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2022-10-31-accounts

LIPHOOK & RIPSLEY CRICKET CLUB

TRIAL BALANCE 2022 Income & Expences Main Acc

Income Debit
Ground & Buildings
Ground & Buildings Dep 177227.36 177227.36
Ground Equipment
Ground Equipment Dep 53414.23 53414.23
Furniture & Fittings
Furniture & Fittings Dep 1861.89 1861.89
Debtors Controle Account
Debtors From 2012 180.00 180.00
Debtors From 2013 477.00 477.00
Debtors From 2020 250.00 250.00
Debtors From 2021 3065.31 3065.31
Debtors Froim 2022 5425.78 5425.78
Bank Accounts
Lloyds Current Account 31 Oct 22 486.46
Lloyds Account 100 Club 31 Oct 22 5961.94
Last Year 122.50
Error 2013 -16.20
Lloyds Savings Account Acc 31 Oct 22 0.04
Lloyds Youth Subs Acc 31 Oct 22 1609.57
Lloyds Adult Subs Acc 31 Oct 22 405.36
Total Cash In Bank 31 Oct 22 8569.67
Creditors Control Account
Creditors PR 2022 As Sheet
Creditors From 2022
Proft Rec Club Paid Bal 2013 1211.66
(425.00 & 786.66 ) 1211.66
Capital Account From 2021
Ground, Budings Equipment
Debtors Pre 2014
Correction Debtors BR
1 Debtors 2020
Loan To Rec Club
Monies Paid To Rec Club Bal 2012
2 LHRCC Current Acc 31 Oct 2021
3 100 Club Current Acc 31 Oct 2021
Balance Acc 2012
Error Acc 2013
4 LHRCC Net Fund Acc 31 Oct 2021
5 LHRCC Youth Sb Acc 31 Oct 2021
6 Adult Subs Acc 31 Oct 2021

7 Creditors 2020 & Pre 2021 8 Debtors 2021 Loan Rec Club Previous Capital Account As 2021 Debtors 2013 Cor 0.80 L Bike R 0.80 0.80 Building Fund Loans Loan - WMS Grants Council Grant SCPL Parish Council Local Living Grant ECB Donations Gift Aid General Donations Net Fund Donations / Raising Donations CR List Sponsorship Players Banners SB Donation Webb Site Spuk Cricket Subscriptions - Senior Sothern Premier League RT Subscriptions - Adult SPUK Subscriptions - Adult Subs Acc Subscriptions - Adult Main Acc Subscriptions - Senior Main Acc Subscriptions - Student Subscriptions - Youth Subscriptions Youth Sub Acc Subscriptions Youth DL Winter Nets Youth Summer Camp Youth Indoor Nets - Youth Youth Grant Kit Kit Sales Youth Equipment Sales - Youth Food Sold Training 6-a-side Tournaments - Youth Outdoor Nets Indoor Nets Total Recreation Club Rec Club Bar Takings Rec Club Rec Club DL

