
## **Trustees' Annual Report for the period** 

## **From** 

Period start date Period end date 

**To** 

Day 01 Month 04 Year 2020 

Day 31 Month 03 Year 2021 

## Section A                        Reference and administration details 

March **2012** 

**TAR** 

1 



## **Charity name** 

Roborough Recreation Hall and Playing Fields 

**Other names charity is known by** 

**Registered charity number (if any)** 

270557 

March **2012** 

**TAR** 

2 



**Charity's principal address** 

## Roborough Recreation Hall 

## New Road 

Roborough, Plymouth 

## **Postcode** 

PL6 7BD 

## **Names of the charity trustees who manage the charity** 

**Trustee name Office (if any) Dates acted if not for whole year Name of person (or body) entitled to appoint trustee (if any)** 

March **2012** 

**TAR** 

3 



1 

2 

3 

Mr Bill Hitchens 

Chair 

Mrs Kay Allen Treasurer 

Mrs Sheila Lusk Committee member/Vice Chair 

Mrs Chris Phillips WI Representative 

4 

March **2012** 

**TAR** 

4 



5 

Danny Webster Cricket Representative 

6 

Pauline Harvey Methodist Church Representative 

7 

Mr Tom Dominy Garden Club Representative 

8 

Mr Frank Turner Bickleigh Parish Council Representative 

Mr Rob Davis 

9 

March **2012** 

**TAR** 

5 



Maristow Football Club 01/04/20 to July 2020 

10 Mr Sam Kenward Trustee 16/09/20 onwards 13 

**Names of the trustees for the charity, if any, (for example, any custodian trustees)** 

## **Name** 

March **2012** 

**TAR** 

6 



## **Dates acted if not for whole year** 

## **Names and addresses of advisers (Optional information)** 

## **Type of adviser Name Address** 

March **2012** 

**TAR** 

7 



## **Name of chief executive or names of senior staff members (Optional information)** 

## **Section B              Structure, governance and management** 

## **Description of the charity’s trusts** 

Type of governing document (eg. trust deed, constitution) 

Roborough Recreation Hall and Playing Fields is a charity constituted by a Deed of Trust dated 17 March 1965. 

How the charity is constituted (eg. trust, association, company) 

The charity is administered by the Committee of Management called the Committee who are the charity trustees. The Parish Council is the "Custodian Trustee" for the charity. 

Trustee selection methods (eg. appointed by, elected by) 

The Committee of Management consists of not more than 19 members, comprising as follows: 

- seven elected members 

- ten representative members, and 

- two co-opted members 

There may be one representative for each of the following organisations: 

- Bickleigh Parish Council 

- Bickleigh Parochial Council 

- Bickleigh Woman’s Institute 

- Maristow Estate 

- Methodist Church Roborough 

- Roborough & PCS Cricket Club 

- Roborough Estate 

- Maristow Football Club 

- Roborough Young Farmers Club 

- Royal Marine Commando at Bickleigh Camp 

- Bickleigh, Roborough and District Garden Club 

 

Existing or newly formed organisations may apply for representation on the Committee of Management and be appointed by way of a two thirds majority vote of Committee members. 

March **2012** 

**TAR** 

8 



At present there are vacancies for Bickleigh Parochial Council, Roborough Young Farmers and Maristow and Roborough Estates. 

The recruitment and appointment of new trustees is by election and the Annual General Meeting of the charity. All trustees must retire at each Annual General Meeting but may be re-elected or re-appointed. No member of the Committee can take or hold any interest in the charity's property. Any member who becomes bankrupt is to advise the committee and resign. 

## **Additional governance issues (Optional information)** 

You **may choose** to include additional information, where relevant, about: 

- policies and procedures adopted for the induction and training of trustees; 

- the charity’s organisational structure and any wider network with which the charity works; 

- relationship with any related parties; 

- trustees’ consideration of major risks and the system and procedures to manage them. 

Risk Management 

The charity undertakes risk assessments as required.  Overall, it minimises the risk to children and to vulnerable adults who use the facilities by adhering to the national guidelines for safeguarding individuals, as laid out in the Cumberland report. 

## **Section C                    Objectives and activities** 

## **Summary of the objects of the charity set out in its governing document** 

The object of the Charity is the provision and maintenance of a village hall and playing fields for use of the inhabitants of the Parish of Bickleigh who no distinction of political, religious or other opinion including use for meetings, lectures, and classes and other forms of recreation and leisure time occupation with the object of improving the condition of life for the inhabitants. 

## **Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)** 

The village hall provides facilities for regular weekly and monthly meetings by a range of local clubs and organisations and individuals providing recreational activities. 

In addition to this the village hall was used for 42 single events: by local families for gatherings such as birthday parties and celebrations by local organisations for meetings and training events. 

The hall closed to bookings on 16[th] March 2020 due to Covid-19. 

The playing fields contain a cricket pitch and a football pitch.  These are used by a local cricket club and a local football club and were also closed on 16[th] March 2020. 

March **2012** 

**TAR** 

9 



The Trustees have referred to the guidance contained in the Charity Commissions general guidance on public benefit reviewing our aims and objectives and in applying our future activities. 

## **Additional details of objectives and activities (Optional information)** 

You **may choose** to include further statements, where relevant, about: 

- policy on grantmaking; 

- policy programme related investment; 

- contribution made by  volunteers. 

The committee undertaken fund raising events help pay for the redecoration of the smaller room at the hall. 

## Section D                      Achievements and performance 

The smaller room has been re-decorated and is now available to **Summary of the main** hire as a meeting/conference room. **achievements of the charity during the year** 

## **Section E                    Financial review** 

The charity holds £2,004.92 in the reserve account. 

**Brief statement of the charity’s policy on reserves** 

**Details of any funds materially in deficit** 

## **Further financial review details (Optional information)** 

You **may choose** to include additional information, where relevant about: 

The principal source of funds during this year was from grants and bookings. 

- the charity’s principal sources of funds (including any fundraising); 

- how expenditure has supported the key objectives of the charity; 

- investment policy and objectives including any ethical investment policy adopted. 

