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2023-03-31-accounts

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Eleemosynary
Charity ofGiles Heron
For the period
from
1stA
ril 2022
To
Receipts and payments
224157
31stMarch
accounts
2023 CC&ea
'
- -
~ ~ ~ ~
Unrestricted
funds
Restricted
funds
Endowment
funds
Total funds Last year
to the nearest
f
to the nearest f to the nearest R to the nearest
K
to the nearest
R
A1 Receipts
Farm Rents 15,000 15,000 15,000
Cottage Rents 6,000 6,000 6,000
Interest Received
Wayleaves
Received
23 23 176
Insurance
Received
4,708 4,708
Sub total (Gross income for
AR)
25,735 25,736 21,177
A2 Asset and investment
sales, (see table).
Sub total
Total receipts 25,735 25,736 21,177
A3 Payments
Farm Repairs
Cottage Repairs 7,612 7,612
Insurances 4,203 4,203 3,758
CLA Subscription 271 271 257
Management
Fees
Accountancy 510 510 492
Legal 8 Professional 510
Grants
& Doles
(Note 1) 9,100 9,100 7,950
Sub total 21,696 21,696 12,967
A4 Asset and investment
purchases,
(see table)
Sub total
Total payments 21,696 21,696 12,967
Net ofreceiptsl(payments) 4,039 0 0 4,039 8,210
A5 Transfers between funds
A6 Cash funds last year end 32,215 32,215 24,005
Cash funds this year end 36,254 0 0 36,254 32,215
1.Grants 8 Doles year to 31/3/23
ye
ar to 31/3/22
Simonburn PCC 500 500
Wark Town Hall 1,000 1,000
Simonburn Village Hall 500 1,000
Wark School Governors 800 800
St Michael's PCC 500 500
Cash Doles 3,800 3,150
Wark Baby &Toddler Group 700
Stonehaugh Play Area 300
Miss A Tilley 1,000
Wark Recreational Charity 1,000
9,100 7,950