Independent examlnerfs report to the charity trustees of Kelvln Malone Brldge Centre
I report on the accounts of the company for the year ended 31" March 2024 which are set out on
' pages 7 to 9.
Respectlve responsibilitSes of charity trustees and examlner
As the charity trustees (and also the directors of the company for the purposes of company law) you
are responsible for the preparation of the accounts in accordance with the requirements of the
Companies Act 2006. Having satisfied myself that the charity is not subject to audit under company
law, and is eligible for independent examination, it is my responsibility to:
examine the accounts under section 65 of the Charities Act
follow the procedures lald down in the general Dlrections given by the Charity
Commission for Northern Ireland under section 65{9){b) of the Charities Act
• state whether particular matters have come to my attention.
Basls of Independent examlnerfs report
I have examined your charity accounts a5 required under section 65 of the Charities Act and my
examination was carried out in accordance with the general Directions given by the Charity
Commission for Northern Ireland under section 65{9)Ib) of the Charities Act. The examination
included a review of the accounting records kept by the charity and a comparison of the accounts
presented with those records. It also included consideration of any unusual items or disclosures in
the accounts, and seekin8 explanations from you as charity trustees concerning any such matters.
My role is to state whether any material matters have come to my attention giving me cause to
believe:
l. That accountlng records were not kept in accordance with section 386 of the Companies Act 2006
2. That the accounts do not accord with those accountlng records
3. That the accounts do not comply with the accounting requirements of section 396 of the
Companies Act 2006 and with the methods and principles of the Charities Statement of
Recommended Practice applicable to charities preparing their accounts in accordance with the
Financial Reporting Standard applicable in the UK and Republic of Ireland
4. That there is further information needed for a proper understanding of the accounts to be
reached.
Independent examlnerfs statement
I have completed my examination and have no concerns in respect of the matters (l) to {4} listed
above and, in connection with following the Directions of the Charity Commission for Northern
Ireland, I have found no matters that require drawing to your attention.
Name: lan Lindsay
ddress
5 Marmont Park, Belfast BT4 2GR
Retired Chartered Accountant
Date
31 August 2024
Page 6

Kelvin Malone Bridge Centre
Statement of Flnancial Actlvltles (inc Income and Expenditure account) for the year ended 3110312024
3110312023
3110312024
Incomlng resources from ganeral funds
Table money
Weekly
Compelltions
BBO
Classes
Refreshment sales
Subscriptions
Fundraising
Ground rent receivable
Service charge receivabl8
R¢)om HSre
Dona￿on Holywood Bridge Club
Caterfng NIBU events
Charfty events
Special events
Business Interuptlon Insurance
Donatlons
Interest rec
8.400
435
2.852
1,046
794
4.593
6,381
267
3,928
933
624
5,313
3,682
380
275
3,682
5,214
314
737
1,392
435
303
792
30
634
28.917
61
1.426
26.376
Re80ur¢e$ expended
Cost of goods sold and other cost8
Ground fent Payable
Setvlce charge payable
Llght, heat and water
Repalrs
Legal and Accountsncy fees
Prizes
Refreshment purchases
Speclal events expenses
Cleaning payments
Household
Computer and webslte expenses
Post
Nlbu affillation
Competition fees and expenses
Insurance
Charfty competition5
Bridge supplles and sundrles
Depreclatlon on Propety
Other Depreclation
-7,364
-760
-1,734
-599
-328
-2,540
-203
-854
-1,042
-79
-322
-90
495
-315
-2,945
-737
-168
-1,629
-7,364
-950
-2,618
-608
-658
-1.250
-194
-260
-910
-57
-293
-78
-1.045
-165
-2,609
485
-1,629
-22.604
-21,181
SurpluslDef1cit for ￿ar
3,772
7,737
Page 7
Page 7

615888
Kelvln PAalone BrKlge Centre
Ml¢ro•ntlty Balance Shoot as at
3110312024
Rxed A800ts
187.735
169.384
Current Assets
Refroshmerrt Sto
4.OV2
48.225
24,050
Depostt account Redwod Bank
Bank acc4xJnt
C88h on hond
21,138
71.188
Current Ll*bllits••
C1￿￿r8
1.833
-1,788
74.823
69,422
Total A•80ts
242.558
238.788
Thg fund• of th• charlty
Brought foMard
SurKIu61Deflctt for year
-231.049
-7,737
-3.772 '
442.558
For the year ended 31103r2024 the o)mpany wa• enlllled to examptkn WKlgr seclknn 477 of the Companle8 Acl
2006 relatkng to 8mall compan168
The mémbets havo not rnqutred the compwry ts obtakn ￿ audll of118 a¢￿￿nts In 8ceord8nce th seclon 478 01
the Compari￿ Act 2006
Thè dlreclijrs acknowledge I1￿1r for comptykng ￿1h ofthè CompanbB Art 2LX13
wllh respfrd to ar£ountlnq tea)rds and tho preparati[￿ ol alxxwnts.
The accounts ha￿ been prepared tn ac(xirdonc* ￿1th the M￿r￿￿TY provknlonl arKI dellvered in a(o)rdar¢ce
the P￿￿610n$ app11￿tI6 to the subject lo the Small companles, regkne.
oprov•d by thg board ijn 301h Auguot
And 8*d C￿ thelr l)éhaff by
Ird Dlrector and Trea•uror

Kelvln Malone Bridge Centre
Notes to the Financial statements for the year ended
3110312024
l Accounting Policie5
The financial statements have been prepared In accordance with applicble standards and
undaer the Historic cost convention
Income and expendlture are stated net of VAT
Depreciation is provided on tangible assets so as to write off the cost or valuation, less any
estimated residual value, over their expected useful life as follows:
Property
Straigt Ilne over 120 years
Computer wquipment
20% of cost
Other equlpment
20% of cost
Stock Is valued at the lower of cost or net realisable value.
2 Restrlcted Funds
There are no Restricted Funds
3 Tanglble Assets
Leasehold Flxtures and
Property
Equipment Total
Asat
Additions
Asat
31 March 2023
195,447
18,409
213,856
31 March 2024
195,447
18,409
213,856
Depreclatlon
Asat
31 March 2023
Charge for period
Asat
31 March 2024
26,083
1,629
27,712
18,409
44,492
1,629
46,121
18,409
Net book value
Asat
31 March 2023
Asat
31 March 2024
169,364
167,735
169,364
167,735
Page 9