Trustees Annual Report for Prestbury Womens Institute 

For year to 31 August 2022 

Prestbury WI is now back and running after the COVID restrictions. A new president was elected in November 2021 for one year only; otherwise the officers and committee remain the same. The membership stands at 71 

The WI Hall continues to be let out to several regular lets and is providing a good income. Two maintenance people have been contracted during the year to look after the outside and inside of the Hall. 

The WI has been involved in many “in House” activities and also ones open to the public, which have been well received. The highlight of the year was being involved in the Prestbury Jubilee Celebration which took place in July and was organised by Prestbury Parish Council. 

Prestbury WI was one of many dozens of stalls set up on the playing field. The Prestbury WI made many jams and chutneys for sale during the day. There was also a cream tea in the WI Hall. More than a 1,000 local people were present on this beautiful day. 

The Trustees have total confidence in the officers and committee who work very hard on behalf of all the members of Prestbury Womens Institute, the group is in safe hands. 

Mrs Sheila Beer 

Mrs Ann Hughes 

14 November 2022 



Prestbury Womens Institute
for the year to 31 August 2022
Registered Charity Number
229203
Trustees during the year:
Mr John Petchey
Mrs Sheila Beer
Mrs Linda Matthews
Mrs Ann Hughes

Prestbury Womens Instltute
Statement of Financial Activities
for year ended 31 August 2022
Charity No: 229203
Unrestricted Restricted
Note5 Fund
Fund
2022
2021
Income
Income from Trading
Investment income
19275
8213
19275
8213
23123
7629
27488
27488
30752
Expenditure
Activities dirertly relating to the
work of the charity
Hall costs
4631
14016
4631
14016
33
13786
18647
18647
17086
Net Incomel (Expenditurel
Gainsl Losses on investments-unrealised
8841
-23041
8841
-23041
13666
31684
Net movement in Funds
-142(K)
-14200
45350
Balance brought forward
I September 2021
Balance carried forward
at 31 August 2022
340067
34CK167
294717
325867
325867
340067

Prestbury Womens Institute
8alance Sheet as at 31 August 2022
Charity No.. 229203
2022
2021
Notes
Investment Assets
231775
254816
Current Assets
Cash at bank and in hand
94092
85251
325867
341KJ67
Liabilities falling due within
one year
Net Assets
325867
34(X)67
Fund5:
Unrestricted
325867
340067
Approved by the trustees on 14 November 2022 and are signed on its behalf bv:
Mrs Sheila Beer
Mrs Ann Hughes

Prestbury Womens Instltute
Notes to the Financial Statements
For the year ended 31 August 2022
Charity No- 229203
l Basis of accounting
The accounts have beèn prepared under the historical cost convention, and in
accordance with the Financial Reporting Stsndard 102
2022
2021
2 In¢omè from charity aclivillos
Meeting Receipts
Members subscriptions
Gift Aid
Wl Activite5
GFWI Events
Fundraising
Sundries
Hire of hall
Covid Grant
150
35
2318
896
355
2584
106
9017
2667
19275
117
2781
17907
23123
3 Income from Investments
BLK Charities UK Equity Dividend
BLK Charities UK Bond Dividend
Bank interest
7349
830
6723
900
8213
7629
4 Expenditure on chabity artivities
Speaker costs
NFWI subscription5
Publications
Fundraising
Wl Activities
GFWI events
Centenary costs
Sundries
Donations
545
1904
311
508
838
383
1680
249
426
121
87
55
4631
3300

Prestbury Womens Institute
Notes to the Financial Statements
For the year ended 31 August 2022
Charity No- 229203
2022
2021
5 Hall expenses
Hire of hall deposits
Caretaker
Cleaner
Insurance
repairs
gardening
Licence5
Light & Heat
Rates
Sundries
loo
365
1988
1282
5104
1360
132
1944
1186
555
14016
580
1835
2108
5678
175
1927
1025
458
13786
6 Investments
BLK Charities UK Bond Fund
20232
25946
BLK Charities UK Equity Fund
211543
228870
Valuation as at 31 August
231775
254816

INDEPENDENT FINANCIAL EXAMINER'S REPORT
ro the Trustee8 of
Charlty No111 rngbBtered)
21
I r8pDrt Dll the Re¢8ipts and
Wl forlhe ￿ar ended ..)J
ents AcL¥Junts ¥&tcxrt on the attathd Finantial Stsiement pages 14 for the 8bova name
r*y2
Re$pectlve re5pon5iblltt*s ol trngtee$ ond oxamlnpr
Thè trustees are responsibleforthe prepar81ion o¥lh8 a¢¢￿jnts. The tnJ5tees tx>nskJerthat an audit 15 fK>t wuiréd forlhls
year undèr set*ien 144121 of the ChariliesAct 2011 (the 2011 Act) 8rKI th8t 8n indÈpendent8X8minatiW 15 r)eeded.
satiSf￿d myself ihat Ihe chatity is digibltrf￿ lThYependenlexatnination, it 18 my responthlityto:
èX8n)in8 acwjnts unders￿tion 145 o1th8 2011 Acl,.
fdlow the laKI do￿ in the general threcti￿$ gwen by the CharityC¢wnrni5sth uThJef section 14515Xbl of ShB
2011 Act," and
8tal8whetheT parbcularmattars have come to my attentiori.
Basis of Ind8p8ndent Examinèrs roport
My exatnination was carried out in aC￿rd￿¢@W￿th the g8n8fdl Directiortsgl¥8n by the Charty ConvnBson. An examination
Indu￿￿ a review oflhe a(xx)unling rÈuJrds k8pI by the charity and a rtsnpaDson of the accounts presented thos
records.11 also Indudes consi¢ergtim of any unusu81 items LYdisdosures in th8 8cwunts. and seeking 8Wanations fr
you as trustees concerningany such matters. The pro￿1*UreS un<krtaken do not promde all Ihe evidentr Ihat WOU￿ b8
required in audlt and (y)nsequenlyno optllion 18 gwen as to whelherthe aG(¥Junls present a'true and falrview. 8n(f the
r8p)rt is limrtedtothose mattws sat out in the next 5taternenL
IndÈpnd&nt Examln$es Statement
In connocban with rnytxaminatKn no matter ha$ts)me to ry atten)on. I
1. giY&s ma reasonable cauE8to b8lièv8 Ihal. In any material resp8ct. th8 wuiremellts..
lo keep al%￿￿ting r￿rdS in accord&ncewilh Spcbon 130 ofthe Charite5Act 2011., a
to pr8par8 accounts whith acttyd wth the acojuntsng reGorrts and comptywrfh the ac￿￿tir￿j r•]uir8m8nlsofthe
Chanties Art
h8ve not been mtrt,. or
2. to *bich, in my opinK)n. allénUDn shouk1 be drthyn in ordwto anable a properund8rstsndiw of the 8¢¢ounts to be
read￿1.
'Hease delet•lhe WO￿ In brackets rflhgydonot8ppty.
Comrn8nts.'
Sign•d:
202
htame:
i(,
AdJr¢ss:
Ik7r
QrgTfiu/2V CUa7wHAn 6L ￿2￿c5