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2022-03-31-accounts

Trustees’ Annual Report for the period

From: 7 December 2020 To: 31 March 2022

Charity name: Pateley Bridge and Bewerley Memorial Hall CIO

Charity registration number: 1192675

Reference and Administrative details

Charity’s principal The Memorial Hall address Park Road Pateley Bridge Harrogate HG3 5JS

Structure, Governance and Management

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Type of governing Constitution
document
How is the charity Charitable Incorporated Organisation
constituted?
Trustee selection 1. Election of trustees by members at the AGM.
methods including details 2. Officers elected by trustees.
of any constitutional 3. One third of trustees to retire each year but
provisions e.g. election to may stand for re-election.
post or name of any 4. Minimum of five trustees, maximum of nine
person or body entitled trustees.
to appoint one or more
trustees
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Objectives and Activities

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Summary of the The object of the CIO is the provision and maintenance
purposes of the charity of a village hall for the use of the inhabitants of the
as set out in its civil parishes of Low and High Bishopside and
governing document Bewerley in North Yorkshire
without distinction of political, religious, or other
opinions, including use for:
1. meetings, lectures and classes, and
2. other forms of recreation and leisure-time
occupation, with the object of improving the
conditions of life for the inhabitants.
Summary of the main The Hall converted from a registered charity to a CIO
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activities in relation to
those purposes for the
public beneft.
on 7 December 2020. The Hall has been maintained to
a high standard with suitable facilities to provide a
suitable venue for use as a community hall available
for hire to local residents and other organisations.
Signifcant building work was carried out during the
period to cure a long-standing problem of water
penetration from the fat roof above the store, boiler
and dressing room.

Achievements and Performance

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The operation of the Hall was severely affected by the
COVID pandemic during this reporting period.
Following Government regulations causing the closure
Summary of the main of community centres, the Hall was unable to operate
achievements of the normally. However, permission was sought from
charity, identifying the Harrogate Borough Council Licensing department to
difference the charity’s open the Hall as a place of public worship. This
work has made to the enabled the Nidderdale Community Church to use the
circumstances of its Hall every Sunday morning until June 2021 when it
beneficiaries and any was able to return to its own premises. The Hall was
wider benefits to society also made available to the local pharmacy for use as a
as a whole. COVID vaccination centre. This saved local residents
from having to travel further afield to be vaccinated.
From August 2021 the use of the Hall as a community
centre resumed. Because of its size, the Hall was able
to attract new users seeking a degree of social
distancing; these users had previously gathered in
smaller venues.
The main Hall activities have recommenced but the
number of people attending events such as the film
nights is significantly below pre-pandemic levels.
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Financial Review

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Review of the charity’s Thanks to Government grants during the COVID
financial position at the pandemic the overall balance of funds increased
end of the period during the period. The total cash assets at the end
of the period was £96,397. Three-year fixed price
energy contracts were agreed which will expire in
2024.
The trustees have agreed to sell three small plots of
land which are currently leased to householders
adjoining the site if the Hall. Professional valuations
have been carried out and Harrowells solicitors
instructed to process the sales.
Statement explaining the Reserves are mainly held to cover the expected
policy for holding major maintenance and repair items. In particular
reserves stating why the roof is made up of concrete tiles dating from
they are held the 1960s which have now exceeded their expected
lifespan. Major expenditure in the order of £60,000
can be expected within the next 10 years,
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Amount of reserves held The cash reserves are held within the main current
account and nominally amount to £70,000, which
leaves just over £25,000 for normal operating
expenses.
Reasons for holding zero Not applicable.
reserves
Details of fund materially None
in deficit
Explanation of any The trustees have no uncertainties about the
uncertainties about the charity continuing as a going concern at the
charity continuing as a present time.
going concern
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Names of the charity trustees who manage the charity to 31 March 2022

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Name of person (or body)
Dates acted if not for
Trustee name Office (if any) entitled to appoint trustee
whole year
(if any)
Christopher Chair (to 7 Apr 22) Members
1
Henderson
Christine Skaife Secretary Members
2 Chair (from 7 Apr
22)
3 Ian Skaife Maintenance Members
Susan Marshall Bookings Members
4
Secretary
5 Ian Lee Health & Safety 7 Dec 20 to 9 Jan 21 Members
Bernard Groves Treasurer 7 Dec 20 to 23 Mar Members
6
21
7 Neil Thompson Health & Safety From 11 Aug 21 Co-opted by trustees
8 Margaret Burton Vice Chair From 11 Aug 21 Co-opted by trustees
9
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Funds held as custodian trustees on behalf of others

Description of the assets None held in this capacity

Declarations

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees

Signed on behalf of the charity’s trustees of the charity’s trustees
Signature(s)
Hard copy signed and fled
Hard copy signed and fled
Full name(s)
Christopher John Henderson
Christine Annette Skaife
Position (eg
Secretary, Chair, etc)
Chair (to 7 Apr 22)
Secretary (to 7 Apr 22)
Hard copy signed and fled Hard copy signed and fled
Chair (to 7 Apr 22) Secretary (to 7 Apr 22)

