
## **The Lions Club of Knaresborough CIO 1177970 Annual Report Lionistic Year 2023/24** 

The Charity Activities for the year are in line with our stated objectives, the Lions Objects and Code of Ethics. 

Charitable Income was a very healthy £95,939.06, of which £3,853.98 was Members donations to Administration, with expenditure in line at £74,705.65. 

Our 3 big events were as follows: 

Income Expenditure Residual Christmas Markets & Bright Friday Bed Race Beer Festival Sleigh Runs 

This shows a healthy return on our efforts, well done to the Activities, Bed Race Teams and you all for your efforts 

We gave a total of £20,215.95 vs £17,669.93 in 2022-23 to Charities and other good causes, including £ 1390 via LCIF to various, this is within the 20% ceiling agreed by the club. We also organised a very well received Christmas Party and contributed towards the F&L Christmas Gifts. 

These bare statistics do not do justice to the work done by the Activities teams in raising the funds and the Welfare team in supporting all of the grant applications we receive and filter out the ones that are not appropriate to our Charity goals and objectives. 

As can be seen, Knaresborough would be a less eventful and supportive place to live without your hard work and support for our events, those of other organisations and the charities and good causes we have contributed towards 

I am proud to be a member of this Organisation and to support you as Chairman of Trustees. 

Lion Kevin Lloyd MJF 

Chairman of Trustees 

Tuesday 8[th] April 2025 



Cash*8ankAdmin
Cash in hand
Charities CurrerrtAccounl 30th Ju
Less uncleared l rtnoenced monies
Charities Currerrt Account closi￿ Balance
Charities Reserve Account
I￿.73
1960.73 3984.10 IIIIIMWI.. 3984.1
0.00
36415.33 36415.33
38057.14 38057.14
,, 336&321 33683.21
33204.85 33204.85
1960.T3 71740.35 73701.08 3984.10 6￿0.18 73604.28
TotslAssets
1960.n 71740.35 n701.08 3984.10 69620.18 73604.28
Financed by
Funds BIFWD
Surplus for the year
Totsl Funds
1975.59 74944.61 76920.20 1579.&8 54107.46 $5686.79
-2023.37 2120.17
.80 396.26 20837.15 21233.41
47.78 77064.78 T1017.IXI 1975.59 74944.61 76920.20
I have examlned the above Income and Expendfture Account and Balance Sheet as at 30 June 2024
and believe the same to be in accwdance wilh the iMy)ks, information and explanations recelved.
Prepared by.
Mlke Pyle tTreasurerJ
Checked ty:
Date 25
151h Aprll 2025

Knaresborough Llons Club
Recelpts and Payments Account
Year ended 30 June 21r24
Income
Admln Charlty Tolal
Admln
Charlty Total
Chrlstmas Markets & Brl8M Frlday
Bed Race
Beer Festfval
HYIF I subs in error
Sleigh Runs
District refund l Other e¥ents
Bank Interest
Donatlons & Grants
Member Subs* IActMtles
9875.00
57104.02
I￿19.95
10917.13 10917.13
580CKJ.13 58000.13
10916.57 10916.57
&w.io
5358.44 5358.44
6892.81 6892.81
0.00
478.36
6798.51
3853.98
3830.77 91514.94 95345.71 3853.98 92085.08 95939.08
Expendltur•
Chrlstmas MarketsiBright Frlday
Bed Race
Beer Festlval
Sleigh Runs
EqUIp￿nt
Equipment Engravi
Insurance
MD Youth Dues
Donatlons
International [￿e$
MD Dues
District Dues
Store I relocatlon
Transfei to Charity
Club Supplles
Admin Expenses Iwebslte
Otherevents I WortdPay
Presidents AUtrATance
3716.31 3716.31
40905.91 40905.91
826.S5
570.98 570.98
849.15
849.15
321.92
44.25
0.00
14577.10 14577.10
1466.55
8127
44.25 216.30
321.92
1427.92
116620
316.IX)
1466.55
1121
1121.00
304.00
1682.00 1682.00
0.00
1713.99
2818.50
140.00
114.32
221.63
114.32
114.32
50 1893.47 1943.47
150
150.00
5854.14 89394.77 95248.91 3457.72 71247.93 74705.65
Excess of Income over Expendttijre
-2023.37 2120.17
96.80 3*.26 20837.15 21233.41
Stocks

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