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2025-12-31-accounts

FINANCIAL STATEMENTS

FOR THE 11 MONTHS ENDED 31 DECMBER 2025

FOR

DRIFFIELD COMMUNITY CENTRE

DRIFFIELD COMMUNITY CENTRE

TRUSTEES’ ANNUAL REPORT FOR THE 11 MONTHS ENDED 31 DECEMBER 2025

Objectives & Activities

The Community Centre continued to provide community hall facilities to the residents of Driffield & the surrounding area throughout the period ended 31 December 2025.

Achievements & Performance

The period ended 31 December 2025 saw steady bookings & an improved financial position at the period end. This enabled further improvements & some overdue repairs to be carried out during the period.

Financial Review

During the period, the trustees resolved to change the financial reporting date to 31* December each year, so that future reports are for calendar years. Consequently, these financial statements represent an 11-month period from 1% February 2025 to 31%t December 2025.

The Centre achieved another surplus in the period being a welcome turnaround from recent years’ large deficits, managing to return another surplus.

The improved financial performance of the Centre should enable the future moderation of hire fees for the benefit of the community.

i ofthe trustees, Philip M Robson Dates 22ndSYR vccnssssnssnree

DRIFFIELD COMMUNITY CENTRE

Income & Expenditure Account - 31.12.25

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||||||||||| |---|---|---|---|---|---|---|---|---|---| |11m|to|31|Dec|2025|Year|to|31|Jan|2025| |£|£|£|£| |income| |Rental|income|35910|37258| |Interest|received|0|0| |_|oO|0| |35910|37258| |Expenditure| |Salaries|19688|22463| |Rates|&|water|1001|702| |Insurance|1220|1190| |Light|&|heat|3709|4826| |Telephone|&|Wi-Fi|1375|1307| |Stationery|&|consumables|390|334| |Sundries|873|1751| |Fire|equip &|testing|1127|0| |Payroll|fees|0|228| |Repairs|1833|558| |Bank|charges|114|136| |Depreciation|1288|1288| |32618|34783| |Net Surplus|/|- Loss|3292|2475|

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DRIFFIELD COMMUNITY CENTRE

Balance Sheet as at 31.12.25

31 Dec 2025 31 Jan 2025
£ £ £ £
Fixed Assets
Tangible assets 1771 3059
CurrentAssets
Current account 9492 4912
H & EY Credit Union 0 0
Yorkshire Building Society 15 15
Cash in hand 315 315
9822 5242
Current Liabilities
Creditors 0 0
ee CS oe 0
11593 8301
Represented by:
Opening balance at01.02.25 8301 5826
Net Surplus 3292 2475
11593 8301

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tTP M Robson Trustees
Date 1Jo--Lb
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Independent Examiner

| have examined the attached accounts from the records and explanations of Driffield Community Centre and can confirm that they are in accordance therewith.

P Stocker Manorfield Road Driffield ; East[Yorkshire] Ah bi.Date |)-L-2b