# **EOCG (EASTERN OSWESTRY COMMUNITY GROUP)** 

**Company limited by guarantee   Registration Number 04542353 Registered Charity Number 1096623** 

# **STATEMENT OF ACCOUNTS FOR THE YEAR ENDED 31[ST] OCTOBER 2021** 



**EOCG (Eastern Oswestry Community Group)** 

## **Notes forming part of the financial statement for the year ended 31[st] October 2021** 

## **Accounting Convention** 

The financial statements are prepared under the historical cost convention as modified by the inclusion of investments at market value and in accordance with the statement of Recommender Practice – Accounting and Reporting by Charities (SORP 2005) issued in March 2005, applicable UK standards the Companies Act 1985 and the Charities Regulations 2005 issued under the Charities Act 1993. 

## **Investment Income** 

Investment income is accounted for in the period in which the charity is entitled to receipt. 

## **Resources expended** 

Expenditure is included on an accruals basis. 

## **Tangible fixed assets and depreciation** 

All assets costing more than £100 are capitalized. Depreciation is charged on buildings on a straight-line basis over 50 years. Furniture, equipment and motor vehicles are written off on a straight-line basis over their estimated useful life of 4 years. 

## **Fund accounting** 

Unrestricted funds are those funds which the Trustees are free to use in accordance with the objects of the charity. Restricted funds are those funds which have been given for particular purposes. 

**Investment income** (2020 values in parentheses) 

Interest on cash deposits                           Nil                                      (Nil) 

**Voluntary income** (2020 values in parentheses) 

Grants from Local Authorities /                Nil                                      (Nil) UK agencies / European Union 

## **Trustee Expenses** 

The charity trustees were not paid or reimbursed expenses during the year and no trustee received any payment or emolument for professional or other services. 



|**Staf costs**(2020 values in parentheses)|
|---|
|Salaries                                                      £32253.80(£23282.42)|
|Social Security costs                                             Nil                                    (Nil)|
|Redundancy costsNil<br>  (nil)<br>|
|£ 32253.80                              (£23282.42)|
|**Tangible Fixed Assets**|
|Freehold Property     Furniture & equipment          Total|
|At 31.10.20                        £208593                       £2735                           £211328|
|Additions 2021                   £0                                £980                             £980|
|___________________________________________________________|
|£208593                      £3715                    £212308|
|___________________________________________________________|
|Depreciation charge               £8346                     £250                                £8596|
|for 2021|
|_____________________________________________________________|
|Net book value                   £200247                    £3465                       £203712|
|As at 31.10.21      _____________________________________________________________|
|**Debtors**(2020 values in parentheses)|
|Prepayments and other debtors                              £0                                    (£624)|
|**Creditors**(2021 values in parentheses)|
|Amounts falling due within 1 year                        £0                                       (£0)|





## (EOCG) EASTERN OSWESTRY COMMUNITY GROUP 

||**BALANCE SHEET AS AT  31ST OCTOBER 2021**|
|---|---|
||Unrestricted         Restricted               Total                Total|
||Funds<br>Funds           2021                 2020|
|**Fixed Assets**||
|Tangible assets|0                    212308                 212308             211328|
|**Current Assets**||
|Cash in bank|7,80719                    7826                7826|
|Debtors|0                          -                        0                       621|
||**___________________________________________________**|
|Totals|7807                      19                    7826               8447|
||**___________________________________________________**|
|Creditors<br>|0                              -<br>**0**|
|**0**||
||____________________________________________________|
|Net current assets|7807                         19                   7826                    8447|
||___________________________________________________|
||**____________________________________________________**|
|**Total net assets**|**7807                       212327          220134**|
|**219775**||
||**____________________________________________________**|
|**Funds of the charity**||
|Guarantee reserve|-                                      19                          19|
|19||





Restricted funds               -                               212308                  212308 211328 Unrestricted funds         7807                                 -                          7807 7807 

**Total Funds                 7807                            212327                220134 219154** 

## (EOCG) EASTERN OSWESTRY COMMUNITY GROUP 

## **STATEMENT OF FINANCIAL ACTIVITIES FOR YEAR ENDED 31[ST] OCTOBER 2020** 

||Unrestricted|Restricted|Total                Total|
|---|---|---|---|
||Funds|Funds|2021|
|2020||||
|Incoming||||
|Resources||||
|Investment<br>|0|0|0                 0|
|Generated Funds|66014|0|66014              53258|
|Voluntary Income|0|0|0                     0|
|Other|0|0|0                      0|
|**Totals**|**66014**|**0**|**66014**|
|**53258**||||
|Resources||||
|Expended||||
|Fundraising costs|1345|62006|63351|
|52136||||
|Depreciation|-|250<br>|250                250|





**Totals                                        1345                     61756                63101 51886** 

|Net Incoming|64669<br>(-61756)|64669<br>(-61756)||2913                 (1372)|
|---|---|---|---|---|
|Funds brought forward            7807                            19||||7826                5618|
|**Total Carried forward          72476                   -61737**||||**10739**|
|**6990**|||||
||**EOCG (Eastern Oswestry Community Group)**||||
||Company limited by guarantee||||
||**Balance Sheet as at 31st October 2021**||||
||2021<br>||2020||
|||£||£|
|**Fixed Assets**|||||
|Tangible assets||212308||211328|
|**Current Assets**|||||
|Debtors||0||621|
|Cash in hand/bank||7807||7826|
||____|_____|||
|||||7807|
||8447||||
|**Creditors**|||||
|Amount due within 1|year|0||0|
|**Net Current Assets**||7807||**8447**|
|||_____|_____||
|**Net Assets**||220115||219775|
|**Capital & Reserves**|||||
|Other reserves||19||19|





Profit and loss account                      212308                                      211328 

**Members’ funds                               204501                                     219154** 

## **Directors Report** 

1. For the year ending 31/10/2021  the company was entitled to exemption from audit under section 477 of the Companies Act 2006 

2. The members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006 

3. The director’s acknowledge their responsibility for complying with the requirements of the Act with respect to accounting records and for the preparation of accounts. 

4. These accounts have been prepared in accordance with the provisions applicable to companies subject to small companies’ regime. 

Signed . . . . . . .K A Davies . . . . . . . . . . . . . . . . . . .  Kerry Davies (Director)    Date . 29/07/2022 . 

. . 

## **EOCG (Eastern Oswestry Community Group)** Company limited by guarantee 

## **Notes to the abbreviated financial statement for year ended 31[st] October 2021** 

## **Accounting Convention** 

The accounts are prepared under the historic cost convention and in accordance with the Financial Reporting Standard for Smaller Entities. 

## **Tangible fixed assets and depreciation** 

Depreciation is applied at rates calculated to write off the cost less the residual value of each asset over its estimated useful life, viz. land and buildings on a straight line basis over 50years; fixtures, fittings, equipment and motor vehicles on a straight line basis over 4 years. 

## **Fixed Assets** 

|Cost<br> £|
|---|
|At 1stNovember 2020                                                  51886|
|Additions                                                                           nil|
|At 31stOctober 2021                                                    63101|





______ Depreciation At 1[st] November 2020                                                   8596 Charge for year At 31[st] October 2021                                                     8596 ______ **Net Book Values** At 31[st] October 2020                                                    211328 At 31[st] October 2021                                                    212308 ===== **Company limited by guarantee** Issued and fully paid guarantee                                          £19 === 

