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2022-03-31-accounts

High Halstow Village Hall 2021/22 Chairmans Report

Sadly, this will be that year that Crystal Wakefield will be a Committee Member on the Hall Committee. I know Crystal was on the Committee well before I joined, had left, and then came back so not sure overall how many years it has been in the various roles you have covered. I would like to thank Crystal though for her support over that time not only to the committee but to me personally to me as valued her input. I can only wish her well and say that she will be sorely missed.

Following the last two years of COVID it has been good to see the hall coming back into use although hiring levels not quite where they were pre pandemic. I know the ABC Badminton Club did not return but would like to thank them for their support being one of the main users of the Hall prior to the refurbishment when the hall was at its worst state and very few people used the Hall.

In terms of maintenance over the past year we saw the Green Room repainted superbly by Graham Collins, the window vents in the main Hall repaired as well as the troublesome main door fixed at last. There was a change to this report as Ray has just fitted the new Notice Board on the outside of the Hall which will be used to promote events the Hall will be putting on as well as promoting the regular hirers that use this Hall

As a committee, we are looking now at bring back some fund-raising events so please keep an eye out in the HHT for these

As always there are several people to thank as these people ensure that the Village has a Hall it can use as well as be proud of

Once again, many thanks must go to the users of the Hall be it a regular or one-

off users as without you there would be no Hall

Thank you all

Gary Thomas High Halstow Village Hall Chairman

Financial Statements

For The Years Ended

31st March 2022

for

High Halstow Village Hall

High Halstow Recreation Hall

Contents of the Financial Statements for the Year Ended 31st March 2022

Page
General Account Profit & Loss 2
HUGH Fund Profit & Loss 3
Balance Sheet 4
Notes 5

High Halstow Recreation Hall

Profit & Loss Account

For the Year Ended 31st March 2022

Income
Grants
Lettings
Hire of Projector
Donation
Interest
Miscellaneous Income
Events
Ad Hoc Sales
Contribution from HUGH Account
J Cocksedge
04/09/2021
D Welch
10/09/2021
T Meredith
01/10/2021
Expenditure
Wages
Repairs to Property
Equipment
Business Rates
Insurance
Water Rates
Electricity
Broadband
Electrical Testing
Cleaning Expenses
Postage & Stationery
Performing Rights
Donation
Sundry Expenses
Interest
Stock Write Off
Contribution to HUGH Fund
The Redfords
Excess Expenditure Over Income
Excess Income Over Expenditure
Depreciation
Fixture & Fittings
Net Surplus/(Deficit)
£
£
10,000.00
5,208.00
0.00
0.00
0.00
0.00
15,208.00
2,450.00
8.99
0.00
0.00
1,780.76
264.39
2,466.17
545.88
0.00
0.00
0.00
93.60
0.00
284.59
9.96
5,000.04
12,904.38
0.00
2,303.62
52.00
£2,251.62
2020/21
£
£
14,763.00
12,605.00
20.00
1.50
0.00
0.00
0.00
0.00
454.36
131.50
193.62
28,168.98
2,460.00
5,222.75
0.00
146.37
1,961.50
135.39
3,109.87
570.76
630.00
84.41
0.00
48.26
0.00
325.31
9.96
166.54
5,000.04
561.00
20,432.16
0.00
7,736.82
47.00
£7,689.82
2021/22

High Halstow Recreation Hall

HUGH Fund Profit & Loss Account For the Year Ended 31st March 2022

Income
Interest
Donations
Contribution from General Accounts
Total Income
Excess (Expenditure)/Income Over Expenditure
Depreciation
Refurbishment Phase One
Refurbishment Phase Two
Refurbishment Phase Three
Refurbishment Phase Four
Refurbishment Phase Five
Refurbishment Phase Six
Refurbishment Phase Seven
Refurbishment Phase Eight
Net Surplus/(Deficit)
£
£
0.00
0.00
5,000.04
5,000.04
5,000.04
5,000.04
3,238.59
2,824.70
548.08
1,549.13
442.80
307.50
110.99
219.48
9,241.27
-£4,241.23
2020/21
£
£
0.00
0.00
5,000.04
5,000.04
5,000.04
5,000.04
3,238.59
2,824.70
548.08
1,549.13
442.80
307.50
110.99
219.48
9,241.27
-£4,241.23
2021/22

