Charitr Number: NIC103554
Creggan NeighlM>urhood P4rtnership
AcCou￿ts
for the year ended 31 March 2026

Creggan NeighbDurhoDd Parlllershlp
Infornvdtion
Aec(bunt2nts
McGroarty Mccafferty & Company ljd
AccountaNs & Tax Cottsuliants
2 Carlisle TeTrKe
Deny
BT48 6JX
Buslness address
Centrat Drive
Creggan
Derry
BT48 9
BaDker5
AIB (Nt)
Meadowbunk
Derry
BT48 TfN
Charity Number
NIC103554
Trustees
Tony O. Doherty
Conal Mc Feely
Gery Quin
Anne Memonagle
Sabiina Lyllch
Dtbbie Lamberton
Chairperson
Vicc ChaiTpersOn
Treasurer

Cr¢gg4n Neighbourhond Partnership
Contents
Page
Membets, JEWL
Independent examiner's report
Statement of financial activities
BalaThcc.%hcet
Noies io the accounts
?-io

Cregggn NeighbO¥jrh(￿d ￿rtnershiP
Memberf5 Report
The members presenl their report and the financial siaiements foT ihe year ended 31 March 2026.
Objeetives and activities
Cre°gan Neighbourhood Pannership is a communiry organisa(ion set up in an area ideniified as
Neighbourhood RenewDI and regenern¢ion area. Creggan Neighbouthixxl Pannership was esiablished in 1995
to provide direct service5 tv both the residenis and the groups within the Crcggan arc& It obtained charity
suius on Isi Febrnary 2016. Its aims are io build the capaciiy of community organisJ(ions in the Creggan area
and io w'ork io counternct deprivation and disadvllniage ond w¢aK- communiry infrdstruclure through the
promotion of social and economic regeneraiion and community d¢v¢lopmenL CNP work5 in partnership wilh
Ihe community, private and siuuiory orgathisaiions and service provlders to deliver resource5 and initiatives lo
improve the qualiiy of life for Tesidenrs. CNP also deliver a number of programmes and projects aimed ai
building the skills, employjnent, capacity of re5ident5 tsnd rnn pn)graM￿ aimed ai marginalised youth
io build their capacity and pmmthe relations beiween older residenls. Its focu5 is also on building a slrong and
vibrant self supporting eommunity. CNP Tun eapacity building progrnnmes for residents including. ￿.
esseniial skill& personal developmeni courses. peace and reconcllialion lrnining. capaciiy building among
young peoplc and rclationship building within the community young people 2nd older residents. The
Creggan area has been ideniified as an area of mulu disadvantage. It ranks in the top IO% multi4lisadvantage
Super Oulpul areas by the Northern Irelamd, Multiple Deprivaiion Measure. Conthined within the Muluple
Dcprii'atxon Mca8urc thc SOAS rank hiJ for Economic Dcprivarion; Educarion and Skills. Employmcnt and
Health.
Members and their interests
The members of the cliariiy lor the purposes of cbaTiiy Jaw and througboui this report are colleclively refe￿{1
to thc members.
The members serving during the p¢ri(Ml ond since th¢ periTrJ ¢nd were &$ follows."
Tony Ol)oherty
Conal McFeely
G¢rry QuinD
ADne Mcmonasle
Sabrina Lynch
Debbie Lamberton
(Chal￿erSOn)
(Vice chal￿eTS￿)
(Trc35ur¢r)
Public benefits
Purpose l - Adwancing educaiion. The diTeci benefit which flows from this purpose is a more educated,
skilled and qualified Lommunily, and a fflore infornied and capable communiiy and voluniary secior. The
bcnefjls are eiiideneed through official govemeni slati5tiC5, feedback frnm bcneficiaries. feedback from
individual service users. qualification statisiics, local surveys and a regular evaluaiion of our services. There
is no harni flowing from Ihis purpose. The benef￿larieS of this purpose are I￿al residenis of all ages living in
the Cr¢ggan area and commuThity and voluniary group5 based locally. A private benefit to staff ari5cs from
their direct employment to help deliver this purpose however ihis is necessary to ensure Ehe benefit is
provided to our bertefi¢iories. Every ef(ort is made io ensure the pool are noi excluded froni programn￿S
IKcause of c05t Ebrough applying for funding 10 tun th progrdmmes. Whcrc fees arc charged to benefiLiarics
these fees are for exam costs or registrnlTon costs only. are kepi 10 an ab.wlute minimum. 8re heavily
subsidi5ed and are only charged where programrncs aTe not fully full￿ed.
Page I

