Parish Council                                                             Agenda Item 10 **Topic: Final Accounts Report 2021/22** 29/06/2022 

## Purpose 

To approve the final accounts for the year ended 2021/22. 

## Considerations 

The original revenue budget for 2021/22 was £314,270. The table below shows the revenue out-turn and variances from the original estimate. 


**----- Start of picture text -----**<br>
Committee Origina Revenu Varianc<br>l e Out- e<br>Budget turn<br>£ £ £<br>Amenities 199,130 164,218 (34,912)<br>Environment and Policy 103,140 89,090 (14,050)<br>Parish Council 12,000 11,098 (902)<br>Total 314,27 264,40 (49,864<br>0 6 )<br>Less Precept (314,2 (314,2 0<br>70) 70)<br>Net Expenditure 0 (49,86 (49,864<br>4) )<br>General Fund Reserve Opening  72,780<br>Balance<br>Add underspending 49,864<br>Transfer to Major Projects Reserve (23,496)<br>Transfer to Car Parking Reserve (12,128)<br>Transfer to Energy Reserve (14,240)<br>General Fund Reserve Closing  72,780<br>Balance<br>**----- End of picture text -----**<br>


The major variances from the original estimate are shown in the table below. 


**----- Start of picture text -----**<br>
£<br>Amenities<br>Allotments  – Less time spent on maintaining (2,210)<br>shared areas on paths and reduced charges for<br>water<br>Village Hall  – retail grant from RBC re Covid – (8,000)<br>19 welcome back funds.<br>Increased income from bookings (1,080)<br>St  Peter’s  Rooms  Savings  on  cleaning, (5,884)<br>grounds maintenance and administration due<br>to  grounds  apprentice  vacancy  and  Deputy<br>Clerk delay in appointing full-time replacement<br>and reduced running expenses.<br>**----- End of picture text -----**<br>


1 




**----- Start of picture text -----**<br>
Playing Fields  – charges were waived to the<br>Bowls Club. 3,390<br>Savings on grounds maintenance and<br>administration and reduced running expenses. (13,654)<br>Jubilee Club House .<br>Rental of Car Parking spaces to My-Care and (3,566)<br>upturn in bookings<br>Savings  on  grounds  maintenance  and (1,784)<br>administration and reduced running expenses.<br>Health and Safety<br>Savings on Grounds Maintenance (2,303)<br>Other Amenities Variances  179<br>Environment and Policy<br>Environment and Policy  – Savings on Events (4,984)<br>and Twinning cancelled due to Covid – 19 and<br>the Community Bus<br>Savings on photocopying due to not printing<br>the newsletter for distribution due to Covid -19 (2,896)<br>and  renewal  date  change  for  NALC<br>subscription<br>Lower administration cost  (6,170)<br>Parish<br>Other  variances  Grants  and  Chairman’s (902)<br>Allowance<br>Total (49,864)<br>**----- End of picture text -----**<br>


## **Earmarked and General Reserves** 

Contributions of £23,150 were made to the Earmarked (Repair and Renewals) Funds from the General Fund for future planned expenditure;  contributions  of  £500  have  been  received  from  the Brooksby  Melton  College  to  assist  with  training  of  the  ground’s maintenance apprentice, Community Infrastructure Levy (CIL) payment from Rushcliffe Borough Council (RBC) of £104,644; contribution  from  Ruddington  Cricket  Club  towards  Poweroll  Roller £4,600,  which  included   contributions  from  County  and  Rushcliffe Borough Councillors; a contribution from Ruddington Colts towards two roll on roll off goals of £1,895; sale of equipment - Ransome Mower £1,250 and a contribution towards a replacement flagpole at the War Memorial from the Royal British legion of £142. 

An additional contribution of £23,496 has been made to the Major Projects Reserve as agreed by Parish Council, £12,128 to the Car Park Reserve (see minute C. 22/01/21) and a new earmarked reserve for energy has been created to mitigate the impact of future increases in prices for gas and electricity anticipated for 2023/2024. This amounts to  £14,240  which  represents  an  estimated  increase  of  74%  on 2022/23  prices.  An unused  balance  of  £59  was  transferred  from Ruddington  Village  Centre  Partnership  match  funding  has  been transferred to the Major Projects Reserve. 

2 



The total expenditure charged to the Earmarked Funds amounted to £72,253. The balance for Earmarked Funds now totals £496,214 for future planned expenditure. 

The General Fund Reserve (GRF) has been retained at £72,780. This is to satisfy the requirement to provide for three months of Net Revenue Expenditure (NRE) less transfers to earmarked reserves for authorities with NRE of more than £200,000 recommended by the Joint Panel on Accountability and Governance (JPAG). 

## **Internal Audit Annual Report** 

Longley and Co, the Parish Council internal auditors have prepared their Annual Report which is appendix A to this agenda item. 

## **Annual Governance and Accountability Return (AGAR)** 

The Local Councils in England Annual Governance and Accountability Return is attached as appendix B and requires the signatures of the Responsible Financial Officer (the Parish Clerk) and the Chairman of the Parish Council for the accounts Section 2 Accounting Statements page 5. 

The detailed final accounts for 2021/22 are enclosed separately. 

## **Schedule of Payments** 

The  payments  made  by  Parish Council  are required  by law to be reported and published.  These will be included as an appendix to the report.  The payment schedule for May 2022 is attached. 

**Month Total Payment s £** May 2022 27446.47 

## Recommendations 

a) The Internal Auditor’s Annual report is noted; 

b) The detailed final accounts for 2021/22 are accepted; 

3 



- c) Section 2 Accounting Statements of the Annual Governance and Accountability Return for the year ended 31 March 2022 is approved and signed by the Clerk and the Chairman of the Parish Council. 

