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2022-07-31-accounts

Registered Charity No: 1050107

SOUTHAMPTON PHILHARMONIC SOCIETY

ANNUAL REPORT AND ACCOUNTS FOR THE PERIOD ENDED 31 JULY 2022

SOUTHAMPTON PHILHARMONIC SOCIETY

ACCOUNTS FOR THE PERIOD ENDED 31 JULY 2022

Index
Page
Report of the Trustees 2
Independent Examiner’s Report 6
Statement of Financial Activities 7
Balance sheet 8
Notes to the accounts 9

1

SOUTHAMPTON PHILHARMONIC SOCIETY

TRUSTEES' ANNUAL REPORT FOR THE PERIOD ENDED 31 JULY 2022

The Committee of Southampton Philharmonic Society (the “Society”) present their annual report together with the accounts of the Society for the year ended 31 July 2022. The committee confirm that the annual report and accounts for the charity comply with the current statutory requirements, the requirements of the charity’s governing document and the provisions of Accounting and Reporting by Charities. Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and the Republic of Ireland (FRS102) (effective 1 January 2016) (”SORP (FRS102)”).

REFERENCE AND ADMINISTRATIVE INFORMATION

Charity Number 1050107

Principal Address

9 Stoke Common Road, Bishopstoke, Eastleigh SO50 6DW

Bankers

CAF Bank

Independent Examiner

Sue Harris 10 Upham Street Lower Upham Hants, SO32 1PH

STRUCTURE, GOVERNANCE AND MANAGEMENT

Constitution

Southampton Philharmonic Society (“the Society”) was established in 1874 and is registered as Charity num 1050107. It is an unincorporated association governed by a constitution, which has been amended from time to time. Its assets rest in the Trustees, who ensure that a committee of elected and ex officio officers carries out the management of the Society.

The Trustees

The Society’s Trustees, under charity legislation, are the elected members of the committee and ex officio chair. They represent interests of the members and have the skills necessary to accept responsibility for the maintenance of the Society’s assets and for the oversight of others, members and non-members, who voluntarily assist the society.

Ex officio appointments are made by the commitee, all other committee members are elected by members at the Annual General Meeting. It is anticipated that the committee should have the skills necessary to manage the affairs of the Society for the benefit or the musical education of its members and of the wider population around Southampton and Hampshire.

2

SOUTHAMPTON PHILHARMONIC SOCIETY

TRUSTEES' ANNUAL REPORT FOR THE PERIOD ENDED 31 JULY 2022

Current Committee

Kate Greaves (Chair) John Newell (Vice Chair) Deborah Mitchell (Secretary) Michael Kelly (Treasurer) Claire Heslop Katharine Ingram Kathryn Kemish Julia Maltby

Margaret Moules Allan Pollock Anne Rogers Peter Smith Susan Stephenson Elena Vorobeva

The Musical Director of the Society, David Gibson, and the Deputy Conductor/Rehearsal Accompanist, Paul Spanton, are ex-officio members of the committee, but are not Trustees.

OBJECTIVES AND ACTIVITIES

The objectives of the Society as set out in its constitution are to promote, improve, develop and maintain public education in, and appreciation of, the art and science of music in all its aspects by the presentation of public concerts and recitals and by such other ways as the Society through its committee shall determine from time to time.

Activities in the year to 31 July 2022

The Choir resumed rehearsals and performances in September 2021, taking care to observe the procedures made necessary by the continuing difficulties caused by Covid-19.

The Choir held three concerts during the year. In December 2021, we performed Rossini's Stabat Mater and Vaughan Williams Serenade to Music, with the New London Synfonia, in the O2 Guild Hall, Southampton. In March 2022, we performed a programme of music by Mozart in Winchester Cathedral, including the Great Mass in C minor. In June 2022, we performed a Showcase of songs from Musicals in the Turner Sims Concert Hall, Southampton.

3

SOUTHAMPTON PHILHARMONIC SOCIETY

TRUSTEES' ANNUAL REPORT FOR THE PERIOD ENDED 31 JULY 2022

ACHIEVEMENTS AND PERFORMANCE

The circumstances of the pandemic meant that the return to rehearsals was carefully managed so that no choir members would consider themselves at an unacceptable risk of exposure to coronavirus, while accommodating members who valued the collegiality of singing together, face to face. Roughly two thirds of members returned to the choir, a total of 102, though not all sang in the concerts.

