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2021-03-31-accounts

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Shelfanger Village Hall and Recreation Ground

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Accounts |

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For the Year Ended 31% March 2021

Shelfanger Village Hall and Recreation Ground \ Accountant’s Report . |

| have prepared the accounts for the year ended 315t March 2021 from the books and records provided for Shelfanger Village Hall and Recreation Ground and from the information and explanations given by them and report that they are in accordance therewith. .

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Richard Jones ACMACGMA

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42 Ashdown Way

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Ipswich

Suffolk

IP38R)

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A SHELFANGER VILLAGEHALL & RECREACTION GROUND

BALANCESHEETASAT31STMARCH2021 2021 .
~
2021 - 2020
; £ £
LIABILITIES )
Loansrepayable within 2years mo, 0 . 0
Loansrepayablewithin3years
Loansrepayablewithin4years

0
3,000
2,000
Loansrepayablewithin5years 0 - 8,000
Loans repayable within 6years
NETLIABILITIES
0 13,000 ,
CURRENTASSETS
«CashinBankat31/3/21
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18,377 9,105
NETCURRENTASSETS 18,377 9,105 :
Net Monitary Assets 18,377 -3,895 .
_ REPRESENTED BY:
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- ACCUMULATED FUND
Balance Broughtforward 9,105 44,327
SurplusofIncome OverExpenditure 9,271
18,377
__735,222,
9,105
: .

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SHELFANGER VILLAGE HALL & RECREACTION GROUND

INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDED 31ST MARCH 2021

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||||||| |---|---|---|---|---|---| |2021|2020| |Income|£|£|£|£| |Donations|55|20,120| |Bricks|-|0|700| |:|Trading|activities|.|6,003|18,969| |Investment|income|,|216|986| |Closed|Business|Lockdown|Payment|5,334| |oe|Business support grants|14,573| |Donation|from|Shelfanger|7,000|;| |Interest|Received|0| |;| |.|33,182|40,775| |Expenditure|:| |Payments|direct|Charitable|expenditure|3,549|5,344| |.|OtherFunctional ExpensesExpenses|2,3533,707|2,2853,564| |Extension|expenses|0|42,753| |0|Loan|repayment|14,300|22,050| |23,910|75,996| |SURPLUS OF INCOME OVER EXPENDITURE|9,271|-35,222|

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