The Wednesday Together Club
Trustees, Annual Report and Statement of Receipts and
Payments and Assets and Liabilities
For the year ended 30 September 2017
Charities Number: NIC 102264
Tbe Wednesd*y Together c.lub
ADnual Report and FinaDcial Statements fDrth¢ yfar 30th Stptember 21117
Contcnts
Px%cs
References and adrnini5trative de￿1$ of the Clwity
TFUStees' Rep)rt

dq)endent Examiners Ryrt to the
Receipts and Paymeots accouot
Ststement of assets and liabilities
Notes lo the fIna￿CIal 5tstemcllts
io
The Wednesday Together Club
ABnual R¢port Fin#Deial Ststements forthe yEar endtd 30th Stpt¢mb¢r 2017
Rtftrentes a￿a admirithtive det*iL
Ch￿lty Name
The Wedntsday Together Club
Charity Registration NumberNIC 102264
Contact Address
27 Golaud Road
ArtJ]38b
BT60 3PS
TN$trts
Rev. Mathew Hagan
Frdnces Nutt
Eleanor￿8￿

Ililary Agnew
JOI￿ Clarke
PriDeipal Offiee Bearers
ManagettkeDt Committet
Rev. Mathew Hagan
Frances Nuti
.leanor Gral)am
Ililary Agrlew
John Clarke
An]y I,yons
Irene Edmondso
Thoma5 ma￿￿all
Vena Bothwell
Chair Rev. fvIathew Hagan
Se¢retary Frances Nutt
tndependent Auditorstephell Hvde
70 Hill Street
Milford
BT60 3PB
B#nkt
Daoske BaDk
Scotch Stre
Arrnagh
The Wednosday Togethtr Cillb
Annual Report and FI￿￿¢1#1 St*temeDts for the y￿r 30th September 2017
Trustees. ADnual Report for tbe year euded 30th September2017
The tsiJste¢s present the 8nnual re￿rt and statement of Receipts and Payments and Assets
and Liabilsties for The Wedtyesday Together Club foT the year¢nd￿l 30th September 2017
Objeetiyos and Activiti
The ch￿l￿ble PUTwse ofThe Wedllcsday Together Club is io protnote gener81 (x)mJJ)unity
projects of a soctal, educational and environmelltsl kn with thc objective of iDJprovin8 the
collditions of life of the inlwbitants of Ty￿￿ hfi(klldown alld Agbavilly are&
The priD¢ffipal artivity of The Weth)esday Together Clth) is W provth a joined-up 41proach to
developmetti promote gwd relatiOD% SUPTK)rt tncltssion and tntewtio]4 pn)mote
health and wellbeing by developiD8 itL¢lusive progra￿eS for all within the TY￿ Agbavdly
and Middletown area.
Aehievernenty Perform*ntt and Public BeDefrt
The Wethesday Together Club Co￿ltiveS to promotc the Obj￿tiVe of imPEoviLg the
conditions of life of the uthabilants of Tyn8￿ avilly aDd Middletown and continues
to tbe requirem¢Dts of its Statement of pub]ic benefiL
The Wednesday Together Club cotttinues to pro￿￿te g(thl relatio￿ SUPFth inclusioll a￿d
intcgration and promote health and wellbeing by Fwvidin8 classes. activitics and ￿Kial
oulinss ts) all membets.

