Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## Stokesley Town Hall Trust 

Registered Charity Number 225265 

Annual Report And Financial Accounts For the year ended 31 March 2022 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## Contents 

1. Administrative Information ....................................................................................... 3 a. Registered Office .................................................................................................... 3 b. Registration with Charity Commission................................................................... 3 c. Names of Trustees in Year Ended 31 March 2022 ................................................. 3 d. Names of Trustees on the Date of Approval of Annual Report ............................. 3 e. Name of Bankers .................................................................................................... 3 2. Structure, Governance and Management ................................................................. 4 a. Nature of Governing Document ............................................................................. 4 b. Recruitment, Appointment and Training of New Trustees ................................... 4 c. Dates of Meetings .................................................................................................. 4 3. Objectives and Activities ............................................................................................ 5 4. Coronavirus (COVID-19) ............................................................................................. 6 5. Achievements and Performance ................................................................................ 6 6. Public Benefit Statement ........................................................................................... 9 7. Risk Management Statement .................................................................................... 9 8. Financial Review ......................................................................................................... 9 a. Review of Year 2021/22 ......................................................................................... 9 b. Reserves Policy ..................................................................................................... 10 9. Plans for Future Periods ........................................................................................... 11 10. Statement of Trustees’ Responsibilities ................................................................ 12 11. Independent Examiner's Report to the Trustees ................................................... 13 a. Respective Responsibilities of Trustees and Independent Examiner .................. 13 b. Independent Examiner's Statement .................................................................... 13 12. Statement of Financial Activities for the year ended 31 March 2022 ................... 14 13. Statement of Financial Position for the year ended 31 March 2022 .................... 15 Notes to the Financial Statements Year Ended 31 March 2022 .................................. 16 1. General information ............................................................................................. 16 2. Statement of compliance ..................................................................................... 16 3. Accounting policies .............................................................................................. 16 4. Activities for Generating Funds............................................................................ 18 5. Investment Income .............................................................................................. 18 6. Other Income ....................................................................................................... 18 7. Expenditure on Charitable Activities by Fund Type ............................................. 18 8. Expenditure on Charitable Activities by Activity Type ......................................... 19 9. Net Income / (Expenditure) ................................................................................. 19 10. Independent Examination Fees ......................................................................... 19 11. Staff Costs .......................................................................................................... 19 12. Trustee Remuneration and Expenses ................................................................ 19 13. Tangible Fixed Assets ......................................................................................... 19 14. Debtors ............................................................................................................... 20 15. Creditors: Amounts Falling Due Within One Year ............................................. 20 16. Analysis of Charitable Funds .............................................................................. 20 17. Analysis of Net Assets Between Funds .............................................................. 20 18. Management Information ................................................................................. 21 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## **1. Administrative Information** 

## _**a. Registered Office**_ 

The registered office of the Stokesley Town Hall Trust is the Town Hall, Stokesley, North Yorkshire, TS9 5DG 

## _**b. Registration with Charity Commission**_ 

The Stokesley Town Hall Trust is registered with the Charity Commission as number 225265. 

## _**c. Names of Trustees in Year Ended 31 March 2022**_ 

Members of the Managing Committee during the above year were: 

|Name|Period of Service|Position|Notes|
|---|---|---|---|
|Graham Sowerby|Full Year|Chairman|Elected|
|Mike Canavan|Full Year|Vice Chairman|Elected|
|Julie McLuckie|Full Year|Secretary /Treasurer|Ex Officio|
|Sean Carey|Full Year||Elected|
|David Cook|from 9 November 2021||Co-opted|
|Bryn Griffiths|Full Year||Elected|
|Chris Johnson|Full Year||Elected|
|Nigel Johnson|Full Year||Co-opted|
|Katriina Makinen|to 6 January2022||Co-opted|
|David Oxley|Full Year||Elected|
|Karen Robinson|to 30 November 2021||Elected|
|AndyWake|Full Year||Elected|
|Mark Wilson|to 2 August 2021||Co-opted|



## _**d. Names of Trustees on the Date of Approval of Annual Report**_ 

Members of the Managing Committee on the date of approval of the Annual Report were: 

|were:|||
|---|---|---|
|Name|Position|Notes|
|Graham Sowerby|Chairman|Elected|
|AndyWake|Vice Chairman|Elected|
|Julie McLuckie|Secretary /Treasurer|Ex Officio|
|SallyAtkinson||Co-opted|
|Mike Canavan||Elected|
|Sean Carey||Elected|
|David Cook||Elected|
|Bryn Griffiths||Elected|
|Chris Johnson||Elected|
|Martin Luxton||Co-opted|
|David Oxley||Elected|
|AudreyScott||Co-opted|



## _**e. Name of Bankers**_ 

Stokesley Town Hall Trust's bankers are HSBC Bank, PO Box 117, 60 Albert Road, Middlesbrough, TS1 1RS 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## **2. Structure, Governance and Management** 

## _**a. Nature of Governing Document**_ 

The charity was established by a Deed of Trust dated 19[th] July 1919 to Stokesley Parish Council. 

## _**b. Recruitment, Appointment and Training of New Trustees**_ 

All members of Stokesley Town Council[1] serve as trustees of the charity as part of their duties as Town Councillors. The Secretary / Treasurer of the charity is also Clerk to Stokesley Town Council. 

Trustees serve until the date of the next Town Council election. If a Town Councillor is not re-elected at the time of the next Town Council election or resigns as a Town Councillor, he / she is required to resign as a Trustee of Stokesley Town Hall Trust. 

Candidates standing for election to the Town Council, or who have put themselves forward for co-option, are advised that part of their duties, if elected or co-opted, would be to serve as Trustees. 

One of the existing Trustees is identified as mentor to any new Trustee and, along with the secretary, provides guidance and a source to whom queries may be addressed. All new Trustees are provided with a copy of relevant Charity Commission documents including: CC3 – Essential Trustee: What You Need To Know 

CC15b – Charity Reporting and Accounting: The Essentials Copies of other important documents are also available from the secretary on request and are provided to all Trustees prior to discussions / decisions on specific topics. 

## _**c. Dates of Meetings**_ 

Meetings are routinely held on the first Thursday of each alternate calendar month and are open to the members of the public.  Exceptionally additional meetings may be held between the usual bi-monthly meetings if there is urgent business to transact. 

The annual meeting of the Trust is held in June each year. 

With Covid-19 restrictions still in place the April 2021 meeting was held remotely using Zoom. All further meetings through 2021/22 returned to being held as inperson meetings in the Town Hall. 

> 1 Prior to 1 April 2017 Stokesley Town Council carried the name Stokesley Parish Council 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## **3. Objectives and Activities** 

The indenture of 19[th] July 1919 leaving the Town Hall in trust to the then Parish Council states that it should ‘be used for the benefit and advantage of the inhabitants of the Township of Stokesley’. 

The indenture further states ‘The Parish Council shall hold the said premises for such purposes in such manner and under such rules and regulations as they in their discretion shall from time to time consider to be for the benefit and advantage of the Township and inhabitants of Stokesley aforesaid including the formation and carrying on of an Institute or place of recreation and social intercourse for the benefit or advantage of the inhabitants of the Township of Stokesley either gratuitously or in consideration of any money payment or on such terms as the Parish Council may think fit. 

‘The management and control of the property and affairs of the said premises shall be vested in the Parish Council with full power and authority at their discretion at any time to appoint or make provision for the appointment of any persons (including all or any of the Parish Council) as Committee Men or otherwise for the purpose of the administration of the trust aforesaid in such manner and subject to such rules and regulations as the Parish Council may prescribe. 

‘For the purpose of providing additional funds for maintaining the property and of defraying any expenses incidental to the purposes hereof (including the provision of furniture pictures books periodicals games musical instruments and the like) the Parish Council may require such subscriptions (if any) from all or any persons using the premises as they shall from time to time think necessary and proper and may let the said premises for entertainments lectures and like purposes not being inconsistent with the objects and purposes of these presents.’ 

The objectives of Stokesley Town Hall Trust remain wholly consistent with the statements made in the 1919 indenture to provide a wide range of community activities particularly promoting charitable activities. These activities include the provision of the Town Hall as a permanent community facility. 

The Town Hall is available for hire by individuals or organisations in accordance with a standard hiring agreement and scales of charges adopted for the year.  A lower rate of charging applies to local hirers of the facilities and is consistent with the condition in the indenture that the Town Hall shall be ‘for the benefit and advantage of the Township and inhabitants of Stokesley’. A higher set of charges applies for commercial and trade hiring of the facilities. This assists in minimising any shortfall in income to meet all expenditure incurred. 

Whilst it is intended that the overall scale of the charges should be sufficient to generate enough income to cover all costs, this objective has not been achieved in many of the recent financial years. Any shortfall in income compared with expenditure is made good by the transfer of funds from Stokesley Manorial Lands 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

Trust (Registered Charity No: 1023299). Stokesley Manorial Lands Trust shares a common set of Trustees with Stokesley Town Hall Trust. 

## **4. Coronavirus (COVID-19)** 

## **a) National Restrictions** 

The third national lockdown, which had been implemented in early January 2021, remained in place, with the exception of the re-opening of schools, at the start of the financial year. From 12 April 2021 non-essential retail and outdoor venues, including pubs, were allowed to re-open. 

In mid-May 2021 indoor venues including pubs, restaurants and cinemas were allowed to re-open and all legal limits on social contact were removed with effect from 21 June 2021 

## **b) Impact on the Trust** 

As a consequence of the national restrictions the Town Hall remained closed at the start of the financial year, with the two stewards who had remained employed in the latter half of 2021/22 remaining on part-time furlough to match staffing requirements. 

With the easing of government restrictions progressively through the spring of 2021 the use of Town Hall began to return to the levels experienced pre-Covid, with staffing levels flexed to match demand. A third steward was recruited and commenced employment in March 2022, returning staffing to pre-pandemic levels. 

