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2025-08-31-annual-return

Page
ReportoftheTrustees 1to4
IndependentExaminer'sReport
StatementofFinancialActivities
BalanceSheet
NotestotheFinancialStatements 8to15
DetailedStatementofFinancialActivities 16to17

31/8/25 31/8/24
Unrestricted Restricted Total Total
funds funds funds funds
Notes £ £ £ £
INCOMEANDENDOWMENTSFROM
Donationsandgrants 2 17,217 7,217 24,434 14,579
Charitableactivities 5
Generalcharitableactivities 3,518 - 3,518 1,916
Othertradingactivities 3 500 - 500 -
Investmentincome 4 3,388 - 3,388 10,322
Total 24,623 7,217 31,840 26,817
EXPENDITUREON
Charitableactivities
Generalcharitableactivities 33,430 7,843 41,273 40,233
NETINCOME/(EXPENDITURE) (8,807) (626) (9,433) (13,416)
RECONCILIATIONOFFUNDS
Totalfundsbroughtforward 239,069 2,747 241,816 255,232
TOTALFUNDSCARRIEDFORWARD 230,262 2,121 232,383 241,816

31/8/25 31/8/24
Unrestricted Restricted Total Total
funds funds funds funds
Notes £ £ £ £
FIXEDASSETS
Tangibleassets 8 216,601 2,119 218,720 224,779
CURRENTASSETS
Debtors 9 2,898 - 2,898 5,266
Cashatbank 11,761 - 11,761 16,737
14,659 - 14,659 22,003
CREDITORS
Amountsfallingduewithinoneyear 10 (996) - (996) (4,966)
NETCURRENTASSETS 13,663 - 13,663 17,037
TOTALASSETSLESSCURRENT
LIABILITIES 230,264 2,119 232,383 241,816
NETASSETS 230,264 2,119 232,383 241,816
FUNDS 11
Unrestrictedfunds 230,264 239,069
Restrictedfunds 2,119 2,747
TOTALFUNDS 232,383 241,816

2. DONATIONSANDGRANTS
31/8/25 31/8/24
GeneralIncome 4,103 712
Grants 12,689 7,514
Membership&subscriptionfees 7,642 6,353
24,434 14,579
Grantsreceived,includedintheabove,areasfollows:
31/8/25 31/8/24
FoyleFoundation 3,000 -
EducationAuthority 817 -
Halifax 2,500 -
NationalLottery 3,150 -
CoDownRuralCommunityNetwork 147 -
ChancesforChildren 600 -
Othergrants 2,475 7,514
12,689 7,514
3. OTHERTRADINGACTIVITIES
31/8/25 31/8/24
Fundraisingevents 500 -
4. INVESTMENTINCOME
31/8/25 31/8/24
Rentsreceived 3,365 10,297
Depositaccountinterest 23 25
3,388 10,322

INCOMEFROMCHAR ITABLEACTIVITIES
31/8/25 31/8/24
Activity £ £
Camping&activities Generalcharitableactivities 3,358 1,786
Uniform Generalcharitableactivities 160 130
3,518 1,916

COMPARATIVESFORTHESTATEMENTOFFIN ANCIALACTIVITIES
Unrestricted Restricted Total
funds funds funds
INCOMEANDENDOWMENTSFROM
Donationsandgrants 12,918 1,661 14,579
Charitableactivities
Generalcharitableactivities 1,916 - 1,916
Investmentincome 10,322 - 10,322
Total 25,156 1,661 26,817
EXPENDITUREON
Charitableactivities
Generalcharitableactivities 37,846 2,387 40,233
NETINCOME/(EXPENDITURE) (12,690) (726) (13,416)
RECONCILIATIONOFFUNDS
Totalfundsbroughtforward 251,759 3,473 255,232
TOTALFUNDSCARRIEDFORWARD 239,069 2,747 241,816

TANGIBLEFIXEDASSETS
Fixtures
Freehold Plantand and
property machinery fittings
COST
At1September2024 431,314 1,880 14,966
Additions - - 4,050
At31August2025 431,314 1,880 19,016
DEPRECIATION
At1September2024 212,902 1,086 13,998
Chargeforyear 8,626 159 194
At31 August2025 221,528 1,245 14,192
NETBOOKVALUE
At31August2025 209,786 635 4,824
At31August2024 218,412 794 968
Motor Computer
vehicles equipment Totals
COST
At1September 2024 45,169 16,808 510,137
Additions - - 4,050
At31August2025 45,169 16,808 514,187
DEPRECIATION
At1September2024 40,987 16,385 285,358
Chargeforyear 1,045 85 10,109
At31August2025 42,032 16,470 295,467
NETBOOKVALUE
At31August2025 3,137 338 218,720
At31 August2024 4,182 423 224,779

