## **PETT VILLAGE HALL MANAGEMENT COMMITTEE MEETING AND AGM 7 SEPTEMBER 2020** 

The Pett Village Hall Management Committee met at the Village Hall on Monday 7 September 2020 for a regular meeting and for the delayed AGM. 

The following Committee members and office holders were re-elected: 

Terry Cornish Carol Glasson Carol Pecorini Fran Pitts (Secretary) Tim Rothwell (Chair and Bookings Manager) Richard Smith (Treasurer) 

The main points to emerge from the two meetings are as follows. The minutes of both meetings can be found here https://www.pettnet.org.uk/pett-village-hall-managementcommittee-agendas-and-minutes. 

## **Finance** 

Despite a significant loss of income this year from bookings that were cancelled because of the Covid pandemic, and £10,000 worth of improvements being made to the hall in the past year, the hall’s finances are in a comparatively healthy state. At present the hall has assets of over £32,000. This includes the Covid-related grant of £10,000 which the Committee received from Rother District Council in April and which has helped enormously.  The significant increase in bookings over the past 12 months or so has also been a major factor. 

## **Hall maintenance** 

Compared to previous years, 2019/20 saw relatively few maintenance issues arising, apart from the need to spend £4,000 on repairs to the sewage system and sump. This is very much a one-off payment and there should be no need for further expenditure on this for several years to come. 

The Committee expressed their grateful thanks to Lue and Richard Cooke, along with Terry Cornish, for all the hard work they undertook during lock-down to keep the hall in a serviceable state for re-opening. This included redecorating parts of the hall, necessary repairs and installing hand sanitisers etc so that the hall complied with legal requirements. 

The Committee are also grateful to Philippa Strickland and Carol Pecorini for their hard work in running the 500 Club, which makes a valuable financial addition to the finances of the hall, and to Robin and Chris Hutt and Tim and Anne Jury for their generous monetary contributions. 

## **Parking at the Hall** 



Whilst recognising that residents and their visitors, and those using local businesses, cannot be forced to use the village hall car park rather than parking on the roads, verges and pavements, the Committee believe that more should be done to raise awareness of the facility. 

They have therefore agreed to replace the village hall sign at the end of the drive with one making it clear that free parking is available at the hall, apart from those relatively few occasions when the whole car park is required for events. They will also produce a leaflet (in conjunction with the Parish Council if the Council so agree) explaining that parking at the hall is available. These will be made available to residents and businesses in the village. 

## **Appointment of Administrative Officer** 

Because of the growing popularity of the hall as a venue, the workload of the Bookings Manager, Chair and Treasurer has increased significantly over the last two years. For example, the Chair and Bookings Manager estimates that he often spends some 15-20 hours a week working on issues relating to the hall. This position is unsustainable, and unless steps are taken to alleviate the pressure there is a risk that some members of the Committee and office holders may no longer be able to find the time to undertake essential duties and the hall may possibly close as a result. 

The Committee have therefore agreed in principle to appoint a paid Administrative Officer to undertake much of the work of the Bookings Manager and certain aspects of the current duties of the Chair, Treasurer and perhaps Secretary. A job specification, rate of pay and further details need to be agreed by the Committee. Once there is agreement on these, the role will be advertised. The postholder will not be a trustee or a Committee member, but will attend Committee meetings. 

There may be a need to increase the rates charged to hirers to meet the cost of the post, but it must be stressed that without proper paid help (which a number of other halls in Sussex already have in place), there is a danger that the hall may have to close or offer a much reduced service to its users. 

## **Committee Members** 

The current Committee is of a certain age! In order to ensure the continuation of the hall as a going concern in the future, the Committee consider that their numbers should be strengthened and in particular by younger members of the community who could bring a fresh approach and new ideas. Under the constitution there is space for four additional members/trustees. But volunteers could be co-opted to help the Committee in its work without necessarily becoming trustees. 

The Committee will launch a recruiting campaign for new members in due course, but in the meantime if anyone would be interested in joining the Committee or helping with its work please contact me. 



## **The coming year** 

Everyone in the country has had a difficult past few months or so and the Village Hall Committee is no different. But the Committee hope that the coming year will see a return to relative normality. It is certainly encouraging that bookings for 2021 are coming in thick and fast. In the meantime, a big thank you to all those who have used and supported the hall over the past year. 

