CCEW Charity Commission profile

BLAENAU GWENT AND CAERPHILLY CARE & REPAIR

Registered charity 1175753 · organisation 5105311

01 Identity

Registration and reporting

Registration status
Registered
Reporting status
Submission Received
Charity type
Charitable company
Registered
15 November 2017
Removed
Not supplied
Company number supplied
10838311
Financial period
1 April 2024 – 31 March 2025
Latest income
£1,303,563
Latest expenditure
£1,227,263
Gift Aid
No
Owns or uses land
Yes
In administration
No
Insolvent
No
CIO
No

Public contact address: Blaenau Gwent & Caerphilly Care & Repair, Unit 1A-1B Foxes Lane, Oakdale Business Park, Oakdale, Blackwood, NP12 4AB

02 Activities

What the charity does

To relieve the needs of people living in the areas of Blaenau Gwent and Caerphilly who are disadvantaged by reason of age, ill-health or disability, by the provision of support, assistance, facilities, amenities and services to such people in respect of their housing and surrounding environment.

03 Official extract

Charity Annual Return History

Fin Period Start Date
1 April 2024
Fin Period End Date
31 March 2025
Ar Cycle Reference
AR25
Reporting Due Date
31 January 2026
Date Annual Return Received
19 November 2025
Date Accounts Received
19 November 2025
Total Gross Income
£1,303,563
Total Gross Expenditure
£1,227,263
Fin Period Start Date
1 April 2023
Fin Period End Date
31 March 2024
Ar Cycle Reference
AR24
Reporting Due Date
31 January 2025
Date Annual Return Received
3 December 2024
Date Accounts Received
3 December 2024
Total Gross Income
£1,251,910
Total Gross Expenditure
£1,148,038
Fin Period Start Date
1 April 2022
Fin Period End Date
31 March 2023
Ar Cycle Reference
AR23
Reporting Due Date
31 January 2024
Date Annual Return Received
12 December 2023
Date Accounts Received
12 December 2023
Total Gross Income
£1,194,889
Total Gross Expenditure
£1,023,272
Fin Period Start Date
1 April 2021
Fin Period End Date
31 March 2022
Ar Cycle Reference
AR22
Reporting Due Date
31 January 2023
Date Annual Return Received
30 September 2022
Date Accounts Received
30 September 2022
Total Gross Income
£1,124,115
Total Gross Expenditure
£1,028,228
Fin Period Start Date
1 April 2020
Fin Period End Date
31 March 2021
Ar Cycle Reference
AR21
Reporting Due Date
31 January 2022
Date Annual Return Received
9 November 2021
Date Accounts Received
9 November 2021
Total Gross Income
£884,267
Total Gross Expenditure
£804,419

