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2025-09-30-accounts

Lady Emily Hall Chairman’s Annual Report 2024 - 2025

Introduction

This past year has presented both challenges and opportunities for our village hall. Early in the year, we conducted a survey of parish residents to gather their views on the village hall and its activities. Unfortunately, the response rate was rather disappointing, with only around twenty replies received. Nevertheless, those few responses did provide us with some food for thought and highlighted areas where we might improve or adapt our offerings to better meet the needs of the community.

I am pleased to provide an overview of our activities, improvements, and the ongoing efforts to ensure the hall remains a valuable asset to our community.

Committee and Volunteers

The hall is supported and managed by a team of volunteers some of whom are also Trustees of the Lady Emily Hall. The current trustees and committee are: Ian Roper - Chairman Graham Jones - Treasurer Hugh MacDonald - Secretary John Tallis John Hopkins Jan Pierce Liz Robinson Celia Winters Robert Hodges

Trustees are appointed at the AGM. Volunteers assist during the year, and may be co-opted to the Hall committee by the Trustees.

Hall Activities

We have observed a decline in the number of our regular users over recent years. Income generated from the hire of hall facilities has decreased by approximately £1700 compared to the previous year. Between January and December, we recorded a total of 408 bookings, down from 441 in the same period last year.

Investment in the Future

Despite these challenges, significant investments have been made to improve our facilities:

Finances

With reference to the Accounts Summary for 2024 – 2025, some explanation as follows:

7) The difference between the total account balances at the start and end of the 2024-25 financial year (£11,460 deficit) is also very similar to the total costs of the items in point 7) above and the extra expenditure related to the Lottery Grant (£3,393).

In conclusion, it would seem that the Hall income and routine running costs are approximately equal. Any costs for significant repairs and other major items of expenditure would probably have to be met from the savings accounts or grants.

Challenges

Looking ahead, several key challenges must be addressed if we are to remain in good financial balance, and improve the use of the Hall facilities amongst our regular and casual “customerbase” in the face of increased competition with by venues in the area:

Acknowledgements

This has been my first year in the role of Chairman and I am immensely grateful to my predecessor, John Tallis and all committee members for their support and commitment throughout the year.

Thanks are extended to the Parish Council for their recent financial contribution and to the National Lottery “Awards for All” scheme for their funding, which has enabled us to carry out essential renovations.

Ian Roper Chairman of Trustees

Lad¥ EmilyCcmmunit¥ Hall Aicounts Summary for 2024-25 1611112025 Recelpis PayThents 2024-25 £4,911.99 £2,710.75 £930 72 £1.228.82 £39.22 2023-24 1024-25 É4,358.44 EI,510.55 £1.4.Jl J2 £1.420.02 11.01,8 8J É3,093.38 £3,1.,g as £349.36 £1,2,. 533 43 2023-24 Hall Hire.. Regular Hall Hire.- Ad-hoc Flicksllilm Club Net Fund-Ra151ng Events Net Other Income £2. /.12.i( £645.3.' E2.512.3, £1.97 7¢ Insurance Safety inspec￿OnS Seaning round maintenant Licen5es Ipc Grant ref. insurènce £O.OD E852.01.' EssenDal hall maintenance Eqvipmpnt Repair Building Maintenance Equipment Replacement External Facility Upkeep Unclassified Spend 360.73 E464.40 294.LKI f3.U-, £5.687.36 £1. £1,098.59 E161.94 PC Grani ief. mainienance Bank Iniefest Donations Grants Received £O.C)D £415.09 É1,028.78 £19,972.00 £1.5)4 (N 1370 7,. £2,0210'. £o.IX rant Related Costs 23,365.42 Total Income Exce55 of Inc. over Exp. £31.237.37 -£11.460.25 otal Expenditure 42,697.62 15.0. Excluding Grants Income and Expenditu otal Incorne Exce55 of Inc. over Exp. £11,265.37 E16.498.O&Total ExpÈnditure -£8,066.83 F.ll.46) 6", £19,332.20 ¢15,028.41 Bank Balances Barclay5 CurrÈnt B3rclay5 Savings Barclays Resèrv Cash 8a13nce otal Balances 0111012024 £4,679.66 2Q.296.68 £5.074.09 f 91.50 £30,141.93 Bank Balances Barclays Current Barclays Savings Barclays Reserve Cash 8alance Total Balanc 3010912025 £719.37 12,850.26 £5.016.85 £95.21 E18,681.69 Intrease in bèlènces -£11.460.24 pprovÈd haiiman Reviewed I have reviewed the book5 of ihe above charity, or the year to 30th September 2025, and made all nqUir￿eS required under the Charlies Act 1993 and onhrm thai the accounts for the year endinB on that 3te are in accordance hefewith. te reasurer GR Jones K Diamond Date i/ Oate

Tarrington Village Hall

Audit Comments 2024-25

Kerry Diamond BSc Econ ACMA CGMA MBA

21 May 2026