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2022-12-31-accounts

Hatfield Peverel Community Association Registered charity number 270120

Trustees Annual Report

for the year ending 31[st] December 2022

Governance

The charity’s address is The Village Hall, Maldon Road, Hatfield Peverel, Chelmsford, CM3 2HP.

At a meeting of the 16[th] December 2020, it was resolved that the affairs of the Association and administration of the charity should be directed by Hatfield Peverel Parish Council acting as Sole Trustee. This would take effect from 1[st] January 2021.

The Charity owns the hall building and the land immediately surrounding the hall. The objects of the Charity are to maintain and manage the village hall for the benefit of all the inhabitants of Hatfield Peverel. The hall is to improve social welfare of the village by providing facilities for leisure and recreation. The aim is to improve the conditions of life for the inhabitants irrespective of race, colour, sex, political and religious leanings. The trustee is satisfied that this activity meets the requirement of the public benefit test

Activities for the year 2022

The hall is comprised of a large function room, several smaller rooms that are connected, and a bar/coffee shop area. The bar activities were contracted out to a third party and were used by hall hirers when events were staged. The café was initially run for a couple of hours weekday mornings only. Due to increased demand, the café started to open in the afternoons as well. If this proves popular, then the plan would be to open the café all day and include weekends. The hall stage has been upgraded with new lighting and a sound system. Concerts included various tribute acts covering songs by ABBA, Roy Orbison, Pink Floyd and ELO. The Pantaloons held two separate plays which were well received. Further acts are planned for 2023.

Accounts for the year 2022

The accounts for the charity have been prepared using the simple receipts and payments method.

Net receipts show a surplus of £15,544. This compares favourably with £6,251 that was made last year. However, the total of grants received in the year was £20,269. These grants

were received to make improvements to the structure of the hall, as well as to upgrade the Vic Olley room (the old snooker room). Roughly £6,000 of this will be carried over to 2023 and spent then. The charity had sufficient reserves of its own to be able to spend £2.5k on upgrading the toilets, as well as £6.7k on various electrical upgrades and internal painting. If these one-off expenses were discounted, then the charity made a surplus of just under £10k on its normal day to day activities. Cash and bank balances at the end of the year were £44,532. Again, this compares favourably with the previous year when the totals were £28,987. The trustee is happy with this figure as it allows further capital improvements to be made in 2023.

During the first half of 2023, income from the café continued to increase. In May, the charity decided to hand over the running of the café to an outside party. They pay a monthly rental and have planned to have the cafe open during the day, seven days per week. One of the local businesses that regularly hires one of the rooms has also requested that they hire an additional room. Further concerts and plays have been held on the main stage. The Vic Olley room has been upgraded to a multi-purpose facility. Films are now being held in there on a regular basis. More appropriate furniture will be purchased so that it can be used for businesses who wish to hire it out for conferences and meetings. On a negative side, the gas and electricity bills have risen dramatically. The electricity contract that we signed last year reduced the bills in the winter months, but has resulted in much higher bills during the summer months. The consequence of this is that self-funded, less critical, capital projects have had to be shelved until further grant funds become available. However, the trustee is very pleased to note that the hall is increasingly being used and is well on the way of satisfying the charity’s aim of making the hall a community hub.

The accounts show a long standing, interest free, loan of £25,000. In theory, this will be repayable in 2042 to the old, moribund, Village Hall charity. However, steps will be taken to dissolve this entity. Note that there is an investment fund set up to repay this. The value of this COIF Charities Investment Fund as at 31[st] December was £22,685.

HATFIELD PEVEREL COMMUNITY ASSOCIATION Registered Charity 270120

Receipts and Payments Account for the year ended 31st December 2022

2021
Unrestricted
Restricted
TOTAL
Funds
Funds
2022
£
£
£
£
RECEIPTS
From Trading Activities
Hall lettings
Bar/cafe takings
Sale of snooker table
From Government
HMRC Job retention scheme
Grant from BDC
Grant from ECC
Grant from Parish Council
VAT recovered
Grant from RCCE
Other receipts
Donation
Events Income
Bank interest
TOTAL RECEIPTS
PAYMENTS
Bar/cafe costs
Repairs and maintenance
Wages
Rates and water
Light and heat
Cost of events
Telephone
Insurance
Professional fees and licences
Building survey
VAT
Cleaning
Laptop
Coffee machine
Keyboard
Bank charges
Sundries
TOTAL PAYMENTS
NET SURPLUS/DEFICIT
Balances Brought Forward
Balances Carried Forward
53902
53902
27764
8205
8205
4478
0
200
0
5333
4000
500
4500
25572
1000
1000
0
10000
10000
0
8546
8546
0
8769
8769
6136
2000
2000
0
7754
7754
0
9
9
0
84416
20269
104685
69483
2776
2776
4086
23660
14039
37699
7992
14679
14679
18849
1915
1915
544
7478
7478
6691
7392
7392
244
570
570
725
4924
4924
4817
1880
1880
2921
0
0
1875
5534
5534
5415
2064
2064
795
0
0
250
0
0
6847
200
200
0
439
439
449
1592
1592
732
75102
14039
89141
63232
9314
6230
15544
6251
28987
28987
22736
38302
6230
44532
28987

HATFIELD PEVEREL COMMUNITY ASSOCIATION Registered Charity 270120

Statement of Assets and Liabilities as at 31st December 2022

2022
2021
£
£
MONTARY ASSETS
Deposits and Bank Balances
COIF Charities Deposit Fund
Bank Account
Cash in Hand
979
969
43403
27813
150
205
44532
28987
Debtors 6236
5655
Creditors
Amounts falling due within one year
Amounts falling due after one year (Note 1)
3941
1578
25000
25000
INVESTMENTS
COIF Charities Investment Fund 22685
24927
NON MONETARY ASSETS
Land and buildings
Keyboard
Laptop
Coffee machine
Tables and chairs
Kitchen equipment
Bar equipment
Cleaning materials

Note 1An interest free loan granted by Hatfield Peverel Community Association (registered charity number 210134) repayable in 2042

Independent Examiner's Report to the Trustees of Hatfield Peverel Community Association (Registered Charity No. 270120)

I report to the trustees on my examination of the accounts of Hatfield Peverel Community Association for the year ended 31st December 2022.

Responsibilities and basis of report

As the charity trustees of the Trust you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (‘the Act’). I report in respect of my examination of the Trust’s accounts 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.

Independent examiner’s statement

I have completed my examination. I have identified a matter of concern that I was unable to verify some of the receipts because of incomplete documentation presented.

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 Trust as required by section 130 of the Act; or

  2. the accounts do not accord with those records.

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.

J Stobart FCCA RCCE House, Threshelfords Business Park, Inworth Road, Feering CO5 9SE 30[th] June 2023