Along with the rest of the country, the centre has been through some difficult times over the past couple of years. I’m pleased to be able to report that things are beginning to look up. Fire systems have been checked and electrical remedial work has been carried out to make the Centre safe to use. It is hoped that we will make the disabled access safer this year. DBS checks have been carried out on all Trustees. We are looking to complete the work in the Trussell room (making good the uneven floor and putting down a new carpet). When that is completed, we hope to sort out the toilets. 

The plan is to make the Bury St Edmunds and District Deaf and Hard of Hearing Association more proactive in its approach to being accessible to all who will benefit from the Association, to promote awareness of the difficulties experienced by the Deaf and Hard of Hearing and encourage integration with the community. We have been able to offer a six week ‘Introduction to BSL’ course. 

We have raised £785 by signing outside Tesco supermarket in December. The buffet lunch and prize draw raised another £230. I would like to see more people involved by volunteering and/or attending events. We could do with someone to assist with fundraising, training volunteers, and induction courses for all Trustees to keep up with any changes in accordance with the Charities Commission. Later in the spring I will be asking for volunteers to help lift the summer house in order to make the floor safe. (Bacon butties to be provided!) If anyone has skills they think would be useful to the Deaf Centre, please speak to me and the Trustees and I will see where we can utilise them. I propose that the number of Trustees is increased from 7 to 10. To include equal number of Deaf to hearing trustees. Rosemary Butterworth (Chair) 

Sent from Mail for Windows 



BURY ST EDMUNDS & DISTRICT DEAF & HARD OF HEARING ASSOCIATION
FINANCIAL STATEMENTS
TO
30TH SEPTEMBER 2021
Contents
Page
statement of financial activities
Detailed Income and Expendlture report 2020
statement of assets and liabilities

BURY ST EDMUNDS & DISTRICT DEAF & HARD OF HEARING ASSOCIATION
STATEMENT OF FINANCIAL ACTIVITIES
(INCOME AND EXPENDITURE REPORTI
FOR THE YEAR ENDED 30 SEPTEMBER 2021
2021
2020
INCOME
Amounts received
Incr8a$e in value of investments
(Note 11
17.143
8,749
25,892
19.308
1,802
17,506
Total Income
EXPENDITURE
Amounts paKI
Depie¢iation
(Note 21
9.107
3,282
12.389
12,796
4.375
17,171
Total expenses
SURPLUSIIDEFICITI OF INCOME OVER
EXPENDITURE FOR THE YEAR
13,503
335
Approved by the trustees on
and signed on their behalf by
ED
Inde
endent examlner'5 re
ort
to the trustees ol The Bur
St Edmunds & Distrlct Deaf & Hard of Hearln
Assoclatlon
I report on the accounts of the association for the year ended 30th September 2021, which are set out on
pages l and 2.
Res
ectlve res
on5ibllities of trustees and exarnlner
The charity's trustees are responsible for the preparation of the accounts. The charitws trustees consider that
an audit is not reouired and that an independent examination is needed.
It is my responsibility to exam1ne the account5 and to state whether particular matters have come to
yattention.
Basi5 of examlnels Statement
My examin8tion was carried out in accordance with the General DirECtions given by the Charity Commissioners.
An examination Includes a review of the accounting records kept by the association and 3 cornparison of the
accounts presented with those records. It a150 includes consideration of any unusual items or disclosures in the
accounts, and seeking explanations from you a5 trustees concerning 3ny such mattels. 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.
Inde
endent examiner'5 statement
In connection with my examination for the year ended 30th September 2021, no matter has come to my
attention which is inconslstant with..
The accounting records being properly kept,. and
• The accounts having be
prepared which accord with the accounting records.
S Badrick ACA
Independent examlner

BURY ST EDMUNDS & DISTRICT DEAF & HARD OF HEARING ASSOCIATION
DETAILED INCOMÈ AND EXPENDITURE REPORT
FOR THE YEAR ENDED 30 SEPTEMBER 2021
2021
2020
2021
2020
INCOME
Note 1
EXPENDITURE
Note 2
2,787.90
611.57
644.90
685.04
Donations
Fundralsing
Flat fftnl
Arthur M8rtin room rent
Room ￿ntaI
Membership fees
Interest
other
752.00
io.
8,181.03
4.575.00
830.00
840.00
1,385.24
570.00
490 00 Utilitie5
1.516.59 Cleaning
8,585.89 Mileage
4,575.00 Administration
2.055.00 Legal & Professional
831.71 Insurance
1,254.00 Fund raising
Repairs and ienewals
Premises repairs
other
3,590.57
153.67
72.40
7tr4.00
1,017.50
1.591.68
57.00
1,496.
272.78
6,297.70
1,830.10
9,106.92
17,143.27
19,308.19
12,795.89
Increase in value of investm&nt5
8.748.82
DepreGiation
3,281.90
4,375.86
1,801.99
25,892.09
19,308.19
12,388.82
18.973.74
Surplu51ldeficrtl for the year
13,503.27
334.45

