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2021-12-31-accounts

DERRINGTON MILLENNIUM GREEN TRUST

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TRUSTEES' ANNUAL REPORT (TAR)
- 2021
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Trustees' annual report for the period

From Period start date Period start date Period start date To
31
12
2021
Period end date
To
31
12
2021
Period end date
To
31
12
2021
Period end date
To
31
12
2021
Period end date
01 01 2021 31 12 2021

Section A - Reference and administration details

Charity Name
Registered Charity Number
Charity's principal address
Derrington Millennium Green Trust Derrington Millennium Green Trust
1179302
20 Twemlow Close
Derrington
Stafford
STAFFS
Postcode ST18 9LX

Names of the charity trustees who manage the charity

1
2
3
4
5
6
6
1
2
1
Trustee Name Office Dates acted if not whole year
Michael Clements Chair
Joseph Wilson Vice Chair
Roy Wood
Michael Paling
Guy Newell
Bill Brown Parish Council representative until July 2021
Title to the land has been vested in "The Official Custodian for Charities" since 15 March 2000 who is
also a Trustee.
Names of Non Trustees who help manage the charity
Name Office Dates acted if not whole year
Diane Firkins Secretary
Janet Clements Treasurer
Names of Staff members
There are no paid workers

Section B - Structure, governance and management

Description of the charity's trust(s)

Additional Governance
issues
Trustee Selection methods
How the charity is
constituted
Type of Governing document
Derrington Millennium Green Trust was registered as a Charity on
19th September 1998 and is governed by a Trust Deed. DMGT
converted to a CIO in 2019 to enable the purchase of additional
land.
Consists of trustees who manage the Millennium Green and
volunteers who help maintain the Millennium Green
With the exception of the Nominated Trustee and the Official
Custodian, all other Trustees are appointed on a specific
renewable term. New trustees can be appointed in any of the
trustees meetings.
Three Trustees represent a quorum. It is the usual practice for the
Trust to ask people to show an interest in becoming a Trustee at
all our public meetings.
The Trust has no paid employees; further, no Trustee receives any
remuneration or expenses.

Section C - Objectives and Activities

Summary of the objects of
the charity set out in it's
governing document
Summary of the Main
activities undertaken for the
public benefit in relation to
these objects
Additional details of
objectives and activities
The primary objective of the Trust is to hold and utilise the trust
fund for the provision and maintenance of Derrington Millennium
Green for the benefit of the inhabitants Derrington and
surrounding areas.
The property is used for informal recreation, a meeting area or
place for community events. In order for the Millennium Green to
be available throughout the year, regular maintenance takes
place to ensure that the environment is not only safe but also
enjoyable. A significant part of the green's management is to
encourage wildlife by either carefully husbanding the
environment (e.g. Pond Filling from a bore hole) or leaving some
areas in a more natural state. The Green (and adjacent 23 acre
Woodland Trust wood) is particularly popular with walkers and
Dog walkers. Amenities have been provided for disabled access
which is another one of our key objectives.
A great contribution is made by the volunteers and 'friends' of
the Millennium Green who donate time and money to enable
the upkeep and development of the Millennium Green to take
place. We are constantly grateful for the support. Without this
valuable contribution of time, money and energy we would not
have been able to achieve so much. Any surplus funds which are
not likely to be needed for upkeep or events are placed on
deposit as a contingency.

Section D - Achievements and Performance

Summary of the main
achievements of the charity
during the year
After Covid-19 there has been an attempt to return to normality.
Monthly workdays have been reinstated and now there are also
regular weekly work days which, are well attended. Apart from
the usual maintenance activities there has been a lot of activity
on seat and tree sponsorship which has helped take the trust into
surplus for the year.
The trust has also worked hard to consolidate the new fields.
Gates, both vehicular and disabled access, have been installed
to allow the fields to be closed off when either grazing or hay
cutting.
Main achievements for the year were:
Secure boundaries, on the new fields by erecting fences,
_hedges and gates

_
Plant trees and bushes in line with the overall site plan

Install drainage in the field adjacent to the stream, to allow use_
all year round (when not flooded)
_
Install Bee hives in the reserve field

The trustees have been largely successful in the above with the
fields having their first harvest of hay.

Section E - Financial Review

Financial Review Details
Statement of the charity's
policy on reserves
At the end of the 2021 calendar year the Trust held a balance of
£16,220. This year's closing balance is a anincreaseof£1,343
from 2020. This increase is primarily due to increased sponsorship
activities. Our main source of income is normally from small
regular donations from villagers, usually through standing orders.
Other income has sources have been through sponsorship of
trees and seats, miscellaneous donations and from rent (wave
leave) payments from Severn Trent Water. The majority of DMGT's
costs are for maintenance activities and insurance.
It is not the general policy to have a large reserve of money.
Should there be a large surplus of funds, such as a
bequeathment, the trustee would look to either purchase
additional land or make improvement to the existing.

