OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2020-07-31-accounts

ARTS for BRIGHOUSE

INCOME & EXPENDITURE ACCOUNT

FOR THE PERIOD 1[ST] AUGUST 2019 TO 31[ST] JULY 2020

INCOME
TICKET SALES
REFRESHMENTS
ADVERTISEMENTS
SPONSORS

Grand Central Railways
Thornhill Estates:
Ground work UK:
Calderdale
£5,962.00
TOTAL INCOME
EXPENDITURE
Artists
£10,658.10
Venues and Accommodation
£3,256.91
Admin
£4,198.00
Publicity
£2,119.30
Equipment Hire
£487.00
Equipment purchase/services
£1,360.00
Catering/Restaurants/hotels
£383.00
Insurance
£575.00
Bank Charges
£60.00
Total EXPENDITURE

SURPLUS FOR THE YEAR
July 2020
£20,137.05
£819.50
£296.00
£21,252.55
£27,214.55
£23,097.31
July 2019
£19,193.07
£1,467.00
£630.00
£15,165.01
£36,455.08
£34,018.88
£2,436.20

£4,117.24

Arts for Brighouse Charity Commission Registration No. 1166994

BALANCE SHEET

CURRENT ASSETS Balance at Bank £21,597.85 CASH IN HAND £376.06 TOTAL NET ASSETS £21,973.91 Represented by:- GENERAL FUND SURPLUS FOR THE PERIOD £21,973.91

We have prepared the above Balance Sheet and Income and Expenditure account without performing an audit, from the accounts, bank statements and other information provided by the trustees of the charity and certify them to be accordance therewith.

May 2021

J. M. Buxton 33, Bethel St. HD6 1JR