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2023-03-31-accounts

PAR co Na LiAGE HALL-CHARITY REG NUMBER 1872 REP The accounts forthe 2022123 fiDanci)I Wera￿lted by L￿t8tOuth. the appoKited auditors. on 1819123 and apwoved at the L155 Partsh Council meetiryofi 2( Nthtmber 2023. For the year under reth the￿waS￿n excess of experrfliture obtr income of £1525. Income was £26,￿ of this renta15 recefftd £8,667 and a council grant of £18313. ExpendIturetotsl￿ £28,515. Staff costs incl￿ in thisfigure were £1SP89 The Charltywill contlnue its alms of provJlrrf a tommuntyfacilrty for Nre * a¥ mernbers of the Commun￿ and to maintaln the tsality io a hh standard. Appro*d t knss Parish Coundl on 2tyh No%rmber 2023 Name.. K Bthlden PosltSon: Chalr of Lb5 Par55h Cojn

06/03/2024 11:13

Page 1

Liss Parish Council - Charities yr end 2022/2023

Detailed Income & Expenditure by Budget Heading 31/03/2023

Month No: 12

Cost Centre Report

Actual
Current
Actual Year
To Date
Current
Annual
Variance
Annual
Committed
Expenditure
Funds
Available
Committed
Expenditure
Funds
Available
% Spent Transfer
to/from EMR
1000 Village Hall
1080 Bank Interest 3 9 0 (9) 0.0%
1601 Village Hall Rent 1,499 8,667 6,600 (2,067) 131.3%
1610 LPC Grant 0 18,313 18,313 0 100.0%
Village Hall :- Income 1,501
26,990 24,913 (2,077) 0
108.3%
4000 Staff salary 1,493 12,462 8,055 (4,407) (4,407) 154.7%
4005 Pensions 0 2,627 0 (2,627) (2,627) 0.0%
4060 Training 0 150 150 0 0 100.0%
4070 Insurance 0 1,800 1,800 0 0 100.0%
4075 Telephone & Internet (96) 0 220 220 220 0.0%
4080 IT software 0 200 200 0 0 100.0%
4085 Website & email hosting 0 85 85 0 0 100.0%
4090 Stationery 0 121 121 0 0 100.0%
4095 Postage 0 0 50 50 50 0.0%
4100 Printer/copier 0 499 499 0 0 100.0%
4115 Audit 100 400 200 (200) (200) 200.0%
4120 Subscriptions 0 108 108 0 0 100.0%
4145 Council Tax & licences 0 20 275 255 255 7.3%
4150 Gas 634 3,641 3,500 (141) (141) 104.0%
4155 Electricity 419 3,770 3,000 (770) (770) 125.7%
4160 Water supply 96 470 500 30 30 94.0%
4165 Waste Bins 0 0 1,000 1,000 1,000 0.0%
4166 Bank Charges 0 7 0 (7) (7) 0.0%
4170 Fire safety 0 188 350 162 162 53.7%
4175 Building Maintenance 1,274 1,017 3,500 2,483 2,483 29.1%
4180 Feminine Hygiene Costs 0 188 0 (188) (188) 0.0%
4190 Cleaning Materials 239 374 800 426 426 46.7%
4195 Other Servicing 240 240 500 260 260 48.0%
4245 Other Grounds Costs 0 148 0 (148) (148) 0.0%
Village Hall :- Indirect Expenditure 4,400 28,515 24,913 (3,602) 0
0 (3,602) 114.5%
Net Income over Expenditure (2,899) (1,525) 0 1,525
Grand Totals:- Income
Net Income over Expenditure
Expenditure
(2,899)

4,400
1,501
28,515
26,990
(1,525)
24,913
24,913
0
(2,077)
(3,602)
1,525
0 (3,602) 108.3%
114.5%
Movement to/(from) Gen Reserve (2,899) (1,525)

. . . . . . . . .

7 Hodder Close, Chandlers Ford, Hants, SO53 4QD. Tel: 07762 780605 Email: Tim.Light1@hotmail.co.uk

18 September, 2023

The Parish Clerk

Liss Parish Council

The Council Room

Liss Village Hall

Hill Brow Road

Liss

GU33 7LA

Dear Sarah

Internal Audit Letter Report

Liss Parish Council – Charity Accounts 2022/2023

The Accounts and Audit (England) Regulations 2015 (as amended) require all Town and Parish Councils to undertake an effective internal audit to evaluate the effectiveness of their risk management, control and governance processes, considering public sector internal auditing standards or guidance.

The internal audit work we have carried out has been planned to enable us to give our opinion on the control objectives set out in the Internal Auditor’s Report on the 2022-2023 Annual Governance and Accounts Return.

This states that the Council will need to demonstrate that it discharged its responsibilities for Charitable fund(s)/assets, including financial reporting and, if required, independent examination or audit.

We are bound by the ethical guidelines of the Association of Accounting Technicians (AAT). We confirm that we are independent of the Council.

. . . . . . . . . . . . . . . . . . . . . . . . . . . .

September 18, 2023 Page 2

We have complied with the legal requirements and proper practices set out in:

This internal audit for 2022/2023 has checked that the Parish Council adheres to the requirements set out in the Governance and Accountability for Smaller Authorities in England ensuring that compliance is maintained for the year ended 31 March 2023.

This is the final audit review in 2022/2023 to check that the Councils Charity Accounts adheres to the requirements set out in the Governance and Accountability for Smaller Authorities in England ensuring that compliance with proper practices is maintained.

The Responsible Finance Officer has also provided back-up information for the period April 2022 to March 2023 and end of year details from the EBS Omega software to support the current governance and financial management of the Charity accounts for the Council.

As we also carried out interim internal audit visits through 2022/2023 and are also using the information already recorded to assess the control operating by the Council for these accounts.

A series of independent audit tests was undertaken using the various financial records, vouchers, documents, Minutes, the previous audit report to ascertain the efficiency and effectiveness of the Council’s internal controls.

As part of this Internal Audit Review, we checked:

Charities Bank Accounts

Lloyds Treasurers (Charity Pavilion Fund) Account Number 1937168 Lloyds Treasurers (Charities Account) Account Number 00257581 Lloyds Business Bank Instant (Liss PC Charities) Account 00270588.

Financial Statements 2022/23

A statement is made to agree that these Accounts give a true and fair view of the Financial Statements for 2022/2023.

Conclusion

We are pleased to report that the various transactional elements of the Parish Council Charites Accounts are of a good standard for the Parish Council.

This letter report should be noted and taken to the next meeting of the Parish Council to inform them of the Internal Audit work carried out. The details of this Internal Audit Report Letter should also be minuted by the Parish Council.

Yours sincerely,

Tim Light FMAAT, Internal Auditor