
## **Trustees’ Annual Report for the period** 

**From 1[st] December 2019 Period start date to 30[th] November 2020 Period end date** 

**Charity name: Huntingdon and Peterborough Federation of Women’s Institute** 

## **Charity registration number: 1178059** 

## **Objectives and Activities** 


**----- Start of picture text -----**<br>
SORP reference<br>Summary of the  Para 1.17 - To advance the education of<br>purposes of the charity  women and girls for the<br>as set out in its  public benefit in all areas.<br>-<br>governing document To promote sustainable<br>development for the public<br>benefit.<br>- To advance health for the<br>public benefit.<br>-<br>To advance citizenship for<br>the public benefit by the<br>promotion of<br>-<br>civic responsibility and<br>volunteering<br>Summary of the main  Para 1.17 and<br>1.19<br>activities in relation to  - Covid-19 interrupted many<br>those purposes for the  face-to-face activities.<br>public benefit, in  However, meetings,<br>particular, the activities,  support, training and<br>projects or services  workshops have been held<br>identified in the  via Zoom.   Newsletters<br>accounts. have continued to be<br>produced and information<br>distributed.<br>Statement confirming  Para 1.18 The Trustees have had regard to<br>whether the trustees  the guidance issues by the<br>have had regard to the  Charity Commission on public<br>guidance issued by the  benefit.   While Covid-19 has<br>Charity Commission on  curtailed activity we have<br>public benefit continued to campaign on various<br>issues including Climate Change<br>and Mental Health<br>**----- End of picture text -----**<br>


## **Additional information (optional)** 

You may choose to include further statements where relevant about: 

SORP reference 

Para 1.38 



Policy on grant making Para 1.38 Policy on social investment including program related investment Para 1.38 Contribution made by volunteers Other 

## **Achievements and Performance** 


**----- Start of picture text -----**<br>
SORP reference<br>Due to Covid-19 we have not<br>been able to meet in the normal<br>way but have remained<br>Summary of the main  connected with our membership<br>Para 1.20<br>achievements of the  with newsletters, email, website,<br>charity, identifying the  social media and zoom.   The<br>difference the charity’s  trustees and staff have continued<br>work has made to the  to support members throughout.<br>circumstances of its<br>beneficiaries and any<br>wider benefits to society<br>as a whole.<br>**----- End of picture text -----**<br>


## **Additional information (optional)** 

You may choose to include further statements where relevant about: 


**----- Start of picture text -----**<br>
Achievements against  Para 1.41<br>objectives set<br>Performance of<br>fundraising activities  Para 1.41<br>against objectives set<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
Investment performance  Para 1.41<br>against objectives<br>Other<br>**----- End of picture text -----**<br>




## **Financial Review** 


**----- Start of picture text -----**<br>
Review of the charity’s  Para 1.21 Although income is down due to<br>financial position at the  Covid-19, a government grant<br>end of the period fund has helped maintain<br>adequate funds.<br>Statement explaining  Para 1.22 Reserves are held to cover 12<br>the policy for holding  months running costs.<br>reserves stating why<br>they are held<br>Amount of reserves held Para 1.22 £35,000<br>Reasons for holding zero  Para 1.22<br>reserves<br>Details of fund materially Para 1.24<br>in deficit<br>Explanation of any  Para 1.23 With the curtailment of normal<br>uncertainties about the  fundraising activities, the<br>charity continuing as a  trustees continue to look at best<br>going concern practice to ensure the long-term<br>future.   There is a need to find<br>new ways to raise income.<br>**----- End of picture text -----**<br>


## **Additional information (optional)** 

You may choose to include further statements where relevant about: 


**----- Start of picture text -----**<br>
The charity’s principal<br>sources of funds  Para 1.47<br>(including any<br>fundraising)<br>Investment policy and<br>objectives including any  Para 1.46<br>social investment policy<br>adopted<br>A description of the  Para 1.46<br>principal risks facing the<br>charity<br>Other<br>**----- End of picture text -----**<br>




## **Structure, Governance and Management** 


**----- Start of picture text -----**<br>
Description of charity’s<br>trusts:<br>Type of governing  Para 1.25 Constitution and Rules for County<br>document  Federations of WI’s<br>(trust deed, royal<br>charter)<br>How is the charity  Para 1.25 CIO<br>constituted?<br>(e.g unincorporated<br>association, CIO)<br>Trustee selection  Para 1.25 Trustees are elected bi-annually<br>methods including  by a vote. Any member of a<br>details of any  county WI is eligible to be elected<br>constitutional provisions  or co-opted. Candidates must be<br>e.g. election to post or  nominated by a trustee or by a<br>name of any person or  WI<br>body entitled to appoint<br>one or more trustees<br>**----- End of picture text -----**<br>


