net oxperKlituro for Iho year
to net cash flow from operating actlviti08
Net Incomel(expendltur8) for the ye
173,363
(57ml
Investment income received
Loss on ijisposal of tangible flxed assets
Depreciation of tangible assets
Decrease in debtors
Increase in crwjitors
6.941
2.204
7.626
3.958
8.741
17312
Net cash tlow from oporatlng aGtlvltl88
191,244
127,9791
-11)-

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
NOTES TO THE FINANCIAL STATEMEKrs
FOR THE YEAR ENDED 31 MARCH 2024
A¢countlng pollel•s
Cornpany status
Th8 company is a company Ilmlted by guarantee (inC￿￿)rated in England & Wales). The members of the
company are the trustees named on page 1. In the evenl of the company being wound up. the liabilty in
respert of the guarante8 18 limlted lo £1 per membBr of the ￿fflpany.
Bas15 of preparatlon of flnanclal statement8
Th8 charlty constltutes a puljlc benefft entty as defined by FRS 102. The financial statements have been
epared on a golng concern basts underlhe hislorical cost converrtion and in accordancewith Accounting
and Reporting by Charities: Statement of Recommended Practice applicabte to Charities preparlrKJ Iheir
accounts in accordance wlth the Flnanclal R8Fthng Standard appli(zble in the UK and Republic of
Ireland (FRS 102) issued in Octob8r 2019. the Financial Reporting Standard appllcalje In ts Unite(I
Klngdom and Republlc of Ireland (FRS 102). The Charitps Act 2011, and UK Ger)8rally Accepted
Accounting Practice.
The financtal statements are prepared on a gotrwJ concern basi5 urmjer the hlstorlcal cost conventfon,
m(xlified to includ8 certaln flnancial instruments at fay value. The financial statements are prepared in
sterfing whrch Is the functlonal Currercy of the charfty.
The slgnKkant accounting polKtes applied in the prepwatlon of these fin8nc181 statements ere set out
t￿lOw. These policies have been COr￿lstentIY appti￿ to all years pr888nted unl888 Otherwise 8tated.
Golng con<Km
The trustees are reqUI￿d to 8SBe8s whether Ihe use of going concern is approprlate, l.e. vthether thtre
are any material uncertainties related to events or condltlons that may cast significant doubt on the abltty
of the ch8rfty to continue as a going con(*rn. The Tw8188s make this ass&%smenl in respect of a per￿d
of al least one year from the dats of authorisatlon of the accounts. T1￿ Trustees and Managernent have
put plans in place to manage the siiuation and monltor reserv05 levels. At the date of approving these
accounts the trustees have a reasonable expectation trAt tha charfty wlll be able to man8ge the siluation
and that it ha8 sufficient cash resour￿ to enable it to meet its liabilltl8s as they fall due for at least 12
month5 from the date of approval. Thus the trustees continue to adopt the going concern basis of
accounting in preparing the financlal sLgtements.
Fund accountlng
General funds are unre5trlcted funds. which are available for use at the dlscretlon of the trustees in
furtherance of the general objectives of the ￿MpanY and which have not been designaled for ot￿r
purposes.
Designated funds comprise unrestrictal funds that have b80n set aside by the trustees for particutar
purposes. The aim and use of desigrRted furKI is set out In notes to the firwiclal st*ments.
Restrlcted fvnd5 are funds are to ba u8ed in accordan(x with SPeCrf￿ restrictM)r6 imposed by
dor￿rS which have been raised by the company for particular purpos89, The cost of ralslng and
Imini5tering such funds are charged agalnst the Sp￿lfIC fund. The aim and use of each r88tricted furKJ
is set out In the notes to the fin8ncial stat8monts.
Incom• recognltlon
All Incomlng resourc8S 8r8 Included in th8 Slalement of Flnandal A¢llvltles {SoFA) when th8 charity Is
legally entitled to the in(xJme after any performance condltk)ns have been rnet, the amount can be
measured rellably and It Is probable that the income will be re￿Ned except for the followlThJ:
-11-

