|
|
|
Company Limited by Guarantee |
|
|
|
|
|
|
|
Company Limited by Guarantee |
|
Financial Statements |
|
Page |
|
|
Trustees' annual report (incorporating the director's report) |
1 |
|
Independent auditor's report to the members |
5 |
|
Statement of financial activities (including income and expenditure account) |
9 |
|
Statement of financial position |
10 |
|
Statement of cash flows |
11 |
|
Notes to the financial statements |
12 |
|
|
|
Company Limited by Guarantee |
|
Trustees' Annual Report (Incorporating the Director's Report) |
|
Registered charity name |
|
|
Charity registration number |
|
|
Company registration number |
|
|
Principal office and registered |
103 High Street |
|
office |
Waltham Cross |
|
EN8 7AN |
|
|
England |
|
|
|
||
|
|
||
|
|
(Resigned
|
|
|
|
(Resigned
|
|
|
|
(Appointed
|
|
|
Company secretary |
|
|
Auditor |
|
|
Chartered accountants & statutory auditor |
|
|
103 High street |
|
|
Waltham Cross |
|
|
EN8 7AN |
|
|
|
|
Trustee |
|
|
|
Company Limited by Guarantee |
|
Independent Auditor's Report to the Members of
|
|
|
|
(Senior Statutory Auditor) |
|
For and on behalf of |
|
|
|
Chartered accountants & statutory auditor |
|
103 High street |
|
Waltham Cross |
|
EN8 7AN |
|
|
|
Company Limited by Guarantee |
|
Statement of Financial Activities |
|
(including income and expenditure account) |
|
2025 |
2024 |
||
|
Unrestricted funds |
Total funds |
Total funds |
|
|
Note |
£ |
£ |
£ |
|
Donations and legacies |
5 |
|
|
|
|
Other trading activities |
6 |
|
|
|
|
------------ |
------------ |
------------ |
||
|
Total income |
|
|
|
|
|
------------ |
------------ |
------------ |
||
|
Costs of other trading activities |
7 |
12,776 |
12,776 |
44,124 |
|
|
Expenditure on charitable activities |
8,9 |
|
|
|
|
|
------------ |
------------ |
------------ |
|||
|
Total expenditure |
|
|
|
||
|
------------ |
------------ |
------------ |
|||
|
------------ |
------------ |
------------ |
|
|
Net expenditure and net movement in funds |
(
|
(
|
(
|
|
------------ |
------------ |
------------ |
|
|
Total funds brought forward |
|
|
|
|
------------- |
------------- |
------------- |
|
|
Total funds carried forward |
|
|
|
|
------------- |
------------- |
------------- |
|
|
|
|
Company Limited by Guarantee |
|
Statement of Financial Position |
|
2025 |
2024 |
|
|
Note |
£ |
£ |
|
Tangible fixed assets |
12 |
|
|
|
Investments |
13 |
|
|
|
------------- |
------------- |
||
|
|
|
||
|
Debtors |
14 |
|
|
|
Cash at bank and in hand |
|
|
|
|
--------- |
--------- |
||
|
|
|
||
|
Creditors: amounts falling due within one year |
15 |
|
|
|
--------- |
--------- |
||
|
Net current assets |
|
|
|
|
------------- |
------------- |
||
|
Total assets less current liabilities |
|
|
|
|
Creditors: amounts falling due after more than one year |
16 |
|
|
|
------------- |
------------- |
||
|
Net assets |
|
|
|
|
------------- |
------------- |
||
|
Revaluation reserve |
|
|
||
|
Other unrestricted income funds |
4,782,680 |
4,864,930 |
||
|
------------- |
------------- |
|||
|
Total unrestricted funds |
|
|
||
|
------------- |
