OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator.

2023-10-31-accounts

Current Month

Enter YTD = 1,Current Month = 2,for consolidation of P&L Enter YTD = 1,Current Month = 2,for consolidation of P&L Enter YTD = 1,Current Month = 2,for consolidation of P&L e
a
n
and Balance Sheet data beforeprintingthe Actual vs Budget Figures.
Current Month = Month of October 2023
Year to Date = 12 months Nov - Oct
Balance date = 31st October 2023
Inc & Expfrom 01/10/2023
Inc & Expupto 31/10/2023
Financialyear start 01/11/2022
Financialyear end 31/10/2023
Nov Dec Jan Feb Mar Apr May Jun Jul
Consolidation YTD = 1,Current month = 2 1 1 1 1 1 1 1 1 1
Instructions foryear end
Copythe currentyear's spreadsheet to nextyear's spreadsheet - MeadowValeAccounts20xx-yy.xslx.
Usingnextyear's spreadsheet:
1. Update the bank openingbalance in cell E167 in the Current Account Income tab to the closingbalance for thepreviousyear.
2. In the Restricted Funds tab enter the total income and expenses for theyear of the Restricted Funds. The data is in row 158 of th
3. Enter the uncleared items of income and expense at thepreviousyear end into cells G177 to I185 of the Income tab of the nextye
4. Select all cells containingdates in Col A of the Income and Expenditure tabs. Press the Delete key. The emptycells will fill withpi
5. One column at a time,delete all the numbers in cols C to R of the Income tab.
6. One column at a time,delete all the numbers in cols C toQof the Expenditure tab.
7. Nextyear's Income and Expenditure tabs will now be totallyemptysave for cells E167 to E178 of the Income tab.
8. You can enter new income and expense categories in row 6 of the Income and Expense tabs to suit the new financialyear.
These will be the titles of the rows in the Accounts Inc & ExpSummary.
9. Usingthe Tab key,tab to cell C37 in this worksheet and enter the starting year number of the new financialyear. Eg2021 for the 2
10. Nextyear's spreadsheet is readyto use.

Page 1

Current Month

Year 2022 2022 2023 2023 2023 2023 2023 2023 2023
No of months 1 2 3 4 5 6 7 8 9
Last day 30th 31st 31st 28th 31st 30th 31st 30th 31st
Month name November December January February March April May June July
Month number 11 12 1 2 3 4 5 6 7
Last dayof month dd/mm/yyyy 30/11/2022 31/12/2022 31/01/2023 28/02/2023 31/03/2023 30/04/2023 31/05/2023 30/06/2023 31/07/2023
First dayof month dd/mm/yyyy 01/11/2022 01/12/2022 01/01/2023 01/02/2023 01/03/2023 01/04/2023 01/05/2023 01/06/2023 01/07/2023
Worksheets arepasswordprotected
rhj123

Page 2

Current Month

Aug Sep Oct
1 1 2
e Income and Expenses tabs of thepreviousyear.
ar.
nk.
2021-22year.

Page 3

Current Month

2023 2023 2023
10 11 12
31st 30th 31st
August September October
8 9 10
31/08/2023 30/09/2023 31/10/2023
01/08/2023 01/09/2023 01/10/2023

Page 4

Meadow Vale Cash Book Income Current account *645

Meadow Vale C ommunity Association 2022-2023
Charity No 291 937
Current Accou nt Sort code 40-14-15 Account **9645 Day to D ay Income fro m Running the Charity Grants Received for t he Constructo n of the New B uilding
Receipts Spare col
Date
dd/mm/yyyy
Cleared
Month
Source Asset = A Amount Hall hire -
regular
groups
Hall hire -
parties and
similar
Hall hire -
Bristol City
Council
Other income Unrestricted
Grants for
New Building
BCC CIL
Grant No 1
£183,000
Enovert
£50,000
BCC S106
£40,000 Sport
Quartet PV
Panels Grant
£5,000

Jill Johnston
Gift £2,500
Quartet
Ecology
Grant £5,000
BCC CIL
Grant No 2
£22,000
John James
Grant 3
£10,000
Quartet Ardagh
Grant £5,000