- d) The schedule of payments, attached, is noted: 

4 



Ruddington
Parish Council
Final Accounts
2021- 2022

Sectlon 2 - Accounting Statements 2021122 for
Ruddlngion Pansh Counrjl
Ye61 t..IIUing
31 Mafrh
2021
31
Pl&•8* tFwrns lo n••rnJt£i. Ck+ not •ny
xes blank and £0 or Nrfb8lano•s Aft musl
l. Balances brwJht
forward
38.664
75.202
Total balances artd ￿Se￿O£ al Ihe be9inning nlri>t yegr
•s re¢ordod in Ihe fin4n¢￿1 rncords Valu• rnust *gr•• to
B)x 7 olppvK)tss ye
Tot•1 amou￿ (or lor 1085 rates •nd ￿¥￿s)
rgtyved orreceivèble irt Iho y•Jr Exclude any 9r8nis
2. 1+1 Prtcepi or A•i•s •nd
Lèvi8S
310.470
314,274
3.1+1 Tolal other r•ceiFrts
71.229
184.607
Tot8lJneon￿ or r6cespls ths recordadsn Ihe ca$hlx)ok 18ss
thery•ew orrnt8sfjevi&s ro¢eJv6d (line 2) Include gny
grams Trcefved
T￿•1 expertdrture fftade to ond on bghalf
212,966. of•ll IntS(ffje gros$ ￿hneS 4•nd wtyos,
emK4oyèrs Nl ￿trIb￿10ft$. &m￿yerS penw>
contnb(rt￿ns. gratuJt*S 8Th3T Sèv￿￿¢6 p8yments.
Totfjlexpvndilu￿ OrP8￿n￿￿1s of cap1rkl•￿y Jnlornsi
rn&d& ¢lwyJq ibe y••ron th• •ullwty's Ilorro￿l98 (Il&ny).
4. 1.1 si•ff roBt¥
208,121
5. 1.) Loan Inl¢r•sVupt*l
rèpaymenls
8. I-l Al Olh•r ￿yMen18
137,040
172.123
Totd•xpend4ur• orp8Jfnonis 8S f￿(￿ded ty) lh• cas
I￿￿ ts8$ 8tdff c￿$ {lJne 418nd kian thier8sycWo1
p•yments (line 5J.
Total botsnces •nd reseN•$ atth• •nd off lh• ￿•r. Uust
#q￿{ Il+2+31- 14+5•61
7.1-18alanc•$ ¢orried
fowrd
75.202
188.994
8. Total value ol tash
short l¢rni inveslm•nt8
79.839
197.951
The sum ofall Curnt and deposjt bank 8ccounls, cash
I￿*￿>￿S 8ndshort t&mi Jnvoslmerts held as •131 AlaKh-
To •yrn• wlth b•nlr rneon¢lll•tlon.
Tlie v8lu• 01811 th• PID￿rtY thg 8u11)￿lY Owns- 11 is mod•
up of•N rf$ ffx•d ass•is and lon9 t•mJ ￿¥•It￿•￿t$ •s at
31 Atsrch.
The outsi8ndry b818ne• ths •131 M4r¢h of4111ow)s
fr(ffi part0$ (m￿lUdIr0 PWLBI
9. Tothi hx•d F4y•
long term in¥•8lments
and assets
10. Tolal bofrowngi
3,245.223
3,249.
11. (For LcKal C￿ncIlS ￿ly)
Dydctosyrfj nole re fund8
lindudin9 chantab￿l
Nc?
Th• cou￿. •$ • b&Yy c(¥p)r810. 85 sole iruslee for
is mwa
Trust or a&5818
N a Th• the •ccountty>V 5sr•r•m•rfs •bov• do
l irt¢l(th any Twst Irans8ct￿ns
l e•rtify Ihal lor th¢ eThJe(131 Maich 2022 the ArL(Wtir¥J
St•lements in thi8 Annual Govemance and Accountability
Relum have t*en prepar•d on 8ith•r a recapts and paym•rf$
or Incomt 4n*J expendilyre bosis folbwng thg guidanc• in
Governance and Accountability lor Smaller Aulh)rities-
Practitionèrs. Guide lo Prt)per Practic•s 8r*Y prèsent Iwly
Ihe financial posrtion ol Ihis authority.
&gned by Responsi￿• Financi￿ Officor bètore b¢ing
pr￿￿￿ted lo the authority for approval
l Confirm these Accolmling Stat¢ment5 wwe
apwov•d Dy thi$ ￿thtsnty on d•l•.
as reGor(l•d m minute r¥fererKe
S￿ne￿ by Chairman of the m8obThJ whw• thè A¢¢ounbrwJ
Statements were approvéd
Dale
Annu81 Govemance and A¢couniability Rgtum 2021r22 Fom 3
Local Counols, Intemal Drainage 8oard$ and other SmallèrAultrv)nbes'
Pag8Sof6

Ruddlngton Parlsh Councll Year End 3110312022
Income and Expendlture Account lor Year Ended 31st March 2022
3110312021
3110312022
Income
Allotments
Village Hall
St Peterfs Rooms
Playin8 Fields
Jubilee Club House
Car Park
Vicarage Lane Cemetery
Environment
Administration
Other Income
Playing Fields Plant
Playing Fields Equipment
Other Amenities
Community Infrastructure lè
General and Legal Fund
1.874
2,393
10,727
2,596
16,542
4,339
25,609
12,743
8,550
11,936
888
9,242
750
30
8,180
583
36
10,0
1,250
1,895
142
104,644
500
54,319
182,518
Precept Parlsh Councll
Precept Parish Council
310,470
310.470
314.274
314.274
Interest
Interest PSOF
Interest Deposit Account
752
120
264
100
872
365.661
364
497,156
Expendlture
Allotments
Village Hall
St Peter'5 Rooms
Playing Fields
Jubilee Clubhouse
Car Park
Vicarage Lane Cemetery
St Peter's Churchyard
Amenitie5 Projects
Health & Safety Management
Community Centre
Environment
Administration
other Expenses
Democratic Expenses
Community Relations/ Publicity
S 137 expenditure
Chairman's Allowance
4,019
14,186
28,074
113,413
20,692
2,310
13.093
3.229
3,500
4,908
4,640
16.126
14,335
13,777
41,972
13,058
7,229
21,469
31,209
117,456
25,976
14,509
15,419
4,637
3,5(￿)
3,507
4,742
15.266
14,798
47,608
45,365
14,115
1.806
113
388.724
180
312.512

