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2023-03-31-accounts

Trustees Annual Report 2022-2023

Thankfully this year has pretty much been business as usual. We have been lucky enough to have had some new groups start and they are flourishing. Our smallest room, the Fern room is regularly used by a private Physiotherapist which is a great extra income for us. We are still able to utilise the space when he is not on site and at weekends for other groups.

We continue to run Community groups such as Marchwood Tots and our Solid Silver club. This means we are accommodating all age groups and continuing to be a popular Community hub for everyone not just from Marchwood but from along the Waterside.

During the summer we were able to have the Maple hall completely redecorated and replaced the aged curtains. It has created a light, modern feel to the space and we are extremely pleased with the achievement. We hope to have the floor re-polished next year.

As always there are still things we wish to achieve and to combat the current high utility costs we hope to have solar panels installed in the near future, funding permitting. We have been fortunate that our gas and electricity costs have been fixed for three years so we are currently benefitting from that and did not need to tap into any Government support.

We would like to thank our Volunteer Comittee , Manager and Caretaker and our loyal Volunteers that all help to keep the building running smoothly.

FINANCIAL STATEMENTS FOR THE YEAR ENDED 31/03/2023

MARCHWOOD COMMUNITY ASSOCIATION

REGISTERED CHARITY NUMBER 1049276

PREPARED BY:

Lynda McIntyre FICB, PM Dip

LJM Bookkeeping Services

88 Woodley Lane

Romsey

Hampshire SO51 7HX

LIST OF CONTENTS

3 Trustee’s Report

4 Independent Examiners Report

5 Balance Sheet

6 Profit and Loss (Income and Expenditure)

7-8 Notes to the Financial Statements for the year ended 31 March

9 Statement of Financial Activities

2

Trustees Annual Report 2022-2023

Thankfully this year has pretty much been business as usual. We have been lucky enough to have had some new groups start and they are flourishing. Our smallest room, the Fern room is regularly used by a private Physiotherapist which is a great extra income for us. We are still able to utilize the space when he is not on site and at weekends for other groups.

We continue to run Community groups such as Marchwood Tots and our Solid Silver club. This means we are accommodating all age groups and continuing to be a popular Community hub for everyone not just from Marchwood but from along the Waterside.

During the summer we were able to have the Maple hall completely redecorated and replaced the aged curtains. It has created a light, modern feel to the space and we are extremely pleased with the achievement. We hope to have the floor re-polished next year.

As always there are still things we wish to achieve and to combat the current high utility costs we hope to have solar panels installed in the near future, funding permitting. We have been fortunate that our gas and electricity costs have been fixed for three years so we are currently benefitting from that and did not need to tap into any Government support.

We would like to thank our Volunteer Committee , Manager and Caretaker and our loyal Volunteers that all help to keep the building running smoothly.

3

MARCHWOOD COMMUNITY ASSOCIATION

INDEPENDENT EXAMINERS REPORT OF THE FINANCIAL STATEMENTS.

Report to the Trustees of Marchwood Community Associaton

(Marchwood) Village Hall)

I report on the accounts of the Trust for the year ended 31[st] March 2023, which are set out within the attached sheets.

Respectve Responsibilites of Trustees and Examiner.

The Charity’s Trustees are responsible for the preparation of the accounts. The Charity’s Trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is my responsibility to:

  1. Examine the accounts under section 145 of the 2011 Act.

  2. To follow procedures laid down in the general direction given by the Charity Commission under section 145(5)(b) of the 2011 Act; and

  3. To state whether particular matters have come to my attention.

Independent Examiners Report

My examination has been carried out in accordance with the general directions given by the Charity Commission. As the examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from key personnel concerning any matters which may have arisen. The procedures undertaken do not provide evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a true and fair view and the report is limited to those matters set out in the statement below.

This gives me reasonable cause to believe that in any material respect that the requirements to maintain accounting records in accordance with section 130 of the 2011 act, and to prepare accounts which accord with the accounting records and comply with the accounting requirements of the 2011 Act have now been met.

