OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2022-12-31-accounts

Cholsey Day Centre Accounts

31st December 2022

Page
Index
1 Trustees' Annual Report
2 Independent Examiners Report
3 Balance Sheet
4 General Fund Income & Expenditure Account
5 Operating Income & Expenditure
6 Notes to the accounts

THE CHOLSEY DAY CENTAÉ TRUST TRUSTEES REPORT FOR THE YEAR ENDED 31" DECEMBER 2022 R￿low Ot a￿¥{1198 2022 The incorne and expenditu￿ a¢¢ounts for the year. toaether balance $heet as of Dec 31° 2022 are 5htrn in the atta¢hed accounts. The adivities of the Chdsey Day Centre Trust continue to be govemed by the Tnjst D88d dated 7° May 1990. The continuing worty Is to rneel the existing and chaTrJing 80aal needs of tF froil and Vulnerab￿ of the local and imrn8diately surrouThJirvJ community The Day Centre ¢ontinuès to thrive with increased attendance. The addrtional day set ask3& for members wth Tnild to rnodtrrate dementia has proved to be a lrfeline for family ca￿ts. and the outreach p05t. for which the Day Cento ￿CeIVed funding al the end of the year, ha5 made a huge drffer8nc8 to elderfy people IoDking for a bndge betswn home and Centre. Stab￿ staff team have 8hovm great C￿nmItMent in un￿rtakI￿a furK1rai8ing and cArirvJ dut￿5 tsey0￿ their ro￿. and the Day Centre ￿arnad dunng the year that there has a subsiantial bequest a fomier memter whlch I￿11 88cJJre Ih8 Centr¢$ fulure t￿ thg fore5ee#tse futur. As ill té seen In the tralan￿ sheei, the D885Jrwed Legacy funds afe twked tsy Invest￿￿￿1. Their overall Value has contin￿￿ to yovhle add￿Onal income enabliThJ to make transfers to the General Fund ￿en ne8d8d to CQV8r 0￿ratir￿j deficats. The name8 of all actirvJ trust868 durirvJ t￿ year Br8 available frcffl Ihe Chair tho 8nsur88 that the Charity CoMmi￿10n records ¥8 UFdated. TNstee5 are apwinted by 8 majonty Vote ol existing Tnffjtees tollowNJ nominatw)n at the Annual Gertsral Meeting. Flnanclal polScl08 The conts'nuin9 ovwall policy of the Trustee8 is to maintain reser¥e8. Surtably invested, to 9ewate $ufficnt in¢une to cover ant￿pated operaThJ108888, cUrren￿Y, in th8 short term there *ill te a 51vJhtly larger drsw-dobvn to maintain and enhan the day centr8's activrties. Voluntary inGotn¥ and furKlraising aGtivrtie5 are expeLled to Supplement thrd balance and allow for some gr￿ in th8 ger￿ra1 fund, en8￿Ing new inrfialive$ to tye Imp￿mented. Truste88 are thsed on in¥881m8nt strategy by th8 610cktffokers. 8ardays Wèafth Managèmèfit Ltd. I d8dar8, in my eapacty as Chalr of Ihe TruJtee8. that the have approved Ihe abo¥e f8POrt and have authorRed rne to sNJn rt on their bohaw. 29 o Cioskn £JtS Eve Evan8 Date P402

