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2022-01-31-accounts

Yelling Village Hall

Registered Charity No. 270077

Trustees’ Annual Report

1 February 2021 – 31 January 2022

Management Trustees

----- Start of picture text -----
Trustee name Office (if any) Dates in office Name of body
if not for whole entitled to appoint
year trustee (if any)
Paul Hill Chairman Holy Cross church
Susan Bownass Secretary Coffee & Craft
John Bownass Treasurer & Safety Officer
Phillip Jackson Vice Chairman Social Club
William Sleigh Cricket Club
Tom Race Parish Council
Iris Shea Bookings Clerk Women’s Institute
Miriam Gaskin 30 June 2021
Clare Byrnes 30 June 2021
----- End of picture text -----

Holding Trustee

The title of the land was transferred to the Official Custodian for Charities on 1 June 2018.

Sources of advice and support

Bank: National Westminster Bank, St. Neots. Advice and guidance: ACRE Cambridgeshire Grants: Cambridgeshire Community Foundation (CCF)

Governance

Yelling Village Hall was established as a charity by a Declaration of Trust dated 16 March 1976.

The hall was originally the village school, built in 1867. The school closed in 1970 and the building which was owned by the Church of England was conveyed to Yelling Village on 3 December 1974.

Appointment of Trustees

The Declaration of Trust, together with a Resolution dated 19 September 2018 in accordance with S.280 of the Charities Act 2011, governs the appointment of trustees and the management of the charity.

Five trustees may be elected at the Annual General Meeting held in May. In addition, each of the six named regular user groups nominates one trustee.

The trustees form the Management Committee of the Village Hall which has the power to co-opt up to two further trustees on an annual basis.

Upon appointment new Trustees are presented with an “Induction pack for new trustees” and taken through their responsibilities as well as guidance on the committee’s work.

Policies and Procedures

To guide the Management Committee in exercising its duty of care to members, volunteers and users of the hall, the following policies have been adopted:

In addition, a number of procedures and forms are in place to back up the policies.

A numbering system and revision control is used to manage all documents and copies of these are available on the Yelling Village website and in the Induction pack.

Hiring Agreement

Use of the village hall is subject to a Hiring Agreement which must be signed by the hirer when booking. The hiring agreement sets out the conditions of hire and identifies the respective responsibilities of each party to the agreement.

Licences

The hall is licensed by the Performing Right Society (PRS and PPL) for live and recorded music. The Social Club is licenced by Huntingdonshire District Council, licence number PE262, under the Public Entertainment Licence Act 1982.

Risk Management

Insurance

The village hall is insured with respect to property damage (buildings insurance) by Ansvar Insurance via Norris & Fisher insurance brokers (£976,790). It is insured with the same company with respect to contents (up to £25,011), public liability (£5,000,000), employers’ liability (£10,000,000), trustee liability (£500,000) and legal assistance (£250,000).

The Management Committee recognises that it is under a legal obligation to protect the building, its users and volunteers through adequate and appropriate insurance. Building Issues

Objectives of the Charity

The Trustees consider these objectives to be consistent with Charity Commission guidance on providing for the public benefit as shown in the list of activities pursued this year.

The Covid-19 Pandemic from 2020 continued into 2021 seriously affected everyday life with many laws imposed by the Government, including specific rules controlling the operation of village halls. At all times the Trustees followed the latest regulations as they changed from month to month which of course seriously impacted the use of the hall, and our hire income, throughout the year. However, another consequence of the pandemic was the awarding of various grants to village halls which means our financial position remains strong. Committee meetings were via zoom or live in the hall whenever allowed by the prevailing rules at the time the AGM was delayed one month so that it could be

Principal Activities in pursuit of Objectives

The hall was used 122 times in the year. The most visits were made by the Art group after a year of non-attendance due to covid. Other activities/groups were: Coffee & Craft group, band practices, Clay Therapy training, Women’s Institute, Parish Council, Dragon boat fitness, and 15 private events.

The small room upstairs set up as a photography studio was used whenever the restrictions allowed it.

The Social Club has a separate dedicated area of the building and is run as a members’ club with its own committee and finances and makes a monthly donation to the Hall’s funds, this year this was partially suspended due to the pandemic and the Village Hall Trustees returned a proportion of their donation. .

Funding Strategy and Income in 2021

It is the strategy of the Trustees to manage the revenue budget on a self-financing basis. The contributions made by users of the hall are usually set to achieve this but 2021 was not a normal year.

We measure our success by the income generated and the number of hires against the numbers for 2018 - £4531 from 127 hires. Each year our goal is >100% compared with these figures.

In 2021 the hire income was £3,893 and the number of hires was 122, this was seen as a very good result as we recover from the covid imposed restrictions. See the Treasurer’s report and accounts for more details.

Specific and planned improvements to the hall are mainly financed by grants obtained through Cambridgeshire Community Foundation (CCF) and fund-raising events organised by the Events Committee.

In 2021 we received a grant of £1,000 from the Cotton Farm Windfarm Community fund towards the cost of the refurbishment of the Ladies toilets including the installation of a baby changing table. The table was installed on the first-floor landing and the work on the toilets is planned for March 2022.

The Events Team were only able to organise one event, a BBQ, during the year. This was very well attended.

The Social Club continued to make their donations to the Village Hall which was partially refunded on receipt of the Covid grant.

We received the Local Restrictions & Support COVID-19 Grants in February and March and the Restart grant in May, based on our business rates these amounted to £18,708.

Reserves Policy

It is the Trustees’ policy to maintain unrestricted reserves of about 50% of annual expenditure with a minimum of £6,000. This cash is available for unforeseen expenditure in relation to building maintenance or urgent furniture or equipment replacement.

The Trustees are responsible for the maintenance of the village hall, and this could involve major works far in excess of cash reserves held. On identifying such major works, fundraising is undertaken with the object of meeting the costs in full (i.e. without needing a loan). Such funds would be restricted.

Any grants obtained in the year are also counted as restricted funds as they will have been received for specific purposes.

Volunteers’ Effort

Management costs are kept to a minimum through the use of volunteers for simple maintenance of the hall. On average 12 hours of volunteer time are given each week to cover routine tasks such as bookings management and maintenance. In addition, trustees give between them 10 hours a month for meetings. The Events committee (all volunteers) spend over 200 hours per annum in organising and running fund raising events when permitted.

A few of these activities were curtailed during the year.

2021 Achievements

The Trustees work hard to make the hall attractive to potential and regular users and at the same time look to make savings where possible. In the past year we have achieved the following:

Building/repair works

A number of repairs have been carried out in the past year, including: improvements to the brickwork and guttering around the side entrance door, repairs to the chimney stack, new front gate to the garden, and new tables (from previous year’s grant),

Utility costs

Our existing electricity suppliers Eon and EDF continued under their contracts and the total bill was reduced because of reduced usage. New contracts are being negotiated for 2022 but the unit cost will increase by at least 60%

Water was billed by Everflow (though still supplied by Anglia Water) and cost remained constant.

