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2022-03-31-accounts

HANHAM COMMUNITY CENTRE

Charity Number 1152575

ANNUAL REPORT AND FINANCIAL STATEMENTS

FOR

Financial Year Ending 31 MARCH 2022

118-124 High Street Hanham Bristol BS15 3EJ

www.hanhamcentre.org

Hanham Community Centre is a Charitable Incorporated Organisation (CIO)

HANHAM COMMUNITY CENTRE

ANNUAL REPORT AND FINANCIAL STATEMENTS YEAR ENDING 31 MARCH 2022

CONTENT Page
Trustees Annual Report 1-6
Independent Examiner’s Report to the Trustees 7
Statement of Financial Activities (SOFA) 8
Balance Sheet 9
Notes to the financial statements 10-12
Detailed Income and Expenditure Account 13
Consolidated Sports Ground Account 14

HANHAM COMMUNITY CENTRE

TRUSTEES ANNUAL REPORT

YEAR ENDING 31 MARCH 2022

The Trustees have pleasure in presenting this report and the unaudited financial statements of the Charity for the year ended 31 March 2022. As described the Charity's Trustees are responsible for the preparation of financial statements.

1. Responsibilities of the Trustees

The Charities Act requires the Trustees to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity at the end of the year and of the surplus or deficiency for the year then ended.

In preparing those financial statements, the Trustees are required to select suitable accounting policies, as described on page 10, and then apply them on a consistent basis, making judgements and estimates that are prudent and reasonable. They must also prepare the financial statements on the ‘going concern’ basis unless it is inappropriate to presume that the Charity will continue in business.

The Trustees are responsible for keeping proper accounting records which disclose, with reasonable accuracy at any time, the financial position of the Charity and to enable them to ensure that the financial statements comply with the Charities Act 1993. The Trustees are also responsible for safeguarding the assets of the Charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

2. Background & Governing Document

The Charity is a local community association established following WWII, and governed by a Trust Deed dated 20/5/1945. Since then it has developed in membership, facilities and activities but has remained a focal point in the community. Located on the outskirts of Bristol (in the county of South Gloucestershire) it is now surrounded by local development which has taken it from a rural to urban environment. This has changed the nature of both the activities and the membership. The centre is located on a main site with a separate sports ground about 1 mile away. The Governing Document was completely revised on 2000, and from 1[st] April 2009 the centre operates under the working name of ‘Hanham Community Centre’. In 2013 it registered this name as a new Charitable Incorporated Organisation (CIO), closing the old “Hanham Community Centre” charity. The current Constitution is dated 8[th] February 2018. In 2016 the Trustees formalised the Social Club as an independent trading company, wholly owned by charity.

3. Professional Advisors

Bankers Independent Examiner Solicitor NatWest Bank Victoria Hicks Harris & Harris 90 Regent Street 28 Brunel Close 11 Stoney Street Kingswood Bridgeyate Frome Bristol Bristol Somerset BS16 8HS BS30 5BB BA11 1BU

4. Objectives

The objectives of the Charity, as stated in the CIO governing document are:

1

And the Charity shall be non-party in politics and non-sectarian in religion. The area of benefit (“area of benefit”) shall be Hanham and the surrounding district.

5. Vision & Mission

(a) Our Vision Statement is:

“To be a welcoming, community focused organisation; providing a place where people can flourish and enhance the community. We see a future that is sustainable, well managed and developing; through a family focused centre which is available-when-wanted, thriving, and well utilised; and provides the facilities and activities that are needed”.

(b) Our Values are:

(c) Our Mission Statement is:

“To provide a clean, safe and welcoming venue to the community, which through its facilities and activities shall allow people to learn, develop skills, socialise and gain friendships’

This has been developed into a number of specific strategic objectives:

6. The Board of Trustees

Details of the current membership of the Board of Trustees, the officers and the extant subcommittees are as listed at Annex A. The method of appointment of Trustees is detailed in the current governing document.

