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2024-06-30-accounts

ASHFORD LIONS CLUB (CIO)

A Charitable Incorporated Organisation with reg. charity number 1178583.

TRUSTEES’ REPORT

FOR THE YEAR ENDED 30 JUNE 2024

Period start date: 01 July 2023 Period end date: 30 June 2024

1. Reference and Administrative Details

Charity name: Ashford Lions Club (CIO) Other names known by: The Lions Centennial Club Of Ashford Registered charity number: 1178583 Charity's principal address: 9 St. Mary’s Green, Kennington, Ashford, Kent Postcode: TN24 9HP Bankers: Barclays Bank, Ashford

2. Structure, Governance and Management

Organisation type: Charitable Incorporated Organisation Governing document: CIO Document, Registered 31 May 2018, Constitutions and By-Laws of Lions Clubs International, as revised from time to time. Policies: Risk management Safeguarding vulnerable beneficiaries Conflicts of interest Complaints handling Reserves policy

Trustees’ Report 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 1 of 6.

Names of the Charity Trustees who manage the charity: Trustee name Office (if any)

Dr M. Alfredsson Managing Trustee

Th. R. Berry President (Chair) and Managing Trustee

K. L. Harty Managing Trustee

Dr S. Kinzel Treasurer and Managing Trustee

K. T. Sengstaken Secretary and Managing Trustee

Names of the Trustees for the charity, if any, (for example, any custodian trustees):

N/A

Names and addresses of advisers:

N/A

Name of chief executive or names of senior staff members:

N/A

Additional governance issues:

The Club is a member of the International Association of Lions Clubs.

Throughout the year, the Trustees have paid regard to the Charity Commission's guidance on public benefit in dealing with the objectives and activities of the Club.

The Club relies on the surpluses made on fundraising events, and on occasional donations from the public, to provide the funds with which to carry out its objectives. All administrative expenses of the Club are met from subscriptions paid by its members. There has been no change in these policies during the year.

The work of the CIO is carried out entirely by volunteers. The Club is ably supported by the volunteer services of its members and others.

From time to time as appropriate, the Club works closely with other local and national agencies, with other Lions Clubs, and with Lions Clubs International to achieve its objectives.

Trustees’ Report 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 2 of 6.

The Trustees are appointed from time to time as appropriate by the members of the Club, and have overall responsibility to ensure that the Club operates in accordance with Charity law and the Club's CIO document. The day-to-day running of the Club is overseen by a Board of Directors elected each year by the members, and which forms and governs such committees as it deems appropriate for the effective running of the Club. All business of the Club is ratified by the members in general meetings, which meetings are held at least once per month.

Policies and procedures adopted for the induction and training of Trustees:

• The Lions District 105SE offers an annual Trustees’ training course, which Trustees regularly attend. Trustees are also made aware of all the requirements and guidance provided by the Charity Commission.

Trustees’ consideration of major risks and the procedures to manage them:

• The main perceived risk is insolvency. This is addressed by the Trustees ensuring that donations do not exceed the available funds held at any given time. The Risk Policy of the Trust is subject to annual review.

3. Objectives and Activities

What the charity does: General charitable purposes

Who the charity helps: Children / young people Elderly / old people People with disabilities Other charities or voluntary bodies

Areas of operation: Throughout England

How the charity works: Makes grants to individuals Other charitable activities

Aims & activities:

Ashford Lions serve their local community by raising funds in order to provide grants and assistance to deserving causes, or to old or young individuals, who are disadvantaged, disabled or in immediate need of help in any way, who seek our support. We also support, when possible and appropriate local, National and International community service projects.

Charitable objects:

Trustees’ Report 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 3 of 6.

The objects of the club are for such purposes as are exclusively charitable in England, including in particular: 1. The advancement of citizenship by:

4. Achievements and Performance

4.1 The Trustees approved a number of donations to local organisations based on recommendations from club members or the Community Committee. The club made numerous financial donations throughout the year to local good causes, as well as Lions National and International initiatives as applicable.

4.2 Donations made by the Ashford Lions to local community causes:

£280.- Friends Downs View Infant School Charity

4.3 Donations made by the Ashford Lions to local, National and International Lions appeals:

Above donations are highlighting and showcasing the range of financial support provided during the period. All donations were approved by the Trustees and are part of the year end accounts.

Trustees’ Report 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 4 of 6.

4.4 Ashford Lions’ Santa Sleigh charity fundraiser, where Santa visits various neighbourhoods in the town. The tour also provides opportunities to families and children to see Santa in the days leading up to Christmas.

4.5 As well as supporting worthy causes with monetary donations, Ashford Lions give physical support to people and organisations wherever they can. The Club is always ready to support local events and offer assistance to other charity collections. The club continued to carry out its charitable purposes with all required protective measures implemented.

5. Financial Review

Statement of trustees' responsibilities: Charity law requires the trustees to prepare financial statements for each financial year which show a true and fair view of the state of affairs of the charity and of its financial activities for that period.

