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2024-04-30-accounts

Trustees’ Annual Report for the period

From 1[st] May 2023 To 30[th] April 2024

Charity name: Hadleigh Choral Society

Charity registration number: 1033798

Charity’s principal address: The Thatched Cottage, Water Run, Hitcham, Ipswich, Suffolk, IP7 7LN.

Objectives and Activities

The objectives of the Society are to promote, improve, develop, and maintain public education in, and appreciation of, the art and science of music in all its aspects. This is achieved by the presentation of public concerts and recitals in Hadleigh, Suffolk and in villages in the surrounding areas and by such other ways as the Society, through its Trustees determines from time to time.

The Trustees have had regard and have considered guidance issued by the Charity’s Commission on public benefit and can report that in the year 1 May 2023 to 30 April 2024 the Society provided piano accompaniment and musical direction from the Society’s Musical Conductor/Director, as well as hiring orchestral musicians and soloists. Music, instruments and chairs were hired and rehearsal rooms, together with concert venues were procured for its members, culminating in two major concerts of choral classical works, which were advertised to the public through local magazines, posters, leaflets and social media.

In the Autumn of 2023, the Society performed Haydn’s Insanae Et Vanae Curae and Mozart’s Ave Verum Corpus and Mozart’s Requiem Mass which was a sell out and well received. The Spring 2024 concert was Haydn’s Die Jahreszeiten (The Seasons) , which was sung in German and proved enormously popular. These involved an average of ninety singers with soloists and orchestral accompaniment. The Christmas concert raised £440 for EACH (East Anglian Children’s Hospice) and the retiring collection from the Summer Concert went to St Mary’s Church, Suffolk.

The Society is supported by a number of volunteers, but special recognition has to be given to the contribution of the Music Committee members who collectively select all the music content for Concerts; provide sheet music for the Summer and Christmas concerts; assist with music recordings for exploration mornings together with the recording of concerts and CD production and all the technical input into advertising and programme concept, design and production. Additionally, “Serendipity”, an organisation which has many Society members within the group, perform at weddings and funerals in villages around Suffolk. All monies raised from their engagements are donated to the Society.

Achievements and Performance

The members of the Society are provided with a weekly rehearsal programme under the direction of the Musical Director and strive together to achieve the highest performance level. The ongoing sense of member community collaboration and achievement provides fulfilment and wellbeing. Singing together in a group is proven to have huge benefits for people’s physical and mental well-being, and social inclusion.

Two very successful public performances with good audience attendance. The year’s two main concerts attracted 268 and 186 respectively.

The Society is in a relatively strong financial position, enabling it to plan and execute bigger and more ambitious public concerts and other projects in the future.

Several choral events were staged to benefit local charities.

The Society supports local events within the community by providing a choir and raises funds to donate to a wider Society. In the year the Society raised funds for the BBC Children in Need.

Financial Review

The Statement of Financial Activities shows a profit of £279 for the year. (2023-loss £2,366). Income for the year amounted to £27,593 (2023 £26,069) and resources expended amounted to £27,314 (2023 £28,405)

The Balance Sheet shows total net assets of £27,011 (2023 £26,732) with cash in hand and at bank of £30,594 (2023 £31,288).

Restricted funds are held to fund the replacement and acquisition of tangible fixed assets such as staging, lighting, musical instruments.

Unrestricted general funds are held to cover 12 months operational fixed costs; potential losses on concerts and to meet unforeseen expenditure.

At 30th April 2024 there was £4,966 in restricted reserves and £22,045 in unrestricted reserves. No reserve fund was in deficit and there are no going concern issues.

The charity’s principal sources of income are membership subscriptions and associated gift aid.

Surplus funds to immediate requirements are invested in deposit accounts with the bank and building society to generate interest.

The main financial risks to the Society are diminishing membership numbers with subsequent loss of subscription income and the possibility of reduced donations from Serendipity. General sustained economic decline causing inflation and escalating costs coupled with loss of income from the public attending concerts is also relevant.

Structure, Governance and Management

The Society is constituted by its governing document as an unincorporated association. Trustees are appointed or re-appointed annually at the Annual General Meeting.

