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2024-03-31-accounts

London Transport Museum Friends

Trustees’ Annual Report and Financial Statements

For the year ended

31[st] March 2024

Registered Charity Number 1185277

LONDON TRANSPORT MUSEUM FRIENDS

FOR THE YEAR ENDED 31 MARCH 2024

CONTENTS PAGE
Reference and Information 2
Trustees’ Annual Report 3-8
Statement of Trustees’ Responsibilities 9
Independent Examiner’s Report 10
Statement of Financial Activities 11
Balance Sheet 12
Cash Flow Statement 13
Notes to the Financial Statements 14-17
Income and Expenditure Account 18

Front cover: Friends’ members’ visit to Mid-Hants Railway, August 2023

Friends’ sales stall at Brooklands Motor Museum, April 2024

Back cover: Greenline RouteMaster (RM2), April 2024

Newly restored Q-stock car, May 2024

1

LONDON TRANSPORT MUSEUM FRIENDS

REFERENCE AND INFORMATION

TRUSTEES THROUGHOUT THE YEAR 2023/24 were:-

Michael Southgate Chair of the Board of Trustees Graham Miller Chief Executive Officer David Martin, FCA Treasurer Anthony Dewick Secretary (appointed 29[th] November 2023) Barry LeJeune Dr. Olivia Carlton Philip Thrower Oliver Green Robert Mason (appointed 15[th] April 2024) Steven McGunigel (appointed 15[th] April 2024) Elizabeth McKay Trustee as Director of the Museum (appointed 10[th] October 2023) Sam Mullins Trustee as Director of the Museum (retired 8[th] August 2023) Susan Gilbert (retired 15[th] July 2024) John Kateley (retired 17[th] April 2023

REGISTERED OFFICE

Albany House 98 Petty France London SW1H 9EA

INDEPENDENT EXAMINER

Amy Beecroft, FCA Chartered Accountant 19, Newton Road, Lindfield Haywards Heath, West Sussex RH16 2NB

BANKERS

HSBC Bank Plc 133 Regent Street London W1B 4HX

CAF Bank Ltd 25 Kings Hill Avenue Kings Hill West Malling Kent ME19 4JQ

2

LONDON TRANSPORT MUSEUM FRIENDS

TRUSTEES’ REPORT FOR THE YEAR ENDED 31 MARCH 2024

The trustees present their fourth Annual Report and Financial Statements for the year ended 31[st] March 2024. The financial statements have been prepared in accordance with the accounting policies set out in note 1 to the financial statements and comply with the constitution of the London Transport Museum Friends CIO, the Charities Act 2011, and Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS102).

STRUCTURE, GOVERNANCE AND MANAGEMENT

The London Transport Museum Friends CIO (“the Friends”) is a registered charity, number 1185277, and is governed by its constitution as a Charitable Incorporated Organisation (“CIO”). The CIO was registered on 12 September 2019.

New trustees are appointed by invitation following open advertisement encompassing media where the organisation can attract applicants from those areas where it is low in representation - in particular women and BAME - and subsequent interviews. There are no nomination rights. At the trustees’ meetings, the trustees agree the broad strategy and areas of activity for the Friends, including consideration of grant making, investment, reserves and risk management policies and performance. The Friends operates through trustees’ meetings, which make decisions by consensus or straight votes. All trustees serve in an honorary capacity.

It was agreed that with effect from April 2024 responsibility for the day to day management of the Friends would pass from the trustees to a newly formed Operating Committee. That committee will provide reports to trustees’ meetings and also be the first review point for the London Transport Museum’s progress on grant funded projects, and requests for new funding.

Trustees are required to complete a Declaration of Interest annually, and are expected to declare any conflict of interest that may arise during the year. A trustee will not participate in any voting at a trustees’ meeting if there is a conflict of interest.

GOVERNANCE POLICY

The Friends complies with its Charitable Incorporation Organisation constitution, its Organisation and Arrangements document and its various operational policies. It meets the aspirations of the Charity Code published in July 2017.

OBJECTIVES & PRINCIPAL ACTIVITIES FOR THE PUBLIC BENEFIT

The principal activity of the Friends is the advancement of public education in the history of transport, in particular by assisting and encouraging the work and activities of the London Transport Museum (“the Museum”) located in Covent Garden and Acton, London, including work and activity carried out jointly or in co-operation with any other museum, art gallery, preservation society or similar organisation.