Ruddington Parish Council Year End 3110312022
Income and Expenditure Account for Year Ended 31st March 2022
E•rmarlted Reserve
Plant
Equipment
Elms Park
Village Hall
St Peter's Rooms
Jubilee Clubhouse
Other Amenities
Car Park
Tree Fund
Major Projects
RCVP
Environmental Assets
Elertion Fund
ICT Fund
Wages Contingency
General & Legal Fund
19,304
3,275
-2.435
15,969
21,819
535
-2,640
-283
1,160
-1.5CiI
1,350
-2.180
3.206
-600
-300
-482
-2,160
896
16,611
329,123
-IOG
600
4,809
-13,628
158
-39,286
5.103
-105
-300
-655
-273
-5,360
383,364
General Fund Analys1$
Opening Balance
Plus- Income for Year
70,OLKI
365,661
435,661
329,123
106,538
33,758
72,780
72,780
497,156
569.936
383,364
186,572
113,792
72,780
Less: Expenditure for Year
Transfer To/From Reserve5

Ruddlngton Parlsh Councll Year End 3110312022
Balance Sheet as at 31st Maich 2022
3110312021
3110312022
Lon8 Tern) Assets
2.865.223
Flxed Assets
2.869,844
Long Term Investments
Public Sector Deposit Fund
380,0
380,LU)
3,245,223
3,249.844 Sertlon 2 Note 9
Current Assets
2.081
3.730
9,039
300
16,481
62,389
329
340
Trade Debtors
VAT Control
Prepayments
Petty Cash Account
Unity Current Account
Unity Deposit Account
Carter Charity Account
FairFX Debit Card
10.800
974
1.313
300
31,532
165,577
431
iii
94,689
3,339,912 Total Lon¢ Term and Current Assets
211,038 Sectlon 2 Note 7
3,460,882
Lon8 Term Uabllltles
CuTr•nt U*bllltl•i
Trade Creditor5
Accruals
PAYEINIC Due
Superannuation Due
Receipts in Advance
PF - Bonds
Key Deposits
Allotment Key Deposits
Suspense Key Deposits
NCC Covid Grant
7.490
2.820
2,563
1,283
500
530
8,892
3,899
3.102
5(K)
905
445
402
3.898
402
3,898
19,487
19,487 Tolal Long Term and Current Llabllltles
22,044
22,044 Sertlon 2 Note 7
3,320,425 Totsl Assets Le￿ Uabllltles
3.438,838 Sertlon 2 Note 7
plus Note 9

Ruddln8ton Parlsh Councll Year End 3110312022
Balance Sheet os at 31st March 2022
3V0312021
3110312022
Represented By:
72,780
General ReseNe
Community Infrastructure Le
Earmarked Re5erve- Plant
Earmarked Reserve- Play Equipment
Earmarked Reserve- Village Hall
Earmarked Re5erve- Election
Earmarked Reserve- I
Earmarked Reserve- Small Amenities Projects
Earmarked Re5erve- Car Park
Earmarked Reserve- Major Projects
Earmarked Re5erve- Trees
72,780
104,644
5.329
48.322
2.466
1,962
3.727
3,936
35.500
151.504
7.627
30,042
58,250
2,466
1,662
3,072
6,103
21,872
114.659
7,786
IlkL
6,476
5,834
6,792
77,075
2,618
6,794
22,065
8,856
2,865,223
3,320,425
Earmarked Reserve - Guidefwebsite
Earmarked Reserve- Environmental Assets
Earmarked Reserve- Playing Fields Premises
Earmarked Reserve- St Peter's Rooms
Earmarked Reserve- Jubilee Clubhouse
Earmarked Reserve- RVCP
Earmarked Reserve- Wages Contingency
EJrm4rked ReseNe- General & Legal
Unusable Reserves
6,476
5,940
6,257
77,181
2,018
1,632
22,065
9,628
2,869,844
3A38,838 Sectlon 2 Note 7
plus Note 9

Ruddington Parish Council Year End 3110312022
Bank- Cash Reconciliation as at 31 March 2022
Bank Statement Balances
Account Descrfptlon
Wayte Charity Account
Unity Current Account
Unity Deposit Account
Carter Charity Account
FairFX Debit Card
31,366.75
165,576.72
431.11
111.29
197M85.96
Other Bank & Cash Balances
Petty Cash
3(X).LM)
197,785.96
Less Unpresented Cheques
Wayte Charity Account
Unity Current Account
107.10
107.19
197.678.77
Add Recelpts not on Bank Statement
Unity Current Account
272.70
272.70
197,951.47

88E8S02-88-%-
g-88-8888-
88-82-88888-
710
11-
11111
Illlllllll
11
11
Iiiiiiiiiilliii
lllllll
11
11
11
11111
11
1%,,
11

2010512022
RUDDINGTON PARISH COUNCIL
Pag8 1
13".34
O•iiil•d Incl￿• a Expendilur• by Budget Heading 3110312022
Month No.. 12
C￿1 C*ntr• R•port
•1
Y￿r
Cuwffil
V￿1￿• Comfi*&1
FUYKI
Cwr•m To O*• AnrnAI Exwm(libJt• Av4ikn
% Spent
Transfer
IDfftom EklR
101 A¥otments
1181 ALLOTMENT RENTS
11.61n
1.857
2.100
243
88.4%
1182 SOCIAL PRESCRIBING GRANT
2.482
12.4821
0.0%
Albtm8nts:. Ir*0
11.5171
103
4,33•
11110
12.23•1
206.6%
1101 GROUNOS SAL REChARGE
539
1.530
35.2%
1102 GROUNDS GEN RECHARGE
37
12
12
90.8%
1103 ADMIN SAL RECHARGE
3.014
3,340
328
326 90.2%
1122 WATER SUPPLY
43
$87
587
6.9%
1127 MAINTENANCE OF GROUNDS
3.515
1.570
11.9451
11.9451 223.W
Aknenls:. Inthr•¢l EXpend￿j
1.5•7
1291
12•1 1fy).4%
N•t Inrom• ov•r Exp•ndllur•
13,1041
12.89Ql
15.1tyJl
12.2101
102 VIIg
eHql
1281 CHGS OCCASIONAL LEtS￿DuC
27
14541
18051
18.CWI
147.3%
1282 CHGS REGVLAR L£l￿DUc
3.614
16.195
8.C#)O
15.3
105.2%
1295 R•thii Grant R8C
0.0%
V¥l#g• ￿￿:. kncome
1201 GROUNDS SAL RECHARGE
J.141
25,109
18.JS0
19.2591
18561
28
1S0.6%
1.573
7.236
6.380
18561 113.4%
28 91.8%
1Z02 GROUNDS GEN RECIIARGE
1203 ADMIN SAL RECHGE
6.028
8,660
670
652 WJ.2%
1211 INSURANCE
1212 VALUATION OF BUILDING
676
181 101.0%
SD
1215 PERFORMING RIGHTS SttIETY
782
39)
14321
272
14321 223.5%
272 24.3%
1221 RATES
1222 WATER SUPPLY
11.0761
679
1,445
2.184
19851
19851 314.1%
e8.3%
1224 GAS
2,450
1225 ELECTRICITY
1.353
1.4
71XI
137
137
J.8%
1220 flepAIRS & MAINTENANCE
107
107
86.4%
1227 FURNillJRE 8 FITTINGS
0.ogb
1229 CLEANING MATERIALS
68.5%
1235 REPAIRS- VANDALISM
1Tr)
1(#J
1231 CLEANING EQVIPT
80
0.0%
1253 WINDOW CLEANING
32
170
78
78 54.IYo
1254 FIRE NPPLIANCE MAINT.
TJ7
237
240
98.7%
1255 PROTECTIVE CLOTHING
0.0%
1256 TRADE WASTE
147
11471
11471
0.0%
1259 SUNORY ITEMS
Vllloge Hall:. InthrefA Ex[￿d￿SIe
3.320
21.469
11791
11791 100.8%
Net InGome over EJ[pendI￿lI
521
14.9401
19.0001
Conunuod ov•r pgge