March **2012** 

**TAR** 

10 



The trustees confirm that they have identified the major risks to which the charity is exposed and have systems established to mitigate any risks.  They have also complied with their duty to have due regard to Charity Commissions Public Benefit Guidance when exercising powers or duties to which the guidance is relevant. 

The financial statements have been prepared in accordance with Statement of Recommended Practice: Accounting and Reporting by Charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic if Ireland (FRS 102) issued on 16 July 2014 and the Financial Reporting Standard applicable in the United Kingdom and Republic of Ireland (FRS 102) and the Charities Act 2011. 

## **Section G                    Declaration** 

## **The trustees declare that they have approved the trustees’ report above.** 

**Signed on behalf of the charity’s trustees** 

## **Signature(s)** 


## **Full name(s)** 

Kay Allen 

**Position (eg Secretary, Chair, etc)** 

Secretary 

March **2012** 

**TAR** 

11 



Date
15 March 2022
TAR
12
March 2012

Roborou8h Ren*ion Hall •nd Maylng Nelds
Charlty No. 270557
Trustees, Rewt and Unaudlted Accwnts
31 M¥¢h 2021

Roborough Re¢re*ion Hal and Pl•ying Field$
Contents
Pa8es
2to3
TrnSt￿, Annual Report
Independent Examiner's Report
Statement of Flnancial Artivltles
Balance Sheet
Notes to the Accourrts
7t012
Detalled Statemèni of Flnanclal Actlvltlès
131014
Page I

Rol)orou8h Recreatlon Hall and Pl￿1n￿ fields
Trustees Annual Report
The Trustees pre5enl their report wlth the unaudited finandal statsments of the charlty for the year ended
31 March 2021.
REFERENCE AND ADMINISTRATIVE DEfAIL5
Charlty No. 270557
PrIn¢l￿1 Office
30 The Villa8e
Bicklelgh
Plymouth
Devon
PL6 7AH
The followln8 Trnstees seryed during the year:
K. Allen
C. Beale
R. Davi$
T.M. Oomlnv
P. Har
B. Hitchens
S. Kenward
S. Lusk
C. Phllllps
J. Smillle
N. Tapp
F. Turner
D, Webster
(Reslgned 30 JU￿ 20201
IResl8ned 30Juty 20201
IRèsb8ned 30 ju￿ 20201
(Reslgned 30 Juty 20201
Key Mana8•rnent P•vsonnel
Chair
B. Hitthens
Treasurer
K. Allen
Committee member I Vke thalr
S. Lu5k
Precbe Accountants Ltd
Unlt 6, Brooklands
Budshead Road
PlymiyJth
Devon
PL6 5XR
Page 2

Roborough Recreatlon Hall and Playln8 Flelds
Trustees Annual Rewt
OBJECTIVES ANO AcnvmES
The obied of the Charity 15 the provi51on and rna1ntenan￿ of a village hall and playing f￿kIS for use of the
Inhabltants of the ParL8h of Blcklelgh who no dlstinction of political. religious or other opinion Indudlng use
for meetlngs, lectures, and classes and otherforms of recreatlon and lelsure tlme occupatlon wrth the object
of improving the condition of liFe forthe inhabitants.
The vlllage hall provldes facllltbes for regular weekly and monthly meetlngs ty a range of loral clubs and
organtsatlons and indlvldua15 provlding recreatlonal actIV￿leS.
ACHIEVEMENTS AND PERFORMANCE
The hall c105ed to booklngs on 16th March 2020 due to C(wld-19.
The playlng flelds contaln a crlcket pltch and a football pitch. These are used by a loc41 ¢rlcket club and a kxal
football club and were also closed on 16th Marth 2020.
The Trustees have referred to the 8uldance contalned In the Charlty Comm1551on$ general guldance on publ
benefft revlewlng our alms and obleclP4es and In app￿1￿8 our future J￿1¥111e5.
The smaller room has been rfrdecorated and Is now avallable to hlre a5 a MeetI￿cOnferenCe room.
ststement of trustees, responslbllllles In relatlon to the fimndal sthtem
The charlty truslees are responsible for preparln8 a trustees, annual report and financlal statements In
accordance wlth applkable law and Unlted Klngdom Accountln8 Standards Iunlted Kln8dom General
Accepted Accountlng Practlcel.
The Trustees are responsible for keeplng proper accounlin8 records that dlsclose with reasonable accuracy at
any Ilme the financlal posltion of the charrty and to enable them to ensure that the flnanclal statements
compty wlth the Charltles Art 2011, the appllcable Charltle5 (Accounts and Report51 Regulations, and the
provlslons of the TNst deed. The Trustees are also re5wn51ble tor 5afeguardlng the assets of the charlty and
hence takln8 re•son4ble slep$ for the prevenllon and detectlon of haud and txher Irregular1t￿.
Slgned on behalf of the chaiity's trustees
K. Allen
Trustee
15 Mar¢h 2022
Page 3

Roborough Recreatlon Hall and Play1￿ melds
Independent Examinews Report
Independent Examinees Report to the trustees of Robm*h ReC￿*tIOn Hall and Playlw Flelds
I report to the trustees on my examination of the accounts of RoboroLsgh Recreatlon Hall and Playing Flelds
for the year ended 31 March 2021 whlch comwise the Statement of Finandal Activities, the Balance Sheet
and the related notes.
Respcwlbllltle5 wd basls ot rep(*l
As the charitvs trustees you are responslble for the preparatlon of the accounts In accordance with the
requirements of the Charities Act 2011l%he Act'l- The trustees consider that an audlt Is not required for thls
year under the Charltles Act 2011. 5.144121 Ithe 2011 Artl and that an independent examlnatlon Is needed.
I report In respect of my examination of the charlivs accounts carrled out under 5ertlon 145 of the 2011 Act
and in tarryin8 Out my examlnatlon I have followed all the applicable Direclions gfven by the Charity
Commlsslon under sectlon 1451511bl of the Acl.
dependent examln*s slatemenl
I have completed fny examinatlon. I can corfim) that no materi•l matters have come to my attentlon In
connectlon wlth the examSnatlon glvlng me cause to belleve that in. any materlal re5pert'.
the accountin8 records were not kept In resped of the charlty as reqylred by secllon 130 of the Act: or
• the accounts do not accord with those records; or
the accounts did not Cornp￿ wrth the applicable requlrements concernln8 the forni and content of
accounts set out In the Charities (Accounts and Reports) Re8ulation$ 2￿8 other than any requlrement
that the accounts glve a Irue and fail vlew whkh 15 not a matter consldered as part of an independent
examlnatlon.
I have no concerns and have come across no other matters In connedlon wlth the examln*lon to whlch
ttenllon should be drawn In thls report In order io ena￿e a propef understandlng of the Kcounts to be
reached.
Lee james Hardacre
FCC4
Preclse Accountsnts Ltd
Unlt 6. 8rooklands
Bud5head Road
Plymouth
Devon
PL6 5XR
15 March 2022
Page4