In preparing the financial statements the Trustees are required to:

The Trustees are responsible for maintaining proper accounting records which disclose with reasonable accuracy at any time the financial position of the charity and to enable them to ensure that the financial statements comply with the Charities Act 2011. They are also responsible for safeguarding the assets of the charity and for taking reasonable steps for the prevention and detection of fraud or other irregularities.

5.1 The financial statement and accounts of the Ashford Lions Club (CIO) from 01 July 2023 and financial year ending 30 June 2024 are attached to this report, in accordance with rules and regulations for incorporated charities.

5.2 Brief statement of the charity’s policy on reserves:

It is the policy of the Club to maintain unrestricted funds only to the extent that they are expected to be required within the foreseeable future to meet the objectives of the Club. The adequacy of the reserves policy is reviewed periodically.

5.3 Details of any funds materially in deficit:

None.

5.4 Further financial review details:

The Trustees have considered the major risks to which the Club is exposed to satisfy themselves that systems are in place to mitigate those risks.

Trustees’ Report 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 5 of 6.

Fundraising has been carried out through various charitable events held and organised by the members, and where we have been invited to help.

Ashford Lions undertook the following charity fundraisers:

Monetary donations made by the Club during the operational year 2023 / 2024 were made to local causes, with less than ten percent going to National or International Lions appeals.

All administration costs of the Club are met from annual subscriptions and donations by members only.

6. Exemptions from Disclosure

N/A

7. Funds Held as Custodian Trustee on behalf of others

N/A

8. Declaration

The Trustees declare that they have appointed the treasurer to approve the report above.

Signed for by:

Signature: Name (in print): Position: Trustee, Treasurer Date: 29/04/2025

Trustees’ Report 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 6 of 6.

ASHFORD LIONS CLUB (CIO)

A Charitable Incorporated Organisation with reg. charity number 1178583.

FINANCIAL STATEMENT

FOR THE YEAR ENDED 30 JUNE 2024

Page
Table of Contents (this page)
1
Income & Expenditure Year End Account Balance Sheet
2
List of Grants/Donations given out
3
Income & Expenditure for ‘Charities Account’ Balance Sheet
4
Income & Expenditure for ‘Membership Service Account’ Balance Sheet 5
Administration = Membership Subscriptions & Club Dues
6

Financial Statement 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 1.

ASHFORD LIONS CLUB (CIO)

FOR THE YEAR ENDED 30 JUNE 2024

2023/2024 INCOME & EXPENDITURE YEAR END ACCOUNT BALANCE SHEET

Receipts:
Unrestricted
HMRC Gift Aid Claim
Donations to CIO
Sale
Fundraising
Receipts:
Administration
Membership subscriptions
Membership subs. in advance
Sum:
TOTAL RECEIPTS for the peri
Payments:
Unrestricted
General fundraising costs
Event Costs
HMRC Gift Aid via member. su
Donations given out
Payments:
Administration
Costs of Administration (Club d
TOTAL PAYMENTS for the per
Net Receipts (Payments)
Reserves brought forward
Membership subscriptions bro
105SE Zone 3c Tail-Twister bro
Less: Membership subs. in adv
Less: 105SE Zone 3c Tail-Twis
Assets
Represented by:
Assets ‘Charities account’
Assets ‘Membership service ac
Assets
Year to
30/06/2023
Gross
Costs
-
£20.00 cf. charities acc.
-
£902.00 cf. members. acc.
Year to
30/06/2023
Gross
Costs
-
£20.00 cf. charities acc.
-
£902.00 cf. members. acc.
Year to
30/06/2023
Gross
Costs
-
£20.00 cf. charities acc.
-
£902.00 cf. members. acc.
Year to
30/06/2024
Gross
Costs
-
£1,996.34 cf. charities acc.
£2,650.00 cf. charities acc.
£51.20 cf. members. acc.
£922.00
£10,532.75 cf. charities acc.
£226.00 cf. members. acc.
£0.00
(£1,369.78)



(£2,830.09)
-
(£5,547.10)
(£1,202.24)
(£10,949.21)
£1,129.54
£5,026.59
£337.96
£145.71
(£169.00)
(£145.71)
£6,325.09
£5,612.06
£713.03
£6,325.09
£4,697.54
£0.00
£12,041.78 cf. charities acc.
£555.00 cf. members. acc.
£12,596.78
£838.00
£169.00
£1,007.00
£18,301.32
(£5,463.98) cf. charities acc.
(£651.61) cf. charities acc.
(£968.72) cf. members. acc.
£10,758.75
£229.00
£169.00
£398.00
od
£12,078.75
(£2,187.59) cf. charities acc.
- cf. charities acc.
(£642.50) cf. members. acc.
£398.00
£12,078.75
bs
(£5,547.10) cf. charities acc.
- cf. members. acc.
(£7,084.31)
-
(£7,225.00) cf. charities acc.
- cf. members. acc.
ues)
iod
ught forward
ught forward
ance
ter
count’
(£7,225.00)
(£999.63)
(£15,308.94)
£2,992.38
£6,325.09
£169.00
-
(£169.00)
-
£9,317.47
£8,959.59
£357.88
£9,317.47