High Halstow Recreation Hall

Balance Sheet

31st March 2022

Notes
FIXED ASSETS
Tangible Assets
1.00
CURRENT ASSETS
Debtors
Bank Account
Cash In Hand
Payments In Advance
Stock Account
CURRENT LIABILITIES
Creditors
Deposit Paid
Short Term Loan
Lettings in Advance
LONG TERM LIABILITY
10 Year Loan
TOTAL
FINANCED BY:
ACCUMULATED FUNDS
General Hall Fund Brought Forward
Surplus/(Deficit) For The Year
Total
HUGH Fund Brought Forward
Surplus/(Deficit) For The Year
Total
GRAND TOTAL
£
£
113274.96
90.00
5748.36
-252.94
1137.26
578.96
7301.64
680.00
0.00
0.00
0.00
680.00
6621.64
15833.06
15833.06
104063.54
4839.02
2251.62
7090.64
101214.13
-4241.23
96972.90
104063.54
2020/21
£
£
103986.69
610.00
11510.16
682.58
1221.34
789.38
14813.46
0.00
100.00
0.00
355.00
455.00
14358.46
10833.02
10833.02
107512.13
7090.64
7689.82
14780.46
96972.90
-4241.23
92731.67
107512.13
2021/22

Auditor

………………………………….. J Munday CTA 18 August 2022

Financial Statements

For The Years Ended

31st March 2022

for

High Halstow Village Hall

High Halstow Recreation Hall

Contents of the Financial Statements for the Year Ended 31st March 2022

Page
General Account Profit & Loss 2
HUGH Fund Profit & Loss 3
Balance Sheet 4
Notes 5

High Halstow Recreation Hall

Profit & Loss Account

For the Year Ended 31st March 2022

Income
Grants
Lettings
Hire of Projector
Donation
Interest
Miscellaneous Income
Events
Ad Hoc Sales
Contribution from HUGH Account
J Cocksedge
04/09/2021
D Welch
10/09/2021
T Meredith
01/10/2021
Expenditure
Wages
Repairs to Property
Equipment
Business Rates
Insurance
Water Rates
Electricity
Broadband
Electrical Testing
Cleaning Expenses
Postage & Stationery
Performing Rights
Donation
Sundry Expenses
Interest
Stock Write Off
Contribution to HUGH Fund
The Redfords
Excess Expenditure Over Income
Excess Income Over Expenditure
Depreciation
Fixture & Fittings
Net Surplus/(Deficit)
£
£
10,000.00
5,208.00
0.00
0.00
0.00
0.00
15,208.00
2,450.00
8.99
0.00
0.00
1,780.76
264.39
2,466.17
545.88
0.00
0.00
0.00
93.60
0.00
284.59
9.96
5,000.04
12,904.38
0.00
2,303.62
52.00
£2,251.62
2020/21
£
£
14,763.00
12,605.00
20.00
1.50
0.00
0.00
0.00
0.00
454.36
131.50
193.62
28,168.98
2,460.00
5,222.75
0.00
146.37
1,961.50
135.39
3,109.87
570.76
630.00
84.41
0.00
48.26
0.00
325.31
9.96
166.54
5,000.04
561.00
20,432.16
0.00
7,736.82
47.00
£7,689.82
2021/22

High Halstow Recreation Hall

HUGH Fund Profit & Loss Account For the Year Ended 31st March 2022

Income
Interest
Donations
Contribution from General Accounts
Total Income
Excess (Expenditure)/Income Over Expenditure
Depreciation
Refurbishment Phase One
Refurbishment Phase Two
Refurbishment Phase Three
Refurbishment Phase Four
Refurbishment Phase Five
Refurbishment Phase Six
Refurbishment Phase Seven
Refurbishment Phase Eight
Net Surplus/(Deficit)
£
£
0.00
0.00
5,000.04
5,000.04
5,000.04
5,000.04
3,238.59
2,824.70
548.08
1,549.13
442.80
307.50
110.99
219.48
9,241.27
-£4,241.23
2020/21
£
£
0.00
0.00
5,000.04
5,000.04
5,000.04
5,000.04
3,238.59
2,824.70
548.08
1,549.13
442.80
307.50
110.99
219.48
9,241.27
-£4,241.23
2021/22

High Halstow Recreation Hall

Balance Sheet

31st March 2022

Notes
FIXED ASSETS
Tangible Assets
1.00
CURRENT ASSETS
Debtors
Bank Account
Cash In Hand
Payments In Advance
Stock Account
CURRENT LIABILITIES
Creditors
Deposit Paid
Short Term Loan
Lettings in Advance
LONG TERM LIABILITY
10 Year Loan
TOTAL
FINANCED BY:
ACCUMULATED FUNDS
General Hall Fund Brought Forward
Surplus/(Deficit) For The Year
Total
HUGH Fund Brought Forward
Surplus/(Deficit) For The Year
Total
GRAND TOTAL
£
£
113274.96
90.00
5748.36
-252.94
1137.26
578.96
7301.64
680.00
0.00
0.00
0.00
680.00
6621.64
15833.06
15833.06
104063.54
4839.02
2251.62
7090.64
101214.13
-4241.23
96972.90
104063.54
2020/21
£
£
103986.69
610.00
11510.16
682.58
1221.34
789.38
14813.46
0.00
100.00
0.00
355.00
455.00
14358.46
10833.02
10833.02
107512.13
7090.64
7689.82
14780.46
96972.90
-4241.23
92731.67
107512.13
2021/22

Auditor

………………………………….. J Munday CTA 18 August 2022