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FLrruRES
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
Accountlng pollcl8s {contlnued)
In¢omo rocognltlon (con1lnu￿)
When donors specity that donations and grants given to the charity mu8t be used In future accountir
periods, the Income is deferred until p8riod
When (Jonors Impose conditrons, vthith must be fulftlled before the charity becornes entiued lo use such
Income, the income is delerred and not fr￿uded In Incomkng reswrces until the preconditions for use
have been met. and
When donors speclfy that donations a￿1 grants. indudingcapltal grdnts, arefor restrlcted purposes, whlth
do not amount to precondttlons regardkng enlltlemenL this income is inclLMJed in incomlrvJ resource$ of
r88trictad funds when recelvable.
Resources exponded
All expenditure Is acctyjnted for on an accruals basls and has been Included under expense categor
that aggregate all costs for allocatlon to xtSvliies. Where costs cannot be directy 8ttribut8d to actNitie8,
they bè8n allocaed on a basls conslstent with the u8e of the resources.
Grants payable are charged In the year when the offer is made except In those cas88 where the offer '
conditional. sLKh gr￿ts b8lng recconlsed as exp8ndilure when th8 condltlon8 atla¢hiry are fvlfflled.
Gry￿ts offered sublect to condltlons whlch hav8 not been met at the year end are noted as a commitment
t not as expendlture.
Support costs have been identlfied based on the rAture of the expense. Occuparry costs arKI
payrdvhuman resource costs have been allocated to ￿￿eCts based on headcount. IT and general
administration costs have been allor*ted to Fyoiects on an 8qual basis. Line marragement costs have
b88n allocated to projects ba6ed on time spent.
Governance Costs ind￿le those costs inwrred in Ihe governance of th& charity's assets arml 8re
associated wilh cortsti￿tt0n8l and statutory requlrements.
TangKbl• r￿ed a$8•ts and d•preclatlon
Expenditure is only capitalised It meets ttr* definltion of capital expendliure arxl when it o deemed
to be of material valu8.
Tangible ffixed assets are 81ated al cost (or deemed cost) less accumulated depreclation. Cost indu(Jes
costs directly altributatAe lo maklr¥J the asset Capable of operatlng as Intended. Depreciatlon Is Mt
charged on freehokl. As Ihe trustees conskler the esllmated residual valu8 of freohokl propty to be
ater th8t the net book v81u8. they b8118ve that both ￿rrent and accumulated depreclation .¥8
Immaterfal and no provision 1$ made in the accounts. Th8 ￿Mated resfvjual value Is exp8cled to be hlgh
e to the charity's policy of malntalning the propety such that physlcal deterloratkn does rlot occur and
the costs of such malntenan¢e are clwged in the yew of incidenL¥.
Depreciation on other tanglble fixed assets Is provided at rates calcula￿1 to wriie off the o)sts of those
888ets, less their 8stimated resithal value, over thelr estimated usefvl lives on the follTrNing bases:
Fumliure, fittings and equipffRnt
CompLrter equipment
10% pa straight line
20% pa straight line
-12-

COMMUNrrY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
NOTES TO THE FINANCIAL STATEMEPITS
FOR THE YEAR ENDED 31 MARCH 2024
Accountlng pollcles {Gontlnued)
Debtor5 re￿[vable within one year are recoTded 81 transa(knn price. Any losses arising frorn impairment
are recognised in expendI￿re.
Crnditors
Creditor5 with no stated interest rate and payable within one year are recorded at transactlon prke.
Penslons
The tharty participat88 in a multFemployer dellned benefft sc￿rne for certain employees. operated
through Lancashire County Council. The fund Is v8lue(J at least every three years by a professionally
qualified independent actuary. The most recent actuarlal valuation available w88 txrried out as at 31
March 2022. done for the purpose of setting future contributbn rates, vthere the actuary ind¥￿ted thatthe
Charity is In surplus for contribuuon purposes and theref￿e this position has been maintained. The
ntributions paid to th8 scheme have been accourbted for In the Statement of Financial Activtb'es (see
note 10).
Income from eharftabl• activiti•8- f*Jmmunity projects
2024
Grants rncolvablo
Rural Cornmunlty Actlon Network- ACRE
Mational Lott8ry Communlty Fund- CCIL Project
Chorley & South Rlbble CCG
NAVCA - Training
NHS Lan￿ & Cumbria Grants - Development FurKI
NHS Lanc5 & Cumbria Grant5 - ICB Partnership Fund
Coren - Community Research Engagement Nei%wrk
Spring North - Bloo(1 pressure
Bumlay, Pendle & Rossondale CVS- Rural Heahh ReS￿rth Proiect
NL Vlllage Agents
NL Awards For ALL
ACRE RHE Programme
NHSE legacy fund - Cohort (CP)
LCC VCFSE Development
LSC Community Listening
LSC Preston NonvReixJrrent Grant wograFnme
Brertwood House Trust
44240
14500
44240
29.840
27,885
1,000
60.000
1,500
6&639
31.500
7,000
10,000
10.51JO
10.000
5.900
12,748
024
17.405
10,000
60.000
5.600
112,467
135,200
195.865
Other In¢omo
550,030
267.522
The above amount Includes restricted grant inc%)me recelvable of £514,823 (2023: £195.885) for
cOmTh￿nity projects. Other income ts all unr6strlcted In LM)th Ihe current and prevlous years.
-1&

