Lympstone Village Hall
Charitable Incorporated Organisation
Charity Number1187640
Report and Financial Statements
for the year ended 31 March 2025

LYMPSTONE VILLA
CONTENTS
E HALL CIO
Charity Informat*)n
Trustees, Report
4tr)5
Statement of Trustees, Responsits'lrties
Independent Examine¢s Rep)rt
Statement of Financial ActNilies
Balance Sheel
Notes to the Financial Statements
101013
Page 2

Report and Financial Statements
for the period l April 2024 to 31 March 2025
Lympstone Village Hall CIO
Charity Number 1187640
Charity Information
Charity Address:
School Hill
Lympstone
Exmouth
EX8 5JY
Trustees at 31 March 2025:
Mr Gregor Crum (Chairl
Mr Stephen Morgan ITreasurerl
Ms Sharon Wayland Isecretaryl
Mrs Marjorie Brewer
Mrs Anne Crisp
Ms Jennifer Moon
Ms Corinne Gimber
Mr Keith Hill (Lympstone Parish Council representative)
Ms Sheila Stone
Mr Richard Francis
Ms Emma Bushell
M r John Cross13ppointed Ilth of December 20241
Karen Paula Ball l appointed 7th of September 20251
Bankers:
Nat West plc, Exrnouth Branch
United Trust Bank Limited
Independent Examiners:
Thompson Jenner LLP, Exeter
Website:
www.I

LYMPSTONE VILLAGE HALL CIO
Truste8 Report for the yeareNled 31 Mwch 2025
FOREWORD BYGREGORCRUM, CHAIRMAN
l am deliglrted lo report on the activities ol Lympitone W￿lalle Hall CIO, in its fifth fvll year of
operdtlon.
The Hall contInU￿ to playa ilgnilKant arml le￿IlTra rolo ¥1 Vill40 C￿mul￿ty lrfo.
Structure and Governanc
The Trustees are pleased to pres¢nt their Report and FinarKial Statements ol the Charitable
lrtorporatod 0rganmat1￿. ¢lwity number 1187640.
The Board ofTnatett are ￿pported ty a Man4em•nt Team. arMI ty a Prernl￿ Manwr.
Borthing$ CoordiThitor. a￿1 Clew*r. The Clwity Othe￿rye reliH upon Tmlunteer suppwt.
Oblectlves and Actfvllles
The Charity OW￿ and Lymp8tone Mllage Hall. formlroj the very centre of ￿lIage *tlvlt18
The Hall corniits of aynule storey Complex containiThJ three letting rooms: Main Hall, Meeting
Room and Communtty Room. wi thlition to a 1*en￿d t•rarMI knt¢hon.
The cornplex is wed lry awKle raThJe ol vill¥8 owi¥ation¥ for ￿la1. ed￿atIonal. art￿￿ and
entertainment purposK. It ij atso used by sem1-comrne￿Ial organlsatiom. lor example ￿0￿118
and keep fit cl&ty¢i. The Hall also weddirwj re¢eptioN, and famity partie5.
The CIO contlnues to focus on its ¢8ntral purpo* ot provKliw hpjh quality meeting aThl event
for the Lyrnpslone commtsnity.
Achlevèments and P0rfornMr￿8
The CIO increased it3 I￿orne from the hlre of the hall* facilities Irom £65.IYJO in 2023-24 to £72.lJ)O in
202425, a rtse of over 10%. and another record level d annual operating incom8 for the Charlty. The demand
for the hally excellent facililie5 continues lo rr4e. and the three hall roorrra are better utiliwl than ever.
a resulL the Tr￿tee¥ were ablfr to complete the dlsabled path between the hall buildiNJ
and the tennii courts, fund a complete sel of new stage lighliThJ at a cost of £16.OiYJ. aNI purchase a
new glass dithwah8r forthe bararea1£2,(KKII.
The Trustees have set ashje £20,￿ forlurther¢apltsl bxolects.
Replacement of the tennis clubhouse r¢wJl IE5.iWI
Repla¢ment of the Thwn Wl floorinq1£7,5LKII
Oiher projects d￿Igned to further improve the halll laclllt18s1£7,$001
Page 4

