CHARITY
COMMISSION
Trustees, Annual Report
foi the period
Fmm tsiart d*)
to {eThJ d*)
UUDFJ
Section A
Reference and administration details
Charity name
CH£LMSIL)Kl) LJ Ohjs c
othef names the (hèiity ts kniowft by
egi5teFed dHIAy number frf anv)
chaiitys prirKpl adthess
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Natnes of the chaiity tru5&es wlNy thÈ d*nty
IAa*e dperson (or body)
e￿Illed to appoint
t￿￿et (rf any)
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11
12
13
14
15
16
17
18
19
30
Names of the trustees for the (toidy. il a¥ry (forexanwl¢ any lThsteeg
Da•Ès *ted It*rt for year

Section A
Reference and administiation details (continued)
Names and athJresse5 01 advisers (optional information)
Type ol adviser
Nome
Name of chief executive or names ol seniof stsff members
tional inlormth.on
Section B
structure, governance and management
Description of the tharity's Itusts
Type ol goveming document
(eg trust deed. con51itutbJn
CC*frlSfifM o
How the chaiity is constituled
{eg trusL assotialion, company)
Trustee seleclion rfteihod5
(eg appointed by, eleited by)
AfÉb A*klQALLq AT
Additional governance issues (optional information
You ch005e to include additional
information. where relevant. about..
MEM6é£5MIP OF 114E IS oP&i Te
policies and procedures adopted foi the
OK'klL 18 OF MAIiAL ANb fi•¢b
induction and training of trustees..
. the (haritvs oiganisational sttudufe and any
wider network with which the thaiity works:
relationship with any felated parties;
. trustees, consideiation of ffla1￿ risks
syslem and procedu￿$ to manage the
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Alaffh 2012

Section C
Obje(tives and a(tivities
Summaiy of the obieits ol the charity Set
out in its goveining document
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5umrftory ol the main activities
un¢Jerlaken foi the public benefit in relation
to these objerts (include within this seclion
the statutory declaration that tTUStees have
had iegard to the guidance issued by ihe
charity Commission on public benefit)
lfvl fvL 111£ ¥ÉAL LJE
C&LLéLrfia .( £p£LThcLGT oJfLeis raL
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Additional details of objectives arK1 activities (optional informalion)
You may thoose to indude lurther
statements, where ielevant, about-
kJL t48É 4RA<<fvts FJL ruc H￿1 UJJi& 0￿￿
14*VA ￿lfil Tll6 LoCAL CthHYJAir4
' policy on grantmaking:
. poIi(y Programme rekted investmenL"
. contributi¢)n made by voknnteers.
o r fi4T
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TrÉ%ÉARE RESTMLfjcAS POLIC
HELMSF￿% AAt> IAG ARtrAS
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Section D
Achievements and performanie
mmaiy of the main achievemenls of the
charrty during the year
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Mardb 2012

Section E
Financial review
Brief statement of the
thafity's policy on reserye5
li WAS
<Jr4bC
RIS'K .
Irf L)N￿LL TO A<RAp44£ IUI£ IA
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Details ol any fund5 materiany in defiat
Further financial review details (optional infomiation)
You moy dMTrose to indude addilional
inlormalion, where ielevanL aboul:
the charily's principal sources ol funds
{including any fundraising)..
- how exP￿dIture has suw>orted the key
obiedives of the tharFtr,
. investrnent policy and obwbve5 indudlng
ny ethi&il invesiment poli(y adopte
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Co l&-IVifjik£ fvfv¥J RE&JESfS
hEDifAL
Section F
other Optional information
Section G
Declaiation
The liustees dectsie that they have approved the tiustees, iepott above
Si9ned on belNalF ol the chaiily's trU￿ee5
Signature(s)
JR nane(s)
LM T)EIi4UC¥_
Position (eg Se(ie&wy. (haw, etc)
DEJUBEFJ
TAR
March 2012

