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2021-02-28-accounts

ANNUAL REPORT FOR WHERRY MAUD TRUST

Year to 28 February 2021

REG. CHARITY NO . 1161285

ADDRESS: LA ROSE, PRISTOW GREEN LANE, TIBENHAM, NORWICH NR16 1PU

TRUSTEES:

Michael Edwin Barnes

Nigel James Gutteridge

Neil Malcolm Geoffrey Thomas

Linda Jean Pargeter

STRUCTURE :

The four trustees work closely together on all matters relating to the aims and objectives of the trust. Decisions are made mostly by email but also by face-to-face discussion, the decision of a simple majority of trustees being respected by all. A minimum of one and a maximum of four meetings are held annually at which all trustees are present. Meetings are chaired on a revolving basis.

An annual meeting takes place in April each year at which trustee members and associate members are present. The April 2020 meeting was held on Zoom. Those present are invited to suggest suitable people to become trustees. Any such suggestions are followed up by the acting secretary. Trustees vote for a candidate who has agreed to stand, and a simple majority of trustees is needed for that candidate to be elected.

ACTIVITIES & OBJECTIVES DURING THE YEAR:

The Trust maintains, preserves, and operates the Wherry Maud for the benefit of the public.

In 2020 activities were severely curtailed due to the Covid pandemic. When regulations permitted crew training trips were run but there were no members’ trips. All crew are unpaid volunteers and the occasions on which they volunteer are recorded. One public viewing, manned by volunteers, took place in the open air in September as part of the Heritage Open Days.

At the beginning of the year a few talks about Wherry Maud were given in person, with a few more by Zoom later in the year.

Progress was made on two aspects of the Trust’s work: displays for the pop-up museum and adding to the archive.

FINANCIAL REVIEW:

There were no major fundraising events.

As a measure to future proof the Trust, timber to laminate a new mast for the wherry was purchased. The aim was to have the new mast ready by the end of 2021. It would then be stored until required to be used.

The Trust has no loans in place and does not anticipate needing any in the near future. Bills are paid promptly and on or before their due date.

The Trust was able to generate sufficient funds in the year to cover outgoings. Hence it was not necessary to use reserves.

No funds are held as a custodian trustee.

WherryMaudTrust CharityNo 1161285
CompanvNo
Annualaccounts forthe period
To
01to3t2o2ol
Period end
date
28t02t2021
goz
o)ocop Unrestricted Restricted
income
Endowment Prior year
Recommended categoriesbyactivity (, funds funds funds Totaltunds funds
e E
lncome(Note3) F01 F02 FO3 F04 F05
lncome and endowmentsfrom:
Donations and legacies s01 6,750 4,334 11,084 24,221
Charitable activities s02 432 432 3,960
Other tradingactivities s03 419 419 4,839
lnvestments s04 440 444
Separate material item of income s05
Other s06
Total s07 7,609 4,766 12,375 33,020
Expenditure(Notes6)
Expenditurc on:
Raisingfunds s08 225 22s 590
Charitable activities s09 3,097 1,140 4,237 6,276
Separate material expense item
s10
Other Jtl 374 374 1,911
Total s12 3,696 1,140 4,836 8.77
Netincomel(expenditure)beforetaxfor
thereportingperiod s13 3,913 3,626 7,539 24,243
Tax payable s14
Netincome{expcnditure)after tax before
investmentgains{losses} s15 3,913 3,626 7,539 24,243
Netgainsr(losses)on
investments s16
Netincome/{expenditure} s17 3,913 3,626 7,539 24,243
Extraordinary items s18
Transfercbetureenfunds s19
Otherrecognisedgains(losses):
Gains and losses on revaluation of fixed assets for the
charity's own use s20
Othergainsl(losses) s21
Netmovementin funds s22 3,913 3,626 7,539 243
Reconciliationof
funds:
Total funds brought forward s23 45,229 20,986
Tatalfunds carriedforward s24 3,913 3,626 52,768 229

SectionB
Balan
ce sheet
o
oz
ooco
'5(,
Restricted
Unrestrictedincome
funds
funds
t€f
Endowment
funds
Totalthis
year
Total last
year
f
Fixed assets F01 F02 F03 F04 F05
lntangible assets
Tangible assets
Heritage assets
{Note15}
(Note14)
(Note{6)
Bol
Bo2
Bo3
2,085 6,788 8,873 7,889
lnvestments
(Note17)
Bo4
Iofalfredassefs Bos 2,085 6,788 8,873 7,889
Current assets
Stocks
(Note18)
B06 3,350 3,350
Debtors
(Note19)
807 1,220 1,224 2,770
lnvestments
(Note17.4)
BOB
Cashat bank and inhand(Note24) Boe 48,025 4B,Azs 46,876
Totalcurrentasseb B1o 52,595 52,595 49,646
Creditors:amountsfallingduewithin
oneyear
(Note20)
B11 273 8,972 8,699 12,306
Netcurrentassets{liabilities) 812
Iofalassefslesscurrentliabilities 813 54,95J 45,229
Creditors:amountsfallingdue after
oneyear
(Note20)
814
Provisionsfor liabilities 6ta
Iofalnef assetsorliabilities B16 54,e53 l-
2,184
52,769 45,229
Funds of the Charity
Endowmentfunds(Note27) 811
Restricted incomefunds(Note27) 818 8,972 8,972 12,255
Unrestrictedfunds 819 43,797 43,797 32,974
Revaluation reserve B2A
Fairvalue reserve B21
Totalfunds 822 8,972 52,769 45,229
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Signedby one or twotrustees/directorsonbehalf ofall the
trustees/directors
Print Name Dateof
approval
dd/mm/yyyy
NigelJamescutteridgett<6fu*,ly), 18t12t2021
LindaJeanp^ros61t.flfa.a,.qef,--a 18t1212021
Signatureofdirectorauthenticating accountsbeing sent to Signature Date
dd/mm/vwv
CompaniesHouse .-Z)
I
k.V"{^"11*''='s'-
18t12t2021
LindaJean Pargeter Printname