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2022-03-31-accounts

CAISTER NEXT YARMOUTH UNITED CHARITIES

CHARITY REGISTRATION NUMBER 213710

Trustees Report for the Year Ended 31st March 2022

Principle Activities

The relief of need within the Parish of Caister on Sea with West Caister.

Income and Expenditure

The increase in Income is due to the sale of a field to developers. The initial payment made amounted to £398,355. This was offset by increased Expenditure of £221,004.80, comprising of Legal Fees, Agents Fees and Accountants Fees.

A further receipt amounting to £300,000 was made in May 2022 and the final payment of £300,000 is due to be made in May 2023.

Investment Policy

The Trustees invest available funds to provide a source of income to cover applications for relief, without reducing their working capital

Due to the low returns on investments in the current financial climate, no investments have been made during this financial year. Contact has been made with local financial advisors regarding future investment plans.

Political and Charitable Donations

No political or financial donations have been made during the last financial period.

Policy on the inclusion of all people

The charity has a policy of engaging with all people, with no regard to their gender, ethnic background, colour, physical or mental ability and age.

This report was agreed by the Trustees at a General Meeting on the 16th December 2022

Signed on behalf of the Charity Trustees

B Lawn

Chair of Trustees

Caister United Charities

Charity Registration Number: 213710

Income and Expenditure Account for the Year Ended 31st Marc

Income
Rents Received
Wayleave
Hirst Farms
Total Rents Received
Sale of Asset
Field
Reduction of Sales Value Insuranc
Cost of Sale of Asset
Legal Fees
Agents Fees
Survey Work
Total Receipts From Sale
Donation
Interest Received
Total Income
Expenditure
Distributions
Assistance Grants
Secretary's Fees
Ofice Expenses
Bank Charges
Insurance
Accountants Fees
Total Expenditure
Excess Expenditure Over Income
2022 2022 20
£
0.00
0.00
£
0.00
178,830.20
65.00
156.00
£
550.00
488.75
400,000.00

(1,645.00)
0.00
0.00
398,355.00
(10,000.00)
###
(275.00)
0.00
(6,000.00)
0.00
0.00
179,051.20
720.00
722.30
300.00
240.00
102.00
450.14
1,480.00
4,014.44
175,036.76

Caister United Charities

Charity Registration Number: 213710

Balance Sheet as at 31st March 2022

----- Start of picture text -----
2022 20
£ £ £
Assets
Sundry Debtor
HMRC VAT 64.29
Cash in Hand & At Bank
Lloyds Bank Current A/c 195,731.34 7,442.20
Lloyds Bank Deposit A/c 2yr 0.00 13,000.00
Lloyds Bank Deposit A/c 1yr 0.00 0.00
Petty Cash 60.00 60.00
195,791.34
Total Assets 195,855.63
Explained By:
Excess Income Over (Expenditure)
Prior Years Cumulative 20,818.87
Current Year 175,036.76
Cumulative Excess Income Over (Expenditu 195,855.63
Signed Date
B Lawn - Chairman M Doyle - Secretary
----- End of picture text -----

ch 2022

21 £ 1,038.75 (6,000.00) 1,291.66 271.75 (3,397.84) 450.00 1,870.73 150.00 40.00 0.00 452.07 0.00 2,962.80 (6,360.64)

21 £ 316.67 20,502.20 20,818.87 27,179.46 (6,360.59) 20,818.87