L' 1
C11m3w-111Ce111M_C.Y~IJ**1111**I[H1111~~.LU1111[~1L~_'I~:
31/8/25 31/8/24
£ £
Tradedebtors - 2,416
Prepaymentsandaccruedincome 2,898 2,850
2,898 5,266
10. CREDITORS:AMOUNTSFALLINGDUEWITHINONEYEAR
31/8/25 31/8/24
£ £
Tradecreditors (1) (1)
Othercreditors 997 4,967
996 4,966
11. MOVEMENTINFUNDS
Net
movement At
At 1/9/24 infunds 31/8/25
£ £ £
Unrestrictedfunds
Generalfund 239,069 (8,805) 230,264
Restrictedfunds
EducationAuthority 1,166 (233) 933
GarfieldWeston 1,581 (395) 1,186
2,747 (628) 2,119
TOTALFUNDS 241,816 (9,433) 232,383

Netmovementinfunds,includedintheaboveareasf ollows:
Incoming Resources Movement
resources expended infunds
Unrestrictedfunds
Generalfund 24,623 (33,428) (8,805)
Restrictedfunds
EducationAuthority 818 (1,051) (233)
Halifax 2,500 (2,500) -
GarfieldWeston 1 (396) (395)
NationalLottery 3,151 (3,151) -
CoDownRuralCommunityNetwork 147 (147) -
ChangesforChildren 600 (600) -
7,217 7,845 (628)
TOTALFUNDS 31,840 41
(,273)
9,433)
Net
movement At
At1/9/23 infunds 31/8/24
Unrestrictedfunds
Generalfund 251,759 (12,690) 239,069
Restrictedfunds
EducationAuthority 1,364 (198) 1,166
GarfieldWeston 2,109 (528) 1,581
3,473 (726) 2,747
TOTALFUNDS 255,232 13,416) 241,816

Incoming Resources Movement
resources expended infunds
Unrestrictedfunds
Generalfund 25,156 (37,846) (12,690)
Restrictedfunds
EducationAuthority 1,662 (1,860) (198)
GarfieldWeston (1) 527) 528)
1,661 2,387 726)
TOTALFUNDS 26,817 40,233) 13,416)
Net
movement At
At1/9/23 infunds 31/8/25
Unrestrictedfunds
Generalfund 251,759 (21,495) 230,264
Restrictedfunds
EducationAuthority 1,364 (431) 933
GarfieldWeston 2,109 923) 1,186
3,473 1,354) 2,119
TOTALFUNDS 255,232 22,849) 232,383

Incoming Resources Movement
resources expended infunds
Unrestrictedfunds
Generalfund 49,779 (71,274) (21,495)
Restrictedfunds
EducationAuthority 2,480 (2,911) (431)
Halifax 2,500 (2,500) -
GarfieldWeston - (923) (923)
NationalLottery 3,151 (3,151) -
CoDownRuralCommunityNetwork 147 (147) -
ChangesforChildren 600 600) -
8,878 10,232) 1,354)
TOTALFUNDS 58,657 81,506) 22,849)

31/8/25 31/8/24
INCOMEANDENDOWMENTS
Donationsandgrants
GeneralIncome 4,103 712
Grants 12,689 7,514
Membership&subscriptionfees 7,642 6,353
24,434 14,579
Othertradingactivities
Fundraisingevents 500 -
Investmentincome
Rentsreceived 3,365 10,297
Depositaccountinterest 23 25
3,388 10,322
Charitableactivities
Camping&activities 3,358 1,786
Uniform 160 130
3,518 1,916
Totalincomingresources 31,840 26,817
1
Y7of`i134lUlt?y*
Charitableactivities
Wages 2,975 3,260
Ratesandwater 304 353
Insurance 3,201 3,155
Lightandheat 1,839 4,854
Training 73 70
Activities& travel 9,369 8,622
Repairs& maintenance 5,332 2,448
23,093 22,762
Supportcosts
Management
Telephone 1,559 1,518
Carriedforward 1,559 1,518

31/8/25 31/8/24
Management
Broughtforward 1,559 1,518
Sundries 714 679
Membershipfees 4,505 3,441
Depreciation 10,110 10,553
Bankcharges 300 280
17,188 16,471
Governancecosts
Accountancyandlegalfees 992 1,000
Totalresourcesexpended 41,273 40,233
Netexpenditure 9,433) 13,416)