## **MOE Trustees Annual Report** 

**Period:** 1st August 2020 - 31st July 2021 

**Charity Name:** Ministry Of Enlightenment (MOE) 

## **Registered Charity Number :** 1120351 

**Charity's principle address:** The Coach House, Tofts Chase, Little Baddow, Chelmsford, CM3 4BX 

## **Names of Charity Trustees:** 

1. Stephen Turof 

2. Emma Goldie 

3. Stephen Drury 

4. Munir Sayed 

5. Zoe Ben El Htira 

## **Description if Charity's trusts:** 

Type of governing document - Constitution 

How the charity is constituted - CHARITY 

Trustee selection methods - Trustee selection occurs by appointment from all trustees agreement 

## **Additional governance issues:** 

Funds Sanctus Homeless Cafe (#1150313) through organising 



charity fundraising events and making donations towards Sanctus 

Risk may include individuals with mental health or emotional imbalances so phone calls and emails are used to assess health and well being with a new tiered policy for volunteering and exchanges 

Administration support essential to support client care and process development. 

Emma Hughes has voluntarily resigned her position as Trustee on the 6th April 2021. The newly appointed Trustees Stephen Drury and Munir Sayed have joined as of 6th April 2021. This has been a unanimous decision and made in full agreement by all the existing Trustees. 

## **Summary of the objectives of the charity set out in its governing document:** 

Ministry of Enlightenment was founded in 2007 to enable personal and spiritual development for the individuals looking for truth and a retreat space for people to develop and help contribute to the local community through various environmental and social projects. 

## **Summary of main activities for the public benefit in relation to these objects:** 

The main activities the charity has continued with are to provide respite, retreat and advocacy for individuals on an individual and group basis from a non-denominational foundation. 

Funding continues for supporting the mental, emotional and spiritual development of individuals and opportunity for people to attend who can not aford to pay for workshops, teaching and 



course materials. 

We continue to provide resources for supporting vulnerable isolated and homeless individuals with food and respite space in a neutral environment through our donations to Sanctus Charity #1150313. 

## **Further statement in regard to policy making, policy programme and contribution made by volunteers:** 

Due to the Ongoing Covid-19 pandemic all direct work and support for weekend retreats and ground work on the premises has been significantly reduced. This has translated into a lot of online work and coaching sessions for individuals who are still home-isolating. The MOE has been providing greater opportunity for individuals to interact online through the Zoom online platform. People who attend the premises have been largely reduced with the adherence of government guidelines and protocols such as social distancing, health and safety measures. 

Retreats and online workshops are provided online with the aim to help individuals to work on themselves in the comfort of their own homes. 

All direct work and support for online workshops and grounds maintenance has been through volunteering. A summary of reduced hours spent in each area continues to be noted: 

Gardening Volunteering 65 hours 

Cooking volunteering 1045 hours 

Cleaning Volunteering 62 hours 

Administration and operations volunteering 550 hours 

Management Volunteering 260 hours 



Teaching Volunteering 326 hours 

Specialist Consultants 45 hours 

This time was dedicated by over 10 people throughout the year, without this community cohesion and support we would not be able to operate and maintain the level of services we provide. 

## **Summary of tha main achievements of the charity during the year:** 

Establishing and growing our online presence and redesigning our website to allow a greater number of people to participate in online workshops, virtual events to help further outreach our ongoing MOE land projects. 

Continue integrating more activities alongside external and internal space for clients and volunteers and making these available to the local community and our larger online community. 

Growing and expanding our online subscribers and allowing international clients to visit premises and attend under strict Covid protocols and government ruling of the Covid-19 pandemic. 

Establishing various online ventures to widen our audience and increase our clientele. Allowing a greater reach across a global platform online. 

Retreats have been modified to adapt to our online portal and provided on a worldwide scale. Meetings for individuals and our online community have continued to evolve creating greater group cohesion and development. We continue to provide weekly group sessions for our online community and for people who are unable to travel due to financial constraints and health reasons. 

