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2022-12-30-accounts

(also known as All Souls Music)

LANGHAM ARTS TRUST Charity number: 1059611, Company number: 3281520

LANGHAM ARTS TRUST Charity number: 1059611, Company number: 3281520

(also known as All Souls Music)

Trustees’ annual report (including Directors’ report) for the year ended 31st December 2022

Index
Index
Page
Trustees’ Report 1
Independent Examiner’s Report 5
Statement of Financial Activities 7
Balance Sheet 9
Statement of cash flows 11
Notes on the Accounts 13-20

LANGHAM ARTS TRUST

Charity number: 1059611, Company number: 3281520

The directors (who also act as trustees for the charitable activities of Langham Arts Trust) have the pleasure in presenting their report and financial statements of the charity for the year ended 31st December 2022.

Summary of the main achievements of the charity this year

During the year the Trust was able to support a wide variety of activities in line with its aims and objectives.

Objectives set for the year

2022 proved to be another momentous year during which some of the charity’s objectives were affected by national events. We came into the year intent on marking the 50th Anniversary of the All Souls Orchestra with the first return to the Royal Albert Hall since the pandemic and joining in celebrating the Queen’s Platinum Jubilee. We expected to end the year with plans well underway for the 2023 Royal Albert Hall event, plans which were thrown out by Royal events with the death of the Queen and consequent plans for the Coronation of the new King which landed on the same date as our RAH booking. WIth other smaller events also planned, we continued to work to seek new funding sources to enable the ministry activities to develop. Through this the charity’s principle objective of advancing the Christian religion underpins all activity, which include plans:

With the return of services now fully up and running, All Souls Music team worked to continue to provide an excellence of music support to All Souls Church, as the online services were phased out. This included returning to be able to provide high quality music provision for the significant moments in the year including Easter, Christmas, and the first post-pandemic Cornerstone week away.

The first half of the year was notable for celebrations. In May, we returned to the Royal Albert Hall with Prom Praise - Faithful - as we recognised that to celebrate 50 years of the All Souls Orchestra through the storms of life was a testament to faithfulness. As well as the reassurance of a full venue, and the presence of a line-up of guest artists - including the first rapper at Prom Praise - this event was our first livestream production from the Royal Albert Hall. We were also privileged to be invited to take part in a song for the Jubilee commissioned by HOPE Together and partners, and written by songwriters Graham Kendrick, Mal Pope and the contemporary worship band Rend Collective.

We were pleased to be able to fulfil invitations from other partner organisations to support their conferences and celebrations, including Bible by the Beach, Youthscape Leaders and Leading the Way.

Christmas, was able to return to full pre-pandemic capacity, which included the concerts Christmas Praise - Joy to the world , Choir Carol Concert , and 18 other carols services within 3 weeks in December.

In terms of planning for 2023, the announcement in December of the date of the King’s Coronation threw up a considerable challenge and consultation process on the way forward - which culminated in the decision to go ahead with what became, The Coronation Prom .

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LANGHAM ARTS TRUST Trustees’ annual report (continued)

Prom Praise for Schools plans moved forward as Michael Andrews consulted Trevor Pearce (All Souls Youth Minister) and Ed Drew (Faith in Kids Director) to discuss suitable themes for the 2024 return to the Royal Albert Hall. Throughout the year, the plans focussed on the theme of King David and Adam Stone of West End has Faith was commissioned to work with the team on developing a script.

In the area of supporting and building the community of musicians, we worked to build a programme of regular training and gathering opportunities where musicians join the Choir on Thursday evenings for bible study and practical training, in addition to the now established Music Ministry Gatherings and New Musicians evenings.

The development work with Stewardship progressed and in June the Trustees were pleased to accept the resulting donation offering to support a new role of Director of Development and Operations, and recruitment began towards the end of the year.

In every part of this activity, the Trustees are very conscious of and grateful for the massive commitment of time and gifts given freely by so many from the players and singers to the unseen support behind the scenes in roles as diverse as operating cameras, catering support, loading equipment and more.

In preparing their statements on public benefit, contained within this trustees annual report, the Trustees have had regard to the guidance issued by the Charity Commission on public benefit

Financial position at end of the period

The company experienced a deficit of £2,895 compared with the deficit of £23,907 for the previous reporting period to December 2021.

Reserves

This brought the charity reserves to £30,917 (of which £29,288 is unrestricted). The Trustees policy is to aim to hold in unrestricted reserves two months working capital.

