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2023-06-30-accounts

SHEPPEY ENTERTAINMENTS ASSOCIATION

Annual Report

This year we’ve had to say goodbye to Ann Masters who sadly died in June this year. Ann was involved with many of the theatre groups as a singer and a pianist and a good friend. Ann was on the theatre committee for many years and will be much missed by all who knew her. This year one of our patrons Tom Owen, who was the son of Compo on Last of the Summer Wine died in November 2022. He performed at our theatre several times.

Two member groups Four of a Kind and Memory Lane have decided they can’t perform anymore due to a combination of people getting older and ill health. Four of a kind had been a member group since 2003 and performed many times at the theatre, raising money for charity. Memory Lane had performed together for over forty years. Both groups donated their remaining funds to the theatre. The money Memory Lane paid for our new improved wi-fi system. Bought the theatre some head microphones and other sound equipment with their remaining funds.

Our talks continue to be popular. Some acts have returned: the Jerseys, Swingtime Sweethearts and Sandy Smith. Our member groups continue to perform here. We mostly get good audiences for shows, this year, some performers cancelled their shows due to low ticket sales. Sometimes it’s hard to anticipate what the public want to see. I believe when we book shows we must offer diverse acts, sometimes take a chance but try to anticipate what people want to see at our Little Theatre.

Brian Mitchell of the Foundry Men has accepted our invite to become a patron. Sandy Smith (Cilla and other shows) also accepted being one of our patrons.

We now have a proper lighting team. Chris Thomas has joined us, he was a lighting/sound professional until recently. John Nurden has joined too, he ran a local disco, operating sound and lights. He has retired as a journalist from the Sheppey Times Guardian and has written about the theatre on facebook. I help on ideas, set lights and operate them on some show nights. Andy continues to lead our lighting team with flair and imagination, using his contacts and new lighting techniques and equipment.

We thank our benefactors, the committee and show night volunteers. We’re always looking for new volunteers to help us. Thanks to Brenda Munday for the facebook page and Tanya from Sheppy glass for her help/support this year. Thanks to Janet Walton for cleaning the theatre.

Special thanks to:

1

Andy works hard to make our lighting great.

Many of our audiences don’t know how much work we do to put on shows, rehearsals, admin, show night staff and other behind-the-scenes tasks. Our audience are local, others come from further afield. Some say “thanks for a great show I didn’t know this theatre was here”. Thanks for volunteering.

We don’t volunteer for thanks – we want people to enjoy the show. That’s why we volunteer for:

Jeremy Thornton, Secretary Sheppey Entertainments Association

Chairman’s annual report:

As you read this I am most probably fast asleep after spending another hard day soaking up the sun, having a cold one and seeing the sights with the Rellies (Relatives). Anyway, don’t want to bore you with my good luck, so down to business.

Another year in the life of SLT

It’s so nice to see bookings for the theatre rising again with a mixture of regular and new acts. Sadly in some cases bums not back on seats as pre covid, but we can only hope.

Internal projects are moving forward. Upgrades of lighting, air conditioning and upgrades in the house are all worthwhile ventures and something to be proud of.

To all of the committee and other volunteers who give their time and efforts to keep the theatre a great place to be part of a very big thank you, especially those that have helped me on the maintenance side.

Derek Friday Chair Sheppey Entertainments Association

Treasurer’s annual report:

Janys explained that she hadn’t printed out any figures of our finances as she had circulated them previously but said she would send a copy of the figures to anyone who wanted to see them.

Janys told the meeting that our Income was up this year due to having more shows with bigger audiences, resulting in theatre and bar takings being considerably up.

Janys reported that she hadn’t previously shown the talks correctly as she only put in the net, but now she shows all the takings less the amount going to the speaker, so this increases the takings and the costs as repaying show tickets.

Janys also reported that utilities went up massively, but they have now stabilised. The exception being water due to the failure in supply the island had. The compensation outweighs the cost to the theatre.

2

In 2021 and 2022 we had large expenditure on property improvements as we built the room behind the stage and converted the old room 19 to an accessible toilet, and we upgraded our safety lights. This year we’ve been raising money for air conditioning and are nearly there.

During covid, we received large grants which kept up afloat. This year the grants received are also for the air conditioning.

Janys Thornton, Treasurer Sheppey Entertainments Association.

3

Notes

1 The balance of ticket sales income is made up of 2 elements - tickets sold a 2 Speakers at talks are paid based on the ticket sales; the payments have bee 3 The difference in PRS is due to timing of the payment to Performing Rights S

t Talks and any ticket sales due to hirers (Jersey Boys on 30 June 2023) en shown separately. Society. (Payment was made in December 2022 for the calendar year)

Sheppey Little Theatre Statement of Income and Expenditure for the year from 1 July

Income
Weekly hire of theatre space
Income from shows:
Hire of theatre for shows
Deposits (net refunded)
Ticket sales
Less ticket sales refunded to hirers
Proceeds from rafes
Sale of programmes
Income from Bar & refreshments
Other income:
Grants
Donations
Fundraising (Craft Fairs & Quizes)
Miscellaneous income
Total income
Expenditure
Operational costs:
PRS paid
PRS collected
Opening bar stock
Bar stock Purchases
Less closing stock
Cost of sales
Speakers for talks
Hambledon Productions
Rafe prizes
Sum-up charges (card payment system)
Licence
Electricity
Gas
£
£
£
6,162.00
3,213.16
-245.00
2,968.16
14,567.45
-13,085.50
1,481.95
1,574.10
78.00
1,652.10
6,102.21
6,478.37
5,750.00
3,282.18
1,143.59
78.74
10,254.51
28,997.09
628.03
-529.38
98.65
855.25
1,810.87
902.40
1,763.72
475.00
600.00
192.32
13.25
337.81
3,000.92
3,755.36
Water
-62.07
WiFi
1,677.60
Cleaning
1,577.00
Cleaning materials
134.03
Building works and repairs
1,553.77
Stage extension legs
201.60
First aid supplies
180.42
Insurance
2,595.69 16,232.70
Other costs:
Bank charges
166.43
First aid training
422.50
Miscellaneous expenses
985.30
1,574.23
Total expenditure
19,669.30
Net proft
9,327.79
Represented by movement in cash and bank balances:
Movement in Main bank balance
Closing bank bal
10,568.88
Less opening bank bal
7,201.22
3,367.66
3,367.66
Movement in Bar bank balance
Closing bank bal
8,248.83
Less opening bank bal
2,552.62
5,696.21
5,696.21
Movement in cash balances
Closing cash bal
379.00
Less opening cash bal
162.43
216.57
216.57
Movement in Building Society account
Closing balance
1,201.00
Less opening balance
1,201.00
0.00
0.00
Movement in stock balance
Closing stock
902.40
Less opening stock
855.25
47.15
47.15
9,327.59
Water
-62.07
WiFi
1,677.60
Cleaning
1,577.00
Cleaning materials
134.03
Building works and repairs
1,553.77
Stage extension legs
201.60
First aid supplies
180.42
Insurance
2,595.69 16,232.70
Other costs:
Bank charges
166.43
First aid training
422.50
Miscellaneous expenses
985.30
1,574.23
Total expenditure
19,669.30
Net proft
9,327.79
Represented by movement in cash and bank balances:
Movement in Main bank balance
Closing bank bal
10,568.88
Less opening bank bal
7,201.22
3,367.66
3,367.66
Movement in Bar bank balance
Closing bank bal
8,248.83
Less opening bank bal
2,552.62
5,696.21
5,696.21
Movement in cash balances
Closing cash bal
379.00
Less opening cash bal
162.43
216.57
216.57
Movement in Building Society account
Closing balance
1,201.00
Less opening balance
1,201.00
0.00
0.00
Movement in stock balance
Closing stock
902.40
Less opening stock
855.25
47.15
47.15
9,327.59