BURY ST EDMUNDS & DISTRICT DEAF & HARD OF HEARING ASSOCIATION
STATEMENT OF ASSETS AND LIABILITIES
A5 AT 30 SEPTEMBER 2021
2021
2020
Fixed A55ets
Premises at Cost
18.691.00
18,691.00
Fixtures and flttings
Cost
Depreciation
35,759.96
25,914.28
9,845.68
35,759.96
22,632.381
13,127.58
Total fixed assets
28,536.68
31,818.58
Investmants, at market value
National Savings Income Bond
COIF Charities
CAF Balanced Growth
2.000.00
27,431.23
24,140.57
53,571.80
2,000.00
20,237.26
22,585.72
44,822.98
Bank Accounts
CAF
Barclays
45,837.92
45,837.92
37,801.57
37,801.57
Total current assets
99,409.72
82.624.55
Creditors
Net Current Assèts
99,409.72
82,624.55
Net Assets
127,946.40
114,443.13
Funds
Premises
General
Youth
Propety
Interpreter Bursary
19,235.60
90,509.39
1,574.33
14,584.00
2,043.08
127,946.40
19,235.60
77,006.12
1,574.33
14,584.00
2,043.08
114,443.13

BURY ST EDMUNDS & DISTRICT DEAF & HARD OF HEARING ASSOCIATION
STATEMENT OF ASSETS AND LIABILITIES
AS AT 30 SEPTEMBER 2021
2021
2020
Fixed Assets
Premises at cost
18,691.00
18,691.00
Fixture5 and fittings
Cost
Depreciation
35,759.96
25,914.28
9,845.68
35,759.96
22,632.38
13,127.58
Total fixed assets
28,536.68
31,818.58
Investments, at markol value
National Savings Income Bond
COIF Charities
CAF Balanced Growth
2,000.00
27,431.23
24,140.57
53,571.80
2,000.00
20,237.26
22,585.72
44,822.98
Bank Accounts
CAF
Barclays
45,837.92
45,837.92
37,801.57
37,801.57
Total current assets
99.409.72
82,624.55
Creditots
Net CurrentAssets
99.409.72
82,624.55
Net Assets
127,946.40
114,443.13
Funds
Premises
General
Youth
Property
InlerpreleT Bursary
19,235.60
90,509.39
1,574.33
14,584.00
2,043.08
127,946.40
19.235.60
77,006.12
1,574.33
14,584.00
2,043.08
114,443.13

BURY ST EDMUNDS & DISTRICT DEAF & HARD OF HEARING ASSOCIATION
FINANCIAL STATEMENTS
TO
30TH SEPTEMBER 2021
Contents
Page
statement of financial activities
Detailed Income and Expendlture report 2020
statement of assets and liabilities

BURY ST EDMUNDS & DISTRICT DEAF & HARD OF HEARING ASSOCIATION
STATEMENT OF FINANCIAL ACTIVITIES
(INCOME AND EXPENDITURE REPORTI
FOR THE YEAR ENDED 30 SEPTEMBER 2021
2021
2020
INCOME
Amounts received
Incr8a$e in value of investments
(Note 11
17.143
8,749
25,892
19.308
1,802
17,506
Total Income
EXPENDITURE
Amounts paKI
Depie¢iation
(Note 21
9.107
3,282
12.389
12,796
4.375
17,171
Total expenses
SURPLUSIIDEFICITI OF INCOME OVER
EXPENDITURE FOR THE YEAR
13,503
335
Approved by the trustees on
and signed on their behalf by
ED
Inde
endent examlner'5 re
ort
to the trustees ol The Bur
St Edmunds & Distrlct Deaf & Hard of Hearln
Assoclatlon
I report on the accounts of the association for the year ended 30th September 2021, which are set out on
pages l and 2.
Res
ectlve res
on5ibllities of trustees and exarnlner
The charity's trustees are responsible for the preparation of the accounts. The charitws trustees consider that
an audit is not reouired and that an independent examination is needed.
It is my responsibility to exam1ne the account5 and to state whether particular matters have come to
yattention.
Basi5 of examlnels Statement
My examin8tion was carried out in accordance with the General DirECtions given by the Charity Commissioners.
An examination Includes a review of the accounting records kept by the association and 3 cornparison of the
accounts presented with those records. It a150 includes consideration of any unusual items or disclosures in the
accounts, and seeking explanations from you a5 trustees concerning 3ny such mattels. 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.
Inde
endent examiner'5 statement
In connection with my examination for the year ended 30th September 2021, no matter has come to my
attention which is inconslstant with..
The accounting records being properly kept,. and
• The accounts having be
prepared which accord with the accounting records.
S Badrick ACA
Independent examlner

