WEST BEI LFAST PARTNERSHIP BOARD
IINANCIAL STATEfvIENTS
FOR THE Yll AR Ct NDED 31ST I*IARCH 2024
REPORT OFTHE INDEPENDENT AUDITOR TO THC MEMBERS,
Auditing the I'isk ofinai)ageinent ovcri'ide of contiDls, including through testing joui'nal entries and oih¢i'
adjuslmenls toi. appi'opi'iatcness, and evaluating the business ralionalc of significant trnnsactions outside the
noimal LOU¥SC of busin¢ss.
As pai'l of an audii in a¢coi'dancc iyith ISAS (UK) we e.xeicis¢ PlDlesbional judgcii)ent aiid maintain pi'ofessional sccpticistn
Ihi'oiiEI)out Il)e audit. We also:
Identity and assess tlie I'isks of maiei'ial 1￿15¥1￿1t¢Menl of tl)e financial statements, wlictl)ei' due to fi?ud or ei'roi.,
design and perlorn) audit pJDcedu1¢5 I'esponsive to tliose I'isks. and obiaiii audit cvidence that is sutficienl ai)d
appi'opj'iale lo provide a basis foi. oui. opinion. The risk of not deteLting a n)at¢i'ial Inisstatement i'esulting from
Iraud is higher tlian for one resultiiig froni erix)I', as fi'aud may involve collusivn, foi'geiy. intentional omi55ions,
misrcpirscntalions, oi. tlie oveii'ide ot internal eontrol.
Obtain an undei'standing OF inlei'nal ¢ontiDI ielevant to tlie audit in oi'dei. lo design audit piDcedures tliat al'e
appiY)priate in thL circun)stan¢es, but not for Ihc purposes of e.xpressing an opinion on the effectiveness of (he
eompany's iniernal conti'ol.
Evaluate tlie appiY)priateness of accounting ptsliciEs used aiid the ieasonableness uf aLcounting cytimales and
laled disclosui'es Inade by the direcloi's.
ConLlude on tlie appiDpi'iaien¢ss tst the diit¢toi'5' Usc of the goiiig concem basis of a¢Lounting and. biised on the
audit evidence obtained, Ivheih¢i' a matci'ial uncei'laiiity exists related to event8 or Conditions th1¢ t may cast
significant doubt on the charitqs abilily to continue as a going concern. If we ¢on¢liidt that a material uncertainty
exists, we al'e r¢quii'ed lo di'aw attention in oui. audiloi's I'eport to the related di5¢1osures in the tinancial statements
oi.. if such disclosures al'e inad¢quate. to modity our opinion. Oui. conclusions ai¢ based on the aiidit evidenLe
obtained up lo oui. auditol s I'eport. Hoivevei., Future events or conditions Inay ¢au5e the chai'ity to cease to continue
as a going concern.
Evaluat¢ th¢ overall pie5entation. stwcture and conlenl of tlie tinaiicial stateinents, inoluding Il)e disclosuits. and
whttihei. the financial stateinents represent the underlying liaJ)sa¢lions and events in a mannei. that achieves taij.
pirsentation.
A tuiil)ei' description of our Ir5ponsibilities foi. the audit ot the finai)cial Sial¢mcnt5 15 located on the Financial Repoiting
Council's iyebsite at.. http.'l/iYi￿Y.t1.C.oI.g.UkIaudiI0ySi.espDnslb1]iIjes. Tliis description torms pait ot oui. audiloi s repoit.
We ¢omTlluniLal¥ with those chaiEe(i ivith govei'nanLe regarding, ainong oih¢i' matters, thL planiied scope and timing of the
audit aTrd significant findings, including any sigi)ifiLant defieien¢ies in int¢imal ¢ontiK)I Il)at ive identify dui'ing oiii. audit.
Use of our I'eport
Tliis repoi't is Inade solely io the ehai'ilabl¢ ¢ompaiils Incinbers: as a body, in 11CCOI'dai)ce ivith Chaplci- 3 of Pait 16 of the
Coinpanies Act 2006 and I'egulations made under tl)at Act. Out- audit woi'k has been iindei'lakcn so that wc might slate to the
chai'itable coinpany's membei's those mattels we al'c Irqiiired to state to them in an auditors, repoi1 and for no other pui'pose,
To tlie fullest extent pei'mitttyd bs, laiv, we do not accept oi. assiiine responsibility lo anyone otl)ei' than tl)e charitable company
and it4 memb¢rs as 8
dy, foi. oui. aiidit woi'k, foi. tliis repoit. ui. foi. tlie opinions ive liave toi'nied.
LAWR£NCE SHEI ARER F.C,A., SeRioi' Statutory Aiiditor
FOR AND ON BCI HALf4 OF O'FL4IL4 SHEARER, St4tuttsry Allditoi.
O'HARA SHEIAREI R
CHARTERCI D ACCOUNI'ANTS
AND STATUTORY AUDITORS
547 Falls Road
Bblfasl
BTII 9AB
Dated: 4th DeLember 2024
Page 11

