
Registered Charity No-1177500 

**Tel: - 01489 577066 Email lionvicsmith@aol.com** 

**Mobile. 07906793007** 

**PDG Lion Vic Smith Treasurer 222 Botley Road Burridge Southampton SO31 1BL** 

## Trustees Report on the Annual Accounts Ending 30[th] June 2022 

The Accounts were distributed to all members prior to the Committee meeting of the Club, which was held on the 7[th] of September 2022. Their recommendation was that they be accepted. 

The Trustees thanked the Treasurer and the Independent Examiner for their efforts in producing these accounts which are to be forwarded to the District Treasurer and the Club Treasurer to complete the Charity Commissions on line form in due course. 

Lion President Kate Scott Trustee Lion Ernie Howard Trustee Lion Vic Smith Trustee 

e-mail: swanwicklions@aol.com 



LIONS CLUBS INTERNATIONAL
LIONS CLUB OF SWANWICK
Registered Charity No. 1177500
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE
Year Ended 30th. June 2022
President
Kate Scott
Secretary
Emie Howard
Treasurer
Victor Gordon Smith
TREASURER'S REPORT
The Administrative Account Members Waived Expenses and Incoming
Donations have supported expenses so well this year, hence a small
Profit has occurred.
The Sepdice A￿Ount. Fund Raising was very pleasing in view of our small
membership. Generous support from shoppers for our Christmas Sleigh
collections, and well supported Easter Egg Draw. We have by supporting
many good causes throughout the year managed to accumulate sufficient
funds to proceed with our planned projects for the year 2022123.
Victor Gordon Smith
Treasurer
Contents:_
Treasurers Report
Independent Examinerfs Report
Administrative Income and Expenditure Account
Service Income and Expenditure Account
Balance Sheet

LIONS CLUBS INTERNATIONAL
LIONS CLUB OF SWANWICK
Regkgtered Charity No. 11T1500
REPORT TO MEMBERS
I have inspected the Financial Statements provide by the Club Treasurer,
Victor Smith
These have been prepared under historical cost convention.
My inspection included an examination on a basis of evidence relevant to
the arnounts and disclosures in the Financial Statements.
In my opinion the Financial Statements have been properly prepared and
give a true and fair view of the Club's Income and Expenditure for the
year ending 30th.June 2022 and its state of affairs as at the year end.
Date:.
Signed:_
R.W. Stangroom MBE FRCS AI
47 Collett Close
Hedge End
Southampton. S030 2RR

UONS CLUB I4TERNATK)NAL
R*ttr&• Cha￿Y N￿]177￿1•
8wANW￿K UONS CLU8ICIOI
STATEI&ENTOF Ff4AMCL4LACTivrrES F(¥1 THE YEAR ENDED 31Xh JUNE 2022
A￿lF￿StraI￿•
2021R022
2020ra021
Meinb8ts' sub￿￿p￿0nS
TalI￿lster Fines
M8mb6rs Expense8 Watved
M8rnb8rs Don8b"on8
Kkmbers Raffles
Othèr Incoft
781.25
35.
s2.tlo
170.rKI
901.61
1812.86
152.03
1040.43
ExpBndttur•:
Int8maDonal Du•s
lJple DI$￿tI Du
Dislrfct Dues
Rcx)m Hlre +AffiI Fe•5
M•mb8rs Bulletrn
0th8r printing and posts9•
Insuranc8$
Affi118ted Fe￿ SDCA
Banner&tt88 U8ed
Write-off olPolo Shi
AlrTh)n6ry Exp8nse8
Tr8nsfer8 to Servicè Ac¢
W8b8ite- Square Zone
Rem$mbrance Day Wroalh
Pr•JidenV& E¥pen&*i
88rs for pre￿¢Yents Chaln
Mamber8' Klts+ Supplios*RoAtnd•
370.13
281.90
103.50
330.84
271.10
0.00
o.DJ
18.40
183.65
782.00
0.00
62.55
40.3
885.19
8.40
1747.98
Surplu￿(DefiGltI th)ry•ar ks h4lmin18trathNY kQJmUla￿ Fund
64.88

LICAYS CLUB INTERNAn(¥4AL
kcgiS*rEd chlr4y.N￿jI7751l
SWANWICK L￿s CLuB{C￿
STATEMENT (￿nIAN¢lALA¢TlVrnES F(Xi ThE YEAR ENDED 30thJUNE 2022
om?..
Donations-.
Unreskncted Fund
Restricted Fund$
Fund Raising
Unr8Stricted Fund5
Restiieied Fund6lRing knc*d Expl
100 Club
100.00
12359.20
750.00
1104.27
6713.85
0.00
13209.20
7818.12
Exp•nL4ttsr•.'
From Unr8sknc*8d Funds
W81f4re
Donabon
Other Web. Site
From R95trict84 Fund$
F￿￿ Hygiene CourseMe￿ &
3139.29
809.88
6879.80
72.00
3418,56
1046.04
4919.87
Oth•r Exp8ndhur•
Part Cost Member5 8ullatin
Insuonce
Srnall LotteAes Llcence
Pvblic Relations Expen#•5
Equipm•nt(88Q • colleebon BoM81
$4.45
20.(KI
42.50
20.
I￿7%42
9518.97
Surplu￿[Dendtj lo S•thco Fund
223178
.1700.85

LIONS CLUBS W4TERNATkXAL
Rwteytd N￿1]7?59•
SWANV•lCK U(SWANWKX UONS (IUB1001
Flx•d A889ts:
Currert Assets:
Stod
Debb)rs
Equipment(B8Q + Collection Bots
Prepayment(Du¢k Ra￿ Tic&etsl
88nk. Curronl ArthiAdmin. S&rvic*l
Bank<urr8nl 100Club
Cash Held
103197 778L03
59LOJ
8814.￿]
591.
6515.34
Total Current A*¥•ts
1032.97
8372.03
6515.34
Currant Llablltl•¥.'
Accrued Expensesl100ChJb Aprll lo June F*rzesl
Accrued Expenses{Profil 202112022)
Deferred Incomel100 Club Fees in Advance)
Total Curr•nt LlabllJtl•8
N•t CurrentAssgts
60.r
199.D)
229.1i+
20.11]
168.th)
311.00
199nJ
229.1Xl
1032.97
499.00
6618.34
7884.D3
8917.QJ
fftn4ncad By..
Admlnl•tratTrv•
Fund at 1stJuly 2021IBalane• + C•8h)
Deficit Trrofitforthè Year.
2021ft022
302012•21
1032.97
968.09
8•rvk• A¢¢￿￿1011¥* Fth)d
Al 1 $1 July 2021188lanco plus cash)
D•ficltP¥ofitk)rtho Y•ar.
5547.25
2233.78
7181.03
8814.(h)
1032.97
5547.25
6515.34
7781.03
1C4) Club Prize A0￿￿0-2021
ts)
103.
Total Fund•
1032.97
7884.03
8917.(KJ
6618.34