------------- |
|||
|
Total charity funds |
17 |
|
|
|
|
------------- |
------------- |
|||
|
|
|
Trustee |
|
|
|
Company Limited by Guarantee |
|
Statement of Cash Flows |
|
2025 |
2024 |
|
|
£ |
£ |
|
|
Net expenditure |
(82,250) |
(33,792) |
|
Adjustments for: |
||
|
Depreciation of tangible fixed assets |
|
|
|
Interest payable and similar charges |
|
|
|
Changes in: |
||
|
Trade and other debtors |
|
|
|
Trade and other creditors |
(
|
|
|
--------- |
--------- |
|
|
Cash generated from operations |
|
|
|
Interest paid |
(
|
(
|
|
--------- |
--------- |
|
|
Net cash from operating activities |
|
|
|
--------- |
--------- |
|
|
Purchase of tangible assets |
(
|
(
|
|
--------- |
--------- |
|
|
Net cash used in investing activities |
(
|
(
|
|
--------- |
--------- |
|
|
Proceeds from borrowings |
(
|
(
|
|
--------- |
--------- |
|
|
Net cash used in financing activities |
(
|
(
|
|
--------- |
--------- |
|
|
Net decrease in cash and cash equivalents |
(
|
(
|
|
Cash and cash equivalents at beginning of year |
543 |
14,895 |
|
---- |
-------- |
|
|
Cash and cash equivalents at end of year |
|
|
|
---- |
-------- |
|
|
|
|
Company Limited by Guarantee |
|
Notes to the Financial Statements |
|
Plant and machinery |
- |
|
|
|
Unrestricted Funds |
Total Funds 2025 |
Unrestricted Funds |
Total Funds 2024 |
||
|
£ |
£ |
£ |
£ |
||
|
Donations |
484,980 |
484,980 |
773,485 |
773,485 |
|
|
Grants |
11,500 |
11,500 |
13,250 |
13,250 |
|
|
--------- |
--------- |
--------- |
--------- |
||
|
|
|
|
|
||
|
--------- |
--------- |
--------- |
--------- |
||
|
Unrestricted Funds |
Total Funds 2025 |
Unrestricted Funds |
Total Funds 2024 |
||
|
£ |
£ |
£ |
£ |
||
|
Rental income |
|
|
|
|
|
|
--------- |
--------- |
--------- |
--------- |
||
|
Unrestricted Funds |
Total Funds 2025 |
Unrestricted Funds |
Total Funds 2024 |
||
|
£ |
£ |
£ |
£ |
||
|
Costs of other trading activities - Other activity 1 |
12,776 |
12,776 |
44,124 |
44,124 |
|
|
-------- |
-------- |
-------- |
-------- |
||
|
Unrestricted Funds |
Total Funds 2025 |
Unrestricted Funds |
Total Funds 2024 |
||
|
£ |
£ |
£ |
£ |
||
|
Activity type 1 |
571,091 |
571,091 |
639,453 |
639,453 |
|
|
Activity type 2 |
791,942 |
791,942 |
1,027,445 |
1,027,445 |
|
|
Activity type 3 |
988 |
988 |
325 |
325 |
|
|
Activity type 4 |
– |
– |
11,000 |
11,000 |
|
|
Support costs |
8,281 |
8,281 |
8,280 |
8,280 |
|
|
------------ |
------------ |
------------ |
------------ |
||
|
|
|
|
|
||
|
------------ |
------------ |
------------ |
------------ |
||
|
Activities undertaken directly |
Support costs |
Total funds 2025 |
Total fund 2024 |
||
|
£ |
£ |
£ |
£ |
||
|
Activity type 1 |
571,091 |
– |
571,091 |
639,453 |
|
|
Activity type 2 |
791,942 |
– |
791,942 |
1,027,445 |
|
|
Activity type 3 |
988 |
– |
988 |
325 |
|
|
Activity type 4 |
– |
– |
– |
11,000 |
|
|
Governance costs |
– |
8,281 |
8,281 |
8,280 |
|
|
------------ |
------- |
------------ |
------------ |
||
|
|
|
|
|
||
|
------------ |
------- |
------------ |
------------ |
||
|
2025 |
2024 |
|
|
£ |
£ |
|
|
Fees payable for the audit of the financial statements |
