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2023-03-31-accounts

ADMINISTRATIVE INFORMATION
DIRECTORS' AND TRUSTEES' REPORT 2-9
INDEPENDENTE~R'S RBPORT 10
STATEMENT OF FINANCIAL ACTIVITIES
BALANCE SHEET 12
NOTES TO THE FINANCIAL STATBMETNS 13-17
THE FOLLOWING PAGE ISFORMANGEMENT
INFORMATION
PURPOSES ONLY AND DOESNOT
FORM PART OF THE STATUTORY ACCOUNTS
TRADING AND PROFIT AND LOSSACCOUNT IS

DIRECTORS AND TRUSTEES DIRECTORS AND TRUSTEES Mr A Ciaburro Mr A Ciaburro (Chairman) (Chairman)
Ms T Ciano
Mr JW Crockett
Mr IM Greenwood
Mr JHill
Ms JKMartin
MrJPlowman
R M Sadique
Mr D Campsall
SECRETARY dr
EXECUTIVE DIRECTOR David Davies
COMPANY NUMBER 2366377(England and Wales
CHARITY NUMBER 1068607
REGISTERED OFFICE Suite G2
Buckingham Court
78Buckingham Gate
London
SWIE 6PE
WEB SITE
INDEPENDENT EXAMINER Sergeant Partnership LLP
5 White Oak Square
London road
Swanley
Kent
BR87AG
BANKERS Cooperative Bank PLC
PO Box250
DelfHouse
South Way
Skelmersdale
WN8 6WT

THE PARLIAMENTARY ADVISORY COUNCIL FOR ADVISORY COUNCIL FOR ADVISORY COUNCIL FOR TRANSPORT SAFETY
STATEMENT OF PINANCIAL ACTIVITIES
HNC LUDING INCOME AND EXPENDITURE ACCOUNT)
YEAR ENDED 31MARCH 2023
Unrestricted Restncted Total funds Total funds
Notes funds
f
funds
f
2023
f
2022f
Income
Doastioos R research greats 2 24,601 69,50D 94,101 128,540
fn some from cherire hie ominNmr
Subscriptions 106,948 106,948 114,628
Conferences aad other projems
income from trading sclivilies
Sponsors snd fees 23,437 23 437 21 000
Interest mcome 3.771 ~3771 60
Total income
Coals ofremmg fender
Promotion R publrcity 4,4113 4,483 3,124
Fnpendimm
on chsrire
ale smbirlesr
Charitable
activities
172,527 70+50 242,777 211L624
Total cape diture 177,009 70 250 247,259 ~221 748
Net iaeome/(cape editors) (18,253) (750) (19,003) 42,480
Funds traosferred
Net movemeat
io
funds (18,253) (750) (19,D03) 42,480
Total funds bmught forwmd at
1stApnl 2022 132,186 750 132,936 90,456
Balsace earried forward at
31stMarch
2023
21423 ~22
Notes f 6 6 8
Tangible assets 10 3,284 4,097
Investment in subsuliary company Il 'i 2
3 'v86 4,099
Debtors 12 9,258 36,796
Cash at bank R in hand 13 289,091 233,767
298,349 270,563
~CREDIT
Amounts falling due withm one year 14 1187,702)
NL'7 CURRENT ASSL'TS 110,647 128,837
NETASSETS 213,933 L32,936
corn
FUNDS
Reslricled Funds 750
Unrestncted funds 15 113,933 132,186
Members Funds 113,933 132,936

6 TOTAL RESOURCES EXPENDED 6 TOTAL RESOURCES EXPENDED 6 TOTAL RESOURCES EXPENDED 6 TOTAL RESOURCES EXPENDED 6 TOTAL RESOURCES EXPENDED 6 TOTAL RESOURCES EXPENDED 6 TOTAL RESOURCES EXPENDED 6 TOTAL RESOURCES EXPENDED 6 TOTAL RESOURCES EXPENDED
StelT Dapmcietioa Other
Ch
nabl
a*avtiese p ndt 142,612 2,438 21,695 166,745 110,756
R sl 'ctwl h
il
bl p nurture 70,250 70,250 103 200
1,364 3,119 4,483 3,124
G
emance
1,364 4,418 5,782 4 658
1M 40 2438 99482 247
9
2 1748
7 NET IIICOIII INC RESOURCES 2103
Th
n t
coming
so slatwlNtn I 8 Ig
0 p
I
Fmwdbl f ed essex o edbychanp 2,438 2,438
Operm
g I
- t 13091 16,482
S STAPP COSTS
Satanas 1011,996 137,140
Scoot ly mam 6,089 5 497
30D55 10,217
145.340 142.854
Awn! b e plhmd Ih sar.
Ch
tabl
o k
Agtmlf
p
d nw a ou tofu eo fu draisi ga dpvmancework
Na employee had benegls over 460000 52022t 60000)
Kmremployeestolalre u ad 858 410 (2022 - 666000)
Th
trustees
receive no remunwatian in aspect of the d ti as Trustees.
Sxp
sea warn
retmbursed
ta onetn ate si 2022/23 t udli g557504 iznM-6129)
9 TAXATION
Th
hmtyisexemptiromta
o iccmemdgsin fgingwilhingecdon505ofdeTaxes
Aml988orSection252oftheT mi fchwge bl
Gai
sActlo92iolheextentthat
m
em applied
to
its charirsbl bj
IO TIREDASSETS -TANGIRLE
Wan Omm
G
Id wd
~Ch 'ly ~ytn
Cost ot' velttsllon
At I IAp 8 2022 4,729 10,671 15,400
Addtl m 1,625 1,625
Dispr sale
AI31stM h 2823 4.739 12296 17 025
Deprecledon
At 1 IAp 112022 2,364 8,939 11,303
Chwg
fo y
w 1,182 1,256 2,438
Onposals
At31 tM h2023 3 916 195 13 741
N IE *kwm
AI31 IM h2023 I UG 101 3
At 31st March 2032 5 I 73 4 I
111
cst tc
t
Boche gc
m DEBTURB
D e
ilhin
y
Pmpayme t 1,008 7,740
0th
dahn
5,250 29,056
PB58 36.796
13CASH AT BANK
Th
hwt
k n I d smoniesheldin mpmi frheMEBTI emfundesshowntnnotel4
14 CREDITORS
A
ount
Big
g d e ithio onc y a t
Tmadona d I tsecu ly 5,150 2,688
A
o
rso
dr b day md naM 0 2 2
IMIMM
i
om - subscnptio 65,070 23,038
'viEBTIPA ners'fund 105,000 105,000
12,480 10,998
1$7 7C! 141 726
IS PUNDS
Bate c
31BSS
f
omi
g
esources
Resoumes
a*pend«i
Tro sfers Balance
31.3.LI
U
Iirmfinds
IM,I06 15$,757 177,010 113,983
Restricted F ds
MEBTI 750 750
pgcooms 15,000 15,000
Road Safely Ad oc cy UIB 43,500 43,500
Urban Sp edL t I l,ootl 11,000
T I
IRestricted
750 69,500 TIL250
Tol
I fu ds
132936 228J57 247 60 ILL933