## **Additional information (optional)** 

You may choose to include further statements where relevant about: 


**----- Start of picture text -----**<br>
Policies and procedures<br>adopted for the induction Para 1.51<br>and training of trustees<br>The charity’s<br>organisational structure  Para 1.51<br>and any wider network<br>with which the charity<br>works<br>Relationship with any  Para 1.51<br>related parties<br>Other<br>**----- End of picture text -----**<br>


## **Reference and Administrative details** 


**----- Start of picture text -----**<br>
Charity name Huntingdon and Peterborough Federation of Women’s<br>Institutes<br>Other name the charity<br>uses<br>Registered charity  1178059<br>number<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
Charity’s principal  6a Walden Road<br>address Huntingdon<br>Cambridgeshire<br>PE29 3AZ<br>**----- End of picture text -----**<br>




## **Names of the charity trustees who manage the charity** 


**----- Start of picture text -----**<br>
Name of person (or body)<br>Dates acted if not for<br>Trustee name Office (if any) entitled to appoint trustee<br>whole year<br>(if any)<br>Josette Kermath Federation<br>1<br>Chairman<br>2 Sally Dalley Treasurer<br>3 Maria Pidoux<br>Anna Bradley-<br>4<br>Doorman<br>5 Chrissie Jennings<br>6 Karen Prestage<br>7 Jean Jefferies<br>8 Jane Williams<br>9 Phyllis Brooks<br>10<br>11<br>12<br>13<br>14<br>15<br>16<br>17<br>18<br>19<br>20<br>**----- End of picture text -----**<br>


Corporate trustees – names of the directors at the date the report was approved **Director name** 

Name of trustees holding title to property belonging to the charity 


**----- Start of picture text -----**<br>
Trustee name Dates acted if not for<br>whole year<br>**----- End of picture text -----**<br>




**Funds held as custodian trustees on behalf of others** 

Description of the assets held in this capacity 

Name and objects of the charity on whose behalf the assets are held and how this falls within the custodian charity’s objects Details of arrangements for safe custody and segregation of such assets from the charity’s own assets 

## **Additional information (optional)** 

## **Names and addresses of advisers (Optional information)** 

**Type of Name Address adviser** 

**Name of chief executive or names of senior staff members (Optional information)** 

## **Exemptions from disclosure** 

Reason for non-disclosure of key personnel details 

## **Other optional information** 



## **Declarations** 

**The trustees declare that they have approved the trustees’ report above.** 

**Signed on behalf of the charity’s trustees** 

**Signature(s)** 

**Full name(s)** 

**Position (eg Secretary, Chair, etc)** 

**Date** 



REGISTERED CHARITY NO. 1178059
HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES ICIOI
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30th NOVEMBER 2020
Kinnalr(l Hlll
Chartered Certlflèd Aceountants
Montagu House
81 Hlgh Street
HUNTINGDON
PE29 3NY

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES ICIOI
STATEMENT OF ACCOUNTS
FOR THE YEAR ENDED 30th NOVEMBER 2020
CONTENTS
PAGE
INDEPENDENT EXAMINER'S REPORT
RECEIPTS AND PAYMENTS ACCOUNT- Unreslricled Fund
RECEIPTS AND PAYMENTS ACCOUNT - Restricted funds
STATEMENT OF ASSETS AND LIPIBILITIES
NOTES TO THE STATEMENT OF ACCOUNTS
TRUSTEES, APPROVAL

