Charity number
2908e6
THE EASTERN TRANSPORT COLLECTION SOCIETY
UNAUDITED
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR YEAR ENDED 30 APRIL 2021

Tha Ea8twn Transport Collectlon Soclety
Contènts
Legal and admlntstratlvo inftsrniatlo
TNstees' roport
Indepondènt report
statgment olllnanclal actlvllles
Balanc• sh•gt
Notes to th• Ilnoncial 8tatem8nts

The Eastern Transport Coll8Ctlon Soclety
Lryal and admlnlstrative Intomiatlon
Trustees
MSchael Flynn
Sydney Eade
Daniel Peart
David Jordan
Colln White
Richard Alger
John Stewart
Michael Betterton
Chairman
Secretary
Vice Chalrman
Prlnclpal Offlce
14 The Pines
Cringleford
Norwlch
NR47LT
Independent Examjner
P Dixon FCCA
Norwich AccoLtntancy Servlees Ltd
loa Castle Meadow
Norwlch
NRI 3DE
Page I

The Easterft Transport Collèction Soclety
Report of the Trustees for the year ended 30 Aprfl 2021
The Trustees present their report and financlal statements for Ihtr y8ar ended 30 April 2021.
ststus
The organisation was gra￿ed charllable slafvs on 4th Docember 1984. As of that date th&
organisatton was entered in the Central Register of Chartties, by the Charities Commission,
and has a registered number of 290666.
Principal actfvity
The oblect of the charty is lo advance public education by acquiring and rfjstortng a mobile
collection of hlsloric publtc transport vehicles (buses) and to establish faGilities for Iheif publlc
exhlbllloA.
Publlc Beneflt Statement
The Trustees have regard to ts Charfly Gommis$k*ll's public ben8frt guKlan¢e.
Revlew of Actlvluos
The Statement of Flnanclal Acttviti88 far the year is set cArt on page 7 of the financial
statements.
A summary of Ihe flnancial results and the WOTk of Ihe charity is set (Art below. The surt4us lor
the year is £3819, gNing total funds carrted forward of £26,453.
Achlevemonts
The Socievs vehFcles continue to be slored at se¢ure undercover storage in Altleborough.
Work has now begun to tocate premises to wh￿h the vehicles can be moved when the
existtng premise8 gre redeveloped. The continues to benefit from the subletting
of space al the exisllng premises thtch reduces substantially the cost of a(￿mmodation for
Its own ffeet
The Society eontinuo8 to publigh tho bi-month￿ m8gazlne Temiinu8 for members. A stgnlftcant
number now recewe the magazine eleclronulty, which engures that they receive their copy
quicker and al a reduced ¢ost. The So¢iety benefits by the reduCt￿n in cost of d18tributron,
enhan¢ing the portion of subscriplions which can be used to fund vehicle resloralK>n and
maintenance.
During the course ofthe year, we Faunthed the SoGieV8 new wthlte which 18 a great
improvement over the old. For the first time, Ihose interesled can joln the Soclety online from the
webslle. 16 have done so so lar. Swelling the membership numb￿$ to the highest levet for several
yeats. rt is gratifying that only two Membe￿ chose not to renew 8t the year end.
In 2020, we concluded our 50th Annlversary Appeal with a viow to taising £20.000 to enabte the
Society to continue with the restoratlon of fleel of six vehiclès. Well over that sum was raised,
to which Gift Aid h35 been added. Thls has given us a sound base from which to ¢onllnue our
restoration efftirts. The Trustees are also very pleased that approximately £500 per month L*
ral$ed from members, regular monthly donations. Our use of third paty fundraislng websttes has
cc￿14nUed to benef5t finances with well over £500 now raisgj by easyfundraising. glveasyoulive and
Page 2

