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2025-06-30-accounts

BISHOP'S STORTFORD CHORAL SOCIETY

(Registered Charity No. 247083)

STATEMENT OF INCOME & EXPENDITURE FOR THE PERIOD 1 JULY 2024 TO 30 JUNE 2025

Income
Members' contributions
Friends' donations
Other donations
Small donations
Concert receipts
Concert sponsorship
Concert programme sales/advertising
Other Concert income
Gift aid reclaimed
Hire/sale of music/staging
Fund raising activities
Interest
Total income
Expenditure
Concert fees - orchestra/soloists/conductor
Concert fees - venue hire
Concert publicity and printing
Music hire/purchase
Other concert costs
Conductor & Accompanist
Rehearsal venue
Publicity & website
Staging & lighting purchases
Fund raising activities
Administration costs
Total Expenditure
Net Income/(Expenditure)
Opening net current assets
Closing net current assets
Represented by:
Cash and Bank Accounts
Debtors, Prepayments and Accrued Income
Accrued Costs
Year ended
30 June 2025
£
14,640.00
1,120.00
620.00
173.60
6,363.00
7,000.00
693.00
710.23
5,358.08
178.79
1,062.00
438.21
38,356.91
18,797.65
2,040.00
687.47
230.50
603.97
6,300.00
1,440.50
23.98
217.20
190.00
1,482.47
32,013.74
6,343.17
24,505.47
30,848.64
31,421.37
205.29
(778.02)
30,848.64
0.00
Year ended
30 June 2024
£
13,715.00
1,035.00
2,800.00
324.95
7,284.00
2,950.00
643.00
370.90
3,616.20
0.00
0.00
403.25
33,142.30
16,442.00
1,772.00
776.50
988.67
453.83
6,024.00
1,321.50
0.00
1,231.04
0.00
1,339.93
30,349.47
2,792.83
21,712.64
24,505.47
34,603.92
1,208.14
(11,306.59)
24,505.47
0.00

BISHOP'S STORTFORD CHORAL SOCIETY

(Registered Charity No. 247083)

BALANCE SHEET AT 30 JUNE 2025

Current Assets
Bank deposit account
Bank current account
Cash in hand
Debtors and Prepayments
Accrued Income / Prepaid costs
less accrued costs / Prepaid income
Net Current Assets
Represented by:-
Balance brought forward 1 July 2024
Add surplus for the year
Balance carried forward 30 June 2025
30 June 2025
£
30,232.74
1,158.63
30.00
31,421.37
105.29
100.00
(778.02)
30,848.64
24,505.47
6,343.17
30,848.64
30 June 2024
£
33,775.27
82.57
746.08
34,603.92
886.82
321.32
(11,306.59)
24,505.47
21,712.64
2,792.83
24,505.47

AUDITOR'S REPORT

I have examined the above Balance Sheet and the Statement of Income and Expenditure, together with their associated records and vouchers as presented to me, and they are in agreement.

No provisions have been made in these accounts for any stocks or fixed assets.

A Giambrone Harlow ###