INDEPENOENT EXAMINER'S REPORT TO THE BOARD OF TRUSTEES
OF HUNnNGDON AND PETERBOROUGH FEDERATION OF WOMEN'S INSTITUTES ICIOI
I report on the accounts of the Federatbn for tho yèar anded 30th Novèmbèi 2020 whlch
ar& Sel out on pag88 2 to 8.
Respective Responslbllltles of Trustses and E¥amlngr
The charity'5 tru51*5 are responsible for the p￿paratIon of the accounts. The Charity's
trustees consider that an audit is not ￿Qui￿d lor th1$ year under sectlon 144121 of the
Charllies Act 2011 Ilhe 2011 A¢tl and that an independent examinatKn is needed.
It 15 my responsibility to..
examine the account5 under sect￿n 145 of the 2011 Act,
follow the procedures laid down in the general Direction5 given by the Charity Commission
(under seclon 14515llbl of the 2011 Act. and
slate whether any partlcular matters have come to my attenllon.
Basls of Independent Examlnerf$ Report
My examinath)n was carried out in accordance with the general direCt￿nS given by the Charity Comrnissicn.
An examination indudes a review Of the accounting records kept by the charity and a ￿mp￿rIsOn of th8
aceounls presenied with those records. 11 also indudes ¢onsideralion of any unusual items or disdosure5 in
the accounts, and seeking explanation$ from you as the trustees ¢on¢eming any such m8tt8TS.
The piocedures undertaken do not provide all the evirlenc8 that would be r8quired in an audit, and consequent
no opinion 15 given as to whether the acccunls present a'lrue and faiff wew anij the report is limi18d to Ir
matters set out in the statement below.
Independent Examlnerfs Ststsrnent
In conneetlon whh my examination, no mattar has coma to ry attèntbn..
which give5 me rta50nable cause to believe that, in any mater￿1 respect, the requlrements..
lal to keep accounting record5 in accordance with Section 130 of the 2011 Act". and
Ibl to prepare accounts which accord with the accounting record5
have not been mel.. Qr
lo which, in my opin￿n, attention Should ba drawn in order to 8nable a proper understanding Df the
accounts to be reached.
N E HLtlchcraft
Chartered Accountant
24lYliol I
Kinnaird Hlll
Chart¢rgd A¢¢ountants
Montagu House
81 Hlgh Street
HUNTINGDON
Cambs PE29 3NY

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES ICIO)
STATEMENT OF ACCOUNTS FOR YEAR ENDED 30th NOVEMBER 2020
RECEIPTS AND PAYMENTS ACCOUNT IUNRESTRICTED FUNDS)
2020
2019
RECEIPTS
NFWI AGtivitie5:
Affiliation Fees..
35.366.93
38.407.98
Stationery
Diaries
Pooling of Fares
Raffle Ticket Sales
197.29
348.44
432.00
1,221.03
550.00
1,008.00
458.04
3,237.07
977.73
Committge ActivitSes:
Membership
Creative Crafts & Cookery
Events & Leisure
Public Affairs
Annual Federation Day
Exe¢utivetrruslees
112.00
448.00
1,938.44
2.197.56
15,436.82
1.516.00
941.00
4.955.44
6,275.70
1,650.00
25,560.08
Office and Administration
Public Liability Insurance
Photocopier and Postage
Newaletter and Adverts
Yeai Book Income
1.090.10
561.74
4,867,50
382.00
6,901.34
1.165.80
719.35
5.087.60
423.00
7.395.75
Other Income
AGM
Centenary
Speaker panel
HDC Gr8nt
Denman
Income from lapsed Wl
Wl Shop
Miscellaneous Income
638.00
6.943.90
213.00
160.00
10.000.00
1,813.00
10.10
251.94
44.73
10,682.73
9,391.94
Investment Income:
Bank Interest
64.64
202.32
TOTAL RECEIPTS
58,948.81
84,195.14
Total receipts as above
Total payments as per page 3
Nel receiplsllpaymentsl
Transactions on behalf of restricted funds
Balance of cash funds blfvld
Balance of cash funds
58,948.81
51,445.36
7,503.45
3,032.39
89,363.78
99,899.62
84.195.14
81.996.88
2.198.26
4.817.04
82.348.48
89,363.78

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES (CIO)
STATEMENT OF ACCOUNTS FOR YEAR ENDED 30th NOVEMBER 2020
RECEIPTS AND PAYMENTS ACCOUNT (UNRESTRICTED FUNDS}
2020
2019
PAYMENTS
NFWI Actlvltles:
National Affiliation Fees
19,206.08
20,775.13
Stationery
Diaries
Lady Denman Cup
Raffle Tickets
Pooling of Fares
448.04
326.85
817.78
504.00
60.00
52.00
1,044.00
2,477.78
432.00
1,206.89
Committee Actlvltles
Membership
Creative Crafts & Cookery
Events & Leisure
Public Affairs
Annual Federation Day
Executive l Trustees
212.65
476.80
1,083.03
127.80
-1,421.45
868.98
1,347.81
491.87
1,596.83
9,369.00
S19.65
5,240.80
2,121.08
19,339.23
Office and Administratlon
Public Liability Insurance
Premises Insurance
Repairs, Renewals and Cleaning
Employees
Photocopier
PTinting and Stalionery
Office Equlpmenl
Telephone and WebsitelHosting
Postage
Advertising
Professional Fees
Licences
Bank Charges
Accountancy Fees
903.69
920.58
796.15
20.034.83
1.188.57
67.38
1,232.06
613.78
1.113.22
391.15
582.44
203.86
951.95
2,040,00
31,039.66
944 13
525.79
19,738.17
1,201.65
35.82
1,080.47
787.66
1,243.87
40.00
383.07
2,040.00
28.861.48
Other Expenditure
AGM
Denman
Miscellaneous
770.00
6.636.00
1.576.30
152.78
8.365.08
53.10
823.10
TOTAL PAYMENTS
51.445.36
81,996.88

