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2020-12-31-accounts

Annual Report 2020

Registered Charity Name: The Trust for Sing for Pleasure Charity Registration Number: 270384 Principal Office: c/o Bolton Music Service Meer Hall, Meerhall Street Bolton BL1 2QT

Trustees:

Miles Wallis-Clarke (Chair) Sarah Tenant-Flowers Lynda Parker Katharine Pinfold David Jones Catherine Beddison

Accountant:

Ian Hampson

Management Team:

Manvinder Rattan Chief Executive and Head of Conductor Training Nick Graham Head of Finance and Operations Ula Weber Head of Events Don Gillthorpe Head of Publications Katy Cooper Head of Marketing

The Board of Trustees had only one change in 2020:

The Management Team also had some changes in 2019:

Katy Cooper became Head of Marketing

2020 was dominated by the global pandemic.

The Board met in person once during the year in January during the biannual staff and Trustees conference in Lancaster. As the pandemic restricted meeting in person Zoom meetings were held on four occasions. These were largely focused on the pandemic and it’s impact on Sing for Pleasure:

Aims of Sing for Pleasure

Sing for Pleasure is a charity that aims to encourage people of all ages to enjoy singing and conducting. It delivers programmes, events and publications that develop choral and musicianship skills aimed specifically at singers, conductors and teachers. The comprehensive programme of activity for 2019 is covered in the Management Team report.

Principal Funding Sources

Membership fees and income from events and publications provide income to the charity. The charity continues to receive support from the John Lewis Partnership to support bursaries for those working with primary aged children, participating in vocal leadership and conducting courses, and children’s singing courses. Donations from other organisations, trusts and individuals support the Young Conducting Scholarship programme.

Investment and Reserves Policy

The charity has a small amount invested in a Charity Equity Fund which increased in value in 2019. The Trustees ensure that the reserves of the charity are sufficient to cover the cost of its major event the annual Summer School.

Links with A Coeur Joie

Links with A Coeur Joie Internationale continue.

Miles Wallis-Clarke Chair of the Board of Trustees September 2021

SING FOR PLEASURE (INCLUDING REGIONS) INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR TO 31 DECEMBER 2020

GRANT
INCOME
FUNDING
EVENTS
Childrens Events
0.00
0.00
Community Showcase
0.00
0.00
Workshops
420.00
0.00
Virtual Choral Conference
6530.00
0.00
Webinars
6565.00
0.00
5 day London
1060.00
0.00
5 day Glasgow
720.00
0.00
London
10780.00
840.00
Birmingham
0.00
0.00
Summer school
0.00
0.00
GEMS Uganda
0.00
0.00
Bolton
0.00
0.00
VLTP 2019
0.00
0.00
VLTP 2018
0.00
0.00
26075.00
840.00
Shop
Income
Costs
Stock Increase
Postage & Carriage
Rent
Membership Fees
Donations received
Unallocated Grants and Fundraising income
Investment income
Management Honorariums
Training
Scholar travel and tuition bursaries
Insurance
Management meeting costs
Staff Conference
Vocalise
Website expenses
Website redevelopment Costs
Marketing Events & Advertising
Office Stationery
Consultancy fees - Fundraising C Sindall
Bank charges
Bad Debt Provision - GEMS Uganda
Covid cancelled events cost (net)
Sundry expenses
Surplus for the Year
(Loss)/Gain on Value of investments
TOTAL Surplus for the Year
BURSARIES
0.00
0.00
0.00
0.00
0.00
0.00
0.00
1610.00
0.00
0.00
0.00
0.00
0.00
0.00
1610.00
2020
EXPENSES
NET
0.00
0.00
0.00
0.00
-274.85
145.15
-6140.91
389.09
-3015.00
3550.00
-502.06
557.94
-329.36
390.64
-11682.77
1547.23
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-21944.95
6580.05
8469.13
-5066.67
4357.40
-694.00
-1460.40
5605.46
8969.25
3617.40
20676.57
279.63
45728.36
0.00
0.00
0.00
1060.48
791.29
4530.40
0.00
111.07
10168.55
3016.88
295.84
5100.00
1793.44
0.00
321.49
35.00
27224.44
18503.92
-2904.55
15599.37
2019
342.66
3454.13
264.90
0.00
0.00
2989.65
0.00
5006.85
-74.24
2154.07
31.94
1351.85
1419.10
-2282.35
14658.56
19064.13
-14616.54
7330.68
-1035.32
-1450.20
9292.75
8162.99
6042.61
-5985.00
864.04
33035.95
1500.00
1127.46
1593.20
1050.70
3239.42
0.00
1284.99
472.74
0.00
4497.67
582.00
7200.00
2852.37
-5511.91
0.00
356.50
20245.14
12790.81
788.63
13579.44

