Snowdonia Slate Trail
Annual Report For year ending 5 April 2021 (with further information up to October 2021)
Presented at the AGM held on 20 November 2021
Snowdonia Slate Trail Trust Registered Charity Number 1182188
Contents
Charity Information Aims of the Charity Details of Trustees and Advisors Structure, governance and management Financial Review Objectives and Activities Achievements and Performance Responsibilities of the Committee Secretarys Report Treasurers Report Maintenance Report Marketing Report Other reports Acknowledgements 2020-2021 Financial Statement
COMPANY INFORMATION
Registered 15 February 2019 Chair Joan Cutting Charity Number 1182188 Registered Office 1 Ddol Terrace Cwm Penmachno Betws y Coed Conwy LL24 0RP Independent Examiner Lisa Ruddin 32 Forest Gardens Partington Manchester M31 4PL Bankers Bank of Scotland
Aims of the Charity
1. The advancement of education for the public benefit in the unique slate heritage and culture of Snowdonia.
2. The provision of facilities for recreation or other leisure time occupation for the public at large in the interests of social welfare by monitoring, managing and enhancing the Snowdonia Slate Trail long distance footpath.
Details of Trustees as at 5 April 2020
Joan Cutting – Chair Paul Bridges - Secretary Aled Owen – Treasurer Chris Perry – Warden co-ordinator Dorothy Howarth – Twitter account Mieko Yamaguchi – Route details updates
Details of Wardens and representatives as at 5 April 2020
Graham Fitch representing The Ramblers Dan Goodwin representing Snowdonia Society David Jones – Senior Warden Brian Ruddin – Senior Warden
Structure, governance and management
The governing document of the Snowdonia Slate Trail Trust is the Constitution of the Snowdonia Slate Trail Trust, a Charitable Incorporated Organisation, (Foundation Structure) as amended on 7 February 2019. Copies of this document can be inspected on request.
The Snowdonia Slate Trail Trust is managed by the Board of Trustees. At present, there are 5 Trustees. Other people who wish to assist with the Trust do so as Wardens or volunteers.
The Board of Trustees generally meets twice a year, and occasionally at other times as necessary, and meetings are open to wardens and interested parties to attend. Due to Covid-19, the Trustees have only met virtually, and once, in the past year.
Induction and Training
New Trustees are given the Charities Commission “How to be a Trustee” document. Trustees are encouraged to keep up to date with charity law by private learning. This year, there have been no training events.
Risk Management
The Trustees carry out a continuous and ongoing review of policies designed to identify, manage and avert risk, both financial and operational. The Treasurer
aims to report regularly on the state of the finances and reviews past performance and future needs. The Trustees act accordingly.
Financial Review
The Trust maintains a healthy bank balance and continues to monitor expenditure such that it remains sustainable. The 2020-21 account was audited and no issues were highlighted. A full Treasurer`s report is included below.
Policy on Reserves
The Snowdonia Slate Trail Trust needs reserves for the following reasons:-
-
To provide sufficient working capital for its day to day needs
-
To enable it to continue to operate in the event of a crisis.
-
To enable it to cope with any reduction in its income.
-
To finance and underpin growth in its activities.
This is our third year and has seen us raise no grants for projects, although £3000 has been raised since 5 April 2021. The Trustees hope to continue in the same vein in the future.
Objectives and Activities
The objectives of the Charity remain in the forefront for the Trustees. Fundraising continues sustainably according to the needs of any identified projects or required maintenance of the Trail. However, the current economic situation is making it more difficult to raise funds from agencies whose budgets are under pressure.
Achievements and Performance
We are very pleased that we have managed to continue our sustainable fundraising in this difficult economic climate through grants and donations.
Responsibilities of the Committee
The Committee is required to prepare financial statements for each financial year in accordance with United Kingdom Generally Accepted Accounting Practice (United Kingdom Accounting Standards and applicable law). The financial statements are required by law to give a true and fair view of the state of affairs of the company and of its incoming resources and application of resources of the company for that period. In preparing those financial statements the committee is required to select suitable accounting policies and apply them consistently, make judgments and estimates that are reasonable and prudent, state whether applicable accounting standards have been followed subject to any material departures disclosed and explained in the financial statements and prepare the financial statements on the going concern basis unless it is inappropriate to presume that the company will continue in business.
The committee is responsible for keeping proper accounting records which disclose with reasonable accuracy at any time the financial position of the company and to enable them to ensure that the financial statements comply with the requirements of the Charities Act 1993 and Charities SORP 2005 and the
Charity`s constitution. They are also responsible for safeguarding the assets of the Company and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.
