## WARMINSTER AND DISTRICT FOOD BANK 

REGISTERED CHARITY NO: 1131708 

Address:  Dewey House North Row Warminster BA12 9AD 

TRUSTEE REPORT FOR YEAR 1.4.21– 31.3.22 

TRUSTEES 

Mr Phil Chant Mrs Jean Colgrave Mrs JudyCooper Mrs Priscilla Gray Mr Stuart Simcock 

The Warminster and District Food Bank was founded 13 years ago and is now an independent Foodbank, an unincorporated charity, with Trustees who are reappointed at the AGM, normally held in July, but replaced if and when necessary throughout the year. 

Our aim is to provide food as well as other daily sundries for individuals and families who may be homeless, going through financial difficulties or who are considered by social services, schools or doctors to be people in need of extra support. 

The food bank is run by a management committee, 5 trustees and 30 volunteers for which we are extremely grateful.  We open Tuesdays, Wednesdays and Fridays weekly from 8.45am-1pm, with a leader and 3 volunteers working during each session.  A manager also holds an emergency mobile phone which clients can ring if they are desperate at any time. 

Much of our food is donated by Churches, individuals and organisations.  We do buy food on a daily basis, using our own funds, to supplement that available for distribution including fresh eggs, bread, butter, cheese, meat and fish.  We also buy, to keep in stock, special hot pack meals for any rough sleepers who are in difficulties.  As well as donations sent directly to Dewey House a number of people now give on a monthly basis direct to our bank account. 

Following the 2 years of Covid, we have returned to more normal working practices whereby food bags are packed by the volunteers and can either be delivered or clients are now able to come to the door to collect their parcels if they prefer. 

The public have been extremely generous and supported the food bank financially to the extent that our balances are at a high level.  However, as the Treasurer reported, receipts have reduced significantly this year but our outgoings have changed little.  The money on deposit is held to cover our monthly outgoings, ie rent, food and other sundries in the event of further significant reductions in financial donations.  We also need a contingency in case the food bank ever has to relocate. 

Priscilla Gray, Trustee, January 2022 



## **WARMINSTER AND DISTRICT FOODBANK** 

## I **NCOME AND EXPENDITURE REPORT FOR YEAR 1.4.2021 – 31.3.2022** 

## I **NCOME** 

|Individual donations<br> <br>Church Donations<br> <br>Other Income<br> <br>Grant Income<br>Event Income<br>T**otal Income**<br> <br>**EXPENDITURE**<br>Stationery<br> <br>Food<br> <br>Events<br> <br>Premises<br> <br>Other<br> <br>**Total Expenditure**<br> <br>Balance at 31 March 2020<br>Plus Income 1.4.20 – 31.3.2021<br>Less Expenditure 1.4.20 – 31.3.21<br>**Balance as at 31 March 2021**|19988.83<br>1070.00<br>18139.36  (Includes £3768.29 gift aid reclaimed from HMRC)<br>1500.00<br> 000.00<br>**40698.19**<br>642.75<br>8004.87<br>56.28<br>8651.37<br> 15839.22<br> (Includes £10,000 transferred to Deposit Account)<br> **33194.49**<br>29779.47<br>40698.19<br> 33194.49<br> **37283.17**|
|---|---|
||<br> <br>|



## **WARMINSTER & DISTRICT FOOD BANK BALANCES** :- 

|**BANK ACCOUNT as at 31 MARCH 2022          37283.17**|
|---|
|**PETTY CASH**<br> **0.38**|



Continued:- 



## **WARMINSTER & DISTRICT FOODBANK BALANCES CONTINUED** 

|VIRGIN MONEY DEPOSIT A/CS BALANCES B/FWD:<br>Plus Deposits 1.3.2021 – 31.3.2022<br>Plus Interest for year ending 31.3.2022<br>BALANCE ON DEPOSIT AT 31.3.2022<br>Agreed by:-                                        J Colgrave<br>(Trustee)<br>J Cooper<br>(Trustee)|25715.54<br>10000.00<br>74.05<br>35789.59<br>P Gray<br>(Trustee)<br>M Woollard<br>(Treasurer)|
|---|---|



EXAMINED BY:-   J Walker 

DATE:- 31 May 2022 



CHARITY COMMISSION
I FOR ENGLAND AND WALES
Independent examiner's report
on the accounts
S•clion A
Independent Ex*nln•eg Report
R•port to th• truste•sl
members ol
On accounts for the year
ended
3110312022
Charity no
(if any}
113170B
Set out on
I report io Ihe Iw$iees on my èxamination ol Ihe a¢¢Ounts of the atthe
d￿ntY ('the Trusl.) for Ihe year ended 3110312022
R•spon$lbllili¢$ and As the charity trustees. you a￿ responsible for the preparation of the
basis of report accounts in accofdance wrth the Chariljes Act 2011 1.the A¢t'i.
I report in respect of my exarninat￿n of the Trust's aC￿UnIS ¢afried crtrt
under section 145 of ihe 2011 Acl and in carying out my examinalion. I
have lollowed all the applicable Threcttons given by the Chaftty Cornmtssion
under 3ectK)n 1451Sllbl of the Act.
Ind•pendont I have completed my ex8min8tron. I corfimi that no matenal m8tter3 have
examlnerfg statement come to my attenb'on (other than that disclosed below "} in ¢onn8CtK)n v￿h
Ihe examinat￿n which gwe8 me Causé to belwe that in, any material
respect..
the accountirg reccKds I￿re not kept in accordance secI￿n 130
of the Act, or
thè accounts dtd not accord with the accounting records." or
the accounts did not comply wrth the applicable rwuirements
concerning the form and conlenl of accounts sel out in the Chariti88
(Accounts and Reports) Regulations 2008 other than any requireménl
that the accounts gwe a "true and fair view %thi¢h 1$ not a matter
on51dered as part of an Independent examination.
I have no concerns and have corne across no other matters in connection
with the examingtion to which attention should be drawn in this report in
order to enab￿ a proper understanding of Ihe accounts to be reach￿j.
. Please delolo the words in the brackets rf they do nol apply.
Date.,112101r2023
Sign•d:
Name:
Jill Walker
Rdev4nt prolessional
qualific•tionlg) or body
lif anyl:
Address..
145 Wamiinster Road
Weslbury
Wiltshire BA13 3PP
IER
0¢to￿r 2018