Robarough Recreati¢)n Hall and Playln8 r￿dS
Statement of Finanu•l Artivitye5
for the year ended 31 March 2021
Unrertrlrted
funds Total fvnds Total funds
2021
2021
Income and endowments
Irom:
Othertradln8 act6vities
Investments
Other
1.240
1,240
7,427
24.674
24.674
6,174
Total
25.914
25.914
13,603
Expendlturn on:
Other
23,046
23.046
17,362
Tot41
23.046
23.046
17,362
Net galns on Investments
Net In¢émel{eMpendltyr•l
Transfers between funds
2,868
13.7591
Net Incom•/{•xpendltur•}
belore other i*lnslllossesl
2￿68
13,7591
Oiher ylns •nd14W•S
Net mowm•nt In funds
2.868
13,7591
R•widll•tk4Th of fvnds:
Total funds brought forward
11.781
IL781
15,540
Totsl fvnds urrled forward
14,fA9
14,649
11.781
Page 5

Rol)orou8h Recreation Ham and Pl•ylng fields
Balance Sheet
at 31 Marth 2021
tharlty No. 270557
2021
2020
Current 455ets
Cash at bank and in hand
15.fX)9
15,CX)9
13601
14,649
14.649
11.781
11.781
Credltors: Amount fallln8 due within one year
Net Cwrent assets
11,781
11,781
11,781
Totsl •5sets less ¢Ufr•nt Ilabllltles
N•t 4ssets ex¢ludlni penslon asset or Ilablllty
14.649
Total net assets
14,649
11,781
The fvnd$ ol the thlrlty
Re5trlrted funds
Unre5¢rlcted funds
General funds
14,649
11,781
14,649
11.781
ReseNes
Tot•1 lunds
14,649
11,781
Approved by the trustees on IS March 2022
And $18ned on their behalf by:
Allen
Trustee
IS March 2022
Page 6

RoborouAh Recreatlon Hall and play1￿ Flelds
Notes to the Ac¢ounts
fi)rthe year ended 31 Marth 2021
l Accounting polici
Basls of preparatlon
The financial statements have been prepared In accordance with Statement of Recommended Practlce:
Aceountin8 and Reportln8 by Charltles preparln8 thelr accounts in accordance wlth the Flnanclal
Reportlng Standard applloble In the UK and Republic rf Ireland IFRS 1021 bsued on 16 July 2014 and the
Flnanclal Report1￿ Standard appllcable In the United Klngdom and Republlc of Ireland IFRS 1021 and the
Charltles Art 2011.
Change In basls of accountlng or to Pr￿0￿ I￿gUnts
There has been no change to the accountin8 pollcbes Ivalualion rules and method of accountln8151nce
last year and no changes have been made to accounts for prevlous years.
Fund accountln8
Unrestricted fvnds These Jre avallable for use It the dtscretkni of the truslees In further•n¢e of the
general objects of the charty.
These are unrestrided funds ea￿arke<l by the trustees for particular purp05e5.
These are unrestrfded funLts whlch Include a revaluatknn reserrfe representing the
restatement of Investment assets at thelr market value5.
These are avallable for use subject to reslrlctlons Imposed by the donor orthrou8h
terms of an appeal.
Desi8nated funds
Revaluatlon funds
Restrlded funds
Infome
Reco8nitlon of
Income
Income Is Induded In the Statement of Flnanclal ACtI￿lIeS ISOFAI when the charlty
becomes entitled io, and virtually certaln to recelve, the Income and the amount of
the income can be measured wlth sufflclent rellablllty.
Income wlth rel￿ed Vlhere Income ha5 related expendlture the Income and related expenditure Ss
expendlture
reported 8ross In the SOFA.
Donatlons and
le8acles
Voluntary Income recelyed by way of 8ranis. donatlons and 8ffts1s Included In the
the SOFA when recelvable and onfy when the Charlty has uncondltk>nal
entltlement to the Income.
Tax reclalms on
Income from tax reclaims 15 included In the SOFA at the same tlrr* a5 the
donatlons and gffts giftldonatlon to whith it relates.
Donated seThlces
These are only Included in income {with an equlvalent amount in expenditure)
and fa¢llltlès
where thè ￿nefft to the Charlty is reasonab￿ quarrtlfiable, Measurab￿ and
material.
Volunteer help
The value of any volunleer help recelvedls not Induded In the accounts.
Investment Income Thls Is Included In the accounts when receivable.
Gains/llosses} on
This indudes any 8ain or10ss resultin8 from re4alu1￿ investments to market value
revaluatlon of flxed at the end of ihe year.
assets
Galnsll1055es} on
investment as5eis
This indudes any gain or loss on the sale of Investments.
Page7

