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2023-12-31-accounts

Trevone Village War Memorial Hall

TRUSTEES’ REPORT AND FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31[ST] DECEMBER 2023

Charities Commission Registered No. 1157076

Trevone Village War Memorial Trust – Charities Commission No. 1157076

Trevone Village War Memorial Hall

TRUSTEES’ REPORT FOR THE YEAR ENDED 31[ST] DECEMBER 2023

CONSTITUTION AND CHARITABLE STATUS

The Constitution of the Trevone War Memorial Hall Trust was adopted on the 23[rd] April 2014. The Charities Commission notified the trustees that they had granted Charitable Status to the Trust on the 16[th] May 2014.

PRINCIPAL ACTIVITY AND REVIEW OF THE BUSINESS

The principal activity of the Trust is the letting of the Hall rooms to the Residents of Trevone and Windmill. These lettings are made at reduced rate. Additionally, some lettings to commercial enterprises are made when the Hall is not otherwise occupied.

The Hall is also used as a village meeting place for coffee mornings and for fund raising events for the Trust and other charitable organisations. Whilst the Hall is re-built, fundraising coffee mornings are being held in people’s homes. Fund-raising events have also been held at the WI Hall and at the Well Parc.

RESULTS

The results for the year ended 31[st] December 2023 are stated on Page 4. There was a surplus for the year of £28,845 (2022: Surplus of £84,971).

POST BALANCE SHEET EVENTS AND FUTURE DEVELOPMENT

The contract with Trevose Construction Ltd to re-build the rear hall was signed on the 18[th] December 2023 and building work commenced on the 20[th] January 2024. Completion is anticipated in December 2024 and the estimated total cost is £264,000. There is currently no shortfall in funding. The Trustees are satisfied that they have and will have sufficient funds available to meet the building costs, as and when they are due.

GOING CONCERN

The trustees consider the trust has adequate resources and sufficient funding to continue in operational existence for the foreseeable future and it is therefore appropriate to adopt the going concern basis in preparing the financial statements.

AUDIT

The accounts are not audited.

TRUSTEES

The following have acted as Trustees during the last financial year and to the date of this Report.

Frances Trenouth (Chairperson) Patricia Hall (Secretary) Clive Walley (Treasurer) Sue Bird Joanna Cooper (appointed 25[th] May 2023) Julia Turner Jessica Kent Moira Walley

Trevone Village War Memorial Trust – Charities Commission No. 1157076 Page 1 of 5

Trevone Village War Memorial Hall

TRUSTEES’ REPORT FOR THE YEAR ENDED 31[ST] DECEMBER 2023

TRUSTEES’ RESPONSIBILITIES

The Trustees are responsible for preparing the Trustees’ Report and the Financial Statements in accordance with applicable law and regulations.

The Trustees have elected to prepare the financial statements in accordance with United Kingdom Generally Accepted Accounting Practice (United Kingdom Accounting Standards and applicable law).

In preparing those financial statements, the Trustees have:-

The Trustees are responsible for keeping adequate accounting records that are sufficient to show and explain the position of the Trust’s transactions and disclose with reasonable accuracy at any time the financial position of the Trust. They are also responsible for safeguarding the assets of the Trust and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

This Trustees Report has been prepared using conventional accounting practices.

The report was accepted by the Trustees on 6th October 2024.

FRANCES TRENOUTH Chairperson

Trevone Village War Memorial Trust – Charities Commission No. 1157076 Page 2 of 5

Trevone Village War Memorial Hall

Trevone Village War Memorial Trust – Charities Commission No. 1157076 Page 3 of 5

Trevone Village War Memorial Hall

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31[st] DECEMBER 2023

1. ACCOUNTING POLICIES

The financial statements have been prepared under the historical cost convention and in accordance with applicable accounting standards as required by the Financial Reporting Standard for Smaller Entities (effective April 2008).

b. Income

Income is credited to the income and expenditure account on a cash received basis. Donations include the sale of leaflets.

The Trust is not registered for VAT purposes.

2. GOING CONCERN

The Trustees consider that the Trust has adequate resources and sufficient funding to continue operating for the foreseeable future. It is therefore appropriate to adopt the going concern basis in preparing the financial statements.

3. CREDITORS

Creditors represent a refundable deposit made in 2018 by the now-defunct Trevone Youth Group.

4. TRUSTEES EMOLUMENTS

None of the Trustees are entitled to remuneration from the Trust. There were no employees of the Trust.

5. CAPITAL COMMITMENT

The contract with Trevose Construction Ltd to re-build the rear hall was signed on the 18[th] December 2023 and building work commenced on the 20[th] January 2024. Completion is anticipated in December 2024 and the estimated total cost is £264,000. There is currently no shortfall in funding. The Trustees are satisfied that they have and will have sufficient funds available to meet the building costs, as and when they are due.

6. TRUST STATUS

The Trust is a charitable trust registered by the Charities Commission on 16[th] May 2014. The registration number is 1157076.

Trevone Village War Memorial Trust – Charities Commission No. 1157076 Page 4 of 5

Trevone Village War Memorial Hall

Income & Expenditure for the year ended 31st December 2023

Designated Hall Running
Building Fund Fund Total Total
2023 2023 2023 2022
£'s £'s £'s £'s
Income
Hall Hiring Fees Collected - 697 697 1,193
Catering Sales 4,817 1,729 6,546 4,168
Wayleave Receipt - 21 21 21
Building Fund Donations 20,371 - 20,371 82,282
Raffle Income 4,746 302 5,048 1,243
Bank Interest Received 2,031 - 2,031 71
Total Income 31,965 2,749 34,714 88,978
Expenditure
Cost of Catering 525 419 944 787
Utilities: Electricity - 524 524 876
Utilities: Internet - 524 524 455
Utilities: Water - 172 172 159
Insurance - Property - 1,047 1,047 953
Raffle & Event Licence - 40 40 24
Property Cleaning, Repairs, Maintenance - 134 134 252
Property Improvement Costs 1,952 - 1,952 -
Costs Associated with the Building Fund - - - 225
Asset Purchases - 179 179 240
Printing of leaflets,letters and posters 210 143 353 36
Total Expenditure 2,687 3,182 5,869 4,007
Net Surplus (Deficit) 29,278 (433) 28,845 84,971
Funds Brought Forward 224,456 8,553 233,009 148,038
Funds Carried Forward 253,734 8,120 261,854 233,009

Trevone Village War Memorial Trust - Charities Commission No. 1157076 Page 4 of 5

Trevone Village War Memorial Hall Balance Sheet as at 31st December 2023 2022 2023 Net CurrertA55ets Stock of Leaflets 210 Bank Balan￿5 & Cash 233,117 262,172 Less Creditors & Pre ￿ceIpts 13181 1318) Total Net Assets 233,11 261.854 Flnanced By General Reserves 8.553 8.120 Building Reserves 224.456 253.734 Total Reserves 233,009 261.854 Independent Examlnerfs report to the Trustees of the Trevone Village War Memorial Hall. I have examined the above balance shed and the attached income and expenditure account and notes. I ￿nrimI that they ac¢ord with the accounting records of the T￿￿. Nothing has come to my attention to indicat¢ thai there is any malerial mis-sLqlement in these accounts. I have not perfornicd an audiL HM SAUNDERS FCA 6th Ociober 2024 Trevone Village War Memorial Trust- Charities Commission No. 1157076 Page 3of 5