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2022-04-05-accounts

APPROVED COPY - 25TH AUGUST 2022

THE EAST RIDING OF YORKSHIRE BAND CIO

TRUSTEES’ REPORT AND FINANCIAL STATEMENTS

YEAR ENDED 5 APRIL 2022

Registered Charity No. 1184756

THE EAST RIDING OF YORKSHIRE BAND CIO Charity No. 1184756

CONTENTS

ONTENTS
PAGE No.
1 Introduction 3
2 Reference and Administrative Details 3
3 Structure, Governance and Management 3
4 Objectives and Activities 4
5 Achievements, Performance and Public Benefit 5
6 Financial Review 7
7 Report of the Independent Examiner 9
FINANCIAL STATEMENTS
A Receipts and Payments 2021-22 10
B Assets and Liabilities as at 5th April 2022 10
C Notes to the Accounts 11

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THE EAST RIDING OF YORKSHIRE BAND CIO Charity No. 1184756

1. INTRODUCTION

The Trustees of The East Riding of Yorkshire Band CIO have pleasure in submitting this their third Annual Report. Charity status was granted on 5th August 2019 and whilst this is our third report, the first covered a period of only eight months. The second, whilst covering a full financial year, related to a period of significant restrictions on the Charity’s activities due to Coronavirus. Those restrictions continued into the first part of 2021-22 with rehearsals not resuming until June 2021 and fewer public performances than we would expect in a typical year.

2. REFERENCE AND ADMINISTRATIVE DETAILS

Registered Charity Name: The East Riding of Yorkshire Band CIO (ERYB)

Charity Registration number: 1184756

Address of Principal Office : Memorial Hall, 1A Salisbury Street, Hessle, HU13 0SE

Trustees at the time of this report:

David Vivian (Chair), Christine Dunn, Christopher Theaker Peter John Wilson Louise Piper Daniel Whitt Madeline Bramley

Others serving as trustees during the year: Richard Cook

3. STRUCTURE, GOVERNANCE AND MANAGEMENT

Legal Structure

The East Riding of Yorkshire Band was originally formed as East Yorkshire Brass in 1988 and changed to its current name in 2003. The constitution, which follows the Charity Commission CIO Association Model, was approved at a General Meeting of members of the East Riding of Yorkshire Band on 7th April 2019 and charity status was subsequently granted on 5th August 2019. The Charity is constituted as a Charitable Incorporated Organisation (CIO)

Method used to appoint new trustees

The first trustees were appointed at the East Riding of Yorkshire Band’s Annual General Meeting on 7th April 2019 when the decision to seek charity status was also approved by the membership.

The constitution provides that the minimum number of trustees is three and the maximum nine. Trustees will generally be elected by the membership at a General Meeting. However, where vacancies need to be filled or additional skills are required on the trustee board, additional trustees may be co-opted by the existing trustees, subject to the maximum number

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THE EAST RIDING OF YORKSHIRE BAND CIO Charity No. 1184756

of trustees not being exceeded. Those elected by the membership may serve for up to three years with one third standing down at each subsequent annual general meeting of the CIO when they may stand for re-election. Any trustees co-opted by the existing trustees will automatically stand down at the next subsequent AGM when they may also stand for re-election.

4. OBJECTS AND ACTIVITIES

The objects of the CIO are:

In furtherance of these Objects, the Charity:

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THE EAST RIDING OF YORKSHIRE BAND CIO Charity No. 1184756

Audience members are actively encouraged to approach Band members during the interval or at the end of the performance to discuss all aspects of the Band.

5. ACHIEVEMENTS, PERFORMANCE AND PUBLIC BENEFIT

Due to the Coronavirus Pandemic and the government lockdown restrictions, the Band were unable to rehearse or perform during the first few months of this reporting period. Socially-distanced rehearsals were able to resume in June 2021 and the first public performance of the year then took place in August. During this reporting period the Band:

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THE EAST RIDING OF YORKSHIRE BAND CIO Charity No. 1184756

Trustees’ Activities

Public Benefit

Having regard to the achievements and activities detailed above, the trustees are satisfied that they have met the Public Benefit requirement of the Charity and in particular have:

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THE EAST RIDING OF YORKSHIRE BAND CIO Charity No. 1184756

The Trustees confirm that in exercising their powers and duties, they have had regard to the Charity Commission Guidance on Public Benefit (PB1) as required under section 17(5) of the Charities Act 2011.

6. FINANCIAL REVIEW

Review of the financial position at the end of the reporting period

As of 5th April 2022, the Charity’s monetary assets amounted to £54,887.50, an increase of £18,284.57 over this twelve month accounting period. A significant portion of the income for this period was owing to Covid19 Grants acquired by the Memorial Hall (£11,036.43), a sizable donation (£6,000) and income generated from hiring out the Memorial Hall (£4,884.00).