As far as we are aware, there is no relevant information of which the Company’s independent examiner is unaware of, and we have taken all the steps that we ought to have taken as Trustees to make ourselves aware of any relevant financial information and to establish that the charity’s independent examiner is aware of that information.
The report has been prepared in accordance with the special provisions of the Charities Act 1993 applicable to small charities.
On behalf of the Trustees
Paul Bridges (Secretary)
Date 15[th] November 2021
Secretary`s Report
The Board of Trustees generally meets twice a year, and occasionally at other times as necessary. Annual General Meetings (AGMs) occur once a year. Last years’ AGM took place 23[rd] November 2020, virtually over a video call due to Covid19. This year’s meeting will take place November 20[th] 2021. All meetings have an agenda and minutes follow. All meetings are open to wardens and interested parties to attend. This report documents the activities of the organisation over the last year.
Paul Bridges
Secretary
**********
Treasurer’s Report
The financial report appended to this document covers the financial year 2020-21.
In that year, dominated by Covid-19, we had no grants, but had minor donations and income from medal sales of £181. Calendar sales brought in a profit of £123.
Main expenditure was on the path improvement project (£122), equipment for wardens (£671), end features (£1500), passports (£163) and insurance (£164). This brought our available funds to £9075, of which £3324 was unrestricted, while the rest was allocated to the end features, the footpath project and further improvements, and to website maintenance.
Since the end of the last financial year and as at 30 October 2021, about £4000 has been received, mostly in grants for the new website and end features, while the major expenditure has been £398 on plastic post tops and £750 on the new website. In addition, £2477 was paid to Creativity Jones, our webmaster over the past three years, for hosting and maintenance. This drew down our restricted funds of £2460 carried over from the original Heritage Lottery Grant
Aled Owen
Treasurer
Maintenance Report
Lisa Ruddin - Warden
Here is a breakdown of the activity from the last outing on the trail from Ogwen Cottage to the Ugly House:
1 x yellow post top installed
5 x roundels replaced
-
2 x roundels introduced on to a new post
-
2 x plastic road signs replaced - green
-
2 x plastic road signs replaced - brown
-
3 x posts made secure
-
2 x exposed screws secured on wooden bridge
2 x overgrown undergrowth cut back for access
Peter Skelton – Warden
Slate Trail walked and re-signed from Llyn Morwynion Reservoir to the slate mine; There were 4 signs then replaced. From the slate mine to Cwm Penmachno, 3 signs were replaced.
David Jones – Senior Warden
As a volunteer warden, when time allows, I walk sections of the trail and will take notes of any situation that may affect a walkers’ progress along the trail, fixing some of those issues as I go. e.g. new or replacement roundels, cutting back encroaching brambles or branches, etc. I issue a report on my return of my findings and actions, some of which may need a subsequent visit to solve or repair. I suggested yellow post tops which have been adopted.
Matt Sharpe
May 2021: Walked from Llanberis to Rhyd Ddu - no real issues to report, replaced two roundels which were faded on the ascent toward the peak. Some overgrown areas, although not infringing on the path too seriously.
October 2021: Walked from Beddgelert to Rhyd Ddu - no issues to report. All roundels correct, path in good condition, although very boggy in places. A few stiles close to the end of their useful life, but no damage causing a danger to path users yet.
Rob Williams
The last year has been different again - further stay at home messages have made it difficult for many and access to the outdoors been as important as ever. I have been one of the lucky ones as I live just a few meters from the trail, owning a dog and being a keen runner means I am on the trail nearly every day (hopefully looking to run the whole trail next year)
I cover a large section from Ogwen Cottage to Port Penrhyn, while most of the trail is on well-marked paths and is well maintained we do on occasion have the odd broken gate and styles. The most fulfilling part of volunteering however is meeting and discussing with such a wide range of people, especially with a panad at Ogwen Cottage.
I have set up a Instagram (Slate trail Warden) page to try and share photos of my trips along the trail and often get messages from people around the world asking about the trail.
Suzanne and Shaun Maloney
Shaun & I love being wardens, we enjoy getting out in the outdoors and seeing the seasons come & go. Since becoming wardens we've worn our hi-viz vest each time we've gone out and have been stopped a number of times by hikers not quite sure which direction to go, we've got into some interesting conversations with people which possibly wouldn't have happened without us wearing them. Our grandsons have joined us a few times and have also enjoyed replacing worn markers.