Rec Club Surplas DL
Catering Sales Tuck Shop
Social & Fund Raising
Auction
Cycle Ride
Lottery
Presentation Night
Mini Cricket Bats
Ground Hire
Ground Hire
Croque Club DL
Pavilion Hire
Pavilion Hire DL
New Net Fund Donations
Donations DL
Interest Net Fund Account
Bar collections
Easy Fund Raising Easy Fund Raising
Amazon Europe Amazon Europe
Bank Transfers Transfer From 100 Club Acc
Transfer From Savings Acc To CC
Transfer From Youth Subs Acc 10250.00 10250.00
Transfer To CC Acc
Trannsfer From Adult Subs Acc 12000.00 12000.00
Other Sports Equipment Sold
Club Prints
Insurance claim
Credit Scotish Power
SE Hants PF Refund SE Hants PF Refund
100 Club Income 100 Club Income this Yr
100 Club Income Paid To CC
Loans Loan Paid To Rec Club
Capital Ground & Buildings
New Nets
Ground Equipment
Furniture & Fittings
Write of - equipment
Write of - F&F
Recreation Ground
Steadham
Steadham Ground As Spread Sheet 2766.00 2766.00
Loam
Stedham Creditors List
Ripsley Ground Materials & Labour
Equipment
Machinery/Servicing
Petrol/Diesel
Ripsley Ground As Spread Sheet 10444.89
Expences Rec Club / CC
Cage & Rope 2538.41
Ripsley Ground As Creditors List
12983.30
Works To Ground Rabbit Fencing
Ripsley Pavilion Rates 347.52
Water/Sewerage
TV Licence
Telephone
R&R Building
Items Above In Spread Sheet 1737.48
Sundries Pavilion 192.80 2277.80
Cricket Kit/Balls
Senior Umpires Creditors List
Indoor League
Indoor Nets
Indoor Nets
Afliation Fees
Fines/Compensation
Teas 472.19
Teas From Subs
Trophies/Boards DL 140.00
Overseas Players Exp
Miscellaneous
Items Above In Spread Sheet 3927.02 4539.21
Youth Cricket Courses
Coaching
Coaching Cources
D Oliver S C Creditors List
Youth Kit Purchasted To Sell
Youth Cricket Cost As Spread Sht 3981.83
Youth Cricket Cost Youth Sub Acc 632.62 4614.45
Insurance Insurance 2021 Season 895.95
Insurance 2021 Season Creditors L 1691.82 2587.77
Sponsorship Banners
Costs
Local Events
Liphook In Bloom
Donation & Gifts
100.00
100.00
Club Events
Presentation Night
Sundries
Bank Charges
Bar Lience
Hant Playing Fields
25.00
25.00
Southern League Dinner
Webb Site Fees
330.00
330.00
Rec Club
Purchases
816.07
816.07
Administration
Bar Takings Paid Rec Club
Grant Paid Back
Grant Paid Back
151.20
151.20
100 Club
Prizes
870.00
870.00
100 Club
Social & Fund RS
Expenses
Depreciation
7689.78
7689.78
Bad debts
Written of
Suspense Account
Totals
313684.28
313684.28
Costs
Local Events
Liphook In Bloom
Donation & Gifts
100.00
100.00
Club Events
Presentation Night
Sundries
Bank Charges
Bar Lience
Hant Playing Fields
25.00
25.00
Southern League Dinner
Webb Site Fees
330.00
330.00
Rec Club
Purchases
816.07
816.07
Administration
Bar Takings Paid Rec Club
Grant Paid Back
Grant Paid Back
151.20
151.20
100 Club
Prizes
870.00
870.00
100 Club
Social & Fund RS
Expenses
Depreciation
7689.78
7689.78
Bad debts
Written of
Suspense Account
Totals
313684.28
313684.28
Costs
Local Events
Liphook In Bloom
Donation & Gifts
100.00
100.00
Club Events
Presentation Night
Sundries
Bank Charges
Bar Lience
Hant Playing Fields
25.00
25.00
Southern League Dinner
Webb Site Fees
330.00
330.00
Rec Club
Purchases
816.07
816.07
Administration
Bar Takings Paid Rec Club
Grant Paid Back
Grant Paid Back
151.20
151.20
100 Club
Prizes
870.00
870.00
100 Club
Social & Fund RS
Expenses
Depreciation
7689.78
7689.78
Bad debts
Written of
Suspense Account
Totals
313684.28
313684.28
313684.28 313684.28

115330.78 115330.78 53011.03 53011.03 1861.89 1861.89

2019.20 2019.20 1831.82 1831.82

69989.56

657.00 250.00 0.80 3065.31 500.00 1211.66 1566.02 4641.94 122.50 -16.20 0.04 2508.38 6466.89

-1879.20 -3157.66 -500.00 85427.04

Balances Last Year

1250.00 1250.00
1490.00 1490.00
2250.00 2250.00
16.10
5938.47
395.00
0.00 6349.57
9983.81
9983.81
449.68
366.39 816.07
4799.39 4799.39
260.00 260.00
38.68 38.68
10250.00 10250.00
12000.00 12000.00
2500.00 2500.00
25.00 25.00
2190.00 2190.00 52012.52
1320
-22250
31082.52

31190.80 313684.28 313684.28

LIPHOOK & RIPSLEY CRICKET CLUB

INCOME & EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31 OCTOBER 2022

2022
£
£
INCOME
Grants
1,250.00
Gift Aid
0.00
General Donations
1,490.00
Donations New Webb Site SPUK PM Rabbit F
0.00
Subscriptions Adult
6,349.57
Subscriptions Youth
9,983.81
Sponsorship Banners & Players
2,250.00
Equipment Sales
0.00
Recreation Club Dir
816.07
Recreation Club Proft
4,799.39
Ground Hire / Pavilion
260.00
100 Club Proft
1320.00
Social & Fund Raising Bike Ride
0.00
Easy Fund Raising
0.00
Amazon Europe
38.68
Loan Rec Club
0.00
Insurance Claim
2,500.00
Credit Electric Scottish Power
0.00
Sundries
25.00
31,082.52
EXPENDITURE
Recreation Ground/Stedham - Fixed Costs
2,766.00
Ripsley Ground - Fixed Costs
12,983.30
Ripsley Pavilion - Fixed Costs Inc Refurb 2021
2,277.80
Cricket Adult
4,539.21
Cricket Youth
4,614.45
New Rabbit Fencing
0.00
Items Paid Rec Club
816.07
Administration Webb Fees Bch
330.00
Insurance
2,587.77
Assets disposed of
0.00
Depreciation
7,689.78
Local Events
0.00
Donations & Gifts
100.00
Grant Paid Back
151.20
Sundries Hants PF
25.00
38,880.58
Proft / Loss for the year
-£7,798.06
100 CLUB
Income
2,190.00
Less :
Prizes & Administration
870.00
1,320.00
SOCIAL & FUND RAISING
Income
0.00
Less :
Expenditure
0.00
0.00
2021
£
2539.98
15306.80
5181.63
2190.39
1536.47
6458.00
161.00
538.00
2239.89
0.00
7350.69
50.00
134.44
25.00
43,712.29