The enhanced cleaning regime remained in place. 

## **5. Achievements and Performance** 

The efforts of the Trustees are supported by two groups of volunteers in the successful operation of the Town Hall. These are the Town Hall Management Advisory Committee (THMAC) and the Friends of the Town Hall (FoTH). 

The THMAC offers advice to the Trustees about the management, running and maintenance of the Town Hall. THMAC may raise funds and invite and receive contributions for the benefit of the Town Hall, but does not undertake any substantial permanent trading activity. 

The THMAC consists of up to four elected members, up to nine appointed members, with each such member representing one of the organisations regularly using the Town Hall, and up to two co-opted members. The officials are elected at the Annual General Meeting held during June each year. No member of the THMAC receives any remuneration or is interested (otherwise than as a member) in any contract entered into by Stokesley Town Hall Trust. 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

The THMAC meets formally at least six times per year and provides minutes of such meetings to the next meeting of the Town Hall Trustees and the chairman presents a report of the preceding year to each THMAC Annual General Meeting and provides a copy of the same report to the Town Hall Trustees. The programme of THMAC meetings recommenced post Covid-19 in July 2021. 

The Town Hall Committee (THC), with formal Terms of Reference, integrates the activities of the Trustees and the THMAC. The THC consists of a minimum of three members from the Trustees and three non-trustee members from the THMAC. The quorum of the committee is three members from the Trustees and two members of the THMAC.  The Chairman of the Town Hall Trust is an ex-officio member of this Committee but does not have voting rights. The programme of THC meetings recommenced post Covid-19 in November 2021. 

The THC produces, reviews and amends the Town Hall Forward Maintenance / Improvement Programme and considers all new proposed items of expenditure. The THC has delegated powers to approve items of expenditure up to the cost of £2,000 that are included in the agreed Town Hall Maintenance / Improvement Programme approved by the Trustees. Any items of expenditure of greater value are subject to approval by the Trustees. 

The FoTH is a less formal group of volunteers. These volunteers also support the Town Hall by raising money for improvements from activities such as coffee mornings and quiz evenings, helping with tasks to maintain the building, and giving time and advice to help its day to day running. 

The Trustees wish to record their appreciation of 

- the significant ongoing contributions of time, effort and commitment made by members of both the THMAC and the FoTH to the successful running of the Town Hall. 

- the ongoing efforts of the Town Hall Stewards for their flexible working which continued in the post-pandemic as usage of the Town Hall returned, their attitude which benefits the presentation of the Town Hall to the public and for their commitment to maintain the high decorative standard of all the rooms in the Town Hall. 

- the additional efforts of the secretary and her deputy post-pandemic to secure the return of the craft fairs and entertainment club events. 

- the Flower Club members for the provision of floral displays in the Town Hall during the year. 

The forward plan for maintenance and improvements to the Town Hall over the next few years is regularly updated. This identifies the outline future funding requirements and prioritises those items which are necessary to safeguard the building’s structure, to meet health and safety requirements, and to improve the Town Hall. 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

Given the potential for the future return of Covid-19 over winter 2021/22 discretional spend remained limited through the financial year given the risk of social contact restrictions returning. The only planned improvement project completed during 2021/22 was the delayed refurbishment of the disabled toilet on the ground floor, which was partially grant funded. 

Stokesley Town Hall Trust offers four rooms for hire to suit most needs. On the upper floor is the Main Hall with a maximum capacity of 100 people. Attached to the Main Hall is the Carter Room with a maximum capacity of 28 people which incorporates a bar and mini kitchen. On the ground floor is the Jack Brunton Room and associated kitchen with a capacity of 75 people and finally the smallest room, the Stokesley Room, with a capacity of up to 28 people. 

Specific room hire depends on the number of people attending each function and room availability. Whilst the financial year has been characterised by periods of closure of the Town Hall, when permitted several local societies met in the different rooms of the Town Hall including Leven Arts, the Stokesley Society, the Women’s Institute, Stokesley Pride In Our Town Association, Stokesley Engineers, the Photography Club, Probus and several activity groups from the U3A. Additionally rooms were hired for birthday parties (for a wide range of ages) and other family functions, including funeral teas, and by the District and County Councils. The Town Hall also hosts wine tasting evenings and evening entertainment and acts as a base for outdoor sporting events and as a polling station for local elections. 

The Main Hall is normally used for a wide variety of activities by local groups. These include grand functions, jazz and other musical evenings, theatrical events, lectures, art classes and exhibitions, flower club exhibition, a choir, tai chi, chair aerobics and the local branch of Slimming World. 

The Jack Brunton Room is used for the weekly charity coffee mornings, Community Care lunches (served from the associated kitchen), bingo evenings and Stokesley Christian Fellowship meetings, yoga classes, two art classes, and ukulele classes. 

The smaller Stokesley Room is used for Guitar and Acoustic classes, as a meeting room for local organisations and committees, including Town Council meetings, and for education and training sessions. 

In 2021/22 the Town Hall benefitted from additional groups using the facilities for their meetings in the immediate post-pandemic period given some other local alternatives venues remained closed for a longer period. 

Commercial enterprises hire one or more rooms for events such as valuation days, comedy evenings, wedding fairs, fashion sales and bed sales. The Trustees wish to thank the Secretary and her assistant for their efforts in implementing the second monthly craft fair on the day of the Northern Makers Market that has been introduced on The Plain. These two monthly Town Hall Craft Fairs are an important source of income to the Trust. 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

The trustees consider that the above uses meet the requirements laid out in the 1919 deed of gift that the Town Hall shall be used ‘for the benefit and advantage of the Township and inhabitants of Stokesley … including the formation and carrying on of an Institute or place of recreation and social intercourse for the benefit or advantage of the inhabitants of the Township of Stokesley’. 

## **6. Public Benefit Statement** 

The Trustees are confident they have complied with their duty to have due regard to the guidance on public benefit published by the Charity Commission in the exercising of their powers and duties. 

## **7. Risk Management Statement** 

The Trustees consider that they have the right skills and experience to understand financial information, identify and manage risks. On an ongoing basis, the bi-monthly trustee meetings keep track of income and spending against the budget. 

Strategically the main foci are the protection and development of the income stream from the hiring of rooms in the Town Hall, the control of day-to day costs of running the Town Hall and the establishment of a longer-term expenditure plan covering capital projects to maintain the Town Hall. More detail is given in Section 8. 

## **8. Financial Review** 

## _**a. Review of Year 2021/22**_ 

No changes have been made to the room letting rates since the increases averaging 3% in the local charitable rates and approximately 10% in the local non-charitable rates were applied from April 2017. 

Income from room lettings and associated revenue in 2021/22 increased as total number of hours of room bookings recovered as the Covid-19 pandemic closure restrictions were lifted. Including the rent for the Clerk’s office on the ground floor from the Town Council of £6,248, income in 2021/22 totalled £50,397, up from £15,892 in 2020/21. This compares with Income of £60,189 in 2019/20 which was largely unaffected by the Covid-19 pandemic. 

Grant funding also increased, to £8,599 in 2021/22 from £7,272 in the previous year. Specific donations received in 2021/22 included £2,000 from the Jack Brunton Trust and £3,000 from the Hambleton District Council Making a Difference fund towards the refurbishment of the accessible toilet on the ground floor, and a £2,600 Omicron grant. Grants in 2020/21 included £4,938 from the Lottery Community Fund, £1,000 from the NYCC Locality Fund and £200 from the Cleveland Engineers. Total income to the Town Hall Trust of £71,603 in 2021/22 compared with £48,095 in 2020/21 and £87,222 in 2019/20. 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

Whilst the focus of limiting discretional spend remained through much of 2021/22, total expenditure by the Trust increased from £49,139 in 2020/21 to £69,350 in 2021/22, a 41% increase with the reopening of the Town Hall major items of expenditure. Gross Wages and Salaries increased by 13% from £27,146 to £30,706 (both totals exclude the benefit from the receipt of furlough monies from the Government). The cost of Repairs and Renewals increased from £6,671 in 2020/21 to £9,853 in 2021/22. The only improvement project completed in the year was the refurbishment of the disabled toilet on the ground floor, which was partially funded by donations. The cost of Light and Heat increased from £3,344 in 2020/21 to £7,785 in 2021/22. Cleaning and Sundry expenses were also increased from £2,643 in 2020/21 to £4,084 in 2021/22. 

Events held by the Stokesley Entertainment Club returned in autumn 2021 resulting in expenditure of £7,375 in 2021/22, up from nil in 2020/21. Receipts increased from a nominal £370 in 2020/21, to £11,671 in 2021/22, resulting in net income rising from £370 in 2020/21 to £4,296 in 2021/22. 

There was no need for support from the Stokesley Manorial Lands Trust in 2021/22, compared with grant totalling £9,000 in 2020/21. This is the first financial year in detailed records dating back to 1993/94 that no support has been required from the Stokesley Manorial Lands Trust for the day-to-day operation of the Town Hall and its facilities. 

There was a decrease in the tangible fixed assets represented by Fixtures and Fittings of £3,302 in 2021/22 (from £2,234 in 2020/21) as depreciation of £3,613 exceeded additions of just £311. 

## _**b. Reserves Policy**_ 

A formal Reserves Policy was adopted by the Trustees on 2 October 2014. This is based on Charity Commission guidance, the requirements of charity law and the Charities Commission Statement of Recommended Practice. A summary of the key elements of the policy is provided below. A full copy of the Reserves Policy is available from the treasurer of the Trust. 

The policy recognises that Stokesley Manorial Lands Trust (SMLT) and Stokesley Town Hall Trust (STHT) share both common trustees and a common objective of enabling the Town Hall to remain as a permanent community facility.  In recognition that the governing document for the SMLT expressly states the objective to support STHT and that there is no similar statement in the STHT governing document that permits the reverse transfer of funds from STHT to SMLT, the overall policy of the Trustees is to hold the majority of the reserves in the SMLT. 

