Cheddington Village Hall
Charitable Incorporated Organisation
REPORT AND FINANCIAL sfATEMENTS
31 March 2026

Table of Contents
Page
tharity Information.................................................................................
Trustees Report.................................................................................. . .
Examiners Report....................................................................................
ststement of Financial Achvities.............................................................
Balan￿ Sheet.............. ...
Notes to the Accounts.............................................................................

Cheddington Village Hall
CIO Registered Number 1162278
Year ended 31 Narch 2026
Page I
CHARITY INFORMATION
Trustees
K Malcolm (Chairman)
A Lawson (Treasurer)
CFee
M Buckie
K Conway
K Chapman
C Shepheard
Changes to Trustees
Prof A Johnson {resigned 24 July 20251
T Hamer (resigned 24 July 2025)
Village Hall Address
Cheddington Village Hall
Cheddington
Leighton Buzzard
Beds
LU7 ORU
Address for corresponden
li station Road
Cheddingto
Leighton Buzzard
Beds
LU7 OSG
Bankers
HSBC
8 Market Square
A￿e$bury
Buckinghamshire
HP20 ITW

Cheddington Village Hall
CIO Registered Number 1162278
Year ended 31 Narch 2026
Page 2
TRu¥fEES' REPORT
The Trustees present their report and the finanaal statements of the charity for the year ended 31
March 2026.
HISTORY, OBJECTIVES AND ACTIVITIES OF THE CHARITY
The Charity is a Charitable Incorporated Organisation (CIO) governed according to the
Constitution dated 18 June 2015. It was established on the same date to take forward the
work of the unincorporated registered charity number 1096375.
The stated objertive of the charity is for the trust propety (the"Halll to be held upon trust for the
benefit of the inhabitants of the parish of Cheddington, without distinction of w1itical, religious or
other opinions, including use for meetings, lertures and classes and for other forms of recreation and
leisure time occupation with the object of improving the condition5 of life for the said inhabitants.
MANAGEMENT AND GOVERNANCE ARRANGEMENTS
Management Committee
The affairs of the CIO are managed by the Charity Trustees.
The management and control of the Hall is vested in the Management Committee. All M￿berS of the
Management Committee are trustees of the Charity-
Elected Members of the Committee are eletted at the Annual General Neeting {AGM) and serve until
the end of the following year's AGM. Village organisations that use the Hall are expected to appobnt
one Representative Nember of the Committee before the AGM. These members se￿e from the end of
the AGM until the end of the followinq year's AGM.
The Management Committee meets approximately every other month.
Members setving on the committee during the year.
K Nalcolm {ChairmaN)
A Lawson (Treasurer)
K Conway
Representstive Member5 of village organisations serving on the committee during the year.
CFee
M Buckle
K Chapman
C Shepheard
Detssions are made by simple majtsrity of votes at a meeting of the Trustees or by resolution made in
writlng or in electronic form and agreed by all Trustees.

Cheddington Village Hall
CIO Registered Number 1162278
Year ended 31 Narch 2026
Page 3
srATEMENT OF TRUSTEES, RESPONSIBILrriES
The Charities Att 2011 requires the Trustees to prepare financial statements for each finanoal year which give a
true and fair view of the state of affairs of the charity and of the incoming resources and application of resources
of the charty for that period. In preparing these financial ststements, the Trustees are required to..
selert suitable accounting policies and apply them consistently;
observe the methods and principles in the Charities SORP,.
make judgments and accounting estimates that are reasonable and prudent.
stste whether applicable accounting standards have been followed, subject to any material
departures disclosed and explained in the financial statements; and
prepare the finanoal statements Dn the going concem basis unless it is inappropriate to do so.
The Trustees are responsible for keeping sufficient accounting records that disclose with reasonable accuracy at
any time the financial position of the charity and enable them to ensure that the financial statements comply
with the Charities Art 2011. They are also responsible for safeguarding the assets of the charity and hen￿ for
taking reasonable steps for the prevention and detecbon of fraud and other irregularities.
FINANCIAL REVIEW
Town Lands Trust Grant
The Management Committee wish to express their gratitude to the Town Lands Trust for their continued support
In subsidising the hiring discount given to the village users of the Hall, and for the significant grant towards the
electrical refurbishment. This support enables the Management Committee to maintain the Standards of the Hall
whilst providing the Hall to users at affordable and competitive rates.
Other Grants
During the year, the charity received grants from the following for which the Management Committee wish to
express their gratitude for.
Cheddington Parish Council
Cheddington Panto Group
Spirit Drama Gmup
Net Incoming Resources
The occupancy level of the hall reduced slightly during the year resulting in a small decrease in revenue.
With good cost control and the continued support from the Town Lands TrLJSt and local groups the Committee
has been able to continue to invest in a number of significant maintenance projetts including electrical
refurbishment, replacement heating controllbwknng system, replacement Cctv system and repla￿ment stage
The five year plan previously agreed remain5 in place and the Trustees are optt"mistic that net revenues should
be sustsinable at a level sufficient to maintain the repairs and refurbishment ne￿SSary for an aging property.

