south Devon Cholr
ChaTltable Incorporated Or8anls•tlon No: 1211221
Report and Accounts
31 Au8USt 2025

Indopendont Examrnerfs Report
Report to the Trusteeslmembers of South Devon Cholr
Charitable Incorporated Organisation No: 1211221
On Accounts for the period ended 31 August 2025 set out on pages 2 to 5
I report to th8 tmst8es on my examination of the accounts of the above charity (?he Twsrj
for the period ended 31 August 2025.
As th& Gharity trustees of Ihe Tmsl, you arn responsible for Ihe prep8r81ion of the a¢￿unt8 In
accordanc& Mth the requirements of the Chant￿S Act 2011 (°the Acl.).
I r8POrt in r8SP8Ct of my 8X8minatK)n of the Trusts accounts ¢8med out under sedion 145
of the 2011 Acl and in canying out my examin8tion, I have It￿lOwed the 8pplic8ble Directs'ons
grven by th& Chaiity CommissK)n under section 145(5)(b) orth8 Act.
I h8v8 completed my examination. I confim? that no mateiial matter& have com8 to my
attention in cOnn8Ct￿ with the ex8min8tion wh￿h gNes me cause to I)el￿ve that in, any
material Trspect..
accounting reco￿lS weTr not kept in accortlance with sectth 130 of the Act or
the accounts do not accord M"th the accounting records
I h8ve no concerns and have wne across no othermatters in connect￿n with Ihe
examination to which 8ttention should be drawn in order to en8ble 8 proper understanding of
the accounts to be re8ched.
lo
D S Slmpson FCA
Eagle Rock
INatcomb8 Heights Road
Torquay
TQ14SG

SOUTH DEVON CHOIR
Charitable Incorporated Organisation No 1211221
BALANCE SHE￿ AS AT 31 AUGUST 2025
2025
Current Assets
Bank Current Account
COIF Charities Account
COIIF Doftations Account
£1,803.19
£12,172.97
£13.976.16
Represented bv
Opening Balance at I September 2024
Surplus I (Deficitl for the year
£13,148.02
£828.14
Closing Balance at 31 August 2025
£13,976.16
Approved by Trustee .
Name
Date

SOLITh DEVON CHOIR
Charitsble Incorporated Organisation 1211221
IN
OME & EXPENDITURE ACCOUNT
DIN
AUGUST ZOZ5
INCOME
Subscriptions
Social & Fundraising (see Note 11
Bank Interest
Donations
Refreshments
Surplus on Concerts Isee Note 2)
2025
£2,364.48
£135.45
£375.18
£92.00
£514.20
£115.25
TOTAL INCOME
£3,596.56
EXPENDITURE
Honoraria
Rehearsal Hall
Web51te
Miscellaneous Expenses
Storage of Staging
Deficit on Workshop (see Note 11
£3,256.00
£i.100.00
£47.98
£507.14
£212.00
£106.67
TOTAL
£5,229.79
SURPLUS I (DEFICITI

SOUTH DEVON CHOIR
NOTES TO THE ACCOUNTS FOR THE PEIUOD ENDING 31 AUGUST 2025
Note I
SOCIAL & FUNDRAISING
100 CLUB
Income
Prlie Money paid out
Total
£286.00
1£250.951
£35.05
FUNDRAISING
Torbay Lottery
Mackie Produce Stall
Other fundraisin8
Total
£63.50
£36.90
£0.00
£100.40
NET INCOME
£135.45
WORKSHOP
Income:
Tickets
Particlpants
Float
£125.00
£350.00
£ioo.00
£575.00
Expendlture .
Music scores
Conductor
Accompanist
Venue
Publicity
Sumup Fees
Float
£75.28
£200.00
£150.00
£130.00
£25.99
£0.40
£ioo.00
£681.67
WORKSHOP SURPLUS I IDEFicm
(£106.67)

SOUTH DEVON CHOIR
NOTES TO THE ACCOUNfs FOR THE PERIOD ENDING 31 AUGUST 2025
14ote 2
CONCERTS
CHRISTMAS
SPRING
INCOME
Donation5
Tickets
Refreshments
Float
£250.36
£444.80
£2,025.00
£235.18
£100.00
£150.1
£40.00
£440.36
£2,804.98
EXPENDITURE
Orchestralaccompanlst
Soloists
Conductor
Hire 2nd Piano
Tuning of Piano
Muslc hlre
Venue
PrSntln8 & advertlslng
Gifts
Refreshments
Float
Sumup fees
Donation to St Mary The Virgin
£300.00
£450.00
£250.00
£468.00
£60.OJ
£533.10
£195.00
£272.22
£130.(M)
£34.80
£40.LN)
£123.66
£100.00
£12.31
£21.
£40.1
£100.
£325.80
£2,804.29
FICI
£114.5
£0.69
NET SURPLUS ON CONCERTS