OpenCharities

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

2022-03-31-accounts

Minutes of the AGM. 21[st] September 2022

In attendance:

Nick Jongensen Anthony James Berry-Cheetham Julie Graham John Hymas Mick Venables Dorritta Crooks Sue Brown Roxanne Holroyd Anne Smith Hilary Brough Norman Roberts Julie Cousins Paul Wallace Gill Hargreaves There were no apologies

Nomination list

PW went through the nomination list as follows:-

Hilary Brough Anthony James Berry-Cheetham Anne Smith Julie Cousins Gill Hargreaves Julie Graham Norman Roberts Paul Wallace

*Nick Jongensen only wants to be on the social committee

All were voted on unanimously.

PW went through the 2021 AGM minutes. They were passed as correct by GH & PW

Finance

PW needs to get last years accounts finalised. They need to be submitted by the end of January 2023.

Chairmans report

New positions on the committee

A.O.B.

The meeting closed at 8p.m.

Mellor and District Community Associaton Mellor and District Community Associaton Mellor and District Community Associaton
Balance Sheet
Year Ended 31st March 2022
2022 2021
CURRENT ASSETS
Santander Account £28,927.00 18090
CAF Current Account 7,409.00 816
CAF Deposit Account 3,453.50 3033
Cash In Hand 22 21
total £39,812 21960
CURRENT LIABI LITIES
Defbilator Reserve 569 569
NET CURRENT ASSETS 39,243 21391
FINANCED BY
Unrestricted Funds 39,243 21391
Restricted Funds 569 569
£39,812 21960
Mellor and District Community Associaton Mellor and District Community Associaton
Income and Expenditure Account
Year Ended 31st March 2022
Income 2022 2021
Donatons £70.00 660
DUCHY OF LANCASTER BENFD £5,000.00
Communityfund Natonal Lotery 10000
RVBC Covid Grants Received 8420 19669
Solar Feed In tarif 1435.78 3033
FundraisingEvents 0 18
Room Hire Charges 11535.7 2984
gas and elec refunds 546.66
unknown cheaques 1495
Interest 0.50
Total Income £38,503.64 26364
Expenses
grant fndingfee 1000
BuildingProject costs 4424.25 0
Rates & Water 260.35 247
Insurance 590
Light and Heat 3059.54 2025
Telephone and Internet 600.65 699
Printngand Statonery 0 81
Sundries/event costs 341.4 328
Cleaning /services(sanitrytowels) 5402.7 2723
Annual Licences and Inspectons 841.28 102
Repairs and Maintenance 4453.5 5002
Bank Charges 96 64
Events 172.4 0
Total Expenses 20652.07 11861
Net Proft/(Defecit)for the Year £17,851.57 14503
Mellor and District Community Associaton Mellor and District Community Associaton Mellor and District Community Associaton
Statement Of Financial Actvites
Year Ended 31st March 2022
unrestricted funds restricted 2022 total 2021 total
Funds Funds Funds Funds
Income
VoluntaryIncome 70 0 70 660
Actvites for GeneratngFunds 0 18
Income from Grants 23420 0 23420 19669
CommunityHall income 15013.64 0 15013.64 6017
Total Income £38,503.64 £38,503.64 26364
Expenses
BuildingProjects 4,424.25 0 4,424.25 0
CommunityHall £15,227.00 0 £15,227.00 11861
Grant Findingfee 1000 1000
£20,651.25 £20,651.25 11861
Net Income £17,852.39 0 £17,852.39 14503
Reconcilliaton of Funds
Total Funds Brought Forward 21391 569 21960 6888
Total Funds Carried Forward 39,243 569 £39,812 21391
unrestricted funds restricted unrestricted funds restricted unrestricted funds restricted unrestricted funds restricted unrestricted funds restricted
Funds Funds
Income
VoluntaryIncome 70 0
Actvites for GeneratngFunds 0
Income from Grants 23420 0
CommunityHall income 15013.64 0
Total Income £38,503.64
Expenses
BuildingProjects 4,424.25 0
CommunityHall £15,227.00 0
Grant Findingfee 1000
£20,651.25
Net Income £17,852.39 0
Reconcilliaton of Funds
Total Funds Brought Forward 21391 569
Total Funds Carried Forward 39,243 569