Movement in Main bank balance
Closing bank bal
Less opening bank bal
Movement in Bar bank balance
Closing bank bal
Less opening bank bal
Movement in cash balances
Closing cash bal
Less opening cash bal
Movement in Building Society account
Closing balance
Less opening balance
Movement in stock balance
Closing stock
Less opening stock
9,327.59

1 2022 to 30 June 2023

Sheppey Little Theatre (Bar account only) Statement of Income and Expenditure for the year from

£
£
£
Opening stock
855.25
Purchases
1,810.87
2,666.12
Less closing stock
902.40
Cost of sales
1,763.72
Bar receipts
6,333.17
Trading profit
4,569.45
Less other expenses:
Cleaning materials
134.03
Stage extension legs
201.60
First aid supplies
180.42
Other misc purchases
322.32
838.37
3,731.08
Add other income:
Fundraising (net) income
723.09
Donation
1,250.00
Other misc income
40.00
2,013.09
Net Profit
5,744.17
Represented by movement in bank, cash and stock balances:
Closing bank bal
8248.83
Less opening bank bal
2552.62
5696.21
5696.21
Closing cash bal
163.24
Less opening cash bal
162.43
0.81
0.81
Closing stock
902.40
Less opening stock
855.25
47.15
47.15
5744.17
£
£
£
855.25
1,810.87
2,666.12
902.40
1,763.72
6,333.17
4,569.45
134.03
201.60
180.42
322.32
838.37
3,731.08
723.09
1,250.00
40.00
2,013.09
£
£
£
855.25
1,810.87
2,666.12
902.40
1,763.72
6,333.17
4,569.45
134.03
201.60
180.42
322.32
838.37
3,731.08
723.09
1,250.00
40.00
2,013.09
5,744.17

Closing bank bal
Less opening bank bal
Closing cash bal
Less opening cash bal
Closing stock
Less opening stock
5744.17

l July 2022 to 30 June 2023

Sheppey Little Theatre (Main account only) Statement of Income and Expenditure for the year from

Income
Weekly hire of theatre space
Income from shows:
Hire of theatre for shows
Deposits (net refunded)
Ticket sales
Less ticket sales refunded to hirers
Proceeds from rafes
Sale of programmes
Other income:
Grants
Donations
Fundraising (Craft Fairs)
Refreshments
Miscellaneous income
Total income
£
£
3,213.16
-245.00
2,968.16
14,567.45
-13,085.50
1,481.95
1,574.10
78.00
1,652.10
5,750.00
2,032.18
420.50
145.20
38.74

Expenditure

Operational costs:

PRS paid
PRS collected
Speakers for talks
Hambledon Productions
Rafe prizes
Sum-up charges (card payment system)
Licence
Electricity
Gas
Water
WiFi
Cleaning
Building works and repairs
Insurance
628.03
-529.38
98.65
475.00
600.00
192.32
13.25
337.81
3,000.92
3,755.36
-62.07
1,677.60
1,577.00
1,553.77
2,595.69 15,716.65

Other costs:

Bank charges
First aid training
Miscellaneous expenses
166.43
422.50
662.98

Total expenditure

Net profit

Represented by movement in cash and bank balances:

Movement in bank balance
Closing bank bal
Less opening bank bal
Movement in cash balance
Closing cash bal
Less opening cash bal
Movement in Building Society account
Closing balance
Less opening balance
10,568.88
7,201.22
3,367.66
215.76
0.00
215.76
1,201.00
1,201.00
0.00

1 July 2022 to 30 June 2023

£

6,162.00

6,102.21

8,386.62

20,650.83

15,815.30

1,251.91

17,067.21 3,583.62

3,367.66

215.76

0.00

3,583.42

Sheppey Little Theatre Financial year 1 July 2022 to 30 June Totals of monthly expenditure and income

July 2022
August 2022
September 2022
October 2022
November 2022
December 2022
January 2023
February 2023
March 2023
April 2023
May 2023
June 2023
Licence
Works
Insurance
Electricity
Gas
0.00
0.00
0.00
8.83
316.76
38.35
0.00
130.00
0.00
9.00
388.21
0.00
157.81
0.00
0.00
9.35
316.27
40.89
180.00
161.63
2,056.64
13.29
274.36
38.35
0.00
188.89
0.00
29.72
-14.94
0.00
0.00
220.00
0.00
10.82
251.93
634.83
0.00
0.00
539.05
32.37
289.43
678.80
0.00
416.00
0.00
11.13
237.54
727.85
0.00
180.00
0.00
8.92
356.72
677.75
0.00
100.40
0.00
11.02
35.34
0.00
0.00
69.65
0.00
11.93
237.66
822.28
0.00
87.20
0.00
10.05
311.64
96.26
Bank
charges

Annual total

337.81 1,553.77 2,595.69 166.43 3,000.92 3,755.36

Cross check

k
closing balance
opening balance
bank
cash
10,568.88
215.76
7,201.22
0.00
3,367.66
215.76
3,583.42
Split of misc payments
Speakers 475
Website 115
Hambledon Prod 600
First Aid training 422.5
Advert 312
1924.5
Susan Bale 200
2124.5
Total paid 2,160.48
Dif -35.98 30 misc payment to Ann Masters
5.98 Cash paid to Charlotte

2023

Repay Show Sum-up Capital Misc.
Water WiFi Cleaning Raffle Prizes Tickets charges works Payments
16.00 50.40 191.00 111.06 462.00 0.00 0.00 0.00
16.00 50.40 135.00 0.00 2,470.00 1.02 0.00 73.00
-258.07 50.40 90.00 0.00 3,258.00 4.21 0.00 725.00
16.00 50.40 132.00 0.00 353.00 0.16 0.00 252.00
16.00 50.40 192.00 16.50 3,460.50 1.88 0.00 0.00
16.00 50.40 66.00 0.00 560.00 0.14 0.00 0.00
16.00 50.40 126.00 0.00 600.00 0.43 0.00 0.00
20.00 1,040.40 126.00 0.00 0.00 0.00 0.00 130.00
20.00 50.40 126.00 0.00 0.00 0.08 0.00 829.50
20.00 78.00 123.00 0.00 1,596.00 1.26 0.00 0.00
20.00 78.00 138.00 64.76 326.00 3.87 0.00 65.00
20.00 78.00 132.00 0.00 0.00 0.20 0.00 85.98
**-62.07 ** **1,677.60 ** 1,577.00 192.32 ### 13.25 **0.00 ** 2,160.48

s Donation. e.