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES ICIOI
STATEMENT OF ACCOUNTS FOR THE YEAR ENDED 30th NOVEMBER 2020
RECEIPTS AND PAYMENTS ACCOUNTS (RESTRICTED FUNDSI
2020
2019
PROPERTY FUND
RECEIPTS
Donations-
Hire of Hall
200 Club
Car Park
4.035.00
2.519.00
1.060.00
7.614.00
4,501.50
5,098.00
350.00
9,949.50
PAYMENTS
200 Club
Rates
Light & Heal
Repairs and Renewals
Maintenance
Security Expenses
Committee Expenses
450.00
355.41
1,885.82
78.00
1,722.98
80.00
9.40
4.581.61
500.00
520.21
1,894.09
1,073.92
753.64
348.00
42.60
5,132.46
Total receipts as above
Total payments as above
Net receiptsllpayment5}
Transacted through general cash funds
Balan¢e of cash fvnds
7.614.00
4.581.61
3,032.39
3.032.39
0.00
9,949.50
5,132.461
4,817.04
14,817.04
0.00

HUNYINGDON AND PETERBOROUGH FEDERATIOM OF
WOMEN'S INSTITUTES ICIOI
STATEMENT OF ACCOUNTS FOR THE YEAR ENDED 301h NOVEhlPER 2020
STATEMENT OF ASSETS AND LIABILITIES ATTHE END OF THE PERIOD
2020
2020
2020
Unrestslcted R85trict*d De5iynated
rund8
fund8
funds
2020
2019
Total
funds
Total
funds
FIXED ASSETS
Tangble fixed ass81$
Iiot• 2
402.524.61
402.524.61
403.256.71
CURRENT ASSETS
Cash funds
Cash al Bar￿.
CurrentAccount
Inveslrnent Ac¢oynl
15.949.
85.380.81
46.35
101.376 22
172,260.841 72,280.84
3.439.43
25,655 95
15.949.06
85,380.61
46.35
4.024.57
85.318 17
23.04
Cash in Hand
R8siricted cash funds held in general accounts
Desi9naled cash funds held in general accounts
2 294.86
2,294.88 101.376.22
72.280.84
89.363.78
97,936.79
othèr moh8tary atsséts
Stock.
Bouks and publicalvjns
Slalion8ry and badges
535.79
185.12
535.79
185.12
548.04
134.20
Debtors
720.91
720.91
682 24
TOTAL ASSETS
428,9)1.47
72,280.84
2,294.86 504.621.74
493.302 73
LIABILITIES
Creditors and accruals
Lapsed In5tilule funds
2,000.(M)
1.016.55
1,304.82
1,204.82
TOTAL LIABILITIES
1,304.82
1.304.62
3.016.55
NET ASSETS
427,596.65
72 280.64
2,294.86 503,316.92
490.288.18
ANALYSIS OF FUNDS
G8wdral unreslri¢ied funds
Lpnd & Buildiros Revaluation
Propety fund
Opening of N￿¥WI,$
Educational Fund
Denman
Denman Appeal
Shov￿ & Exhibitions
116,T41.20
310,000.00
118.741.20
310.000.00
70,437.76
2.041.81
1,843.08
109.700.46
310.000.00
67.405 37
1.oe4.00
70.437.78
2.041.61
1,843.08
1,756.(6
87.02
253.27
253.27
253.27
426.741.20
72.280.84
2,294.88 502.316.92
490.286.16

