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2023-09-30-accounts

GRAMPOUND WITH CREED WAR MEMORIAL RECREATION GROUND AND PUBLIC HALL

Registered Charity No. 300547

STATEMENT OF INCOME & EXPENDITURE FOR THE YEAR TO 30/9/23

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Income 30/9/23 30/09/22 Notes
Hall Hire General £3,964.00 £3,702.00
Hall Hire School £11,723.28 £10,694.69
Hall Hire Keep Fit £1,332.00 £2,570.00
FC Changing Room Hire £640.00 £27.50
Events Profits £10,194.76 £9,136.07
Show Profit £438.22 £195.91
Film Club £1,551.05 £880.00
Rents,Wayleaves etc £652.16 £453.81
Car Park £280.00 £551.00
Donations & Grants received £122.94 £2,852.20
100 Club Income £452.00 £453.00
Other Income £141.32 £3.59
Total Income £31,491.73 £31,519.77
Expenses
Utilities -£5,985.46 -£6,033.36
Cleaning Costs -£4,103.76 -£3,517.56
Hall Development Officer -£5,900.00 -£4,800.00
Grounds Maintenance -£4,861.80 -£3,030.70
Hall Maintenance -£9,739.82 -£2,723.48
Toilet Maintenance £0.00 £0.00
Insurances -£4,615.71 -£4,255.13
Advertising £0.00 -£20.00
Professional Fees -£174.20 -£517.60
Other Expenses £0.00 -£21.00
Total Expenses -£35,380.75 -£24,918.83
Earnings Before Depreciation & Extraordinary Items -£3,889.02 £6,600.94
Grants Received for FA Purchase/Dilapidations £4,737.00 £5,000.00 1
Released from Maintenance Fund
Depreciation -£5,562.59 -£32,001.03 2
SURPLUS/ (-DEFICIT) FOR YEAR -£4,714.61 -£20,400.09
BALANCE SHEET AS AT 30TH SEPTEMBER 2023 2023 2022
Fixed Assets £1,033,176.94 £1,020,543.05 2
Current Assets
Cash at bank & in hand £50,840.31 £67,842.26
Stock £0.00 £398.68
Debtors & Prepayments £7,489.36 £8,472.25 3
Total Current Assets £58,329.67 £76,713.19
Less Liabilities
100 Club -£428.00 -£416.00
Creditors £0.00 -£1,152.00
Accruals & Payments in Advance -£555.00 -£450.01 4
Total Liabilities -£983.00 -£2,018.01
Net Current Assets less Current Liabilities £57,346.67 £74,695.18
Total Net Assets £1,090,523.61 £1,095,238.23
Represented By
Capital Account
Balance Brought Forward £1,065,238.23 £1,085,638.31
Total Surplus/(-Deficit for year) -£4,714.61 -£20,400.09
Sub-Total £1,060,523.61 £1,065,238.23
Transfers to/From Reserves
£1,060,523.61 £1,065,238.23
Reserves (Maintenance Fund) £30,000.00 £30,000.00
Total Funds £1,090,523.61 £1,095,238.23
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I have examined the accounts and believe them to be a true and fair record based on the information and records provided

Signed by: G C Hodgson 31/10/23

Notes to Accounts

1) Grants Received for FA Purchase

£4737 from Grantscape towards the roundabout

2) Fixed Assets and depreciation

value as at
B/F last year
£1,020,543.05
Additions
for year
£18,196.49
Depreciation
for year
-£5,562.59
value as at
30/09/2023
£1,033,176.95

3) Debtors & Prepayments

Principal debtors MAT and FC only invoiced at year end

4) Accruals

Mostly the deposits received for the October Craft Fair

5) Source and Application of Funds Stement

Sources
Earnings/lossbefore depn -£3,889.02
Grants Received for Fixed Assets £4,737.00
Decrease in Bank £17,001.95
Decrease in Stock £398.68
Increased 100 Club Liability £12.00
Decrease in Debtors £982.89
Increase in Accruals £104.99
£19,348.49
Applications
Fixed Assets Purchase £18,196.49
Decrease in Creditors £1,152.00
£19,348.49