04 Official extract

Charity Annual Return Parta

Latest Fin Period Submitted Ind
Yes
Fin Period Order Number
1
Ar Cycle Reference
AR25
Fin Period Start Date
1 April 2024
Fin Period End Date
31 March 2025
Ar Due Date
31 January 2026
Ar Received Date
19 November 2025
Total Gross Income
£1,303,563
Total Gross Expenditure
£1,227,263
Grant Making Is Main Activity
No
Count Govt Contracts
0
Count Govt Grants
£10
Income From Government Grants
£974,784
Charity Has Trading Subsidiary
Yes
Trustee Also Director Of Subsidiary
No
Does Trustee Receive Any Benefit
No
Trustee Payments Acting As Trustee
No
Trustee Receives Payments Services
No
Trustee Receives Other Benefit
No
Trustee Resigned Employment
No
Employees Salary Over 60k
No
Count Volunteers
0
Latest Fin Period Submitted Ind
No
Fin Period Order Number
2
Ar Cycle Reference
AR24
Fin Period Start Date
1 April 2023
Fin Period End Date
31 March 2024
Ar Due Date
31 January 2025
Ar Received Date
3 December 2024
Total Gross Income
£1,251,910
Total Gross Expenditure
£1,148,038
Grant Making Is Main Activity
No
Count Govt Contracts
0
Count Govt Grants
£10
Income From Government Grants
£1,099,161
Charity Has Trading Subsidiary
Yes
Trustee Also Director Of Subsidiary
No
Does Trustee Receive Any Benefit
No
Trustee Payments Acting As Trustee
No
Trustee Receives Payments Services
No
Trustee Receives Other Benefit
No
Trustee Resigned Employment
No
Employees Salary Over 60k
No
Count Volunteers
0
Latest Fin Period Submitted Ind
No
Fin Period Order Number
3
Ar Cycle Reference
AR23
Fin Period Start Date
1 April 2022
Fin Period End Date
31 March 2023
Ar Due Date
31 January 2024
Ar Received Date
12 December 2023
Total Gross Income
£1,194,889
Total Gross Expenditure
£1,023,272
Grant Making Is Main Activity
No
Count Govt Contracts
0
Count Govt Grants
£14
Income From Government Grants
£1,125,423
Charity Has Trading Subsidiary
Yes
Trustee Also Director Of Subsidiary
No
Does Trustee Receive Any Benefit
No
Trustee Payments Acting As Trustee
No
Trustee Receives Payments Services
No
Trustee Receives Other Benefit
No
Trustee Resigned Employment
No
Employees Salary Over 60k
No
Count Volunteers
0
Latest Fin Period Submitted Ind
No
Fin Period Order Number
4
Ar Cycle Reference
AR22
Fin Period Start Date
1 April 2021
Fin Period End Date
31 March 2022
Ar Due Date
31 January 2023
Ar Received Date
30 September 2022
Total Gross Income
£1,124,115
Total Gross Expenditure
£1,028,228
Charity Raises Funds From Public
No
Charity Receives Govt Funding Contracts
No
Charity Receives Govt Funding Grants
Yes
Count Govt Grants
£13
Income From Government Grants
£829,631
Charity Has Trading Subsidiary
Yes
Trustee Also Director Of Subsidiary
No
Does Trustee Receive Any Benefit
No
Trustee Resigned Employment
No
Employees Salary Over 60k
No
Count Volunteers
0
Latest Fin Period Submitted Ind
No
Fin Period Order Number
5
Ar Cycle Reference
AR21
Fin Period Start Date
1 April 2020
Fin Period End Date
31 March 2021
Ar Due Date
31 January 2022
Ar Received Date
9 November 2021
Total Gross Income
£884,267
Total Gross Expenditure
£804,419
Charity Raises Funds From Public
No
Charity Receives Govt Funding Contracts
No
Charity Receives Govt Funding Grants
Yes
Count Govt Grants
£16
Income From Government Grants
£836,459
Charity Has Trading Subsidiary
Yes
Trustee Also Director Of Subsidiary
No
Does Trustee Receive Any Benefit
No
Trustee Resigned Employment
No
Employees Salary Over 60k
No
Count Volunteers
0