Roborou8h Recreation Hall and Pla>in8 r￿d$
Notes to the Accounts
Expenditure
RecognTrllon of
expendrture
Expenditure is recognised on an accruals basis. Expenditure indudes any VAT which
cannot be fulty recovered. and is reported as part of the expenditure to which rt
ates.
Expendlture on
These comprise the costs associated wlth attrartlng voluntary Income. fundratslng
raising funds
tradlng costs and investment management costs.
Expenditure on
These comprbse the costs Incurred by the Charlty In the delivery of its activities and
charltable actrvities se￿ceS In the furtherance of Its objects. Indudlng the making of grants and
governance costs.
All grant expenditure is accounted for on an actual paid basi5 plu5 an accrual for
grants that have been approved ￿ the trustees at the end of the year but not yet
pald.
These include those costs assodaled wlth meetln8 the constIt￿lortal and statutory
requirements of the Charlty. Induding any audithndependenl examlnatlon fee5,
costs Ilnked to the strategic mana8ement of the Charity, tO8ether with a share of
other admlnlstratlon costs.
Olher expendtture These are support costs not alloc*ed to a partkular artlvlty.
Grants payable
Governance costs
T•x•tlon
The chorlty15 exempt from tax on Its charltabk aclNltles.
Freeh¢ld Investment propertv
Investment properties are measured ￿n￿ballY at COSt and Subsequent￿ at falr value at each balance sheet
date and are not depreclated. All gains or losses are tsken to the Statement of Finanelal Actlvltles as they
arlse.
Stocks
Stockls Included at the knwer of cost or net real&abk value. Oonated Items of stock are recognlsed ot falr
value which is the amount the tharlty would have been wllllng to pay for the items on the open market.
Trade •nd other debto
Trade and other debiors are reco8n15ed at the settlement amount due after ariy trade discount offered.
Prepayments are valued at the amount prepaid net of any Irade d15rnunts due.
Cash and c*sh equl¥alents
Cash ènd cash equhalents compr15e cash at bank and on hand, demand deposlts w￿h banks and other
short-term hlghly Ilquid investments with ori8lnal maturltles of three months or les5 and bank overdraft5.
In the statement of financial posrtion. bank overdraft5 are shown wfthln borrowings or current liabllltles.
In the Statement of Cash Flows. cash and Cash equivalerts are shown net of bank i)verdrafts that are
repayable on demand and form an integral part of the company's cash management.
Trade and other uethbrs
Short term credrtor5 are measured at the transartion prlce. Other creditors and provtslons are recoBnised
where the charity has a present obligation resulting from a past event that will probably resuli in the
transfer of funds to a third party and the amount due to settle the obli8ation ran be measured or
estlmaied rellably. Credftors and provisions are norn)alty reCogn￿d at their settlement amount after
allowln8 for any trade distounts due.
Page 8

Roborou8h Recreatlon H•ll arrfl Playlry Aelds
Notes to the Accounts
Research and d￿￿0pment
Expenditure on research and development is written off in the year in whith It Is Incurred.
Forel¥n currencles
Monetary assets and liabililbes denominated In currencles other than the functlonal currency of the
charity are translated at the rates of exchange prevalllng at the end of the reporting perM)d.
Transactions In currencles other than the fvnctional currenoi of ihe charity are recorded at the rate of
exchange on the date that the transacilon occurred.
All exchange differences are are taken into account In arrivln8 at net incomelexpendSture.
Lused assets
Where the charlty enters Into a lease whith entails taking sub5tantlalty all the rlsks and rewards of
ownership of an asset. the lease b treated as a flnance lease.
Leases which do not transfer substaniialty all the rtsk4 and rewards of ownershlp to charlty afe classlfkd
s operating leases.
Assets held under finance leases are Inltlally recogni5ed as a55ets of the d￿rIty at thelr fair value at the
Inceptlon of the lease ¢x. If lower. * the present value of the minimum lease payments. The
correspondln8 Ibabllity to the lessor Is Included In the balance sheet date as a finance lease obligatlon.
Lease payments are apportloned between finance e)tpenses and reductlon of ihe lease obllgatlon $0 as to
achleve a constant rate of Interest on the remalnlng balance of the Ilablllty. Flnance expen5e5 ère
recognised immediatety, unless they are dlrectly attrlbLrtable to qualfying assets, In whlch case they are
pbtsllsed In accordance wlth the tharlty's polky on borrowtn8 costs.
Assets hekl under finance leases I￿ depreclated In the same way as owned assets.
Operatln8 lease payments are reco8nlsed as an expense on a stral8ht-Ilne basls over the lease terni.
In the event that lease Incentp￿S are recew to enter Into opernling leases, such Incèntlves are
recognised as a liabl1￿. The aggregate benefft of Incentl¥e5 ts reco8nlsed 45 a redudion of rental
experne on a stralBht-Ilrva basls.
P•n51on ¢osts
The charity operate5 a deflned tontrlbution plan for Its employees. A defined contrlbutlon plan Is
penslon plan under whkh the charity pays fixed contributlons Into a separate entity. once the
contributions have been paid the charlty has no further payments obligations. The contrlbutlons are
reco8nised as expenses when they fall due. Amounts not pald are shown In accruals in the balan￿ sheet.
The assets of the pkn are held separatelyfrom the chartty In Independently administered funds.
Rec•lpt af donated laods, facllltl•s and s￿￿$
All donated good5, facilitles and services recelved are rec(Vdnlsed wlthln Incomlng ￿OUrteS and
expenditure at an estlmate of the value to the charity.
Page 9

Roborou8h Recreatlon Hal and Playlng Fleld5
Notes to ihe A(C￿rrts
2 Statement of Finanall Artl¥ltles- wlwyear
funds Totsl fvnds
2020
2020
Income and endowments Irom:
Other tradlng artfvltle5
Investments
Other
7,427
7A27
6.174
6,174
Totsl
13.603
13,603
Expendlture on:
Other
17,362
17,362
Total
17,362
17,362
Net Income
13,7591
13,7591
Net Income befor• other
84lns/lloss•sl
Other Balns and losses:
Nei mo¥ement in lunds
13,7591
13.7591
13.7591
13,7591
Reconclllatlon of fvnd$:
Total funds brought forward
Totsl funds urrled forward
15,540
15,540
11,781
11,781
3 In¢ome from other trad1￿ •dlvltles
Unrestrkt¢d
Tot•1
Totsl
2020
2021
Recreation hall and f*ld hl
1,240
1.240
1,240
1,240
7.427
7,427
4 Income from In¥eJtments
Total
20ZI
Total
2020
Bank Interest receNed
Page 10

