– Chorley Christian Book Centre Trust 518002
The Chorley Christian Book Centre has had another successful year trading and meeting the needs of the people of Chorley and the surrounding areas.
We continue to be grateful for the loyal service and time given by our 8 volunteers to man the shop each week. They also offer a welcome, a listening ear and support to customers and lonely people who may come for a chat.
None of the volunteers receive any payment for the service they give.
We are thankful that we have been able to continue to give monthly financial support for the work of Connect based in Sunderland working with offenders leaving prison to gain new skills and also to Cascot, working in schools with a Christian Ministry and outreach in the Manchester area.
We have given other small gifts amounting to £350. All churches receive at least 10% off their orders to assist their finances. Any books left over at the end of our January sale are donated to Renewal Northwest, another Christian charity.
The Charity Trustees meet on a regular basis for prayer and oversight of the running of the shop and any concerns on the building maintenance.
Yvonne Barkby (Charity Trustee)
Chorley Chrlstlan Book Centre Income & Ire Account: Year to 31 DÈcemb•r Z022 2022 2021 Sales 33,460 21,410 Openlng stock Purchases Closing stock 32,271 18,061 130,2051 37.872 8,496 132.2711 20,127 14,097 Gross profit 13,333 7,313 Rates Water Ga5lElectricty Insurance Telephone & Broadband Rèpairs & Maintenance Alarm Costs 212 286 1,481 734 976 287 645 1511 298 899 1,014 879 102 634 Stationery & wrapping Postage Advertising & sponsorship Parkin& Fuel etc 24 15 30 Honorarium management Staff gifts Bank charges Miscellaneous Cleaner Exhibition Exs Other Cleaning Exs 2,500 1,875 604 260 700 750 39 30 Total overhead5 8,709 6,514 Net tradin8 surplus Ideflcltl 4,623 799 Charitable gifts 3.6 1,023 12.8011 Add interest on bank accounts Net surplusl Ideficitl for the year 1,031 IL7951
Chorley Christian Book Centre Balance Sheet: As at 31 Dember 2022 Property at ¢05t 16,500 Current assets Stock Debtors & prepayments Cash at bank 30,205 21.782 Credltors & accruals 18701 Net current assets 67.617 General Fund Balance at 01.01.2022 66,586 Suplus for the year 1.031 Balance at 31.12.2022 67,617
Registered Charity Number.. 518002 report lo the trustees on my examinaOn ofthe accounts of the Trst for the year ended 31 Decernber 2022. Respon8lb115tle8and basi5 of rnport As the charity trustees of th8 Charity you are SponSible for the preparation of the accounts in accordanc8 with the requirements of the Charities Act 2011 {Ihe ACY). report in respect of my examination of the Trustee's xcounts carried out under section 145 of the 2011 Act and in carrying out my examination I have flowed all the applicable Directions given by the Charity Commission undar section 14515llbl of the 2011 Act Independent axarninefs statement I have completed my examination. I confimi that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respectr 11) aCuntIng records We not kept in respect of the Charity as required by section 130 of the Act,. (21 the a¢¢ounls do not accord wlth those records., ( {31 the accounts do not comply with th8 al¢able requirements conceining the form and content of accounts sèt out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a Irue and fair viev/ which is not a matler considered as part of an independent examination. I have no concern5 arKI have come across no other matters in conneGtion with the examin8tion to which a118ntion should be drawn in this report in order to enable a proper understanding of the accounts to be reaGhed. Amy Harris ACA BFP 15 Merlin Close H8apey Chorfey PR7 7NA Dale..