WEST BELFAST PARTNERSHIP BOARD
FINANCIAL STATEMENTS
FOR THE YEI AR NDED 31ST TrLARCH 2024
STATEMENT OF ACCOUNTING POLICIES
Accountin￿ Convention and Basis of Accountin
The financial statements have been prepared under the l)istoi'ical Cost convention.
The financial stateinents have been prepared iii accordance with Accounting and Reportin(F by Charities..
StateineT)t of Recominend¢d Practice applicable to charities pi'eparin(T their accounts in accoi'dance with
the Financial Repoiting Standai'd which applies in the UIC and Republic of Ireland (FRS 102)
(effective l Januaiy 2015) (Charities SORP (FRS 102)), the Financial Repoiting Standai'd applicable
in the UK aiid RepLiblic of Ii'eland (FRS 102) and tlie Coinpanies Act 2006.
Goin(y Concern
At tlie tiine of appi'oving the finaiicial statements, the trustees, have a reasonable expectation that the Charity
has adequate resources to continue in operational existeiice for the foreseeable future, Tlius tlie trustees,
continiie to adopt tlie troin(F conceiTA basis of accountinu jii prepai-intr the financial statements.
Income Reeotsnition
Income is i'ecognised wlien the Charity has entitlement to tlie fiiiids, aiiy perfoiinance conditions attached
to the item(s) of income have been imet, it is probable tliat tlie incoille will be I'eceived and the arnoLint
can be Ineasiii'ed reliably.
Intei"est Receiiiable
Iiiterest on fLiiids l)eld is included when I'eceivable and the ainount can be measui'ed reliably. tliis is
norillally upoii notification of tlie interest paid oi. payable by the Bank.
Resource5 Expended
All expenditure is accoLinted for on an accruals basis and is classified uiider headiiitrs tliat ag
costs i-elated to tlie category.
(yregate all
Fuiidraisilig costs iiiclude tlie Losts of advertising, pi-odLi¢iiig publications, pi'intino and Inailiiia fiindi-aisiiig
matei'ial, and staff costs in these ai'eas.
Costs of chai'itable activities include direct expenditure iiicurred thi'ough opei'ational activities.
Govei'naiice costs repi'esent the costs associated witli the governance ai-i'angements of tl)e cliai'ity whicli
relate to the general ruiining of the charity as opposed to those costs associated with fundi'aising or
chai-itable activity.
ri ixed Assets
All tangible fixed assets are I'ecorded at cost.
Page 12

WEST BELFAST PARTNERSHIP BOARD
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST MARCH 2024
STATEMENT OF ACCOUNTING POLICIEI S
Continued
Depreciation
Depreciation is calculated to wi-ite off tlie cost of fixed assets over theii. estiinated useful lives
at the following rates:
Plant and machinei'y
Office equipineiit
Coiiipiitei- eqLiipment
250/0 residLial value
25 /0 I'esidiial value
25 % i-¢sidiial value
Repairs and Renewals
All repaii's and renewals al'e wi'itten off as incuri'ed
Pension Costs
The cliarity does curi-eiitly opei'ate a defined conribution pension scheine.
Debtors and Pi'epayments
Trade debtoi-s and othei. debtoi's al'e reco(Tiiised at the settlement ainount due aftei. any discoLint offei-ed.
Prepayments are valued at the ainount prepaid net of any ti'ade discounts due.
Credito i's and Pi"ovisions
CIEditors aiid pi'ovisioiis are recotrnised where the chai'ity has a pi'esent obli(yation I'esiiltino fi'oin a past
event tliat will probably resiilt in tlie traiisfer of fLinds to a third party and the aiT)OLint dLie to settle the
obligation can be Ineasured oi. estimated i'eliably. Creditoi's and pi-ovisions al'e noi-lnally i-ecotsnised at
tlieii. settlement amoiint aftei. allowintr foi. any ti-ade discounts due.
Financial Insti'uments
The Chai'ity only lias financial assets and financial liabilities of a Icind that qualify as basic fiiiancial
instrLiineiits. Basic financial instriimeiits al'e iiiitially reeoonised at ti'ansactioii value and subsequently
measui'ed at theii. settleiTJent valiie with tlie exception of bank loans which are siibsequeiitly measLired at
amoitised cost using the effective intei'est Imethod.
oi'eign Currencies
Monetary assets and liabilities iii forei(Fll cul-rencies al'e ti-anslated iiito stei'liiig at tlie rates of excliange
rilling at tlie balance sheet date. Traiisactioiis in foreign curi'encies are ti'anslated into stei'lin(y at the rate
of exchange I'uling at tlie date of tlie transaction. Exchantye differences al'e talcen into account in ari'iving
at the net movement in funds.
Paoe 13

