Heald Green Village Hall
Community Association
Annual Report For the Year to 31 March 2023
Heald Green Village Hall, Outwood Road, Heald Green, Cheadle, Cheshire SK8 3LU
(Charity Number 1057143)
Officers of Heald Green Village Hall Community Association
Trustees
Mr D Aldridge Mrs Anne Swinglehurst Mr Alan Swinglehurst Mrs Olwyn Howarth
Management Committee
Chairman Mrs Anne Swinglehurst Vice ChairwomenMrs Muriel Johnstone Secretary Mr Alan Swinglehurst Treasurer Mrs Beryl A Connor Members Mr & Mrs D Aldridge Mr & Mrs E Aston Mrs O Howarth Mrs M Johnstone Mr and Mrs A Swinglehurst Mrs B Bunting Mrs Cynthia Mellish
- Employees (Part time)
Treasurer Mrs Beryl Connor Booking Secretary Ms June O'Neil Weekend cleaner Mrs Linda Heslop Caretaker Mr Jim Heslop
Independent Examiner of Accounts
Mr Alan R Hampson, FACPA Hampson & Company Accountants & Taxation Advisors 35 Hall Pool Drive St Johns Wood Offerton Stockport SK2 5ED
Introduction
The Heald Green Village Hall Community Association was formed in April 1996 to manage The Heald Green Village Hall as a community asset under a memorandum of understanding between Stockport Metropolitan Borough Council (the owners of the Village Hall premises) and the Association's Trustees. The Council has responsibility for the fabric of the premises whereas in all other respects the Association has the freedom to manage the operation of the Hall.
This report covers the financial year ending 31 March 2023. It lists the Association's Trustees, provides a statement as to the governance of the Association, states the objectives of the Association and outlines the function of a management committee that oversees the day-to-day operation of the Hall on behalf of the Trustees. Also, the report provides a financial review, gives details of achievements in the year and lists projected improvements to the ambience of the Hall.
Objective of the Association
The objective of the Association is to provide a first class venue for the activities of local community groups and for family social functions. Additionally, when not otherwise required for use by the local community the premises are hired out to out-of-area, commercial and noncommercial groups. There is a wide spread of activity in the Hall ranging from group meetings, community activity, training classes and social events.
Governance
Law that is applicable to charities requires that Trustees prepare statements each financial year that give a true and fair view of the Charity's financial activities in the year under report and its financial position at year end. Accordingly, the Trustees:
Select an appropriate accounting policy and monitor its application and provide a statement as to whether or not required accounting standards have been met. The Association uses ' Quickbooks ' software for its accounts and, being a 'small charity', its year-end accounts are independently examined.
Prepare a financial statement on the assumption that the Charity will continue to operate.
Make prudent judgements that ensure solvency within a framework of realising a level of income that generates sufficient capital for improvements in the ambience of the Hall. Income is derived solely
from hire fees, the level of which is set by the Trustees - a tiered system that gives incentive to local community users, with discounted rates for Charity use and with higher rate for commercial groups.
Safeguard the assets of the Association.
Set a 'reserves' policy that at all times maintains minimum unreserved funds to meet 6 months of operations.
The Association does not undertake fundraising activity.
1.
Management of the Hall
A management committee, chaired by one of the Committee members, oversees day-to-day management of the Hall. The committee, comprising 10 volunteers from the local community, meets 11 times a year. The Trustees are indebted to the altruism of this small group of volunteers who undertake weekend 'duty manager' duties.
Additionally, Mr Alan Hampson was appointed to be Examiner of the Association’s Accounts in April 2010 and was voted to continue.
The fabric of the Hall is maintained by Stockport MBC (Community Services Division). The Council provide staff for weekday cleaning of the premises and pays the cost of heating and lighting the Hall - 50% of these costs is then invoiced to and paid by the Association. In all other respects the Trustees have responsibility under the Memorandum of Understanding with the Council.
The Association has four part-time, paid employees:
Treasurer.
