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2023-03-31-accounts

Tandem Walking Group Plus Annual Report and Receipts and Payments Account For the year ended 31st March 2023 Northern Ireland Charities Nllmber: 100046

Tandem Walking Group Plus Contents Page Charity Inforn]ation Trustee's Annual Report Independent Examinefs Report to the Trnstees Statement of Receipts and Payments Statement of Assets and Liabilities Notes to the Financial Statements

Tandem Walking Group Plus References and administrative details Charlty Name: Tandem Walking Group Plus Chwity Registration Number: 100046 Trustees: Mrs Doreen McFarlande Mr William Lough (Chaiman) Mr Colin Crompton Mr Paul Thompson (Treasurer) Ms Doreen Brown Mrs Milworth Jamieson Ms Margaret Davidson (Vice Chair) Mr Sammy Wilson Mrs Heather Whit¢side (Secretary) tndependent Examiner: S.M. Vint & Co 8 Newry Road Banbridge BT32 3HN Bankers: Ulster Bank

Tandem and walking 22-23 April saw the Tandems resuming with access to Bowling club and Dart buses running back to nomal. Unfortunately due to council strike with the pad( closing we were unable to have the last night chippy. Non- the less it was good to be back. April 27 started with meeting in Gilford community hall then on for a walk at Tannaghmore Gardens before finishing the day with lunch in café Incredible. May 18 Was our annual outing with a guided tour of Belfast. First stop was M&S on the Boucher Rd. for tea break, from there the guide boarded the bus for a very interesting tOUT of Belfast. To finish the day we had lunch in Boyles in Dromore which we all enjoyed. June 22. Started in Gilford Hall for tea coffec then on for a nice walk along thc Bann. Lunch was in Ryans tea- rooms which was a little small for our needs, but overall a good day. July27th This saw our annual AGM meeting which was held in Gilford Hall follow￿ by a nice walk along the Bann then of for a lov¢ly lunch in thc Banville. 22 Aug. We went to Newcastle for the day and we could not have had any better a day for the weath¢r. Every-one did their own thin& with either coffee ice-cream or the shapping as Doreen would say, then on it was on to Enniskeen House for lunch. Every-one seemed to have a great day. 4 Sep. All of us off to Scotland. After a stop at Dobbies Garden Centrc in Ayr It was off to the Hilton by Hamilton which was just beside the horse racing course. tb 5 Sept. This morning it was off to Garrion Bridges Garden and Antiques Centre for some retail therapy ice cream and coffee. In the afternoon we paid a visit to Chatelherault County Park and Gardens for a lovely tour of the house and gardens. nd 6 Sept. Today it was off to the Bo'ness and Kinneil Railway for a ride on the steam train. Then it was a short hop to South Quccnsferry for a river cruise under the three Forth bridges. On board we werc treated to a cream tca of scones and strawberry jam. 7th Scpt. This morning it was off to Leith for a tour of the Royal Yacht Britannia and shopping centre. In the afternoon we paid a visit to Portobello Beach for somc icc cream. 8 Sq)t. Today it was time to sct off for home so after a stop in Ayr it was time to catch thc afternoon boat for Belfast. 28 Sep. The day started in Gilford Hall for refreshments then on to Pointzpass for our sponsored walk which was a great success. Ending with a lovely lunch in Rices in Pointzpass. This was our first time having lunch in Pointzpass, so I would say we will use it again in the future. 26 Oct. Saw the day starting at Gilford Hall for refreshments, then on to Madden for a walk along the tow path, and ending with lunch in th¢ Banvill¢ Hotel.

Tandem and Uialking 22-23 Nov. Was our Christmas outing to Warrenpoint, where some went fora walk and others headed straight to the Whistledown Hotel for Christmas dinner and a bit of music. It was a lovely day to ring in Christmas. 18 1)ec. Gilford hall was the first stop for the usual refreshments then on to Rushmere, or for the brave few a walk around the Lakes as it was a very frosty day. Most hit the shopping ccntrc for a few last minute prez3.ies or another coffee. We f￿ASh￿ the day with a lovely meal in the Ashburn Hotel. 25 .Jan. A quick stop of for tea, coffee in Gilford then on to Lurgan Park for a good walk and ding in Lurgan golf club for dinner. 22Dd Feb. Gilford Hall was the usual first stop for r¢freshments, followed by a walk along the Bann River at Madden.The day finished with lunch at the Bamiville Hotel for a lovely meal before heading home. 7 March. Party time for St. Patricks day took us to the Belmont Hotel in Banbridge for a lovely meal followcd by Music and dancing. 22. March. As usual Gilford Hall for tea and biscuits the off to Banbridge for a nice walk and followed by lunch in Banbridgc Leisure centre. b¢fore we all headed home. Heather Whiteside 26 July 2023 Secretary

