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2024-06-30-accounts

ALTNAGELVIN PARENTS SUPPORT GROUP

CHARITY ACCOUNTS

FOR THE YEAR ENDED 30 JUNE 2024

Charity Number: 108762

ALTNAGELVIN PARENTS SUPPORT GROUP

CONTENTS

Page
Charity information 1
Trustees' report 2 - 3
Independent examiner's report 4
Statement of receipts and payments 5
Statement of assets and liabilities 6
Detailed Receipts and payments 7

1

ALTNAGELVIN PARENTS SUPPORT GROUP

INFORMATION

Charity Name Altnegelvin Parents Support Group Charity Number 108762 Trustees Lisa Storey Deirdre Cassidy Kellie McGowan Yvonne Devenney Bankers HSBC 12-14 The Diamond Londonderry BT48 6HW Independent Examiner Arthur McFarland W S Sterritt & Co Chartered Certified Accountants Carton House 15 Ebrington Terrace Londonderry BT47 6JS

2

ALTNAGELVIN PARENTS SUPPORT GROUP

Trustees' Report

Basis of Reporting

This report covers the activities of the Group for the year 1[st] July 2023- 30[th] June 2024.

Committee

At the AGM all committee members’ roles continued to remain filled. No Vacant positions.

Election of Office Bearers

In line with the procedure laid down in our Constitution, the Chairperson, Treasurer, Secretary and Childrens Ward representative were elected to office by the Committee members.

These were Chairperson – Lisa Storey, Treasurer – Deirdre Cassidy, Secretary – Kellie McGowan and Childrens Ward representative Yvonne Devenney.

Election of Committee Members

Existing Committee members Lisa Storey, Deirdre Cassidy, Kellie McGowan and Yvonne Devenney were re-elected.

Resignation of Committee Member

None

Meeting our Stated Objectives

The work of the Group continues to focus on the stated objectives in our governing document and as ever, any review and evaluation of our work must assess how well we have fulfilled those objectives in the past year.

Ongoing work

The core work of the Group continues to be undertaken by our small, dedicated team of Committee members, who keep our primary goal of support families to children with life long and life limiting medical conditions and who attend Altnagelvin Hospitals Childrens Wards to the fore at all times.

We continue growing digital social media presence, to engage with our parent members and the general public, our Social Media platform includes Facebook, Instagram and X. We have 3 closed groups on Facebook, our main Altnagelvin Parents Support Group, the 2 smaller sister groups Altnagelvin Epilepsy Parents, Altnagelvin Diabetes Parents. All of which is overseen by Deirdre Cassidy and Lisa Storey. The quality of posts and photographs on social media has ensured consistency and professionalism in everything we post, share and present to the public.

The work of the Group ranges, and it is clear that we would not be able to perform our roles and provide the support we do without the ongoing and unwavering financial donations we receive from fundraisers, whether patient families, friends and generous members of the public.

In early 2023 we developed two short surveys and launched as part of a public consultation, one survey was for any parent who has had a child admitted and stayed on the children’s ward (since 2018) and the other survey was for young people who have been admitted to hospital since (2018). The feedback from both will help us shape our activities and projects going forward. These continue to capture feedback, with QR codes on the Childrens wards.

All donations we receive is put to use here in the northern sector of the Western Trust to further the charity’s goals and purposes.

Everyone had a lot of fun outside of the clinical hospital environment and away from the stresses this year may have brought to them. Captured photographs for families in the grottos.

3

ALTNAGELVIN PARENTS SUPPORT GROUP

Trustees' Report (Continued)

The Child Health Society are a group of graduate entry medicine students with a keen interest in paediatrics. They hosted the first of what they hope will be an annual event, called the Teddy Bear Hospital at the Model School Derry/Londonderry.

This event featured a number of stations introducing the children to the world of medicine. The aim was to promote health and exercise, diminish any fear children may have about visiting the doctors and inspire a future generation.

4

ALTNAGELVIN PARENTS SUPPORT GROUP

Trustees' Report (Continued)

We were planning for the last two programmes near the end of our financial year:

Financial Report

The total net worth of the Group on 1st July 2023 was £21,439, HSBC Current Account.

Total expenditure for the year came to £36,649.

Total donations received for the year came to £22,061.

Total funding received from Halifax foundation and the National Lottery community fund, Acorn Fund and Keadue grant came to £24,345.

Our governance costs including Public and Trustees Liability Insurance premium £432.

Administration costs £6,210.

The year finished with a total net worth of £31,196, HSBC Current Account

Conclusion

2023-24 was a successful year for our small developing charity. We feel we have made great progress with the funding we received which has enabled us to build on our services and introduce programmes and staff.

I am immensely proud of how our committee has worked diligently in their service to the Parents Group, and with a strong commitment to their roles.

We are indebted to Deirdre Cassidy who is not only our Treasurer but who works diligently and voluntarily behind the scenes with myself to plan for everything Altnagelvin parents group has to offer. Thank you.

Lisa Storey Chairperson / Parent Date: 20 March 2025

5

ALTNAGELVIN PARENTS SUPPORT GROUP

Independent Examiner's Report to the Trustees of Altnegelvin Parents Support Group

I report on the accounts for the year ended 30 June 2024 which are set out on page 5 and 6.

Respective responsibilities of the Trustees and Independent Examiner

As the charity's trustees, you are responsible for the preparation of the accounts in accordance with the Charities Act (Northern Ireland) 2008.

It is my responsibility to:

examine the accounts under Section 65 of the Charities Act;

state whether particular matters have come to my attention.

Basis of Independent Examiner's Statement

I have examined your charity accounts as required under section 65 of the Charities Act and an examination was carried out in accordance with the general Directions given by the Charity Commission for Northern Ireland under section 65(9)(b) of the Charities Act.

My examination included a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also included considerations of any unusual items or disclosures in the accounts, and seeking explanation from you as charity members concerning any such matters.

My role is to state whether any material matters have come to my attention giving me cause to believe:

  1. That the accounting records were not kept in accordance with section 63 of the Charities Act.

  2. That the accounts did not accord with the accounting records.

  3. The accounts do not comply with the accounting requirements of the Charities Act.

  4. That there is further information needed for a proper understanding of the accounts to be reached.

I have completed my examination and have no concerns in respect of matters 1-4 listed above and, in connection with the following Directions of the Charity Commission Northern Ireland; I have found no matters that require drawing your attention.

W. S. Sterritt & Co Chartered Certified Accountant Carton House 15 Ebrington Terrace Londonderry BT47 6JS

Date: 20 March 2025

6

ALTNAGELVIN PARENTS SUPPORT GROUP

Statement of Receipts and Payments Year ended 30 June 2024

Receipts
Voluntary Receipts
Donations
National Lottery Community Fund
The Halifax Foundation
Payments
Cost of fundraising
Cost of Charitable Activities
Governance costs
Administration costs
Asset and investment purchase
Purchase of Equipment
Total Payments
Net receipts/(payments)
Transfers to/(from) funds
Surplus/(deficit) for the year
Reconciliation 30/06/2024
Cash at bank & in hand 30/06/2023
Surplus/(deficit) for the year
Cash at bank & in hand 30/06/2024
Unrestricted Restricted
Total
Funds
Funds
2024
£
£
£
19,704
2,357
22,061
0
24,345
24,345
0
0
0
19,704
26,702
46,406
4,806
0
4,806
6,278
13,127
19,405
432
0
432
1,210
5,000
6,210
1,164
4,632
5,796
13,890
22,759
36,649
5,814
3,943
9,757
(2,275)
2,275
0
3,539
6,218
9,757
16,439
5,000
21,439
3,539
6,218
9,757
19,978
11,218
**31,196 **
Total
2023
£
4,520
6,700
5,000
16,220
1,804
15,145
540
891
180
18,560
(2,340)
0
(2,340)
23,779
(2,340)
21,439

7

ALTNAGELVIN PARENTS SUPPORT GROUP

Statement of assets and liabilities Year ended 30 June 2024

Funds Reconciliation
Cash at bank & in hand 30/06/2023
Surplus/(deficit) for the year
Cash at bank & in hand 30/06/2024
Bank & Cash Balances
Bank Current Accounts
Liabilities (Unrestricted Fund)
Accountancy
Unrestricted Restricted
Funds
Funds
£
£
16,439
5,000
3,539
6,218
Total
2024
£

21,439

9,757

31,196
31,196
31,196
240
240
Total
2023
£
23,779
(2,340)
19,978
11,218
21,439
21,439
21,439
400
400

Approved by the trustees on 20 March 2025 and signed on their behalf by:

___ ___ Deirdre Cassidy Yvonne Devenney

8

ALTNAGELVIN PARENTS SUPPORT GROUP

Detailed Receipts and payments for the year ended 30 June 2024

Receipts
Donations - general
National Lottery Community Fund - Xmas party (restricted)
National Lottery Community Fund - Acorn (restricted)
National Lottery Community Fund - Keadue (restricted)
The Halifax Foundation (restricted)
Payments
Small toys, bravery stickers etc
Christmas party expenses
Type 1 Diabetes resource packs
Parents afternoon tea event
Wellness packs for parents
International Nurses day celebration
Summer Youth Art programme
Parent restorative Yoga programme
Fathers day, Mothers day cupcakes
Fundraising costs
Administrator cost
Travel expenses
Repairs & maintenace
Postage & stationery
Thank you gifts
Insurance
Accountancy
Software
Pop up banner
VR Therapy headset
Bank Charges
Covid face masks, sanitiser, wipes
Sundry
Net receipts/(payments)
Transfers to/(from) funds
Surplus/(Deficit) for the year
Represented by:
Opening balance
Surplus/(Deficit) for the year
Closing Balance
Unrestricted Restricted
Total
Funds
Funds
2024
£
£
£
19,704
2,357
22,061
0
9,965
9,965
0
1,000
1,000
0
13,380
13,380
0
0
0
19,704
26,702
46,406
1,195
0
1,195
0
9,727
9,727
266
0
266
3,080
0
3,080
704
1,500
2,204
225
0
225
0
1,000
1,000
0
900
900
102
0
102
4,806
0
4,806
460
5,000
5,460
80
0
80
167
0
167
262
0
262
93
0
93
366
0
366
432
0
432
140
0
140
1,164
0
1,164
0
4,632
4,632
84
0
84
0
0
0
264
0
264
13,890
22,759
36,649
5,814
3,943
9,757
(2,275)
2,275
0
3,539
6,218
9,757
16,439
5,000
21,439
3,539
6,218
9,757
19,978
11,218
**31,196 **
Total
2023
£
4,520
6,700
0
0
5,000
16,220
1,667
7,004
3,504
2,560
0
0
0
0
0
1,804
0
0
17
317
96
356
540
140
180
0
78
192
105
18,560
(2,340)
0
(2,340)
23,779
(2,340)
21,439