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2022-04-10-accounts

Combeposters Trustees’ Annual Report May 2021 to April 2022

1. Name, Address and Trustees

Name: Combeposters Registered Charity Number: 1187222 Address: Silver Springs, Buzzacott Lane, Combe Martin, ILFRACOMBE, EX34 0LB

Trustees during this period: Sara Bennett Elisabeth Byne-Grey Desmond Mottram Jaqueline Smith

2. Structure, Governance and Management

Combeposters is a CIO, governed in accordance with an approved constitution (association model) dated 6[th] January 2020.

Induction and training of trustees is informal, following the guidance provided by the Charity Commission website. No formal policies have been adopted.

3. Objectives and Activities

The objects of Combeposters are set out in the governing document as follows:

The activities of Combeposters in this period have been:

The trustees have complied with their duty to have due regard to guidance on public benefit published by the commission.

4. Achievements and Performance

During the period covered by this report Combeposters has set up a new site, and collected and sold approximately 1.6te of woodchip mulch (sourced from local residents) earning £180 for the charity.

Donations totalling £144.83 have been made to Combe Martin community organisations.

5. Financial Review

The bank balance at the end date of this report was £1532 This balance is reserved in three funds:

Exceptionally, subject to approval by the trustees and the executive committee, Sales and Recycling Credits may be used for expenditure required by another fund. Grants may only be used for the specified expenditure. None of these funds is currently in debt.

INCOME EXPENDITURE

COUNCIL FUNDING
COUNCIL GRANT For new site refurbishment
COUNCIL GRANT “ “ “
RECYCLING CREDITS
Sept 20 – Mar 21 (Received Oct 21)
April 21 –Mar 22 (Received April 22)
PLANT SALES
WOODCHIP SALES

TOTALS
DONATIONS

260.00
To Museum
44.83

354.00
New planters
100.00
[ For High ST / Spurway Gardens ]
INSURANCE
187.06
41.05
SHREDDING & MOWING
205 00
54.38
MISCELLANEOUS PURCHASES
51.97
6.00
SITE SETUP
2485.50
86.00
_ ___
801.43
3074.36

BALANCE SHEET 2021 - 2022

End May 2021 OPENING BALANCE 3805.10
INCOME 801.43
EXPENDITURE 2929.53
DONATIONS 144.83
End April 2022 CLOSING BALANCE 1532.17

Cash in bank 1532.17 Petty cash 20.53