Welton le Marsh Village Hall Mill Lane Welton le Marsh Spilsby PE235SY 

We are a small village Community hall which is the hub of the village. It reaches out to people within our community of all ages and provides events and activities which significantly increase the hall's usage. 

We achieve a wide range of activities including : Warm space meetings, Community lunch clubs, which particularly help with social isolation,  Bingo, Curry nights, Wreath making, Beetle Drives, Christmas Fayre, Summer hog roasts, Keep Fit and many more. 

Our future goals and objectives are as follows.. 

To increase accessibility to the hall for all. 

Apply for funding to renovate and upkeep the hall to a good standard and make improvements wherever possible. We are currently renovating the old toilets and adding new appliances to the kitchen. Grants have been obtained from the Levelling Up Prosperity Fund. We have also successfully applied for Wi-Fi enabling us to set up new groups silver surfing and quiz nights, 

To, potentially increase the events to attract more users with Themed supper nights, Educational talks and Village history nights. 

Our Village hall committee has achieved so much in the past years with it's band of dedicated volunteers. 

The ambition is to make the village hall the thriving hub of the community and continue to go from strength to strength. 

As we look to the future we welcome new members with new ideas to make 2026 even more successful. 



WELTON LE MARSH VILLAGE HALL
Detailed Profit and Loss Account
for the year ended 31 March 2025
2025
2024
Income
Donations
Rent of hall
Interest received
Grants received
1,654
955
34
22586
1,015
954
27
1,929
25,219
3,925
Establishment costs
Rates and water
Insurance
Light and heat
56
332
908
170
319
1,298
1,296
1,787
23,933
2,138
Administrative expenses
Post and stationery
Repairs and maintenance
Sundry expenses
Event expenses
Accountancy
58
1,428
221
605
168
25,966
230
43
168
26,407
2,480
Net loss
(2,474)
(342)
PaRe 4

Notes to the Financial Statements
for the year ended 31 March 2025
Accounting policies
Basis of preparing the financial statements
The financial statements have been compiled on a basis which enables profits to be calculated in accordance with generally
accepted accounting practice and which provides sufficient and relevant information to enable the completion of a tax
return.
Tangible fixed assets
Plant and
machinery
Net book value
At l April 2024
and 31 March 2025
1,012
Reserve account
2025
2024
Brought torward
Less
Net loss
16,352
16,694
2,474
342
13,878
16,352
13,878
16,352
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