Risk assessment policy

The systems of internal control are designed to identify risk. They include:

The major risks to which the charity is exposed, as identified by the trustees, are reviewed on a regular basis. The board seeks to ensure that appropriate systems, controls and procedures are put in place to minimise all risks. The principal risk of the present time concerns the on-going challenges of post-pandemic recovery and on-going uncertainty about the return of live events. The Board is continuing to monitor this area and seeking new funding options.

Principal Sources of funds

The charity is dependent on the following sources:

The Trustees were extraordinarily grateful for the continuing support of many committed supporters - including those in the All Souls Music Partnership who continued their regular contributions. In addition a number of generous individuals made increased donations and particularly responded generously to a specific appeal in the later part of the year. Through all of these, the charity was able to balance some of the shortfall in ticket income.

The Trustees are also grateful to a number of supportive suppliers who have discounted their services, particularly the technical teams who are committed to seeing our ministry survive these difficult times.

The Trustees would also like to acknowledge the continuing support of All Souls Church PCC in a number of areas including the provision of office facilities.

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LANGHAM ARTS TRUST Trustees’ annual report (continued)

Langham Arts Trust is a company limited by guarantee, incorporated on 20 November 1996. It is registered with the UK Charity Commission. The company was established under its Memorandum of Association which established the objects and powers of the charitable company and governed its Articles of Association. In the event of the company being wound up members are required to contribute an amount not exceeding £10.

Appointment and induction of Trustees

Trustees are appointed by the Board and at each Annual General Meeting one third of Board Members will retire from office. On retirement Trustees are eligible for re-election. The Articles of Association provides that the number of Trustees shall not be less than three and shall not be subject to any maximum. Trustees are also responsible for the appointment of new members, in line with their understanding of the best interests of All Souls Church. With this in mind, the addendum to the Articles includes agreement that roles of Rector (or Rector’s representative) and Churchwardens (or Churchwardens’ representatives) will always be included.

New Trustees undergo an induction to brief them on their legal obligations under charity and company law, the content of the Memorandum and Articles of Association, the Council and the decision making processes and the recent performance of the charity. They meet key employees and the other Trustees.

Trustees’ & directors’ responsibilities in the preparation of financial statements

The trustees and directors are responsible for preparing the trustees’ annual report and the financial statements in accordance with applicable law and regulations.

The provisions of charity and company law require the trustees and directors to prepare financial statements for each financial year. Under that law, the trustees and directors have elected to prepare the financial statements in accordance with United Kingdom Generally Accepted Accounting Practice (United Kingdom Standards and applicable law). The financial statements are required by law to give a true and fair view in accordance with the United Kingdom Generally Accepted Accounting Practice of the state of affairs of the charity as at the balance sheet date, and of the incoming resources and application of resources, including income and expenditure, for that period. In preparing those financial statements, the trustees and directors are required to:

The trustees and directors are responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the charity, and to enable them to ensure that the financial statements comply with the requirements of the Charities Act 2011 and the Companies Act 2006. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

The trustees and directors are responsible for the maintenance and integrity of the corporate and financial information on the charity’s website. Legislation in the United Kingdom governing the preparation and dissemination of financial statements may differ from legislation in other jurisdictions.

Organisational structure

The trustees meet approximately every quarter to manage the affairs of the charity and instruct the Senior Music Minister and General Manager. The day-to-day coordination of the charity’s affairs is in the hands of the General Manager who heads the small staff team. To facilitate effective operations, the General Manager has delegated authority, within the terms of delegation approved by the Trustees, for operational matters including finance, employment, approved events and production of products produced by the company’s subsidiary.

The Board is very appreciative of the work done by the small dedicated staff team who not only manage huge events in the Royal Albert Hall and support the events around the country and overseas, but also the music groups who play at three services every Sunday at All Souls and the various other services required by the Parish.

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LANGHAM ARTS TRUST

Annual accounts for the year ended 31st December 2022

Charity No: 1059611 Company No: 3281520

Statement of Financial Activities

(including summary income and expenditure account)