Financial Statement 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 2

ASHFORD LIONS CLUB (CIO)

FOR THE YEAR ENDED 30 JUNE 2024

2023/2024 LIST OF GRANTS/DONATIONS GIVEN OUT
Date Beneficiary / Charity Categorization Amount
22/12/23 Home-Start Ashford & District, Charity no. 1105541, vouch. Santa Sleigh £750.00
12/02/24 Pilgrims Hospices in East Kent, Charity no. 293968 Santa Sleigh £4,570.00
12/02/24 Guide Dogs for the Blind Assoc., Ch. 209617, Ashford branch Santa Sleigh £920.00
12/02/24 Friends Downs View Infant School, Charity no. 1122114 Santa Sleigh £280.00
12/02/24 Air Ambulance Charity Kent Surrey Sussex, Charity no. 1021367 Santa Sleigh £300.00
11/06/24 8th Ashford (Middlesex) Scout Group, Charity no. 305792 Santa Sleigh £405.00
Total: £7,225.00

The Ashford Lions Club’s Board of Trustees confirm to have authorized the above donations and deemed them to be in agreement with the governing policies of the Ashford Lions Club (CIO).

___ ___


Financial Statement 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 3

ASHFORD LIONS CLUB (CIO)

FOR THE YEAR ENDED 30 JUNE 2024

2023/2024 INCOME & EXPENDITURE FOR ‘CHARITIES ACCOUNT’

Year to
30/06/2023
30/06/2024
Receipts:
Unrestricted
Gross
Costs
Gross
Costs
Donation to CIO (charities acc.)
£20.00
-
£1,996.34
-
Sale of trailer & vehicle
-
-
£2,650.00
-
Fundraiser: Christmas & Easter Hampers
£1,022.17
(£227.15)
£1,431.21
(£460.93)
Fundraiser: Santa’s Sleigh
£9,063.62
(£1,082.63)
£9,511.07
(£3,519.05)
Fundraiser: Charity Quiz
£446.96
(£60.00)
£1,099.50
(£120.00)
TOTAL RECEIPTS for the period
£10,552.75
£16,688.12
Payments:
Unrestricted
Less:
Gen. fundraising costs (licences, …)
(£2,187.59)
(£1,364.00)
Event costs
-
(£651.61)
Less:
Donations to Charities/Causes
(£5,547.10)
(£7,225.00)
TOTAL PAYMENTS for the period
(£9,104.47)
(£13,340.59)
Net Receipts (Payments)
£1,448.28
£3,347.53
Reserves brought forward
£4,163.78
£5,612.06
Assets ‘Charities account’
£5,612.06
£8,959.59
Represented by:
Bank account balance (Charities acc.)
£5,562.06
£8,909.59
Cash float
£50.00
£50.00
Less: Current Liabilities
-
-
Assets ‘Charities account’
£5,612.06
£8,959.59
Year to
30/06/2023
30/06/2024
Receipts:
Unrestricted
Gross
Costs
Gross
Costs
Donation to CIO (charities acc.)
£20.00
-
£1,996.34
-
Sale of trailer & vehicle
-
-
£2,650.00
-
Fundraiser: Christmas & Easter Hampers
£1,022.17
(£227.15)
£1,431.21
(£460.93)
Fundraiser: Santa’s Sleigh
£9,063.62
(£1,082.63)
£9,511.07
(£3,519.05)
Fundraiser: Charity Quiz
£446.96
(£60.00)
£1,099.50
(£120.00)
TOTAL RECEIPTS for the period
£10,552.75
£16,688.12
Payments:
Unrestricted
Less:
Gen. fundraising costs (licences, …)
(£2,187.59)
(£1,364.00)
Event costs
-
(£651.61)
Less:
Donations to Charities/Causes
(£5,547.10)
(£7,225.00)
TOTAL PAYMENTS for the period
(£9,104.47)
(£13,340.59)
Net Receipts (Payments)
£1,448.28
£3,347.53
Reserves brought forward
£4,163.78
£5,612.06
Assets ‘Charities account’
£5,612.06
£8,959.59
Represented by:
Bank account balance (Charities acc.)
£5,562.06
£8,909.59
Cash float
£50.00
£50.00
Less: Current Liabilities
-
-
Assets ‘Charities account’
£5,612.06
£8,959.59
Year to
30/06/2023
30/06/2024
Receipts:
Unrestricted
Gross
Costs
Gross
Costs
Donation to CIO (charities acc.)
£20.00
-
£1,996.34
-
Sale of trailer & vehicle
-
-
£2,650.00
-
Fundraiser: Christmas & Easter Hampers
£1,022.17
(£227.15)
£1,431.21
(£460.93)
Fundraiser: Santa’s Sleigh
£9,063.62
(£1,082.63)
£9,511.07
(£3,519.05)
Fundraiser: Charity Quiz
£446.96
(£60.00)
£1,099.50
(£120.00)
TOTAL RECEIPTS for the period
£10,552.75
£16,688.12
Payments:
Unrestricted
Less:
Gen. fundraising costs (licences, …)
(£2,187.59)
(£1,364.00)
Event costs
-
(£651.61)
Less:
Donations to Charities/Causes
(£5,547.10)
(£7,225.00)
TOTAL PAYMENTS for the period
(£9,104.47)
(£13,340.59)
Net Receipts (Payments)
£1,448.28
£3,347.53
Reserves brought forward
£4,163.78
£5,612.06
Assets ‘Charities account’
£5,612.06
£8,959.59
Represented by:
Bank account balance (Charities acc.)
£5,562.06
£8,909.59
Cash float
£50.00
£50.00
Less: Current Liabilities
-
-
Assets ‘Charities account’
£5,612.06
£8,959.59
£16,688.12
(£2,187.59)
(£1,364.00)
-
(£651.61)
(£5,547.10)
(£7,225.00)
(£9,104.47)
(£13,340.59)
£1,448.28
£3,347.53
£4,163.78
£5,612.06
£5,612.06
£8,959.59
£5,562.06
£8,909.59
£50.00
£50.00
-
-
£5,612.06
£8,959.59
£10,552.75
s, …)