Looking after the markers and making sure the paths are accessible gives us a sense of pride that we are helping keep a little bit of history alive for everyone to enjoy
Education Report
Talks and seminars
None have happened due to Covid-19
Marketing Report
Brochures - Aled
Brochures are available in a number of outlets but more effort needs to be made to ensure these outlets maintain their stock
Facebook, Twitter and Instagram – Aled, Dorothy and Chris
Our Facebook page has some 3400 followers and serves to share information about the Trail as well as Trail walkers` experiences and photos. Both Instagram and Twitter have over 1100 followers each. Dorothy has arranged a Tic Toc account.
Guidebook - Aled
Sales of the guidebook have exceeded expectations with approximately 3000 sold. Sales through the website will have generated about £4500 for path maintenance and development to date.
Passport and medals –Joan
We’re into the third year of the Passport Scheme. Here’s how it’s looking so far:
| Aug 2018 to Nov 2019 13 medals Nov 2019 to Sep 2020 7 medals May 2021 to Oct 2021 19 medals TOTAL 38 medals |
£105.50 £72.00 £340.50 |
|---|---|
| £518.00 |
The uptake this year is up from the 7 medals of last year to 18, in part because of the lifting of Covid19 restrictions. However, despite the fact that walkers have mostly been out and about for only five months, it’s been the best year so far, because of the
-
Publication of the map of venues in the Passport Scheme on the SST website
-
Increased promotion of the Passport Scheme on Facebook, Instagram and Twitter, carried out by SST Trust members
-
Communication Sep, Oct and Nov 2020 between myself and the 16 existing venues, to raise awareness of the scheme amongst all staff, thus ensuring that the stamp and passports were readily available for walkers
-
Addition of 7 new venues (thanks to suggestions from SST Trust members), with the consequent dispatch of passports and stamps Nov 2020 to March 2021, thus ensuring that, even if several venues were closed, there were enough open for walkers to obtain their 8 required stamps
The cost of medals has remained at £3.50 over the three years. The total income this year is £340.50 because many walkers have been exceedingly generous in their donations to path maintenance.
We decided against QR codes on the wall outside venues for walkers to scan as it was considered unfeasible.
********* .
Website - Aled
The website continues to be used for downloading maps and instructions.
Our webmaster is retiring at the end of 2021 and we have commissioned an upgraded website from a another provider. This site is being built and will be ready for the end of the year.
The Charity Commission has approved including the passport page and the accommodations age on our main website and we will get this done. We do now have a “Shop” page which is working well.
We have decided to omit the app as it is possible to download all route details and GPS from the website.
T-shirts - Aled
We have a supply of T-shirts with our embroidered logo for sale which will raise a modest amount of funds. Sales are very slow.
Calendars – Aled
Calendars made a profit of only £123 so we have decided to reduce the order to 175 this year and see how it goes. Orders are very slow at the moment.
Other
The Trail, and the work of the wardens, particularly Lisa and Brian Ruddin, will feature on Weatherman Walking in 2022.
Projects Report
Path Improvements above Llan Ffestiniog.
The Snowdonia Society has assured us that work will commence soon to complete this project, which has been delayed by the pandemic
Start and end features
The metalworker commissioned to build two slate trucks went into administration early in the pandemic and omitted to tell us of these difficulties. We have, therefore, lost the deposit of £1500 paid for materials. Aled is trying to contact him to see whether those materials are available but has had no success.
We have decided to change approach and commission two bespoke benches, designed by Yvonne Amor and Justin Taylor of Penmachno at a cost of £5-6000. We have allocated funds of £1900 already and are awaiting the outcome of a number of grant applications. Aled feels confident that we can raise the necessary amount in the next year.
Acknowledgements
National Lottery Magnox, CADW, Blakemore Trust, Snowdonia National Park CAE Fund, The Foyle Foundation, The Garfield Weston Foundation, The Oakdale Trust, Community Foundation in Wales, HF Holidays, Horizon, First Hydro, Dwr Cymru, The Laspen Trust, Bethesda Town Council, Ffestiniog Town Council, Gwynedd Council, Conwy County Borough Council, Snowdonia National Park Ashley Foundation Rehau, Blaenau Ffestiniog and our wardens.
All the above have contributed towards the success of our organisation.
