
**----- Start of picture text -----**<br>
Derby Contact Centre<br>School Fund Account 2020<br>Year End 31 12  2020<br>Expenditure  Outstanding expenditure - no details<br>01/20 Cq, SO, DD, cash  Premises Costs Cleaning & MaiCoffee Bar SuppliesPublisity/Fund  Books Loan RepaymeGeneral Admin and Misc no de TOTAL Monthly Total Premiises inc Rent, light, heat, water, insurance<br>28 01 2020 DD 27.05 27.05 DD Training - bought in services and subcritpions<br>18 01 2020 PC 36 36.6 112.84 12.5 197.94 PC Amanda Misc<br>30 01 2022 PC 53.5 43.2 43.2 PC<br>02 01 2020 SO 750 69 819 SO Amanda Misc<br>02 01 2020 SO 84 84 SO Veolia<br>02 01 2020 SO 350 47.97 48.5 446.47 SO 1650.58<br>Jan Totals 1300.55 84.57 112.84 124.7 48.5 1671.16<br>02/20<br>03 02 2020  DD 187.07 187.07 DD<br>28 02 2020 DD 42.3 42.3 DD<br>03 02 2020 SO 750 750 SO<br>03 02 2020 SO 84 84 SO<br>03 02 2020 SO 350 350 SO<br>07 02 2020 PC 72 5.47 12.5 89.97 PC Amanda<br>14 02 2020 PC 40 40 PC<br>1298.3 45.47 199.57 0 1543.34<br>03/20<br>Date Cq, SO, DD, cash  Premises Costs Cleaning & MaiCoffee Bar SuppliesPublisity/Fund  Books General Admin and Misc no details<br>02 03 2020 SO 750 750 SO<br>02 03 2020 SO 84 84 SO<br>02 03 2020 SO 350 350 SO<br>30 03 2020 DD 42.3 42.3 DD<br>05 03 2020 PC 80.14 12.5 40.54 133.18 PC<br>18 03 2020 PC 36 30 74.5 140.5 PC<br>1342.44 42.5 115.04 0 1499.98<br>04/20<br>01 04  2020 SO Rent 750 750 SO<br>01 04 2020 SO Insurance 84 84 SO<br>01 04 2020 SO Electricity 350 350 SO<br>02 04 2020 SO Rent -750 -750 SO<br>02 04 2020 SO Insurance -84 -84 SO<br>02 04 2020 SO Electricity -350 -350 SO<br>28. 04 2020 DD Veolia   42.3 42.3 DD<br>Totals  42.3 42.3<br>05/20<br>01 05 2020 SO Rent 750 750<br>01 05 2020 SO Insurance 84 84<br>01 05 2020 SO Electricity 350 350<br>01 05 2020 SO Rent -750 -750<br>01 05 2020 SO Insurance -84 -84<br>01 05 2020 SO Electricity -350 -350<br>04 05 2020 DD  BT 191.71 191.71<br>05 05 2020 DD Meth Insurance 490.92 490.92<br>Totals 490.92 191.71 682.63<br>06/20<br>01 06 2020 SO Rent 750 750<br>01 06 2020 SO Insurance 84 84<br>01 06 2020 SO Electricity 350 350<br>02 06 2020 SO Rent -750 -750<br>02 06 2020 SO Insurance -84 -84<br>02 06 2020 SO Electricity -350 -350<br>09 06 2020 CQ 100022 1450 1450<br>09 06 2020 CQ 100022 -1450 -1450<br>TOTAL 0 0 0<br>07/20<br>01 07 2020 SO Rent 750 750<br>01 07 2020 SO Insurance 84 84<br>01 07 2020 SO Electricity 350 350<br>TOTAL  1184 1184<br>08/20<br>03 08 2020 SO Rent 750 750<br>03 08 2020 SO Insurance 84 84<br>03 08 2020 SO Electricity 350 350<br>03 08 2020  DD BT  325.97 325.97<br>20 08 2020 DD ICO 35 35<br>05 08 2022 CQ 100029 1450 1450<br>05 08 2020 CQ 100029 -1450 -1450<br>26 08 2020 BP Rees Construc 1440 1440 Not sure<br>26 08 2020 BP MSG Tours  1580 1580 Cash Loan repayment<br>2949.97 1580 35 4564.97<br>09/20<br>21 09 2020 DD Uniited Gas  11.36 11.36<br>30 09 2020 DD Uniited Gas  31.48 31.48<br>30 09 2020 DD Uniited Gas  54.19 54.19 0 1650.58 1704.77<br>23 09 2020 CQ 100031 116.72 116.72<br>TOTAL  97.03 116.72 213.75<br>10/20<br>17 10 2020 BP Abbey Gas  2000 2000 New Boiler<br>17 10 2020 BP   G T Collett 1450 1450<br>17 10 2020 BP NACC 172 172<br>17 10 2020 BP A Ahmed  800 800<br>19 