Policies and Procedures

Many procedures had to be written or updated to reflect the latest Government requirements, including the Hiring Procedure and a new Risk Assessment document for hirers to complete. In addition, many advisory and warning notices were issued and displayed as appropriate in the hall. We took the recommendations from ACRE in the preparation of these documents.

Covid specific documents were numbered YVH Cov. to fit in with our existing policy documentation numbering system.

The following documents were updated: Fire Safety procedure, Accessibility statement, Equal Opportunities policy, Leaving procedure, Letting conditions and contract, Financial policy and procedure, and the Data protection policy,

Website

The Village Hall pages on the website were updated many times during the year to reflect the latest covid-related requirements as well as updates to procedures.

In 2020 a new sub-page was set up for the AGM as the meeting had to held on zoom during a shut-down period. In 2021 we were able to hold a live AGM in the hall, but again posted all the relevant documents on the website for those who did not wish to attend in person.

ACRE/Hallmark

We applied for accreditation to level 1 under the Hallmark Accreditation Scheme run by ACRE. The visit by ACRE and an experienced auditor, together with Paul Hill, John Bownass and Susan Bownass was useful to all parties and we passed with some suggestions for improvements but no non-conformances. The certificate is mounted on the hall wall.

We continue to follow ACRE’s guidance.

Broadband connection

The broadband provided by Connecting Cambridgeshire was installed on 25 February 2020 and is now being used more often. This free service will cease in 2023.

Future Plans

Building upgrades

The Trustees are aware that the village hall is less energy efficient than it might be and the heating system struggles to warm the whole building and so a small team will investigate the best course of action in 2022 and beyond.

A second major initiative is to provide a play area in the garden.

As usual we will apply for a Windfarm grant in August and we also expect to apply for more significant grants to cover major works, including the heating system.

We will improve the electrical cabling to the exterior buildings by moving the unsightly overhead wiring to underground.

Ideas for the future

We plan to hold an open forum for villagers to feedback their thoughts on improvements to the building and activities held there, based on comments made in the Village Plan Survey 2019.

Annual reporting

The Chairman and Treasurer read out their written reports for the year at the AGM. In addition, the Trustees’ Annual Report is circulated for approval and signed by the Chairman at the AGM.

The trustees declare that they have approved the trustees’ report above. Signed on behalf of the charity’s trustees: Paul Hill, Chairman

Signed P. Hill………………………………………………. Date…12/5/22……….…………………….

Cashbook Payments Village Hall 2021

Cheque No. DD Cleared
or Cash Folio No Date Detail Amount Transactions Cash
0.00
dd Feb 26, 21 Everfow(water) 6.76
dd Feb 1, 21 E.On 30.00
dd Feb 1, 21 EDF 10.00
dd Feb 9, 21 Hunts DC (bins) 11.91
617 281 Feb 4, 21 Gopak tables (repay SB) 1904.26
618 283 Feb 4, 21 R.Osborne (brickwork,gutter,drains) 1740.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Payments 3702.93

Receipts

Cleared
Paid In Invoice No. Date Detail Amount Banking Transactions
auto credit Feb 3, 21 Payroll Giving 20.00
auto credit Feb 22, 21 Yelling VH Social 317.00
auto credit Feb 3, 21 LRSG grant Hunts DC (5/11 to 2/12) 1334.00
auto credit Feb 16, 21 LRSG grant Hunts DC (26/12 to 15/02) 7278.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Total Receipts 8,949.00
Opening Cashbook Balance 23,519.92
Total Receipts 8,949.00
less Total payments (3,702.93)
Closing Cashbook Balance 28,765.99
Payments unpresented
Total Unpresented
Closing Bank Balance 28,765.99
Cash carried over 119.77
Total Receipts 9,068.77
less Cash payments 0.00
Total Cash To Bank 9,068.77
Period 02/21
Total Social Club D Council - Repairs & Entertainment
Payments Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
6.76
30.00
10.00
11.91
1,904.26
1,740.00
3,702.93 0.00 40.00 6.76 0.00 11.91 0.00 3,644.26 0.00 0.00
Total Social Club D Council - Repairs & Entertainment
Receipts Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
317.00
1,334.00
7,278.00
8,949.00 317.00 0.00 0.00 0.00 0.00 0.00 8,612.00 0.00 0.00
Diference 0.00
Bank statement Balance 28,765.99

Check ref

Hire Charge Nat West 0 = OK.

Fundraising

ng
Other
Nat West
0.00
0.00
0.00
0.00
Charge
0 = OK.
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00

Other Hire Fundraising Donations Charge Nat West

0.00
20.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 20.00 0.00 0.00 0.00

Cashbook Payments Village Hall 2021

Period

Cheque
No. DD or Cleared Total
Cash Folio No Date Detail Amount Transactions Cash Payments
0.00
dd Mar 26, 21 Everfow(water) 9.15
dd Mar 1, 21 E.On 30.00
dd Mar 1, 21 EDF 10.00
dd Mar 16, 21 Hunts DC (bins) 11.91
620 286 Feb 26, 21 W. Sleight spade (repay S.Bownass 15.00
619 285 Feb 26, 21 Refund to Social Club 1619.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Payments 1695.06 1,695.06

Receipts

Receipts
Cleared Total
Paid In Invoice No. Date Detail Amount Banking Transactions Receipts
auto credit Mar 3, 21 Payroll Giving 20.00
auto credit Mar 22, 21 Yelling VH Social 317.00
auto credit Mar 16, 21 LRSG grant Hunts DC (16/02 to 31/03) 2096.00
auto credit 233 Mar 28, 21 Harriet dance class (5 classes in Dec) 117.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Total Receipts 2,550.00 2,550.00
Opening Cashbook Balance 28,765.99
Total Receipts 2,550.00
less Total payments (1,695.06)
Closing Cashbook Balance 29,620.93
Payments unpresented
Total Unpresented 0.00
Diference
Closing Bank Balance 29,620.93 Bank statemen
Total Receipts 2,550.00
less Cash payments 0.00
Total Cash To Bank 2,550.00

03/21

Social Club D Council - Repairs & Entertainment
Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
9.15
30.00
10.00
11.91
15.00
1,619.00
1,619.00 40.00 9.15 0.00 11.91 0.00 15.00 0.00 0.00
Social Club D Council - Repairs & Entertainment
Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
317.00
2,096.00
317.00 0.00 0.00 0.00 0.00 0.00 2,096.00 0.00 0.00
0.00
nt Balance 29,620.93

Check ref

Hire

Fundraising

Other

Charge Nat West

0 = OK.

