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2021-03-31-accounts

Unit H Mill Lane Creech St Michael Taunton Somerset TA3 5PX 01823 442160 committee@escapesupportgroup.com

REPORT

Accounts April 2020 - March 2021

Escape ceased trading due to the Covid pandemic from Wednesday 18th March 2020 to 5th October 2021.

The accounts reflect this as there is no expenditure for trips organised, only refunds for cancelled activities.

The only outgoings were rent and utilities for the office space (the office was sublet from (October 2020 to July 2021), wages (which were covered by HMRC Furlough payments) employers tax & pensions payments, insurance, mobile phone and wifi accounts package payments, stamps to send members Christmas cards, and a staff team Christmas lunch to maintain contact.

Income was from grants (some restricted), donations, membership payments, and bank interest. There were no fundraising activities carried out by Escape.

Registered Charity No. 1081446 www.escapesupportgroup.com

**2019/20 ** Income
**All Funds ** Code Income From Generated Funds
4,806.84
£
100 MembershipFees
142.29
£
195 Bank Interest
7,473.08
£
120 Own Fundraising
Refund from Cogo Travel Disney
50,305.69
£
150 Trips & event fees
226.00
£
170 SwimmingFees
2,821.25
£
160 Carers Trip& event fees
Refund from Hub Club
55,838.29
£
110 Income fromgrant making trusts
Income from Covid Relating Grants
6,079.76
£
130 Donations
573.74
£
140 Misc.
Members Credit
Gift Aid
128,266.94
£
Total Income Total Income
Cost of Trips Trips Expenditure
1,450.97
£
16200 fundraisingCosts
66,412.64
£
16000 Trip& Event Costs
Trip& Event Refunds
7,425.00
£
16005 Carers trip& event costs
Carers trip& event refunds
2,177.86
£
16100 Hub Club Costs
1,384.80
£
16110 Hub Club Salary
2,325.00
£
16300 SwimmingCosts
grant repayment
81,176.27
£
Total Cost Of Trips Total Trips Expenditure
LESS EXPENSES Core Costs
5,400.00
£
22700 Rent
688.94
£
23301 Electricity
27,033.51
£
25500 Staff salaries
472.40
£
25600 Employers Tax & NIC
481.46
£
25700 Employerspension
651.38
£
26300 Phone / Broadband / Mobile
419.14
£
26402 Newsletter / Stationery/post
19.50
£
26500 Marketing
299.72
£
26705 Office costs
600.76
£
27002 Insurance
60.00
£
27500 Training
366.16
£
27600 SundryExpenses
367.09
£
27900 Computer & IT Fees
1,352.96
£
28000 Staff / Committee expenses
28100 Volunteer Expenses
38,213.02
£
Total Expenses Total Core Costs
119,389.29
£
Total Expenditure
2020/21 Un Restricted Restricted Restricted
All Funds Funds Funds Salary Funds
461.50
£
461.50
£
109.91
£
109.91
£
4,508.53
£
4,508.53
£
14,500.00
£
14,500.00
£
3,709.00
£
3,709.00
£
310.00
£
310.00
£
17,122.00
£
17,122.00
£
44,217.49
£
44,217.49
£
5,263.07
£
5,263.07
£
651.52
£
651.52
£
90,853.02
£
10,994.53
£
79,858.49
£
350.00
£
350.00
£
21,106.00
£
21,106.00
£
506.00
£
506.00
£
250.00
£
250.00
£
700.00
£
700.00
£
22,912.00
£
350.00
£
22,562.00
£
2,700.00
£
161.57
£
25,599.71
£
25,599.71
£
1,145.41
£
1,145.41
£
526.17
£
526.17
£
549.60
£
549.60
£
129.90
£
129.90
£
600.76
£
600.76
£
36.00
£
36.00
£
433.93
£
433.93
£
31,883.05
£
1,750.19
£
-
£
27,271.29
£
54,795.05
£
2,100.19
£
22,562.00
£
27,271.29
£

Reslricted Core Cost Funds 2,700.00 161.57

2,861.57 2,861.57

Esca esu ort Grou Treasurers Re ort 2019120 Openlng Balances 2020121 £17,468.93 £17,084.12 £6,778.18 £0.15 £41,331.38 Santander Reserve Santander Current Santander Savin RBS £ 17,574.25 £ 9.293.34 £ 23.034.28 307.16 £ 50,209.03 £128,266.94 -£119,389.29 Total Income Total Ex endrture £ 90,853.02 -£ 54,795.05 £8,877.66 Not Income l Ex enditur• £ 36,057.97 £50,209.03 Closin Balances £ 86.267.00 £17,574.25 £9,293.34 £23.034.28 £307.16 £50.209.03 Santander Reserve Santander Current Santander Savin RBS £ 17 608.33 £ 32,243.21 £ 35,609.88 805.58 £ 86.267.00 INDEPENDENT VERIFIER TREASURER ned Name £.1..&4AH)ate