10 2020 DD United Gas  16.24 16.24<br>21 10 2020 DD Unitied Gas 159.67 159.67<br>TOTAL  4425.91 172 0 4597.91<br>11/20<br>02 11 2020 DD BT  144.36 144.36 DD<br>02 11 2020 CQ 100023 1080 1080 CQ<br>02 11 2020 SO G T Collett 1450 1450 SO<br>14 11 2020 BP LCSDR 161.44 161.44 BP<br>14 11 2020 BP MSG Tours  1080 1080 BP Loan Repayment<br>16 11 2020 DD Unitied Gas  26.33 26.33 DD<br>17 11 2020 SO Baxter M  40 40 SO<br>21 11 2020 BP R W Brice 87.73 87.73 BP<br>21 11 2020 BP R W Brice 343.9 343.9 BP<br>23 11 2020  DD Unitied Gas  16.57 16.57 DD<br>Totals 3165.97 1120 144.36 0 4430.33<br>12/20<br>02 12 2020 SO G T Collett  1450 1450 SO<br>15 12 2020 DD United Gas 24.48 24.48 DD<br>15 12 2020 DD United Gas 18.94 18.94 DD<br>17 12 2020 SO  Baxter MA  40 40 SO<br>19 12 2020 BP Waterplus 214.99 214.99 BP<br>19 12 2020 BP MSG Tours  2085 2085 BP<br>19 12 2020 BP T Albiston  813 813 BP<br>2521.41 2125 0 4646.41<br>2020 Premises Costs inc Cleaning & MCoffee Bar Suppl Publicity/FunBooks Loan repaymGeneral Admin anMisc no details<br>01/20 1300.55 84.57 112.84 124.7 48.5 1671.16<br>02/20 1298.3 45.47 199.57 1543.34<br>03/20 1342.44 42.5 115.04 0 1499.98<br>04/20 42.3 42.3<br>05/20 490.92 191.71 682.63<br>06/20 0 0<br>07/20 1184 1184<br>08/20 2949.97 1580 35 4564.97<br>09/20 97.03 116.72 213.75<br>10/20 4425.91 172 0 4597.91<br>11/20 3165.97 1120 144.36 4430.33<br>12/20 2521.41 2125 4646.41<br>Totals for 2020 18818.8 0 172.54 0 112.84 4825 982.38 165.22 25076.78<br>**----- End of picture text -----**<br>




**Derby Contact Centre Account 2020 Year End 31 12  2020** 


**----- Start of picture text -----**<br>
INCOME Questions/Queries  Expenditure<br>Banking Date CR,  AttendanceReferral Fees Coffee Bar TakingGrants Donations Loan for Boiler M Hire of Ro FundraisinOther Total BankedCash  Petty Cash ove/under<br>02 01 2020 CR A/C 10 10 E Williscroft<br>02 01 2020 CR A/C 161.9 161.9 No Record Sheet<br>07 01 2020 CR Cash Bank  166 33.78 78.4 56 334.18 130.58 -197.42 -6.18<br>08 01 2020 CR CQ 259.5 259.5 259.5<br>14 01 2020  CR A/C 2805 2805 2805 CAFCASS<br>16 01 2020 CR Cash Bank  142 30 34.99 37 243.99 162.29 -96.7 15 CAFCASS, Mizah<br>17 01 2020 CR CQ 55 55<br>21 01 2020 Cr Cash Bank  138 33.16 171.16 122.66 -48.5<br>21 01 2020 CR CQ 60 280 340 No description<br>30 01 2020 CR Cash Bank  173 45 37.51 103 358.51 280.21 -96.47 18.17 Mis, ??<br>780.9 190 139.44 405.4 259.5 159 0 1934.24 -439.09 26.99<br>0<br>February  0<br>03 02 2020 CR A/C 10 10 E Willscroft<br>17 02 2020 CR A/C 643.79 643.79 Crowdfunder<br>07 02 2020 Cr Cash Bank 164 60 39.37 263.37 196.5 -89.97 23.1<br>17.02.2020 Cr CQ Bank 50 50<br>14 02 2020 Cr Cash Bank  151 30 22 203 173 -40<br>21 02 2020 Cr Cash Bank 152 30 5 187<br>Totals  467 120 66.37 703.79 0 1357.16 -129.97 23.1<br>March<br>02 03 2020  CR A/C 10 10 EWIllscroft<br>26 03 2020 CR A/C  50 50 Sue Brice<br>05 03 2020  CRCash Bank  182 25 26.86 233.86 172.05 -133.18 11.37<br>09 03 2020 CrR CQ 60 60<br>18 03 2020 CR Cash  140 0.5 140.5 12.12 -140.5 10.12<br>19 03 2020 CR CQ 736 736 MG - add yo donations  No Details but on Bank Statement<br>Totals  322 85 27.36 796 0 1230.36 -273.68 21.49<br>April<br>02 04 2020  Cr A/C 10 10 EWIllscroft<br>27 04 2020 Cr A/C 50 50 Sue Brice<br>Totals  60 60<br>May<br>04 05 202 Cr A/C 10 10 EWIllscroft<br>26 05 2020 Cr A/C 50 50 Sue Brice<br>Totals  60 60<br>June<br>02 06 2020 Cr A/C 10 10 EWIllscroft<br>26 06 2020 Cr A/C 50 50 Sue Brice<br>15 06 2020 CR Cheque 30 30 Cheque ?