Charfty's Pollcy on Reserves
The CIO'S r83eNes ￿lcY Is to malntsln a mlnlmum sum of £42.fAKI for general runNThJ crAt#and
other cofflmitments, reflectiw approximat8ty 8 month¥, c(rf
2tr24-25 Unrethl¢ted Funts
Gfrneral running costs up to 8 mont
Project developmont costs
Total
42,OtyJ
20,000
Ratlo olcth Reseffti tonomMIAnnual Opwztlry Expentslhwe"
'ExcludiThJ Major CW Prwt c(ts
Th8 annual r8P]rt wa apwoved by the tnMt8es of the charlty on....-............. and illlned on its behaK by..
Tntstoe
Page S

LYMPSTONE VILLAGE HALL CIO
STATEMENT OF TRUSTEES, RESPONSIBILITIES
The trustees are responsible for preparing ihe tnJtee8' report and the financlal stslements in
accordance wlth the UnÉted Kingdom Puounting Standards (United Kingdom Generalty Accepted
Accounllng Prxtlce) arKI applicable law aThl regulations.
The law appllcable to charftles requlres the trustees lo prepare financial statements for each financial
year which gN8 a Irue and falr vlew of the state ot affairs ot the charity and of the incoming resources
and application of resources ol the charity for that period. In preparing these fina￿la1 statements. the
tr￿teel are required to:
select suitable accountiThJ policies and then appty them consistentty."
observe the methods and principles in the Charities SORP:
make juduements and ellimat￿ that are rea￿nable and prudent;
stale whether applicable accounting standards have been followed, subject to any maferial
departures disclosed and explained in the fIna￿la1 statements. and
prepare the financiaF statements on the going COr￿ern basis unless it is inappropriate to
presume that the charity will continue in busines&
The trustees are resporr&ible for keeping proper accounting reconts that diK1￿e with reasonable
accuracy at any time the finarKial position of the charity and enable them to ensure that the flnanclal
statements compty wlth the Charities Act 2011. the applicable Charities (Accounts and Reports)
Reoulatlons. and the provmioni of the constitution. The tnlltees are also resporAible for saleguardlng
the assets ol the charity and hence fortaklThJ reasonable steps for Ihe prevention and delection of
fraud and other irregularities.
Approved by the Irwlees ol Ihe chartty on.....
and signed on ill behatt by:
Trustee
Page 6

LYMPSTONE VILLAGE HALL CIO
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF LYMPSTONE VILLAGE HALL CIO
I report to the charity trustees on my examinalion ol the accounts of the charity for
the year ended 31 March 2025 whlch are set on pages 8 to 13.
Respectlve Tesponsibllities of trustees and examiner
As the charlty's trustees ot Lympstone Village Hall CIO you are re¥ponsible for Ihe
preparation of the accounls in accordance with the requirements ol the Charitles
Act 2011 (Ihe Acl,).
I report in respect of my examination of Lympslone Willage Hall CIO'S accounts
carried out under section 145 ot the 2011 Acl and in carrying out my exarnination I
have followed all the applicable Directions given by Ihe Charity Commission undef
sectlon 14515)(bl of the Act.
Independent examiners stalement
I have compleled my examinalion. I conflrni Ihat no materlal Matte￿ have come to
my attention in connection with the e￿InatiOn givlng me cause lo believe that in
any material respect:
1 accountlng records were not kept In respttt of Lyrnpstone Willage Hall
required by section 130 of the Act. or
2 Ihe accounts do not accord with those records" or
3 Ihe accounts do not compty wrth the accountlng requlrements
concerning ihe form and contenl of accounts sel out in the Charities
(Accounts and Reports) Regulations 2(M)8 other than any requirement
thal the ￿OUnts give a'true and fair view which li not a rnatter
considered as part of an independent examination.
I have no CO￿eMS and have come ¥roy no other matters in connection with the
examination lo which attention should be drawn in this report in order lo enable a
proper undefslanding of Ihe accounts lo be reached.
David Tucker ACA FCCA
Thompson Jenner LLP
Chartered Accountants
1 Colleton Crescent
Exeter
Devon
EX2 4DG
Dale". Él.10. 2
Page 7