The Ea$tem Transport Collectlon Soclety
Report of the Trustees for the year ènded 30 Aprll 2021
Amazon Smile. Our anonymous donor has conttnued to make substantial donations to benefit th8
restoration of LL718, with its fvnd n(M holdlng over£6000. We have continued to bonefil from
donaltons from the estate of late members. Syd Eade very successfulty raised over £1500 from
the sales of bus memorabi148 owned by our former treasurer Bernard Watkin, gen8iou8ty donated
by hi9 widow Penny.
Taken togetheT, all these Initiatives have resulted In Ihe S￿Iety erbdlng the y6ar the surplus
noled above.
The global CovKI-19 pandemic has impacted s[gnif￿andY on resloratlon Progress with three
lockdowns preventing work pro¢eoding. Even when lockdowns were lifted, several working paty
members had to wait for full va¢cina*ion before il was safe lo ￿$tsrt. N￿ethe*s, gootl progr
has conllnued to be made wllh the retum of LKH 341.$ fulty refvrbished engine from Roger Burdett
and hi8 team in Wa￿￿￿8h1re. Slgnificant furthèr progress has been made 81 the front erKI of the
vehicle with much rotten wood Trplaced and new panelling fitted. Work on the upper d8ck
nllnues as well as replacement of rotten sections in the staircase. We are hopeful Ihal the
vehlde wll ￿ drivable agaln in 2022 amhough full ostoralfon Is unlikety to complete before 2023.
The platfomi area of LKD 229 has been fully refurbl8hed, It is to be hoped that. with Ihe pandemio
more under control. a full&r programm8 of w)rk can be completed in 2022.
Roseryes Pollcy
11 FS the aim of the charity to rnaintain unrestrkted funds which ar8 free reserves of the Charity at
a level which equates to approximalety elghteen months, unTestr￿ted expendffture {excluding
resloralion costs}. This provides 8ufficienl funds to cover administrallon and maintenance of the
Society's vehlcles. The trustees estimale the Cul￿nI mark81 value ofthe fwed assets ￿ £34,CW.
Rlsk Management
The trustees ¢onlinue to examlne the major strategic bu$inoss and operatlonal rkks within the
charity and confimi that the systems e$tsblK8hed and regulaT reports help lo redu￿ and
eliminats thèse risks.
Thts report and the financial statements were approved ty the Trustses on
and were 6vaned on thelw tshalf by Mike FFynn, tha Chaimian.
Decemlx8r 2021
Page 3

Eastorn Transport Colleetton Soclety
Independ•ftt Examlnei's Report
Forthe y•arendod 30 Aprll 2021
INDEPENDENT EXAMIt4ER% REPORT TO THE TRUSTEES gfTHE EASTERN TRANSPORY COLLECTION SOCIETY
I rewrt on th& f*nancAal statements of thg charity for the yw ended 30 Aprtj 2021 vthlch are set OLrt on
pages 7 10 9.
This report 18 made solty to the d)aritys Truste88, as a bw, in acco1yl￿ee with se¢tron 145 of the Chame8
Act 2011 and regulallons mad8 under sectSon 154 of thatA¢t My work has been undertaken so that I mlght state
lo th8 charity's Trustèès Iho$g matters l am required 10 State lo them In an Ind8p6ndent 8xaminer's report and
for no other purpos&. To the fullest extent permitted by law, I do not a¢cept or assume respon$ibilily to anyone
other than dKqrtty and tha charttys Trustso8 a8 a bcty. for my or for Ihls rewrt.
The flnan¢l¥l stalemenls have b88n prepared In aco)rdanc6 vAth Acrounting and ReFortkng by Ch8dles
preparing I￿r accounts in accordance with the Financial RwrtiNJ Standards appllcable in Ihg UK and R*wbllc
of Ireland IFRS1021 In preférence to the Accounting and Reporting by chariti￿.. Statem8pII of Recomm8fKled
Practice issued on 1 April 2005 which Is referT*J lo In the extènt regula*ions bul hss Ixen wrthdr8wn.
This has d￿$ In order for the acc￿￿3 to provida a true and f8fir ￿0W in o¢ctydance wlth the Ggnwal
Accgpted Accounting Pradce effec￿￿ l(Y reportlng peri¢xls b89inning on or 8ftèr 1 January2015.
RESPECTIVE RESPONSIBIUTIES OF TRUSTEES AND EXAMINER
The charfty'8 Trust￿ are responstAe for the preparthon of the financlal statemrt qnd they conslder that ¥n
audit is requir8¢Y for Ihis year under sad￿jn 144(21 ol the Charthes Act 2011 {the Act) and th81 an
Indopondent examination is ngeded.
11 Is my responsibility to..
examine the statements undor sedion 145 oftht Act..
fc4low the prc¢edures lald down in the general Directions gwen by the CharttyComml8gkn undersadcn
145151{bl of the Act.. and
#tale wheY*r particubr rnatters havo come to my gttontion.
BASIS OF INDEPENDENT EXAMINEifs REPORT
My examination was out in eccordance the gerwal DIr￿110nS given by tfri8 Charity Commission. An
examinallon Ind￿1￿8 a review of the ae£ounJng records kept by the chadty and a mnparlson ofthe finandal
statement3 presented those records. It al80 indud89 eonshJeralk>n of any unusual items or di8dosur•$ In
the financial statsments. and Seeknng exFlan3tl￿s from you as Trusleè8 concemlng any such matters. The
procedures undertaken do not provid& oll the evidetxe thatwould ￿ required In an audit. and consawently no
nltsn 18 glven to vknthrthe finandal statements pre8enl a and fak vl* and Ihe the report E8 limrted to
Iho8e mattèrs Set ¢)ut In the statemert ljelw.
Pago 4

