OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2021-03-31-accounts

GIRLGUIDING CHALFONT ST GILES DISTRICT

REPORT AND FINANCIAL STATEMENTS

FOR THE YEAR

FROM 1 APRIL 2020 TO 31 MARCH 2021

REGISTERED CHARITY NUMBER – 300663

CHALFONT ST GILES DISTRICT OF THE GIRL GUIDES’ ASSOCIATION

ADDRESS The Guide Centre School Lane Chalfont St Giles Bucks. HP8 4JJ TRUSTEES Nicky Dodd Sue England Jenny Guerin

The District continues to provide activities and opportunities for the girls and young women of Chalfont St Giles and Seer Green within Rainbow, Brownie, Guide and Senior Section units of Girlguiding UK.

This was thanks to the hard work of all our volunteers, both the leader team running all the units and the adults who volunteer on the committee of our support group, called The Friends of Guiding in Chalfont St Giles District. This Group supports the District by fundraising and is entrusted with the upkeep and administration of our two guide halls and associated finances. This includes hire of the halls to other organisations and individuals when not needed for guiding purposes.

This has been a difficult year due to the Coronavirus pandemic causing the closure of our halls for much of the year with the resulting drop in income from lettings. We followed all government and Girlguiding guidance in preparing the halls for limited re-opening in September. Fortunately we were supported financially by grants from Buckinghamshire County Council for each of our halls which are well used by the local community.

Approved by the Trustees on 30 November 2021

THE FRIENDS OF GUIDING IN CHALFONT ST GILES DISTRICT

FINANCIAL STATEMENTS YEAR ENDED 31 MARCH 2021 RECEIPTS AND PAYMENTS ACCOUNTS

y/e 31 March 2021 March 2021 y/e 31 March 2020
**Note ** £ £ £ £ £ £
RECEIPTS
Lettings
Both Halls
3473.00 14080.00
Bucks CC Covid Grants 32198.00
Fireworks - 2019 1057.77 0.00
Interest Scottish Widows 27.62 31.59
Total receipts 36756.39 14111.59
PAYMENTS
Guide Hall
Energy 962.76 1960.26
Rates/Water/Sewerage 196.16 409.93
Phone/Broadband 347.76 337.14
Cleaning 1055.00 2520.00
Sanitary Disposal 0.00 574.97
Repairs 2 0.00 1177.58
Equipment 143.16 26.35
Garden Hall
Energy 608.23 1440.32
Rates/Water/Sewerage 111.19 251.01
Cleaning 890.00 1440.00
Repairs 2 0.00 144.00
Equipment
Both Halls
Insurance 1495.17 1532.58
Gardening 265.00 1243.29
Maintenance 2 852.94 623.82
Consumables 0.00 309.45
Equipment-fire safety
Repairs-fire safety
Sundry 0.00 236.00
Total payments 6927.37 14226.70
NET RECEIPTS/(PAYMENTS) 29829.02 -115.11
Transferred to District 0.00
Surplus/(Deficit) 29829.02 -115.11
Summary of Accounts opening closing opening closing
balance balance balance balance
£ £ £ £
Current Account 5032.58 44833.98 5179.28 5032.58
Scottish Widows 4 30031.59 20059.21 30000.00 30031.59
Net Cash 3 35064.17 64893.19 29829.02 35179.28 35064.17 -115.11

NOTES

1 Accounting Policies

These financial statements have been prepared using the Receipts and Payments basis available to small charities.

2 Reserves

The Property Reserve Fund represents general funds set aside for the maintenance, upkeep and improvements of the District premises. These comprise the Guide Hall in School Lane and the adjacent Gardens Association Hall acquired in July 2009.

Property Reserve Fund

Balance b/f
30031.59
Payments
Guide Hall
Repairs
0.00
Garden Hall
Repairs
0.00
Both Halls
Repairs
Maintenance
852.94
852.94
29178.65
Transfer from General Fund
10821.35
Balance c/f
40000.00
General Fund
Balance b/f
5032.58
Surplus
29829.02
34861.60
Transfer to District
0.00
34861.60
Transfer from Property Reserve Fund
-9968.41
Balance c/f
24893.19
Total Funds
64893.19
Balance b/f
30031.59
Payments
Guide Hall
Repairs
0.00
Garden Hall
Repairs
0.00
Both Halls
Repairs
Maintenance
852.94
852.94
29178.65
Transfer from General Fund
10821.35
Balance c/f
40000.00
General Fund
Balance b/f
5032.58
Surplus
29829.02
34861.60
Transfer to District
0.00
34861.60
Transfer from Property Reserve Fund
-9968.41
Balance c/f
24893.19
Total Funds
64893.19
Balance b/f
30031.59
Payments
Guide Hall
Repairs
0.00
Garden Hall
Repairs
0.00
Both Halls
Repairs
Maintenance
852.94
852.94
29178.65
Transfer from General Fund
10821.35
Balance c/f
40000.00
General Fund
Balance b/f
5032.58
Surplus
29829.02
34861.60
Transfer to District
0.00
34861.60
Transfer from Property Reserve Fund
-9968.41
Balance c/f
24893.19
Total Funds
64893.19
64893.19

3 Monetary Assets

Monies are not held in segregated accounts, but are allocated as above to the Property Reserve Fund and the General Fund.

4 Scottish Widows

A Charities 7 day notice account with Scottish Widows Bank was opened in July 2010. Gross interest at 0.10% is payable annually and is credited to the account in July.

Susan P England Treasurer

I have examined the above financial statements and confirm that they are in agreement with the books and records of the association.

Independent Examiner