OpenCharities

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

2024-12-31-accounts

Treasurers Report for Trustees Meeting as at 2 January 2025

  1. Revenue for the year to 31 December 2024 is £9,443.71. This is broken down as follows. Rental income of £8,463.92 (this figure includes refundable booking deposits of £1,200) plus PV credits for the year £959.79. PV contribution against the electricity use is 42%. A drop on 2023 due to a new electricity tarrif at a higher rate. The electricity cost for 2024 is £2,269.43 as against £1,599.13 for 2023. To compensate for the increased cost there will be an increase in the Hall letting fees for 2025

  2. Overall the financial position of the accounts remains healthy with rental income at a similar level as 2023. Costs were slightly higher than 2023 due mainly to the increased electricity costs.

  3. The main costs incurred year to date

  4. a) The Insurance premium for 2024 of £1,204.87 was paid in January. A slight increase on 2023 due to higher Insurance Premium Tax levied by the Government.

  5. b) The other costs were the usual utility or maintenance invoices.

  6. c) All other costs were similar to previous years.

  7. With the increase in variable costs over the past 12 months we will have to monitor these closely to make sure our current income supports the increased costs.

Charlton Musgrove Village Hall finance summary as at 31[st] December 2024

Cr Balance
Total in Lloyds TSB treasurers (current) £12,214.5
account 6
£12,335.4
Total in Lloyds TSB business account 3
-
LESS returnable deposits held £1200
LESS 100 club prizes to be paid out of funds
already banked
Gift aid due £0.00
LESS Countryside Group grants from SSDC,
CMMH and other donations held in ring
fenced account £0.00
£24,549. £23,349.
Balance in our accounts would then be 99 -£1200 99
In Lloyds accounts and not committed £23,349.
to elsewhere 99
NB This situation changes all the time with
day to day income and expenses
Receipts and Payments Account for year ended 31 December 2024
General Account
Receipts
Lettings
Broadband use
Stage hire
Equipment Hire
Website Rental
SSE Energy supply credits
Payments
Repayment of returnable deposits
Cleaning
Cleaning materials
Electricity
Water
Rates
Insurance
Broadband
Stationery
Hall Postage Copying Printing Mobile Laptop Tamsin
Website costs
Servicing fire equipment
Ground maintenance and grass cutting fuel
Maintenance contracts
General maintenance (less refunds)
ACRE + Community Council Payments
Gross Surplus (deficit) for the year
Capital Projects Account
Receipts
Fund raising activities
100 Club Receipts
Less Prizes
Fundraising
Less fundraising expenses/events - Catering
Less Project/fundraising - Admin
Donations
Inland Revenue Gift aid refund
Grants
Legacy
Parish Council Grants
Interest received on deposit
Payments
Patio and other outside improvements
Interior hall improvements
Charitable Donations
Play area grant awarded
Smithy pub project 2015/2016
Equipment
BACS charges on transfers out
Professional fees/license fees
Net Receipts/(Expenditure) for year
Balances Brought Forward 1.1.24
Lloyds Treasurer account
Lloyds Business account
CAF Bank
Net Surplus (deficit) on General activities
(as above)
Net Receipts/(Expenditure) on Capital Projects (as above)
Balances Carried Forward 31.12.24
Lloyds Treasurer account
Lloyds business account
CAF Bank
Less: total deposits for hall hire held at year end
31-Dec-24
31/12/2024
£
£
8,463.92
0.00
0.00
20.00
0.00
959.79
9,443.71
800.00
3,670.00
89.03
2,269.43
120.87
0.00
1,204.87
148.50
0.00
72.00
426.72
0.00
677.40
409.68
0.00
0.00
9,888.50
31-Dec-24
31/12/2024
£
£
8,463.92
0.00
0.00
20.00
0.00
959.79
9,443.71
800.00
3,670.00
89.03
2,269.43
120.87
0.00
1,204.87
148.50
0.00
72.00
426.72
0.00
677.40
409.68
0.00
0.00
9,888.50
31/12/2023
£
£
6,112.22
0.00
0.00
0.00
0.00
815.40
6,927.62
800.00
3,706.00
151.32
1,599.13
105.84
0.00
1,169.03
162.00
0.00
72.00
379.32
43.92
788.40
306.68
60.00
0.00
9,343.64
31/12/2023
£
£
6,112.22
0.00
0.00
0.00
0.00
815.40
6,927.62
800.00
3,706.00
151.32
1,599.13
105.84
0.00
1,169.03
162.00
0.00
72.00
379.32
43.92
788.40
306.68
60.00
0.00
9,343.64
9,443.71
9,888.50
6,927.62
9,343.64
700.44
0.00
0.00
(444.79) 0.00
0.00
0.00
(2,426.02)
700.44
700.44
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
700.44
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
180.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
34.99
0.00
180.00
700.44
180.00
0.00
214.99
12,188.56
12,335.43
0.00
(1,200.00)
520.44 10,912.91
12,335.43
0.00
(1,000.00)
(214.99)
10,912.91
12,335.43
0.00
12,543.92
12,335.43
0.00
23,248.34
(444.79)
520.44
24,879.35
(216.02)
(214.99)
23,323.99 22,248.34