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2022-12-31-accounts

GALMPTON VILLAGE INSTITUTE

A.G.M.

Chairman’s Report

14[th] March 2022

Although, by no means not totally removed from our lives, tight Covid Government controls having been lifted, community life has returned considerably to our Village Institute. The W.I, History Group, a variety of physical health activities and numerous children’s parties have returned. In addition, it has been rewarding to welcome for the first time, members of the local disabled ‘Sailability’ organisation. This has been made feasible through the provision of our newly appointed disabled toilet facilities. The Pre-school is now also, once again, at full strength and playing an active part within the village community.

The physical structure of the building is in a good state of repair and has withstood the winter storms exceedingly well. The odd unforeseen minor repairs required have been dealt with efficiently and speedily by our local loyal service providers. During last summer some pointing was replaced around door and window frames and to the perimeter wall. At the same time the iron railings were both thoroughly prepared and repainted, hopefully to see us through a further five years.

Once again it is exceedingly relevant to thank personally all my fellow Trustees for their support, both moral and practical over the past year, especially our Secretary June Symes and Treasurer Lisa Edey. Without them this Institute and service to the community would not exist.

John Risdon

Income and Expenditure

~~GALMPTON~~ VILLAGE INSTITUTE

1st Jan-Dec 31st 2022 compared to 1st Jan-31st Dec 2021

Full Year
Income 2022 2021 NOTES DIFF
Fundraising and Donations - - 0.00
WI 398.00 - 398.00
Snooker 261.00 145.00 116.00
Tai Chi 318.00 - 318.00
Pre-school 12,192.39 11,731.07 461.32
Whist 600.00 400.00 200.00
Torbay Owls 98.00 10.00 88.00
General Hire of Hall 1,217.00 840.00 377.00
Music 185.00 100.00 85.00
History Society 310.00 100.00 210.00
Pilates 665.00 175.00 490.00
Ladies Club 278.00 - 278.00
Check Var
Total Income 16,522.39 13,501.07 - 16,522.39 - debtors
Expenditure
Cleaners wages 1,865.00 1,791.00
Maintenance 10,241.21 2,001.65
Refurb Costs 0.00 0.00
Cleaning Materials 0.00 0.00
Insurance 1,367.45 1,273.17
Electricity 1,579.66 757.43
Gas 1,230.06 770.91
Rates, Water, Rubbish 1,528.80 1,561.14
Petty Cash 17.00 19.00
Window cleaning 162.00 0.00
Telephone 739.37 691.53
Performing rights 859.13 0.00
Bank charges 0.00 0.00
Equipment 79.98 38.49
Total Expenditure 19,669.66 8,904.32 -
Surplus/(deficit) -3,147.27 4,596.75

31st December Balance Sheet 2021 2022 ~~Chari~~ ty no. 1156291

GALMPTON VILLAGE INSTITUTE

Assets

Debtors
Petty Cash
Bank Balances
Less Creditors
-
£
0.00
-
£
19.00
£
Current per Bank
94,430.05
£
97,410.32
£
Unpresented Cheques
167.00
£
-
£
Uncleared Deposits
Currentper Accounts
94,263.05
£
97,410.32
£
Savings
-
£
-
£
-
£
-
£
Total
94,263.05
£
97,410.32
£
Opening
97,410.32
£
92,813.57
£
Deficit/surplus
3,147.27

4,596.75
£
Total
94,263.05
£
97,410.32
£
Check
-
£
Represented by:

Charity no. 1156291