3

LONDON TRANSPORT MUSEUM FRIENDS

TRUSTEES’ REPORT FOR THE YEAR ENDED 31 MARCH 2024, continued

SUMMARY OF THE MAIN ACTIVITIES

The Friends’ work is entirely reliant on income raised by the members of the Friends to support the Museum primarily from the following sources:

  1. Individual and family annual membership fees

  2. Income from legacies. The opportunity to suggest leaving a legacy in favour of the Friends is taken whenever possible, including appropriate reference on the Friends’ website and in the “Friends’ News” magazine.

  3. Donations, including those from the distribution of donated memorabilia and ephemera, such activities taking place at open weekends at the Museum’s Acton Depot, and elsewhere; talks to external groups; and special fundraising projects.

FINANCIAL REVIEW

Total income for the year ended 31[st] March 2024 amounted to £153,597 (membership fees £67,853, donations received in exchange for books and models £33,976, legacies £6,842, HMRC Gift Aid £11,948, bank interest £23,157, and other sundry income £9,821).

Total outgoings for the year ended 31[st] March 2024 amounted to £194,249 (investment and management £14,043, fund raising costs £2,076, cost of visits & talks £10,459, cost of production and distribution of the “Friends’ News” magazine £20,070, grants bestowed £147,601).

Total income less total outgoings (including grants bestowed) resulted in a net deficit for the year of £40,652, thus reducing reserves carried forward £764,427 (2022/23: surplus carried forward £805,079)

During the year three legacies amounting to £6,842 in total were received. Subsequent to the yearend one legacy in the sum of £59,820 has been received. The Friends has been notified by a firm of solicitors that they have been bequeathed a further legacy but no indication as to the amount has been given, and payment is unlikely in year 2024/25.

GRANT MAKING POLICY

The Friends has established its grant making policy to achieve its objects for the public benefit. The grants are made for specific projects, including artifact purchases and conservation, and community based education programmes on the basis of an annual budget, priorities for which are agreed by the trustees in consultation with the Museum’s curatorial staff. The sizes of the grants vary with the funds available in any year. Further details of the current and forthcoming years’ grants are detailed below.

HERITAGE TRAINS FUND

In 2001 a restricted fund, “The Heritage Trains Fund” was opened specifically for the restoration of heritage London Underground train cars. This Fund is currently focused on the restoration of three “Q-stock” underground train cars from the 1920s and 1930s. The latest budgeted expenditure to complete the project, subject to any new operational requirements, is in the region of £546,000. The Heritage Trains Fund remains open and since funds required for the current project may exceed those in reserve, the Museum and the Friends will commence further fundraising for the balance as and when necessary. Funds will be released progressively as resources are available to undertake the work described above, now that the final scope of the project for which it is intended has been established. Much restoration work was been severely hampered due the pandemic, and the Museum’s other priorities and processes. These delays have resulted in the built up of funds, which are now being released as contracts for major restoration work are placed with external contractors.

4

LONDON TRANSPORT MUSEUM FRIENDS

TRUSTEES’ REPORT FOR THE YEAR ENDED 31 MARCH 2024, continued

RISK MANAGEMENT

The trustees maintain an extensive risk register, which is reviewed at trustees’ meeting. The trustees have assessed the major risks to which the Friends’ is exposed on an ongoing basis and are satisfied that systems are in place to reduce exposure to these risks. The Friends has no on-going contractual financial obligations as all expenditure is discretionary.

RESERVES POLICY

The trustees have agreed that cash reserves broadly equivalent to one year’s day-to-day expenditure should normally be maintained in the General Fund as a buffer against loss of income, together with sufficient working capital for day-to-day operations, with the remainder identified and invested as longer term reserves.

INVESTMENT POLICY

The longer term reserves are invested to earn a commensurate return reflecting an acceptable level of risk, certainty of value and the economic environment. This is likely to be in fixed term deposits as monies are not expected to be held for more than a few years. Therefore real estate property, stock market, and similar investments are unlikely to be appropriate.

The investment objective for the short term reserves is to preserve the capital value with a minimum level of risk so that funds should be readily available to meet:

All longer-term investments must be approved by the trustees.

The base currency of the investment portfolio is Sterling.