FY2021/22, like 20/21 has been a rather odd year with COVID closing the centre for most of the period. Income has been grants for community organisations and Furlough payments for both HCC and BATS staff (as this was all paid into HCC bank accounts), but this period with some activities generating income. It has not been a normal year by any means, and it will take some time to get back to anything approaching normal – as we have lost several activities and attendance at activities, events and functions has been down – impacting income and BATS bar sales. So, on that basis - the centre is fairly stable, with a nominal annual income figure of £140954 (of which £34435 was COVID related grants), and a financial loss of £15755K (Noting -£622 is fund change, £20059K is a capital expenditure - represents an operating surplus of £3682K). Whilst membership remained at £12 pa, few members paid their membership in this year. The centre relies heavily on the Charity Trustees and volunteers for fund raising. We have a core staff of eight with a number of casual staff, as such the centre has a written Health and Safety Policy. The majority of our income is through our own fundraising and the hiring of our facilities (for parties and community activities etc).

7. Policies

(a) Reserves Policy

The Trustees have set a Reserves Policy which requires:

The Current level of Free General Reserves is £11361, which is at an acceptable level to provide 9 months core activity taking into account risks associated with each stream of income and

2

expenditure being different from that budgeted, planning activity level, and the organisation’s commitments.

(b) Public Benefit Statement

In terms of PB1, public benefit requirement, the Trustees have outlined the mission, objectives (purpose) and achievements of the charity and believe they have clearly defined what the public benefits delivered are, predominantly in terms of the charitable purpose described as:

In terms of public benefit relating to running (PB2) and reporting (PB3) the Trustees can confirm they have complied with their duty to have due regard to the commission's public benefit guidance when exercising any powers or duties to which the guidance is relevant and reported herein.

**The Cornerstones of our Services and Operation ** **The Cornerstones of our Services and Operation **
TO PARTICIPATE IN
Activities where the community can
come and participate.
Table Top Sales, Craft Events, Art
Exhibitions & Entertainment - Plays, Pantos
and other shows, Parish and community
meetings, and being aTrustee or Volunteer
TO SUPPORT OTHERS
Those activities that offer support to the
community and those who need us.
Coffee Mornings, Clinic(s), History
TO SHARE INTERESTS
As a place to share interests, interact
and learn from others.
Short Mat Bowls & Line Dance, Bridge,
Cricket & Tennis, Snooker, Chess & Drama,
Art Classes, Dance Classes & Keep Fit, and
in the lounge bar –pool,TV,Crib,darts
TO MARK EVENTS
A place where people can meet with their
friends and mark life’s events!
Births, Birthdays, Engagements, Weddings,
Anniversaries, Funeral Receptions, Family Parties
and Children’s Parties etc.

8. Activities

The Charity normally offers a wide range of activities to support the local community and would continue to advertise for new activities. However in this period we had reduced activities. However to give an idea of what we would normally offer.

Short Mat Bowls
Hanham Art Club
Womens Institute
Pilates
Real Fitness
Yoga
3D Dance
Brushstokes Art Group
Aerobics
Pregnancy Yoga
Bouncing Bobbins
Pins and Needles
Dog training Classes
Zumba
Zumba Gold
Coffee Morning
Art Classes
Zumba Chair
In Stitches
Carers Support Group
Craft Buddies
Snooker
Bridge
Judo
Line Dancing
Social Club
Natural History
Hanham History
Cricket Club
Hanham Cadet Force
Flow Yoga
Chess
Amateur Drama Group

Tennis Club

Those underlined are either centre sections or centre organised activities. Whilst the facilities are utilised fully in the evenings the Trustees continue to develop the usage during the daytime.

3

9. Achievements

The main achievements and activities over this year are as follows:

(a) Management and Governance

(b) Maintenance and Improvements

(c) Activities & Community Engagement

10. Issues & Risks

11. Future Developments Projects

Whilst this report is strictly for the period 1[st] Apr 21 until 31[st] March 22, this section is more akin to a Business Plan for the forthcoming year. The Trustees would normally revise the Strategic Plan in April, however given the global situation with the unknown COVID-19 pandemic this did not take place again this period. As such the details below remain unchanged.

Based on the 2019 review, the overall strategy remains generally unchanged. The shorter-term focus will be on modernising the older parts of the Centre, while trying to increase the overall utilisation of the existing facilities.

