Annual Report 2020/21 

## Annual Report 2020/21 

## LLANFAIR WATERDINE COMMUNITY TRUST 

1159992 

**Annual Report 2020/21** 



## Community Trust Name and Charity Number 

Llanfair Waterdine Community Trust – 1159992 

## Type of Organisation 

Charitable Incorporated Organisation 

## Principal Address 

Black Hall Llanfair Waterdine Knighton Powys LD7 1TU 

## Trustees as of April 30th 2020 

Andrew Beavan Robert Bailey Robert Gwilt 

## Other Trustees in the year to April 30th 2020 

Matt Croose Steven Knowler 

## Patrons 

None 

## Legal Advisers 

McCartneys Wylcwm House Knighton Powys LD7 1AE 

PCB 

Wylcwm Place 

Knighton Powys 

LD7 1AE 

## Structure, Governance and Management 

The Managing Trustees work as a small team with shared roles and equal responsibilities for the overall success and legal compliance of the Community Trust. Within this team specific responsibilities do exist and skills are utilised to maximise our effectiveness. Roles include: Chair, Secretary, Financial Officer Annual Report 2020/21 The Chair has no executive powers over and above the powers of the other Trustees. Other roles are decided annually. We rotate these roles between trustees to raise our overall expertise and avoid over-reliance on the skills of any particular trustee. As well as the formal roles stated above, there is a need to make good land management decisions. It is obviously of great help that we have experienced land management skills within the team. 



## History, Governing Document and Constitution 

The history of Llanfair Waterdine Parish Charities can be traced back three hundred years. They consisted of a number of bequests and allotments of land under enclosure awards. The ancient charities were amalgamated to some degree in 1977 when a Charity Commission Scheme became the Governing Document for all the individual Parish Charities then existing. The only charity not governed by the 1977 Scheme was The Joan Adams Charity founded by a Conveyance of The Vedw Field in August 2000. This Conveyance was the Governing Document for this Charity. In 2015 the Trustees combined all the separate charities into one new entity, called The Llanfair Waterdine Community Trust. This replacement entity has made the work of the Community Trust easier to manage and has replaced the old Governing Documents with a Constitution that is easier to understand. The intention of the Trustees was always to ensure that the aims of the Community Trust remain consistent with previous aims. The new Constitution is available on the Parish Council Website at the following web addresses: www.hugofox.com/community/llanfairwaterdine-parish-council Printed copies are always available on request. 

## Trustee Selection and Management 

Managing Trustees (the people responsible under the Constitution for controlling the management and administration of the Community Trust) are selected by two methods:- 

1. Four are appointed by the Llanfair Waterdine Parish Council 

2. One Trustee can be co-opted by the other Managing Trustees 

Related Organisations Llanfair Waterdine Parish Council 

The Parish Council appoints four trustees to act as Managing Trustees for the Community Trust. 

Note: Because the Parish Council is classed as a Local Authority and part of the ‘State’, there is a legal requirement that the Community Trust acts independently from the Council. Therefore Trustees act solely in the interests of the Community Trust and a Trustee is not a delegate of the Council even though the Council may appoint her or him. 

## Objectives 

1) Relief of Financial Hardship, either generally or individually, of people living in the Parish of Llanfair Waterdine in Shropshire and its environs by making grants of money for providing or paying for items, services or facilities; 

2) Advancement of Education for the public benefit to promote the education (including social and physical training) of people under the age of 26 years in the Parish of Llanfair Waterdine in Shropshire and its environs in such ways as the charity trustees think fit; 

3) The promotion for the benefit of the public of urban or rural regeneration in areas of social and economic deprivation (and in particular in the Parish of 



Llanfair Waterdine) in Shropshire and its environs by all or any of the following means: 

a) the relief of financial hardship; 

b) the maintenance, improvement or provision of public amenities; 

- c) the protection or conservation of the environment; 

d) such other means as may from time to time be determined subject to the prior written consent of the Charity Commissioners for England and Wales. 

4) The General Benefit for charitable purposes of the inhabitants of Llanfair Waterdine and its environs for which provision is not made out of rates, taxes or other public funds. 

5) The provision of a recreational field in accordance with the Conveyance of the Joan Adams Community Field of 7th August 2000. 