Income Income Deposits Fund
from Weekly from Show paid / Sale of raising Raffle
PRS hire Hire refunded Programmes income income
-18.40 -975.00 -50.00 0.00 0.00 0.00 0.00
-103.74 -150.00 -550.00 120.00 -25.00 -20.00 -238.00
-67.68 -210.00 -350.66 -95.00 -9.00 -35.00 -234.00
-7.00 -525.00 -315.00 0.00 0.00 -20.00 -70.00
-145.34 -945.00 -370.00 -220.00 -8.00 0.00 -299.10
588.72 -645.00 -100.00 80.00 -5.00 -137.00 -92.00
0.00 -30.00 -37.50 0.00 0.00 -10.00 -52.00
0.00 -450.00 0.00 100.00 0.00 -50.00 -38.00
0.00 -435.00 -550.00 -50.00 0.00 -138.50 0.00
-113.91 -807.00 -470.00 100.00 0.00 0.00 -187.00
-34.00 -555.00 -420.00 -20.00 -13.00 0.00 -170.00
0.00 -435.00 0.00 230.00 -18.00 -10.00 -194.00
98.65 ### ### 245.00 -78.00 -420.50 ###
Net
Donations Teas Misc
expenditure /
Ticket sales
Grants rec'd rec'd income Income income
-339.00 0.00 0.00 -20.40 0.00 -208.40
-2,918.00 0.00 -31.66 0.00 -18.74 -662.51
-3,518.00 0.00 0.00 -10.80 -2.00 -138.28
-56.00 0.00 0.00 -16.50 -1.00 2,517.33
-3,916.50 0.00 -25.00 -12.60 0.00 -2,000.59
-196.95 0.00 -18.00 -19.50 0.00 1,265.39
-720.00 0.00 0.00 -6.30 -7.00 1,469.68
-278.00 0.00 -1,410.35 -16.50 0.00 566.07
-190.00 -5,000.00 -22.17 -12.60 -7.00 -4,155.90
-1,576.00 0.00 -18.00 -14.70 -1.00 -1,122.59
-416.00 0.00 -224.00 -15.30 -2.00 -32.15
-443.00 -750.00 -283.00 0.00 0.00 -1,081.67
-14,567.45 ### ### -145.20 -38.74 -3,583.62

Bank

Bank

Cash

July 2022

Date Reference Income Expenditure Income
Balance b/fwd 7,201.22
6/30/2022 Service charge -8.83
7/3/2022 Singers 78.00
7/3/2022 Singers 240.00
7/3/2022 J Thornton Jo Eden Band 75.00
7/4/2022 British Gas -92.41
7/5/2022 M Walker Minstrels 60.00
7/6/2022 Octopus Energy -182.32
7/6/2022 Sheppey Singers show repayment -348.20
7/7/2022 Sounds Familiar 165.00
7/10/2022 Mitec -50.40
7/10/2022 Janet Walton -71.00
7/21/2022 Janet Walton -60.00
7/24/2022 British Gas -38.35
7/24/2022 Business Stream -16.00
7/25/2022 Triple Crea - Chas & Dave 50.00
7/25/2022 Mrs J Thornton Raffle prizes -111.06
7/27/2022 British Gas -42.03
7/29/2022 Starquest 300.00
7/30/2022 Janet Walton -60.00
7/30/2022 Transfer from Club, Charity acc 21.00
7/30/2022 Starquest 300.00
Total 1,289.00 -1,080.60 0.00
Balance c/fwd 7,409.62 0.00
Un-presented items
As per bank statemnt 7,409.62

Cash

Expenditure Licence Works Insurance Bank charges Electricity Gas
8.83
92.41
182.32
38.35
42.03

0.00 0.00 0.00 0.00 8.83 316.76 38.35

Repay Show Sum-up
Water WiFi Cleaning Raffle Prizes Tickets charges Capital works
462.00
50.40
71.00
60.00
16.00
111.06
60.00
16.00 50.40 191.00 111.06 462.00 0.00 0.00
Deposits
Misc. Income from Income from paid / Sale of Fund raising
Payments PRS Weekly hire Show Hire refunded Programmes income
-75.00
-60.00
-18.40 -75.00 -50.00 50.00
-165.00
-50.00
-300.00
-300.00
0.00 -18.40 -975.00 -50.00 0.00 0.00 0.00
Raffle Donations
income Ticket sales Grants rec'd rec'd Teas income Misc Income
-78.00
-240.00
-20.40
-21.00

0.00 -339.00 0.00 0.00 -20.40 0.00

Cross check - any amounts shown here are not analysed

August 2022

Date
Reference
Balance b/fwd
7/31/2022 Service charge
8/1/2022 Deposit cash
8/4/2022 British Gas
8/4/2022 A Powsey craft fair
8/4/2022 C Janman craft fair
8/7/2022 Singers
8/7/2022 Deposit cash
8/7/2022 Sum-Up
8/8/2022 Mitec
8/8/2022 J Thornton Jo Eden Band
8/15/2022 Janet Walton
8/17/2022 Sanjay Bagga Wrestling
8/18/2022 S Smith Cilla
8/21/2022 C & M Corder
8/21/2022 AYS
8/21/2022 Sum-Up
8/23/2022 British Gas
8/23/2022 Club Charity & Trust Acc - talk
8/24/2022 Business Stream
8/25/2022 British Gas
8/25/2022 Alex Nicole
8/29/2022 Janet Walton
8/16/2022 Talk - cash transactions
8/19/2022 Cash - payment to speaker at talk
8/19/2022 Cash - ticket sales Talk
Cash - Cilla ticket sales
Cash - Cilla
Cash - Pink Floyd ticket sales
Cash - Pink Floyd
Total
Balance c/fwd
Un-presented items
As per bank statemnt
Bank
Bank
Cash
Income
Expenditure
Income
7,409.62
0.00
-9.00
533.00
-304.66
10.00
10.00
60.00
178.40
49.15
-50.40
60.00
-75.00
125.00
100.00
30.00
-130.00
9.83
-39.63
8.00
-16.00
-43.92
50.00
-60.00
77.00
35.00
1,270.00
1,070.00
1,223.38
-728.61
2,452.00
7,904.39
167.74
7,904.39