“ Communicate to enable focused Modernisation and Utilisation ”

Medium Term Aims and Objectives
Theme: Resource Management
RM1 – Apply for Grants
RM2 – Focus parking for users
RM3– Monitor and improve utilisation
Medium Term Aims and Objectives
Theme: Resource Management
RM1 – Apply for Grants
RM2 – Focus parking for users
RM3– Monitor and improve utilisation
Medium Term Aims and Objectives
Theme: Resource Management
RM1 – Apply for Grants
RM2 – Focus parking for users
RM3– Monitor and improve utilisation
Theme: Resource Management
RM1 – Apply for Grants
RM2 – Focus parking for users
RM3– Monitor and improve utilisation
Theme: Enabling Processes
EP1 – Gain customer feedback
EP2 – Gain staff feedback
EP3–Focus on Internal communications

4

RM4 – Reduce costs – monitor utilities and visitor EP4 – Know Needs (of users) numbers. Theme: Working Together Theme: Customer (Public) Benefits WT1 – Develop Strategic Plan CB1 – Advertise Services WT2 – Agree Annual Objectives CB2 – Modernise Building WT3 – State Vision, Mission and Values to all CB3 – Communicate Vision WT4 – Share ‘common purpose’ CB4 – Re-focus on key facilities Improvement and Maintenance Programme Improvement Projects Maintenance Projects Complete fence {Applied for grant} Radiators (LB, Abbot) Snooker cooling Trim tree (car park) Refurbish Annex Floor – Gloucester Stairs Options for field Floor – Landing (Avon/Somerset) Abbot Boardroom Lounge bar redecoration Complete windows Floor – Annex Stair lift {Grant Needed} Floor – Whittuck Corridor

In terms of governance the Trustees aim to complete the land registration and address the anomalies remaining, progress formal registration of the Social Club and address the requirements of SORP 2015.

12. Declaration

I declare, in my capacity of Charity Trustee, that:

Signature Full Name: Kevin Michael Lawrence Position: Chairman Date: July 2022

5

Annex A

Structure, Membership and Organisation of Committees

Officers

The officers of the Charity (at 31 May 22) are:

Chairman Mr K Lawrence Administrator Mrs J Cox

Charity Trustees

The Charity Trustees (at 31 May 22) are:

Mr K Lawrence Mr J Lambourne Mr C Nunn

Committees and Sub-Committees

The Board of Trustees (executive committee) is composed of all Charity Trustees; and exofficio Trustees (currently limited to the Designated Premises Supervisor). The meeting is also attended by a representative of the South Gloucestershire Council or local Parish Council. The Board meets on a monthly basis. Additional meetings and sub-committees are held as needed to support particular activities – such as the Budget.

6

HANHAM COMMUNITY CENTRE

INDEPENDENT EXAMINERS REPORT

YEAR ENDING 31 MARCH 2022

INDEPENDENT EXAMINERS REPORT TO THE TRUSTEES

I report on the unaudited accounts of the charity for the year ending 31 March 2022 set out on pages 8 – 14.

RESPECTIVE RESPONSIBILITIES OF THE TRUSTEES AND EXAMINER

As the Charity Trustees you are responsible for the preparation of the accounts; you consider that the audit requirement of section 43(2) of the Charities Act 1993 does not apply. It is my responsibility to state, on the basis of the procedures specified in the General Directions given by the Charities Commissioners under section 43(7)(b) of the Act, whether particular matters have come to my attention.

BASIS OF INDEPENDENT EXAMINERS REPORT

My examination was carried out in accordance with the general directions given by the Charities Commissioner. An independent examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from you as concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently we do not express an audit opinion on the view given by the accounts.

INDEPENDENT EXAMINERS STATEMENT

In connection with my examination, no matter has come to our attention:

have not been met, or

28 Brunel Close Bridgeyate Bristol BS30 5BB

Victoria Hicks LLB(Hons), CPFA, CiLCA Independent Examiner

Nov 2022

7

HANHAM COMMUNITY CENTRE

STATEMENT OF FINANCIAL ACTIVITY

YEAR ENDED 31 MARCH 2022

YEAR ENDED 31 MARCH 2022
Notes 2022 2021
£ £
INCOME RESOURCES
Donations 34,434.97 132,517.31
Income from charitable trading activities 106,517.55 22,906.34
Income from non-charitable trading activities 1.14 4.63
────────── ──────────
TOTAL INCOMING RESOURCES 140,953.66 155,428.28
────────── ──────────
RESOURCES EXPENDED 1
Direct charitable expenditure 2 148,812.87 144,670.70
Fundraising and publicity 831.90 30.00
Management and administration 3 7,063.57 9,366.56
────────── ──────────
TOTAL RESOURCES EXPENDED 4 156,708.34 154,067.26
────────── ──────────
NET (OUTGOING)/INCOMING RESOURCES FOR THE YEAR -15,754.68 1,361.02
══════════ ══════════
Allocated in the Year
General Fund -15,995.02 830.02
Development Fund 240.34 531.00
────────── ──────────
-15,754.68 1,361.02
══════════ ══════════
MOVEMENT IN FUNDS
General Fund:-
Balance b/fwd 563,871.75 563,041.73
Surplus for the year -15,995.02 830.02
────────── ──────────
Balance c/fwd 547,876.73 563,871.75
Development Fund:-
Balance b/fwd 26,060.28 25,529.28
Surplus for the year 240.34 531.00
────────── ──────────
Balance c/fwd 26,300.62 26,060.28
────────── ──────────
Total Unrestricted Fund Balance c/fwd 14/15 574,177.35 589,932.03
══════════ ══════════

All movements are in Unrestricted Funds

8

HANHAM COMMUNITY CENTRE

BALANCE SHEET

YEAR ENDED 31 MARCH 2022

Notes
£
£
FIXED ASSETS
Tangible assets
5
419,484.22
CURRENT ASSETS
Stocks
6
1,329.23
Debtors
7
3,712.25
Cash at bank and in hand
8
157,484.44
───────────
162,525.92
CREDITORS: Amounts falling due
within one year
9 (7,832.79)
───────────
154,693.13
───────────
TOTAL ASSETS LESS CURRENT
LIABILITIES
574,177.35
CREDITORS: Amounts falling due
after more than one year
10
0.00
───────────
574,177.35
══════════
UNRESTRICTED FUNDS
General Fund
547,876.73
Development Fund
26,300.62
───────────
TOTAL FUNDS
574,177.35
══════════
2022
NET ASSETS
NET CURRENT LIABILITIES
2021
£
404,810.82
1,681.91
1,103.00
189,882.61
───────────
192,667.52
(7,546.31)
───────────
185,121.21
───────────
589,932.03
0.00
───────────
589,932.03
══════════
564,402.75
25,529.28
───────────
589,932.03
══════════

These financial statements were approved and signed by the members of the committee in Oct 2022

Mr K M Lawrence

Signed on behalf of the Trustees

9

HANHAM COMMUNITY CENTRE NOTES TO THE FINANCIAL STATEMENTS

YEAR ENDED 31 MARCH 2022

1. ACCOUNTING POLICIES

Basis of Accounting

The financial statements have been prepared under the historical cost convention, and in accordance with applicable accounting standards and the Statement of Recommended Practice on accounting by charities (SORP 2005).

Depreciation

Depreciation is calculated so as to write off the cost of an asset over the useful economic life of that asset as follows:

Property

The premises are shown at their 1995 professional valuation as instigated by the Centre's bank for the purpose of providing security against borrowings

Office Equipment, Furniture and Fitting and Sports Field Equipment

These are shown at their written down value as estimated by the Centre's Treasurer and are subject to depreciation on a straight-line basis over the expected useful life of the particular asset.

Stocks

Stocks are valued at the lower of cost and net realisable value, after making due allowance for obsolete and slow moving items.

2022
£
2. DIRECT CHARTIABLE EXPENDITURE
Provision of Charitable Services
148,813
════════
3. MANAGEMENT AND ADMINISTRATION
Office costs
3,502
Accountancy fees
0
Personnel fees
0
Legal and professional
0
Interest payable (inc Bank charges)
685
Depreciation
2,877
────────
7,064
════════
2021
£
144,671
════════
3,065
300
0
2802
388
2,812
────────
9,367
════════

4. TOTAL RESOURCES EXPENDED

Staff
costs
Depreciation
Other
costs
Total
2022
£
£
£
£
Direct charitable expenditure
89,953
-
58,860
148,813
Fundraising and publicity
-
-
832
832
Management and administration
-
2,877
4,187
7,064
────────
───────
────────
──────────
89,953
2,877
63,878
156,708
════════
═══════
════════
══════════
The aggregate payroll costs were:
Wages and salaries
86,778
Social security Costs (NIC)
3,175
──────────
89,953
══════════
Other Costs:
Premises
37,503
Professional Fees
0
Other
26,376
────────
63,878
════════
Total
2021
£
144,671
30
9,367
──────────
154,067
══════════
70,380
3,175
──────────
73,555
══════════
31,570
3,102
43,028
────────
77,700
════════
Particulars of employees:
The average number of staff employed by the charity
No
during the financial year amounted to:
7
No
7