Rotary District
Grant £750
Wessex Water
Grant £1,970

Community
Resilience
Grant
Total
Capital
Income
07/11/2022 1 Quartet Community- Ecology A 5,000.00 5,000.00 5,000.00
23/11/2022 1 Rebate from British Gas £66.00 T/f to Expendit ure -
22/12/2022 2 Rebate from British Gas £67.00 T/f to Expendit ure -
25/01/2023 3 Rebate from British Gas £67.00 T/f to Expendit ure -
22/02/2023 4 Rebate from British Gas £67.00 T/f to Expendit ure -
03/02/2023 4 Cash In at Bank 20.50 20.50 -
-
13/03/2023 5 Quartet CommunityArdagh A 5,000.00 5,000.00 5,000.00
14/03/2023 5 Falun Gong 60.00 60.00 -
16/03/2023 5 BCC - CIL Round 2 A 22,000.00 22,000.00 22,000.00
23/03/2023 5 Rebate from British Gas £67.00 67.00 67.00 Cheque -
11/04/2023 6 John James BTL YY4 A 10,000.00 10,000.00 10,000.00
20/04/2023 6 Cheque Paid into Bank 40.00 40.00 -
25/04/2023 6 Falun GongApril 60.00 60.00 -
28/04/2023 6 Stonozka 231.00 231.00 -
04/05/2023 7 Bristol RotaryGrant A 750.00 750.00 750.00
23/05/2023 7 Falun GongApril 30.00 30.00 -
29/05/2023 7 Stonozka 105.00 105.00 -
02/06/2023 8 Drake Judo 453.00 453.00 -
16/06/2023 8 MembershipFees 6.00 6.00 -
16/06/2023 8 Games Group 48.00 48.00 -
16/06/2023 8 BirthdayParty- N Smith 100.00 100.00 -
16/06/2023 8 Misc sales at Open Day 11.00 11.00 -
23/06/2023 8 V Duncan Membership 3.00 3.00 -
25/06/2023 8 Falun Gong 67.50 67.50 -
26/06/2023 8 Daisha Simpson 10.00 10.00 -
30/06/2023 8 OFG Wargames 12.00 12.00 -
03/07/2023 9 Stonozka 84.00 84.00 -
04/07/2023 9 Quartet CF Wessex Water A 1,970.00 1,970.00 1,970.00
06/07/2023 9 Drake Judo 450.00 450.00 -
06/07/2023 9 Drake Judo Special 110.00 110.00 -
08/07/2023 9 C Gage - Courtenay16th 13.00 13.00 -
11/07/2023 9 H Wadge 13.00 13.00 -
11/07/2023 9 Daishia Simpson 110.00 110.00 -
27/07/2023 9 QFG War Games 29/7 12.00 12.00 -
01/08/2023 10 Falun Gong 90.00 90.00 -
04/08/2023 10 Stonozka August 105.00 105.00 -
07/08/2023 10 Drake Judo August 450.00 450.00 -
14/08/2023 10 V Duncan Caretaker Fee 20.00 20.00 -
15/08/2023 10 Falun Gong 45.00 45.00 -
23/08/2023 10 VickySkuse Membership 13.00 13.00 -
31/08/2023 10 SupportingOptions 24.00 24.00 -
01/09/2023 11 Drake Judo 450.00 450.00 -
07/09/2023 11 Mair Pritchard 50.00 50.00 -
08/09/2023 11 T Cruise Wargames 12.00 12.00 -
24/09/2023 11 VickySkuse 70.00 70.00 -
29/09/2023 11 Liz Sheehan 20.00 20.00 -
03/10/2023 12 Drake Judo Bristol 450.00 450.00 -
03/10/2023 12 Stonozka August 105.00 105.00 -
03/10/2023 12 Stonozka September 180.00 180.00 -
06/10/2023 12 War Games 12.00 12.00 -
12/10/2023 12 MembershipFees Linda Ind 3.00 3.00 -
15/10/2023 12 H Wadge PartyHire 44.00 44.00 -
17/10/2023 12 MembershipJ Currie 3.00 3.00 -
20/10/2023 12 War Games 21/10 12.00 12.00 -
27/10/2023 12 MembershipSubs F Russell 3.00 3.00 -
08/10/2023 12 Falun GongSept 75.00 75.00 -
07/08/2023 10 Daishia Simpson refund dep (50.00) (50.00) -
Total receipts 49,022.00 4,226.00 - - 76.00 - - - - - - 5,000.00 22,000.00 10,000.00 5,000.00 750.00 1,970.00 - - 44,720.00
Uncleared receipts = -
Of which:
12 months Nov - Oct 4,302.00 4,226.00 - - 76.00 - - - - - - 5,000.00 22,000.00 10,000.00 5,000.00 750.00 1,970.00 - - 44,720.00
Month of Octobe r 2023 887.00 878.00 - - 9.00 - - - - - - - - - - - - - - -
Cash Bookpos ition
Opbal 1st Nove mber 29,777.16 Uncleared item s reprioryear
Receipts - 12 m onths Nov - 49,022.00 Unc leared Amoun t £.p Put "x" in col
Payments - 12 months Nov 70,846.76 Name **Receipt ** Payment when cleared
Cl Balance 7,952.40
Uncleared recei pts -
Unclearedpaym ents -
Uncleared item s repriory ear
Uncleared recei pts -
Unclearedpaym ents -
Bank statemen t 7,952.40
Totals - -