Creggan NelghbourhofAI Partnership
Memiler's Report
Continued...
Pu￿05¢ 2 - Rclioving povcny. Thc dir￿1 benefit which floH's from this purtK)5e is a reduction in ihe impact
of poverty on people's qlJ¢i1ity of life. the prevenlion of ￿verty and physical. social, communiry and
ec(Trnomic improvements Mrythin the Creggan area. These benefits are evid¢nc¢d thr{￿Sh otricial Sovcrnment
iatigiics. fccdback from b¢n¢fi¢iari¢s, n¢w comD)uniiy and S￿la1 physical infrastructure within the Crcggan
area. local surveys and a regular evaluaTion of our services. There is no hami flo￿￿ng from ihis purpose. The
beneficiaries of ihis purpose are I￿21 resideni& communily and voluniary groups based locally. A PEivate
benefit to .%laff ariELs from their direct employtnent io help deliver thi5 purp05c howcvcr this is nccc&83ry to
ensure ihe benefit 15 provided to our benefici￿les. Every effort is made (o eTh8ure the poor are noi excluded
rrom using services because ol¢ost through opplying for funding io ¢over (h¢se cos￿. Where fees charged
bcneficiarics these. arc kcpi absolulc minimunL arc hcavily subsidi5cd and aTC only charged wher¢
programmes are not fully funded.
Purpose 3 Pmviding faclliiies in the intcrcsts of social wclfarc. for Tccrcation or oth¢T leisure-tijne
ottupation with ihe objeei of improving the condilions of life for the said inhabitants The direct benefAt
which tlows Irom this putP05e is improved Com￿unI1Y life. new communily infrnswciur¢ developed and
maintaincd and a cxisting community and voluntary scaor groups arc devcloped and mainttlined ￿ that thcy
can be used by the local cortmnunity to ensure d YibrJnt, purposeful community. These IxnefiL4 ar¢ cvid¢nc
Ihrough offIcial regular feedback from residents. service users and beneficiaries, regular feedb￿k Irojn
conununily and voluniary sector groups within the Creggan arw local survey5 Jnd a regularcvaluaiion of our
ervices. There is no harni flowing fmm this purposc. The bcncficiaries of thi5 purpose are local residenis,
communiiy and volunlary gtDUPS ltrally. A PTivale benefit tv staff ￿se from their direct
¢mploym¢ni io help dclivcr this pury)osc howci'cr this is n¢c¢ssary ￿ ensure the b¢nefii As Provided to our
beneficiaries. Every effort is made to ensure the ￿r are noi excluded from using serYi¢es because of cosi
through applying for fundino to cover these costs. Group.$ are expected ro pay a small community fee for use
of lacilili¢5 to cover running costs howcv¢w thi5 15 on a c￿e by case ba515 alld wh￿c gtOUP5 ¢￿0t Plly the
fees are waived. Where fees are charged. these are io an absolu￿ minimun). heavily subsidised and
re only charged where programmes aTe not fully funded.
REsk Man¥gement
The members have th&s&ssed the major risks to which the organisation As exposed. in panicu12T those relaied io
Ihe operation5 and finance5 of the associaiion, and are &itisfied thal 5y5*Jn5 are in place io mitigaie th¢
cxposure to the major risks.
Financial review
The financial performance is summwised in the enc]￿ed accounts.
P#ge 2