COMMUNrrY COUNCIL OF LANCASHIRE TIA COMMUNITY FirruRES
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
Incomo from charltable actlvltles - ¢hlld¢arn and famlly support
2024
Grants rxelvab
SFflro Noth- HAF
Swlro North- Healthy Chlkl Consultations
PCC- Household &pport FuTrJ
14820
14000
4380
1I992
1.500
33.1110
18A92
Chlldcwo Incom•
Jlgsaw
Burscough
Coolkvjz @ LarvJho
Jtgsaw & Coolkidz
Brockholes
Jlgsaw
He8keth Bank
CoolKldz
Sacr*J Heart
Coolktdz
Roebuck
CO0￿[dZ
Samlesbury
Unrestricted Funds
61013
149.481
60,936
126,633
33.108
317
28.255
26.592
29.420
25.447
3.269
273,9ZI
27&725
307.027
294217
The abov8 amount Indud88 restrktso grant Income reCe￿ab￿ of £4,280 {2023: £18.492) for famlly
support servlces. The remainder represents Income re*r¥ed to provlde ¢hlldcare, in the f¢rm of nurseries
d out of sthool dubs and Is all unrestrlcted in both the Current and previous year.
Invostment In¢omo
2024
Total
2023
Total
Bank and other interest rec￿8￿
-14-

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FLrruRES
NOTES TO THE FINANCIAL sfATEMEKrs
FOR THEYEAR ENDED 31 MARCH 2024
Expondlturn on charltabl• actlvitles
Chlld¢ar• and tamlty
support
Dlrrft Support Dlroct Support
Total
2024
2023
Wage8 and ￿l￿ries
Agenw 8laff tsalnh
Rrt watsr rats$ 8nd v)uncil tsx
PrfNlng. Ste￿ntry arbj p￿tage
SuThfjry exP￿e8
Irs ar￿
Icr 8UPT
Insurence
TglepPtho
226,381
4.171
224,974
1.671
15a8
451,355
471A54
17,072
3.920
14,740
7.329
3,853
8.281
2.538
3.571
2204
14563
0.120
19,779
781
11190
1ISS9
n8
2.251
5,818
3.120
3.133
4063
3*58
21060
470
2,301
rwreciatfon
134,￿9
Subscriptr)ns
197
200
3.105
929
L8Jal and p￿feSsi)nal
Ga5 and èt&trWSty
,829
8.109
744
470
979
979
942
Loss on dbposal of assets
6,942
410,874
5,884 265,6B2 676,946 620,629
412,322
271,se8
Total pxperKlibJre indudes restrirthl amounts of £372,069 (2023: £211610).
Analysls rf gov•mwKo coBt•
2023
Independ￿t examlnerfs tsmunaratk)n
Independent ex4mlnakn fee
1,080
3,574
M88ling 8xpens88
188
The tru8te88 have decided to meet all governance costs from urfestrtted fund8 and 80 no all(Ication or
charge Is made to restricted funds for any govemance related costs.
During the year one trustee was paid remuneralion of £71,403 (2023: £63,6W2), Indthllng p￿Slon
(y)ntributlons of £12,871 {2023: £&7e6). stridy for their role as an employee of th8 charfty and not tor
thelr seNlces as a trustee. No other Irustees recelved remuneratlon, benefits In klnd or expenses In the
currenl and previous year. There were no trartsactl<>ns wtth other related parties other Ihan those
disclosed in note 13.

