OpenCharities

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

2025-09-30-accounts

TRUSTEES ANNUAL REPORT 2024-25

As last year the Trustees had 3 main objectives, namely:

In difficult circumstances all three objectives continued to be met to varying degrees.

The Joint Modernisation Working Group, consisting of representatives from the Trustees and the Parish Council, who own the building, continued to make very good progress to obtain funds for the much needed modernisation of the hall. Progress had been such that the Working Group began reporting to a formal Committee of the Parish Council. Potential funding opportunities had been and continued to be explored and some significant funding had been secured from the East Suffolk Council CIL fund. More funding was still required to bring the project to fruition. However, work had started involving useful discussions with architects and other professionals to undertake the necessary preliminary work on project design and costings. The Trustees and Parish Council were hopeful that further funding would be found and that work might begin in the Spring of next year.

The modernisation of the hall was essential because it was increasingly showing its age in terms of its appearance, structure and facilities. Also, its attractiveness to both existing and potential new users continued to decline. The Trustees had done their best to keep the hall operational and had succeeded in doing so to the extent that operational funding will allow. The Trustees also had to continue being conscious of not incurring any expenditure on works or facilities that would be removed or become redundant if modernisation were to go ahead. The current aim is to keep the hall going until the modernisation project begins.

The hall continued to broadly break even in terms of its income and expenditure but it was a fine balance and any unexpected major maintenance expenditure or departure of regular users could affect this negatively and threaten the hall’s viability.

The Trustees still had no formally appointed Chairman, but the Secretary continued acting up in the role as the occasion demands. The addition of two new Trustees last year had greatly helped to keep the hall running but there had been no recruitment of further Trustees because the number of people prepared to volunteer for community activities seem to be diminishing in number generally.

Wickham Market Trustees

November 2025

STATEMENTS OF ACCOUNTS

WICKHAM MARKET VILLAGE HALL

For the year ended 30[th] September 2025

We hereby certify that the attached accounts have been prepared, without carrying out an audit, from the information and explanations supplied to us.

Scoot-Williams Ltd

Date: 20[th] February 2026

Registered office: White House, Main Road, Little Glemham, IP13 0BA Co. No.: 14459299

WICKHAM MARKET VILLAGE HALL

2024
£
£
£
Net Income from:
2,854
£
Bingo
4,728
£
850
£
Village Show
-
£
-
£
Field
-
£
1,158
£
Wickham Market Movies
-
£
4,862
£
4,728
£
Other Income:
13,651
£
Letting Fees
13,697
£
-
£
Donations
133
£
-
£
Fund Raising
-
£
-
£
Grants
250
£
2,050
£
Insurance
380
£
240
£
Car Park
480
£
500
£
Sundry Income
-
£
-
£
Interest Received
-
£
16,441
£
14,939
£
21,303
£
TOTAL INCOME
19,667
£
Expenditure
772
£
Water
782
£
3,480
£
Light and Heat
3,865
£
2,450
£
Insurance and Licenses
2,949
£
4,303
£
Repairs and Renewals
1,676
£
-
£
Playing Field Costs
555
£
Sundries
718
£
4,286
£
Cleaning, Refuse & Caretaker
4,579
£
302
£
Broadband
372
£
400
£
Modernisation Expenses
-
£
Accountancy
360
£
42
£
Depreciation
31
£
16,589
£
15,331
£
4,714
£
4,337
£
4,714
£
Surplus/(deficit) for the year
4,337
£
2025
Income & Expenditure Account for the Year Ended 30th September 2025
General Fund
2024
£
£
£
Net Income from:
2,854
£
Bingo
4,728
£
850
£
Village Show
-
£
-
£
Field
-
£
1,158
£
Wickham Market Movies
-
£
4,862
£
4,728
£
Other Income:
13,651
£
Letting Fees
13,697
£
-
£
Donations
133
£
-
£
Fund Raising
-
£
-
£
Grants
250
£
2,050
£
Insurance
380
£
240
£
Car Park
480
£
500
£
Sundry Income
-
£
-
£
Interest Received
-
£
16,441
£
14,939
£
21,303
£
TOTAL INCOME
19,667
£
Expenditure
772
£
Water
782
£
3,480
£
Light and Heat
3,865
£
2,450
£
Insurance and Licenses
2,949
£
4,303
£
Repairs and Renewals
1,676
£
-
£
Playing Field Costs
555
£
Sundries
718
£
4,286
£
Cleaning, Refuse & Caretaker
4,579
£
302
£
Broadband
372
£
400
£
Modernisation Expenses
-
£
Accountancy
360
£
42
£
Depreciation
31
£
16,589
£
15,331
£
4,714
£
4,337
£
4,714
£
Surplus/(deficit) for the year
4,337
£
2025
Income & Expenditure Account for the Year Ended 30th September 2025
General Fund
2024
£
£
£
Net Income from:
2,854
£
Bingo
4,728
£
850
£
Village Show
-
£
-
£
Field
-
£
1,158
£
Wickham Market Movies
-
£
4,862
£
4,728
£
Other Income:
13,651
£
Letting Fees
13,697
£
-
£
Donations
133
£
-
£
Fund Raising
-
£
-
£
Grants
250
£
2,050
£
Insurance
380
£
240
£
Car Park
480
£
500
£
Sundry Income
-
£
-
£
Interest Received
-
£
16,441
£
14,939
£
21,303
£
TOTAL INCOME
19,667
£
Expenditure
772
£
Water
782
£
3,480
£
Light and Heat
3,865
£
2,450
£
Insurance and Licenses
2,949
£
4,303
£
Repairs and Renewals
1,676
£
-
£
Playing Field Costs
555
£
Sundries
718
£
4,286
£
Cleaning, Refuse & Caretaker
4,579
£
302
£
Broadband
372
£
400
£
Modernisation Expenses
-
£
Accountancy
360
£
42
£
Depreciation
31
£
16,589
£
15,331
£
4,714
£
4,337
£
4,714
£
Surplus/(deficit) for the year
4,337
£
2025
Income & Expenditure Account for the Year Ended 30th September 2025
General Fund
13,697
£
133
£
-
£
250
£
380
£
480
£
-
£
-
£
4,728
£
782
£
3,865
£
2,949
£
1,676
£
718
£
4,579
£
372
£
360
£
31
£
14,939
£
19,667
£
15,331
£
4,337
£
4,337
£