BURY ST EDMUNDS & DISTRICT DEAF & HARD OF HEARING ASSOCIATION
DETAILED INCOMÈ AND EXPENDITURE REPORT
FOR THE YEAR ENDED 30 SEPTEMBER 2021
2021
2020
2021
2020
INCOME
Note 1
EXPENDITURE
Note 2
2,787.90
611.57
644.90
685.04
Donations
Fundralsing
Flat fftnl
Arthur M8rtin room rent
Room ￿ntaI
Membership fees
Interest
other
752.00
io.
8,181.03
4.575.00
830.00
840.00
1,385.24
570.00
490 00 Utilitie5
1.516.59 Cleaning
8,585.89 Mileage
4,575.00 Administration
2.055.00 Legal & Professional
831.71 Insurance
1,254.00 Fund raising
Repairs and ienewals
Premises repairs
other
3,590.57
153.67
72.40
7tr4.00
1,017.50
1.591.68
57.00
1,496.
272.78
6,297.70
1,830.10
9,106.92
17,143.27
19,308.19
12,795.89
Increase in value of investm&nt5
8.748.82
DepreGiation
3,281.90
4,375.86
1,801.99
25,892.09
19,308.19
12,388.82
18.973.74
Surplu51ldeficrtl for the year
13,503.27
334.45

BURY ST EDMUNDS & DISTRICT DEAF & HARD OF HEARING ASSOCIATION
STATEMENT OF ASSETS AND LIABILITIES
A5 AT 30 SEPTEMBER 2021
2021
2020
Fixed A55ets
Premises at Cost
18.691.00
18,691.00
Fixtures and flttings
Cost
Depreciation
35,759.96
25,914.28
9,845.68
35,759.96
22,632.381
13,127.58
Total fixed assets
28,536.68
31,818.58
Investmants, at market value
National Savings Income Bond
COIF Charities
CAF Balanced Growth
2.000.00
27,431.23
24,140.57
53,571.80
2,000.00
20,237.26
22,585.72
44,822.98
Bank Accounts
CAF
Barclays
45,837.92
45,837.92
37,801.57
37,801.57
Total current assets
99,409.72
82.624.55
Creditors
Net Current Assèts
99,409.72
82,624.55
Net Assets
127,946.40
114,443.13
Funds
Premises
General
Youth
Propety
Interpreter Bursary
19,235.60
90,509.39
1,574.33
14,584.00
2,043.08
127,946.40
19,235.60
77,006.12
1,574.33
14,584.00
2,043.08
114,443.13

BURY ST EDMUNDS & DISTRICT DEAF & HARD OF HEARING ASSOCIATION
STATEMENT OF ASSETS AND LIABILITIES
AS AT 30 SEPTEMBER 2021
2021
2020
Fixed Assets
Premises at cost
18,691.00
18,691.00
Fixture5 and fittings
Cost
Depreciation
35,759.96
25,914.28
9,845.68
35,759.96
22,632.38
13,127.58
Total fixed assets
28,536.68
31,818.58
Investments, at markol value
National Savings Income Bond
COIF Charities
CAF Balanced Growth
2,000.00
27,431.23
24,140.57
53,571.80
2,000.00
20,237.26
22,585.72
44,822.98
Bank Accounts
CAF
Barclays
45,837.92
45,837.92
37,801.57
37,801.57
Total current assets
99.409.72
82,624.55
Creditots
Net CurrentAssets
99.409.72
82,624.55
Net Assets
127,946.40
114,443.13
Funds
Premises
General
Youth
Property
InlerpreleT Bursary
19,235.60
90,509.39
1,574.33
14,584.00
2,043.08
127,946.40
19.235.60
77,006.12
1,574.33
14,584.00
2,043.08
114,443.13