Continuing to develop our online services to reach an even wider online community even those who do not have the opportunity to 



travel and have financial difficulties. 

We continue to monitor, adapt and receive feedback from our clients, volunteers and online and offline communities. This has enabled us to enhance and tailor our services to meet the greater needs of all people involved. 

We continue to expand our services and in order to do this we are more efectively utilising the time and help of our volunteers and support staf  online. Health and mental well being continue to be priority as a charity and we ofer this through our environment workspaces, online services and gardens to the local and wider offline and online communities. 

Our MOE Ashram has continued to be partially open under strict Covid guidelines to allow the ongoing support of individuals, volunteers and group clientele. 

## **Brief statement of the charity's policy on reserves:** 

We endeavour to keep two months running costs, plus emergency funds for unexpected property and grounds repair costs of up to £10,000. This totals £25,000. 

## **Further financial review details:** 

Fundraising Means 

Abroad our travel has been severely limited due to Covid-19 pandemic. We have still been able to use our online portal website and online services to provide: Virtual Online Light Circles, Distance Healing, Virtual Clinic and Online Healing sessions. 

Online workshops have been very successful in helping people 



during Covid-19 pandemic, during their time of ongoing selfisolation and social distancing. 

Generous personal donations of time and money. 

We continue to have live-in and external workers and volunteers to help support our charity works. 

Expenditure continued to support retreat garden space. 

Engaging in feedback mechanisms and resources for processes to ensure services and experiences are optimised through engagement and participation in spiritual practices, services and community development as before. 



|Ashram Shop||||||653.43|653.43|Stock: Ashram Sho|<br>390|Administratio||13,089.21|13,089.21|13,089.21|13,089.21|13,089.21|13,089.21|Utilities:|||-314.47|-314.47||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
|At Home With|||15,878.25||||||390|n<br>Ashram|||||851.75|||Coach House<br>Utilities:||-1,742.24||||||
|Stephen<br>Distant|||33,000.74|||||||General<br>Audit &|||5,242.74|||||CoachHouse<br>Utilities:||||688.94|||6517.96|
|India Retreat<br>healing|||||||975.8|||Bank Fees<br>Accountancy|||1,240.76|||||Coach House||-1367.77|||1367.77|||
|Online||||2,978.94||||||Cleaning|||2,333.43|||||||||||-64,031.69||
|Gayatri and<br>Online||||2,629.23||||||Ashram<br>Donations to|||4,581.54||||||61,600.98|||||||
|Healing/Skyp<br>Online Light||||9,902.52||||||Sanctus<br>Equipment:|||288.7|||||||||||||
|Circle<br>Online Virtual|||||-277.79|||||Ashram<br>Food Coach|||4,362.61||||||8,480.61|||||||
|Clinic<br>Online with||||||317.36||||House Private<br>Food MOE|||5,972.50|||||||||||||
|Emma Goldie<br>Other||||6,437.93||||||Coach House<br>Food|||1,258.31|||||||||||||
|Sales<br>Revenue||||90||||||Workshop<br>General|||368.25|||||||||||||
|Sanctus: Rent|||-1,818.86|||||||Insurance<br>Expenses|||1,885.38|||||||||||||
|TDC Healings<br>Income||||||-926.7||||London Costs|||||||-942|||||||||
|Virtual||||2,671.45||||||Maintenance|||||||65|||||||||
|Total<br>Darshan||||72512.3||||||& Repairs:||||||||||||||||
|||||||||||||||||||||||||||
|Donation: EU||||160||||||Maintenance|||4,904.61|||||||||||||
|Donations:||||5,349.68||||||MOE Field<br>& Repairs:|||1,976.47|||||||||||||
|Gift Aid<br>Donations:||-10,604.50||||||||Outside|||4,877.00|||||||||||||
|Non Gift Aid<br>Online||2,664.11||||||||Service<br>Postage,||||||80.14||||||||||
|Total<br>Donations||-2430.71||||||||Freight &<br>Printing&|||||151.57|||||||||||
|||70081.59||||||||Stationery<br>Sanctus:<br>||||-512.64||||||||||||
|||||||||||Broomfeld<br>Sanctus:<br>||-1,888.06||||||||||||||
|||||||||||Broomfeld<br>Sanctus: Cafe|||||-231.2|||||||||||
|||||||||||cost<br>Sanctus:|||||||270|||||||||
|||||||||||Sanctus: Food<br>Donations|||||||-142|||||||||
|||||||||||Sanctus:||||-698.67||||||||||||
|||||||||||Insurance<br>Sanctus: Rent||-3,375.00||||||||||||||
|||||||||||Staf Training<br>Outgoing|||1,225.00|||||||||||||
|||||||||||Subscriptions||||||79.99||||||||||
|||||||||||Telephone &|||||882.39|||||||||||
|||||||||||Internet<br>Travel -|||||216.91|||||||||||
|||||||||||National<br>Travel:|||1,391.48|||||||||||||
|||||||||||Volunteer<br>Utilities:|||1,400.28|||||||||||||
|||||||||||Ashram<br>Utilities:|||3,277.71|||||||||||||
|||||||||||CoachHouse<br>Utilities: TDC||||||182.2||||||||||
|||||||||||5%<br>Website,|||3,027.74|||||||||||||
|||||||||||Workshop<br>Advertising &||||||12.78||||||||||