Accounts 2019-20
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Unrestricted Restricted
Gwynedd grant Donations from
for book sales
interpretative towards Grants towards
Calendar Refund Land Guidebook HLF funds for boards demonstration demonstration
Medal Donations Other Donation Use Sales inc Registry End transfer website transferred from improvement improvement Grants towards
Month Income Medals donations Badges Donations of Logo postage Features T-shirt sales donation maintenance CCAG project project end features Month
Bring forward 9886.87
April £0.00 April
May £0.00 May
June £0.00 June
July £0.00 July
August £42.81 £3.50 £20.00 £7.00 £12.31 August
Sept £45.31 £13.00 £7.00 £3.00 £10.00 £12.31 Sept
October £265.93 £0.01 £50.00 £215.92 October
November £420.02 £394.04 £25.98 November
December £187.81 £161.81 £26.00 December
January £32.85 £7.00 £3.00 £22.85 January
February £0.00 February
March £0.00 March
Totals £10,881.60 £23.50 £30.00 £0.00 £0.01 £50.00 £794.62 £10.00 £10.00 £76.60 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £994.73
Total £994.73 Total £0.00 £994.73
----- End of picture text -----
----- Start of picture text -----
Unrestricted Restricted
Trustee Payment for Calendar Calendar Warden safety Bron yr Erw path
Insurance expenses end features Maintenance Passports costs postage equipment improvement
Bring forward
03/19 £0.00
April £122.50 £122.50 April
May £0.00 May
June £0.00 June
July £0.00 July
August £305.92 £305.92 August
Sept £554.68 £14.00 £507.18 £33.50 Sept
October £164.64 £164.64 October
November £81.81 £81.81 November
December £194.58 £163.48 £31.10 December
January £51.74 £51.74 January
February £0.00 February
March £331.76 £331.76 March
Totals £1,807.63 £164.64 £0.00 £14.00 £0.00 £163.48 £507.18 £164.65 £0.00 £0.00 £0.00 £671.18 £122.50 £0.00 £0.00 £1,807.63
Total £1,013.95 Total £793.68 £1,807.63 £812.90
0.0
£122.79 Calendar profit
Running Total Income Expenditure Balance
2019-2020 9,886.87 Brought forward
April £0.00 £122.50 9,764.37
May £0.00 £0.00 9,764.37
June £0.00 £0.00 9,764.37
July £0.00 £0.00 9,764.37
August £42.81 £305.92 9,501.26 9514.94
September £45.31 £554.68 8,991.89
October £265.93 £164.64 9,093.18
November £420.02 £81.81 9,431.39
December £187.81 £194.58 9,424.62
January £32.85 £51.74 9,405.73
February £0.00 £0.00 9,405.73
March £0.00 £331.76 9,073.97
Restricted funds Carried Forward Income Expenditure Balance
Path improvement £3,184.97 £0.00 £793.68 £2,391.29
End features £0.00 £0.00 £0.00 £0.00
Interpretation £900.00 £0.00 £0.00 £900.00
Website maintenance £2,460.00 £0.00 £0.00 £2,460.00 £5,751.29 Restricted £0
£3,322.68 Unrestricted £0
Unestricted funds Income Expenditure Balance
£4,336.63 £1,013.95 £3,322.68 £9,073.97 0.0
----- End of picture text -----
| 0.00 | 0.00 | 9,886.87 | ||||||
|---|---|---|---|---|---|---|---|---|
| 2019-20 | Date | Income Breakdown |
Expenditure | **Gift Aid ** | GASD | 9,073.97 | ||
| 994.73 | 1,807.63 | |||||||
| April May June July August |
09/04/2020 | 12.31 Transfer | Ultra donation 122.5 Cheque 000017 Cheque to Aled for trailer hire 305.92 Cheque 000018 Cheque to Aled for warden T shirts Guidebook donation |
12.31 | Aled`s donation | |||
| 08/11/2020 08/27/2020 08/30/2020 |
7 Pay in slip 500015 3 Pay in slip 500016 3.5 Transfer 20.00 Transfer |
Refund of Land Registry fee Refund of Land Registry fee Medal Donation |
20 | |||||
| September | 09/26/2020 09/26/2020 |
3.5 Transfer 6.5 |
14 Cheque 00019 Land registry fee to determine landownership at Porth Penrhyn 33.5 Cheque 00019 Postage for warden equipment Gary Corns Medal Gary Corns Donation |
6.5 | ||||
| 09/28/2020 | 12.31 Transfer | Geof Roberts Book | 12.31 | Aled`s donation | ||||
| 10 | Geof Roberts T-shirt | 10.01 | Aled`s donation | |||||
| October November |
09/28/2020 09/30/2020 10/15/2020 10/20/2020 10/30/2020 11/03/2020 |
9.5 Pay in slip 500017 0.5 132.62 Paypal Transfer 0.01 Paypal Transfer 50.00 83.30 Paypal Transfer 20.94 Paypal Transfer |
Medals Donation 507.18 Cheque 00020 Calendar costs to Aled 164.64 Cheque 00021 Markel Insurance Calendar Sales up to Ruth White Paypal set up bank account Donation from Breeze Adventures Calendar Sales up to Alison Greaves Calendar sales to Angharad Price |
0.5 | Carried forward | 9,886.87 | ||
| 11/03/2020 11/10/2020 |
66.00 Bank Transfer 91.03 Paypal Transfer |
Aled`s calendars Calendar sales to Shaun Maloney |
Income | 994.73 | ||||
| 11/24/2020 11/24/2020 |
22.50 Bank Transfer 25.98 Bank Transfer |
Calendars Lisa Ruddin Michelle Jenkins Books donation |
25.98 | Aled`s donation | Outgoings | 1,807.63 | ||
| December January February March |
11/24/2020 11/25/2020 11/26/2020 11/26/2020 11/29/2020 12/01/2020 12/06/2020 12/09/2020 12/10/2020 12/13/2021 12/27/2020 12/27/2020 12/30/2020 01/14/2021 01/28/2021 01/30/2021 03/23/2021 |
15.00 Bank Transfer 15.00 Bank Transfer 72.00 Bank Transfer 48.02 Paypal Transfer 43.55 Paypal Transfer 6.00 Bank Transfer 26.00 Bank Transfer 43.07 Paypal Transfer 35.95 Paypal Transfer 10.00 Bank Transfer 43.14 Paypal Transfer 23.65 Paypal Transfer 22.85 Paypal Transfer 7.00 Paypal Transfer 3.00 |
81.81 Cheque 000022 Calendar postage to Aled Calendars Aled Calendars Calendars Joan Calendars to Joan Cutting Calendars to Mo Houghton 163.48 Cheque 000023 Expand Passport Scheme to Aled BACS Adrian Curtis Calendar BACS Adrian Curtis Books donation Calendars to Michelle Cale 31.1 Cheque 000024 Calendar postage to Aled Calendars BACS from Joan Calendar Calendars to Jane Marsh Calendars to Sarah Saunderson Calendars to Keith Bell 51.74 Cheque 000025 Calendar postage to Aled Medals from Ceri Donation from Ceri 331.76 Cheque 000026 Warden equipment and postage. Expenses to Aled |
26 | Aled`s donation | Balance | 9,073.97 |
Projects
Path improvement project, Llan Ffestiniog
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Income Outgoings
Restricted Restricted Unrestricted
First Hydro 1500 1920
Dwr Cymru 1000 192
Blakemore 200 245
HF Holidays 1560 384
96
122.5
38.03
778.06
671.18
Totals 4260 4446.77 0 0
-186.77
----- End of picture text -----
End features
----- Start of picture text -----
Income Outgoings
Restricted Restricted Unrestricted
Oakdale 1000 1250 250
Laspen Trust 250
Totals 1250 1250 250 1500
----- End of picture text -----
Stone from Meirionethshire granite Haulage John Roberts Ffestiniog Farmer for haulage Stone from Meirionethshire granite Haulage John Roberts Ffestiniog Farmer for haulage Acknowledgement sign New signs etc Hi viz and T-shirts
Total
Deposit Aspley Colliery Creations
Total
Accounts 2019-20
| Month Bring forward Feb 25 - |
Income 03/19 |
11306.46 £162.00 |
Unrestricted Medals £162.00 Medal donations Donations Badges Other Donations |
Unrestricted Medals £162.00 Medal donations Donations Badges Other Donations |
Unrestricted Medals £162.00 Medal donations Donations Badges Other Donations |
Unrestricted Medals £162.00 Medal donations Donations Badges Other Donations |
Postage Transfer from CCAG |
Postage Transfer from CCAG |
Restricted HLF funds for website maintenance Gwynedd grant for interpretative boards transferred from CCAG Donations from book sales towards demonstration improvement project Grants towards demonstration improvement project Grants towards end features |
Restricted HLF funds for website maintenance Gwynedd grant for interpretative boards transferred from CCAG Donations from book sales towards demonstration improvement project Grants towards demonstration improvement project Grants towards end features |
