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2022-06-30-accounts

Trustees' Annual Report for the period

Period start date Period end date Day Month Year Day Month Year From 01 July 2021 To 30 June 2022

Section A Reference and administration details

Charity name The Rotary Club of Banbury Trust Fund

Other names charity is known by

Registered charity number (if any) 274108

Charity's principal address

Freemasons Hall

Marlborough Road Banbury Postcode OX16 5DB

Names of the charity trustees who manage the charity

1
2
3
4
5
Trustee name Office (if any) Dates acted if not for whole
year
Name of person (or body)
entitled to appoint trustee
(ifany)
Malcolm Douglas President
Nigel Yeadon President Elect
Peter Wilkins Secretary
Nigel Randall Treasurer

Names and addresses of advisers (Optional information)

Type of Advisor Name
Address
Name
Address
Independent
Advisor
Ian Parker Studley, Twyford Grove, Adderbury,
Banbury, OX17 3JD

Section B Structure, governance and management

Description of the charity’s trusts

Trust Deed dated 4 June 1971 with codicil 10 December 1993 Type of governing document (eg. trust deed, constitution) The RIBI constitution and by-laws and the standard RIBI Club constitution How the charity is constituted and by-laws (eg. trust, association, company) Trustees shall be officers of the Club, namely the President, the President Trustee selection methods Elect for the coming year, the Secretary and the Treasurer and their (eg. appointed by, elected by) successors for the time being in office appointed annually at the AGM by vote

March 2012

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Additional governance issues (Optional information)

You may choose to include additional information, where relevant, about:

Training is given where necessary and attendance at District and National events is encouraged to gain experience of the workings of Rotary at national and international level.

Section C Objectives and activities

The charities objectives as set out in our governing document (The Trust Summary of the objects of the Deed) are: “The relief of the poor and needy and for such other charitable charity set out in its purposes, institution, society or objective as the Club shall in a properly governing document constituted meeting from time to time direct.”

Activities this year have of necessity been curtailed due to COVID social distancing and travel restrictions, and none of our routine youth and community events have been permitted. Nevertheless, we have continued to raise funds amongst ourselves and the local community as follows:

  1. Christmas Street Organ collections.

Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)

  1. Member donations.

  2. Local businesses and charity groups responding to our Christmas Parcel Appeal.

  3. Banbury Health Centre donation for our stewarding at their COVID Vaccination Clinic.

  4. Individual member presentations to external groups raising funds for Alan’s Africa.

  5. Pilates instruction by a member via Zoom raising funds for Kenyan Kids.

March 2012

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Additional details of objectives and activities (Optional information)

You may choose to include further statements, where relevant, about:

Funds are distributed only after vetting applications or in response to appeals which come within the Trust’s objectives and are approved in accordance with the Trust Deed.

The Club does not hold long-term investments which could be subject to loss of capital, and all short-term investments (which have not attracted any significant interest in recent years) have now been cashed in and consolidated into a single bank account.

All members of the Rotary Club are volunteers, and the charity could not function without their tremendous individual and collective efforts.

Section D Achievements and performance

Receipts of £50,410 were raised from donations, fundraising, Summary of the main sponsorship, interest payments and Gift Aid tax refunds during the 12- achievements of the charity month period. during the year A total of £54,144 was donated to a range of organisations, charities and the needy as agreed at Club meetings for this purpose. Amongst those supported were:

Cash reserves at the end of the period stood at £24,033 which is comparable to that of previous years.

Section E Financial review

Trustees hold a contingency of £3,000 as a reserve to cover any potential Brief statement of the loss made by any single event organised by the Club. charity’s policy on reserves Details of any funds materially None in deficit

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Further financial review details (Optional information)

You may choose to include additional information, where relevant about:

Section F Other optional information

Section G Declaration

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees

Signature(s) Full name(s) Nigel Randall Position (eg Secretary, Treasurer Chair, etc) Date 24 Aug 22

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Rotary Club of Banbury

No (if any) 274108

Receipts and payments accounts

CC16a

For the period Period start date Period end date To from 01-Jul-21 30-Jun-22

Section A Receipts and payments

A1 Receipts Unrestricted
funds
to the nearest £
Unrestricted
funds
to the nearest £
Restricted funds
to the nearest £
Restricted funds
to the nearest £
Endowment
funds
to the nearest £
Endowment
funds
to the nearest £
Total funds
to the nearest £
Total funds
to the nearest £
Last year
to the nearest £

Member Donations
8,262 - 8,262 13,757
Online Fundraising 1,598 - - 1,598 1,202
Fundraising 35,308 35,308 31,755
RotaryDistrict Grant 500 - 500 1,500
Interest - - - 92
Gift Aid tax refunds 4,743 - 4,743 8,391
- - - - -
- - - - -
Sub total(Gross income for AR) 9,860 40,551 - 50,410 56,697
A2 Asset and investment sales,
(see table).
-
- -
Sub total - -
Total receipts
A3 Payments
56,697

Donations
5,239 48,905 - 54,144 51,777
- - - - -
- - - - -
- - - - -
- - - - -
- - - - -
- - - - -
- - - - -
- - - - -
**Sub total ** 5,239 48,905 - 54,144 51,777
A4 Asset and investment
purchases, (see table)
-
-
**Sub total ** - -
Total payments
Net of receipts/(payments)
A5 Transfers between funds
A6 Cash funds last year end
Cash funds this year end
51,777
4,621 4,920
- -
- -
4,621 4,920

