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2022-03-31-accounts

let nprg 2021 To 31 March 2022
~ ~ ~
2021-2022 I 2020-2021
Unrestricted funds t Unrestricted funds
6 2
Receipts
nonatlons, logacies and slmgsr Income
bmrhlp Nfbrcnpfom 37,606 33.706
ekr Mombefshlp subsc loon pod tn Ibfnycounnfruoaakrldu) 37,774 31,023
Net menfbe frhlp tubscff ptkfA6 feb! 121
Sales 210 126
1,636
Other
6 mgaf
Inco o
Sub total
rants
Mamrenoce 0 f
cairn gfaALf 11,726 I0,000
Sub total
Fundralslng (gross)
Senofn 1.074
0
ps
-0
IMI edey bcokmg 14,622 117
other hodr msmmi Flora, Nehmfk mdABU) 17,471 2,661
ub total
Invostmsnt income
Bank in le ret I 10
Bu Idfm Scoety inlemrl -0
ll
smut Amxehrn
6bm penn I mrhmnt
P
p
lyn
Ifmcne
Ibm m srlhfem mome
Sub total
Total Gross income
ImoaAce daffy 4,406
Total receipts @II~@
Southampton City Scout District
Receipts and Payments Account
1 LT700002(1stdanuatr 2017)
Cash funds Cash funds
8 me cune nI eccmNI 13,277 47,540
BO
CPOB
BCOOU 48,460
CCLA Chs naca
Inveslmem
Axount 30,742 38,725
6ยป
ea, nemmkend
ubankaccounl 6,374
CsshrF los la 125
Total cash funds
Other monetary assets
Tak ClerAI
oeblsdusfr Ih cmr lyfAearoebagoroup 208
Ins ance
dm
Bub 101st
Investment assets
Investment
propaly
.data 56,216
r
vestments
-dates
u total
Non monetary assets for charity's own use
Brtdga slack 1,0tkl
6
p clock
Othe
stack
L4ata
IUUSdmgs
tartm vafafe 5
Bcougng
I
fnrmrrt farnIUro F ved assets 3,'bll
U Io
Llabafues
rlccotNIS
ot
1st ps 497
Fommm
Nc
fred bUI clot IANI csd
Bubampb
OAS
hot ye I pakl
Loan - data I
Olherllsblbbss open nm U 58, 25th to orers
ub total
Contingent liabglties and future obggatlons
The abovo receipts and payments account and statement ofassets and Uablgtle* were approved by the Trustees on 8th
June 2022 (the date ofthe Ekecuuve Committee meeting that approved the accounts) and signed on their behalf by
Slgfmtum Print Name
Or V M Redford Char
MrJ A Uradtsy Treasurer