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2023-02-28-accounts

Trustees C R Leah, Chairman Chairman Chairman
C Bustard
R Ellis
A Gardner-Collie
P A Meade
J Phillips
J F Wilson
Company registered
number 01130628
Charity registered
number 266374
Registered office Bressingham Steam Museum
Low Road
Diss
Norfolk
IP22 2AA
Company secretary J F Wilson
Accountants Peters Elworthy & Moore
Chartered Accountants
Salisbury House
Station Road
Cambridge
CB1 2LA
Bankers I loyds Bank Pic
3Market
Hill
Diss
Norfolk
IP22 4JZ
Solicitors Gudgeons Prentice
Buttermarket
Stowmarket
Suffolk
IP14 1ED
Insurers Insurance Risk Solutions
Dettingden House
Dettingden Way
Bury St. Edmonds
Suffolk
IP33 3TU

Unrestricted Restricted Total Total
funds funds funds funds
2022 2022 2022 2021
Note 5 5 E
INCOME FROM:
Donations 88,078 8,599 96,677 239,552
Charitable
activities
683,784 683,784 302,740
Other trading
activities - commercial
trading 80,324 80,324 43,823
Investments 12 12 16
Other income 28,702 42,139 70,841 288,480
TOTAL INCOME 880,900 50,738 931,638 874,611
EXPENDITURE ON:
Raising funds 106,193 106,193 38,218
Charitable
activities
658,562 81,146 739,708 556,658
TOTAL EXPENDITURE 764,755 81,146 845,901 594,876
NET INCOME/(EXPENDITURE) 116,145 (30,408) 85,737 279,735
Transfers between funds 20 90,684 (90,684)
NET MOVEMENT IN FUNDS 206,829 (121,092) 85,737 279,735
RECONCILIATION OF FUNDS:
Total funds brought forward 2,675,823 141,307 2,817,130 2,537,395
Net movement
in funds
206,829 (121,092) 85,737 279,735
TOTAL FUNDS CARRIED FORWARD 2,882,652 20,215 2,902,867 2,817,130

CONSOLIDATED BALANCE SHEET
AS AT 28 FEBRUARY 2022
2022 2021
Note 6 6
FIXEDASSETS
Tangible assets 12 463,474 423,193
Heritage assets 13 2,067,170 2,061,220
2,530,644 2,484,413
CURRENT ASSETS
Stocks 16 60,012 61,813
Debtors 17 25,288 76,988
Cash at bank and in hand 449,239 364,106
534,539 502,907
Creditors: amounts falling due within one
year 18 (129,816) (119,944)
NET CURRENT ASSETS 404,723 382,963
TOTAL ASSETS LESSCURRENT
LIABILITIES 2,935,367 2,867,376
Creditors: amounts falling due after more
than one year 19 (32,500) (50,246)
TOTAL NET ASSETS 2,902,867 2,817,130
CHARITY FUNDS
Restricted funds 20 20,215 141,307
Unrestricted
funds
20 2,882,652 2,675,823
TOTAL FUNDS 2,902,867 2,817,130

COMPANY BALANCE SHEET
AS AT 28 FEBRUARY 2022
2022 2021
Note E
FIXEDASSETS
Tangible assets 12 454,576 419,955
Heritage assets 13 2,067,170 2,061,220
Investments 15 100 100
2,521,846 2,481,275
CURRENT ASSETS
Stocks 16 37,297 42,246
Debtors 17 65,475 66,406
Cash at bank and in hand 448,589 363,455
551,361 472,107
Creditors: amounts falling due within one
year 18 (105,894) (96,149)
NET CURRENT ASSETS 445,467 375,958
TOTAL ASSETSLESSCURRENT
LIABILITIES 2,967,313 2,857,233
Creditors: amounts falling due after more
than one year 19 (32,500) (50,246)
TOTAL NET ASSETS 2,934,813 2,806,987
CHARITY FUNDS
Restricted funds 20 20,215 141,307
Unrestricted
funds
20 2,914,598 2,665,680
TOTAL FUNDS 2,934,813 2,806,987