The Friends’ cash balances should be deposited with recognised banking institutions, and, where possible, within the Financial Services Compensation Scheme (“FSCS”). Longer term reserves in investments should be capable of being realised within twelve months, unless there is absolute certainty that the funds will not be required within that period.

Accounting policies are set out in the Notes to the Financial Statements which follow.

FRIENDS MEMBERSHIP

At the year-end there were 2,952 (2023: 2,817) members spread over both individual and household memberships. Whist the year-end total was still below the pre-Covid high of around 3,000; this is a welcome move in the upward direction. The increase is due in large part to the recruitment of new members at the Acton Depot Open Weekends.

VOLUNTEERS

Trustees and members of the Friends undertake a variety of voluntary roles in support of the Museum. For the past few years, it has been an important part of the Friends’ policy to actively encourage members to commit themselves to such voluntary tasks. Some of the types of activity undertaken by Friends’ volunteers include:

5

LONDON TRANSPORT MUSEUM FRIENDS

TRUSTEES’ REPORT FOR THE YEAR ENDED 31 MARCH 2024, continued

The volunteer service was created by a joint Friends’/Museum Working Party and is bound by the Museum’s policies and practices. A member of the Museum’s staff manages the volunteer effort.

Neither trustees nor volunteers receive any remuneration for their activities with the Friends. Fares, mileage (limited to a maximum of 50 miles per round trip), and subsistence (limited to £5 per day, when away from home for more than four hours) are paid to trustees and volunteers.

Part of the Friends’ volunteering policy is to further expand the use of volunteer members as this provides an opportunity for them to become involved in the Museum’s work. This is clearly helpful to the Museum as it provides the Museum’s staff with a skilled and enthusiastic voluntary workforce. It also enables those members who volunteer to achieve greater fulfilment from their membership through the use of their varied personal skills. The many hours of work contributed by volunteers each year constitutes a valuable cost-free resource for the Museum.

Volunteer Departures

The year saw the “retirement” of volunteers, who for many years have provided selfless time and support to the Friends. Pat Tilly has said farewell after managing the Membership Team for many years. His contribution to the Friends has been immeasurable. Sadly Stephen Jolly was unable for health reasons to continue in his role as Magazine Editor. Barry LeJeune has agreed to continue in this role.

ACTIVITIES DURING 2023/24

The Year in Retrospect

2023/24 has been a year of continued recovery following the hiatus of the covid years. September 2023 marked the departure of Sam Mullins as Director of the Museum and a non-executive Friends’ trustee. Sam was steadfast in his support for the Friends’ and the trustees would like to thank him for his contribution. He has been replaced by his successor at the Museum, Elizabeth McKay.

Tony Dewick has been appointed Trustee and Charity Secretary. Sadly, ill-health has prevented Susan Gilbert from continuing in this role, but she intends to remain active helping with recruitment events and stewarding talks. It is almost impossible to quantify Susan’s contribution to the Friends and the opportunity will be taken to recognize this at an appropriate point.

A process was followed to recruit new trustees, resulting in the appointment with effect from April 2024 of Rob Mason and Steven McGunigel.

Tony Francis took on the role of Talks Organiser and Beverley Flanagan Trips Organiser.

6

LONDON TRANSPORT MUSEUM FRIENDS

TRUSTEES’ REPORT FOR THE YEAR ENDED 31 MARCH 2024, continued

The Friends’ News Magazine was substantially re-designed initially under the editorship of Stephen Jolly, followed by Barry LeJeune, and the design editorship of Ray Stenning.

The Q-stock restoration project continued to move forward at an increased pace and it is hoped that the project will be finally completed in 2025 although due to various ongoing constraints, the Museum’s ability to progress other Friends’ funded projects remained at a level below that which either party would ideally have wished.

Support for Museum projects totalled £147,601, against grant requests of £369,000. The disappointing gap between the two figures reflects the Museum’s difficulty in allocating resources to undertake the work required, delays to the Q-stock procurement process and some factors beyond their control. The actual expenditure can be broken down into:

Heritage trains, including Q-stock: £68,399 Heritage bus restoration and operations: £14,861 Restoration of vehicles in the Covent Garden Museum: £11,014 Restoration of the Museum’s passenger lifts and AC chillers £30,788 Contribution towards archiving and cataloguing £22,539

There was good progress with the Q-stock restoration project. The interior restoration work of all three Q-stock cars was completed during the year, and a contract has been placed for the restoration work on the traction motors and underfloor components of the three carriages. This work is expected to be completed by the Autumn of 2024. The bodywork restoration on two brake vans (needed as match cars to enable the Q-stock to operate on Underground tracks and potentially on heritage railways elsewhere) was completed early in 2024.

