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2021-12-31-accounts

Trustees Annual Report & Annual Accounts for 2021

The trustees have pleasure in presenting their report and financial statements of The Pavilion and Sports Ground CIO for the year ending 31[st] December 2021

REFERENCE AND ADMINISTRATIVE INFORMATION

Charity Name: The Ogilvie Pavilion and Sports Ground CIO Thorpe Road, Thorpeness, Suffolk IP16 4FD

Charity No: 1160097 Principal Address - c/o: Eric Atkinson Logwood Aldeburgh Road Aldringham LEISTON IP16 4QH

Trustees who served during the year were as follows:

Eric Atkinson Chair St Andrew’s Church
Maureen Jones Treasurer Parish Council
Sue Atkinson Secretary Co-opted
Sara Paulley Minutes Secretary Elected
Sue Allen Elected
Alan Biddlecombe Elected
Francis Byrne Cricket Club
Dylan Churchill Elected
Brenda Deans Until April 2021 Model FlyingClub(folded)
Stuart Girling Badminton Club
George Godbold Until October 2021 Elected
Tim Hannon Until March 2021 Rifle Club
Oliver Hellis Until October 2021 Elected
Jane McLoughlin From April 2021 Croquet Club
Andrew Paris Until February2021 Croquet Club
Sandra Ralph Co-opted
Gareth Samuel Until October 2021 Elected
William Seale Elected
WendySturmey Until March 2021 Social Group
Steve White From November 2021 Ukulele Group

The constitution provides for 8 elected trustees, 12 nominated trustees and 3 co-opted trustees

The accounts have been scrutinized by three members of the Charity

TYPE OF GOVERNING BODY

The Charity is governed by all the Trustees elected, co-opted and nominated in accordance with the Constitution.

CONSTITUTION

The charity was established as a Charitable Incorporated Organisation (CIO) in January 2015 to the charities commission standard Foundation Model.

APPOINTMENT OF TRUSTEES

The Trustees are the sole members of the Charity. In the year, eight of the Trustees were elected from the local community and ten were nominated by each of the nine supportive user groups and two were co-opted from the local community

THE PAVILION AND SPORTS GROUND MANAGEMENT COMMITTEE

The management committee is made up of all the trustees and is responsible for all the aspects of managing the facilities. The committee normally meets every six weeks and more often if there is a specific need.

RISK AND INTERNAL CONTROL

The management committee had previously identified the major risks that they believe the charity is exposed to and have taken steps to mitigate them, as follows.

Reduction or loss of users

The charity provides facilities to enable sport and recreation activities to be undertaken by a wide range of users. The committee monitors the use of the facilities to ensure they continue to provide a suitable environment for the users to grow and succeed in their aims and objectives. If a significant reduction in users did occur the ability of the committee to provide the remaining users with adequate facilities would not be greatly impacted as the running costs could be reduced in line with the reduced use.

Damage to buildings, property and equipment.

The Charity has sufficient building and contents insurance in place to mitigate against permanent loss. The user groups are also required to insure themselves against any loss associated with their activity.

Reduced income

See Reserves Policy

Reduction of Trustees or helpers

If there was to be a reduction in support from volunteers to an unacceptable level then the user groups would have to take on the additional burdens required to maintain the facilities in order for them to continue their activities.

OBJECTIVES AND ACTIVITIES

POLICY ON GRANT MAKING

Grants to enable user groups to start up or improve their offering are considered on a case by case basis.

CONTRIBUTION MADE BY VOLUNTEERS

Trustees and regular helpers number around 20, plus input by many members of the user groups to facilitate their own activities, much of the work having a direct benefit to the overall facility. It is difficult to put a monetary value on this input, but the results of our volunteer help can easily be appreciated. Only when a particular skill or qualification is required are additional resources engaged.

ACHIEVEMENTS AND PERFORMANCE

The Pavilion and Sports Ground

At the beginning of 2021 the pavilion remained closed until May when it was re-opened under the strict covid-19 controls with only limited use and was not fully back in use until the end of the year. However, work has continued on improving the facilities, to ensure that when restrictions are fully lifted the existing users return and we are in a position to attract new users.

