Section 2 – Accounting Statements 2024/25 for

ESKDALE PARISH

Year ending
31 March 2024
£
Year ending
31 March 2025
£
Notes and guidance
1. Balances brought forward 10,783 10,277 Total balances and reserves at the beginning of the year as recorded in the financial records. Value must agree to Box 7 of previous year.
2. (+) Precept or Rates and Levies 8,760 8,760 Total amount of precept (or for IDBs rates and levies) received or receivable in the year. Exclude any grants received.
3. (+) Total other receipts 2,882 848 Total income or receipts as recorded in the cashbook less the precept or rates/levies received (line 2). Include any grants received.
4. (-) Staff costs 1,836 1,901 Total expenditure or payments made to and on behalf of all employees. Include gross salaries and wages, employers NI contributions, employers pension contributions, gratuities and severance payments.
5. (-) Loan interest/capital repayments 0 0 Total expenditure or payments of capital and interest made during the year on the authority’s borrowings (if any).
6. (-) All other payments 10,312 4,920 Total expenditure or payments as recorded in the cashbook less staff costs (line 4) and loan interest/capital repayments (line 5).
7. (=) Balances carried forward 10,277 13,064 Total balances and reserves at the end of the year. Must equal (1+2+3) – (4+5+6).
8. Total value of cash and short term investments 10,277 13,064 The sum of all current and deposit bank accounts, cash holdings and short term investments held as at 31 March –
To agree with bank reconciliation.
9. Total fixed assets plus long term investments and assets 9,431 9,431 The value of all the property the authority owns – it is made up of all its fixed assets and long term investments as at 31 March.
10. Total borrowings 0 0 The outstanding capital balance as at 31 March of all loans from third parties (including PWLB).
For Local Councils Only Yes No N/A
11a. Disclosure note re Trust funds (including charitable) The Council, as a body corporate, acts as sole trustee and is responsible for managing Trust funds or assets.
11b. Disclosure note re Trust funds (including charitable) The figures in the accounting statements above exclude any Trust transactions.

I certify that for the year ended 31 March 2025 the Accounting Statements in this Annual Governance and Accountability Return have been prepared on either a receipts and payments or income and expenditure basis following the guidance in Governance and Accountability for Smaller Authorities – a Practitioners’ Guide to Proper Practices and present fairly the financial position of this authority.

Signed by Responsible Financial Officer before being approved

[handwritten, see original document]

Date
[handwritten, see original document]

I confirm that these Accounting Statements were approved by this authority on this date:
[handwritten, see original document]

as recorded in minute reference:
[handwritten, see original document]

Signed by Chair of the meeting where the Accounting Statements were approved

[handwritten, see original document]

Annual Governance and Accountability Return 2024/25 Form 2
Local Councils, Internal Drainage Boards and other Smaller Authorities
Page 6 of 6

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