Restricted HLF funds for website maintenance Gwynedd grant for interpretative boards transferred from CCAG Donations from book sales towards demonstration improvement project Grants towards demonstration improvement project Grants towards end features |
Restricted HLF funds for website maintenance Gwynedd grant for interpretative boards transferred from CCAG Donations from book sales towards demonstration improvement project Grants towards demonstration improvement project Grants towards end features |
Restricted HLF funds for website maintenance Gwynedd grant for interpretative boards transferred from CCAG Donations from book sales towards demonstration improvement project Grants towards demonstration improvement project Grants towards end features |
Restricted HLF funds for website maintenance Gwynedd grant for interpretative boards transferred from CCAG Donations from book sales towards demonstration improvement project Grants towards demonstration improvement project Grants towards end features |
Month Adjustment, moved £162 from previous year to this year to satisfy Charities Commission. |
|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| April | £223.00 | £20.00 | £3.00 | £200.00 | April | |||||||||||||
| May | £13.50 | £3.50 | £10.00 | May | ||||||||||||||
| June | £1,000.00 | £1,000.00 | June | |||||||||||||||
| July | £5.00 | £3.50 | £1.50 | July | ||||||||||||||
| August | £250.00 | £250.00 | August | |||||||||||||||
| Sept | £0.00 | Sept | ||||||||||||||||
| October November December |
£10.00 £20.00 £2,573.50 |
£3.50 £3.50 £3.50 |
£6.50 £16.50 £10.00 |
£2,560.00 | October November December |
|||||||||||||
| January | £0.00 | January | ||||||||||||||||
| February | £18.50 | £7.00 | £11.50 | February | ||||||||||||||
| March Totals |
£10.00 £15,591.96 |
£7.00 £31.50 |
£3.00 £59.00 |
£0.00 | £182.00 | £0.00 £3.00 |
£0.00 £0.00 |
£0.00 | £0.00 | £0.00 | £2,760.00 | £1,250.00 | March £0.00 £4,285.50 |
|||||
| Bring forward | 03/19 | £0.00 | Unrestricted Insurance Maintenance Trustee expenses Payment for end features |
Total Passports |
£275.50 Restricted |
Total Bron yr Erw path improvement Payment for end features |
£4,010.00 £4,285.50 |
|||||||||||
| April | £0.00 | April | ||||||||||||||||
| May | £0.00 | May | ||||||||||||||||
| June | £0.00 | June | ||||||||||||||||
| July | £1,500.00 | £250.00 | £1,250.00 | July | ||||||||||||||
| August | £178.00 | £28.00 | £150.00 | August | ||||||||||||||
| Sept | £0.00 | Sept | ||||||||||||||||
| October November |
£224.00 £2,357.00 |
£224.00 | £2,357.00 | October November |
||||||||||||||
| December January |
£0.00 £739.80 |
£739.80 | December January |
|||||||||||||||
| February | £38.26 | £38.26 | February | |||||||||||||||
| March Totals |
£668.03 £5,705.09 |
£252.00 | £0.00 £250.00 |
£928.06 | £150.00 £150.00 £0.00 Total |
£0.00 £0.00 £1,580.06 |
£0.00 | £0.00 | £0.00 | £518.03 £2,875.03 Total |
£1,250.00 | March £0.00 £5,705.09 £4,125.03 £5,705.09 |
4,125.0 | £1,419.59 | ||||
| Running Total | Income | Expenditure | Balance | |||||||||||||||
| 2019-2020 | 11306.46 | Brought | forward | |||||||||||||||
| March April |
£162.00 £223.00 |
£0.00 £0.00 |
11,468.46 11,691.46 |
|||||||||||||||
| May | £13.50 | £0.00 | 11,704.96 | |||||||||||||||
| June | £1,000.00 | £0.00 | 12,704.96 | |||||||||||||||
| July | £5.00 | £1,500.00 | 11,209.96 | |||||||||||||||
| August | £250.00 | £178.00 | 11,281.96 | |||||||||||||||
| September | £0.00 | £0.00 | 11,281.96 | |||||||||||||||
| October November December |
£10.00 £20.00 £2,573.50 |
£224.00 £2,357.00 £0.00 |
11,067.96 8,730.96 11,304.46 |
|||||||||||||||
| January | £0.00 | £739.80 | 10,564.66 | |||||||||||||||
| February | £18.50 | £38.26 | 10,544.90 | |||||||||||||||
| March | £10.00 | £668.03 | 9,886.87 | |||||||||||||||
| Restricted funds | Carried Forward | Income Expenditure |
Balance | |||||||||||||||
| Path improvement | £3,300.00 | £2,760.00 £2,875.03 |
