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2025-03-31-accounts

Dear Lee Hub Library Member,

Trustees’ report 1[st] April 2024 to 31[st] March 2025

Our four Charitable Objectives guide everything that Trustees and Volunteers do, and they are:

  1. Advance education by the provision of an independent community library providing books, IT equipment, information, and other educational and community resources.

  2. Provide facilities for social welfare and wellbeing for all our community.

  3. Help young people, through leisure time activities and education, to develop their capabilities so that they may grow as individuals and members of society.

  4. Maintain a building for the community and co-operate with local authorities in doing so.

Your Trustees standing for re-election 2025 / 26 are:

Simon Whitehouse – Chair

Kate Giles – Treasurer (Responsible for managing financial accounts, library admin / membership, Book group, Writers group and literary events).

Wendy Davies – Secretary (Responsible for volunteer recruitment and management) Jean Bird – Committee (Responsible for purchasing consumables) Gemma Broster – Committee (Responsible for engagement with local schools / nurseries) Bobb Carr – Committee (Responsible for Lettings)

Peter Cornish – Committee (Responsible for building maintenance, Over 60s & Veterans’ Groups) Murray Purves – Committee (Responsible for grant applications)

Lee Hub remains a solely volunteer led, run and managed community charity with around 45 volunteers working eleven (11) shifts. Lee Hub relies on the goodwill of its volunteers to keep it in a good state of repair, open, well stocked and relevant to the community it seeks to serve. Without our volunteers, we would close and the community would lose this valuable asset. So, it would be remiss of me to ignore this opportunity to pass on my gratitude to them all.

Over the last year, the way Lee Hub operates has subtly changed. Trustees are now more focussed on the fabric of the building, community engagement, fund raising and compliance with Lee Hub’s charitable status, while our volunteers, led by Volunteer Co-Ordinators, have more of a say in the day to day running of Lee Hub. This has allowed us to extend the opening hours during the week and now sees us open Monday to Friday from 09:30 to 16:30 (not including Bank Holidays) and Saturdays 10am – 1:30pm. This means that we attract more ‘passing trade’ and members do not have to think ‘is the Hub open today?’.

While we continue in our endeavour to provide something for everybody in our community, I realise that we cannot provide everything for everybody. However, I would encourage you all to let us know if there is something that you would like your community Hub to host or a book you would like us to hold.

Our Finance report gives full details of the running of Lee Hub (membership, book purchases, cash generated etc.), grants we received from April 2024 to March 2025 and the fundraising efforts of our trustees and volunteers.

We continue to work in partnership with many local organisations to support our local community and a full list will be included in our trustees’ report and available on request at our AGM.

Our plans for 2025 / 26 include:

I would like to take this opportunity to thank you for your continued support of Lee Hub Independent Community Library. I look forward to welcoming you to the Annual General Meeting on Saturday 16[th] August 2025.

Simon Whitehouse

Chair of the Board of Trustees

Lee Hub Independent Communlty Llbrary Receipts & Payments Accounts Yo8r 8ndlng 318t March 2025 Regist8red Charity: 1193198 Prepared by Kate Giles: Trustee l Treasurer 7-6-2025

Lee Hub Independerrt Community Library Receipts and Payments Account for y ear ending 31st March 2025 Rèceipts and payments 202S 2024 Rocolpts: Grnfv￿ Donatlons and Income Grant8 E43.415.28 Rver4T8 kntyJnt In•wfvndsl £12.K7. t4207.5J É7,056.6 £829.73 Mernbership Donat￿n$ Other Don¥th)n& £5,390. GrfiAwJ É617.84 L•ttng8 Communty Ctrfè 8ook l JvJsaw Sakn Go8POrt Lottary £6.346.20 .603.28 ÈT.06&96 £0.957.58 £882.80 £1,799.40 £1.18$.47 U61.70 £1.4X22 £893.10 Printing I Phrtowiykng Ewnts £343.60 £1.058.82 £￿.20 £1,707.19 45.90 8nk Int•iè8t cellaneou¥ £545.28 É765.11 £71.43&Q3 m•nt8 8uildings- proje Bulding M•int•n•n¢• ICC Houe•hdd •upp¥vt projxts IWwhVFthyJ p•sTr Hou••hold Support Grnrbt 131 Fund rttum•d to ￿1¢¢ IT Hub get up IGr•nt) GBC L•a#• Exl•nth)n f•o•l Ubrary l Housekwpkn9 ¢ommunty C4 UIIIKi•¥- En•rgy Woler Bro•db•nd I WFI Llc•ne•• I InBuronc• £17.14&1X), 14.620.JS £12,10S.20 £1fj,820.J7 £3.040.38 UJ.37¥.40 É2.047.96' U.678.181 £3Z7. 219.01 744.31 t294.43 £468.30 £813.10 0.347.33 t1.OS7.74 e1,689.02. £628. £1.on.31 f2.195.69 £1.37J. i Sockql Event Groups Ifood ¢£tsl aook purth•• DB$ Chgck• Tr8inin9 £3,477.02 É1.31J.01 70. £310.4• Bank F••¥ 0fj.31 £96.04 011gn•OU8 £20.00 £￿,3•6.$5 £97.423.14 Op•nkn9 {IrK FJailP•tty¢••h) e61AO8AS £43.371.97 Slatemeiit of assets and l iabi l ities at the end of the yèar 1101124- 3110JI25 1104123- 3110N24 eah tund* CAF Bank Cash ac£ount ET,09J.8J £31,830.5tt £3S.63S.21 £2&693.24 CAF Bank Gold ReE•[￿S dopo61 xcount Loyw5e Trfl Float p&ymirts Aocourt(sl} Prylwo Prirt Narr• Slmon Wh11Al￿￿{Ch•I1￿ £5

