
## **Charity name -** St Alban’s Concert Band Cardiff **Registration number** – 1200284 

**Registered Address –** 77 Harris Avenue, Rumney, Cardiff, CF3 1QB **Trustees –** Steve Burton, Sarah Kvedaras, Natasha Davies 

## _Charity structure:_ 

The organisation had three trustees for the year and a managing committee of five (including those trustees).  The committee is formed of chairperson, treasurer, secretary and two other members.  The musical director attends committee meetings but has a non-voting role. 

## _The objectives of the organisation are:_ 

To advance, improve, develop and maintain public education in, and appreciation of, the art and science of music and in particular that of wind band and concert band music, in all its aspects by any means the trustees see fit, including through the presentation of public concerts. 

## _Activities during the year:_ 

During the year we have increased the number of members of the concert band including the range of instruments. The band has given 4 concerts in the local community, and took part in a number of Christmas carolling events. 

## _Financial report:_ 

The organisation made a surplus of £697 for the year and held £6,720 in cash reserves. 



Income & Ex enditure Account for Year Ended 31st Ma
2024
Income
SA Concert Band Fees
SA Big Band Fees
Total Playing Fees
Members subscriptions
Members contributions to instrument insurance
Instrument sales
Donation
Transfer
Bank Interest Received
£2,283.62
£0.00
£2,283.62
£3.346.23
£0.00
£0.00
£850.00 1
£0.00
£61.13 J
Total Incom•
£6,540.98 &,
Ex enditur
Hall Rental
Band Insurance
Administration & Travel
Instrument Repairs & Purthases
Concerts
Music Purchase
MDfees
Performing Rights License
Bank Charge51 Transfers l Donation
£1,147.00
£309.00
£1,098.83
£0.00
£1,017.21
£611.74
£1,575.00
£85.62
£0.00
T¢)t•l Expondltur•
£4844.40
Net Op•fating Incom• for Year
£896.S8
Balance
et at 31st Ma
202
Currnnt Assets
8ank Accounts
Current Account
Business Reserve Account
Unpresented cheques I cash
Tolal
£2,365.04 0
£4,355.26 /
£6.720.30
R•presentad by .
Balance of General Fund b/f at 1st June 2023
Net Surplu5 1 IDefi¢itl for Year to 31st May 2024
Balance of General Furbd cthd at 31st May 2024
£6,023.72
£696.58
£8,720.30
Check
£0.00