Charlty Number: 106212
St Conor's Parents, Teachers and Friends Association
Annual Report and Unaudited Financial Statements
for the financial year ended 31 August 2023

st Conor's Parents, Teachers and Friends Association
CONTENTS
Page
Trustees, and Other Information
Trustees, Report
Statement of Trustees, Responsibilities
Independent Examiner's Report
Statement of Financial Activities
Balance Sheet
Notes to the Financial Statements
10_13
Supplemeni8ry Information relating to the Financial Statements
15

St Conor's Parents, Teachers and Friends Association
TRUSTEES. AND OTHER INFORMATION
Trustees
Janelle Mccrory (Treasurer)
Vicky O'Hagan
Yvonne Mcmillan
Oliver McGal& (Chairperson)
Slièena Goodwin
Danielle Quiiin Isecrelaryl
Julie Corry (Appointed 12 October 20221
Joanne Coleman (Appointed 12 October 20221
Rosaleen McNully (Appointed 12 O¢tob@r 2022)
Elaine Gallagher (Appointed 12 October 20221
Eimma Marsliall IAppoinled 12 Oclober 20221
Deborah Albuquerque IAppoinled 12 October 20221
Katrina McGelligan
Charity Number In Northern Ireland
106212
Principal Address
Sl Conor's Primary School
109 Brookmount Road
Omagh
Co Tyron&
BT78 5JQ
Independent Examiner
Niall McKeniia FCA
30a Gorlin Road
Oniagh
Co Tyrone
BT79 7HX
Prlncipal Bankers
Bank of Ireland
23-25 Campsia Road
Oniagh
Co Tyrone
BT79 OAE

st Conor's Parents, Teachers and Friends Association
TRUSTEES. REPORT
for the financial yéar ended 31 August 2023
The Iruslees present their Trustees. Report and the unaudited finanGial slalem@nl8 for the financial year ended 31
AugLisI 2023.
Mlsslon, Objectives and Strategy
Mission Statement
Sl Conorfs Parents, Tèachers and Friends Association is run by a group of volunteer parents, staff and friends who
organise social &venl8 lo strengthen homÈ-scliool relationships as well as occasioiially raising funds lo purcliase
èducational resources for11i8 Ghildr@n al St. Conorfs School. The Association also supports the school by providing
hospitality at school events and volunteering for roles within the school.
The purpose of Ihe Associalion is lo advance Ihg educalion of pupils in the school in psrlicular by.. 1. Developing
offeclive relationships beibveèn tho staff, par8nls and olliers associated wllli the school: 2. Engagiiig iii activities or
providing facilities or eqLiipmont which support thÈ school and advance the education of the pupils.
Structure, Governance and Management
Structure
The board of trustees are as follow5..
Yvonne Mcmillan
Vicky O'Hagan
Janelle Mccrory
Oliver McGale
Shoena Goowin
Danielle Quinn
JLilie Corry
Joaiine Coleman
Rosaleen McNulty
Elaine Gallaghef
En)ma MaTshall
D&boffth Albuquerque
Katrina McGelligaii
Governance
The Goveming document= Constilulioii
Truslge Selection Mglhods.. Elected al Annual G9neral Mooting
Review of Activltles, Achlevements and Performance
During 2022-23 the Committee oversaw Ihg following activities..
1.Sub8idy for provision of Leavers Hoodies
2.Socured funding lo help with Iha schoools Eco Proj8cl
3.Organise Freddy Fitness fuiidraiser
4.Co-ordinale (he Aniiual Bazar fLindraiser
Financial Review
The Receipts and Paynients account shows a dèficit of £(6041.
The total r8$erve8 availablo to the association al 30 September 2023 is £21,408, mado up of cash at bank.
Results and Dividends
Al the end of the financial year the charity has assets of £21,40812022 - £22,012) and liabilities of £O.0012022
£0.00). Tlie nel assols oftlig cliarily have decreased by £{6041.
Reference and Admlnlstratlve detalls
Addilional reference and adminislialivo dolails can be fouiid on pag@ 3 of the financial slalomenls.
In accordance with the Constitution, tha Irusleos retire by rotation and, being eligible, offer themselves for re-election.
Compllance with Sector-wide Legislation and Standards
The charity engages pro-aclively with l&gislalion, standards and Godes whi¢li are developed for the sector. Sl Coiiorfs
Parents, Teachers and Friends AssoGialion subscribes lo aiid is Gowplianl with the following..
Tho Charities SORP IFRS 1021

