OpenCharities

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2022-03-31-accounts

Pages
Trustees' annual
report
0to 3
Independent
examiner's
report to the trustees
Statement offinancial activities
Statement offinancial position
Notes to the financial statements 7to12

2023 2023 2022
Unrestricted
Note funds Total funds
8
Total funds
f
Income and endowments
Donations
and legacies
4 23,600 23,600 23,093
Charitable
activities
5 16,631 16,631 22,440
Investment income 6 1,990 1,990 995
Total income 42,221 42,221 46,528
Expenditure
Expenditure on raising funds:
Costs of raising donations and legacies 7 39,475 39,475 35,487
Expenditure on charitable activities 8,9 1,936 1,936 1,675
Total expenditure 41,411 41,411 37,162
Net income and net movement in funds 810 810 9,366
Reconciliation
offunds
Total funds brought
forward
148,595 148,595 139,229
Total funds carried forward 149,405 149,405 148,595

2023 2022
Note
Fixed assets
Tangible fixed assets 14 46,549 40,016
Current assets
Debtors
Cash at bank and
in hand 15 10,107
101,197
7,731
104,425
111,304 112,425
Creditors: amounts falling due within one year 16 8,448 3,577
Net current assets 102,856 108,579
Total assets less current liabilities 149,405 148,595
Net asseta 149,405 148,595
Funds ofthe charity
Designated
Funds
17 80,000 0
Unrestricted
funds
69,405 148,595
Total charity funds 18 149,405 148,595

value, over the useful econo mic
life ofthat asset
as fo
Buildings 10%straight line
Site Infrastructure 10%straight line
Fixtures and fittings 25% straight line

Charitable
activities
Unrestricted Total Funds Unrestricted Total Funds
Funds 2023 Funds 2022
E E E F
Fund raising 4,642 4,642 4,380 4,380
Gift Aid 5,364 5,364 5,376 5,376
Activities 6,148 6,148 2,017 2,017
Other income 477 477 10,667 10,667
16,631 16,631 22,440 22,440

Unrestricted Total Funds Unrestricted Total Funds
Funds 2023 Funds 2022
E E E E
Bank interest receivable 1,990 1,990 995 995

Costs o fraisi ng donations
and lega
cies
Unrestricted Total Funds Unrestricted Total Funds
Funds 2023 Funds 2022
F E E E
Youth programme and activities 12,178 12,178 11,588 11,588
Ground rent 225 225 225 225
Water 204 204 150 150
Gas and electric 1,074 1,074 1,483 1,483
Repairs, renewals and maintenance 3,883 3,883 2,233 2,233
Insurance 1,349 1,349 1,227 1,227
Subscriptions paid on to District 8,407 7,784 7,784 7,784
Telephone 338 338 152 152
Uniforms and badges 2,165 2,165 1,141 1,141
Depreciation 8,358 8,358 8,226 8,226
Sundry 1,294 1,294 1,278 1,278
39,475 39,475 35,487 35,487

Expend iture on charitable
acti
vities by fund type
Unrestricted Total Funds Unrestricted Total Funds
Funds 2023 Funds 2022
E E E E
Bonfire and wine nights 1,936 1,936 1,675 1,675

9. Expenditure on charita ble
activities
by activity
type
Activities
undertaken Totalfunds Total fund
directly 2023 2022
Bonfire and wine nights 1,936 1,936 1,675
10. Net income
Net income is stated after charging/(crediting):
2023 2022
8
Depreciation oftangible fixed assets 8,358 8,226

Site Fixtures and Fixtures and
Buildings Infrastructure fittings Total
E F E E
Cost
At 1 April 2022 48,430 9,138 23,119 80,687
Additions 0 0 14,891 14,891
At 31 March 2023 48,430 9,138 38,010 95,578
Depreciation
At 1 April 2022 14,761 7,114 18,796 40,671
Charge for the year 4,305 424 3,629 8,358
At 31 March 2023 19,066 7,538 22,425 49,029
Carrying
amount
At 31 March 2023 29,364 1,600 15,585 46,549
At 31 March 2022 33,669 2,024 4,323 40,016
15. Debtors
2023 2022
E E
Camp deposits 3,825 1,553
Prepayments and accrued income 836 802
Other debtors 5,446 5,376
10,107 7,731
16. Creditors: amounts falling due within one year
2023 2022
E F
Camp deposits 4,228 2,658
Accruals and deferred income 4,220 919
8,448 3,577
17. Designated Funds
At 1 April 2022 Transfer In Transfer Out At 31 March 2023
E E E E
Designated
funds
0 80,000 0 80,000

At 1 April 2022 At 1 April 2022 Income Expenditure Transfer
E K
General funds 148,595 42,221 (41,411) (80,000)
As at 31 March 2023
E
69,405
At 1 April 2021
f
Income
F
Expenditure
E
At 31 March 2022
E
General funds 139,229 46,528 (37,162) 148,595

Designated Total Total
Funds Unrestricted Funds Funds
Funds 2023 2022
E E E
Tangible fixed assets
Current assets
Creditors less than
1 year
80,000 46,549
31,304
(8,448)
46,549
111,304
(8,448)
40,016
112,156
(3,577)
Net assets 80,000 8g 405 149,405 148,595