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2021-03-31-accounts

WALTHAM SINGERS – Charity number 1153650 ANNUAL REPORT FOR THE PERIOD ENDED 31 MARCH 2021

Administrative details

Waltham Singers is registered as a Charitable Incorporated Organisation with charity registration number 1153650. The principal address of the charity is currently Foxtons, 23 The Street, Little Waltham, Chelmsford, Essex, CM3 3NS.

During the year to 31 March 2021 and up to the date that this report was approved the trustees of Waltham Singers were Christine Eason, Jane Jenkinson, Liz Hall, Kate Hanson, Frances Harrison, Sarah Moran, Sabine Nussey, Noel Pereira, Nadia Smart and Mike Wall

Governance

Waltham Singers is governed by a constitution last amended on 24 October 2013

Trustees are elected from the membership at each Annual General Meeting. Trustees serve until the following Annual General Meeting when they retire and are eligible for re-election. The current trustees were elected at the Annual General Meeting held on 24 September 2020.

The trustees have due regard to the guidance on public benefit published by the Charity Commission when exercising their powers or duties.

Objectives

To promote, improve, develop and maintain high standards of music, particularly singing, through the presentation of public concerts and recitals and by such other means as the trustees determine from time to time.

Activities

The activities of this period have, of course, been totally driven by the course of the pandemic and our necessary adherence to the rules imposed upon us by government. In June 2020 we conducted some trials of rehearsing together using Zoom. After our normal summer break of July/August we initiated a programme of weekly Zoom rehearsals. In no way could this emulate the normal choir practice experience, but we believed it was important to maintain contact with choir members where possible and exercise our vocal cords. Around half of our membership of 90 singers have continued to attend these weekly sessions. We retain the services of our professional Musical Director, Andrew Fardell, although he has stepped back

from the Zoom programme and is not currently taking any salary. Our professional accompanist Jonathan Lilley has taken over the Zoom sessions and we are pleased that he has taken on these extra responsibilities and we can continue to pay him through these difficult times.

Financial summary

We started the year in a strong financial position with just over £13.000 pounds in our reserves. By careful management of our resources, we ended the year with £12,600 in reserve. Although we have not asked members for the annual subscription (£150 payable in September), we did request a contribution for the autumn and spring terms (guide amount £25). The generosity of our members, many of whom contributed more than our guide amount, has helped us to retain a healthy reserve. Also, two Zoom quiz nights yielded a useful £500,

Future activities

We look forward to being able to sing together again. We have zoom sessions booked to the end of June, and we will take our summer break as usual and we hope to start rehearsals in September. We have a date booked at Chelmsford Cathedral in December for a Christmas Concert. We would then follow our usual timetable of concerts in March and June.

Approved by the Trustees 11[th] June 2021

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WALTHAM SINGERS
Charitable Incorporated Organisation Registered in England and Wales: Charity No.
1153650
RECEIPTS & PAYMENTS ACCOUNT
FOR THE PERIOD 1ST APRIL 2020 TO 31ST MARCH 2021
Lastyear
Receipts
10,563.95 Concerts 0.00 note 1
3,067.53 Other Events & Fundraising 515.00 note 2
13,660.00 Subscriptions 2,986.00
795.00 Member Donations 0.00
3,238.07 Gift Aid 2,587.17
384.00 50:50 Club 416.00
1,190.00 Friends 785.00
257.21 Music Lending 29.24
195.00 Programme advertising -30.00
358.00 Other Receipts 48.00 note 3
31.23 Interest Received 13.20
4,758.00 Saffron 0.00
38,497.99 Total - General account 7,349.61
12,600.00 Tuscany 0.00
100.00 Reserve 0.00 note 3
51,197.99 Total Receipts 7,349.61
Payments
13,795.04 Concerts 133.18 note 1
557.32 Other Events 0.00 note 2
7,140.00 Musical Director 3,600.00
2,234.00 Accompanists 2,642.00
880.00 Rehearsal Facility 57.56
31.76 Music Library 410.92
613.00 MakingMusic(NFMS) 613.00
275.10 Publicity 69.84
0.00 Administration 0.00
497.95 Other Payments 75.00 note 4
326.70 Payments for lastyear 223.02 note 5
140.00 Payments for nextyear 0.00 note 6
3,605.90 Saffron 0.00
30,096.77 Total - General account 7,824.52
13,000.00 Tuscany 0.00
43,096.77 Total Payments 7,824.52
8,101.22 Surplus/ deficit for thisperiod -474.91
4,955.09 Opening bank balances 13,056.31
13,056.31 Closing bank balances 12,581.40
CASH FUNDS BREAKDOWN
Deposit Accounts 2,730.43
Current Account 9,850.97
Total 12,581.40
General Account 12,981.40
TuscanyAccount -400.00
12,581.40
Accountsprepared by M J Wall
Treasurer

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WALTHAM SINGERS
NOTES TO THE RECEIPTS & PAYMENTS ACCOUNT
FOR THE PERIOD 1ST APRIL 2020 TO 31ST MARCH 2021
Note 1- Concerts June December March
Gt Waltham Cathedral Cathedral
Total Petite Messe Xmas concert Stabat Mater
Ticket Sales 0.00
Programme Sales 0.00
Music Sold to Members 0.00
Sponsorship 0.00
Total Receipts 0.00 0.00 0.00 0.00
Orchestra / Accompanist 0.00
Workshopfees 0.00
Soloists 0.00
Venue Fees/staging/chair hire 0.00
Ticket/Prog/Posters Printing 0.00
Instrument Hire 0.00
Music Bought 0.00
Music Hire 133.18 133.18
Flowers/Food/Sundries/PRS 0.00
0.00
Total Payments 133.18 133.18 0.00 0.00
Surplus / Deficit -133.18 -133.18 0.00 0.00
Note 2- Other events& fund raising
Receipts Payments Surplus
Quiz night 1 320.00 320.00
Quiz night 2 195.00 195.00
Total 515.00 0.00 515.00

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WALTHAM SINGERS
NOTES TO THE RECEIPTS & PAYMENTS ACCOUNT
FOR THE PERIOD 1ST APRIL 2020 TO 31ST MARCH 2021
Note 3- Other Receipts
Easons 50:50 club subs 24.00
Zwinks 50:50 club subs 24.00
Total 48.00
Note 4- Other Payments
Pass on 50:50 club subs 24.00
Pass on 50:50 club subs 24.00
Flowers for Nadia(appreciation of tour work) 27.00
Total 75.00
Note 5- Payments for last year
Return of music 48.50
Chair hire for March concert 108.00
Credit for music hire not used(COVID19) 66.52
Total 223.02
Note 6 - Reserve
£100 receipt whch could not be identified last
yearhas now been included ingeneral Account
ACCOUNTING POLICIES
Income is dealt with on a cash received basis and noprovision has been made for income
due but not received at the accounting year end.
Receipts have been showngross with related expenses from fundraising
events shown separately. Costs are recognised as theyarepaid and noprovision has been made for any
expenses incurred duringtheyear but not settled until after 31st March 2021
Fixed assets acquired duringtheyear have been written off in the receipts andpayments
account.

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