Tim Rothwell Chair, Pett Village Hall Management Committee 

tim.rothwell@pettnet.org.uk 07850 469314 




**The Pett Village Hall 1005693** 

## **Receipts and payments accounts** 

**CC16a** 

|**For the period**<br>**from**|01-Apr-19|**To**|31-Mar-20|
|---|---|---|---|



|**Section A Receipts and payments**|**Section A Receipts and payments**||||||
|---|---|---|---|---|---|---|
|**A1 Receipts**|**Unrestricted**<br>**funds**<br>**to the nearest      £**<br>**22,919**<br>**3,080**<br>**1,890**<br>**-**<br>**87**<br>**-**<br>**27,976**<br>**-**<br>**-**<br>**-**<br>**27,976**<br>**11,781**<br>**2,627**<br>**4,151**<br>**1,931**<br>**1,189**<br>**456**<br>**439**<br>**1,660**<br>**60**<br>**28**<br>**28**<br>**789**<br> **25,139**<br>**6,470**<br>**3,978**<br>**1,897**<br> **12,345**<br>**37,484**<br>**-                  9,508**<br>**-**<br>**35,475**<br>**25,967**|**Restricted**<br>**funds**<br>**to the nearest £**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**|**Endowment**<br>**funds**<br>**to the nearest £**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**|**Total funds**<br>**to the nearest £**<br>**22,919**<br>**3,080**<br>**1,890**<br>**-**<br>**87**<br>**-**<br>**27,976**<br>**-**<br>**-**<br>**-**<br>**27,976**<br>**11,781**<br>**2,627**<br>**4,151**<br>**1,931**<br>**1,189**<br>**456**<br>**439**<br>**1,660**<br>**60**<br>**28**<br>**28**<br>**789**<br>**25,139**<br>**6,470**<br>**3,978**<br>**1,897**<br>**12,345**<br>**37,484**<br>**-                  9,508**||**Last year**<br>**to the nearest £**|
|Lettings and events|**22,919**|||||**24,482**|
|500 Club Donation|**3,080**|||||**6,267**|
|Other Donations|**1,890**|||||**2,553**|
|Misc transfers|**-**|||||**-**|
|Bank interest|**87**|||||**77**|
|Deposits Held|**-**|||||**2,312**|
|**_Sub total_**_(Gross income for AR)_|**27,976**|||||**35,691**|
||||||||
|**A2 Asset and investment sales,**<br>**(see table).**|||||||
||**-**||||||
||**-**|||||**-**|
|**_Sub total_**|**-**|||||**-**|
|**_Total receipts_**<br>**A3 Payments**|||||||
|||||||**35,691**|
||||||||
|Maintenance and cleaning|**11,781**|||||**8,656**|
|Repairs and enewals|**2,627**|||||**6,894**|
|Light and heat|**4,151**|||||**4,520**|
|Insurance|**1,931**|||||**2,402**|
|Licences|**1,189**|||||**1,184**|
|Water|**456**|||||**844**|
|Miscellaneous expenses|**439**|||||**691**|
|Prizes|**1,660**|||||**1,752**|
|Professional fees|**60**|||||**1,752**|
|Printing & Stationary|**28**|||||**1,752**|
|Advertising|**28**|||||**1,752**|
|Communications|**789**|||||**-**|
|**_Sub total_ **|**25,139**|||||**32,199**|
||||||||
|**A4 Asset and investment**<br>**purchases, (see table)**|||||||
|LED Lighting|**6,470**||||||
|Pump insallation|**3,978**||||||
|Curtains & blinds|**1,897**||||||
|**_Sub total_ **|**12,345**|||||**-**|
|**_Total payments_**<br>**_Net of receipts/(payments)_**<br>**A5 Transfers between funds**<br>**A6 Cash funds last year end**<br>**_Cash funds this year end_**|||||||
|||||||**32,199**|
||||||||
||**-                  9,508**|**-**|**-**|**-                  9,508**||**3,492**|
||**-**|**-**|**-**|**-**||**-**|
||**35,475**|**-**|**-**|**35,475**||**26,727**|
||**25,967**|**-**|**-**|**25,967**||**30,219**|



