Budget setting paper

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Snape with Thorp Parish Council - Budget setting for 2020/21

NOTE: the following does not take into account:

  • Any funds and costs for the Playing Field (except allocation and cost of annual H&S check); and
  • The costs of repairs to 2 bridges and footpath (including bat survey) and associated grants

2019/20

2019/20

2019/20

Budget for 2020/21

Comment re budget setting

Budget

Current position

Expected year end

Expected Year-end surplus for PC

4707.33

Excludes PFC funding of £788

ORDINARY EXPENDITURE

Payments

Grass cutting & village maintenance

2500.00

1918.80

1918.80

2500.00

Actual costs depends on growing season

Salary and Tax

1300.00

638.00

1198.00

1300.00

Pay rate increased to £9.00 per hour from April 2019

No tax payable up to September 2019 due to tax credit situation

Expenses

500.00

200.02

300.00

500.00

Includes for costs of newsletter plus postage and printing costs etc

Audit

240.00

240.00

240.00

0.00

Expect Council to meet exemption for full Audit review ie gross income and expenditure under £25k

Insurance

460.00

535.84

535.84

560.00

Includes £60 for Bank Holiday event (which was then reimbursed by show Committee) plus 3% increase for 20/21

Playground (safety check)

95.00

94.80

94.80

98.00

Includes for increase of 3% for 20/21

Subscription - YLCA

153.00

132.00

132.00

135.00

Notified of 2.25% increase for 20/21

Loan repayment

1026.74

513.37

1026.74

513.37

Ends in August 2020

ICO registration fee

35.00

35.00

35.00

35.00

New in 2018/19. No indication of increase in 20/21

Election costs

400.00

100.00

100.00

0.00

2019/20 - Worst case scenario – estimated cost of contested election - £1200 paid over 3 years. However no contested election therefore £100 only

Total

6709.74

4407.83

5581.18

5641.37

Extraordinary payments

Donations

135.00

100.00

100.00

135.00

RBL, Air Ambulance x 2 and Citizen’s Advice in 2019/20

Others

350.00

50.00

90.00

350.00

Room hire for meetings only in 2019/20

Avenue

960.00

1500.00

100.00

Spends 2019/20 avenue allocation. Further survey costs and expected costs of works during current year. Replacement tree in 2020/21.

Playground

Defibrillator

100.00

Payment for pads and battery pack = £315 – assume £100 per year to be allocated to build up fund for future costs

Reserve for Avenue and trees

500.00

500.00

£500 continues normal arrangements; higher costs in 2019/20 due to surveys and works (see above)

Allocation for Playing field

150.00

150.00

150.00

150.00

Continues normal arrangements

Allowance for extraordinary expenses

1000.00

1000.00

Bridges and footpath repairs

1000.00

Not included for budgeting purposes but agreed that £1k of PC funds would be used towards costs

Total

2135.00

1260.00

2840.00

2335.00

Total expenditure

8844.74

5667.83

8421.18

7976.70

ORDINARY INCOME

Wayleave

3.45

3.45

3.45

3.45

Bank Interest

Created: 24/05/2021 / Last Modified: N/A