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2025-06-30-accounts

Independent Ex*miner'$ report to the trnsteej of The Pakefield Singers (C.No.1141091) I rewrt to ihe trustffs on my examination of the a(Younts of Society for the y¢ar ended 30 June 2025. Responsibilities and basis of report As the charity tntstees of th¢ Trust you are resFK)nsible for the wepwation of the accounts in accordance with the requirements of th¢ Chan'lies Acl 2011 (Ihe Aci,). I report in respeci of my examination of ihe Tn￿eS a¢counls carried oul under section 145 of the 201 l Act and in carrying out my examination I have followed all the applicable Dir¢¢tions given by the Chan'ty Commission under s¢¢tion 145{5Xb) of the Act. Independent euminer'$ $talement I have completed my examination. I confinn that no malerial matters ￿ve come to rny attention in connection with the examination ￿virtg me cause to believe that in any material respect.. l. accounting records were not keo in respect of the Tntst as required by xction 130 of the 2. the accounts do not accord with those reLx)rds. 3. Ihe a￿oUnts do not comply with the aFplicable requirem¢nls concerning the fonn and conlenl of accounts set out in the Charities (Accounts and Rep)rts) Regulations 2008 oiher than any requirement ihal th¢ A¢￿unIS ¥ive a 'true and fair, view which is not a matter Onsidered as pArt of an independent examination. I have no concerns and have corn¢ ￿rO$S no other matters in connection with th¢ ¢xamination lo which attention should IK drn￿ in this reFK>rt in order to enable a pro￿[ understandin8 of the ￿CoUnts to ￿ re￿hed. J.T.Eade M.A..C.P.F.A. Rowan Bank Lowesloft Rofid Beccles Suffolk NR34 7DE 4° AUg￿t 2025

PAKEFIELD SINGERS BALANCE SHEET 2024/25

As at 30th June 2025

FIXED ASSETS £ £
Agroco Trailer(new 2023) 5,802.00
Addition Padlocks 66.54
Total 5,868.54
Less Depreciation@ 10% 586.85
5,281.69
Less Depreciation@ 10% 528.17 4,753.52
Revostage(new 2018)plus additions(2022) 4,107.65
Less Depreciation@ 18% 739.38 3,368.27
LightingKit(2014)supplemented 2022 440.11
Less Depreciation@ 10% 44.01 396.10
Keyboard,stand and 2pedals(2020) 176.08
Less Depreciation@ 25% 44.02 132.06
Keyboard,stool,case & stand(2022) 286.45
Less Depreciation@ 25% 71.61 214.84
Printer 160.32
Less Depreciation@ 25% 40.08 120.24
Keyboard Bags(New 2014) 63.74
Less Depreciation@ 10% 6.37 57.37
Keyboard TrolleyNew 2014) 13.59
Less Depreciation@ 10% 1.36 12.23
Portable voice amplifier 13.81
Less Depreciation@ 25% 3.45 10.36
Percussion Set 22.82
Less Depreciation@ 20% 4.56 18.26
Uniforms 56.30
Less Depreciation@ 33% 18.58 37.72
Revostage(new 2018) 241.02
Less Depreciation@ 18% 43.38 197.64
Cables 12.57
ub 25% 3.14 9.43
Stool 29.31
Less depreciation@ 25% 7.33 21.98
Storage bags 18.92
Less depreciation@ 25% 4.73 14.19
Total 9,364.21
CURRENT ASSETS
Bank Current Account 22,025.81
StepSaver Account 535.47
CCLA Deposit Account 3,830.61
Cash 0.25
26,392.14
CURRENT LIABILITIES
Creditors - unpresented cheques -206.00
Bills Awaited 0.00 26,186.14
Balance at 30 June 2025 26,186.14
Total Assets 35,550.35
ACCUMULATED FUND
Balance at 30th June 2024 36,255.32
Lesspayments over receipts -69.18
Add receipts overpayments 0.00
Balance at 30 June 2025 36,186.14

Pakefield Singers Receipts & Payments 2024/2025

Current Year Current Year Year Ended
at 30/6/2025 30-Jun-24
RECEIPTS £ £
Subscriptions 10,108.51 9,749.92
Concert Income 12,304.49 5,390.25
SingingDays 360.00 0.00
Hire of Uniforms 15.00 21.00
Fundraising 686.20 80.79
100 Club 420.00 400.00
Gift Aid Tax Refund 4,221.02 1,472.80
Grants 402.00 598.00
Donations 351.00 11,168.10
Miscellaneous & Sales 870.99 2,549.04
Interest 533.03 131.10
0.00
30,272.24 31,561.00
PAYMENTS
Musical Director 4,595.50 3,997.00
Accompanist 2,427.70 2,642.00
Hire of Hall 2,607.50 2,259.50
Music 1,165.85 1,748.64
Concert Expenses 15,924.54 6,711.32
SingingDays 492.00 797.00
Miscellaneous 2,279.15 1,672.28
Insurance & MakingMusic 468.00 583.07
Music & Drama Subs 156.00 153.60
100 Clubprizes 150.00 150.00
Administration 75.18 448.26
ub 30,341.42 21,164.96
LESS PAYMENTS OVER RECEIPTS -69.18 10,396.04
OpeningFunds 26,255.32 15,857.11
ClosingFunds 26,186.14 -69.18 26,255.32
30-Jun-25 30-Jun-24
SUMMARY OF FUNDS
Current Account 22,025.81 14,210.35
Unpresented Cheques -206.00 -1,795.88
StepSaver Account 535.47 527.87
CCLA Deposit Ac 3,830.61 13,305.18
Cash in Hand 0.25 7.80
Debtors 0.00 0.00
Total Funds 26,186.14 26,255.32
REDUCTION IN FUNDS -69.18 INCREASE IN FUNDS 10,398.21
SUMMARY OF STEP SAVER ACCOUNT.
Balance@30th June 2024 527.87 520.72
Interest,Sept,Dec,Mar,Jun 7.60 7.15
Final balance 535.47 527.87
SUMMARY OF COIF CHARITIES DEPOSIT FUND.
Balance@30th June 2024 3,305.18 3,181.23
Interest,Sept,Dec,Mar,Jun 525.43 123.95
Final balance 3,830.61 3,305.18
NOTES:
Lastyear's COIF balance corrected
Last Bank Reconcilation: 30/06/2025
Petty Cash carry over corrected to £7:80

PAKEFIELD SINGERS

AGM 2025

REPORT OF ACTING TREASURER

The Statement of Accounts and Balance Sheet has been circulated with the AGM papers. The accounts and supporting vouchers have been submitted to John Eade our Independent Examiner of Accounts and his certificate is attached.

I would like to express my thanks to John for completing his work so promptly and for his associated informal observations and advice.

The Statement of Accounts shows a small overall deficit of £69.18. However, it should be noted that the Gift Aid receipts were £2,748.22 more than the previous year. This was due to us being able to claim Gift Aid on the donation we received towards the Snape concert. It will not be available in 2025/26. The underlying deficit should be read as being increased by that amount and is mainly attributable to costs of the Snape concert that fell in this year rather than the previous year.

If the above extra amount of Gift Aid and concert receipts and payments are ignored, Members Subs and the excellent Fundraising efforts meet the other running costs.

There was a full record of Petty Cash expenditure but the previous year’s records did not enable the carried forward Petty Cash Balance from the previous year to be verified. A correction figure of £2.41 has been added to the accounts as otherwise the difference in funds would disagree by that amount with the difference between receipts and payments. Correcting this now will avoid the same happening at the end of 2025/26.

Tony Walmsley