Unrestricted Restricted Unrestricted Restricted
Income income Total income income Total prior
funds funds funds funds funds year funds
2022 2022 2022 2021 2021 2021
£ £ £ £ £ £
Income (Note 3)
Donations and Legacies 289,891 13,992 303,883 285,081 26,305 311,386
Charitable Activities 162,804 - 162,804 53,240 - 53,240
Total Income 452,695 13,992 466,687 338,321 26,305 364,626
Expenditure (Note 4)
Raising Funds 12,046 10,601 22,647 12,425 10,290 22,715
Charitable Activities 443,343 3,592 446,935 322,723 43,095 365,818
Total Expenditure 455,389 14,193 469,582 335,148 53,385 388,533
Net movement in Funds -2,694 -201 -2,895 3,173 -27,080 -23,907
Total Funds brought forward 31,982 1,830 33,812 28,809 28,910 57,719
Total Funds Carried Forward 29,288 1,629 30,917 31,982 1,830 33,812

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LANGHAM ARTS TRUST Annu414c¢ounts f¢y th• y•ar •nd•d 31st D•¢•mb•r 2022 No.. 1059611 Cthwny ￿1.. 3261520 Balance Sheet Un￿￿trICI•d Restrlrted Tot41 I￿oMe In¢¢)me wlory¢w funds funds funds 2021 2021 2021 Inwne rrtls 2022 In￿rne fundj Total funds 2022 2022 Flxod A••ots 241 241 InvethentB IMJ 161 Total Flxed A¥¥ets 246 246 3.401 3.401 Current A￿ets 34,504 23,692 58.1 38,￿9 22.898 61.707 Cath at blnk & h)d 131 1,829 1.629 25,321 59.825 24.728 Totsl ¢urrent 1.830 83.537 Cv¢ditor• Jth 121 20.424 20.424 24.396 Net Current a$8etslllabllltle•) 37.772 1,629 39.401 37.311 39.141 Credltorn 8.730 Totsl N•t A•••l• IIIAbllltlM) 29 288 1.629 30917 31 98? 1830 33812 Fund• of the Charlty 29288 29,288 1.629 31.982 31,982 1,8 33.812 IF4 141 1,829 29.288 30,917 31.982 1.630 acGonl•n￿ th• SCIPP(FRS102J Slgn•d by on• or two trusteMldlr•¢torn ¢)n ￿hll of all the trustsMldlie¢lorn Sbjn

LANGHAM ARTS TRUST

Annual accounts for the year ended 31st December 2022

Charity No: 1059611 Company No: 3281520

Statement of cash flow

Statement of cash flow
Unrestricted Restricted Previous year
funds funds Total funds Total funds
2022 2022 2022 2021
£ £ £ £
Cash flows from operating activities:
Net cash provided by (used in) operating activities 932 -201 731 -23,526
Cash flows from investing activities:
Net Cash provided by (used in) investing activities - purchase of equipment -138 -138
Net Cash provided by (used in) financing activities 0 0 0 0
Change in cash and cash equivalents in the reporting period 794 -201 593 -23,526
Cash and cash equivalents at the beginning of the reporting period 22,898 1,830 24,728 48,254
Change in cash and cash equivalents due to exchange rate movements 0 0 0 0
Cash and cash equivalents at the end of the reporting period 23,692 1,629 25,321 24,728
Reconciliation of net income/(expenditure) to net cash flow from operating activities
Net income/(expenditure) for the reporting period (as per the statment
of financial activities) -2,694 -201 -2,895 -23,907
Adjustments for:
Depreciation charges 3,293 3,293 4,341
(Increase)/decrease in debtors 4,305 4,305 -6,137
Increase/(decrease) in creditors -3,972 -3,972 2,177
Net cash provided by (used in) operating activities 932 -201 731 -23,526
Analysis of total cash and cash equivalents:
Cash in hand 23,692 1,629 25,321 24,728
Other 0 0 0 0
Total cash and cash equivalents 23,692 1,629 25,321 24,728

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Notes to the accounts
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Note 1. BASIS OF PREPARATION

1.1 Basis of accounting

These accounts have been prepared under the historical cost convention with items recognised at cost or transaction value unless otherwise stated in the relevant note(s) to these accounts.

The accounts have been prepared in accordance with:

The charity constitutes a public benefit entity as defined by FRS102.

1.2 Going concern

There are no material uncertainties related to events or conditions that cast significant doubt on the charity’s ability to continue as a going concern. In terms of the charity’s development plan there is material uncertainty on the level of unrestricted donations to cover the cost of additional personnel for those developments. The trustees have not yet finally agreed a budget for 2024 as regards those development plans pending further clarity of income.

1.3 Change of accounting policy

The accounts present a true and fair view and no changes have been made to the accounting policies adopted in note 2.

1.4 Changes to accounting estimates

There are no changes to accounting estimates have occurred in the reporting period (3.46 FRS102 SORP).