Community Trust Location 

The Llanfair Waterdine Community Trust provide for individuals, groups and the whole community of Llanfair Waterdine and its environs. 

## Public Benefit Statement 

The Trustees confirm that they have complied with their duty under section 17(5) of the Charities Act 2011 to have due regard to the Charity Commission Guidance on public benefit and that the public benefit requirement has informed the activities of the trustees in the year to April 30th 2020. In evaluating public benefit the trustees note that beneficiaries are; 

• individuals requiring funds for items or projects; 

• or organisations and groups; whose needs are compatible with the Mission Statement of the Community Trust. The mission statement is in turn, compliant with the aims and objectives of the Governing Document endorsed by the Charity Commission. 

## Summary of Main Activities 

Community Trust income is allocated to meet applications for funds. Applications are considered for: • Grants to individuals, families or groups on the basis of exceptional or challenging circumstances; 

• Bursaries to young people to help them broaden their experiences and accomplishments; 

- Partnerships with groups seeking similar goals to our own; 

- Sponsorship of projects that will be of general benefit to the community 

## Achievements and Performance 

• In the financial year to 31st December 2019 the Trustees have given grants and bursaries to individuals and groups. 



• We have planned and begun the build of a pavilion on the Joan Adams Community Field with a view to meeting the needs identified in the Llanfair Waterdine Community Led Plan, providing public conveniences accessible 24/7 and to compliment and augment the use of the field. This project was made possible by a Leader II grant for which LWCT is most grateful. 

• We have helped mitigate the isolation that rural living sometimes produces, by continuing with our project of supplying emergency alarms to the elderly. These are currently installed in four homes. 

• We have maintained strong and effective communication links with the Parish Council and the community by providing regular reports on our activities. 

• We have given continued support to the Parish Council’s newsletter: The Llanfair Times. We expect to work with the Parish Council and the Editorial Team to ensure that this vital means of communication within the Parish & Environs continues to flourish. 

• We have helped improve the environmental legacy of Community Trust land in the following ways; 

## Turbary 

English Moorland with right to roam 

High level stewardship with Natural England 

Wildlife site designated by Shropshire Wildlife Trust. 

Hordy field 

Entered into an entry level scheme with Natural England with conditions to enhance diversity by cattle grazing. 

Surveyed and accepted as wildlife site by Shropshire Wildlife Trust. 

Gravel field 

English part of the land entered into an entry level scheme with English Nature to protect the meadow grasses 

Part of the field near the river Teme is designated an SSSI. 

## Policies 

The Trustees have adopted and regularly review, the following policies: 

- Induction 

- Mission Statement 

- Equal Opportunities 

- Data Protection 

- Conflict of Interest 

- Finance 



- Summary of Working Practices 

- Complaints 

Copies of these policies are available on request. 

## Financial Review 

The 2021 Accounts for the period 1st January 2021 - 31st December 2021 show: Combined cash balances of the charities @ 31/12/2021 

Value of invested endowments @ 31/12/2021 

## Financial Management 

Underlying income in the year - with exceptional items deducted has remained steady. The Trustees continue to adopt five-year rolling budgets which enable us to set realistic spending targets that can spread the effects of annual under- or over-spends over the following four years; it also enables us to augment current income with a controlled draw-down of the very considerable cash balances that have built up over the previous decades. A small underspend over the past two years allows the target spend to continue at £45,000 over the next five years. The present five-year budget includes a rate of draw-down of accumulated unapplied income still set at 4% per annum of the cash balances, which raises the spending target by approximately £2200 above each year’s projected current income. Part or all of the cash balance can of course be applied at any time, depending on circumstances and applications for funds; this part of the budget simply lays out a plan for reducing the surplus of unapplied income over approximately the same period of time that it took to accumulate - but it will be reviewed and adjusted on a regular basis. 

