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2023-02-28-accounts

LAPLEY & WHEATON ASTON RECREATION GROUND CHARITY

ANNUAL REPORT

YEAR ENDING 28 FEBRUARY 2023

The Club has gone through a year of trying to rebuild after coming through the Covid pandemic and with having to deal with increasing costs across the board.

Club has seen a steady increase in bookings throughout the year including hosting the local Beer Festival which proved a great success with profits going to charity. A pool table has been purchased and is proving popular with a local team using it on a regular basis. Sky and BT Sport has been installed in the hope that it would generate more income from people coming to watch various sports that they cannot access at home.

The sports field is used for cricket and bowls and a Junior Football Section has now been established. A very successful Stoke City football camp was held and there has been a lot of interest across the younger age groups and hopefully this will be a successful new venture.

Overall, financially it has been a good year for the Club.

The Club now has a larger Committee that has strived to update the fabric of the Club and move it forward to try and encourage the community to utilise it to its full potential as the Committee and Trustees consider it is a valuable asset to the village and surrounding areas.

LAPLEY & WHEATON ASTON RECREATION GROUND LAPLEY ROAD WHEATON ASTON STAFFORDSHIRE ST19 9QL Registered Charity: 522690 STATEMENT OF ACCOUNTS AND INDEPENDENT EXAMINATION REPORT FOR THE YEAR ENDED 28 FEBRUARY 2023

LAPLEY & WHEATON ASTON RECREATION GROUND INDEX TO STATEMENT OF ACcOU￿s YEAR ENDED28 FEBRUARY 2023 Content5 Page Independent Examiners Report on the Accounts Report of the Trustees Summary Receipts and Payments Account Income Statement Expenditure Statement Statement of Assets and Liabilities

INDEPENDETr￿ EXAMINERS REPORT ON THE ACCOUNTS Rece5pts and Payments Accounts Report to the trusteeslmembers of Lapley & Wheaton Aston Recreation Ground On the accounts for the year ended 28 February 2023 Set out on the following pages Respective responslbilltlès of trustees and examlner The Charity's Trustees are responsible for the preparation of accounts. The charity's trustees consider that an audit 15 not required for this year uniler section 144121 of ihe Charities Act 2011 Ilhe 2011 Artl and that an Independent Examination 15 needed. It is my rèsponslblllty to.. Examine the accounts under section 145 of the 2011 Act Follow the procedures laid down in the General Directions given by the Charity Commissioners under section 145151 Ibl ol the 2011 Act; and State whether particular matter5 have come to my èttention Basls of Independent emamlnefs report My examination was carried out in accordance with the General Dire¢tions given by the Charity Commission. An examination includes a review of the accounting records kept by the Charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or (Jisclosures in the account5, and seeklng explanations from the Trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion Is 8iven as to whether the accounts present a 'true and fair view, and the report is limited to those matters set out in the statement below. Independent examlners statement In connection wlth my examlnation. no matter has come to my attention.. which gives me re350nable cause to believe that in any material respect the reoulrements to keep accountin8 record5 in accordance with se¢iion 130 of the 2011 Act.. and to prepare ac¢tsunts which accord with the accounting records and comply with the a¢countin8 re9uirernents ol ihe 2011 Act have not been met.. or to which, in my opinion. attention should be drawn in order to enable a proper understanding of the accounts to be reached. Signed M Slater FMAAT Date Page I

LAPLEY & WHEATON ASfoN RECREATION GROUND REPORT OF THE TRU5fEES FOR THE YEAR ENDED 28 FEBRUARY 2023 AcfiviTIES REVIEW The financial results are set out in the enclosed accounts. The principal activity throughout the year LFnder review was that of a sodal club and recreation ground. Mana ement Commltt Mrs A Corr Mr M Smlth MrDEDade Ms S Whittingham Mr R Wrlght MrT E Noblètt Mr C J Francls M155 S Lawson Mr B Pèace Mr J Hammond Ms D Handley Mr S Feaver Mr A Wllklnson Mrs K Wllklnson Ms R Dorrlngton Mr S Heath Inde endent Examlner M Slater FMAAT MTS Accountancy Servlces Ltd Kenant Chambers 2 Bath Avenue Wolverhampton WVI 4EQ STATEMENT We certify that the bcioks. vouchers and information produced to enable the independent examination of our account5 to be conductèd contain a full and correct record of our financial transactions and activities to the best of our knowledge and belief. SIGNEO ON BEHALF OF THE MANAGEMENT COMMtrrEE Please print name Date Page 2

