FI8H Volunt•qrC•ntr• A¢¢ounts fortho swr8nd•d 31•t Mar¢h 2W26 sand arlty num onts Account 1189325 1112.fN) $70.00 7M51.T5 1,1.00 e13.55 1740. 11.598.02 825755 1.705 4alW4 lo.34 2$59. 16.4275D t&39& 114tt 0,3.53 18M4.34 S16? Total $12Jt12 •70Ats 4?1$$ 4th Q.1EaA9 4,IW 12 4rw4J 4,72IS2 4101.53 ..88 4.721.92 EW¥ 4m37 -1,001.QD 4.63987 o.oo OBAO -fOQO -18.0) -1.7F4JF Q.&YY.45 453723 L12 -55) -1.035.QQ nory 12ty2tsWBTUMwui0 11 415.75 -783.4S Q7261 -1,776JJ Totil -20.318> IM16a4 rU$lon 00 FvndR•&i¥ QrnnLi¢r•hd o. Statèmgnt ofA88ets aThJ LiabHttk* ¥ at 31¥t MarGh 2026 20 g.375. 4.54gA4 81.640.7É .76PAg f5Jh) F8.244.87 Y4186.2A os
CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to the trustees FIS14 On accounts for the year ended Charlty no Irf any) Ilf¥SZ> Set out on pages I report to the trustees on my examination of the accounts of the above Charty ("the Trusf) for the year ended R8sponsibllltles and basis of report As the charrtys trustees. you a responsible for the preparation of the accounts in accordan wilh the requirements of the Charities Act 2011 {Ihe Acr). I report in respect of my examination of the Trust's accounts carried out under section 145 of the 2011 Act and in car.ng out my examination, I have folli)wed all the applicable Directions given by the Charity Commission under section 14515){b) of the Act. Independent examiner's statement I have completed my examination. I confirni that no material matters have come to my attentson in connection wrth the examination {other than that disdosed below ') which gives me Gause to believe that in, any material respect.. the accounttng rerdS were not kept in accordan wtth section 130 of the Charrties Act., or the accounts did not accord with the accounting records,. or the accounts did not comply wth the applicable requirements conMIng the form and content of accounts set out in the CharrtS (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a 'true and fair, view which is not a matter ¢sIdered as part of an independent examination. I have no con¢ems and have come across no other matters in connection wrth the examination to b*hich attention should be drawn in this r&port in order to enable a proper understanding of the accounts to be reached. ' Please delete the wonys in the brackets rflhey do not apply. . Slgned: /g.r.z Name: Relevant professional qualification(s) or body (if any): Address: IER Oct 2018
FISH VOLUNTEER CENTRE (Reg. Charity No. 1189325) Treasurer’s Report 2025-26 Commentary
For the period April 2025 – March 2026
FISH Volunteer Centre (FISH), 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.
FISH appointed a new treasurer this past financial year; Sally Roark replaced Helen Fitchett who advised she was stepping down in summer 2025. FISH has a healthy financial position.
The minibus is likely to have to be replaced in the next few years; a depreciation model forecasts FISH needs to achieve excess income per annum of £10,000 a year to cover a new minibus every seven years, which we have consistently achieved. We have been looking to update and improve our computer booking system in the past financial year, unfortunately this has not progressed as was hoped this financial year. Thankfully the provider of our current booking system has been more responsive recently, as such we continue to work with our legacy system. A new website is currently being developed.
FISH would like to thank all the people who have donated or regularly donate to our Charity.
During 2025-2026 the INCOME was £51,232.12. This is approximately 16.5% higher than the previous year 2024-2025 when the income was £43,970.81.
Most of this increase was the result of an increase in Gift Aid. Gift Aid including GASD claims were submitted for all outstanding years resulting in £8,625 being paid in Gift Aid this past financial year. It is worth noting that our annual Gift Aid income based on annual Donations is circa £3,000. 2024-2025 annual accounts did not include any Gift Aid income. INCOME annualising Gift Aid for current financial year income was consistent with previous year (within 3%).
NB: Accounts include £116 overpayment by HMRC to be offset in next Gift Aid payment.
While we saw significantly lower Memory Donations; this was offset by Corporate/Charity donations and growth through the Minibus service (hire and bus passes). The car driving income was relatively steady at £8,900 for the year; compared with £8,388 last year. These figures exclude donations by drivers of unclaimed mileage allowances; allocated to Donations at £2,350. (Over 80% of drivers donate some or all of the time).
The investment account with the United Trust Bank and the two deposit accounts with NatWest have earned us a total of £6,269.32 in interest, 12.9% increase in the year. (mainly due to higher account balances).
PAYMENTS for the year were £20,314.87, consistent with the previous year total of £20,616.34.
To note: Office Expenses were circa £2,000 higher than previous year (IT system work and Team Building), however Minibus costs were circa £2,000 lower (Servicing and Repairs).
The resulting SURPLUS for the year April 2025 – March 2026 was £30,917.25 compared to £23,354.04 last year. SURPLUS annualising Gift Aid is consistent with previous year at £25K 25/26 compared to £26k 24/25.
The total of the bank balance and investments at the end of the year was £202,264.36 with petty cash of £474.42.
This allows RESERVES as follows:
New Minibus Reserve: £120,000 IT Reserve: £30,000 New Building Fund: £10,000.
This leaves £42,264.36 in the general fund.
NOTES
Thank you again to David Whitehead who collects all the cash and cheques from the office, pays them into the bank and records the transactions on the receipts and payments spreadsheet.
And to Brian Cresswell who is the Independent Examiner of our accounts,
Treasurer: Sally Roark 14th April 2026