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2025-09-30-accounts

Trustees. Annual Report for the period Penomj end date 2024 From To Section A Reference and administration details t)orset c￿nty Arts and Crafts AssociatK)n Other names charity is knovffl by Reglstered charity number (rf any) 306252 Charity's principal address 24 Nottington Lane DT3 SDF Names of th• charity trustees WI￿ manage the chaTIty Tr￿tetr nam• Offlce rrf any) N•m of {or body) entftled int trusta• an Jennrfer Gurden Chair Membership Secretary Gillian Hedger Malcolm Macnaughtan Timothy Morris Janette Underdown Treasurer Acting Secretary 10 11 12 13 14 15 16 17 18 19 20 Namm of the trustees for the charfty, If anyi {for example. any ¢ustodlan trustees) Name Dates acted rf not for vtholè TAR Marth 2012

Names and addresses of advisers (Optional Infornmtlon) of adviser Nam• Address Nama ol chlef oxocutive or names of senior staff members (Optional inf0m￿tIOn) Section B Structure, overnance and mana ement Description of tho charltys tn￿ts Constiiulion. dated 8th AUg￿t 1967 arwj amendJ on 15th May 2021. Type of goveming document leg. trust deed. constitutK)n How the tharity is constituted leg. trust. assoaation. company Association Trustee selection methods leg. appointea Dy, el￿ DJ Trustees are elected by member5 of the Association at the Annual General Meeting. The trustees also have the power to appoint additional trust88s, y0v￿ed the maximum number of trustees is not eX￿eded. Additional governance Issues (Optional informthn) The Trustees. together with other senior offiaals elected by the members of the Associab'on, fomi the Steering Committee. This Committee manages the business, structure and organisation of tt)e Association, with decisions bein9 taken by the Twstees. You may ¢hooso to include additional infonnation, where relevant, about: policies and procedures adopted for the induction and training of trustees., the charity's organisational structure and any wider ne￿Ork with whith the chaiity works., relationship with any related parties; trustees, consideration of major risks and the system and procedures to manage them. The Showcase Workiry Group consists of the Steering Committee rnernbe￿ and other Association members. who together are responsible for or9anising and runnirwJ the annual Showcase event. The Steering Commtttee may also create subcommittees wilh specific responsi￿l[lIeS. These sub¢ommitte8s will indude one or more trustees. Currentty. there is one suth subcommittee. which is responsible for approvirvJ applicions to the Stallholder Register. Section C Ob ectives and activities TAR Marth 2012

The ¢hanVs ot4.ects (Ihe obpcts,) are . (1) to ￿ViVe and promote the study and practice of arts and crafts by holding events. induding an annual Exhibrtion at which exhibits will be judged by competent persons. Summary of the objects of the charity set out in its governing documènt (2) to encourage. induding through the awarding of grants, the education of residents of the County of Dorset in traditional and modem arts, crafts and related industries, their p￿Ure and personal deveWmenL (3) to promote COThoperatton betrween the various facilities for teaching arts. crafts aThJ related irKlustries now carried on in Dorset. Our main adivity is our annual Showcase event. Anyone may enter work into the judged competttions at the event. vthether they are Iwinners or experts in théir thosen field. Work is judged and feedback provided, to encourage makers to develop their skills. Work can be entered in any area of art, Graft and photography. both traditional and m￿jern. Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees h had regard to the guidance issued by the Charity Commission on publi¢ benefit) We partIc￿laty **ome participation by young p8opI8 and run a series of family workshops during Showcase at which families can try a range of Grants are a4Rrded from the DACA Arts & Crafts Fund to individuals or groups to support their work The guidan￿ isswl by the Charity Commission on public benefrt has not been read by all Current tTUStees. This guidan￿ has now been sent to all trustees arKI will be considered against our planned activitiès at our next trustee meeting, to be held in April 2026. . Additional dotails of objectives and activilie51OMional InfOrn￿On) Policy on grant maklng: One or more grants may be awarded annually. with a maxlmum amount per application of £l(K)O. These are awarded to projects with a strong arts or crafts focus. The temis and conditsons for applicants are published on our website, and all applications are reviewed by the tTUStees. sour￿ of furKling for the grant are income from the DACA Plant & Books Stall 10% of any annual surplus (bef(xe grants and major projects) You may choosa to indude further statements, where relevant, aboul.. policy on grantmaknng. policy programme related investment- ContribulioTr mad• by voluntearn DACA 15 entirely run by ils volunteers aTrJ the c(xrtribution made by volunteers is greaty apprectated. Approximately 20 volunteers serve on the various committees through the year, and a fvrther 50- 60 volunteers give their time during the Showcase event. covering tasks suth as setting up the exhibttion. assisting wtth j￿Jging entries, and stewarding the public galleries. contribution made by volunteers. TAR March 2012