£3,184.97 | |||||||||||||||
| End features Interpretation |
£900.00 | £1,250.00 £1,250.00 £0.00 £0.00 |
£0.00 £900.00 |
|||||||||||||||
| Website maintenance | £2,460.00 | £0.00 | £0.00 | £2,460.00 | £6,544.97 | Restricted | ||||||||||||
| £3,341.90 | Unrestricted | |||||||||||||||||
| Unestricted funds | Income £5,083.96 |
Expenditure £1,580.06 |
Balance £3,503.90 |
£9,886.87 | 0.0 | |||||||||||||
| 162 |
----- Start of picture text -----
0.00 0.00
2019-20 Date Income Breakdown Expenditu
4,285.50 5,705.09
March 162.00
April 23 20.00 Transfer
3.00
200 200.00
May 13.5 3.5 Pay in slip 500007
10.00
June 1,000.00 Pay in slip 500008
July 5.00 5 Transfer
1500
August 250.00 Pay in slip 500009
28
September 150
October 224
10.00 3.5 Pay in slip 500010
6.5
November 1920
192
245
20.00 Transfer Stuart Marcy
December
1,560.00 Transfer
3.50 3.5 Pay in slip 500011
10.00 10
1000 Pay in slip 500012
January 739.8
February 28.88
3.38
6
18.50 7
11.5
March 96
384
150
10.00 7
3
38.03
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ure
Gift Aid GASD
| Ultra donation Donation for climbing guides 20 Postage Blakemore grant for Path improvements Medal Donation 10 Oakdale grant for truck Medal plus donation 1.5 Cheque 000003 Initial payment for truck Laspen Trust for truck Cheque 000004 Additional insurance Cheque 000005 Fence repair Conwy Falls Cheque 000006 Insurance Medal Donation 6.5 Cheque 000007 Meirionethshire Granite Cheque 000008 John Roberts Haulage Cheque 000009 Richard Hughes Trailer hire Medal Donation 16.5 Cheque 000010 Cancelled cheque Transfer HF Holidays for Path improvements Medal Donation Welsh Water for path improvement Cheque 000011 Brissco for roundels Cheque 000012 Screws for roundels Packaging for roundels Postage for Roundels Medals Donation 11.5 Cheque 000013 John Roberts Haulage Cheque 000014 Aled for Meirionethshire Granite Cheque 000015 Aled for passports Medals Donation 3 Cheque 000016 Aled for acknowledgement sign |
Ultra donation Donation for climbing guides 20 Postage Blakemore grant for Path improvements Medal Donation 10 Oakdale grant for truck Medal plus donation 1.5 Cheque 000003 Initial payment for truck Laspen Trust for truck Cheque 000004 Additional insurance Cheque 000005 Fence repair Conwy Falls Cheque 000006 Insurance Medal Donation 6.5 Cheque 000007 Meirionethshire Granite Cheque 000008 John Roberts Haulage Cheque 000009 Richard Hughes Trailer hire Medal Donation 16.5 Cheque 000010 Cancelled cheque Transfer HF Holidays for Path improvements Medal Donation Welsh Water for path improvement Cheque 000011 Brissco for roundels Cheque 000012 Screws for roundels Packaging for roundels Postage for Roundels Medals Donation 11.5 Cheque 000013 John Roberts Haulage Cheque 000014 Aled for Meirionethshire Granite Cheque 000015 Aled for passports Medals Donation 3 Cheque 000016 Aled for acknowledgement sign |
|---|---|
| Cheque 000003 | |
| Cheque 000004 | |
| Cheque 000005 | |
| Cheque 000006 | |
| Cheque 000007 Cheque 000008 Cheque 000009 |
|
| Cheque 000010 Transfer |
|
| Cheque 000011 | |
| Cheque 000012 | |
| Cheque 000013 Cheque 000014 Cheque 000015 Cheque 000016 |
11,306.46 9,886.87
| Carried forward | 11,306.46 |
|---|---|
| Income | 4,285.50 |
| Expenditure | 5,705.09 |
| Balance | 9,886.87 |
Accounts 2018-19
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Unrestricted Restricted
Gwynedd grant Donations from
for book sales
interpretative towards Grants towards
HLF funds for boards demonstration demonstration
Medal Donations Other Transfer from website transferred from improvement improvement
Month Income Medals donations Badges Donations CCAG Postage maintenance CCAG project project Month
Bring forward
04/18 £0.00 April
May £0.00 May
June £0.00 June
July £0.00 July
August £0.00 August