Through the medium to longer term the Town Hall is forecast to continue to suffer an ongoing shortfall of income against expenditure. Further investment will be required to refurbish the structure and maintain the internal decoration of the building. 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

Unrestricted reserves of up to approximately £15,000 are required to provide ongoing support to Stokesley Town Hall Trust for approximately one year to fund the anticipated shortfall in income against ongoing expenditure. 

Unrestricted reserves of up to approximately £40,000 are justified for the purpose of refurbishment of the Town Hall external fabric and internal decoration. 

The Trustees will manage the balances held in each of the above reserves, as income is accrued from the ongoing commercial activities of Stokesley Manorial Lands Trust and donations are made to the Trusts and expenditure is made, in the context of the three-year forward plans of each of the trusts. 

The Trustees will seek to maintain a minimum total reserves balance of approximately £40,000 across the two trusts at all times. The Trustees review this policy at least annually and will decide by resolution at meetings of the trusts on significant changes in the value of reserves held by each trust. 

The Trustees consider the level of reserves currently held is necessary in order to meet both the current and future expenditure outlined above. 

## **9. Plans for Future Periods** 

To assist the Trustees in their legal responsibility to ensure that the Stokesley Town Hall Trust remains solvent the main focus of efforts is to seek to match income and expenditure. Opportunities will continue to be examined to increase income and to secure grant funding for suitable projects whilst the cost base will remain under review. 

The programme of enhancements to, and refurbishment of, the internal fabric and fixtures and fittings in recent years means that only limited capital expenditure will be required in the near future to improve the appearance of the Town Hall. However, there will be an ongoing commitment to the maintenance and servicing of existing facilities. One area identified is the upgrading of the tables used in the ground floor rooms. 

One area of concern is the impact of increased of gas and electricity costs given the share that utility services take of the expenditure of the Trust. These will be monitored closely with options investigated to mitigate the increases as well as the potential need to review letting charges. 

Opportunities to increase the attractiveness of the Town Hall to potential hirers will continue to be identified with consideration given to their funding in the short to medium term as resources permit. One aspiration identified for further investigation is the provision of some form of air conditioning in the Main Hall. It is recognised any scheme would require careful planning to protect the fabric and external appearance of the Town Hall, a listed building. Significant grant funding will be a pre-requisite for what is likely to be a not inexpensive project. 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

The longer-term expenditure plan for maintenance and improvements to the Town Hall over subsequent years will continue to be reviewed and further developed. This will be used to identify the future levels of financial support to Stokesley Town Hall Trust from Stokesley Manorial Lands Trust. 

## **10. Statement of Trustees’ Responsibilities** 

The Trustees are responsible for preparing the Trustees' Annual 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 financial position of the charity and of the incoming resources and application of resources of the charity for that year. In preparing these financial statements the trustees are required to: 

- select suitable accounting policies and then apply them consistently; 

- observe the methods and principles in the Charities SORP; 

- make judgements and estimates that are reasonable and prudent; 

- state whether applicable UK Accounting Standards have been followed, subject to any material departures disclosed and explained in the financial statements; and 

- prepare the financial statements on the going concern basis unless it is inappropriate to presume that the charity will continue in operation. 

The Trustees are responsible for keeping proper accounting records which 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 and the Charity (Accounts and Reports) Regulations 2008. 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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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## **11. Independent Examiner's Report to the Trustees** 

The following pages are taken from the Trustees’ Report and Financial Statements document prepared by Mr Graeme Boagey, the Independent Examiner. 

I report to the trustees on my examination of the financial statements of Stokesley Town Hall Trust ('the charity') for the year ended 31 March 2022. 

## _**a. Respective Responsibilities of Trustees and Independent Examiner**_ 

As the trustees of the charity, you are responsible for the preparation of the financial statements in accordance with the requirements of the Charities Act 2011 (‘the Act’). 

I report in respect of my examination of the charity's financial statements carried out under section 145 of the 2011 Act and in carrying out my examination I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. 

## _**b. Independent Examiner's Statement**_ 

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination giving me cause to believe that in any material respect: 

1.  accounting records were not kept in respect of the charity as required by section 130 of the Act; or 

2.  the financial statements do not accord with those records; or 

3.  the financial statements do not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair' view which is not a matter considered as part of an independent examination. 

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

Graeme Boagey FCA Independent Examiner 384 Linthorpe Road Middlesbrough TS5 6HA Date: 6 October 2022 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## **12. Statement of Financial Activities for the year ended 31 March 2022** 

||||**2022**||**2021**|
|---|---|---|---|---|---|
|**Item**|**Note**|**Unrestricted**<br>**Funds**|**Restricted**<br>**Funds**|**Total Funds**|**Total Funds**|
|**Income and Endowments**||||||
|Activities for<br>Generating<br>Funds|4|£70,667|Nil|£70,667|£32,534|
|Other Income|6|£936|Nil|£936|£15,561|
|Total Income||£7,603|Nil|£7,603|£48,0954|
|||||||
|**Expenditure**||||||
|Expenditure<br>on Charitable<br>Activities|7,8|(£69,350)|Nil|(£69,350)|(£49,139)|
|Total<br>Expenditure||(£69,350)|Nil|(£69,350)|(£49,139)|
|||||||
|**Net Income /**<br>**(Expenditure)**<br>**and Net**<br>**Movement in**<br>**Funds**||**£2,253**|**Nil**|**£2,253**|**(£1,044)**|
|||||||
|**Reconciliation of Funds**||||||
|Total Funds<br>Brought<br>Forward||£1,162,747|Nil|£1,162,747|£1,163,791|
|Total Funds<br>Carried<br>Forward||£1,165,000|Nil|£1,165,000|£1,162,747|



The statement of financial activities includes all gains and losses recognised in the year. 

All income and expenditure derive from continuing activities. 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## **13. Statement of Financial Position for the year ended 31 March 2022** 

|**Item**|**Note**|**2022**|**2021**|
|---|---|---|---|
|**Fixed Assets**||||
|Tangible Fixed Assets|13|£1,153,855|£1,157,157|
|||||
|**Current Assets**||||
|Debtors|14|£3,422|£2,759|
|Cash at Bank and in Hand||£9,999|£3,820|
|**Total Current Assets**||**£13,421**|**£6,579**|
|Creditors: Amounts FallingDue Within One Year|15|(£2,276)|(£989)|
|**Net Current Assets**||**£11,145**|**£5,590**|
|||||
|Total Assets Less Current Liabilities||£1,165,000|£1,162,747|
|||||
|**Net Assets**||**£1,165,000**|**£1,162,747**|
|||||
|Funds of the Charity||||
|Restricted Funds||Nil|Nil|
|Unrestricted Funds||£1,165,000|£1,162,747|
|**Total Charity Funds**|**16**|**£1,165,000**|**£1,162,747**|
|||||



These financial statements were approved by the board of trustees and authorised for issue on 6 October 2022 and are signed on behalf of the board by: 

## _G Sowerby_ 

## G Sowerby 

Chairman of the Trustees / Chairman of the meeting at which the accounts were approved 

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Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## **Notes to the Financial Statements Year Ended 31 March 2022** 

## _**1. General information**_ 

The charity is a public benefit entity and a registered charity in England and Wales and is unincorporated. The address of the principal office is The Town Hall, Stokesley, North Yorkshire, TS9 5DG. 

## _**2. Statement of compliance**_ 

These financial statements have been prepared in compliance with FRS 102, 'The Financial Reporting Standard applicable in the UK and the Republic of Ireland', the Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (Charities SORP (FRS 102)) and the Charities Act 2011. 

## _**3. Accounting policies**_ 

## **Basis of preparation** 

The financial statements have been prepared on the historical cost basis, as modified by the revaluation of certain financial assets and liabilities and investment properties measured at fair value through income or expenditure. 

The financial statements are prepared in sterling, which is the functional currency of the entity. 

## **Going concern** 

There are no material uncertainties about the charity's ability to continue. 

## **Disclosure exemptions** 

The entity satisfies the criteria of being a qualifying entity as defined in FRS 102. As such, advantage has been taken of the following disclosure exemptions available under paragraph 1.12 of FRS 102: 

(a) No cash flow statement has been presented for the company. 

(b) Disclosures in respect of financial instruments have not been presented. 

## **Judgements and key sources of estimation uncertainty** 

The preparation of the financial statements requires management to make judgements, estimates and assumptions that affect the amounts reported. These estimates and judgements are continually reviewed and are based on experience and other factors, including expectations of future events that are believed to be reasonable under the circumstances. 

## **Fund accounting** 

Unrestricted funds are available for use at the discretion of the trustees to further any of the charity's purposes. 

Designated funds are unrestricted funds earmarked by the trustees for particular future project or commitment. 

Page 16 of 21 



Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

Restricted funds are subjected to restrictions on their expenditure declared by the donor or through the terms of an appeal, and fall into one of two sub-classes: restricted income funds or endowment funds. 

## **Incoming resources** 

All income is included in the statement of financial activities when entitlement has passed to the charity, it is probable that the economic benefits associated with the transaction will flow to the charity and the amount can be reliably measured. The following specific policies are applied to particular categories of income: 

• income from donations or grants is recognised when there is evidence of entitlement to the gift, receipt is probable and its amount can be measured reliably. 

• income from contracts for the supply of services is recognised with the delivery of the contracted service. This is classified as unrestricted funds unless there is a contractual requirement for it to be spent on a particular purpose and returned if unspent, in which case it may be regarded as restricted. 

## **Resources expended** 

Expenditure is recognised on an accruals basis as a liability is incurred. Expenditure includes any VAT which cannot be fully recovered, and is classified under headings of the statement of financial activities to which it relates: 

• expenditure on raising funds includes the costs of all fundraising activities, events, non-charitable trading activities, and the sale of donated goods. 

