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2024-07-30-accounts

Trustees’ Annual Report for the period 31st July 2023 -30[th] July 2024

Charity Name T.E.A.MS Registration number 1196693

Trustee names: Jacalyne Cebreiro, Bilinda Busch, Lynne Lawrence

Registered Address 1 Farm Close, Hutton, Brentwood, Essex CM13 2PN

T.E.A.MS meets weekly on Thursdays at Eagle Hall, Warley, Essex.

Nine paid staff provide exercise, massage and foot care.

T.E.A.MS is open to those with MS but also supports other neurological conditions and their partners and carers.

Exercise tuition takes precedence alongside muscle relaxation techniques. Social interaction is also important to the charity and various events have taken place this year in order to encourage friendships and promote awareness of the work we do. An annual BBQ event and social days throughout the year have raised funds and our profile.

T.E.A.MS has grown in members this year and we anticipate this will continue. Members continue to learn exercise techniques and uptake in exercise classes and massage is high.

Our end of year financial statement stands at £47,156 providing stability for the next year. We will continue to promote T.E.A.MS and increase our service to more people in the Essex area.

TEAMS INCOME AND EXPENDITURE

31st July 2023 to 30th July 2024

See notes

INCOME
Balance brought forward from 30th July 2023
Interest on NatWest Savings Account (March-June)
Donatons
Grants
Fundraising
Thursday exercise classes & therapies
Thursday cash sales from refreshments
HMRC Gif Aid
Member Subscriptons
Total Income
EXPENDITURE
Hire of premises
Public Liability Insurance
Equipment and supplies
Salaries
Miscellaneous
Total Expenditure
NET INCOME / (EXPENDITURE)
TOTAL FUNDS C/F AT 30TH JULY 2024
£45,633.00
£330.00
£2,970.00
1
£0.00
£9,441.00
2
£18,344.00
£3,880.00
£493.00
£1,603.00
£82,694.00
£6,602.00
£269.00
£634.00
3
£25,655.00
£2,378.00
4
£35,538.00
£47,156.00

Bank 1

Description Paid In(£) Withdrawn(£) Balance(£) 16 JUL 2024 BROUGHT FORWARD 25,330.07 31

Bank 2

26.7.24 Card Transaction 4282 26JUL24 AMAZON.CO.U K*VJ8OE72Z5 AMAZON.CO.UK GB 25 31.7.24 UL OnLine Transaction HALL HALL INV Aug 24 VIA MOBILE - LVP FP 31/07/24 10 2609

check bank 21826.24 25330 47156.24 47156.24

1 JUL Interest 31JUL GRS 65862317 90.17 25,420.24

5.00 21,836.24

92129885326000N 534.28 21,301.96

Notes on Income and Expenditure 31st July 2023 to 30th July 2024

INCOME

EXPENDITURE

INCOME EXPENDITURE
check check
1 Donatons: 3Larger items include:
Charites Trust (total) £1,020.00 Massage bed & cover £122.00
Masonic Lodges £340.00 Privacy screens (massage) £335.00
Xmas donatons £405.00 Desk £75.00
Member Donatons £1,205.00 Folding tables (3) £102.00 634.00
2,970.00
4Miscellaneous items include:
2 Fundraising: Fundraising expenses £1,296.00
BBQs (2 July 23 & July 24} £5,112.00 Statonery £100.00
Easter Fayre £440.00 Advertsing £223.00
Barleylands Funwalk £432.00 Gifs £197.00
Xmas Fayre £1,129.00 Thursday refreshment supplies £444.00
Aucton sales £636.00 TEAMS Xmas lunch deposit 2024 £100.00
Rafe/ Social Event £1,692.00 9,441.00 Annual Charites Trust membership £18.00 2,378.00

T.E.A.MS

BALANCE SHEET AS AT 30TH JULY 2024

£

NON CURRENT ASSETS
Equipment
Total non current assets
CURRENT ASSETS
Savings account
Interest March - June
Cash at bank and in hand
Total current assets
CURRENT LIABILITIES
Total liabilites
NET ASSETS
£0.00
£25,000.00
£330.00
£21,836.00
£0.00
£47,166.00
£ -
£ 47,166.00
TOTAL ASSESTS LESS CURRENT LIABILITIES £ 47,166.00

T.E.A.MS CASH FLOW STATEMENT

31ST JULY 2023 TO 30TH JULY 2024

£

Cash received :
Donatons
Grants
Fundraising
Exercise classes and therapies
Refreshment sales
HMRC Gif Aid
Member Subscriptons
Interest on Savings Account (March - June)
Cash paid to self employed sports & massage therapists
Premises Hires
Insurance (Public Liability)
Purchase of equipment
Miscellaneous receipts
Net Cash used by Operatng Actvites
Net cash from Operatng Actvites
Change in cash from Operatng Actvites
Cash as at 31st July 2023
Cash as at 30th July 2024
£2,970.00
£9,441.00
£18,344.00
£3,880.00
£493.00
£1,603.00
£330.00
£25,655.00
£6,602.00
£269.00
£634.00
£2,378.00
£35,538.00
£37,061.00
£1,523.00
£45,633.00
£47,156.00

Independent examiner's report on the accounts

Section A Independent Examiner’s Report

Report to the trustees/ members of

T.E.A.MS

On accounts for the year ended

30.6.2024

Charity no (if any)

1196693

Set out on pages

Attached

Responsibilities and basis of report

I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 30/06/2024 .

As the charity trustees of the Trust, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent examiner's statement

I have completed my examination. I confirm that no material matters have come to my attention (other than that disclosed below *) in connection with the examination which gives me cause to believe that in, any material respect:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached.

20.10.24

Signed: Date: Name:

Gemma Woodhurst

Relevant professional qualification(s) or body (if any):

ACCA, MAAT

Address:

1

October 2018

IER

117 Ingrebourne Gardens

Upminster Essex RM14 1BJ

Section B Disclosure

Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners).

Give here brief details of any items that the examiner wishes to disclose .

2

October 2018

IER