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2024-01-31-accounts

THE ERASMUS FOUNDATION

TRUSTEES ANNUAL REPORT

FOR THE YEAR ENDING 31[st] JANUARY 2024

ACORNS ACCOUNTING SERVICES

SCOTTS HALL BRAMFIELD HALESWORTH SUFFOLK IP19 9JH

THE ERASMUS FOUNDATION

CONTENTS PAGES
Company information 1
The Trustees report 2
Accountants’ report 3
Financial Statement 4
Balance Sheet 5
Notes to the accounts 6 to 7

THE ERASMUS FOUNDATION

CHARITY INFORMATION

Charity Registration Number 281458
Trustees Mr R Dowek (Chairman)
Mrs J Griffin (Administrator)
Mr Hedley Griffin
Ms Marie-France Boyer
Mr Paul Nugent
Address of Charity Moat House
Banyards Green
Laxfield
Suffolk
IP13 8ER
Bankers Barclays Bank Plc Co-operative Bank
Princes Street Po Box 101
Ipswich 1 Baloon Street
Suffolk Manchester
Accountants Mrs Pamela Featherstone
Acorn Accounting Services
Scotts Hall
Bramfield
Halesworth
Suffolk
IP19 9JH

Page 1

THE TRUSTEES REPORT

FOR THE YEAR ENDING

31st JANUARY 2024

THE ERASMUS FOUNDATION

History, objectives and activities of the Trust

The objectives of the charity are:

To relieve sickness by the practice of the art of spiritual healing To provide succour to any person who should seek refuge in times of need and distress To provide care and accomodation for stray animals

To offer education to the public in the subject of spiritual teaching

Management and governance arrangements

The Erasmus Foundation was first registered in 1981 and is governed by it's Constitution and Rules which were ado 2007 and was registered with the Charity Commission (registered number 281458) in November 2007.

Recruitment and appointment of Trustees

The charity aims to recruit trustees with a wide range of business and sector experience from which the charity will benefit.

The current trustees are shown on page 1.

Trustee induction and training

New trustees are provided with copies of:

The Constitution

The latest accounts of the charity

Charity Commission guidance notes CC3 "The Essential Trustee"

In addition Trustees are encouraged to read Charity Commission and other newsletters and to attend courses designed to keep them abreast of their duties and responsibilities.

Risk management

The Trustees have identified the major risks to which the charity is exposed and have established systems to mitigate those risks.

Organisational structure

The Trustees meet every month.

Financial review

The Trustees consider the year end financial position to be satisfactory and confirm that the Foundation can meet all known obligations.

By order of the Trustees

………..………………………………………………. …………...………………

R Dowek (Chairman) Date

Page 2

THE ERASMUS FOUNDATION

ACCOUNTANTS’ REPORT TO THE TRUSTEES

FOR THE YEAR ENDED 31ST JANUARY 2024

In accordance with your instructions we have compiled these unaudited accounts in order to assist you to fulfill your statutory responsibilities, from the accounting records, information and explanations supplied to us. I believe them to be a true and fair record of the charities affairs as at 31st January 2024 and of it's income for the year then ended.

…………………………………………………………

Pamela Featherstone

15/04/2024

Date

Acorns Accounting Services Scotts Hall Bramfield Halesworth Suffolk IP19 9JH.

Page 3

THE ERASMUS FOUNDATION

FINANCIAL STATEMENT

FOR THE YEAR ENDED

31ST JANUARY 2024

----- Start of picture text -----
2024 2023
Note £ £
Income
Voluntary income 1 21,260 25,240
Fund raising 2 23,831 16,359
226
Total Income 45,091 41,825
Expenditure
Direct charitable expenditure 3 43,899 30,341
Fund raising and publicity costs 4 38
Ruscora 4a 267
Governance costs 5 450 450
Depreciation
Total Expenditure 44,387 31,058
Net Income/Loss 704 8,846
Total funds brought forward 700,157 691,311
Balance carried forward 700,861 700,157
----- End of picture text -----

Page 4

THE ERASMUS FOUNDATION

BALANCE SHEET

FOR THE YEAR ENDED 31ST JANUARY 2024

----- Start of picture text -----
2024 2023
Note £ £ £ £
Fixed assets
Land & buildings (Moat House) 6 950,694 950,694
Equipment 15,407 13,459
966,101 964,153
Current assets
Community bank account 978 2,664
Deposit account 10,990 11,029
Coop Account 1,482 1,482
Coop Deposit 3,048 3,009
Ruscora Publishing account 2,762 2,320
Cash 3,000 3,000
22,260 22,260 23,504 23,504
Current liabilities
Amounts falling due within one year 8
Net current assets 22,260 23,504
Long term Liabilities
Loan 9 287,500 287,500
Total assets less liabilities 10 700,861 700,157
Represented by
Restricted Fund 7 - -
Share holders Fund 700,861 700,157
Total 700,861 700,157
----- End of picture text -----

These financial statements were approved and signed by the Trustees.

……….……………………………………………………… ………………………………

R Dowek Date

……….……………………………………………………… ………………………………

J Griffin Date

Page 5

THE ERASMUS FOUNDATION

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED

31ST JANUARY 2024

----- Start of picture text -----
2024 2023
£ £
1 Voluntary income
Donations 12,433 16,034
Healer subscriptions 70 20
Refunds 3,357 2,459
Funds & Contributions 5,400 6,727
21,260 25,240
2 Fund-raising and publicity income
Meetings/tapes 3,754 4,368
Rent 15,600 9,400
interest 108
Sundry income 949
Ruscora 840 226
Gift Aid 3,961 1,416
24,263 16,359
3 Direct charitable expenditure
Rates 2,934 2,842
Insurance 1,716 2,010
Electricity 12,208 6,907
Heating 3,899 3,956
Repairs Renewals and maintenance 2,791 9,235
Stationery 797 147
Postage 92 102
Telephone 349 405
Vet and animal sanctuary coasts 3,982 341
Peace gardens 6,758 827
Household and cleaning 2,186 1,814
Catering 3,045 958
Donations to other charities 120 120
Water 62 48
Ruscora 80 267
Sundry 3,013 64
Awards & Subscriptions& Training & Zoom 299 298
44,331 30,341
4 Fund-raising and publicity costs
Publicity and marketing 38
38
4a Ruscora Publishing
Sales 840 226
Printing & Postage 80 267
Profit/Loss 760 - 41
----- End of picture text -----

Page 6

THE ERASMUS FOUNDATION

NOTES TO THE ACCOUNTS

FOR THE YEAR ENDED

31ST JANUARY 2023

5
Professional fees
Accountancy
6
Cost
7
Restricted Fund
8
Creditors & Accruals
Independent examiner's fee
Meditation Project
9
Long term liabilities
Loan from H Griffin
10 Increase in assets
Equipment and New Meeting Rooms
Current Liabilities
Current Assets
Governance costs
Solicitors
Tangible fixed assets
At 1 February 2023
At 31 January 2023
Depreciation
Charge for the year
Addition
At 31 January 2024
2024
£
-
450
450
Land &
Buildings
£
950,694
950,694
-
-
-
-
950,694
2024
£
-
287,500
287,500
Equipment
£
11,709
11,709
1,948
13,657
2023
£
450
450
Total
£
964,153
-
964,153
1,948
966,101
2023
£
287,500
287,500

10 Increase in assets Equipment and New Meeting Rooms Current Liabilities Current Assets

Page 7