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
NOTES TO ThE FINANCIAL STATEMEiirs
FOR THE YEAR ENDED 31 MARCH 2024
2024
2023
Wages and salaries
Social sKurty costs
PenGion costs
295
31.064
43￿96
4Th),622
31.408
39.425
451,365
471,455
2024
21r23
No
The average number of employ88s lurlng the
year was as follows..
FTE
FfE
AdminislrativeTrroiac
manag8m&nt
Admln18tr8tfve & Pro}￿1 support
Famlly Sup1￿ & Chlldc8r8
management
Famli y Supp)rt & Chlldcaro staff
10
17
13
15
The number of employees whose empbyee emoluments (ex￿￿lIng em￿0yeT natlonal Ir£urance arKJ
P￿S1on contributions) ayceeded £60.000 was:
2024
2023
£60,001- £70,000
The totsl amount of emrAoyee benefits received by key man*Jement wsonnel Is £267,649 (2023:
£201,947).
-1

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
rioTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
Tanglble flxed assets
FurnltUff•
Land &
ffttingg &
l)ulldlnq8 aqulpment
Comput•r
équlpmwrt
C08t
As at 1 Aprl 2023
A(Jditions
Disposals
295,000 55,830
25,567
376.397
(15,873}
(15,673
As at 31 2024
296.000
40.167
25,567
Depr•clatlon
al 1 April 2023
Charge for the year
On dispoBal8
42,121
1,965
(8.733)
25,2e7
239
67,388
at 31 Marth 2024
Net book value
As at 31 Marc* 2024
35,353
25.508
eo,859
295,000
61
As at 31 Marth 2023
295,OCIJ
13,709
309,009
Freehold land arKI building8 induded above vffjre recognised uslng a prevlous open market existing use
vthation basis as a deemed cost on transttlon to SORP 2015 (FRS102). The trustees are of the bell8f
that the value of the land and bulldings would b8 In exces8 of £295,000 ￿ they vmre lo bè sold as
r8sldentlal woperty rather than c0rnff￿rC181 property.
Land &
bulldlngs
520.757
110.000
(335,757)
Revaluatlons . Movement du8 to open market valuatlon as at 31 December 2002
Idovement due to open mafkel valuafjon as at 22 July 2010
Deemed ¢ost on trar6ltlon
DebtOf8
2024
2023
Trade debtors
8,097
16,723
-17-

COMMUNITY COUNCIL OF IANCASHIRE TIA COMMUNITY FUTURES
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
Credltorn . Amounts falllng duo wlthln on• year
2023
Trade credltors
Other creditors
P8yments on account
Accruals and deferred ir¢omg
2,612
$279
2,024
20,314
4,n4
2,WO
19,240
30329
-18-

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNrrY FUTURES
NOTES TO THE FINANCIAL STATEMENtS
FOR THE YEAR ENDED 31 MARCH 2024
10
Pwslong commitments
The charity participate5 in a multi*rnployer benefft scheme for certain employees, opor*ed
through Lan￿shIre County Courtil. The fund Is valued at least eV￿Y three years by a profe55ionally
qualif￿d independent actuary.
The lalest available report ty the LCC 8otU8ry has been prepared as at 31 March 2022. The reptyi
8howed that the market value of Ihe a&sets relating to Cornmunlty Countiyl of Lancashire's shate of the
scheme Wds £2.133 million and that the aclu*ial value of thos8 assets represented 114% of the benefits
that had a¢GrueA to members. after allowi￿ for expected fvture incxeases in eamings.
Followlng Ihe most recent acfuarfal valuation. done forlhe purpos8 of setting futrjrg contribulion rates. Ihe
actuary I￿lICated th8t the surplus attributab￿ to Ihe charity for contrlbudon purposes arnounted to
£264,1X)O. In actx)rdance wlth SORP 2018. a pension Scheme asset has not b88n recognised a8 thi8
surplus Is not expacted to be re¢overed in the future.
Slnca the charty's share of assets and liabilities withwi th8 scheme c2n be det8Tmined. the pensK)n
scheme should be accounted for as a defined benefit p8nslon sch8m8 In accordance wEth FRS102.
However, the trustee5 do not belleve that Et ts a worthwhlle use of the ch8rity'9 resources to pay for the
actuarial r8POrt which would be required to determim the chariV8 shar8 of assets and liabillties as at 31
2024 calGulated In accordance wilh FRS102 and to erpble the appropriate disdosurns to be m&l8.
As an allernative, Sir￿ the valuations done as at 31 March 2019 end as at 31 March 2022 for th8
purposes of setting cx)ntribution rates stH)wed surpluses. wlth effect from tfp year ended 31 March 2020.
the trustees have accounted for the contr[l￿tIOnS paid to the scheme in the year in the Ststemenl of
Financral A￿1vitIes. Therefore. no further adjustments were requlred during the year ended 31 March
2024. As a result. as the scheme has MI been ￿nted f(r in accordance with FRS102, Ihe tnjstees
are unable to ouantrfy the impact of norfrcomplian￿ with Ihe slarrfjard.
11
Commttments under operatlng lease8- land & bulldings
At 31 March 2024 the chadty hadfuture mlnlmum lease payments under non-cancellable operatlng lews
as $8t out belovr.
2024
2023
Amounts due WFthin one year
1400
2AOO