Section F - Future Activities

Future Plans The main focus for 2022 will be consolidating the new fields with
fencing and tree planting. Development of the land with scrapes
and potentially ponds will be investigated. The land will be
registered as agricultural rather than recreational to take
~~advantage of any grants which maybe available.~~

Section G - Declaration

The trustees declare that they have approved the trustees' report above.

Signed on behalf of the charity's trustees

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Signature(s)
Full name(s)
Michael Clements
Position
Chairman DMGT
Date
03/07/2022
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This report was presented at the Annual General Meeting of Derrington Millennium Green Trust held on the 13th July 2022 held in the work shed on the Millennium Green.

to 31 Dec 2021
(RECEIPTS AND PAYMENTS BASIS)
DERRINGTON MILLENNIUM GREEN TRUST- Page 1
Registered Charity Number 1179302
STATEMENT OF FINANCIAL ACTIVITIES
to 31 Dec 2021
(RECEIPTS AND PAYMENTS BASIS)
DERRINGTON MILLENNIUM GREEN TRUST- Page 1
Registered Charity Number 1179302
STATEMENT OF FINANCIAL ACTIVITIES
to 31 Dec 2021
(RECEIPTS AND PAYMENTS BASIS)
DERRINGTON MILLENNIUM GREEN TRUST- Page 1
Registered Charity Number 1179302
STATEMENT OF FINANCIAL ACTIVITIES
to 31 Dec 2021
(RECEIPTS AND PAYMENTS BASIS)
DERRINGTON MILLENNIUM GREEN TRUST- Page 1
Registered Charity Number 1179302
STATEMENT OF FINANCIAL ACTIVITIES
All Funds All Funds
01 Jan-31 Dec 2020 01 Jan-31 Dec 2021
5949.17
3.41
0.00
0.00
0.00
0.00
72.76
385.00
I01
I02
I03
I04
I05
I06
I07
I08
Receipts
Income from Donations
5137.79
Income from Interest
0.00
Income from Tax Returns
2213.41
Income from Sponsorship
2800.00
Income from Fundraising
0.00
Income from Grants
0.00
Income from Rent
73.22
Refunds
0.00
£6,410.34 Total Receipts
£10,224.42
£587.48
£1,106.32
£5,945.88
£486.87
£0.00
E01
E02
E03
E04
E05
Payments
Expenditure on Insurance and Finance
£641.36
Expenditure on Facilities Maintenance
£1,913.32
Expenditure on Facilities Creation
£6,064.80
Expenditure on Management & Admin
£164.76
Expenditure on Fixed Assets
£96.98
£8,126.55 Total Payments
£8,881.22
-£1,716.21
£3,705.48
£0.00
-£5,421.69
NET RESOURCES BEFORE TRANSFERS
£1,343.20
Transfers between Funds
-
Miscellaneous Transfers
£0.00
NET MOVEMENT IN FUNDS
£0.00
FUND BALANCES B/WD 01 JAN 21 ~>
£14,877.44
£14,877.44 <~FUND BALANCES C/FWD 31 Dec 2020
Balance 31 Dec 2021 ->
£16,220.64
01 Jan - 31 Dec 2020
RECEIPTS (Income)
DERRINGTON MILLENNIUM GREEN TRUST ACCOUNTS
RECEIPTS AND PAYMENTS ACCOUNT AND FUND MOVEMENTS
FUND A : General Trust Fund (Unrestrd Fund)
01 Jan - 31 Dec 2020
RECEIPTS (Income)
DERRINGTON MILLENNIUM GREEN TRUST ACCOUNTS
RECEIPTS AND PAYMENTS ACCOUNT AND FUND MOVEMENTS
FUND A : General Trust Fund (Unrestrd Fund)
01 Jan - 31 Dec 2020
RECEIPTS (Income)
DERRINGTON MILLENNIUM GREEN TRUST ACCOUNTS
RECEIPTS AND PAYMENTS ACCOUNT AND FUND MOVEMENTS
FUND A : General Trust Fund (Unrestrd Fund)
01 Jan - 31 Dec 2020
RECEIPTS (Income)
DERRINGTON MILLENNIUM GREEN TRUST ACCOUNTS
RECEIPTS AND PAYMENTS ACCOUNT AND FUND MOVEMENTS
FUND A : General Trust Fund (Unrestrd Fund)
Page 2
to 31 Dec 2021
01 Jan - 31 Dec 2021
£'s Income from Donations £'s
2808.00
I01
01
2264.99
02
297.30
03
578.88
04
0.00
06
0.00
07
0.00
09
5949.17
Supporter subscriptions (Gift Aid Donations)
