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2022-12-31-accounts

HAM AND PETERSHAM ASSOCIATION AND AMENITIES GROUP TRUSTEES' REPORT FOR THE PERIOD 1 JANUARY 2022 TO 31 DECEMBER 2022

The Trustees present their report plus the financial statements for the period 1 January 2022 to 31 December 2022.

INFORMATION ABOUT THE GROUP

The Ham and Petersham Association and Amenities Group is a Charitable Incorporated Organisation (registered charity number 1192741) was created on 10 December 2020 and is governed by a Constitution dated 29 October 2020. It was set up to take forward the work of the Ham Amenities Group (registered charity number 286101) and the Ham and Petersham Association, an unincorporated association. Ham Amenities Group was formally dissolved by the Charity Commission on 28 February 2022 after it had transferred the title of the Gate House Garden to HPA&AG.

TRUSTEES at 31 December 2022

Geoff Bond Chair
Charles Doe
Pauline Gizejewski Honorary Treasurer
Linda Holland
David Jowers Honorary Secretary
Jean Loveland
Matthew Rees
David Williams Vice-Chair

Trustees are normally appointed by the Group’s members at the Annual General Meeting, although members or the trustees may at any time decide to appoint a new charity trustee subject to the number of trustees not exceeding 15.

CHARITABLE OBJECTIVES AND PUBLIC BENEFIT

The charitable objects of the Group may be summarised to:

In carrying out its work to make Ham and Petersham a better place in which to live, work and visit, the Trustees confirm that they have complied with the duty to have due regard to the Charity Commission's guidance on providing public benefit.

ACTIVITIES OF THE GROUP

The charity has a busy programme of activity. In addition to organising very successful Ham Open Gardens and Ham Fair events, we have run volunteer environmental events at Ham Pond, Latchmere Brook and the historic Avenues, and organised several local talks. We have taken an active role interacting with the council and other groups to make sure development in the area is in keeping with the semi-rural style of Ham and Petersham. The charity has made a range of grants to local groups to help build a happier, healthier local area.

FINANCIAL REVIEW FOR THE YEAR

The Charity received applications from local bodies to support their work and a series of Grants were agreed by the Committee to the total value of £14384 as follows:

Ham SOS £6000
Ham and Petersham Sea Scouts £650
TAG Youth Club £500
Friends of Ham Lands £234
St Andrews Church £500
Shepherd's Star Group £200

Ham and Petersham Association and Amenities Group is a Charitable Incorporated Organization Charity number: 1192741

Home Start £6000
St Thomas Aquinas Church £800
There was also expenditure of £3375 on envi
Clear-up Expenses £1639
Notice Board repairs £223
Insurance and expenses £503
Ham Pond £182
Gate House Garden £828

There was also expenditure of £3375 on environmental work as follows:

Our figures show an overall surplus of £9423 this year and this includes a figure of £6525 donated to provide a memorial for Malcolm Singleton who ran M J Hardware. The Income from Subscriptions and Donations was £3336 and £411 was received from the sale of the Matchless Vale.

The Charity ran Ham Open Gardens in May 2022. This showed receipts of £18530 and expenditure of £1133.

The Charity ran Ham Fair in June 2022. This showed receipts of £11,732 and expenditure of £7825 The arrangement with the Scouts Group gives them 25% of the profits of the Fair which amounted to £1500.

The Committee spent £1960 this year on the redesign of our website and £376 on the organisation of the AGM and other meetings.

RESERVES POLICY

The Charity will hold reserves of a minimum £10,000 to cover 6 – 9 months budgeted operating expenditure that can deal with fluctuations in income and provide adequate working capital. Funds are also held to support the running of Ham Fair, Ham Open Gardens and to respond to grant applications and ongoing projects.

Total funds held at 31 December 2022 were £41,585

The Trustees are satisfied that the Group's financial reserves are sufficient for it to continue at its current level of activities.

RISK MANAGEMENT

The major risks to which the Group is exposed, as identified by the Trustees, have been reviewed during the year and the Trustees are satisfied that action has been taken where appropriate to manage those risks.

INDEPENDENT EXAMINER

Julia Bailey is the Independent Examiner of the Group's finances.