Rob0r0￿ Recreaiknn Hall and Pl•yin8 F￿ld5
Notes to the Accounts
5 Other #Kome
Unrestricted
Totsl
Total
2021
2020
Insurance refund
24,51MI
24.51x1
2,142
4,032
Grants recefved
Mlsc Income
174
174
24,674
24,674
6,174
6 Other expendlturn
VnrestrKted
Totsl
2021
Tt>tsl
2020
Premlses costs
19,663
3,023
360
19,663
3,023
360
8,575
8,427
360
Genernl adrnln15trative costs
Legal and professlonal costs
23.046
23.046
17,362
7 Staff corts
No em￿0vee received ernoluments in excess of £60,LKMJ.
8 CredStor5:
amounts falllng due wtthln one year
2021
2020
Accruals and deferred Income
360
9 m9￿M•Tht In funds
In¢omln
r•sour¢•s
At31
Marth
Ilndudln8
other
At I Wll Aalns/losses
2020
expend•d
2021
Rthrfrt¢d funds:
Unreslllcted funds:
G¢neral fvnds
IL781
25,914
123.0461
14,649
Revaluatlan Reserves:
Totsl funds
IL781
25,914
123.0461
14,649
Page 11

Roborou8h Recreati¢)n Hall and Playlng r
Notes to the Accounts
10 Analysls of net •55ets bet*en l￿d$
Unrestrirted
funds
Totsl
Net current assets
14.649
14,649
14,649
14,649
11 Reconciliatlon ol net debt
At31
Marth
2021
AtiWI
2020 C•sh flows
Cash and cash equNalents
11,781
IL781
3,228
3.228
15,1
15,IM)9
Net debt
11.781
3,228
Is,￿9
Page 12

Roborough Recreatlon Hall and Playlry Flelds
Detalled statement of Flnanclal Pxtl¥ltles
forthe year ended 31 Marth 2021
Unrestrkted
funds Totsl fvnds Total funds
2021
2021
2020
In¢om* •nd endowments from:
Other tradlng activlties
Recreation hall and fiekl hire
1.240
1,240
1,240
1,240
7,427
7,427
Investments
Bonk inierest recebled
Other
Insurance refund
Grants recefved
Mlsc Income
24.5(K)
24,5CK)
2.142
4,032
174
24,674
174
24,674
6,174
Totsl Income •nd endo%tsin¢nts
25,914
25,914
13.603
Expendlture an:
Premises costs
Rates
Ll8ht, heat and power
Premlses repalrs and
maintenance
734
1399
734
1,399
170
1.142
17,530
17,530
7.263
19.663
19,663
8.575
General admlnlstratlve costs.
Includln8 depreclatlon and
amortbatlon
General insurances
Sundry expenses
Telephone. fax and broadband
2.581
io
2.581
io
2,174
5,956
297
8,427
432
3.023
432
3.023
Legal and professlonal costs
Auditllndependent examination
360
360
360
3fAI
360
360
Tot¥1 of expendlture otgther wrts
Total expendlture
Net galns on Investments
23,(146
23,046
23,046
17,362
17,362
23.046
Net Incomel{eNpendlturel
2.868
2,868
{3,7591
Net Inrnmellexpendltyrel belore
othergaln51(1055e5)
2.868
2,868
13,7591
Paze 13

Rt)borou8h Recreation Hall and Playing Flelds
Detsiled Ststefflent of FITranth￿ Actiinties
Other Galns
Net movemthrt In funds
2,868
2068
13,7591
Reconcifiation of fvnds:
Total funds brought fop*ard
11,781
11,781
15.540
Total fvnds carrfed forwa
14.649
14,649
IL781
Page 14

Roborou8h Ren*ion Hall •nd Maylng Nelds
Charlty No. 270557
Trustees, Rewt and Unaudlted Accwnts
31 M¥¢h 2021

Roborough Re¢re*ion Hal and Pl•ying Field$
Contents
Pa8es
2to3
TrnSt￿, Annual Report
Independent Examiner's Report
Statement of Flnancial Artivltles
Balance Sheet
Notes to the Accourrts
7t012
Detalled Statemèni of Flnanclal Actlvltlès
131014
Page I

Rol)orou8h Recreatlon Hall and Pl￿1n￿ fields
Trustees Annual Report
The Trustees pre5enl their report wlth the unaudited finandal statsments of the charlty for the year ended
31 March 2021.
REFERENCE AND ADMINISTRATIVE DEfAIL5
Charlty No. 270557
PrIn¢l￿1 Office
30 The Villa8e
Bicklelgh
Plymouth
Devon
PL6 7AH
The followln8 Trnstees seryed during the year:
K. Allen
C. Beale
R. Davi$
T.M. Oomlnv
P. Har
B. Hitchens
S. Kenward
S. Lusk
C. Phllllps
J. Smillle
N. Tapp
F. Turner
D, Webster
(Reslgned 30 JU￿ 20201
IResl8ned 30Juty 20201
IRèsb8ned 30 ju￿ 20201
(Reslgned 30 Juty 20201
Key Mana8•rnent P•vsonnel
Chair
B. Hitthens
Treasurer
K. Allen
Committee member I Vke thalr
S. Lu5k
Precbe Accountants Ltd
Unlt 6, Brooklands
Budshead Road
PlymiyJth
Devon
PL6 5XR
Page 2