SING FOR PLEASURE (INCLUDING REGIONS) BALANCE SHEET AS AT 31 DECEMBER 2020

INVESTMENTS
Schroders Charity Inv Fund - at valuation
CURRENT ASSETS
Stock
Sundry debtors
Prepaid expenses
Cash at bank
CURRENT LIABILITIES
Income received in advance
Creditors & Accruals
NET CURRENT ASSETS
CAPITAL AND RESERVES
Reserves brought forward
(Deficit)/Surplus for the Year
Reserves carried forward
2020
15177.78
32467.28
1060.00
19964.80
57152.32
110644.40
0.00
2121.05
2121.05
108523.35
123701.13
108101.76
15599.37
123701.13
2019
18082.33
28109.88
7361.91
1738.35
61580.57
98790.71
4895.00
3876.28
8771.28
90019.43
108101.76
94522.32
13579.44
108101.76

SING FOR PLEASURE (INCLUDING REGIONS) INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR TO 31 DECEMBER 2020

Notes

There is UNDERSTANDABLY decrease in SFP turnover in the year - £68,647 (2019 - £181,139)

Events cancelled due to Covid incurred some costs and some income donations - net cost to SFP in the year was £321.49.

Investment valuation loss - £2905 (2019 - gain £788) n.B. £2345 of this loss had been recovered by the 19/6/2021.

Postage and carriage now shown as a cost of sale.

Previous years figures
2016
2017
2018
2019
2020
are :
Turnover
12761
17561
19059
19064
8469
Gross Profit
1815
11584
9309
9293
5606
Gross profit %

14.2%
66.0%
48.8%
48.7%
66.2%
3 Prepayments
Keele 2020 Summer school deposit
Sienna trip deposit
Sienna trip balance
BAME workshop expenses c/fwd
10622.80 - since refunded
1500.00
7740.00
102.00
19964.80

SING FOR PLEASURE

----- Start of picture text -----
EVENTS BREAKDOWN 2020 2019
GRANT GRANT
INCOME BURSARIES FUNDING EXPENSES NET INCOME BURSARIE FUNDING EXPENSES NET
Childrens Events 0.00 0.00 0.00 2250.00 3000.00 -4907.34 342.66
Community Showcase 0.00 0.00 10545.00 -7090.87 3454.13
Workshops 420.00 -274.85 145.15 2671.00 -2406.10 264.90
Virtual Choral Conference 6530.00 -6140.91 389.09
Webinars 6565.00 -3015.00 3550.00
5 day London 1060.00 0.00 -502.06 557.94 7039.00 640.00 -4689.35 2989.65
5 day Glasgow 720.00 -329.36 390.64
London 10780.00 1610.00 840.00 -11682.77 1547.23 13655.00 1810.00 1200.00 -11658.15 5006.85
Birmingham 0.00 0.00 0.00 0.00 3590.00 500.00 1200.00 -5364.24 -74.24
Summer school 0.00 0.00 0.00 0.00 72485.00 8290.00 6560.00 -85180.93 2154.07
Foreign Events 0.00 0.00 2897.83 -2865.89 31.94
Bolton 0.00 0.00 0.00 0.00 6982.00 760.00 800.00 -7190.15 1351.85
VLTP 2019 0.00 0.00 5130.00 -3710.90 1419.10
VLTP 2018 0.00 0.00 1850.00 -4132.35 -2282.35
26075.00 1610.00 840.00 -21944.95 6580.05 129094.83 15000.00 9760.00 -139196.27 14658.56
----- End of picture text -----

Bursary Fund allocations

Children's events
GM Hub Schools Prom
5 DAY
LONDON
Summer school
BOLTON
BIRMINGHAM
Gifted & Talented
Allocated Bursaries
Unallocated
Bursary Funds Received
2020
2019
2018
2017
2016
2015
2014
2013
2012
3000.00
3000.00
3590.00
3320.00
500.00
1000.00
3000.00
1000.00
640.00
320.00
1280.00
300.00
900.00
1750.00
1375.00
1610.00
1810.00
1930.00
1410.00
1680.00
1565.00
825.00
480.00
500.00
8290.00
8450.00
7630.00
9060.00
8290.00
9750.00
8400.00
5100.00
760.00
670.00
1090.00
940.00
1470.00
1200.00
900.00
200.00
500.00
630.00
375.00
225.00
120.00
2500.00
2000.00
2000.00
1610.00
15000.00
15000.00
15000.00
15000.00
15000.00
15900.00
14650.00
10175.00
13390.00
0.00
0.00
0.00
0.00
0.00
0.00
-4650.00
4825.00
15000.00
15000.00
15000.00
15000.00
15000.00
15000.00
15900.00
10000.00
15000.00