st Conor's Parents, Teachers and Friends Association
TRUSTEES. REPORT
for thè financial year ended 31 August 2023
Public Benefit
The Tnjslees have had regard lo Ihe Commissions Public beiiofil requiremonl slalulory guidance
PLirpose 1.. Improvod r8lalionsliips balween home and school Tho beiigfil which flows from this purpose includes
funding for additional rèsoui'ces for the school and links built with the local community.
PLirpose 1 is d@monslraled through having ali acliv@ PTA Ihal works in pai"In@rship with the school and @ngages
parÉnlal support.
Piirpose 2: Advancing the èducation of pupils in tho school Tho benefit which f5ows Ironi this purpose inclLides
increased educational progress and allainmenl of pupils in the school and links built witli Ihe local communily.
Purpose 2 is demonslr8led Ihiough pupils having acGess lo resources, ovenls. activities and links wilh tho Ioc81
community which are not available Ihrough direct school funding. No harin arisès froni either purposo. The
benèficiaries of this charity are the childrèn ol Sl. Conoffs Priniary School. Charity trusle@s (PTA committee
mèmbers) are Lisually also parenls al the school whiGh their children allend and hence gain benetit in the samo way
as all other beneficiaries. This benèfit is inGid@nlal and necessary to ansure the benefit is providèd to all
beneficiaries.
Approved by the Board of Trustees on 8 February 2024 and signed on Its behalf by:
J.j"p_
Ollver McGale (Chairperson)
Trustee
Janette Mccrory (Treasurerl
Trustee

st Conor's Parents, Teachers and Friends Association
STATEMENT OF TRUSTEES. RESPONSIBILITIES
for thè financial yèar ended 31 August 2023
The Iru81ees are responsible for preparing the financial slalemenls in accordanGe with applicable law and
iegulalions.
The law applicable lo cliarilies in North9rn Ireland reqiiires tho Irusleés lo prepare fin8ncial slatem@nls for eacl)
financial yeai- which give a true and fair view of Ilie assets, liabili118s 2nd financial position ol the cliarily as 21 the
financial year end date aiid of the siirplus or dgficil of tlie cliarily and oihetwise comply with the ChariliÈs Act
(Northern Ir8landl 2008.
In preparing these finanGial slaleinenls, the Iru81ees ar8 required lo..
select suitable accounting policies and apply Iliem consislenlly.
observe Ilie methods and principles in Ihg Charities SORP
make judgements and accoLinting estimatès Ihal arè reasonable and prudent.,
slate whether Iho financial stalemenls h8ve been prepared in accordance with applicablo 8CGounling slaiidards,
idenlify those Slandaids, and note Ilie effect and Ihe r82sorns for any material depailLire from Ihose standards.,
and
prepare the financi21 statements oll the gcbing concern basis unless il 18 inappropriate to pr@sume that the charily
will continue in operation.
The Irusloes confimi that they have complied with tha above rgquiremenls in preparing the finaiicial slatèmenls.
Thè Iruslees are responsiblè for keeping adequate accoiinling records that ar8 sufficient lo show and explain Ilia
charity's transactions and disclose will) reasonable accuracy al any lime the financial position of the charily aiid
onable Iliem lo ensure Ilial thé financial slaleiments comply ¥vilh Ilie Cliarilies Act (Nortlierii Ireland) 2008. They aro
also responsible for safeguarding the assets of Ilia charity and hence for taking reasonable sleps for Ihe pievenlion
arid detection of fraud and olhor irregularities.
Approved by the Board of Trustees on 8 February 2024 and slgned on Its behalf by:
Oliver McGale {Chairper50n)
Trustee
Janette Mccrory {Treasurerl
Trustee