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S IP4STITUTES ICIOI
NOYES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 301h NOVEMBER 2020
ACCOUNTING POLICIES..
Ba818 of preparatlon of finanGlJl ststemer
The fhanci81 $taletnen15 have bpen prepared under the reeeipls and paymenls basls, with 4
supporilng Slalement of assets and1SabS11ti8s.
Hunlingdon & Pelerborough Federallon of Women's Inslilule. Gharity reyi5kn1ion number 229014.
registered lo become a Charllable Incorporated OrgaThsalion regislrallon number 1178059 on
23rd April 2018. continuing with the Same wotk anu the comparatives are forlhe full ye4r ended
30th November 2018.
Depreclatlon
Freehohj pmpety Is includad In the siaiemeni of asse15 and ￿abilItieS and has teen revalued at the
request of Ihe Injslees by Barker Slorey Mallhews on 10th June 2015
Tf* Executive ¢ommlllee requested the freehold propety value be In¢rease¢ In 2016 to Ihe falrvaue
valuation assurning reshJenlial developmenl.
Other tangible fixed a8s81s were revalued by the iru5tees a5 al 3151 DeceThber20DO. Depreciation
has been calculated lo W￿le off Ih15 valuatKin overthe remaining expected useful llves uslng the
foll0M￿ rates..
FreehDld prDperty
Furniture
Equipment
Caieriny equipment
No ￿e￿e￿allOn
15% on redu￿rg b8lance ba51$
Z5% on reduurg balan￿ bas1$
ZO% on reduaro balance basls
stocks
Stocks have tÉen ¥al￿d bylhe Iwstees al the lower of Gosl and net realisable value.
Rastrlctgd tund5
Separate funds have been mainlaned in respect of the following..
Property Fund
Main141nEd for the fvnding of repai[5 and renovation to
the freehokl property.
Denmon Room Fund
Malnlained lor Ihe funding ofrefurb15hment lo a room al
Denm8n COl￿ge. Oxford.
D951gna¢9d Fund$
Separate fund5 have been de51gnaled in r85pecl of the followlng..
Opening of Newwfs
Lapsed Wl's
Denman
Denrnan Appeal
D￿m8Th Weekend
Shows & ExhibI￿On$
Educalional Fund

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES ICIOI
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDED 30th NOVEMBER 2020
TANGIBLE FIXED ASSETS
Froghold
Pro￿rty
Catsring
Furnlturo Equlpm9nt Equlpm8nl
Total
Cost or valuallon
At 1 December 2019
Additions
Revaluations
Disposals
AI 30 November 2020
400,000.00 3.902.77
10.291.59
5,037.73
419,232.09
400,000.00 3,902.77
10,29159
5,037.73
419,232.09
Depreciation
Al 1 December 2019
Charge for year
Revaluations
Elimination on disposa18
At 30 November 2020
3.625.69
41.56
8,399.90
472.94
3.949.79
217.60
15,975.38
732.10
3.667.25
8.872.84
4,167.39
16,707.48
Ngt Book Value
At 30 November 2020
400,000.00
235.52
1.418.75
870.34
402,524.61
At 30 November 2019
400,000.00
277.08
1.891.69
1,087.94
403,256.71
Freehold propety Comprises of land and buildings which were revalued by Barker Storey Matthews,
local property valuers, on 10th June 2015. As al 30th November 2016, the trustees uplifted the valuation
lo reflect the market value on the basis that planning permission would be granted for residential
development.
31
Related Party Note
The receipts and payments in relation to exe¢utives and Irustess is disdosed on page 2-3 of
receipts and payments account.

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES (CIO)
TRUSTEES. APPROVAL TO THE FINANCIAL STATEMENTS
The Trustees confirm their approval to the Statement of Accounts for the year
ended 30th November 2020 forming pages 2 10 7 of these financial statements.
On behalf of the trustees-.
001￿.
Chairman
S Dalley
Treasurgr
Date: 1_4h Ay.,,I Z<al

REGISTERED CHARITY NO. 1178059
HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES ICIOI
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30th NOVEMBER 2020
Kinnalr(l Hlll
Chartered Certlflèd Aceountants
Montagu House
81 Hlgh Street
HUNTINGDON
PE29 3NY

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES ICIOI
STATEMENT OF ACCOUNTS
FOR THE YEAR ENDED 30th NOVEMBER 2020
CONTENTS
PAGE
INDEPENDENT EXAMINER'S REPORT
RECEIPTS AND PAYMENTS ACCOUNT- Unreslricled Fund
RECEIPTS AND PAYMENTS ACCOUNT - Restricted funds
STATEMENT OF ASSETS AND LIPIBILITIES
NOTES TO THE STATEMENT OF ACCOUNTS
TRUSTEES, APPROVAL