WEST BELFAST PARTNERSHIP BOARD
FINANCIAL STATEMENTS
FOR THE YEI AR ENDED 31ST IIIARCH 2024
STATEMENT OF ACCOUNTING POLICIEI S
Coitllnued
Fund Aecounting
Unrestricted funds are geiiei-al funds tliat al'e available foi. use at tlie Trustees, discretion in ftirtlierance of
tl)e charitable objectives of the cliai'ity Linless tlie fiinds have been designated for other purposes.
Designated fliiids are uiirestricted funds set aside by tlie trustees out of uiirestricted funds for specific
fiitiire purposes.
Resti'icted fuiids are t]iose given for use in a paiticulai. area or for specific puiyoses, tlie use of wliicli is
restricted to tliat ai'ea or PLirpose,
Endownrneiit fvnds are SLibject to specific conditioiis by don0￿ thal tlie capital must be maintained by the chai'ity.
Tlie iiicoine received from fuiiders depends on the eliai'ity meeting detailed ci-iteria on expenses plans.
Grants given uiidei. SLiclI conditioiis al'e also giveii subject to tliem being obtained for in coiinectioii with tlie fiiitlieraiice of tlie
cliai'ity's aiins and objectives.
Sucli incoine cali be repayable to tlie fijiider if sucli e.Ypenses pla115 and criteria al'e not inet.
Siich income is only deferred wl)eii Ilie donor specifies tliat tlie graiitldonation Inllst oiily be Lised iii futtii'e accounting periods.
01- the donor has iinposed conditions whicli mLlSt be inet before tl)e cliarity has Liiicoiiditioiial entitlemeiit.
Incoine from cliai-itsble activities includes income received under conti'act or wl)ere entitlement to ￿'alIt fiiiidiiig is subject
lo specific perfonnance coiiditlollS is I'ecogiised as eaimed as tlie i'elated goods/sei'vices al'e pi'ovided.
Gi'ant income iiicluded in this category pi'ovides fuiiding lo suppoit performaiice activities aiid is recognised wliei-e
there is entitleineiit, certainty of receipt and the amouiit can be measured with SLifficient I'eliability.
liicome is defeiTed wlieii.. feeslperfoiinance I'elated grants are received in advance of the perfonnaii¢eleveiit to
wliich tliey relate.
Reserves Policy
West Belfast Parlnersliip Boai-d reserves policy is to maintaiii a sufficiei)I level of resei'ves to enable operating activities
to be Inaiiitained foi. a period of at least 3 to 6 Inontlis in tlie evei3t of majoi. fundii)o streams eliding. The resenies policy
also talces accoiiiit of covei'ing costs in the eveiit of closui'e, to covei. I'ediii)dancies, rents, and fees tliat al'e dlie iiicluding
statutOLy audit fees. It also lalces a¢¢ouiit of poteiitial i'isks and coiitingeiicies tliat may arise fi'oin tiine to tiine.
West Belfast Paitnership Boai'd inaintain uiii'esti'icted I'eseives if accriied sliould be Lised for tlie purposes ¥vhich Ineet tlie aiins
and objectives of West Belfast Partiiership Boai'd. Tlie board 51iould monitor and review tlie amount ol unresti'icted i'eseives
bi-monthly iii additioii to the level of I'estricted reserves.
Page 14