EVENTS BREAKDOWN - contd

Event Grant Funding
Received
Internal Funding Allocation
Summer school
London
Birmingham
Bolton
Prior Year b/fwd
Current year c/fwd
Allocated funding
Donations
Summer Shool donations
Other donations
Unallocated Grant Funding
CAF
UOR
Fidelio
Kleinwort Hambros
D'Oyly Carte
Neil Webster
1961 Committee
Harold Hyam Wingate Grant
Angus Allnat Foundation
Sylvia Waddilove Foundation
Hope Pilkington Trust
Internal Funding Allocation
2020
2019
2018
2017
2016
2015
2014
2013
300.00
600.00
6380.00
8950.00
14445.00
0.00
0.00
0.00
0.00
0.00
6560.00
3550.00
840.00
1200.00
800.00
1200.00
800.00
800.00
1200.00
0.00
0.00
0.00
1100.00
1265.00
3380.00
0.00
0.00
0.00
0.00
0.00
-1100.00
-1265.00
-3380.00
840.00
9760.00
6350.00
300.00
1700.00
6545.00
11065.00
11065.00
2020
2019
2018
2017
2016
1020.00
1628.81
3617.40
6042.61
1923.69
1765.08
5770.38
3617.40
6042.61
1923.69
2785.08
7399.19
2020
2019
2018
2017
2016
2375.00
1050.00
3000.00
2650.00
2750.00
3000.00
2626.57
350.00
300.00
2750.00
2515.00
1590.00
2500.00
1000.00
8126.57
3775.00
8950.00
5090.00
2515.00
-840.00
-9760.00
-6350.00
0.00
0.00
7286.57
-5985.00
2600.00
5090.00
2515.00

SING FOR PLEASURE

Turnover 2020 2019 2018 2017 2016 2015
EVENTS 26075.00 129094.8 116421.15 127726.91 111918.14 74503.20
Shop 8469.13 19064.13 19059.00 17561.67 12760.49 11256.90
Membership Fees 8969.25 8162.99 7414.00 7149.00 7146.00 7909.00
Donations received 3617.40 6042.61 1923.69 2785.08 7399.19 1385.28
Allocated grant Funding 840.00 9760 6350.00 300.00 1700.00 6545.00
Unallocated Grants and Fundraising income 5676.57 -5985 2600.00 5090.00 2515.00 7775.00
JLP Bursaries 15000.00 15000 15000.00 15000.00 15000.00 9760.00
68647.35 181139.6 168767.84 175612.66 158438.82 119134.38

The Trust For Slng For Pleasure Charlty Roglstration Number 270384 Ind•p•nd•nt Exam1￿8 Roport to th• Tnt•o8 of Tr Trust For Slng for Pl￿sure, I report on the finanaal statements for the year ended 31 December 2020, thich comprise the slatement of financial acti¥ibes. statem￿t of financial ￿ltson, slatement of cash fl(ws and the related notes. Respctlv• rnsponslbllltl•8 of trustoe8 and examlner The trustees are responsible for the preparation of the financial statements. The trustees o)nsidef that an audit is not required for this year under seclion 144(2) of ts Charities kt 2011 (tre 2011 Act) and Ihat an indewident examination is needed. It is my responsitiilty to". examine the accounts urthr Secti￿ 145 of ts 2011 A¢ to follow the procedures laid down in the gwal Direclions given by the Charity Commission under section 145(5)(b) of the 2011 Art and to state whether Partic￿lar matters have to my attention. Basis of ind•pndant rap My examination was carried in accor￿￿ ith the general Directi¢xB given by ts Charty Commission. An examination includes a reviv•V of the accounling recorts kem by the charity arKI a comparison of the accounts presented those records. It also includes consideration of any unusual items or disdosures in tr£ accounts and seekirvj eyplarrats'ons from you as trustees concerning any SA￿ rnatter5. wocedures undertaken do not provide all the eviden￿ that would b8 required in an audit and consequenty no opinion is given as to whether the ac￿Unts present a kn and fair and the rep(￿t is Iwnited to those matters Set out in the next statement. In conneclion wlh my examinalion. no matter has coffE to my attention: (1) which gives me reas4)nable cause to bel*Ne that in any material respect the requirements: to keep accowiting records in ac1X)rdan￿ seclion 130 of Ihe 2011 Ac( and to prepare accounts whith acu)rd the accounting records arKI comply with the accounting requirements of the 2011 Act have not been rnec or (2) to whith. in my opinion. attenti￿ strwhj be dra￿ in order to enabk a proper undwstandirYJ of the accounts to be reached. JIIJOL Andrew M Nicholls 42 Holmeswood Park, Rossendale. Lancs. BB4 6HZ. 19th July 2021