The three concerts were performed by 70-80 singers, who sang on appropriately spaced platforms and gave their full commitment and made up in energy and passion for their reduced numbers. The audience attendances were noticeably lower than in earlier years, though the final concert attracted the largest audience of the year at Turner Sims.

The choirs finances were subject to continuing uncertainty as the pandemic evolved, and the costs of performing significantly exceeded the income. The year's programme was revised to reduce the expected costs for the third concert. We were fortunate to receive a substantial bequest (£20k) which provided a cushion against the uncertainties.

4

Going Concern Basls The accounts have been prepared on a going concern basis as in the opinion of the Trustees there are no material uncertainties about the charitvs ability to continue. The Trustees declare that they have approved the trustees, report above Signed on behalf of the charity's trustees=_ Si8n3ture Lb)AQ Deborah Mitchell Michael Kel Full name P0S￿on Secretary TreasuTer Si /, - /*U-

SOUTHAMPTON PHILHARMONIC ￿)ClE[y REPORT OF THE INDEPENDENT EXAMINER TO THE MEMBERS OF SOUTHAMPTON PHILHARMONIC soaETY I rekK>rton ￿ aCcour￿￿1 Southompton Philham¥Jnir Society for the yw ended 3tstJuty 3J21 whth •rÈ sÈt out on pa8e$6 to ii. The charfivs trusteesare respon51ble for the preparakn of the accowts. The charfty's trusteÈs tonder thatan #udit15 not ulred for thls year underse¢Uon 144(21 of the ChèthlesA¢t 2011 lthe2011Acil and that Independenlexan￿￿￿0n b needed. It 15 my responsibilty to.. - examlne the accounts secison 145 olthe 2011Art -to follow the F￿￿edure5￿1d down In the Be￿ra1 dlredonsgkn bytt ¢•mmlsslon under 5ectian 14515llbl ol - t05tste W￿the￿partkUknr matters ￿¥¢ come to rny attenuon sbsolkndependertexamlnrf5 f•POrt My examlnadon was c3rrted out In a£c(¥dance wlth the 8erral dlrectlon$8l¥en by1he￿arityC0mMl5S1Ort. An examinatlon includes a rewewof the accounting reclyds kept by the tharity and a comparison ol the accounts presenthd ￿th those records. It alK IncludeSton￿dern160n of any unus￿1 51ems ordlsdosures In the •¢Coun￿ afid seekin8 e¥planation5 frorn you as trustees cencerning any such mètter5. The prO¢￿￿Te$ undertaken do notprtyldeall the evtsjence thatwould be requlred by an audlt and eonsequenity no oplnlon Is8fven as to thether theacctyjnts presenta'true and tslrYW •nd tht ￿pOrt L8 lkntted to those matter5 setoutln th? ne¥t ststem¢nL Ind4pwd¢rf ststwn¢nt In ¢onfiedon wlth my examknaiion. ￿ metrer h•scome tr) myaitenttw.. 111 whlth 8fvtsme re•sM•ble tr>believe thatin alry mated•l rwe¢itr* requIreW￿nts'. . to keep accwnbw records in accordarKe w¢th secbcffi I￿01the 2011 A¢tamd . to prepare accountswhlch I(￿rd wlth the3cc￿l￿g reC(￿th ar￿ cl￿P￿￿7th atte￿AlIn￿￿￿Irlmffits tsf the 2011 Act have notbeen met 121 tO￿kh. In my¢Jplnkn, 3ttenth)n 5houkl be drawn knwderto enable a proper ￿lerSta￿lIn80f the accounts to be reached. Sue Harrts 10 Upham Street Lower Vpham Hants. 5032 IPH 8ned OVion022

