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2022-03-31-accounts

Apr *21 −M._ Apr *21 −M._ Apr '20 −M... Apr '20 −M... Change Change
Ordinary Income/Expense
Income
Donations 155.00 128.64 26.36
Hire of Hall
4 Churches 20.00 100.00 −80.00
Badminton 752.00 144.00 608.00
Bowls 614.00 0.00 614.00
Caravans 516.00 0.00 516.00
Coffee Craft 626.00 40.00 586.00
Home Education 1,0130.00 0.00 1.000.00
Others 578.00 414.00 164.00
Parish Council 70.00 91.00 −21.00
Rushbury School 180.00 0.00 180.00
Table Tennis 1,334.00 0.00 1,334.00
Tat Chi 120.00 0.00 120.00
WI 60.00 0.00 60.00
Yoga 0.00 96.00 −96.00
Hire of Hall −Other 3,790.50 0.00 3,790.50
Total Hire of Hall _ 9,660.50 885_00 8,775.50
Mast Rent 2,652.80 363.00 2,289.80
Pop Up Pub
Cost Of Sales −994.89 −57.15 −937.74
Takings 2,026.00 28.73 1,996.27
−− −−−
Total Pop Up Pub 1,030.11 −28.42 1,058.53
Tote
Tote Prizes −840.00 −840.00 0.00
Tote Subcriptions 1,456.00 1,298.00 158.00
Total Tote 616.00 458.00 158.00
Total income 14,114.41 1,806.22 12,308.19
Gross Profit? _ 14,114.41 1,806_22 12,308.19
Expense
Audit & Accountancy 0.00 0.00 0.00
Cleaning 1,348.97 99.00 1,249.97
Electricity
Meter Takings −95.00 −27.00 −68.00
Electricity−Other 2,851.93 1,501.67 1,350.26
Total Electricity 2,756.93 .
1,474.67
_ . 1,282.26
Fire Alarm Repairs 1,607.69 0.00 1,607.69,
Improvements 4,556.84 0.00 4,556.84 i
Insurance 795.36 588.40 206.96
Licenses & Fees 540.76 461.64 79.12
Pat Testing 0.00 192.00 −192.00
Printing & Stationary 10.00 0.00 10.00
Repairs & Maintena.− 8,742.51 2,871.36 5,871.15
Water 723.62 54.34 669.28
Total Expense 21,082.68 5,741.41 15,341.27
. _.
Net Ordinary Income −6,968.27 −3,935.19 −3,033.08
Other Income/Expense
Other Income
Covid 19 Grant 10,667.00 19,431.00 −8,764.00
Grants Receivable 915.60 0.00 915.60
Sale of Equipment 70.00 0.00 70.00
Wayleave 44.24 53.26 −9.02
Total Other Income 11,696.84 19,484.26 −7,787.42
Other Expense
Covid 19 Expenses 0.00 378.07 −378.07
Total Other Expense 0.00 378.07 . _
−378.07
_ ___
Net Other Income 11,696.84 19,106.19 −7,409.35
Profit for the Year 4,728.57 15,171.00 −10,442.43

Imome
885 Lettings 9661 9661 8776
−28 Pop Up Pub 1030 1030 1058
0 Produce Show 0 0
0 Events 0 0
27 Electricity Meter 95 95 68
1298 Tote 1456 1456 158
128 Donations 155 155 27
363 Mast Rent 2653 2653 2290
19431 Grants 11583 11583 −7848
53 Wayleaves 44 44 −9
0 Other Income 70 70 70
−LI
22157 Expenditure 0 26747. 26747 4590
3063 Repairs, Maintenance & Renewals 10350 10350 7287
54 Water 724 724 670
1502 Heat & Light 2852 2852 1350
99 Cleaning 1349 1349 1250
588 Insurance 795 795 207
462 Licences & Fees 541 541 79
378 **Miscellaneous ** Expenditure 10 10 −368
0 Improvements 4557 4557 4557
840 Tote Prizes 840 840 0
6986 0 22018 22018 15032
15171 Excess o f Income over Expenditure 0 4729 4729 −10442

Assets
−7 Accounts Receivable 1275 1275
282 Payments in Advance 326 326
273 Pop Up Pub Stock 878 878
43232 Cash at bank and in hand 2306 43754 46060
43780 Total Assets 2306 46233 48539
Uabilfties
191 Accounts Payable 0 0
0 Accrued Expenses 1049 1049
916 Other Creditors 0 0
1008 Subscriptions in Advance 1017 1017
2115 Total Liabilities 0 2066 2066
41665 NetAssets 2306 44167 46473
Represented by
24267 Accumulated Fund at 1 April 2020 39438 39438
2227 Bowls Section 2306 0 2306
15171 Excess o f Income over Expenditure 2021 0 4729 4729
41665 2306 44167 46473

CHARITY COMMISSION FOR ENGLAND AND WALES Independent examinerfs report on the accounts Section A Independent Examinerfs Report Report to the trusteesl mernbers of Éu?k&u2y y IL&*44C On accounts for the year ended Charity no {if any) Set out on pages I report to the trustees on my examinatK?n of the accounts of Ihe above Charty (llhe Tru$fi for the year ended Responsibilities and As the chartty trustees of the Trust, you are responsib￿ for the preparation basis of report of the accounts in accordance with the requirements of the Charities Act 2011 (Ihe Acr). I report in respeci of my examinatv)n of the Trust's accounts Carried out under section 145 of the 2011 Ad and in carrying out my examination, I have foltowed the applicable Directions given by the Charity Commission under section 145(S)Ib) of the Act. I have compleled my examination. I confiTh that no material matters have come to my attention (other than that disclosed below ') in connection with the examination which gives me cause to believe that in, any material Independent examinerfs Statement accounting records were not kept in accordance wth Section 130 of the Act or the accourrts do not accord with the accounting records I have no concems and have come across no other matters in Connection with the examination to which attent￿n should be drawn in order to enable a proper understanding of ihe accounts to reached. ' Pleas delete the words in the b￿CketS rf they do not apply. Signed: Date: Name: C71 Relevant professional quallflcatlonls) or body (if anyl: Address: 4VIL4.2 1 IER October 2018

Section B Disclosure Only complete rf the examiner needs lo highlight matters of concern (see CC32, Independent examination of chanty aco)unts: directions and guidan￿ for examiners). Give here briof details of any items that the examiner wishes to disclose. IER October 2018