WCIST BEI LfrAST PAIITIYERSHIP BOARD
sTATE1￿[ENT or FIIYAIYCIAL ACTIVITIES
th¢ inLomc #nd eT
FOR THI YE.4R E4 NDCID 31ST ￿{ARCH 2024
riitin
L'ndilui'e ac¢ounl
Uhr¢5ti'ic*ed Resli't¢lLd Eiidiiiviiment TOTAL
Funds
l."uiiils
2024
TOTAL
2023
INCOfvIE AND ENDOWNITrlEINTS FROfvI:
DonRlioJJs ajjd 1¢8a¢ies
Incoiiie from itsvesiments
14.374
9,150
669,175
683.549
9.150
774,926
7,998
Incoiiie from otlier trlldiiig a¢iivities
TOTAL INCO1￿1[ AND ENDOWNt*lCNTS
23,524
669,175
092,699
782,924
IXPEINDITURE ON:
E.xpend2ture on raising fiiftds
669.175
669,175
740,827
Oilier expeiidiiiire
Nei gaitss/llosses} on investinenls
TOTAL REI SOURCES E.XPENDED
669,175
669,175
740,827
NEIT IIYCOfvILlllI XPC4 Yi DITURE)
23,524
23,524
42,097
Traiisfers betsveen fiinds
NET ￿loVE￿IElNT IN fvNDS
23,524
23,524
42,097
RECONCILIATION or ruNDS
TOTAL FUNDS BROUGHT fioRWARD
96,763
15J.786
250,549
208,452
Transfers beisve¢ii flind5
153.786
1153.7861
TOT.4L FIUNDS CARRIED f4ORNVARD
274,073
274,073
250,S49
I'lie StatemL'nt or riiian¢141 Aetivltles Includts 4111 glliiis Trnd Itbs¥es tn tlie yeiii. and thei'efoi'e li
Slnt¢meiit of Totil Rocogni5cd Cniiis ujid Losses li#s not b¢¢ll preptsi*d
All of the xlTr(bvL' Amounts reliLt¢ lo ¢olltinuing #clivifies
Th¥ QCCOnilJJltiying 1ecottntirtg pollcl¢s Ihc nDtey forrn pllrt olllitse fition¢illl sithltmÈDIs
Page15

WEST BELFAST PARTNEI RSHIP BOARD
BALANCI SHEI ET
AS AT 31ST MARCH 2024
2024
2023
NOTES
FIXED ASSETS
Tangible assets
12,556
16,741
CUIIRENT ASSEI TS
Debtors and pi'epayments
Casli at bank
Cash in hand
101,278
225,714
126,382
177,106
io
326,992
303,488
Ci'editoi's: amounts falling due within oiie year
12
(65,475) (69,680)
NET CURRENT ASSETS/(LIABILITIES)
261,517
233,808
TOTAL ASSETS LESS CURRENT ASSETSI( LIABILITIEI S )
274,073
250,549
Creditors: amounts falling due after more tlian one year
13
NET ASSETSI(LIABILITIES)
274,073
250,549
FUNDS:
ENDOWNMII NT FUNDS
UNRESTRICTED INCOME FUNDS
14115116119120
274,073
96,763
RESTRICTED INCOME FUNDS
14115116119120
153,786
274,073
250,549
APPROVED ON BEHALF OF THf BOARD OF DIRECTO
JIM DONNELLY
DIRECTOR
AMUS O,
IRECTOR
4tli Deceinber 2024
DATE
4th Decemb¢i' 2024
The accoinp.Inying #ccountiiig policies And notes form p4rt of these fin:Ih¢ial 5t*temeiit5
Page 16

WEST BELFAST PARTNERSHIP BOARD
STATEMENT OF CASH FLOWS
FOR THEI YEf AR El NDED 31ST MèiRCH 2024
2024
2023
NOTES
CASHFLOWS FROM OPERATING ACTIVITIES
Casli generated fi'oin operations
15
48,608
(10,568)
Net casli iiiflow/{oufflow) fi'oin opei'atiii(y activities
48,608
(10,568)
IniTestin<F activities
Jiivestment income
Purcliase of taiigible fixed assets
Acquisition of investments
Disposal of investtnents
Disposal of taiigible fixed assets
(2,200)
Net cash from iniiestin(F activities
(2,200)
Inci'easel(decJ-ease) ill cash and cash equivalents in the year
48,608
(12,768)
Cash aiid casli equivilents at the beginnints of the ye21"
177,106
189,874
Cash and cash equii'alents at the end of the yeui.
io
225,714
177,106
Relating to..
Cash slt bxnl< And ID hand
225,714
177,106
Tlie Accompanying &ccounting i)olicies Iiotes forin pnrt of tliese finAncial stntemenls
Page 17