Club Activities 8Tr open to all Tesidents ofthe area
The Wednesday Together Club ha5 giYeD carefvl coostderation tothe Charity CoDJmÉssion for
Nt's 8uidance on publi¢ benefil to ellsu￿ thai the activities entrred into during the vear have
helped to acbieve the Club's objectives aJMI activities. as well 85 providing publi¢ benefit
FiJiADeial Re￿e*
Going Coneern
The Trusttts have reviewed the budgets for th¢ year and are ￿ls￿rd that
adequate funds iu place io ensllre that the club can coDlinlle its activities and the fitmttcial
swements for the yt8r tnded J¢hh Sepiember 2017 Ca￿ be Signed off as a going concern.
The Wednesday Together Club
Annual Report #nd Statements for the year ended 31)th September 2017
Strneture, Go¥ern#n¢e atyd Management
Governing Docurn¢nt #tyd Co￿5t1￿tion Df th¢ Cb*rity
The Wednesday Togetl￿ Club 15 governed by Cotistitution
Reernitment and Appointment of Trn5t¢¢s
Tru51ecs and Offitt Bearer5 are el¢¢ted at the ADnual Genernl Meeting fro￿ manber5 of the
Wednesday Togetherclub.
Pay and rernwi¢ratioD
No Trustee or Com4)ittee member reteived any pay or rcllLUD￿3tI00 durAttgtheyear.
Organisatio￿l Struetsr¢
The Wednesday Together Club is governed and managed by a maDagemcnt cornmitttt ullder
the direction of a ehair.
C.owpliattte vlitb Public Btnefit
The Club has giyett Carefi￿ eoosiderntion to the Chty co￿￿1$$10￿ for Northern freland's
guidance on public benefit to ensure that the actives eDt¢red inio during the year have helped
to achieve the Club's objectiYe5 activiti* as well as providiti8 public beDefiL

The Wedlltsday ToRtther Club
tstemtwt ofTrnstees' R￿￿nsIbIlItieS
The I￿lSte¢S are responsible for preparing ibe 'In￿tees. Rewrt and the ststement of receip
and payments aud State￿¢￿1 of assets and liabililies iti a¢corilance with applicable law a￿d
regul￿10￿s.
The law applicable ￿ ¢hatiiies io Northem ]relattd with lttcome of less than £250,000
requires the trustee8 to prepare a ststement of teceipts and pa)ryllents alld a statement of assets
and liabilitie$ for each fmatscÈal year.
Statement of Tr￿stee5, RespoDsibilits¢s {¢outibued)
The trustee5 are rwoDsible for keeping wTruDting records that are sufficient to sbow aryd
explaiti the Club's trallwtlQILS and disclose with reasonable accuracy at atw time the asscts
and liabilities of the Club. They are a]so resw>nsibl¢ for safetsuatding the assets of the Club
atyl het)ce for tsking reagTrnable steps for the pwention detediott of Galld and other
iTr¢gularities.
sign￿ oll Behalf of tbe Tntsttts
Trnstee I
Trustee 2
Date 3" Juty 2018
The WedDe5day Together Club
Anttual Report and Financial Ststements for the year ended 311th SeplembeT 2017
Independent C￿Miner'S report to the trusttts of The WedDe5d*y T￿ether C'lub
I report oll the accounts of the 1'n￿t for thc year end￿ ioth Seplember ?017, whi¢h at set
oui on pages 8 to 10.
Respe¢tive respoDsibilitses of tT115t¢¢s *lld examiner
The charity's tDJstees are r￿￿nsible for the preparatioll of the accou[￿. The athTity's
t￿￿t¢S consider that an audit is not required for this year llDder section 65(2) of the cb￿l[leS
Act (NoTth¢tn Ireland) 2008 {the Clwiti¢s Acl) 01 under Regulation 10(IXd) of Ihe Charities
Aecrf)unts (Scotland) Regulations 2006 (the ?006 Accounts Regulatio￿8) and that an
independent e￿9n}inatIon is lleeded
It is my r¢sp)nsibiiity to:
' examiue the aceounts under %ctioll 65 of the Chariti£s Act (NortheTll Ire18nd}2008 and
section 44(IXc) of the CbaTities and Trustee IDv¢stsnent (Scotland) Act 2005 (the 2005 Art)
. to follow the pyocedwes kn"d down the general Directions given by the Charffity
Commission forNorthern Ireland under Se¢tioll 65(9Xb) of the Lbarities