Zen Garden
59,843.21

|**MINISTRY OF ENLIG**|**MINISTRY OF ENLIG**|0|||||||<br> <br> <br> <br>|
|---|---|---|---|---|---|---|---|---|---|
|||||||||||
|INCOME AND EXPENDITURE FOR THE YEAR ENDED 31 JULY 2021||||||||||
|||||2020||2021||Ashram shop||
|||||£||£||||
|DONATIONS||||47145.12||68402.62||653.43||
|||||||||||
|TRADING INCOME||||15974.07||68402.62||Ashram Gener||
|LESS;|SEMINAR COSTS|||32694.46||12527.94||851.75||
|||||||||||
|||||||||||
|GROSS PROFIT||||30424.73||55874.68||||
|||||||||Sanctus: Rent||
|RENTAL INCOME||||0||-1818.86||-1818.86||
|||||||||Workshop||
|LESS;|COST OF SALES|||1776.14||634.78||12.78||
||LABOUR CHARGES|||||||||
|||||-1776.14||-2453.64||||
||||||28648.59||53421.04|||
|||||||||||
|LESS;||||||||Utilities: Coa||
||RENT AND RATES|||6135.16||-2649.29||3277.71||
|||||||||Maintenance &||
||REPAIRS TO PREMISES|||-6677.46|4011|1939.67||2452.31||
|||||||||Insurance||
||INSURANCE|||1533.44||1186.71||1885.38||
|||||||||Utilities: Ashra||
||LIGHT AND HEAT|||1361.33||1400.28||1400.28||
|||||||||Donations to S||
||GRANTS/DONATIONS GIVEN|||20474.34||4,851.54||4,581.54||





||||||||||
|---|---|---|---|---|---|---|---|---|
||||||||||
||||||||||
|AHS|DH|India Retreat|Gayatri|OH|COL|VC|EG|Other revenue|
||||||||||
|15789.91|32629.21|975.8|2978.94|2472.07|9902.52|-277.79|317.36|3557.13|
||||||||||
|Equipment: As|Food MOE Coa|Food Worksho|pLondon Costs|Outside Servic|Staf Training|Sanctus: Cafe|Sanctus: Food||
|288.7|5,342.38|1258.31|-942|4877|1225|-231.2|-142||
||||||||||
||||||||||
||||||||||
|Income Private|||||||||
||||||||||
|Stock: Ashram Shop|||||||||
|622|||||||||
||||||||||
||||||||||
||||||||||
||||||||||
|Utilities: Coa|Sanctus: Rent|Sanctus: Broomfeld Utiliites & Phone|||||||
|-688.94|-3375|-1863.06|||||||
|Sanctus: Broomfeld PropertyMaintenance & Repairs|||||||||
|-512.64|||||||||
|Sanctus: Insurance|||||||||
|-698.67|||||||||
|m|||||||||
||||||||||
|Sanctus: Donations SoupKitchen|||||||||
|270|||||||||