STATEMENT OF THE TRUSTEES' RESPONSIBILITIES FOR FINANCIAL STATEMENTS

Charity law requires the Trustees to prepare financial statements for each financial reporting period which give a true and fair view of the state of affairs of the Group and of the income and expenditure for the period then ended. In preparing those financial statements, the Trustees are required to select suitable accounting policies and apply them consistently, make judgments and estimates that are reasonable and prudent, and prepare the financial statements on a going concern basis unless it is inappropriate to presume that the Group will continue in business. The Trustees have responsibility for maintaining proper accounting records that disclose with reasonable accuracy the financial position of the Group and enable it to ensure that the financial statements comply with charity regulations. The Trustees also have responsibility for safeguarding the assets of the Group and for taking reasonable steps for the prevention and detection of fraud and other irregularities.

MEMBERSHIP

Membership was relatively stable in 2022:

Members @ 1 January 2022 317
Joined in 2022 44
Resigned in 2022 13
Did not renew in 2022 21
Ham Open Gardens
complimentary membership
35
Members @ 1 January 2023 362

Ham Open Gardens local non-member attendees were offered complimentary membership for 2022

By Order of the Trustees David Jowers, Honorary Secretary, April 2023

Ham and Petersham Association and Amenities Group is a Charitable Incorporated Organization Charity number: 1192741

HAM AND PETERSHAM ASSOCIATION AND AMENITIES GROUP Charitable Incorporated Organization Charity number: 1192741 Receipts and Payments Account for the year 1 January 2022 to 31 December 2022

RECEIPTS
Subscriptions and donations
Donations - Memorial bench
Events
Ham Open Gardens
Matchless Vale sales
Ham Fair
PAYMENTS
Printing, postage, stationery
Environmental work (Note 1)
Donations and Gifts (Note 2)
Events (Note 3)
Web site
Committee expenses
Ham Fair (Note 5)
Ham Open Gardens (Note 4)
SURPLUS IN YEAR (2021: 10 Dec 2020 - 31 Dec 2021)
ACCUMULATED FUNDS STATEMENT
Funds brought forward at 1st January 2022
Surplus in year
Rounding difference
Accumulated Funds at 31 December 2022
£
£
3,336.14
6,524.75
2,063.90
18,530.43
410.90
11,732.32
42,598.44
(2,039.80)
(3,374.93)
(14,384.00)
(2,082.60)
(1,960.00)
(376.52)
(7,824.61)
(1,132.89)
(33,175.35)
9,423.09
£
32,161.16
9,423.09
1.03
41,585.28
£
2022
£
£
3,011.31
-
861.46
-
494.23
9,845.00
14,212.00
(1,779.56)
(1,666.00)
(2,000.00)
(692.75)
-
(360.00)
(6,406.04)
-
(12,904.35)
1,307.65
£
30,853.28
1,307.65
0.23
32,161.16
£
2021
£
£
3,011.31
-
861.46
-
494.23
9,845.00
14,212.00
(1,779.56)
(1,666.00)
(2,000.00)
(692.75)
-
(360.00)
(6,406.04)
-
(12,904.35)
1,307.65
£
30,853.28
1,307.65
0.23
32,161.16
£
2021
1,307.65
£
30,853.28
1,307.65
0.23
32,161.16
£

The attached notes overleaf form part of these accounts

Pauline Gizejewski - Hon Treasurer

INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF THE HAM AND PETERSHAM ASSOCIATION AND AMENITIES GROUP

I have examined the above Receipts and Payments Account. In my opinion the account has been properly prepared and is in accordance with the books and records of the Group.

Julia L.H. Bailey (ICAEW Retired) Hon Independent Examiner 31 March 2023

Ham and Petersham Association and Amenities Group is a Charitable Incorporated Organization Charity number: 1192741

HAM AND PETERSHAM ASSOCIATION AND AMENITIES GROUP Charitable Incorporated Organization Charity number: 1192741 Notes to Accounts 1 January 2022 to 31 December 2022

Note 1. Environmental Work
Clear-up Expenses
Notice board repairs
Insurance and expenses
Ham Pond
Latchmere Brook
Gate House Gardern
Note 2 : Donations and Gifts
Ham Parade Market
Ham SOS
Ham Cricket Club
Ham and Petersham Sea Scouts
TAG Youth Club
Friends of Ham Lands
St Andrews Church
Shepherd's Star Group
Home Start
St Thomas Acquinas Church
Note 3: Events
Summer Party expenses
Talks expenses
Christmas party expenses
Note: 4 Ham Open Gardens
Programme design and printing expenses
Tea expenses
Admin expenses
1639.32
222.6
503.36
182.09
-
827.55
3374.92
-
6000
-
650
-
234
500
200
6000
800
14384.00
1312.60
120.00
650
2082.60
934.00
138.89
60.00
1132.89
£
60.00
-
649.00
393.00
519.00
45.00
1666.00
£
250.00
250.00
500.00
250.00
500.00
250.00
-
-
-
-
2000.00
692.75
692.75
0.00

