OpenCharities

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

2023-03-31-accounts

BYFLEET VILLAGE HALL

54 High Road, Byfleet, Surrey, KT14 7QL Telephone: 01932 336 236 Mobile: 07980 974 577 Website: www.ByfleetVillageHall.org Email: info@ByfleetVillageHall.org

Trustees Annual Report for 2023

2023 has proved to be a difficult but significant year of recovery.

Bookings have been added to so that it is busy most of the time with few regular slots left. The Trustees and Hall manager are actively working to fill these.

A rent increase applied to all bookings and slightly lower for regular users.

There will be some changes in roles among the trustees in order to maximise their contribution and as planned new trustee roles are filled. In particulare two new trustees have been identified, the chair will stand down to concentrate on maintaining accounts.

We have lost the small contribution Woking used to make in relation to the carpark being used by the public. This situation will need reviewing.

While noting the car park all the gutter stones have been reseated in order to ensure there are no trip hazards.

Roof work was completed where it was damaged by the local youth, and further roof work undertaken bearing its age.

 Replace flat roof areas and refelt

In addition

We have shopped around for best utility rates.

We have good reserves still, having balances expenditure.

Our goal is to continue to strive with the same balanced approach as we have a listed building.

On behalf of the Hall Trustees

Kim Richardson

Chair

CHARITY REGISTRATION NUMBER 200352

BYFLEET VILLAGE HALL

FINANCIAL STATEMENTS

31st March 2023

Page 1

BYFLEET VILLAGE HALL

REPORT OF THE MANAGEMENT COMMITTEE

FOR THE YEAR ENDED 31ST MARCH 2022

The Management Committee has pleasure in presenting its Report and the unaudited Statements of the charity for the year ended 31st March 2023

PRINCIPAL ACTIVITIES

The principal activity of the charity during the year was the provision of accommodation and facilities for hire to the local community.

TRUSTEES

The Trustees who served the charity during the year were:

Ms K Gill Ms Karen Wells Mr S Howe Mr G Osborn Mr K Richardson

Appointed during year:

Signed on behalf of the Trustees

Karen Wells Chairman

Kim Richardson

Trustee

Approved by the Management Committee on 22/03/23

Independently validated by Mrs Paula Hopkins and Mrs D Farrant

Page 1

Profit & Loss Account
Byfleet Village Hall - Period 1st April 2022 to
INCOME
Hire Income
Club
Room C & Back Room
Flat Rent
31st March 2023
31,098.26
£
6,150.00
£
1,795.00
£
9,000.00
£
Last Year
Hire Income
Club
Room C & Back Room
Flat Rent
23389.61
6000
3515
7500
timing 22 to 23
Woking BC 320.00
£
Woking BC 2800 not ongoing terminated
Roof Ins Payment -
£
Roof Ins Payment 2502 no roof repairs
Refunds
Total Income
Expenses
Paul Briley Flat Xmas Lights
494 100.00

cashbook
48,263.26
£
48,263.26
Total Income
Expenses
Refunds
105
Paul Briley Flat Xmas L
3,700
45706.61 others fit lights
Maintenance 13,111 Maintenance
8,108
23/24 roof/doors/decs
Utilities
Gound Maint
Insurance
IT
5,206
1,148
1,921
182
Utilities
7,733
Gounds Maint
1,998
Insurance
1,828
IT
182
web host
Accounts
Manager
Accrual
British Telecom
Gross Profit
£ 400
18,768
400
1,108
44.06
cash book
41,630
41,630
44.06
£
6,589.63
£
Accounts
550
Manager
15,900
2376036 British Telecom
1,304
0
41,407
4,299.69
£
£ 4,299.69
new books person
Notes - c/fwd
Prepayments £ 1,268.02
Insurance insurance

Page 1

BYFLEET VILLAGE HALL

BALANCE SHEET

FOR THE YEAR ENDED 31ST MARCH 2023

2023 2022 FIXED ASSETS Note £ £ Tangible assets 4 132.19 44.06 176.25 CURRENT ASSETS Prepayments 5 £ 1,268.02 761.57 Cash at bank 86,161.55 87,429.57 67,812.15 68,573.72 CURRENT LIABILITIES Accruals 5 0.00 0.00 0.00 0.00 NET CURRENT ASSETS 87,561.76 71,585.71 87,561.76 71,585.71 CAPITAL & Profit & Loss Account 87,561.76 71,585.71 MEMBERS' FUNDS 87,561.76 71,585.71

The Trustees of the Management Committee acknowledge their responsibilities for:

(i) ensuring that the charity keeps proper accounting records which comply with section 29 of the Friendly Societies Act 1974 (the Act.)