The main room, bar area and toilets have been fully refurbished including the installation of energy efficient lighting. The entrance splay has been remodeled to improve access and make the site more appealing to the users.

With the support of the Trustees, the village beach bagger group planted 24 fruit trees, of local heritage varieties, on the margins of the field as part of the scattered orchard project, together with some addition native hedging.

With the failure of the old water pump in the well it was agreed to carry out a complete replacement of the system which was completed in October. The opportunity was also taken to carry out a complete refurbishment of the pumphouse.

As parking is a big issue in the village, a trail car parking on a small part of the sports ground for a limited time in the peak holiday season was carried out with some success and will be provided again next year.

With the loss of support for the existing website a new more modern website has been established, together with six dedicated email addresses and a facebook page.

Six new picnic benches were purchased and flower boxes installed in front of the pavilion.

A defibrillator was installed at the pavilion

FINANCIAL REVIEW

Reserves policy

The Charity holds a small operating reserve to ensure the continuity of facilities being available should there be a major reduction in income. If necessary it would be possible for the committee to raise the level of charges, which are deliberately held low, either temporarily or permanently.

Designations

There are no ring-fenced deficits

Investment Policy

The Charity has adopted a low risk strategy to the investment of its funds and does not hold longer term investments such as stocks and shares. All funds are held in cash using only mainstream banks and building societies

Main sources of funds

In a normal year the main sources of income would be from, fees from user groups, hiring of Pavilion and Sports Ground, fund raising event and parking for the annual Thorpeness fireworks in August. However, again this year because of the pandemic this income has been limited. However, the CIO were fortunate in securing further government support grants against our business rates which helped to cover the running costs and enabled a number of improvements to be carried out.

How expenditure has supported the objectives

In the period covered by this report, the major operating expense continues to be utility bills and licensing. However, with the grants made available through the government support scheme, significant work has been carried out to improve the facilities for users, with the intention of making the venue more attractive and therefore, increasing its use.

PLANS FOR THE FUTURE PERIODS

It is planned to hold an open day at Easter 2022 where alternative plans for a new or extended pavilion will be on display and a questionnaire available to everyone in the community enabling them to have their say on the future of the Pavilion and Sports Ground and its possible uses.

Improvements to the pavilion and sports ground will continue, making the facilities attractive to more diverse groups of users.

DECLARATION

The trustees declare that they have approved the trustee’s report and the accounts as shown in Appendix A

Signed on behalf of the Charities trustees

THEOGILVIE PAVILION AND SPORIS GR(KJND CIO FI￿CIAL5[ATEmEHr5 FOR THE YEAR ENDED 31 DECEMBER 2021 GENERAL FUND RECEIP15AND PAYMENISACCCKJNT 2021 2020 ￿E(￿pTs Hire Of Pavilion Hire of Fidd User Groups Parking Bar £i.oio.00 É4.280.00 £0.00 £859.70 £0.00 Éo.00 £18.708.00 £226.11 £215.85 £375.00 £1,981.85 £65.00 Eo.00 £0.00 £0.00 £io.000.00 £0.00 £380.48 Fund raiyftg Grants Sundry Iniere Total £25.299.66 £12,802.33 EXPENDfflJRE Stationary & Post In￿rance Licence Electric An81iaWaier Rates SCDC Refuse Sewage Disposal Maint & Repair £0.00 £1.484.74 £609.78 £463.79 £380.45 £92.84 £115.64 £300.00 £9.252.35 £5,875_99 f 0.00 150.55 £724.63 £0.00 £1,440.54 £334.50 £768.25 £129.56 £47.00 E56.40 £290.00 £491.70 £0.00 £0.00 £0.00 Grants Sundry orher Total £19,450.76 £3.557.95 SURPLUS F(¥IYEAR £5￿48.90 £9,244.38 BALANCESHEEtasof31st DECEMBER 2021 CUflRENT ASSErs Cash in Hand Current kcount Éo.00 £381.438.47 £86.555.38 £0.00 £375,805.42 £86.339.53 Buildingsociety Deposits Toial 8ARACCOU £467.993.85 £462,144.95 Cash in Hand Stock Less CURRENT LIABILIMES Total Total @ 31st Detanber £0.00 É467.993.85 £0.00 £462,144.95