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2024-08-31-accounts

Chairman's Annual Report 2024

Good evening everyone. Welcome to our AGM. I am pleased to report that this has been a good year for the Hall. You will hear that the finances are now on a stable path which enables us to embark on a series of projects which could loosely be described as exceptional maintenance/upgrades.

The blinds have been installed and a contract let to Carl to replace some external wall panels. Over the half term the internal walls will be repainted. A contract has been let to pollard the chestnut tree making it easier to look after. This has been financed largely from external sources. A contract has also been let to resurface the floor in the main hall On our wish list for the future are the replacement of some of the chairs and tables in the coffee area.

A significant contribution to our sense of security is the new committee taking over the NBU5s. Their determination to be successful in what is a very challenging sector is verging on the heroic and we are determined to ensure they succeed. Welcome to Nick, the new Chair of NBU5s.

Another important contributor to our well-being is the effort put in the most active trustees and officers without whom none of this would happen. My gratitude goes to you all and to everyone in the village who supports the Hall by making use of what it has to offer

Nacton Village Hall Nacton Village Hall Accounts for 1st September 2023 to 31st August 2024

Receipts
Fund Raising
Co-op
CAF
Total
Donations
1,420.00
0.00
1,420.00
Fund Raising
0.00
0.00
0.00
Grants
0.00
0.00
0.00
Amazon
0.00
0.00
0.00
Recycling
98.00
0.00
98.00
Other
0.00
0.00
0.00
Operating Activities
Regular Hire
13,230.00
0.00
13,230.00
Private Hire
1,615.00
0.00
1,615.00
Equipment Hire
34.00
0.00
34.00
Total Receipts
16,397.00
0.00
16,397.00
Investment Income
2.56
2.56
Totals
16,397.00
2.56
16,399.56
Payments
Insurance
859.00
0.00
859.00
Water
237.00
0.00
237.00
Electricity
4,155.12
0.00
4,155.12
Refuse
1,112.70
0.00
1,112.70
Gas
376.07
0.00
376.07
Maintenance
3,182.04
0.00
3,182.04
Cleaning
2,540.00
0.00
2,540.00
Licences / Fees
0.00
0.00
0.00
Other Costs
0.00
0.00
0.00
Bank Charges
0.00
5.00
5.00
Deposit Refunds
460.00
0.00
460.00
Totals
12,921.93
5.00
12,926.93
Operating Profit at Year End 31-Aug-24
3,472.63
1st Sept 2022 to
Difference (£)
31st August 2023
2024 vs 2023
1,000.00
420.00
0.00
0.00
0.00
0.00
6.33
-6.33
50.00
48.00
399.00
-399.00
10,277.00
2,953.00
2,460.00
-845.00
42.00
-8.00
14,234.33
2,162.67
24.44
-21.88
14,258.77
2,140.79
1,291.03
-432.03
176.00
61.00
2,548.17
1,606.95
407.19
705.51
245.78
130.29
2,306.14
875.90
2,400.00
140.00
404.99
-404.99
0.00
0.00
63.00
-58.00
786.00
-326.00
10,628.30
2,298.63
3,630.47
-157.84

Balances at at 31st August 2023

t 31st August 2023
Brought Forward 10,505.88 Co-op bank opening balance
Brought Forward 11,985.08 CAF Bank opening balance
Closure of CAF Account 11,982.64 Tfr in from CAF Account
Receipts 16,399.56 Operating receipts (as above)
Total IN 38,890.52
Payments 12,926.93 Operating payments (as above)
Total OUT 12,926.93
Net Total In / Total Out 25,963.59
Co-op Bank Closing Balance 25,963.59
CAF Bank Closing Balance 0.00
Total Assets 25,963.59