0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00

0.00 0.00 0.00 0.00

Other Hire Fundraising Donations Charge Nat West

0.00
20.00 0.00
0.00 already paid back, see above
0.00
117.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 20.00 117.00 0.00 0.00

Cashbook Payments Village Hall 2021

Cheque No. DD Cleared
or Cash Folio No Date Detail Amount Transactions Cash
0.00
dd Apr 26, 21 Everfow(water) 9.63
dd Apr 1, 21 E.On 30.00
dd Apr 1, 21 EDF 10.00
dd Apr 9, 21 Hunts DC (bins) 15.71
621 287 Mar 26, 21 SS Motors annual service boiler 79.20
622 288 Mar 26, 21 Chubb (annual extinguisher maint.) 203.04
623 289 Mar 26, 21 ACRE annual subscription 57.00
624 290 Apr 13, 21 St Neots Fencing Company Ltd (gate) 409.92
0.00
0.00
0.00
0.00
0.00
Payments 814.50

Receipts

Cleared Amount Banking Transactions

Paid In Invoice No. Date Detail Amount
auto credit Apr 6, 21 L.Teague (Studio, 2 week payment) 67.50
auto credit Apr 8, 21 Payroll Giving 20.00
auto credit Apr 20, 21 Yelling VH Social 317.00
auto credit Apr 9, 21 EDF refund 132.63
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Total Receipts 537.13
Opening Cashbook Balance 29,620.93
Total Receipts 537.13
less Total payments (814.50)
Closing Cashbook Balance 29,343.56
Payments unpresented
Total Unpresented 0.00
Closing Bank Balance 29,343.56
Total Receipts 537.13
less Cash payments 0.00
Total Cash To Bank 537.13

Period

04/21

----- Start of picture text -----
Total Social Club D Council - Repairs & Entertainment
Payments Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
9.63
30.00
10.00
15.71
79.20
203.04
409.92
814.50 0.00 40.00 9.63 0.00 15.71 0.00 692.16 0.00 0.00
----- End of picture text -----

Total Social Club Receipts Donation Electricity

D Council - Insurance Rates Oil

Repairs & Entertainment Maintenance License

Stationery

Water

----- Start of picture text -----
317.00
132.63
537.13 317.00 132.63 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Difference 0.00
Bank statement Balance 29,343.56
----- End of picture text -----

Check ref Check ref
Hire
Fundraising Other Charge Nat West 0 = OK.
0.00
0.00
0.00
0.00
0.00
0.00
0.00
57.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 57.00 0.00 0.00

Other Hire Donations Charge Nat West

Fundraising

67.50 0.00
20.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 20.00 67.50 0.00

Cashbook Payments Village Hall 2021

Cheque No. DD Cleared
or Cash Folio No Date Detail Amount Transactions Cash
0.00
dd May 26, 21 Everfow(water) 9.25
dd May 4, 21 E.On 30.00
dd May 4, 21 EDF 10.00
dd May 10, 21 Hunts DC (bins) 15.71
625 291 May 2, 21 Cleaning 5.5hrs Apr + receipts (repay SB) 70.00
626 292 May 6, 21 SS Motors oil 471.45
627 293 May 13, 21 B&Q Brooms/doormat (repay SB) 20.94
0.00
0.00
0.00
0.00
0.00
0.00
Payments 627.35

Receipts

ceipts
Cleared
Paid In Invoice No. Date Detail Amount Banking Transactions
auto credit May 4, 21 L.Teague (Studio) 135.00
auto credit May 6, 21 Payroll Giving 20.00
auto credit May 20, 21 Yelling VH Social 317.00
auto credit 234 May 11, 21 Phil Jackson hire (training) 40.00
auto credit May 10, 21 HDC Restart grant 8000.00
100609 236 May 20, 21 WI (18 May) 17.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Total Receipts 8,529.00
Opening Cashbook Balance 29,343.56
Total Receipts 8,529.00
less Total payments (627.35)
Closing Cashbook Balance 37,245.21
Payments unpresented
Total Unpresented 0.00
Closing Bank Balance 37,245.21
Total Receipts 8,529.00
less Cash payments 0.00
Total Cash To Bank 8,529.00

Period

05/21

----- Start of picture text -----
Total Social Club D Council - Repairs & Entertainment
Payments Donation Electricity Water Insurance Rates Oil Maintenance License
9.25
30.00
10.00
15.71
70.00
471.45
20.94
627.35 0.00 40.00 9.25 0.00 15.71 471.45 90.94 0.00
----- End of picture text -----

Total Social Club D Council - Repairs & Entertainment
Receipts Donation Electricity Water Insurance Rates Oil Maintenance License
317.00
8,000.00
8,529.00 317.00 0.00 0.00 0.00 0.00 0.00 8,000.00 0.00
Diference 0.00
Bank statement Balance 37,245.21

Check ref

Stationery
Fundraising
Other
Nat West
0.00
0.00
0.00
0.00
0.00
Hire
Charge
0 = OK.
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Other Hire
Stationery Fundraising Donations Charge Nat West
135.00 0.00
20.00 0.00
0.00
40.00 0.00
0.00
17.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 0.00 20.00 192.00 0.00

Cashbook Payments Village Hall 2021

Cheque No. DD Cleared
or Cash Folio No Date Detail Amount Transactions Cash
0.00
dd Jun 28, 21 Everfow(water) 23.39
dd Jun 1, 21 E.On 30.00
dd Jun 1, 21 EDF 18.00
dd Jun 9, 21 Hunts DC (bins) 15.71
628 294 Jun 7, 21 Cleaning 3 hrs May (repay S.Bownass) 36.00
628 295 Jun 7, 21 Smoke alarm Amazon (repay S.Bownass) 15.29
628 297 Jun 11, 21 Plasters for 1st aid box (repay S.Bownass) 2.60
629 296 Jun 11, 21 C.Midgley (paint hall wall) 50.00
0.00
0.00
0.00
0.00
0.00
Payments 190.99

Receipts

Cleared Amount Banking Transactions

Invoice No.

Paid In

Date

Detail

auto credit Jun 1, 21 L.Teague (Studio) 135.00
auto credit Jun 3, 21 Payroll Giving 20.00
auto credit Jun 21, 21 Yelling VH Social 317.00
100610 Jun 24, 21 Cofe & Craft (25/5, 8/06, 22/6/21) 36.00
auto credit 235 May 11, 21 Hunts DC polling station on 6 May 85.00
auto credit 237 Jun 11, 21 Art Class (10 clases reduced rate) 50.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Total Receipts 643.00
Opening Cashbook Balance 37,245.21
Total Receipts 643.00
less Total payments (190.99)
Closing Cashbook Balance 37,697.22
Payments unpresented

Closing Bank Balance 37,697.22

Total Receipts

643.00

less Cash payments Total Cash To Bank 0.00 643.00

Period

06/21

----- Start of picture text -----
Total Social Club D Council - Repairs & Entertainment
Payments Donation Electricity Water Insurance Rates Oil Maintenance License
23.39
30.00
18.00
15.71
36.00
15.29
2.60
50.00
190.99 0.00 48.00 23.39 0.00 15.71 0.00 103.89 0.00
----- End of picture text -----

Total Social Club Receipts Donation Electricity

D Council - Rates Oil

Repairs & Entertainment Maintenance License

Water

Insurance

317.00

643.00 317.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00

Difference 0.00 Bank statement Balance 37,697.22

Check ref Check ref
Hire
ry Fundraising Other Charge Nat West 0 = OK.
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 0.00 0.00 0.00 0.00 0.00

Stationery

Stationery

Fundraising

Other Hire Donations Charge Nat West

135.00 0.00
20.00 0.00
0.00
36.00 0.00
85.00 0.00
50.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 0.00 20.00 306.00 0.00 0.00