Note 5: Ham Fair

Expenditure includes prepayment of £747 for 2023 event

Ham and Petersham Association and Amenities Group is a Charitable Incorporated Organization Charity number: 1192741

HAM AND PETERSHAM ASSOCIATION AND AMENITIES GROUP Charitable Incorporated Organization Charity number: 1192741 Receipts and Payments Account for the year 1 January 2022 to 31 December 2022

RECEIPTS
Subscriptions and donations
Donations - Memorial bench
Events
Ham Open Gardens
Matchless Vale sales
Ham Fair
PAYMENTS
Printing, postage, stationery
Environmental work (Note 1)
Donations and Gifts (Note 2)
Events (Note 3)
Web site
Committee expenses
Ham Fair (Note 5)
Ham Open Gardens (Note 4)
SURPLUS IN YEAR (2021: 10 Dec 2020 - 31 Dec 2021)
ACCUMULATED FUNDS STATEMENT
Funds brought forward at 1st January 2022
Surplus in year
Rounding difference
Accumulated Funds at 31 December 2022
£
£
3,336.14
6,524.75
2,063.90
18,530.43
410.90
11,732.32
42,598.44
(2,039.80)
(3,374.93)
(14,384.00)
(2,082.60)
(1,960.00)
(376.52)
(7,824.61)
(1,132.89)
(33,175.35)
9,423.09
£
32,161.16
9,423.09
1.03
41,585.28
£
2022
£
£
3,011.31
-
861.46
-
494.23
9,845.00
14,212.00
(1,779.56)
(1,666.00)
(2,000.00)
(692.75)
-
(360.00)
(6,406.04)
-
(12,904.35)
1,307.65
£
30,853.28
1,307.65
0.23
32,161.16
£
2021
£
£
3,011.31
-
861.46
-
494.23
9,845.00
14,212.00
(1,779.56)
(1,666.00)
(2,000.00)
(692.75)
-
(360.00)
(6,406.04)
-
(12,904.35)
1,307.65
£
30,853.28
1,307.65
0.23
32,161.16
£
2021
1,307.65
£
30,853.28
1,307.65
0.23
32,161.16
£

The attached notes overleaf form part of these accounts

Pauline Gizejewski - Hon Treasurer

INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF THE HAM AND PETERSHAM ASSOCIATION AND AMENITIES GROUP

I have examined the above Receipts and Payments Account. In my opinion the account has been properly prepared and is in accordance with the books and records of the Group.

Julia L.H. Bailey (ICAEW Retired) Hon Independent Examiner 31 March 2023

Ham and Petersham Association and Amenities Group is a Charitable Incorporated Organization Charity number: 1192741

HAM AND PETERSHAM ASSOCIATION AND AMENITIES GROUP Charitable Incorporated Organization Charity number: 1192741 Notes to Accounts 1 January 2022 to 31 December 2022

Note 1. Environmental Work
Clear-up Expenses
Notice board repairs
Insurance and expenses
Ham Pond
Latchmere Brook
Gate House Gardern
Note 2 : Donations and Gifts
Ham Parade Market
Ham SOS
Ham Cricket Club
Ham and Petersham Sea Scouts
TAG Youth Club
Friends of Ham Lands
St Andrews Church
Shepherd's Star Group
Home Start
St Thomas Acquinas Church
Note 3: Events
Summer Party expenses
Talks expenses
Christmas party expenses
Note: 4 Ham Open Gardens
Programme design and printing expenses
Tea expenses
Admin expenses
1639.32
222.6
503.36
182.09
-
827.55
3374.92
-
6000
-
650
-
234
500
200
6000
800
14384.00
1312.60
120.00
650
2082.60
934.00
138.89
60.00
1132.89
£
60.00
-
649.00
393.00
519.00
45.00
1666.00
£
250.00
250.00
500.00
250.00
500.00
250.00
-
-
-
-
2000.00
692.75
692.75
0.00

Note 5: Ham Fair

Expenditure includes prepayment of £747 for 2023 event

Ham and Petersham Association and Amenities Group is a Charitable Incorporated Organization Charity number: 1192741