Leyland and Cuerden Valley Lions Club 

Trustees Annual Report for the period 1 July 2020 to 30 June 2021 

Throughout the above period there was no activity by the Club due to the restrictions in place for the Coronovirus pandemic. 

Club members kept in touch by telephone and email contact only. 

No fundraising took place and the only income was from Member subscriptions and a grant from a local authority towards the cost of maintaining a storage facility for Club assets. 

Expenditure was confined to the storage Unit costs as above a a few small charity donations. 

During the pandemic the Club has sadly lost members due to both Covid and other medical conditions. 

The Club is likely to take some considerable time to recover. 

David A. Farmer 

Trustee 

For and on behalf of Leyland and Cuerden Valley Lions Club. 

C/o 120 Liverpool Road Hutton Preston PR$ 5SL 

25 May 2022. 



## LEYLAND AND CUERDEN VALLEY LIONS CLUB 

ADMINISTRATION ACCOUNT – YEAR ENDED 30th JUNE 2021 

Balance brought forward at 31[st] July 2020 £968.97cr 

INCOME Member Subscriptions                                                              385.00 Transfer from Charity account in lieu of legal and                      34.22 insurance costs as advised by District Treasurer Grant from Farington Parish Council for Storage costs            300.00 Total Income                                                                              719.22 EXPENDITURE International dues                                                                      288.79 District and Multiple District dues                                               333.00 Equipment, cash and legal protection insurance                         44.25 Total Expenditure                                                                       666.04 Balance at end of year 30th June 2021 £1022.15cr 

## RECONCILIATION WITH BANK STATEMENT 

Account No.37323709 Statement dated 30[th] April 2021 £1157.15cr 

DEDUCT cheque 004 not presented                                 £135.00 

Adjusted balance to allow for deduction £1022.15cr 

CHARITY ACCOUNT – YEAR ENDED 30th JUNE 2021 SUMMARY 



Balance brought forward at 31[st] July 2020 £1771.04cr 

Gross income for year 2020 – 2021                                      None Gross expenditure for year 2019 – 2020                            - 727.22 Excess of expenditure over income                                    - 727.22 

Balance at end of year 30th June 2021 £1043.82cr PRINCIPAL INCOME ITEMS (Net of expenses and to nearest £) None 

PRINCIPAL EXPENDITURE ITEMS GENERAL RUNNING COSTS Transfer to Club Account in lieu of Insurance levies           34 Rent of Storage Unit                                                          468 COMMUNITY SERVICE  ACTIVITIES None 

DONATIONS Royal British Legion                                                              25 St Marys Leyland Food Bank                                              100 LCI 105CN Lebanon Appeal                                               100 Total Donations                                                                    225 

MIAB (Sub account ringfenced for message in a bottle activities) 

Balance brought forward at 1[st] July 2020 £1488.36cr No change 

Balance at 30th June 2021 £1488.36cr 

## RECONCILIATION WITH BANK STATEMENT 



Account No. 37323695 Statement dated 1[st] June 2021 £2678.06cr 

ADD Cash in hand                                                       +£15.00 

DEDUCT Cheques 003,007,013 not presented         - £161.00 

Adjusted balance to allow for additions/deductions £2532.06cr 

Cash Book – Charity sub account        1043.82 Cash Book – MIAB sub account           1488.36 Total in Cash Book                                2532.18 