INDEPENOENT EXAMINER'S REPORT TO THE BOARD OF TRUSTEES
OF HUNnNGDON AND PETERBOROUGH FEDERATION OF WOMEN'S INSTITUTES ICIOI
I report on the accounts of the Federatbn for tho yèar anded 30th Novèmbèi 2020 whlch
ar& Sel out on pag88 2 to 8.
Respective Responslbllltles of Trustses and E¥amlngr
The charity'5 tru51*5 are responsible for the p￿paratIon of the accounts. The Charity's
trustees consider that an audit is not ￿Qui￿d lor th1$ year under sectlon 144121 of the
Charllies Act 2011 Ilhe 2011 A¢tl and that an independent examinatKn is needed.
It 15 my responsibility to..
examine the account5 under sect￿n 145 of the 2011 Act,
follow the procedures laid down in the general Direction5 given by the Charity Commission
(under seclon 14515llbl of the 2011 Act. and
slate whether any partlcular matters have come to my attenllon.
Basls of Independent Examlnerf$ Report
My examinath)n was carried out in accordance with the general direCt￿nS given by the Charity Comrnissicn.
An examination indudes a review Of the accounting records kept by the charity and a ￿mp￿rIsOn of th8
aceounls presenied with those records. 11 also indudes ¢onsideralion of any unusual items or disdosure5 in
the accounts, and seeking explanation$ from you as the trustees ¢on¢eming any such m8tt8TS.
The piocedures undertaken do not provide all the evirlenc8 that would be r8quired in an audit, and consequent
no opinion 15 given as to whether the acccunls present a'lrue and faiff wew anij the report is limi18d to Ir
matters set out in the statement below.
Independent Examlnerfs Ststsrnent
In conneetlon whh my examination, no mattar has coma to ry attèntbn..
which give5 me rta50nable cause to believe that, in any mater￿1 respect, the requlrements..
lal to keep accounting record5 in accordance with Section 130 of the 2011 Act". and
Ibl to prepare accounts which accord with the accounting record5
have not been mel.. Qr
lo which, in my opin￿n, attention Should ba drawn in order to 8nable a proper understanding Df the
accounts to be reached.
N E HLtlchcraft
Chartered Accountant
24lYliol I
Kinnaird Hlll
Chart¢rgd A¢¢ountants
Montagu House
81 Hlgh Street
HUNTINGDON
Cambs PE29 3NY

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES ICIO)
STATEMENT OF ACCOUNTS FOR YEAR ENDED 30th NOVEMBER 2020
RECEIPTS AND PAYMENTS ACCOUNT IUNRESTRICTED FUNDS)
2020
2019
RECEIPTS
NFWI AGtivitie5:
Affiliation Fees..
35.366.93
38.407.98
Stationery
Diaries
Pooling of Fares
Raffle Ticket Sales
197.29
348.44
432.00
1,221.03
550.00
1,008.00
458.04
3,237.07
977.73
Committge ActivitSes:
Membership
Creative Crafts & Cookery
Events & Leisure
Public Affairs
Annual Federation Day
Exe¢utivetrruslees
112.00
448.00
1,938.44
2.197.56
15,436.82
1.516.00
941.00
4.955.44
6,275.70
1,650.00
25,560.08
Office and Administration
Public Liability Insurance
Photocopier and Postage
Newaletter and Adverts
Yeai Book Income
1.090.10
561.74
4,867,50
382.00
6,901.34
1.165.80
719.35
5.087.60
423.00
7.395.75
Other Income
AGM
Centenary
Speaker panel
HDC Gr8nt
Denman
Income from lapsed Wl
Wl Shop
Miscellaneous Income
638.00
6.943.90
213.00
160.00
10.000.00
1,813.00
10.10
251.94
44.73
10,682.73
9,391.94
Investment Income:
Bank Interest
64.64
202.32
TOTAL RECEIPTS
58,948.81
84,195.14
Total receipts as above
Total payments as per page 3
Nel receiplsllpaymentsl
Transactions on behalf of restricted funds
Balance of cash funds blfvld
Balance of cash funds
58,948.81
51,445.36
7,503.45
3,032.39
89,363.78
99,899.62
84.195.14
81.996.88
2.198.26
4.817.04
82.348.48
89,363.78