Cre8gan Neigh1￿uTho0d Parkne￿Ip
Member's Report
Continued...
Members RÈsponsibilities In Relation To The Financial Sfalements
The members are responsible for preparing lh¢ annu41 report and the finaneidl s￿ements in accordantt with
applicabe and United Kingdom Generally Accepied Acc4JUllting Piactice.
The law applicabl¢ lo charÉtk¢5 in Northcrn hEland teqUiLES the members lo preparc financial statemenLs' Ihal
give a we and fair view of the stale of ihe affair5 of the ch￿ilY ￿ th¢ ¢nd of the financial period and 115
surplus or deficit for the financial period. In doing so the m¢mb¢rs are required ¢0:
seleci suiiable accounting policies and apply (hem ¢onsillenily-
- obsetve nKthods and pAnciples in the Ch￿]11e5 SORP 2019 IFRS 102):
- make judgements and estimatC5 that arc rrasonable and PTudenl:
- prepare the financial stacements on th¢ going c￿Cern basis Unless li is Inappropria￿ to presume thai the
charlty will continue in busine&s.
The members ar¢ r¢sponsibk for mjintstning proper accouming records which disclose with reasonable
accuracy at any time the cial posilion of the chaTily and enables them io ensure thai the financial
Staicments comply wilh the Chariiics Acr (Nothrn tr¢land} 2008. The metnber5 are also responsiblc for
saf¢guarding th¢ &sseis of the chtiriiy and hence for taking re￿Inable s*ps for the prevention and d¢t¢ction of
fraud and other irregular&ues.
A ￿$01Ull0n will bc proposed ai thc Annual General Meeiing that McGroaTty Mc Caffcrty & Company Lid b¢
re-appDinted as accountant5 lo the charity for the ensuing year.
By order ofthe membe
Member
Date: 13 May 2026
Date: 13 May 2026
Page 3

Creggan Neighbourhnod Parthership
IndepEndent ex#]Jllner's rtport *MTr the uDaudited financial statements to the members of
CTeggan NeighbDurhood Partnership
We repon on the accounts of ihe compuny for the Yew ended 31 March 2026. which are sei oui on pages 5 to
10.
Respectlve respO￿￿bIlItIES ot¢harl¢y dlreetors and examiner,
As the chariiy's members you are responsiblc for thc prepardti0￿ of the accounts in aceordancc with the
Chariiies Ad {Nonhem treland 20L18).
It is our responsibility to:
- examine the accounts under sertion 65 of the ch￿illeS Act 21x18:
follow the pri)¢¢dur¢s 12td in the general dtrertions given by the Charity Commission for Northern
Ireland under seciion 65(9)(b) of (he ChaTiiie5 Act ?(M.
- slate whether pantcular ma(iers hav¢ come lo our allentio
Basi5 of independent examiner's report
We have examined your chariry accounts as required under section 65 of the Charities Aci and our examin21ion
WJS carried out in accordance with thc gcneral direction5 givcn by the Chariiy Commission for Nonhcrn
Ireland under SectioD 65{9)(b) of the Charities ACL
The examinaiion included a review of the accounting records kw by the charity and a cOmp￿S0n of ihe
a¢collnls Ptcs¢nid with those recoEds. Ii also included a con5ideralion ol any unusual items or disclosur¢s in
the accounts, anij seeking eXplan￿lonS from you as chariry members Concerning any such matiers.
Our rolc is io sthie whcthcr any Malcri￿ M￿1¢[$ have com¢ io our aiiention giving us cause to belicve:
- that accouniing recotds were not kep( in accordance with section 63 of the ChaTitics Aci;
- that the accounts do not accoTd with th(￿ accounting Tecord5;
- thai ihe accounis do noi comply wilh (h¢ a¢couniing requirements of ihe ChaTiiie5 Act-
- th21 Ihere 18 funher infornulion needed for pmper underslanding of thc account5 to bc rcachcd.
Independent examlner's slafement
We can confirni that we are qualifi¢d to und¢rtake the examinalioD I￿aUse we registr￿￿ member of
Chanered AccouniantS [rel￿d which is one of the listed bodies.
We hAYe completed our examina(ioN und have no concerns in ￿pect of the maiters listed above and, in
¢onne¢iion Nryth following the dire¢tions of the ChaTiiy Commission for Nonhern Jreland. we haye found no
rnatters ihal requirc drnwins to your attention.
McGroartY Mccafferty & Company Ltd
Accountants & Tax Consultants
Z Carlisle TerrAce
Derry
BT48 6JX
Date: 13 May 2026
Page 4