IVEST BELfilST PARTNERSHJP BOAII
NO
ES TO TIIE FINrliNCIAL s'r.41'EIlqENI TS
roR THE YEAR KINDED JI
IARCIV 2024
I. DONATIONSANDLEGACIES
UnresivScied ftestrlclcd
Fu4kds
und5
Fund5
2024
2013
Doiisiions
2. INCOTrIE fbROfvI INVEST￿rENTs
UnreJlrtcl¢U Resti'icled
Fun41s
2024
Fun(l$
2013
Ir¢ome frorn UK Iisied invesiinenis
J. INCOME FROM CHARITAIILE ACTIVITIES
Unvesli'ittcd Rtsirl¢lcd
Fun(l$
2024
ds
Fun(l$
2023
D¢pJnmeDI foTComiKuniiic5- Coininuniiy EniSM>iveThneni Division
Departineiii forcominunilies- Coinmunity EmpoiYeiineRI Divi5ioiI Capital Equipinent
Dep4rlmenl of EduLaiion
Federation of Ffiinily Prattiices Wesi Belfast C.l.C
PubliL H¢Jlili Abien¢y
Fiill Service Coillmunitv Neliyoik
Noriheni Ireland Council on Voluiilw Aeiion
Bell￿¢ City Coun¢il- Educaiion
Runk FouDdg1ion Limiicd- Tiaiiiin8 Posl
Fibre'fminin¥
EnviroIiin¢nl Sponsorsliips
Aislints Bursnries {SeeNGTrie 18J
135.405
135.405
148.517
29,542
?00,000
29,54?
200.000
12,874
166,789
4J50
43,460
18,000
179,663
4,350
43.460
18.000
53,980
?O,O(M)
17,625
165?62
34,00
2?.500
53,9go
?0,000
17,625
165 ?62
34.000
198,056
198.U56
I,)
1.500
87,iOO
2.500
87500
81.000
81,000
Les& Deferred Income (SeeNoie 12)
14.374
669.175
683.549
2.500
77?,4?6
774,9?6
4. INC0￿IE fRO￿I OTHER TRADING ACTIVITIES
UnJ'e51riclod Rcslrielc
2024
Fund5
Irunds
2023
Fundraisinb
Generated income
9.150
7.998
7.998
9,150
9,150
7,998
7,998
Pogye IS

IVCST IJELfAST PARTNI ERSHIP DOARD
NOTES TO THE filiNAYCL4L STATEfvIENTS
roR 1'HE I'EAR ENDID 31ST ￿lARCH 2024
5, EYPCY¢ DITURE ON RAISING fuNDS
Unrfstrletcd Rtslrlelt
Fynas
202
2023
Promoiional nnd fundioising costs
6. E.YPENDITURE ON CFL4RITABLE ACTIVITILS
Unr¢slrl¢ted ticstricte
irunds
Funi15
Unvc$iL'leied Rtslrltltd
2024
2023
Wages and salaTie5 (See Ngle 81
SoLial seLiirity cu515 (See Ng¢¢ 81
Publicaiiorts, re¢riiiliMertl and 4dvertising
Conference a￿d ITllining progroinm¢5
Maierithls
297.480
297,480
4?.995
8,083
?86,45
?86,454
33,231
5,400
696
8.083
5,400
2.137
8,313
1,648
166,470
87,SQO
192
8.313
1,648
1fj6,470
87,500
19?
6.600
6.600
9?4
230.718
81,0(J)
616
Trnvel cosls
Programme ¢0515- CQTe (See Ngie 17)
Aisling buTsori¢s
Sundtsr exPe￿e$
?30,71
81.000
616
614,8111
614,818
645,639
64S,639
SIEI)i)ort C05tS 9nd Gov¢'rnsiiice eosls
Telephone. compuier InDini¢nnnce and iniernei
Renl Dnd service chor¥es
Room hiie llnd hospithlity cos15
In5Utatttc
Liglil and h¢ii I
6.078
16.004
1.060
3.136
5.473
600
6,078
16,0fy1
1,060
3,136
5,473
3.1?9
21.020
2.541
4.003
3.085
650
5.080
1,190
962
4,003
3.085
650
S.080
Consulillncy le£5
Prirtling. posiage slalion¢ry
Repairs and Inaintenanc¢
Ctspilnl Lquipmenl c0515
HiTe of eouipinent
Depre¢i4iiion (S¢t Nofe 9)
Aiidii fees
LegEiI ond olher professioiial fee5
Subscripiions and IiLenLe5
Bunk interest and ¢bJrges
4(M)
400
962
8.2iS
4,185
3,996
8,451
5,397
J.996
600
4.185
3,996
5.397
6(Kl
2,4)8
3,845
3,843
54,357
,357
95.188
95.188
TOTAL E.XPENDITURE ON CHARI'fABLE ACTIVITIES
669,175
66Y,17S
740.827
740.827
Page 19