• expenditure on charitable activities includes all costs incurred by a charity in undertaking activities that further its charitable aims for the benefit of its beneficiaries, including those support costs and costs relating to the governance of the charity apportioned to charitable activities. 

• other expenditure includes all expenditure that is neither related to raising funds for the charity nor part of its expenditure on charitable activities. 

All costs are allocated to expenditure categories reflecting the use of the resource. Direct costs attributable to a single activity are allocated directly to that activity. Shared costs are apportioned between the activities they contribute to on a reasonable, justifiable and consistent basis. 

## **Tangible assets** 

Depreciation is not provided on the Town Hall property as the Trustees consider that its market value is equal to its net book value. 

## **Depreciation** 

Depreciation is calculated so as to write off the cost or valuation of an asset, less its residual value, over the useful economic life of that asset as follows: Plant and Machinery:  6% straight line Fixtures and fittings:  6% straight line 

Page 17 of 21 



Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## _**4. Activities for Generating Funds**_ 

||**Unrestricted**<br>**Funds 2022**|**Total Funds**<br>**2022**|**Unrestricted**<br>**Funds 2021**|**Total Funds**<br>**2021**|
|---|---|---|---|---|
|**Donations**|||||
|Lets|£50,397|£50,397|£15,892|£15,892|
|Donations /<br>Fund Raising<br>(Net of Costs)|£8,599|£8,599|£7,272|£7,272|
|Grant from<br>Stokesley<br>Manorial<br>Lands Trust|Nil|Nil|£9,000|£9,000|
|Stokesley<br>Entertainment<br>Club Income|£11,671|£11,671|£370|£370|
|**Total**|**£70,667**|**£70,667**|**£32,534**|**£32,534**|



## _**5. Investment Income**_ 

||**Unrestricted**<br>**Funds 2022**|**Total Funds**<br>**2022**|**Unrestricted**<br>**Funds 2021**|**Total Funds**<br>**2021**|
|---|---|---|---|---|
|Bank Interest<br>Receivable|Nil|Nil|Nil|Nil|



## _**6. Other Income**_ 

||**Unrestricted**<br>**Funds 2022**|**Total Funds**<br>**2022**|**Unrestricted**<br>**Funds 2021**|**Total Funds**<br>**2021**|
|---|---|---|---|---|
|Other Income|£936|£936|£15,561|£15,561|



Other income of £936 represents furlough income from the government to assist Stokesley Town Hall Trust meet employee costs throughout the Covid-19 pandemic. Other income received during the year ended 31 March 2021 is income of a £10,000 grant from Hambleton District Council for rates, £105 of miscellaneous refunds and £5,456 of furlough. 

## _**7. Expenditure on Charitable Activities by Fund Type**_ 

||**Unrestricted**<br>**Funds 2022**|**Total Funds 2022**|**Unrestricted**<br>**Funds 2021**|**Total Funds**<br>**2021**|
|---|---|---|---|---|
|Direct Costs|£66,592|£66,592|£47,883|£47,883|
|Support Costs|£2,758|£2,758|£1,256|£1,256|
|**Total**|**£69,350**|**£69,350**|**£49,139**|**£49,139**|



Page 18 of 21 



Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## _**8. Expenditure on Charitable Activities by Activity Type**_ 

||**Activities Undertaken**<br>**Directly 2022**|**Support Costs**<br>**2022**|**Total Funds**<br>**2022**|**Total Funds 2021**|
|---|---|---|---|---|
|Direct Costs|£66,952|Nil|£66,592|£47,883|
|Governance<br>Costs|Nil|£2,758|£2,7586|£1,256|
|**Total**|**£66,952**|**£2,758**|**£69,350**|**£49,139**|



## _**9. Net Income / (Expenditure)**_ 

Net income/(expenditure) is stated after charging/(crediting): 

||**2022**|**2021**|
|---|---|---|
|Depreciation of Tangible Fixed Assets|£3,613|£3,603|



## _**10. Independent Examination Fees**_ 

|**_10. Independent Examination Fees_**|||
|---|---|---|
||**2022**|**2021**|
|Fees payable to the independent examiner for:<br>Independent examination of the financial statements|£912|£840|



## _**11. Staff Costs**_ 

The Secretary/Treasurer is paid by Stokesley Town Council. There were 4 staff in the year (2021: 4). 

## _**12. Trustee Remuneration and Expenses**_ 

No trustees received any emoluments (2021: None). 

## _**13. Tangible Fixed Assets**_ 

||**Freehold**<br>**Property**|**Plant and**<br>**Machinery**|**Fixtures and**<br>**Fittings **|**Total**|
|---|---|---|---|---|
|**Cost**|||||
|At 1 April 2021|£1,116,945|£36,818|£54,024|£1,207,787|
|Additions|Nil|Nil|£311|£311|
|At 31 March 2022|£1,116,945|£36,818|£54,335|£1,208,098|
||||||
|**Depreciation**|||||
|At 1 April 2021|Nil|£36,818|£13,812|£50,630|
|Charge for the Year|Nil|Nil|£3,613|£3,613|
|At 31 March 2022|Nil|£36,818|£17,425|£54,243|
||||||
|**Carrying Amount**|||||
|At 31 March 2022|£1,116,945|Nil|£36,910|£1,153,855|
|At 31 March 2021|£1,116,945|Nil|£40,212|£1,157,157|



Page 19 of 21 



Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## _**14. Debtors**_ 

||**2022**|**2021**|
|---|---|---|
|Prepayments and Accrued Income|£3,336|£1,670|
|Other Debtors|£86|£1,089|
|**Total**|**£3,422**|**£2,759**|



## _**15. Creditors: Amounts Falling Due Within One Year**_ 

||**2022**|**2021**|
|---|---|---|
|Accruals and Deferred Income|£2,276|£989|
|**Total**|**£2,276**|**£989**|



## _**16. Analysis of Charitable Funds**_ 

## **Unrestricted Funds** 

||**At 1 April 2021**|**Income**|**Expenditure**|**At 31 March 2022**|
|---|---|---|---|---|
|General<br>Purpose Fund|£5,590|£71,603|(£66,048)|£11,145|
|Designated<br>Fund (Tangible<br>Assets)|£1,157,157|Nil|(£3,302)|£1,153,855|
|**Total**|**£1,162,747**|**£71,603**|**(£69,350)**|**£1,165,000**|
||||||
||**At 1 April 2020**|**Income**|**Expenditure**|**At 31 March 2021**|
|General<br>Purpose Fund|£21,483|£28,274|(£44,167)|£5,590|
|Designated<br>Fund (Tangible<br>Assets)|£1,142,308|£19,821|(£4,972)|£1,157,157|
|**Total**|**£1,163,791**|**£48,095**|**(£49,139)**|**£1,162,747**|



The General Purpose Fund is utilised to further the objectives of Stokesley Town Hall Trust. The Designated Fund is disclosed to show the tangible assets that the charity uses to further its objectives. 

## _**17. Analysis of Net Assets Between Funds**_ 

||**Unrestricted**<br>**Funds 2022**|**Total Funds**<br>**2022**|**Unrestricted**<br>**Funds 2021**|**Total Funds**<br>**2021**|
|---|---|---|---|---|
|Tangible Fixed<br>Assets|£1,153,855|£1,153,855|£1,157,157|£1,157,157|
|Current Assets|£13,421|£13,421|£6,579|£6,579|
|Creditors Less<br>Than One Year|(£2,276)|(£2,276)|(£989)|(£989)|
|**Net Assets**|**£1,165,000**|**£1,165,000**|**£1,162,747**|**£1,162,747**|



Page 20 of 21 



Stokesley Town Hall Trust Annual Report and Financial Accounts for the year ended 31 March 2022 

## _**18. Management Information**_ 

## **Detailed Statement of Financial Activities Year Ended 31 March 2022** 

## **Income and Endowments** 

|**Item**|**Year Ending 31**<br>**March 2022**|**Year Ending 31**<br>**March 2021**|
|---|---|---|
|**Activities for Generating Funds**|||
|Lets|£50,397|£15,892|
|Donations/Fundraising (Net of Costs)|£8,599|£7,272|
|Grant from StokesleyManorial Trust|Nil|£9,000|
|StokesleyEntertainment Club Income|£11,671|£370|
|**Sum**|**£70,667**|**£32,534**|
|**Investment Income**|||
|Bank Interest Receivable|Nil|Nil|
|**Other Income**|||
|Other Income|£936|£15,561|
|**Total Income**|**£71,603**|**£48,095**|



## **Expenditure** 

|**Expenditure**|||
|---|---|---|
|**Item**|**Year Ending 31**<br>**March 2022**|**Year Ending 31**<br>**March 2021**|
|**Expenditure on Charitable Activities**|||
|Wages and Salaries|(£30,706)|(£27,146)|
|Water|(£81)|(£400)|
|Light and Heat|(£7,785)|(£3,344)|
|Repairs and Renewals|(£9,853)|(£6,671)|
|Insurance|(£2,983)|(£4,076)|
|Printingand Stationery|(£115)|(£216)|
|Licences|(£640)|(£200)|
|Cleaningand SundryExpenses|(£4,084)|(£2,643)|
|StokesleyEntertainment Club|(£7,375)|Nil|
|AccountancyFees|(£948)|(£840)|
|Depreciation|(£3,613)|(£3,603)|
|Other interest payable and similar<br>charges|(£38)|Nil|
|Donations|(£1,017)|Nil|
|Advertising|(£112)|Nil|
|**Total Expenditure**|**(£69,350)**|**(£49,139)**|
||||
|**Net Income/ (Expenditure)**|**£2,253**|**(£1,044)**|