Creggan Neighbourhfftod Partne￿hfiP
Statement ofFlnanelal ACtI￿tieS
ror the year ended 31 Mgrch 2026
Unrestrirted Restricted
Funds
Fun
31 Mareh
2026
31 March
2025
Income and Expenditure
Incoming Resources
Incoming resources from generating funds:
liicoiiie..
Donalion5 and grdnLs
37,705
308.992
346,697
162,050
Total Incoming ResourLT5
37,705
308.992
346.697
162,050
Resources Expended
Management & Administralion
Total Resources Expended
18.276
309.181
327.457
161.079
18.276
309,181
327.457
161,079
IncoD)ingl lou1goin￿ Resources
19,429
(189)
19,240
971
Balances brought forward l April 2025
31.947
1.748
33.695
32.724
Bdldnces carried fon¥ard 31 March 2026 9
51.370
1.559
52,935
33,695
The above amounts relate io coniinving opernti0Th8 of the COTry)amy.
The company has no recognase<l gaiTh% and losses other than those included in the r&£u115 above and therefore no
¢ptsrnie siatement of ioial recognised gains and 105ses l)cen presented. TheIe is no differenc¢ b¢twcen the net
incoming resourL'es for the y¢ar siaied above and their historica] Lyksi equivalents.
Page S

Cregg8n Ne1g1bb￿rh1MNl Partnership
Balance sI￿t
at 31 March 2026
2026
2025
Notes
Fixed a&%tts
Tw)gible a55e(s
189
Current a&sets
D¢btors
CA)sh at bank and in hand
4.363
105,308
658
70,563
109.671
71,221
Current liabilities
Oiher creditOf5
Accruals
52.676
4.060
32,851
4,864
56.736
37,715
Net current assets
52.935
33,506
Total asseLs less currEnl
liabilities
52.935
33.695
Jnanced by".
Restrieied funds
Unrestricted funds
1559
51.376
1,748
31.947
52.935
33,695
We approve these accounts and confirni w¢ ma<k avoilable all relevani records and infommiion for
thcir pr¢paraiion.
ee Member
itlee Member
Dale: 13th May 2026
Date: 13th May 2026
Page 6

Creggan Neighbvurhood Partner5hlp
Notes to the accounts
for Ibe year ended 31 March 2026
Aceounting policies
The principa] acLouDtiftg policies adoptrd in th¢ pTepJr*ioft or the accounts arc sct Qui below and have
r¢mained unchang¢d from the previous y&ir. and also bavc been con8isiendy applied within (he sjn
accounls.
1.1. Accounting convention
The ¢hariry consiitutes a public benefit eniiiy as defined by FRS102. The financidi statements have
bEen prepared in accordance with Accountino and Reponing by Charities.. SiaierrKni of Recommended
Praciice applicable to charitics prcparing their accounts in accordance with thc Financial Reporting
Standaftl applicable in ihe UK and Republi¢ of Ireland ch￿ilIeS SORP 2019 (FRS102) and the
ch￿ille5 Act (Northem Ireland) 24x18.
The financial stalen￿niS are prepared on a going concern basis under the historical cosi conveniio
modified io included certain items ai fair valuc. Th¢ f￿anCIal S￿reMents are presenied slerling
which is the functional c￿￿enCY of the charity.
1.2. Fund accounting
Unreslricied funds are available for use * the discreiion of the membeTS in futherdnce of the general
objectives of the organi5atiOn.
Dcsignaf¢d funds ar¢ unrestricled funds earniaTk-ed by the managemcnl commillee for particular
pU￿oSe5.
R¢stricied funds are subjecied io restiiclN)n5 on their expendiiure imposed by the donor or through the
teTm5 of an tspp¢￿.
IJ. Incoming rLsourcos
All incoming I¢sources are included in the statement of financial activities when Ihe Org￿lsa110n 15
entitled io the income aJ)d the amount can be quantified with reasonable accurdcy. The following
specific policies tire applxed io particular caiegoric5 of incomc-
Voluntary income is received by way of grdn¢s, donations and gifts and is includ¢d in full in the
S(aiement of Financial Activitscs wh¢r¢ ￿Ceivable.
Donatcd s¢ryi¢¢s and faciliues are included ai the value to ihe organisalion whcrc thi% can be quantified.
The value of 5eTvice5 provided by volunteers has not been included.
1.4. Resources expended
xpendiiure is recognised on an xcrual blsis as a liability is incuffed. Expenditure includes any VAT
which cannoi be fully recovered. and is reported u5 Part ofihe expenditure to which it relales.
Expenditure con)prises ihose costs incU￿¢d by th¢ organisation in the delivery of its aciiviiies and
serYiLes for ils benefieiaries. li includes both costs thai can be alIcKa￿d directly to such actsv&ti¢5 Jnd
those ¢(xsis of an indire£i n￿￿re necessary io support the
Page 7

