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2022-12-31-accounts

Trustees' Annual Report for theperiod
From Period start date To Period end date
01 01 2022 31 12 2022

Section A Reference and administration details

Charity name

EAST PENNARD VILLAGE HALL

Other names charity is known by EPVH Registered charity number (if any) 1168849 Charity's principal address East Pennard Village Hall, Old Church Room East Pennard Shepton Mallet Postcode BA4 6TU

Names of the charity trustees who manage the charity

1
2
3
4
5
6
7
8
9
10
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12
13
14
15
16
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18
19
20
Trustee name Office (if any) Dates acted if not for whole
**year **
Name of person (or body) entitled
to appoint trustee (ifany)
HarryGifford
Lisa Britton
Monica Cock
Anthea Derby Treasurer
HilaryTripp Secretary
Hugh Tripp
AmyPage
Anna Gifford
Catherine Bryant
Adrian Pearse
Names of the trustees for the charity, if any, (for example, any custodian trustees)
Name Dates acted if not for wholeyear
N/A

Names and addresses of advisers (Optional information)

Type of adviser
Name
Address
N/A
Name of chief executive or names of senior staff members (Optional information)
Section B
Structure,governance and management
Description of the charity’s trusts
Type of governing document
Constitution adopted 1stAugust 2016
How the charity is constituted
CIO of 8 Trustees and 2 Appointed Trustees
Trustee selection methods
Trustees are elected/re-elected/appointed/re-appointed annually at the
AGM.
Type of adviser Name
Address
Name
Address
N/A

Additional governance issues (Optional information)

You may choose to include EPVH is a member of the Community Council for Somerset which additional information, where provides helpful advice and support. relevant, about: • policies and procedures All Trustees give their time voluntarily and receive no remuneration or adopted for the induction and other benefits. training of trustees;

Section C
Objectives and activities
Section C
Objectives and activities
Section C
Objectives and activities
Summary of the objects of the
charity set out in its
governing document
The objects of the CIO are to establish and run avillagehall and to
promote for the benefit of the inhabitants of the Parish of East
Pennard the provision of facilities for recreation or other leisure time
occupation and with the object of improving the conditions of life of
the said inhabitants.
Summary of the main
activities undertaken for the
public benefit in relation to
these objects (include within
this section the statutory
declaration that trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefit)
Additional details of
objectives and activities
(Optional information)
In the early part of 2022, the village hall underwent considerable
internal painting and decorating, and the internal door was rehung.
The roof was repaired, replacing the old, cracked slates with some
old ‘new’ ones. The guttering was repaired, and the lead flashing
was also repaired. This meant that the hall was closed for a couple
of months.
2 Heaters were donated to the hall.
The oak tree that was growing a meter away from the corner of the
hall became subject of a planning application for its removal which
will considerably improve the lighting and safeguard the fabric of
the hall.
In the Autumn, an attempt was made to extend the Planning
Application that had been made in 2019 with a view to creating a
disabled access. This attempt failed as Listing Planning Consent
had not been obtained. Upon enquiries from the local council, the
Trustees learned that the Hall was curtilage listed and would need
an LPC for all Planning Applications.
Any surplus funds which are not likely to be needed for day to day
expenditure are placed in on Deposit to earn interest.
Section D
Summary of the Main Achievements during theyear
2022:
4 Trustee meetings were held.
Hall Lettings:
12 lettings were achieved.
Activities:
A Summer coffee morning and Raffle was held in July to
celebrate the newly decorated hall.
Audit:
The Accounts from 2019, 2020 and 2021 were audited, with no
problems found. The incident of the scam (in 2020) against the
Treasurer’s private bank accounts and the subsequent total refunding
by the bank concerned, was reported to the Charity Commission.
Fundraising:
Some volunteer stewards were provided for Glastonbury Festival in
June, for which a donation was received.
Maintenance:
Annual service Fire equipment and Smoke Alarms.
A general tidy up of the external hall, (Leaves, overgrown
branches etc.),was undertakenbylocal residents.

Section E Financial review We hold cash atthe bank of£8380 all of vthich is unrestiicted funds. These funds are held to manage day-to4ay expenditure and repairs. We hold approximately £25.941 in reserve on Deposit. Brief statement of the charity's policy on reserves Details of anyfunds materially in deficit NIA Further financial review detsils (Optional information) Donations. Lettings and Fund Raising events have covered the cost of wnning the Hall. You may choose to include additional information, where relevant about: the charity's principal sources of fijnds {1r￿L￿11ng any fundraising)- how expenditure has supwrted the key obiecbves of the charity. inv.estment tM)licy and objectives includiNJ any ethical irvrfeslment w5iGy adopted. We continue to rety on the local communty and Council for their muclF valued suptK)rt. The Village Hall is grateful to Friends of the SchoolRoom for their support with the larger items of repair and maintenance. The Accouhts are presented for an annual AudiL Section F Other optional information Section G Declaration ave approve e trustees report a e trustees ec aret att ove. Slgned on behalf of the charlty's trustees Signature(s) Full name(s) Position {eg Secretary, Chair, etc) Da TAR September 2023

East Pennard Village Hall

Reg. No. 1168849

Financial Statement for year to date 31/12/2022

Total
2022 2021 2020 2019
£ £ £ £
Receipts
Interest - - - -
Hire of Hall 285 150 187 395
Hire Table/Chair 21 10 - 66
Fund
Raising 465 728 80 1,148
Donations 8,336 1,507 516 2,078
Glast. Fest. 14,450
23,557 2,395 783 3,687
Payments
Transfer to Deposit A/c 13,920 - - 2,000
Domain Name - 48 - 48
Planning Expenses - - - 1,553
Insurance 371 370 368 367
Fireshield Maintenance 50 73 45 48
Repairs/Decorating 7,776
Electricity 261 740 325 647
EICR Report - 354
Electric Maint - 978 - -
Sundries 55 - -
Community Council 100 100 100 100
Glastonbury Admin 530
23,008 2,718 838 4,763
Summary
Bank current Account 1st Jan. 7,831 8,154 8,208 9,284
Payments made 23,008 2,718 838 4,763
Receipts 23,557 2,395 783 3,687
Petty Cash 1st Jan 11 11 11 11
Petty Cash 31st Dec 11 11 11 11
Bank current Account 31st Dec. 8,380 7,831 8,153 8,208
ASSETS & LIABILITIES
Cash Funds
Lloyds Current Account 8,380 7,831 8,153 8,208
Lloyds Deposit Account 25,941 12,011 12,010 12,007
Petty Cash 11 11 11 11
34,332 19,853 20,174 20,226
Investment Assets - - - -
Liabilities - - - -