LAPLEY & WHEATON ASTON RECREATION GROUNO REGISTERED CHARITY NUMBER 552690 SUMMARY RECEIPTS AND PAYMENTS ACCOUTr￿ FOR THE YEAR ENDED 28 FEBRUARY 2023 Recelpts 2023 2022 Payments 2023 2022 Revenue 67,409 11,842 Cost of sale5 41.208 7.462 Hire 3.791 1,179 Estsblishment Expenses 13.878 15.674 Beer Festival proceeds 1,030 Ailministration Expenses 5.226 2,217 Donètions 2CQ Financial Expenses 996 122 Government Grant 10.667 Total 72,630 23,888 Total 61.308 25,475 Pa8e 3

LAPLEY & WHEATON ASTON RECREATION GROUND REGISTERED CHARITY NUMBER $52690 INCOME STATEMENT FOR THE YEAR ENDED 28 FEBRUARY 2023 2023 2022 Revenue Bar takings 67,409 11,842 Hire 3,791 1,179 Beer Festival proceeds 1.030 Donations 200 Government Grant 10,667 Total Income 72,630 23,888 Page 4

LAPLEY & WHEATON ASfoN RECREATION GROUND REGISTERED CHARITY NUMBER 55269) EXPENDITURE ￿ATEMENT FOR THE YEAR ENDED 28 FEBRUARY 2023 2023 2022 Cost of sales Opening stock Purchases Bar sundries Cleaning Direct wage5 Closlng stock 1,716 30.170 698 282 10,870 2.528 6,748 138 1.819 1,716 Total cost of sales 41,208 7,462 Establlshment Expenses Rates and watef Light and heat Insurance Repairs and maintenance Telephone Total Establishment Expenses 2,015 2.495 1.871 5.522 1,975 1.783 1,864 1,574 10,453 13,878 15,674 Admlnlstratlon Expenses Sundry expense5 Accountancv Depreciation Total Administratlon Expenses 3,940 260 1,026 971 260 986 S,226 2,217 Flnanclal Expenses Bank and credit card char8es Total Financial Expenses 996 122 996 122 Total Expendlture 61,308 25.475 Page S

LAPLEY & WHEATON AsfoN RECREATION GROUND REGISTERED CHARITY NUMBER 552690 STATEMENT OF ASSEfs AND UABIUTIES AT 28 FEBRUARY 2023 2023 2022 Flxed Assets Freehold property Equipment Total Fixed A55ets 65,782 2,049 66,447 1.785 67.831 68,232 Current Assets Stock Cash at bank and in hand 2.528 23.624 1,716 12,472 26,152 14.188 Total cuirent assets 93,983 82.420 Loan Accruals Other creditors 8W 260 3,081 260 3.323 4,383 4,141 Total Assets less Ilabllltles 89.6CQ 78.279 Members funds Balance brought forward Surplus/lDelicitl lor the year Balance carried forward 78.279 11.321 89,6 79.866 11,5871 78,279 Page 6

LAPLEY & WHEATON ASTON RECREATION GROUND LAPLEY ROAD WHEATON ASTON STAFFORDSHIRE ST19 9QL Registered Charity: 522690 STATEMENT OF ACCOUNTS AND INDEPENDENT EXAMINATION REPORT FOR THE YEAR ENDED 28 FEBRUARY 2023

LAPLEY & WHEATON ASTON RECREATION GROUND INDEX TO STATEMENT OF ACcOU￿s YEAR ENDED28 FEBRUARY 2023 Content5 Page Independent Examiners Report on the Accounts Report of the Trustees Summary Receipts and Payments Account Income Statement Expenditure Statement Statement of Assets and Liabilities

INDEPENDETr￿ EXAMINERS REPORT ON THE ACCOUNTS Rece5pts and Payments Accounts Report to the trusteeslmembers of Lapley & Wheaton Aston Recreation Ground On the accounts for the year ended 28 February 2023 Set out on the following pages Respective responslbilltlès of trustees and examlner The Charity's Trustees are responsible for the preparation of accounts. The charity's trustees consider that an audit 15 not required for this year uniler section 144121 of ihe Charities Act 2011 Ilhe 2011 Artl and that an Independent Examination 15 needed. It is my rèsponslblllty to.. Examine the accounts under section 145 of the 2011 Act Follow the procedures laid down in the General Directions given by the Charity Commissioners under section 145151 Ibl ol the 2011 Act; and State whether particular matter5 have come to my èttention Basls of Independent emamlnefs report My examination was carried out in accordance with the General Dire¢tions given by the Charity Commission. An examination includes a review of the accounting records kept by the Charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or (Jisclosures in the account5, and seeklng explanations from the Trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion Is 8iven as to whether the accounts present a 'true and fair view, and the report is limited to those matters set out in the statement below. Independent examlners statement In connection wlth my examlnation. no matter has come to my attention.. which gives me re350nable cause to believe that in any material respect the reoulrements to keep accountin8 record5 in accordance with se¢iion 130 of the 2011 Act.. and to prepare ac¢tsunts which accord with the accounting records and comply with the a¢countin8 re9uirernents ol ihe 2011 Act have not been met.. or to which, in my opinion. attention should be drawn in order to enable a proper understanding of the accounts to be reached. Signed M Slater FMAAT Date Page I