The Trustees give their time voluntarily and receive no remuneration or benefits.

The Society works closely with the organisation Making Music.

The Trustees do not consider that there are any major risks as systems, policies and procedures are in place in line with a small charity. Its website is robust and GDPR and privacy policies are in place. There are strong financial controls which are regularly reviewed.

Names of the charity trustees who manage the charity

Trustee name Office (if any) Dates acted if not for
whole year
Name of person (or body)
entitled to appoint trustee (if
any)
Gill Riddle Chair Members At Annual General
Meeting
Emma Jamieson Minutes Secretary
Elizabeth French General Secretary
Laurie Denton Treasurer
Jessica Bailey BookingSecretary
Ruth Turnbull Concert Manager
Jayne Jones Publicity
Angela McGonnell Vice Chair
Martina Shorts Advertising
Judith Berry Assistant Treasurer

Declarations

The trustees declare that they have approved the trustees’ report above. Signed on behalf of the charity’s trustees

Signature(s) Full name(s) Gillian Lesley Riddle Laurie Lesley Denton Position Chairwoman Treasurer Date 7[th] January 2025

HADLEIGH CHORAL SOCIETY STATEMENT OF FINANCIAL ACTIVITIES (INCORPORATING AN INCOME AND EXPENDITURE ACCOUNT)

FOR THE YEAR ENDED 30 APRIL 2024
Total Total
Notes funds funds
2024 2023
£ £
INCOMING RESOURCES
Ticket Sales 6,956 6,667
Subscriptions 11,763 9,753
Fundraising 1 2,580 4,715
Other income 2 6,294 4,934
---------- ----------
Total incoming resources 27,593 26,069
RESOURCES EXPENDED
Professional fees (director/accompanist/musicians) 3 16,564 14,714
Cost of Venues / Facilities 4 3,961 3,570
Music purchased & printing 190 411
Refreshments 215 425
Web costs 159 60
Equipment purchases 6 178 -
General Advertising & Publicity Fees 402 1,684
Printing posters, tickets & programmes 2,019 2,063
Miscellaneous /gifts to soloists 146 94
Insurance 116 96
Subscriptions & licences 287 437
Lottery prizes 315 300
CD's & recording costs 1,173 1,131
Depreciation 31 41
Administration Expenses 668 783
Fundraising costs 5 890 2,596
---------- ----------
Total resources expended 27,314 28,405
---------- ----------
NET INCOME/(EXPENDITURE) FOR THE YEAR 279 (2,336)
---------- ----------
NET MOVEMENT IN FUNDS FOR THE YEAR 279 (2,336)
Funds brought forward at 1 May 26,732 29,068
---------- ----------
TOTAL FUNDS carried forward at 30 April 27,011 26,732
===== =====

The statement of financial activities includes all gains and losses recognised in the year.

All incoming resources and resources expended derive from continuing activities.

HADLEIGH CHORAL SOCIETY BALANCE SHEET AS AT 30 April 2024

HADLEIGH CHORAL SOCIETY
BALANCE SHEET
AS AT 30 April 2024
2024 2023
Note £ £
TANGIBLE FIXED ASSETS 7 92 123
CURRENT ASSETS
Stock 10 170 99
Debtors 8 1,567 633
Cash at bank and in hand 30,574 31,288
---------- ----------
32,311 32,020
CURRENT LIABILITIES
Creditors: Amounts falling due within one year 9 (5,392) (5,411)
---------- ----------
TOTAL NET ASSETS 27,011 26,732
===== =====
FUNDS
Restricted funds 4,966 4,966
Unrestricted funds 22,045 21,766
---------- ----------
27,011 26,732
===== =====

Approved by the members on 25th June 2024

….................................................................. ..................................................................... Chairwoman - Ms Gillian Riddle Honorary Treasurer - Ms Laurie Denton