Section B Statement of assets and liabilities at the end of the period

CCXX R7 accounts (SS)
Categories
B1 Cash funds
7
Details
Total cash funds
Lloyds Bank
Unrestricted
funds
to nearest £
13,522
-
-
13,522
15/11/2022
Restricted funds
Endowment
funds
to nearest £
to nearest £
10,511
-
-
-
-
10,511
-
Endowment
funds
to nearest £
-
-
-
-
Signed by one or two trustees on
behalf of all the trustees
B5 Liabilities
B3 Investment assets
B2 Other monetary assets
B4 Assets retained for the
charity’s own use
Details
Details
Details
Signature
Details
Unrestricted
funds
Restricted funds
to nearest £
to nearest £
-
-
-
-
-
-
-
-
-
-
-
-
Fund to which asset
belongs
Cost (optional)
-
-
-
-
-
Fund to which asset
belongs
Cost (optional)
-
-
-
-
-
-
-
-
-
Fund to which
liability relates
Amount due
(optional)
-
-
-
-
-
Print Name
Nigel Randall
Endowment
funds
to nearest £
-
-
-
-
-
-
Current value
(optional)
-
-
-
-
-
Current value
(optional)
-
-
-
-
-
-
-
-
-
When due
(optional)
Date of approval
Nigel Randall 24 Aug22

CCXX R8 accounts (SS)

15/11/2022

8

Trust Fund RY21/22

RECEIPTS & PAYMENTS BY COST CODE REPORT (01-Jul-2021 to 30-Jun-2022) Amount Amount Amount
BALANCE BROUGHT FORWARD 01-Jul-2021 27,766.36
General Trust Fund 27,766.36
RECEIPTS
4000 REVENUES 1,597.51
4001 Misc income 1,056.64
4002 Contactless or Online income 540.87
4100 MEMBER CONTRIBUTIONS 8,262.04
4101 Members' Annual Subscriptions 214.00
4102 Members' Foundation Contributions 2,587.00
4104 Donations in lieu of Christmas Cards 730.00
4105 Miscellaneous Donations 4,731.04
4200 INVESTMENT INCOME 5,242.53
4202 Grants Received 500.00
4204 Gift Aid from HMRC 4,742.53
4300 FUNDRAISING INCOME 35,308.15
4301 Foundation Fundraising 25.00
4302 End Polio Now Fundraising 360.00
4304 Unrestricted Fundraising 1,145.00
4305 Restricted Fundraising 125.00
4307 Hitchcox Memorial Fund 555.00
4308 Christmas Parcels 4,250.00
4310 Alan's Africa 25,453.00
4312 Kenyan Kids 1,200.00
4315 Gur Aasra Trust 60.00
4317 KHH 75.00
4319 Ukraine Appeal 2,060.15
TOTAL RECEIPTS 50,410.23
PAYMENTS
7100 PAYMENTS FROM TRUST FUNDS -54,143.51
7101 Foundation Fund -4,019.75
7102 End Polio NowFund -571.25
7103 AA Sierra Leone -31,400.00
7105 KK Kenya -2,857.98
7108 to Katherine House -2,125.00
7109 to Shelterbox -1,000.00
7113 fm Unrestricted Funds to misc causes -5,238.65
7116 fm Other Concerts to misc -290.88
7118 fm Christmas Parcels to misc -4,640.00
7119 fm Ukraine Appeal -2,000.00
TOTAL PAYMENTS -54,143.51
SURPLUS/(DEFICIT) FOR PERIOD -3,733.28
TRANSFERS
-no transfer lines for period- 0.00
BALANCE CARRIED FORWARD 30-Jun-2022 24,033.08
General Trust Fund 24,033.08

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General Fund RY21/22

RECEIPTS & PAYMENTS BY COST CODE REPORT RY21/22
Budget
Totals RY20/21
Budget
Totals
BALANCE BROUGHT FORWARD 01-Jul-2021
Lloyds 13,445.50 13927.85
RECEIPTS
4000 INCOME 9,976.00 7539.29
4001 Member meal receipts 300.00 650.00
4003 Guest meal receipts 20.00 20.00
4006 Annual Subscriptions 4,243.00 4901.50
4009 Subs paid early or unused in previous RY 3,264.00 390.00
4010 Misc. Receipts 271.00 1525.79
4011 Foundation donation 1,518.00 52.00
4020 Contact Exchange 360.00
TOTAL RECEIPTS
PAYMENTS
7000 EXPENDITURE -2,620.11 -2363.32
7001 Meal Costs -916.81
7002 Sundry Meeting Costs -101.00
7007 Regalia & Medals -280.70 -72.90
7008 Banners & Tabards -82.80
7012 Insurance -143.80 -265.26
7014 Contingency Misc -195.00
7017 Staf Gratuities -150.00 -300.00
7018 Members Subs Adjustments -241.00 -1616.50
7020 Contact Exchange -400.00 -50.00
7030 Transfer from Contactless or Online Payment to Trust Account -109.00 -58.66
7200 OVERHEADS -6,338.26 -5658.32
7201 Postage -15.18 -88.32
7203 Legal & Professional Fees -101.50 -100.00
7204 Printing & Stationary -181.40 -38.92
7205 Repair & Maintenance -33.00
7216 IT -131.68 -84.00
7223 RIBI Capitation fees -3,618.00 -4168.08
7224 Payments to Foundation by members donations -1,572.00 -420.00
7225 District Capitation fees -577.50 -651.00
7228 ClubTreasurer Software Fees -108.00 -108.00
TOTAL PAYMENTS -8,958.37 -8021.64
SURPLUS/(DEFICIT) FOR PERIOD 1,017.63 -482.35
BALANCE CARRIED FORWARD 30-Jun-2022 14,463.13 13,445.50
Lloyds 14,463.13 13,445.50

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