The Eastgm Tran8POrt col￿tIon So¢l•ty
Independent Examlnerfs Report
For the year endod 30 Aprll 2021
INDEPENDE￿ EXAMINER'S STATEMEKr
In ¢C￿neCts0n ￿ rny wmination. no mattèr has come to my ail¢ntion.'
(f)
Which gNes me re•sonable cause to bellve that in any malorial resK*Ct th• requirements".
- to keep accounting record$ in accordance ￿th section 130 of the Act.. 8nd
fo prepare financial statements which accord wllh th• accounting rn¢ords. Accounllng and R8Wt(rYJ
by ChaTiti¢$ preparing their accounts in accordance with the Financial Reporting Standard in th& UK
and Repybknc of Ireland IFRS1021 and In othw respgcts compFy th& accounting r•quirements of
the Act.
have not been met.. or
121
to vthi¢h. in my ￿nIon, attention should b8 drawn in order to an8￿0 a PTop8r undw*arKtlng of the
financial statements lo bo reached.
8igned'.
Date(1". 25th October 2021.
Paul Dixon FCCA
Norwlch Ac¢ountrn¢y S&Nlco8 Ltd
10a C8sYa Meadow
NO￿¢￿
NR1 3DE

The Eastsm Transport Collectlon Soclety
ststemement of Flnanclal ActlvSt8S
For the yearended 30 Aprll 2021
unrestr￿t811
fund•
2021
R•#trf¢tsd
fufid#
2021
Totsl
fund$
2021
Tol•l
2020
INCOAIE FROAI:
Sub8vlptlons
Oonations
Gtft aid clalm
Rent rece
Fund t8ts1ng
Bank Inter88t
3.502
11,339
3.154
6,000
1,821
3.602
11,339
3,154
6,000
1,821
2,978
12.LK12
4,148
4,9SO
226
TOTAL INCOME
21817
EXPENDITURE OPI:
Fund r8idrw
R8nts pakj
L*ght& ￿at
Insurance
V•hide maintsnanc*
178
I,￿3
11,868
178
1.063
11.88
158
585
18,4
Indeparthnt examw￿9 f888
Admin18tFathJn
Repairs of pr8mF
R8paiKs lo equynant
330
1.054
330
I,QJ4
t,61S
1A07
228
TOTAL EXPENDJTURE
21.998
22.881
NET INCOME IIEXPENfMTUREI 8EFORE
OTHER RECOGNISED GAINS AND
LOSSES
3.819
3fv19
1,443
NET MOVEMENTIN FUND8
1,819
3,819
RECONCIUATK)N OF FUNDS:
Tolal fu￿¥ btwght fomBrd
22,634
21.191
TOTAL FUND8 CARRIED FORWARD
24463
26183
22,834
notss on pago 8 fomi p8rt0lts* fina￿1 ¥tgtsM￿ts.
P<e6

