FISH VOLUNTEER CENTRE (Reg. Charity No. 1189325) Treasurer’s Report 2022-23
For the period April 2022 – March 2023
FISH Volunteer Centre, charity number 1189325, is an incorporated charity with a gross income of less that £250,000 per annum. The annual accounts are reported as Receipts and Payments with a year-end assets and liabilities statement.
INCOME
During 2022-2023 the income was £60,021.61. This is approximately 5% higher than the previous year 2021-2022 where the income was £57,410.
Most of this increase came from an increase in minibus income from £7862 (2021-2022) to £11,569 (2022-2023). This was mainly as a result of more fares and use of more SODC bus passes as COVID restrictions ceased.
The car driving income was steady at £7712 for the year; compared with £8804, £7,900 and £8,261 in previous years.
As in previous years a large part of our income came from donations.
With no funds in a savings account there was no bank interest. A new investment account was set up in April 2023 with the United Trust Bank.
PAYMENTS for the year were £17,023.76, £3,037.52 (15%) less than the previous year total of £20,061.28.
The only staff costs to pay were very small as we no longer employ an office manager. This led to a saving of £2943.64.
Miscellaneous items costs include two new wheelchairs and a vacuum cleaner. We have also purchased two new computers and headsets, and a new storage cupboard.
The resulting SURPLUS for the year April 2022 – March 2023 was £42,997.85.
The bank balance at the end of the year was £126,921.73 with petty cash of £405.
This allows RESERVES as follows: New minibus Reserve: £65,000; IT Reserve: £15,000; and an Operational Reserve of £10,000. This leaves £37,442 in the general fund.
NOTES
In May 2023 we submitted our accounts to HMRC at their request.
We are in the process of applying for Gift Aid.
In 2023-24 there are plans for a new financial and data record system, but no other major outgoings are currently being considered
Treasurer: Helen Fitchett 12[th] July 2023
FISH Vo
Receipts
Car Service Minibus
Other Donations
Other Income
Payments Direct Charitable Expenditure
Car Service
Minibus
Office Expenses
Other Expenditure
Operating Surplus/Deficit for Year
St
Monetary Assets Bank and Cash Balances Natwest Current Account (New) Cash
Total for general purposes funds as above
Assets retained for the Charity's own use Minibus
Signed: ….............................................
Treasurer
olunteer Centre Accounts for the year ended 31st March 2023 Receipts and Payments Account Charity number 1189325
| Charity number 1189325 | |
|---|---|
| 2022 | |
| (Apr 1 | |
| £ | |
| Donations through Car Drivers | 7,712.05 |
| Fares | 2,849.00 |
| Other Hire | 410.00 |
| SODC Bus Passes | 6,430.00 |
| Bus Sponsorship | 1,450.00 |
| Dept. for Transport – Fuel Rebate | 429.79 |
| Regular Donations | 2,975.00 |
| Donations | 36,973.75 |
| Theatre Trips | 123.75 |
| Tea Parties | 668.27 |
| Gift Aid | 0.00 |
| Deposit Interest | 0.00 |
Total
| Drivers Expenses | (3,980.29) |
|---|---|
| Fuel | (2,183.60) |
| Servicing and Repairs | (715.95) |
| Tax and Insurance | (1,409.39) |
| Other | (151.00) |
| Council Tax, Utilities, Cleaning | (2,299.94) |
| Staff Costs | (43.20) |
| Broadband, Phone | (445.42) |
| Stationery | (503.30) |
| Computer Expenses | (1,317.96) |
| Sundries | (555.47) |
| Tea Parties | (1,469.82) |
| Equipment | (454.98) |
| Newsletter | (450.00) |
| Miscellaneous | (1,043.44) |
Total
tatement of Assets and Liabilities as at 31st March 2023
3
| 2-2023 | 2021-2022 | 2021-2022 | ||
|---|---|---|---|---|
| - Mar 31) | (Apr 1 - Mar 31) | |||
| £ | £ | £ | ||
| 7,712.05 | 8,804.60 | 8,804.60 | ||
| 1,167.00 | ||||
| 93.10 | ||||
| 4,822.50 | ||||
| 1,350.00 | ||||
| 11,568.79 | 429.79 | 7,862.39 | ||
| 2,791.00 | ||||
| 39,948.75 | 37,168.46 | 39,959.46 | ||
| 368.90 | ||||
| 370.28 | ||||
| 0.00 | ||||
| 792.02 | 45.00 | 784.18 | ||
| 60,021.61 | 57,410.63 | |||
| (3,980.29) | (4,240.18) | (4,240.18) | ||
| (1,162.54) | ||||
| (138.00) | ||||
| (1,818.28) | ||||
| (4,459.94) | (1,030.47) | (4,149.29) | ||
| (2,727.81) | ||||
| (2,986.84) | ||||
| (122.98) | ||||
| (627.57) | ||||
| (261.92) | ||||
| (5,165.29) | (3,222.40) | (9,949.52) | ||
| (368.90) | ||||
| (251.83) | ||||
| (450.00) | ||||
| (3,418.24) | (651.56) | (1,722.29) |
| (17,023.76) 42,997.85 2023 £ 126,921.73 404.85 127,326.58 |
(20,061.28) |
|---|---|
| 37,349.35 | |
| 2022 £ 84,133.68 195.05 |
|
| 84,328.73 |
Date: …......................................
CHARITY COMMISSION FOR ENGLAND AND WALES Independent examinerfs report on the accounts Section A Independent Examiner's Report Report to the trustees 15M GEr On accounts for the year ended 34.5.£3 Charity no (If any) 11¥9 S- Sot out on pages I report to the tnjstees on my examination of the accounts of the above chanty (kne Trusf) for the year ended As the thaiiivs trustees. you are responsible for Ihe preparation of the accounts in acc¢xdance Vaith the requirements of the Charities Act 2011 (kne Acl"). Responsibilities and basls of rèport I r8FQrt in respect of my examinats'on of the Trust's accounts carried out under section 145 of the 2011 Act and in carying out my examination. I have followed all the applicable Directions given by the Charity Commission under 8e¢tlon 145(5Kb) of the Act. Independent •xamlnerfs ststement -appl. Delate I l rfnot applicable. I have completed my examin*ion. I confimi that no material matters have come lo rny attention in connection with the examination4oUw -d1. which gives me cause to b81iev8 that in. any material respect.. the accounting rea)rds were not kept in accx)rdarTh viith section 130 of the Charrties Act: or the aco)unts did not ac1 vith the accounting records. or the accounts did not comply wtth th8 applTrcable requirements conceming the form and content of accounts s8t out in the Chariti8S (Accounts and Reports) Regulations 2008 other than any r8quir8ment that the accwnts give a 'true and fairf view bthich is not a matter considered as part of an independent examination. I have no concems and have come a(xoss no other matters in connecth)n with the eXaMinatn to which attention should b8 drawn in this report in order to enable a proper understanding of the accounls to be reached. ' Please delete thg words in the brackets if they do not apply. Slgned: Name: Relevant professlonal qualification(s) or body IER Oct 2018