Section D Achievements and performance Summary of the maln achievements of the charity durlng the year ShowGase 2025 took pl￿ from 1st to 5th August and attracted 2660 visitors. an increase of 10% on 2024. Vtsitor feedback was overwhelmingly positive. with many regular attendees telling us they considered it to be the best ever show. This positive response was refiected in the finan￿8. with the event sh¢Thing a surplus of approx. £3,000. Income fr(Mn Showcase in￿eased by 10% on 2024. There were sorne significant contributions which will have a positive impact on our plans for 2026. The Plant aThJ Book stsll took £1.126- 8 remrd amount and greater than forecast in the budget. The full amount is transferred directy to the Grarrt fund. In accordan￿ with our policy, 10% of the suwus (£300) is also transferred to the Grant fund. The fund now stands at £1800 for 2026. Commission on sales was £3,634 (on total Sa￿ of approx. £14,rJJ)) and also exceeded the forecast amount. Two grants were awarded in 2025 to local groups, t#)th with a strong communty connection. The Parish of Wyke Regis All Sairrts Church with St Edmunds communty group received a grant of £170, supporting a Exoject imiolving the whole village in a walking trail disrAaying ststior6 of the cross The Islande￿ Youth and Communty Centre, Portland r￿1Ved a grant of £1,0(KJ to run a series of graffti workshop5 for young people. culminating in the painting of a wall at the ¢ommunty ￿rrtre. We were particulady pleased to support this projeca, whith offers something new for young people in a less affluent area of the county. TAR March 2012

Section E Financial review The generai Folicy for managing reserves is Brief slatement of the charltys pollcy on re￿ry8$ Maintsining Song temi reserves of ca £20,000 which are not intended to be used within 5 years arKI are invested in stock rnarket-based Charity Official Investrnent Funds to grow at a higher rate than infiation. Maintainiro short tem reserves of ca £10,000 which are not expected to be required within 1 year but are readily accessible and held in a secwe Charity Official Investment Fund, earning a positive irrteresL Detalls of any funds matsrfalty In dèflclt Further finan¢i•l review details (Optio￿1 Inforn￿n) Future planned experKlitur8: You may ch0￿e to indude additional infomiat'on. where relevant about.. the charity's prrn¢ipal SoUr￿S of funds (including any fundraising)- how expendf(ure has supported the key objectives of the chanty: inveslment policy and ob}ectFves including any ethical investment policy adopted. We have stsrted a proie¢t to make better use of technology, induding an updated website arKI improvements in our digital marketing and social rrhedia. Section F Other optional information Section G Declaration The tr￿te96 declare that they have approved the trustees, report above. Signed on behalf of the charity's In￿te8S Slgnatur•(s Full name(s) Position (eg Secretaryi Chair, Jennrfer Gurden Chair Dat• TAR Maith 2012

