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2024-03-31-accounts

Treasurer’s report for AGM held on 09.05.24

Receipts 23/24 TOTALS
Hire of Hall 5,962.92
£
Donations 1,998.17
£
FundraisingEvents 2,963.60
£
COIF 327.56
£
Grants 3,205.60
£
bar takings(card machine) 7,802.90
£
HMRC -
£
Catering 899.00
£
bar takings(cash) 8,733.45
£
misc 254.70
£
Total Receipts 32,147.90
£
Payments TOTALS
Suppliers 5,709.66
£
Security 268.79
£
Water(Everflow) 224.18
£
Oil 1,797.08
£
Electric(BG Business) 2,899.60
£
Bank Charges 136.04
£
CleaningMaterials 449.41
£
Caretaker Wages 2,150.00
£
Grants -
£
Licenses/Insurances/Rates 2,999.00
£
Telecommunications 220.96
£
FundraisingExpenses 798.59
£
Equipment 638.96
£
Grass Cutting 285.00
£
Misc 2,207.70
£
Catering 1,516.35
£
Bar stock 8,023.63
£
3,908.38
£
Maintenance and repair
Total Payments 34,233.33
£
Receipts - Payments 2,085.43

These accounts were subject to Independent Examination by John Willis, Chartered Accountant with Calum Ward in Harleston. A report is available for inspection.

Treasurer’s report Page 1 of 2

Financial commentary:

The Hall holds 2 bank accounts – a charitable for day-to-day business and a COIF investment account which holds our reserves.

During 2023-24, the following developments took place (with approximate cost):

During 2023-24, the following grants were received and spent.

Treasurer’s report Page 2 of 2

31.03.24 Financial Report Receipts / Payments for year 01.04.23 to 31.03.24

Receipts 23/24 TOTALS 23/24 TOTALS
Hire of Hall £ 5,962.92
£
Donations £ 1,998.17
£
FundraisingEvents £ 2,963.60
£
COIF £ 327.56
£
Grants £ 3,205.60
£
bar takings(card machine) £ 7,802.90
£
HMRC £ -
£
Catering £ 899.00
£
bar takings(cash) £ 8,733.45
£
misc £ 254.70
£
Total Receipts £ 32,147.90
£
Payments TOTALS TOTALS
Suppliers £ 5,709.66
£
Security £ 268.79
£
Water(Everflow) £ 224.18
£
Oil £ 1,797.08
£
Electric(BG Business) £ 2,899.60
£
Bank Charges £ 136.04
£
CleaningMaterials £ 449.41
£
Caretaker Wages £ 2,150.00
£
Grants £ -
£
Licenses/Insurances/Rates £ 2,999.00
£
Telecommunications £ 220.96
£
FundraisingExpenses £ 798.59
£
Equipment £ 638.96
£
Grass Cutting £ 285.00
£
Misc £ 2,207.70
£
Catering £ 1,516.35
£
Bar stock £ 8,023.63
£
Maintenance and repair £ 3,908.38
£
Total Payments £ 34,233.33
£
Receipts - Payments 2,085.43

Headlines

Overall fnancial position at 31.03.24

Business Account 6,870.24 Coif Account 11,147.02 Cash 1,515.36 Total Funds £19,532.62

Committed funds.

Reserves 11,000.00

Over 60s event balance 216.84 (to be returned to Feoffees) Cost of 1 fire door for Kitchen 851.66

Events planned for April/ May 485.00 Total commitments £12,553.50

Surplus funds £6,979.12 Outstanding invoices 563.25

Page 1 of 2

31.03.24 Financial Report Receipts / Payments for year 01.04.23 to 31.03.24

Bar stock 3,560.60 Oil left in tank with approx. value of 165.00

Total assets £11.267.97

Page 2 of 2

ended

Set out on pages

I report to the trustees on my examination of the accounts of the above charity ("the Trust") for the year ended 3103.2.1*

Responsibilities As the charity's trustees, you are responsible for the and basis of report preparation of the accounts in accordance with the requirements of the Charities Act 2011 ("the Act").

I report in respect of my examination of the Trust's accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent examiner's statement

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. * Please delete the words in the brackets if they do not apply.

Signed:

Name:

Relevant professional qualification(s) or body

Oct 2018

IER

1