DRUMLEGAGH WOMENS
GROUP
ANNUAL REPORT
YEAR ENDED 30 JUNE 2018

Drumlegagh Womesn Group
R¢port of tbe Trnstees for the year ended 30 JuDe 2018
Dnunlegagh Wom¢ns Group is registered as a charity. with The Charity Commission for North¢rn
Ireland The charity number for the Group is MC103183.
Dnunlegagh Womens Group was wnstittrted on 24th June 2013 and updats4 on 28th September 2015.
The objectives of the Gro￿ are to *fvance ed￿91100 ond 4KITL relieve depression and isolation and
to wtrmote the benefit of health and people. To provid¢ faciliti¢5 in the interest of S￿la1 welfare for
recreaiion or other leisuff.time Occupatio￿ with the obJ￿l of imwoving conditions for people living
and residing in Drumlegagh and the surroundin8 are&
The TTUSte¢s of the Group gtve their time frecly and do not receive any fu￿￿la1 remuneration or any
other benefits. The office bearers ffi￿eeS meei ￿ch month and resp)nsibl¢ for all decisions
taken in reIation to the nmning of the Group and activiti¢5 wovided by the Gr(yup.
Publi¢ Benefit
Drumle8A8h Womens Goup have assessed the risks the Charity with rewd to The Charity
Commi&sion for Northern Ireland's public i￿efit requiremenL FinanLXS are reviewed monthly. and
)lici¢s ar¢ in place for Volunt¢¢TS ￿U&l opp￿rtunitieS and Child PrthtiiM.
The pa* year has been another very suc￿$￿1 year for Drnmlegagh Womens Group.
We have hwl visiting OD 8 wide range of topic& we had health talks covering issues such as
Reki and Ener8y Th¢rapy. etc. W¢ had a skills night with a demonstration on how to make figurines
out of icing for decoratin& We have held various craft nights coverin8 flower arrdngin&
quillin& making and inhouse nights of fun with beetle thives and bin80. We had a talk from Mr
R West who gave an interesting talk on New Age Curling and then lent the GTOUP the curlin8
equipment for use at the next meeting. Aft￿ the n￿h of Decanber we went out for a late Christin&s
meal in January and again in June to close our activities for the year we went for a very enjoyable
meal to Wall's in Castlederg. These outings gr¢ all self-fimd¢d.
Finance
Our income in th¢ y¢ar to June 2018 totalled £2,060 of which £180 was fmm member f¢es. £386 from
fimdraising and £l.S(X) was funding from DAERA. Running expenses incorW￿n8 renL speaker
fees, material& bank charges totslled £295 and equipment purcbased totslled £1.791.
We held a SUP￿ dance and Tan a fireside quiz ways of fi￿d￿l￿&
We secured fimding from DAERA under the Micro Capital Grant Scheme 2017 and with this fijnding
were able to purch&se 40 bonqueting chair& a microwave. fcd th¢rn)omcter. l O trays 10 pair5 of
tongs and Burco water Ix)iler. We would like to acknowledge our thanks to DAERA and Dennett
Interch8nge for all the help provided in apptying fw this fimdin&

Indep¢odent eiamiDer's r¢port to the trustee8 of Drumlegagh Womens Grf>up.
I rqx)rt on the xcounts of the Groups for the year ended 30 June 2018, which ar¢ set out on
page l.
Resp¢cliv¢ responsibilitiu of trusttts and eumiD¢r
The charity's t￿￿teeS are resp)nsible for the prepAration of the accounts. The chaTity'S
trust¢es consider that an audit is not required for this year ￿)der section 65(2) of the Charities
Act (Northern Ireland) 2008 (the Clwities Act) or under Regul*ion 10(1 Xd) of The Charities
Accounts (Scotland) Regulations 21X)6 (the 2006 Accounts Regulations) and that an
indqrrylent examination is neede(L
It is my responsibility to:
• examine the accounts under Se￿lOn 65 of the Charities Act (Northern Ireland)2008 and
section 44(IXc) of the Charlties and Tn￿ Inv¢stment (Scotland) Act 2005 (the 2005 Act)
• to follow the procedures laid dovrn in the general Directions given by the Charity
Commission for Northern Ireland under section 65(9)(b) of the Charities Act
• to state whether particular matters have come to my attentio
Basis of independeDt examiner'j ftport
My examination was carried out in acconlance with the general Directions given by the
Charity Commission for Northern Ireland a￿) is in accordance with Regulation I l of the
Charities Accounts (Scotland) Regulations 21￿. An exa[ni￿on includes a revi¢w of the
accountiog recoTds kept by the charity and a comparison of the ￿)unts presented with those
records. It also includes consideration of any unusual items or disclosures in the accounts,
and seeking explanations from you a8 trustees ￿ncerning gny such matters. The procedures
undertaken do not provide all the evidence that would k requkrcd in an audit and
consequently no opinion is given as to wlther the accounts present a 'true and fair view, and
the re￿rt is limited to those n￿tterS set out in the next statement.
IndepeDdent euminer's ststement
In connection with my examInkno￿ no matter has come to my attention:
(l) whith gives me reawnable ￿ll8¢ to believe that in any n)ater1￿ res￿ the requirements:
• to keep accounting records in accordance with section 63 of th¢ Charities Ad and
section 44(IXa} of the 2005 ArA and Regulation 4 of the 21Y)6 Accounts Regulations
• to pretAr¢ accounts which accord with the accounting records and comply with the
accounting requirements of the Charities Act 21Y)8 and section 44(IKb) of the 2(K)5 Act and
R¢gulation 9 of the 2(K16 Regulations
have not been met or
(2) to which, in my opinioo attention should be dravm in order to enable a proper
understanding of the accounts to be reached.
Relevant professiona5 qualification or
Address: Llo (It
Date: S o*. (f
eT4S I-LQ

DRUIALEGAGH WOMEM3 GROUP
STATEIAEpif OF RECEIPTS AND PAYMENTS FOR THE YEAR ENDED 30 JUNE 2018
Funds
Fund•
2018
2017
RKdpt8
From Chartsble Actsvibes
Memtr¢rship fees
Volunl•ry Ro¢•lPI•
Fundraising irKome
749
1,377
Cost of cl￿nIab￿
Cost of frjndraising
295
351
Purchase of equipment
1.791
1,791
Total paym•nts
1.791
2,024
Not rnc•lptsl{pAym•nts)
271
291
20
282
Transfers Wlfroml funds
291
291
SUrplu￿{dO1￿ft1 for th• ymr
282
ReGoncll•tlon at 30 Jun• 2018
Cash at bank and in hand at 301CeQ017
SurplupJld8fiot) for the year eThJed 301(W2018
Cash at bank and in hand at 301CV2018
1.196
20
1.176
1,198
20
1,176
914
282
1,196
STATEMEKf OF ASSETS AND UABILrriES FOR THE YEAR ENDED 30 JUNE 2018
Funds
1,126
Funds
2018
1.126
2017
Bank and ca8h bI￿ne•S
Bank Cu￿nI account
Cash in hand
328
1,196
1.176
1,176