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2020-12-31-accounts

1

THE HALLATON AND ISABELLA STENNING TRUST

CHARITY NUMBER: 216115

Managing Trustee Mr Peter Crewe
Trustees Mr Peter Crewe
Mr Anthony Freestone
Mr Alistair Brook
Mrs Emma Smith
Mrs Helen James
Mrs Kerry Flavell
Mr Jim Bluck (to February 2020)
Mr Mark Frith (to October 2020)
Offices 3 Dunmore Road
Market Harborough
LE16 8AZ
Bankers HSBC Bank PLC
15 High Street
Market Harborough
Leicestershire
LE16 7NN
Independent Examiner W J Turcan
Knights Farm
Hallaton Road
East Norton
LE7 9XF

2

THE HALLATON AND ISABELLA STENNING TRUST ANNUAL REPORT YEAR ENDED 31 DECEMBER 2020

Structure and Governance

The Hallaton and Isabella Stenning Trust is governed by a scheme which was sealed by the Charity Commission on 11 October 2002. The charity’s trustees are as shown on page 1.

Objectives and Activities

The objects of the charity are to promote such charitable purposes for the benefit of the inhabitants of Hallaton and the surrounding area, as the trustees think fit. These include the provision and maintenance of Almshouses, the provision and maintenance of a Village Hall (Stenning Hall) and Recreation Ground, and the relief of poverty, the promotion of religion and education.

Financial Review

The receipts and payments account shows a deficit in the year of £102,954 compared to a surplus the previous year of £163,366. Cash balances at the year-end were £83,758 compared to £186,712 at the end of 2019. Total receipts were £127,996, compared to £317,131 in 2019. The 2019 receipts figure includes £230,000 from the sale of investments and, excluding this, the 2019 comparative figure would be £87,131. The 2020 receipts total included exceptional items of £53,222 (Covid Grants £31,222 and Loan £22,000). Total payments were £230,950, compared to £153,765 in 2019. Accounting was simplified by the amalgamation of the three separate accounts and also by deregistering from VAT for the Stenning Hall. In addition, the majority of payments are now made online rather than by cheque. A process of safety checks for introducing online bill payments was approved by the Trustees and external examiner.

The coronavirus pandemic had a significant impact on the charity in 2020 reflected in the reduction of approximately £9,000 in income from trading activities. There was only one event (Film Night in February 2020); other planned events were cancelled. The Stenning Hall and Recreation Ground Pavilion remained closed for hire and other usage apart from one booking in a period of restriction lifting. Despite the coronavirus pandemic, maintenance at all premises continued as usual, with some brief suspensions to protect staff and residents. There was 1 major refurbishment at 22 North End with the end of the occupancy (£7,749.86). The bathroom at 16 High Street was modified by replacing the bath with a shower and a new WC fitted at a cost of £3,071.40. New boilers were installed at 11 Hog Lane, 15 Hog Lane, and 12 High Street at a cost of £5,650.00. At the Stenning Hall, stainless steel splashbacks were installed in the kitchen, and the handrail was repaired. New aerials were fitted at the North End cottages and also at 24 High Street (£2,757.00). The usual boiler inspections, chimney sweeps, and other maintenance/essential purchases continued as usual when coronavirus restrictions permitted. Annual services and essential maintenance were also carried out at both the Stenning Hall and the Recreation Ground. Expenditure, excluding development, was however reduced by some £20,000 from £91,000 in 2019 to £71,000 due to less frequent maintenance outgoings and lower activity costs.

The scheduled increase by 1% of the Maintenance Contributions was paused due to the coronavirus pandemic. The greatest increase in expenditure in the year came from development cost of the new almshouse at Hunts Lane. Total development costs in the year amounted to £158,375, compared to £63,355 in 2019, an increase of some £95,000. Unexpected expenditure was the bad debt provision from one almshouse due to WMC arrears and subsequent legal proceedings.

The trustees were satisfied with the activities during the year and the position at the year-end. They are confident that the charity can meet its liabilities whenever they fall due.

Public benefit

The Trustees confirm that they have referred to the guidance contained in the Charity Commission’s general guidance on public ben efit when reviewing the Charity’s aims and objectives and in planning future activities.

Accounts approved by the Trustees on 26[th] July 2021.

3

THE HALLATON AND ISABELLA STENNING TRUST STATEMENT OF TRUSTEES ’ RESPONSIBILITIES YEAR ENDED 31 DECEMBER 2020

The trustees are responsible for preparing the Trustees’ Report and the financial statements in accordance with applicable law and United Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practice).