Cash

Expenditure Licence Works Insurance Bank charges Electricity Gas
9.00
304.66
130.00
39.63
43.92
-38.00
-35.00
-1,091.66
-1,119.60
-2,284.26 0.00 130.00 0.00 9.00 388.21 0.00
Repay Show Sum-up
Water WiFi Cleaning Raffle Prizes Tickets charges Capital works
0.85
50.40
75.00
0.17
16.00
60.00
1,270.00
1,200.00
16.00 50.40 135.00 0.00 2,470.00 1.02 0.00
Misc. Income from Income from Deposits Sale of Fund raising
Payments PRS Weekly hire Show Hire paid Programmes income
-25.00
-10.00
-10.00
-60.00
-60.00
-125.00
-100.00
-30.00
-50.00
38.00
35.00
-53.34 -175.00 50.00
-50.40 -250.00 220.00
73.00 -103.74 -150.00 -550.00 120.00 -25.00 -20.00
Raffle Donations
income Ticket sales Grants rec'd rec'd Teas income Misc Income
-109.00 -399.00
-129.00 -31.66 -17.74 Amended ana
-50.00
-10.00
-8.00
-76.00 -1.00 Payment to sp
Payment to sp
-35.00
-1,270.00
-1,070.00
-238.00 -2,918.00 0.00 -31.66 0.00 -18.74

Cross check - any amounts shown here are not analysed

lysis as per rec

peaker peaker

Bank

Bank

Cash

September 2022

Date
Reference
Balance b/fwd
8/31/2022 Service charge
9/1/2022 J Thornton Jo Eden Band
9/1/2022 MPLC - film licence
9/4/2022 Sum-Up
9/5/2022 British Gas
9/5/2022 J Thornton
9/8/2022 Mitec
9/9/2022 Elaine Hadlow stall
9/11/2022 M Walker 4 of a Kind
9/11/2022 Sum-Up
9/12/2022 Singers
9/12/2022 Deposit cash
9/12/2022 Water refund
9/13/2022 Hambledon Productions
9/13/2022 Deposit cash
9/13/2022 Sum-Up
9/14/2022 Sheerness Town Team
9/15/2022 Newington deposit
9/15/2022 James B web site
9/15/2022 Sounds Familiar
9/17/2022 Marshall M stall
9/19/2022 Janet Walton
9/23/2022 A Dixon table
9/24/2022 International Events
9/25/2022 British Gas
9/25/2022 Business Stream
9/25/2022 Deposit cash
9/25/2022 Sum-Up
9/27/2022 British Gas
Cash receipts - Talk
Cash payment to speaker
Total
Balance c/fwd
Un-presented items
As per bank statemnt
Income
Expenditure
Income
7,904.39
167.74
-9.35
75.00
-157.81
7.86
-270.03
34.00
-50.40
10.00
-236.00
61.93
55.80
302.00
274.07
-600.00
174.00
88.48
50.00
30.00
-115.00
90.00
15.00
-90.00
10.00
-2,588.66
-40.89
-16.00
3,002.00
86.52
-46.24
10.00
4,366.66
-4,220.38
10.00
8,050.67
159.74
8,050.67

Cash

Expenditure Licence Works Insurance Bank charges Electricity Gas
9.35
157.81
270.03
40.89
46.24
-18.00
-18.00 157.81 0.00 0.00 9.35 316.27 40.89
Repay Show Sum-up
Water WiFi Cleaning Raffle Prizes Tickets charges Capital works
0.14
50.40
266.00
1.07
-274.07
1.52
90.00
2,992.00
16.00
1.48
-258.07 50.40 90.00 0.00 3,258.00 4.21 0.00
Deposits
Misc. Income from Income from paid / Sale of Fund raising
Payments PRS Weekly hire Show Hire refunded Programmes income
-75.00
-10.00
-15.00 -50.00 35.00
-45.00
-9.00
600.00
-50.00
-30.00
115.00
-90.00
-15.00
-10.00
-52.68 -250.66 -100.00
10.00
725.00 -67.68 -210.00 -350.66 -95.00 -9.00 -35.00
Raffle Donations
income Ticket sales Grants rec'd rec'd Teas income Misc Income
-8.00
-34.00
-63.00
-10.80
-90.00 -203.00
Steptoe
-24.00 -150.00 Steptoe
-90.00 Steptoe
Website
-120.00 -2,882.00
-88.00
-8.00 -2.00
8.00
-234.00 -3,518.00 0.00 0.00 -10.80 -2.00

Cross check - any amounts shown here are not analysed

Bank

Bank Cash

October 2022

Date
Reference
Balance b/fwd
10/1/2022 Service charge
10/1/2022 Andy King
10/1/2022 Orbital lifts
10/4/2022 Martin Walker
10/4/2022 J Thornton Jo Eden Band
10/7/2022 British Gas
10/7/2022 Andy King
10/7/2022 Janet Walton
10/7/2022 M Walker Minstrels
10/8/2022 C & M Corder
10/9/2022 F Darcy Craft pitch
10/10/2022 Mitec
10/10/2022 Advanced Insurance
10/10/2022 Sum-Up
10/13/2022 Susan Bale
10/14/2022 Singers
10/14/2022 Singers
10/14/2022 Deposit cash
10/15/2022 Starquest
10/19/2022 Janet Walton
10/22/2022 Alex Nicole
10/24/2022 Sum-Up
10/24/2022 APO Ksharkie Table fee
10/25/2022 Business Stream
10/25/2022 British Gas
10/25/2022 Sheppey Matters advert
10/26/2022 Deposit cash
10/28/2022 British Gas
10/28/2022 Swale Borough Council
Cheque 001420
Cash payment to speaker for talk
Cash receipts for tickets for talk
Total
Balance c/fwd
Unpresented cheque
As per bank statemnt
Income
Expenditure
Income
8,050.67
159.74
-13.29
-16.09
-90.00
-270.65
45.00
-229.26
-55.54
-66.00
60.00
60.00
10.00
-50.40
-2,056.64
7.86
-200.00
50.00
76.50
24.00
300.00
-66.00
239.65
0.98
10.00
-16.00
-38.35
-50.00
70.00
-45.10
-180.00
-20.00
24.00
953.99
-3,463.32
24.00
5,541.34
151.74
20.00
5,561.34