Income and Expenditure Account Year Ended 31st March 2021

Income 2022 2021
Donatons £70.00 660
DUCHY OF LANCASTER BENFD
Communityfund Natonal Lotery
£5,000.00
10000
RVBC Covid Grants Received 8420 19669
Solar Feed In tarif 1435.78 3033
FundraisingEvents 0 18
Room Hire Charges 11535.7 2984
gas and elec refunds 546.66
unknown cheaques 1495
Interest 0.50
Total Income £38,503.64 26364
Expenses
grant fndingfee 1000
BuildingProject costs 4424.25 0
Rates & Water 260.35 247
Insurance 590
Light and Heat 3059.54 2025
Telephone and Internet 600.65 699
Printngand Statonery 0 81
Sundries/event costs 341.4 328
Cleaning /services(sanitrytowels) 5402.7 2723
Annual Licences and Inspectons 841.28 102
Repairs and Maintenance 4453.5 5002
Bank Charges 96 64
Events 172.4 0
Total Expenses 20652.07 11861
Net Proft/(Defecit)for the Year £17,851.57 14503

Balance Sheet

Year Ended 31st March 2021

Balance Sheet
Year Ended 31st March 2021
CURRENT ASSETS 2022
2021
Santander Account
CAF Current Account
CAF Deposit Account
Cash In Hand
total
£28,927.00
18090
7,409.00
816
3,453.50
3033
22
21
£39,812
21960
CURRENT LIABILITIES
Defbilator Reserve
569
569
NET CURRENT ASSETS 39,243
21391
FINANCED BY
Unrestricted Funds
Restricted Funds
39,243
21391
569
569
£39,812
21960
2022 total
2021 total
2022 total
2021 total
Funds Funds
70 660
18
23420 19669
15013.64 6017
£38,503.64 26364
4,424.25 0
£15,227.00 11861
1000
£20,651.25 11861
£17,852.39 14503
21960 6888
£39,812 21391
Runningtotal april may june july
£70.00 30
£5,000.00
10000
8420 8000
1435.78
0
11535.7 60 793 861 1317
546.66
1495
0.50 0.08
£38,503.64 £8,060.00 793 861 1347
expenses
1000
4424.25 3215
260.35 61.83
0
3059.54 247.72 149.34 221.69 141.15
600.65 44.94 44.94 44.94 44.94
0
341.4
5402.7 216
841.28
4453.5 517.75
96 8 8 8 8
172.4
20652.07 300.66 4151.03 336.46 194.09
august september october november december january
40
10000
420
1435.78
667.5 908.5 1148 1427 633.5 479
86.79 459.87
1495
0.09
667.5 995.29 1568 14397.78 633.5 479
1000
£1,209.25
69.26 50.07
194.92 83.85 39 39 1825.87 39
44.94 44.94 44.94 44.94 44.94 44.94
341.4
1299 953.7 972
420.64
845.75 42 1292 856
8 8 8 8 8 8
2734.01 206.05 1087.64 142.01 4563.45 3157.19

february march 5000 1785 1456.2 0.33 6785 1456.2

79.19
39 39
73.34 77.91
918 1044
420.64
900
8 8
172.4
2531.38 1248.1

The Outside Office Give your Business a helping hand

16 Stoneyhurst Avenue Burnley BB10 4NL

Tel: 07855082188

admin@theoutsideofce.co.uk www.theoutsideoffice.co.uk

To Mellor and District Community Association Paul.andrew.wallace@gmail.com

11[th] October 2024

Report of Full Audit of Mellor and District Community Associaton

A full audit was undertaken from 1[st] April 2021 to 31[st] March 2022.

All income and expenditure were presented with evidence, and all is correct in keeping with the CAF Current account statements.

The Balance sheet is presented and correct in keeping with the bank also. There was an anomaly found from March 2021 Balance sheet. The problem has been identified and corrected to give a true representation of March 2022 accounts.

Not all Santander bank statements were accessible for the year. This I believe is due to a change in clerks. We do have access to some of the months which enables us to pinpoint a correct balance in time, and along with evidence of income and expenditure flowing through the Santander account has been reconciled the bank in the accounts.

The security of the banking is good having a dual signatory system on all expenses. For larger purchases these must be presented at the governing meetings and signed off before cheques can be issued.

Recommendatons

The accounts were well presented and easy to follow. I do however recommend that bank transactions are moved to the CAF Current Account until the problem with the Santander Account can be made accessible with the necessary changes of significant persons connected with the account. I believe that this has already started to be actioned.

Diane Harvey

The Outside Office