## Statement of Assets and Liabilities 

47 acres of agricultural land 

The Joan Adams Community Field 

Permanent endowment held as 82 units of M and G Charifunds value at 31/12/2021 of £1160.40 

Cash balances of unapplied income held in HSBC, Dudley B.S. and Virgin Charity Deposit Account 

## Reserves Policy 

The purpose of an appropriate reserves policy is to mitigate fluctuations in income and expenditure in such a way that present and future beneficiaries are neither unduly favoured nor unduly disadvantaged. It should enable the trustees to make fair and reasonable strategic funding decisions. The income of the charities has been relatively consistent and predictable since 2013. However, the Trustees are mindful of the very particular and considerable uncertainty that hangs over both market prices for produce (and, therefore, grazing) and future levels of agricultural subsidies and environmental grants, following Britain’s 



departure from the European Union, from 2020 onwards. The income of the Trust is extremely dependant on these things: trustees are therefore minded of maintaining a reserve which - other unexpected calls on Trust assets aside - will enable them to defray any drastic reduction in current income by drawing down a larger proportion of the accumulated unapplied income for a suitable period. This policy is reviewed annually and can be altered immediately - should circumstances change 



## **Llanfair Waterdine Community Tru** 

## **Accounting Year** 

2021 

## **Total Expenditure Total Income** 

## **Opening Balance Closing Balance** 


**----- Start of picture text -----**<br>
Current Balances<br>Current Deposit NatWest<br>£9,815.21 £0.01<br>Opening Balances<br>Current Deposit NatWest<br>£459.61 £21,024.70 £0.00<br>Expenditures YTD<br>Current Deposit NatWest<br>£28,707.90 £21,024.70<br>Income YTD<br>Current Deposit NatWest<br>£38,063.50 £0.01<br>**----- End of picture text -----**<br>


Expenditure 

Income 



## **ust Accounts** 

**VAT carried from previous year** Net Gross VAT £895.01 £1,074.01 £179.00 **Quarter 1 VAT** Net Gross VAT Err:504 Err:504 Err:504 **Quarter 2 VAT** Net Gross VAT Err:504 Err:504 Err:504 **Quarter 3 VAT** Net Gross VAT Err:504 Err:504 Err:504 **Quarter 4 VAT** Net Gross VAT **VAT for YTD** Net Gross VAT **Err:504 Err:504 Err:504** 