|||||||||
|---|---|---|---|---|---|---|---|
|||||||||
|||||||||
|Sales|TDC healings|Darshan|Don EU|Don GA|Don Non GA|Online Donations||
|||||||||
|90|-926.7|2671.45|160|5349.68|-10604.5|2,664.11||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
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|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||
|||||||||





|||||||||Administration|<br> <br>h<br><br> <br>a<br>n|
|---|---|---|---|---|---|---|---|---|---|
||CASUAL WAGES/ADMIN|||8957.14||13089.21||13089.21||
|||||||||Maintenance &||
||REPAIRS AND RENEWALS|||3903.84||65||65||
|||||||||Telephone & In||
||TELEPHONE & INTERNET|||1098.6||882.39||882.39||
|||||||||Postage,Freig||
||POSTAGE AND STATIONERY|||592.64||231.71||80.14||
|||||||||General Expen||
||COMPUTER EXPENSES|||0||368.25||368.25||
|||||||||Travel - Nation||
||TRAVEL EXPENSES|||3442.88||2072.79||216.91||
|||||||||CleaningAshr||
||CLEANING COSTS|||3239.26||2333.43||2333.43||
|||||||||||
||WORKS REPAIRS|||0||||||
|||||||||Subscriptions||
||SUNDRY EXPENSES|||0||79.99||79.99||
|||||||||Website,Adve||
||ADVERTISING & WEBSITE|||4874.23||3027.74||3027.74||
|||||||||Bank Fees||
||BANK CHARGES|||756.15||1240.76||1240.76||
|||||||||Zengarden||
||ZEN GARDEN|||7685.03||4193.22||2288.03||
|||||||||Audit & Accou||
||PROFESSIONAL FEES|||4540.53||4885.24||4885.24||
||||||61917.11||39198.64|||
|||||||||||
||SURPLUS OF INCOME OVER EXPENDITURE||||-33268.52||14222.4|||
|||||||||||





n & Repairs: Ashram nternet Printing & Stationery 151.57 nses Travel: Volunteer Costs 1855.88 am rtising & Marketing Moe field 1905.19 ntancy fees 



14222.4

|**MINISTRY OF ENLIGHTENMENT**|**MINISTRY OF ENLIGHTENMENT**|**MINISTRY OF ENLIGHTENMENT**|||||||
|---|---|---|---|---|---|---|---|---|
||||||||||
|BALANCE SHEET AS AT 31ST JULY 2021|||||||||
|||||**2021**||**2020**|||
|||||£||£|||
||PROPERTY|||433,836.00||433,836.00|||
||LESS     LOANS||||||||
|||||433,836.00||433,836.00|||
||||||||||
||CURRENT ASSETS|||||||MOE Current A|
||CASH AT BANK|||47,876.87||19,427.66||47,876.87|
||FURNITURE & FIXTURES|||404.41||268.43|||
||OTHER DEBTORS|||13,509.67||52,590.64|||
|||||61,790.95||72,286.73||Accounts recei|
|||||||||12840.09|
||CURRENT LIABILITIES|||1,322.40||26,194.04|||
||CREDITORS & ACCURUED EXPENSES|||1,322.40||26,194.04||836|
|||||||||Accruals|
||NET CURRENT ASSETS|||60,468.55||46,092.69|||
||||||||||
|||||**494,304.55**||**479,928.69**|||
||||||||||
||||||||||
||RETAINED SUPLUS|||480,082.15||513,197.21|||
||PROFIT FOR YEAR|||14,222.40||-33,268.52|||
|||||**494,304.55**||**479,928.69**|||
||||||||||
|||||494304.55|||||
|||||0.00|||||