WICKHAM MARKET VILLAGE HALL

Modernisation Fund

Income & Expenditure Account for the Year Ended 30th September 2025

2024
£
Income:
-
£
Grants and donations received
-
£
Transfer from general fund
-
£
Fund raising events
2,782
£
Bingo donations
-
£
Donation from General fund
2,782
£
Expenditure:
-
£
Structural Survey
-
£
Architects
-
£
Expenses of fund-raising events
-
£
Printing, Advertising, Posters etc
-
£
Sundry
-
£
2,782
£
Surplus/(deficit) for the year
£
£
-
£
-
£
-
£
1,035.00
£
-
£
2025
£
£
-
£
-
£
-
£
1,035.00
£
-
£
2025
-
£
-
£
-
£
-
£
425.00
£
1,035.00
£
425.00
£
610
£

WICKHAM MARKET VILLAGE HALL

Balance Sheet as at 30th September 2025

2024
£
Fixed Assets:
76,622
£
Hall Extension
Fixtures, Fittings& Equipment
166
£
As at 1st October 2024
-
£
Additions
166
£
42
£
Less Depreciation
125
£
Archive Shed
-
£
As at 1st October 2025
-
£
Less Depreciation
Portacabin
1
£
As at 1st October 2026
-
£
Less Depreciation
1
£
76,748
£
TOTAL FIXED ASSETS
Current Assets
Bank Accounts
39,864
£
General Fund
66,266
£
Modernisation Fund (Co-Op)
35,250
£
Modernisation Fund (Barclays)
Cash in Hand
14
£
General Fund
40
£
Modernisation Fund
141,434
£
218,182
£
LESS: Current Liabilities
(360)
£
Sundry creditors
Hire Deposits Held
(380)
£
Key Deposits Held
217,442
£
NET ASSETS
£
£
76,622
£
125
£
-
£
31
£
2025
£
£
76,622
£
125
£
-
£
31
£
2025
0
0
1
0
94
£
43,872
£
67,301
£
34,826
£
14
£
40
£
1
£
76,717
£
146,053
£
222,770
£
-
£
-
£
(380)
£
222,390
£
146,053
£
222,390
£

WICKHAM MARKET VILLAGE HALL

Balance Sheet 30th September 2025

Represented by:-
2024
£
General funds
106,876
£
As at 1 October 2024
4,715
£
Surplus for the year
111,591
£
Modernisation Fund
98,770
£
As at 1 October 2024
2,782
£
Surplus for the year
101,552
£
Wickham Market Movies Reserve Fund
4,000
£
As at 1 October 2024
Surplus for the year
4,000
£
Village Show Reserve Fund
300
£
As at 1 October 2024
Surplus for the year
300
£
217,442
£
£
£
111,591
£
4,337
£
2025
£
£
111,591
£
4,337
£
2025
101,552
£
610
£
115,928
£
4,000
£
102,162
£
300
£
4,000
£
300
£
222,390
£