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES (CIO)
STATEMENT OF ACCOUNTS FOR YEAR ENDED 30th NOVEMBER 2020
RECEIPTS AND PAYMENTS ACCOUNT (UNRESTRICTED FUNDS}
2020
2019
PAYMENTS
NFWI Actlvltles:
National Affiliation Fees
19,206.08
20,775.13
Stationery
Diaries
Lady Denman Cup
Raffle Tickets
Pooling of Fares
448.04
326.85
817.78
504.00
60.00
52.00
1,044.00
2,477.78
432.00
1,206.89
Committee Actlvltles
Membership
Creative Crafts & Cookery
Events & Leisure
Public Affairs
Annual Federation Day
Executive l Trustees
212.65
476.80
1,083.03
127.80
-1,421.45
868.98
1,347.81
491.87
1,596.83
9,369.00
S19.65
5,240.80
2,121.08
19,339.23
Office and Administratlon
Public Liability Insurance
Premises Insurance
Repairs, Renewals and Cleaning
Employees
Photocopier
PTinting and Stalionery
Office Equlpmenl
Telephone and WebsitelHosting
Postage
Advertising
Professional Fees
Licences
Bank Charges
Accountancy Fees
903.69
920.58
796.15
20.034.83
1.188.57
67.38
1,232.06
613.78
1.113.22
391.15
582.44
203.86
951.95
2,040,00
31,039.66
944 13
525.79
19,738.17
1,201.65
35.82
1,080.47
787.66
1,243.87
40.00
383.07
2,040.00
28.861.48
Other Expenditure
AGM
Denman
Miscellaneous
770.00
6.636.00
1.576.30
152.78
8.365.08
53.10
823.10
TOTAL PAYMENTS
51.445.36
81,996.88

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES ICIOI
STATEMENT OF ACCOUNTS FOR THE YEAR ENDED 30th NOVEMBER 2020
RECEIPTS AND PAYMENTS ACCOUNTS (RESTRICTED FUNDSI
2020
2019
PROPERTY FUND
RECEIPTS
Donations-
Hire of Hall
200 Club
Car Park
4.035.00
2.519.00
1.060.00
7.614.00
4,501.50
5,098.00
350.00
9,949.50
PAYMENTS
200 Club
Rates
Light & Heal
Repairs and Renewals
Maintenance
Security Expenses
Committee Expenses
450.00
355.41
1,885.82
78.00
1,722.98
80.00
9.40
4.581.61
500.00
520.21
1,894.09
1,073.92
753.64
348.00
42.60
5,132.46
Total receipts as above
Total payments as above
Net receiptsllpayment5}
Transacted through general cash funds
Balan¢e of cash fvnds
7.614.00
4.581.61
3,032.39
3.032.39
0.00
9,949.50
5,132.461
4,817.04
14,817.04
0.00

HUNYINGDON AND PETERBOROUGH FEDERATIOM OF
WOMEN'S INSTITUTES ICIOI
STATEMENT OF ACCOUNTS FOR THE YEAR ENDED 301h NOVEhlPER 2020
STATEMENT OF ASSETS AND LIABILITIES ATTHE END OF THE PERIOD
2020
2020
2020
Unrestslcted R85trict*d De5iynated
rund8
fund8
funds
2020
2019
Total
funds
Total
funds
FIXED ASSETS
Tangble fixed ass81$
Iiot• 2
402.524.61
402.524.61
403.256.71
CURRENT ASSETS
Cash funds
Cash al Bar￿.
CurrentAccount
Inveslrnent Ac¢oynl
15.949.
85.380.81
46.35
101.376 22
172,260.841 72,280.84
3.439.43
25,655 95
15.949.06
85,380.61
46.35
4.024.57
85.318 17
23.04
Cash in Hand
R8siricted cash funds held in general accounts
Desi9naled cash funds held in general accounts
2 294.86
2,294.88 101.376.22
72.280.84
89.363.78
97,936.79
othèr moh8tary atsséts
Stock.
Bouks and publicalvjns
Slalion8ry and badges
535.79
185.12
535.79
185.12
548.04
134.20
Debtors
720.91
720.91
682 24
TOTAL ASSETS
428,9)1.47
72,280.84
2,294.86 504.621.74
493.302 73
LIABILITIES
Creditors and accruals
Lapsed In5tilule funds
2,000.(M)
1.016.55
1,304.82
1,204.82
TOTAL LIABILITIES
1,304.82
1.304.62
3.016.55
NET ASSETS
427,596.65
72 280.64
2,294.86 503,316.92
490.288.18
ANALYSIS OF FUNDS
G8wdral unreslri¢ied funds
Lpnd & Buildiros Revaluation
Propety fund
Opening of N￿¥WI,$
Educational Fund
Denman
Denman Appeal
Shov￿ & Exhibitions
116,T41.20
310,000.00
118.741.20
310.000.00
70,437.76
2.041.81
1,843.08
109.700.46
310.000.00
67.405 37
1.oe4.00
70.437.78
2.041.61
1,843.08
1,756.(6
87.02
253.27
253.27
253.27
426.741.20
72.280.84
2,294.88 502.316.92
490.286.16

