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1168821
TRUSTEES REPORT
YEAR ENDED 30 April 2022
Register Charity Number
1168821
Correspondence Address
90 MANOR ROAD FARNBOROUGH GU14 7HL
Trustees
The Trustees are appointed by the members of the Wokingham Fireworks Charitable Trust. The following were Trustees for the period under review and at the date of the report :
At 30/04/2022 and at date of report D. Gold A. Finch G Mortimore S. Mullen P. Bailey (resigned 1/5/2022) M. Halliwell (resigned 1/5/2022) D. John (resigned 1/5/2022) L. Howard (resigned 1/5/2022) J. Rayner (resigned 1/5/2022) T. Dunn (appointed 1/5/2022)
Governing Document
CIO - Foundation Registered 18 August 2016
Object Description
' The advancement of such purposes as are exclusively charitable under the laws of England and Wales as the Trustees determine, in particular by the provision of grants for the public benefit.'
Principal Activity
The provision of a safe and affordable annual fireworks display for the local residents with the profits arising therefrom being distributed to local charities.
Public Benefit
The Trustees confirm that they have referred to the guidance in the Charity Commission's general guidance on Public Benefit when reviewing the aims and objectives and in planning future activities. In particular the Trustees consider how planned activities will contribute to the aims and objectives that have been set.
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1168821
0 TRUSTEES REPORT (continued)
YEAR ENDED 30 April 2022
Achivements and Performance Financial Activities
The profitability of the fireworks display is highly dependent on the weather.
The 2020 event could not be held due to safety concerns associated with the Covid pandemic. The 2021 event generated total revenue of 60,915, and a surplus before grants and donations of £34,318. A total of £31,000 was donated to local charities, via the members of the charity and also 2 charities nominated by local Mayors. The surplus after donations of £3,318, has been retained within the charity to build reserves and funds to support future events.
Future Plans
The 2021 event was a great success and the charity plans to continue holding annual fireworks events for the benefit of the local community and local charities. Prior to filing this report a further event has been held in November 2022, which has seen a similar level of attendance and allowed similar levels of charitable donations to be made. It is the intentions of the Trustees that a further event be held in 2023 and annually thereafter. The Trustees continue to assess the quality of each event and feedback received so that planning and the format of future events continues to be refined to enhance the enjoyment of those attending and the level of funds raised for local charities.
Reserves Policy
The Reserves serve three purposes:
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to mitigate the financial losses of a firework event having to be cancelled at very short notice.
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to underwrite a further event the following year after a cancelled event.
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to provide funds to meet charitable donations in the ensuing year.
The current costs of staging a fireworks event is c. £36,000. In the case that an event needs to be cancelled at very short notice, the Trustees are of the opinion that the majority of costs could be deferred and allocated to a future event. Inevitably there are some costs committed that could not be recovered in this way, and the Trustees feel that a reserve fund of £12,000 provides sufficient cover for the likley costs of an abortive event in one year. The level of reserves continues to be kept under review and will be increased as the Trustees deem appropriate.
The Reserves currently stand at £12,269, (2021 - £8,951) which, because of the above reasons, are deemed sufficient.
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1168821
0 TRUSTEES REPORT (continued)
YEAR ENDED 30 April 2022
Going Concern
The Trustees have a reasonable expectation that the charity has adequate resources to continue operational existence for the foreseeable future. For that reason the Trustees continue to adopt the going concern bases of accounting in preparing these financial statements.
Statement of Trustees' Responsibilities
Charity law requires the Trustees to prepare financial statements for each financial year which give a true
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select suitable accounting policies and apply them consistently;
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make judgements and estimates that are reasonable and prudent;
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state whether applicable accounting standards have been followed, subject to any material departures disclosed and explained in the financial statements; and
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prepare the financial statements on the going concern basis unless it is inappropriate to presume that the Trust will continue.
The Trustees are responsible for keeping proper accounting records which disclose, with reasonable accuracy at any time, the financial position of the Trust.
The Trustees acknowledge their responsibility to take due care of the funds under their stewardship.