Cash

Expenditure Licence Works Insurance Bank charges Electricity Gas
13.29
16.09
90.00
229.26
55.54
2,056.64
38.35
45.10
180.00
-32.00
-32.00 180.00 161.63 2,056.64 13.29 274.36 38.35
Repay Show Sum-up
Water WiFi Cleaning Raffle Prizes Tickets charges Capital works
353.00
66.00
50.40
0.14
66.00
0.02
16.00
16.00 50.40 132.00 0.00 353.00 0.16 0.00
Deposits
Misc. Income from Income from paid / Sale of Fund raising
Payments PRS Weekly hire Show Hire refunded Programmes income
-17.35 -65.00
-45.00
-60.00
-60.00
-10.00
200.00
-50.00
-60.00
-300.00
-39.65 -250.00 50.00
-10.00
50.00
20.00
32.00
252.00 -7.00 -525.00 -315.00 0.00 0.00 -20.00
Raffle Donations
income Ticket sales Grants rec'd rec'd Teas income Misc Income
-8.00
-16.50
-24.00
-1.00 test card paym
advert
-70.00
Donation for V
Speaker
-24.00
-70.00 -56.00 0.00 0.00 -16.50 -1.00

Cross check - any amounts shown here are not analysed

ment

Val Finden

November 2022

Date
Reference
Balance b/fwd
11/1/2022 Service charge
11/1/2022 Janet Walton
11/1/2022 D Friday
11/4/2022 BG Business
11/4/2022 C & M Corder
11/6/2022 J Thornton Jo Eden Band
11/7/2022 Singers
11/9/2022 Mitec
11/10/2022 Donation
11/11/2022 Octopus Energy
11/11/2022 S Barnes
11/13/2022 M Walker Minstrels
11/14/2022 Andrew Hogarth
11/14/2022 Janet Walton
11/14/2022 Sum-Up
11/15/2022 Deposit cash
11/16/2022 Chas & Dave
11/19/2022 Starquest
11/21/2022 Lotinga Industrial
11/21/2022 Deposit cash
11/21/2022 International Events
11/21/2022 Anita Powsey CF refund
11/21/2022 Sum-Up
11/22/2022 J Looseley stall
11/25/2022 Business Stream
11/25/2022 Janet Walton
11/28/2022 Starquest
11/28/2022 J Breckin hire
11/29/2022 M Walker Minstrels
11/29/2022 Deposit cash
11/29/2022 Deposit cash
11/29/2022 M Walker Minstrels
Cash receipt raffle
Cash payment raffle prizes
Total
Balance c/fwd
Unpresented cheque 001420
Balance as per bank statement
Bank
Bank
Cash
Income
Expenditure
Income
5,541.34
151.74
-29.72
-66.00
-29.89
-215.84
60.00
30.00
72.60
-50.40
25.00
230.78
50.00
45.00
200.00
-60.00
70.78
1,082.00
-872.40
375.00
-159.00
2,460.10
-2,152.76
-10.00
38.34
10.00
-16.00
-66.00
300.00
50.00
30.00
204.00
350.00
45.00
16.50
5,728.60
-3,728.01
16.50
7,541.93
151.74
20.00
7,561.93

Cash

Expenditure Licence Works Insurance Bank charges Electricity Gas
29.72
29.89
215.84
-230.78
159.00
-16.50
-16.50 0.00 188.89 0.00 29.72 -14.94 0.00
Repay Show Sum-up
Water WiFi Cleaning Raffle Prizes Tickets charges Capital works
66.00
50.40
60.00
1.22
1,062.00
2,398.50
0.66
16.00
66.00
16.50
16.00 50.40 192.00 16.50 3,460.50 1.88 0.00
Deposits
Misc. Income from Income from paid / Sale of Fund raising
Payments PRS Weekly hire Show Hire refunded Programmes income
-60.00
-30.00
-60.00
-50.00
-45.00
-200.00
-44.60 -195.00 50.00
-375.00
-100.74 -175.00 30.00
10.00
-10.00
-300.00
-50.00
-30.00
-8.00
-45.00
0.00 -145.34 -945.00 -370.00 -220.00 -8.00 0.00
Raffle Donations
income Ticket sales Grants rec'd rec'd Teas income Misc Income
-12.60
-25.00
-72.00
-92.00 -990.00
Shutters
-100.60 -2,359.50
-39.00
-204.00
-90.00 -252.00
-16.50
-299.10 -3,916.50 0.00 -25.00 -12.60 0.00

Cross check - any amounts shown here are not analysed

Bank

Bank Cash

December 2022

Date Reference Income Expenditure Income
Balance b/fwd 7,541.93 151.74
12/1/2022 Service charge -10.82
12/2/2022 S Smith Jersey tickets 92.95
12/2/2022 J Thornton Jo Eden Band 30.00
12/3/2022 Pioneer Lifting Solutions -220.00
12/5/2022 Payroll Giving 18.00
12/5/2022 Deposit cash 330.00
12/5/2022 Sum-Up 7.86
12/6/2022 PRS -628.03
12/9/2022 Mitec -50.40
12/10/2022 Sounds Familiar 126.16
12/12/2022 British Gas -39.63
12/12/2022 001421 Memory Lane -356.85
12/13/2022 British Gas -48.67
12/14/2022 Janet Walton -66.00
12/14/2022 Sheppey Singers 94.50
12/15/2022 British Gas -203.26
12/20/2022 Starquest 255.00
12/21/2022 J Thornton Jo Eden Band 15.00
12/28/2022 British Gas -595.20
12/28/2022 Business Stream -16.00
Total 969.47 -2,234.86 0.00
Balance c/fwd 6,276.54 151.74

Cash

Expenditure Licence Works Insurance Bank charges Electricity Gas 10.82 220.00

39.63
48.67
203.26
0.00 595.20
0.00 0.00 220.00 0.00 10.82 251.93 634.83
Repay Show Sum-up
Water WiFi Cleaning Raffle Prizes Tickets charges Capital works
0.14
50.40
104.00
456.00
66.00
16.00
16.00 50.40 66.00 0.00 560.00 0.14 0.00
Deposits
Misc. Income from Income from paid / Sale of Fund raising
Payments PRS Weekly hire Show Hire refunded Programmes income
-30.00
-5.00 -137.00
628.03
-20.16 -210.00 -50.00 50.00
-19.15 -60.00 -50.00 30.00
-75.00
-255.00
-15.00
0.00 588.72 -645.00 -100.00 80.00 -5.00 -137.00
Raffle Donations
income Ticket sales Grants rec'd rec'd Teas income Misc Income
-92.95
Lift service
-18.00
-92.00 -96.00
-8.00
-19.50
-92.00 -196.95 0.00 -18.00 -19.50 0.00