WEI ST BELFAST PARTNERSHIP BOARD
NOTEI S TO THE FINANCIAL STATEI MEI NTS
FOR THE YEAR ENDED 31ST MARCH 2024
7. NET (OUTGOING)/ INCOMING REI SOURCES FOR THE YEAR
This is stated after chargingl(crediting)
2024
2023
Auditoi's I'einunei'ation
Depi'eciation
3,996
4,185
3,996
5,397
8. SALARY COSTS AND EMOLUMETrITS
2024
2023
Total staff costs wei'e as follows:
Wages and salai'ies - key management pei'sonnel
Wa(yes and salaries - othei. staff
Elmployer social secui'ity costs - key manaoement pei'sonnel
Employer social secui'ity Costs - otliei. staff
Employer social secui'ity costs - StatLltoi'y Matei'nity Pay Recoverable
Eniployer social se¢ui'ity costs - Einployinent Allowance
93,451
204,029
17,008
25,987
96,068
190,386
17,811
15,420
340,475
319,685
The ave17ge Inontlily iiuinber of employees diii'ing tlie yeai. was as follows:
2024
Number
2023
Nuinber
l2
No employees had emoluments in excess of £60,000 (2023: £Nil)
Trustees, remuneration and benefjts
Tliere was no ti'ustees, i'emunei'ation oi. othei. benefits foi. the yeai. ended 31 st Mai'ch 2024. (2023: £Nil)
Trustees, Expeiises
Tliere wei'e no trustees, expenses paid foi. tlie yeai. ended 31 st March 2024. (2023: £Nil)
Page 20

WEST BELFAST PARTNERSHIP BOARD
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 3JST MARCH 2024
9. TATrIGIBLE FIXED ASSEI TS
Pl￿1t &
Office
Macbineiy Equipment
Cornputer
Equipment
Total
COST
As at 1st April ?023
92,5?3
229,713
3?9,9?9
Additions
Disposals
As at 31st March ?0?4
7,693
229,713
329,929
DEPRECIATION
As at I st April ?023
5,889
92,061
215,238
313,188
Charge for year
Eliminated on disposal
451
115
3,6l9
4,185
As at J I st March 2024
92,176
218,857
317,37J
Net book value 2024
347
10,856
12,556
Net boolc valLie 2023
1,804
462
14,475
16,741
10. CASH AT BANK
2024
2023
AIB (NI) - c￿Te1]t Accoiints
225,714
177,106
225,714
177,106
Page ?]

WCIST BEI LFAST PARTNII RSHIP BOARD
NOTES TO THE FINANCIAL STATEfvIENTS
FOR THC YEAR ENDED 31ST MARCH 2024
11. DCBTORS: AMOUNTS FALLING DUE WITH]N ONE YEAR
2024
2023
Trad¢ debtor5
Giants r¢¢¢ivable
Pirpayments
101,278
126,382
101.278
126,382
12. CREDITORS.. AMOUNTS fiALLING DUEI WITHIN ONC YEAR
2024
2023
Bai)k overdi'afts
Social security costs and other taxes
Dcfcrred iiicome
Accrued ¢xp¢nses
1,918
15,512
4S,000
7.2iO
11,403
46.000
8.072
65,47)
69.680
13. CREDITORS: Af¥lOUNTS FALLING DUE AwfER MORE THAN ONC YEIAR
2024
2023
Baiik loans
Deferred income
14. ANALYSIS or NET ASSETS BETWEEN FUNDS
Tongible
Debtors
Cash al
nd
Boiik arid
Assets Prepaymcnts in Hand
Creditors
and A¢cruals
Transfers
bctwceTh Funds
2024
2023
Unrcsti'i¢t¢d Funds
141,631
(35,718)
168.160 274,073
96,763
Resli'ieled funds
12.556
101.278
84,083
129,757)
{168.1601
153,786
Totlll Fuiids
12,556
101.278 22S,714
165,4751
274,073
250.549
IS. RECONCILIATION OF OPII RATING PRofilT TO NET CASH FLOW FROM OPERATING
ACTIVITICI S FROfvI OPERA'fiNG ACTIVITIES
2024
2023
Opei?ling Surplus1{Delicitl for the year
D¢prcci4ltioi)
Movement in debtOl'5
Mov¢mcnt in ci'edilors
Gain on investinents
{Pi'olilllLoss on disposal of Fixed Assets
Investment incomL
23,524
4,185
25,104
14,2051
42.097
5,397
{36,891}
Net Lash inflowl(outflow) froin operating Drtiviti¢s
48,608
110,568
Page 22