Cashbook Payments Village Hall 2021

Cheque No. DD Cleared
or Cash Folio No Date Detail Amount Transactions Cash
10.00
dd Jul 26, 21 Everfow(water) 17.86
dd Jul 1, 21 E.On 30.00
dd Jul 1, 21 EDF 18.00
dd Jul 15, 21 Hunts DC (rates) 10.57
dd Jul 9, 21 Hunts DC (bins) 15.71
630 284 Jul 1, 21 PPL/PRS 2021/22 (delayed) 174.66
631 298 Jul 1, 21 P.Hill (keys, lamp) 33.84
632 300 Jul 21, 21 Norris & Fisher Insurance 1477.74
633 302 Jul 21, 21 Saints roofng (Clean gulley) 120.00
634 299 Jul 3, 21 Clean 3.5hrs June (repay £32 to S.Bownass) 42.00 10.00
634 301 Jul 21, 21 HSE H&S law poster (repay S.Bownass) 10.20
634 303 Jul 21, 21 Hazard signs from Amazon(repay S.Bownass) 9.35
0.00
Payments 1959.93

Receipts

ceipts
Cleared
Paid In Invoice No. Date Detail Amount Banking Transactions
auto credit Jul 1, 21 L.Teague (Studio) 135.00
auto credit Jul 5, 21 Payroll Giving 20.00
auto credit Jul 20, 21 Yelling VH Social 317.00
100611 238 Jun 25, 21 B&Q refund for broken broom 7.54
n/a Jul 1, 21 Loan 2 tables to M.Lines 10.00
auto credit Jul 21, 21 Steve Ellis (20 Jul) 25.00
auto credit Jul 5, 21 Souter Anderson (3 days 3, 4, 10 Jul) 120.00
auto credit Jul 27, 21 Souter Anderson (5 days late July) 200.00
auto credit Jul 22, 21 Eon refund 271.54
0.00
0.00
0.00
0.00
0.00
0.00
Total Receipts 1,106.08
Opening Cashbook Balance 37,697.22
Total Receipts 1,106.08
less Total payments (1,959.93)
Closing Cashbook Balance 36,843.37
Payments unpresented
Total Unpresented 0.00
Closing Bank Balance 36,843.37
Total Receipts 1,106.08
less Cash payments (10.00)
Cash paid in 0.00
Total paid in to Bank 1,096.08

Period

07/21

Total Social Club D Council - Repairs & Entertainment
Payments Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
17.86
30.00
18.00
10.57
15.71
174.66
33.84
1477.74
120.00
42.00
10.20
9.35
1,959.93 0.00 48.00 17.86 1,477.74 26.28 0.00 215.39 174.66 0.00
Total Social Club D Council - Repairs & Entertainment
Receipts Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
317.00
7.54
271.54
1,106.08 317.00 271.54 0.00 0.00 0.00 0.00 7.54 0.00 0.00
Diference 0.00
Bank statement Balance 36,843.37
Check ref Check ref
Hire
Fundraising Other Charge Nat West 0 = OK.
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 0.00 0.00 0.00 0.00
Other Hire
g Donations Charge Nat West
135.00 0.00
20.00 0.00
0.00
0.00
10.00 0.00
25.00 0.00
120.00 0.00
200.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 20.00 490.00 0.00 0.00

Fundraising

Cashbook Payments Village Hall 2021

Cheque No. DD Cleared
or Cash Folio No Date Detail Amount Transactions Cash
24.00
dd Aug 26, 21 Everfow(water) 14.79
dd Aug 2, 21 E.On 30.00
dd Aug 2, 21 EDF 30.00
dd Aug 16, 21 Hunts DC (rates) 10.00
dd Aug 9, 21 Hunts DC (bins) 9.88
635 304 Jul 22, 21 Cambs ACRE (hire doc template) 15.00
cash 305 Aug 15, 21 Cleaning (2hrs July) 24.00 24.00
0.00
0.00
0.00
0.00
0.00
0.00
Payments 133.67

Receipts

ceipts
Cleared
Paid In Invoice No. Date Detail Amount Banking Transactions
auto credit Aug 2, 21 L.Teague (Studio) 135.00
auto credit Aug 4, 21 Payroll Giving 20.00
auto credit Aug 20, 21 Yelling VH Social 317.00
n/a Jul 13, 21 Cofe & Craft (13 Jul, 10 Aug) 24.00
100612 Jul 13, 21 J.Peal (loan of chairs) 10.00
100612 Aug 17, 21 Event - BBQ (A.Hennell) 356.77
100612 Aug 24, 21 Cofe & Craft (24 Aug) 12.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Total Receipts 874.77
Opening Cashbook Balance 36,843.37
Total Receipts 874.77
less Total payments (133.67)
Closing Cashbook Balance 37,584.47
Payments unpresented
Cash not banked 78.77 cash for cleaner kept over
Total Unpresented (78.77)
Closing Bank Balance 37,505.70
Total Receipts 874.77
less Cash payments (102.77)
Cash paid in 0.00
Total paid in to Bank 772.00

Period

08/21

Total Social Club D Council - Repairs & Entertainment
Payments Donation Electricity Water Insurance Rates Oil Maintenance License
14.79
30.00
30.00
10.00
9.88
24.00
133.67 0.00 60.00 14.79 0.00 19.88 0.00 24.00 0.00
Total Social Club D Council - Repairs & Entertainment
Receipts Donation Electricity Water Insurance Rates Oil Maintenance License
317.00
874.77 317.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Diference 0.00
Bank statement Balance 37,505.70
Check ref Check ref
Hire
Stationery Fundraising Other Charge Nat West 0 = OK.
0.00
0.00
0.00
0.00
0.00
15.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 0.00 15.00 0.00 0.00
Other Hire
Stationery Fundraising Donations Charge Nat West
135.00 0.00
20.00 0.00
0.00
24.00 0.00
10.00 0.00
356.77 0.00
12.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 356.77 20.00 181.00 0.00

Cashbook Payments Village Hall 2021

Cheque No. DD Cleared
or Cash Folio No Date Detail Amount Transactions Cash
89.00
dd Sep 27, 21 Everfow(water) 28.93
dd Sep 1, 21 E.On 190.00
dd Sep 1, 21 EDF 30.00
dd Sep 15, 21 Hunts DC (rates) 10.00
dd Sep 9, 21 Hunts DC (bins) 9.81
cash 307 Sep 1, 21 Cleaning (Aug 4.5 hrs + receipts) 89.00 89.00
637 308 Sep 20, 21 Glass plate for microwave (P.Shea) 14.99
637 309 Sep 20, 21 Hatch fre retardant doors (P.Shea) 82.35
0.00
0.00
0.00
0.00
0.00
Payments 455.08