Printed 12/14/2023

5 / 9

C t A t I

Meadow V
ale Cash Boo

k Expenditure
k Expenditure
Meadow Vale Commun ity Associati on 2022-2023 C t
t
*645**
Charity No 29 1937
Current Acco unt Sort code 40-14-15 Account 9645 Day to Day C osts of Running the Charity Paid for by Gr ants for the Con struction of the New Building
Expenditure Spare col
Date Cleared
Month
Payt Ref Payee Asset = A Amount Cost of
putting on
events
Site and
Establishmen
Costs
Accounting
& Similar
Fees

Unrestricted
Capital
Expenditure
BCC CIL Grant
No 1 £183,000

Enovert
£50,000
BCC S106
Sport £40,000
Quartet PV
Panels Grant
£5,000
Jill Johnston
Gift £2,500
BCC CIL
Grant No 2
£22,000
John James
Grant 3
£10,000
Quartet
Ecology Grant
£5000

Quartet
Ardagh Grant
£5000
Rotary Grant
£750
WessexWater£
1970
Total
Capital
Expenditure
01/11/2022 1 Water 2 Business 11.50 11.50 -
02/11/2022 1 Portal Plan - PlanningRelated A 148.20 148.20 148.20
15/11/2022 1 British Gas 234.27 234.27 -
19/11/2022 1 Bank charges 5.00 5.00 -
28/11/2022 1 PPL PRS - agreed fee for 2023 7.50 7.50 -
01/12/2022 2 Water 2 Business 11.50 11.50 -
15/12/2022 2 British Gas 234.27 234.27 -
17/12/2022 2 Water 2 Business 97.72 97.72 -
21/12/2022 2 GravityBuild A 10,000.00 1,970.00 8,030.00 10,000.00
23/12/2022 2 GravityBuild -balance of invoice
A
3,354.87 347.67 3,007.20 3,354.87
20/12/2022 2 Bank Charges 5.00 5.00 -
03/01/2023 3 Water 2 Business 28.50 28.50 -
16/01/2023 3 British Gas 234.27 234.27 -
19/01/2023 3 Bank charges 5.00 5.00 -
01/02/2023 4 Water 2 Business 28.50 28.50 -
15/02/2023 4 British Gas 234.27 234.27 -
16/02/2023 4 Fiona Expenses for H/H Items 70.37 70.37 -
17/02/2023 4 Askew Cavanna 1250-12 A 1,809.92 1,809.92 1,809.92
19/02/2023 4 Bank charges 5.00 5.00 -
24/02/2023 4 Construction Professionals A 16,500.00 16,500.00 16,500.00
01/03/2023 5 Water 2 Business 28.50 28.50 -
09/03/2023 5 Watt Design A2AQ-IN-2303 A 270.00 270.00 270.00
15/03/2023 5 Bristol CC DD Green Bins 29.00 29.00 -
15/03/2023 5 British Gas 234.27 234.27 -
16/03/2023 5 Construction Professionals A 10,684.67 5,817.68 905.44 3,961.55 10,684.67
16/03/2023 5 Construction Prof- Pergola St 1 A 1,997.01 1,997.01 1,997.01
21/03/2023 5 Bank Charges 5.00 5.00 -
21/03/2023 5 SSL - Contamination Report A 315.00 315.00 315.00
28/03/2023 5 Portal Plan - PP12033479v1JLQ A 266.20 266.20 266.20
02/04/2023 6 A BuckleyAnn Fire Check 299.38 299.38 -
03/04/2023 6 Water 2 Business 28.50 28.50 -
05/04/2023 6 Construction Professionals A 7,902.41 4,149.42 3,002.99 750.00 7,902.41
11/04/2023 6 Horfield Common Co Ardagh 2,500.00 2,500.00 2,500.00
17/04/2023 6 British Gas 234.27 234.27 -
18/04/2023 6 Ansvar Insurance 159.47 159.47 -
19/04/2023 6 Bank Charges 5.48 5.48 -
27/04/2023 6 AJS Electrical Services 80.00 80.00 -
23/05/2023 7 Portal PlanningRequest Rebate