<br>Totals  30 60 0 90<br>July<br>02 07 2020 Cr A/C 10 10<br>13 07 2020  Cr A/C Deby City 3636 3636<br>27 07 2020 Cr A/C 50 50<br>Totals  3636 60 0 3696<br>EWIllscroft<br>Derby City Council<br>Sue Brice<br>August<br>03 08 2020 CR A/C  10 10 EWIllscroft<br>26 08 2020 CR A/C  50 50 Sue Brice<br>13 08 2020 CR Cash Belper 293.72 293.72<br>19 08 2020 CR Cash Derby 41 41<br>20 08 2020 CR CQ  350 350<br>Totals 334.72 410 0 744.72<br>September<br>02 09 2020 CR A/C  10 10 EWIllscroft<br>28 09 2020 CR A/C  50 50 Sue Brice<br>11 09 2020 CR Bank Cash 181.44 181.44<br>18 09 2020 CR Bank Cash 87.86 87.86<br>21 09 2020 CR Cq 20 20<br>22 09 2020  CR CQ 72 72<br>22 09 2020 CR Cash 126.89 126.89<br>25 09 2022 CR Covid Grant 10000 10000<br>29 09 2020 BP Boiler Loan 2000 2000 M A Baxter Boiler Loan<br>TOTALS 488.19 10000 2000 0 12548.19<br>Err:522<br>Err:522<br>October<br>01 10 2020 CR A/C 1364 1364 Derby City Council<br>02 10 2020 CR Cash  140.83 140.83<br>02 10 2020 CR A/C 10 10 E Williscroft<br>26 10 2020 CR A/C  100 100 Sue Brice<br>05 10 2020 CR Bank CQ 25 25<br>06 10 2020 CR Bank Cash 135.51 135.51<br>07 10 2020 CR Bank CQ 25 25<br>16 10 2020 CR Bank Cash 153 153<br>19 10 2020 CR Bank CQ 55 55<br>19 10 2020 CR Bank Cash 85 85<br>26 10 2020 CR Bank Cash  208.5 208.5<br>27 10 2020 CR Bank CQ 60 60<br>TOTALS  997.84 1364 0 2361.84<br>Err:522<br>November  Err:522<br>02 11 2020 CR Bank Cash  81.45 81.45<br>02 11 2020 CR A/C 10 10 E Williscroft<br>02 11 2020 CR 100023 1080 1080<br>03 11 2020 CR Bank  Cq 50 50<br>05 11 2020 CR CAFCASS 2670 2670<br>10 11 2020 CR Bank Cash  139.5 139.5<br>11 11 2020 CR Bank CQ 30 30<br>18 11 2020 CR Bank Cash  109.4 109.4<br>24 11 2020 CR Bank Cash  130.65 130.65<br>25 11 2020 CR Bank Cq 36 36<br>26 11 2020 CR A/C 100 100 Susan Bric e<br>28 11 2020 CR A/C L Bingham 55 55<br>1767 2670 55 0 4492<br>December<br>01 12 2020 CR Bank Cash  111.45 111.45<br>01 12 2020 CR Wykes Quinn 30 30<br>02 12 2020 CR Bank CQ 25 25<br>02 12 2020 CR A/C 10 10 E Williscroft<br>07 12 2020 CR Quakers  100 100<br>08 12 2020 CR Bramson 20 20<br>15 12 2020 Cr Bank Cash  262.6 262.6<br>15 12 2020 CR Bank Cash  125.06 125.06 250.12<br>22 12 2020 CR Bank Cash  169.7 169.7<br>29 12 2020 CR S Brice 100 100<br>29 12 2020 CR Cash 207 207<br>31 12 2020 CR Roger  173.14 173.14<br>Total 900.81 433.14 1333.95<br>Totals for Year CR,  AttendanceReferral Fees Coffee Bar TakingGrants Donations Loan Boiler Hire of Ro FundraisinOther BankedCash  Petty Cash ove/under<br>01/20 780.9 190 139.44 405.4 259.5 159 1934.24<br>02/20 467 120 66.37 703.79 1357.16<br>03/20 322 85 27.36 796 1230.36<br>04/20 60 60<br>05/20 60 60<br>06/20 30 60 90<br>07/20 3636 60 0 3696<br>08/20 334.72 410 0 744.72<br>09/20 488.19 10000 2000 0 12488.19<br>10/20 997.84 1364 0 2361.84<br>11/20 1767 2670 55 0 4492<br>12/20 900.81 433.14 1333.95<br>6088.46 395 233.17 17670 3043.33 2000 259.5 159 0 29848.46<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
