OpenCharities

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

2023-12-31-accounts

Kimpton Memorial Hall Management Committee

Accounts for the year ended 31 December 2023

Treasurer's Report.

The accounts are prepared on a Cash Basis, which means everything paid and received in the year is accounted for in that year. This is in line with the Charities Commission for Charities Reporting and Accounting Essentials November 2016 (CC15d), for charities that have a gross income of less than £25,000

Total income for the year was £22,734 (£17,734 from bookings and £5,000 from a business grant) against £26,184 in 2022. Income included the grant of £5,000 from Low Carbon Workspaces and a donation of £500 from the Kimpton Horse show. The remainder is for the recharges to the Scout Group and Parish Council.

Direct expenses have increased to £2,969 in 2023 from £2,911 in 2022

Overheads show an increase from £10,743 in 2022 to £12,280 in 2023.

Projects and improvements of £1,935 this year included: £960 for Tree and Hedge Trimming and £975 for the re-sanding of the hall floor.

Overall, the hall made a net profit of £1,477 on Hiring over Costs, and other receipts less the Hall improvement projects, this has resulted in an overall profit of £5,550

The Bank Balance is healthy at £43,376 at the Year End.

Scrutiny of accounts, again in line with the Charities Reporting and Accounting Essentials November 2016 (CC15d) only charities with a gross income of £25,000 or more in their financial year need to have the accounts audited.

Kimpton Memorial Hall CIO Management Commitee Accounts (to 31/12/23)

Kimpton Memorial Hall CIO Management Commitee Accounts (to 31/12/23)
HALL HIRE RECEIPTS
Booking Fees
Events/Partes
P.A. / Bar
Lining Rental
Damage Deposit Rceipts
OTHER RECEIPTS
Donatons
Peppercorn Rentals / Recharges
Bank Interest
Business Grant
Clothing Bank
TOTAL RECEIPTS
DIRECT PAYMENTS
Cleaner
Honorarium
Window Cleaner
OVERHEADS
Council Tax
Trade Waste
Water Rates
Premises and Trustee Ins.
Electricity
Gas
Bank Charges
Performing Rights
Other
Licences
Postage
Statonary
B.W.P.
Boiler Service
Hall/Roof Repairs
Fire Safety Maintenance
Cleaning Materials
Piano Tuning
Air Conditoning
Hall Booking Sofware
Legal Fees
HALL IMPROVEMENT PROJECTS
Hall Garden/Car Park - Tree /hedge Trimming
Hall roof/Solar panels
Boiler
Green Room /Ventlaton
Blinds
Lounge room
Main room/Re-sanding foor
fve year Inspecton
TOTAL EXPENDITURE
Total Proft/(Loss)
2023
2023
£
£
15,668.75
0.00
140.00
918.00
0.00
16,726.75
500.00
305.65
84.13
5,000.00
118.00
6,007.78
22,734.53
1,954.40
770.00
245.00
2,969.40
628.44
1,020.89
293.75
1,173.44
3,834.62
1,468.48
60.00
159.77
455.04
36.00
0.00
0.00
368.04
219.00
749.70
613.23
505.70
80.00
360.00
254.39
0.00
12,280.49
960.00
0.00
0.00
0.00
0.00
0.00
975.00
0.00
1,935.00
17,184.89
5,549.64
1,476.86
4,072.78
5,549.64
37,904.18
(112.57)
37,791.61
43,376.55
(35.30)
0.00
43,341.25
(5,549.64)
22,734.53
(17,184.89)
5,549.64
0.00
2022
£
13,313.50
0.00
0.00
0.00
0.00
13,313.50
1,051.00
191.96
41.40
11,586.00
0.00
12,870.36
26,183.86
1,991.60
700.00
220.00
2,911.60
910.82
940.67
521.11
1,042.28
2,187.93
643.32
86.00
281.54
373.92
216.00
0.00
0.00
500.00
721.53
514.31
885.15
272.57
80.00
312.00
254.39
0.00
10,743.54
0.00
18,079.20
0.00
11,586.00
0.00
2,619.01
0.00
990.00
33,274.21
46,929.35
(20,745.49)
Analysis of Proft/(Defcit)
Hiring Receipts Less Direct Payments & Ovrhd
Other Receipts Less Hall Improvement Projects
1,476.86
4,072.78
5,549.64
Bank opening at 01/01/2023
pety cash opening
Bank closing @ 31/12/23
pety cash opening
Pety cash
Closing HALL DEPOSIT
Receipts
Payments
Total Proft/(Loss)
Dif
37,904.18
(112.57)
37,791.61
43,376.55
(35.30)
0.00
43,341.25
(5,549.64)
22,734.53
(17,184.89)
5,549.64
0.00
5,549.64
0.00