Independent Examiner
J.E. Matthews FCA has been re-appointed as Independent Examiner for the ensuing year.
The Trustees have approved the Trustees Report.
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………………….. D Gold Trustee
27-Feb-2023 Date….....................
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| 0 RECEIPTS AND PAYMENTS ACCOUNT YEAR ENDED 30 April 2022 £ £ Note Receipts Fund Raising 2 60,915 Bank Interest - TOTAL RECEIPTS 60,915 PAYMENTS Cost of Charitable activities 3 31,000 Cost of Fund Raising 2 26,597 TOTAL PAYMENTS 57,597 NET RECEIPTS/(PAYMENTS) 3,318 Reconciliation £ Cash at bank and in hand brought forward 8,951 Surplus/(Deficit) in year 3,318 Cash at bank and in hand at carried forward 12,269 2022 |
1168821 £ £ - - - - 583 583 (583) £ 9,534 (583) 8,951 2021 |
1168821 £ £ - - - - 583 583 (583) £ 9,534 (583) 8,951 2021 |
|---|---|---|
| - 583 |
||
| (583) | ||
| £ 9,534 (583) |
||
| 8,951 |
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1168821
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0
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STATEMENT OF ASSESTS AND LIABILITIES
AS AT 30 April 2022
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2022 2021
£ £ £ £
Note
Bank and Cash balances 12,269 8,951
12,269 8,951
12,269 8,951
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Net Assets and Liabilities
The attached Receipts and Payments Account and Statement of Assets and Liabilities for the year to 30th April 2022 are approved and signed on behalf of the Trustees
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………………….. D Gold Trustee
27-Feb-2023 Date…....................
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1168821
NOTES TO THE ACCOUNTS
0
YEAR ENDED 30 April 2022
1 ACCOUNTING POLICIES
Basis of accounting
The accounts have been prepared on a receipts and payments basis.
Fund accounting
Unrestricted funds can be used in accordance with the charitable objectives at the discretion of the trustees.
2 FUNDRAISING
| NDRAISING | |
|---|---|
| 2021 Fireworks event 2020 Fireworks (no event) |
£ £ £ £ £ £ INCOME COSTS NET INCOME COSTS NET 60,915 26,597 34,318 - 583 (583) 2022 2021 |
| 60,915 26,597 34,318 - 583 (583) |
3 Charitable donations
| Wokingham Lions Rotary Club of Wokingham Rotary Club of Easthampstead Windsor Forest Unicorn Club Thames West Unicorn Club Chance to Dance (Mayors charity) Wokingham Mayors Charity Account |
2022 £ 6,000 6,000 6,000 6,000 6,000 500 500 31,000 |
2021 £ |
|---|---|---|
| - |
The Donations referenced above are made in accordance with the Charity's Constitution which requires the surplus arising from annual firework event to be distributed evenly to the 5 Service Clubs who are the members of the Charity. Each Service Club, will then use funds received to make donations to local causes as agreed in advance of the fireworks event and as publicised prior to and during the event.
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1168821
0
YEAR ENDED 30 April 2022
4 TANGIBLE FIXED ASSETS
The Trustees write off in the year of purchase the cost of any equipment required for the presentation of the fireworks display. Any costs are therefore included in Fund Raising Costs - see Note 2 above. No fixed assets are shown on the Balance Sheet.
5 EMPLOYEES' REMUNERATION and TRUSTEES' EXPENSES
The Trust has no employees and it does not pay remuneration or expenses to its Trustees.
6 MANAGEMENT EXPENSES
The Trust has no management expenses.
7 TRUSTEES
No remuneration or other benefits were paid to the Trustees or to people connected with them. No transactions were undertaken by or on behalf of the Charity in which a Trustee or a connected person has a material interest.
8 INDEPENDENT EXAMINER'S REMUNERATION
No examination or other fees were paid (2021 - £nil).
9 ENDOWMENT OR RESTRICTED FUNDS
The Charity does not have any endowment or other restricted income funds.