(ii) establishing and maintaining a satisfactory system of its books and accounts, its cash holdings and all its receipts and remittances in order to comply with section 29 of the Act and

(iii) preparing financial statements which give a true and fair view of the state of affairs of the charity as at the end of the financial year and of its profit for the financial year in accordance with the requirements of section 30, and which otherwise comply with the requirements of the Act relating to financial statements, so far as is applicable to the charity.

These financial statements have been prepared in accordance with the Financial Reporting Standard for Smaller Entities (effective April 2008)

These financial statements were approved by the Management Committee and authorised for issue on the ____ and signed on their behalf by:

Chairman

Trustee

Page 1

BYFLEET VILLAGE HALL

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31ST MARCH 2023

NOTES

1 ACCOUNTING POLICIES

Basis of accounting

The financial statements have been prepared under the historical cost convention, modified to include the revaluation of financial instruments, and in accordance with the Financial Reporting Standard for Smaller Entities (effective April 2008)

Cash flow statement

The Management Committee has taken advantage of the exemption in Financial Reporting Standard for Smaller Entities (effective January 2007) from including a cash flow statement in the financial statements on the grounds that the charity is small.

Turnover represents monies received (excluding Value Added Tax) from the provision of hire of accommodation and other activities.

Fixed assets

All fixed assets are initially recorded at cost

Depreciation is calculated so as to write off the costs of an asset, less its estimated residual value over the useful economic life of that asset as follows:

Equipment 25% reducing balance

2 OPERATING PROFIT/(LOSS)

Operating profit/(loss) is stated after charging:
Trustees'remuneration
Depreciation of owned fixed assets
2022
2021
£
£
-
-
58.75
78.00

Page 1

BYFLEET VILLAGE HALL

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31ST MARCH 2023

NOTES
3 PARTICULARS OF EMPLOYEES
The aggregate payroll costs of the above were: 2022 2021
£ £
Wages and salaries (Contract) 15,880.60 13,245.00
Social security costs - -
15,880.60 13,245.00
4 TANGIBLE FIXED ASSETS
Equipment Equipment
COST
At 1st April 2021 7,423.00 7,423.00
0.00 0.00
At 31st Marrch 2022 7,423.00 7,423.00
DEPRECIATION
At 1st April il 2021 7,188.00 7,110.00
Change for the year 58.75 78.00
At 31st Marrch 2022 7,246.75 7,188.00
NET BOOK VALUE
At 31st March 2021 235.00 235.00
At 31st Marrch 2022 176.25 235.00
5
Prepayments (insurance) 761,57 1,234.50
CREDITORS: Amounts falling due within one year
6
Accruals 0.00 550.00

Page 1

FINAL DRAFT ACCOUNTS - Village Hall

3 messages

Paula Hopkins paula.hopkins@btopenworld.com To: kim.richardson6115@gmail.com

Mon, 2 May 2022 at 17:21

Hi Kim,

I have made the changes you sent through and adjusted the P&L Account accordingly.

The total Bank Balances as at the year-end is £71.780.29

Prepayments at year-end £761.57 - Insurance

Accruals at year-end £550.00 - Accountants

Profit for the period: £3,881.91

Copy of Bank cash books for both accounts attached plus P& L Account.

I think this is now ready to send to the accountant.

Let me know if you have any queries.

Best wishes

Paula

kim richardson kim.richardson6115@gmail.com

Thu, 23 Jun 2022 at 17:15

To: Paula Hopkins paula.hopkins@btopenworld.com

Hi Paula

The trustees approved the accounts last night so many thanks for your checking.

Now I ca submit them but the website also needs an address for you and either profession, qualification, job or membership of a body

Hope that is OK Ma y thanks Kim [Quoted text hidden]

Paula Hopkins paula.hopkins@btopenworld.com

Fri, 24 Jun 2022 at 08:08

To: kim richardson kim.richardson6115@gmail.com

Hi Kim,

Pleased to hear you have completed the accounts, and I am not sure why you would need my details to submit them as I understood that the Trust has an accountant that would finalise matters, but anyway

Mrs Paula Hopkins High Pine 6, Fairway Heights Camberley Surrey GU15 1NJ

Retired Company Secretary

Kind regards

Paula

Sent from my iPhone

On 23 Jun 2022, at 17:16, kim richardson kim.richardson6115@gmail.com wrote:

[Quoted text hidden]