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2024-12-31-accounts

Wheels In Nairnshire

Annual Report for the year ended 31st December 2024

Chairman’s Statement

Wheels in Nairnshire’s vision is of a community transport service which assists anyone in the local community who needs help with transport, tackling the weaknesses in current transport provision, social isolation and addressing the unmet needs identified by local people. It seeks to benefit the communities of Ardersier, Tornagrain, Dalcross, Croy, and those of Nairn and Nairnshire which are defined as falling within the postcode area IV12.

We deliver the Nairnshire Dial a Bus service with core funding through a Service Level Agreement with Highland Council. We have been operating it since July 2021 and are contracted at least until June 2026. Highland Council provides us with a fully maintained Electric wheelchair accessible vehicle (WAV) for the purpose and an interim loan of a diesel 8-seater vehicle. Our ability to meet growing demand has reached the peak of our capacity, both in terms of vehicles and drivers, based on the budget allocated to the SLA by THC. We reached this peak in 2023.

We also operate a volunteer car driver scheme. Whilst our volunteers continue to use their own cars to provide lifts for a range of purposes to any resident in our catchment area described above, they also are able to serve passengers with a further wheelchair accessible vehicle (WAV). This scheme continues to be funded by a grant from Highland Council’s Community Transport Fund and is supported by a growing band of volunteers.

Both Dial a Bus and the car driver scheme operate a personal door-to-door service. The car scheme strengthens our service to the community in that, unlike Dial a Bus, our volunteers can take service users beyond Nairnshire’s boundaries. This continues to be mostly for journeys to hospital appointments in Inverness, Dingwall and Golspie. The addition of the WAV has seen continued growth in general demand, particularly from wheelchair users.

Both services operate on a Pay What You Can (PWYC) basis. Although initial income from this was modest, the average amount received from passengers has risen by 21% for the car scheme and 90% for DAB. Pay What You Can donations now underwrite the operating costs of the car scheme and make a small contribution to overheads.

We continue to reach more and more service users helping them to keep vital medical appointments, meet friends, go shopping and so on. The service has been breaking down barriers, helping to reduce isolation and building confidence and engagement with the rest of the community.

Plans for future periods Demand for both serrices grew in the ye2r. There remains significant wit2pped demand for both services. We are actively pursuing a s￿tegYto meetthis. seeking changes to the basis on which DAB 15 funded and additional funding frovn other sources to enable us to recruit more paid and volunteer thivers and acquire more vehides. Reference and administrative details Charity number. SC048382 Registered Office: 15 Old Bar Road Nairn IV12 5BX Our advisers Auditors: Ritson Youngt 28 High Stree¢ Nairn IV12 4AU Bankers: Royal Bank of Scotland, 29 H2￿0￿r R02d Inverness Third Sertor Support: HTSI, Nairn Access Panel, Community Transport Association Directors and trnste Ch2ir. Elerted Trustees: Structure, Governance and Management Governing document Wheels In N2irnshire is a Scottish Ch￿itable Incoryor2ted Organis2tion governed by its Memorandum andArticles ofA8sociation 16th May 2018. It is a registered charitywith the Scottish Charity Regulator. Anyone over the age of 16 within the conimunity" can become a member ofthe Company. Appointpnent o[Tpvste As set out in the Artides of Association the t￿￿teeS are elerted annually by the members of the charity atten(b"ng the Annual General Meeting and serve for a period ol one year and are eligible to stand for re-elertion. The trustees have the power to appoint up to two Co-opted Trustees either on the basis that he/she has been nominated by a body with which the Cotnpany has close contact in the course of its activities or on the basi5 that he/she has specialist experience and/or skills which could be of assist2nce to the directors. All members are circvlated with invitations to noniinate t￿￿teeS prior to the AGM advising them of the retiring trustees and requesting nominations for the AGM. When considering co-optingtrustees.the Board has regard to the requirement for anyspecialist skills needed. Trustee induclion and tr￿nIng New trustees are informed of their obligations under charity law. the Scottish Charity Regulators guidance on tn￿tee duties 2nd provided with copies of tlie charity's Memorandum and Arts"cles of Association. Business Plan and recent financial posits.on of

the charity. Trustees participate in meetings and events focused on the company’s governance and decision-making processes.

Organisation

The board of trustees, which can have up to 7 members, administers the charity. The board normally meets every quarter.

Risk Management

The trustees manage risk in the following way:

A key element in the management of financial risk is a regular review of available liquid funds to settle debts as they fall due, a strategic approach to business planning and dedication of resources to the generation of any additional funding required.

Statement as to disclosure to our auditors

In so far as the trustees are aware at the time of approving our trustees’ annual report:

By order of the board of trustees

Enter SC No. below

APPENDIX 2

WHEELS IN NAIRNSHIRE

SC048382

Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts Receipts andpayments accounts
Period start date Period end date Period end date
For the period
from
01
Day
01
Month
2024
Year
to Day
31
Mo
12
Year
2024
Section A Statement of receipts and payments
Unrestricted
funds
Restricted
funds
Expendable
endowment
funds
Permanent
endowment
funds
Total funds
current period
Total funds last
period
Total funds last
to nearest £ to nearest £ to nearest £ to nearest £ to nearest £ to nearest £ to nearest £ to nearest £
A1 Receipts
Donations 1,450 1 1 1,450 31 31
Legacies - - -
Grants 3,125 3 3 3,125 90,373
Receipts from fundraisingactivities - - -
Gross tradingreceipts 70,137 70 70 70,137 55,560
Income from investments other than
land and buildings - - -
Rents from land & buildings - - -
Gross receipts from other charitable
activities - - -
- - -
A1 Sub total A1 Sub total 74,712 - - - - - - - - - 74,712 74,712 74,712 145,964
A2 Receipts from asset &
investment sales
Proceeds from sale of fixed assets
Proceeds from sale of investments
A2 Sub total -
-
-
Total receipts 74,712
-
-
~~—~~
-
-
-
-
-
-
-
-
-
74,712
-
-
-
74,712
-
-
-
74,712
-
145,964
A3 Payments
Expenses for fundraising activities - - -
Gross trading payments - - -
Investment management costs - - -
Payments relating directly to charitable Payments relating directly to charitable
activities 60,541 60 60 60,541 57,816
Grants and donations
- - -
Governance costs:
- - -
Audit / independent examination - - -
Preparation of annual accounts 165 165 165 165 349 349
Legal costs - - -
Other Other Other836 836 836 836 445 445
- - -
**A3 Sub total ** 61,542 - - - - - - - - - 61,542 61,542 61,542 58,610
A4 Payments relating to asset and
investment movements
Purchases of fixed assets
-
80,991
Purchase of investments
-
A4 Sub total -
-
-
-
-
80,991
Total payments 61,542
-
-
-
61,542
139,601
~~SSSSS~~
Net receipts / (payments)
A5 Transfers to / (from) funds
Surplus / (deficit) for year
13,170
-
-
-
13,170
6,363
-
13,170
-
-
-
13,170
6,363
~~——————~~

APPENDIX 2

WHEELS IN NAIRNSHIRE

SC048382

Section B Statement of balances

Categories
Signed by one or two trustees
on behalf of all the trustees
B3 Other assets
B5 Contingent liabilities
B4 Liabilities
B1 Cash funds
B2 Investments
Details Unrestricted
funds
to nearest £
15,442
13,170
Restricted funds
to nearest £
Expendable
endowment
funds
to nearest £
Permanent
endowment
funds
to nearest £
Permanent
endowment
funds
to nearest £
Total current
period
to nearest £
Total last period
to nearest £
Cash and bank balances at start of year 15,442 9,079
Surplus / (deficit) shown on receipts and
payments account
13,170 6,363
-
-
Cash and bank balances at end of year
(Agree balances with receipts and payments
account(s))
Details
28,612 - - - 28,612 15,442
-
-

-
Fund to which

-
asset belongs

-
Market valuation
to nearest £

-
Last year
to nearest £
Details Fund to which asset belongs Total
Cost (if available)
to nearest £
-
-
Current value (if
available)
to nearest £
Last year
to nearest £
Details Total
-
Fund to which liability relates
-
-

-
Amount due
to nearest £
Last year
to nearest £
Details Total
Fund to which liability relates
- -
Amount due
(estimate)
to nearest £
Last year
to nearest £
Signature Total
Print Name
-
-
Date of
approval

/ Statement of balances

2

December 2007

APPENDIX 2

WHEELS IN NAIRNSHIRE

SC048382

Section C Notes to the Accounts

C1 Nature and purpose of funds (may be stated on analysis of funds worksheets)

C3a Trustee remuneration
C4a Trustee expenses
C4b Trustee expenses -
details
C5 Transactions with
trustees and connected
persons
C3b Trustee remuneration -
details
C2 Grants
Type of activity or project supported
General
Type of activity or project supported
General
Individual /
institution
Highland
Council
Number of grants
made
£
Number of grants
made
£
4 3,125
Total 3,125
If no remuneration was paid during the period to any charity trustee or person connected to
a trustee cross this box (otherwise complete section 3b)
Authority under which paid £
If no expenses were paid to any charity trustee during the period then cross
(otherwise complete section 4b)
this box
Nature of transaction Number of
trustees
£
Nature of relationship Transaction
amount (£)
Balance
outstanding at
period end (£)

C6 Other information

/ Notes

3

December 2007

APPENtILX2 l Notes De￿rnber 2(M)7

APPENDIX 2

SC048382

WHEELS IN NAIRNSHIRE

Additional analysis (1)

Analysis of receipts and payments

1 Donations

1 Donations 1 Donations
Unrestricted
funds
to nearest £
Restricted funds
to nearest £
Expendable
endowment
funds
to nearest £
Permanent
endowment
funds
to nearest £
Total current
period
to nearest £
Total last
period
to nearest £
-
-
-
-
Total - - - - - -
reference - - - reference reference