St Conor's Parents, Teachers and Friends Association
INDEPENDENT EXAMINER'S REPORT TO THE BOARD OF
TRUSTEES OF ST CONOR'S PARENTS, TEACHERS AND FRIENDS
ASSOCIATION
I have axamined tho financial statements of the charity for the financial year ended 31 Augusl 2023, which comprise
the Slalement of Financial Activities, the Balance Sheet and the I'èlated notes.
This report is iiiade solely lo the charity'8 members, as a body, in accordance with the Chari1188 Act (Northern
Ir8laiid) 2008. My work has been undèrtakon so that I Inighl Goinpile tho fiiiancial slalemenls Ilial I have beeii
èngaged to compilè, rèporl lo the 8oard of Trusloes Ihat I liave doiio so, and slate Iliose niallèrs that I have agr@ed
lo slate lo them in this report and for no other purpose. To Ihe fullest ext@nl permitted by law, I do not accepl or
assuniè responsibility lo anyone other than the charity and the charity's members, as a body, for my work, or for this
report.
Respective responslbilities of trustees and examiner
Tha charity's IrLislees are responsible for the preparation of the finaiicial slalemènls in accordance ivilh the
requireiiienls of the Charities Act (Norihern Irelandl 2008. The cliarity s Iruslees consider Ihal an audit is not
required for this financial year under the Cliarilies Act (Northern Ireland) 2008 and that an independent examination
is required.
11 is niy rosponsibilily lo..
exaiiiine Iho financial slalemenls under section 65 of Ihe Charities Acl-.
follow Ilie procedures laid down by the general Direclions given by Ihe Charity Commission for Northern Ireland
under section 6519llbl of the Charities Act.. and
slate wliolher particular malteis hav& come lo my allention.
Basts of Independent examlner's report
I have gxaiiiin&d your charity financial siatemenls as required under seGlion 65 of the Charilies AGI and my
exainination was cartied oul in accordance with the gengral Directions giv@n by tho Charily Coinmission for
Nortli8rn Iroland uiider section 6519llbl of tho Charities Act. An examination inclu(les a rèviow of the awounting
records kept by Ihe cliarily and a conipafison of tlie finanaal slalemenls presented ¥vilh those records. It also
inGlu(les consideration of any unusual ileiiis or disclosures in the finaiiGial slalenienls and seeking gxplanalions
from the Iruslees concgrning any such mallers. Tho proc8diiros undertakèn do nol provid@ all the evid&nce that
would bo required in an audit and consequently no opinion is given as to wh&lher the aGGounls present a 'lrue and
fair view and tho report is liimiled lo Ihosg mallers sel out in the slalemenl bèlow.
Iii connection with my examination, no maller has come lo my allenlion which gives me cause to bglievg that in, any
material respect..
acoounting recoids were not kepl iii accordaiice with seolion 63 01 the Charilies Act
Iliè financial 51alements do not accord vJilli Ihose acGounliiig records
Ili& financial slaleinènts have not been prepared in accordaiice kvilh tho Statement of Rebommend@d Practice
applicable lo cliari118s preparing their accounts in accordance wilh Ilie Financial Reporting Slandard applicable in
the UK and RepLibliG ol Iraland IFRS1021
thoro is further information needed for a proper undgrslanding of the aGcounls lo be r8ach@d.
Independent examiner's statement
I have no concerns and have come across no other mallers in conneolion with the exaininalion lo which allgntion
shobkidrawn in this report in order lo enable a proper undèrstanding of the financial slalemÉnls lo be reached.
NIALL MCKENNA FCA
30a Gortin Road
Oimagh
Co Tyrone
BT79 7HX
Date., 8 February 2024

