## **BLHS  ACCOUNTS WORKINGS 2020** 


**----- Start of picture text -----**<br>
RECEIPTS AND PAYMENTS ACCOUNT 2020 2019<br>RECEIPTS<br>Membership subs 1,344.00 1,664.00<br>Net receipts from shop 10,646.21 3,120.45<br>Income from monthly meetings<br>Door takings 353.00 602.09<br>Raffle takings 257.95 508.00<br>Cost of prizes 54.19 84.79<br>Profit from raffle 203.76 423.21<br>556.76 1,025.30<br>Hire of hall 140.00 385.00<br>Speakers fees 280.00 315.00<br>Refreshments 68.56 66.16<br>488.56 766.16<br>68.20 259.14<br>Income from talks & events 89.10 225.00<br>Donations 13,125.94 442.83<br>Interest received 168.80 240.38<br>Total income 25,442.25 5,951.80<br>PAYMENTS<br>Cost of magazine<br>Magazine printing & postage 1,010.88 797.37<br>Less advertising revenue (30.00) (90.00)<br>Less magazine sales (32.00) (90.50)<br>Net cost of magazine 948.88 616.87<br>Net cost of heritage centre 6,412.51 6,111.92<br>Other expenses<br>Exhibitions & events 198.65 115.90<br>Affiliation fees 25.00 30.00<br>Insurance 1,572.02 1,200.17<br>Internet, Stationery etc 631.90 144.48<br>Miscellaneous 413.52 63.70<br>2,841.09 1,554.25<br>Total expenses 10,202.48 8,283.04<br>Surplus / (Deficit) for year 15,239.77 (2,331.24)<br>Represented by:<br>HSBC 62885050 26,482.01 2,723.54<br>Reserve Account 32,419.57 40,750.77<br>Shop Cash 10.83 3.43<br>Membership Cash 14.17 209.07<br>Total Assets 58,926.58 43,686.81<br>(Deficit) / Surplus Bfwd 43,686.81 46,018.05<br>Surplus for Year 15,239.77 (2,331.24)<br>Total Reserves 58,926.58 43,686.81<br>**----- End of picture text -----**<br>


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## **BLHS  ACCOUNTS WORKINGS 2020** 

## **Heritage Centre Receipts and Payments** 

|**Receipts**<br>Sale of Artefacts<br>Supply of boxes to schools<br>Donations<br>Supply of Photos<br>**Payments**<br>Rent<br>New Carpet<br>Display Costs<br>Archive Items<br>Training Costs<br>Maintenance<br>Storage Costs<br>Admin Costs<br>Deficit|12.50<br>60.00<br>50.00<br>-<br>122.50<br>6,000.00<br>-<br>-<br>-<br>-<br>-<br>372.36<br>162.65<br>6,535.01<br>(6,412.51)<br>2020|25.50<br>175.00<br>49.50<br>30.00<br>280.00<br>6,000.00<br>7.98<br>8.24<br>3.34<br>372.36<br>-<br>6,391.92<br>(6,111.92)<br>2019|
|---|---|---|





## **BLHS  ACCOUNTS WORKINGS 2020** 

## **Shop Receipts and Payments** 

|**Receipts**<br>Sales of Donated Goods<br>Sales of New Goods<br>Sales of BHLS Items<br>Total Sales<br>Purchase of New Goods<br>Gross Profit<br>Other Income<br>SCC Grant<br>Other Income<br>Salvage<br>**Payments**<br>Rent & Rates<br>Heat, light and power<br>Water<br>Selling Expenses<br>Postage & Stationery<br>Fittings & Carpet<br>Cleaning<br>Maintenance<br>Miscellaneous<br>Surplus / (Deficit)|6,343.70<br>3,031.18<br>99.50<br>9,474.38<br>1,223.77<br>8,250.61<br>10,000.00<br>334.49<br>182.50<br>10,516.99<br>6,162.00<br>1,705.47<br>132.00<br>-<br>26.90<br>-<br>-<br>78.00<br>17.02<br>8,121.39<br>10,646.21<br>2020|8,497.12<br>4,924.29<br>-<br>13,421.41<br>2,051.86<br>11,369.55<br>-<br>-<br>185.30<br>185.30<br>6,544.32<br>1,614.93<br>144.00<br>47.51<br>48.44<br>18.20<br>17.00<br>8,434.40<br>3,120.45<br>2019|
|---|---|---|