LIPHOOK & RIPSLEY RECREATION CLUB

INCOME & EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31 OCTOBER 2022

INCOME
Bar Sales
Bar Sales Banked LHRCC
Less : Stock as at 1 November 2021
Bar Stock
Bar Stock Purchased With CC
Items Purchased LHRCC
Sundries
Stock as at 31st October 2019
Subscriptions
Other
Bank Int
Sundries
EXPENDITURE
Payment Of Bar Surplus To LRCC
Catering Purchases
Fees
Sundries
Surplus For The Year
2022
£
£
6,428.48
449.68
6,878.16
0.00
0.00
1,262.70
816.07
0.00
0.00
2,078.77
4,799.39
0.00
0.00
0.00
0.00
4,799.39
0.00
0.00
0.00
0.00
0.00
£4,799.39
2021
£
0.00
0.00
0.00
0.00
135.03
0.00
0.00
0.00
0.00
0.00

LIPHOOK & RIPSLEY CRICKET CLUB

BUDGET INCOME & EXPENDITURE ACCOUNT FOR THE 2023 SEASON BASED ON THIS YEARS EXPENDITURE ACCOUNT

2023
£ £
INCOME
Grants 3,000.00
Gift Aid 2,500.00
Donations 2,000.00
Sponsorship 3,000.00
Subscriptions Adult 6,000.00
Subscriptions Youth 10,000.00
Match Fees 0.00
Tournaments 0.00
Equipment Sales 0.00
Recreation Club 4,500.00
Other 0.00
100 Club 1,300.00
Social & Fund Raising 1,000.00
Sundries / Pavilion Hire 600.00
33,900.00
EXPENDITURE
Recreation Ground/Stedham - Fixed Costs 3,000.00
Ripsley Ground - Fixed Costs 14,000.00
Ripsley Pavilion - Fixed Costs 3,500.00
Cricket Adult 4,500.00
Cricket Youth 4,500.00
Cricket - Lunches/Teas Included 0.00
Ladies 0.00
Administration 650.00
Insurance 2,800.00
Assets disposed of 0.00
Local Events 200.00
Sundries 300.00
33,450.00
Balance For The Year £450.00

NB Figures Do Not Include Depreciation Estimated To Be £7500.00

Notes

Subs And Match Fees To Be Discussed At AGM Meeting TBC

LIPHOOK & RIPSLEY CRICKET CLUB AGM 23RD MARCH 2023

FINANCIAL INFORMATION FOR THE 2022 SEASON

1

£

16,729.00 3,859.72 300.00 946.83 5,078.20 8,031.50 3,542.97 0.00 213.70 2,855.31 560.00 1,484.00 0.00 76.27 56.97 0.00 0.00 0.00 43,734.47

43,712.29 £22.18

0.00

2,432.00 948.00 1,484.00 0.00 0.00 0.00

1

£

3,301.50 0.00 3,301.50

135.03 3,166.47 0.00 0.00 0.00 0.00 3,166.47

£3,166.47

0.00

LIPHOOK & RIPSLEY CRICKET CLUB

BALANCE SHEET AS AT 31 OCTOBER 2022

FIXED ASSETS
Ground
At cost 1996 to 2022
Plus:Additions During Year At Cost
Less: Depreciation to date
Buildings
Pavilion & Scorebox at cost 1980 to 2022
Plus: Additions during year at cost
Less: Depreciation to date
Equipment
At cost 1992 to 2022
Plus: Additions during year at cost
Less: Equipment written of
Less: Depreciation to date
Furniture & Fittings
At cost 2001 to 2022
Plus: Additions during year at cost
Less: Equipment written of
Less: Depreciation to date
CURRENT ASSETS
Sundry Debtors 2012 & 2013
Correction Debtors Liba Bike Ride
Sundry Debtors 2020
Sundry Debtors 2021
Sundry Debtors 2022
Loan To Rec Club 2014
Monies Paid To Rec Club Bal 2012/13
Cash at Bank and in Hand 31st Oct 2022
CURRENT LIABILITIES
Sundry Creditors Pre 2022
Sundry Creditors 2022
Liphook & Ripsley Recreation Club
Loans
NET CURRENT ASSETS
NET ASSETS
REPRESENTED BY :
General Fund
Balance as at 1 November 2021
Transfer from Building Fund
Proft / Loss for the year
2022
£
£
52,474.18
0.00
52,474.18
10,842.64
41,631.54
124,753.18
0.00
124,753.18
104,488.14
20,265.04
53,414.23
0.00
0.00
53,414.23
53,011.03
403.20
1,861.89
0.00
0.00
1,861.89
1,861.89
0.00
62,299.78
657.00
0.80
250.00
3,065.31
5,425.78
1,211.66
8,569.67
19,180.22
2,019.20
1,831.82
3,851.02
15,329.20
£77,628.98
85,427.04
0.00
-7,798.06
77,628.98
0.00
0.00
0.00
£77,628.98
2021
£
52,474.18
0.00
52,474.18
9,117.72
124,753.18
0.00
124,753.18
99,250.48
53,414.23
0.00
0.00
53,414.23
52,283.83
1,861.89
0.00
0.00
1,861.89
1,861.89
657.00
0.80
250.00
3,065.31
1,211.66
15,289.57
20,474.34
1,879.20
3,157.66
5,036.86
85,404.86
0.00
22.18
0.00
0.00