On behalf of the Association the Treasurer manages the Accounts on the computer using Quickbooks, maintaining the Bank Accounts and Deposits, ensuring invoices are paid and making payments to suppliers. Producing end of year Accounts, ensuring the Annual Returns of both the Charity Commission and Inland Revenue are accurate and complete and assisting non-profit making regular hirers of the Hall to obtain local Community Grants to assist them financially. During any improvement programme we undertake she becomes heavily involved with the costing and quotation process ensuring that “best value” is achieved on behalf of the Committee and assists with security matters when called upon.
Booking Secretary .
On behalf of the Management Committee the Booking Secretary manages requests for hire, prepares invoices, issues booking agreement forms and produces the weekly programme of hire.
Part time Cleaner .
Covers cleaning of the Hall at weekends.
Part time Caretaker.
Covers weekday evening locking of security doors, ensuring property is without problems and checking lighting is off as necessary. The caretaker has also been trained on the Fire Alarm and Burglar Alarm system and has been provided with a mobile phone for undertaking weekly fire checks with the control station.
Users of the Hall
Thirty two groups are 'regular users' of the Hall and they cover a wide range of activities. For example:
| Flight Club meetings | Line Dancing |
|---|---|
| Medal Society | Bollywood Dancing |
| Contact bridge | Probex and Ladies Probex (the Probus |
| movement) | |
| Dog Training Club | Art classes |
| Flower arranging | Tailoring Group |
| Tango Dance Groups | Heald Green Hub (drop in centre) |
| Zumba Classes | Keep ft Class/Clinical Pilates |
| Signpost Carers | Craft Classes/DIY |
| Sewing Classes |
Ballroom Dancing |
| Saxaphone Groups | Bridge Club |
| Tai Chi | Salsasize Dancing |
| Karate | U3A Group Meetings |
We are noticing the increase in “well being” groups becoming more being popular since the return to “normal day to day living” the Clinical Pilates and Tai Chi classes are well subscribed as well as an increase in Salsazise and Bollywood classes. In addition 'casual' users hire the Hall: for meetings, Councillor's surgeries, Polling Station requirements, Stockport MBC-sponsored community care activities, NHS Diabetic meetings, Heald Green Annual Festival, and by a small number of commercial organisations. Unfortunately we no longer offer childrens
parties due to lack of volunteers as mentioned, but we are fortunate to have a thriving regular user community.
Friends of Heald Green Village Hall
During the last year we have been fortunate enough to hold the Christmas Carol Concert which is organised by the Friends of the Heald Community Hall this event has always been popular with the local residents and proved to be very successful. A further concert has been organised for the 2023 Concert in December. Proceeds from these event are to be used to fund replacement of Hall equipment and re-decoration. The Friends account is embedded in the Association's accounts.
Financial Review
The Association's 'audited' accounts for the year to 31 March 2023 were approved at the Annual General Meeting on 20th June 2023. A copy of the balance sheet and the statement of the Independent Examiner are appended to this Annual Report; the Accounts are indicative of a financially sound Charity. Unfortunately due to the rise in Gas and Electricity the results of this year closed with expenditure over income of some £4,244 being attained during 2022/23. The Associations Accounts accorded with Charity Commission rules.
The Trustees “Reserves” policy is to hold sufficient funds to meet 6 months operations and to upgrade facilities as identified below under the heading Projected Improvements. At our year end, sufficient funding was in place to match our current projections.
3.
Achievements
We still continue to attract local residents to be involved in social activities. Following the end of lockdown groups were slow in returning – certain age groups were naturally concerned for their health and several groups did not return until the New Year 2022 therefore income suffered. However we have recently gained some new groups which are proving very popular and we hope this will continue. Maintenance of the building has always been fully met by the continued loyalty of all Committee members. We would reaffirm that it is still our aim to further encourage local residents to become active members of the Committee and continue to encourage volunteers to assist in the running of the Hall although this is proving harder each year to gain new volunteers. Over the last year we have lost two further long standing members of the Committee and two members due to their ill health have had restricted involvement but have remained as members. We attempted to advertise for a person to undertake weekend security to enable us to continue to
hold children’s parties which justifies the local need for youngsters to be accommodated for celebrations but this has proved unsuccessful therefore we have suspended further bookings until we can find someone suitable to undertake this duty.