Receipts

ceipts
Cleared
Paid In Invoice No. Date Detail Amount Banking Transactions Cash
64.00
auto credit Sep 1, 21 L.Teague (Studio) 135.00
auto credit Sep 3, 21 Payroll Giving 20.00
auto credit Sep 20, 21 Yelling VH Social 317.00
auto credit Aug 31, 21 Souter Anderson (5 days 31/8 to 4/9) 200.00
auto credit Aug 31, 21 P.Elliott (10,17,26 Aug) 54.00
n/a Sep 3, 21 Flower Festival hire (29/30 Aug) 40.00 40.00
auto credit 239 Sep 27, 21 Art Group ( 6 sesions 16/9 to 21/10) 102.00
n/a Sep 28, 21 Cofee & Craft (14,28 Sep) 24.00 24.00
auto credit Sep 8, 21 Stefan Allsebrook (17/9 all day) 45.00
0.00
0.00
0.00
0.00
0.00
0.00
Total Receipts 937.00
Opening Cashbook Balance 37,584.47
Total Receipts 937.00
less Total payments (455.08)
Closing Cashbook Balance 38,066.39
Cash Payments
c Cash carried over from last month 78.77
a Cash in this month 64.00
b Cash spent this month -89.00
d Cash banked 0.00
Total Unpresented 53.77
Closing Bank Balance 38,012.62
Total Receipts 937.00
Not paid in (64.00)
Cash paid in 0.00
Total paid in to Bank 873.00

Period

09/21

----- Start of picture text -----
Total Social Club D Council - Repairs & Entertainment
Payments Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
28.93
190.00
30.00
10.00
9.81
89.00
14.99
82.35
455.08 0.00 220.00 28.93 0.00 19.81 0.00 186.34 0.00 0.00
----- End of picture text -----

Total Social Club D Council - Repairs & Entertainment
Receipts Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
317.00
937.00 317.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Diference 0.00
Bank statement Balance 38,012.62

Check ref Hire Charge Nat West 0 = OK.

Fundraising

g
Other
Nat West
0.00
0.00
0.00
0.00
Charge
0 = OK.
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Other Hire
Fundraising Donations Charge Nat West
135.00 0.00
20.00 0.00
0.00
200.00 0.00
54.00 0.00
40.00 0.00
102.00 0.00
24.00 0.00
45.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 20.00 600.00 0.00

Cashbook Payments Village Hall 2021

Cheque No. DD Cleared
or Cash Folio No Date Detail Amount Transactions Cash
96.00
dd Oct 26, 21 Everfow(water) 14.79
dd Oct 1, 21 E.On 190.00
dd Oct 1, 21 EDF 30.00
dd Oct 15, 21 Hunts DC (rates) 10.00
dd Oct 11, 21 Hunts DC (bins) 9.81
638 306 Aug 16, 21 Amazon (Laminating pouches-reimburse Sb 32.81
639 310 Oct 1, 21 Abbey Roofng (chimney) 552.00
cash 311 Oct 2, 21 Cleaning (Sep, incl hoover bags) 88.00 88.00
640 312 Oct 13, 21 PPL/PRS (from 14 Oct) 132.00
641 313 Oct 14, 21 P.Jackson (Jenga on line) 57.94
cash 314 Oct 23, 21 Covid wipes and wash 8.00 8.00
0.00
0.00
Payments 1125.35

Receipts

ceipts
Cleared
Paid In Invoice No. Date Detail Amount Banking Transactions Cash
162.00
auto credit Oct 1, 21 L.Teague (Studio) 135.00
auto credit Oct 5, 21 Payroll Giving 20.00
auto credit Oct 20, 21 Yelling VH Social 317.00
100613 240 Oct 4, 21 WI (30 Jun, 20 Jul, 21 Sep) 51.00
auto credit Oct 5, 21 P.Elliott (14,28 Sep, 5 Oct) 54.00
n/a Oct 11, 21 Liz Laurenson (23 Oct) 35.00 35.00
n/a Oct 11, 21 Katy Reed (13 Nov) 30.00 30.00
n/a Oct 11, 21 Julie Wilson wreath making (11 Dec) 45.00 45.00
n/a Oct 12, 21 Cofee & Craft (12 Oct) 12.00 12.00
n/a Oct 13, 21 Sharon birthday (9 Oct) 40.00 40.00
0.00
0.00
0.00
0.00
0.00
Total Receipts 739.00
Opening Cashbook Balance 38,066.39
Total Receipts 739.00
less Total payments (1,125.35)
Closing Cashbook Balance 37,680.04
Cash Payments
Cash carried over from last month 53.77
Cash in this month 162.00
Cash spent this month -96.00
Cash banked 0.00
Total Unpresented 119.77
Closing Bank Balance 37,560.27
Total Receipts 739.00
Not paid in (162.00)
Cash paid in 0.00
Total paid in to Bank 577.00

Period 10/21

Total Social Club D Council - Repairs & Entertainment
Payments Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
14.79
190.00
30.00
10.00
9.81
32.81
552.00
88.00
132.00
57.94
8.00
1,125.35 0.00 220.00 14.79 0.00 19.81 0.00 705.94 132.00 32.81
Total Social Club D Council - Repairs & Entertainment
Receipts Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
317.00
739.00 317.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Diference 0.00
Bank statement Balance 37,560.27

Check ref

Fundraising
Other
Nat West
0.00
0.00
0.00
0.00
Hire
Charge
0 = OK.
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Other Hire
Fundraising Donations Charge Nat West
135.00 0.00
20.00 0.00
0.00
51.00 0.00
54.00 0.00
35.00 0.00
30.00 0.00
45.00 0.00
12.00 0.00
40.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00 20.00 402.00 0.00

Cashbook Payments Village Hall 2021

Cheque No. DD Cleared
or Cash Folio No Date Detail Amount Transactions Cash
125.00
dd Nov 26, 21 Everfow(water) 1.25
dd Nov 1, 21 E.On 190.00
dd Nov 1, 21 EDF 30.00
dd Nov 15, 21 Hunts DC (rates) 10.00
dd Nov 9, 21 Hunts DC (bins) 9.81
cash 315 Nov 1, 21 Cleaning (5.75hrs Oct+products) 95.00 95.00
642 318 Nov 12, 21 6 Villages Newsletter donation 50.00
cash 316 Nov 22, 21 Window cleaners (22Nov) 30.00 30.00
643 317 Nov 22, 21 Bambino baby change table (S.Bownass) 119.94
0.00
0.00
0.00
0.00
Payments 536.00

Receipts

ceipts
Cleared
Paid In Invoice No. Date Detail Amount Banking Transactions Cash
93.00
auto credit Nov 1, 21 L.Teague (Studio) 135.00
auto credit Nov 22, 21 Yelling VH Social 317.00
n/a Nov 3, 21 P.Shea (1 Nov) 9.00 9.00
n/a Nov 3, 21 N.Mitchell (27 Oct) 18.00 18.00
n/a Nov 19, 21 Ian Knibbs (3,10,17 Nov) 30.00 30.00
auto credit Nov 19, 21 P.Elliott (26 Oct, 2,9 Nov) 54.00
auto credit Nov 8, 21 Clay therapy (6,7 Nov) 80.00
n/a Nov 24, 21 Cofe & Craft (26 Oct, 9,24 Nov) 36.00 36.00
auto credit 241 Nov 15, 21 Art Group (6 sessions 4Nov - 9 Dec) 102.00
0.00
0.00
0.00
0.00
0.00
0.00
Total Receipts 781.00
shbook transaction Opening Cashbook Balance 37,680.04
Total Receipts 781.00
less Total payments (536.00)
Closing Cashbook Balance 37,925.04
sh transactions Cash carried over from last month 119.77
Cash in this month 93.00
Cash spent this month -125.00
Cash banked 0.00
Total Unpresented 87.77
Closing Bank Balance 37,837.27
nk transactions Total Payments out 536.00
Cash payments 125.00
Total withdrawn from bank 411.00
Total Receipts in 781.00
Not paid in (93.00)
Cash paid in 0.00