Due to the Covid19 pandemic it is difficult to draw accurate comparisons between the financial years covering 2020 - 2021 and 2021 - 2022, instead the Trustees agreed figures from 2019 - 2020 should be used as a comparable figure.

The Band were able to return to performing concerts after Covid19 restrictions eased which did see income from Engagements, however this has not yet returned to pre-pandemic levels (£2,160.00 in 2021 - 2022 vs £3,020.00 in 2019 - 2020; a 28% deficit). Christmas fundraising efforts saw a 9.7% increase based on pre-pandemic levels. The Band were successful in gaining a one-off payment of £750.00 from Arnold Clark to be used against the purchase of a new set of rehearsal stands (covering 54.5% of the overall purchase cost) and a £6,000.00 donation which will be used, in part, to purchase new Uniform. Income from the hire of Hessle Memorial Hall has increased by 188% based on pre-pandemic levels (£4884 in 2021 - 2022 vs £1695 in 2019 - 2020). This resulted in a higher than anticipated net receipts for the period.

The cost of insurance for the Band and the Memorial Hall has risen by approximately 21% compared to pre-pandemic levels (£1417.85 in 2019 - 2020 vs £1714.09 in 2021 - 2022) and the cost of utilities has risen by approximately 27% compared to pre-pandemic levels (£893.58 in 2019 - 2020 vs £1136.83 in 2021 - 2022). Whilst the increase in cost for the utilities is related to the increased use of the Memorial Hall, the Trustees expect utility bills to increase in the next financial year due to rising energy prices. The only significant expenses, other than the purchase of new rehearsal stands were attributed to the Memorial Hall; the installation of new radiators throughout cost £2,922.48

The Band hosted two charity fundraisers; a ‘CupCake Day’ in support of the Alzhiemers’ Society and their annual Macmillan Cancer Support Christmas Carol evening. These events raised a total of £590.94.

No funds or subsidiaries were in deficit at the end of the year.

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THE EAST RIDING OF YORKSHIRE BAND CIO Charity No. 1184756

Reserves Policy

The Charity’s policy during this reporting period was to build up/maintain a reserve of £15,000. This was deemed sufficient to cover one year's direct charitable expenses and to provide increased resilience against non-planned events as highlighted by the Covid-19 restrictions which cut off many of the Charity’s normal income streams. The Trustee’s plan to build up a reserve of £20,000 and will continue to review this on a yearly basis.

Coronavirus

Covid-19 restrictions continued to affect the Charity’s activities for the first three months of the year with socially distanced rehearsals resuming in June and a reduced summer concert season with the first of three outdoor public performances taking place in August.

Gift Aid

The CIO is registered with HMRC for Gift Aid and some of the donations received in this and the previous accounting period should qualify. Claims for 2019-2020, 2020-2021 and 2021-2022 will be submitted in due course with income appearing in future years accounts.

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THE EAST RIDING OF YORKSHIRE BAND CIO Charity No. 1184756

7. INDEPENDENT EXAMINER’S REPORT TO THE TRUSTEES OF THE EAST RIDING OF YORKSHIRE BAND

I report on the accounts of the Band for the year ended 5th April 2022, which are set out on pages 10 to 12.

Respective responsibilities of trustees and examiner

The charity’s trustees are responsible for the preparation of the accounts. The charity’s trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is my responsibility to:

Basis of independent examiner’s report

My examination was carried out in accordance with the general Directions given by the Charity Commission. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanation from you as trustees concerning such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair view’ and the report is limited to those matters set out in the statement below.

Independent examiner’s statement

In connection with my examination, no material matters have come to my attention which gives me cause to believe that, in any material respect:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Mrs Angela Waterland 8 Marsh Lane Barnetby North Lincolnshire DN38 6JW

Certified approved by the trustees

This Report and the appended Financial Statements were approved at a meeting of the trustees held on 25th August 2022

David Vivian, Chair of Trustees

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THE EAST RIDING OF YORKSHIRE BAND CIO

