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2023-03-31-accounts

Legal and administ「ative information
Report of the T「ustees
Independent Examine「S 「ePOrt
Statement of financiai activities
Baiance sheet
Cash fIow statement
Notes to the financial statements
Gene「aI inCOme and expenditu「e account
Cate「ing income and expenditu「e account
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Registe「ed charity number 1011659
Company number 2695822
Registered o冊ce Bushmoor Crescent
Shooters H用
」ondon
SE18 3EG
Trustees S MacdougaI - Chai「 (appointed Feb 2023)
R, Perrott - Treasurer
G Sheath - Company Secretary
R. Belfieid
A, Brockman
J. Macfarlane
L. Turkina (appointed Feb 2023)
H. Denford (appointed Feb 2023)
D. Martln
K. HaIpin
J. M刷s (resigned Feb 2023)
S. Raja (「esigned Aug 2023)
F. Kemp (resigned Feb 2023)
A. B「aIee (resigned Feb 2023)

N°te
Net incoming / (OutgOing〉 「esources fo「 the year 705 (1 1'080) (10'375)
7 705 (1 1,080) (10,375)
33,675 134,938 168,613
34,380 1 23.858 1 58,238
3,873 3.873 4,206
34.380 1 23.374 1 57,754 1 70,448
(3,389) (3,389) (6,041)
34.380 1 23,858 1 58.238 168,613

Notes
Fixed assets
丁angibIe assets 9
Cu「rent assets
Debto「s
Cash at bankand in hand
10 4,247
153,507
2,899
167,549
1 57,754 1 70,448
Creditors: amOuntS fa=ing due
Within one year 1 1 (3,389) (6,041)
Net current assets
Net assets
Reserves
AccumuIated fund 12

TotaI funds Totai funds
2023 2022
Net cash used in operating activities 15 (13,568) 30,737
Cash fIows from investing activities
Cost of fixed assets
lnte「est 「eceived
Change in cash and cash equivaIents in the period
(636)
162
(14.042)
(3,066)
27,671
Cash and cash equivaIents b「ought foIWa「d 167.549 1 39,878
Cash at bank and in hand less overd「afts at 31 Ma「ch 153,507 167.549
Consisting of
Cash at bank and ln hand 153,507 167,549

Restricted U n「estricted RE
funds funds
2023 2023 2022
豊 曇
Gene「al (Page 14) 9,096 96,217
9,096 96,217

Restricted U nrestrjcted
funds
型迫
垣堅塁
聖堂案
General (Page 14)
22,295

155,002
Cate「ing (Page 15) 281342
22,295 183i344
U n restricted
funds
型埜一
Gene「al (Page 14) 800
800

型塑一 里墜三
豊 隻
Wages and saIarieS 115,159 106,622
Pension costs 1,228 1,829
Sociai secu「ity COStS 4,689 3,300
121,076 111,751

Catering
Equipment Equipment 丁otai
Cost ま ま
At l Ap「l1 2022
Addit10nS
25,891 6,585
636
32,476
636
At31 Ma「ch 2023 25,891 7,221 33.112
Depreciation
At l Ap「li 2022 22,377 5,893 28,270
Cha「ge for the yea「 703 266 969
At 31 Ma「ch 2023 23,080 6,1 59 29,239
Net book vaiue
At31 March 2023
At31 Ma「ch 2022

Credito「s : amOuntS fa冊ng duewithin oneyear
2023 2022
ま ま
T「ade creditO「S 2,244 2,882
Othe「 taxes and sociaI security costs
AccruaIs
2IO35
1,145 1,124
3,389 6,041
AccumuIated fund
U n rest「icted RE
funds funds funds
2023 2023 2023
畳 ま
At l Apr= 2022 33,675 134,938 168,613
Retalned surpius/ (defiCit) 705 (11,080) (10,375)
At31 Ma「ch 2023 34,380 123,858 158,238

Restrictecl U n restricted
Notes funds funds Tota1
2022 2022 2022
葺 合 登
lncoming resources
income f「om use of faciiitieS
and catering
G「ants and donatiOnS
「eceivable
lnvestment lnCOme
Tota=ncoming resources
Resources expended
Cost of generating funds
Dl「eCt Cha「itable expenditure
Gove「nance costs
TotaI expenditure
Net lnCOming reSOurCeS before othe「
「ecognised gainS -
net movement in funds (1,762) 3工913
Total funds b「ought forwa「d 1 36,700 136,700
Totai funds car「ied forwa「d 134,938 168,613
ま ま
Net movement ln funds (10,375) 31,913
Add back dep「ecIatiOn 969 1 ,063
Less inte「est 「eceived (162)
Decrease I (inC「eaSe) ln StOCk
Dec「ease l (inCreaSe) in debto「s (1 ,348) (260)
Inc「ease / (dec「ease) ln C「edltO「S
Net cash used in operating aCtiVltleS
(2,652) (1 ,979)
(13,568) 30,737

forthe year ended 31 Ma「ch 2023
2023
Income from use offac掴ties and catering
A怖iiation fees
Room Hi「e
Gra nts
4,700
131,091
135,791
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Rest「i cted
RoyaI Bo「ough of G「eenwich - CO「e funding
Royai Borough of G「eenwich
U n rest「icted
RoyaI Borough of G「eenwich - business support g「ants
HMRC Job 「etentiOn SuPPOrt g「antS
Othe「 grants and donatiOnS
Investment income
inte「est receivable
Catering (Page 15)
Tota=ncome
20,000
3,000
9,096
162
(327)
167,722
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9
EXPENSES
Direct CharitabIe Expenses
Wages, Saia「ies and pension costs
Staff t「aining
V¥fate「 「ates
Light and heat
Repai「s and maintenance
insu「ance
Janato「iaI
TeIephone and fax
Statione「y, POStage and p「inting
Compute「 and so什wa「e expenses
Bad debts
Bookkeeping cha「ges
PromotiOn and website expenses
S…dry expenses
Bank cha「ges
Dep「eciation
Governance costs
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5
Independent examine「s fees
TotaI expenses
SurpIus forthe year

2023 2022
Income from use of fac掴ties
Bar and Coffee Ba「 23,988 17.737
Meais and 「ef「eshments 4,027 2,376
TotaI income 28,015 20,113
Direct CharitabIe Expenses
Cost of sales
Pu「chases 27,782 1 3,449
Equipment 「epalrS 294 165
DepreciatiOn 266 173
28,342 13,787
SurpIus fo「 year (327) 6,326