2020 Income Bank Statement<br>Account Balance Bank Statement<br>January  Expenditure -  Income + 4883.53 4883.53 31 12 2019<br>DD 27.05 Allocated  4739.24<br>PC 330.64 Unallocated 26.99<br>SO 1292.97<br>Totals 1650.66 Totals  4766.23 7999.1 Diff 0.52  7999.62 31 01 2020<br>February<br>DD 229.37 Allocated  1357.16<br>PC 129.97 Unallocated 23.1<br>SO 1184<br>Totals 1543.34 1380.26 7836.02 Diff 10.42 7846.54 28 02 2020<br>March<br>DD 42.3 Allocated  1232.36<br>PC 273.68 Unallocated 21.49<br>SO 1184<br>Totals  1499.98 1253.85 7600.41 74.1 7674.51 30.03.2020<br>April<br>DD 42.3 Allocated 60<br>SO 0<br>PC 0<br>Totals  42.3 60 7692.21 7692.21 30 04 2020<br>May<br>SO 0 Allocated 60<br>DD 682.63<br>PC 0<br>Totals  682.63 60 7069.58 7069.58 31 05 2020<br>June<br>SO 0 Allocated  90<br>DD 0 Unallocated<br>PC 0<br>Totals 0 90 7159.58 7159.58 30 06 2020<br>July<br>SO 1184 Allocated  3696<br>DD Unallocated<br>PC<br>Totals  1184 3696 9671.58 9671.58 31 07 2020<br>August<br>SO 1184 Allocated  744.72<br>DD 360.97 Unallocated<br>CQ 3020<br>PC<br>Totals  4564.97 744.72 5851.33 5851.33 31 08 2020<br>September<br>SO 0 Allocated  12548.19<br>DD 97.03 Unallocated<br>PC 0<br>CQ 116.72<br>Totals  213.75 12548.19 18185.77 18185.77 30 09 2020<br>October<br>BP 4422 Allocated  2361.84<br>DD 175.91 Unallocated<br>PC 0<br>Totals  4597.91 2361.84 15949.7 15949.7 31 10 2020<br>November<br>BP 1673.07 Allocated  4472<br>DD 187.26 Unallocated<br>PC 0<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
SO 1490<br>CQ 1080<br>Totals  4430.33 4492 16011.37 16011.37 30 11 2020<br>December<br>SO 1490 Allocated  1333.95<br>DD 43.42 Unallocated<br>BP 3112.99<br>Totals  4646.41 1333.95 12698.91 12698.91 31 12 2020<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
Expenditure  Income<br>Premises Costs inc Improvements 18818.8 Attendance Fees 6088.46<br>Cleaning & Maintenance 0 Referral Fees 395<br>Coffee Bar Supplies 172.54 Coffee Bar Takings 233.17<br>Publicity/Fund Raising Grants 17670<br>Books 112.84 Donations 3043.33<br>Loan repayments  4825 Loan Repayments  2000<br>General Admin and Sundries  982.38 Hire of Room 259.5<br>Misc no details  165.22 Fundraising  159<br>Other<br>Total  25076.78 Total  29848.46<br>**----- End of picture text -----**<br>




## **Derby Child Contact Centre** 

## **Charity No: 1158467** 

||**2020**|**2019**|
|---|---|---|
|**_Income_**|£|£|
|Attendance Fees|6088.46||
|Referral Fees|395|12941.71|
|Cofee Bar Takings|233.17|2016.72|
|Grants|17670|0|
|Donations|3043.33|4085|
|Loan Repayments|2000|0|
|Hire of Room|259.5|0|
|Fundraising|159|0|
|Other|0|603.21|
|**Total**|**29848.5**|**19646.6**|
|**_Expenditure_**|||
|Premises Costs inc Improvements|18818.8|16557.13|
|Cleaning & Maintenance|0|1706.7|
|Cofee Bar Supplies|172.54|790.01|
|Publicity/Fund Raising|0|0|
|Books|112.84|0|
|Loan repayments|4825|0|
|General Admin and Sundries|982.38|3015.67|
|Misc no details|165.22|0|
|**Total**|**25076.8**|**22069.5**|
|Defcit/surplus for the year|7813.38||
|Reserves  Cash at Bank - 31 12 19|4885.53||
|Reserves  Cash at Bank - 31 12 20|12698.91||
|Bank Statement reconciled   VMS|||