£1,074.01 Err:504 Err:504 Err:504 £0.00 Err:504 



|||**Llanfair Waterdine**|**Llanfair Waterdine**|**Community**|**Trust Accounts -**|**Trust Accounts -**|**Transactions**|**Transactions**|||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
|**Yr Opening Balance**<br>**Current Balance**<br>**Yr Closing Balance**<br>**Current**<br>£459.61<br>£9,815.21<br>**Deposit**<br>£21,024.70<br>£0.01<br>**NatWest**<br>£0.00|||||||||||||||||||||||||||
|**Q1 Start**<br>**Q2 Start**<br>11/01/2020<br>02/01/2021||**Q3 Start**<br>**Q4 Start**<br>05/01/2021<br>08/01/2021|**Q4 End**<br>10/31/2021||||||||||||||||||||||||
|Opening Creditors for 2021||£2,548.73|||||||||||||||||||||||||
||||||||||**Transaction Value**||||||VAT Q1|||VAT Q2|||VAT Q3|||VAT Q4||invoice number|
|**Date**|**Type**|**Account**<br>**Source**|**Cheque Number**|**Invoice Number**<br>**Qtr.**||**VAT Ded.Reconciled**||**Gross**|**Net**|**VAT**|**Description / Notes**<br>**Value**|**Current**|**Deposit**|**Gross**|**Net**|**VAT**|**Gross**|**Net**|**VAT**|**Gross**|**Net**|**VAT**|**Gross**|**Net**|**VAT**||
|06/01/2021 Income|Current|Transfer IN|TFR|TFR|1|NO|YES|£21,024.70||Acc: 402621, 71108077<br>21024.7||21024.7|0|0|0|0|0|0|0|0|0|0|0|0|0||
|01/18/2021 Expenditure|Current|Community Project|200622|2011-023589|1|YES|YES|£425.06|£354.22|£70.84<br>KBM|-425.06|-425.06|0|425.06|354.2166667|70.84333333|0|0|0|0|0|0|0|0|0|1|
|01/21/2021 Expenditure<br>01/29/2021 Expenditure|Current<br>Current|Community Project<br>Community|200626<br>200627|2012-029440|1<br>1|YES<br>NO|YES<br>YES|£28.27<br>£265.50|£23.56|£4.71<br>KBM<br>-28.27<br>Llanfair Parish Council (Llanfair Times)<br>-265.5||-28.27<br>-265.5|0<br>0|28.27<br>0|23.55833333<br>0|4.711666667<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|2<br>3|
|02/01/2021 Expenditure|Current|General Benefts|200628||2|NO|YES|£800.00||Awards|-800|-800|0|0|0|0|0|0|0|0|0|0|0|0|0|4|
|02/02/2021 Expenditure|Current|Grass Keep|200625|See Reciepts|2|YES|YES|£87.00|£72.50|£14.50<br>Morris Grass Cutting<br>-87||-87|0|0|0|0|87|72.5|14.5|0|0|0|0|0|0|5|
|02/04/2021 Expenditure|Current|Utilities ELECTRIC|DD||2|YES|YES|£148.15|£123.46|£24.69|-148.15|-148.15|0|0|0|0|148.15|123.4583333|24.69166667|0|0|0|0|0|0|6|
|02/05/2021 Expenditure|Current|Community Project|200621|2132004|2|YES|YES|£1,046.67|£872.23|£174.45<br>KBS|-1046.67|-1046.67|0|0|0|0|1046.67|872.225|174.445|0|0|0|0|0|0|7|
|02/05/2021 Expenditure|Current|Community Project|200624|2134485|2|YES|YES|£294.02|£245.02|£49.00<br>KBS|-294.02|-294.02|0|0|0|0|294.02|245.0166667|49.00333333|0|0|0|0|0|0|8|
|02/05/2021 Income|Deposit|Bank Interest|INT|INT|2|NO|YES|£0.01||Deposit Interest|0.01|0|0.01|0|0|0|0|0|0|0|0|0|0|0|0||
|02/06/2021 Expenditure|Deposit|Transfer OUT|TFR|TFR|2|NO|YES|£21,024.70||Deposit to Current<br>-21024.7||0|-21024.7|0|0|0|0|0|0|0|0|0|0|0|0|9|
|02/26/2021 Income|Current|Bank Interest|DD||2|NO|YES|£9.43||M&G|9.43|9.43|0|0|0|0|0|0|0|0|0|0|0|0|0||
|03/01/2021 Expenditure|Current|Alarm|200644|AMO00449|2|YES|YES|£194.83|£162.36|£32.47<br>Welbeing Alarms<br>-194.83||-194.83|0|0|0|0|194.83|162.36|32.47|0|0|0|0|0|0|10|
|03/01/2021 Expenditure|Current|Utilities ELECTRIC|DD||2|YES|YES|£178.47|£148.73|£29.75<br>SSE Electric|-178.47|-178.47|0|0|0|0|178.47|148.725|29.745|0|0|0|0|0|0|11|
|03/17/2021 Income|Current|VAT IN|DD||2|NO|YES|£4,847.43||VAT Repay|4847.43|4847.43|0|0|0|0|0|0|0|0|0|0|0|0|0||
|03/19/2021 Income|Current|Land|DD||2|NO|YES|£925.00||Lloyd Turbary|925|925|0|0|0|0|0|0|0|0|0|0|0|0|0||