|
|
|
------- |
------- |
|
|
Plant and machinery |
|
|
£ |
|
|
Cost |
|
|
At 1 September 2024 |
|
|
Additions |
|
|
-------- |
|
|
At 31 August 2025 |
|
|
-------- |
|
|
Depreciation |
|
|
At 1 September 2024 |
|
|
Charge for the year |
|
|
-------- |
|
|
At 31 August 2025 |
|
|
-------- |
|
|
Carrying amount |
|
|
At 31 August 2025 |
|
|
-------- |
|
|
At 31 August 2024 |
|
|
-------- |
|
|
Investment properties |
|
|
£ |
|
|
Cost or valuation |
|
|
At 1 September 2024 and 31 August 2025 |
11,655,371 |
|
------------- |
|
|
Impairment |
|
|
At 1 September 2024 and 31 August 2025 |
|
|
Carrying amount |
|
|
At 31 August 2025 |
11,655,371 |
|
------------- |
|
|
At 31 August 2024 |
11,655,371 |
|
------------- |
|
|
2025 |
2024 |
|
|
£ |
£ |
|
|
Trade debtors |
|
|
|
Amounts owed by connected company |
– |
930 |
|
--------- |
--------- |
|
|
|
|
|
|
--------- |
--------- |
|
|
2025 |
2024 |
|
|
£ |
£ |
|
|
Bank loans and overdrafts |
|
|
|
Trade creditors |
|
|
|
Accruals and deferred income |
|
|
|
--------- |
--------- |
|
|
|
|
|
|
--------- |
--------- |
|
|
2025 |
2024 |
|
|
£ |
£ |
|
|
Bank loans and overdrafts |
|
|
|
------------ |
------------ |
|
|
At 1 September 2024 |
Income |
Expenditure |
At 31 August 2025 |
|
|
£ |
£ |
£ |
£ |
|
|
General funds |
4,864,930 |
1,302,828 |
(1,385,078) |
4,782,680 |
|
Revaluation reserve |
5,916,489 |
– |
– |
5,916,489 |
|
------------- |
------------ |
------------ |
------------- |
|
|
10,781,419 |
1,302,828 |
(1,385,078) |
10,699,169 |
|
|
------------- |
------------ |
------------ |
------------- |
|
|
At 1 September 2023 |
Income |
Expenditure |
At 31 August 2024 |
|
|
£ |
£ |
£ |
£ |
|
|
General funds |
4,898,722 |
1,696,835 |
(1,730,627) |
4,864,930 |
|
Revaluation reserve |
5,916,489 |
– |
– |
5,916,489 |
|
------------- |
------------ |
------------ |
------------- |
|
|
10,815,211 |
1,696,835 |
(1,730,627) |
10,781,419 |
|
|
------------- |
------------ |
------------ |
------------- |
|
|
Unrestricted Funds |
Total Funds 2025 |
||
|
£ |
£ |
||
|
Tangible fixed assets |
11,664,386 |
11,664,386 |
|
|
Current assets |
250,430 |
250,430 |
|
|
Creditors less than 1 year |
(170,463) |
(170,463) |
|
|
Creditors greater than 1 year |
(1,045,184) |
(1,045,184) |
|
|
------------- |
------------- |
||
|
Net assets |
10,699,169 |
10,699,169 |
|
|
------------- |
------------- |
||
|
Unrestricted Funds |
Total Funds 2024 |
||
|
£ |
£ |
||
|
Tangible fixed assets |
11,661,151 |
11,661,151 |
|
|
Current assets |
401,473 |
401,473 |
|
|
Creditors less than 1 year |
(183,711) |
(183,711) |
|
|
Creditors greater than 1 year |
(1,097,494) |
(1,097,494) |
|
|
------------- |
------------- |
||
|
Net assets |
10,781,419 |
10,781,419 |
|
|
------------- |
------------- |
||
|
At 1 Sep 2024 |
Cash flows |
At 31 Aug 2025 |
|
|
£ |
£ |
£ |
|
|
Cash at bank and in hand |
|
(113) |
|
|
Debt due within one year |
(136,544) |
(3,053) |
(139,597) |
|
Debt due after one year |
(1,097,494) |
52,310 |
(1,045,184) |
|
------------ |
-------- |
------------ |
|
|
(
|
|
(
|
|
|
------------ |
-------- |
------------ |
|