Financial Statement 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 4

----- Start of picture text -----
A B C D E F G H I J K L M N O
Ashford Lions Club (CIO) OUT Donations IN Sale Fundraising Fundraising Costs Event Cash float: 50.00
Charities Account, Grants/ Hamper Santa General acummulated
Charit- Trailer Raffles Costs Costs
2023-2024 Take from from Sleigh Costs fundr. Costs amount
over able Members Others & Car Quiz FR & 2023 Quiz Hamper Santa costs; IAKO row total (excl. cash
"IN & OUT" Table dona-tions sold Games FR FR Raffles Sleigh car, etc. float)
1 01/07/22 Start of year 5,612.06 5,612.06 5,562.06 1
2 01/07/22 Receiving Zone 3c asset toward IAKO 145.71 145.71 5,707.77 2
3 10/07/23 100006 REM 367.5 367.5 6,075.27 3
4 10/07/23 100005 REM 456. 456. 6,531.27 4
5 11/07/23 EVEGATE PARTNERSHI-p (Storage) -120. -120. 6,411.27 5
6 11/07/23 Quiz Hall Hire SOUTH WILLESB 3JUN -60. -60. 6,351.27 6
7 11/07/23 EVEGATE PARTNERSHI-p (Storage) -120. -120. 6,231.27 7
8 04/09/23 EVEGATE PARTNERSHI-p (Storage) -120. -120. 6,111.27 8
9 26/09/23 Childreen's drawing books, PRINT JUNCTION -284. -284. 5,827.27 9
10 09/10/23 Quiz Hall Hire SWAN CENTRE 23SEP23 -60. -60. 5,767.27 10
11 09/10/23 EVEGATE PARTNERSHI-p (Storage) -120. -120. 5,647.27 11
12 09/10/23 EVEGATE PARTNERSHI-p (Storage) -120. -120. 5,527.27 12
13 09/10/23 ITS A KNOCKOUT Materials -139.59 -139.59 5,387.68 13
14 20/10/23 ITS A KNOCKOUT Disco -95. -95. 5,292.68 14
15 24/10/23 ITS A KNOCKOUT Chocolates -49. -49. 5,243.68 15
16 24/10/23 ITS A KNOCKOUT Games equipment -60.64 -60.64 5,183.04 16
17 26/10/23 PW CARINSUR 6/7/23 -342.8 -342.8 4,840.24 17
18 30/10/23 100051 REM 259. 259. 5,099.24 18
19 30/10/23 100052 REM 17. 17. 5,116.24 19
20 15/11/23 MOVER PLANT SERVIC Car repair -1,318.5 -1,318.5 3,797.74 20
21 15/11/23 Hall rent TENTERDEN SCHOOLS IAKO -250. -250. 3,547.74 21
22 15/11/23 EVEGATE PARTNERSHI-p (Storage) -120. -120. 3,427.74 22
23 20/11/23 TLC SOUTHERN LTD Car repair -282.47 -282.47 3,145.27 23
24 28/11/23 LCI MD 05 INS0582 ASHFORD Sleigh Insurance -537.6 -537.6 2,607.67 24
25 01/12/23 EVEGATE PARTNERSHI-p (Storage) -120. -120. 2,487.67 25
26 01/12/23 SumUp Payments 3.33 3.33 2,491. 26
27 04/12/23 100101 REM 197.4 197.4 2,688.4 27
28 04/12/23 100053 REM 467.1 467.1 3,155.5 28
29 04/12/23 100054 REM 386.32 386.32 3,541.82 29
30 05/12/23 SumUp Payments 11.41 11.41 3,553.23 30
31 05/12/23 100102 REM 399. 399. 3,952.23 31
32 05/12/23 SumUp Payments 25.58 25.58 3,977.81 32
33 06/12/23 100055 REM 528.48 528.48 4,506.29 33
34 06/12/23 SumUp Payments 27.54 27.54 4,533.83 34
35 07/12/23 100103 REM 392. 392. 4,925.83 35
----- End of picture text -----