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
NOTES TO THE FINANCIAL STATEPENTS
FOR THE YEAR ENDED 31 MARCH 2024
12
statam•nt of funds- current year
outht In¢•n￿￿O R•￿￿r6
Tran•lor¥l
G•n•rnl Fund¥
P￿slon reserva
311.819
372.461
{311.619)
••1grAt•d lunds
Tèlal unr•strlcknd fvnds
346,320
(311,8191
371461
ft••trlded lund>
Natio￿1 Lottery Conwnunlty Fyrxl-
ConneLltng Cojnmunllie¥ Grant
NL Vllrye
NL Aw£*ds ForfvLL
Rwal Cornmurlty fvdon Ne￿nIk-
ACRE
ACRE RHE Prow•mrrt•
NHSE leoacy fund- Cohort (CPI
NHS LJnLZ & Cumbrta Grants.
PKwJamme Devdowent Fund
LCC VCFSE D￿￿0pM•nI
NHS & Cumbrla Gronts. ICB
Parlnwshty Fund
NHS Lan(5 & Cumbria Qr8nts- ICB
Parlk4pAUon Fund
Cwi. Cc*mmthty Re#oarch
14xfi
{14,9441
I￿))
12.748
lJ24
112,7481
18.0241
(44.2401
17A05
10.000
(17.3701
18.2501
1SS,442)
8,25D
8,435
10.(K)O
50.WO
(so,0001
114500)
15.(rfJO
(11,498)
12,706)
Sprfng NDFth- Bkod pr888ur•
LSC Communlty Ustsnlng
LSC Prnston Non￿R￿￿rrent Grnnt
PfOgramin8
10.(AJD
10,O)0)
15.8QJ}
1112.467>
Brathvotsj Plousè TrN8t
PCC- Hous•hold SuppJrt Fund
In¥aBtrnent
135,21y)
(4,2801
T+)tal r•strl(a•dfund•
17,049
519,291
(372,0￿)
164271
Total tsnd¥
3&1369
7261
{e83,Wl

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
NOTES TO THE FINANCIAL STATEMENT8
FOR THE YEAR ENDED 31 MARCH 2024
12
Statement of funds~ prfor year
lthjomlng R••DWC•S Transfersl
lon¥ard ￿￿ur￿5 eX￿￿￿•d Rov•luatlo
Gen•rnl Fund#
Penslon rese
Gentralfvnds
348.382
I4￿019}
30A20
346.320
37&437
348,382
{408,019)
30&0
34Q320
D•signal•d funds
240gD
(25.0￿)
Tot•1 unrestrf£t•d funds
344382
400.019
5.520
R•sblthd funds
(29.47Q)
144240}
1.OtH)}
(31257)
11.7501
ComMtM￿Alth￿ Ne&York-ACRE
MIVCA -Trnlnlig
44.240
P#ISEleg8cyknd- CohDrt (CPI
FuThl
S Larm & t￿nbI￿G￿nIE. ICB
PaTknwsNp
O￿n.¢0￿nurffy Eng0w￿L
141Aes1
I8.￿j
116AOOI
10.$)0
10.Tr)0
(lo￿00)
110.0001
r*J Blood woB8ur•
&vntsy. ￿1• & Rossendth CVS. Ru
Heath P£gearch Project
ng N¢yth. H¥sNhy¢fth
ASSN Gr8ntfvnd IGN1d￿re)
114F- HrAlday and Fttd
5.gjo
16,gL)JI
11,5C%JI
(&5￿)
1&992
116.9921
11,SCrJl
14301
430
Tol•l r•strkt•d IWK
214357
1272.010)
17,1
T(A•l ￿ndS
421289
562.rn (620.029)
-21-