A
(116.00) (116.00) (116.00)
02/05/2023 7 Water 2 Business 28.50 28.50 -
03/05/2023 7 Service of ExpVes Boiler 120.00 120.00 -
12/05/2023 7 Lindsey- Printingof Flyers- OD 95.00 95.00 -
15/05/2023 7 British Gas 234.27 234.27 -
17/05/2023 7 Ansvar Insurance 159.41 159.41 -
20/05/2023 7 Bank Charges Curren t Acct Expenditu re row 5.80 -
22/05/2023 7 Construction Prof Val 11 A 2,180.00 2,180.00 2,180.00
01/06/2023 8 Water 2 Business 28.50 28.50 -
15/06/2023 8 British Gas 234.27 234.27 -
17/06/2023 8 Askew Cavanna Pyramid Work A 1,575.00 1,484.37 90.63 1,575.00
17/06/2023 8 Fi Russell expenses May23 44.81 44.81 -
19/06/2023 8 Ansvar Insurance 159.41 159.41 -
10/06/2023 8 Bank Charges 5.00 5.00 -
25/06/2023 8 Hose & Attachment - L Fuller 89.59 89.59 -
03/07/2023 9 Water 2 Business 28.50 28.50 -
12/07/2023 9 Fi Russell expenses June 23 19.99 19.99 -
12/07/2023 9 Mrs L Fuller Printing 11.00 11.00 -
17/07/2023 9 British Gas July 234.27 234.27 -
18/07/2023 9 Ansvar Insurance - July 159.41 159.41 -
20/07/2023 9 Bank Charges 6.06 6.06 -
01/08/2023 10 Water 2 Business 28.50 28.50 -
07/08/2023 10 D Simpson refund depT/f to Income -
09/08/2023 10 F I Russell AugExpenses 47.48 47.48 -
15/08/2023 10 British Gas 234.27 234.27 -
17/08/2023 10 Ansvar Insurance 159.41 159.41 -
19/08/2023 10 Bank Charges 5.00 5.00 -
22/08/2023 10 Drumchiyski Fittingnew door 670.00 670.00 -
01/09/2023 11 Water 2 Business 28.50 28.50 -
15/09/2023 11 British Gas Sept 234.27 234.27 -
19/09/2023 11 Ansvar Insurance Sept 159.41 159.41 -
19/09/2023 11 Bank Charges 5.00 5.00 -
29/09/2023 11 Horfield. Phase 2 ofQuartet A 2,500.00 2,500.00 2,500.00
02/10/2023 12 Water 2 Business 28.50 28.50 -
11/10/2023 12 Fi Russell Expenses 113.73 113.73 -
12/10/2023 12 Gravityex Cons Prof. A 2,102.40 109.75 1,992.65 2,102.40
16/10/2023 12 British Gas 234.27 234.27 -
17/10/2023 12 Ansvar Insurance 159.41 159.41 -
17/10/2023 12 Darren Comer - toilet repair 40.00 40.00 -
20/10/2023 12 Bank Charges 5.00 5.00 -
22/10/2023 12 Fridge Freezer-V. Duncan 529.00 529.00 529.00
31/10/2023 12 Fire Risk Audit- Ind fire 462.00 462.00 -
23/11/2022 1 Rebate from British Gas £66.00 (66.00) (66.00) -
22/12/2022 2 Rebate from British Gas £67.00 (67.00) (67.00) -
25/01/2023 3 Rebate from British Gas £67.00 (67.00) (67.00) -
22/02/2023 4 Rebate from British Gas £67.00 (67.00) (67.00) -
Total expend iture 70,840.96 95.00 6,170.74 62.34 529.00 9,800.00 - 16,847.67 - 905.44 - 22,000.00 3,686.57 5,000.00 5,000.00 750.00 - 64,518.68
Unclearedpayments = -
Of which:
12 months No v - Oct 6,328.08 95.00 6,170.74 62.34 529.00 9,800.00 - 16,847.67 - 905.44 - 22,000.00 3,686.57 5,000.00 5,000.00 750.00 - 64,518.68
Month of Octo ber 2023 1,042.91 - 1,037.91 5.00 529.00 - - - - - - - - - - - - 1,576.91