Sept £4,361.95 £14.00 £28.00 £59.95 £2,460.00 £1,800.00 Sept
October £0.00 October
November £5,620.26 £21.00 £34.00 £4,665.26 £900.00 November
December £25.60 £25.60 December
January £0.00 January
February £0.00 February
March £1,662.00 £162.00 £1,500.00 March
Totals £11,669.81 £35.00 £62.00 £59.95 £187.60 £4,665.26 £0.00 £0.00 £0.00 £2,460.00 £900.00 £1,800.00 £1,500.00 £0.00 £0.00 £11,669.81 0.00
Total £5,009.81 Total £6,660.00 £11,669.81
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Unrestricted Restricted
Month Expenditure Month
Trustee
Insurance expenses
Bring forward
04/18 £0.00 April
May £0.00 May
June £0.00 June
July £0.00 July
August £0.00 August
Sept £0.00 Sept
October £151.20 £151.20 October
November £0.00 November
December £50.15 £50.15 December
January £0.00 January
February £0.00 February
March £0.00 March
Totals £201.35 £151.20 £50.15 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £201.35
Total £201.35 Total £0.00 £201.35 £11,468.46
0.0 0.0
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| Running Total 2018-19 April May June July August September October November December January February March |
Income £0.00 £0.00 £0.00 £0.00 £0.00 £4,361.95 £0.00 £5,620.26 £25.60 £0.00 £0.00 £1,662.00 |
Expenditure £0.00 £0.00 £0.00 £0.00 £0.00 £0.00 £151.20 £0.00 £50.15 £0.00 £0.00 £0.00 |
Balance 0.00 0.00 0.00 0.00 0.00 £4,361.95 £4,210.75 £9,831.01 £9,806.46 £9,806.46 £9,806.46 £11,468.46 |
£11,468.46 | 0.00 |
|---|---|---|---|---|---|
| Restricted funds Path improvement Interpretative boards Website maintenance |
Income £3,300.00 £900.00 £2,460.00 |
Expenditure £0.00 £0.00 £0.00 |
Balance £3,300.00 £900.00 £2,460.00 |
£6,660.00 | |
| Unestricted funds | Income £5,009.81 |
Expenditure £201.35 |
Balance £4,808.46 |
£11,468.46 | 0.00 |
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2018-19 Date Income Breakdown Expenditure Gift Aid GASD Balance Balance as shown on internet
September 11,669.81 201.35 ### 11491.46
HLF funds for web maintenance ### 2,460.00 2460 Cheque 500001 For website -23.00
Medal ### 7.00 17 Cheque 500002 Medals
Donations 10 10
Medal 7 25 Cash
Donations 18.00 18
Donation from book sales from Aled ### 1,800.00 1800 Transfer Books 1800
Donations for badges ### 59.95 59.95 Cash 500003 Badges 59.95
October Insurance premium ### 151.2 Cheque 000001 Insurance
November Gwynedd grant for boards, paid for already ### 900.00 900 Cheque 500004 Gwynedd grant
Medals ### 17.50 25 Cheque 500005 Medals
Donation 7.50 7.5
Medals ### 3.50 30 Transfer Medals
Donation 26.50 26.5
Transfer from CCAG ### 4,665.26 4665.26 Transfer HLF remaining
December Donation from Aled ### 25.60 Transfer Donation 25.6
Expenses 12-12-18 to Aled ### 50.15 Cheque 000002 Expenses
Grant from First Hydro ### 1,500.00 1500 Cheque 500006 Grant
March Ultra donation 162.00 162 Transfer Ultra donation
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| Amount | Received | ||
|---|---|---|---|
| Truck project | 1250 | ||
| Oakdale | 1000 | 1000 | |
| Laspen | 500 | 250 | |
| Zip World | ? | ||
| G L Jones | ? | ||
| C L Jones | ? | ||
| Dickies | ? | ||
| Hanson | ? | Not interested |
| Bron yr Erw Footpath | 4260 | |
|---|---|---|
| CFIW | 1000 | |
| SNP | 1000 | 0 Fund discontinued |
| First Hydro | 1500 | 1500 |
| HDH Wills | 1000 | 0 Unsuccessful |
| Foyle | 1500 | 0 Unsuccessful |
| Dwr Cymru | 1000 | 1000 |
| Blakemore | 500 | 200 |
| HF Holidays | 1000 | 1560 |
Typical annual budget
| Income | 3650 |
|---|---|
| From books henceforth | 500 |
| From Medals | 50 |
| From Donations | 100 |
| Grants | 3000 |
| Expenditure | 3600 |
| Replacement roundels | 0 |
| Replacement boards | 200 |
| Improvements | 2000 |
| Set aside for major improvements in SSSIs | 1300 |
| Marketing projects | 100 |
Improvement projects will be identified by wardens and local agencies