st Conor's Parents, Teachers and Friends Association
STATEMENT OF FINANCIAL ACTIVITIES
for the financial year endod 31 August 2023
Unrestrlcted Restrlcted
Funds
Funds
2023
2023
Total Unrestriclgd R8slricled
Funds
Funds
Funds
2023
2022
2022
Total
Funds
2022
Notes
Incomlng Resources
Cliarilabla aclivilios
- Grant8 from governments
and other CO•fundèrs
Aclivilios for ggnerating
funds
10,372
10.372
18,381
18,381
Total Incoming resources
18,381
10,372
28,753
Resources Expended
Raising funds
Charitable activities
Other expendilure
18,696
18,696
10,372
289
460
460
10,372
289
181
181
Total Resources Expended
18,985
10.372
29,357
641
641
Net incomingloutgoing
resources before transfers
16041
(6041
1641)
16411
Gross transfers betwèan
funds
Net movement in funds
for the financial year
16041
16041
1641)
16411
Reconciliation of funds..
Total fiinds beginning of the
year
21,623
389
22,012
22,264
389
22.653
Total funds at the end of
the year
21,019
389
21,408
21.623
389
22,012
The Slaleiment of Financial Aclivilies includes 811 gains and Iossgs recognised in the financial year.
All incomg and expenditure relate to continuing aclivilies.
The noles on pages 10 to 13 fotm part of the financial statements

St Conor's Parents, Teachers and Friends Association
BALANCE SHEET
as al 31 Aiigusl 2023
2023
2022
Notes
Current Assets
Casli al bank and in hand
21,408
22,012
Net Current Assets
21,408
22,012
Total Assets less Current Liabilities
21,408
22,012
Funds
Rgslriclad trust funds
Dosignaled funds {Uni"eslrictèd}
Genoi"al fund {unreslricl8dl
389
27,282
(6,263)
389
12,301
9,322
Total funds
21,408
22,012
Approved by the Board of Trustees and authorlsed for Issue on 8 February 2024 and signed on Its behalf by
Oliver McGale (Chairperson)
Trustee
Janette Mccrory (Treasurer)
Trustee
The notes on pages 10 to 13 fom p81'i of Ili@ finaiicial statements