LAPLEY & WHEATON ASfoN RECREATION GROUND REPORT OF THE TRU5fEES FOR THE YEAR ENDED 28 FEBRUARY 2023 AcfiviTIES REVIEW The financial results are set out in the enclosed accounts. The principal activity throughout the year LFnder review was that of a sodal club and recreation ground. Mana ement Commltt Mrs A Corr Mr M Smlth MrDEDade Ms S Whittingham Mr R Wrlght MrT E Noblètt Mr C J Francls M155 S Lawson Mr B Pèace Mr J Hammond Ms D Handley Mr S Feaver Mr A Wllklnson Mrs K Wllklnson Ms R Dorrlngton Mr S Heath Inde endent Examlner M Slater FMAAT MTS Accountancy Servlces Ltd Kenant Chambers 2 Bath Avenue Wolverhampton WVI 4EQ STATEMENT We certify that the bcioks. vouchers and information produced to enable the independent examination of our account5 to be conductèd contain a full and correct record of our financial transactions and activities to the best of our knowledge and belief. SIGNEO ON BEHALF OF THE MANAGEMENT COMMtrrEE Please print name Date Page 2

LAPLEY & WHEATON ASTON RECREATION GROUNO REGISTERED CHARITY NUMBER 552690 SUMMARY RECEIPTS AND PAYMENTS ACCOUTr￿ FOR THE YEAR ENDED 28 FEBRUARY 2023 Recelpts 2023 2022 Payments 2023 2022 Revenue 67,409 11,842 Cost of sale5 41.208 7.462 Hire 3.791 1,179 Estsblishment Expenses 13.878 15.674 Beer Festival proceeds 1,030 Ailministration Expenses 5.226 2,217 Donètions 2CQ Financial Expenses 996 122 Government Grant 10.667 Total 72,630 23,888 Total 61.308 25,475 Pa8e 3

LAPLEY & WHEATON ASTON RECREATION GROUND REGISTERED CHARITY NUMBER $52690 INCOME STATEMENT FOR THE YEAR ENDED 28 FEBRUARY 2023 2023 2022 Revenue Bar takings 67,409 11,842 Hire 3,791 1,179 Beer Festival proceeds 1.030 Donations 200 Government Grant 10,667 Total Income 72,630 23,888 Page 4

LAPLEY & WHEATON ASfoN RECREATION GROUND REGISTERED CHARITY NUMBER 55269) EXPENDITURE ￿ATEMENT FOR THE YEAR ENDED 28 FEBRUARY 2023 2023 2022 Cost of sales Opening stock Purchases Bar sundries Cleaning Direct wage5 Closlng stock 1,716 30.170 698 282 10,870 2.528 6,748 138 1.819 1,716 Total cost of sales 41,208 7,462 Establlshment Expenses Rates and watef Light and heat Insurance Repairs and maintenance Telephone Total Establishment Expenses 2,015 2.495 1.871 5.522 1,975 1.783 1,864 1,574 10,453 13,878 15,674 Admlnlstratlon Expenses Sundry expense5 Accountancv Depreciation Total Administratlon Expenses 3,940 260 1,026 971 260 986 S,226 2,217 Flnanclal Expenses Bank and credit card char8es Total Financial Expenses 996 122 996 122 Total Expendlture 61,308 25.475 Page S

LAPLEY & WHEATON AsfoN RECREATION GROUND REGISTERED CHARITY NUMBER 552690 STATEMENT OF ASSEfs AND UABIUTIES AT 28 FEBRUARY 2023 2023 2022 Flxed Assets Freehold property Equipment Total Fixed A55ets 65,782 2,049 66,447 1.785 67.831 68,232 Current Assets Stock Cash at bank and in hand 2.528 23.624 1,716 12,472 26,152 14.188 Total cuirent assets 93,983 82.420 Loan Accruals Other creditors 8W 260 3,081 260 3.323 4,383 4,141 Total Assets less Ilabllltles 89.6CQ 78.279 Members funds Balance brought forward Surplus/lDelicitl lor the year Balance carried forward 78.279 11.321 89,6 79.866 11,5871 78,279 Page 6