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2023-03-31-accounts

Principal Address: Address: Oarstang
Road
Chippin
Preston
PR3 2QL
Secretarv Ms Listi Cookson
Trustees: Ms Theresa Lvcson (Chair)
Mr Robert I'cnton ('I reasurer)
Mr Simon Horc
'.vlr Martin Butters
Mrs Mary
1larri son
Mr Paul Hunt
Mr Kevin Kclsall
Mrs Ann
&&»almsley
Mrs Hazel Craig
Mr Mark Ross
Ms Clare Compton
Mr L'dward Berry
Ms Clairc Davies (appointed 05.04.22)
Bankers: National
Westminster
Bank pic
Longridge
Independent Fxamincrs: Foster &Co Ltd
Unit 16Eastway Business Village
Olivers Place
1'Ulwood
Preston PR2 9')&&1'

INCOME
dk I;X
PEND I'I'IIRI )
—————2023----—
L'nrcstricted Endu&vmcnt Resn'Ictcd 2023 2022
Note Funds Fund I&unds 1'otal I'otal
J C
INCOMINCi
k I..SOL.RCES
income:
Donations 8086 G373
Grants rc Covid I"000
JRS Income 157
Operating
Activities
In furtherance
ol
I'he Charity's
ubjccts:-
Ilire ofHall
«k Car
Park 15229 )5279 14300
X1LiGA Income 6377 G377 7379
Ciymnasium
Activities
1368 1368 512
lnv«slmcnt
Income:-
Intcrcst 706 70C) &P)7
Dividends 434 434 354
TOTAL INC'O))II N(i RESOURCES 32700 37200 42067
RL'SOL(RCES EXPFPSI&l;I)
Dirctu Charitable
I;x))enditure:
Food and other Purchases Ibr Rc-sale 77&)0 2790 2619
9)'ages 14612 14C)12 14616
L'lectrici(h 8:Heating Oil 9127 9127 5'10"
lnsufancc 2674 2674 "561
ML(GA Expenses 2051 "0
I
1745
Water Rates 3096 3096 2960
Sta(ioncry, Postage Ca Advertising 462 46" 1390
Tclcphonc 198 198 201
Clcanin&
(k Sundry
Expenses 2537 253 7 1872
Repairs
&k 1(enelvals
3053 3053 4365
Depreciation 1(dl 14799 14799 13193
..539') 55399 50')24
ah& ~i'll«i '
h
Ch
Accountancv 61" 612 564
Prolbssional
Fees 8&I.icences
1603 IG03 3129
2'215 ')7 I 5 3C)93
TOTAL RESOI)l(CL'S EXPENDI;I) 57(i14 57GI 4 54617
Net 'I'rading
Resources
Pro(il'ILoss) on l(ealisalion
of ("..414) (25414) (12550)
htvcstmcncs 2928 2928 (156)
Fund Balance Brought
For&sard
(22-186)
670692
(22486)
6706')2
(12706)
683398
Fl)FV() IIALAVCFS C:ARRIED
FOI(svARD Ci48206 618206 670692
BALANC F. SIIL'ET A T 31 MARCH 202 3
2023 2022
Note
Invistments 3 81594 78099
Tangible
I'ixed Assets
4 545777 549735
627371 627834
Current Assets
Cash at Bank 7803 173)90
Cash at Stockbroker 344 607
Debtors 15229 27570
23376 45567
Current Liabilities
Creditors and Accruals 6 2541 2709
2541 2709
Nit Current Assets 20835 42858
Net Assets 648206 670692
iIunds
Capital Funds
Endowments 399102 399102
Incmne I'unds
Restricted
Funds
250437 2504.)7
I!nrestricted
Funds
(13)33)) 21153
648206 670692

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4. TAN()113LF. FIXFD AS SLTS
Freehold Plant 8
~Pro ertv MUGA L~u& ment Total
8
Cost
As at
I April 2022
495080 261198 8III6 837394
Additions
at Cost
10841 10841
31March 2023 495080 261198 91957 848233
~D'
i
U
As at I April 2022 207300 80339 28765')
Charge for the Year 13060 1739 1479')
As at 31 March 2023 220360 82098 302458
Net Rook Value
31 March 2023 495080 40838 9859 545777
31 March 2022 495080 53898 737 549735
5, DL'13'I'()RS
Short Term
2023 2022
'I'ra dc Debtors 5369 8303
Donations
Receivable
8086 11302
I.nan to 134RN 6500
Interest re. 134RV 1345
Prepay ments 1774 120
15229 27370
6. (.'.RL'DITOR'S: AmounLs Falling Duc Within Onc Year 2023 2022
Taxation and Social Security 174
Deposits Received in advance 400 250
Accruals 2141 2285
2541 270')

SI,MMARY OFNFT ASSL I'S BYFIP)IDS
F.ndovrlllcnt Restricted Unrestricted
Fund Funds I-'unde 1otal
Fixed Assets 399102 250437 (221681 627 71
Kct Current Assets 20835 208.)5
Nct Assets 399102 250437 (13)33) 648206