L J McIntyre - FICB, PM Dip

LJM Bookkeeping Services

4

MARCHW(Y)D COMMUNITY Ass￿lATIoN Balance s+￿et As at 31 Marth 2023 2023 11.85BI ).313 130.3131 11.8581 1.313 129.8521 625.329 1483.6021 Land ¥#J &•kJry• 1508.6161 116.713 142.188 Curr•nlAsMt 4.376 2.565 24 Pdty C••h 549 51.343 61.959 $6M70 Currnnl Lmlxltys 241.351 124.IXJII 116.2911 Nat 21.8271 I24.c￿lI I￿.038 201.0&9 luw rol￿ by fv trf)wd ol lJusieos ti￿1r bthall...................................-

MARCHWIJ)D COMMUNITY ASSCCIATION Profit And Loss Ac£ounl For the year ended 31 March 2023 2023 2022 Inc￿ Affi1￿kn F8es D8WJgt Interest Fem Rc￿rn 8nts R•cei¥ed krtero¥l Mtyple R(xxn. Hlr• FundraislNJ C•k Room. Hirg (Xher Inccffle Fkn8 Room. Room Hire 140 97 2.010 10.667 26.163 879 9.948 1.185 9.587 16.114 1.072 9.940 6,748 55,373 44.952 thertisw¥J Al•rrn System Atyjil and k¢LwnwKy CCTV Caniry and Computer Costs Don8lKffj8 and &Jb8cripbc Equipment R•pairn and R•n Ftre Equipmenl Fund RatsiNJ Costs MCA Gas & Ejecincity and Revenue- T•x oThJ Nl •ur&n 11021 1611 {1.5311 147SI {1.2061 1951 1911 15.8131 15731 1421 14.6591 14781 {2.3601 11701 18281 1118) 15431 18021 11991 {51 11021 19791 11.4071 71 16021 12.3391 16791 12681 15.3841 14461 12,1241 13971 tern•t L•gal 11,3381 19691 16871 12941 PensKX)S PoslAg• Prlnling Property Repaird Rubbish Cdlectvjn Sèlarie51Wage5 Nett Stationery Sundry T*aphLY Water Wrbte off? 12701 17,8251 15761 115.8691 1541 (s.7￿) 17601 122.9491 1161 1251 (5191 13711 13381 18981 151,7251 143,4791 1.473 Disalknw4ble Expense ￿￿ttI[e5 and Filbrwjs Dewwab 14611 125.0141 (4￿) 125.0141 25,475} 125,4741 N8t bjss 121,8271 124.0011

MARCHWOOD COMMUNITY ASSOCIATION

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2023.

The Financial Statements have been prepared in accordance with the requirements of the Statement of Recommended Practice for Charities, applicable accounting standards and the Charities Act 2011.

1. Accountng Conventon

The Financial Statements have been prepared under the historical cost convention.

2. Accountng Basis

The charities income and expenditure is included on the accruals basis, i.e. in the period in which income is receivable with reasonable certainty or a liability is incurred. Expenditure includes irrecoverable VAT

3. Fixed Assets

All saleable assets costing more than £150 are capitalised. Tangible moveable property purchased by the Trust is included in the Balance Sheet at cost less depreciation. The trust has an inalienable right over the Village Hall but not the land on which it stands. These assets have been capitalised in accordance with FRS15 together with the fixture and fittings provided with the building, and the professional fees paid by the Association in connection with the construction.

4. Depreciaton

Depreciation is provided at the annual rate calculated to write off the assets over their estimated useful life:

Fixtures, Fittings and Equipment 20%

Computer Equipment 33%

Leasehold Building – over the residue term of the lease.

5. Netng Of

As far as practically possible all fund raising income and expenditure is shown gross.

6. Designated Fund

The Trustees have designated the net book value of the Building and other Fixed Assets as a separate fund set aside for retention by the Charity in order to fulfil the Charities objects.

7

MARCHWOOD COMMUNITY ASSOCIATION

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2023

7. Pension Costs

The company operates a defined contribution pension scheme. Contributions are charged to the profit and loss account as they become payable in accordance with the rules of the scheme.

8. Turnover

Turnover represents the invoiced value of goods and services supplied by the company, net of value added tax and trade discounts.

and trade discounts.
9.
Pension Contributons
2023 2022
Pension Contributons £802 £687
10. Tangible Fixed Assets
Long Leasehold Fixtures Equipment Total Cost
Propertes & Fitngs £
£ £ £
AT 31.03.2019 625329
30313 1858 657500
Depreciaton As 31.3.19 408560 28472 1858 438890
Depreciaton to 31.3.20 25014 460 - 25474
Depreciaton to 31.3.21 25014 460 - 25474
Depreciaton to 31.3 22 25014 460 24574
Depreciaton to 31.3.23 25014 461 24575
NETT BOOK AMOUNTS
AS AT 31.03.2023
116713 - - 116713
11. Debtors and Prepayments 2023 2022
£ £
Debtors and Prepayments 3515 3114
Falling due within one year
12. Creditors and Accruals
Creditors and Accruals 1364 0

