## **Newport (SE Wales) Treasurers Report** 

## **For AGM June 26[th] 2025** 

It was this time last year that I took over as treasurer for our Newport U3A from Richard Baines. 

I would just like to thank Richard for the help he gave me getting to know all that is involved in doing this job. 

As with last year our U3A still finds itself in a very healthy financial position. We have received a very good income from membership renewals this year and as you know we did not need to raise the subscription fee. 

I am sure that our healthy membership numbers are down to the sterling work of our group convenors who make their groups interesting enough for us to keep coming back each year. So a big thank you to them all. 

Having mentioned our healthy financial position though you may have noticed that in the last financial year our income was around £2600 less than our outgoings. 

Income £29,749.12 Payments £32,345.85 

If this was to continue year on year it would obviously become a problem, but I am not too concerned about it at the moment, as I can see how it has happened. 

There are two main reasons. The first concerns a problem with HMRC who are delaying the pay out to us of our Annual Gift Aid claims. This is not something that is affecting just our U3A. It has affected other U3A’s across the UK as well. The 3[rd] Age Trust are talking to HMRC on our behalf to try and resolve this problem and have asked that we do not talk to HMRC ourselves until they have resolved it. 



The second reason for our Income being lower in the last financial year, that’s April 2024 to March 2025, is down to a large number of Membership renewal fees for that year being paid in March instead of after the start of our financial year in April. There were about 60 renewals paid in the March, which amounted to some £2,400 being recorded in the books of the previous year. 

To sum up – There is nothing I can do about the gift Aid Problem at the moment, but I have taken steps, with your help, to make sure that all membership renewal fees are paid after the beginning of April and therefor will appear only on the books of the current financial year. 

So I am fairly confident that I will not be reporting the same loss at next years AGM as I have had to this Year. Thank You. 



INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
NEWPORT (S E WALES) U3A
I report to the trustees on my examination of the accounts of Newport (S E
st
Wales) U3A (the Charity) for'the year ended 31, March 2025, which comprise
the Receipts and Payments Account and Statement of Assets.
Responsibilities and bL7SiS of report
As the charity trustees of the Charity you are responsible for the preparation of
the accounts in accordance with the requirements of the Charities Act 2011 ('the
Act,).
I report in respect of my examination of the Trust's accounts carried out under
section 145 of the 2011 Act and in carrying out my examination I have followed
all the applicable Directions given by the Charity Commission under section
145(5)(b) of the 2011 Act.
Independent examiner's statement
I have completed my examination. I confirm that no material matters have comp
to my attention in connection with the examination giving me cause to believe
that In any material respect:
(l) accounting records were not kept in respect of the Charity as required by
section 130 of the Act; or
(2> the accounts do not accord with those records.
I have no concerns and have come across no other matters in connection with
the examination to which attention should be drawn in this report in order to
enable a proper understanding of the accounts to be reached.
Andrew R. Morgan BFP FCA
63 Western Avenue
Newport
NP20 3QZ
th
19 May 2025

NEWPORT (S E WALES) U3A
FINANCIAL STATEMENTS FOR THE YEAR ENDED 318T MARCH 2025
RECEIPTS AND PAYMENTS ACCOUNT
FOR THE YEAR ENDED 31ST MARCH 2025
025
2024
RECEIPT8
Maln
Subscriptions
Kltchen
Miscellaneous
Donation8
Bank a¢counl interest
10846,00
8434.82
426.Q8
2.00
220.87
22664.00
5495,70
280.00
25.00
177,08
17930.87
?8641.78
Group
Door payment
Trip8
Mis¢ellaneous
1866.45
3296.00
140.00
1552.40
2938.00
90.00
5302.45
4580.40
Theatre group
6516.00
5551.00
TOTAL RECEIPTS
29749.12
38773.18
PAYMENTS
Maln
Rent
Mambershlp'lees
U3A Magazine
Kitchen
Mlscellaneous
Postcode Lottery grant expenditllre
Equipmenl and stationery
Card readerfe05
U3A Trust
13200,00
1828.00
984.20
1698,92
1320,68
549.00
220,00
8,75
458.00
12000.00
1512.00
712.93
12T7.03
856.47
5299.55
435.82
24.06
456.20
20287,SS
22574.ofj
Group
Speakers
Miscellaneous
Trips
1169.00
424.30
3984.00
870.00
532.71
2898.go
5577.30
4101.61
Theatre Group
6501.00
5636.00
TOTAL PAYNENTS
3234S.8S
32311.67

2025
2024
Main net
Group net
Theatre Group net
Cash funds bmught forward
-2336.88
-274,85
15,00
49086,60
6067.72
478.79
-85.00
42625.09
Cash funds carried forwald
48489.87
49086.60
STATEMENT OF ASSETS AS AT 318T MARCH 2025
2025
Cash ffunds
Lloyds Bank Treasurors Account
Dedu¢t.' Oulstsnding cheques
28435.87
-50.00
31257.97
-55.99
28385.87
15106.63
31201.98
14885.76
Barclays Bank 10 day Notice Account
Natwesl Bank Theatre Group account
Doduot.. Outstandlng cheques
3080.87
-264.50
27g4.37
2816.37
10.00
171.00
2794.37
26.49
178.00
Potty cash
Th8atrg Group petty cash
4648g.87
49086.60
The above is a tnje 8tatem8nt of the 8CCDunts for tho period 1 st April 202410 31 st March 2025
Signed..
, D. Gore- Treasiirer