Roborough Recreatlon Hall and Playln8 Flelds
Trustees Annual Rewt
OBJECTIVES ANO AcnvmES
The obied of the Charity 15 the provi51on and rna1ntenan￿ of a village hall and playing f￿kIS for use of the
Inhabltants of the ParL8h of Blcklelgh who no dlstinction of political. religious or other opinion Indudlng use
for meetlngs, lectures, and classes and otherforms of recreatlon and lelsure tlme occupatlon wrth the object
of improving the condition of liFe forthe inhabitants.
The vlllage hall provldes facllltbes for regular weekly and monthly meetlngs ty a range of loral clubs and
organtsatlons and indlvldua15 provlding recreatlonal actIV￿leS.
ACHIEVEMENTS AND PERFORMANCE
The hall c105ed to booklngs on 16th March 2020 due to C(wld-19.
The playlng flelds contaln a crlcket pltch and a football pitch. These are used by a loc41 ¢rlcket club and a kxal
football club and were also closed on 16th Marth 2020.
The Trustees have referred to the 8uldance contalned In the Charlty Comm1551on$ general guldance on publ
benefft revlewlng our alms and obleclP4es and In app￿1￿8 our future J￿1¥111e5.
The smaller room has been rfrdecorated and Is now avallable to hlre a5 a MeetI￿cOnferenCe room.
ststement of trustees, responslbllllles In relatlon to the fimndal sthtem
The charlty truslees are responsible for preparln8 a trustees, annual report and financlal statements In
accordance wlth applkable law and Unlted Klngdom Accountln8 Standards Iunlted Kln8dom General
Accepted Accountlng Practlcel.
The Trustees are responsible for keeplng proper accounlin8 records that dlsclose with reasonable accuracy at
any Ilme the financlal posltion of the charrty and to enable them to ensure that the flnanclal statements
compty wlth the Charltles Art 2011, the appllcable Charltle5 (Accounts and Report51 Regulations, and the
provlslons of the TNst deed. The Trustees are also re5wn51ble tor 5afeguardlng the assets of the charlty and
hence takln8 re•son4ble slep$ for the prevenllon and detectlon of haud and txher Irregular1t￿.
Slgned on behalf of the chaiity's trustees
K. Allen
Trustee
15 Mar¢h 2022
Page 3

Roborough Recreatlon Hall and Play1￿ melds
Independent Examinews Report
Independent Examinees Report to the trustees of Robm*h ReC￿*tIOn Hall and Playlw Flelds
I report to the trustees on my examination of the accounts of RoboroLsgh Recreatlon Hall and Playing Flelds
for the year ended 31 March 2021 whlch comwise the Statement of Finandal Activities, the Balance Sheet
and the related notes.
Respcwlbllltle5 wd basls ot rep(*l
As the charitvs trustees you are responslble for the preparatlon of the accounts In accordance with the
requirements of the Charities Act 2011l%he Act'l- The trustees consider that an audlt Is not required for thls
year under the Charltles Act 2011. 5.144121 Ithe 2011 Artl and that an independent examlnatlon Is needed.
I report In respect of my examination of the charlivs accounts carrled out under 5ertlon 145 of the 2011 Act
and in tarryin8 Out my examlnatlon I have followed all the applicable Direclions gfven by the Charity
Commlsslon under sectlon 1451511bl of the Acl.
dependent examln*s slatemenl
I have completed fny examinatlon. I can corfim) that no materi•l matters have come to my attentlon In
connectlon wlth the examSnatlon glvlng me cause to belleve that in. any materlal re5pert'.
the accountin8 records were not kept In resped of the charlty as reqylred by secllon 130 of the Act: or
• the accounts do not accord with those records; or
the accounts did not Cornp￿ wrth the applicable requlrements concernln8 the forni and content of
accounts set out In the Charities (Accounts and Reports) Re8ulation$ 2￿8 other than any requlrement
that the accounts glve a Irue and fail vlew whkh 15 not a matter consldered as part of an independent
examlnatlon.
I have no concerns and have come across no other matters In connedlon wlth the examln*lon to whlch
ttenllon should be drawn In thls report In order io ena￿e a propef understandlng of the Kcounts to be
reached.
Lee james Hardacre
FCC4
Preclse Accountsnts Ltd
Unlt 6. 8rooklands
Bud5head Road
Plymouth
Devon
PL6 5XR
15 March 2022
Page4

Robarough Recreati¢)n Hall and Playln8 r￿dS
Statement of Finanu•l Artivitye5
for the year ended 31 March 2021
Unrertrlrted
funds Total fvnds Total funds
2021
2021
Income and endowments
Irom:
Othertradln8 act6vities
Investments
Other
1.240
1,240
7,427
24.674
24.674
6,174
Total
25.914
25.914
13,603
Expendlturn on:
Other
23,046
23.046
17,362
Tot41
23.046
23.046
17,362
Net galns on Investments
Net In¢émel{eMpendltyr•l
Transfers between funds
2,868
13.7591
Net Incom•/{•xpendltur•}
belore other i*lnslllossesl
2￿68
13,7591
Oiher ylns •nd14W•S
Net mowm•nt In funds
2.868
13,7591
R•widll•tk4Th of fvnds:
Total funds brought forward
11.781
IL781
15,540
Totsl fvnds urrled forward
14,fA9
14,649
11.781
Page 5

Rol)orou8h Recreation Ham and Pl•ylng fields
Balance Sheet
at 31 Marth 2021
tharlty No. 270557
2021
2020
Current 455ets
Cash at bank and in hand
15.fX)9
15,CX)9
13601
14,649
14.649
11.781
11.781
Credltors: Amount fallln8 due within one year
Net Cwrent assets
11,781
11,781
11,781
Totsl •5sets less ¢Ufr•nt Ilabllltles
N•t 4ssets ex¢ludlni penslon asset or Ilablllty
14.649
Total net assets
14,649
11,781
The fvnd$ ol the thlrlty
Re5trlrted funds
Unre5¢rlcted funds
General funds
14,649
11,781
14,649
11.781
ReseNes
Tot•1 lunds
14,649
11,781
Approved by the trustees on IS March 2022
And $18ned on their behalf by:
Allen
Trustee
IS March 2022
Page 6