Financial Statement 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 1 of 3

----- Start of picture text -----
A B C D E F G H I J K L M N O
36 07/12/23 SumUp Payments 15.74 15.74 4,941.57 36
37 08/12/23 100056 REM 575.04 575.04 5,516.61 37
38 11/12/23 100057 REM 929. 929. 6,445.61 38
39 11/12/23 100104 REM 419. 419. 6,864.61 39
40 12/12/23 100058 REM 525.01 525.01 7,389.62 40
41 13/12/23 100059 REM 434.96 434.96 7,824.58 41
42 13/12/23 SumUp Payments 12.79 12.79 7,837.37 42
43 15/12/23 100105 REM 450. 450. 8,287.37 43
44 18/12/23 100060 REM 841.01 841.01 9,128.38 44
45 18/12/23 100106 REM 976. 976. 10,104.38 45
46 19/12/23 SumUp Payments 60.01 60.01 10,164.39 46
47 19/12/23 100107 REM 540. 540. 10,704.39 47
48 19/12/23 SumUp Payments 19.66 19.66 10,724.05 48
49 20/12/23 PRINT JUN LTD SW 1,200. 1,200. 11,924.05 49
50 20/12/23 03ASHFORD KENT REM 552.3 552.3 12,476.35 50
51 20/12/23 SumUp Payments 17.71 17.71 12,494.06 51
52 21/12/23 100061 REM 660.51 660.51 13,154.57 52
53 21/12/23 100062 REM 29.42 29.42 13,183.99 53
54 22/12/23 SumUp Payments 14.75 14.75 13,198.74 54
55 22/12/23 FOODVOUCHERS Home-Start -750. -750. 12,448.74 55
56 22/12/23 XMAS-HAMPERS23EXP Content (part 1 of 2) -143.5 -143.5 12,305.24 56
57 03/01/24 COLLIER INVOICE414 -237.13 -237.13 12,068.11 57
58 05/01/24 100008 C ASD 400. 400. 12,468.11 58
59 08/01/24 MARIA IAKO PRIZES -57.38 -57.38 12,410.73 59
60 08/01/24 MARIA HAMPER 2023 Content (part 2 of 2) -142.95 -142.95 12,267.78 60
61 11/01/24 PW - EXP-SLEIGH23 Materials -593.19 -593.19 11,674.59 61
62 15/01/24 LIONS GIVING 158.77 158.77 11,833.36 62
63 15/01/24 EVEGATE PARTNERSHI-p (Storage) -120. -120. 11,713.36 63
64 29/01/24 EVEGATE PARTNERSHI-p (Storage) -120. -120. 11,593.36 64
65 12/02/24 THE GOOD BOX INV-33399 Card Readers -207.36 -207.36 11,386. 65
66 12/02/24 PILGRIMS HOSPICES -4,570. -4,570. 6,816. 66
67 12/02/24 THE GUIDE DOGS -920. -920. 5,896. 67
68 12/02/24 FRIENDS OF DOWNS VIEW Charity -280. -280. 5,616. 68
69 12/02/24 AIR AMBULANCE AASSK -300. -300. 5,316. 69
70 26/02/24 05ASHFORD KENT REM 18.36 18.36 5,334.36 70
71 26/02/24 100063 REM 283.5 283.5 5,617.86 71
72 04/03/24 EASTER HAMPER 2024 -54.65 -54.65 5,563.21 72
73 04/03/24 EASTERHAMPERS24EXP -119.83 -119.83 5,443.38 73
74 20/03/24 Goodbox Settlement 248.44 248.44 5,691.82 74
----- End of picture text -----

