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2025-03-31-accounts

SUPERSTARS CLUB

FINANCIAL STATEMENTS FOR THE YEAR ENDED

31 MARCH 2025

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SUPERSTARS CLUB

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|||||| |---|---|---|---|---| |CONTENTS|PAGE| |Trustees|3| |Statement|of Financial|Activities|4| |Balance|Sheet|5| |Notes|to the|Financial|Statements|6-7|

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SUPERSTARS CLUB

TRUSTEES May McAvoy Ann Wilson Allister Michael Mary Donnelly Naomi Ferguson Deidre Eastwood

ACCOUNTANTS McKinney Dawson 28 Union Street Cookstown Co Tyrone BT80 8NN

BANKERS

Ulster Bank Limited 39 Market Square Dungannon Co Tyrone BT70 1JJ

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SUPERSTARS CLUB

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 MARCH 2025

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|||||||| |---|---|---|---|---|---|---| |Unrestricted|Restricted|Total|Total| |Funds|Funds|Funds|Funds| |31.03.25|31.03.24| |£|£|£|£| |Receipts| |Donations|and|Grants|21,451|10,482|31,933|25,738| |Charitable|Activities|18,454|-|18,454|22,684| |Cafe Income|69,098|-|69,098|56,274| |Other|Income|8,107|123,946|132,053|76,959| |Total|Receipts|117,110|134,428|251,538|181,655| |Expended|Resources| |Payments| |Cost of objectives|38,741|4,769|43,510|49,898| |Administration|34,704|102,076|136,780|116,256| |Cafe|Refurbishment|Costs|1,823|-|1,823|8,110| |Total Expended|75,268|106,845|182,113|174,264| |Excess|of Receipts|and Payments|41,842|27,583|69,425|7,391| |Total Funds|Brought Forward|80,409|66,701|147,110|139,719| |Total Funds|Carried|Forward|122,251|94,284|216,535|147,110|

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SUPERSTARS CLUB

STATEMENT OF ASSETS AND LIABILITIES AS AT 31 MARCH 2025

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|||||| |---|---|---|---|---| |Note|2025|2025|2024|2024| |£|£|£|£| |FIXED|ASSETS| |Tangible Assets|(2)|883|1,178| |CURRENT ASSETS| |Bank and Cash balances|(3)|220,749|151,396| |CURRENT|LIABILITIES| |Creditors due in one year|(4)|5,097|5,464| |Net Current Assets/(Liabilities)|215,652|145,932| |216,535|147,110| |CAPITAL AND RESERVES| |Opening Balance|147,110|139,719| |Surplus|for year|69,425|7,391| |(5)|216,535|147,110|

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We approve these accounts and confirm that we have made available all relevant records and information for their preparation.

Signed on behalf of the Trustees

13 June 2025

The notes on pages 6 and 7 form part of these accounts

In accordance with the instructions given to us we have prepared, without carrying out an audit, the income and expenditure account and balance sheet of the Club from the records, information and explanations supplied to us.

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McKinney Dawson

28 Union Street Cookstown Co Tyrone BT80 8NN

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SUPERSTARS CLUB

NOTES TO THE FINANCIAL STATEMENTS

1. ACCOUNTING POLICIES

The following accounting policies have been used consistently in dealing with items which are considered material in relation to the group's financial statements.

(a) Basis of accounting

The financial statements are prepared under the historical cost convention.

(c) Depreciation

The cost of fixed assets are written off over the estimated useful lives of the assets at the following annual rates.

Building 4% Straight Line
Equipment 25% ReducingBalance

(d) Capital Grants

Grants received or receivable are deferred and released over the useful life of the asset to which they relate.

2.

FIXED ASSETS
Equipment Total
Cost
as at 01.04.24 3,461 3,461
Additions - -
Disposals
as at 31.03.25 3,461 3,461
Depreciation
As at 01.04.24 2,283 2.283
Charge forperiod 295 295
Disposals
As at 31.03.25 2,578 2,578
NETBOOKVALUE
As at 01.04.24 1,178 1,178
Asat31.03.25 8383 883

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SUPERSTARS CLUB

NOTES TO THE FINANCIAL STATEMENTS

3. GRANTS 2025 2024
Mid Ulster District Council 2,767 3,970
National LotteryFund - 9,935
Halifax Foundation 5,000 4,000
EducationAuthority 2,600 3,279
NIJHE 115 -
10,482 21,184
4. CASH INBANKANDONHANDS 2025 2024
UlsterBank Ltd CurrentAccount 220,374 151,061
PettyCash 375 335
220,749 151,396
5. CREDITORSDUEWITHINONEYEAR 2025 2024
Creditors andAccruals 5,097 5,464
5,097 5,464
6. CAPITALANDRESERVES 2025 2024
Opening Balance 147,110 139,719
Surplus/(Deficit) fortheperiod 69,425 7,391
Balanceasat31March2025 216,535 147,110

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