Independent Examiner's Report to Tandem Walking Group Plus I report on the accounts of thc charity for the year end￿ 31 st March 2023 which are set out on pages 4-5. Respective responsibilltles of Trustees and Examiner As the charity's trustees you are rcsponsible for the pr¢paration of thc accounts in accordance with the Charitics Act (Northern Ireland) 2008. It is my responsibility to: • examine the accounts under section 65 of the Charities Act; . follow thc procedures laid down in the gcneral Directions given by the Charity Commission for Northern Ireland under section 65(9)(b) of the Charities Act. and • stat¢ whether particular matters have comc to my attention. Basfis of Independent Examiner's report I have examined your charity accounts as required under section 65 of the Charities Act and my examination was Ca￿led out in accordance with thc general Directions ￿Ven by the Charity Commission for Northern Ireland under section 65{9)(b) of the Charities Act. My examination included a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. 11 also included consideration of any unusual items or disclosures in the accounts. and seeking explanations from you as charity trustees concerning any such matters. My rol¢ is to state whether any material matters have Come to my attention giving me cause to believe: l. That accounting records were not kept in accordance with section 63 of the Charities Act 2. That the accounts do not accord with those accounting records 3. That the accounts do not comply with the accounting requirements of the Charities Act 4. That there is further inforn]ation needed for a proper understanding of the accounts to be reached. Independent examiner's statement have cornpleted my examination and havc no concerns in respcct of the mattm (l) to (4) listed above and, in connection with following the Directions of the Charity Commission for Northern Ireland, I have found no matters that require drawing to your attention. Thomas Vint FCCA For and behglf of S.M. Vint & Co Chartered Certlfied Accountants & Registered Auditors 8 Newry Road Banbrldge BT32 3HN 26th July 2023

Tandem Walking Group Plus Statement of Receipts & Payments for the year ended 31st March 2023 Unrestricted Restricted Total funds Total funds funds 2023 funds 2022 Note Ineome and endowments from: Donations Grants Raffle Proceeds Other Fundraising Total income 3133 3133 3128 347 1766 8373 4432 800 3128 347 1766 5245 3128 5232 Expenditure on: Raising Funds Charitable Activities Total expenditure Net income l (expenditure) resources 7448 7448 -2203 3128 3128 10576 10576 -2203 8850 8850 -3618

Tandem Walking Group Plus Statement of Assets & Liabilities- Year Ended 31st March 2023 2023 2022 Reconciliation of funds at 31103122 Total funds brought forward Surylus/(deficit) this year end Total funds carried forward 5,963 -2,203 3.760 9,581 -3,618 5,963 Bank & Cash Balances Cash at bank and in hand 3,760 3,760 5,963 5,963 Represented by Unrestricted fimds Restricted funds Total Funds 3,760 5,963 3.760 5,963 Other Assets (Ullrestricted funds) Tandem Bikes Trailer 4,750 1,000 5,750 4,750 1,000 5,750 Notes on pages 6 to 7 are an integral part of these fmancial statements. The fmancial statements on pages 4 to 5 were approved by the Board of Trustees on 26th July 2023 and signed on its behalf by.. Mr William Lou

Tandem Walking Group Plus Notes to the fmancial statements for the year ended 31st Marcb 2023 l. Accounting pollcies The principal accounting policies adopted, judgements and key sources of estimation uncertainty in the preparation of the fmancial statements are as follows: a) Preparation of accounts on a going concern basis The charity generally mcets its day to day working capital requirements from its annual income. The Trustees have obtained and reviewed cash flow forecasts for the coming year and based on these are satisfied that the charity has resources to provide a reasonable expectation that it can continue to meet its financial obligations as they fall due for the foreseeable future. Therefore these f￿ancial statemcnts have been prepared on a going concern basis b) Income Income is accounted for on a cash receipts basis as the amount is collected and are allocated as either restricted or unrestricted funds according to the ternls of the donation. c) Expenditure Expenditure is recognised on a cash payments basis. d) Cash and cash equivalents Cash and cash equivalents includes cash in hand, deposits held at call with banks, other short-terni highly liquid investments with original maturities of three months or less and bank overdrafts. e) Funds Funds are classified as either restricted funds or unrestricted funds, defmed as follows: Restricted funds are funds subject to specific requirements as to their use which may be declared by the donor or with their authority or crcated through legal processes, but still within the wider objects of the Club. Unrcstricted funds are expendable at the discretion of the trustees in furthcrance of the objects of the charity. If parts of Ihe unrestricted funds arc earmarked at the discretion of the trustees for a particular purpose, they are designated as a separate fund. This designation has an administrativc pU￿oSe only and does not legally restricl tbe trustees, discretion to apply the fund. 2. Fundraising Unrestricted Restricted Total 2023 Total 2022 Donations Raffle Proceeds Grants Other Fundraising 3,133 347 3,133 347 3,128 1,766 8,373 4,432 3,128 800 1,766 5,245 3,128 5,232

Tandem Walking Group Plus Notes to the financial statements for the year ended 31st March 2023 {continlled) 3. Analysis of Expendithre Unrestricted Restricted Total 2023 Total 2022 Raising Funds Cbaritable Activlties Holiday & Club Outing Expenses Insurance Printing Training Expenses Volunteers Meals Petty Cash Accountancy Donations T¢a Expenses Holday Refund Tandem Sold Vouchers 5,262 720 304 640 181 150 420 3,128 8,390 720 304 640 181 150 420 2,895 693 253 372 420 30 37 -300 70 -300 70 4,150 7,448 3,128 10,576 8,850 Total Expenditure 7,448 3,128 10,576 8,850 4. Analysis of trustee remuneration and expenses. No Trustee received any payments other than for out of pocket expenses incurred.