**CHELMSFORD LIONS CIO HALL ACCOUNT 01JUL2020-30JUN2021** 

|||**SUMMARY**|**SUMMARY**|**£**|C|
|---|---|---|---|---|---|
|||||||
|**Balance b/fwd 01/07/2020**||||3,346.62||
|Income<br>Expenditure||||11,498.08<br>5,229.56||
|**Balance c/fwd 30/06/2021**||||9,615.14||
|Debtors<br>Commitment||||165.00||
|**Balance Available**||||9,450.14||
|||||||
|**INCOME**<br>Hall Hire<br>Electricity Meter<br>Electricity Refund<br>Local Authority Grant<br>Bank Incentive payment<br>**TOTAL**<br>**DEBTORS**<br>Christian Embassy<br>Chelmsford Lionesses<br>Prayer Session<br>Gate of Heaven<br>**TOTAL**||**£**<br>90.00<br>22.00<br>136.08<br>10,000.00<br>1,250.00<br>11,498.08<br>0.00<br>0.00<br>0.00<br>0.00<br>0.00||**EXPENDITURE**<br>Electricity<br>Water<br>Fire Extinguisher Annual service<br>Hall Repairs<br>Insurance<br>Bank Charges<br>Lion charity A/C<br>Lion Admin A/C<br>**TOTAL**<br>**COMMITMENTS**<br>Prepaid-New Elizabethan Lodge<br>Prepad-Gateof Heaven<br>**TOTAL**<br>**ACCOUNTS BREAKDOWN**|**£**<br>120.00<br>66.67<br>181.86<br>2,760.00<br>218.93<br>12.10<br>500.00<br>1,370.00|
||||||5,229.56<br>105.00<br>60.00|
||||||165.00|



Page 2 



**CHELMSFORD LIONS CIO Lioness Admin Account** 

**1st July 2020 - 30th June 2021** 

|||**SUMMARY**<br>**£**|**SUMMARY**<br>**£**|**SUMMARY**<br>**£**|**SUMMARY**<br>**£**|||
|---|---|---|---|---|---|---|---|
|||||||||
|**B**|**alance b/fwd 01/0**|**7/2019**||281.39||||
|Income<br>Expenditure||||972.00<br>1,253.39||||
|**B**|**alance c/fwd 30/0**|**6/2020**|||0.00|||
|Debtors<br>Commitment||||||||
||**Balance Av**|**ailable**|||0.00|||
|||||||||
|**Income**<br>Subscriptions<br>Christmas Bingo<br>Donation<br>Refund from Lions for Charter<br>President's Present<br>Total Income||||£<br>570.00<br>2.00<br>50.00<br>300.00<br>50.00|**Expenditure**<br>Multi District Dues<br>Lions Hall Hire<br>Presidents present<br>Prizes for Christmas Bingo<br>Transfer donation<br>Donation to retiring Lioness chairman<br>Donation to retiring Conference Coordinator<br>Balance transfer to Chelmer Ladies Club<br>Total Expenditure<br>**ACCOUNTS BREAKDOWN**||£<br>468.00<br>90.00<br>100.00<br>20.00<br>50.00<br>25.00<br>25.00<br>475.39|
|||||||||
|||||972.00||||
||||||||1,253.39|



Page 3 



**CHELMSFORD LIONS CIO Lioness Charity Account 1st July 2020- 30th June 2021** 

||**SUMMARY**<br>**£**|**SUMMARY**<br>**£**|
|---|---|---|
||**Balance b/fwd 01/07/2020**|209.61|
|Income<br>Expenditure<br>Donations||(2,526.63)<br>2,401.00<br>(83.98)|
||**Balance c/fwd 30/06/2021**|0.00|
|Debtors<br>Commitment|||
||**Balance Available**|0.00|



|||**ACCOUNTS BREAKDOWN**||
|---|---|---|---|
||**Income**|£<br>**Expenditure**|£|
|Sponsored Bike ride||930.00<br>Repairs to Gazebo|-28.98|
|Refund for Jumble sale|03/20|101.50<br>Helen Rollason christmas draw|-10.00|
|Donations||345.00<br>Catholic Womens League re zoom licence|-25.00|
|MacMillan Coffee Morning||317.00<br>Essex Air ambulance Christmas draw|-20.00|
|Share Lions Sleigh run|profits|707.50||
||||(83.98)|
|||**Grants & Donations**||
|||Mcmillan Cancer Support|(350.00)|
|||Farleigh Hospice|(870.00)|
|||2,401.00<br>LCI Brain Tumour Appeal|(400.00)|
|||Chess|(200.00)|
|||Support Dogs|(200.00)|
|||Huntingdons Disease Association|(200.00)|
|||The Willow Trust|(50.00)|
|||Safer Places|(200.00)|
|||Stroke Association|(56.63)|
|||Total|(2,526.63)|
|||||