Cross check - any amounts shown here are not analysed

January 2023

Bank Bank Cash Cash
Date Reference Income Expenditure Income Expenditure
Balance b/fwd 6,276.54 151.74
1/1/2023 Service charge -32.37
1/7/2023 F Darcy 10.00
1/8/2023 Janet Walton -66.00
1/8/2023 Advanced Insurance -539.05
1/9/2023 Mitec -50.40
1/10/2023 British Gas -281.19
1/14/2023 J Fulcher 37.50
1/22/2023 Janet Walton -60.00
1/23/2023 British Gas -8.24
1/23/2023 Sum-Up 25.57
1/24/2023 500102 - Singers 36.30
1/24/2023 500103 153.00
1/25/2023 British Gas -678.80
1/25/2023 Business Stream RA -16.00
Cash - payment to Panto company -600.00
Cash - ticket sales Panto 600.00
Total 262.37 -1,732.05 600.00 -600.00
Balance c/fwd 4,806.86 151.74
Licence Works Insurance Bank charges Electricity Gas Water
32.37
539.05
281.19
8.24
678.80
16.00

0.00 0.00 539.05 32.37 289.43 678.80 16.00

Repay Show Sum-up Misc.
WiFi Cleaning Raffle Prizes Tickets charges Capital works Payments
66.00
50.40
60.00
0.43
600.00
50.40 126.00 0.00 600.00 0.43 0.00 0.00
Deposits
Income from Income from paid / Sale of Fund raising Raffle
PRS Weekly hire Show Hire refunded Programmes income income
-10.00
-37.50
-30.00
-52.00

0.00 -30.00 -37.50 0.00 0.00 -10.00 -52.00

Donations
Ticket sales Grants rec'd rec'd Teas income Misc Income
-24.00 -2.00 Ice creams
-6.30
-96.00 -5.00 DVDs
-600.00

-720.00 0.00 0.00 -6.30 -7.00

Cross check - any amounts shown here are not analysed

see expenditure tab see expenditure tab

February 2023

Bank Bank Cash Cash
Date Reference Income Expenditure Income Expenditure
Balance b/fwd 4,806.86 151.74
2/1/2023 Service charge -11.13
2/2/2023 J Thornton Jo Eden 30.00
2/3/2023 Payroll Giving 36.00
2/3/2023 British Gas -206.41
2/3/2023 Starquest 300.00
2/6/2023 Janet Walton -66.00
2/8/2023 Deposit 69.00
2/9/2023 Mitec -50.40
2/9/2023 Touring Pantos -100.00
2/12/2023 M Walker Minstrels 60.00
2/13/2023 Emma Bennett 10.00
2/14/2023 Easy Fundraising 15.06
2/15/2023 M Wilbraham 10.00
2/15/2023 Mitec -990.00
2/16/2023 Ramona Giles 10.00
2/20/2023 Janet Walton -60.00
2/20/2023 Orbital Lifts -90.00
2/21/2023 Deposit cheques 1,443.79
2/21/2023 Deposit cash 129.00
2/23/2023 British Gas -31.13
2/24/2023 British Gas -727.85
2/27/2023 Mitec -276.00
2/27/2023 Scottish Water -20.00
2/27/2023 Andy King -50.00
Cash receipt for tickets at Talk 70.00
Cash payment to Speaker -70.00
Cash receipt for tickets at Bollywood 60.00
Cash payment at Bollywood - drinks -60.00
Total 2,112.85 -2,678.92 130.00 -130.00
Balance c/fwd 4,240.79 151.74
Licence Works Insurance Bank charges Electricity Gas Water
11.13
206.41
90.00
31.13
727.85
276.00
20.00
50.00
0.00 416.00 0.00 11.13 237.54 727.85 20.00
Repay Show Sum-up Misc.
WiFi Cleaning Raffle Prizes Tickets charges Capital works Payments
66.00
50.40
990.00
60.00
70.00
60.00
1,040.40 126.00 0.00 0.00 0.00 0.00 130.00
Deposits
Income from Income from paid / Sale of Fund raising Raffle
PRS Weekly hire Show Hire refunded Programmes income income
-30.00
-300.00
100.00
-60.00
-10.00
-10.00
-10.00
-60.00 -10.00
-10.00 -38.00
0.00 -450.00 0.00 100.00 0.00 -50.00 -38.00
Donations
Ticket sales Grants rec'd rec'd Teas income Misc Income
-36.00
-68.00 -1.00
Panto deposit
-15.06
Lift service
-1,357.29 -16.50 Donation from Memory Lane
-80.00 -1.00
Router
Projector repair
-70.00 tickets at talk
payment to speaker
-60.00 tickets at Bollywood
drinks for Bollywood
-278.00 0.00 -1,410.35 -16.50 0.00

Cross check - any amounts shown here are not analysed

March 2023

Date
Reference
Balance b/fwd
3/1/2023 Service charge
3/1/2023 M Walker Minstrels
3/1/2023 J Thornton Jo Eden Band
3/1/2023 Starquest
3/3/2023 Payroll Giving
3/3/2023 British Gas
3/3/2023 A Jamieson Alex Nicole
3/5/2023 Janet Walton
3/5/2023 R Dunkley
3/5/2023 R Dunkley
3/6/2023 Andrew Hogarth
3/6/2023 Sum-up
3/7/2023 500107 - Singers
3/7/2023 500108- Talk & jigsaw
3/9/2023 Mitec
3/9/2023 Amie Bennett
3/10/2023 Dela Fire & Security inv 30843
3/13/2023 local paper advert
3/19/2023 Janet Walton
3/20/2023 British Gas
3/22/2023 J Thornton - buffet training day
3/22/2023 First aid training
3/22/2023 Song Signing
3/24/2023 Queenborough Fisheries
3/27/2023 Scottish Water
3/28/2023 British Gas
3/28/2023 Deposit
3/31/2023 British Gas
Cash receipt tickets at talk
Cash payment for speaker
Cash receipt for sale of books
Total
Balance c/fwd
Bank
Bank
Cash
Income
Expenditure
Income
4240.79
151.74
-8.92
60.00
15.00
300.00
18.00
-175.86
50.00
-60.00
1.00
9.00
300.00
4.92
72.60
95.00
-50.40
10.00
-180.00
-312.00
-66.00
-27.10
-72.50
-350.00
250.00
5,000.00
-20.00
-677.75
122.67
-153.76
95.00
2.00
6,308.19
-2,154.29
97.00
8,394.69
153.74

