Payments to Approve
Nov 2023 |
Payments to approve |
|
|
|
|
|
Inv Date |
To |
Details |
Net |
Vat |
Gross |
|
31/10/2023 |
C Light |
Grass Cutting |
127.50 |
|
127.50 |
|
08/11/2023 |
Staff Pay Award Back Pay |
Staff salaries, expenses |
781.60 |
|
781.60 |
|
06/11/2023 |
VH cleaner |
VH cleaning VH-2023-10 |
240.00 |
|
240.00 |
|
17/10/2023 |
ALCA |
training |
10.00 |
|
10.00 |
|
23/10/2023 |
Gentlemen Scaffolders Ltd |
Event Scaffolding |
600.00 |
120.00 |
720.00 |
|
09/11/2023 |
Wicksteed |
Playground Inspection |
132.00 |
26.40 |
158.40 |
|
05/11/2023 |
P Edwards |
Mileage expenses |
3.15 |
|
3.15 |
|
|
|
SUBTOTAL |
|
|
|
2040.65 |
Also – three village hall deposit refunds to approve:
TCVH-327 |
Village Deposit Refund |
-125.00 |
TCVH-328 |
Village Deposit Refund |
-125.00 |
TCVH-329 |
Village Deposit Refund |
-125.00 |
Signed by the Chairman of the meeting: _______________________
Payments to Report
Oct 2023 |
Regular payments |
|
|
|
|
|
|
Bank Date |
Inv Date |
To |
Details |
Net |
Vat |
Gross |
|
06/10/2023 |
|
Staff |
Staff salaries, expenses |
1765.62 |
|
1765.62 |
|
02/10/2023 |
|
Curo |
Garage Hire |
51.63 |
10.33 |
61.96 |
|
02/10/2023 |
|
Water2Business |
Utilities – Village Hall |
20.50 |
|
20.50 |
|
02/10/2023 |
|
EDF Energy |
Utilities – Village Hall |
76.19 |
3.81 |
80.00 |
|
10/10/2023 |
|
Source Shaper Ltd t/a Shape Payroll |
payroll services |
5.00 |
1.00 |
6.00 |
|
09/10/2023 |
|
Direct Debit (FUEL CARD SERVICES) |
Mower fuel |
5.00 |
1.00 |
6.00 |
|
23/10/2023 |
|
Direct Debit (FUEL CARD SERVICES) |
Mower fuel |
8.37 |
1.67 |
10.04 |
|
25/10/2023 |
|
HMRC |
PAYE quarterly payment on account |
1192.11 |
|
1192.11 |
|
|
|
|
SUBTOTAL |
|
|
|
3142.23 |
|
Nov 2023 |
Credit card payments to note |
|
|
|
|
|
Bank Date |
Inv Date |
To |
Details |
Net |
Vat |
Gross |
|
09/11/2023 |
06/10/2023 |
Lebara Mobile Limited |
mobile phone |
4.13 |
0.83 |
4.95 |
|
09/11/2023 |
09/10/2023 |
Amazon EU S.à r.l., UK Branch |
batteries |
5.63 |
1.13 |
6.75 |
|
09/11/2023 |
26/10/2023 |
Lloyds |
Bank Fee |
3.00 |
|
3.00 |
|
|
|
|
SUBTOTAL |
|
|
|
14.70 |
Income to report
Receipts Oct 2023 |
|
|
|
|
|
|
|
|
Date |
|
Ref |
Description |
Net |
|
Gross |
Sub ex dp |
Subtotal |
02/10/2023 |
|
HALL HIRE DEPOSIT |
Village Hall Deposit |
125 |
|
125 |
|
|
02/10/2023 |
|
B&NES |
Precept |
19759.00 |
|
19759.00 |
|
|
04/10/2023 |
|
TCVH-309 |
Village Hall Booking |
15 |
|
15 |
|
|
06/10/2023 |
|
TCVH-289 |
Village Hall Booking |
10 |
|
10 |
|
|
06/10/2023 |
|
TCVH-307 |
Village Deposit Refund |
-125.00 |
|
-125.00 |
|
|
10/10/2023 |
|
NEARY HL |
Event funds |
873.05 |
|
873.05 |
|
|
12/10/2023 |
|
WEST OF ENGLAND CO |
Village Hall Booking & Deposit |
164 |
|
164 |
|
|
12/10/2023 |
|
TCVH-310 |
Village Deposit Refund |
-125.00 |
|
-125.00 |
|
|
16/10/2023 |
|
2ND CLUTTON |
Village Hall Booking & Deposit |
184 |
|
184 |
|
|
16/10/2023 |
|
HMRC VTR |
Reclaimed VAT |
12856.43 |
|
12856.43 |
|
|
17/10/2023 |
|
TCVH-295 |
Village Hall Deposit |
125 |
|
125 |
|
|
20/10/2023 |
|
Invoice TCVH-284 |
Village Hall Deposit |
125 |
|
125 |
|
|
27/10/2023 |
|
TCVH-312 |
Village Hall Booking & Deposit |
194 |
|
194 |
|
|
30/10/2023 |
|
TCVH-319 |
Village Hall Booking & Deposit |
194 |
|
194 |
|
|
30/10/2023 |
|
TCVH-320 |
Village Hall Booking & Deposit |
164 |
|
164 |
|
|
31/10/2023 |
|
TCVH-314 |
Village Hall Booking & Deposit |
164 |
|
164 |
|
|
31/10/2023 |
|
Nationwide |
Bank Interest |
111.48 |
|
111.48 |
|
|
|
|
|
SUBTOTAL EXCLUDING DEPOSITS |
|
|
|
33938.96 |
|
|
|
|
SUBTOTAL |
|
|
|
|
34813.96 |
Bank Reconciliation
Reconciliation of balances 31st Oct 2023 |
|
|
Balance per bank statements |
|
|
Current Account Unity |
6,231.76 |
|
Reserve Account Unity |
58,091.45 |
|
Nationwide Savings Acc |
35,000.00 |
|
SUBTOTAL bank statements |
|
99,323.21 |
|
|
|
Less unpresented payments |
|
0.00 |
Unbanked cash (Prepaid debit card) |
|
0.00 |
|
|
|
Reconciling Items: |
|
|
Uncleared bank transfer: automatic interest transfer from Nationwide to Unity Current a/c |
|
111.48 |
|
|
|
NET BALANCES |
|
99,434.69 |
|
|
|
The net balances reconcile to the Cash Book (receipts and payments account) as follows: |
|
|
Opening Balance at 1 April 2023 |
|
131,113.10 |
Add: Receipts in the year |
|
61523.09 |
Less: Payments in the year |
|
-93201.50 |
|
|
|
CLOSING BALANCE per Cash Book |
|
99,434.69 |
Year to date Spend