INDEPENDEfT EXAMINFR'% REPI)RT {)￿ THE Af.COUThTS FOR THE YF.AR ENDED 31. DECEMBF.R 2022 IAet out OD p%e$ 3 10 61 Rexpetliv¢ respon%il)ililit4 trv%le¢x an¢1 examirL¢r 'rh¢ ¢h&rii>'s Irusi¢¢% are rLsponsibl¢ for IhL' pr¢paraiion of the accounls.'I"he chariry's Irusiees ¢onsid¢r Ihal an dudii is nvl required foT Ihi5 )'var linder section 144 of the Charities Aci 2011 (the Charilies Acll and Ihal an independcnl examination is needed. It is my Te%tM)nsibiliTy IQ.. examine the accnunls under seciiDn 145 of the Chariiies Act. 10 follom. lh¢ pro¢durts laid d(ii¥n in the ¥pctt¢ral I)iT￿tionS given by the Clwity Commission (under st¢iion 14515llbl of Ih¢ Chariiieb ALI. • 10 51ale whciher particulaT tnaiier5 havc comc 10 Tny allenlion. Bas18 of iDdependont QXADijD¢T'Y Stgtomont My ¢xaminaii4n was carried oui in ac￿rdanly ￿1th C)¢ncral Directions given by Ihc Charity Commi%ion. Att cx8minaiion inclu(k,s a rci'icw of ihc aecouniinb rLords kvpl by Ihe charity and a comparsson of ihe aceounis presented ￿lIh ihose reeord$. It also includes eonsideraiion of any uttu$ual ii¢ms or disclosuTt5 in Iht aeeounts. and sLrk"ing explanaTiO￿ from ihe Irusiets LoncemirtbT any such mallers. The pr(Kedures undert3ken do noi Pro￿lde all the evidence that be rcquired in an audit. and Consequentl￿ no opinion is given as to h￿hL'r the aLLounts preseiii a'true ar￿ fdll and ihe rep)rt Is to thos¢ maii¢rs t out in the statement belo%4'. JDdepeDdeDt exAmiDer's statement In ¢ortne¢iion with my examination. ]h) mailer has Cthtxe 10 m> attention.. which giv￿ Tne reasonable cause lo believe thai ITh, any maierial respecL the requirements.. to keep accouniing Tecords in accordance ￿1th 5eciion 130 of the Charities Act.. and to prepare accounis ￿leh accord w'ith the xcountin8 records and Comply wilh lh¢ aceounitng requircmcnls of Ihc C'hariilcs Aci have Mi bEen mel.. or 2. to which. in my opinion. aiieniion should be thwn in order 10 enable a Proper ¢rSta[￿Ing of lh¢ ￿COun$ 10 be r¢ach¢d. W Oake5 C.T.A David Mitchell & Co 4 Th¢ Pound .h¢ll￿>.. Oxon. OXIO 9NS Datt.. Page 2

