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2023-12-31-accounts

Radway Village Hall Annual Report 2023

Income Report

Income in 2023 has shown a significant increase compared to the previous year. The hall continues to attract a wide range of users both from the village and from further afield. Regular weekly users such as the bible group and tea/chat/play provide a good level of income. During 2023 additional new regular users such as tai chi and bridge club have contributed further income which is expected to continue into 2024. In addition, revenue from the private hire of the hall has almost doubled compared with 2022.

The 2023 annual accounts show a deficit of £821.75. However, this figure includes capital expenditure of £2996.03. Excluding the capital expenditure, the accounts show a surplus of income over expenditure of £2174.28.

The income breakdown was as follows:

Capital Programme

The repointing of the south wall and associated stonework repairs were completed.

Financial Accounts

The financial accounts for 2023 are attached.

RADWAY VILLAGE HALL ACCOUNTS

1/1/23 to 31/12/23

Income & Expenditure

Income
Hall Hire Revenue
Radway PC Insurance grant
Equipment Hire
Stratford DC
Donations
Lottery Grant (Apple Press)
WaterPlus Refund
Interest received
Total
Expenditure
Electricity
Waterplus
Zurich Insurance
Betafire Protection
PAT (Testing)
Capital Expenditure (Stonework)
Misc (trays)
Mobile Phone
Apple Presses
Tree work
Maintenance & Repairs
Cleaning Materials, Paint & Miscellaneous
New Refrigerator
Film Night Expenses + Misc from Float
Total
Net Profit / Loss
2023
2022
YoY(2023-2022)
£4,023.00
£2,538.00
1,035.00
£385.40
£447.75
(62.35)
£60.00
£20.00
40.00
£0.00
£25.00
(25.00)
£425.00
£98.00
777.00
£0.00
£605.00
(605.00)
£0.00
£0.00
0.00
£81.47
£12.07
69.40
£4,974.87
£3,745.82
1,229.05
£596.13
£558.00
38.13
£153.74
£144.60
9.14
£385.40
£447.75
(62.35)
£175.15
£196.31
(21.16)
£86.00
£85.00
1.00
£2,996.03
£0.00
2,996.03
£0.00
£50.00
(50.00)
£45.00
£60.00
(15.00)
£0.00
£605.00
(605.00)
£327.00
£0.00
327.00
£465.15
£0.00
465.15
£337.02
£0.00
337.02
£230.00
£0.00
230.00
£0.00
£0.00
0.00
£5,796.62
£2,146.66
3,649.96
-£821.75
£1,599.16
(2,420.91)

Cash Assets (as of 31/12)

Current Account
Business Reserve
Total
£1,405.04
£2,308.26
(903.22)
£5,629.59
£5,548.12
81.47
£7,034.63
£7,856.38
(821.75)

Appendix: Account Movements

Current Account

Opening Balance at 1/1 £2,308.26 £721.17 Income & Expenditure (excluding interest) -£903.22 £1,587.09 Transfers £0.00 £0.00 Closing balance at 31/12 £1,405.04 £2,308.26

Business Reserve

Opening Balance at 1/1
Interest
Transfers
Closing balance at 31/12
Breakdown of Income 2023
Private Hire
Sunday Bible Group
RPC
Tea/Chat/Play
REG
Book Club
Gardening Club
Church Wardens
Green Group
Tai Chi Group
Elections
Bridge Club
Coronation (Jubilee) celebrations
Total
£5,548.12
£5,536.05
£81.47
£12.07
£0.00
£0.00
£5,629.59
£5,548.12
£627.00
£323.00
£1,000.00
£941.00
£161.00
£217.00
£700.00
£700.00
£291.00
£133.00
£112.00
£42.00
£457.00
£56.00
£42.00
£28.00
£0.00
£28.00
£220.00
£0.00
£169.00
£0.00
£174.00
£0.00
£70.00
£70.00
£4,023.00
£2,538.00

John Hutchison, Trustee, 14 April 2024