RoborouAh Recreatlon Hall and play1￿ Flelds
Notes to the Ac¢ounts
fi)rthe year ended 31 Marth 2021
l Accounting polici
Basls of preparatlon
The financial statements have been prepared In accordance with Statement of Recommended Practlce:
Aceountin8 and Reportln8 by Charltles preparln8 thelr accounts in accordance wlth the Flnanclal
Reportlng Standard applloble In the UK and Republic rf Ireland IFRS 1021 bsued on 16 July 2014 and the
Flnanclal Report1￿ Standard appllcable In the United Klngdom and Republlc of Ireland IFRS 1021 and the
Charltles Art 2011.
Change In basls of accountlng or to Pr￿0￿ I￿gUnts
There has been no change to the accountin8 pollcbes Ivalualion rules and method of accountln8151nce
last year and no changes have been made to accounts for prevlous years.
Fund accountln8
Unrestricted fvnds These Jre avallable for use It the dtscretkni of the truslees In further•n¢e of the
general objects of the charty.
These are unrestrided funds ea￿arke<l by the trustees for particular purp05e5.
These are unrestrfded funLts whlch Include a revaluatknn reserrfe representing the
restatement of Investment assets at thelr market value5.
These are avallable for use subject to reslrlctlons Imposed by the donor orthrou8h
terms of an appeal.
Desi8nated funds
Revaluatlon funds
Restrlded funds
Infome
Reco8nitlon of
Income
Income Is Induded In the Statement of Flnanclal ACtI￿lIeS ISOFAI when the charlty
becomes entitled io, and virtually certaln to recelve, the Income and the amount of
the income can be measured wlth sufflclent rellablllty.
Income wlth rel￿ed Vlhere Income ha5 related expendlture the Income and related expenditure Ss
expendlture
reported 8ross In the SOFA.
Donatlons and
le8acles
Voluntary Income recelyed by way of 8ranis. donatlons and 8ffts1s Included In the
the SOFA when recelvable and onfy when the Charlty has uncondltk>nal
entltlement to the Income.
Tax reclalms on
Income from tax reclaims 15 included In the SOFA at the same tlrr* a5 the
donatlons and gffts giftldonatlon to whith it relates.
Donated seThlces
These are only Included in income {with an equlvalent amount in expenditure)
and fa¢llltlès
where thè ￿nefft to the Charlty is reasonab￿ quarrtlfiable, Measurab￿ and
material.
Volunteer help
The value of any volunleer help recelvedls not Induded In the accounts.
Investment Income Thls Is Included In the accounts when receivable.
Gains/llosses} on
This indudes any 8ain or10ss resultin8 from re4alu1￿ investments to market value
revaluatlon of flxed at the end of ihe year.
assets
Galnsll1055es} on
investment as5eis
This indudes any gain or loss on the sale of Investments.
Page7

Roborou8h Recreation Hall and Pla>in8 r￿d$
Notes to the Accounts
Expenditure
RecognTrllon of
expendrture
Expenditure is recognised on an accruals basis. Expenditure indudes any VAT which
cannot be fulty recovered. and is reported as part of the expenditure to which rt
ates.
Expendlture on
These comprise the costs associated wlth attrartlng voluntary Income. fundratslng
raising funds
tradlng costs and investment management costs.
Expenditure on
These comprbse the costs Incurred by the Charlty In the delivery of its activities and
charltable actrvities se￿ceS In the furtherance of Its objects. Indudlng the making of grants and
governance costs.
All grant expenditure is accounted for on an actual paid basi5 plu5 an accrual for
grants that have been approved ￿ the trustees at the end of the year but not yet
pald.
These include those costs assodaled wlth meetln8 the constIt￿lortal and statutory
requirements of the Charlty. Induding any audithndependenl examlnatlon fee5,
costs Ilnked to the strategic mana8ement of the Charity, tO8ether with a share of
other admlnlstratlon costs.
Olher expendtture These are support costs not alloc*ed to a partkular artlvlty.
Grants payable
Governance costs
T•x•tlon
The chorlty15 exempt from tax on Its charltabk aclNltles.
Freeh¢ld Investment propertv
Investment properties are measured ￿n￿ballY at COSt and Subsequent￿ at falr value at each balance sheet
date and are not depreclated. All gains or losses are tsken to the Statement of Finanelal Actlvltles as they
arlse.
Stocks
Stockls Included at the knwer of cost or net real&abk value. Oonated Items of stock are recognlsed ot falr
value which is the amount the tharlty would have been wllllng to pay for the items on the open market.
Trade •nd other debto
Trade and other debiors are reco8n15ed at the settlement amount due after ariy trade discount offered.
Prepayments are valued at the amount prepaid net of any Irade d15rnunts due.
Cash and c*sh equl¥alents
Cash ènd cash equhalents compr15e cash at bank and on hand, demand deposlts w￿h banks and other
short-term hlghly Ilquid investments with ori8lnal maturltles of three months or les5 and bank overdraft5.
In the statement of financial posrtion. bank overdraft5 are shown wfthln borrowings or current liabllltles.
In the Statement of Cash Flows. cash and Cash equivalerts are shown net of bank i)verdrafts that are
repayable on demand and form an integral part of the company's cash management.
Trade and other uethbrs
Short term credrtor5 are measured at the transartion prlce. Other creditors and provtslons are recoBnised
where the charity has a present obligation resulting from a past event that will probably resuli in the
transfer of funds to a third party and the amount due to settle the obli8ation ran be measured or
estlmaied rellably. Credftors and provisions are norn)alty reCogn￿d at their settlement amount after
allowln8 for any trade distounts due.
Page 8

