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## Ystrad Mynach Boys and Girls Club - Profit And Loss Report 


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From : 01/05/2024<br>Account: *** ALL *** To : 30/04/2025<br>Category %  Income Expense Balance<br>Income<br>Donations 4% 1,465.00 1,465.00<br>Game Charges 0% 90.00 90.00<br>Grants 58% 20,580.19 20,580.19<br>Membership subs 9% 3,368.00 3,368.00<br>Rebate 2% 565.08 565.08<br>Rent 18% 6,504.00 6,504.00<br>Shop Takings 9% 3,055.00 3,055.00<br>Income Total 35,627.27 35,627.27<br>Expense<br>BT 3% 510.75 (510.75)<br>Caretaker 6% 1,280.00 (1,280.00)<br>CCBC Service charge 0% 54.44 (54.44)<br>Cleaner 10% 2,000.00 (2,000.00)<br>Club activities 8% 1,677.19 (1,677.19)<br>Club Maintenance 35% 7,091.93 (7,091.93)<br>Donations / Gifts -7% 1,500.00 1,500.00<br>Electricity bill 12% 2,470.20 (2,470.20)<br>Gas bill 7% 1,350.13 (1,350.13)<br>Insurance 9% 1,849.08 (1,849.08)<br>Membership Fees 0% 30.00 (30.00)<br>Miscellaneous 0% 63.50 (63.50)<br>Shop supplies 13% 2,633.75 (2,633.75)<br>Sports equipment 0% 83.00 (83.00)<br>TV Licence 1% 171.25 (171.25)<br>Water charges 2% 475.50 (475.50)<br>Expense Total 1,500.00 21,740.72 (20,240.72)<br>Grand Total: 37,127.27 21,740.72 15,386.55<br>CASH PROFIT / (LOSS) : 15,386.55<br>**----- End of picture text -----**<br>


_Page 1 of  1_ 

_Printed 27/08/2025_ 



4W ST DAVID'S PARTNERSHIP
ACCOUNTANTS
Date." ioth September 2025
To Whom It May C(#Kem.
Inde￿ndent Accountant's Report on the knnts ofystrad Mynach Boys and Girls aub
confirm that I have reviewed the financial records of Ystrad Mynxh Boys and Glrls Club, a
registered charity. for the financial year ending 30th wi 2025.
The accounts have been prepared in accordance wrth the relevant provisions of the Charltles Act
2011. and the applicable framework for accounting artd reporting by charities in the UK namely the
ChaTiiies SORP1Ststem•rt of Recommended Practlcej where appltcable.
I have carried OLrt a review of the income and expenditure records, bank statements. receipts, and
supportlng documentstion provided by the Club's comrnittee. Based on the inforniat￿n made
available to me. l am satisfied that the accounts..
Reflect a true and fair vtew of the charitls financial ￿ltIon for the stated period;
Are properly p￿pared in ￿(0rdan￿ wrth the charlty's constwtrJtion and applicable
regulations.
Have been maintained wrth adequate supportlng records and doojmentation.
The total income and expenditure fall below the statutory audit threshold and. as such, this is an
independent examination rather than a full statutory audit.
This verification is gtven Tn good faith based on the records rewewed alld the irrforniation supplied
by the charivs management and trustees.
Ifyou require any further clartfication, please do not hesitate to contact me.
Please do not hesitste to contatt us bf you requi￿ fvrther infomiation.
Yours 5incerelv
% SA4A
Mohammed Zafor Shah
Partner
MAATfMember5hip non."10267214J
BAIHonsJAccounrAfr7Q[ACCA Accreditedj
On behalf of St Davi(fs Pannershlp Actountants
I I I b Cowbridge Road WesL CardifrT. CF5 STA Tel.. 02920552939102921154829- sdpaccountants.co.uk