|04/06/2021 Expenditure|Current|Community Project|200643|2104-052245|2|YES|YES|£135.67|£113.06|£22.61<br>KBM|-135.67|-135.67|0|0|0|0|135.67|113.06|22.61|0|0|0|0|0|0|12|
|04/06/2021 Expenditure|Current|Utilities ELECTRIC|DD||2|YES|YES|£129.60|£108.00|£21.60<br>SSE Electric|-129.6|-129.6|0|0|0|0|129.6|108|21.6|0|0|0|0|0|0|13|
|04/12/2021 Income|Current|Land|DD||2|NO|YES|£260.00||Raymond Davies<br>260||260|0|0|0|0|0|0|0|0|0|0|0|0|0|14|
|04/14/2021 Expenditure|Current|Community Project|200630|18424|2|YES|YES|£121.20|£101.00|£20.20<br>Safeguard Fire and Security<br>-121.2||-121.2|0|0|0|0|121.2|101|20.2|0|0|0|0|0|0|15|
|04/16/2021 Expenditure|Current|Community Project|200631|1|2|NO|YES|£280.00||Josh Davies Timber<br>-280||-280|0|0|0|0|0|0|0|0|0|0|0|0|0|16|
|04/20/2021 Expenditure|Current|Community Project|200638|044-541689|2|YES|YES|£116.64|£97.20|£19.44<br>Edmundson Electrical<br>-116.64||-116.64|0|0|0|0|116.64|97.2|19.44|0|0|0|0|0|0|17|
|04/20/2021 Expenditure<br>04/20/2021 Expenditure|Current<br>Current|Community Project<br>Community Project|200636<br>200632|2148731<br>12445455|2<br>2|YES<br>YES|YES<br>YES|£751.91<br>£350.42|£628.59<br>£292.02|£123.32<br>KBS<br>£58.40<br>Breedon|-751.91<br>-350.42|-751.91<br>-350.42|0<br>0|0<br>0|0<br>0|0<br>0|751.91<br>350.42|628.59<br>292.02|123.32<br>58.4|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|18<br>19|
|04/21/2021 Expenditure|Current|Community Project|200637|See Reciepts|2|YES|YES|£2,917.90|£2,334.32|£583.58<br>Fixtures and fttings for the Pavilion<br>-2917.9||-2917.9|0|0|0|0|2917.9|2334.32|583.58|0|0|0|0|0|0|20|
|04/22/2021 Expenditure|Current|Community Project|200635|6104538|2|YES|YES|£641.40|£513.12|£128.28<br>CCF Gates|-641.4|-641.4|0|0|0|0|641.4|513.12|128.28|0|0|0|0|0|0|21|
|04/23/2021 Expenditure<br>04/23/2021 Expenditure|Current<br>Current|Insurance<br>Community Project|200639<br>200634|XAO1220701923<br>2103-048064|2<br>2|NO<br>YES|YES<br>YES|£507.77<br>£274.07|£228.39|Zurich Insurance<br>-507.77<br>£45.68<br>KBM<br>-274.07||-507.77<br>-274.07|0<br>0|0<br>0|0<br>0|0<br>0|0<br>274.07|0<br>228.39|0<br>45.68|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|22<br>23|
|04/29/2021 Income<br>04/30/2021 Income|Current<br>Current|Land<br>Subsidy|DD<br>DD||2<br>2|NO<br>NO|YES<br>YES|£400.00<br>£9,600.00||Hordy<br>Grant|400<br>9600|400<br>9600|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0||
|05/07/2021 Expenditure|Current|Utilities ELECTRIC|DD||3|YES|YES|£141.13|£117.61|£23.52<br>SSE Electric|-141.13|-141.13|0|0|0|0|0|0|0|141.13|117.6083333|23.52166667|0|0|0|24|
|05/18/2021 Expenditure<br>05/18/2021 Expenditure|Current<br>Current|Community Project<br>General Expenses|200649<br>200647|2126035<br>See Reciepts|3<br>3|YES<br>YES|YES<br>YES|£4,384.80<br>£370.80|£3,654.00<br>£309.00|£730.80<br>Jackson Fencing<br>-4384.8<br>£61.80<br>Reimburse A Beavan for training costs<br>-370.8||-4384.8<br>-370.8|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|4384.8<br>370.8|3654<br>309|730.8<br>61.8|0<br>0|0<br>0|0<br>0|25<br>26|
|05/26/2021 Expenditure|Current|Community Project|200645||3|YES|YES|£135.67|£113.06|£22.61<br>KBM|-135.67|-135.67|0|0|0|0|0|0|0|135.67|113.0583333|22.61166667|0|0|0|27|
|05/27/2021 Expenditure|Current|Community Project|200646|1211|3|NO|YES|£234.00||Inklines - planning<br>-234||-234|0|0|0|0|0|0|0|0|0|0|0|0|0|28|
|05/28/2021 Income|Current|Bank Interest|DD||3|NO|YES|£17.63||M&G|17.63|17.63|0|0|0|0|0|0|0|0|0|0|0|0|0||