10

5. TANGIBLE ASSETS
Community
Centre
Buildings
Sports
Ground
Equipment
Total
£
£
£
£
COST
At 1 April 2021
300,000
57,000
198,040
555,040
Additions
-
-
3,640
3,640
Disposals
-
-
-
0
──────────
────────
────────
──────────
At 31 March 2022
300,000
57,000
201,680
558,680
══════════
════════
════════
══════════
DEPRECIATION
Depreciation At 1 April 2021
-
-
136,319
136,319
Depreciation Charge
-
-
2,877
2,877
─────
─────
───────
───────
At 31 March 2022
0
0
139,196
139,196
═════
═════
═══════
═══════
NET BOOK VALUE
At 31 March 2022
300,000
57,000
62,484
419,484
══════════
════════
════════
══════════
At 31 March 2021
300,000
57,000
47,811
404,811
══════════
════════
════════
══════════
2022
6. STOCK
£
Stock
1329
═════
7. DEBTORS
Trade debtors
3712
Prepayments and accrued income
0
═══════
3712
8. CASH AT BANK AND IN HAND
Current Account
71439
Cash in Hand (HCC)
2145
Cash in Hand (Sections)
46239
Development Fund
26301
Reserve Account
11361
═══════
157484
9. CREDITORS Amounts falling due within one year
Bank loans and overdrafts
0
Letting deposits
4067
Social Security Creditor
11192
Trade Creditors
2857
Accruals
419
Other Creditors
-10703
────────
7833
════════
10. CREDITORS Amounts falling due after more than one year
Bank loans and overdrafts
0
════════
2021
£
1682
═════
103
1000
═══════
1103
104051
1312
47100
26060
11360
═══════
189883
0
4067
1503
0
419
1558
────────
7546
════════
0
════════

11

**11. ** SECTION ACCOUNTS*
Income Expenditure Funds Held Contribution Contribution
2022 2022 2022 2022* 2021
Bridge Club 1,628 1,421 630 1,350 200
Brush strokes Art Club 1,015 960 55 905 0
Chess Club 204 150 598 150 0
Cricket Club 16,714 18,929 10,584 4,886 1,875
Drama Club (Hanham Players) 7,536 7,242 24,258 1,500 0
Snooker Club 2,215 3,893 558 1,795 0
Tennis Club 14,777 11,237 9,556 2,400 1,800
Other 0 0
44,089 43,832 46,239 12,986 3,875
Funds held 2021 47,233
* Taken from section accounts 21/22
Fund Change -994
Income Expenditure Funds Held Projects
Funded
Development Fund 2,409 2,169 26,301 0
Funds held 2021 26,060
**12. ** TRADING FUNDS
Total Income Expenditure Funds Held Contribution Contribution
2022 2022 2022 (NCA) 2022 2021
(inc COGS)
HCC Bar and Trading Svr Ltd 66,948 39,908 24,452 24,000 0
Funds held 2021 20,981
13. CHARITABLE GRANTS (Paid directly from Grant Body) 2021 2020
None 0 0
0
════════ ════════
0 0
**14. ** ANALYSIS OF NET ASSETS IN UNRESTRICTED FUNDS
£ £ £
Tangible
fixed assets
Other net
assets
Total
Unrestricted funds (31/3/22) 419,484 154,693 574,177
Unrestricted funds (31/3/21) 404,811 162,344 589,932