2 Grants

2 Grants 2 Grants
Unrestricted
funds
to nearest £
Restricted funds
to nearest £
Total current
period
to nearest £
Total last
period
to nearest £
-
-
-
-
Total - - - -
reference - reference reference

3 Gross receipts from other charitable activities

Unrestricted
funds
to nearest £
Unrestricted
funds
to nearest £
Restricted funds
to nearest £
Expendable
endowment
funds
to nearest £
Permanent
endowment
funds
to nearest £
Total current
period
to nearest £
Total current
period
to nearest £
Total last
period
to nearest £
-
-
-
-
-
-
-
-
Total - - - - - -
- - - - - -

4 Payments relating directly to charitable activities

Unrestricted
funds
to nearest £
Unrestricted
funds
to nearest £
Restricted funds
to nearest £
Expendable
endowment
funds
to nearest £
Permanent
endowment
funds
to nearest £
Total current
period
to nearest £
Total current
period
to nearest £
Total last
period
to nearest £
-









-
-
-
-
-
-
-
-
-
-
Total - - - - - -
reference error - - - reference error reference error

Additional notes (1)

December 2007

APPENDIX 2

SC048382

Additional analysis (2)

5 Breakdown of unrestricted funds

5 Breakdown of unrestricted funds
Receipts Unrestricted
fund 1 - enter
name of fund
below
Unrestricted
fund 2 - enter
name of fund
below
Unrestricted
fund 3 - enter
name of fund
below
Unrestricted
fund 4 - enter
name of fund
below
Total
unrestricted
funds
Total
unrestricted
funds last
period
Donations -
Legacies -
Grants -
Receipts from fundraisingactivities -
Gross tradingreceipts -
Income from investments other than land and buildings -
Rents from land & buildings -
Gross receipts from other charitable activities -
Sub total
Receipts from asset & investment sales
- - - - - -
cross ref error
Proceeds from sale of fixed assets -
Proceeds from sale of investments -
Sub total
Total receipts
Payments
- - - - - -
- - - - - -
cross ref error
Expenses for fundraisingactivities -
Gross trading payments -
Investment management costs -
Payments relatingdirectlyto charitable activities -
Grants and donations -
Governance costs: -
Audit / independent examination -
Preparation of annual accounts -
Legal costs -
-
-
Sub total
Payments relating to asset and investment
movements
- - - - - -
cross ref error
Purchases of fixed assets -
Purchase of investments -
Sub total
Total payments
Net receipts / (payments)
Transfers to / (from) funds
Surplus / (deficit) for year
- - - - - -
-
- - - - - -
cross ref error
- - - - - -
-
- - - - - -
cross ref error
Nature andpurpose of funds

Additional notes (2)

December 2007

APPENDIX 3 OSCR Scotlish Chanty Regulator Independent examiner's report on the accounts Report to the Charity name trustseslmembers of WHEELS IN NAIRNSHIRE SC048382 On the accounts ofthe charity for thè poriod Perr)d start dale )nlh Period end date Monlh Day Yeai Day Year 01 01 2024 lo 31 12 2024 Setout on pages jTomÈmtrEr to includ th# p¥0 rxJTnbeT50f additional strteisl Respe¢tlV& The charity's trustees are responsible for the preparation of the accounts In aCCordar￿e responsibilities of with the terrns of the Charities and Truslee Investment (Scollandl 2005 Act and the tru8tee8 and ¢x•miner Charities Accounts (Scotlanel Regulations 2006. The charity trustees consider thai the au(Jil requirement of Regulation 10111 {dl of the Accounts Regulations doe5 not apply. It Is my responsibility to examine the accounts as required under section 44111 Icl of the Act and to stste whether panicular matters have come to my attention. Basis of independent My examination is carried out in accordance with Regu131ion 11 of the Charitiès examiner's statement Accounts (Scotland) Regulah"ons 2006 An examination includes a review of the aecounling roec>rds kept by the charity and a comparLson of the accounts presented with those records. 11 also includes consideration of any unusual Items or disclosures in the accounts and seeks explanations from the trustees concerning any such matters Thè procedures undertaken do not provide all the evidence that would be required in an ajdit and. consequently. I do not express an audit opinion on the accounts. Independent examiner's In the course ol my examination, no matter has come to my attentK)n jolher than that statement disclosed on the attached page'l which gwes me reasonable cause lo believe that in any merial respect the requifements". to keep aceounling records in accordan￿ with seclion 44111 lal of the 2005 Act and Regulath)n 4 of the 2006 Account% Regulats"ons, and lo prepare accounts whicn accord with the accounting records and comply with Reglllat￿n g of the 2006 Accounts Regulatons have not been rnet, or lo which, in my opinion, attènlion should be drawn in order lo enablè a prO[￿r iJn.ler£l?rdiD.g of the accoiin L8 to ba reached. Date.. Signèd= Name: 2tL Address: RTVISON YOJIIG C4 28 HIGH STRbET FIATRN I.J12 4AU 'Plea delete the wor0$ In trKacket5 rflhey do not apply. If:he word5 00 apply set oul those mer3 which have￿Me to your attention on the toiiowing page