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S IP4STITUTES ICIOI
NOYES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 301h NOVEMBER 2020
ACCOUNTING POLICIES..
Ba818 of preparatlon of finanGlJl ststemer
The fhanci81 $taletnen15 have bpen prepared under the reeeipls and paymenls basls, with 4
supporilng Slalement of assets and1SabS11ti8s.
Hunlingdon & Pelerborough Federallon of Women's Inslilule. Gharity reyi5kn1ion number 229014.
registered lo become a Charllable Incorporated OrgaThsalion regislrallon number 1178059 on
23rd April 2018. continuing with the Same wotk anu the comparatives are forlhe full ye4r ended
30th November 2018.
Depreclatlon
Freehohj pmpety Is includad In the siaiemeni of asse15 and ￿abilItieS and has teen revalued at the
request of Ihe Injslees by Barker Slorey Mallhews on 10th June 2015
Tf* Executive ¢ommlllee requested the freehold propety value be In¢rease¢ In 2016 to Ihe falrvaue
valuation assurning reshJenlial developmenl.
Other tangible fixed a8s81s were revalued by the iru5tees a5 al 3151 DeceThber20DO. Depreciation
has been calculated lo W￿le off Ih15 valuatKin overthe remaining expected useful llves uslng the
foll0M￿ rates..
FreehDld prDperty
Furniture
Equipment
Caieriny equipment
No ￿e￿e￿allOn
15% on redu￿rg b8lance ba51$
Z5% on reduurg balan￿ bas1$
ZO% on reduaro balance basls
stocks
Stocks have tÉen ¥al￿d bylhe Iwstees al the lower of Gosl and net realisable value.
Rastrlctgd tund5
Separate funds have been mainlaned in respect of the following..
Property Fund
Main141nEd for the fvnding of repai[5 and renovation to
the freehokl property.
Denmon Room Fund
Malnlained lor Ihe funding ofrefurb15hment lo a room al
Denm8n COl￿ge. Oxford.
D951gna¢9d Fund$
Separate fund5 have been de51gnaled in r85pecl of the followlng..
Opening of Newwfs
Lapsed Wl's
Denman
Denrnan Appeal
D￿m8Th Weekend
Shows & ExhibI￿On$
Educalional Fund

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES ICIOI
NOTES TO THE FINANCIAL STATEMENTS ICONTINUEDI
FOR THE YEAR ENDED 30th NOVEMBER 2020
TANGIBLE FIXED ASSETS
Froghold
Pro￿rty
Catsring
Furnlturo Equlpm9nt Equlpm8nl
Total
Cost or valuallon
At 1 December 2019
Additions
Revaluations
Disposals
AI 30 November 2020
400,000.00 3.902.77
10.291.59
5,037.73
419,232.09
400,000.00 3,902.77
10,29159
5,037.73
419,232.09
Depreciation
Al 1 December 2019
Charge for year
Revaluations
Elimination on disposa18
At 30 November 2020
3.625.69
41.56
8,399.90
472.94
3.949.79
217.60
15,975.38
732.10
3.667.25
8.872.84
4,167.39
16,707.48
Ngt Book Value
At 30 November 2020
400,000.00
235.52
1.418.75
870.34
402,524.61
At 30 November 2019
400,000.00
277.08
1.891.69
1,087.94
403,256.71
Freehold propety Comprises of land and buildings which were revalued by Barker Storey Matthews,
local property valuers, on 10th June 2015. As al 30th November 2016, the trustees uplifted the valuation
lo reflect the market value on the basis that planning permission would be granted for residential
development.
31
Related Party Note
The receipts and payments in relation to exe¢utives and Irustess is disdosed on page 2-3 of
receipts and payments account.

HUNTINGDON AND PETERBOROUGH FEDERATION OF
WOMEN'S INSTITUTES (CIO)
TRUSTEES. APPROVAL TO THE FINANCIAL STATEMENTS
The Trustees confirm their approval to the Statement of Accounts for the year
ended 30th November 2020 forming pages 2 10 7 of these financial statements.
On behalf of the trustees-.
001￿.
Chairman
S Dalley
Treasurgr
Date: 1_4h Ay.,,I Z<al