Date 31 Aug 2022

Pateley Bridge and Bewerley Memorial Hall CIO 7 Dec 2020 to 31 Mar 2022

Receipts and Payments Summary

Receipts

Hirings £ 10,087.85 Fundraising Events £ 1,642.91 Bar and Refreshments £ 2,061.39 Sundries £ 517.96 £ 14,310.11 Other Income Grants £ 12,167.00 Donations £ 787.50 Bank Income Barclays Asset Management £ 445.38 Bank Interest - Barclays Business ME £ 1.55 Virgin Savings Interest £ 277.65 £ 13,679.08 Total Income £ 27,989.19 Payments Gas £ 2,188.98 Electricity £ 878.54 Water £ 536.83 Maintenance and Cleaning £ 9,463.36 Caretaker Wages £ 2,314.80 Licences £ 66.56 Insurance £ 1,176.88 Fundraising etc £ 689.29 Bar and Refreshment purchases £ 937.76 Sundries £ 1,185.03 Refunds £ 146.00 Telephone etc £ 395.20 Website & IT £ 58.99 Capital Purchases £ 1,324.60

Legal and Bank Charges £ 3,194.00

Total Payments £ 24,556.82
Profit/Loss £ 3,432.37
Transferto Petty Cash (Mr I Skaife - holder) £ 320.00
Cash Funds
Start Year End Year
4/1/2021 3/31/2022
Barclays Current Account £ 37,141.48
£ 14,857.19
Barclays Business Premium ME £ 2,964.52
£ 12,966.07
Petty Cash £ -
£ 320.00
HSBC Current Account £ -
£ 15,117.46
Virgin Savings £ 43,136.00
£ 43,413.65
Total Cash Funds £ 83,242.00
£ 86,674.37
Other Monetary Assets
Barclays Asset Management (Dec 2020) £ 8,771.00
Barclays Asset Management (Dec 2021) £ 9,722.37
Total Monetary Assets £ 92,013.00
£ 96,396.74

Independent examiner's report on the accounts

Section A Independent Examiner’s Report

Report to the Charity Name trustees/ Pateley Bridge and Bewerley Memorial Hall CIO members of

On accounts for 31 March 2022 Charity no 1192675 the year ended

Set out on pages 3 & 4

I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 31/03/2021

Responsibilities and basis of As the charity trustees of the Trust, you are responsible for report the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).

I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent I have completed my examination. I confirm that no examiner's material matters have come to my attention in connection statement with the examination which gives me cause to believe that in, any material respect:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in order to enable a proper understanding of the accounts to be reached.

Original signed copy on Date: 1 August 2022 Signed: file Name: Katrina Brayshaw

Relevant ACIB professional

1

October 2018

qualification(s) or body (if any):

Address: 2 Springfield Close Pateley Bridge Harrogate HG3 5PB

Section B Disclosure

Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners).

Give here brief details of any items that the examiner wishes to disclose .

Nil

Note : Financial transactions carried out in the period 7 December 2020 to 1 April 2021 were carried out by the preceding charity High & Low Bishopside Village Hall (Charity No: 523494) and have been reported separately. The assets of the High & Low Bishopside Village Hall were transferred to the Pateley Bridge and Bewerley Memorial Hall CIO on 31 March 2021.

The accounts for 7 December 2020 to 31 March 2022 for the Pateley Bridge and Bewerley Memorial Hall CIO are set out on pages 3 & 4 following:

2

October 2018

October 2018

Pateley Bridge and Bewerley Memorial Hall CIO Pateley Bridge and Bewerley Memorial Hall CIO
1 Apr 2021 to 31 Mar 2022
Receipts and Payments Summary
Receipts
Hirings 10,041.85
£
Fundraising Events 1,642.91
£
Bar and Refreshments 2,061.39
£
Sundries 517.96
£
14,264.11
£
Other Income
Grants 12,213.00
£
Donations 787.50
£
Bank Income Barclays Asset Management 445.38
£
Bank Interest - Barclays Business ME 1.55
£
Virgin Savings Interest 277.65
£
13,725.08
£
Total Income 27,989.19
£
Payments
Utilities
Gas 2,188.98
£
Electricity 878.54
£
Water 536.83
£
3,604.35
£
Maintenance and Cleaning 9,463.36
£
Caretaker Wages 2,314.80
£
Licences 66.56
£
Insurance 1,176.88
£
Fundraising etc 689.29
£
Bar and Refreshment purchases 937.76
£
Sundries 1,185.03
£
Refunds 146.00
£
Telephone etc 395.20
£
Website & IT 58.99
£
Capital Purchases 1,324.60
£
Legal and Bank Charges 3,194.00
£
Total Payments 24,556.82
£
Profit/Loss 3,432.37
£

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October 2018

Transferto Petty Cash (Mr I Skaife - holder) 320.00
£
Cash Funds
Start Year End Year
01/04/2021 31/03/2022
Barclays Current Account 37,141.48
£
14,857.19
£
Barclays Business Premium ME 2,964.52
£
12,966.07
£
Petty Cash -
£
320.00
£
HSBC Current Account -
£
15,117.46
£
Virgin Savings 43,136.00
£
43,413.65
£
Total Cash Funds 83,242.00
£
86,674.37
£
Other Monetary Assets
Barclays Asset Management (Dec 2020) 8,771.00
£
Barclays Asset Management (Dec 2021) 9,722.37
£
Total Monetary Assets 92,013.00
£
96,396.74
£

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October 2018