DORSET ARTS AND CRAFTS ASSOCIATION

BALANCE SHEET

BALANCE SHEET
30.09.2021
2234
1580
8553
23
143
8719
28109
10305
0
200
940
1140
49807
49784
23
0
49807
FIXED ASSETS
Equipment
Trophies
BANK ACCOUNTS
NatWest Current account
NatWest Business Reserve Account
Petty Cash
TOTAL READY CASH
COIF ACCOUNTS (Reserves)
COIF Deposit Fund (1-5 years)
COIF Investment Fund (>5 years)
Website/Database costs carried forward
LESS CURRENT LIABILITIES
Creditors (Net)
Early Membership renewals
TOTAL LIABILITIES
TOTAL ASSETS
ASSOCIATION FUNDS
General Fund
Grant Fund
Educational Workshop Fund
TOTAL FUNDS
30.09.2022
6838
1580
9882
3025
45
12952
10712
27643
0
8184
0
8184
51542
48517
1025
2000
51542
DORSET ARTS AND CRAFTS ASSOCIATION DORSET ARTS AND CRAFTS ASSOCIATION DORSET ARTS AND CRAFTS ASSOCIATION
Year to Year to INCOME AND EXPENDITURE ACCOUNT Year to
30.09.2019 30.09.2021 YEAR ENDED 30TH. SEPTEMBER 2022 30.09.2022
INCOME
9560 2,992 Door Receipts 8,305
5265 255 Stalls 4,111
390 234 Plants & books 830
825 2,629 Commission on sales 2,777
1411 0 EntryFees 452
168 0 Workshops 219
2518 867 Subscriptions 2,853
24 1,030 Donations 561
0 4,637 Grants Received 0
681 689 Dividends and Interest Received 605
20,842 13,333 TOTAL INCOME 20,713
EXPENDITURE
4783 2,320 Hire ofpremises 5,118
1961 2,282 Storage costs 1,882
595 0 Judgingfees 341
456 263 Travelling& Other expenses 1,076
1360 1,000 Haulage costs 1,600
182 -27 Programmes(net cost) 292
466 316 Website 254
3292 1,314 Marketingincludingsignage 1985.58+
214 0 Engraving 146
1132 1,067 Insurance 1,030
560 0 Public address hire 580
508 117 Catering 419
253 329 Miscellaneous 506
50 50 Accounts Review 50
15812 9,032 TOTAL REGULAR EXPENDITURE 15,280
864 0 Major Projects 435
1591 1,160 Depreciation 2,601
18267 10,192 TOTAL EXPENDITURE 18,316
2575 3,141 SURPLUS FOR THE YEAR 2,397
250 0 Grants awarded 0
588 0 Profit from Xmas Fair 0
2913 3,141 Surplus aftergrant adjustments 2,397
1814 3,707 Growth/Loss of Reserves -661
40083 43095 General Fund brought forward 49,807
44372 49807 Carried Forward 51,543
4727 6848 Total increase or decrease in funds 1,736
Check sum(should be zero) 0

DORSET ARTS AND CRAFTS ASSOCIATION

BALANCE SHEET

30.09.2022
6838
1580
9882
3025
45
12952
10712
27643
8184
8184
51542
48517
1025
2000
51542
FIXED ASSETS
Equipment
Trophies
BANK ACCOUNTS
NatWest Current account
NatWest Business Reserve Account
Petty Cash
TOTAL READY CASH
COIF ACCOUNTS (Reserves)
COIF Deposit Fund (1-5 years)
COIF Investment Fund (>5 years)
LESS CURRENT LIABILITIES
Creditors (Net)
TOTAL LIABILITIES
TOTAL ASSETS
ASSOCIATION FUNDS
General Fund
Grant Fund
Educational Workshop Fund
TOTAL FUNDS
30.09.2023
6945
1660
913
21712
52
22678
14571
27137
7478
7478
65513
43801
19712
2000
65513