05 Official extract

Charity Annual Return Partb

Latest Fin Period Submitted Ind
Yes
Fin Period Order Number
1
Ar Cycle Reference
AR25
Fin Period Start Date
1 April 2024
Fin Period End Date
31 March 2025
Ar Due Date
31 January 2026
Ar Received Date
19 November 2025
Income Donations And Legacies
10160
Income Other Trading Activities
36164
Income Charitable Activities
1234037
Income Investments
23202
Income Other
0
Income Total Income And Endowments
1303563
Income Legacies
0
Income Endowments
0
Expenditure Raising Funds
£336,110
Expenditure Charitable Expenditure
£891,153
Expenditure Other
0
Expenditure Total
1227263
Expenditure Investment Management
0
Expenditure Grants Institution
0
Expenditure Governance
0
Expenditure Support Costs
8750
Expenditure Depreciation
22083
Gain Loss Investment
61000
Gain Loss Pension Fund
0
Gain Loss Revaluation Fixed Investment
0
Gain Loss Other
0
Reserves
£695,588
Assets Total Fixed
15222
Assets Own Use
15222
Assets Long Term Investment
0
Defined Benefit Pension Scheme
-219000
Assets Other Assets
£1,013,260
Assets Total Liabilities
£98,672
Assets Current Investment
0
Assets Total Assets And Liabilities
£710,810
Creditors One Year Total Current
98672
Creditors Falling Due After One Year
0
Assets Cash
£632,791
Funds Endowment
0
Funds Unrestricted
710810
Funds Restricted
0
Funds Total
710810
Count Employees
21
Consolidated Accounts
Yes
Latest Fin Period Submitted Ind
No
Fin Period Order Number
2
Ar Cycle Reference
AR24
Fin Period Start Date
1 April 2023
Fin Period End Date
31 March 2024
Ar Due Date
31 January 2025
Ar Received Date
3 December 2024
Income Donations And Legacies
6610
Income Other Trading Activities
3095
Income Charitable Activities
1220601
Income Investments
20773
Income Other
112
Income Total Income And Endowments
1251191
Income Legacies
0
Income Endowments
0
Expenditure Raising Funds
£0
Expenditure Charitable Expenditure
£853,882
Expenditure Other
294156
Expenditure Total
1148038
Expenditure Investment Management
0
Expenditure Grants Institution
0
Expenditure Governance
24447
Expenditure Support Costs
52524
Expenditure Depreciation
21505
Gain Loss Investment
0
Gain Loss Pension Fund
60000
Gain Loss Revaluation Fixed Investment
0
Gain Loss Other
0
Reserves
£243,510
Assets Total Fixed
35988
Assets Own Use
35988
Assets Long Term Investment
0
Defined Benefit Pension Scheme
-287175
Assets Other Assets
£974,378
Assets Total Liabilities
£149,681
Assets Current Investment
0
Assets Total Assets And Liabilities
£573,510
Creditors One Year Total Current
149681
Creditors Falling Due After One Year
0
Assets Cash
£581,517
Funds Endowment
0
Funds Unrestricted
573510
Funds Restricted
0
Funds Total
573510
Count Employees
21
Consolidated Accounts
Yes
Latest Fin Period Submitted Ind
No
Fin Period Order Number
3
Ar Cycle Reference
AR23
Fin Period Start Date
1 April 2022
Fin Period End Date
31 March 2023
Ar Due Date
31 January 2024
Ar Received Date
12 December 2023
Income Donations And Legacies
692
Income Other Trading Activities
2345
Income Charitable Activities
1183001
Income Investments
8408
Income Other
443
Income Total Income And Endowments
1194889
Income Legacies
0
Income Endowments
0
Expenditure Raising Funds
£0
Expenditure Charitable Expenditure
£794,079
Expenditure Other
229193
Expenditure Total
1023272
Expenditure Investment Management
0
Expenditure Grants Institution
0
Expenditure Governance
10031
Expenditure Support Costs
50467
Expenditure Depreciation
12060
Gain Loss Investment
0
Gain Loss Pension Fund
-30000
Gain Loss Revaluation Fixed Investment
0
Gain Loss Other
0
Reserves
£204,357
Assets Total Fixed
28710
Assets Own Use
28710
Assets Long Term Investment
0
Defined Benefit Pension Scheme
-269000
Assets Other Assets
£877,538
Assets Total Liabilities
£102,891
Assets Current Investment
0
Assets Total Assets And Liabilities
£534,357
Creditors One Year Total Current
102891
Creditors Falling Due After One Year
0
Assets Cash
£589,662
Funds Endowment
0
Funds Unrestricted
534357
Funds Restricted
0
Funds Total
534357
Count Employees
20
Consolidated Accounts
Yes
Latest Fin Period Submitted Ind
No
Fin Period Order Number
4
Ar Cycle Reference
AR22
Fin Period Start Date
1 April 2021
Fin Period End Date
31 March 2022
Ar Due Date
31 January 2023
Ar Received Date
30 September 2022
Income Donations And Legacies
13531
Income Other Trading Activities
0
Income Charitable Activities
1107768
Income Investments
816
Income Other
2000
Income Total Income And Endowments
1124115
Income Legacies
0
Income Endowments
0
Expenditure Raising Funds
£0
Expenditure Charitable Expenditure
£1,028,228
Expenditure Other
0
Expenditure Total
1028228
Expenditure Investment Management
0
Expenditure Grants Institution
0
Expenditure Governance
0
Expenditure Support Costs
49961
Expenditure Depreciation
1570
Gain Loss Investment
0
Gain Loss Pension Fund
-27000
Gain Loss Revaluation Fixed Investment
0
Gain Loss Other
0
Reserves
£359,683
Assets Total Fixed
0
Assets Own Use
0
Assets Long Term Investment
0
Defined Benefit Pension Scheme
-292000
Assets Other Assets
£738,983
Assets Total Liabilities
£87,300
Assets Current Investment
0
Assets Total Assets And Liabilities
£359,683
Creditors One Year Total Current
87300
Creditors Falling Due After One Year
0
Assets Cash
£417,578
Funds Endowment
0
Funds Unrestricted
359683
Funds Restricted
0
Funds Total
359683
Count Employees
17
Consolidated Accounts
Yes
Latest Fin Period Submitted Ind
No
Fin Period Order Number
5
Ar Cycle Reference
AR21
Fin Period Start Date
1 April 2020
Fin Period End Date
31 March 2021
Ar Due Date
31 January 2022
Ar Received Date
9 November 2021
Income Donations And Legacies
641
Income Other Trading Activities
17298
Income Charitable Activities
858841
Income Investments
1471
Income Other
6016
Income Total Income And Endowments
884267
Income Legacies
0
Income Endowments
0
Expenditure Raising Funds
£0
Expenditure Charitable Expenditure
£652,509
Expenditure Other
151910
Expenditure Total
804419
Expenditure Investment Management
0
Expenditure Grants Institution
0
Expenditure Governance
9874
Expenditure Support Costs
46661
Expenditure Depreciation
7890
Gain Loss Investment
0
Gain Loss Pension Fund
0
Gain Loss Revaluation Fixed Investment
0
Gain Loss Other
0
Reserves
£288,855
Assets Total Fixed
13779
Assets Own Use
13779
Assets Long Term Investment
0
Defined Benefit Pension Scheme
-324000
Assets Other Assets
£745,960
Assets Total Liabilities
£133,105
Assets Current Investment
0
Assets Total Assets And Liabilities
£302,634
Creditors One Year Total Current
133105
Creditors Falling Due After One Year
0
Assets Cash
£485,967
Funds Endowment
0
Funds Unrestricted
302634
Funds Restricted
0
Funds Total
302634
Count Employees
20
Consolidated Accounts
Yes