A full programme of Friends’ meetings continued at both Covent Garden and the Acton Depot, with many meetings continuing to be recorded on YouTube for the benefit of a wider audience than those able to be present in person. The Friends’ programme of visits to places of transport and general interest continued with much enthusiasm from members.

The sales of donated goods at the Acton Depot and at external events achieved excellence results. The year’s total income from this source amounted to over £34,000.

Friends continued their support for various Museum projects, including the Q-stock restoration (as mentioned above); the Heritage Underground Engineering display at the Acton Depot; and the preparation off the Museum’s heritage vehicles for attendance at the resumed programme of outside events.

7

LONDON TRANSPORT MUSEUM FRIENDS

TRUSTEES’ REPORT FOR THE YEAR ENDED 31 MARCH 2023, continued

Future Expenditure Plans

Ahead of each new financial year, a detailed selection of projects are proposed by the Museum’s management for which the Friends’ funding is provisionally agreed. That process, whilst intellectually robust, does suffered, in practice, from project slippage as timescales are often impacted by curatorial resource constraints and other issues.

For 2024/25, the Friends have ongoing funding commitments for the following Museum projects, totalling £761,000:-

Q-stock (budget for the major contractor’s work): £546,000 Other heritage train restorations and operations: £20,000 Heritage bus restoration and operations: £45,000 Support of the Museum’s community activities: £57,000 Support for additional curatorial technicians: £60,000 Matched funding for bids to other sponsors £33,000

The Museum has also been advised that further Friends’ funding is potentially available for other projects, provided detailed plans, including detailed timings, are submitted for consideration. A further amount of £30,000 is available for 2024/25, if suitable projects can be identified in this way.

STATEMENT AS TO DISCLOSURE OF INFORMATION TO INDEPENDENT EXAMINER

In so far as the trustees are aware at the time of approving the Trustees’ Annual Report

signed: M Southgate Chairman of the Board of Trustees Dated: 15[th] July 2024

8

LONDON TRANSPORT MUSEUM FRIENDS

STATEMENT OF TRUSTEES’ RESPONSIBILITIES

FOR THE YEAR ENDED 31 MARCH 2024

The trustees are responsible for preparing the accounts in accordance with applicable law and United Kingdom Generally Accepted Accounting Practice.

Law applicable to charities in England and Wales requires the trustees to prepare financial statements for each financial year which give a true and fair view of the CIO’s financial activities during the year and of its financial position at the end of the year.

In preparing accounts giving a true and fair view, the trustees should follow best practice and:

The trustees are responsible for keeping accounting records that disclose with reasonable accuracy the financial position of the CIO and which enable them to ascertain the financial position of the CIO and which enable them to ensure that the financial statements comply with the Charities Act 2011. They are also responsible for safeguarding the assets of the CIO and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

9

LONDON TRANSPORT MUSEUM FRIENDS

INDEPENDENT EXAMINER’S REPORT TO THE TRUSTEES

I report to the trustees on my examination of the accounts of London Transport Museum Friends CIO for the year ended 31[st] March 2024.

Responsibilities and basis of report

The CIO’s trustees are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (the Charities Act).

I report in respect of my examination of the CIO’s accounts carried out under section 145 of the Charities Act 2011 and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent examiner’s statement

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving 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 this report in order to enable a proper understanding of the accounts to be reached.

signed: Amy Beecroft , FCA Chartered Accountant 19 Newton Road Lindfield Haywards Heath West Sussex RH16 2NB

Dated: 14[th] July 2024

10

LONDON TRANSPORT MUSEUM FRIENDS

STATEMENT OF FINANCIAL ACTIVITIES

FOR THE YEAR ENDED 31 MARCH 2024

Income and
endowments
Donations, legacies &
membership fees
Investment Income
Total income
Expenditure on:
Investment &
management costs
Charitable activities:
Grants bequeathed
Fund raising
Visits & talks
Total expenditure
Net income and
movement in funds
Funds brought
forward
1st April 2023
Funds carried
forward
Note
4
5
6
UNRESTRICTED
FUNDS
2023/24
£
118,555
9,581
128,136
33,513
79,202
2,076
10,459
91,737
125,250
2,886
378,639
381,525
RESTRICTED
FUNDS
2023/24
£