2022 2021
Note 5
CASH FLOWS FROM OPERATING ACTIVITIES
Net cash provided
by operating
activities
22 227,241 323,808
CASH FLOWS FROM INVESTING ACTIVITIES
Dividends,
interests and rents from
investments 12 16
Purchase
oftangible fixed assets
(115,976) (27,103)
NET CASH USED IN INVESTING ACTIVITIES (115,964) (27,087)
CASH FLOWS FROM FINANCING ACTIVITIES
Cash inflowe from new borrowing 50,000
Repayments
of borrowing
(22,545) (37,835)
Interest paid (3,599) (3,593)
NET CASH (USED IN)/PROVIDED BYFINANCING ACTIVITIES (26,144) 8,572
CHANGE
IN CASH AND CASH EQUIVALENTS
IN THE YEAR 85,133 305,293
Cash and cash equivalents
at the beginning
ofthe year
364,106 58,813
CASH AND CASH EQUIVALENTS AT THE END OF THE YEAR 23 449,239 384,106

Unrestricted Restricted Total Total
funds funds funds funds
2022
F
2022
6
2022
6
2021f
Donations and gifts 8.886 8,599 17,485 36,060
Donations under Gift Aid 79,192 79,192 48,492
Grants 155,000
88,078 8,599 96,677 239,552
TOTAL 2021 82,616 156,936 239,552

Unrestricted Total Total
funds funds funds
2022 2022 2021
6 6
Sundry income 2,646 2,646 4,326
TOTAL 2021 4,326 4,326
Sundry income includes the sale ofgu(de books to visitors.

Unrestricted Total Total
funds funds funds
2022 2022 2021
6 6 6
Gift shop and cafS income 77,678 77,678 39,497
TOTAL 2021 39,497 39,497

Unrestricted Total Total
funds funds funds
2022 2022 2021
F E 5
Gift shop and cafe expenses 92,530 92,630 24,295
Gift shop and cafe staff costs 13,563 13,563 13,923
106,193 106,193 38,218
TOTAL 2021 38,218 38,218

Activities Support &
undertaken governance Total Total
directly costs funds funds
2022
6
2022
6
2022f 2021f
Preservation of steam engines 597,512 142,196 739,708 556,658
TOTAL 2021 442,591 114,067 556,658

Preservat
-ion of
steam Total Total
engines funds funds
2022 2022 2021
6 6 6
Staff costs 224,699 224,699 208,321
Garden costs &consumables 112,857 112,857 112,857
Maintenance &plant leasing 120,853 120,853 32,694
Fuel 24,078 24,078 9,107
Depreciation 66,165 66,165 50,372
Other running costs 48,860 48,860 29,240
597,512 597,512 442,591
TOTAL 2021 442,591 442,591

Preservat-
ion ofsteam Total Total
engines funds funds
2022 2022 2021
6 6 5
Office rent &receivables 1223 1 223 1,126
Heat & light 44,296 44,296 28,393
Insurances 33,266 33,266 29,698
Telephone, radio and stationery 23,255 23,255 17,109
Travel 1,903 1,903 595
Bank charges 6,200 6,200 7,523
Bank interest 3,538 3,538 3,819
Advertising 15,399 15,399 15,118
Independent Examiner's renumeration (governance) 13,116 13,116 10,686
142,196 142,198 114,067
TOTAL 2021 114,067 114,067

Group Group Group Company Company
2022 2021 2022 2021
5 5 6 5
Wages and salaries 217,743 203,294 204,180 189,371
Social security costs 11,496 9,855 11,496 9,856
Other pension costs 9,023 9,094 9,023 9,094
238,262 222,244 224,699 208,321
The average
number
ofpersons employed by the company during the year was as follows:
Group Group
2022 2021
No. No.
Engineering
Office
General maintenance
Seasonal
Souvenirs
15 17

Long-term
leasehold Plant and Otherfixed
property machinery Event assets assets Total
6 E E F 6
COST OR VALUATION
At 1 March 2021 783,401 318,839 180,419 1,282,659
Additions 41,609 22,543 45,874 110,026
At 28 February 2022 825,010 341,382 45,874 180,419 1,392,685
DEPRECIATION
At 1 March 2021 385,639 293,408 180,419 859,466
Charge for the year 46,031 14,022 9,692 69,745
At 28 February 2022 431,670 307,430 9,692 180,419 929,211
NET BOOK VALUE
At 28 February 2022 393,340 33,952 36,182 463,474
At 28 February 2021 397,762 25,431 423,193

Long-term
leasehold Plant and Fixtures and Other fixed
property
F.
machinery
5
fittings
5
assets
f
Total
E
COST OR VALUATION
At 1 March 2021 783,401 264,892 180,419 1,228,712
Additions 41,609 13,303 45,874 100,786
At 28 February 2022 825,010 278,195 45,874 180,419 1,329,498
DEPRECIATION
At 1 March 2021 385,639 242,699 180,419 808,757
Charge for the year 46,031 10,442 9,692 66,165
At 28 February 2022 431,670 253,141 9,692 180,419 874,922
NET BOOK VALUE
At 28 February 2022 393,340 25,054 36,182 454,576
At 28 February 2021 397,762 22,193 419,955

Heritage
assets Total
2022 2022
Carrying value at 1 March 2021 2,061,220 2,061,220
Additions 5,950 5,950
2,067,170 2,067,170

2022 2021 2020 2019 2018
E F 6
ADDITIONS
Purchases 5,950 145
Donations 9,850
TOTAL ADDITIONS 5,950 145 9,850
DISPOSALS
Carrying
value
1,750
Sale proceeds 1,458
TOTAL DISPOSALS 3,208

Group Group Company Company
2022 2021 2022 2021
6 E 5 5
Raw materials and goods for resale 60,012 61,813 37,297 42,246
DEBTORS
Group Group Company Company
2022 2021 2022 2021
6 6 5
DUE WITHIN ONE YEAR
Trade debtors 21,769 54,669 2,287 4.762
Amounts
owed by group undertakings
59,669 39,353
Other debtors 1,623 421 1,623 393
Prepayments and accrued income 1,126 21,741 1,126 21,741
Tax recoverable 770 157 770 157
25,288 76,988 65,475 66,406

Group Group Company Company
2022
5
2021
5
2022f 2021
5
Bank loans 17,746 22,545 17,746 22,545
Other loans 10,000 10,000 10,000 10,000
Trade creditors 70,692 59,021 50,988 37,851
Other taxation and social security 6,555 3,705 5,137 3,705
Other creditors 4,686 4,471 4,686 4,471
Accruals
and deferred
income 20,137 20,202 17,337 17,577
129,816 119,944 105,894 96,149
Group Group Company Company
2022
5
2021
5
2022 2021f
DEFERRED INCOME
Deferred income at 1 March 2021 8,542 5,115 5,115 5,115
Resources deferred
during the year
1,297 4,384 1,297
Amounts released from previous periods (1,428) (957) 1,999
Deferred income at 28 February 2022 8,411 8,542 8,411 5,115

Group Group Company Company
2022
5
2021
6
2022
E
2021
f
Bank loans 32,500 50,246 32,500 50,246
Included
within the above are amounts
falling due as follows:
Group Group Company Company
2022 2021 2022 2021
5 6 E 5
BETWEEN ONE AND TWO YEARS
Bank loans 10,000 17,746 10,000 17,746
BETWEEN TWO AND FIVEYEARS
Bank loans 22,500 30,000 22,500 30,000
OVER FIVEYEARS
Bank loans 2,500 2,500

STATEMENT OF FUNDS
~C
URRENT YEAR
Balance at
Balance at 1 Transfers 28 February
March 2021
5
Income
F
Expenditure
f
in/out
5
2022
6
UNRESTRICTED FUNDS
DESIGNATED FUNDS
Designated
funds
724,670 724,670
GENERAL FUNDS
General funds 1,941,010 803,222 (644,989) 90,684 2,189,927
Subsidiary 10,143 77,678 (119,766) (31,945)
1,951,153 880,900 (764,755) 90,684 2,157,982
TOTAL UNRESTRICTED
FUNDS 2,675,823 880,900 (764,755) 90,684 2,882,652
RESTRICTED FUNDS
Restoration
projects
19,734 8,599 (8,118) 20,215
Western
Culture
Fund 98,398 (6,778) (91,620)
Culture Recovery Fund 23,175 42,139 (66,250) 936
141,307 50,738 (81,146) (90,684) 20,215
TOTAL OF FUNDS 2,817,130 931,638 (845,901) 2,902,867

STATEMENT OF FUNDS - P RIOR YEAR
Balance at
Balance at Transfers 28 February
1 March 2020 Income Expenditure in/out 2021
6 F 6 6 6
UNRESTRICTED FUNDS
DESIGNATED FUNDS
Designated
funds
724,670 724,670
GENERAL FUNDS
General funds 1,767,967 484,769 (323,754) 12,028 1,941,010
Subsidiary 22,236 39,497 (51,590) 10,143
1,790,203 524,266 (375,344) 12,028 1,951,153
TOTAL UNRESTRICTED
FUNDS 2,514,873 524,266 (375,344) 12,028 2,675,823
RESTRICTED FUNDS
Restoration
projects
22,522 1,936 (4,724) 19,734
Western
Culture
Fund 100,000 (1,602) 98,398
Culture Recovery Fund 193,409 (159,808) (10,426) 23,175
South Norfolk Grant 55,000 (55,000)
22,522 350,345 (219,532) (12,028) 141,307
TOTAL OF FUNDS 2,537,395 874,611 (594,876) 2,817,130

ANALYS IS O F NET ASSETS BETWEEN FUND S - CURRENT YEAR
Unrestricted Restricted Total
funds funds funds
2022 2022 2022
E 6
Tangible fixed assets 463,474 463,474
Heritage assets 2,067,170 2,067,170
Current assets 514,324 20,215 534,539
Creditors due within one year (129,816) (129,816)
Creditors due in more than one year (32,500) (32,500)
TOTAL 2,882,652 20,215 2,902,867

ANALYS IS OF NET ASSETS BETWEEN FUNDS - PRIOR YEAR
Unrestricted Restricted Total
funds funds funds
2021f 2021
6
2021
Tangible fixed assets 423,193 423,193
Heritage assets 2,061,220 2,061,220
Current assets 358,279 144,628 502,907
Creditors due within one year (116,623) (3,321) (119,944)
Creditors due in more than one year (50,246) (50,246)
2,675,823 141,307 2,817,130

Group Group
2022 2021
5 5
Net income for the year (as per Statement of Financial Activities) 85,737 279,735
ADJUSTMENTS FOR:
Depreciation
charges
69,745 53,306
Interest paid 3,538 3,532
Dividends,
interests
and rents from investments (12) (16)
Decrease
in stocks
1,801 2,620
Decrease/(increase) in debtors 51,700 (4,605)
Increase/(decrease) in creditors 14,732 6,577
NET CASH PROVIDED BYOPERATING ACTIVITIES 227,241 343,149
23. ANALYSIS OF CASH AND CASH EQUIVALENTS
Group Group
2022 2021
5 E
Cash in hand 449,239 364,106
TOTAL CASH AND CASH EQUIVALENTS 449,239 364,106
24. ANALYSIS OF CHANGES IN NET DEBT
At 28
At 1 March February
2021
5
Cash flows
6
2022f
Cash at bank and in hand 364,106 85,133 449,239
Debt due within
1 year
(32,545) 4,799 (27,746)
Debt due after 1 year (50,246) 17,746 (32,500)
281,315 107,678 388,993

payments und er non-cancellable
operating
lease
s as follows:
Group Group Company Company
2022 2021 2022 2021
E F E F
Not later than 1 year 7,917 7,917 7,917 7,917
Later than 1 year and not later than 5 years 13,867 21,784 13,867 21,784
21,784 29,701 21,784 29,701