OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-12-31-accounts

l iustccs:
stl Xllciulci
Builel ((
hufrinniij I(csi'neil I (i ' I chiuui"i (i
iX'll (.icorue
C.Hri'r lii
Xlrs Susan .I I'ci"&ace
41r Stcic Bcclcti
Xlr An(nut:
I'iitCEinril
Mr Marl
(.'orneli
Xls 3' uicssu .Oal1',oulnui'i~
iN'Irs Beliiitla I.i(tier
lvlr .Iauics Bcit(i
jvtr ril;iu
I uL ilc
'mrs (.'urule
Butlci'
Resicucil Rcsi ucJ I(~' I chruaii '(!"t
Vri ncl iutl (office I'Ii&I!71es k.
II!!l~
Bucl
&nE~
I iul
BrJillllscc
('iXI", 9h.l
('Itutrit& Rcgistr:ttio«%anther: 12')7&)
ill(jejicn(lent l'.Waln tller: Xi'icliulus
1.»rsvp tli I-( ', X
I.ainlicn ('lupuun I I I'
( lull'iercil .Xccouiltiillts;ilul Ikcclstcrc&I 8!aiutiii ~,(u&l liut's
3 9,'urners
%hill
Silks 9,';is
BIa iit( icc
I sscx
(.'vI7 i(ilk

Year To Year To
31st Dec 2022 31st Dec 2021
INCOME
Donations
Fnends of the Pub:ic Gardens 4,950 6 15G
Donations
Post
Other
dOnatiOnS
191
359
4 1 gi
436
Granls
Bequest
2
'0
500
00
5 669
91"'
18 700 I. 586
Other Trading
Activities
Funci raising events 8 tennis IPage 7) 25 658
Investment
Income
Coffee shop rer,tai ncome '4 800 12.525
14 800!
Other Income
Gif!Aid 1,243 Sn6
Other
!n orne
1,501 26,637
TOTAL INCOME 2,744
57,388
28,163
79,932
EXPENDtTURE
A'arden
Rates and water
Insurance
.' 400
964
3.299
n 202
1,078
2 789
Electricity
ktaintenance
8 Eq.iipmoni
9,912
1 '! +70
4 956
8 493
Sufldt les 433 347
Indpendent
Examination
Other Accountancy
Fees
Gardener
Bank charges
Website costs
870
702
24.436
49
918
834
1.638
24 845
25
411
DeprecIaI Inn 2 582
9 5 59200
fee!gains! iosses o! nveslr, ants 16541 943 i
Net movement
in
furid» 24.088 30,163
iolai 'unos b~ougi:; lorwaro ~'0 105 in
186,017 210,105
BRAINTREE & BOCKING PUBI IC BRAINTREE & BOCKING PUBI IC BRAINTREE & BOCKING PUBI IC BRAINTREE & BOCKING PUBI IC GARDENS TRUST
BALANCE SHEET AS AT 31st DECEMBER 2022
31st Dec 2022 31st Dec 2021
FIXED ASSETS;
Iinprovernents
to
property (Page 7) 20,866 23.445
CURRENT ASSETS:
I vestinents
{Page8)
i 54,81
Cash at Bank 18,262 37 137
'93,941 21 ti .939
CURRENT LIABILITIES;
AccruaIs 6,924
Cafe - Deposit 1,00i3 '1,000
7 924 1 834
NET ASSETS 210,A5
REPRESENTED BY:
ACCUMULATED FLINI3
(3afance brought forvrarid 210 105 179942
Surpfusr(Deficit) for the year including revaluat:on 24 088 30 i63
TOTAL FUNDS 186,017 210,105
Tf e financial statert~ents vvere approved by the Corninillee on 35 f'.",0~L. ZoZ~
and si ned on their behalf
by
4
*Jlr Geo..ge Canvin - Trustee
EIRAINTREE 8 BOCKING PUBLIC GARDENS TRLIST EIRAINTREE 8 BOCKING PUBLIC GARDENS TRLIST EIRAINTREE 8 BOCKING PUBLIC GARDENS TRLIST EIRAINTREE 8 BOCKING PUBLIC GARDENS TRLIST EIRAINTREE 8 BOCKING PUBLIC GARDENS TRLIST EIRAINTREE 8 BOCKING PUBLIC GARDENS TRLIST
NOTES FOR THE YEAR ENDED
31st DECEMBER 2022
Year To Year To
31st Dec 2022 31st Dec 2021
6 6 6 F
Fund raising events
Inco(Tte- Tcnriis 2,405 3,552
Spor;so(ship Appeal 8 800 13 106
Cttrist&nas Raffle 3.131 &C7
Little Legs days 1 359
Classic car show 4 818 6 743
Fern!Iy fun day 380
Chr;strnas Grolto &57
Music Fcslival 4,710
26 360 27 642
Fxpenditurc Costs of fund raising 52I6
IexnenaeS relating tc Ihe Staninn Of fiir draiS. nn eVentxt
I und
'ai'sing
events surplus 21 l44 25.658
*P. & t&
0 &&I&
Fixed Assets
Balan e Brought I-oiv, ard 46, 193
Additions
Disposals
Balance Carr&ed For&sard &Ir3 1 a0
Depreciation
Accumulated Deprectation Brought Fonvaid 22. &'&12
Depreciation Charqe 2 582
Et&rn&nation ( in D&epos el
Balanice Cai ied Forward 25 324
Net book value
20 866
As al
i
& Docs;nL'=; 2;i. ' i 2.3 &f48

Investments
SG Wealth
Ma acaeme t
QEIC I Unit Trust
2022
Yaluation
Baiance fsrr,;ioh! Fci,vaid 151 85'
Su-plusiiQef;c, li or, Revaluation 16,5vi I
Additions 20 000
f!ISPOSals
Balance Cai ieri For:a;o 150 8'1 ' 354