Roborou8h Recreatlon H•ll arrfl Playlry Aelds
Notes to the Accounts
Research and d￿￿0pment
Expenditure on research and development is written off in the year in whith It Is Incurred.
Forel¥n currencles
Monetary assets and liabililbes denominated In currencles other than the functlonal currency of the
charity are translated at the rates of exchange prevalllng at the end of the reporting perM)d.
Transactions In currencles other than the fvnctional currenoi of ihe charity are recorded at the rate of
exchange on the date that the transacilon occurred.
All exchange differences are are taken into account In arrivln8 at net incomelexpendSture.
Lused assets
Where the charlty enters Into a lease whith entails taking sub5tantlalty all the rlsks and rewards of
ownership of an asset. the lease b treated as a flnance lease.
Leases which do not transfer substaniialty all the rtsk4 and rewards of ownershlp to charlty afe classlfkd
s operating leases.
Assets held under finance leases are Inltlally recogni5ed as a55ets of the d￿rIty at thelr fair value at the
Inceptlon of the lease ¢x. If lower. * the present value of the minimum lease payments. The
correspondln8 Ibabllity to the lessor Is Included In the balance sheet date as a finance lease obligatlon.
Lease payments are apportloned between finance e)tpenses and reductlon of ihe lease obllgatlon $0 as to
achleve a constant rate of Interest on the remalnlng balance of the Ilablllty. Flnance expen5e5 ère
recognised immediatety, unless they are dlrectly attrlbLrtable to qualfying assets, In whlch case they are
pbtsllsed In accordance wlth the tharlty's polky on borrowtn8 costs.
Assets hekl under finance leases I￿ depreclated In the same way as owned assets.
Operatln8 lease payments are reco8nlsed as an expense on a stral8ht-Ilne basls over the lease terni.
In the event that lease Incentp￿S are recew to enter Into opernling leases, such Incèntlves are
recognised as a liabl1￿. The aggregate benefft of Incentl¥e5 ts reco8nlsed 45 a redudion of rental
experne on a stralBht-Ilrva basls.
P•n51on ¢osts
The charity operate5 a deflned tontrlbution plan for Its employees. A defined contrlbutlon plan Is
penslon plan under whkh the charity pays fixed contributlons Into a separate entity. once the
contributions have been paid the charlty has no further payments obligations. The contrlbutlons are
reco8nised as expenses when they fall due. Amounts not pald are shown In accruals in the balan￿ sheet.
The assets of the pkn are held separatelyfrom the chartty In Independently administered funds.
Rec•lpt af donated laods, facllltl•s and s￿￿$
All donated good5, facilitles and services recelved are rec(Vdnlsed wlthln Incomlng ￿OUrteS and
expenditure at an estlmate of the value to the charity.
Page 9

Roborou8h Recreatlon Hal and Playlng Fleld5
Notes to ihe A(C￿rrts
2 Statement of Finanall Artl¥ltles- wlwyear
funds Totsl fvnds
2020
2020
Income and endowments Irom:
Other tradlng artfvltle5
Investments
Other
7,427
7A27
6.174
6,174
Totsl
13.603
13,603
Expendlture on:
Other
17,362
17,362
Total
17,362
17,362
Net Income
13,7591
13,7591
Net Income befor• other
84lns/lloss•sl
Other Balns and losses:
Nei mo¥ement in lunds
13,7591
13.7591
13.7591
13,7591
Reconclllatlon of fvnd$:
Total funds brought forward
Totsl funds urrled forward
15,540
15,540
11,781
11,781
3 In¢ome from other trad1￿ •dlvltles
Unrestrkt¢d
Tot•1
Totsl
2020
2021
Recreation hall and f*ld hl
1,240
1.240
1,240
1,240
7.427
7,427
4 Income from In¥eJtments
Total
20ZI
Total
2020
Bank Interest receNed
Page 10

Rob0r0￿ Recreaiknn Hall and Pl•yin8 F￿ld5
Notes to the Accounts
5 Other #Kome
Unrestricted
Totsl
Total
2021
2020
Insurance refund
24,51MI
24.51x1
2,142
4,032
Grants recefved
Mlsc Income
174
174
24,674
24,674
6,174
6 Other expendlturn
VnrestrKted
Totsl
2021
Tt>tsl
2020
Premlses costs
19,663
3,023
360
19,663
3,023
360
8,575
8,427
360
Genernl adrnln15trative costs
Legal and professlonal costs
23.046
23.046
17,362
7 Staff corts
No em￿0vee received ernoluments in excess of £60,LKMJ.
8 CredStor5:
amounts falllng due wtthln one year
2021
2020
Accruals and deferred Income
360
9 m9￿M•Tht In funds
In¢omln
r•sour¢•s
At31
Marth
Ilndudln8
other
At I Wll Aalns/losses
2020
expend•d
2021
Rthrfrt¢d funds:
Unreslllcted funds:
G¢neral fvnds
IL781
25,914
123.0461
14,649
Revaluatlan Reserves:
Totsl funds
IL781
25,914
123.0461
14,649
Page 11

Roborou8h Recreati¢)n Hall and Playlng r
Notes to the Accounts
10 Analysls of net •55ets bet*en l￿d$
Unrestrirted
funds
Totsl
Net current assets
14.649
14,649
14,649
14,649
11 Reconciliatlon ol net debt
At31
Marth
2021
AtiWI
2020 C•sh flows
Cash and cash equNalents
11,781
IL781
3,228
3.228
15,1
15,IM)9
Net debt
11.781
3,228
Is,￿9
Page 12

Roborough Recreatlon Hall and Playlry Flelds
Detalled statement of Flnanclal Pxtl¥ltles
forthe year ended 31 Marth 2021
Unrestrkted
funds Totsl fvnds Total funds
2021
2021
2020
In¢om* •nd endowments from:
Other tradlng activlties
Recreation hall and fiekl hire
1.240
1,240
1,240
1,240
7,427
7,427
Investments
Bonk inierest recebled
Other
Insurance refund
Grants recefved
Mlsc Income
24.5(K)
24,5CK)
2.142
4,032
174
24,674
174
24,674
6,174
Totsl Income •nd endo%tsin¢nts
25,914
25,914
13.603
Expendlture an:
Premises costs
Rates
Ll8ht, heat and power
Premlses repalrs and
maintenance
734
1399
734
1,399
170
1.142
17,530
17,530
7.263
19.663
19,663
8.575
General admlnlstratlve costs.
Includln8 depreclatlon and
amortbatlon
General insurances
Sundry expenses
Telephone. fax and broadband
2.581
io
2.581
io
2,174
5,956
297
8,427
432
3.023
432
3.023
Legal and professlonal costs
Auditllndependent examination
360
360
360
3fAI
360
360
Tot¥1 of expendlture otgther wrts
Total expendlture
Net galns on Investments
23,(146
23,046
23,046
17,362
17,362
23.046
Net Incomel{eNpendlturel
2.868
2,868
{3,7591
Net Inrnmellexpendltyrel belore
othergaln51(1055e5)
2.868
2,868
13,7591
Paze 13

Rt)borou8h Recreation Hall and Playing Flelds
Detsiled Ststefflent of FITranth￿ Actiinties
Other Galns
Net movemthrt In funds
2,868
2068
13,7591
Reconcifiation of fvnds:
Total funds brought fop*ard
11,781
11,781
15.540
Total fvnds carrfed forwa
14.649
14,649
IL781
Page 14