Page 4 



**CHELMSFORD LIONS CIO Lions Charity Account 1st July 2020 - 30th June 2021** 

|||**Summary**|**Summary**||**£**|||**£**<br>(30.00)<br>(10.00)<br>(10,000.00)<br>(9.90) This ia a monthlydirect debit payment error of £3.30 commencing in April to be refunded.<br>(176.25)<br>(40.00)<br>(367.50)<br>(10,633.65)<br>(1,093.18)<br>(100.00)<br>(100.00)<br>(200.00)<br>(220.00)<br>(200.00)<br>(200.00)<br>(200.00)<br>(380.00)<br>(783.75)<br>(426.25)<br>(675.75)<br>(364.25)<br>(327.50)<br>(707.50)<br>(460.00)<br>(100.00)<br>(260.00)<br>(250.00)<br>(432.50)<br>(1,376.00)<br>(1,376.00)<br>(460.00)<br>(153.75)<br>(250.00) Cheque not cashed at 30/06/21<br>(250.00) Cheque not cashed at 30/06/21<br>(100.00) Cheque not cashed at 30/06/21<br>(250.00) Cheque not cashed at 30/06/21<br>(100.00) Cheque not cashed at 30/06/21<br>(460.00) Cheque not cashed at 30/06/21<br>(12,256.43)<br>(200.00)<br>(500.00)<br>(250.00)<br>(950.00)|
|---|---|---|---|---|---|---|---|---|
||**Balance b/**|**fwd 01/07/2020**|||14,027.04||||
||Income<br>Expenditure<br>Donations||||13,596.64<br>(10,633.65)<br>(12,256.43)||||
||**Balance c/**|**fwd 30/06/2021**|||4,733.60||||
||Debtors<br>Commitments||||||||
||**Bal**|**ance Available**|||4,733.60||||
||||||||||
||**Income**<br>Xmas Float<br>Just Giving donations<br>Quiz<br>MIAB<br>Gift Aid<br>Donations<br>Farleigh Tree Recycling<br>Closure of 100 club<br>T/f from Hall account<br>Charity t/f from admin a|ccount|||**ACCOUNTS BREAK**|Ambassador<br>Raffle tickets<br>Business Gra<br>Bauer Media<br>Insurance an<br>Quiz Wimnn<br>Gift aid Subs<br>Farleigh Hos<br>Essex Landro<br>PKD<br>Lionesses St<br>Riding for th<br>Royal society<br>Chelmsford<br>Chelmsford<br>Asthma relie<br>Helen Rollas<br>Havens Hosp<br>Barrow Farm<br>New City WI<br>Chess<br>Chelmsford<br>Sanctus<br>Hearing Dog<br>Essex & Her<br>LCIF Lebano<br>Families in F<br>Guide Dogs<br>Interact<br>Helping Han<br>Mayors Char<br>Next Chapter<br>Safer Places<br>Chelmsford<br>Lions LCIF I<br>Lions DG Ap<br>North and M<br>**Cheques not**<br>**DOWN**|**Expenditure**<br>Youth  Award<br> <br>nt to Hall A/c<br>Consumer<br>d Youth<br>ers<br>t/f to Admin/Account<br>**Donations**<br>pice<br>ver<br>atic bike Ride<br>e disabled<br>for Blind<br>Community Transport<br>City Mencap<br>f<br>on<br>ice<br> <br> <br>Lionesses<br>s<br>ts Ambulance<br>n appeal<br>ocus<br>ds<br>ity<br> <br>Young Gen<br>ndia Appeal<br>peal<br>id Essex Mind<br>**cashed from 2019/20**<br>urses<br>ross|**£**<br>(30.00)<br>(10.00)<br>(10,000.00)<br>(9.90) <br>(176.25)<br>(40.00)<br>(367.50)|
||||||£<br>3,980.91<br>977.64<br>58.76<br>56.33<br>2,743.73<br>257.00<br>4,128.37<br>691.90<br>500.00<br>202.00<br>13,596.64||||
|||||||||(10,633.65)|
|||||||||(1,093.18)<br>(100.00)<br>(100.00)<br>(200.00)<br>(220.00)<br>(200.00)<br>(200.00)<br>(200.00)<br>(380.00)<br>(783.75)<br>(426.25)<br>(675.75)<br>(364.25)<br>(327.50)<br>(707.50)<br>(460.00)<br>(100.00)<br>(260.00)<br>(250.00)<br>(432.50)<br>(1,376.00)<br>(1,376.00)<br>(460.00)<br>(153.75)<br>(250.00) <br>(250.00) <br>(100.00) <br>(250.00) <br>(100.00) <br>(460.00)|
|||||||||(12,256.43)|
|||||||||(200.00)<br>(500.00)<br>(250.00)|
|||||||<br>Macmillan N<br>British Red C<br>Mind<br>Total|||
|||||||||(950.00)|
||||||||||