Financial Statement 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 2 of 3

----- Start of picture text -----
A B C D E F G H I J K L M N O
75 04/04/24 100054 REM 729.35 729.35 6,421.17 75
76 17/05/24 SLEIGH TRAILER 850. 850. 7,271.17 76
77 21/05/24 THANET LIONS CLUB (thanks for IAKO) 200. 200. 7,471.17 77
78 11/06/24 8TH AHSHFORD SCOUT -405. -405. 7,066.17 78
79 21/06/24 PRINT JUN LTD SW RANGE ROVER 1,800. 1,800. 8,866.17 79
80 26/06/24 LIONS GIVING 43.42 43.42 8,909.59 80
81 0. 8,909.59 81
82 30/06/23 End of year 0. 8,909.59 82
83 Ashford Lions Club (CIO) 5612.06 -7,225. 145.71 1850.63 2650 1099.5 1431.21 9511.07 -120 -460.93 -3519.05 -1364 -651.61 8,959.59 8,959.59 83
84 "Charities Account, OUT Donations IN Sale Fundraising Fundraising Costs Event row sum col. sum 84
85 2023-2024" -7,225. 1996.34 2650 12,041.78 -5463.98 -651.61 85
86 86
87 Gross out: -7,225. -5463.98 -651.61 -13,340.59 Net: 87
88 Gross in: 1996.34 2650 12,041.78 16,688.12 3,347.53 88
A B C D E F G H I J K L M N O
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Financial Statement 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 3 of 3

ASHFORD LIONS CLUB (CIO)

FOR THE YEAR ENDED 30 JUNE 2024

2023/2024 INCOME & EXPENDITURE FOR ‘MEMBERSHIP SERVICE ACCOUNT’
Year to
30/06/2023
30/06/2024
Receipts:
Unrestricted
Donations to club / to CIO
£902.00
£51.20
Fundraising: Tail-Twister (Lions)
-
-
Fundraising: Charter Social (Lions)
£226.00
£555.00
Sum of Fundraising (from Lions for Lions)
£226.00
£555.00
Receipts:
Administration
Donations towards Membership (adv.)
-
£25.00
Membership subscriptions
£229.00
£813.00
Membership subscriptions in advance
£169.00
£169.00
Membership subscriptions / Administration
£398.00
£1,007.00
TOTAL RECEIPTS for the period
£1,526.00
£1,613.20
Payments:
Unrestricted
Event fees (CNs, 105SE)
(£367.50)
(£660.00)
Event costs: Expenses claims (
(£275.00)
(£308.72)
Sum of Event costs
(£642.50)
(£968.72)
Payments:
Administration
Club dues (LCI, MD105, 105SE)
(£1,202.24)
(£999.63)
TOTAL PAYMENTS for the period
(£1,844.74)
(£1,968.35)
Net Receipts (Payments)
(£318.74)
(£355.15)
Reserves brought forward
£862.81
£713.03
Membership Subscriptions brought forward (c/d)
£337.96
105SE Zone 3c Tail-Twister brought forward (c/d)
£145.71
Less: Membership subs. in adv. (to bring forward)
(£169.00)
Less: Membership subs. credit (to bring forward)
-
-
Less: 105SE Zone 3c Tail-Twister (dedicated)
(£145.71)
Assets ‘Membership service account’
£713.03
£357.88
Represented by:
Bank account balance (Membership service acc.)
£1,027.74
£526.88
Cash float
£0.00
£0.00
Less: Current Liabilities
Membership subscriptions to bring forward
(£169.00)
(£169.00)
105SE Zone 3c Tail-Twister (from Lions for Lions)
(£145.71)
-
Assets ‘Membership service account’
£713.03
£357.88
2023/2024 INCOME & EXPENDITURE FOR ‘MEMBERSHIP SERVICE ACCOUNT’
Year to
30/06/2023
30/06/2024
Receipts:
Unrestricted
Donations to club / to CIO
£902.00
£51.20
Fundraising: Tail-Twister (Lions)
-
-
Fundraising: Charter Social (Lions)
£226.00
£555.00
Sum of Fundraising (from Lions for Lions)
£226.00
£555.00
Receipts:
Administration
Donations towards Membership (adv.)
-
£25.00
Membership subscriptions
£229.00
