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AIS Report - 2018
Annual Information Statement 2018
Legal Name:
Western Australian Tandem Cycling Advisory Council Incorporated
ABN:
76705603824
About the charity
Other names charity is known by (such as trading name):
WATCAC
Charity size:
Small
Is the charity an incorporated association?
Yes
Select the state/territory and enter the incorporated association number:
WA incorporated association number: A1003615R
Does the charity intend to fundraise in the next reporting period?
Yes
Basic Religious Charity:
No
Activities and Beneficiaries
Did the charity operate in the 2018 reporting period?
Yes
Main activity:
Other recreation
Description of charity's activities and outcomes:
We provide training, support and services to people who are Vision Impaired or Blind so that they may participate in cycling for competitive, recreation and socialisation to further their physical wellbeing.
Where the charity conducted activities during the 2018 reporting period:
Western Australia
Will the charity change or introduce any activities in the 2019 period?
No
Main beneficiary:
People with disabilities
Annual report
Human Resources
Human resources:
- Full time employees: 0
- Part time employees: 0
- Casual employees: 0
- Full-time equivalent staff (FTE): 0
- Estimated number of volunteers: 16
Financial Reporting
Charity's 2018 reporting period:
1 November 2017 to 31 October 2018
Accounting method used in the 2018 reporting period:
Cash
Income and Expenses
Income Statement summary
Revenue/receipts
Donations and bequests: | $510.00 |
Revenue from providing goods or services: | $0.00 |
Revenue from government including grants: | $0.00 |
Revenue from investments: | $0.00 |
Other revenue/receipts: | $7,148.00 |
Total revenue/receipts: | $7,658.00 |
Other income (for example, gains): | $0.00 |
Total income/receipts: | $7,658.00 |
Expenses/Payments
Employee expenses/payments: | $0.00 |
Grants and donations made for use in Australia: | $0.00 |
Grants and donations made for use outside Australia: | $0.00 |
Other expenses/payments: | $6,977.00 |
Total expenses/payments: | $6,977.00 |
Net surplus/(deficit): | $681.00 |
Balance Sheet Extract
Total assets: | $60,000.00 |
Total liabilities: | $0.00 |
Net assets/liabilites: | $60,000.00 |