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2022-12-31-accounts

REGISTERED CHARITY NUMBER: 1040099

Music in Lyddington

Financial Statements for the year ended 31st December 2022

INDEPENDENT EXAMINERS REPORT TO THE TRUSTEES OF MUSIC IN LYDDINGTON

I report on the accounts of the charity for the year ended 31[st] December 2022, which are set out on the following pages.

Respective responsibilities of trustees and examiner

The charity’s trustees are responsible for the preparation of the accounts. The charity’s trustees consider that an audit is not required for this year under section 43(2) of the Charities Act 1993 (the 1993 Act) and that an independent examination is required.

It is my responsibility to:

Basis of independent examiner’s statement

My examination was carried out in accordance with the general directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts and seeking explanations from you as trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below:

Independent examiner’s statement

In connection with my examination, no matters have come to my attention:

  1. which gives me reasonable cause to believe that, in any material respect, the requirements:

  2. to keep accounting records in accordance with section 41 of the 1993 Act; and

  3. to prepare accounts which accord with the accounting records and comply with the accounting requirements of the 1993 Act have not been met, or

  4. to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Sharon Bromilow Book-keeping & Payroll Services 70 Main Street Lyddington Rutland LE15 9LT

INCOME AND EXPENDITURE ACCOUNTS FOR THE YEAR ENDED 31[ST] DECEMBER 2022

Income 2022 2021
MiL ticket sales 8,446.33
£
4,561.00
£
MiL sponsorship 9,006.00
£
10,575.00
£
MiL membership 8,286.00
£
9,566.00
£
Donations 105.40
£
1,687.68
£
Bank Interest received 213.63
£
5.61
£
Refreshments 2,634.53
£
1,273.50
£
COVID-19 Grants 5,000.00
£
-
£
-
£
-
£
28,691.89
£
-
£
32,668.79
£
MiL Performers fees and expenses (donations
made)
15,727.23
£
11,975.00
£
Ticket sales refunded 95.00
£
234.00
£
Ticketprinting -
£
-
£
Refreshments 887.31
£
481.84
£
16,709.54
£
-
£
12,690.84
£
11,982.35
£
19,977.95
£
Expenditure:
Village hall and church rental 2,032.50
£
1,610.00
£
Postage & Stationery 61.52
£
71.28
£
Brochureprint 2,169.00
£
1,650.00
£
Programme copying& brailing 397.80
£
410.40
£
Poster Print & Mailing -
£
-
£
Sales Commission -
£
-
£
Piano tuning 255.00
£
144.00
£
PerformingRight Society 369.76
£
-
£
MakingMusic 275.00
£
140.00
£
Insurance 257.00
£
175.00
£
Mailshot & brochure distribution 2,264.81
£
2,623.80
£
Website 94.74
£
-
£
TemporaryEvent Notices 168.00
£
168.00
£
Telephone 29.09
£
29.00
£
Accountancy 550.00
£
625.00
£
Helpers 700.00
£
725.00
£
Repairs & Renewals -
£
-
£
Depreciation 373.87
£
401.75
£
Advertising 60.00
£
-
£
Bad debt -
£
-
£
Bank charges 99.25
£
98.00
£
Computers & Software check -
£
-
£
Closingstock adjustment 132.50
56.23
£
End of seasonparty& AGM -
£
-
£
Sundry -
£
-
£
-
£
-
£
-
£
-
£
-
£
10,024.84
£
-
£
8,927.46
£
Net surplus/ deficit 1,957.51
£
11,050.49
£
Asper sage 1,957.51
£
11,050.49
£
0.00
£
0.00
£

BALANCE SHEET FOR THE YEAR ENDED 31[ST] DECEMBER 2022

2022 2021
Fixed Assets
Piano base and lock 35.15 39.06
Piano 4,429.45 4,661.66
Staging 450.93 501.04
Music stands 62.76 69.74
Performers chairs,lights etc 302.51 336.13
Notice board 148.12 164.58
Stage hardware 213.14 236.82
A Frames 54.56 60.62
1.73
-
0.89
-
5,694.89 6,068.76
Current Assets
Stock:
Postage Stamps 170.00
Wine & Soft Drinks 86.15 256.15 123.65 123.65
Bank accounts:
CAF Gold Account 59,587.85 57,612.10
CAF Cash Account 25.00 25.00
- 59,612.85 - 57,637.10
Prepayments MakingMusic Membership 275.00 275.00
Insurance 269.00 257.00
MakingMusic PRS 440.42 369.76
Websitpackage 84.84 -
Sponsor & member forms 225.00 -
Debtors - 1,294.26 61,163.26 901.76 58,662.51
Current Liabilities
MiL unpresented cheques - -
Creditors: Treasurers expenses 963.41 -
St Andrew's PCC Programme Print 397.80 -
Treasurers expenses - chq000591 - 1,290.84
Treasurers expenses unclaimed 42.00 42.00
- -
- -
- -
MiL sponsorshipreceived in advance 3,590.00 5,501.00
Mil membershipreceived in advance 5,130.00 3,120.00
- 10,123.21 - 9,953.84
Net Current Assets 51,040.05 48,708.67
Total Assets less Current Liabilities 56,734.94 54,777.43
Represented by:
Accumulated fund
General fund balance b/f 35,332.43 24,281.94
Surplus/(deficit)for theyear 1,957.51 11,050.49
Special Reserve fund balance b/f 19,445.00 19,445.00
-
TOTAL FUNDS OF THE CHARITY - 56,734.94 54,777.43
0.00 0.00

Approved by the trustees on ………………………………………………………………………………………………..

Trustee …………………………………………………………………………………………………………………………………

Trustee …………………………………………………………………………………………………………………………………

FIXED ASSETS DEPRECIATION POLICY

Piano base and lock Piano Staging Music Stands Performers chairs, light etc Notice board A Frames Staging

10% of net book value (reducing balance) 5% of net book value (reducing balance) 10% of net book value (reducing balance) 10% of net book value (reducing balance) 10% of net book value (reducing balance) 10% of net book value (reducing balance) 10% of net book value (reducing balance) 10% of net book value (reducing balance)

NBV at
01.01.2022
Additions
Depreciation
charge for 2022
NBV at
31.12.2022
Piano base & lock 39.06 3.91 35.15
Piano 4661.66 233.08 4429.45
Staging 501.04 50.10 450.93
Music stands 69.74 6.97 62.76
Performers chairs, lights etc 336.13 33.61 302.51
Notice board 164.58 16.46 148.12
A Frames 60.62 6.06 54.56
Staging 236.82 23.68 213.14
-0.87
6068.76
0.00
373.87 5694.89

STOCK TAKE RECORD

Stock item Quantity Cost Value
White Wine 1 7.75 7.75
Red Wine 8 7.55 60.40
Elderflower Presse 6 3.00 18.00
2nd Class Postage Stamp 250 0.68 170.00
256.15