1.5 Material prior year errors

No material prior year error have been identified in the reporting period (3.47 FRS102 SORP).

Note 2. ACCOUNTING POLICIES

2.1 INCOME

Recognition of income These are included in the Statement of Financial Activities (SoFA) when: · the charity becomes entitled to the resources; · it is more likely than not that the trustees will receive the resources;

· the monetary value can be measured with sufficient reliability.

Offsetting There has been no offsetting of assets and liabilities, or income and expenses, unless required or permitted by the FRS 102 SORP or FRS 102.

Grants and donations Grants and donations are only included in the SoFA when the general income recognition criteria are met (5.10 to 5.12 FRS102 SORP).

Legacies Legacies will be included in the SOFA when receipt is probable, that is, when there has been grant of probate, the executors have established that there are sufficient assets in the estate and any conditions attached to the legacy are either within the control of the charity or have been met. No legacies recieved in the reporting period.

Tax reclaims on donations Gift Aid receivable is included in income when there is a valid declaration from the donor. Any Gift Aid amount and gifts recovered on a donation is considered to be part of that gift and is treated as an addition to the same fund as the initial donation unless the donor or the terms of the appeal have specified otherwise.

Donated goods There were no donated goods, services or facilities in the reporting period

Support costs The charity has incurred expenditure on support costs.

Income from interest, There was no income from interest, royalties in the reporting period royalties and dividends Income from membership Membership subscriptions received in the nature of a gift are recognised in Donations and Legacies. subscriptions

Membership subscriptions which gives a member the right to buy services or other benefits are recognised as income earned from the provision of goods and services as income from charitable activities.

Settlement of insurance claims

No insurance claims in the reporting period

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Notes to the accounts contd.
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Note 2 ACCOUNTING POLICIES contd.

2.2 Expenditure and Liabilities

Liability recognition Liabilities are recognised where it is more likely than not that there is a legal or constructive obligation
committing the charity to pay out resources and the amount of the obligation can be measured with
reasonable certainty.
Governance and support Support costs have been allocated between governance costs and other support. Governance costs
costs comprise all costs involving public accountability of the charity and its compliance with regulation and
good practice.
Support costs include central functions and have been allocated to activity cost categories on a basis
consistent with the use of resources, eg allocating property costs by floor areas, or per capita, staff
costs by the time spent and other costs by their usage.
Grants with performance No grants with performance conditions received in the reporting period
conditions
Grants payable without Where there are no conditions attaching to the grant that enables the donor charity to realistically avoid
performance conditions the commitment, a liability for the full funding obligation is recognised.
Redundancy cost The charity made no redundancy payments during the reporting period.
Deferred income No material item of deferred income has been included in the accounts.
Creditors The charity has no creditors measured at settlement amounts less any trade discounts
Basic financial instruments The charity accounts for basic financial instruments on initial recognition as per paragraph 10.7 FRS102
SORP. Subsequent measurement is as per paragraphs 11.17 to 11.19, FRS102 SORP.
2.3 Assets
Tangible fixed assets for Tangible fixed assets for use by charity are capitalised if they can be used for more than one year and
use by charity valued at cost. The depreciation rates and methods used are disclosed in note 10.
Intangible fixed assets The charity has no intangible fixed assets (that is, non-monetary assets that do not have physical
substance but are identifiable and are controlled by the charity through custody or legal rights.)
Heritage assets The charity has no heritage assets
Investments Fixed asset investments in quoted shares, traded bonds and similar investments are valued
at initially at cost and subsequently at fair value (their market value) at the year end.
Stocks and work in There are no stocks held for sale as part of non-charitable trade.
progress
Debtors Debtors (including trade debtors and loans receivable) are measured on initial recognition at
settlement amount after any trade discounts or amount advanced by the charity.
Subsequently, they are measured at the cash or other consideration expected to be received.

