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2022-12-31-accounts

HORSHAM PERFORMERS PLATFORM

TRUSTEES’ ANNUAL REPORT

FROM 5/2/2022 TO 5/2/2023

– SECTION A REFERENCE AND ADMINISTRATION DETAILS

CHARITY NAME: Horsham Performers Pla-orm

OTHER NAME FOR CHARITY: HPP

CHARITY REGISTRATION No: 1176489

CHARITY’S PRINCIPAL ADDRESS 32 Billingshurst Road, Broadbridge Heath, Horsham, West Sussex. RH12 3LW

TRUSTEES

Name: Rachel Ellis

Chair

Name: Louisa Orton

Treasurer

Name: Kay Tucker

Trustee

– SECTION B STRUCTURE, GOVERNANCE AND MANAGEMENT

DescripIon of the Charity’s Trust

Type of Governing Document ConsHtuHon

How the Charity is consItuted AssociaHon

Trustee SelecIon methods By invitaHon and agreement of the Trustees

– SECTION C OBJECTIVES AND ACTIVITIES

Summary of the objects of the charity as set out in its governing document and of the main acIviIes undertaken for the public benefit in relaIon to these objects

To promote, improve, develop and maintain public educaHon in and appreciaHon of the art and discipline of music, in parHcular by the organising of a fesHval of music, concerts and masterclasses to be held annually, parHcularly but not exclusively in the area of Horsham, West Sussex.

AddiIonal details of objecIves and acIviIes

The charity is run enHrely by volunteers with the only professional input coming from adjudicators hired for the duraHon of the fesHval.

– SECTION D ACHIEVEMENTS AND PERFORMANCE

Summary of the main achievements of the charity during the year.

1 small scale fesHval held over one weekend in June 2022

– SECTION E FINANCIAL REVIEW

Brief statement of the Charity’s policy on reserves

The charity does not hold a reserve fund at present. The policy has been never to allow the account to run into debt.

Details of any funds materially in deficit

Not applicable as it is the policy of the charity to never run into deficit.

Further financial details (Charity’s principal source of funds; how expenditure has supported the objecIves of the charity;)

The principal source of funds in 2022 has been from donaHons to the charity, and entrance fees for the fesHval.

The income received has been used to pay for the following:

Cost of website management

Cost of membership of BIFF and insurance from them.

FesHval costs, including payment of adjudicator, hiring of the building and prinHng of programme

DECLARATION

The Trustees declare that they have approved the Trustees’ report above

Signature

Full Name Rachel Ellis

PosiIon Chair

Date 30/1/2023

HPP Accounts 2022

HPP Accounts 2022 HPP Accounts 2022 HPP Accounts 2022
Year ending 31/12/22 Balances at 31/12/22 Event June 22
Income Statement year ending
31/12/22 - PROJECTION
Balance statement year
ending 31/12/2022
£
INCOME
£
INCOME
£
Balances as at 31/12/21 5,138.71 Fees received 505.00
Donations 120.00 Net income/(expenditure) -680.17 Collection 165.00
Other income 0.00 Balances as at 31/12/2022 4,458.54
Total Income 120.00 Total income 670.00
Assets held at 31/12/2022
£
EXPENDITURE
£
Cash in Bank 4,458.54 EXPENDITURE
£
Net loss event June 2022 279.75 Cash box 0.00 Adjudicator fees 437.00
BIFF annual fee 65.00 Total Assets 4,458.54 Adjudicator costs 0.00
IT costs 443.42 Piano tuning 70.00
Other costs 12.00 Venue costs 171.00
Total Expenditure 800.17 Printing 124.75
BIFF fees/
insurance
147.00
NET INCOME
£
Total net income/(expenditure) -680.17 Total Outgoings 949.75
NET RESULT
£
Net Income/
(Expenditure)
-279.75
HPP Accounts 2022 HPP Accounts 2022 HPP Accounts 2022
Year ending 31/12/22 Balances at 31/12/22 Event June 22
Income Statement year ending
31/12/22 - PROJECTION
Balance statement year
ending 31/12/2022
£
INCOME
£
INCOME
£
Balances as at 31/12/21 5,138.71 Fees received 505.00
Donations 120.00 Net income/(expenditure) -680.17 Collection 165.00
Other income 0.00 Balances as at 31/12/2022 4,458.54
Total Income 120.00 Total income 670.00
Assets held at 31/12/2022
£
EXPENDITURE
£
Cash in Bank 4,458.54 EXPENDITURE
£
Net loss event June 2022 279.75 Cash box 0.00 Adjudicator fees 437.00
BIFF annual fee 65.00 Total Assets 4,458.54 Adjudicator costs 0.00
IT costs 443.42 Piano tuning 70.00
Other costs 12.00 Venue costs 171.00
Total Expenditure 800.17 Printing 124.75
BIFF fees/
insurance
147.00
NET INCOME
£
Total net income/(expenditure) -680.17 Total Outgoings 949.75
NET RESULT
£
Net Income/
(Expenditure)
-279.75
HPP Accounts 2022 HPP Accounts 2022 HPP Accounts 2022
Year ending 31/12/22 Balances at 31/12/22 Event June 22
Income Statement year ending
31/12/22 - PROJECTION
Balance statement year
ending 31/12/2022
£
INCOME
£
INCOME
£
Balances as at 31/12/21 5,138.71 Fees received 505.00
Donations 120.00 Net income/(expenditure) -680.17 Collection 165.00
Other income 0.00 Balances as at 31/12/2022 4,458.54
Total Income 120.00 Total income 670.00
Assets held at 31/12/2022
£
EXPENDITURE
£
Cash in Bank 4,458.54 EXPENDITURE
£
Net loss event June 2022 279.75 Cash box 0.00 Adjudicator fees 437.00
BIFF annual fee 65.00 Total Assets 4,458.54 Adjudicator costs 0.00
IT costs 443.42 Piano tuning 70.00
Other costs 12.00 Venue costs 171.00
Total Expenditure 800.17 Printing 124.75
BIFF fees/
insurance
147.00
NET INCOME
£
Total net income/(expenditure) -680.17 Total Outgoings 949.75
NET RESULT
£
Net Income/
(Expenditure)
-279.75

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