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2025-09-30-accounts

Orford Museum CIO Registered Charity No: 1183699

Receipts and Payments Account y/e 30 September 2025

2025 2024 2023 2022
General Fund (Unrestricted)
Expenditure
Rent 3,540.00 3,540.00 3,540.00 3,540.00
Rates 440.62 291.70 202.72 266.24
Insurance 1,816.42 1,833.90 1,789.29 1,434.54
Electricity 840.38 1,074.36 453.01 567.93
Telephone 574.94 538.00 522.54 453.54
Computer etc 621.45 566.58 6,693.66 3,798.10
Office costs 2,617.98 1,009.88 1,924.18 946.16
Conservation - 328.19 153.58 435.20
Subscriptions 140.00 108.00 211.00 357.00
Display 800.00 1,106.05 4,346.69 -
Curator 16,236.95 12,626.97 11,615.85 10,389.25
Sundry 13.00 16.99 100.00 356.15
27,641.74 23,040.62 31,552.52 22,544.11
2025 2024 2023 2022
Income
Grants -
-
- -
Donations/castle box 307.00 218.00 256.01 359.88
Major donors 1,566.00 5,590.00 500.00 -
Publications 384.05 379.30 223.00 37.50
Postage -
- 5.50 1.50
Building Society inter 2,461.84 2,357.73 463.78 1,160.66
Sundry receipts -
- 75.63 10.00
Equipment hire 180.00 80.00 - -
CAF a/c Int -
-
- 698.09
4,898.89 8,625.03 1,523.92 2,267.63
Friends:
Donations 5,444.53 3,288.00 2,097.00 -
Gift Aid 1,223.59 956.53 - 491.25
Bulletins 60.00 87.00 5.00 130.00
Events 21,230.54 13,075.86 1,250.00 -
27,958.66 17,407.39 3,352.00 621.25
Total Income 32,857.55 26,032.42 4,875.92 2,888.88

Friends:

Fund raising expenses - Friends printing 2,443.00 479.00 760.14 1,274.00 Donations 5,444.53 3,288.00 Gen exp/Maint 1,166.07 101.00 75.00 - Gift Aid 1,223.59 956.53 Postage 461.50 237.24 183.37 167.40 Bulletins 60.00 87.00 Events 1,608.41 7,531.97 771.59 1,246.50 Events 21,230.54 13,075.86 5,678.98 8,349.21 1,790.10 2,687.90 27,958.66 17,407.39 Total Expenditure 33,320.72 31,389.83 33,342.62 25,232.01 Total Income 32,857.55 26,032.42 Trading profit/loss (463.17) (5,357.41) (28,466.70) (20,356.09) Legacies - - - 403.14 COIF inc/(Dec) (1,740.79) 12,577.25 (3,449.38) (3,449.38) Surplus/(Deficit) (2,203.96) 7,219.84 (31,916.08) (23,402.33) Note: £3,919.62 of costs relating to an event within the year to 30 September 2025 were paid after the year end.

Orford Museum CIO Reglsterod Charlty No: 1183699 Balan* Sheet as at 30 Septemb8r 2025 2025 2024 2023 Cash at 8anklBuilding Society Santander Ipswich Buildlng Soc Coif (bid valu&l 2021 6,314.03 73,112.53 112.178.41 6.239.04 73.650.69 113,919.20 3,954.18 81.292.96 101,341.95 19.013.95 85.446.69 96,864.31 50,030.68 74,382.91 100.313.70 Total Assets 191,604.97 193,808.93 186,589.09 201,324.95 224,727.30 Representing.. Genoral Fund {Unr88tncled) Balance as at 1 October Surplu81 (Defklt) for Ihe year 193,808.93 12,203.98) 186.589.09 7.219.84 201,324.95 224.727.28 114.735.861 123,402.83) 221.864.20 2,863.12 Balance as at 30 S8Ptember 191,804.97 193,808.93 186,689.09 201,324. 224,727.30 Independent Examinerfs Report I conflmi Ihal the above accounts are in accordance wtth the r￿ordS and dowments provthd to me. Allstair Mccann