2010512022
RUDDINGTON PARISH COUNCIL
Pa9E 2
13..34
D•ts11￿ In¢tyn• & Exp•nditur• by Budg•t H•*dlng 3110312022
Moftth No.. 12
C￿1 C•ntre R•port
Y••r
Cwr*t
Cornrnrttf
Fur
% SpFnt
Tfansler
tomrom £AIR
103 Sl Pelefs Rooms
1377 MUSEUM RENTIHEATIPHONE
0.0%
1381 CHGS OCCASIONAL LEISIEOU
1382 CHGS REGULAR LEISEDUC
124.1%
99.9%
1.878
8,512
Sl Pete¢s Roonw:. knrA>me
12.743
12240
15031
1.022
104.1%
1301 GROUNDS SAL RECHARGE
1,855
6,968
1.022 87.2%
43
91.3%
1302 GROiJNDS GEN RECHARGe
142
457
1303 ADMIN SAL RE¢HGE
7,535
8lS
815 W.2%
1311 INSURANCE
161
161 100.6%
0.0%
1312 VALUATION OF BUILDING
1315 PERF. RIGHTS SOCIETY
121 100.4%
75 90.5%
1321 RATES
2,085
2.160
1.170
75
1322 WATÉR SUPPL Y
144
31.5%
1324 GAS
1,083
87.6%
1325 ELECTRICITY
138
1.404
1,730
326
328 81.1%
1326 REPAIRS & MAINTENANCE
242
1,625
1951 106.2%
340
0,0%
1327 FURNITURE & FITTING5
1328 R & R FUND CONTRIBUTION
3.iXIO
0 100.0%
1329 CLEANING MATERIALS
142
5XI
91.8%
1333 RENT
loo
1335 REPAIRS- VANDALISM
200
0.0%
1351 CLEANING EOUIPMENT
1353 WINDOW CLEANING
16
210
59 71.9%
1354 FIRE APPLIANCE MAINT.
71
4(
118
70.5%
1356 PROTECTIVE CLOTHING
1366 TRADE WASTE
11071
si
1.780
672
072 81.8%
13S9 SUNDRY ITEMS
230
124
124
46.2%
Sl P•terfB Ro¢Jm•:. Indlreci Exp￿￿11￿0
313119
5.381
.381
N•1 In¢om• Exp•ndlbJr•
13.1761
118,4MI
124.3501
104 P
FlekJ&
1481 CHCS OCCASIONAL LEISEDUC
1.087
1.040
1471
104.6%
1482 CHGS SOCCER ISENIORI
1483 CHGS CRICKET
3.372
2.452
13521
13021
3.780
111.7%
2,150
114.1%
1486 CHG5 BOWLS
0.0%
1480 CHGS THE GREEN
1.030
1.020
101.0%
1489 CHGS OTHÉR
507
8zo
313
81.8%
1491 CARTER INVESTMENT INCOME
102
92.6%
P￿￿ng FM)KIB:. IrK<*r
1207
11.940
71.6%
Conlnuod o¥•r pog•