|05/31/2021 Expenditure|Current|Community Project|200650||3|YES|YES|£479.18|£383.34|£95.84|-479.18|-479.18|0|0|0|0|0|0|0|479.18|383.34|95.84|0|0|0|29|
|06/01/2021 Expenditure<br>06/02/2021 Expenditure|Current<br>Current|Utilities ELECTRIC|DD<br>200642||3<br>3|YES<br>NO|YES<br>YES|£148.28<br>£50.00|£123.57|£24.71<br>SSE Electric<br>-148.28<br>Jim Williams Gravel Access License<br>-50||-148.28<br>-50|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|148.28<br>0|123.5666667<br>0|24.71333333<br>0|0<br>0|0<br>0|0<br>0|30<br>31|
|06/18/2021 Income|NatWest|Transfer IN|DD||3|NO||£5,000.00||Transfer to NatWest<br>5000||0|0|0|0|0|0|0|0|0|0|0|0|0|0||
|06/21/2021 Expenditure|Current|Transfer OUT|200641||3|NO|YES|£5,000.00||Transfer to NatWest<br>-5000||-5000|0|0|0|0|0|0|0|0|0|0|0|0|0|32|
|06/23/2021 Expenditure|Current|General Expenses|200651|See Reciepts|3|YES|YES|£28.80|£24.00|£4.80<br>Graham Lloyd Fire and FA training<br>-28.8||-28.8|0|0|0|0|0|0|0|28.8|24|4.8|0|0|0|33|
|06/23/2021 Expenditure|Current||200640||3|NO|YES|£250.00||Float TFR to Management Committee<br>-250||-250|0|0|0|0|0|0|0|0|0|0|0|0|0|34|
|06/28/2021 Expenditure|Current|Utilities ELECTRIC|DD||3|YES|YES|£78.19|£65.16|£13.03<br>SSE Electric|-78.19|-78.19|0|0|0|0|0|0|0|78.19|65.15833333|13.03166667|0|0|0|35|
|07/23/2021 Expenditure|Current|Community Project|200653|2165625|3|YES|YES|£458.72|£382.27|£76.45<br>KBS|-458.72|-458.72|0|0|0|0|0|0|0|458.72|382.2666667|76.45|0|0|0|36|
|07/25/2021 Expenditure|Current|Community Project|200652|942535433|3|YES|YES|£55.66|£46.39|£9.27<br>WIX|-55.66|-55.66|0|0|0|0|0|0|0|55.66|46.39|9.27|0|0|0|37|
|07/26/2021 Expenditure|NatWest|Pavilion Income|DD||3|NO||£250.00|||-250|0|0|0|0|0|0|0|0|0|0|0|0|0|0|38|
|07/26/2021 Expenditure<br>07/28/2021 Expenditure|NatWest<br>NatWest|General Expenses<br>General Expenses|DD<br>DD||3<br>3|||£150.00<br>£56.50||SUM UP|-150<br>-56.5|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|39<br>40|
|08/05/2021 Expenditure|NatWest|Community Project|DD||4|||£100.00||Fridge|-100|0|0|0|0|0|0|0|0|0|0|0|0|0|0|41|
|08/09/2021 Expenditure|Current|Utilities ELECTRIC|DD||4|YES|YES|£54.01|£45.01|£9.00<br>SSE Electric|-54.01|-54.01|0|0|0|0|0|0|0|0|0|0|54.01|45.00833333|9.001666667|42|
|08/09/2021 Expenditure|NatWest|Community Project|DD||4|||£400.00||A Beavan - Fridge<br>-400||0|0|0|0|0|0|0|0|0|0|0|0|0|0|43|
|08/13/2021 Expenditure<br>08/13/2021 Expenditure|NatWest<br>NatWest|Community Project<br>Community Project|DD<br>DD||4<br>4|YES<br>YES||£191.14<br>£149.44||JA Francis<br>KBS|-191.14<br>-149.44|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|191.14<br>149.44|0<br>0|0<br>0|44<br>45|
|08/31/2021 Income|Current|Bank Interest|DD||4|NO|YES|£14.76||M&G|14.76|14.76|0|0|0|0|0|0|0|0|0|0|0|0|0||
|09/01/2021 Expenditure|NatWest|Insurance|DD||4|NO||£1,173.03|||-1173.03|0|0|0|0|0|0|0|0|0|0|0|0|0|0|46|
|09/02/2021 Expenditure|Current|Utilities ELECTRIC|DD||4|YES|YES|£57.54|£47.95|£9.59<br>SSE Electric|-57.54|-57.54|0|0|0|0|0|0|0|0|0|0|57.54|47.95|9.59|47|
|09/10/2021 Expenditure|NatWest|Community Project|NatWest|2172391|4|YES||£27.42|£22.85|£4.57<br>KBS|-27.42|0|0|0|0|0|0|0|0|0|0|0|27.42|22.85|4.57|48|
|09/11/2021 Income|Current|Utilities ELECTRIC|DD||4|NO||£8.31||western power distribution<br>8.31||8.31|0|0|0|0|0|0|0|0|0|0|0|0|0|49|
|09/11/2021 Expenditure|NatWest|Community Project|natwest||704<br>4|YES|YES|£626.40|£522.00|104.40<br>RF Lloyd|-626.4|0|0|0|0|0|0|0|0|0|0|0|626.4|522|104.4|50|
|09/11/2021 Expenditure|Current|Utilities ELECTRIC|DD||4|YES|YES|£88.39|£84.19|£4.20<br>SSE Electric|-88.39|-88.39|0|0|0|0|0|0|0|0|0|0|88.39|84.19|4.2|51|