WEST BELfAST PARTNERSHIP BOARD
NOTEIS TO THE filNANCIAL STATEfvIEI NTS
FOR THE YEAR ENDED 31ST MARCH 2024
16. ￿[oVE￿IENT IN FUNDS
Net t*lovemenl
in Fiiiids
2024
Opening
Biilance
Transfei's
behvccv fi lind5
Income
I xpenditure
2024
2023
Uni'esti'icted Funds
96,763
23,524
23.524
153,786
274.073
96,763
Resti'icled Fund5
153,786
669.17)
{669,175}
1153.786)
153.786
250,549
692,699
{669,175}
23,524
274,073
250,S49
17. PROGRAMfvJE COSTS- CORE
2024
2023
Idu¢alion Packages
Tutor Fees
Room Hii'e
GCSE Suppoit and Matei'ials
Afteischools Progi'aiMinLS
Belfast City Council - Education Prog1￿mMe
Belfast City Council Tuloi
Nu13ery, Pi'iinai'y and Tiansition costs
Support Costs and Confei'ences
EnviiDnmental Prugrammes
H¢alih PiY)gi'ammcs
Training
NICVA
14.581
2.356
9,454
10,500
39,244
17,889
50,676
6,254
200
13,316
2.000
27,213
10,164
2,019
26,143
97,753
5.288
50,622
3,607
2.460
5,IS6
293
166,470
230,718
Poge ?3

WEST BELFAST PARTNEIRSHIP BOARD
NOTl*S TO THE FINANCIAL STATEITrIENTS
FOR THE YEAR ENDED 31ST iWIARCH 2024
18. AISLINC BURSARY SPONSORS
2024
2023
Tlie Kenn¢dy Cenire
Beltast Media Group
Belf¥Jst Taxis Coaclies C.l.C
Brassiieck Thea(re Company
lont42oblias na Gaelscoloioclilo
t(RW Law Advocates
Dail'y Farm Ti?iniiig & Peopl¢ Isl
ConneLled Healtli Ltd
Neiysiait Education Ccnlre
Tlie Roddy MLCorley Social Club
Whitemounlain Quarries
Kolorfflasler Bclfast
Upper Andersonslown Cominunity Forum ITullymorc}
Clarke and Co Accountants
Work Wesl Enterpi'isc Agcncy
Andor Technolog), Ltd
Belfa51 Educational SLrvice5 Limited
Opeii College Netivork Nl
Féile an Phobail
Galar Ireland Ltd- Coopcrs Pliaiina¢y
ThL Ortus Gi'oiip
Tl)e Ortus H&TTy Coll Memorial Bursciry
Spirit A¢rospace (Boinbiirdier Inc)
Innovation fic Clory Be1141St {Oxfoi'd Innovcltion Factory Lid)
Turley Asso¢iales
Open UnivLrsity
Conivtty Street PreS¢TVation Trust Limited
Clonard Credit Union
ALtive CotllTnunitlCb
Sliabl) Dubh
Toman Accountancy Services Limited
Westivood Centre
l-tom¢fit
Data Dispatch
Car College
Heart Pi'uje¢t
M1< dden and Finiicane Solicitors
Spttr Twin Spiirs
Tread the Boards
Toivnscnd Entei'prises
Fl)uise Og
Upper Spi'ingfield Development Trust
rAilte Feii'sle Thfiii.
Aras Ui Chonghgkile
BlclcI(i¢ RivLr Communily Gi'oup
Ciilturlanii
Di'ivcr Th¢ory Bclfast Ltd
Ardmoiiagh Family Centit
Rodcn Si1¢¢t Coii)munity Group
Cai'lilie Finai)cial
Ballyinac Hotel
Clonard Residents Association
Boiirke Sw)rts
Sxveways
Lic urel Leat
DKZ
26 West
Nl T¢¢hnology
500
1,000
1,000
500
1,000
1,000
1,000
2,000
500
i.ouo
2,000
1,000
1,000
500
500
2,000
1,000
500
2.000
1,000
1.000
1,000
500
1,000
2.000
500
1,000
1.000
1,000
2,000
500
1,000
2.000
500
1.000
500
500
2,000
500
2,000
1.000
2,000
1,000
2,000
500
500
500
500
50
50()
50()
1,000
1,000
500
1,000
1.000
500
1.000
500
500
1,000
500
2.000
1,500
500
1,000
500
1,000
I,oou
500
500
500
500
1,000
500
500
500
500
1,000
500
1.000
500
1,500
500
500
1.000
1.000
500
500
1.000
500
1.000
500
500
500
2,000
1,000
1,500
1,000
500
500
1,000
1,000
1,000
500
1,000
Page 24

