EC Meeting July 2017
GFTU Management Accounts YTD May 2017
Budget YTD May 17
Actual YTD May 17
Variance
Notes
Income source
Accounts Processing Services
19,583 15,217
18,416 16,361
(1,168) For shared services provided to TSSA £3,683 per month
Recharge for services provided- QGH Recharge for services provided- QGN
1,144 Recharge for services provided- QGH: Monthly Wendy, Ian & Nila charges (4,008) Recharge for services provided- QGN: Monthly Wendy, Ian & Nila charges Contribution is for full year. No more contribution is expected in the year. New affilate 'Writer's Guild of Great Britian' joined GFTU
7,608
3,600
Contributions
66,667
191,777
125,111
Sponsorship/Commission
0
0
-
Investment Income -TU Unit Trusts Investment Income- Zeneca Investment Income- RBS Investment Income- Unity Trust
5,000 1,458
(5,000) (1,458)
0 0
- -
BM Gain 101k gain, CAM: 85k gain for period Jan-Mar 2017 (gain before any investment management fee & foreign exchange gain or loss)
Managed Investment Income BM & CAM Managed Investment Income Credit Suisse
104,167
187,130
82,963
0 0
- -
Bank Interest Received
Misc Income- intercompany recharge
4,167
(4,167)
Gift Aid-GFTU Gift Aid- Albion Gift Aid-QGH
0 0 0 0 0 0 0
- - - -
Customised Course Fees
Invoices raised to delegate's for hotel exps @ BGCM & invoices for raffles & auction @ BGCM
Union Confenrance Building/ BGCM Grant/Arts Festival/Spon'ship/Project
7,780
7,780
-
Other Income
-2,321
(2,321) Credit note raised to PPF
Extra Ordinary Income Total income
223,867
422,743
198,876
Expenditure Staffing Salary
40,609 15,097
42,772 12,543
2,162 Staff salaries have been split between GFTU & ET
Salary for shared Service
(2,554)
Pension
0 0
3,664
3,664
Redundancy & Severance
0
-
Staff Welfare
358
626
268
Essential Car user Allowance
1,875
1,875
-
Staff Travel and Subs
625
386
(239)
Staff Travel shared Service
0
0
-
GS Travel HOE Travel
458
1,400
942
0
0 0
-
Other employment costs Training and development
208
(208)
0 0
- -
Agency
0 0
Pensions Recovery Payments
29,167
(29,167)
Pension Scheme Cost
0 0
- -
Pension prior year adjustment
Total
88,398
63,266
(25,132)
Premises Rent and Rates
125
497
372
Repair and maintenance
42
55
13
Utilities
333
1,147 1,298 -1,621 2,431
814
Health and Safety
0
Fire Risk Assessments / Fire Marshal Training (28 Delegates) in Jan 17
Insurance
208
(1,829) Insurance recharge to PCS members
Depreciation
3,000
(569)
0
Total
3,708
3,807
99
Administration Stationery, Postage Courier & delivery cost Telephone & mobile IT, website, maintainence
667
48
(619)
0
292
360
68
2,636 Sage monthly fee, Tony Jonson fee, Domain renewal fee
1,250
3,886 1,813
980 Used KM Bizhub 654 Mono Copier charge
Printing & Copying Office relocation
833
0 0
Total
3,042
6,108
3,066
Management fees Executive Committee Expenses Conference expenses (BGCM/EC) Conference expenses (other)/Speakers
(4,869) EC Members - Rail Fare + Parking + Mileage +Fixed Expense Allowance 2,144 BGCM expenses, £22,491 worth of charges to follow in next month
7,083 7,500 4,167 1,750 1,667
2,214 9,644
364
(3,803) Gifts for Chinese Delegates in Jan 17, Ben Marshall gift
Accountancy and audit
1,946
196
Legal & Profession DDA Compliance
0
(1,667)
0
-
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