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2023-12-31-accounts

NORTHIAM VILLAGE HALL TRUST

Charity No 269218

ACCOUNTS

FOR THE YEAR ENDED

31[st] DECEMBER 2023

B A Taxation Services 113 Shakespeare Tower Barbican London EC2Y 8DR

NORTHIAM VILLAGE HALL TRUST

Contents of the Financial Statements for the year ended 31 December 2023

NORTHIAM VILLAGE HALL TRUST

Frewen Close, Main Street, Northiam, East Sussex, TN31 6RA Registered Charity Number 269218

Report of the Trustees for the financial year ended 31 December 2023

The land on which Northiam village hall now stands was purchased by the community in 1971 from two local landowners/farmers. A Trust was established at that time to hold the land, to build the hall, and then to manage the site on behalf of the village. Construction of buildings started in 1975, funded by the sale of the land on which the six Frewen Close bungalows now stand. By 2000, the original building had been extended to provide additional meeting rooms and storage space, and the whole facility is now believed to be one of the largest village halls in East Sussex.

The buildings and surrounding land are now held in trust by the Charity Commission’s Official Custodian, on behalf of the local community. A management committee (Northiam Village Hall Trust) has responsibility for the day-to-day running of the hall, governed by the Trust Deed established in 1971. This set the original goal of providing a village hall for use by the community, with the ongoing objective of improving the conditions of life for Northiam residents. The Trust is a registered charity, regulated by the Charities Commission, and answerable to the local community each year at an Annual General Meeting. Trustees are appointed each year at the AGM, either elected by the community or nominated by local groups that use the hall. At the 2023 AGM the following 12 Trustees were appointed: Keith Whiting (Chair); Christine Palmer (Secretary); Sylvia Wickens (Bookings Secretary); Bernie Bone (Treasurer); Margaret Davies; John Fenton; Sarah Giles; John Palmer; Richard and Sandra Robinson; Pete Sargent, and Sue Schlesinger.

The Trust generates its income from rentals paid by hall users, supplemented by donations and fund-raising activities. Day-to-day running costs absorb most of the income but, where there is a surplus, this is used to make improvements to the hall. Where appropriate, grants from other bodies are accessed by the Trust, but all monies raised, whatever the source, are used in maintaining or improving the village hall and its facilities.

For the financial year ended 31 Dec 2023 our income from hiring the halls was £16,695, up from £15,312 in 2022, although still short of our pre-pandemic income in 2019 of £19,914. Other regular income of £2,629 and fund-raising income of £4,325 gave us total “trading” income of £23,649, (£22,230 in 2022). Day to day running costs of £13,174 were an increase over 2022 (£11,844), mostly reflecting higher energy, cleaning and maintenance costs. Our overall “trading surplus” for 2023 was £10,475, very similar to the £10,386 in 2022.

Improvements to the hall and the facilities it provides are funded through a combination of our trading surplus, along with the cash resources built up over previous years. To enhance these funds, where appropriate, we seek grant assistance from third parties.

Using all these sources, we have continued our programme of steady improvement to the hall facilities. During 2023 the following projects have been undertaken, at a cost of £23,109:

2024 will see further upgrades and improvements throughout the facility. The exterior of the building will need redecorating, and in the medium term we will need to provide resources to replace the gas boilers.

January 2024

Keith Whiting Chair, Northiam Village Hall Trust

Bernard Bone Treasurer, Northiam Village Hall Trust

NORTHIAM VILLAGE HALL TRUST

Registered Charity No: 269218

STATEMENT OF INCOME AND EXPENDITURE FOR THE YEAR ENDED 31st DECEMBER 2023

INCOME
Lettings
Donations
Fund Raising
Fund Raising - Special Projects
Miscellaneous
Grants re: Special Projects
Government Grants
Bank Interest
Maintenance Petty Cash not longer required
EXPENDITURE
Insurance
Repairs, Renewals and Maintenance
Cleaning
Equipment
Administration
Rates
Heat and Light
Water
Fund raising expenses
Expenditure on special projects
Loan repayment
Miscellaneous
(DEFICIT)/SURPLUS FOR THE YEAR
Cash funds brought forward 1.1.23
Cash funds carried forward 31.12.23
2023
£
16,695
40
4,285
-
2,443
16,125
-
186
100
39,874
1,242
3,727
2,220
3,588
1,181
57
2,909
418
942
23,109
600
479
40,471
(597)
19,833
19,236
2022
£
15,312
650
3,674
-
2,565
10,000
2,667
30
-
34,897
1,146
3,036
1,931
407
1,100
-
2,212
832
818
20,466
600
770
33,317
1,580
18,253
19,833