The Trust For Sing For Pleasure . Unaudlted Financial Slaternents Year end￿ 31 December 2020 R IStra￿On Number 270384 Statsment of Financial Activities Unrestslctad Funds Natlonal Desig. G•norn1 Totsl 2020 Total 2019 Incomlng r•sourc8¥ Events PublI￿tEr Membership sutwtons Other income 28.525 153.855 19,064 8.163 8,469 181082 Investment income Grants and donations 280 280 58 922 Ro80U￿•0 oxp•ndod Events Publicati￿$ Membership ne￿, ffAiSr#Js, •lminislratth)n 21,945 139,196 9,771 50.973 80,973 168,162 Go¥emance costs 18.504 18,504 2.905 15,599 108,102 12.791 789 13,579 94,522 108 102 15.599 108,11f2 123 701 Total fvnd8 brought foThvanl Statement of Financial Positlon 2020 2019 Flx•d assets Tangible assets Investments Tdal rued 85s6ts Curront a888ts Stock Debtors Cash at bank and in hand 32A67 21,025 28,110 9,100 61.￿1 98,791 Total &S8ets 110.644 Liablllllo8 Creditors". amounts falling due wiihin one year 10 Fund• General unrestricted funds DeS￿nated unrestrthd fvnds 11 123,701 108.102 123 701 108 102 ned on behaw f all the trustees Signatur Mibes WaHi$4*rke Trusiee

The Trust For Sing For Pleasure . Unauditod Financial Statemonts Year endod 31 Do¢wnb•r 2020 Statement of Cash Flows 2019 Cash flows from oporallng acllvl Net inc( 18A04 12.791 AdJustn￿lts for." Deprewlion of tangible fred assets Dividends and interest frrxn in¥estrn Ch8nges in.. (7.3311 (4308) 716 Trade and other debtr)rs Trade and other ¢re(Ito 16.6501 4708 4708 Div¢dends and interest from investrnents Pwchase oftaThJible assets Net ￿$h used in investing actsviies Net Incrth180 In and cash aqufvaleiits Cash and equfvalonts al beglnnlng of year 61,581 69,713 Ca8h and equlvaknnts at end of year 57,152 61A81

The Trust For Slng For Ple•surn . Unaudltod Flnancial Statthiionts Y•ar ondod 31 D•camb•r 2020 Notes to the Financial Stat•ments rvipal offi¢ iy do 8olton laus￿ SwvK. Mare Plall. MwoPAII SN Bollon BLI 2QT. FinarK481 RepNling Slar#lard applicable wi Ihe UK ¥J Rewbk of Irelar#J IFRS 102) {CharitieB SORP (FRS f02)) aKI ts ch¥h1￿ k2011. ofthe chaiity5 pulp0￿.

The Tn￿t For Slng For Plwure . Unaudlted Flnanclal Statements Year endad 31 December 2020 Notss to tho Flnancial Statsnw to measure relwbty, (xse the IB dWI￿d from the (xxql tots dcmr general T￿lurrte￿s. VAT wthich ￿￿rth>t bg fvly rec¥M￿. and th8 gwn or I￿¥ 18 taken to ts Statsmert of FIn￿cIal A¢b¥lt•s. 2019 Incomo Costs 21.945 No1iono1 Total 139,1S 14,659 Burgari88 Grort of £1.610. (2019. £15,(W FurK*¥ of£840. (2019- £9.7&)>

Tho Trust For Sing For Pleasurn . Unauditod Flnanclal Statenients Year ended 31 D•c¢mb•v 2020 Notes to the Financial Stateme 2019 15.000 15.000 2.750 2.750 6244 1981 Commdt• ryoyty Carte Tanglbl• assats 1.120 31.1120 (at markol vall￿) (Sakns) InyMr 31.12.20 2020 2019 9.100 Ca8h at Bonk and In hand 2020 57.152 2019 61.581 61

The Trust For Slng For Pleasurn . Unaudltad Flnancial Stat•m•nts Year endod 31 Do¢•mb•r 2020 Notes to the Financial Statements 10 Crodltorn 2020 2019 11 G•n•rnl Unv••lrf￿ fund B•lfjnc• IAovem•nt B•lanc• In y•ar 31.12.20 123 701 Nalional lund It is the VI￿ of the Tntste88 Ihat a minimum Gerwal Unrostrthd fvnd of £80.000 shwld be held to nwt any c(rtlngey dem•￿ on the Trujt 12 staff Costs Thero wore no empltyed membws of staff yow.12019.' nil). rec8fved by tho trustee8. 14 Indop•nd•nt •x•mln*lon f••• Tharn no fo08 W In tho thè Ind•1￿￿￿ Ex•nhJw (2019: £nll).