The law applicable to charities in England and Wales requires the trustees to prepare financial statements for each financial year which give a true and fair view of the state of affairs of the charity and of the incoming resources and application of resources of the charity for that period. In preparing these financial statements, the trustees are required to:

disclosed and explained in the financial statements;

the charity will continue in operation.

The trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the charity and enable them to ensure that the financial statements comply with the Charities Act 2011, the Charity (Accounts and Reports) Regulations 2008 and the provisions of the trust deed. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.

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5

HALLATON AND ISABELLA STENNING TRUST RECEIPTS AND PAYMENTS ACCOUNT YEAR ENDED 31ST DECEMBER 2020

RECEIPTS
Notes
Trading Activities
3
Investment Income
4
Rents and Wayleaves
Maintenance Contributions
Sale of investments
Donations and Sponsorship
Grants Covid related
Loan, Covid related
Total Receipts
PAYMENTS
Direct Charitable
5
Other Expenditure
6
Total Payments
NET RECEIPTS (PAYMENTS)
Bank Balance 1st January 2020
Bank Balance 31st December 2020
2020
2019
5,907
13,458
1,359
3,246
1,058
1,150
66,412
68,812
230,000
38
465
31,222
22,000
127,996
317,131
208,604
131,687
22,346
22,078
230,950
153,765
-102,954
163,366
186,712
23,346
83,758
186,712

YHE IIALLATON AND LWELLASIENNI￿TRL ATEMENTOFA5SETSAND iIABIUTtES YEAR ENDED31 ￿cEMBER2020 31 3141ec Market Harborou8h Buildi￿￿￿]￿ty Hseccurrentknowt IFI HSBC cvtrentkc0L￿ IStÈnnirgMall HSBC cU￿entA(COuntlReCrÈèt￿)nGr￿UndI Ca5hl5aviryAccount 35.163 4S.4L9 186,825 -2.730 2.049 35S 213 186,712 176 83.758 Othwassets InL￿￿n 1.029.42 COIF Owrit￿s In¥ests)ientFund Units 102.59 COIF (harh￿SI￿Ve5IMen1 FU￿ Unlts 624.030tharmwCotnmon Ir￿StMentFu[Mt korne uTht5(BI￿ Rock) 110.(W M&G InvesknentstharibDF￿ thcornesha￿S IOA78.53 UK Eovty IrKorTre FLmd Share$ll￿￿5(0) Totsi 17.427 19,3(6 L192 136 11.13S 49,196 21J53 1,128 12. 14, 16,24 Stree¢ Hallat(>n 14 16. 18.20. 22. 24 North End. 11. 13. 15. 17. 19. 21 HogLane. Haltsion 13Hunts LanÈ, HalLiton Horn Lane. Hèlknton Ho8 Lanp. Hallaton HalL4ton EastNortOn Road. Halaton Ho8 Lare. Halaton Halbton Cotra8es Cotté8e5 ay Park nd at North End RetrEation Groundwith PalKjna￿l Pèrish Store Iforrretymuseum BuSWTr lotmenrFie Forand on b￿a￿O1theTmlee5 I9Ju￿2021

7

THE HALLATON AND ISABELLA STENNING TRUST NOTES TO THE FINANCIAL STATEMENTS YEAR ENDED 31ST DECEMBER 2020

1 Accounting policies

The accounts have been prepared under the historic cost convention and in accordance with Statement of Recommended Practice: Accounting and Reporting by Charities (SORP 2005) as applicable to the smaller charity and all applicable accounting standards

2 Trustees' Remuneration

No remuneration was paid to any trustee throughout the period.

3 Income from Trading activities

Hire of hall
Fund-raising activities
Insurance recovery
Miscellaneous
Prior year equipment refund
VAT recovered

4
Investment income
Dividends
Interest
2020
2019
3,712
8,191
1,098
4,072
100
306
30
15
320
967
554
£ 5,907
£13,458
2020
2019
1,021
3,210
338
36
£1,359
£3,246

8

THE HALLATON AND ISABELLA STENNING TRUST NOTES TO THE FINANCIAL STATEMENTS (CONTINUED) YEAR ENDED 31 DECEMBER 2020

5
Direct Charitable Expenditure
Cottage maintenance & repairs
Cleaning & maintenance
Heat, light,water
Insurance
Uttensils & equipment
Development of new almshouse
Activities expenses
Grants
VAT paid
Miscellaneous
Rates paid ( Refunded)
Total Direct
6
OTHER EXPENDITURE
Administrative expenses
Finance charges
Total other
2020
2019
23,580
17,189
15,497
33,247
2,247
3,897
5,977
5,517
158,375
63,355
1,306
6,749
1,114

149
637
359
1,096
208,604
131,687
22,181
20,606
165
1,472
22,346
22,078