Printed 12/14/2023

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C t A t E dit

Meadow Vale Community Association Charity number 291937 Statement of Financial Position Financial Year 1st November 2022 - 31st October 2023

Income and Expenditure Account
Amounts in £.p
Income
878.00
Hall hire - regular groups
-
Hall hire - parties and similar
-
Hall hire - Bristol City Council
9.00
Other income
887.00
Total income
Expenditure
-
Cost of putting on events
1,037.91
Site and EstablishmenCosts
-
Household and Garden
-
Building and Site Maintenance
5.00
Accounting & Similar Fees
1,042.91
Total expenditure
(155.91)
Surplus/(Deficit) for period
Month of October
2023
Amounts in £.p
4,226.00
-
-
76.00
12 months Nov - Oct
4,302.00
95.00
6,170.74
-
-
62.34
6,328.08
(2,026.08)

Site and Establishment costs are the fixed costs of "putting the key in the door", including heat, light, power, water & sewerage, insurance, rates, phone & internet.

Assets and Liabilities

31st October 2022 Balance Sheet
26,804.00
Opening Balance Land & Buildings at Cost
291,346.23
Land & Buildings Acquired in Year
-
Fixtures & Fittings Acquired in Year
29,777.16
Cash at Bank
-
Less: Creditors and Accruals
347,927.39 Net Assets
Represented by:
3,836.01
Unrestricted Reserves Op Balance 1st November
(1,611.96)
Unrestricted Reserves Surplus/(Deficit) for Year
28,079.31
Capital Funds Received in Prior Years
317,624.03
Capital Funds Received in Current Year
347,927.39
31st October 2023
318,150.23
63,989.68
529.00
7,952.40
-
390,621.31
2,224.05
(2,026.08)
345,703.34
44,720.00
390,621.31

The charity had no liabilities at either of the two Balance Sheet dates.

I have examined the accounting records of Meadow Vale Community Association and have found everything to be in order.

Signed Examiner:

Date:

Print:

Printed 12/14/2023

7 / 9

Accounts Inc & Exp Summary

Meadow Vale Capital Funds

Restricted Funds Cumulative
Funds Incoming
& Expended

Total All
Funds for
Year
Unrestricted
Building
Funds
BCC CIL
Grant No 1
£183,000
Enovert
£50,000
BCC S106
£40,000
Quartet PV
Panels £5,000
Jill Johnston
Gift £2,500

Quartet
Ecology Grant
£5,000

BCC CIL Grant
Round 2
£22,000

John James
Grant 3
£10,000
Quartet
Ardagh Grant
£5,000
Rotary District
Grant £750

Wessex Water
Grant £1,970
2021-22
Fund OpBalance 1st November £1,275.31 -£3,524.69 £9,800.00 -£5,000.00 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00
IncomingResources £345,703.34 £317,624.03 £0.00 £182,876.80 £50,000.00 £40,000.00 £5,000.00 £2,500.00
Expended Resources £318,150.23 £291,346.23 -£3,524.69 £182,876.80 £50,000.00 £23,152.33 £0.00 £1,594.56
Fund Cl Balance 31st October £27,553.11 £27,553.11 £0.00 £9,800.00 -£5,000.00 £16,847.67 £5,000.00 £905.44 £0.00 £0.00 £0.00
2022-23
Fund OpBalance 1st November £27,553.11 £0.00 £9,800.00 -£5,000.00 £16,847.67 £5,000.00 £905.44 £0.00 £0.00 £0.00 £0.00 £0.00 £0.00
IncomingResources £390,423.34 £44,720.00 £5,000.00 £22,000.00 £10,000.00 £5,000.00 £750.00 £1,970.00
Expended Resources £382,139.91 £63,989.68 £9,800.00 £16,847.67 £905.44 £5,000.00 £22,000.00 £3,686.57 £5,000.00 £750.00
Fund Cl Balance 31st October £8,283.43 £8,283.43 £0.00 £0.00 -£5,000.00 £0.00 £5,000.00 £0.00 £0.00 £0.00 £6,313.43 £0.00 £0.00 £1,970.00

Capital Funds

Printed 12/14/2023

8 / 9

Bristol ESU Cash Book Deposit Account *384

Meadow Vale Community Association 2022-2023 Meadow Vale Community Association 2022-2023 Meadow Vale Community Association 2022-2023 Meadow Vale Community Association 2022-2023
Charity No 291937 0
Reserve Account Sort code xx-xx-xx Account *123 Out In Interest Balance
Openingbalance 1st November 2022 -
30/11/2018 interest -
31/12/2019 interest -
31/01/2019 interest -
28/02/2019 interest -
29/03/2019 interest -
-
-
-
-
-
-
-
-
-
-
-
Totals - - - -
Net transfers -
Of which:
12 months Nov - Oct -
Month of October 2023 -
Sheet isprotected with a blankpassword.