. 10 stale whether particular have cometo my attentiou.
Basis of iDdependent examiuer'$ report
My eXa￿}natiOn was t3TTicd out in accordance with th¢ general Directions wen by the
Cbarity Coaunission forNorthern Ireland and is in acc4)rdance with Rc8ulatton I l of the
Ch￿itIeS Accounts (Scotlaod) Regul￿10n$ ?006. An eMmI￿tion includes a rcview of the
accounting records kept by the charity and a Comparison of the aC￿￿llts presenied with those
re¢ords. li atso inLlud¢s con5tderdlioll olally ullusual iiems ordisclosures the accoullts.
alld seekiug explauatiolls from you as Ill￿te¢s conoetllillg ally such m￿1¢15. The pr(
undertaken do not provide all the evidell¢e that would be r4llired In *J audit and
consequently no opinion Is givett Èg to whetheT the ac£ounts presettt a'true and fairview, and
the report is limited to those Tnatters set out iti the next S12LemenL
(ndq)endent examiner's $tstetllent
In connectxon with my Lyar(Li￿aon. no lltatter has come to attenlion whi¢h give5
re&8onable cause to believe that any material rfspert th¢ TequittmeDts:
. to keep a¢¢owiiing reeords in accorda￿Ce with section 63 of the Clwilie5 Act sectio
44(IMa) of the 2005 Act and Regu]ation 4 of the 2006 Accoujts Regul￿10￿$ alld
' to prepare accounts which acc4)rd with the accoullting records and tomply with the
accountill8 requirements of the Lllarities Act 21)08 and sectxon 44(IXb) of the 2005 Act
Regulation 9 of the 2006 RegulatioLs
have not Ikien rnet or
(2) to whith my opiniozL attentioll should be drawn in orderkn enable a proper
ulld¢rstandiD8 of the attollnts to be rtache
NaTne: Stephen Hyde
Address: 70 Ilill str￿ Milfor4 Ar￿ash. BT60 3PB
Date= 3" July 2018

Tbe Wednesday Together Club
Reeeipts and P¥)rynellts A¢count for the y￿r ellded 30- September 2017
Ullrestrie
FuDd5
2017
Restricted
Futsd5
2017
Total
2017
Reeei
Membership bees
Don3tioI]S
SocEa] ()utittgs
ClasKs
lJ77
E,)77
250
250
480
480
Total Rtcci
2,115
2,115
"<Ydch Hire
480
247
540
45
480
Jntran¢e Fees
?47
structor5
%40
45
rinting
aDk Fees
tsupplies
?40
tal P#
ents
1.616
1.616
Exttss of Reteipts over
Paymellts for the year btfore
trdltsfers
499
499
ransfers
Exces5 of Reteipts over
PaymeDt5 for the year
499
Bal2￿ce Funds I" October 21116
Exeess of Receipts
Balantt 30" September
2017
499
499
&142
5.142
OD Behalf of the Trustees
Trustee I
Tr￿stee 2
Tbe Wednesday Together Club
StAteRnent of Assets and lixbiiltlts as at 30th Sept¢mb¢r 2017
Futtds
2017
Fwids 2017 2017
2017

Cllrre￿ Accounts
04.9994.338
0 143 305
05.1424.
143
Total Cash Fuuds
5.142
Totsl Assets retsiued for
the Parish's OJVD use
5J42
05.142 4.643
On Behalf of the Tru51ees
T￿￿tte I
Notss to the fu￿￿¢]￿1 statemeDts for the year ellded 30th September2017
AecountiDg Policifs
Set out below are the principal accoullting w1irl￿ which have b¢¢n adopted in the
compilatioTh of the Receipts aDd Payments Account a￿7 stste[￿e￿I ofA5sets and
l.iabilities.
lieceipts and PaytneTrt5
All items of income and expenditure included within the It￿lpts Payukents
Accolmi IMve becD accol￿ted for a (xsb receipts basis.
. Reconeiliation ofcash Fwids
Total C&sb fulld5 ￿ k8inDllJg ofytar
Receipts for year
PaY￿ents for year
Total e&sh fiEnds at end ofyear
4,643
2,115
1.616
5,142
rdnsaetion Jyitb the Trustefs
. Govtrnante Costs

No governance costs were paid during the year
14