## **Section B Statement of assets and liabilities at the end of the period** 

|**Categories**<br>**B1 Cash funds**|Santander current<br>**Details**|**Unrestricted**<br>**funds**<br>**to nearest £**<br>**1,573**|**Restricted**<br>**funds**<br>**to nearest £**<br>**-**|**Endowment**<br>**funds**<br>**to nearest £**|
|---|---|---|---|---|
||Santander current|**1,573**|**-**|**-**|





||Santander deposit||**19,816**||**-**||**-**|
|---|---|---|---|---|---|---|---|
||Lloyds Deposits||**1,762**||**-**||**-**|
||Lloyds 500||**2,816**||**-**||**-**|
||Petty Cash||**-**||**-**||**-**|
||**_Total cash funds_**||**25,967**||**-**||**-**|
||(agree balances with receipts and payments|||||||
||account(s))||OK||OK||OK|
||||**Unrestricted**||**Restricted**||**Endowment**|
||||**funds**||**funds**||**funds**|
||**Details**||**to nearest £**||**to nearest £**||**to nearest £**|
|**B2 Other monetary assets**|||**-**||**-**||**-**|
||||**-**||**-**||**-**|
||||**-**||**-**||**-**|
||||**-**||**-**||**-**|
||||**-**||**-**||**-**|
||||**-**||**-**||**-**|
||**Details**||**Fund to which**<br>**asset belongs**||**Cost (optional)**||**Current value**<br>**(optional)**|
|**B3 Investment assets**|||||**-**||**-**|
||||||**-**||**-**|
||||||**-**||**-**|
||||||**-**||**-**|
||||||**-**||**-**|
||**Details**||**Fund to which**<br>**asset belongs**||**Cost (optional)**||**Current value**<br>**(optional)**|
|**B4 Assets retained for the**|||||**-**||**-**|
|**charity’s own use**|||||**-**||**-**|
||||||**-**||**-**|
||||||**-**||**-**|
||||||**-**||**-**|
||||||**-**||**-**|
||||||**-**||**-**|
||||||**-**||**-**|
||||||**-**||**-**|
||||**Fund to which**||**Amount due**||**When due**|
||**Details**||**liability relates**||**(optional)**||**(optional)**|
|**B5 Liabilities**|||||**-**|||
||||||**-**|||
||||||**-**|||
||||||**-**|||
||||||**-**|||
|Signed by one or two trustees on<br>behalf of all the trustees|Signature||Print|Name|||Date of<br>approval|
|||||||||
|||||||||





CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's
report on the accounts
Section A
Independent Examiner's Report
Report lo the trusteesl
members of
The P8tt Village Hall
On accounts for the year
ended
31 Ma￿h 2020
Charity no
(if any)
1005693
Set out on pagas
1 and 2 of the attached receipts and payments account
I report to the trustees on my examination of Ihe accounts of the above
charity {"the Trust") for the year endèd 31 March 2020.
Responsibilities and As the charity trustees of the Trust, you are responsible for the preparation
basis of report of the accounts in accordance with the requirements of the Charities Act
2011 ("the Act").
I r8POrt in respecl of my examination of the Trust's accounts carried out
under section 145 of the 2011 Act and in &irying out my examination, I
have followed the applicable Directions given by the Charity Comrnission
under section 145(51{b} of the Act.
I have completed my examination. I confimi that no material matters hav8
come lo my attention in connection with the examination which gives me
cause to believe that in, any material respect..
accounting records were not kept in accordance with section 130 of
the Ad or
the accounts do not accord with the accounting records
Independont
oxamlner's statement
I have no concerns and have come across no other matters in connection
with the examination to which attention should be drawn in order to enable a
proper understanding of the accounts to be reached.
Slgned:
Dato:
Nama:
David G Ashby
Relevant professional
qualifi¢atlon(s) or body
{rf any}:
FCCA
Address:
Landgate Chambers
24 Landgate
Rye, TN317LJ
IER
October 2018