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Note 3. ANALYSIS OF INCOME

Unrestricted Restricted Total Unrestricted Restricted
Income Income Income Income Income Total Income
2022 2022 2022 2021 2021 2021
£ £ £ £ £ £
Donations & Legacies
Donations and Gifts 274,208 12,992 287,200 277,604 26,168 303,772
Gift Aid 15,683 1,000 16,683 7,477 137 7,614
Total donations and legacies 289,891 13,992 303,883 285,081 26,305 311,386
Charitable activities
Christian Music Ministry 162,804 162,804 53,240 53,240
Total Income 452,695 13,992 466,687 338,321 26,305 364,626
Unrestricted Restricted Total Unrestricted Restricted Total
Expenditure Expenditure Expenditures Expenditure Expenditure Expenditure
2022 2022 2022 2021 2021 2021
£ £ £ £ £ £
Note 4. ANALYSIS OF EXPENDITURE
Expenditure on raising funds
Incurred seeking funds 7,000 10,601 17,601 8,033 10,290 18,323
Operating a trading subsidiary 1,350 1,350 1,350 1,350
Advertising, marketing, 228 228 184 184
direct mailing and publicity 3,468 3,468 2,858 2,858
12,046 10,601 22,647 12,425 10,290 22,715
Expenditure on charitable activities
Christian Music ministry 443,343 3,592 446,935 322,723 43,095 365,818
Total Expenditure 455,389 14,193 469,582 335,148 53,385 388,533

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Notes to the accounts contd.
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Note 5. SUPPORT COSTS

Support costs Raising
funds
Christian
Music Ministry
Total Raising
funds
Christian
Music Ministry
Total Basic of
allocation
2022 2022 2022 2021 2021 2021
£ £ £ £ £ £
Governance 600 600 600 600
Staff Costs 8,000 252,776 260,776 8,000 238,538 246,538 by time spent
Production costs 208,206 208,206 141,395 141,395 by direct cost
Other by usage
(PPS etc)
Total support costs 8,000 461,582 469,582 8,000 380,533 388,533

Note 6. DETAILS OF CERTAIN TYPES OF EXPENDITURE

Note 6.1 Fees for examination of the accounts

Note 6.1 Fees for examination of the accounts 2022 2021
£ £
Independent examiner’s fees 404 600
Assurance services other than independent examination - -
Tax advisory fees - -
Other fees (financial advice, consultancy, accountancy services) paid to the independent - -
examiner

Note 7 PAID EMPLOYEES

Note 7 PAID EMPLOYEES
7.1 Staff Costs 2022 2021
£ £
Salaries and wages 203,009 205,835
Social security costs 8,163 15,298
Pension costs (defined contribution pension plan) 17,992 19,221
Other employee Costs 31,612 6,184
Total staff costs 260,776 246,538

No employees received employee benefits (excl. employer pension costs) for reporting period of more than £60,000

7.2 Average head count in the year 2022 2021
Number Number
Fundraising - -
Charitable Activities 8 8
The parts of the charity in which the employees work
Governance - -
Other - -
Total number
employees
8 8

7.3 Ex-gratia payments to employees and others (excluding trustees ) - None

7.4 Redundancy payments - no redundancy payments in the period

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Notes to the accounts contd.
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Note 8. DEFINED CONTRIBUTION TO PENSION SCHEME

(or defined benefit scheme accounted for as a defined contribution scheme)

8.1 Defined contribution pension scheme

Amount of contributions recognised in the SOFA as an expense

2022 2021
£ £
£17,992 £19,221

Basis for allocating the liability and expense of defined contribution pension scheme between activities and between restricted and unrestricted funds:

Pension scheme is allocated as unrestricted expense

Note 9. GRANTMAKING

9.1 Analysis of all grants paid (included in cost of charitable activities)

Analysis Grants to
institutions
Grants to
individuals
Support costs Total
£ £
- -
**Total grantmaking ** - -- - -- - -- - --

Note 10. TANGIBLE FIXED ASSETS

10.1 Cost or valuation

10.1 Cost or valuation
Fixtures, fittings and equipment 2022 2021
£ £ £
At beginning of the year 54,230 54,230 54,230
Additions 138 138 -
Revaluations -
Disposals - - -
Transfers * - - -
At end of the year 54,368 54,368 54,230

10.2 Depreciation and impairments (Straight Line ("SL") or Reducing Balance ("RB")

10.2 Depreciation and impairments(Straight Line ("SL") or R educing Balance ( "RB")
2022 2021
£ £
**Basis SL SL or RB
** Rate 25%
At beginning of the year 50,834 50,834 46,493
Disposals - - -
Depreciation 3,293 3,293 4,341
Impairment - - -
Transfers* - - -
At end of the year 54,127 54,127 50,834
10.3 Net book value
Net book value at the beginning of the year 3,396 3,396 7,737
Net book value at the end of the year 241 241 3,396

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Note 11. DEBTORS & PREPAYMENTS

11. Analysis of debtors

11. Analysis of debtors 2022 2021
£ £
Trade debtors 7,161 15,365
Prepayments and accrued income 10,863 20,968
Other debtors 16,480 2,476
Total 34,504 38,809

other debtors includes £972 (last year £6864) are recoverable in more than 1 year.