10 INVESTMENT ASSETS
The Charity does not have any investment assets.
11 OTHER DISCLOSURE ISSUES
The Charity does not have any commitments not provided for in the accounts.
The Charity has not given any guarantees.
The Charity has not received a loan secured on any of its assets.
At the year end the Charity did not have any contingent liabilities.
The Charity does not receive any grants or subsidies.
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1168821
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF WOKINGHAM FIREWORKS CHARITABLE TRUST
YEAR ENDED 30 April 2022
I report to the trustees on my examination of the accounts of Wokingham Fireworks Charitable Trust (the charity) for the year ended 30 April 2022.
Responsibilities and basis of report
As the charity’s trustees you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (‘the Act’).
I report in respect of my examination of the charity’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examiner's statement
I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect:
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1 accounting records were not kept in respect of the charity as required by section 130 of the Act; or
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2 the accounts do not accord with those records.
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.
………………
J E Matthews FCA Independent Examiner Whitecroft Surrey Gardens East Horsley KT24 5HH
27-Feb-2023
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Wokingham Fireworks Charitable Trust
Draft Fireworks Income and Expenditure Account for 2021 Event
| INCOME ADVANCE SALES Online sales Commission payable on online sales Net online advance sales Advance shop sales Door to door sales TOTAL ADVANCED SALES EVENT INCOME Tickets and glow products Torches TOTAL EVENT INCOME OTHER INCOME Sponsorship Programme advertisements Donations Caterers Fair Presentation night refund - per council Cancellation insurance TOTAL OTHER INCOME TOTAL INCOME EXPENDITURE Fireworks Cancellation insurance Wristbands Programme, posters & flyers design/printing Insurance PLI Town banner erection Sims for Scanners and Card Readers Web Site and programme postage Website upgrade Skip hire Refunds and postage (Manual) Field public address Drone film BLSAR & 41 Club Fence hire Luminous glow products and torches Toilet hire First Aid PPL & PRI Licenses High Vis jackets St Sebastian's Band and Piper Other sundries Presentation night expenses Car damage Laminated signs posters and banners Tractor services Storage facility Advertising Sanitiser Signage Bank charges TOTAL EXPENDITURE EVENT SURPLUS |
£ £ 2021 Event |
£ £ 2020 Event |
|
|---|---|---|---|
| INCOME | |||
| ADVANCE SALES Online sales Commission payable on online sale Net online advance sales Advance shop sales Door to door sales |
48,000 (4,362) 43,638 3,885 - |
- - - - - |
|
| TOTAL ADVANCED SALES | 47,523 | - | |
| EVENT INCOME Tickets and glow products Torches |
6,573 2,475 |
- - |
|
| TOTAL EVENT INCOME | 9,048 | - | |
| OTHER INCOME Sponsorship Programme advertisements Donations Caterers Fair Presentation night refund - per cou Cancellation insurance |
2,000 - 294 1,100 950 - - |
- - - - - - - |
|
| TOTAL OTHER INCOME | 4,344 | - | |
| TOTAL INCOME | 60,915 | - | |
| EXPENDITURE Fireworks Cancellation insurance Wristbands Programme, posters & flyers desig Insurance PLI Town banner erection Sims for Scanners and Card Reade Web Site and programme postage Website upgrade Skip hire Refunds and postage (Manual) Field public address Drone film BLSAR & 41 Club Fence hire Luminous glow products and torche Toilet hire First Aid PPL & PRI Licenses High Vis jackets St Sebastian's Band and Piper Other sundries Presentation night expenses Car damage Laminated signs posters and bann Tractor services Storage facility Advertising Sanitiser Signage Bank charges |
12,240 - 122 231 2,588 503 288 102 - 205 - 522 - 1,900 3,739 843 1,143 858 109 - 375 43 - - - 100 259 212 93 93 26 |
- - - - - - - 155 - - - - - - - - - - - - - - - - - - 229 199 - - - |
|
| TOTAL EXPENDITURE | 26,597 | 583 | |
| EVENT SURPLUS | 34,318 | 583 - |
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