8

Falling due within one year

STATEMENT OF FINANCIAL ACTIVITIES

FOR THE YEAR ENDED 31.03.2023

2023 2022
Unrestricted Restricted Total
Funds Funds
£ £ £
Incoming Resources
Incoming resources generated from
Funds and Charitable Actvites 55373 44952
Outgoing Resources
Outgoing resources from Funds and
Charitable Actvites (77200) (68953)
NetIncome/Loss for the year (21827) (24001)
Total Funds Brought Forward 225864 241351
NetProft/Loss (21827) (24001)
Previous Year Proft (24001) (16291)
Total Funds to be Carried Forward 180036
201059

9

FINANCIAL STATEMENTS FOR THE YEAR ENDED 31/03/2023

MARCHWOOD COMMUNITY ASSOCIATION

REGISTERED CHARITY NUMBER 1049276

PREPARED BY:

Lynda McIntyre FICB, PM Dip

LJM Bookkeeping Services

88 Woodley Lane

Romsey

Hampshire SO51 7HX

LIST OF CONTENTS

3 Trustee’s Report

4 Independent Examiners Report

5 Balance Sheet

6 Profit and Loss (Income and Expenditure)

7-8 Notes to the Financial Statements for the year ended 31 March

9 Statement of Financial Activities

2

Trustees Annual Report 2022-2023

Thankfully this year has pretty much been business as usual. We have been lucky enough to have had some new groups start and they are flourishing. Our smallest room, the Fern room is regularly used by a private Physiotherapist which is a great extra income for us. We are still able to utilize the space when he is not on site and at weekends for other groups.

We continue to run Community groups such as Marchwood Tots and our Solid Silver club. This means we are accommodating all age groups and continuing to be a popular Community hub for everyone not just from Marchwood but from along the Waterside.

During the summer we were able to have the Maple hall completely redecorated and replaced the aged curtains. It has created a light, modern feel to the space and we are extremely pleased with the achievement. We hope to have the floor re-polished next year.

As always there are still things we wish to achieve and to combat the current high utility costs we hope to have solar panels installed in the near future, funding permitting. We have been fortunate that our gas and electricity costs have been fixed for three years so we are currently benefitting from that and did not need to tap into any Government support.

We would like to thank our Volunteer Committee , Manager and Caretaker and our loyal Volunteers that all help to keep the building running smoothly.

3

MARCHWOOD COMMUNITY ASSOCIATION

INDEPENDENT EXAMINERS REPORT OF THE FINANCIAL STATEMENTS.

Report to the Trustees of Marchwood Community Associaton

(Marchwood) Village Hall)

I report on the accounts of the Trust for the year ended 31[st] March 2023, which are set out within the attached sheets.

Respectve Responsibilites of Trustees and Examiner.

The Charity’s Trustees are responsible for the preparation of the accounts. The Charity’s Trustees consider that an audit is not required for this year under section 144(2) of the Charities Act 2011 (the 2011 Act) and that an independent examination is needed.

It is my responsibility to:

  1. Examine the accounts under section 145 of the 2011 Act.

  2. To follow procedures laid down in the general direction given by the Charity Commission under section 145(5)(b) of the 2011 Act; and

  3. To state whether particular matters have come to my attention.

Independent Examiners Report

My examination has been carried out in accordance with the general directions given by the Charity Commission. As the examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from key personnel concerning any matters which may have arisen. The procedures undertaken do not provide evidence that would be required in an audit and consequently no opinion is given as to whether the accounts present a true and fair view and the report is limited to those matters set out in the statement below.

This gives me reasonable cause to believe that in any material respect that the requirements to maintain accounting records in accordance with section 130 of the 2011 act, and to prepare accounts which accord with the accounting records and comply with the accounting requirements of the 2011 Act have now been met.

L J McIntyre - FICB, PM Dip

LJM Bookkeeping Services

4

MARCHW(Y)D COMMUNITY Ass￿lATIoN Balance s+￿et As at 31 Marth 2023 2023 11.85BI ).313 130.3131 11.8581 1.313 129.8521 625.329 1483.6021 Land ¥#J &•kJry• 1508.6161 116.713 142.188 Curr•nlAsMt 4.376 2.565 24 Pdty C••h 549 51.343 61.959 $6M70 Currnnl Lmlxltys 241.351 124.IXJII 116.2911 Nat 21.8271 I24.c￿lI I￿.038 201.0&9 luw rol￿ by fv trf)wd ol lJusieos ti￿1r bthall...................................-