2010512022
RUDDINGTON PARISH COUNCIL
PagB 3
13..34
D•t•d•d In¢om• & Exp¢nditurg by Budw H••dinq 31103r2022
Month No.. 12
Cost C•ntre Report
AcDJ¥
tyJ•l Yo•r
Curtwl
CJJff•ntlkn TOO*• 1•AWIBL￿
Comm￿•d
Fundy
% Sp•nt
Tr•n$f•
IDfftorn EMR
1401 GROUNOS SAL RECFIARGE
12.296
4.085
4,240
9),612
13.259
16,076
1.826
2.414
59,710
14.420
17,8C¥)
8,898
8,898
85.1
1402 GROUNDS GEN RECHARGE
1403 AOMIN SAL RECHARGE
92.0%
1,724
1,724
9).3%
1411 INSURANCE
161 100.3%
11341 105.986
1211 130.3Y•
137TI 116.8%
1761 359.3%
401
83.8%
1412 TELEPHONES
11341
1420 WATER CHGES THE GREEN
91
70
1422 WATER CARTER REC
233
2.627
2.250
13771
1423 WATER SELLORS PF
(781
401
1424 GAS
2.049
1260
1.570
2.450
I.¢Y20
1.170
1425 ELECTRICITY PAVILION
12401
14001
70
12401 123.S%
14001 134.2%
76 89,7%
0 100.0%
1426 ELECTRICITY MAINT. UNIT
122
1427 ELECTRICITY SELLORS PF
1428 R&R FUND PREFJ CONTRIB
14
174
1.500
250
1.5)0
420
1429 CLEANING MAT. ELMS PK PAV
222
222 47.0%
1420 FURNITURE a FITTINGS
160
1431 BUILD. MAINT. ALARM
2,no
12.792
2,280
12,4TrJ
14901
13921
14901 121.5%
13921 103,2%
0.0%
1432 MAINTENANce OF GROUNOS
1.196
1424 BOILERIWATER TESTING
1435 REP￿R8. VANOALISM
160
0.0%
1437 CHILDRENS Eauip MAINT.
202
1.100
49.6%
1438 RIR FUNO EQVIP CONTR18
0 100.0%
1439 PROPERTY VALUATION PAV
0.0%
1441 PROPERTY VALUATION M.U.
0.0%
1445 CCTV MoNITORINGI￿NT.
158
1561
245
1501 156,1%
245
15.5%
1448 WAR MEMORAL
1449 ELECTRICITY TPIE GREEN
41
459
310
11491
11491 148.0%
171 103.6%
113 96.881
1454 FIRE APPLIANCE MAINT.
207
207
1451 DISPOSAL OF VIASTE
612
3,457
3.570
2.27Q
113
1457 DISPOSAL OF DOG WASTE
1,734
100
307
23.6%
1458 CLEANING EQUIPMENT
1C
0.0%
63.0%
1459 SUNDRY ITEKIS
343
P￿￿n0 Fleldi:. Inthrnct EXp•￿tur•
24.973
117,456
13.654
13.854 89.6%
N•1 Inrom• ov•r EAp•ndblur•
123,7Q61 1104,9061 1119.1701 1102641
105 JU￿lee Clubhouse
1582 SOCCER IJUNIORI
1584 CHGS REGULAR LEISEDUC
1.251
6.203
2,970
13,2331
2.$37
12,8701
208,9%
445
1,753
40.9%
1589 OTHER IINCLUD. CORE USE)
1.110
358 6%
Jut4kn Clubhe4J¥e:. InMme
1,985
11,930
8.370
13,S661
142.0%
Conlknuod over pw•

2010512022
RUDDINGTON PARISH COUNCIL
Page 4
13..34
D•tsll•d InGom• & Exp•rKlitur• by 8udprt H**ding 31103r2022
Month No.. 12
fvthJ*
J* Y•ar
Cuff•Di
Van1￿ Commfftl
FurKI$
¢urr•M4th TOD*• A¥•tht40
% Spunl
TrHn81or
tollrom EMR
1501 GROUNDS SAL RECHARGE
2.661
10,752
t1.930
1.178
1.178 gJ.1%
35 91.2%
163 W.2%
1502 GROUNDS GEN REGPIARGE
1503 ADMIN SAL RECHARGE
1.507
1.670
20
163
1511 INSURANCE
631
16111 31SS.3%
99.7%
1512 TELEPHONE IALARAII
1520 WATER
25
41
77
77.3%
1521 RATES
3.792
3.870
2YJ
78 98.0%
IS22 ALARKI & CCTV MAINT.
182
64.6%
1524 GAS
439
2.130
1.820
1.020
449
449 78.9%
1525 ELECTRicfTY
227
2.144
13241
13741
13241 117.8%
13741 136.7%
1528 REPAlflS a MAINTENANCE
1.394
1528 R & R FUND CONTRIBUTION
1329 CLEANING MATERIALS
0 1￿.0%
78.2%
510
121
IS30 FURNITURE & FITTINGS
75
85
46.9%
1034 BQILERIWATER TESTING
0.0%
1535 VANDALISM
100
0.0%
59.1 %
1542 FIRE APPLIANCE MAINT.
148
148
102
102
1544 VALUATION OF 8UILOING
0.0%
1546 DISPOSAL OF WASTE
47
4x1
129 70.0%
1555 PROTECTIVE CLOTHING
0.0%
1558 CLEANING ÉQUIPMENT
2C
0.0%
1559 SUNDRIES
14
14
137
137
9.0%
Jubllw ¢￿tsh￿￿:. Indlr•¢t EXF•1￿Ur•
4.112
25.978
27,7eO
1.7•4
N•1 Incom• w•r Exp•ndltsrn
12.1271
119.Jg01
15,3501
108 C8r Pa
1688 INCOME FROM LETTING
99.8%
#B.8%
1629 CAR P*AK. QU*ATERLY ¢XEAN
1.266
620
$20
100.0%
Car PaFk :. t*r•¢¢ EynthbJr•
1001 GROUNDS SAL RECHARGE
1206
100.0%
0.0%
1401
1401
1802 GROUNDS GEN RECHARGE
95.5%
1603 ADMIN SAL RECHARGE
91.3%
1628 R&R FUND CONTRIBVTION
1.500
100.0%
1641 GONTINGENCY
280
Car Park :_ Indlract Expendkur•
1,461
2.130
269 97.4%
N•t Incom• o¥•r Exp•ndlbJrn
11.3$21
11.7001
12671
Conlnued ovor poga

2010512022
RUDDINGTON PARISH COUNCIL
Page 5
13".34
O•t•il•d InGTh & Exp•rKlitsrn by Budw H••ding 31103r2022
Month No.. 12
C￿1 Centre Report
A¢DJ¥
A¢w•l Y••v
V4n•w Cornmrtt•J
FufA*B
% Sp*nt
lThi EMR
107 V*ar
e Lane Cemete
1781 INTER. FEES (VLCIGORI
1782 MEMORIAL FEES
1784 GRAVE SPACE SALE VLC
1.8B9
191
90.8%
1.339
4.491
456
820
15191
12.2911
14081
163.3%
204.1%
1786 PIEMORIAL BOULOER SALE
916.0%
1787 ASH VAULT SALE GOR
35
l.C65
1,430
74.5%
9,242
7.045
140.5%
1701 GROUNDS SAL RECHARGE
1287
16951
104
16951 110.9%
104 91.4%
1702 GROUNDS GEN RECHARGE
343
1.106
1.210
2.7É0
1703 ADMIN SAL RECHARGE
2,512
268 SX).4%
1722 WATER SVPPLY
17
13381
13751
12
13381 775.7%
13751 152.0%
96.1%
1727 GROUNDS MAINT INCLUD WASTE
542
1.095
72YI
1728 ADMIN IS MAPPING SYSTEMS
310
172e ASH VALILT PURCHASE
2.240
11.1801
11,1801 2t1.3%
15361 388 0%
1730 BOULDEFUPLivfREE PURCH.
736
V￿ra96 ￿ne Comet•ry :. IndIre￿ Expmdblure
3,371
15.411
12.110
12.7391
12.7391 121.0%
tr4•t Incom• ov•r Exp•nd￿r•
13.JJll
16,1781
108 Sl P818¢8 Ghurch ard
1801 GROUNDS SAL RECHARGE
3.861
575
15811 117.0%
55 91.2%
1802 OROVNDS GEN RECHARGE
1803 ADMIN SAL RECHARGE
176
630
S3
220
19
19 91.3%
St P•t•¢• Chu￿hY1rd :. Ind*•d Exp•ndMw•
4.037
4,100
14071 111.7%
N*t Exp•ndllurt
14.037)
487
109 Am8n11i￿ Proleci8
1929 R&R OTHER AMENITIES
2.500
l.Cl)O
0 100.11%
1930 R&R TREE FUND CONTRIB.
0 100.0%
Am•nlUM Proixty :. lfidir•u E¥pwdllw•
J.$00
100.
N•t Exp•nd114Y•
IJ,soDI
1).5001
110 Health & Selety M&nagemeni
11001 H&S- GROUNDS SAL RECHARGE
11003 H&S- ADMIN SAL RECHARGE
S.480
2.274
2.274 58.5%
29
91.3%
301
Heai¢h & S8fvty MaMoemeni:. I￿11¢¢1 E*ptnthJ
102
3.507
5,810
1303
2.303
0.4%
N•t Exwndilu
11021
13.5071
15.8101
12.3031
Conunu•d over p•

2010512022
RUDDINGTON PARISH COUNCIL
Pao¢ 6
13..34
Dtlaiw & E¥p¢nditur• by Budg•t I1•ad￿9 J110312022
Month No-. 12
Cost Cgrbtr• R•port
Y￿r
Currthii
Fu￿$
¢ufMniMth ToO*o knrw•lBwJ knnL¥ITo*i EXP￿￿￿ A¥*
% SpaDI
Transfér
tolkn EMR
200 Communil Cenlre
2011 CC- INSURANCE
399
4C#)
998%
2021 CC- Rai88
4.142
201
4.220
240
78 98.1%
39 837%
2024 GG- GAS
Comm￿lIY Cwtre:. E¥per*JlbJre
4.742
118
118
97.1%
N•t Exp•nd*w•
1321
14,8601
201 Env*cfjmenl
2178 NEWSLETTER SPONSORSHIP
720
720
0,0%
2183 XMAS TREE DONATION
750
938%
Env*onmeTrt:. If￿¢M*
7SO
1.520
2.250
310
49.3%
2164 EVENT EXPENOITURE
267
1.9B3
310
1.983
11.9%
21e6 OEF18RILLATOR MAINTENANCE
310
0.0%
En¥*onmenl:. Dirxt Exyndiiure
10•
X7
2.293
2,293
15061 121.5%
118 91.4%
10.4%
2101 GROUNDS SAL RECHARGE
2102 GROUNDS GEN RECHARGE
2103 ADMIN SAL RECHARGE
I,S48
2.856
1,252
1.370
2,￿9
221
221
J.1%
2110 COMMUNITY 8VS
1.170
1.170
1.170
161 103.8%
0.0%
0.0%
2111 INSURANCE
161
2134 OPEN FORUM IBUSINESSESI
2143 R&R FUND ENV. ASS. CONT.
0 100.0%
2144 PRODUCTION OF NEWSLEThER
310
6.110
8,120
10
10
99.8%
2146 TWINNING
1.$30
510
1.530
510
0.0%
2147 TOURISM
510
0.0%
2152 PARISH PATHS- CONfRS CHARGES
970
99.4
2155 GUIDEIWE8SITE GEN COSTS
425
15 96.6%
2162 XMAS TREES & WINDOW COMP
617
344 84.2%
En¥*cfflm8nl:. lThJ*eci E¥wMtur•
15.QOD
18.410
3.400
Net Inwm• o¥•r Exp•ndltsrn
13.1621
301 Admlnlslr81ion
3177 PHOTOCOPY CHARGES
60.0%
3180 HIRE OF PROJECTOR
0.0%
AdMIr￿Stra￿ :. Irwe
70
42.9%
3111 INSURANCES
1.573
1.100
970
14731
19
14731 143.0%
19 98.0%
3112 TELEPHONESIINTERNET
951
3113 PRINTING & STATIONERY
73
870
318
318 63.5%
CMUDu•d ty•r

2010512022
RUOOINGTON PARISH COUNCIL
Pag¢ 7
13..34
D•t*ll•d kncom• & Exptndilurt by Budg•t Huding 311031202Z
Mobth Mts.. 12
eo•t e•ntr• R•port
cuJ¥
AC*j￿ y￿r
Fu￿Yo
Jmlllth Too*• *nrMIlTotsi Av•i
%5pe
TrdTrJfèi
lofftorn EMR
3114 posfAGE
959
1991
120
1991 111.5%
0.0%
71.1%
3116 BOOKS, PERIODICALS ETC
3117 AUDIT FEE
120
2.250
2.100
69J
3118 DATA REGISTER
87.5%
3119 GENERAL OFFICE EXPENSES
12611
12611 230.3%
1,629
41.8%
3131 PHOTOCOP1É5
377
3132 PHOTOCOPIÉR LEASE
15
15 98.2%
3133 COMPUTER MAINTENANCE
4.489
4.240
12491
12491 105.W
100.0%
3134 R&R ICT FUND CONTRIB.
1.500
3181 SU8SCRIPTIONS
1.188
1,188 35.8%
A¢knlnl•tyatlon :. I￿1r•¢I Exp•r4JbJM
14.796
17.1•0
2,M2
2,e82 83.8%
N•1 Ineom• *)¥•r ExP•nd1￿v*
114.7UI
117.S•01
12.8221
302 Olhor Ex￿n80$
3230 NEIGHBOURHOOD P
13201
13201
othv Exwr￿u.. DI￿t ExK*ndrturn
1903 ADMIN SAL RECHARGE
13201
163
13201
163 ¥h),2%
1.507
1.670
3211 CONTR8N TO R&R GENERAL 8 LEGAL
1.000
0 100.0
3220 SUPERANN- ADDITIONAL CONT8N
9)3
6,025
8.030
99,9%
3271 ELECTN EQ. FUNO CONT
100.0%
Oth•r Exp•n•os:. Indkrtt Eyp•rnJrtur•
8.JJ2
168
10B 98.1%
N•t Exp•hdltw•
19.1521
19.0001
152
303 Other Income
3396 INTEREST PSDF
7e
35.3%
3396 BANK INTEREST. DEPOSIT AIC
11001
Other IrKcffje:. IrK*Jme
3270 BANK GHARGES WORLD PAY
7JO
48.0%
169
720
1%
¢￿er Inwn•:. lThJlieci Expeftthture
720
tyJ.1%
N•t Incom• ov•r Exp•ndltyr•
17
13561
304 De￿(￿rats¢ ExpEnses
3403 AOMIN SAL RECHARGE
11.979
45.365
$0.070
4.705
4,705
90.6%
Democrallc Expen888:. lThJlrect Expenthrt
11,979
45,365
$0.070
4.705
4.705
90.8%
N•t EAp•ndi4u
145,3851
150,0701
14.7051
Ccntinued ov•r page

