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2021-11-30-accounts

Chairman’s Report.

The Charities activities and financial review for the year were discussed and approved at the AGM held at the Sports Pavilion on Wednesday 5[th] July 2023.

The financial review revealed that we had a loss for the year following the years of surplus with large Covid grants. This was due in part to the completion of grant funded works partially supported from previous years, from the increase in maintenance and repair costs and the provision of community play equipment that is free at the point of access.

We have continued to make small improvements to the pavilion and the grounds, mainly finishing off earlier work and laying cables to the main gate.

Football Hire income continued to increase after the pandemic. Hire of the pavilion and camping were similar. We received smaller grants from the Football Foundation and Dorset Council but we still have the majority of the Covid grants in the bank.

We still have a healthy balance which we can use to keep our charges down and to cover a portion of the proposed projects.

The committee members are hardworking and diligent and volunteer their services so as to avoid any regular outflow of funds on matters such as cleaning and pitch maintenance. Business focus action meetings are held on a regular basis to discuss and make decisions, not just for the sake of holding a meeting.

The range and quality of the facilities provided receive positive feedback from users and measures are being put in place to advertise and promote greater use as the only source of regular financial support is from hire charges. The trustees are constantly on the alert to the needs of the community, their ability to pay and seek to deliver a service above expectation.

A grant application for 106 Funding is being progressed that if successful will upgrade and improve the electrical installation and the defective fire alarm system and provide upgrades to the facilities in the form of key coded access that will greatly assist the trustee’s charity work / personal life balance requirement and facilitate greater access to the facilities by members of the community.

The trustees are grateful to Andrew Mott for auditing the accounts, preparing the statement and monitoring the financial management arrangements.

Signed:

6[th] July 2023

Balance Sheet movement in the year ended 30 November 2022 (in pounds 2022 2021 Bank account (3,467) 10,613 Prepayments Loan repayments Movement in debtorslcreditors 187 13561 392 Net Incrnas81(d8crea8e) In assets (£3,075 10,444 Summary of bank account Balance as of 1 December 2021 Movement in the year Balance as of 30 November 2021 23.227 (3.467) £19.760 12,615 10.613 £23,228 We had a loss for the year following the years of surplus with large Covid grants. Football Hire income continued to increase after the pandemic. Hire of the pavilion and camping were similar. We received smaller grants from the Football Foundation and Dorset Council but we still have the majority of the Covid 8rants in the bank. We have continued to make small improvements to the pavilion and the grounds, mainly finishing off earlier work and laying cables to the main gate. We still have a healthy balance which we can use to keep our charges down and to cover a portion of the proposed projects.

Milborne St Andrew Sports Club

Income and Expenditure Account for the Year Ended 30 November 2022

Income 2022 2021
Hire 5,188 4,662
Football hire 4,905 3,290
Donations 563 453
Refreshments tin 51
Grants 4,167 29,544
Camping 433 453
£15,257 £38,453
Expenditure
Furniture 0 0
Rent 282 282
Water 403 239
Insurance 1,602 1,384
Gas 425 481
Electricity 612 499
Property improvements 2,031 4,524
Internet 22 17
Property repairs and 3,299 2,798
maintenance
Ground maintenance 4,708 2,739
Ground improvements 2,125 11,381
Licenses 554 507
Other costs (including 1,344 541
cleaning)
Accountancy 150 181
Games 775
Lost to Door company 2,436
going bankrupt after order
£18,332 £28,009
Net surplus (loss) (£3,075) £10,444

Balance Sheet movement in the year ended 30 November 2022 (in pounds)

2022 2021
Bank account (3,467) 10,613
Prepayments 0 0
Loan repayments 0 187
Movement in debtors/creditors 392 (356)
Net increase/(decrease) in assets (£3,075) 10,444
Summary of bank account
Balance as of 1 December 2021 23,227 12,615
Movement in the year (3,467) 10,613
Balance as of 30 November 2022 £19,760 £23,228

Notes

Money in £14,853.18

Less £66 creditors from 2021 (invoices from last year paid this year)

Plus Debtors £470 (invoices from this year paid next year)

£15,257.18

Money out £18,320.21

Less Debtor (electricity bill from last year paid this year) £42.86

Plus Creditor (electricity bill paid next year) £54.53

£18,331.88

Verified as a true and fair record of the income and expenditure of Milborne St Andrew Sports Club for the year ended 30[th] November 2022 and their financial position at that date

Signed: Andrew Mott

Date: 5[th] July 2023

Chairman’s report.

The Charities activities and financial review for the year were discussed and approved at the AGM held at the Sports Pavilion on Wednesday 5[th] July 2023.

The financial review revealed that we had a loss for the year following the years of surplus with large Covid grants. This was due in part to the completion of grant funded works partially supported from previous years, from the increase in maintenance and repair costs and the provision of community play equipment that is free at the point of access.

We have continued to make small improvements to the pavilion and the grounds, mainly finishing off earlier work and laying cables to the main gate.

Football Hire income continued to increase after the pandemic. Hire of the pavilion and camping were similar. We received smaller grants from the Football Foundation and Dorset Council, but we still have the majority of the Covid grants in the bank.

We still have a healthy balance which we can use to keep our charges down and to cover a portion of the proposed projects.

The committee members are hardworking and diligent and volunteer their services to avoid any regular outflow of funds on matters such as cleaning and pitch maintenance. Business focus action meetings are held on a regular basis to discuss and make decisions, not just for the sake of holding a meeting.

The range and quality of the facilities provided receive positive feedback from users and measures are being put in place to advertise and promote greater use as the only source of regular financial support is from hire charges. The trustees are constantly on the alert to the needs of the community, their ability to pay and seek to deliver a service above expectation.

A grant application for 106 Funding is being progressed that if successful will upgrade and improve the electrical installation and the defective fire alarm system and provide upgrades to the facilities in the form of key coded access that will greatly assist the trustee’s charity work / personal life balance requirement and facilitate greater access to the facilities by members of the community.

The trustees are grateful to Andrew Mott for auditing the accounts, preparing the financial statement and monitoring the financial management arrangements.