Saddleworth Round Table RT 558
Financial Statements for the year ended 31 March 2023
Charlty detslls:
saddlev￿rth Round Table Chariiable Trust FurKI- Charity No. 1088243
Tru$lO•5:
Henry Burbidge
Matthaw Syk8S
Andrew Rothwéll
Matthow Johnson
Appointed 6 Wil 2017
Appointed 6 Apfil 2017
Appoinled 30 Mar¢h 2018
Appointed 2 Awil 2020
This report comprises the Truste8s rep￿ and financial statem8nts for the yoar ended 31
March 2023.
Trustees report to the financ5al statements for the year ended 31 March 2023
Saddleworth Round Table cyjntinued to go from strength to strength in 2022123. Many of the
charities income generating events have been able to increase footfall leading to greater
surplus, generated corrpared to previous years.. allowing us to proceed giving to local good
auses. charities arKI community groups.
Our largest event. Sants Dash retumed once again and was bKJger and better than before.
Th8 surplus generated exceeded that generated in 2022 £11.847 (2021: £10,320).
Requests from local good caus8s. charitios and community groups have continued to
incieas8. We were ab￿ to donate funds throughout the year with funds carried forward from
pr8vious years. During the year the charity has made and pl8thJ8d donations of £9.067
(2021: £5,925>.
The Trust8es continue to se8 the b8n8ffts of robust financAI stewardship with each event
subject to a detailed budget and cbse oversight by the Treasurer and v￿6 Tr8asurer. The
Chaimian and Treasurer continug to Supp￿ Trustees to ensure that each av8nt is viable
and contributes to tha aims of the sadd1ew￿th Round Table Charitable Trusl. The charity
continues to Saddleworth Round Table has delivered its purposg through providing support
to local charities arKI gc>od causes in a sustsinable Manner. Trustses beli9ve thg oudook for
th6 Charity remains positive and will continue to operate as a going concem.
Accounts for the year onded 31 March 2023
Basis of Preparation
The accounts have been prepared in accordance with the Charities Act. on an accruals and
going concem basis and reflect the ￿r¥I￿S undertaken by the Trust during the financial
year 1 April 2022 to 31 March 2023.
OFFICIAL

In¢ome and expendlturn account
2022r23
2021r22
Incorne
Comedy NFght 1
Santa Dash & Winter WonderlarKJ
Octob8r Pi8 Fest
SID Gin
Bingo
Gifts & Donations
1.980
23,933
6,438
735
7.505
2,825
21,102
4.320
127
28.567
40,591
Expendltur•
Comedy Night 1
Sants Dash & Winter WonderlarKI
October Pie Fest
SID Gin
Bingo
Gifts & Donations
900
12.086
3.834
663
4.246
9,067
2.237
10.782
4,132
5,925
23.076
Interest rec'd
Surplus l (Deficit) for the year
18
5,491
Balance sheot
2022123
2021122
Fixed assets
Current Assets
Debtors - prepayments
Accrued Income
Bank- Charity awKJunt
Bank - Re$8rrfe Account
18,592
5.018
10.281
5,000
15.281
Currént Liabilities
Unpresented cheques
A￿rUed expenditure
(3.306)
(4.790)
N& curr8nt assets
20.304
10.491
R￿resented by:
Net assets bn
Surt4usl(dèfi¢it) for the year
Net assets clf
10.491
9,813
20.304
5.C(10
5.491
10,491
OFFICIAL

Notes to the accounts
1)Bank
2022123
Charity Arxount
OBal
CBal
10,281
18,592
ReseNe a(xount
OBal
CBal
5.IXIO
5.018
2) Debtors
Prepayments
3) Current Liabilitsès
Unpresented ¢hq's
3,306
Doclaratlon
I confimi that th8 figures p￿Sented within Ihi8 re￿rt represent a true and fair view of the
Trusts activitie8 based on the infonnation available for Ihe year ended 31 March 2023.
Treasurer
Matthew Johnson
Trustse
Trustee
OFFICIAL

Independent Examlnatlon
In conneclion with my examination of the above accounts set out in pages 1 to 3. no matt8r
has come lo my attention..
1. which gives mo reasonablè cause lo believe that in. any material respect, the
requirements:
to keep accounting records., and
lo pr8par8 accounts which ac(x￿d wilh the accounting records and comply with the
accounting requirements of th8 Charities Act
have not been n*t: or
2. to which, in my q)inion, attentK)n shoukj be drawn in ord8f to enabb a proper
undèrstandlng of the accounts io be reached.
RACHÈL CAKi
q ltslz4
OFFICIAL