## **Wenhaston Village Hall (Village Club) – Charity No 1001694. Trustees Annual Report for the period 01/01/2024 to 31/12/2024.** 

## **Charity Background** 

The purposes of the Charity, its main activities and details of the Trustees are already recorded on the Charity Commission website.  The Wenhaston and Mells Hamlet Parish Council are the Charity’s Custodian Trustees and the Management Committee are the Managing Trustees.  The Trustees are guided at all times by its Constitution and the guidance issued by the Charity Commission.  The Charity’s Policies, agendas and minutes are available to view on our website at: htp://wenhaston.onesufolk.net/wenhaston-village-hall/ 

## **Our Aims** 

- To continue to develop the hall as a centre for social, recreational and educational activity for the residents of the Parish of Wenhaston regardless of sex, race, political, religious or other opinions. 

- To ensure that local groups and the wider public can use the facilities and to host events to bring the community together. 

- To continue to manage the hall and provide a facility that can be maintained and funded at an appropriate level. 

## **A summary of the Charity’s accounts for the year end 2024.** 

## **Bank Balances** 

- At the end of 2024 the funds held in our two bank accounts totalled £.39,233, a drop of £6,375 from the previous year. This was due to significant expenditure during the year details of which will follow. 

## **General Items – Receipts** 

- Our hall Hire income increased by over 15% to £11,716 although there was a slight decline in private bookings. 

- Income from our regular fundraising events was £10,748 compared with £10,593 for the previous year 

## **General Items – Payments** 

- Routine expenditure fell from £22,612 to £20,151 due to a fall of over £2,000 spent on wood chips for the boiler although electricity costs also fell by £500. The fall in woodchip costs was probably due to the number of times they were purchased during the year and it will be interesting to see how much is spent in the current year. The fall in expenditure meant that our net income for the year from general items increased from £619 to £2,945. . 

## **Capital Items – Receipts** 

- Although nothing is shown in the accounts as having been received from the 100 club a donation of £900 was received in January 2025. We also received £1,176 in donations (up from £654) and were fortunate to benefit from the sale of Heathers book with the proceeds totalling £853.. 

- Net income from one off fund-raising events totalled £1,659 which was £3,001 less than that received in 2023. 



## **Capital Items – Payments** 

- The main cost during the year was the refurbishment of the mens cloakroom which cost £10,667. Provision for this was shown in the 2023 accounts most notably the £7,250 grant received from the Parish Council.  A further £2,432 was spent on lighting and tables. 

- A a result of this significant expenditure the Capital account shows a net deficit for the year of £9,324. 

##  

## **Summary** 

- Despite the Capital Account deficit, which was due to the one off cost, it can be seen from the general income and expenditure account that, due to the hard work carried out by all members of the committee as well as a number of volunteers. the hall is in a relatively stable financial position. 

## **Reserves Policy (End of 2024)** 

- The reserves show that £10,000 has been set outside for capital expenditure, including the purchase of new projector, 

- The predicted deficit and general contingency figures show that even if there was an overall financial deficit and the hall was shut for six months there would still be sufficient funds available for the village hall to remain solvent. 



Wenhaston-village Hall Management Committee- Accounts YeaF Ended 31st DecembeF 2024
2024
2023
Capital Income and Expendituie
Sncome
100 Club Receipts
Hall own eventslFundraising
Less Fundraising costs
0.00
950.00
2069.47
4786.80
410.57
126.8/
1658.90
4659.93
B3rStock
Donations
HMRC GirtAid Refund
Parish Council Grant
Book sales
Bank InLerest
Toial Other receipts
Total Receipts
Expenditure
Equipment
Tables
HalL Refurbishment
i oilets refurbishment
Lightind
Pedestrian Access
0.00
5_95
654.50
25.00
7250.00
1176.50
853.63
86.83
84.52
2116.96
3775.86
8019.97
13029.90
4248.45
1130.68
3462.12
10667.62
1301.92
7267.58
13100.20
14978.15
Jet Capital Sb¥pLusl- Dafi="t) for ijear
-IQLQ.25
Balance Brought Forward at January 1st
SanLaiiuerTraasui-eJ- ducount
CAF Bank Account
Bar Stock
ooi3/.£0
J4107.25
1?285.25
1/2.94
12369.77
150.23
tneria FLOaL
Café Float
Café Petty Cash
Surplus {-Deficit) On 202A gpneraL activities
Surplus (- Defic£t) on 2024 Capital account
15.00
15.0
20.00
20.00
79.15
2945.63
619.16
-9324.3d
-10048.25
45871.35
39492.64
Balance C<irried Forward at Deceniber 31st
SantanderTreasurer account
CAF Bank Account
Bdr Stock
Cinema Float
Caf é Floa L
Café Petty Cash
TotaL
26776.04
33237.20
12369.77
12456.60
2iJO.00
0.00
150.23
15.00
60.00
20.00
0.00
79.15
39492.64
45871.35
Reserrfes rolicy 202r
Opening Balance
Surplus (- Def icit 2025)
Restrirted Reseryg
39492.00
2500.00
500Q.00
Reserves for Projects already agreed in 2025
General Contingency (No incomeforsix months}
5000.00
12500.00
25000.00
Free Reserves
14492.00
Confirmed as a True and accurate account by:
Date:

Address:
CAI IDtri
rJo(knJiC
Section B .
Disclosure
Only complete if the examiner needs to highlsght matters of concern (see CC32,
Independent examination of charity accounts- directions and guidance for
examiners).
Give here details of any
items that the examiner
wishes to disclose.
IER
October 2018