Miscellaneous donations (Gift Aided)
Supporter Subscriptions (non Gift Aid)
Other (Misc) Non Gift Aid Donations
Will (bequeathments)
Special Project Donations
Other Misc Donations
Total Donated Income
2,593.00
944.88
89.61
1,510.30
-
-
-
5,137.79
Income from Interest
3.41
I02
01
3.41
Interest Received
Total Income from Interest
-
-
Income from Tax Returns
0.00
I03
01
0.00
02
0.00
Tax Refunds on Gift Aid
Self Assessment Tax Donations
Total Tax Returns Income
2,213.41
-
2,213.41
Income from Sponsorship
0.00
I04
01
0.00
02
0.00
Tree Sponsorship
Seat Sponsorship
Total Income from Sponsorship
800.00
2,000.00
2,800.00
Income from Fundraising
0.00
I05
01
0.00
02
0.00
03
0.00
Fundraising/ Social Income
Miscellaneous fundraising
Proceeds from publice events
Total Income from Fundraising
-
-
-
-
Income from Grants
0.00
I06
01
0.00
Grants
Total Grant Income
-
-
Income from Rent
72.76
I07
01
72.76
Rent (E-on Wayleave)
Total Rent Income
73.22
73.22
-
I08
01
Refunds
385.00
385.00
refund
Total Refunds
385.00 -
6410.34 Total Income 10,224.42
DERRINGTON MILLENNIUM GREEN TRUST ACCOUNTS Page 3
01 Jan - 31 Dec 2020
£'s
PAYMENTS
RECIEPTS AND PAYMENTS ACCOUNT AND FUND MOVEMENTS
Fund A: General Trust Fund (Unrestrd Fund)
to 31 Dec 2021
01 Jan - 31 Dec 2021
£'s
E01
Expenditure on Insurance and Finance
297.56
01
Insurance - Public Liability
289.92
02
Insurance - Tractor
587.48
Total Expenditure on Insurance and Finance
335.76
305.60
641.36
E02
Expenditure on Facilities Maintenance
0.00
01
Maint - Pathways
0.00
02
Maint - Pondworks
0.00
03
Maint - Meadows
0.00
04
Maint - Trees & Shrubs
0.00
05
Maint - Orchard & Nuttery
0.00
06
Maint - Hedges and Fences
0.00
07
Maint - Stream works
0.00
08
Maint - Access (Provision)
0.00
09
Maint - Seating
302.16
10
Maint - Signage
0.00
11
Maint - Plant & Machinery
0.00
12
Maint - Litterpicking
0.00
13
Maint - Fuel
103.16
14
Maint - Buildings
701.00
15
Maint - Electricity (Supply)
1106.32
Total Expenditure on Facilities Maintenance
0.00
78.42
0.00
0.00
0.00
0.00
0.00
0.00
0.00
574.18
713.72
0.00
0.00
0.00
547.00
1913.32
E03
Expenditure on Facilities Creation
0.00
01
Creation - Pathways
0.00
02
Creation - Pondworks
0.00
03
Creation - Meadows
0.00
04
Creation - Trees & Shrubs
0.00
05
Creation - Orchard & Nuttery
1758.44
06
Creation - Hedges & Fences
0.00
07
Creation - Stream Works
0.00
08
Creation - Access (provision)
0.00
09
Creation - Seating
0.00
10
Creation - Signage
0.00
11
Creation - Buildings
482.29
12
Creation - Other
3705.15
13
Creation - Land Acquisition
5945.88
Total Expenditure on Facilities Creation
0.00
0.00
0.00
376.33
0.00
973.32
0.00
1015.20
1258.34
303.00
0.00
164.33
1974.28
6064.80
E04
Expenditure on Management & Admin
0.00
01
Admin - Independent Examiner's Fees
192.33
02
Admin - Website fees
45.00
03
Admin - Stationary & Equipment
210.00
04
Admin - Calendars & cards
39.54
05
Admin - Information Leaflets
0.00
06
Admin - Legal Fees
0.00
07
Events Expenditure
486.87
Total Expenditure on Management and Admin.
0.00
0.00
0.00
119.76
45.00
0.00
0.00
486.87 164.76
E05
Expenditure on Fixed Assets
0.00
01
Purchase of Tractor
0.00
02
Purchase of Flail Deck
0.00
03
Purchase of Container
0.00
04
Purchase of Water pump
0.00
10
Purchase of Miscellaneous Items
0.00
Total Expenditure on Fixed Assets
8126.55
Total Payments(Expenditiure)
0.00
0.00
0.00
0.00
96.98
96.98
8126.55 8881.22