£813.00
Membership subscriptions in advance
£169.00
£169.00
Membership subscriptions / Administration
£398.00
£1,007.00
TOTAL RECEIPTS for the period
£1,526.00
£1,613.20
Payments:
Unrestricted
Event fees (CNs, 105SE)
(£367.50)
(£660.00)
Event costs: Expenses claims (
(£275.00)
(£308.72)
Sum of Event costs
(£642.50)
(£968.72)
Payments:
Administration
Club dues (LCI, MD105, 105SE)
(£1,202.24)
(£999.63)
TOTAL PAYMENTS for the period
(£1,844.74)
(£1,968.35)
Net Receipts (Payments)
(£318.74)
(£355.15)
Reserves brought forward
£862.81
£713.03
Membership Subscriptions brought forward (c/d)
£337.96
105SE Zone 3c Tail-Twister brought forward (c/d)
£145.71
Less: Membership subs. in adv. (to bring forward)
(£169.00)
Less: Membership subs. credit (to bring forward)
-
-
Less: 105SE Zone 3c Tail-Twister (dedicated)
(£145.71)
Assets ‘Membership service account’
£713.03
£357.88
Represented by:
Bank account balance (Membership service acc.)
£1,027.74
£526.88
Cash float
£0.00
£0.00
Less: Current Liabilities
Membership subscriptions to bring forward
(£169.00)
(£169.00)
105SE Zone 3c Tail-Twister (from Lions for Lions)
(£145.71)
-
Assets ‘Membership service account’
£713.03
£357.88
2023/2024 INCOME & EXPENDITURE FOR ‘MEMBERSHIP SERVICE ACCOUNT’
Year to
30/06/2023
30/06/2024
Receipts:
Unrestricted
Donations to club / to CIO
£902.00
£51.20
Fundraising: Tail-Twister (Lions)
-
-
Fundraising: Charter Social (Lions)
£226.00
£555.00
Sum of Fundraising (from Lions for Lions)
£226.00
£555.00
Receipts:
Administration
Donations towards Membership (adv.)
-
£25.00
Membership subscriptions
£229.00
£813.00
Membership subscriptions in advance
£169.00
£169.00
Membership subscriptions / Administration
£398.00
£1,007.00
TOTAL RECEIPTS for the period
£1,526.00
£1,613.20
Payments:
Unrestricted
Event fees (CNs, 105SE)
(£367.50)
(£660.00)
Event costs: Expenses claims (
(£275.00)
(£308.72)
Sum of Event costs
(£642.50)
(£968.72)
Payments:
Administration
Club dues (LCI, MD105, 105SE)
(£1,202.24)
(£999.63)
TOTAL PAYMENTS for the period
(£1,844.74)
(£1,968.35)
Net Receipts (Payments)
(£318.74)
(£355.15)
Reserves brought forward
£862.81
£713.03
Membership Subscriptions brought forward (c/d)
£337.96
105SE Zone 3c Tail-Twister brought forward (c/d)
£145.71
Less: Membership subs. in adv. (to bring forward)
(£169.00)
Less: Membership subs. credit (to bring forward)
-
-
Less: 105SE Zone 3c Tail-Twister (dedicated)
(£145.71)
Assets ‘Membership service account’
£713.03
£357.88
Represented by:
Bank account balance (Membership service acc.)
£1,027.74
£526.88
Cash float
£0.00
£0.00
Less: Current Liabilities
Membership subscriptions to bring forward
(£169.00)
(£169.00)
105SE Zone 3c Tail-Twister (from Lions for Lions)
(£145.71)
-
Assets ‘Membership service account’
£713.03
£357.88
£226.00
-
£229.00
£169.00
£398.00
£1,526.00
(£367.50)
(
(£275.00)
(£642.50)
E)
(£1,202.24)
(£1,844.74)
(£318.74)
£862.81
d)
£337.96
d)
£145.71
rd)
(£169.00)
d)
-
(£145.71)
£713.03
c.)
£1,027.74
£0.00
(£169.00)
ns)
(£145.71)
£713.03
£555.00
£25.00
£813.00
£169.00
£1,007.00
£1,613.20
(£660.00)
(£308.72)
(£968.72)
(£999.63)
(£1,968.35)
(£355.15)
£713.03
-
£357.88
£526.88
£0.00
(£169.00)
-
£357.88
E)
d)
d)
rd)
d)
c.)
ns)