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
NOTES TO THE FINANCIAL STATEMENT8
FOR THE YEAR ENDED 31 MARCH 2024
12
Statmient of fund8 (continued)
Transfers are made between fvnds when 8 restiicted project is completed 8nd where ina¢¢urades in cost
apportionment results In a surplus to be taken to the unrestricted or a deficit to be made gO￿j from
the unrestricted fund. No surplus on completion of a restricted projett is taken to the unrestrkted fLmd
where this is not pemltted by th8 conditH>ns of the orvJinal gTant fundlng.
Restricted funds comprlse specific wojects as follows:
ACRE grant from D6fra'8 Grant in Ald Inva8tm•nt Programm•
Used to dellvw:
. Local Strateg￿ support to ruTzI communltl8s. enabllrKJ them to take actk
. Sharing leamlng on Bustainable funding models
• Provldlng aG(xds to k)cal Intelligenc
In the 8pecrfi¢ areas and work programme wiorltles Identllled In the agreement w]th Defra, activity was frKussed
on Covld 19 respons8 and recovery ¥4￿rk in th8 rural communit188 W8 8W8.
ACRE small grant8 programme
Promotk)n of the Platinum Jubllee granls programme
Acrn- RHE Programm•
Used to Inltlate and deliver a Rural Hou8ing Project a¢xoss rural Laftcashire.
Natlonal Lottery Community Fund Grant, Conneetlng Communltles In Lancashlre ProJeGL
Used to meel the needs of vi118g8 and communty hall volunteers across L8rKashire.
National Lott•ry Commun?ty Fund Granc Village Agwts In Lanca8hlrg ProJg¢L
Used to assess th8 need for village agents across rural LarKashlre.
Natlonal Lottery Awards for All Grant
Neiworked communitie8 grant
NAVCA Grant
Used to support p8er workjng
NHSE Lanc8 & South Cumbrla- Prlorlty Ward8 L18tenlng & Grants programmo
Used to consult, support and adminlster the wards grant programme.
NHSE Lan￿ & South Cumbrla Grants
Used to:
allocate small grants to organlsational leadws to support tho embedding of the VCSE sector vthln Ihe
integrated eare systsm.
Support VCFSE Involvement In th8 ICBIICP and programme wticipalion.
&Jpport dolivery arKb development of the LSC VCSFE Prwamme.
LCC VCFS Engagoment
Supwt delivery and development of the VCSFE In Lanc8shire.
Sprlng North Grant. Blood Pressure Projeot
Used to raise health awareness and ￿duce hospital vislts and admlssions acr06s Lancashire through provision
of free blo￿ preB6ufo chacks and associated health recommendalbns.
Sprlng North Grant, Asthma Project
Used to ra188 health awarenes8 and reduce hospital vlsits and admissions across Lancashlre through prov131on
of Intsmauon an(J associated health recommendations.

COMMUNITY COUNCIL OF LANCASHIRE TIA COMMUNITY FUTURES
NOTE8 TO THE FINANCIAL STATEMENrs
FOR THE YEAR ENDED 31 MARCH 2024
12
Statsment of funds (Gontlnuod)
Spring North Grant, Flu & Covid Project
Used to raise health awareness and reduce hospital vists and admissions across Lancashir8 through provlslon
of infmation and associated health recommerKlalion8.
Sprln9 North Grant. Hollday Activlty and Food Programmo
Usthl to t￿0VIde free places at holiday dub5 in Preston for thldren ellglble for free School meals or v￿nerable
famllles.
COREN (Communlty Ra8•a￿h and Engagement Net¥rnrk) Grant
Used to provlde input and expertise for the development and of Ihe network.
Preston Clty Coundl- Household Famlly Support Fund
US￿ to provide food and meals to chlldren arxl familie5 tlwh our community 8nd childcare activilies.
13
Related party transactlong
During Ihe year, the charity incurred expendliure totslllng £5,236 (2023: £18,091) on behalf of Galloway
Hall. a separate charlty controlled by the TnJstee5 of C￿nMunity Council of Lancashire, which was then
recharged.
£4,050 (2023: £3,000) was also charged to Galloway Hall for bu6ine5S SUPPOrt servi￿.
The balance due from Galloway Hall at the yew end was £nil <2023: £nil).
-23-