**----- Start of picture text -----**<br>
Account<br>SummerhouseComputer Office Equipment<br>46.98 357.43<br>Private Costs SPaypal<br>318.94 350.64<br>-3 489.4<br>Suspense Accounts payable<br>**----- End of picture text -----**<br>




|**Utilities 20-21**|**Utilities 20-21**|||Utilities invoice owed byEmma for 19-20 of|Utilities invoice owed byEmma for 19-20 of|Utilities invoice owed byEmma for 19-20 of|<br> <br>M<br> <br>o<br> <br>1<br>|
|---|---|---|---|---|---|---|---|
||Aug20-Mar 21|Apr 21 -Jul 21|**INV AMOUNTS**|||||
|Emma 17%/7%|<br>451.51|69.16|**520.67**|||||
|ST 18%/28%|1048.8|792.24|**1841.04**||From Apr 21 65%/35% ST EG|||
|TDC 5%|132.8|49.4|**182.2**||From Apr 21 EG 7% ST 28%|||
|MOE 60%||||||||
|||||||||
|**Food 20-21**||||**Took out duplicate**||||
||Aug20-Mar 21 50/|Apr 21 -Jul 21 65/35||**transaction**|**INV AMOUNT**|**S**||
|Emma|1,819.12|253.53|**2,072.65**|-13.48|2,059.17|||
|ST|1,819.12|470.84|**2,289.96**|-13.48|2,276.48|||
|||724.37||||||
|**Private costs 20-21**|||**INV AMOUNTS**|||||
|Emma|35.59||**35.59**|||||
|ST|156.85||**156.85**|||||
|||||||||
|**Private Costs for ST and EG for previous years**|||**INV AMOUNTS**|**PAID**||||
|<br>**ST Aug 16-Jul**|<br> <br>**318.94**||**318.94**|||||
|||||||||
|EG 17-18|125.35||||**6)**|||
|EG 18-19|203.29||||Invoice of £2881 was made o|||
|EG 19-20|1289.18||**INV AMOUNTS**|**PAID**|Paid on 3rdJune 2020|||
|**EG 17-20 TOTA**|<br>**1617.82**||**1617.82**||Manualjournal in other debt|||
||||||Shouldn't this have been a re|||
|||||||||
|**Maintenance & Repairs: Coach House 20-21 for ST**||||||||
|Total|4904.61|||||||
|MOE|2452.31||**INV AMOUNTS**|**7)**|Is this the £1199.11 on the 3|||
|ST|2452.3||2452.3||MOE invoiced Sanctus 1199.|||
||||||I don't understand,Moe has i|||





f £936.57, Emma has paid £305 credit on 30th June 2021 that offsets against this. So oustanding invoice for 19-20 is now £631.57. 

