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2020-08-31-accounts

Mill Centre Annual Report 2019-20

The Mill Centre has not been used all year.

Fire safety and electrical checks have been carried out. Public Liability Insurance was renewed.

The lease was signed back over to the Parish Council and thence the City Council, but undated. We await a final date.

Most of the contents have been cleared out. Just a few Guides bits are left.

Once the lease has finally been relinquished, we will stop the utilities. We will then review how to close the charity.

My thanks to the rest of the committee for their support over the past year.

Mark Esdale Chairman & Treasurer 29[th] April 2021

Mill Centre Management Committee Receipts and Payments Account Year Ending 31st August 2020

Receipts
Hire of Hall
Grants
Donations
Other
Payments
Cleaners
Electricity
Gas
Insurance
Rent
Repairs & Renewals
Safety checks
Other
Donations
Net income
Debtors
None
Increase in funds
Funds at 1 September 2019
Funds at 31 August 2020
Balance sheet
Bank account
Uncleared cheques
September 2020
Bridge
Kent
2019/20
250.00
0.00
0.00
0.00
250.00
92.70
278.01
108.91
164.40
0.00
0.00
46.50
0.00
690.52
0.00
(440.52)
(440.52)
16,959.57
16,519.05
16,519.05
0.00
16,519.05
2018/19
3,450.00
0.00
15.00
0.00
3,465.00
506.81
1,304.93
285.86
802.97
0.00
100.00
84.40
0.00
3,084.97
15.00
365.03
380.03
16,579.54
16,959.57
16,959.57
0.00
16,959.57