CTeggan Neighbourhowl Partnershlp
Noteq to tbe 2ceounts
for the year ended 31 March 2026
Tangible r￿ed 255ets and depreciation
Tangible fixed assets are siuted at C051 less depre¢iaiion. Depr¢ciaiion is provided ai raies
calculated io write off the cost or valuaiion tess residual value of each assei over its expected
useful lif¢, a5 follows-
Equipmcnt
25% Rcducing Balancc
Taxation
As" a chatiiy, is exempi from ￿ on income and gains falling within sccuon 505 of the Taxe5 Act 1988
or s256 of ihe Taxdtion of chO￿table G￿n$ Aci 1992 to the exient that these are applied io i
chargeable objects. Accordingly. no thx Charges have arisen in the chariiy.
Jncome
Unrestricted Restricted
lunds
funds
2026
Toltsl
2025
Total
Departmeni for Communiti
Keadue Fund
NE Housing Execuiive
Bsg Lolterty
John Moores Foundulion
Halifax
Skills North W¢sl
Bogside & Brand￿ve11
International Fund for Ireland
DCSDC
Clear Small Grants
Other Income & Donations
64,549
64,549
7,095
7,095
6.8
6.864
131.456 131.456
2.540
2.540
6,880
6,880
28,130
28.130
1.480
1.480
49.273
49.273
10,725
10.725
6?,918
3.720
43,883
38,219
2.950
4.875
3,290
2.195
37.705
37.705
37.705
308.992 346,697
162,050
Net profit resources for the year
21)26
2025
Nct profil rcsourccs is staled after char8ing.'
Depreciaiion and other amounis wrillen off iangible r￿ed a&se(s
189
563
Page 8

CTeggaTr Neighbourhood Partnershlp
Notes to the gccounts
for the yegr ended 31 March 2026
Resourees Expended
Unre5tric¢ed
Funds
R￿tricted
Funds
2026
2025
Management & Administration
Big Loiiery eXpendI￿e
131.456
131.456
6,864
43,883
3,720
Intcrnational Fund for Ircland
ctF Expense5
Bogside & Brnndyw¢ll expenses
John Moures foundaiion
DCSDC eX￿n.5¢.
Skills North Wesi
Keadue Fund
Halifrdx
Clear small grdnis
Internationlli Fund
Running costs
AcLountancy
Sundry Accoun( expenses
Bank Chthrges
Depreciaiton on FF
64.549
1,480
2540
10.725
28.130
7.095
6,880
64.549
1.480
?.540
10,725
28.130
7.095
6,880
62.013
2.950
4,875
38.219
3,290
49.273
49.273
15.410
1,800
15.410
1.8(K)
1,21J)
1.066
189
364
563
189
18.?76
309.181
327.457
161.079
Tangible assets
Renovatlons &
Refurbishment Equipment
Total
Cost
At l April 2025
Ai 31 March 2026
18.902
58.815
77.717
1&902
58.815
77.717
Depreciation
Ai l April 2025
Charge for ihe ye
1&902
58.626
189
77.528
189
Ai 31 March 2026
18.902
58.815
77.717
Net book vglu&s
Ai 31 March 2025
189
189
Pagr 9

CTeggan Nelghbourlw)od Partnership
Notes t￿ the accounts
for the Year ended 31 Mareh 2026
DebtOT5
2026
2025
GrJnis due
Oiher Debtors
4.363
658
4.363
658
Current liabilities
2026
2025
Taxes and s￿la1 security cos
Other creditors
Aecrua15 & Deferred income
4.141
3,492
8,531
24,430
51.287
55,428
36,453
Movements in Funds
At
31 March
2026
l April Incoming Outgoing
2025 ro50urto% resources
Restricted funds:
1.748 308.992 (309.181)
1,559
Total reslricted funds
.748 308,992 (309.181)
1.559
U￿r￿triCted funds:
General fund5
31.947
37.705
{18,276)
51.376
Total unres(ri¢ied funds
31.947
37.705
118.276)
51.376
33.695 346.697 (327.457)
52.935
Purposes of Restricted Funds
Restiicted grants aW￿ded w the ch3Jiiy is provide¢J io cover the core objecrs as explain¢d in directors
report.
Page 10