Printed 12/14/2023

9 / 9

Deposit Account

Chairperson’s Annual Report 2023

For the AGM on the 7[th] of November 2023 I would like to thank our amazing Trustees for their hard work and perseverance through a challenging but ultimately successful year, mostly focussed on the building of our new multipurpose hall. The new hall was opened to the community in July. So for the first eight months of the 22/23 financial year we were closed ; thereby unable to generate any revenue from use of the facilities.

It has been a long haul. We started ground investigation work back in 2020. The first builder we appointed went into receivership shortly after they started building in 21. Eventually we appointed Gravity Build and they have taken it through to completion. I am so pleased and proud that I lived to see the hall finished, and I feel, that I have fulfilled the promise of all those who struggled to get a bigger and better hall for their community since 1985. This is a significant achievement by a small group of committed volunteers. They have demonstrated their credentials for being able to plan and deliver complex projects.

The new building , along with the smaller existing centre, offers the deprived community of Speedwell facilities, activities and other services to support young people, promote community cohesion and meet the needs of the older, often isolated, members of the community.

We have recently secured additional funds of £82,000 through a Bristol City council Community Resilience fund to complete vital works on the externals such as fitting a pedestrian gate into the neighbouring park, repainting the fence, new set of waste bins and a new tarmac surface over the whole yard. There will also be a complete refurbishment to an old storage shed. These will happen in the first quarter of 2024 so the site will be really fit for purpose

The CRF funding will also enable a new electric heating system in the old building with solar panels/battery combination and electric water heaters.

No community centre can survive without fundraisers, and Lindsey, Jim and Nichola have certainly come up trumps. We can also welcome Sam who will now continue to apply for the grants we require to keep going. One of our aims is to have a paid

administrator to cope with the policy updates, finding grants which will make the day to day running much easier.

Amazingly we have managed to stay in the black, during all the trials and tribulations of the building. Mainly due to our wonderful Treasurer Jim.

It felt very good to meet people again on our open day and listen to your suggestions.

It was lovely to welcome back Stonozka and Falun Gong. We have also had success with the new hall. A Judo club now meets on Monday, Wednesday, and Thursday. Tuesday’s, we have Yoga in both halls. Party bookings have been coming thick and fast, five to date with several more to come. Judo have also had extra two competition events with two more to come. Stonozka have brought their school to us for 4 bookings while the school the were using has closed, and they are also hiring both halls for their bigger events, like wreath making. We have one other regular user of the small hall now, a care group, has brought some of the people they care for together, for company and to share cooking and a meal. Venisha and her 10 friends got together to run a Fun Day for

the community, and they are now planning a Christmas Event.

We can and will do much more as we find people to run sessions. Coffee morning, toddler group, choir, gardening group, were just some of our suggestions, but to do any of them we need volunteers.

We have applied for a warm space grant if we get it, it will help all those feeling lonely and cold this winter.

We need some local gardeners to volunteer to help us with planting at the centre, Maldowers lane, and in Meadow Vale Park. Please leave your contact details if you are willing to help. You don’t have to be a gardener, as instruction will be given.

We still have money left from the grant given to us in 2017 for the park. Plans are in, for more Gym equipment and a chess table. Unfortunately, the pump track, the teenagers requested was eventually turned down by the Council.

Please give us more suggestions for the park, as you all love using the park. We now have 12 new trees, and I know you would like more benches and picnic table.

Let’s make this centre a great community hub. We now move from being in a

construction phase to an exciting one of community development. There is much to do still in reaching out to the community and the opportunity to really make a difference to the lives of those in and around Speedwell is very exciting Best Wishes, Fiona Russell Chairperson.

RECEIPTSANDPAYMENTS €:p
Total balanceofAccountat thestartof theyear (b/w) asperthelastcertificate/audit 29,777.16
ADD: Totalreceiptsduring theperiod 49,455.00
LESS:Total paymentsdurinqtheperiod 71,27976
TOTAL BALANCEofaccountattheend oftheperiod 7.952.40
FUND BALANGES AS AT YEAREND f:p
CashatBank (CurrentAccount) 7,952.40
CashatBank (DepositAccount)
Cash inHand
7.952.40