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2022-03-31-accounts

SADLERS WELLS COMMUNITY WOODLAND CIO

TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31[ST] MARCH 2022

A. LEGAL AND ADMINISTRATIVE DETAILS

B. EXPLANATION OF THE WORK OF THE CHARITY

consent of the Estate is required before the transfer of the freehold can be completed and registered at HM Land Registry. Terms and the relevant documentation were agreed some time ago but the Charity is still waiting for the Estate to sign their copies of the documents. If the Estate continue to take no action in the matter, the need for their consent will expire on 23[rd] January 2026 and the Estate can then be requested to cancel the restriction against the transfer of the property.

C. ORGANISATION AND SOURCES OF SUPPORT

  1. The running of the Charity is in the hands of the Trustees of whom a small management committee deals with routine matters.

  2. Funding is provided by subscriptions and donations which are normally adequate to cover routine maintenance and other costs. Initial funding was obtained from the Heritage Lottery Fund for the purchase of the Wood in 2006.

  3. The Charity does not employ any staff but volunteers help, when necessary, with the maintenance of the Wood.

D. POLICIES

  1. The trustees have considered the guidance of the Charity Commission on public benefit.

  2. All new trustees are provided with copies of the constitution of the Charity and the Annual Accounts together with relevant information regarding the running of the Charity.

  3. The Charity does not make grants to other organisations or persons.

  4. The Charity does not have an investment policy as the reserves held are not sufficient to require one.

  5. The reserves held are sufficient to cover the remaining costs of transferring the freehold of the Wood whilst still leaving an adequate reserve in hand.

  6. The Wood is inspected on a regular basis by the trustees to check for any damaged or diseased trees or other hazards, and this is supplemented by an annual inspection by a qualified forester or tree surgeon.

APPROVED at meeting of trustees dated 28[th] March 2022.

D Clapperton Trustee and Clerk

SADLERS WELLS COMMUNITY WOODLAND CIO

Charity Number 1171849

INCOME & EXPENDITURE ACCOUNT FOR YEAR ENDED 31st March 2022

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2020 / 2021 INCOME
£807.00 Subscriptions - Friends of the Wood £909.00
£135.00 Subscriptions in Advance
Donations received
£230.00 Unknown £10.00
£150.00 HSBC Compensation
£40.00 Early Birds donation
£180.50 Gift Aid refund - HMRC £238.50
£2.38 Scottish Power - Wayleave payment
£1,544.88 INCOME for the year £1,157.50
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SADLERS WELLS COMMUNITY WOODLAND CIO

Charity Number 1171849 BALANCE SHEET AS AT 31st MARCH 2022

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2020 / 2021 CURRENT ASSETS £
Nett current assets as at 31/03/2021 £6,160.43
Plus Surplus for the year -£173.62
£6,160.43 TOTAL NET ASSETS £5,986.81
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REPRESENTED BY:
Deposit held by Hibberts £600.00
HSBC Current Account at 31st March 2022 £5,360.29
Cash in hand £26.52
£5,986.81
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EXPENDITURE
£50.00 Stewart Sim - mowing and strimming £50.00
Derek Burrows for boardwalk materials £905.88
£37.02 P Styles- Working Party - concrete
£83.81 S Hutchinson - Noticeboard and working party
£300.00 S Hutchinson (Village Day Prizes) £15.65
Noticeboards £95.88
Stamps £7.92
Bank Charges £15.00
£0.00 TCV Membership
£0.00 Zurich Insurance premium 2021-2022 £84.00
Zurich Insurance premium 2022-2023 £99.31
£0.00 Village day expenses 2021 £10.00
Village day expenses 2022 £5.00
£0.00 Hibberts - legal costs to date
£45.00 Cheshire CVS - annual subscription £42.48
£515.83 EXPENDITURE for the Year £1,331.12
£1,029.05 SURPLUS / DEFICIT for the Year -£173.62
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