Registered Charity No: 269218

NORTHIAM VILLAGE HALL TRUST

STATEMENT OF ASSETS AND LIABILITIES AS AT 31st DECEMBER 2023

ASSETS
Cash at bank
Cash in hand
LIABILITIES
Loan from Don Hanson Charitable Foundation
2023
£
19,076
160
19,236
1,200
2022
£
19,773
60
19,833
1,800

The Income and Expenditure Account and Statement of Assets and Liabilities were approved by the Trustees.

Name ………………………………..

Date ……………………………….. 23rd January 2024

NORTHIAM VILLAGE HALL TRUST

Registered Charity No: 269218

BREAKDOWN OF FUNDRAISING INCOME 2023

2023
£
Jumble Sales
1,411
Boot Sale
353
Coffee Mornings/Other
1,984
Cinema
505
Amazon Smile
32
4,285
BREAKDOWN OF GRANTS RE: SPECIAL PROJECTS
2023
£
Committee Room reinstatement
10,356
Acoustics Installation
3,000
Coronation party
1,769
Shell Community Kindness Programme
1,000
16,125
BREAKDOWN OF EXPENDITURE: SPECIAL PROJECTS
2023
Heating & access system control
1,741
Paddock Room reinstatement
7,888
Coronation Party
1,530
Local Election hustings
281
Acoustics
6,360
Cavity Wall insulation
3,009
CCTV enhancement
1,400
White lining: car park
900
Reinstatement of sound system
-
Shed replacement
-
Jenkins Room floor replacement
-
Committee Room reinstatement
-
Rear path reinstatement
-
Replacement of chestnut fencing
-
23,109
2022
£
1,582
467
842
750
33
3,674
2022
£
-
-
-
-
-
2022
1,398
-
-
-
-
-
-
-
828
1,158
2,019
12,708
1,637
718
20,466

Independent Examiner'8 Report on the Unaudited Finsn¢ial Statements to the Trustee8 of Northiam Village Hall Tnist Charity No: 269218 I report on the financial slalements for the year ended 31° December 2023 set out on the following pages. Respective respo••ibilitiu of Trryst•¢J and Independent Examin¢r The charity's trustees ￿nSider that an audit is not required for this Y￿ (under section 144 of the Charities Act 2011 (the Act), and that an independent examination is It is my res￿)nsIbl]ity to: Examine the ￿coUnts (under section 145 of the Act), To follow the procedures laid do￿ in the General Directions giv¢n by the Charity Commission (under section 145(5Xb) of the Act), and To state whether particular matters have come to my attention. Basts of IndepeDdeDt ex•miner's ststement My examitmtion was conducted in accordance with Genernl Directions given by the Charity Commission. An examination includ¢s a review of the acwunting records kept by the charity and 8 ¢omparAson of the accounts presented with those re¢ords. It also includes consideration of any unusual items or disclosures in the a￿ounts, and seeking explanations from the tnLStees ￿ncerning any such matters. The procedures und¢rtakcn do not provide all the evidence that would be required in an audil and consequently I do not expr￿ an audit opinion on the accounts. Independent examiner's statement In the course of my examinatio￿ no matter has com¢ to my attention (l) which gives nx Teasonable eause to believe that. in ony matw1￿ respecl the tn￿teeS have not met th¢ requirements to ensure that: proper accountin8 records kept (in acconlance with section 130 of the Act)" and I￿oUnts are prepared which agree with the aCco￿ting requitements of the 2011 Act; or (2) to which, in my opinioo attention should be drawn in order to enable a proper understanding of th¢ accounts to be r¢a¢h¢d. B A Antrobus Bsc (Open) FCA CTA 113 Shakespeare Tower Barbi¢an London EC2Y 8DR