HADLEIGH CHORAL SOCIETY NOTES TO THE STATEMENTS

2024 2023
£ £
1 Fundraising
Serendipity donation 250 2,753
Lottery 705 601
Donations received 30 1,025
Sponsorship- Matthew Douglas - 335
Fund raising events 1,595 -
---------- ----------
2,580 4,714
===== =====
2 Other Income
Friends 424 460
Sale of programmes 814 527
Sale of refreshments 920 832
Sale of Music - -
Sale of CD's 240 378
Gift Aid Income 2,025 1,582
Miscellaneous income 137 129
Summer Concert contribution 160 75
Summer Concert Ticket Refunds written back 2021 135 -
Advertising in programme 900 850
Interest 539 101
---------- ----------
6,294 4,934
===== =====
3 Professional Fees
Director of Music/Conductor 4,204 4,010
Accompanist 2,319 1,934
Costs of hiring musicians and singers 10,041 8,770
---------- ----------
16,564 14,714
===== =====
4 Cost of Venues and facilities
Hire of Music and Instruments (inc. printing and repair) 1,304 1,064
Hire of chairs 463 466
Rehearsal Venues 1,510 1,400
Concert Venues 684 640
---------- ----------
3,961 3,570
===== =====
5 Fundraisong costs
Fundraising events 820 -
General donations (Serendipidy costs) 70 2,596
---------- ----------
890 2,596
===== =====

Other funds raised during the year which have not flowed through the Hadleigh Choral Society's Accounts £440 retiring collection for EACH [East Anglia Childrens Hospice]- Christmas Concert

HADLEIGH CHORAL SOCIETY NOTES TO THE STATEMENTS

6 Equipment Purchases

Stage lighting bulbs & cabling 178 -
Banners -
A-Frame -
Credit card machines & power packs -
---------- ----------
178 -
===== =====

7 Tangible Fixed Assets

The Society owns assets with an estimated cost value of £13,496. These assets have a net book value of £92

Assets acquired are funded from the Arthur Vincent legacy which was received between 2012 and 2015 totalling £11,407

Assets marked * below, totalling £6,441 were purchased using legacy funds leaving £4,966 is available for future purchases.

Balancing legacy funds have been segreated and are shown as Restricted Funds. Staging (acquired in May 1999 for £6,800) Lighting (acquired Autumn 2006 £2,255) Roland FP80 Portable Digital Piano, Stand

& pedals, case and piano stool (acquired June 2015 £1,733) * Behringer Eurolive Speaker B207MPS Speaker (acquired Feb 2016 £186) Agrecco Trailer and ramp (acquired April 2017 £4,272) * Amplifying equipment (acquired in November 2020 £250)

8 Debtors
Debtors & Prepayments 700 260
Payments & deposits paid in advance 675 305
Accrued Income 192 68
---------- ----------
1,567 633
===== =====
9 Creditors: Amounts falling due within one year
Subscriptions in advance (4,246) (3,574)
Sponsorship in advance - -
Ticket refunds (Spring 21 concert) - (135)
Creditors & Accruals (1,146) (1,702)
---------- ----------
(5,392) (5,411)
===== =====
170 99
10 Stock of wine & beers ===== =====

March Consulting (East An8lia) Limited Report to the trustses Hadleigh Choral Society I report to the trustees on my examination of the accounts of the above charity ('Ihe Trust'> for the year ended 3010412024. As the charity's trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (°the Act.). ResponsIbiliti￿ and basls of report 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 examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. Independent I have completed my examination. I confirm that no material matters have examiner's statement come to my attention in connection with the examination which gives me cause to believe that in, any material respect.. the accounting records were not kept in accordance with section 130 of the Charities Act; or the accounts did not accord with the accounting records; or the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a 'true and fairf view which is not a matter considered as part of an independent examination. I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. Dats: 21-06-2024 Name: lan Co mbes - March Consulting (East Anglia) Limited Relevant professlonal qualification{s) or body Ilf any): F.C.C.A. M.B.A, Address: Friday Lane Cottage Church Lane Hitcham Suffolk IP7 7NN Directors: lan Coombes Lisa Fairbank Reg. Office . Friday Lane Cottage Church Lane Hitcham IP7 7NN Companies House Registered No: 05186808