Charity No. 1184756

FINANCIAL STATEMENTS 2020-21

RECEIPTS AND PAYMENTS ACCOUNT 2020-21

----- Start of picture text -----
Notes £ £
Receipts 2021 - 2022 2020 - 2021
Donations, Bequests and Subscriptions 2 6,227.35 1,773.91
Band Activities 3 2,826.21 125.00
Fundraising Activities 4 8,292.79 2,526.92
Other receipts 5 15,923.19 20,928.70
Total receipts 33,269.54 25,354.53
Payments
Direct Charitable Expenditure 7 13,638.02 10,825.46
Other Expenditure 8 1,321.31 840.53
Other Payments 25.64 0.00
Total Payments 14,984.97 11,665.99
Net Receipts (Payments) for the period 18,284.57 13,688.54
Opening Balance 36,602.93 22,914.39
Closing Balance 54,887.50 36,602.93
STATEMENT OF ASSETS AND LIABILITIES AS AT 5TH APRIL 2022
Fixed Assets
Instruments and ancillary equipment at
replacement cost 172,579.86 168,370.60
Monetary and Liquid Assets
HSBC Current Account (Main Acc) 11,743.76 2,806.53
HSBC Account (Quintalos) 806.30 806.17
HSBC Savings Account 9,047.55 11,426.90
NatWestAccount (Memorial Hall)
(Previously HSBC (pre 2021-2022) 33,000.99 21,433.44
Paypal Account 44.45 76.66
Petty Cash 244.45 53.23
Merchandise valued at sale price 1,150 1,202.00
Total assets 228,617.36 206,286.26
Liabilities
Musical Director’s Fees and Expenses
(Feb/Mar) 0.00 0.00
Net Assets (Liabilities) 228,617.36 206,286.26
(Signed) David Vivian (Chair of Trustees)
----- End of picture text -----

These Financial Statements were approved by the Trustees on 25th August 2022. The following notes form part of these Financial Statements.

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THE EAST RIDING OF YORKSHIRE BAND CIO Charity No. 1184756

NOTES TO THE ACCOUNTS FOR YEAR ENDING 5TH APRIL 2022

1. Accounting Principles

These financial statements have been prepared using the Receipts and Payments method along with a Statement of Assets and Liabilities as provided for under s133 of the Charities Act 2011 and comply with the requirements of the Chanties (Accounts and Reports) Regulations 2008.

Income is recognised at the time of receipt and expenditure is recognised at the time of payment. Expenditure on fixed assets is written off at the time of payment

Non-monetary assets are valued at the end of the financial year as follows:-

b) In the case of Liquid Assets (merchandise) these are shown at their current sale price.

Liabilities are shown as the actual sum owed where known, otherwise as an estimated amount.

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2. Donations and Bequests 2021 - 22 2020 - 21
● Sponsorship 0.00 0.00
● Patron’s Subscriptions 40.00 0.00
● Donations 6,187.35 1,773.91
6,227.35 1,773.91
3. Band Activities
● Engagement Fees 2,160.00 0.00
● Ticket Sales 666.21 0.00
● Contest Prizes 0.00 125.00
2,826.21 125.00
4. Fundraising Activities
● Merchandise Sales 52.00 48.00
● Christmas Carolling Collections 4,632.55 368.65
● Concerts – Miscellaneous Income 262.40 0.00
● Grants 0.00 0.00
● 100 Club 1,040.00 1,110.27
● Hall Events 964.90 0.00
● Charity Events 590.94 0.00
8,292.72 1,526.92
5. Other Receipts
● Hall Hire 4,884.00 1,190.00
● Grants (Band) 750.00 1,000.00
● Grants (Hall) 11,036.43 19,631.00
● Refunds 0.00 99.50
● Interest 2.76 8.20
16,673.19 21,928.70
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Charity No. 1184756

6. Restricted Funds

There were no Restricted Funds

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Cont.
7. Direct Charitable Expenditure
● Memorial Hall – Rent 3,262.48 3,262.48
● Memorial Hall – Utilities 1,136.83 1,179.84
● Memorial Hall – Equipment/
Supplies/ Sundries/Consumables 3,234.43 3,962.64
● Musical Director Fees/Expenses 2,034.90 650.00
● Guest Player Expenses 120.00 0.00
● Contest Entry Fees 140.00 0.00
● Subscriptions, Player
Registrations, etc 219.50 350.50
● Insurance 1,714.09 1,346.66
● Instruments & Ancillary
Equipment 1,438.15 43.34
● Room Hire 25.00 0.00
● Music and Library 279.10 30.00
● Stationery 33.54 0.00
13,638.02 10,825.46
8. Other Expenditure
● Merchandise Purchases 0.00 0.00
● Promotional Materials 108.77 20.00
● Concert Series Expenses 0.00 0.00
● 100 Club Prize Money 418.40 379.20
● Sundries 88.83 54.19
● Memorial Hall – Event Refunds 435.00 15.00
● Charitable Donations 270.31 242.54
● Trustee’s Expenses 0.00 129.60
1,321.31 840.53
9. Other Payments
● Bank Charges 25.64 0.00
25.64 0.00
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