Cashbook transaction

Cash transactions

Bank transactions

Total paid in to Bank 688.00

Period

11/21

----- Start of picture text -----
Total Social Club D Council - Repairs & Entertainment
Payments Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
1.25
190.00
30.00
10.00
9.81
95.00
30.00
119.94
536.00 0.00 220.00 1.25 0.00 19.81 0.00 244.94 0.00 0.00
----- End of picture text -----

Total Social Club D Council - Repairs & Entertainment
Receipts Donation Electricity Water Insurance Rates Oil Maintenance License Stationery
317.00
781.00 317.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Diference 0.00
Bank statement Balance 37,837.27
Check ref Check ref
Hire
g Other Charge Nat West 0 = OK.
0.00
0.00
0.00
0.00
0.00
0.00
50.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 50.00 0.00 0.00

Fundraising

Other Hire
Fundraising Donations Charge Nat West
135.00 0.00
0.00
9.00 0.00
18.00 0.00
30.00 0.00
54.00 0.00
80.00 0.00
36.00 0.00
102.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 0.00 464.00 0.00

Cashbook Payments Village Hall 2021

Cheque No. DD Cleared
or Cash Folio No Date Detail Amount Transactions Cash
133.70
dd Everfow(water) 0.00
dd Dec 1, 21 E.On 190.00
dd Dec 1, 21 EDF 30.00
dd Dec 15, 21 Hunts DC (rates) 10.00
dd Dec 9, 21 Hunts DC (bins) 9.81
645 319 Nov 30, 21 Extinguisher stand (online, chq to S.Bownas 28.73
645 321 Dec 12, 21 Reimburse S.Bownass for cleaner cash) 52.00
cash 321 Dec 4, 21 Cleaning (11hrs Nov + sacks) 133.70 133.70
647 (replace 644) 322 Dec 16, 21 Ed Gott (Radiator and leak repair) 180.00
646 323 14-Dec-21 Wood Finishes Direct 56.97
0.00
0.00
0.00
Payments 691.21

Receipts

Receipts
Cleared
Paid In Invoice No. Date Detail Amount Banking Transactions Cash
169.00
auto credit Dec 1, 21 L.Teague (Studio) 135.00
auto credit Dec 3, 21 Payroll Giving 20.00
auto credit Dec 20, 21 Yelling VH Social 317.00
100614 Dec 7, 21 Cricket dinner (12 Nov) 33.00
auto credit 242 Nov 20, 21 Ashleigh (20 Nov) incl £25 for bar 60.00
auto credit Dec 4, 21 Clay therapy (4 Dec) 40.00
n/a Dec 7, 21 Cofee&Craft (7 Dec) 12.00 12.00
n/a Dec 4, 21 Cash from Susan (repay on chq 645) 52.00 52.00
n/a Dec 15, 21 Ian Knibbs (24 Nov, 1, 8 Dec) 30.00 30.00
n/a Dec 15, 21 Bittany Lee (18 Dec) 40.00 40.00
auto credit Dec 15, 21 Windfarm grant (ladies toilet) 1000.00
n/a Dec 19, 21 Sharon Blackburn (19 Dec) 35.00 35.00
auto credit 12/30/2021 Steve Ellis 35.00
0.00
0.00
Total Receipts 1,809.00
Cashbook transaction Opening Cashbook Balance 37,925.04
Total Receipts 1,809.00
less Total payments (691.21)
chq 646 unpresented 56.97
Closing Cashbook Balance 39,099.80
Cash transactions Cash carried over from last month 87.77
Cash in this month 169.00
Cash spent this month -133.70
Cash banked 0.00
Total Unpresented 123.07
Closing Bank Balance 38,976.73
Bank transactions Total Payments out 691.21
Cash payments 133.70
Total withdrawn from bank 557.51
Total Receipts in 1,809.00
Not paid in (169.00)
Cash paid in 0.00
Total paid in to Bank 1,640.00

Period

12/21

----- Start of picture text -----
Total Social Club D Council - Repairs & Entertainment
Payments Donation Electricity Water Insurance Rates Oil Maintenance License
190.00
30.00
10.00
9.81
28.73
133.70
180.00
56.97
691.21 0.00 220.00 0.00 0.00 19.81 0.00 399.40 0.00
----- End of picture text -----

Total Social Club D Council - Repairs & Entertainment
Receipts Donation Electricity Water Insurance Rates Oil Maintenance License
317.00
1,000.00
1,809.00 317.00 0.00 0.00 0.00 0.00 0.00 1,000.00 0.00
Diference 0.00
Bank statement Balance 38,976.73
Check ref Check ref
Hire
Stationery Fundraising Other Charge Nat West 0 = OK.
0.00
0.00
0.00
0.00
0.00
0.00
52.00 0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00 0.00 52.00 0.00 0.00
Other Hire
Stationery Fundraising Donations Charge Nat West
135.00 0.00
20.00 0.00
0.00
33.00 0.00
60.00 0.00
40.00 0.00
12.00 0.00
52.00 0.00
30.00 0.00
40.00 0.00
0.00
35.00 0.00
35.00 0.00
0.00
0.00
0.00 0.00 72.00 420.00 0.00

Cashbook Payments Village Hall 2021

Cheque No. DD
or Cash Folio No Date Detail
dd Jan 5, 22 Everfow(water)
dd Jan 26, 22 Everfow(water)
dd Jan 4, 22 E.On
dd Jan 4, 22 EDF
dd Jan 17, 22 Hunts DC (rates)
dd Jan 10, 22 Hunts DC (bins)
648 324 Dec 13, 21 Gifts for cleaners (reimburse S.Bownass)
cash 325 Jan 1, 22 Cleaning (6.5hrs Dec + cleaners)
cash 320 Nov 30, 21 Carpark paint (reimburse W.Sleigh)

Payments

Receipts

Paid In Invoice No. Date Detail
auto credit Jan 4, 22 L.Teague (Studio)
auto credit Jan 6, 22 Payroll Giving
auto credit Jan 20, 22 Yelling VH Social
100615 243 Dec 13, 21 Parish Council (17/5, 1/6, 23/8, 13/12)
100615 244 Dec 14, 21 WI (21 Oct, 16 Nov, 14 Dec)
100616 Jan 11, 22 Cofe & Craft (11, 25 Jan)
auto credit Jan 12, 22 Paul Elliott (30/11, 7/12)
auto credit Jan 12, 22 Miriam (31 Dec)
auto credit 245 Jan 12, 22 Art Group (6/1-10/2, 24/2-31/3, 12 sessions)
100616 Jan 15, 22 Nicky Mitchell (12 Jan)
auto credit Jan 24, 22 Steve Ellis (9,22 Jan)
auto credit Jan 10, 22 R.Johnston (advance pay 26 Feb)
Total Receipts
Cashbook transaction Opening Cashbook Balance
Total Receipts
less Total payments
Closing Cashbook Balance
Cash transactions Cash carried over from last month
Cash in this month
Cash spent this month
100616 Jan 28, 22 Cash banked