DORSET ARTS AND CRAFTS ASSOCIATION

BALANCE SHEET

30.09.2024
5990
1776
503
10696
93
11292
13347
29395
61800
6110
6110
55689
52176
1513
2000
55689
FIXED ASSETS
Equipment
Trophies
BANK ACCOUNTS
NatWest Current account
NatWest Business Reserve Account
Petty Cash
TOTAL READY CASH
COIF ACCOUNTS (Reserves)
COIF Deposit Fund (1-5 years)
COIF Investment Fund (>5 years)
LESS CURRENT LIABILITIES
Creditors (Net)
TOTAL LIABILITIES
TOTAL ASSETS
ASSOCIATION FUNDS
General Fund
Grant Fund
Educational Workshop Fund
TOTAL FUNDS
30.09.2025
4615
1776
913
21712
52
22678
14571
18908
62548
7073
7073
55475
52006
1470
2000
55475
DORSET ARTS AND CRAFTS ASSOCIATION DORSET ARTS AND CRAFTS ASSOCIATION DORSET ARTS AND CRAFTS ASSOCIATION
BUDGET
Year to INCOME AND EXPENDITURE ACCOUNT Year to Year to
30.09.2024 YEAR ENDED 30TH. SEPTEMBER 2025 30.09.2025 30.09.2026
INCOME
9,018 Door Receipts 11,525 12300
6,126 Stalls 6,025 6200
830 Plants & books 1,126 900
3,361 Commission on sales 3,475 3500
946 EntryFees 1,037 1100
198 Workshops 200 250
3,683 Subscriptions 3,619 4300
209 Donations 99 250
1,545 Dividends and Interest Received 1,411 1400
25,916 TOTAL INCOME 28,517 30200
EXPENDITURE
5,364 Hire ofpremises 5,675 6000
2,496 Storage costs 2,496 2500
363 Judgingfees 275 400
744 Travelling& Other expenses 799 900
5,213 Haulage costs 6,213 6500
175 Programmes(net cost) 313 350
1,257 Website and other IT areas 1,148 1500
3,223 Marketingincludingsignage 3,457 3870
539 Engraving 264 350
1,178 Insurance 1,331 1400
580 Public address hire 750 800
434 Catering 678 700
814 Miscellaneous 713 800
50 Accounts Review 50 50
22,430 TOTAL REGULAR EXPENDITURE 24,161 26120
0 Major Projects 1,280 5000
2,191 Depreciation 1,633 1800
24,621 TOTAL EXPENDITURE 27,074 32920
1,295 SURPLUS FOR THE YEAR 1,443 -2720
700 Grants awarded 1170 1500
595 Surplus aftergrant adjustments 273 -4220
2,361 Growth/Loss of Reserves -487 0
52,733 General Fund brought forward 55,689
55,689 Carried Forward 55,475 51,255
2,956 Total increase or decrease in funds -214
0 Check sum(should be zero) 0.00

CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to the Irusteesl memb8r8 of Dorset Arts & Crafls Association On accounts for the year ended 30 September 2025 Charity no lif any 306252 Set out on pages I report to the trustees on my examination of the accounts of the above charty i.the Trust.) for the year ended 30109121 Responsibilities and As th8 charity trustees of the Trusl, you are responsible for the preparation basls of report of the accounts in accordance wlth the requirements of the Charities Act 2011 ("the Ad.). I report in respect of my examination of the Trust's aGGounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145{5)(b) of Ihe Act. I have completed my examination. I confirm that no material matters have come to my attention (other than that disclosed below '> in connection with the examination which gives me cause to believe that in, any material respect: accounting records were not kept in aGGordance with section 130 of the Act or th8 accounts do not a¢¢ord with the accounting records Independent examinerfs statement I have no concerns and have come across no other matters in connection with the examinalion to which attention should be drawn in order to enable a proper understanding of the accounts to be reached. Please dolete the words in the brackets rf they do not apply. Slgned: Date: 24if Name: Martin Sibley Relevant professional qualification(s) or body (if any): Address: 3 Sedge Place Weymouth Dorset, DT3 6FN IER October 2018

Section B Disclosure Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts.. directions and guidance for examiners). Give here brlef dotalls of any items that th8 examlner wlshes to disclose. IER October 2018