SOUTHAMPTON PHILHARMONIC SOCIETY

STATEMENT OF FINANCIAL ACTIVITIES FOR THE PERIOD ENDED 31 JULY 2022

Notes
2
3
4
5
8
Total funds carried forward
Total resources expended
Net movement in funds
RECONCILIATION OF FUNDS
Total funds brought forward
Bank charges
Other expenses
Concert expenditure
Total income
Expenditure on
Charitable activities
Subscriptions/insurance
Donations and legacies
Charitable activities
Fund raising activities
Investment income
Income from
Unrestricted
Funds
£
21,151
38,194
0
0
59,346
43,005
560
96
532
44,193
15,152
79,294
94,446
Restricted
Funds
£
0
0
0
0
0
0
0
0
0
0
0
0
0
Total
2022
£
21,151
38,194
0
0
59,346
43,005
560
96
532
44,193
15,152
0
94,446
Total
2021
£
0
11,451
0
213
11,664
0
705
0
5,475
6,180
5,484
75,910
79,294

7

SOUTHAMPTON PHILHARMONIC soaETY BALANCE SHEET FOR THE PERIOD ENDED 31 JULY 2022 2022 2021 CURRENT ASSErs Cash atbank 73,176 21271 58,026 21,268 C25h w deKX)5ft TotalCurrentAssets 94A46 79294 CREDITORS Arnounts falling due within oneyear NET A55Efs 94A46 79294 FUNrs UnrestrdfurK15 81394 81394 94A46 TheArcountswere apprDved by they￿￿tee5 on kxth September2022 and areS￿nede¢)theIrbe￿ll ￿..- De￿#h Mithl.SecrL*ry

SOUTHAMPTON PHILHARMONIC SOCIETY

NOTES TO THE ACCOUNTS FOR THE PERIOD ENDED 31 JULY 2022

1 The accounts of the charity, which is a public benefit entity under FRS102, have been prepared in accordance with the Charities SORP (FRS102) "Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland", the Charities Act 2011 and the governing document.

The accounts for financial year ended 31 July 2022 are prepared on a cash basis and under FRS102.

2 Donations and legacies

Donations
Legacies
Income from charitable activities
Subscriptions and sponsors
Gift Aid
Sundry general income
Ticket sales
Programme sales
Sale & Hire of music
Workshop income
Sundry concert income
Unrestricted
funds
£
1,014
20,137
21,151
16,523
1,892
174
15,818
660
3,128
0
0
38,194
Restricted
funds
£
0
0
0
0
0
0
0
0
0
0
0
0
Total
2022
£
1,014
20,137
21,151
Total
2022
£
16,523
1,892
174
15,818
660
3,128
0
0
38,194
2021
£
0
0
0
2021
£
9,360
1,500
567
0
0
24
0
0
11,451

3 Income from charitable activities

4 Concert expenditure

Includes rehearsals and workshops
Soloists & Conductor
15,245
Orchestras & hire of music
11,797
Venue Hire
8,506
Programme costs
381
Publicity
954
Commission on ticket sales
1,639
Performing Rights Society charges
172
Purchase and hire of music
3,558
Workshops
600
Miscellaneous expenditure
154
Other expenses
Bank charges
96.00
0
Subscriptions
560.00
0
Sundry Expenditure
532.01
0
Debtors
Accrued income
0
Venue deposit prepayments
0
Total
2022
£
15,245
11,797
8,506
381
954
1,639
172
3,558
600
154
43,005
Total
2022
£
96.00
560.00
532.01
1,188
Total
2022
£
0
0
0
2021
£
0
0
0
0
0
0
0
0
0
0
0
2021
£
0
0
665
665
2021
£
0
2100
2,100

5 Other expenses

6 Debtors

Note: in moving from accrual to cash based accounts, the sum previously shown as 'Debtors' has been deducted from the closing balance 2021 for purposes of comparison with 2022

7 Creditors

Creditors
Amounts falling due within one year
Unpresented cheques
0
0
Accruals/prepayments
0
0
Total
2022
£
0.00
0.00
0
2021
£
0
0
0

8 Net movement in funds

Incoming resources
Resources expended
Net movement
Opening balance
Closing balance
Unrestricted
funds
£
Restricted
funds
£
Total
2022
£
2021
£
59,346
(44,193)
15,152
79,294
94,446
0
0
0
0
0
59,346
(44,193)
15,152
79,294
94,446
11,664
(6,180)
5,484
75,910
79,294

Note: in moving from accrual to cash based accounts, the sum previously shown as 'Debtors' has been deducted from the closing balance 2021 for purposes of comparison with 2022

9 Trustees remuneration

The trustees received no remuneration (nil) during the year (2020 - nil).