RECEIVED I NOV 2021
CHARITY COMMISSION
FOR ENGL4ND ANO WAiES
ThD PettMS* Hnll
11x15693
Receipts and payments accounts
CC16a
Forth0 Porfod
01-Aw-20
31.Mar.21
Tty
Section A Receipts and payments
Endowmg
fvnd¥
lund6
lund¥
Total fuftth
i•th• £ l•lh• Tr•Amte
tr*th•nwrn•tÉ
th•m•¥w£ 6)th•v￿￿••It
A1 R•c•lpts
[￿allOn
3272
3372
rnrnenlgrwrt
B•nklntsre41
DwhB
I￿741
23
21
Sub tot•l(Gmss income forARJ
A2 A68•t and Inw41m•nt $alM,
$••tabl•
sr4
673
27,978
6n
27,971
A3P*
m&nt8
rjeanl
r8￿d enw*alg
LbJhlaTrd hsat
kn6LY8nce
I￿4?
1235
4,151
X,075
210
210
1,189
525
Vsl
Sub totsi
l¥
A4A¥s•t •nd Snwstrnent
ur¢haw
¥99 t4blo
LED Lkjhti
kns*lql
47
197A
l.B97
Sub tolal
N•tof rne•lpts/{paymèntsJ
AS Transtsrs ￿tt¥••￿ fund
AO C••h fuhd$ htstygar gnd
Cash fund5 th15y••r•nd
41
25,967
25,967
40,132
35.475
Section B Statement of assets and liabilities at the end of the period
Unrostrlcted
RestriGtsd
fvnts
funds
s) r￿*r*￿È
Endowment
funds
Categom5
Detalls
to TrMrdSt£

B1 Cash fundg
112
sW￿derd￿O￿t
PAtyC4th
Totsleash filnds
40.132
R¢sthSetsd
funds
End4)wm•nt
fvnd$
frjnds
Oetai15
Cwr•nt¥alu
lonal
F￿￿ t•TNhkh
￿lu*
Dotalls
B4 A￿•ts i¥taln¢dforth•
charty• u80
Vlh•Trd
D•talls
BS Llablutleg
S*d by om
b8haWofa11 Ihe If￿Stee5
Dats of
Al
&BnabJr•
21
2940-21
lQfAats S'H14

RECEIVED I NOV 2021
CHARITY COMMISSION
FOR ENGL4ND ANO WAiES
ThD PettMS* Hnll
11x15693
Receipts and payments accounts
CC16a
Forth0 Porfod
01-Aw-20
31.Mar.21
Tty
Section A Receipts and payments
Endowmg
fvnd¥
lund6
lund¥
Total fuftth
i•th• £ l•lh• Tr•Amte
tr*th•nwrn•tÉ
th•m•¥w£ 6)th•v￿￿••It
A1 R•c•lpts
[￿allOn
3272
3372
rnrnenlgrwrt
B•nklntsre41
DwhB
I￿741
23
21
Sub tot•l(Gmss income forARJ
A2 A68•t and Inw41m•nt $alM,
$••tabl•
sr4
673
27,978
6n
27,971
A3P*
m&nt8
rjeanl
r8￿d enw*alg
LbJhlaTrd hsat
kn6LY8nce
I￿4?
1235
4,151
X,075
210
210
1,189
525
Vsl
Sub totsi
l¥
A4A¥s•t •nd Snwstrnent
ur¢haw
¥99 t4blo
LED Lkjhti
kns*lql
47
197A
l.B97
Sub tolal
N•tof rne•lpts/{paymèntsJ
AS Transtsrs ￿tt¥••￿ fund
AO C••h fuhd$ htstygar gnd
Cash fund5 th15y••r•nd
41
25,967
25,967
40,132
35.475
Section B Statement of assets and liabilities at the end of the period
Unrostrlcted
RestriGtsd
fvnts
funds
s) r￿*r*￿È
Endowment
funds
Categom5
Detalls
to TrMrdSt£

B1 Cash fundg
112
sW￿derd￿O￿t
PAtyC4th
Totsleash filnds
40.132
R¢sthSetsd
funds
End4)wm•nt
fvnd$
frjnds
Oetai15
Cwr•nt¥alu
lonal
F￿￿ t•TNhkh
￿lu*
Dotalls
B4 A￿•ts i¥taln¢dforth•
charty• u80
Vlh•Trd
D•talls
BS Llablutleg
S*d by om
b8haWofa11 Ihe If￿Stee5
Dats of
Al
&BnabJr•
21
2940-21
lQfAats S'H14