Amber Communi
Develo
mentA
en
Financial Statements
Year Ended 31" March 2025

Amber Communi
Develo
mentA
en
Year Ended 31" March 2025
Contents
Page
General Information
Annual Report ofthe Management Committee
Repori ofthe Auditor

Amber Communi
Develo
mentA
en
Generol In
orniation
Year Ended 31" March 2025
Chairperson
Dr Caroline Bingham PkD.
Secretary
Eileen Donaghy
Treasurer
Mandy DiKon
Address
209 Roden Street
Belfast
BT12 5QB
Honoury Auditor
Trevor A Aitkenhead
B.A. (Hons) P.GC.E.
Principal Bankers
First Trust Bank
35 University Road
Belfast
BT7 IND
Charity Number
NIC103302
Page I

Amber Communi
Develo
mentA
en
AnnualRe
orto
the Mana
emenl Committee
Year Ended 31" March 2025
The Management Committee present their report andfinancial statementsfor the year
ended 31" March 2025.
PrincipalActivities
Amber Community Development Agency is a Chrisiian Charity based at the interface
area adjacent to Ihe Westlink Motorway in Soutlk/Wesi Belfast. The Agency provides a
range of community developmeni initiatives. The Agency has won the 2001 award
from the United Stales of America- NICCA for the besi Community Associalion in
Nor¢hern Ireland The Management Commiitee would like io ihank the community at
largefor all their support and thankyou Cards.
Charliable Status
Amber Community Development Agency is recognised as chariiable by the Inland
Revenue Commissioners, and the Lharity Commission for Northern Ireland the
charity number being NILI 03302
Management Committee
Thefollowing served as members ofihe Management Committee during the year
Dr Caroline Bingham Ph.D. (Chairperson)
Eileen Donaghy (Secretary)
Mandy D￿on (Treasurer)
Page 2

Amber Conllnuni
Develo
ment A
enc
Annual Re
ort of the Man
ement Committee
continued
Year Ended 31" March 2025
Responsibilities of the Managemeni Con]mittee
The Management Committee is required to prepare financial statements for each year
which gives a true and fair view of the state of the Agency's affairs and of its incoming
resources or expenditure for that year. It is also responsible for keeping proper records
and for safeguarding the assets of Agency and hence for taking reasonable steps for the
prevention or detection of fraud or other irregularities.
Mandy Dixon- Treasurer
Page 3

Amber Communi
Develo
mentA
en
orto
theAuditor
Year Ended 31° March 2025
Respective responsibililies of Ihe Managemenl Commt'ltee
As described on page 2, the Management Committee is responsible for the
preparation of the financial statements. It was my responsibility to form an
independenl opinion, based on an audit of these statements, and to report my opinion
toyo
Basis of opinion
I conducted an audit which includes examination, on a test basis, of evidence relevant
to amoants and disclosures in thefinancial Siatements. It also includes an assessment
of the significani estimates andjudgements made by ihe tr￿leeS in the preparation of
thefinancial .siatements, and ofwhether the accountingpolicies are appropriate of the
Tnist s circumstances, consistently applied and adequately di,sclosed.
I planned and performed my audit so as to obtain all the information and
explanations which I considered necessary in order to provide me with sufficient
evidence fo give reasonable assurance thai the financial .ftatements are free fvm
material misslatement. In forming my opinion, I also evaluated the overall adequacy
ofthe presentation ofthe information in thefinancial statements.
Opinion
It is my opinion, the financial staiements give a trust andfair view of the state of the
Agency s affairs at 31" March 2025 and of its nel incoming resourcesfor the year then
ended. I was given total access to allfinancial recordg.
Yaa-
Trevor A Aitkenhead B.A.
(Financial Circuit Ch
Stewart)
Page 4

AMBER COMMUNITY DEVELOPMENT AGENCY
STATEMENT OF FINANCIAL ACTIVITIES
YEAR ENDED 31ST MARCH 2025
Opening Balance
3,605.90
3,605.90
INCOMING RESOURCES
Donations/Gifts
Grants
2,800.00
100.00
2,900.00
TOTAL INCOME RESOURCES
2,900.00
OPENING BALANCE + TOTAL INCOME RESOURCES
6,505.90
EXPENDITURE
Light/Heat (NIE)
Postage/Stationery
Telephone (Virgin)
Bank Charges
Computer/Broadband/lnternet costs
Water Rates
Volunteer's/Administration Expenses
Insurance
113.56
82.25
504.00
71.63
764.28
156.96
200.00
1,188.91
TOTAL EXPENDITURE
3,081.59
3,081.59
Credit Balance (as at 31st March 2025)
3,424.31
Statement preparedfrom information provided.
TrevorA Aitkenhead BA
Auditor
3rd April 2025
PGCE (ÈUCB) ACIEA MA TM Cert RSA Cert IT Cert ICT
TrevorA Altkenhead
BA PGCE ACIEA MATM CertRSA
12 Braemar Crescent, Lisburn
BT27 4LP
02892 662666 107876 395200