The Eastern Transport Collectlon So¢lety
ilan¢e Sheet
AS at 30 Aprll 2021
2020
2019
FIXED ASSETS
Motor v8hides
Mu8eurn ￿￿dIng ancl exhlxti
3,500
1,800
3.500
1,500
s,000
CURRENT ASSETS
Dèbtors and prepasrynents
LKH 341 bank account
718 bank a¢¢ount
Cash at ba
6.731
16.688
2q.9S3
2.501
10,927
18,134
CREDITORS: amounts falllng du8 WrtNn
one year
Creditors and acuua
(5rK)
NEf CURRENT A85ETS
21A53
17.834
NET ASSET3
26A53
22.634
CHARITY FUNDS
RBStrfdgd luThJs
TOTAL FUIIDS
21,191
Thg flt)anclaF statements were approve£l by the Trustees on311i& /.a and 8lgned on Ih•tr bthdf, ty.
M Flyn
Chalrn)8n
The not•s on page 9 form part of Ihaso financial **¢ments
Pagglw

Tho Eastern Tran$port Collectlon 8ocl&ty
Notes to Ihts Flnanclal Ststement
For th• year •nd•d 30 AwS12021
ACCOUNTING POLICIES
1.1 Bask of Pmparntlon olflmtscial ststsmgnt8
The chBrrty conslllutes a public beneffl enllty as d8fined by FRS 102. The fsnancial st8tements
have been wepared in accordance wilh Accounllng and Reports'ng by charIt￿S.. St8lern8nl of
Recommended Practice applicable to Ghariles preparlng their accoLFnts in accordance wlth th&
Fir7anaal Repcating Standard appllcable in the UK and Republlc of Irgland IFRS 1021 i$8ued on
16 July 2014, Ihb Financial Reporting Standar(S applicable in the Unitad Kingdorn and Republlc
of Irèlend (FRS 102), the Ch8rftie8 Act 2011, and UK Gener￿lY Acceptsd Practice 8$ It applles
from 1 January2015.
1.2 Fund acco￿￿tIng
G￿eral funds are unreslrfcted funds which 8re available for use at tha discrètion of thg Trustee8
in furtherance ol the gen8fal obi8Ctives of Iha orwtsat'on and whlch havè not boèn d&slgnatwJ
P8rJcu18f PLKPWS.
Dg8lgnated funds ¢cmprise unreslrided funds that have been set asidè by th8 Trustees for
particular purpos68.
Restrlcted funds are lund8 whlol are to b& usod In accordance ￿￿th specifi¢ r08trfctions imposed
by donars or which been w8ed bythe org8nisation fof particular purp)8es. Thè cost of
raising and adminlslerrng such fund$ are charyed against the speclfic fLmd.
1.3 In¢omlng resour¢
Incoming rosou¢ces ars recognl8ed In thè Statemènt ol Financial Actlwties ISOFAI when thg
organlsallon h8$ entltt8m8nl to incorne, there 1$ 8uffici8nt e8rtainty of re¢glpt 80 tF7at 1118
probable the Income wll be r8ceW, and ¢he amount can be m@aswtd r8lia14y.
No amourts afe Included in the fingncéal statements for seThiceg donated by ¥duntetrs as thts
Value cannot be quantlfle(I
1.4 Rosl￿r¢eS ￿peThdad
All eXpen(JI￿re is ac¢ounte<l for on 8 recelpts and payments basis and h88 bè8n ¢lasslfied
UTKIW headings that aggregate all costs Telaled to th& category. Whore costs cannot be dIr￿Y
altributed to particU￿r headings Ih6y have been olktat8d to activities on a ba818 consist￿tt Mlh
s8 of the resources.
TRUSTEES. REAqUNERATION AND EXPENSE8
Tl)& Tiustées wther received w wavl8d any emoluments or eyn86s dur6ng the year.
P#ge 8