Page 21 of 21 



CHARITY REGISTRATION NUMBER: 22S265
Stokesley Town Hall Trust
Unaudited Financial Ststements
31 March 2022

Slokesley Town Hall Trust
Flnanclal Statements
Year ended 31 March 2022
Page
Trustees. annual rewrt
Independent examinels r8POrt to the Iruslees
Statement ol financial activtties
Statement of financial position
Notès to the linancial statements
The followlng pages do not torrn part of the Ilnanclal slalemants
Detailed statement ol financial activities
12

Slokesley Town Hall Trust
Trustees, Annual Report
Year ended 31 March 2022
The trustees present Iheir report and Ihe unaudited financial statements ol tho Ch￿ltY for tha year
ended 31 March 2022.
Referen￿ and adminislratlv• d8talla
Reglst8r8d charlty rrarne
Stoke8ley Town Hall Trust
Chartty r•gl$tratKon numb•r
225265
Prlnelpal offlc
The Town Hall
Slokesley
North Yorkshlrè
TS9 50G
The tru9tqg8
K Makinen
M Wilson
D Cook
M Canavan
S Carey
8 Griffiths
C Johnson
N Johnson
D Oxl8y
K Robinson
G Soweffoy
A Wake
(Roslgned 6 January 20221
(Resioned 2 August 20211
(Appointed 9 Noven*er 20211
IR8signed 29 Novernber 20211
Company secrelary
J McLwkie
Indgpondgnt examlner
Graem8 Boagey. FCA
Chipchase Manners
384 tinthwe Road
Middlesbrough
TS5 6HA
Stru¢tuw. governance and management
The Managing Comrnittee member5 are typically aprK)inted on a 4 yearly basis. tMJt is dependent on
the date ol the Town Goun¢il elections. Thesè merHber5 are also members ol Slokesiey Town
Council. Cornrnittee rneetrngs are hek1 on the second Thursday ol each month.
The Charity was established by Deed of Trust dated July 1919 by Slokèsley Parish Council Irenamed
Stokesley Town Council on l April 20171 and became a regi$t&red tharity on 25 Septernber 1963 with
the Charity Commission No.. 225265.

Stokesley Town Hall Trusl
Trustees. Annual Report (conllnwdl
Year ended 31 March 2022
Oble¢iiw$ and •ctlvltleg
The chanty is establistr*d to aclminister the adivities l¢y Stoke$￿Y Town Hall which was beqL*athed
lo Slokesley Town Couneil In 1919. Th¢ oti'fyytive is to provide a wide range ol ¢ommunily a￿1VItieS
particularly promoting charitable activities.
The Town Hall is available lo hire by any indtvidual or organi5alion in accordance with a 5tarKlaTd
hiring agreemenl and a scale of charges adopted tor the year. It is intende(J that the scale ol the
charges should be sufficienl to generale enough income lo meet all the expendilure incurred, any
shorttall is made up by the Iransler ol luThJs from the Siokesley Manonal Lands Trusl. Regisle
Charity No.. 1023299.
The charity is organise(l as an Independent associallon of local residents who are appointed from
Stokesley Town Council excepl for th8 Secretary￿reaSurer who is also Clerk lo Slokesley Town
Council. The aclivilies inclwle the provision of the Town Hall as a perrnanenl comrnunity facilrty and
such other acliwlies as may prove necessary.
hlevements and performance
The expendrture 8xce8d8d the letting and other income in the year, however Stokesley Tovjn Hal
Trust has suffKienl reserves lo coniinue as a going concern. No financial support was received during
the year e￿ed 31 March 202212021." £9,000) from Stokesley Manorial Lands Trust.
Flnan¢lo1 revlew
The attached Iinaneial sttttèrnents shtjw Ihe current stale Df the fi'nances which the committee Consider
to bè sound.
The CoMd-19 pandemic has afleeted the in¢ome of stokesley Town Hall Trust. Town hall letting
income and incorne frorn entertainrnenl aclivilkPS has been adversely affected. Following the easing of
the Covid-19 restrictions income levels have started to return to pre Covid-19 levels.
The trusteès, annual rewrt was aFproved on 7 June 2022 and signed on behalf of the board of
trustees by..
Awake
Truslee

Stokesley Town Hall Trust
Independent Examlner's Report to the Trusteos of Stokosl8y Town Hall Trust
Year ended 31 March 2022
I report to the trumees on rny examination ol the financial staternenls ol Slcthesley Town Hall Trust
I'tho charity) for the year eThled 31 March 2022.
Re¥￿￿#1b11Il￿S ind basls of report
As the trystees of the charity you are responsible lor the ￿eparation of the financial stalernenls in
cordance with the ￿qUi1èments of the Charities Aci 2011 Ilhe Act'l.
I report in respect of rny èxaminafM)n of the charhy's finaTKial staternents rarried out under section 14S
ol the 2011 Act and in carrying out my examination I have followed all the applicabb Directions given
by Ihg Charity Commission urKler se¢tKJn 14515llbl ol thè Aei.
Ind•p8ndent examln8rfs staternent
I have ¢ompleled rny examination. I confirm that no material matters have come to rny attention in
connection wilh the examination givtng me causa to bglieve that in any maleriai respect..
aC￿Untrng record5 wer8 not kept in respect of ihe charty as required by section 130 01 the
Act- or
the financial statsm9nts do wjt accord wrth those records. or
the hnanaal statawnents do not comply With the appli¢able requirernents conceming the
form and content of accounts set out in Ihe Charib'es (Accounts and Reports) Regulabons
2008 other than any requirement Ihat the arKounts give a 'lrue and lair, which is no¢ a
rnatlei conSLdered as part ol an irKJ0￿ndenI examination.
I have no concems and have eome across no other matters in connecDon with the exarninatifyTr to
wh￿h aitentK)n should be drawn in Ihi5 reFort in order to enable a proper understanding ol the
account
be reached.
/LL-- /C O
Graemo Poagey. FCA
Independent Examiner
Chip¢hase Manners
384 Linlhorpe Road
Middlesbrough
TS5 6HA
7 June 2022

Stokesley Town Hall Trusl
ststoment of Financial Aclivilies
Year ended 31 March 2022
2022
Unrwricted
funds Total funds Total funds
2021
Note
Ineome and •nd¢)wm•ftts
Actiwties for generaling funds
Other income
70,667
70.667
936
32.534
15,561
Total Incom•
71.603
71.603
48,095
Expendlture
Expenthture on charitable aelivrtias
Totsl oxpendbturg
169,3501
169.3501
169,3501
169.3501
149,1391
149.1391
NBt Incornelloxp?ndilurg1 ond rhgt movgrngnt In fund$
2.253
2.253
11.0441
Ro¢on¢lllatlon of funds
Total funds brought foMard
Total lunds carrlad lon¥ard
1,162,747
1.162.747
1,163,791
1.165.000
1,165,000
1,162.747
The ststemenl of linanlial artmtios Ir￿u￿8$ all gains and k)sse$ r¢¢ognised in thè ygar.
All income and ex[xnditu￿ derivo from ¢ontinuing activities.
The noles on pages 6 to 10 form pwrt ol these financ￿1 slatemenis.

Stokesley Town Hall Trusl
Slalement of Financial Position
31 March 2022
2022
2021
N￿e
Flxed assets
Tangible fixed assets
12 1,153,855
1,157,157
CuThent assets
Dèbtors
Cash at bank and in haTrl
13
3.422
9,999
2.759
3.820
13.421
6,579
Credltors: amountg falllng du8 wilhin one year
N•t curr•nt a￿e1>
14
12.2761
11,145
19891
5,590
Total as￿8 lè$$ ¢urr¢nt Ilabllltla$
Net assets
1.165,CQO
I,165,(￿0
1.162,747
1,162.747
Funds ol thè ¢ho￿ty
Unr•strKted lunds
1,165,000
1,162,747
Total charlty lund¥
15 1,165,000
1,162,747
These financial stat8ments were approved by the board ol trusiees and authorised for issue on 7 June
2022. and are s%Jned on tehalf of Ihe board by..
A Wake
Trustee
The notes on pages 8 to 10 lomi port of th88e financlal stat8ment&

Stokesley Town Hall Trust
Not8$ to the Financial Ststements
Year ended 31 March 2022
Genernl InfoThatlon
The charity Is a publlc ban￿1[ 8lltity and a reglstered charily in England and Wales and is
unincorporaied. Thè address of the principal otlice is ThÈ Town Hall. Slok8sl8y. North Yorkshlre,
TS9 50G.
ststement of compliance
These financial slatetrents have been prepared in compliance with FHS 102, 'The Financial
Repot1ing Standard applicable In thè UK and the Republic of Ireland,, the Statement ol
Recommended Practi￿ applicable lo charities preparing their accounts in aC￿rdan￿ wilh the
Financial Reporling Standard applicab￿ in the UK and Republic ol Ireland IFRS 1021 Icharities
SORP IFRS 10211 and thg Charilie8 A¢1 2011.
Accountlng polleles
Basls of prnparatlon
The financial statements have been p￿pared on the hisluical cost basis. as modified by the
revaluation ol certain linancid asset$ and liabilit￿S and investment properties measuied at lair
value through kn(xJme or expeThYitur¢.
The financial statements ara prepared in starllng, which Ls tha lurttional currency of the entity.
Golng ¢on¢ern
There arè no material un¢*rtainti?s about Ihe ¢haritW$ ability 10 oniinue.
Dl8closure exenytSons
Th8 entity 5atisfi8s tre criteria ol beirMJ a walifying entily as defined in FRS 102. As such.
advantage has been taken of Ihe following disclosure e%ernplions available uncbr paragraph
1.12 of FRS 102.. lal No cash flow statement has been presenled lor the company.
Ibl Disclosures in ￿$￿et ol linancial instrumants have not bèen presented.
Judgementg and key sources of estlmatlon uncert¥lnty
The prep8ratK)rTr of Ihe financial statements requires rnanagement to make judgemenls,
estimates and assUMpt￿nS that affect the amounts reported. These estimates and judgements
are continually reviewed and are based on experience and other faelorg, including expectalons
of future events that are believed lo be reasonable underthe circiirnstAnces.
Fund accountlng
Unrestricted funds ar8 availablè for us8 at thè discr*￿'on of lh8 trustaes to further any ol the
charity's purposes.
Designated funds are unrestricted funds earmarked by the truslees for particular futurè project or
ornmitmenl.
Restricted funds are subjected lo resin'ctions on their eXpeThjitu￿ dedared by the donor or
through the terms ol an appeal. and fall into ¢Jne of SU￿¢lasses.. resirl¢ied in¢omo lund$ or
enth*m)ent funds.