Total Unpresented

Closing Bank Balance

Bank transactions

Total Payments out Cash payments Total withdrawn from bank Total Receipts in Not paid in Cash paid in Total paid in to Bank

Period

01/22

Cleared Total Social Club
Amount Transactions Cash Payments Donation
91.70
20.63
5.86
190.00
30.00
10.00
9.81
60.00
85.70 85.70
6.00 6.00
0.00
0.00
0.00
0.00
418.00 418.00 0.00
Cleared Total Social Club
Amount Banking Transactions Cash Receipts Donation
42.00
135.00
40.00
317.00 317.00
48.00
51.00
24.00 24.00
36.00
27.00
204.00
18.00 18.00
70.00
40.00
0.00
0.00
0.00
1,010.00 1,010.00 317.00
39,099.80
1,010.00
(418.00)
39,691.80
123.07
42.00
-91.70
(73.37)

0.00

39,691.80 418.00 91.70 326.30

Difference Bank statement Balance

1,010.00 (42.00) 73.37 1,041.37

D Council - Repairs &
Electricity Water Insurance Rates Oil Maintenance
20.63
5.86
190.00
30.00
10.00
9.81
85.70
6.00
220.00 26.49 0.00 19.81 0.00 91.70
D Council - Repairs &
Electricity Water Insurance Rates Oil Maintenance
0.00 0.00 0.00 0.00 0.00 0.00

0.00 39.691.80

Entertainment Hire
License Stationery Fundraising Other Charge
60.00
0.00 0.00 0.00 60.00 0.00
Entertainment Other Hire
License Stationery Fundraising Donations Charge
135.00
40.00
48.00
51.00
24.00
36.00
27.00
204.00
18.00
70.00
40.00
0.00 0.00 0.00 40.00 653.00

Check ref Nat West 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 Nat West 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00

cashbook Donation to D Council -
Expenditure 2020 check total Social Club Electricity Water Insurance Rates Oil
F 3,702.93 3,702.93 0.00 40.00 6.76 0.00 11.91 0.00
M 1,695.06 1,695.06 1,619.00 40.00 9.15 0.00 11.91 0.00
A 814.50 814.50 0.00 40.00 9.63 0.00 15.71 0.00
M 627.35 627.35 0.00 40.00 9.25 0.00 15.71 471.45
J 190.99 190.99 0.00 48.00 23.39 0.00 15.71 0.00
J 1,959.93 1,959.93 0.00 48.00 17.86 1,477.74 26.28 0.00
A 133.67 133.67 0.00 60.00 14.79 0.00 19.88 0.00
S 455.08 455.08 0.00 220.00 28.93 0.00 19.81 0.00
O 1,125.35 1,125.35 0.00 220.00 14.79 0.00 19.81 0.00
N 536.00 536.00 0.00 220.00 1.25 0.00 19.81 0.00
D 691.21 691.21 0.00 220.00 0.00 0.00 19.81 0.00
J 2021 418.00 418.00 0.00 220.00 26.49 0.00 19.81 0.00
Total 12,350.07 12,350.07 1,619.00 1,416.00 162.29 1,477.74 216.16 471.45
djustments
depreciation 0.00
prepayments b/f 731.00 731.00
prepayments c/f 0.00
accruals/prepayments c/f -837.87 -738.87
accruals c/f 0.00
contra 0.00
Total expenses for year 12,350.07 12,243.20 1,619.00 1,416.00 162.29 1,469.87 216.16 471.45
j l m n k
Donation from D Council -
Income 2020 Social Club Electricity Water Insurance Rates Oil
F 8,949.00 8,949.00 317.00 0.00 0.00 0.00 0.00 0.00
M 2,550.00 2,550.00 317.00 0.00 0.00 0.00 0.00 0.00
A 537.13 537.13 317.00 132.63 0.00 0.00 0.00 0.00
M 8,529.00 8,529.00 317.00 0.00 0.00 0.00 0.00 0.00

J J A S O N D J 2021

Total

643.00 643.00 317.00 0.00 0.00 0.00 0.00 0.00
1,106.08 1,106.08 317.00 271.54 0.00 0.00 0.00 0.00
874.77 874.77 317.00 0.00 0.00 0.00 0.00 0.00
937.00 937.00 317.00 0.00 0.00 0.00 0.00 0.00
739.00 739.00 317.00 0.00 0.00 0.00 0.00 0.00
781.00 781.00 317.00 0.00 0.00 0.00 0.00 0.00
1,809.00 1,809.00 317.00 0.00 0.00 0.00 0.00 0.00
1,010.00 1,010.00 317.00 0.00 0.00 0.00 0.00 0.00
28,464.98 28,464.98 3,804.00 404.17 0.00 0.00 0.00 0.00
b f h e
Repairs & Entertainment Others incl Hire
Maintenance License Stationery Fundraising donations Charge
3,644.26 0.00 0.00 0.00 0.00 0.00
15.00 0.00 0.00 0.00 0.00 0.00
692.16 0.00 0.00 0.00 57.00 0.00
90.94 0.00 0.00 0.00 0.00 0.00
103.89 0.00 0.00 0.00 0.00 0.00
215.39 174.66 0.00 0.00 0.00 0.00
24.00 0.00 0.00 0.00 15.00 0.00
186.34 0.00 0.00 0.00 0.00 0.00
705.94 132.00 32.81 0.00 0.00 0.00
244.94 0.00 0.00 0.00 50.00 0.00
399.40 0.00 0.00 0.00 52.00 0.00
91.70 0.00 0.00 0.00 60.00 0.00
6,413.96 306.66 32.81 0.00 234.00 0.00

0.00 -99.00

6,413.96 207.66 32.81 0.00 234.00 0.00
p q r o s t
Repairs & Entertainment Hire
Maintenance License Stationery Fundraising Donations Charge
8,612.00 0.00 0.00 0.00 20.00 0.00
2,096.00 0.00 0.00 0.00 20.00 117.00
0.00 0.00 0.00 0.00 20.00 67.50
8,000.00 0.00 0.00 0.00 20.00 192.00
0.00 0.00 0.00 0.00 20.00 306.00
7.54 0.00 0.00 0.00 20.00 490.00
0.00 0.00 0.00 356.77 20.00 181.00
0.00 0.00 0.00 0.00 20.00 600.00
0.00 0.00 0.00 0.00 20.00 402.00
0.00 0.00 0.00 0.00 0.00 464.00
1,000.00 0.00 0.00 0.00 72.00 420.00
0.00 0.00 0.00 0.00 40.00 653.00
19,715.54 0.00 0.00 356.77 292.00 3,892.50
g q i c a