TATEAIENT
R THEY
F FINANc￿L ACTIVJTIES
R ENDIN
RCH
31-M*r-24
4COIAE a ENDOVAENTS FROIA.,
Donats"ons Grants
Charilable Athit
Bank Inte￿t
TofAL INCOME & ENDOV•llENTS
16.427
64.977
1,385
82,789
72.073
1.878
76,IX11
72.073
76,001
EXPENDITURE ON.
GeneratiThJ Funds
ChantablÈ Athths
TOTAL EXPENDrruRE
52.181
52.181
98,774
600
NET INCOME BEFORE TRANSFERS
22.740
22,740
Grc6s TranBfw5 fiJr¥Js
NET MOVEMENT IN FUNDS
22.740
22.740
116.5851
TOTAL FUNDS BROUGHT FORWARDS
646,166
646.166
862.751
YOTAL FUNDS CARRIED FORWARDS
15
All aCti¥rt￿ derive from continuing OFer8ts"ons
The notss on pages 10 to 13 fonn part of the frnant>al stslerwts
Page 8

BALANCE SHE
AS AT 31 IAARCH 20
31-Mar
2025
31-Mar
2024
FIXED ASSETS
Tangible assets
7.123
eL11.042
601,042
CURRENT ASs￿s
Debtors
Cash at bank and in hand
12
2,761
,102
3,165
43.484
46.649
CREDITORS
Amounts falliThJ due ¥￿thin one year
13
CURRENT ASSETS
1,525
C￿rt(￿S fallin9 due aftèr mcrfe th8n year
13
NET ASSETS
FUNDS
Unrestri¢*ed income ftJTh
Restricted fvnds
15
646.166
TOTAL FUNDS
IoLf and signed C￿ th&r t*half
These 3ou)unts were appro￿ by the TnJstee5 on .. . .. ... . .
MrGr
rum
Tho notes on wJes 1010 13 forrn part of ihese 8orounls
Page 9

THE ACCOU
R THE YEAR ep4DING
1 IAARCH
AccountinN Pol*1
{FRS 1021 left&thve l JanuBry 20151. Ichwibes SORP IFRS 10211, tr* Rep)tno LIK thj RW¢of Irdend
IFRS 1021 tho 3)11.
TheCWty rfwtsts fj8fin￿ Lwthr FRS 102. knets ore alhithKal cLwtLY
valw ot1￿lIe￿a￿] wk'cy nowsl
Golng Conc•rn
InGo
DonDtions 01gift* UeThIc￿{nd l•¢illt
eu)n(xnictsnefitc4n measur&1 rdthly. In cwbesSORP IFRS 1021. vr4un*w 10
On recap( (kinaled grfl* pr￿0$$￿￿1 tsulibeswe r•)>an￿ ¢Ji the gffl 10 1$ Ihe
vxvne lo be relea￿￿
All w*nthlurB Isr8[￿￿13￿J¢￿th￿ ¢ a tOthatex￿itUre. it s&llern6￿l Is reryir&l a￿j ￿ arnount
T•nglbkn FWA•Mis
is 8$8ei$8t r8to8 In tyd8rio%*it6oifo*>lw8eithr itS*bnwBd u¥elul lrft.
Fixtures, Equirth￿t
Page 10