Note 12. CREDITORS & ACCRUALS

12.1 Analysis of creditors Amounts falling due within one
year
Amounts falling due after more
than one year
Amounts falling due after more
than one year
2022 2021 2022 2021
£ £ £ £
Accruals for grants payable - - - -
Bank loans and overdrafts - - - -
Trade creditors 11,915 12,941
Payments received on account for contracts or
performance-related grants
Accruals and deferred income 2,900 3,626
Taxation and social security 3,491 5,014
Other creditors 2,118 2,815 8,730 8,730
Total 20,424 24,396 8,730 8,730

12.2 Deferred income

There was no deferred income in the reporting period

Note 13. CASH AT BANK AND IN HAND (at 31 December 2022)

Note 13. CASH AT BANK AND IN HAND(at 31 December 2022) 2022 2021
£ £
Short term cash investments (less than 3 months maturity date) - -
Short term deposits - -
Cash at bank and on hand 25,321 24,728
Other - -
Total cash 25,321 24,728

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14. CHARITY FUNDS

14.1 Details of restricted funds held and movements during the CURRENT reporting period

* Key: PE - permanent endowment funds; EE - expendable endowment funds; R - restricted income funds, including special trusts, of the charity; and U - unrestricted funds

Fund names Type
PE, EE
R or
**UR ***
Purpose and
Restrictions
Fund
balances
brought
f
d
£
Fund
balances
brought
f
d
£
Income
£
Expenditure
£
Transfers
£
Gains
and
losses
£
Fund
balances
carried
f
d
£
All Souls Orchestra
International
R For support of the orchestra
international activity
1,646 176 761 1,061
All Souls Choir R For support of choir 0 650 362 288
Publishing R For publishing project 0 1,459 1,170 289
Prom Praise for
Schools
R For PP4S special education
project
183 11,707 11,900 -10
Other funds R Promotion Video 0 0
Total Funds as per balance sheet 1,830 13,992 14,193 0 0 1,628.73

14.2 Details of restricted funds held and movements during the PREVIOUS reporting period

Fund names Type
PE,
EE, R
**or UR ***
Purpose and
Restrictions
Fund
balances
brought
forward
Income Expenditure Transfers Gains
and
losses
Fund
balances
carried
forward
£ £ £ £ £ £
All Souls Orchestra
International
R For support of the orchestra
international activity
1,646 1,646
All Souls Choir R For support of choir 3,269 692 3,961 0
Publishing R For publishing projects 4,576 4,641 9,217 0
Prom Praise for School R For PP4S special education
project
19,419 10,682 29,917 183
Other funds R Promotion Video 0 10,290 10,290 0
Total Funds as per balance sheet 28,910 26,305 53,385 0 0 1,829.73

14.3 Transfers between funds

There were no transfers between funds during the reporting period

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Note 15. TRANSACTIONS WITH TRUSTEES AND RELATED PARTIES

15.1 Trustee remuneration and benefits

None of the trustees have been paid any remuneration or received any other benefits from an employment with their charity or a related entity

15.2 Trustee expenses

Type of expenses reimbursed This year Last year
£ £
Travel - -
Other (please specify): 0 0
Total Trustee expenses - -
Number of trustees reimbursed for expenses
or who had expenses paid by the charity
0 0

15.3a Transaction(s) with related parties - Current Reporting Period

Name of the trustee
or related party
Relationship
to charity
Description of the
transaction(s)
Amount Balance at
period end
Provision for
bad debts at
period end
Amounts written
off during
reporting period
£ £ £ £
Langham
Promotions Ltd
Subsidiary Current Account 41,619 6,406 5,000 -

Terms and conditions of the transactions above:

15.3b Transaction(s) with related parties - Previous Reporting Period

Name of the trustee
or related party
Relationship
to charity
Description of the
transaction(s)
Amount Balance at
period end
Provision for
bad debts at
period end
Amounts written
off during
reporting period
£ £ £ £
Langham
Promotions Ltd
Subsidiary Current Account 14,847 10,972 10,000 -
Terms and conditions of the transactions above: Active account. No security

Note 16 ADDITIONAL DISCLOSURES

Investment of £5 on Balance Sheet refers to shares held in Langham Promotions Ltd, a 100% owned subsidiary of the charity.

There are no additional significant matters which are not covered in other notes and need to be included to provide a proper understanding of the accounts.

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