11,885
13,576
25,461
600
68,399
-
-
68,399
68,999
(43,538)
426,440
382,902
TOTAL
FUNDS
2023/24
£
130,440
23,157
153,597
34,113
147,601
2,076
10,459

160,136
194,249
(40,652)
805,079
764,427
TOTAL
FUNDS
2022/23
£
132,543
7,501
140,044
54,309
51,194
1,795
8,410
61,399
115,708
24,336
780,743
805,079

11

LONDON TRANSPORT MUSEUM FRIENDS

BALANCE SHEET AS AT 31 MARCH 2024

CURRENT ASSETS
Debtors
Short Term Deposits
Cash at Bank and in Hand
CURRENT LIABILITIES
Creditors
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT
LIABILITIES
CAPITAL AND RESERVES
Fund Balances
Note
8
9
10
11
Unrestricted
Funds
2024
£
4,309
388,072
123,081
515,462

133,937
381,525
381,525
381,525
Restricted
Funds
2024
£
8,111
451,543
(11,851)
447,803

64,901

382,902

382,902

382,902
Total
Funds
2024
£
12,420
839,615
111,230
963,265
198,838
764,427
764,427
764,427
Total
Funds
2023
£
13,390
773,743
113,161
900,294
95,215
805,079
805,079
805,079





Notes at pages 15 to 18 form part of these accounts

Approved by the trustees on 15[th] July 2024

signed: DWMartin FCA Treasurer & Trustee Dated: 15[th] July 2024

12

LONDON TRANSPORT MUSEUM FRIENDS

STATEMENT OF CASH FLOWS

FOR THE YEAR ENDED 31 MARCH 2024

Notes




Net cash used in operating activities
Interest received
Net cash provided by financial activities
Change in cash and cash equivalents in the year
Cash and cash equivalents brought forward
Cash and cash equivalents carried forward
12




Total
Funds
2023/24
£



(25,088)
23,157
(1,931)
(1,931)
113,161
111,230





Total
Funds
2022/23
£
(47,174)
7,501
(39,673)
(39,673)
152,834
113,161







13

LONDON TRANSPORT MUSEUM FRIENDS

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31 MARCH 2024

1. TRUSTEES’ RESPONSIBILITIES

The trustees acknowledge their various accounting responsibilities, in particular the requirements to maintain proper and accurate accounting records and the need to safeguard assets and take reasonable steps for the prevention and detection of fraud and other irregularities. In addition, the trustees also acknowledge their responsibility for the Financial Statements, which have been prepared from the accounting records.

The Financial Statements are required to give a true and fair view. To achieve this, the trustees have chosen accounting policies suitable to a charity, applied them consistently and made judgments on estimates that they consider prudent and reasonable. The trustees have applied the going concern basis of accounting, which they consider appropriate in the circumstances.

2. ACCOUNTING POLICIES

Accounting Convention

The Financial Statements have been prepared under the historical cost convention in accordance with Accounting and Reporting by Charities: Statements of Recommended Practice applicable to charities in the UK and Republic of Ireland (FRS 102), – (Charities SORP (FRS 102)), the Financial Reporting Standards applicable in the UK and Republic of Ireland (FRS 102).

Assets

The Friends owns a painting of an AEC Routemaster bus crossing Westminster Bridge painted by David Shepherd which has been valued at £32,300 but is shown in these accounts at no cost. This was gifted to the Friends of the London Transport Museum and then, on the latter’s closure on 31 December 2019, was transferred at no cost to the London Transport Museum Friends CIO. It has subsequently been loaned to the Museum.

3. CHARITABLE STATUS

The charity “London Transport Museum Friends CIO”, is an incorporated charitable organisation, which was registered as a charity (No.1185277) on 12 September 2019 and commenced operations with effect from 1 January 2020.