|f £936.57,Emma haspaid £305 credit on 30thJune 2021 that ofsets against this. So oustandinginvoice for 19-20 is now £631.57.|f £936.57,Emma haspaid £305 credit on 30thJune 2021 that ofsets against this. So oustandinginvoice for 19-20 is now £631.57.|f £936.57,Emma haspaid £305 credit on 30thJune 2021 that ofsets against this. So oustandinginvoice for 19-20 is now £631.57.|f £936.57,Emma haspaid £305 credit on 30thJune 2021 that ofsets against this. So oustandinginvoice for 19-20 is now £631.57.|f £936.57,Emma haspaid £305 credit on 30thJune 2021 that ofsets against this. So oustandinginvoice for 19-20 is now £631.57.|f £936.57,Emma haspaid £305 credit on 30thJune 2021 that ofsets against this. So oustandinginvoice for 19-20 is now £631.57.|f £936.57,Emma haspaid £305 credit on 30thJune 2021 that ofsets against this. So oustandinginvoice for 19-20 is now £631.57.|f £936.57,Emma haspaid £305 credit on 30thJune 2021 that ofsets against this. So oustandinginvoice for 19-20 is now £631.57.|f £936.57,Emma haspaid £305 credit on 30thJune 2021 that ofsets against this. So oustandinginvoice for 19-20 is now £631.57.|
|---|---|---|---|---|---|---|---|---|
||||||||||
|||Amana left in Sept 21|||||||
|for food||Jordan came back inJuly21|||||||
|MOE 60% TDC 5% utilities||Jordan at Lauras from Feb 22|||||||
||||||||||
||||||||||
|||Need to recalculate new utilities split from Feb 22 onwards|||||||
||||||||||
||||||||||
|||Invoices forprivate costs for ST and EG need to be created and mileage need to be created|||||||
|||Invoices for mileage need to be created|||||||
|||ST waspaid for 19-20 inv for mileage butpreviousyears mileage hejust ofset it agianst hisprivate c|||||||
||||||||||
||||||||||
||||||||||
||||||||||
||||||||||
||||||||||
||||||||||
|on 30th May2019 for ST overpayment of council tax for 2018|||||||||
||||||||||
|ors created for £2881 - St Council Tax reconciliation 2019 2020 to be claimed back from Council|||||||||
|eceivable invoice,not ajournal? I don't understand this.|||||||||
||||||||||
||||||||||
||||||||||
|1stJuly2020?|||||||||
|11 on the 31stJuly2020 and Sanctuspaid into MOE on 6th August 2021 accordingto the notes of the invoice,but I cant see thepa|||||||||
|nvoiced Sanctus butpaid Sanctus that same amount?|||||||||



on 30th May 2019 for ST overpayment of council tax for 2018 ors created for £2881 - St Council Tax reconciliation 2019 2020 to be claimed back from Council eceivable invoice, not a journal? I don't understand this. 1st July 2020? 11 on the 31st July 2020 and Sanctus paid into MOE on 6th August 2021 according to the notes of the invoice, but I cant see the pa nvoiced Sanctus but paid Sanctus that same amount? 



## This £305 is in the account Utilities: Coach House Private Goldie - 17% 

osts 

ayment coming into the MOE. MOE also paid Sanctus the same amount £1199.11 on 23rd August 2021, this was for donations made 



2 to Sanctus but sent to MOE.


**----- Start of picture text -----**<br>
Mileage Miles Mileage claim at 45pm/m INV AMOUNTS 10)  Suspense<br>ST 512 £230.4 230.4 30 Sep 2018 153.46 Couples Distance<br>EG 520 £234 234 -3 Springfield Hos<br>31st July 776.81 MOE paid ST fo<br>31st July 776.81 ST invoiced for<br>3rd Aug 2020 776.81 Receive money<br>The debit went to the account: Food MOE Coach Hous<br>Not sure why ST was paid for food by MOE?<br>-232 ToNAtures Frequencies EMF<br>On Xero but not on statement:<br>02/12/20 78.48 Stripe Theres already one for that amount and dat<br>25/03/21 538.55 Stripe This is not on the bank statements<br>04/07/21 -53.92 Tesco There is already a £53.91 for Tescos on that<br>31/07/21 -3 Jamies Fruit and VeThis is not on the bank statements<br>31/07/21 -71.28 Priory Pet and CounThis is not on the bank statements<br>31/07/21 -70.73 Jamies Fruit and VeThis is not on the bank statements<br>418.1<br>**----- End of picture text -----**<br>




Healing Omited from 2018/19 accounts so put in suspense spital, MOE paid 269.06, Emma paid back 266.06, £3 short or food up till 07/19 r this amount for food up till 07/19 y from ST for food till 07/19 se Staff/Volunteer, the credit went to suspense Eg Spending or MOE TBC te on Xero so this is a duplicate t date, this one isnt on the bank statements 



