[{"data":1,"prerenderedAt":-1},["ShallowReactive",2],{"detail-sidebar-cat-1-en-105":3,"doc-detail-253528-en":53,"doc-seo-253528-105":74},{"code":4,"msg":5,"data":6},0,"success",[7,14,19,24,29,34,39,44,49],{"id":8,"doc_module":9,"doc_module_name":10,"category_name":11,"show_sort_weight":12,"slug":13},11,1,"Template","Presentations",90,"presentations",{"id":15,"doc_module":9,"doc_module_name":10,"category_name":16,"show_sort_weight":17,"slug":18},12,"Resumes",80,"resumes",{"id":20,"doc_module":9,"doc_module_name":10,"category_name":21,"show_sort_weight":22,"slug":23},14,"Invoices",70,"invoices",{"id":25,"doc_module":9,"doc_module_name":10,"category_name":26,"show_sort_weight":27,"slug":28},15,"Posters",60,"posters",{"id":30,"doc_module":9,"doc_module_name":10,"category_name":31,"show_sort_weight":32,"slug":33},16,"Social Media",50,"social-media",{"id":35,"doc_module":9,"doc_module_name":10,"category_name":36,"show_sort_weight":37,"slug":38},17,"Forms",40,"forms",{"id":40,"doc_module":9,"doc_module_name":10,"category_name":41,"show_sort_weight":42,"slug":43},18,"Letters",30,"letters",{"id":45,"doc_module":9,"doc_module_name":10,"category_name":46,"show_sort_weight":47,"slug":48},21,"Paper Templates",5,"papers-templates",{"id":50,"doc_module":9,"doc_module_name":10,"category_name":51,"show_sort_weight":4,"slug":52},158,"General","general-158",{"code":4,"msg":5,"data":54},{"doc_id":55,"user_id":56,"nickname":57,"user_avatar":58,"doc_module":9,"category_id":50,"category_name":51,"doc_title":59,"doc_description":60,"doc_content":61,"file_id":62,"file_url":63,"file_type":64,"file_size":65,"view_count":66,"is_deleted":4,"is_public":9,"is_downloadable":9,"audit_status":9,"page_count":9,"language":67,"language_code":68,"site_id":69,"html_lang":68,"table_of_contents":70,"faqs":71,"seo_title":72,"seo_description":60,"update_tm":73,"read_time":4},253528,1099514067415,"Rowan","https://ap-avatar.wpscdn.com/avatar/100002539d78ffe74a7?x-image-process=image/resize,m_fixed,w_180,h_180&k=1779092875211072502","Treasurer’s Report 2023","This is the third treasurer's report, presenting the financial results for the period of April 2022 to March 2023. The charity concluded the financial year with net assets of £162,595 and cash reserves of £168,273. A loss of £57,788 was incurred, a decrease from the £24,437 profit in 2022. This variance is primarily due to the Trustees' decision not to increase subscriptions and to invest more in course development and third-party administrative services, allowing Trustees to focus more time on the strategic development of POGP, as detailed in the Chair's report. Total income for the year reached £230,350, with courses contributing over half (£126,558) and membership subscriptions providing £99,824. This income shows an increase of £16,993 from the previous year, reflecting growing membership and the resumption of in-person course delivery. Total expenditure for the year was £288,138, with half allocated to courses and journals, and the remaining half covering administrative support and governance costs, as detailed in Note 5. A comprehensive breakdown is available in the Accounts document accompanying the reports sent prior to the AGM. The organization continues to collaborate with accountants Shaw Gibbs, utilizing Xero accounting software for efficient, streamlined, and secure bookkeeping. Any services will be reviewed in line with sound financial practices. The report concludes with a special thank you to Kate Lough for her dedicated efforts and integral role in the organization's continued advancements, acknowledging her tireless commitment of time and resources and expressing anticipation for another year of growth under her chairmanship. Miti Rach, POGP Honorary Treasurer.","Treasurer’s Report 2023  \nThis is my third report to you as a treasurer and it is with pleasure I present to you our results for the last year, April 2022 to March 2023.  \nThe charity concluded the ﬁnancial year to 31st March 2023 with net assets of £162,595 and cash resource of £168,273 .  \nThe charity made a loss of £57,788 compared to a proﬁt in 2022 of £24,437, and the diﬀerence arises principally from the Trustees’ decisions not to increase subscrip􀆟ons during the year and to invest more both in course development and in the 3rd party admin services to enable our Trustees to engage more of their 􀆟me in strategic development of POGP which has been outlined in the Chair’s report.  \nTotal income for the year was £230,350 with courses having generated just over half of that income at £126,558 and membership subscrip􀆟ons a further £99,824 . This is an increase of £16,993 from year ended March 2022, revealing both growing membership and the return to in-person delivery of the courses.  \nOur expenditure for the year was £288,138, half of which delivers our courses and journals, and the other half covers our admin support and governance costs, as analysed in Note 5.  \nThe full breakdown has been shared in the Accounts which accompany the reports sent ahead of the AGM.  \nWe con􀆟nue to work with our accountants, Shaw Gibbs, in using Xero, our accoun􀆟ng so􀅌ware, to keep the process of bookkeeping eﬃcient, streamlined and secure. We will review any services inline with good ﬁnancial prac􀆟ce.  \nFinally, I would like to thank Kate Lough, both on a professional and personal level, for being the driving force and an integral part of the advances we have con􀆟nued to make. Thank you for  \n􀆟relessly giving your 􀆟me and resources and we look forward to yet another exci􀆟ng year of enormous growth under your tenure as Chair.  \nMiti Rach,  \nPOGP Honorary Treasurer","cbCaijY9nJtYnTWv","https://ap.wps.com/l/cbCaijY9nJtYnTWv","pdf",115186,2,"English","en",105,"# Treasurer’s Report 2023\n## Financial Summary (April 2022 - March 2023)\n## Income and Expenditure\n## Administrative and Governance Costs\n## Appreciation","[{\"question\":\"What was the financial performance of the charity for April 2022 to March 2023?\",\"answer\":\"The charity incurred a loss of £57,788 for the financial year ending March 31, 2023. This compares to a profit of £24,437 in the previous year. The net assets stood at £162,595 and cash resources at £168,273 at the end of the financial year.\"},{\"question\":\"What were the main sources of income for the charity?\",\"answer\":\"Total income for the year was £230,350. Courses generated £126,558, and membership subscriptions contributed £99,824. This indicates a growth in both membership and in-person course delivery.\"},{\"question\":\"What was the total expenditure and how was it allocated?\",\"answer\":\"The total expenditure for the year amounted to £288,138. Approximately half of this expenditure was used for delivering courses and journals, with the other half covering administrative support and governance costs.\"}]","Treasurer’s Report 2023 | PDF",1789266627,{"code":4,"msg":75,"data":76},"ok",{"site_id":69,"language":68,"slug":77,"title":59,"keywords":78,"description":60,"schema_data":79,"social_meta":134,"head_meta":136,"extra_data":138,"updated_unix":73},"treasurer-report-2023","",{"@graph":80,"@context":133},[81,96,116],{"@type":82,"itemListElement":83},"BreadcrumbList",[84,88,90,93],{"item":85,"name":86,"@type":87,"position":9},"https://docshare.wps.com","Home","ListItem",{"item":89,"name":10,"@type":87,"position":66},"https://docshare.wps.com/template/",{"item":91,"name":51,"@type":87,"position":92},"https://docshare.wps.com/template/general/",3,{"item":94,"name":59,"@type":87,"position":95},"https://docshare.wps.com/template/treasurer-report-2023/253528/",4,{"url":94,"name":59,"@type":97,"image":98,"author":103,"headline":59,"publisher":105,"fileFormat":108,"inLanguage":68,"description":60,"dateModified":109,"datePublished":110,"encodingFormat":108,"isAccessibleForFree":111,"interactionStatistic":112},"DigitalDocument",{"url":99,"@type":100,"width":101,"height":102},"https://docshare.wps.com/thumbnails/treasurer-report-2023/253528.png","ImageObject",442,249,{"name":57,"@type":104},"Person",{"url":85,"name":106,"@type":107},"DocShare","Organization","application/pdf","2026-09-20","2026-09-13",true,{"@type":113,"interactionType":114,"userInteractionCount":66},"InteractionCounter",{"@type":115},"ViewAction",{"@type":117,"mainEntity":118},"FAQPage",[119,125,129],{"name":120,"@type":121,"acceptedAnswer":122},"What was the financial performance of the charity for April 2022 to March 2023?","Question",{"text":123,"@type":124},"The charity incurred a loss of £57,788 for the financial year ending March 31, 2023. This compares to a profit of £24,437 in the previous year. The net assets stood at £162,595 and cash resources at £168,273 at the end of the financial year.","Answer",{"name":126,"@type":121,"acceptedAnswer":127},"What were the main sources of income for the charity?",{"text":128,"@type":124},"Total income for the year was £230,350. Courses generated £126,558, and membership subscriptions contributed £99,824. This indicates a growth in both membership and in-person course delivery.",{"name":130,"@type":121,"acceptedAnswer":131},"What was the total expenditure and how was it allocated?",{"text":132,"@type":124},"The total expenditure for the year amounted to £288,138. Approximately half of this expenditure was used for delivering courses and journals, with the other half covering administrative support and governance costs.","https://schema.org",{"og:url":94,"og:type":135,"og:title":59,"og:site_name":106,"og:description":60},"article",{"robots":137,"canonical":94},"index,follow",{"doc_id":55,"site_id":69}]