14

LONDON TRANSPORT MUSEUM FRIENDS

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31 MARCH 2024

4. INVESTMENT AND MANAGEMENT COSTS

Unrestricted
Funds
2023/24
£

Magazine
20,070

Office expenses
12,927
Accountancy
516
33,513
5.
CHARITABLE ACTIVITY – GRANT MAKING
Restricted
Funds
2023/24
£
Total
Funds
2023/24
£
-
20,070
600
13,527
-
516
600
34,113
Total
Funds
2022/23
£
35,680
18,117
512
54,309
Grants to the London
Transport Museum
Grant to the London
Metropolitan Archives
Unrestricted
Funds
2023/24
£
79,202
-
79,202
Restricted
Funds
2023/24
£
68,399
-
68,399
Total
Funds
2023/24
£
Total
Funds
2022/23
£
147,601
-
147,601
43,694
7,500
51,194

Grants to the Museum were in direct support of artefact purchases, conservation and education projects, but not towards the Museum’s running costs.

6. CHARITABLE ACTIVITY - FUNDRAISING

Publicity material and website Unrestricted
Funds
2023/24
£
2,076
Restricted
Funds
2023/24
£
Total
Funds
2023/24
£
Total
Funds
2022/23
£
-
2,076
1,795

15

LONDON TRANSPORT MUSEUM FRIENDS

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31 MARCH 2024

7. TANGIBLE FIXED ASSETS ( Computer Equipment)



Cost brought forward at 1stApril 2023
Scrappage for no value
Accumulated Depreciation
Net Book Value at 31stMarch 2024



8.
DEBTORS
Reimbursement by the Museum of volunteers’ expenses
Interest receivable

VAT refund due
Sundry prepayments
2024

£

2,070
2,070
-
-

2024
£
-
10,108
1,461
851
12,420
2023
£
2,070
-
2,070
-
2023
£
8,555
3,636
320
879
13,390

9. SHORT TERM DEPOSITS

Short Term Deposits are held mainly in respect of the Heritage Trains Fund Restoration Appeal and future conservation grants and will be released in stages as projects proceed.

10. CREDITORS



Individual members’ subscriptions attributed
to 2024/25
Grants to the Museum
Grant to London Metropolitan Archives
Visit fees received in advance
Gift Aid
Bank charges
Sundry accruals

2024
£


32,109
144,466
7,382
1,241
6,812
375
6,453
198,838














2023
£
32,396
44,578
7,500
2,245
6,812
323
1,361
95,215

11. FUND BALANCE

The unrestricted funds are available to be spent for any of the purposes of the charity. The Heritage Trains Fund Restoration Appeal Fund (Restricted Income Fund) was opened in 2001 with a £100,000 bequest from the Estate of the late Bob Greenaway and has been designated restricted by the Trustees as further contributions have and are being received specifically to facilitate the Heritage Trains Restoration.

16

LONDON TRANSPORT MUSEUM FRIENDS

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31 MARCH 2024

12. RECONCILIATION OF NET MOVEMENT IN FUNDS TO NET CASH FLOW FROM OPERATING ACTIVITIES

Net movements in funds

Interest income shown in investing activities

Decrease (increase) in debtors

(Increase) decrease in short term deposits

Increase (decrease) in creditors

Net cash used in operating activities





2023/24
£
(40,652)
(23,157)
970
(65,872)
103,623
(25,088)





2022/23
£
24,336
(7,501)
(4,026)
(10,343)
(49,640)
(47,174)

17

LONDON TRANSPORT MUSEUM FRIENDS

INCOME AND EXPENDITURE ACCOUNT

FOR THE YEAR ENDED 31 MARCH 2024

INCOME & ENDOWMENTS
Donations, and legacies
Individual Membership Fees
Gift Aid
OTHER INCOME
Bank interest
TOTAL INCOME
OVERHEADS
Visits and talks
Direct charitable expenditure
Insurance
Committee expenses
Printing of magazine
Publicity material and Website
Stationery
Postage
Subscriptions
Bank charges and transaction fees
Accountancy
SURPLUS/(DEFICITY) OF INCOME OVER
EXPENDITURE
SURPLUS OF INCOME OVER EXPENDITURE
BROUGHT FORWARD
SURPLUS OF INCOME OVER EXPENDITURE
CARRIED FORWARD







2023/24
£
10,459
147,601
2,901
2,219
20,070
2,076
1,169
2,921
258
4,059
516



2023/24
£
50,639
67,853
11,948
_
130,440
23,157
23,157
153,597
194,249
(40,652)
805,079
764,427













2022/23
£
55,058
64,863
12,622
_
132,543
_7,501
7,501
140,044
8,410
51,194
3,303
6,480
35,680
1,795
1,469
2,732
275
3,858
512
115,708
24,336
780,743
805,079

18

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