Cash

Expenditure Licence Works Insurance Bank charges Electricity Gas
8.92
175.86
180.00
27.10
677.75
153.76
-95.00
-95.00 0.00 180.00 0.00 8.92 356.72 677.75
Repay Show Sum-up
Water WiFi Cleaning Raffle Prizes Tickets charges Capital works
60.00
0.08
50.40
66.00
20.00
20.00 50.40 126.00 0.00 0.00 0.08 0.00
Deposits
Misc. Income from Income from paid / Sale of Fund raising
Payments PRS Weekly hire Show Hire refunded Programmes income
-60.00
-15.00
-300.00
-50.00
-1.00
-9.00
-300.00
-60.00
-10.00
312.00
72.50
350.00
-250.00
-118.50
95.00
829.50 0.00 -435.00 -550.00 -50.00 0.00 -138.50
Raffle Donations
income Ticket sales Grants rec'd rec'd Teas income Misc Income
-18.00
-5.00
-12.60
-90.00 -5.00 Jigsaws
Advert
Training day
Training day
-5,000.00
-4.17
-95.00 Tickets for talk
speaker for talk
-2.00 Noted in duplicat
0.00 -190.00 -5,000.00 -22.17 -12.60 -7.00

Cross check - any amounts shown here are not analysed

te book

April 2023

April 2023
Bank Bank Cash Cash
Date Reference Income Expenditure Income Expenditure
Balance b/fwd 8394.69 153.74
4/1/2023 Service charge -11.02
4/1/2023 J & J Thornton 50.00
4/2/2023 Janet Walton -63.00
4/3/2023 M Walker Minstrels 75.00
4/3/2023 Acting Class 112.00
4/4/2023 Starquest 300.00
4/5/2023 Payroll giving 18.00
4/11/2023 Mitec -78.00
4/11/2023 Alex Jamieson 296.41
4/11/2023 Sounds Familiar 195.00
4/17/2023 Janet Walton -60.00
4/17/2023 Sum-up 53.08
4/24/2023 Andy King -100.40
4/24/2023 Deposit cash 281.50
4/24/2023 Sum-up 19.66
4/25/2023 Scottish Water -20.00
4/25/2023 Sheppey Singers 89.70
4/26/2023 British Gas -35.54
Cash payment Song signing -336.00
Cash receipts tickets for Song signing 336.00
Total 1,490.35 -367.96 336.00 -336.00
Balance c/fwd 9,517.08 153.74
Licence Works Insurance Bank charges Electricity Gas Water
11.02
100.40
20.00
35.54
0.00 100.40 0.00 11.02 35.54 0.00 20.00
Repay Show Sum-up Misc.
WiFi Cleaning Raffle Prizes Tickets charges Capital works Payments
63.00
78.00
60.00
0.92
1,260.00
0.34
336.00
78.00 123.00 0.00 1,596.00 1.26 0.00 0.00
Income from Income from Deposits Sale of Fund raising Raffle
PRS Weekly hire Show Hire paid Programmes income income
-50.00
-75.00
-112.00
-300.00
-51.41 -295.00 50.00
-195.00
-53.00
-62.50 -175.00 50.00 -114.00
-20.00
-75.00
-113.91 -807.00 -470.00 100.00 0.00 0.00 -187.00
Donations
Ticket sales Grants rec'd rec'd Teas income Misc Income
-18.00
-1.00
-1,240.00
-14.70
PRS paid by card - see May trans
-336.00
-1,576.00 0.00 -18.00 -14.70 -1.00

Cross check - any amounts shown here are not analysed

£20 diff in banking is tickets paid for by card - see sum-up trans

saction

May 2023

May 2023
Bank Bank Cash
Date Reference Income Expenditure Income
Balance b/fwd 9,517.08 153.74
5/1/2023 Service charges -11.93
5/1/2023 Janet Walton -72.00
5/2/2023 Starquest 375.00
5/2/2023 M Walker Minstrels 60.00
5/2/2023 Deposit cash 56.00
5/2/2023 Sum-Up 15.72
5/3/2023 Sandy Smith 50.00
5/4/2023 Payroll Giving 18.00
5/5/2023 British Gas -202.58
5/5/2023 British Gas -468.39
5/8/2023 J Thornton Jo Eden Band 15.00
5/9/2023 Mitec -78.00
5/10/2023 Acting Class 45.00
5/12/2023 Singers 75.30
5/15/2023 Janet Walton -66.00
5/15/2023 Deposit cash 248.24
5/15/2023 Sum-Up 106.17
5/17/2023 Andrew Hogarth 280.00
5/17/2023 No Frills refund -50.00
5/17/2023 Cigarette bin -69.65
5/19/2023 British Gas -35.08
5/22/2023 No Frillls tickets -91.00
5/22/2023 Sum-Up 102.24
5/23/2023 No Frills tickets -13.00
5/24/2023 British Gas -353.89
5/25/2023 Scottish Water -20.00
5/25/2023 Donation 5.00
5/25/2023 Wednesday Bingo 200.00
Cash - ticket receipts Talk 65.00
Cash - payment to speaker
Cash payment to speaker for book sales by card
Cash refund of ticket sales by card to NCP
Total 1,651.67 -1,531.52 65.00
Balance c/fwd 9,637.23 65.74

Cash

Expenditure Licence Works Insurance Bank charges Electricity Gas
11.93
202.58
468.39
69.65
35.08
353.89
-65.00
-40.00
-48.00
-153.00 0.00 69.65 0.00 11.93 237.66 822.28
Repay Show Sum-up
Water WiFi Cleaning Raffle Prizes Tickets charges Capital works
72.00
0.28
78.00
66.00
64.76 222.00
1.83
91.00
1.76
13.00
20.00
20.00 78.00 138.00 64.76 326.00 3.87 0.00
Deposits
Misc. Income from Income from paid / Sale of Fund raising
Payments PRS Weekly hire Show Hire refunded Programmes income
-375.00
-60.00
-16.00
-50.00
-15.00
-45.00
-60.00
-18.00 -190.00 30.00 -13.00
-280.00
50.00
65.00
65.00 -34.00 -555.00 -420.00 -20.00 -13.00 0.00
Raffle Donations
income Ticket sales Grants rec'd rec'd Teas income Misc Income
-54.00 -2.00
From Song Sig
-18.00
-15.30
-116.00 -227.00 -1.00
-108.00
-104.00
-5.00
-200.00
-65.00
£65 ticket mon
40.00 £65 ticket mon
48.00
-170.00 -416.00 0.00 -224.00 -15.30 -2.00