st Conorfs Parents, Teachers and Friends Association
NOTES TO THE FINANCIAL STATEMENTS
for Ilie financial year ended 31 August 2023
GENERAL INFORMATION
St Conorfs Pargnls. Teachers and Friends Asso¢ialion is a charity incorporated in Northern Ireland. Tho
registered office of the charity is Sl Conorfs Primary School, 109 Brookinounl Road. Omagh, Co Tyrone,
BT78 5JQ whicli is also Ilia principal placè of activities of thé charity The fiiiancial statemènts have been
pr6sènlÉd in Pound Sterling (£1 which is also Ilie functional currency of the Charity.
SUMMARY OF SIGNSFICANT ACCOUNTING POLICIES
The following accounting policies have been applied consistently in dèaling with ilenis which are considered
material in relation lo the charity's financial slatemènls.
Bas15 of preparatlon
The financial slalem8nls have been prepared on tha going concern basis under tho historical cost
coiivention, modifièd lo iiiclude cerlaiii items al fair value. The financial slalemenls havè been prepared in
accordanc8 with the Slatemenl of Recommended Practice ISORPI "AcLounling and Reporting by Charities
preparing their accounts in accordance wilh tho Financial Reporting Standard applicable in th6 UK 2nd
Republic of Ireland FRS 102"
As perinilled by tho Companies Act 2006, the charily has varied the standard foriiials in Ilial a¢1 for the
Slaloinonl of Financial Aclivilies and tlie Balanco Sheet. Departures from tho siandard fornials are lo comply
wilh Ihè reqLiiremenls of thè Charities SORP and are in compliance wilh section 4.7, 10.6 and 15.2 of that
SOF<P.
statement of compliance
The financial slalemenls of tlie charity for the financial yèar ended 31 Dècember 2017 liava been prepared
on the goiiig concern basis and in a¢cordaiice with Ilie Slalemenl of Recommended Pra¢lice ISORPI
"Accouiiliiig and Roporting by Chariligs preparing Iheii" accounts in accoidance with Ihe Financial Rèporiing
Standard applicable irk the UK and RepubliG of Irelaiid FRS 102"
Incoming Resources
Voluntary incoime or capital is included in Ilie Slatemoiil ol Financial Activities ivhen the chartty is legally
enlilled to il, ils finaiicial value can be quantified with reasonable Certainly and there is I'easonable carlainly
of its ultimate receipt. Enlilleiiienl lo legaGies is considered established wlien Ihg Gharilv has been nolifjed of
a distribution lo be made by thè execulors, Incomo ioceivod in advanco of due performance under a Gonlracl
is accouiiled for as defori-ed income until 88mèd. Grants fo[ aGlivilies aro recognis8d as incoime whèn IhÈ
relatèd conditions for legal onlillemonl liav& bÉèn mel. All olher income is accounlèd for on an accruals
basis.
Income from charitable activlties
In¢￿)me froni cli81ilable aclivilies inGlude income oarn8d from the SLipply of services undèr conlraclual
arrang&inonls and froni performance Falalod grants wliich have conditions Ilial specily tho provision of
particular sorvices lo be provided by th9 charity. Incomo frotn government and other co-ILindgrs is recognisod
when the charity is legally enlilled to the income because il is flillilling the conditions containgd in the related
funding agreements. Vvhere a grant is received in advance, ils recognition is deferied and included in
cr@dilors. Where entilleiiienl occurs bglorè income is reGeived, il is accnied in debtors.
Grants from governments and olhei co-fLinders typically includ@ one of the following typos of conditions..
Perforniance based Conditions.. whereby the charity is contractually eiililled to funding only lo Ilie exlenl that
the core objectives of the grant agroein9nl are aGhioved. Where Ihe charily is meeliiig the cole obje¢lives of
a granl agr88ineiil, il reGognis9s tho relalg(l expenditure, lo the gxlent Ilial il is roiillblirsable by the donor, as
income.
-Tiiiie based Gondilions.. whereby tho charity is Gonlraclually enlilled lo funding on the Condition tlial il is
ulilised in a partlGular period. In Ili@s@ cases the charily rocognises tlie income lo the exlenl it is ulilised
within the period spgcilied iii the 8gro@menl.
In the absence ot such conditions, assuming that rèceipt is probablg and the amount can be reliably
nieasured. grant inGomo is Fecognised once Ilie Gharily is notified of onlilleineiit.
Granls rocgived lowards capilal axpondilure arg Grediled lo tho Slal@m@nl of Financial Activities wheii
rocoived or fgGeivable, wliicliever is oarlier.
10

st Conor's Parents, Teachers and Friends Association
NOTES TO THE FINANCIAL STATEMENTS
conlinLl8d
for the financial year ended 31 Augusl 2023
Resources Expended
All resources expended ara accounted for on an accruals basis. Charitable activities include costs of services
and granls. support cosls and depreciation on related assets. Cosls of generaling funds similarly incllide
fundraising aGtiviliÉs. Non-slaff costs not allributed lo one category of activity are allocated or apportionèd
pro-rala lo the slaffiiig of the rel8vanl sonjice. Financ&, HFi, IT and adniinislralive staff costs arè dirèctly
8llribulable to individual activities by objective. Gov8rnance costs are those associated with conslilulion81
and stalulory requirements.
Cash at bank and in hand
Casl) at bank and iii hand comprises G8sh on deposil al bank8 requiring less Ihaii three nionlhs noliG9 of
withdraival.
PROVISIONS AVAILABLE FOR AUDITS OF SMALL ENTITIES
In coniinon ivilh many other charitablè companies of our sizè 2nd nature, we us& our auditors lo assist wilh
the preparation of the financial stal&mènls.
INCOME
CHARITABLE ACTIVITIES
Unrestricted Restrlcted
Funds
Funds
2023
2022
Grants from governments and other co-
funders,.
AGliv8 Avrfards Funding.1 Eco Project
10,372
10,372
OTHER TRADING ACTIVITiES
Unrestrlcted Restricted
Funds
Fund5
2023
2022
Froddy Fitness
Aiinual Bazaar
Fundraising AGlivitios
11,237
7,034
110
11,237
7,034
110
18,381
18,381
EXPENDITURE
RAISING FUNDS
Dlrect
Costs
Other
Costs
Support
Costs
2023
2022
Freddy Filness
Annual Bazaar
Fundraising Aclivities
Eco Project
450
2,B28
11321
9,660
450
2,828
5,758
9,660
5,890
460
12,806
5,890
18,696
460
CHARITABLE ACTIVITIES
Dlrect
Costs
Other
Costs
Support
Costs
2023
2022
Active Awards Fundingl Eco ProjeGI
10,372
10.372
11

