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2022-03-30-accounts

Walwyns Castle Village Hall Trustees Report 2022

This is the first full year of the new CIO charity. The funds from the old charity number 1021082 were transferred to the new charity number 1192391 in May 2021.

This year activities were still being affected by the rules for Covid. The lettings in the School House for Summer 2021 were the best.

The committee have organised a Plant Sale and Apple Juicing events which were successful. The proceeds from the Plant Sale provided the food for a BBQ in August for all the community.

The committee bought new picnic benches for the Green which have proved popular with the public walking in the area.

The School House had new bedroom carpets fitted.

Income & Expenditure Statement

for the Year Ended 31st March 2022

for

Walwyn's Castle Village Hall

Charity Number - 1192391

Ashmole & Co Chartered Certified Accountants Williamston House 7 Goat Street Haverfordwest Pembrokeshire SA61 1PX

Walwyn's Castle Village Hall - Income & Expenditure for the Year Ended 31st March 2022

Income from House
Holiday Lets
Rent from Private Lets
Income from Hall
Hire of Hall
Amazon Smile
Apple Juicing
Sale of Surplus Stock
Plant Sale
Donations
Income from Village Green
Income from 200 Club
Tickets
Unpresented chq w/off 1656
Bank Interest
Money Manager Account
Current Account
PCC Business Covid Grant
Total Income for the Year
11,525.34
700.00
2021/22
12,225.34
1,231.12
-
980.00
-
-
14,436.46
5,583.12
500.00
2020/21
6,083.12
Expenditure for House
Electricity
Cleaning, Washing & Sundries
Repairs & Improvements
Insurance
TV License
Pest Control
Sundry Expenses
1,398.84
Expenditure for Hall
Repairs & Maintenance
Electric
Insurance
Sausage & Cider
Cleaning
Fire Extinguishers
Plant Sale
Social Evening
Sundries
-
Expenditure for Village Green
Grass Cutting
Seats for Green
990.00
Expenditure for 200 Club
Prizes
Printing
-
Sundry Expenses
Accountancy
Solicitor Fees
Bank Charges
10,000.00
Gift for retiring members
18,471.96
Total Expenses for the Year
Total Surplus/(Deficit) for the Year
1,505.04
1,770.00
2,499.99
264.42
159.00
120.00
98.84
2021/22
6,417.29
4,906.17
3,025.50
562.40
882.98
15,794.34
(1,357.88)
1,460.98
774.00
60.00
254.54
157.50
-
390.97
2020/21
3,097.99
2,450.87
675.00
543.38
397.29
585.00
5.02
105.50
30.00
505.60
-
-
-
-
-
323.92
1,074.92
2,117.69
1,383.82
654.54
43.52
260.00
66.00
56.49
302.95
21.16
943.50
2,082.00
75.00
1,158.74
576.20
67.50
250.00
118.56
30.00
-
174.87
675.00
-
980.00
-
980.00
10.00
500.00
62.40
475.00
68.38
-
-
-
-
192.00
672.00
18.98
-
186.00
150.00
-
61.29
7,164.53
11,307.43

' st - Walwyn s Castle Village Hall Balance Sheet as at 31 March 2022

BANK ACCOUNTS

REPRESENTED BY RESERVES

Treasurer's Current Account , (HSBC - 71621866) (Account 01026194 closed 26.05.21) Bank Balance at 31[st] March 2022 17,517.78 Less o/s cheques: (15.00) 100020 15.00 Plus unpresented Credits: 40.00 31.03.22 40.00 Balance per A/c's 31[st] March 2022 17,542.78 - Business Money Manager, (No. 51401750 closed 26.05.21) Balance at 31[st] March 2022 0.00 17,542.78

Opening Reserves as at 1[st] April 2021 18,900.66 Reserve Movement for the Year Total Income for the Year 14,436.46 Total Expenses for the Year (15,794.34) Deficit for the Year (1,357.88)

Closing Reserves as at 31[st] March 2022 17,542.78

ACCOUNTANT'S REPORT

We have examined the bank statements, cheque books, paying-in books and vouchers relating to the above accounts and hereby certify that the accounts are in agreement with the records and are correct to the best of our knowledge and belief.

Ashmole & Co

Date 05 May 2022