siokesley Town Hall Trust
Notes to the Flnancial Stalements
Year ended 31 March 2022
Aecounllng pollcSes (contsThx
Incomlng rosources
All income is included in the statement of financial activities when entitlement has passe¢J to the
charity, rt is wobable that the economic benefrts associaied with lh8 transaciion will flow to the
charity and the amount can be rdiably measured. Tho followirg speofic poliries are applied to
particular categor￿S of in(x)rne.'
income from donallons ￿ yrant8 is iecognised when there is evidence ol entitlement to the gift,
ecaipt 15 probabfe aThY its amount can be measured reliably.
In￿Me from ¢¢ntracts lor the suwly ol se￿￿￿5 is recognised with the delivery of the
eoFTlracted servi￿. Thig is dassifiod a$ unrestricted funds unless there is a contractual
requirement lor It to be spent on a part￿ular purpose and returned il UnS￿nI. in which casè it
may be regard￿ as reStr￿ed.
Resources •xpend¢d
Expendrture is r￿Qgnised on an accruals basis as a lith'lity is Incurrgd. Expondllurg indude$ any
VAT which cannot b8 fully recovered, a￿1 is classified under he*Y1￿$ of the staternent of
fi'nanaal actiwties to which il relates".
experKllture on raising luThds includes the tA)Sts of all fundraisiry arAivitie5, evenls,
non-charitable tradiro activities, and the sal¢ of doriated goods.
¢xpÈnditure on charitable actNities indudes all costs incurred by a cha¥ity in undertaking
activities that further ils eharit*)1g airn5 for the benefit ol its beneficiaries, including those
supptKt costs and costs relating to the gOVo¥nance of the charity apportioned to charitable
activities.
other expenditure inelud8s all expenditure that is neither related to raising funds lor thè
charity Th)r part ol hs *xpenditure on charbtablo activities.
All eosls are allocated to exFenditurè trAt8gories reflecting the use of the resource. Direct costs
attributable to a single activily are alIC￿ated directly to thal activity. Shared costs af& apportiongd
belween the aciivitses they contribjle to on a reasonable, justifiable and i*nsistènt basis.
Tanglble assots
Dopreciation is not provided on the Town Hall property as the Twstees consider that its market
value is equal to rts net book value.
Depreclatlon
Deweciation is cal¢ulated so as to write off the cost ¢y valuation of an a55et. le55 Its resKJual
valtse, over the useful e￿nOrn￿ lite ol that assèt as ft*lltbW5'.
Plant and machinery
Fixtures and fillings
6% straght line
6% straight line

Slokesley Town Hall Trust
Notes to Ihe Flnanclal Statements 1¢
Year ended 31 March 2022
A￿1vIll¥S lor goneratlng lunds
Unlestr￿led Total Funds Unrestricted Tot￿ Fund5
Funds
2022
Funds
2021
Dongiion$
Lets
Donation￿lUnd raissno Inet of ¢oslsl
Grant frorn Stokesley Manorial Lands
Tiusl
Slokesley Entertainrnenl Club I￿￿)me
50,397
8,599
50.397
8,599
15,892
7,272
15.892
7,272
9,C¥)O
370
9,￿0
370
11.671
11,671
70.667
70,667
32.534
32.534
Othér Incom&
Unrestricte(J Total Funds Unrestrided Total Funds
Funds
2022
Funds
2021
Other income
926
936
15,561
15,561
Olher income ol £936 represents furlough income from the government to asslst Stokesley Town
Hall Trust meet employee ¢osrs throughout the C¢vid-19 pandemic. Other in¢ome re￿iVed
during the year ended 31 March 2021 is income ol a £10,000 grant frorn Hamblelon District
Council for rales, £105 01 miscellaneous rgfunds and £5.456 01 furlough.
Exp•ndltur• on eharlt*bl• activities by fund ty
UnrestrKted Total Funds Unrestricted Total Funds
Funds
2022
Funds
2021
L1￿cl Costs
SupFJ)rt Costs
66.592
2,758
69,350
66,592
2,758
69,350
47,883
1,256
49,139
47.883
1,256
49,139
7. Exp8ndilur• on ¢horfi•bl¢ •￿1¥11198 by 4￿1vItY t)po
Activities
urKlertaken
directly
Supporl Tolol fund¥
costs
2022
Total fund
2021
Dir*1 cogis
Governan￿ (rthsts
66,592
66,592
2,758
47.883
1.256
2,758
66,592
2.758
69.350
49,139

Stokesley Town Hall Trust
Notes to the Financial Ststem8ntS (corthNw
Year ended 31 March 2022
Net Incornellexpandtture)
Nat Incomwlgxpendilurel is stated arter chargingll¢red￿ngl'.
2022
Depr￿a￿(￿ of langible lixed assets
3.613
3.603
Independont •xamin*ion te95
2022
2021
Fèes payable fo the independeni examiner for..
Independent èxafflination of the financial stal8m8nts
912
10. Statt eost•
The Secratary￿rQa8uter is paid by Stok&sley Town C￿￿¢11. Trre were 4 staff in the year
12021.. 41.
11. Trust•• remuneratlon and •xp•ns•$
No trusteas r8(*i¥e any ernolurnents12021.' None).
12. Tonglble flxed assots
F￿ehOld
property
Plant and Fixtures and
machinèry
Ilttings
Total
At 1 April 2021
Athlitr'ons
1.116,945
36.818
54,024
311
1,207,787
311
At 31 March 2022
1.116.94S
36,818
54.335
1.208,098
Depreclatlon
Al 1 April 2021
Charge lor the ￿ar
At 31 March 2022
36.818
13.812
3.613
$0,630
3.613
36,818
17,425
54,243
Carrylng amount
At 31 March X122
1,116,945
36,910
1,153,855
At 31 March 2021
1,116.945
40.212
1,157,157
13. 08btor*
2022
2021
Prepayrnents and ac¢rued income
Other tsblo
3,336
1.670
1,089
3.4Y2
2.759

Stokesley Town Hall Trust
Notes to the Financial Statement9 Iconlthuodj
Year ended 31 March 2022
14. Credltorg: amounts lalllng due wFthln one year
2021
Acuuals and delerred income
2,276
15. Analysls of ¢haritable funds
Unrestrlcted funds
At
31 March 20
At
1 Awl 2021
Income ExpenL*'lure
General Purpose Fund
Oesignated Fund ITangl)le Assets)
5,590
1,157,157
1,162,747
71,603
186,0481
13.3021
169.3501
11,145
1,153,855
71,603
1,165,000
At
31 Marth20
21
At
1 April 2020
Income Expenth'lure
General Purpose Fund
Dewgnated Fund {Ta￿lble Assets)
21,483
1,142,308
28,274
19.821
144.1671
14.9721
149.1391
6,590
1,157,157
1,162.747
1.163,791
48.095
The General Purpose Fund is utilised lo further the objectives ol &okesley Town Hall Trust.
The De$ignaied FuTrY is disth)sed lo show Ihe taro4)le assets that th? ¢harrty uses to furlher its
objectives.
16. An•ty$ls ol net assets belween funds
Unre$tri¢tgd Total Funds
Funds
2022
Tanoiblcy lixed astscts
Current assets
Creditors less Ihan 1 yaar
Net assets
1.158.855
13,421
12.2781
1,165,000
1,153.855
13,421
12,2761
1.165,(K>O
Unrestricted Total Funds
Funds
21Y21
Tangible lixed asset5
Cutrèni assèts
Creditors Eess than a year
a$sel$
1.157.157
6,579
19891
1,162,747
1.157.157
6.579
19891
1.162,747
10

Stokesley Town Hall Trust
Management Inlormotion
Year ended 31 March 2022
Tho lollowlng p•gn do not fomi part of the flnonclel stthrnthts.
11

Slokesley Town Hall Trust
Detailed Slatem•nt of Financial Aclivilies
Year ended 31 March 2022
2022
2021
Income and endowments
Actlvltles lor g•nèratlng lund8
Lels
Donalionsrfund raispng Inst ol costs)
Grani fvom Siokesley Manorial Land5 Tru51
Stokesley Entertainmenl Club income
50,397
8,599
15,892
7.272
9,000
370
11.671
70,667
32,534
Othar Incom•
her incomg
936
15,561
To¢al Incorn•
71,603
48,095
Expendlture
Expendlture Dn charitable activiti8s
Wagès and salaries
Rates and water
L￿jh1 heat
Repairs and maintenance
Insurance
Accountancy fees
Stokesley Entertainrnenl Club
AdvertisirKJ
Depreciation
Oiher Intere￿ payable and ￿Milar ¢harggs
Donations
Cleaning and sundry expenses
cences
Printing and stationery
130.7061
127.1461
14001
13,$441
16.6711
14,0761
18401
17,7851
19,8531
12,9831
19481
17.3751
13.6131
1381
11,0171
14,0841
16401
13.6031
12.6431
12001
12161
149.1391
169.3501
Total •xp•ndltur•
169,3501
149,1391
Ntrt Incomellexpendlturel
11,0441
12