2010￿2022
RUDDINGTON PARISH COUNCIL
Page 8
13..34
Delail•d Inc￿ & Exp•ndltsr• by Budo•t H•*dln• 31103r2022
Month No.. 12
C¢di C*ntr¢ Rèport
Yw
Cupr￿1
vArL9￿ Cornrfidt￿ Fur
Curith)tllth ToDaie th¥￿IT0￿ Ex[￿ A¥*
% Sppnl
IDlknm EIAR
305 Commun
R•la￿)nsIPub
3503 ADFJIN SAL RECHGE
3.710
14.115
15.580
1.465
1.465
90.6%
¢¢ynmynity R8latr)nWPub :. Indhd EAp¢ndilwe
3.710
14.113
1&S
1.40$
1.405
N•1 E¥p•ndltur•
13.7101
11S.S801
11,4651
306 Prknary Fundir¥J
3676 PRECEPT
314.274
314.274
100.0%
pnm•ry Fumkig:.
314,274
J14.274
100.1
N•t Incom•
314.274
314,274
307 Adm S137 Ex
nditure
3703 S137. ADMIN SAL RECHARGE
220
0.0%
3742 S137- BOUQUETSIWREATH
130
0.0%
3755 S137. UNALLOC 8UDGET
476
694 72.2%
Adrn S137 Exp•n¢Mur•:. Indtr•ct EX[th￿re
475
2,850
1.044 6J.4%
N•t Exp•ndl¢ur•
14751
11.8061
12.0501
310 ChBITmBn's AIIOWOnc¢
3411 CHAIRMANS ALLOWANCE
113
387
387
22.7%
Chalrman* Alhyw4rt•:. Indlrxt Exp•ThJNur•
387
387
22.7%
1321
Grand TotAl$'.. Income
4.302
318,725
375.084
113.8411
103.0%
Expendrtufe
N•t In¢om• ov•r Exp•ndltuf• 101.7001
70.017
338.061
375.010
36219
Y8.219
49.864
149,•001
Mo¥•m•nt tollfroml G•n R•••ry• 161.7061

Section 1- Annual Governance Statement 2021122
We acknowledge as the members ot.
Ruddington PaTish Council
our responsibility for ensuring that there is a sound syslern of intemal control, including arrangements for
the preparation of the Accounting Statements. We confirm, to the best of our knothge and belief, with
respect to the Accounting Statements for the year ended 31 March 2022, that
Agrocd
Yè&
'Yes'rneans Ih8t this suf1￿￿ty..
p)Tpar8dlts gC(X7untlFyslat$m6nts iR￿cOrt18￿tr
wilh theAGLX)Urts erJdAudit Reg1￿10
1. ha¥e put In place arrangements fer finandAI
management durlrvJ th8 y&8r, forthe wppar8tion of
Ihe sl¥tem8nl8.
2. W& maintained an adequ￿te system of intemol contrcl
Inc￿ng me8$urwJ de￿ned to prevenl arKI detocl fr4ud
and coftuporffi and re￿N￿d Its effectr￿en8$8.
mad8 propsraTrBrJpments8nd8¢C6p16d r8$pJnstblty
fwselegU8tLYfjty thopublic nwK￿Yo￿rfr8$oUToeS1n
Its charyg.
3. Wo lo(￿ all rea￿nab￿ steps to ourse￿$
thatth8re arn no matters of athugl orwlenti81
non•N￿lIn￿ vAlh lawJ. regul@tkn￿ and Pryr
Pracll*s that could have a stynth¢ant firyancj￿ eifect
on th& ofthlg gutrKxlty to conduct Its
bJ%lness ￿m￿age rts fin8n¢es.
4. W8 provided properoppcrtunrty durlno yè£rfor
the Èxertiye ofeWor¥'riyhts Tn occordwrte w51h the
r09￿r*[￿8￿ts oflheAccounts andAudtt
5. W& Carr￿ out ￿ a&5&86ment of the rfsks f8￿n9 INS
authorfty arvj 4VDI￿ate step5 to msnage those
sk8. Indudlng th8 Introduckn of Intemd tt)ntral8 ￿MY0[
e¥lemal insurance covers¥￿re requlred.
6. We maint8ln8d throughout thè an adequBte Jnd
effective $ystern of Intem81 auditof the ac(x￿￿￿1¥Y
r&Kx)rds and (wtrol syslems.
7. W& knok oppr(wd$te adon on all Matte￿ r8188tt
In rnport8 from Inten￿ 8NJ éxt•md audit.
8. con&ldfjreil wktherary lllkjalkn. K8bllhks OF
cornrnrfrnents. events or Irangactions. ocvjrrlng &llh8r
durfrvj or afterthe ye8r•d. havè a f￿an￿￿1 Irry)act on
Ihls aLthffjI and. *t*re approprfaie, M¥e Incl￿ed
in the acts)unUng st818m8nts.
g. (For b¢¥1 g)undL4 ￿ty>TnJ￿t fvnds Includlng
th8r*tabl8. In (Ajr the sole rn8naglrvJ
truste8 ￿ dlsc*arged ow accountaknlity
$pOn$4trAm￿ ftsr￿ fvndlsya%8el8, IndL*llrvJ
flrwK4DI and. Ifretyired. independent
exanination oraud
h8$ ontydon¢ whotllh88 thel8g81pwlo do 8nclh8S
rA)mp118LI PropwPr8Gli¢esh doh7g 60.
duriw theye8rge¥t ￿l￿r$On$￿te￿Btedthe DPPOrtunlty to
Inspocl•n& q￿S￿On8 8boul Ulis auEhoHty& dcrA)L￿.
r8co$ onddeoK with th9rn
?Irols ondproGodur8$, 10 ofyacti￿ viswon wh8th8r
inlern81 wntrols rn￿$ the n88ds ofthtssm8118r&uthorty.
responded to m8tters broughl lolts 8tteth bylrkemeland
trxlom818udit.
thEclossd 8￿ry￿nglI shouldh&v&8boutits buwnag5 acti¥41y
urfng ¢heyearlncludknp ev&nls t8klngplaGe aft8rlhe IFar
Yes
No
h88 m8È811ofAs rnsport￿lifve5 Lthep. 85 8 t
corwofe, il man8gfvw t￿￿[86 of8 Itxal
t￿stor1r￿sts.
'Pleasa providè 8xplanatrons lo the exteTnal auditor on a separate sheet fgr ga¢h'No' response and describe h1￿ the
authority will address the we8knès$a$ identified. These sheets musl be published with the Annual Govewn3nce Stalem8nl.
This Annual Gov&mance Stat￿0n1 wa$ approved al a
meetlng ofthe aLthoTity on..
Stgned by the Chairnian and Clerk of the meeting where
approval was gNen=
and recorded a5 minute referenc•:
Chamian
.21/06123
Clerk
https:Ilruddingtonparishcouncil.gov.ukl
Annual Governance andAccounlability Reium 2021122 Fomi 3
Local coU￿11s, Intam81 Drainag8 Boar(J$ and other SmallerAuthorities'
P8ge4of6