## **BLHS  ACCOUNTS WORKINGS 2020** 


**----- Start of picture text -----**<br>
RECEIPTS AND PAYMENTS ACCOUNT 2020 2019<br>RECEIPTS<br>Membership subs 1,344.00 1,664.00<br>Net receipts from shop 10,646.21 3,120.45<br>Income from monthly meetings<br>Door takings 353.00 602.09<br>Raffle takings 257.95 508.00<br>Cost of prizes 54.19 84.79<br>Profit from raffle 203.76 423.21<br>556.76 1,025.30<br>Hire of hall 140.00 385.00<br>Speakers fees 280.00 315.00<br>Refreshments 68.56 66.16<br>488.56 766.16<br>68.20 259.14<br>Income from talks & events 89.10 225.00<br>Donations 13,125.94 442.83<br>Interest received 168.80 240.38<br>Total income 25,442.25 5,951.80<br>PAYMENTS<br>Cost of magazine<br>Magazine printing & postage 1,010.88 797.37<br>Less advertising revenue (30.00) (90.00)<br>Less magazine sales (32.00) (90.50)<br>Net cost of magazine 948.88 616.87<br>Net cost of heritage centre 6,412.51 6,111.92<br>Other expenses<br>Exhibitions & events 198.65 115.90<br>Affiliation fees 25.00 30.00<br>Insurance 1,572.02 1,200.17<br>Internet, Stationery etc 631.90 144.48<br>Miscellaneous 413.52 63.70<br>2,841.09 1,554.25<br>Total expenses 10,202.48 8,283.04<br>Surplus / (Deficit) for year 15,239.77 (2,331.24)<br>Represented by:<br>HSBC 62885050 26,482.01 2,723.54<br>Reserve Account 32,419.57 40,750.77<br>Shop Cash 10.83 3.43<br>Membership Cash 14.17 209.07<br>Total Assets 58,926.58 43,686.81<br>(Deficit) / Surplus Bfwd 43,686.81 46,018.05<br>Surplus for Year 15,239.77 (2,331.24)<br>Total Reserves 58,926.58 43,686.81<br>**----- End of picture text -----**<br>


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## **BLHS  ACCOUNTS WORKINGS 2020** 

## **Heritage Centre Receipts and Payments** 

|**Receipts**<br>Sale of Artefacts<br>Supply of boxes to schools<br>Donations<br>Supply of Photos<br>**Payments**<br>Rent<br>New Carpet<br>Display Costs<br>Archive Items<br>Training Costs<br>Maintenance<br>Storage Costs<br>Admin Costs<br>Deficit|12.50<br>60.00<br>50.00<br>-<br>122.50<br>6,000.00<br>-<br>-<br>-<br>-<br>-<br>372.36<br>162.65<br>6,535.01<br>(6,412.51)<br>2020|25.50<br>175.00<br>49.50<br>30.00<br>280.00<br>6,000.00<br>7.98<br>8.24<br>3.34<br>372.36<br>-<br>6,391.92<br>(6,111.92)<br>2019|
|---|---|---|





## **BLHS  ACCOUNTS WORKINGS 2020** 

## **Shop Receipts and Payments** 

|**Receipts**<br>Sales of Donated Goods<br>Sales of New Goods<br>Sales of BHLS Items<br>Total Sales<br>Purchase of New Goods<br>Gross Profit<br>Other Income<br>SCC Grant<br>Other Income<br>Salvage<br>**Payments**<br>Rent & Rates<br>Heat, light and power<br>Water<br>Selling Expenses<br>Postage & Stationery<br>Fittings & Carpet<br>Cleaning<br>Maintenance<br>Miscellaneous<br>Surplus / (Deficit)|6,343.70<br>3,031.18<br>99.50<br>9,474.38<br>1,223.77<br>8,250.61<br>10,000.00<br>334.49<br>182.50<br>10,516.99<br>6,162.00<br>1,705.47<br>132.00<br>-<br>26.90<br>-<br>-<br>78.00<br>17.02<br>8,121.39<br>10,646.21<br>2020|8,497.12<br>4,924.29<br>-<br>13,421.41<br>2,051.86<br>11,369.55<br>-<br>-<br>185.30<br>185.30<br>6,544.32<br>1,614.93<br>144.00<br>47.51<br>48.44<br>18.20<br>17.00<br>8,434.40<br>3,120.45<br>2019|
|---|---|---|





CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's
report on the accounts
Section A
Independent Examinerfs Report
Report to the trusteesl
members of
Bitteme Local History Society
On accounts for the year
ended
31st July 2020
Charity no
(if any}
1005127
Sot out on pages
mb&rs of
I report to the trustees on my examination of the accounts of the above
charity lllhe Trust") for the year ended 3110712020
Responsibilities and As the charity trustees of the Trust, you are responsible for the preparation
basis of report of the accounts in aGcordance with the requirements of the Charities Act
2011 1.the Act").
I report in respect of my examination of the Trust's accounts carried out
under section 145 of the 2011 Act and in carrying out my èxaminalion, I
have followed the applicable Directions given by the Charity Commission
under section 145{5)Ib) of the Act.
I have completed my examination. I confimi that no material matters have
come to my attention
') in connection with
the examination which gives me cause to believe that in, any material
respect..
accounting records vRre not kept in accordance with section 130 of
the Act or
the accounts do not arxord with the accounting records
Independent
examiner's Statement
I have no concems and have Come across no other matters in connection
with the examination to wthich attention should be drawm in order lo enable a
proper understanding of the accounts to be reached.
Please delete Ihe words in the brackets if they do not apply.
Slgned:
Date:
iè
202
Name:
Stephen Frost
Relevant professional
qualification{s> or body
lif any):
Address:
30 Carisbroke Drive
Bitterne
Southampton, S019 7BE
IER
October 2018

Section B
Disclosure
Only complete rf the examiner needs to highlight matters of concern (see CC32,
Independent exarnination of charity acGounts.' directions and guidance for
examiners).
Give here brief details of
any items that the
examiner wishes to
disclose.
IER
October 2018