Projected Improvements
The Management Committee identified the following project work for 2022/23 and beyond :
The metal gates we installed have proved extremely efficient but identified a need to improve/update our CCTV security system – anticipated cost £2,500 General decorating to ensure standards maintained £2,000 Investment in Airmax filtration system to assist with bacteria £3,000
Review of Practices and Procedures
A review of practices and procedures was initiated late in the reporting year, the aim of which is to ensure that the Association meets its legal obligations and that practices and procedures mirror best practice. Areas under review are:
Equal Opportunities Fire Evacuation practices and procedures Health & Safety Data Protection Customer Service Disciplinary and grievance
A review was completed and revised procedures were put in place by 1[st] June 2023
Conclusion
In accordance with its charter, the Association has continued to provide an excellent community facility that has been well utilised. A committee of eleven, dedicated volunteers effectively managed the Hall on behalf of the Trustees and their unstinting support was seminal to the continued success of the enterprise. The Association's Accounts indicate a financially sound charity, there being sufficient funds to cover projected improvements.
Mrs Anne Swinglehurst Chairman of the Hall Committee On behalf of the Trustees 20[th] July 2023
Attachments:
Independent Examiner's Report on Accounts for the Year Ending 31 March 2023.
Balance Sheet at 31 March 2023. Notes to the Accounts 4.
Independent Examiner’s Report to the Trustees of Heald Green Village Hall association
I report on the Accounts of the Trust for the year ended 31 March 2023 which are set out in the pages of the attached documentation.
Respective responsibilities of the Trustees and the Examiner
As the Trustees you are responsible for the preparation of the Accounts; you consider that the Audit requirement of Section 43(2) of the Charities Act 1993 (as amended by later legislation) - The Act - does not apply. It is my responsibility to state, on the basis of the procedures specified in General Directions given by the Charity Commissioners under Section 43(7)(b) of The Act , whether particular matters have come to my attention.
Basis of the Independent Examiner’s Report
My examinations were carried out in accordance with the General Directions given by the Charity Commissioners. An examination includes a review of the account 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 you as Trustees concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit and consequently I do not express an Audit opinion on the view given by the Accounts.
Independent Examiner’s Statement
In connection with my Examinations no matter has come to my attention:
(1) Which gives me reasonable cause to believe that, in any material respect:
- The requirements to keep accounting records in accordance with Section 41 of The Act
To prepare accounts which accord with Accounting Records and to comply with
the Accounting Requirements of The Act .
have not been met.
(2) Which, in my opinion, attention should be drawn in order to obtain a proper understanding of the Accounts to be reached.
Original signed by
Mr Alan R Hampson FACPA Hampson & Company 35 Hall Pool Drive St Johns Wood Offerton Stockport SK2 5ED
Notes to Accounts for Year to 31st March 2022
1. The Charity is treated for accounting purposes as a “small” charity in accordance with paragraph 3 of SORP.
2. Tangible fixed assets:-
| Cost At start of year Add acquisitions Less disposals Value at cost Depreciation At start of year Disposal adjustment Depreciation in year Valuation Valuation at start of year Additions less disposals Depreciation in year Current value |
31 Mar 23 31 Mar 22 (£) (£) 26,411 26,411 0 0 0 0 26,411 26,411 25,722 25,550 - - 138 172 25,860 25,722 689 861 0 0 - 138 -172 551 689 |
|---|---|
3. Ex-gratia payments. – none
4. Restricted Funds. The Association does not have “restricted” funds
Balance Sheet as at 31 March 2022
| ASSETS Fixed Assets Furniture & Fixtures Ofce Equipment Total Fixed Assets 551 Other Assets Prepayments Total Other Assets 271 Accounts Receivable Accounts Receivable (debtors) Total Accounts Receivable Current savings Association Current Account Friends Current Account Total Total Current Assets 98,066 Total Assets 98,066 Less Current Liabilities Accruals Hire Deposits Total Other Current Liabilities Total Current Liabilities 3,448 NET ASSETS 96,070 Equity Funds at start of period Excess of income over expenditure |
2023 £ £ 343 208 551 271 271 630 630 90,026 8.040 98,066 3,198 250 3,448 99,733 (3663) 96,070 |
|---|---|