Check that P/L and B/S balances Recalculate food and utility splits, change P/L and B/S figures then check th Create draft ST and EG private costs invoices for different years Create draft ST and EG utilities invoices for 20-21 Create draft ST and EG food costs invoices for 20-21 Show EG overdue invoices and new EG utilities invoice for 19-20 Show EG overdue inv from previous years Watch Vimeo recording 

|||13.48 Cahnged the fod private inv|
|---|---|---|
|||26.96 Put half of the 50 amount, 26|
||Private costs 20-|53.92|
|Emma|504.47||
|ST|87.05||
|ST 19-20|113.64||
|ST 18-19|13.55||
|ST 16-17|232.2||
|EG 17-18|125.35||
|EG 18-19|203.29||
|EG 19-20|1289.18||



## Utilities: 

Utilities invoice owed by Emma for 19-20 of £936.57, Emma has paid £305 

ST and Emma want to offset their private costs against Mileage claims. The 

Shuayb Notes: Private costs 

16-17: ST - Create inv for £232.20 from MOE to ST to offset? It wont need to Create ST private costs for 18-19 for £13.55. Create ST private costs inv for 20-21 for £87.05 

Create ST private costs for 19-20 for £113.64. Should the manual journal of Create EG private costs invoices below 

955.5 2606.98 310 1280 



2545.5 

61.48 

## ON STATEMENTS BUT NOT ON XERO 

|03/08/2020|-3106.54|FT|201995 03481|
|---|---|---|---|
|03/08/2020|-180|FT|201995 03481|
|03/08/2020|-600|FT|201995 03481|
|03/08/2020|-350|FT|201995 03481|
|03/08/2020|-700|FT|201995 03481|
|03/08/2020|698.67|FT|201995 03481|
|03/08/2020|142|FT|201995 03481|
|03/08/2020|231.2|FT|201995 03481|
|03/08/2020|434.26|FT|201995 03481|
|03/08/2020|3375|FT|201995 03481|
|03/08/2020|-1818.86|FT|201995 03481|
|03/08/2020|1842.67|FT|201995 03481|
|03/08/2020|192|FT|201995 03481|
|03/08/2020|-310|FT|201995 03481|
|03/08/2020|-755.79|PAYMENT|STEPHEN TURO|
|03/08/2020|-12.78|PAYMENT|EMMA GOLDIE|
|03/08/2020|-30.05|PAYMENT|EMMA GOLDIE|
|03/08/2020|136.06|BBP|TUROFF S ST U|
|03/08/2020|2351.46|BBP|TUROFF S SUM|
|03/08/2020|3238.44|BBP|TUROFF S ST C|
|03/08/2020|4481.33|BBP|TUROFF S CHR|
|03/08/2020|766.69|BBP|TUROFF S ST F|
|03/08/2020|502.49|BBP|TUROFF S ST F|
|03/08/2020|531.1|BBP|TUROFF S ST C|
|03/08/2020|776.81|BBP|TUROFF S ST F|
|03/08/2020|776.81|BBP|TUROFF S MA C|
|03/08/2020|-7836.6|PAYMENT|STEPHEN TURO|
|03/08/2020|-5328.75|PAYMENT|STEPHEN TURO|
|03/08/2020|-460.82|PAYMENT|STEPHEN TURO|
|03/08/2020|-500.59|PAYMENT|STEPHEN TURO|
|03/08/2020|-10.01|PAYMENT|STEPHEN TURO|
|03/08/2020|-866.56|PAYMENT|STEPHEN TURO|
||**-2390.36**|||



B/S is £48,294.97 but on the bank statement ending 31/07 it is £47,876.87 



hat P/L and B/S balances Banks agree with bank statements Justification for B/S stuff i.e other debtors, who are they, w 


## 6.96 took that off food volunteers 

credit on 30th June 2021 that offsets against this. So oustanding invoice for 19-20 is no 

ey have already been paid for mileage in previous years. Can they offset mileage claims 

o be paid though 

f £100.66 be paid? 

