Rep)rt for the Fiscal Period 1st July 2021 to 30th June 2022 Thorne Rur41 "on5 Club ICIOI Charity No.. 1175388 10 Wheatley Hall Road Doncaster DN2 4LY Trustees: Mr Barry Goforth (Secretary), Mr Clarence Wraith IPresidentl, Mrs Auriol Henton. Mrs Patricia Wraith (Treasurer). Mr Christopher Whiteley. Mrs Patricia Harnrnond. Mr5 Suzanne Prime. Mr Stephen Prime. Mr Denni5 Drury. Trustees will always intlude the President. Setretary and Treasurer of the club_ The objects of the club are such purposes as are exclusively charrtable in England & Wales including in particular.. The advancerneni of ciiizenship by.. Promoting the winciples of good citizenship Encouraging member5 to take an active interesr in the civic. cultural. soaal and moral welfare of the comrnunrty Providing a forum for the open dtscussion of all matters of public interest" provided that partisan politics and sectarian relwon shall not be debated by members Encouraging service-minded people to serve their community without personal reward and encouraging the promoiion of hiEh ethical standards in commerce. indullry. professions. public works and private endeavours o Supporting youth to develop their skills. capacities and capabilrties to enable them to participate in sociery as mature and responsible individuals Promoting the voluntary sector for the publ•c benefrt by ass(latIng with Ial authoritie5 in a cornmon effort to advance education and provide facilirles in the interests of social welfare for recreation or other leisure tirne occupats'on to improve the corKlirions of lrfe of people in local. national and international communitie5 Promoting volunteering The relief of poverry and the relief of those in need. in particular by providing hurnanitarian aid and disaster relief The advancernent of health or the saving of INes by preventine avoidable blindness. assstine disabled people to lead independent lives or helping to prevent or manage health issues Promoting for the benefrt of the publK the conservation protection and improvement of the physical and natural environment andlor Promoting communrty participation in healthy recreation Fund raing activwties began to recover from the effects of COVID-19 in 2021-2022. These attNities included.. Chri5tma5 sleh 5Treet collettions and ffttic collections in I01 rnarkei Square. coffee mornings, hire of marquees. r4ffles of Chrillrnas cakes ind Easter egE5 and other donations recer¥ed from the public and communrty groups. Thome Rural Lions hosted an annual golf day in September 2021 whbch had been planned for 2020. Fund raising activitie5 raised fijrbds for the Serenrty Suite Appeal and The Children5 Air Ambulance. Other donatb)ns have been made in the form of youth awards. welfare support. donation to an annual toy appeal. The charity trustees have ccrfnplied with their duty to have dtse regard to the guidance on public benefii.
Thorne Rural Lions Club - Charity Registration Number 1175388 Bank Account and Balance Sheet 2021-2022
Charity Account
| Brought forward from 2021-2022 Income Marquees Coffee Mornings Annual Golf Day Fishing Match Donations Christmas Sleigh Activities Midsummer Walk Casino & Race Nights Christmas Cakes & Easter Eggs Bank Interest Received Subtotal Total Expenditure Serenity Appeal Childrens Air Ambulance LCIF Appeals LCIF Sightsavers LCIF Ukraine Relief LCIF Brain Tumour Research Other Charity Donations Smile a While Christmas Sleigh Repairs Christmas Confectionary Disabled Party Youth Awards Health & Welfare Website Rent - Lockup Wreaths for Armistice Day Postage Stationery Other Expenses Council Lotteries and Gaming Licence Vehicle costs Insurance Carried forward to 2021-2022 |
10,827.99 £ 700.01 £ 282.20 £ 3,354.00 £ 190.00 £ 5,745.05 £ 7,405.82 £ 4,225.71 £ 988.45 £ 104.00 £ 3.61 £ 22,998.85 £ 33,826.84 £ 5,000.00 £ 4,219.71 £ 1,000.00 £ 500.00 £ 500.00 £ 400.00 £ 1,055.00 £ 161.74 £ - £ - £ - £ 350.00 £ 715.40 £ 400.00 £ 1,235.00 £ - £ 87.66 £ 105.86 £ 1,156.18 £ 1,870.14 £ 826.71 £ 19,583.40 £ 14,243.44 £ |
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Thorne Rural Lions Club - Charity Registration Number 1175388 Bank Account and Balance Sheet 2021-2022
Admin Account
| Brought forward from 2021-2022 Income Members subs Income from other activities Subtotal Total Expenditure Subs and Insurances Flowers for members Service gifts/vouchers Sandwiches for guests Long Service Awards Postage & Stationery Other expenses Carried forward to 2021-2022 |
2,541.13 £ 695.00 £ 1,056.24 £ 1,751.24 £ 4,292.37 £ 1,542.14 £ - £ - £ - £ 405.00 £ 46.60 £ 232.12 £ 2,225.86 £ 2,066.51 £ |
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