ep¢i t Communit Mgrch 202 Iyotes to Aceounts: l. Accountin The accounts have been prepared on a reLY.LYi and palinents basis and no account h&8 been tsken of accruals or pr¢payments. Lee Hub Independent Community LibrdTh' S awts. such as book stock and ￿mputer hardware have not been shown in these accounts. A separate r¢¢ord of &%s¢ts is maintsined by the trustees for insurance purposes. No depr￿latIOn h&8 been shown in th¢ accounts. 3. Grants: These are shown as received in accordance with accounting p)licy. No a(Yount has been taken of grants promised but not yet recciNrd. HCC: Household support Grant (3) - renmed 10 HCC ' Central Gov¢rnment: IT Hub set up GBC: Building maInt￿ce GBC: IT Hub open day £7,000.00 £35,005.80 £1,122.00 £287.48 £43,415.28 * Projecl cancelled February 2025: Funds returned to HCC 4. Reserves.. The tntstees mainlain a separate reserves accounL opened on 24 April 2023. These funds represent grants received and destgnated for a specific pUr￿se (Restricted Funds) and funds set aside from working Capit￿ (tksignated Funds) for Contingency purposes. such as an unexp￿Cted in￿eaSe in energy costs and building maintenance. Restricted Funds: unspent grants Designated funds: Contingency - Building maintsnance l Future energy costs Surplus funds Balanee £1,941.87 £20,000.00 £9,688.71 £31,630.58 5. Ne ative A negative surplus was reported for the first time in 2024 - 25. This was the result of expenditure of £11,040.00 to replace carpets throughout the main library and children's library. The work was carried out at short notice to tie in with the IT Hub equipment installation, the timescale being too short to apply for a granL

Independent EiaminerJ Reportr. I report to the tTUStees on my exan)inaDon oi the akKJi"e clwiTh' {'Ihe Tntst-) for the year ended 31103 12025. Res iliti &si As the charity trustees of the TrusL you ate reSp￿.._,e for the preparation of the accounts in accordance with the requirements of the Clwiues.4a 101 I I"Ihe Act"). I report in respect of my examI￿On of the TnLSE s ￿UllL$ carried out under section 145 of the 2011 Act and in carrying out my examinatio￿ I e folloM'ed the applicable Directions given by th¢ Charity Commission under section 145{5)(b) ot &.4cL Ind dent exarninevs statement: I have completed my examination. I confirn) th& w material matters have come to my attention in connection with the examination which gives me Ca￿ to believe that any material respect: accountin8 records were not kept in xcordance with section 130 of the Act or the accounts do not accord with the attounting records 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. Slgned: D*te: Name.. Relevant Professional qualification(s) or body (if any): Address:

Lte Hub Independ l Mareh ZO Independent ExamiD¢rs Repo￿. I report to the tMfr¢s on my exaMI￿tion of the accounts of the above charity (he Trust,) for the year ended 31103 12025. onsibilities and basis of As the charity trustees of the Tnrt you responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (he Acty. r¢port in respect of my ¢xamination of the Tn]st's accounts C8Tried out under section 145 of the 2011 Act and in carying out my examinatio￿ I have followed the applicable D1￿CtionS given by the Charity Commission under ￿tion 145{5)(b) of the ACL end nt ex I have completed my examination. I confirni that no material Matters have come to my attention in connection with the examination which gives me cause to EKlieve that I￿ any material resp¢¢t: countin8 records were not kept in accordance with section 130 of the Act or the accounts do Dot aLYord with the accounting records I have no concerns and have com¢ acro&s no other matters in connection with the exan)ination to which attention should b¢ dra￿1 in ordcr to enable a proper understanding of the accounts to be reached. Signed: Date: Name: Relevant professional qualification(s) or E(Mty (if any): Address: