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2023-09-30-accounts

Trustees Annual Report

The trustees present their fifth annual report for the Chilton Foliat Community Association for the year ended 30[th] September 2023.

Chilton Foliat Community Association was constituted in November 2018, and this report covers its fourth year of operation as a CIO (Charitable Incorporated Organisation and the only voting members are its charity trustees).

The charity was created to benefit the community of Chilton Foliat and the wider area by:

In previous years the trustees have worked closely with the local community to raise funds for the charity’s first initiative; building The Community Clubhouse, to benefit both the community and the school. This exciting project was completed and officially opened in January 2020.

The objects of the charity continue to be met by offering:

In this financial year Chilton Foliat Community Association spent the £2,500.00 grant funds awarded to it by the Marlborough Area Board in March 2022 (previous financial year) to build a shed structure to hold toys and supplies for the Chilton Chicks toddler group that is based at the Community Clubhouse.

The charity raised £1,659.83 for other community causes including the Friends of Chilton Foliat Primary School and Chilton Foliat Primary School.

At the end of the financial year reserves of £12,863.75 were held.

The trustees are grateful to those who support Chilton Foliat Community Association with ideas, time, and energy to enable our charity to benefit our community.

Chair: Samantha Wolcough
Trustees: Freya Priddey
Sarah Stallabrass
Chris Risdale
Robin Gibson
Principal Office: The Old Chapel
Chilton Foliat
Nr Hungerford, Berks
RG17 0TE
Charity Number: 1180519
Bank: Lloyds Bank plc
Blackheath London Branch
PO Box 1000
BX1 1LT

Chilton Foliat Community Association CIO

Registered charity No. 1180519

Receipts and Payments Accounts for the year ended 30[th] September 2023

Receipts
Letting Income
Donations
Grant Income
Umbrella Donations
Other income
Contributions from other parties for cleaning
Clubhouse
Total Receipts

Payments
Equipment Hire
Cleaning
Building Work (incl heating system)
Landscaping
Fixtures and Fitting (Facility set-up, furnishing &
equipment)
Bank Charges
Games and Play Activities
Fundraising fees
Umbrella Fundraising Payments Made to/on behalf of
Local Causes
Total Payments
Net of receipts/(payments)
Cash funds last year end
Cash funds at year end
Year Ending
30th September 2023
£
0.00
254.58
0.00
1,659.83
280.00
2,194.41
0.00
350.00
0.00
0.00
0.00
91.80
0.00
0.00
1,712.17
2,153.97
40.44
12,823.31
12,863.75
Year Ending
30th September 2022
£
0.00
300.00
0.00
2,638.76
0.00
0.00
2,938.76
0.00
0.00
0.00
0.00
0.00
85.70
0.00
0.00
207.38
293.08
2,645.68
10,177.63
12,823.31

Note: all funds are unrestricted