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2025-03-31-accounts

PROVINCE OF WEST WALES MASONIC CHARITIES ASSOCIATION ACCOUNTS FOR YEAR ENDED 31st March 2025

WW 2026
Provincial
Festival
MCA
Barclays
E2026
E2039
£
£
£
Opening Balances:
Barclays Current A/c (Provincial)
Barclays Deposit A/c
Relief Chest (Provincial MCA) E2039
Relief Chest (West Wales 2026 Festival) E2026
Covid-19 Donations
Notional Interest on Festival Transfers
Income:
Covenanted donations to Barclays a/c
1,266.50
Covenanted donations to Relief Chest
240.00
27,715.00
Donations from individual Brethren
200.00
545.00
Lodge donations(Note 3)
19,347.75
89,884.25
Collections from Provincial Meetings
1,420.00
Tax Rebates
778.50
6,562.56
685.92
Interest Earned
119.04
895.52
36.72
External Donations(Note 4)
2,225.00
Total Income for Year(Note 1)
20,685.29
127,827.33
3,409.14
Total
Notional Interest on Festival Transfers (Note 2)
67,589.07
Grand Total
88,274.36
127,827.33
3,409.14
Total 2024-25 Income including Notional Interest
£
1,266.50
27,955.00
745.00
109,232.00
1,420.00
8,026.98
1,051.28
2,225.00
2024/25
2024/25
£
£
Closing Balances:
100.00
Barclays Current A/c (Provincial)
100.00
3,565.84
Barclays Deposit A/c
3,409.14
37,147.19
Relief Chest (Provincial MCA) E2039
19,974.52
362.50
Relief Chest (W.Wales 2026 Festival) E2026
0.00
2,850.00
Covid-19 Donations(Note 5)
2,850.00
85,015.92
Notional Interest on Festival Transfers
152,604.99
129,041.45
178,938.65
Outgoings:
Relief Chest (Festival) E2026
21,047.79
Relief Chest (Provincial MCA) E2039
145,000.00
Barclays
3,565.84
MCF Grand Charity (Festival Contributions)
169,613.63
151,921.76
£280,963.21
£67,589.07
£348,552.28
£348,552.28
£219,510.83

Total 2024-25 Income including Notional Interest

Notes

APPROVED: Date:


A.J. Ross Provincial Grand Master Province of West Wales

Provincial Grand Charity Income & Expenditure & Balance Provincial Grand Charity Income & Expenditure & Balance Provincial Grand Charity Income & Expenditure & Balance Provincial Grand Charity Income & Expenditure & Balance Provincial Grand Charity Income & Expenditure & Balance Sheet Year Ended 31st March 2025 Sheet Year Ended 31st March 2025
INCOME & EXPENDITURE
2023-24 2024-25
INCOME
20,379.00 Capital Appreciation/Depreciation 2,555.00
11,913.39 Investment Income 11,698.59
- Misc donations 300.00
(to MCA account) Provincial Grand Lodge collection (to MCA account)
32,292.39 SUB TOTAL 14,553.59
EXPENDITURE
- Bank Charges 5.25
1,000.00 Annuity 1,000.00
24,299.00 Donations 32,026.64
8,591.60 Teddies 8,071.48
- Bursaries -
33,890.60 SUB TOTAL 41,103.37
(1,598.21) Deficit/Surplus (26,549.78)
BALANCE SHEET
414,466.75 OpeningBalance 412,868.54
(1,598.21) Deficit/Surplus (26,549.78)
412,868.54 386,318.76
Represented By
34,930.54 Lloyds Bank 5,825.76
377,938.00 Sarasin & Partners 380,493.00
412,868.54 386,318.76
We have examined the Income & Expenditure records for theyear ended 31st March 2025
summarised above and have verified the account balance at Lloyds Bank Carmarthen as at that date.
In our opinion the Income & Expenditure Records are in accordcance with the summariesgiven above
and the above Balance Sheet represents a true and fair statement.
Auditors
W Bro T Adrian Evans
W Bro Wyn Hinds
Provincial Grand Treasurer
W BroAlun Littlejohns
David & Elonwy Evans Masonic Trust Fund Year ended 31st March 2025 David & Elonwy Evans Masonic Trust Fund Year ended 31st March 2025 David & Elonwy Evans Masonic Trust Fund Year ended 31st March 2025 David & Elonwy Evans Masonic Trust Fund Year ended 31st March 2025 David & Elonwy Evans Masonic Trust Fund Year ended 31st March 2025 David & Elonwy Evans Masonic Trust Fund Year ended 31st March 2025 David & Elonwy Evans Masonic Trust Fund Year ended 31st March 2025 David & Elonwy Evans Masonic Trust Fund Year ended 31st March 2025
INCOME AND EXPENDITURE
2023-24 2024-25
INCOME
59,710.00 Capital Appreciation/Depreciation 7,509.00
34,106.65 Incomereceived 33,537.24
190.07 Bank Interest 201.23
94,006.72 TOTAL 41,247.47
EXPENDITURE
- Bursaries 3,000.00
19,419.00 Charitable donations 3,500.00
19,419.00 TOTAL 6,500.00
74,587.72 NET DEFICIT/SURPLUS 34,747.47
BALANCE SHEET
1,076,316.43 OpeningBalance 1,150,904.15
74,587.72 Deficit/Surplus 34,747.47
1,150,904.15 1,185,651.62
Represented By
44,890.29 LloydsBankcurrent 71,927.53
18,039.86 LloydsBankdeposit 18,241.09
1,087,974.00 Sarasins 1,095,483.00
1,150,904.15 TOTAL 1,185,651.62
We have examined the Income & Expenditure records for theyear ended 31st March 2025
summarised above and have verified the account balance at Lloyds Bank Carmarthen as at that date.
In our opinion the Income & Expenditure Records are in accordcance with the summariesgiven above
and the above Balance Sheet represents a true and fair statement.
Auditors
W Bro T Adrian Evans
W Bro Wyn Hinds
Provincial Grand Treasurer
W BroAlun Littlejohns