CHARITY REGISTRATION NUMBER: 22S265
Stokesley Town Hall Trust
Unaudited Financial Ststements
31 March 2022

Slokesley Town Hall Trust
Flnanclal Statements
Year ended 31 March 2022
Page
Trustees. annual rewrt
Independent examinels r8POrt to the Iruslees
Statement ol financial activtties
Statement of financial position
Notès to the linancial statements
The followlng pages do not torrn part of the Ilnanclal slalemants
Detailed statement ol financial activities
12

Slokesley Town Hall Trust
Trustees, Annual Report
Year ended 31 March 2022
The trustees present Iheir report and Ihe unaudited financial statements ol tho Ch￿ltY for tha year
ended 31 March 2022.
Referen￿ and adminislratlv• d8talla
Reglst8r8d charlty rrarne
Stoke8ley Town Hall Trust
Chartty r•gl$tratKon numb•r
225265
Prlnelpal offlc
The Town Hall
Slokesley
North Yorkshlrè
TS9 50G
The tru9tqg8
K Makinen
M Wilson
D Cook
M Canavan
S Carey
8 Griffiths
C Johnson
N Johnson
D Oxl8y
K Robinson
G Soweffoy
A Wake
(Roslgned 6 January 20221
(Resioned 2 August 20211
(Appointed 9 Noven*er 20211
IR8signed 29 Novernber 20211
Company secrelary
J McLwkie
Indgpondgnt examlner
Graem8 Boagey. FCA
Chipchase Manners
384 tinthwe Road
Middlesbrough
TS5 6HA
Stru¢tuw. governance and management
The Managing Comrnittee member5 are typically aprK)inted on a 4 yearly basis. tMJt is dependent on
the date ol the Town Goun¢il elections. Thesè merHber5 are also members ol Slokesiey Town
Council. Cornrnittee rneetrngs are hek1 on the second Thursday ol each month.
The Charity was established by Deed of Trust dated July 1919 by Slokèsley Parish Council Irenamed
Stokesley Town Council on l April 20171 and became a regi$t&red tharity on 25 Septernber 1963 with
the Charity Commission No.. 225265.

Stokesley Town Hall Trusl
Trustees. Annual Report (conllnwdl
Year ended 31 March 2022
Oble¢iiw$ and •ctlvltleg
The chanty is establistr*d to aclminister the adivities l¢y Stoke$￿Y Town Hall which was beqL*athed
lo Slokesley Town Couneil In 1919. Th¢ oti'fyytive is to provide a wide range ol ¢ommunily a￿1VItieS
particularly promoting charitable activities.
The Town Hall is available lo hire by any indtvidual or organi5alion in accordance with a 5tarKlaTd
hiring agreemenl and a scale of charges adopted tor the year. It is intende(J that the scale ol the
charges should be sufficienl to generale enough income lo meet all the expendilure incurred, any
shorttall is made up by the Iransler ol luThJs from the Siokesley Manonal Lands Trusl. Regisle
Charity No.. 1023299.
The charity is organise(l as an Independent associallon of local residents who are appointed from
Stokesley Town Council excepl for th8 Secretary￿reaSurer who is also Clerk lo Slokesley Town
Council. The aclivilies inclwle the provision of the Town Hall as a perrnanenl comrnunity facilrty and
such other acliwlies as may prove necessary.
hlevements and performance
The expendrture 8xce8d8d the letting and other income in the year, however Stokesley Tovjn Hal
Trust has suffKienl reserves lo coniinue as a going concern. No financial support was received during
the year e￿ed 31 March 202212021." £9,000) from Stokesley Manorial Lands Trust.
Flnan¢lo1 revlew
The attached Iinaneial sttttèrnents shtjw Ihe current stale Df the fi'nances which the committee Consider
to bè sound.
The CoMd-19 pandemic has afleeted the in¢ome of stokesley Town Hall Trust. Town hall letting
income and incorne frorn entertainrnenl aclivilkPS has been adversely affected. Following the easing of
the Covid-19 restrictions income levels have started to return to pre Covid-19 levels.
The trusteès, annual rewrt was aFproved on 7 June 2022 and signed on behalf of the board of
trustees by..
Awake
Truslee

Stokesley Town Hall Trust
Independent Examlner's Report to the Trusteos of Stokosl8y Town Hall Trust
Year ended 31 March 2022
I report to the trumees on rny examination ol the financial staternenls ol Slcthesley Town Hall Trust
I'tho charity) for the year eThled 31 March 2022.
Re¥￿￿#1b11Il￿S ind basls of report
As the trystees of the charity you are responsible lor the ￿eparation of the financial stalernenls in
cordance with the ￿qUi1èments of the Charities Aci 2011 Ilhe Act'l.
I report in respect of rny èxaminafM)n of the charhy's finaTKial staternents rarried out under section 14S
ol the 2011 Act and in carrying out my examination I have followed all the applicabb Directions given
by Ihg Charity Commission urKler se¢tKJn 14515llbl ol thè Aei.
Ind•p8ndent examln8rfs staternent
I have ¢ompleled rny examination. I confirm that no material matters have come to rny attention in
connection wilh the examination givtng me causa to bglieve that in any maleriai respect..
aC￿Untrng record5 wer8 not kept in respect of ihe charty as required by section 130 01 the
Act- or
the financial statsm9nts do wjt accord wrth those records. or
the hnanaal statawnents do not comply With the appli¢able requirernents conceming the
form and content of accounts set out in Ihe Charib'es (Accounts and Reports) Regulabons
2008 other than any requirement Ihat the arKounts give a 'lrue and lair, which is no¢ a
rnatlei conSLdered as part ol an irKJ0￿ndenI examination.
I have no concems and have eome across no other matters in connecDon with the exarninatifyTr to
wh￿h aitentK)n should be drawn in Ihi5 reFort in order to enable a proper understanding ol the
account
be reached.
/LL-- /C O
Graemo Poagey. FCA
Independent Examiner
Chip¢hase Manners
384 Linlhorpe Road
Middlesbrough
TS5 6HA
7 June 2022

Stokesley Town Hall Trusl
ststoment of Financial Aclivilies
Year ended 31 March 2022
2022
Unrwricted
funds Total funds Total funds
2021
Note
Ineome and •nd¢)wm•ftts
Actiwties for generaling funds
Other income
70,667
70.667
936
32.534
15,561
Total Incom•
71.603
71.603
48,095
Expendlture
Expenthture on charitable aelivrtias
Totsl oxpendbturg
169,3501
169.3501
169,3501
169.3501
149,1391
149.1391
NBt Incornelloxp?ndilurg1 ond rhgt movgrngnt In fund$
2.253
2.253
11.0441
Ro¢on¢lllatlon of funds
Total funds brought foMard
Total lunds carrlad lon¥ard
1,162,747
1.162.747
1,163,791
1.165.000
1,165,000
1,162.747
The ststemenl of linanlial artmtios Ir￿u￿8$ all gains and k)sse$ r¢¢ognised in thè ygar.
All income and ex[xnditu￿ derivo from ¢ontinuing activities.
The noles on pages 6 to 10 form pwrt ol these financ￿1 slatemenis.

Stokesley Town Hall Trusl
Slalement of Financial Position
31 March 2022
2022
2021
N￿e
Flxed assets
Tangible fixed assets
12 1,153,855
1,157,157
CuThent assets
Dèbtors
Cash at bank and in haTrl
13
3.422
9,999
2.759
3.820
13.421
6,579
Credltors: amountg falllng du8 wilhin one year
N•t curr•nt a￿e1>
14
12.2761
11,145
19891
5,590
Total as￿8 lè$$ ¢urr¢nt Ilabllltla$
Net assets
1.165,CQO
I,165,(￿0
1.162,747
1,162.747
Funds ol thè ¢ho￿ty
Unr•strKted lunds
1,165,000
1,162,747
Total charlty lund¥
15 1,165,000
1,162,747
These financial stat8ments were approved by the board ol trusiees and authorised for issue on 7 June
2022. and are s%Jned on tehalf of Ihe board by..
A Wake
Trustee
The notes on pages 8 to 10 lomi port of th88e financlal stat8ment&

Stokesley Town Hall Trust
Not8$ to the Financial Ststements
Year ended 31 March 2022
Genernl InfoThatlon
The charity Is a publlc ban￿1[ 8lltity and a reglstered charily in England and Wales and is
unincorporaied. Thè address of the principal otlice is ThÈ Town Hall. Slok8sl8y. North Yorkshlre,
TS9 50G.
ststement of compliance
These financial slatetrents have been prepared in compliance with FHS 102, 'The Financial
Repot1ing Standard applicable In thè UK and the Republic of Ireland,, the Statement ol
Recommended Practi￿ applicable lo charities preparing their accounts in aC￿rdan￿ wilh the
Financial Reporling Standard applicab￿ in the UK and Republic ol Ireland IFRS 1021 Icharities
SORP IFRS 10211 and thg Charilie8 A¢1 2011.
Accountlng polleles
Basls of prnparatlon
The financial statements have been p￿pared on the hisluical cost basis. as modified by the
revaluation ol certain linancid asset$ and liabilit￿S and investment properties measuied at lair
value through kn(xJme or expeThYitur¢.
The financial statements ara prepared in starllng, which Ls tha lurttional currency of the entity.
Golng ¢on¢ern
There arè no material un¢*rtainti?s about Ihe ¢haritW$ ability 10 oniinue.
Dl8closure exenytSons
Th8 entity 5atisfi8s tre criteria ol beirMJ a walifying entily as defined in FRS 102. As such.
advantage has been taken of Ihe following disclosure e%ernplions available uncbr paragraph
1.12 of FRS 102.. lal No cash flow statement has been presenled lor the company.
Ibl Disclosures in ￿$￿et ol linancial instrumants have not bèen presented.
Judgementg and key sources of estlmatlon uncert¥lnty
The prep8ratK)rTr of Ihe financial statements requires rnanagement to make judgemenls,
estimates and assUMpt￿nS that affect the amounts reported. These estimates and judgements
are continually reviewed and are based on experience and other faelorg, including expectalons
of future events that are believed lo be reasonable underthe circiirnstAnces.
Fund accountlng
Unrestricted funds ar8 availablè for us8 at thè discr*￿'on of lh8 trustaes to further any ol the
charity's purposes.
Designated funds are unrestricted funds earmarked by the truslees for particular futurè project or
ornmitmenl.
Restricted funds are subjected lo resin'ctions on their eXpeThjitu￿ dedared by the donor or
through the terms ol an appeal. and fall into ¢Jne of SU￿¢lasses.. resirl¢ied in¢omo lund$ or
enth*m)ent funds.

