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2024-04-05-accounts

Rotary Club of Caterham Charity

Fund Trustees Annual Report

Year Ending 5[th] April 2024

  1. Registered name: Rotary Club of Caterham Charity Fund 2. Charity number: 254116 3. Principal Address: 24, Loxford Road, Caterham CR3 6BH

  2. Governing Document: Declaration of Trust dated 11[th] May 1966

  3. Trustees: Keith Lawrance David Mole William Ridley

Treasurer: Peter Georgiades

These Trustees are subject to appointment and removal by resolution of the Members of the Rotary Club of Caterham and act in accordance with directions given by such Members in duly constituted meetings of the Club.

  1. Bankers:

Lloyds Bank, Caterham, Surrey

  1. Independent Examiner: Mrs Chantal Baker, Champ Consultants Limited, 34, Croydon Road, Caterham CR3 6QB

  2. Activities restricted to general charitable objects and purposes

  3. Investment Powers under wider range securities as defined by the Trustee Investment Act 1961, as amended.

Aims and Organisation

To raise, receive and administer funds from public, private or other sources to enable the Rotary Club of Caterham to carry out charitable projects for the international community, the local community, individuals and other bodies to include charitable donations where appropriate.

Organisation is through duly appointed committees of the Club subject to approval or ratification by Members of the Club in general meeting and by the Club Council in accordance with its authorised powers as confirmed by the Members of the Club in general meeting.

Review of the Activities during the Year 2023-2024

There were a wide range of charitable activities during the year to collect funds and to distribute them amongst local, educational and international recipients. The amounts raised and expended are listed in the notes to the accounts attached.

Statement of the Trustees Responsibilities

The Trustees are responsible for keeping proper books of account and preparing, in accordance with applicable accounting standards, consecutive financial statements consisting of a statement of financial activities, balance sheet and notes to the accounts. The Trustees are responsible for safeguarding the assets of the Club and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities. The report and accounts are prepared in accordance with the Charities Act 2011.

Reserve Policy

The charity has no formal reserves, but the Trustees aim to retain an amount in the cash accounts such that the balance in the accounts at year end should be sufficient to cover the net budgeted donations and necessary expenditure planned for the following year. This would allow the programme of donations and necessary expenditure to be maintained in the event of a sudden drop in income, such as that caused by the 2020 corona virus outbreak.

Independent Examiner: Mrs Chantal Baker, Champ Consultants Limited, 34, Croydon Road, Caterham CR3 6QB

Approved by the Trustees on the 26[th] September 2024

K. Lawrance D.H.Mole W.J.Ridley Trustee Trustee Trustee

Independent Examiner’s Report to the Trustees of The Rotary Club of Caterham Charity Funds (the Club)

I have reviewed the accounts of the Club for the year ended 5 April 2024 which comprise the Balance Sheet, Statement of Financial Activities and the related notes. These accounts have been prepared in accordance with the accounting policies set out therein.

This report is made solely to the Trustees, as a body. My review has been undertaken so that I may state to the Trustees those matters herein I have agreed with them and for no other purpose. To the fullest extent permitted by law, I do not accept or assume responsibility to anyone other than the Trustees as a body for my work, for this report or the conclusions I have formed.

Trustees’ responsibility for the accounts

As explained in the Trustees’ Responsibilities Statement the Trustees are responsible for the preparation of the accounts of the Club. The Trustees consider that an audit is not required and that an assurance review is needed.

Accountant’s responsibility

My responsibility is to express a conclusion based on my review of the accounts. Scope of the Assurance Review

My review includes a review of the accounting records kept by the Club and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts and seeking explanations from the Trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the Club accounts present a ‘true and fair’ view and the report is limited to those matters set out in the statement below.

Independent examiner’s statement

In connection with my review, no matter has come to my attention: which gives me reasonable cause to believe that, in any material respect, the requirement to keep accounting records in accordance with the Charities Act has not been met; or to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts of the Club to be reached.