12

HANHAM COMMUNITY CENTRE

DETAILED STATEMENT OF FINANCIAL ACTIVITIES YEAR ENDING 31 MARCH 2022

YEAR ENDING 31 MARCH 2022
INCOME
Donations
Development Fund ( Net Income )
General/Late Section payments
Activities
Centre Sections Contributions
Surplus/Deficit of Sections
Membership
Centre Lettings
Rents Received
Social Club (inc SG Surplus)
Interest Income
Misc Income
TOTAL INCOME
DIRECT CHARITABLE EXPENDITURE
Wages and salaries
Rates & water
Light and heat
Insurance
Repairs and maintenance
Waste Disposal
H&S and Security
Cleaning Materials
Activities
Sundry Costs (DCC)
Licences & Subs (Theatre, PRS, PPL)
Sports Ground Rates, Water & Waste
Sports Ground Electricity
New Projects
Miscellanous/General
FUNDRAISING AND PUBLICITY
Advertising costs
MANAGEMENT AND ADMINISTRATION
Telephone
Office Supplies
Photocopier
Information Systems
Legal fees
Accountant/Auditor fees
Personnel fees
Bank Charges
Depreciation of fixed assets
INTEREST PAYABLE
Bank interest payable
Interest on other loans
TOTAL EXPENDITURE
NET (Deficit)/SURPLUS
Other Expenditure
Sports Ground Projects
Final Net Deficit/Surplus
£
£
34434.97
240.34
0.00
3851.10
10748.40
-861.62
2598.00
65417.24
147.00
24000.00
1.14
377.09
140953.66
89953.05
376.29
15226.93
6200.24
5403.02
1241.15
943.63
2188.45
1153.65
0.00
2370.38
1388.03
2164.53
20058.82
144.70
148812.87
831.90
820.38
345.67
1852.55
483.00
0.00
0.00
0.00
685.02
2876.95
7063.57
0.00
0.00
0.00
156708.34
-15754.68
0.00
0.00
-15754.68
2022
2021
£
89953.05
376.29
15226.93
6200.24
5403.02
1241.15
943.63
2188.45
1153.65
0.00
2370.38
1388.03
2164.53
20058.82
144.70
820.38
345.67
1852.55
483.00
0.00
0.00
0.00
685.02
2876.95
0.00
0.00
0.00
£
132517.31
531.00
0.00
827.83
4187.20
6213.00
870.00
9511.75
131.25
0.00
4.63
634.31
155428.28
73555.46
2741.38
8536.54
5675.17
7289.61
887.32
1322.01
304.87
775.62
52.00
1483.96
333.93
2943.03
3427.74
35342.06
144670.70
30.00
808.80
155.89
1660.89
439.23
2802.00
300.00
0.00
388.24
2811.51
9366.56
0.00
0.00
0.00
154067.26
1,361.02
0.00
0.00
1,361.02

This page does not form part of the statutory financial statements

13

HCC & BATS CONSOLIDATED ACCOUNTS

STATEMENT OF FINANCIAL ACTIVITIES (SPORTS GROUND ACCOUNT) YEAR ENDING 31 MARCH 2022

BATS ACCOUNTS
INCOME
Sales
Act.
Cost of Goods Sold
- Bar Goods
Act.
- Coors
Act.
- Crisps & Nuts
Act.
- Stock Movement
Act.
Gross Surplus
EXPENDITURE
General
- IT
20%
- Nat West Charges
20%
- Giro Charges
Act
- Optics / Glasses
Act
- Music Copyright
50%
Sports Ground
- Wages
Act.
- Stock Write-Off
Act.
- Equipment Purchases
Act.
- Cleaning & Toilet Materials
Act.
- Gas & Cylinder Rental
Act.
- General Maintenance
Act.
- Sky TV
Act.
- Telephone
Act.
TOTAL EXPENDITURE
Other Income/Expenditure
Net Surplus (BATS)
COMMUNITY CENTRE ACCOUNTS
INCOME
Transfer from BATS to Community Centre
Act.
Other Income
- Donations/Misc
Act.
- Lettings
Act.
- Electricity (Tennis)
Act.
Total Income
Expenditure
Insurance
Act.
H&S (FE)
Act.
Licenses
Act.
Banking
8%
Misc
8%
IT & Subs
8%
Office Supplies
8%
Pavilion Costs
- Electricity
Act.
- Cleaning
Act.
- Rates
Act.
- Security
Act.
- Gen Maintenance
Act.
- Waste Removal
Act.
- Water
Act.
Payroll - Cleaner
Act.
Payroll - Admin
100%
Professional Fees
8%
Total Expenditure
Net Surplus
Funded Projects
Consolidated Total Net Surplus 21/22 (SG Account)
Sports Ground Balance Sheet
B/F From 31 March 2021
Net Surplus
C/F to 1 April 2022
2,790
0
2,764
0
-3,471
94
-267
0
0
0
0
13
0
0
526
0
70
0
1,550
16
180
33
28
2,038
216
252
365
1,300
305
115
1,372
0
SC
£
2,790
-707
3,497
-173
539
367
0
3,130
-3,130
0
HCC
£
3,130
70
3,200
7,768.95
-4,569.09
0
-4,569.09
(58,757.82)
(4,569.09)
(63,326.91)

14