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2021-12-31-accounts

- Lilleshall Memorial Hall Registered Charity no. 240569.

Treasurer’s Report year ended 31[st] December 2021, prepared for the Annual Meetimg 3[rd] April 2022.

The Main Hall and the new Hillside Meeting Room were very well used since the easing of the lockdown restrictions resulting in letting income over the year of £12,163.62. Added to this, to compensate for loss of business during the periods of lockdowns and restrictions, we received a further £20,368.57 this year from Telford and Wrekin Council in the form of Community Support Grants. Rental income from the bungalow and the post office over the year was £4,901.32.

A grant of £5,000.00 has been awarded and paid by Telford and Wrekin Council for the installation of solar panels. This work has not yet been commissioned, but will be undertaken and completed by December 2022 – 12 months from receipt of the funding. The anticipated cost will be in the region of £20K.

Capital expenditure of £14,759.81 represents decoration of the main hall, new internal light fittings, carpets and a freezer and fencing behind the new Hillside Meeting Room.,

Trading over the year resulted in a surplus of £17,090.07 and a year-end credit balance of £32,560.51.

In conclusion, may I propose that we re-appoint Barrington’s Chartered Accountants as our Independent Examiners for the year ending 31[st] December 2022.

Cedric Ayres - Hon. Treasurer.

LILLESHALL MEMORIAL HALL - REGISTERED CHARITY NO. 240569

ACCOUNTS FOR THE YEAR ENDED 31st DECEMBER 2021

RECEIPTS
Lettings
Sole Bar Rights
Bungalow Rental
Post Office Rental
Wayleave
Fundraising
Grants and Donations
PAYMENTS
Managers Commission
Managers Wage
Cleaner's pay- Hillside Room
Capital Expenditure
Total Expenditure (2021)
Hillside Meeting Room
Grants and Donations for build
Repairs & Renewals
Ground Maintenance & Turf/Top Soil
Cleaning & Materials
Gas & Electricity
Window Cleaning
Licences
Insurance
Admin. Postage & Stationery
Security Deposit Refunds
Fund Raising Events
Waste disposal
Loyalty support Grants to Users
Surplus / (Deficit)
Unrestricted
Fund
12,163.62
150.00
4,025.32
876.00
8.31
-
25,393.07
42,616.32
3,771.85
1,000.00
390.00
14,759.81
-
800.11
345.00
68.90
1,617.89
150.00
262.81
1,294.69
337.74
327.00
-
300.45
100.00
25,526.25
Total
2021
12,163.62
150.00
4,025.32
876.00
8.31
-
25,393.07
42,616.32
3,771.85
1,000.00
390.00
14,759.81
-
800.11
345.00
68.90
1,617.89
150.00
262.81
1,294.69
337.74
327.00
-
300.45
100.00
25,526.25
Total
2020
9,656.75
25.00
4,149.00
876.00
8.31
-
13,439.78
28,154.84
2,693.50
1,000.00
216.70
3,910.20
4,775.69
530.88
451.35
167.69
1,903.22
-
297.06
1,408.80
477.28
50.00
-
501.68
600.00
18,984.05
17,090
£
13,081
£

Surplus / (Deficit)

I approve the above Income and Expenditure Account and confirm that I have made avaliable all relevant records and information for its preparation.

Edith Pamela Millard Chairman of Management Committee

In accordance with instructions given to us we have prepared without carrying out an audit the Income and Expenditure Account from the accounting records of Lilleshall Memorial Hall and from information and explanations supplied to us.

Barringtons Ltd, Abbey Court, High Street, Newport, Shropshire. TF10 7BW