Date: .. / .. / 2024

Original Signed by Mrs Chantal Baker

Mrs Chantal Baker is registered to carry out an independent review in the UK by the Association of Chartered Certified Accountants

THE ROTARY CLUB OF CATERHAM CHARITY FUNDS STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDING 5TH APRIL 2024

Income Resources
Donations & Gifts
Fund Raising
Sub-Total
Sand Dam Money held
Total
Resources Expended
Direct Charitable Expenses
Sand Dam Money Donated
Total
Excess of Income over Expenditure
Total Funds Brought Forward
Total Funds Carried Forward
Notes
2024
£
2023
£
4
15,652
550
5
25,903
41,555
14,000
55,555
32,174
32,724
5
19,997
14,000
33,997
34,266
21,558
-1,542
3
18,211
39,769
19,753
18,211

K.J. Lawrance D.H.Mole W.J. Ridley Trustee Trustee Trustee

THE ROTARY CLUB OF CATERHAM CHARITY FUNDS BALANCE SHEET AS AT 5TH APRIL 2024

Notes 2024 2023
£ £
Current Assets
Cash at Bank 39,769 18,211
Cheques Outstanding 0 0
39,769 18.211
Bank Accounts
General Charity Fund 35,819 14,293
Deposit Account 3078 3046
ES13 Half Marathon Account 872 872
Total 39,769 18,211

THE ROTARY CLUB OF CATERHAM CHARITY FUNDS

NOTES ON ACCOUNTS FOR Y/E 5TH APRIL 2024

1. Accounting Policies and Statement of Recommended Practice Accounting.

The Statement of Accounts has been prepared in accordance with the Charity (Accounts and Reports) Regulations 1995

2. Income and Expenditure

Income and Expenditure is on a receipts and payments basis. There are no known liabilities at the yearend of a material amount and the basis gives a true, fair and consistent view of the annual income and expenditure.

3. Year End Adjustments

There were no year-end adjustments.

4. Donations and Gifts

4. Donations and Gifts
£
Members’covenanted and other donations 10,000
Tax refunded and included in Members’donations 5,652

5. Sand Dams

Money was held on behalf of other Organisations (C.O.A.T, various Rotary Clubs plus Rotary District Grant) to be donated to Sand Dams International.

Fundraising Activities

Amazon Core 22
Bunny Fun Run 23 521
Charity Matches: Darts & Skittles 36
Cricket Day Pimms Tent 108
Donations 295
Father Christmas Knights Garden Centre 500
Fork & Spade Donations 75
Fugal Lunch 322
Golf Day 2023 5745
Golf Day 2024 100
Interest 32
Knights Garden Christmas Collection 3161
Mulled Wine Sales at Christmas Street Market 1009
Pimms Tent: Carnival 851
Pimms Tent: Street Party 1249
Pimms Tent: Whyteleafe: Coronation Weekend 112
Radiators Evening 1588
Reachout: Donations from Guests 181
Santa Tours Collection 8685
Tandridge Lottery 28
Tesco Collection 1154
Waitrose Sing song donations 129
25903

Charitable Expenses:

Charitable Expenses:
A) Donations
Archeological Dig: East Surrey Museum 250
Bags of Hope Scheme Donation 16
Carnival Prizes 250
Caterham Station Project 43
Community Responders (donation for Defibrillator
Training) 500
Cricket Day Share of Profit 50
Defibrillator Batteries 1032
Foundation Contribution 1000
Girl Guides Caterham Donation 310
Home From Hospital Bags 6
Lend with Care 850
Poppy Wreaths 140
Railway Project expense 86
Reachout 2164
Refurbishment of flat 500
RYLA (Rotary Youth Leadership Award) sponsorship 420
Salvation Army Toy Appeal expenses 298
Samaritans Reigate (Donation from Santa Tour) 1500
Sand Dams 3500
Scout/Guide Jamboree 200
St. Catherine's Hospice (from Golf Day) 500
Sunnydown School Cycle Challenge 100
Westway Centre Xmas lunch Donation 500
Whyteleaf School donation: Washing machine 50
Young Photographer Competition 210
14,475
B) Necessary Expenses on Fundraising Events
Food Safety at Work Course 14
Golf Day 2023: Expenses 2129
Mulled wine stall expenses 514
Pimms Tent: Street Party: expenses 347
Radiators Evening Expenses 995
Santa Tour Expenses 1522
5,521