06 Official extract

Charity Area Of Operation

Geographic Area Type
Local Authority
Geographic Area Description
Blaenau Gwent
Welsh Ind
Yes
Geographic Area Type
Local Authority
Geographic Area Description
Caerphilly
Welsh Ind
Yes

07 Official extract

Charity Classification

Classification Code
207
Classification Type
Who
Classification Description
The General Public/mankind
Classification Code
306
Classification Type
How
Classification Description
Provides Services
Classification Code
104
Classification Type
What
Classification Description
Disability
Classification Code
307
Classification Type
How
Classification Description
Provides Advocacy/advice/information

08 Official extract

Charity Event History

Charity Name
BLAENAU GWENT AND CAERPHILLY CARE & REPAIR
Charity Event Order
1
Event Type
Standard registration
Date Of Event
2017-11-15T00:00:00

09 Official extract

Charity Governing Document

Governing Document Description
MEMORANDUM AND ARTICLES INCORPORATED 27 JUN 2017
Charitable Objects
THE OBJECTS OF THE CHARITY ARE, TO RELIEVE THE NEEDS OF PEOPLE LIVING IN THE AREAS OF BLAENAU GWENT AND CAERPHILLY WHO ARE DISADVANTAGED BY REASON OF AGE, ILL-HEALTH OR DISABILITY, BY THE PROVISION OF SUPPORT, ASSISTANCE, FACILITIES, AMENITIES AND SERVICES TO SUCH PEOPLE IN RESPECT OF THEIR HOUSING AND SURROUNDING ENVIRONMENT.

10 Official extract

Charity Policy

Policy Name
Safeguarding vulnerable beneficiaries
Policy Name
Engaging external speakers at charity events policy and procedures
Policy Name
Safeguarding policy and procedures
Policy Name
Internal risk management policy and procedures
Policy Name
Investing charity funds policy and procedures
Policy Name
Serious incident reporting policy and procedures
Policy Name
Complaints policy and procedures
Policy Name
Financial reserves policy and procedures
Policy Name
Bullying and harassment policy and procedures
Policy Name
Internal charity financial controls policy and procedures
Policy Name
Risk management
Policy Name
Social media policy and procedures
Policy Name
Complaints handling
Policy Name
Trustee conflicts of interest policy and procedures
Policy Name
Investment
Policy Name
Campaigns and political activity policy and procedures
Policy Name
Trustee expenses policy and procedures
Policy Name
Conflicting interests