Intei'im Security Solutions (Kevin McKay Beiimore Group)
O'H&ra Slieaier Cl)ai'tei'cd Accoiintaiils & Stcltulory Auditors
Workfoiee Ti'aining Services Lid
Padiaig O'muirigh Solicitor5
Beechvale Nl Ltd (Decllln Hoeyl
Falls Communitv Coullcil
GLL Better for Everyone
TRP Reci'uitment
TLeling Training (Sally Gardens)
Top of Tl)e Rock
Community Rcslorative Justice Ireland ICRJII
Copiu5 Con5uliim¢y
Bic Imoi'al Hotel
Active Comilliinities
Tai. Anall
Sinn Fein
Frank Gillen Lcntre
larie Mclli¥e¢
Mannys & Pizza Guyz
Heiiderson - Ardbarron Trust
Signco
Theresa Dunlop
Antrim GAA
Coisle Int]ieistiochro
Little O's Pizzeria
Saf¢ Se¢ui'ity Nl
AndLrsonstoivn Socidl Club
Felolls Club
Foolpi'inls Woinens Centi'e
S3 Solutions
BES
Sprinu)valL Training
i3SA 13uildin¥ Servic¢s
Colin HungLr Strike Committee
D¢velopment Trust Nl
Belfast Hui'bour Cominissioiiers
Beehive
Gen Teeh
Ace Taxis
The Ferguson Foinily
Tech Desk
FibY¢ Contractoi's Lid
Conael Shipping Services Liniiled
Brendan fvlcK¢e
Liam Mecarry
OK Windows
Precast Moulds
West Belfast Pai'tnersl)ip Boai'd
Tlii'¢e IT Servic¢s
Brown O'cunnoi.
Newlc rk Developin¢TJt
M¢Crudden Trainor Solieitors
Aiken Proinolion5 Lid
South Antrim AA
Argyl¢ Busincss Centr¢
Conradh na Gaeilge
Balmoriil Construction INI} Limited
Len8's Newsagents
Biopax Limited
Little fvlexican Deli
St Comgall's- lonad Eileen Hoivell
B¢cchlawn Hol¢1
1,000
500
1,000
1.000
1,000
500
500
500
500
1,000
500
1.000
1.000
500
500
500
500
500
500
500
1.000
1.000
1,000
500
500
500
500
1.000
1,000
2,000
500
1,000
1,000
1,000
500
1,000
1,000
1.000
500
500
1,000
1.000
500
1,000
1.000
1.000
1,000
1,000
1,000
500
500
1,000
500
500
500
500
1,000
500
500
500
500
500
500
1,000
1,000
1,000
500
300
1,000
1,000
1,000
1.000
1,000
1,000
500
1,000
1,000
1.000
500
500
1,500
500
500
1,000
2,000
500
500
500
1,000
500
500
500
87,500
81,000
Page 24

WEST BELFAST PARTNERSHIP BOARD
NOTES TO THE FINANCIAL STATEMEI NTS
FOR THE YEI IIR ENDEI D 31ST MARCH 2024
19. UNREI STRICTED INCOME FUNDS
2024
2023
Balance at 1st Api'il 2023
96,763
86,265
Incoining resoLlI'ces foi. the yeai.
Resources expended foi. the yeai.
Ti"ansfei' between tunds
23,524
10,498
153,786
Balance at 31 st March 2024
274,073
96,763
20. RESTRICTED INCOME FUNDS
2024
2023
Balance at 1st Api'il 2023
153,786
[22,187
Incoming resoiii'ces for the year
Resoui'ces expended foi. the yeai.
Ti'ansfei, between funds
669,175
772,426
(669,175) (740,827)
(153,786)
Balance at 31 st March 2024
153,786
21. LEI GAL STATUS
West Belfast Pai'tnei'shtp Boai'd is a Coinpany Limited by Guarantee.
Each Inember has agi'eed to contribute £1 iii the eveiit of a compulsoi'y winding up.
West Belfast Partneiship Boai'd is I'egistered with The Cliarity Commission for Noithei'n li'eland,
Chai'ity Numbei. 103564, Date of registratioii 26th April 2016.
West Belfast partnership Boai'd is a i'ccogniscd Cliarity witliin the definition of Section 360(3) Income and
Coi'poi'ation Taxes Act 1970 by the Coinmissioners of tlie HM RevenLie & Ciistoms.
Page 25