Steven B White

Laurence Fiddler

Chairman

Hon Treasurer Date:

Date:

LIPHOOK & RIPSLEY RECREATION CLUB

BALANCE SHEET AS AT 31 OCTOBER 2022
FIXED ASSETS
CURRENT ASSETS
Stock On Hand As Valued 31st October 2022
Sundry Debtors At 31st Oct 22
Cash At Bank 31st Oct 22
CURRENT LIABILITIES
Liphook & Ripsley CC (Surplus) 2021
Liphook & Ripsley CC (Surplus) 2022
Sundry Creditors Cricket Club Bal 2012/13
Sundry Creditors At 31st Oct 22
NET CURRENT ASSETS AT 31ST OCT 2022
NET ASSETS
REPRESENTED BY :
General FRec Club
Balance At 1st November 2020
Surplus For The Year
Steven B White
Hon Treasurer Date:
2022
£
£
0.00
0.00
0.00
8,446.09
8,446.09
2,855.31
4,799.39
425.00
366.39
8,446.09
0.00
0.00
Rec Club
0.00
0.00
0.00
Laurence Fiddler
Chairman
2021
£
0.00
0.00
3,280.31
3,280.31
2,855.31
0.00
425.00
0.00
3,280.31
Rec
0.00
0.00
Date:

I certify that the above income statement and balance sheet have been drawn up from the underlying books Francis James & Partners LLP Christopher Salmon ACA Date:

1

£

43,356.46 1,724.92
25,502.70 5,237.66
1,130.40 727.20
7,689.78
0.00
69,989.56 7,689.78
15,437.48
£85,427.04 -£7,798.06
85,427.04
0.00
£85,427.04

0.00 0.00 0.00 Club 0.00 and records.

LIPHOOK & RIPSLEY CRICKET CLUB

ACCOUNTS FOR YEAR ENDING 31 OCTOBER 2022

SUMMARY OF ACCOUNTING PERIOD 1st NOV 2021 TO 31st OCT 2022 ONLY

Income Banked For The 2022 Season As
Detailed Spread Sheet
Total Youth Subs Account Banked 31st October 2022
Total Adult Subs Account Banked 31st October 2022
Current Debtors List 1st Nov 2021 To 31st Oct 2022
Not Including Rec Club Proft
Proft From Rec Club Inc Stock
Proft From 100 Club
Total Income For The Year
Total Expenditure As Expenditure Spread Sheet
Total Expenditure Youth Subs Account
Creditors List 1st Nov 2021 To 31st Oct 2022
Total Expenditure For The Year
Proft / Balance Carried Forward To Next Year
Less Depreaction
Proft / Loss For The Year
8414.46
9983.81
5938.47
626.39
4799.39
1320.00
31082.52
28726.36
632.62
1831.82
31190.80
-108.28
-7689.78
-7798.06

LIPHOOK & RIPSLEY RECREATION CLUB

ACCOUNTS FOR YEAR ENDING 31 OCTOBER 2022

SUMMARY OF ACCOUNTING PERIOD 1st NOV 2021 TO 31st OCT 2022 ONLY

Total Income Rec Club
Total Income Bar Takings
Bar Takings Banked LRCC
Total Expenditure As Expenditure Spread Sheet
Bar Stock Credit Card
Bar Stock Purchased With Bar Takings
BOC Gas
Bar Licence CC Paid This Year
Items Above Paid By LRCC
Total Expenditure
Proft / Balance Carried Forward
Less Stock 1st November 2021
Plus Stock 31st October 2022
Proft / Loss For The Year
Rec Club Surplus 2022
6428.48
449.68
6878.16
1262.70
0.00
0.00
0.00
816.07
2078.77
4799.39
0.00
0.00
4799.39
4799.39