siokesley Town Hall Trust
Notes to the Flnancial Stalements
Year ended 31 March 2022
Aecounllng pollcSes (contsThx
Incomlng rosources
All income is included in the statement of financial activities when entitlement has passe¢J to the
charity, rt is wobable that the economic benefrts associaied with lh8 transaciion will flow to the
charity and the amount can be rdiably measured. Tho followirg speofic poliries are applied to
particular categor￿S of in(x)rne.'
income from donallons ￿ yrant8 is iecognised when there is evidence ol entitlement to the gift,
ecaipt 15 probabfe aThY its amount can be measured reliably.
In￿Me from ¢¢ntracts lor the suwly ol se￿￿￿5 is recognised with the delivery of the
eoFTlracted servi￿. Thig is dassifiod a$ unrestricted funds unless there is a contractual
requirement lor It to be spent on a part￿ular purpose and returned il UnS￿nI. in which casè it
may be regard￿ as reStr￿ed.
Resources •xpend¢d
Expendrture is r￿Qgnised on an accruals basis as a lith'lity is Incurrgd. Expondllurg indude$ any
VAT which cannot b8 fully recovered, a￿1 is classified under he*Y1￿$ of the staternent of
fi'nanaal actiwties to which il relates".
experKllture on raising luThds includes the tA)Sts of all fundraisiry arAivitie5, evenls,
non-charitable tradiro activities, and the sal¢ of doriated goods.
¢xpÈnditure on charitable actNities indudes all costs incurred by a cha¥ity in undertaking
activities that further ils eharit*)1g airn5 for the benefit ol its beneficiaries, including those
supptKt costs and costs relating to the gOVo¥nance of the charity apportioned to charitable
activities.
other expenditure inelud8s all expenditure that is neither related to raising funds lor thè
charity Th)r part ol hs *xpenditure on charbtablo activities.
All eosls are allocated to exFenditurè trAt8gories reflecting the use of the resource. Direct costs
attributable to a single activily are alIC￿ated directly to thal activity. Shared costs af& apportiongd
belween the aciivitses they contribjle to on a reasonable, justifiable and i*nsistènt basis.
Tanglble assots
Dopreciation is not provided on the Town Hall property as the Twstees consider that its market
value is equal to rts net book value.
Depreclatlon
Deweciation is cal¢ulated so as to write off the cost ¢y valuation of an a55et. le55 Its resKJual
valtse, over the useful e￿nOrn￿ lite ol that assèt as ft*lltbW5'.
Plant and machinery
Fixtures and fillings
6% straght line
6% straight line

Slokesley Town Hall Trust
Notes to Ihe Flnanclal Statements 1¢
Year ended 31 March 2022
A￿1vIll¥S lor goneratlng lunds
Unlestr￿led Total Funds Unrestricted Tot￿ Fund5
Funds
2022
Funds
2021
Dongiion$
Lets
Donation￿lUnd raissno Inet of ¢oslsl
Grant frorn Stokesley Manorial Lands
Tiusl
Slokesley Entertainrnenl Club I￿￿)me
50,397
8,599
50.397
8,599
15,892
7,272
15.892
7,272
9,C¥)O
370
9,￿0
370
11.671
11,671
70.667
70,667
32.534
32.534
Othér Incom&
Unrestricte(J Total Funds Unrestrided Total Funds
Funds
2022
Funds
2021
Other income
926
936
15,561
15,561
Olher income ol £936 represents furlough income from the government to asslst Stokesley Town
Hall Trust meet employee ¢osrs throughout the C¢vid-19 pandemic. Other in¢ome re￿iVed
during the year ended 31 March 2021 is income ol a £10,000 grant frorn Hamblelon District
Council for rales, £105 01 miscellaneous rgfunds and £5.456 01 furlough.
Exp•ndltur• on eharlt*bl• activities by fund ty
UnrestrKted Total Funds Unrestricted Total Funds
Funds
2022
Funds
2021
L1￿cl Costs
SupFJ)rt Costs
66.592
2,758
69,350
66,592
2,758
69,350
47,883
1,256
49,139
47.883
1,256
49,139
7. Exp8ndilur• on ¢horfi•bl¢ •￿1¥11198 by 4￿1vItY t)po
Activities
urKlertaken
directly
Supporl Tolol fund¥
costs
2022
Total fund
2021
Dir*1 cogis
Governan￿ (rthsts
66,592
66,592
2,758
47.883
1.256
2,758
66,592
2.758
69.350
49,139

Stokesley Town Hall Trust
Notes to the Financial Ststem8ntS (corthNw
Year ended 31 March 2022
Net Incornellexpandtture)
Nat Incomwlgxpendilurel is stated arter chargingll¢red￿ngl'.
2022
Depr￿a￿(￿ of langible lixed assets
3.613
3.603
Independont •xamin*ion te95
2022
2021
Fèes payable fo the independeni examiner for..
Independent èxafflination of the financial stal8m8nts
912
10. Statt eost•
The Secratary￿rQa8uter is paid by Stok&sley Town C￿￿¢11. Trre were 4 staff in the year
12021.. 41.
11. Trust•• remuneratlon and •xp•ns•$
No trusteas r8(*i¥e any ernolurnents12021.' None).
12. Tonglble flxed assots
F￿ehOld
property
Plant and Fixtures and
machinèry
Ilttings
Total
At 1 April 2021
Athlitr'ons
1.116,945
36.818
54,024
311
1,207,787
311
At 31 March 2022
1.116.94S
36,818
54.335
1.208,098
Depreclatlon
Al 1 April 2021
Charge lor the ￿ar
At 31 March 2022
36.818
13.812
3.613
$0,630
3.613
36,818
17,425
54,243
Carrylng amount
At 31 March X122
1,116,945
36,910
1,153,855
At 31 March 2021
1,116.945
40.212
1,157,157
13. 08btor*
2022
2021
Prepayrnents and ac¢rued income
Other tsblo
3,336
1.670
1,089
3.4Y2
2.759

Stokesley Town Hall Trust
Notes to the Financial Statement9 Iconlthuodj
Year ended 31 March 2022
14. Credltorg: amounts lalllng due wFthln one year
2021
Acuuals and delerred income
2,276
15. Analysls of ¢haritable funds
Unrestrlcted funds
At
31 March 20
At
1 Awl 2021
Income ExpenL*'lure
General Purpose Fund
Oesignated Fund ITangl)le Assets)
5,590
1,157,157
1,162,747
71,603
186,0481
13.3021
169.3501
11,145
1,153,855
71,603
1,165,000
At
31 Marth20
21
At
1 April 2020
Income Expenth'lure
General Purpose Fund
Dewgnated Fund {Ta￿lble Assets)
21,483
1,142,308
28,274
19.821
144.1671
14.9721
149.1391
6,590
1,157,157
1,162.747
1.163,791
48.095
The General Purpose Fund is utilised lo further the objectives ol &okesley Town Hall Trust.
The De$ignaied FuTrY is disth)sed lo show Ihe taro4)le assets that th? ¢harrty uses to furlher its
objectives.
16. An•ty$ls ol net assets belween funds
Unre$tri¢tgd Total Funds
Funds
2022
Tanoiblcy lixed astscts
Current assets
Creditors less Ihan 1 yaar
Net assets
1.158.855
13,421
12.2781
1,165,000
1,153.855
13,421
12,2761
1.165,(K>O
Unrestricted Total Funds
Funds
21Y21
Tangible lixed asset5
Cutrèni assèts
Creditors Eess than a year
a$sel$
1.157.157
6,579
19891
1,162,747
1.157.157
6.579
19891
1.162,747
10

Stokesley Town Hall Trust
Management Inlormotion
Year ended 31 March 2022
Tho lollowlng p•gn do not fomi part of the flnonclel stthrnthts.
11

Slokesley Town Hall Trust
Detailed Slatem•nt of Financial Aclivilies
Year ended 31 March 2022
2022
2021
Income and endowments
Actlvltles lor g•nèratlng lund8
Lels
Donalionsrfund raispng Inst ol costs)
Grani fvom Siokesley Manorial Land5 Tru51
Stokesley Entertainmenl Club income
50,397
8,599
15,892
7.272
9,000
370
11.671
70,667
32,534
Othar Incom•
her incomg
936
15,561
To¢al Incorn•
71,603
48,095
Expendlture
Expendlture Dn charitable activiti8s
Wagès and salaries
Rates and water
L￿jh1 heat
Repairs and maintenance
Insurance
Accountancy fees
Stokesley Entertainrnenl Club
AdvertisirKJ
Depreciation
Oiher Intere￿ payable and ￿Milar ¢harggs
Donations
Cleaning and sundry expenses
cences
Printing and stationery
130.7061
127.1461
14001
13,$441
16.6711
14,0761
18401
17,7851
19,8531
12,9831
19481
17.3751
13.6131
1381
11,0171
14,0841
16401
13.6031
12.6431
12001
12161
149.1391
169.3501
Total •xp•ndltur•
169,3501
149,1391
Ntrt Incomellexpendlturel
11,0441
12