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2022-07-31-accounts

ACCOUNTS FOR THE YEAR 1[ST] AUGUST 2021 TO 31[ST] JULY 2022

Barnet Choral Society accounts for the year ending July 31st 2022

Barnet Choral Society is a Registered Charity – No. 273403

General Purposes Fund: Receipts and payments account:

Opening and closing account balances
July
July 31st
31st 2022 2021
£ £
CAF Bank Cheque Account
500.00
500.00
CAF Bank Deposit Account
4,889.49
8,502.21
Shawbrook Deposit Accounts
20,288.29
25,153.45
Cash
141.59
137.71
Total
25,819.37

34,293.37

Income and Expenditure

nd Expenditure
2021/22 2020/21
Income £ £
Member and visitor
subscriptions
8,570.00 9,010.00
Donations & Sponsorship 6,288.86 0.00
Concert income 9,751.62 0.00
Workshop income 0.00 0.00
Rehearsal income 154.74 0.00
Gift Aid 3,048.62 3,111.98
Interest 141.44 154.98
Refreshments 0.00 0.00
Other income 791.20 247.94
Total income 28,746.48 12,524.90
Expenditure
Rehearsals 6,993.88 6,454.20
Workshops 0.00 450.00
Concerts 25,133.30 1,557.40
Administration 1,545.55 2,891.471
Donations - out 0.00 0.00
Bank Charges 96.50 81.00
Venue hire 2183.00 0.00
Refreshments 141.63 0.00

1 Includes £2,000 return of sponsorship for the Gerontius concert

2

Barnet Choral Society accounts for the year ending July 31st 2022

Music hire costs 1,126.62 1,181.20
Recording costs 0.00 275.00
Total expenditure 37,220.48 12,890.27
Change over year (8474.00) (365.37)

Concerts 2021/22:

November 2021: Verdi Requiem:

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Income
Tickets - in person £ 1,667.00
Tickets - online £ 642.20
Programmes £ 162.55
Donations £ 30.00
Total income: £ 2,501.75
Expenditure
Venue hire £ 787.50
MD £ 550.00
Tenor bumper £ 150.00
Soloists £ 1,400.00
Orchestra £ 6,770.00
Covid precautions £ 18.98
Music costs £ 268.77
Publicity £ 30.47
Programmes £ 101.97
Tickets £ 28.00
Gifts £ 36.89
Total expenditure: £10,142.58
Total profit (loss) (£7,640.83)
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December 2021: Christmas concert

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Income
Tickets - in person £ 692.50
Tickets - online £ 110.20
Charity collections £ 142.69
The cottage £ 111.17
Total income: £1,056.56
Expenditure
Venue hire £ 414.00
MD £ 750.00
Publicity £ 33.38
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3

Barnet Choral Society accounts for the year ending July 31st 2022

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Programmes £ 87.19
Tickets £ 28.00
Gifts £ 58.33
Donations to Together in £ 253.86
Barnet
Total expenditure: £1,624.76
Total profit (loss) (£568.20)
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April 2022: Dream of Gerontius (joint concert with Bishop's Stortford Choral Soc)

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Income
Tickets - online £ 6,712.80
Programmes £ 348.88
Donations/Sponsorship £ 5,700.00
Total income: £12,761.68
Expenditure
Venue hire £ 3,552.80
MD £ 1,500.00
Accompanist £ 360.00
Soloists £ 3,200.00
Orchestra £ 6,000.00
Organ hire £ 530.00
Music costs £ 127.00
Publicity £ 40.00
Programmes £ 302.66
Catering £ 123.00
Microphone £ 12.00
Total expenditure: £15,747.46
Total profit (loss) (£2,985.00)
BCS share of loss (£1,492.50)
Additional costs for BCS : £ 575.00
Transport
Additional costs for BCS : £ 200.00
Music
Total loss for BCS (£2,267.50)
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July 2022 - Songs for a Summer Evening:

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Income
Tickets - in person £546.00
Tickets - online £221.00
Programmes £29.83
Total income: £796.83
Expenditure
Venue hire £ 414.00
MD £ 500.00
Pianist £ 200.00
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4

Barnet Choral Society accounts for the year ending July 31st 2022

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Publicity £ 76.00
Programmes £ 88.88
Tickets £ 18.75
Gifts £ 27.00
Total expenditure: £1,364.63
Total profit (loss) (£567.80)
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TOTAL NET CONCERT RECEIPTS

2021/22 net receipts: (11,044.33) 2020/21 net receipts: (900.00) 2019/20 net receipts: (5,137.37)

Workshops 2021/22: There were no workshops during the year

200 Club

Income and Expenditure:

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Income
2021/22 2020/21
Member shares 576.00 564.00
Interest 0.25 1.58
Total income 576.25 565.58
Expenditure
2021/22 2020/21
Monthly draws 300.00 225.00
Repayment to main accourding costs 0.00 100.00
Total expenditure 300.00 325.00
Balance at start of year 3,398.05 3,157.47
Balance at start of year 3,674.30 3,398.05
Change over year 276.25 240.58
----- End of picture text -----

Statement of Assets and Liabilities at 31[st] July 2022

Monetary Assets

General 200 Club Purposes

5

Barnet Choral Society accounts for the year ending July 31st 2022

£ £
Cash 141.59 0.00
Main Accounts 5,389.49 1,166.28
Deposit
Account
20,288.29 2,508.02
Totals 25,819.37 3,674.30

In addition the Society has non-monetary assets as follows.

Equipment

The Society holds a set of staging which is used regularly for performances in venues which lack such facilities. Purchase costs in previous years totalled £2,181.19. When not in use the staging is stored at St. John's URC, New Barnet. The Society also owns a conductor's platform and stand; a set of music stands, sets of music folders, orchestra lights and some minor items.

The Society owns a teapot, urn and minor items relating to the provision of refreshments. The Society also holds approximately £50 worth of refreshments' stock, to be used in future rehearsals/concerts

Choral Music Scores

Assorted items of music, insured for £5,600.

Mike Benaim - Treasurer 22nd November 2022

6

Se¢tion B Disclosure Only complete rf the examiner needs to highlight matters of concern (see CC32, Independent examinats.on of charity accounts: directions and guidance for examiners). Glve hare brief details of any items that the examiner wishes to d16cIose. 9W