Section 2- Accounting Statements 2021122 for
Ruddington Parish Council
Year ending
31 Marth
31 Marc
2021
2022
Notes and guidance
Please roiind all figures to neaiesf £1 Do i?ot leave 3ny
boxes blank ancl report £0 or Nil balances. All fig11￿$ miisl
a9rte to iiiiclertying fii?ai?¢ial iecords.
Tot81 b6lènee$ ￿SeNe5 at the begjnning of tt)eyear
as record&din the ffiancialrecords. Value musfagree to
Box 7 ofprev￿8 ye8r.
Total amountofpr8cept (orforlDBs ratos andlowes)
celved orreceivable In theyear. Exdudg anygranls
1. Ba18n￿S brought
foward
38,664
75,20
2.1+1 Procw or Rat9$ and
Lewes
310,470
314,274
3.1+1 Total other receipts
Totallncon7e orfft*ipts as rncothLI in the casl)book less
Ihe prec8Pt orr8t&￿VIes rec&lv8d(llne 2). Incl￿18 any
gr8nt8 received.
Tot&1 exp6ndttum or￿yments made to 8nd on l)&ho11
of allomployee8. InGlude gross sal8rf8s and wagos,
8mploy8rs Nl conlnbtrfltsns, 8mployersp8nslc*7
contributsons, gr8tuitle$ andsgver8ncepayments.
Total 8xp8nditure orp8ymgnt8 of wlt818ndint$r851
m8dÉTr durfng the yearon the SLrthoritys borrDwlngs (If8ny).
71.229
184,60
(_} Staff ¢osts
208,121
212,96
5.1-1 Loan intsre8Vc8pitsl
repayments
6. 1.1 All olhor payments
Total8xp9ndlture orpS￿8￿*S 8s rpcorLledln the cash-
bt)ok l*s$ skff Costs (liftg 4) ènd loèn intérèstlcapitèl
rEp8ymenfs (Ime 5).
Total balances and resems 8t the and of the year. Must
69ual (1+2+3)- (4+5+6).
137,040
172.12
7.1-1 Balances carried
foThY•rd
75,202
188,9
8. Total value of cash and
short term investments
The sufft olall curmnland dep05itbarJkaccounts, cash
holdlk7gs andshort t8m7 Invgstments held a$ 8t 31 Al8trh_
To a￿￿e wlth bank rew￿l11allO￿.
The value olAII Iho property the 8ulhorftyowns- made
(w of allts fixed ass&ts andlong tenn Inv￿67?8nts 88 ar
37 Marcl7.
Th8 Outstanding c8pital b8181fC8 as 4t 31 M8rrh of811108ns
from thlrdpartles (IncI(￿1n9 PWLB).
79,839
197,951
9. Total fixed assets plus
long tenn investments
and assets
10. Totsl bomirvjs
3,245,223
3,249,84
11. (For Lo￿1 Coundls Only)
Drsclosur8 note T8 Tnlst tund8
Oncludlng tharrtab￿I
Yes
NIA
The C<¥Un￿l. a5 a body corpoTrl8. 8c15 as sole Émst80 fDr
and Is rgspon8lbl8 forman89lng Tkvst ftmds or8ssets.
N.B 7h& figur8s In thg a￿0￿￿tIng statements above do
nol indudg any TnJsÉ transath8.
I certfy that forlhe year ended 31 Marth 2022 th8 Accwnltng
Statements In thls Ann￿￿ Govèmane8 and Accountabflty
Retum ha￿ baen prepared on either a r￿Ipts and payTnents
or Income and expendlture ba￿5 foll￿ng the guidance In
Govemance and Aco)untability for SmallerAuthorilies- a
Practrtlone￿, Guide to Proper Praetiees and presentfairfy
the Ilnancigl posthon of this auth￿lty.
Signed by Responsible FinanrAal 0ffi¢gr bgfvrg beSr
pr98entsd to the authority for app￿v$1
I confmi that theseAccountin9 Statements wer•
approved by this authority on thi8 dale..
¥jo612z
as T0￿rdad in minute r8f•r8nc¥.'
C, 12106/14
Sigrwl by Chalman of the moollng whoTe thtsAc¢ounting
Statemgnl$ wgr¢ 8pprov
Date
2¥10&112
Annual Govemanco and Account8bilty Re￿M 2021r22 Form 3
Loc81 Councils, Internal Drainage Boards and other SmallerAuthorities'
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