h •nd C••h E¢l￿￿ts
kn(Mn ¥m(wntof*th 8rL*w8 wgnrf¥xrt nsk ￿L•￿ill￿ In vdL*.
Trnd• CThllto
Tr8d8 tr*titty$8rort1ig8b￿ ￿ p¥yftr gcojs ￿ve Ihe (ydiDary oJut8eof bLWW55 frorn suwws. AC￿￿￿ts
Futhd8
IncrAn•fFom DoTraUw* and Grnnls
Unrn•trki•d RO￿￿1￿& Fund• Totsl Funds
2025
tA￿at￿ frun Club
Oon81th8frr*n ol￿r H•ll U8W8
Gr￿1 fr(¥n P*￿h CtyJrt
Toi812025
Tow 2024
1fXJ
1.950
1(M)
15,395
1,ODD
15.395
18h27
Hireol Hal 100eb￿ C￿ty cL¥j￿￿1 pr1rn￿ SL*KK41
Hireof tolrtue Nw5ery
Hireof torthr Ltsers
F88d in T¥nif. Sd8r Pa￿8
14,150
20,170
35,673
14.150
2D.170
35,673
2.080
14.230
15.979
32.687
2.081
¥77
073
G•r*w*iir¥J
livrt
Undertaken
Support
Cc•ts
2025
20.350
22.307
31,032
15.441
29.994
7Y4
455
31,376
455
31.376
181
Other C05
£nil12024. £15.3951 of￿*￿Khbn Ter￿1￿c￿*￿￿ re&lrthJ.
Expenditure on Charftable Ac16¥ltkns
2025
2024
Indepe￿ent EyJrThYth FeBs
1.080
1.080
Page 2

Alloc•ilon olsupwt CoBts
Td•l Totsl Fund•
202S
2024
373
11.940
6.801
4.705
1.￿7
673
373
11.940
8.601
4.705
1.PA7
673
258
7.433
6.928
8.170
1.746
Electricityand
l8usl F*¥
Lic6n
Kl8tk8bn9. IT
Refuse
SutACriPb
1.507
10
675
12
12
635
1.149
2.347
2.347
Thè wMirw￿lll p8KI£I.OeO. I￿￿1r￿jVAT. loe¥&nif* i￿¥￿Th￿
20ZS
2024
Empltryrs Na￿al InSL¥a￿￿(l0o% 01ky￿￿}
lo
TaX￿￿)n
Fixed aBat31 IAarch 2025
Flxturw,
Frnehoml Fhtyrt￿ •nd
Equymqnt
Tot•1
¢￿t
As ot 1 Awl 2tr24
Additio¥
Disws¥16. awts use
As* 31 2025
82.116
18,021
$3,$11
662.T16
18.021
53.511
827 286
Depreciation
As at 1 A￿1 2024
Charge for thei*
Disposals. 4s$8ts Th)knwin
As ¥131 Marth Z025
61,734
61.734
71.940
53.511
20.163
$3,511
20 163
N•t8ookV•l
Asai l Awl 2024
601,012
A¥ ¥t 31 MBtth2U25
12 D•trrtorn
H811 Hi
2,761
781
3.165
Page 12

13
redltorn
2025
TrndB CtBditLYS
925
14
FlnarKW comm6tsn•rrt••rn1
1S
Fun
nrnBtrfctsd Fu
31
OpeTrinu
Incomlng Tr•MI
CIDBln9
￿*￿nC•
314knr-
014pr44
35,124
76.001
143.2811
128.0611
1.783
Fixed A888t F￿j
Proi*a Fu￿]
601.042
to.(th)
6,081
807,lYJ
110.[￿11)
Totsi UTrrMtrict•d FuThl•
64&166
76,001
TfA•l RMtrl¢i•d Fw*•
Total Furb
.166
Unr96trtEtsd FurHIB
31 IAllr¢h
IncrAnlrvJ R•￿)u￿￿ Tr•Mfe
Q1Apr-23
314lir-24
34.102
12.5671
35.124
FLYedAs881 Fund
Proieth D*4¢4￿•71
608.475
20.174
17.4331
10.000
601.042
10.000
120.174}
Totthl unrn1trl¢t￿ FundB
662.751
67.394
183.9T91
646,1e6
T<rt•l R•siri¢i•d
15.395
115.3951
Tilal FurMI
74
16
C¢ntrollfing
Page 13