|09/20/2021 Expenditure|NatWest|Grass Keep|Natwest||4|YES|YES|£90.00|£75.00|£15.00<br>AR Morris|-90|0|0|0|0|0|0|0|0|0|0|0|90|75|15|52|
|09/26/2021 Expenditure|NatWest|Community Project|Natwest||4|YES|YES|£345.17|£287.64|£57.53<br>Powys Refrdig|-345.17|0|0|0|0|0|0|0|0|0|0|0|345.17|287.6416667|57.52833333|53|
|10/06/2021 Expenditure|NatWest|Community Project|Natwest|10107112|4|YES|YES|£643.20|£536.00|£107.20<br>Hydes Pipes|-643.2|0|0|0|0|0|0|0|0|0|0|0|643.2|536|107.2|54|
|10/08/2021 Expenditure|Current|Community Project|200648||4|NO||£2,700.00||Andy Hoyle/Rob|Gwilt<br>-2700|-2700|0|0|0|0|0|0|0|0|0|0|0|0|0|55|
|10/12/2021 Expenditure|Current|Community Project|200656||4|YES|YES|£339.00|£282.50|£56.50<br>Amazon - Projector<br>-339||-339|0|0|0|0|0|0|0|0|0|0|339|282.5|56.5|56|
|10/12/2021 Expenditure|NatWest|Community Project|Natwest||4|YES|YES|£18.00|£15.00|£3.00<br>Brunel Engraving<br>-18||0|0|0|0|0|0|0|0|0|0|0|18|15|3|57|
|10/13/2021 Expenditure|Current|Community Project|200658|2182295|4|YES|YES|£707.40|£589.50|£117.90<br>KBS|-707.4|-707.4|0|0|0|0|0|0|0|0|0|0|707.4|589.5|117.9|58|
|10/19/2021 Expenditure<br>10/29/2021 Expenditure|Current<br>NatWest|Community Project<br>Community Project|200658<br>NatWest|2183403|4<br>4|YES<br>YES|YES<br>YES|£3,251.78<br>£44.38|£2,709.82<br>£36.98|£541.96<br>KBS<br>£7.40<br>KBM|-3251.78<br>-44.38|-3251.78<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|3251.78<br>44.38|2709.816667<br>36.98333333|541.9633333<br>7.396666667|59<br>60|
|11/01/2021 Expenditure|NatWest|Community Project|NatWest||1|YES|YES|£32.92|£27.43|£5.49<br>KBM|-32.92|0|0|0|0|0|0|0|0|0|0|0|0|0|0|61|
|11/03/2021 Expenditure|NatWest|Community Project|NatWest||1|YES|YES|£698.43|£582.03|£116.41<br>Hornsey Steels|-698.43|0|0|0|0|0|0|0|0|0|0|0|0|0|0|62|
|11/05/2021 Expenditure|NatWest|Community Project|NatWest||1|YES|YES|£53.69|£44.74|£8.95<br>KBM|-53.69|0|0|0|0|0|0|0|0|0|0|0|0|0|0|63|
|11/05/2021 Expenditure<br>11/07/2021 Expenditure|NatWest<br>NatWest|Community Project<br>Community Project|NatWest<br>NatWest||1<br>1|YES<br>NO|YES|£33.02<br>£2,170.00|£27.52|£5.50<br>KBM<br>-33.02<br>Josh Davies Timber<br>-2170||0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|64<br>65|
|11/11/2021 Income|Current|Community Project|200658|CREDIT NOTE|1|YES|YES|£198.22|£165.18|£33.04<br>KBS|198.22|198.22|0|0|0|0|0|0|0|0|0|0|0|0|0|66|
|11/20/2021 Expenditure|NatWest|General Expenses|NatWest||1|YES|YES|£360.00|£300.00|£60.00<br>WDS Energy|-360|0|0|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|67|
|11/30/2021 Expenditure<br>12/29/2021 Income|NatWest<br>Current|General Expenses<br>Utilities ELECTRIC|NatWest||1<br>1|YES<br>NO|YES|£38.97<br>£269.80|£32.48|£6.50<br>ofgem RHI|-38.97<br>269.8|0<br>269.8|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|0<br>0|68<br>69|
|11/02/2021 Income|Current|Utilities ELECTRIC|||1|NO||£488.22||ofgem RHI|488.22|488.22|0|0|0|0|0|0|0|0|0|0|0|0|0|70|
|||||||||£0.00|£0.00|£0.00|0|0|0|0|0|0|0|0|0|0|0|0|0|0|0|71|
||||||||||||0|0|0|0|0|0|0|0|0|0|0|0|0|0|0|72|
||||||||||||0|0|0|0|0|0|0|0|0|0|0|0|0|0|0|73|
||||||||||||0|0|0|0|0|0|0|0|0|0|0|0|0|0|0|74|
||||||||||||0|0|0|0|0|0|0|0|0|0|0|0|0|0|0|75|
||||||||||||0|0|0|0|0|0|0|0|0|0|0|0|0|0|0|76|
||||||||||||0|0|0|0|0|0|0|0|0|0|0|0|0|0|0|77|
||||||||||||0|0|0|0|0|0|0|0|0|0|0|0|0|0|0|78|
||||||||||||0|0|0|0|0|0|0|0|0|0|0|0|0|0|0|79|
||||||||||||-14320.8|9355.6|-21024.69|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504|Err:504||