Yelling Village Hall

Income and Expenditure Account - 12 months ended 31st January 2022

and

Balance Sheet as at 31st January 2022

Treasurer: John Bownass Audited by Ian Newbold

1 Income and Expenditure Account - 12 months ended 31st January 2022

02/14/2022

Yelling Village Hall

Income
Hire of Hall
Donations from Social Club
Other Donations
Interest receivable
Rates refund
Electricity refund
Improvement and Covid-19 grants
Water refund
Fund raising
Expenditure
Electricity
Oil
Water
Insurance
Rates incl bin collection
Events/Fund raising
Repairs and Maintenance
Entertainments Licence
Stationery
Refund to Social Club
Donations/Other
Proft/(Loss) for Year
2021/22
£
3,893
3,804
292
0
0
404
19,716
0
357
28,465
1,416
471
162
1,470
216
0
6,414
208
33
1,619
234
12,243
16,222

2 Balance Sheet as at 31st January 2022

Fixed Assets as written down
Hall and House
Alarm System
Furniture
Current Assets
Nat West Reserve Account
Current Account
Debtors and prepayments
less: Current Liabilities
Creditors
Net Current Assets
Assets
Represented by:
Accumulated Fund
Proft/(Loss) for the Year
Funds
£
17,233
0
0
17,233
25
39,692
841
40,558
0
40,558
57,791
41,512
16,222
57,734

3 Deed of Establishment

Yelling Village Hall is a registered charity in accordance with the terms of the Charities Act 1980 and approved as such by Deed of Trust dated 16th March 1976 but has been operating since 1970 in accordance with the principles laid down within that Deed

4 Auditors report

I have reviewed the accounts and associated documents of the Village Hall for the current year a I am pleased to approve their accuracy and the accounting policies and procedures therein, whic are consistent with prior years and are appropriate for the organisation and its activities

J I Newbold ACMA GCMA auditor

2020/21 £

2,081 3,804 260 0 84 103 11,700 0 0 18,032 1,820 488 158 1,457 250 12 5,251 180 0 600 145 10,360 7,672

£

17,233 0 0 17,233 25 23,520 734 24,279 0 24,279 41,512 33,840 7,672 41,512

and ch

YELLING VILLAGE HALL TREASURER'S MONTHLY REPORT 2021

Total
EXPENDITURE
Water
162
Electricity
1416
Bin collections
146
Hunts DC rates
71
Cleaning & supplies
671
Equipment
418
GoPak tables
1904
Insurance
1478
Roof/Gutters
672
R.Osborne door surround
1740
Refund to Social Club
1619
SS Motors (oil & service)
551
Chubb - extinguisher service
203
St Neots Fencing - gate
410
PPL/PRS (music licence)
307
Window cleaner
30
Donations/gifts
110
ACRE
72
Laminating pouches
33
Ed Gott (radiator and leak repair)
180
C.Midgley (wallpaint)
50
Feb
Mar
Apr
May
June
Jul
Aug
Sep
Oct
Nov
Dec
Jan
7
9
10
9
23
18
15
29
15
1
26
40
40
40
40
48
48
60
220
220
220
220
220
12
12
16
16
16
16
10
10
10
10
10
10
11
10
10
10
10
10
10
70
36
42
24
89
96
95
134
86
15
21
18
54
97
58
120
29
6
1904
1478
120
552
1740
1619
79
471
203
410
175
132
30
50
60
57
15
33
180
50
TOTAL EXPENDITURE
£
12241
3703
1695
815
627
191
1961
134
455
1125
536
582
418
INCOME
Studio
1283
Donations
240
Social Club
3804
Hire fees
2610
LRSG to December
1334
LRSG to February
7278
LRSG to 31st March
2096
Restart grant
8000
Windfarm grant
1000
Events
357
Refund from B&Q
8
Electricityrefund
404
68
135
135
135
135
135
135
135
135
135
20
20
20
20
20
20
20
20
20
20
40
317
317
317
317
317
317
317
317
317
317
317
317
117
57
171
355
46
465
267
329
285
518
1334
7278
2096
8000
1000
357
8
133
272
TOTAL INCOME
£
28413
8949
2550
537
8529
643
1106
875
937
739
781
1757
1010
Net surplus/- defcit
£
16172
5246
855
-277
7902
452
-854
741
482
-386
245
1175
592
CASHBOOK BALANCE
£
39691
28766
29621
29344
37245
37697
36843
37584
38066
37680
37925
39099
39691
Cash carried over month end
0
0
0
0
0
0
79
54
120
88
123
0
BANK BALANCE
£
39691
28766
29621
29344
37245
37697
36843
37505
38012
37560
37837
38976
39691
Explanation for month end January
Highlighted costs paid by me and re-claimed or cash transactions

Expenditure

£60 Christmas gifts for cleaners

Income

Hire fees are from 9 different hirers including £204 from Art Group

Expected future expenditure

Damage to building by Lacon's brewery lorry will be covered by insurance £4500 for ladies toilets

John Bownass Treasurer, Yelling Village Hall Management Committee

Aug 10, 22

Yelling Village Hall

Income and Expenditure Account - 12 months ended 31st January 2022

and

Balance Sheet as at 31st January 2022

Treasurer: John Bownass Audited by Ian Newbold

14/02/2022

Yelling Village Hall

1 Income and Expenditure Account - 12 months ended 31st January 2022

Income
Hire of Hall
Donations from Social Club
Other Donations
Interest receivable
Rates refund
Electricity refund
Improvement and Covid-19 grants
Water refund
Fund raising
Expenditure
Electricity
Oil
Water
Insurance
Rates incl bin collection
Events/Fund raising
Repairs and Maintenance
Entertainments Licence
Stationery
Refund to Social Club
Donations/Other
Profit/(Loss) for Year
2021/22
£
3,893
3,804
292
0
0
404
19,716
0
357
28,465
1,416
471
162
1,470
216
0
6,414
208
33
1,619
234
12,243
16,222
2020/21
£
2,081
3,804
260
0
84
103
11,700
0
0
18,032
1,820
488
158
1,457
250
12
5,251
180
0
600
145
10,360
7,672

2 Balance Sheet as at 31st January 2022

Balance Sheet as at 31st January 2022
Fixed Assets as written down
Hall and House
Alarm System
Furniture
Current Assets
Nat West Reserve Account
Current Account
Debtors and prepayments
less: Current Liabilities
Creditors
Net Current Assets
Assets
Represented by:
Accumulated Fund
Profit/(Loss) for the Year
Funds
£
17,233
0
0
17,233
25
39,692
841
40,558
0
40,558
57,791
41,512
16,222
57,734
£
17,233
0
0
17,233
25
23,520
734
24,279
0
24,279
41,512
33,840
7,672
41,512

3 Deed of Establishment

Yelling Village Hall is a registered charity in accordance with the terms of the Charities Act 1980 and approved as such by Deed of Trust dated 16th March 1976 but has been operating since 1970 in accordance with the principles laid down within that Deed

4 Auditors report

I have reviewed the accounts and associated documents of the Village Hall for the current year and I am pleased to approve their accuracy and the accounting policies and procedures therein, which are consistent with prior years and are appropriate for the organisation and its activities

J I Newbold ACMA GCMA auditor