Cheddington Village Hall
CIO Registered Number 1162278
Year ended 31 March 2026
Page 4
RESERVES POLICY
The Trv5tee5 have a policy whereby the unrestrlcted funds not committed or invested in tsngible flxed
assets (the "free reseNesl held by the charity should be 6 to 9 months of the resources
expended (excluding fundraising costs, depreciation and refurbishment expenditure).
With this level of free reserves the Management Committee feel that they would be able to continue the
current artiv￿leS of the charity in the event of a Significant drop in income or a significant repair c05t belng
inojrred.
PLANS FOR FUTURE PERIODS
The Trustees aCknO￿edge that the management of the costs of the Hall 15 a challenge and is something
that is closely monitored. The Committee intends to continue Its policy of contlnued re-investment in the hall
as they believe that this is one of the factors contributing to the it)creasing numbers of Hall users.
Approved by the Trustees on 2510612026 and slgned on their behalf by:
K. Malcolm Chairman

Docusign Envelope ID.. 43E1ACB5-569F42DF-8l5￿8FE7F71FD222
Cheddington Village Hall
CIO Registered Number 1162278
Year ended 31 March 2026
Page 5
INDEPENDENT EXAMENER'S REPORT TO THE TRUSTEES OF CHEDDINGTON VILLAGE HALL
I report to the charity trustee5 on my examinatlon of the accounts of the charity for the year ended 31
March 2026.
Responsibilities and basis of report
As the tharity trustees of the charSty you are responslble for the preparation of the accounts In accordan
wlth the requirements of the Charlties Act 20111'the Acv)
I report in respect of my examinabon of the charity's accounts carried out under section 145 of the Act and
In carrying out my examination I have followed all applicable Directions given by the Charlty Commi55ion
under sectlon 14515) (b) of the Att.
Independent Examlner's Statement
I have completed my examination. I confimi that no material matters have come to my attention in
connethon with the examination which gives me cause to belleve that in, any material respect:
The accounknng records were not kept in accordance with section 130 of the Charitie5 Act; or
The accounts dld nat accord with the accounilng records,. or
The accounts dld not comp5y wlth the applicable requirements Con￿rning the form and content of
ccounts set out In the CharStles (Accounts and Reports) Regulations 2008 other than any requlrement that
the accounts glve a true and fair view which 15 not a matter considered as part of an independent
examinatlon.
I have no concerns and have come across no other matters in connectiort with the examination to whlch
attention shoL*ld be dyawn In thls report In order to enable a proper understanding of the accounts to be
reached.
DOCUS￿￿e￿ by".
Slmon Speller
Hillier Hopklns Accountsnts Umlted
Trading as Colin Gray & Co
Chartered Accovntsnts
First Floor Radius House
51 Clarendon Road
Watford
HeNfordshire
WD17 IHP
Date: 30-07-2026

Cheddington Village Hall
CIO Registered Number 1162278
Year ended 31 March 2026
Page 6
STATEMENT OF FINANCIAL AcfivThiES
Notes
Restrirted Designated Unrestricted
Funds
Funds
Funds
2026
2026
2026
Totsl
2026
Totsl
2025
INCOMING RESOURCES
Activities to further the
charity's objects:
Charges for Hall hire
Grants receivable
Deposit account interest
Activities for generating
funds:
Fundrai5iMg events
Total incoming resources
26,599
14,684
iio
41,393
26,599
14,684
iio
41,393
27,717
12,069
328
40,114
RESOURCES EXPENDED
Costs of activities to further
the charity's obje¢ts:
Cleaning servi￿5
Repairs and tnaintenance
Depreciatlon
Insurance
Heat, light and water
cences
Postage, telephone, stationery
Honorarium
Sundry expenses and loan fees
9,420
28,842
9,420
28,842
4,368
1,802
7,269
446
543
625
9,305
29,522
5,045
1,765
7,265
492
449
550
647
55,040
3,793
574
1,802
7,269
446
543
625
3,793
574
50,134
54,502
C(trsts of activities for
gènérating funds..
Fundraising events
Total resources expended
574
Surplusl (deflcit) for the
year
{3,793)
(5741
18,7411 (13,109)
114,9261
Brought forward
Transfer between funds
64,849
9,567
21,548
95,964
110,890
Carried forward 31" March 2026
The notes on pages 8 to 11 fomi part of these accounts.