MARCHWIJ)D COMMUNITY ASSCCIATION Profit And Loss Ac£ounl For the year ended 31 March 2023 2023 2022 Inc￿ Affi1￿kn F8es D8WJgt Interest Fem Rc￿rn 8nts R•cei¥ed krtero¥l Mtyple R(xxn. Hlr• FundraislNJ C•k Room. Hirg (Xher Inccffle Fkn8 Room. Room Hire 140 97 2.010 10.667 26.163 879 9.948 1.185 9.587 16.114 1.072 9.940 6,748 55,373 44.952 thertisw¥J Al•rrn System Atyjil and k¢LwnwKy CCTV Caniry and Computer Costs Don8lKffj8 and &Jb8cripbc Equipment R•pairn and R•n Ftre Equipmenl Fund RatsiNJ Costs MCA Gas & Ejecincity and Revenue- T•x oThJ Nl •ur&n 11021 1611 {1.5311 147SI {1.2061 1951 1911 15.8131 15731 1421 14.6591 14781 {2.3601 11701 18281 1118) 15431 18021 11991 {51 11021 19791 11.4071 71 16021 12.3391 16791 12681 15.3841 14461 12,1241 13971 tern•t L•gal 11,3381 19691 16871 12941 PensKX)S PoslAg• Prlnling Property Repaird Rubbish Cdlectvjn Sèlarie51Wage5 Nett Stationery Sundry T*aphLY Water Wrbte off? 12701 17,8251 15761 115.8691 1541 (s.7￿) 17601 122.9491 1161 1251 (5191 13711 13381 18981 151,7251 143,4791 1.473 Disalknw4ble Expense ￿￿ttI[e5 and Filbrwjs Dewwab 14611 125.0141 (4￿) 125.0141 25,475} 125,4741 N8t bjss 121,8271 124.0011

MARCHWOOD COMMUNITY ASSOCIATION

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2023.

The Financial Statements have been prepared in accordance with the requirements of the Statement of Recommended Practice for Charities, applicable accounting standards and the Charities Act 2011.

1. Accountng Conventon

The Financial Statements have been prepared under the historical cost convention.

2. Accountng Basis

The charities income and expenditure is included on the accruals basis, i.e. in the period in which income is receivable with reasonable certainty or a liability is incurred. Expenditure includes irrecoverable VAT

3. Fixed Assets

All saleable assets costing more than £150 are capitalised. Tangible moveable property purchased by the Trust is included in the Balance Sheet at cost less depreciation. The trust has an inalienable right over the Village Hall but not the land on which it stands. These assets have been capitalised in accordance with FRS15 together with the fixture and fittings provided with the building, and the professional fees paid by the Association in connection with the construction.

4. Depreciaton

Depreciation is provided at the annual rate calculated to write off the assets over their estimated useful life:

Fixtures, Fittings and Equipment 20%

Computer Equipment 33%

Leasehold Building – over the residue term of the lease.

5. Netng Of

As far as practically possible all fund raising income and expenditure is shown gross.

6. Designated Fund

The Trustees have designated the net book value of the Building and other Fixed Assets as a separate fund set aside for retention by the Charity in order to fulfil the Charities objects.

7

MARCHWOOD COMMUNITY ASSOCIATION

NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2023

7. Pension Costs

The company operates a defined contribution pension scheme. Contributions are charged to the profit and loss account as they become payable in accordance with the rules of the scheme.

8. Turnover

Turnover represents the invoiced value of goods and services supplied by the company, net of value added tax and trade discounts.

and trade discounts.
9.
Pension Contributons
2023 2022
Pension Contributons £802 £687
10. Tangible Fixed Assets
Long Leasehold Fixtures Equipment Total Cost
Propertes & Fitngs £
£ £ £
AT 31.03.2019 625329
30313 1858 657500
Depreciaton As 31.3.19 408560 28472 1858 438890
Depreciaton to 31.3.20 25014 460 - 25474
Depreciaton to 31.3.21 25014 460 - 25474
Depreciaton to 31.3 22 25014 460 24574
Depreciaton to 31.3.23 25014 461 24575
NETT BOOK AMOUNTS
AS AT 31.03.2023
116713 - - 116713
11. Debtors and Prepayments 2023 2022
£ £
Debtors and Prepayments 3515 3114
Falling due within one year
12. Creditors and Accruals
Creditors and Accruals 1364 0

8

Falling due within one year

STATEMENT OF FINANCIAL ACTIVITIES

FOR THE YEAR ENDED 31.03.2023

2023 2022
Unrestricted Restricted Total
Funds Funds
£ £ £
Incoming Resources
Incoming resources generated from
Funds and Charitable Actvites 55373 44952
Outgoing Resources
Outgoing resources from Funds and
Charitable Actvites (77200) (68953)
NetIncome/Loss for the year (21827) (24001)
Total Funds Brought Forward 225864 241351
NetProft/Loss (21827) (24001)
Previous Year Proft (24001) (16291)
Total Funds to be Carried Forward 180036
201059

9