Cross check - any amounts shown here are not analysed

gning

ney (cash) plus ney (cash) plus

June 2023

Date
Reference
Balance b/fwd
6/1/2023 Service charges
6/1/2023 British Gas
6/1/2023 Janet Walton
6/1/2023 I Hollands onv 1998
6/3/2023 Starquest
6/5/2023 Payroll Giving
6/5/2023 Deposit cash
6/5/2023 M Walker Minstrels
6/7/2023 Acting Class
6/9/2023 Mitec
6/12/2023 Janet Walton
6/12/2023 Ms J Thornton re Ann Masters
6/18/2023 Rachel Lewis
6/20/2023 British Gas
6/20/2023 Sheerness Town Grant
6/26/2023 British Gas
6/26/2023 Scottish Water
6/26/2023 Donation
6/26/2023 Deposit cash
6/26/2023 Deposit cash
6/26/2023 Sum-Up
6/28/2023 Sounds Familiar
6/29/2023 No Frills Hedda Gabler refund
6/2/2023 Cash - receipt from ticket sales at Talk
6/2/2023 Cash - payment to speaker for Talk
6/30/2023 Cash ticket sales Jersey Boys
6/30/2023 Cash receipts raffle
6/30/2023 Cash payment to Charlotte
Total
Balance c/fwd
Bank
Bank
Cash
Income
Expenditure
Income
9,637.23
65.74
-10.05
-273.90
-72.00
-87.20
225.00
18.00
155.00
60.00
90.00
-78.00
-60.00
-30.00
10.00
-37.74
750.00
-96.26
-20.00
115.00
180.00
252.00
11.80
60.00
-230.00
50.00
46.00
110.00
1,926.80
-995.15
206.00
10,568.88
215.76

Cash

Expenditure Licence Works Insurance Bank charges Electricity Gas
10.05
273.90
87.20
37.74
96.26
-50.00
-5.98
-55.98 0.00 87.20 0.00 10.05 311.64 96.26
Repay Show Sum-up
Water WiFi Cleaning Raffle Prizes Tickets charges Capital works
72.00
78.00
60.00
20.00
0.20
20.00 78.00 132.00 0.00 0.00 0.20 0.00
Deposits
Misc. Income from Income from paid / Sale of Fund raising
Payments PRS Weekly hire Show Hire refunded Programmes income
-225.00
-60.00
-90.00
30.00
-10.00
-18.00
-60.00
230.00
50.00
5.98
85.98 0.00 -435.00 0.00 230.00 -18.00 -10.00
Raffle Donations
income Ticket sales Grants rec'd rec'd Teas income Misc Income
-18.00
-5.00 -150.00
Donation re An
-750.00
-115.00
-180.00
-84.00 -150.00
-12.00
-50.00
-46.00 from receipt bo
-110.00 from receipt bo
from receipt bo
-194.00 -443.00 -750.00 -283.00 0.00 0.00

Cross check - any amounts shown here are not analysed

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SHEPPEY ENTERTAINMENTS ASSOCIATION. TRADING PROFIT AND LOSS ACCOUNT FOR THE YEAR ENDING 30TH JUNE 2023.

2023 2022
INCOME.
£
£
Theatre Takings 25271.71 3492.46
Fund Raising evnts. 1143.59 181.72
Takings at Bar. 6478.37 2236.38
Takings at Kiosk. 15.00
Takings from Tea and Cofee bar. 143.30
Donations Received. 3282.18 270.74
Grant Received. 5750.00 7308.30
Programme Sales. 78.00 19.95
Photocopier Income. 0.00 5.75
Electrical refund 0.00 634.91
Other Income. 78.74 6011.11
42082.59
COST OF SALES.
Purchases for bar 1763.72 1675.77
Purchases for Kiosk 0.00 0
Purchases for Tea and Cofee bar. 0.00 36.05
Rates and Water. -62.07 266
Heat and Light. 6756.48 4059.1
Insurance 2595.69 2769.99
Cleaning 1711.03 1205.64
Photocopier expenses 0.00 0
Advertising 312.00 0
Telephone and wif 1677.60 554.4
Licenses 337.81 314.15
Accountancy 200.00 200
Fundraising prizes 192.32 355
Bank charges Incurred 166.43 106.23
Repairs and renewals 1553.77 2452.83
Repay show tickets 13085.50 1994
Donations
ann masters
30.00 97.92
Equipment.(stage extension legs) 201.60 0
Sundries 341.55 3206
Property Improvements. 0.00 16527.78
prs 98.65 0 van hire
Web design 115.00 115.28
Printing, Postage and Stationery. 0.00 22.84
First aid
supplies and training
602.92
speakers talk 475.00
habledown prductions 600.00

NET PROFIT/(LOSS)

32755.00 9327.59

20319.62 35958.98 -15639

Ind•p•nd•nt•X¥mln•￿I F•Wttothi trwt•w•f tknSh•pp•y£nt•rt•h¥ffntsA¥￿I1￿QR Forth yar•JHknI aathJun• 2021 I r•port on the aetounts of the Assodatlon for the yèar ended 3LVh June 2021 are set out bdow. p•rtlv• mponslbllftl•s of trugt•#and ex•mln•r Thfrdwrltrfs trustees ar• responslbl• fgrth• prep7ratlon olthe acwunts. Thè CharitV$trLees ¢onslderthat an audtls not requlredlor thlsyeèr uNlr sedlon 144 olthe Charltlès Act 2011 (Wie Ch?rltlesAcV'I and that an Ind•p•ndent 4xamlnat(on15 ng•led. It Is my ftsponsI￿1ItY to- examlnethe accounts under $edion 145 of the CPrltlEsAd, to lollowthe wovthjrd llld down In the s•neral Dlrectlon5 glven ty the Charlty Commlssion (under sertlon 145ISllbl of char￿¢$ Act, and to strt• wheth•r matters hwe cometo my •tt•ntlon. B•sEJ of Ind•p•nd•nt •xlMe tht•m•rt My examinatlon carrled In atctydance wlth 8eneral Directlong8lv•n by th• Charlty Comrnlsglon. An examlnatlon Indudes a revlew of the accountlng rectjids kept by tha charfty •nd J comwrison of the accoLtnt$ wesented wlth thos• rotords. It also Indudes conslderatlon of aty unusual It￿$ or ¢JI￿oS￿re9 sn the •¢wunis, and seeklng e%planatIO￿ from the trustees concernlng any such rnatters. The w¢xedure$ undort•l•n do not provlde all th& evldenc• that would b• requTred in an audit, and CDlb59quently no O￿n10Th Is 8fvefi as t¢) whother accounts present a'true and f•lrf vlew and the report 15 lirnlted to those matters get osjt In the rt•t•mnt below. knd•p•nd•nt •x•mlMrf¥ sl•t•mw In tonnectlon wlth my ¢x•mlnatlorn no m•tt•r come to my attntlon. Whl¢h 8lve5 me reasonable ¢4U58to b•lleve that lry any materlal rsp•ct, the req￿r￿entS.. • to k•ep aceountln8 r•cords In aetardan¢e with s•ctlon 130 of the tharltles A¢t,' 4nd • to preyre aecounts whlch attord wlth the attountlng records and complywlth thè acetsuntlr6 requlrements of th• Charrtles Act hawe ngt been met,. cf to whith, In my 0￿mIDn. attentlon ShO￿d be drawn In order to enable a proper understsndln8 Of thé accounts to be rea¢hed. Dat& 041h S•ptemb•r 2023. Su6anJ Bal? book keek4ng and yyroll.