Cheddington Village Hall
CIO Registered Number 1162278
Year ended 31 March 2026
Page 7
BALANCE SHEET
Notes
2026
2025
FIXED AssErs
Tangible assets
70,049
74,417
CURRENf ASSETS
Debtors
Cash at bank and in hand
5,212
9,731
15,364
23,213
CREDITORS: Amounts falling due within one year
(2,557)
(1,666)
NET cuRRE￿r AssErs
12,807
21,547
TOTAL ASSEfs LESS CURRENT UABILITEES
FUNDS
Re5trirted
Desionated
Unrestricted
61,056
8,993
12,807
64,849
9,567
21,548
io
li
Approved by the members of the Committee on 2510612026 and signed on their behalf by
K Malcolm - Chaimian
A Lawson - Treasurer
The notes on pages 8 to 11 form part of these accounts.

Cheddington Village Hall
CIO Registered Number 1162278
Year ended 31 March 2026
Page 8
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31st MARCH 2026
I. BASIS OF ACCOUNTING
The financial statements have been prepared under the historical cost convention and in accordan
with the Statement of Recommended prac￿￿.. Accounting and Reporting by Charib'es preparing
their accounts in accordance with the Financial Reporting Standard app5icable in the UK and Republic
of Ireland IFRS 1021 SORP FRS 102 effective l January 2019.
This is a Public Benefit Entity as defined by FRS 102.
INCOME
Income represents amounts re￿iVed and receivable by the charity during the period.
GRANTS
Grants, including grants for the purchase of fixed assets, are recognised in full in the Ststement of
Finanoal Acivities in the year in which they are ￿ceivable.
TAXATION
The CIO is a charitable institution with exemption from UK taxation under section 505 of the Income and
Corporation Taxes Att 1988,
DEPRECIATION
Depreciation is pmvided on all tangible fixed assets at rates calculated to write each asset down to its
estimated residual value evenly over its expected useful life, as follows'.-
Village Hall
Village Hall Irnprovements
Fixtures, fith.ngs and equipment
25 years straight line
25 years straight line
3 to 10 years straightlsne
UNRESTRIcfED FUNDS
Unrestritted funds are funds that can be used in accordan￿ with the tharitable objects at the discretion
of the M3n3gement Comm1ttee.
DESIGNATED FUNDS
Designated funds are funds retained for the benefit of the charity as a capitsl fund.
REsfRlCtED FUNDS
Restricted funds are funds that can only be used for particular restricted purposes within the objects of
the charity. Restrirtions arise when spefjfied by the donor or when funds are raised for particular
restiicted purposes.

Cheddington Village Hall
CIO Registered Number 1162278
Year ended 31 Narch 2026
Page 9
2. GRANTS AND DONATIONS
2026
2025
Town Lands Trust
Cheddington Parish Counal
Other Donations
9,604
2,040
3,040
8,953
2,120
996
3. FUNDRAISING APPEALS
There was no fundraising done during 2026 and 2025.
4. ANALYSIS OF EMPLOYEE COSTS
2026
2025
Salarles - cleanlng servlces
Sooal Security and pension costs
8,513
255
The average number of employees during the year was l (2025- 11.
5. FIXED ASSETS
Village
Hall
Village Hall
Fixtures,
Fittings and
Equipment
Totsls
Improve-
ments
Cost
Bmught fo￿ard
Additions
At 31"March 2026
79,920
102,849
61,568
244,337
102 849
Depreciation
Brought forward
Charge for the year
At 31"March 2026
70,352
574
38,000
61,568
169,920
174 289
Net Book Value
At 1st April 2025
At 31st Marth 2026

Cheddington Village Hall
CIO Registered Number 1162278
Year ended 31 March 2026
Page 10
6. DEBTORS
2026
2025
Amounts due for the hire of the Hall
Grants receivable
Prepayments and other debtors
1,979
1,336
2,273
1,418
7. CREDITORS
2026
2025
Accruals
Deposits for the hire of the Hall
786
796
870
8. ANALYSIS OF NET ASSETS BEfwEEN FUNDS
Restricted
Funds
2026
Designated UnresthLted
Funds
Funds
2026
2026
Total
2026
Total
2025
Tangible fixed assets
Debtors
Cash and bank
Creditors
lance at 31¥ March 2026
61,056
8,993
70,049
5,212
10,152
74,417
9,731
13,482
5,212
10,152
9. RESTRicfED FUNDS
2026
2025
Balance at 14 April 2025
Net re￿iVed In the year
Transferred from unrestricted funds
Depreciation on restrirted assets in the year
Balance at 31" March 2026
64,849
68,196
222

Cheddington Village Hall
ao R￿IStered Number 1162278
Year ended 31 March 2026
Page 11
10. DESIGNATED FUNDS
2026
2025
lance at I'April 2025
Depretsation on designated assets in the year
B31ance at 31. March 2026
9,567
574
10,365
798
11. UNREsfRIcfED FUNDS
2026
2025
lance at 1st April 2025
Received in the year
Transferred to restricted funds
Depreciation on unrestricted assets in the year
Balance at 31st March 2026
21,548
{8,7411
32,328
(9,8811
(2221
677
12. FUTURE Comm￿MENTs
The Trustees have no material future commitments as at 31st March 2026 other than those
shown in the accounts.