Financial Statement 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 5

----- Start of picture text -----
A B C D E F G H I J K L M Q R
Ashford Lions Club (CIO) Administration Donations IN Event Costs Fundraising Other
Lions
Membership Service Account,2023-2024 Memb. subs. don. Memb. subs. Memb. subs. Memb.subs. Admin. Char- Expenses Char- Club Lions transf. towards acummulated
"IN & OUT" Table Take over brought forward towards memb. subs. (Lions) in advance(a liability) to bringforward Costs (Club) (Lions)ter Claims (Lions) (Lions)ter (Lions)TT memb. subs. row total amount
1 01/07/23 Start of year 713.03 713.03 713.03 1
2 01/07/23 Mem subs received last year 169 25 194. 907.03 2
3 10/07/23 Member Subs SK, KS 74 74. 981.03 3
4 11/07/23 ASHFORD M+D DUES F -381.75 -381.75 599.28 4
5 11/07/23 ASHFORD INT DUES F -230.47 -230.47 368.81 5
6 11/07/23 Member Subs MA, FC 128 128. 496.81 6
7 18/07/23 AshfordLottery 2.4 2.4 499.21 7
8 15/08/23 AshfordLottery 3 3. 502.21 8
9 13/09/23 AshfordLottery 2.4 2.4 504.61 9
10 26/09/23 PA for Dover Charter -35 -35. 469.61 10
11 03/10/23 AshfordLottery 2.4 2.4 472.01 11
12 08/11/23 AshfordLottery 3 3. 475.01 12
13 24/11/23 Member Subs TB, MB 85 85. 560.01 13
14 05/12/23 Member Subs KH 100 100. 660.01 14
15 05/12/23 Member Subs BH 100 100. 760.01 15
16 02/01/24 Member Subs SK, KS II 74 74. 834.01 16
17 02/01/24 Member Subs PW 32 32. 866.01 17
18 03/02/24 Member Subs NH 168 168. 1,034.01 18
19 15/01/24 ASHFORD INT DUES S -162.41 -162.41 871.6 19
20 15/01/24 ASHFORD M+D DUES S -225 -225. 646.6 20
21 17/01/24 AshfordLottery 4.8 4.8 651.4 21
22 13/02/24 AshfordLottery 3 3. 654.4 22
23 13/02/24 SK ESP CLOSECONTS -100 -100. 554.4 23
24 04/03/24 105SE-CONVENTION-E -173.72 -173.72 380.68 24
25 27/03/24 AshfordLottery 2.4 2.4 383.08 25
26 04/04/24 AshfordLottery 2.4 2.4 385.48 26
27 12/04/24 CHARTER LUNCH -325 -325. 60.48 27
28 08/05/24 AshfordLottery 3 3. 63.48 28
29 09/05/24 Charter Lunch PREBB 90 90. 153.48 29
30 10/05/24 Charter Lunch Stef 285 285. 438.48 30
31 13/05/24 Charter Lunch Bria 45 45. 483.48 31
32 13/05/24 Charter Lunch Ki 45 45. 528.48 32
33 20/05/24 Charter Lunch M Alfre 90 90. 618.48 33
34 20/05/24 Member Subs MS, FC II 136 136. 754.48 34
35 22/05/24 CHARTER LUNCH -335 -335. 419.48 35
36 24/05/24 Member Subs TB, MB 85 85. 504.48 36
37 03/06/24 Bria Donation 20 20. 524.48 37
38 30/06/24 AshfordLottery 2.4 2.4 526.88 38
39 30/06/24 Memb. subs. to bring forward -169 -169. 357.88 39
40 30/06/24 Transfer 185.63 -185.63 0. 357.88 40
41 30/06/24 End of year assets 0. 357.88 41
42 Ashford Lions Club (CIO) 713.03 169 185.63 1007 0 -169 -999.63 51.2 -660 -308.72 555 0 -185.63 357.88 357.88 42
43 Membership Service Account, Take Administration Donations IN Event Costs Fundraising Other sum row sum col. 43
44 2023-2024 over 354.63 1007 -169 -999.63 51.2 -968.72 555 -185.63 0 44
45 45
46 Gross out: 0.00 -999.63 -968.72 0.00 -1,968.35 Net: 46
47 Gross in: 0.00 1,007.00 0.00 51.20 555.00 1,613.20 -355.15 47
A B C D E F G H I J K L M
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Financial Statement 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 1 of 1

ASHFORD LIONS CLUB (CIO)

FOR THE YEAR ENDED 30 JUNE 2024

2023/2024 ADMINISTRATION / MEMBERSHIP SUBSCRIPTIONS

ASHFORD LIONS CLUB (CIO) ASHFORD LIONS CLUB (CIO) ASHFORD LIONS CLUB (CIO) FOR THE YEAR ENDED 30 JUNE 2024 FOR THE YEAR ENDED 30 JUNE 2024 FOR THE YEAR ENDED 30 JUNE 2024
2023/2024 ADMINISTRATION / MEMBERSHIP SUBSCRIPTIONS
2022/2023 Income: Membership Subscriptions £1,202.24
2022/2023 Less: Dues paid -£1,202.24
2022/2023 Net advance: Membership Subscriptions £0.00
2023/2024 GROSS Membership Subscriptions received £1,007.00
Represented by: Received in this year and for this year £813.00
Received this year and to bring forward £169.00
Received for this year £25.00
2023/2024 Total for Membership Subscriptions £999.63
Represented by: Received for this year £1,007.00
Club members' overpaid -£7.37
Less: Dues paid
Paid to LCI District 105SE, MD+District 11/07/23 -£381.75
Paid to LCI District 105SE, International 11/07/23 -£230.47
Paid to LCI District 105SE, MD+District 15/01/24 -£225.00
Paid to LCI District 105SE, International 15/01/24 -£162.41
2021/2022 GROSS Paid Club Dues -£999.63
2021/2022 NET VALUE ON MEMBERSHIP £0.00
Represented by:
Membership Subscriptions received
£1,007.00
2022/2023 Advance (brought forward) £169.00
Gross Paid Club Dues -£999.63
Club members' overpaid -£7.37
2023/2024 Advance (to bring forward) -£169.00
All administration costs have been paid from membership subscriptions or member donations only,
i.e., that is without any monies raised from the public.

All administration costs have been paid from membership subscriptions or member donations only, i.e., that is without any monies raised from the public.

Financial Statement 2023-2024 ∙ Ashford Lions Club (CIO) ∙ Reg. charity no. 1178583 ∙ Page 6