Page 5 



**1st July 2020 - 30th June 2021** 30th 

## **CHELMSFORD LIONS CIO Lions Admin Account** 

||**SUMMARY**<br>**£**|**SUMMARY**<br>**£**|
|---|---|---|
|**Balance b/fwd 01/07/2020**||603.99|
|Income<br>Expenditure||3,479.75<br>(2,338.73)|
|**Balance c/fwd 30/06/2021**||1,745.01|
|Debtors<br>Commitment|||
|**Balance Available**<br>1,745.01|||



|**Income**<br>Subscriptions<br>Transfer from Hall A/c<br>Gift Aid<br>Insurance||£<br>**Expenditure**<br>1,566.00<br>Capitation<br>1,370.00<br>Multiple district 105<br>367.50<br>District 105EA<br>176.25<br>International<br>Youth and Insurance<br>Other<br>Charter Deposit<br>3,479.75<br>Regalia<br>Website<br>Zoom use<br>T/f to Charity<br>**ACCOUNTS BREAKDOWN**|£<br>(684.00)<br>(96.00)<br>(752.83)<br>(160.25)|
|---|---|---|---|
|||£<br>1,566.00<br>1,370.00<br>367.50<br>176.25<br>3,479.75||
||||(1,693.08)<br>(300.00)<br>(42.65)<br>(76.00)<br>(25.00)<br>(202.00)|
|||||
||||(2,338.73)|



Page 6 



**CHELMSFORD LIONS CIO Overall Summary July 1st 2020 - 30th June 2021** 

## **SUMMARY** 

|**SUMMARY**|**SUMMARY**|**SUMMARY**|
|---|---|---|
||**£**||
||**Balance b/fwd 01/07/2020**|18,468.65|
||Income<br>Expenditure<br>Donations|31,947.47<br>(14,783.06)<br>(19,539.31)|
||**Balance c/fwd 30/06/2021**|16,093.75|
||Debtors<br>Commitment|165.00|
||**Balance Available**|15,928.75|



## **ACCOUNTS BREAKDOWN** 

|**ACCOUNTS BREAKDOWN**|**ACCOUNTS BREAKDOWN**|**ACCOUNTS BREAKDOWN**|**ACCOUNTS BREAKDOWN**|
|---|---|---|---|
|**Income**<br>Lions Admin Account<br>Lions Charity Account<br>Hall Account<br>Lioness Admin Account<br>Lioness Charity Account<br>Total|3,479.75<br>13,596.64<br>972.00<br>2,401.00<br>31,947.47<br>11,498.08|**Expenditure**<br>Lions Admin Account<br>Lions Charity Account<br>Hall Account<br>Lioness Admin Account<br>Lioness Charity Account<br>Total<br>**Donations**<br>Lions<br>Lionesses<br>Total|(2,338.73)<br>(10,633.65)<br>(5,229.56)<br>(1,253.39)<br>(83.98)|
||||(19,539.31)<br>(12,256.43)<br>(2,526.63)|
||||(14,783.06)|



Page 1 



Independent Examinerf3 Report to the Trustees of the Chelmsford Lions CIO for tho
Year ending 30 June 2021
I report to the trustees on my examination of the accounts of the atove charity {'the Trust,) for the year
ended 30th June 2021.
Responsibilities and basis of the report
As the charity trustees of the trust, you are responsible forthe preparation of the accounts in accordance
wilh the requirements of the Charibes Act 2011 {'the ACY).
I report in respect of my examination of the TTusYs accounts carried out under section 145 of the 2011
Act and in carrying out my examinab"on, I have followed the applicable Directions given by the Charity
Commission under section 145{5llb) of the Act
Independent examineVs statement
I have completed my examinab"on. I confim) that no material matters have come to rny attention in
conneetson with the examination which gNes me cause to believe that in. any material respect".
accounting records were not kept in accordance wrth section 130 of the Act or
the accounts did not accord with the accounting records
I 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.
A. Liver5edge ACIB
15 Barnaby Rudge
Chelmsford
CM14YG
28* December 2021