The Cholsey Day Centre Trust The Cholsey Day Centre Trust The Cholsey Day Centre Trust The Cholsey Day Centre Trust
Balance Sheet as at 31st December 2022
2022 2021
£ £
CURRENT ASSETS
Debtors and prepayments (Note 1) 1,149 933
Investments (Note 7) 143,171 214,569
Bank and Building Society Deposits (Note 8) 20,945 26,883
165,265 242,386
LESS CURRENT LIABILITIES (Note 2) 2,515 2,515
NET ASSETS 162,750 239,871
FUNDED BY:
General Fund (Note 3) 162,751 25,959
Legacy Fund (Note 4) 0 210,254
Cholsey Coronavirus Support Group Fund (Note 5) 0 2,280
Cholsey Volunteers Fund (Note 6) 0 1,379
162,751 239,872
The Cholsey Day Centre Trust The Cholsey Day Centre Trust The Cholsey Day Centre Trust The Cholsey Day Centre Trust
General Fund Income & Expenditure Account
for theyear ended 31st December 2022
2022 2021
£ £
INCOME
DAY CENTRE
Donations 7,908 3,356
Fund Raising 4,351 4,089
Day Centre Grants 20,837 26,374
Investment Income 5,211 5,579
CHOLSEY CORONAVIRUS SUPPORT GROUP
Grants & Donations 0 3,835
CHOLSEY VOLUNTEERS
Grants, Donations & Fundraising 0 6,983
TOTAL INCOME 38,306 50,216
EXPENDITURE
DAY CENTRE
Equipment, Furniture & Fittings 6,615 1,750
Fees re investments 556 668
CHOLSEY CORONAVIRUS SUPPORT GROUP
Staff cost, food & materials 0 7,940
CHOLSEY VOLUNTEERS
Staff cost & supplies 0 18,805
TOTAL EXPENDITURE 7,171 29,164
GENERAL FUND NET SURPLUS /(DEFICIT) FOR YEAR 31,135 21,052
add NET OPERATING SURPLUS /(DEFICIT) FOR YEAR -85,035 -65,068
TOTAL NET SURPLUS /(DEFICIT) FOR YEAR -53,900 -44,016
The Cholsey Day Centre Trust The Cholsey Day Centre Trust The Cholsey Day Centre Trust The Cholsey Day Centre Trust
Operating Income & Expenditure Account
for theyear ended 31st December 2022
2022 2021
£ £
INCOME
Membership lunch revenues 50,055 22,098
Sales 6,049 2,874
Meals on Foot 6,076
Rental Income 3,505 1,704
TOTAL INCOME 65,685 26,676
EXPENDITURE
Staffing Costs 114,750 70,148
Food 10,825 6,554
Heat, Light & Water 6,957 3,199
Rent & Rates 0 0
Repairs 860 1,722
Telephone 933 809
Insurance 1,679 1,870
Cleaner / Caretaker 437 2,290
Activities 1,200 150
Transport 90 273
General Expenses & Other Supplies 12,987 4,729
TOTAL EXPENDITURE 150,720 91,744
OPERATING SURPLUS /(DEFICIT) FOR YEAR -85,035 -65,068
(carried forward to General Fund Income Statement)
The Cholsey Day Centre Trust The Cholsey Day Centre Trust The Cholsey Day Centre Trust The Cholsey Day Centre Trust
Notes to the accounts for
theyear ended 31st December 2022
2022 2021
£ £
NOTE 1 DEBTORS
Insurance prepayment 1,149 933
NOTE 2 CREDITORS
Operational accruals 2,050 2,050
Provision for Portfolio Investment Fee Oct/Dec 2021 165 165
Provision for accounting fees (payroll services) 300 300
2,515 2,515
NOTE 3 GENERAL FUND
Balance at 1st January 2022 25,959 33,605
Net Surplus / (Deficit) for year -53,900 -44,016
Transfer Legacy Fund. Note 4 210,254
Transfer of remaining CCSF fund. Note 5 1,280
Remove Coronavirus Support Income & Expense to N
0
4,105
Remove Cholsey Volunteers income & expense to N o
0
11,822
Realised / unrealised investment gains / (losses) -20,842 20,442
Balance at 31st December 2022 162,751 25,959
NOTE 4 MOLLIE WEEDON LEGACY FUND
Balance at 1st January 2022 210,254 210,254
Transfer 1/1/22 balance to General Fund -210,254
Balance at 31st December 2022 0 210,254
NOTE 5 CHOLSEY CORONAVIRUS SUPPORT FUND
Balance at 1st January 2022 2,280 6,385
Income transferred to CV (Note 6) -1,000
Remainig 1/1/22 balance transferred to General Fund -1,280
Income from grants & donations 0 3,835
Expenses (food & materials) 0 -7,940
Balance at 31st December 2022 0 2,280
NOTE 6 CHOLSEY VOLUNTEERS
Balance at 1st January 2022 1,379 13,202
Income transferred from CCSF (Note 5) 1,000 6,983
Expenses (staff & materials) -18 -18,805
Final transfer to CV Bank account -2,361
Balance at 31st December 2022 0 1,379
NOTE 7 INVESTMENTS
Balance at 1st January 2022 214,569 234,796
Realised / unrealised investment gains /
(losses) transferred to General Fund
-20,842 20,442
Dividend & Interest income to General Fund
Income / Expenditure statement
5,211 5,579
Transfer to Day Centre Lloyds TSB current account -55,211 -45,579
BarclayWealth Fees to General Fund
Income /Expenditure statement
-556 -668
Balance at 31st December 2022 143,171 214,569
NOTE 8 BANK & BUILDING SOCIETY DEPOSITS
Lloyds TSB Operations Account 20,945 26,883
Total bank & building society deposits 20,945 26,883