42084.2 




**----- Start of picture text -----**<br>
Data<br>Account Source Count - AccountSum - Reconciled?<br>Current 9<br>Transfer IN 1<br>Utilities ELECTRIC 1<br>Community 1<br>Community Project 4<br>General Benefits 1<br>Grass Keep 1<br>Deposit 2<br>Bank Interest 1<br>Transfer OUT 1<br>Total Result 11<br>**----- End of picture text -----**<br>




|**Year**||**Type**|**Source**|
|---|---|---|---|
||2019|Income|Administration|
||2020|Expenditure|Community|
||2021||RIN|
||2022||Educational|
||2023||General Benefts|
||2024||Creditor|
||2025||Land|
||2026||Bank Interest|
||2027||Dividend|
||2028||Grass Keep|
||2029||Transfer IN|
||2030||Transfer OUT|
||2031||Subsidy|
||2032||VAT IN|
||2033||VAT OUT|
||2034||Community Project|
||2035||Alarm|
||||Utilities ELECTRIC|
||||Utilities GAS|
||||Utilities TELECOM|
||||General Expenses|
||||Insurance|
|||YES|Pavilion Income|
|||NO||





|**Account**|**Q1 Start**|**Q2 Start**|**Q3 Start**|**Q4 Start**|
|---|---|---|---|---|
|Current|01/01/2021|04/01/2021|07/01/2021|10/01/2021|
|Deposit|||||
|NatWest|||||





1213112021

## Questions 

6 WDS Green E200623 (29?) £825.00 £165.00 

12/14/2020 



990.00
No reference to cheque in account