Budgets & Accounts

Budgets

The parish council precept for 2012/13 is £17.88 per annum for a Band D property, the same amount as 2011/12.
The budget was agreed at the council meeting on 14 December 2011

Budget paper for 2012/13

The parish council precept for 2011/12 is £17.88 per annum for a Band D property, the same amount as 2010/11
The budget was agreed at the council meeting on 12 January 2011

Budget paper for 2011/12

The parish council precept for 2010/11 is £17.88 per annum for a Band D property
The budget was agreed at the council meeting on 13 January 2010

Budget paper for 2010/11

The parish council precept for 2009/10 is £16.84 for a Band D property.

The budget for 2009/10 was agreed at the council meeting on 9 January 2009.
Budget paper for 2009/10
Draft budget for 2009/10 was presented to the council at the meeting held 3 December 2008. The final budget will be agreed at the January 2009 meeting.

The Parish Council Precept for 2008/9 will be £16.48 for a Band D property.
This is an increase of £1.18 per annum

The Accounts

The full audited Annual Return for 2010/11 can be downloaded from here

The Annual Return 2010/11:

Statement of Accounts 31 March 2011

  31 March 2010 31 March 2011  
1. Balances brought forward £55,192 £56,573 Total balances and reserves at the beginning of the year
2. + Annual Precept £23,660 £25,246 Precept received in the year
3. + Total other receipts £134,455 £166,546 Total other receipts or income as recorded in the cash book
4. - Staff costs £8,388 £9,997 Total expenditure to all employees including Employers N.I. contributions.
5. - Loan Interest Nil Nil Expenditure on borrowings
6. -Total other payments £148,346 £96,512 Total expenditure as recorded in the cash book less staff costs.
7. Balances carried forward £56,573 £141,856 Total balances and reserves at the end of the year.
8. Total cash and short term investments £56,573 £141,856 Sum of all current and deposit bank accounts to agree with bank reconciliation.
9. Total fixed assets £153,125 £153,322 Recorded book value of all fixed assets and longer term investments.
10. Total borrowings Nil Nil
11. Trust Funds disclosure note Yes Yes The council acts as sole trustee for and is responsible for managing trust funds or assets.

For more detailed information on receipts and spending download the Cash Flow summary below.
Cash Flow Summary for 2010/11
Cash Flow Summary for 2009/10 
Cash Flow Summary for 2008/9
Cash Flow Summary 2007/08
Cash Flow Summary 2006/07
Cash Flow Summary 2005/06