st Conor's Parents, Teachers and Friends Association
NOTES TO THE FINANCIAL STATEMENTS
continued
for Ilie financial year endèd 31 ALigusl 2023
OTHER EXPENDITURE
Direct
Costs
Other
Costs
Support
Cosls
2023
2022
Adminislralion costs
140
149
289
181
SUPPORT COSTS
other
Expendlture
2023
2022
Support Costs
14g
149
53
ANALYSIS OF SUPPORT COSTS
2023
2022
Support Costs
149
53
RESERVES
2023
2022
Al Ihe bogiiining of the yèar
Daficil for the financial year
22,012
16041
22.653
16411
At the end of the yèar
21,408
22.012
FUNDS
RECONCILIATION OF MOVEMENT IN FUNDS
Unrestricted Restricted
Funds
Funds
Total
Funds
Al 1 Seplgmbei 2021
Movement during the finanGial y9ar
22,264
16411
389
22,653
16411
Al 31 AugLlSt 2022
Movefflgnl during Ilie financial ygar
21.623
16041
389
22,012
16041
AI 31 ALigusl 2023
21,019
389
21,408

st Conor's Parents, Teachers and Friends Association
NOTES TO THE FINANCIAL STATEMENTS
continued
for the financial year ended 31 ALigusl 2023
ANALYSIS OF MOVEMENTS ON FUNDS
Balance
1 September
2022
Income Expenditure
Transfers
bet￿een
funds
Balance
31 August
2023
Restrlcted fund5
Aclive Awards Funding/ Eco
Proj8Gt
Unrestricted funds
Matilda Production
Annual Bazaar
Freddy Fitness
Fundraising Activities
Eco Pi'ojecl
389
10,372
10.372
389
11891
6,711
5,907
9,194
140
2,828
450
6,039
9,660
(3291
10,917
16,694
3,397
19,6601
7,034
11,237
242
21.623
18.513
(19,1171
21.019
Total funds
22,012
28,885
29,489
21,408
ANALYSIS OF NET ASSETS BY FUND
Current
assets
Total
Restricted trust funds
389
389
Unrestricted designated funds
Uni"estriGled general funds
12,429
8,590
12,429
8,590
21,019
21,019
21,408
21,408

ST CONOR'S PARENTS TEACHERS AND FRIENDS ASSOCIATION
SUPPLEMENTARY INFORMATION
RELATING TO THE FINANCIAL STATEMENTS
FOR THE FINANCIAL YEAR ENDED 31 AUGUST 2023
14

St Conor's Parents, Teachers and Friends Association
SUPPLEMENTARY INFORMATION RELATING TO THE FINANCIAL STATEMENTS
Oporaling Slaleinent
for t￿1@ financial year énded 31 ALigLlSt 2023
2023
2022
Income
Donations
Fundraising Activities
Annual 8azaar
Freddy Fitness
ASDA Foundation
Grant 2 from Gharilable activities
110
132
6,634
11,237
400
10,372
6,786
28,885
6,786
Cost of generating funds
Aniiual Bazaar
Freddy Fitness
Learniiig resources
Eco Project
2.828
450
5,890
20,032
7,148
29,200
7,148
Gross deficit
13151
13621
Expenses
Bank chargas
G8n@ral expenses
Charitable donatioi)s
149
53
98
128
140
289
279
Net deflcit
1fj041
16411
The supplemenlaiy information dogs not form part of the fin8llGial statemeiiis
15