1911.95 



1684.5 

1042 MOE DON SA 0720 FT 1042 KLIMENCODON010720 FT 1042 KLMENCODON081219 FT 1042 KLIMENCODON010719 FT 1042 MMSAYEDDON01010720 FT 1042 INSRNCCFE0720 FT 1042 CFFDCSTS0720 FT 1042 CFECSTS0720 FT 1042 8PCCHUTL0720 FT 1042 CAFE RNT 2QTR20 FT 1042 RNTINCMPRVT0720 FT 1042 BRMUTLPHN0720 FT 1042 BRMFLDPRPMNT720 FT 1042 INDDONATIONS TO SA FT OFF FOODZEN TO 020420 BBP WRKSHP BBP ZEN GRDN BBP UTLTS 0719 BBP MMERHSE0717 BBP CNCLTX0717 BBP RPRSMAIN0717 BBP FOOD JULY17 BBP FOOD JULY18 BBP CNCL TX OWD BBP FOOD COSTS 0719 BBP CONTRA BBP OFF HLNGMNSTO AUG18 BBP OFF HEALINGMNS0719 BBP ON XERO BUT NOT ON STATMENTS OFF FOOD TO 0618 BBP OFF DRAWBACKS TO 0819 BBP 31/07/21 Jamies -70.73 OFF ZEN GRDN FUEL BBP 31/07/21 Pet Priory -71.28 OFF ST DRAWBACKS1118 BBP 31/07/21 Jamies -3 -145.01 

. A difference of £418.10. Shuayb to investigate. Either got a duplicate credit or missing 



why do they owe moe money, same with creditors 


ow £631.57. This £305 is in the account Utilities: Coach House Private Goldie - 17% 

s for 20-21 against all private costs that they still owe from 16-17 to present? 



i a debit.

(HARITY COMMISSION Independent examinerfs report on the
FOR ENGLAND ANO WALES
accounts
Section A
Independent Examiner's Report
Report to the trusteesl
members of
Ministry Of Enlightenffent
On accounts for the y•ar
ended
31° July 2021
Charity no
Ilf any)
1120351
Set out on pages
I report to the trustees on my examinatM)n of the accounts of the above
charity ￿he Trust") for the year end&
Responsibilltles and
basls of report
As the charity's Irustees. you are ￿pOnsIble for Ihe preparation of the
accounts in accordance wrth the requirements of the Charities Act 2011
{Ihe Acr).
I report in respect of my examination of the Trust's actounts carried out
under section 145 of the 2011 Act and in carrying out my examination. I
have follow&J al the applicable Ch.r￿tionS given by the Charity Commission
under sethon 145(5)(b) of the Act.
Independent
examiner'8 Statement I have ￿rnpleted my examinati￿. I confirm that no maleflal matters have
come to my attention in conn&tion with the examination (other than that
disclosed belcm ') which gives me cause to believe that in. any material
respect.
the accounts'ng records were r#)t kept in ￿T￿ance wrth sects'on 130
of the Chartties Acl.. or
the accounts did not accord with the accounting records. or
the accounts did not comply wilh the apFJicable requirements
concerning the fomi and content of accounts sel out in the Charities
(Accounts and Reports) Regulations 2008 other than any requirement
that the ￿)unt$ give a 'true arKI fair, view which is not a matter
considered as part of an indeFendent examinats'on.
I have rK> C<)n¢erns arKI have corrE across no other matters in connection
with the examination to which attention should be drawn in this report in
order to enatr￿e a proFer understanding of the accounts lo be ffj&hed.
' Please delete the words in the brackets if they (b not apply.
Slgned:
Date:
2715122
Name:
Claire Bullen
Relevant professional
qualification{s) or body
(If any):
FCCA
Address:
Alexandra Anthony Ltd
IER
Oct 2018

47 Church Street. Great Baddow
Chelmsford. CM2 7JA
Section B
Disclosure
Only complete if the examiner needs lo highlight material mallers of concern
(see CC32. Independent examinats.on of chanty accounts." directions and
guidan￿ for examiners).
Glvo hero brlef detall$ of
any items that tho
examiner wishos to
dlscloge.
IER
Oct 2018