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2023-02-28-accounts

COSSINGTON VILLAGE HALL

CHARITY NO: 273050

FINANCIAL STATEMENTS

FOR THE YEAR ENDED 28TH FEBRUARY 2023

INCOME AND EXPENDITURE BASIS

with

INDEPENDENT EXAMINER'S REPORT

COSSINGTON VILLAGE HALL

FOR THE YEAR ENDED 28TH FEBRUARY 2023

CONTENTS

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COSSINGTON VILLAGE HALL

TRUSTEES' ANNUAL REPORT FOR THE YEAR ENDED 28TH FEBRUARY 2023

The Managing Trustees' present their Report for the year ended 28th February 2023 which should be read in conjunction with the attached Financial Statement for the year.

LEGAL STATUS

Cossington Village Hall was erected in 1921 by local parishioners in memory of those who died during the Great War of 1914-18 and was administered by the Management Trustees in conformity with the Trust Deed dated 18 September 1962 for the use of the inhabitants of the Parish of Cossington and the neighbourhood. The site of the hall was exchanged for a new hall on land just behind, which was completed in October 2011. Following this, the original Trust Deed was revised on 7th January 2013 to which it now conforms.

The Original Custodian Trustees:

John Arthur Church Patron of the Living of Cossington (Deceased) The Rev. T Vodden Rector of the Parish Church (Deceased) Samuel Stradling Churchwarden (Deceased) Ivor Bell Parish Councillor (deceased)

Cossington Village Hall was vested in the Official Custodian for Charities for all the Estate and Interest to be held in Trust for the Charity and sealed By Order of the Commissioners dated 5 June 1979. The new hall was similarly vested in the Official Custodian on 24 August 2012.

THE MANAGEMENT TRUSTEES

The Management Committee consists of seven members elected at the Annual General Meeting and six appointed members, one from each of the six organisations as stated upon the Trust Deed, and may include not more than 3 coopted members.

Elected and Representative Members are the Charity Trustees and are responsible for the control and management of the administration of the Charity under the Charity's governing document.

RESPONSIBILITY FOR THE FINANCIAL STATEMENT

The Trustees are responsible for the preparation of the financial statements and for keeping proper accounting records which disclose the financial position of the charity. The Trustees have elected to prepare the financial statements on the income and expenditure basis.

REVIEW OF THE YEAR

2022 – 2023 was to all intents and purposes a “normal” year but who is to say what is “normal” these days ? It is difficult to compare this year with pre-lockdown years as circumstances are not quite as they were.

Suffice to say, this year we have generated a small excess of income over expenditure, despite the fact that some of the Hall’s fixtures and fittings, all installed at the same time when the Hall was built, seem to be needing repair at the same time. The heating system still has problems.

Hire fees are up on last year’s £11,274 to £14,567 and hire fees are being monitored to make sure they are competitive. The bar makes a good profit (£2,884) even though we try and keep the charges down. The solar panels have brought in £2,583, a small increase on last year. We no longer have to rely on various Covid-related grants.

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COSSINGTON VILLAGE HALL

TRUSTEES' ANNUAL REPORT FOR THE YEAR ENDED 28TH FEBRUARY 2023 CONTINUED

As can be expected, payments are also increased but this is an overall increase, no one factor is responsible. The accounts show small increases on most items. The large increase in advertising was down to the cost of having a new website created. Expenditure on events is costs incurred celebrating the Jubilee.

Our bank balances remain healthy and will hopefully enable us to cope with whatever this year brings.

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COSSINGTON VILLAGE HALL

MANAGING COMMITTEE MEMBERS AS AT 28TH FEBRUARY 2023

Chair 'Vacant' Elected Vice Chair 'Vacant' Elected Secretary C N Watson Elected Treasurer K Brown Elected D Bloodworth Elected K Cooper Elected T Lind Elected P Moore Elected Representative Members D Greatorex Cossington Bridge Club M F Dare Cossington Parish Council J Gane Cossington Parochial Church Council Mrs R M Pope Vintage Motorcycle Club Mrs K L Smith Cossington Badminton Club

The Independent Examiner for the Trustees is

Sage & Thyme Kingsfield Smallways Lane Chilton Polden Somerset TA7 9EG

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COSSINGTON VILLAGE HALL

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF COSSINGTON VILLAGE HALL FOR THE YEAR ENDED 28TH FEBRUARY 2023

I report to the trusteed on my examination of the accounts of above charity ("the Trust") for the year ended 28th February 2023.

Responsibilities and basis of report

As the charity's trustees, 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 our examination of the Trustee'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 Statements

I have completed my examination and confirm that no material matters have come to my attention in connection with the examination which gives me cause to believe that in, any materials respect:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in the report in order to enable a proper understanding of the accounts to be reached.

Sage & Thyme Kingsfield Smallways Lane Chilton Polden TA7 9EG

Jennifer Trethewey MAAT For and on behalf of Sage & Thyme

Dated: 20th June 2023

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COSSINGTON VILLAGE HALL

BALANCE SHEET AS AT 28TH FEBRUARY 2023

2023 2022
£ £ £ £
FIXED ASSETS
Hall Redevelopment Costs Note 1
(including Furniture and equipment) 151,870 151,870
__ __
151,870 151,870
CURRENT ASSETS
Bank and Cash Balances:
General Fund 42,309 41,782
Bar Stock 1,774 1,175
______ ______
44,083 42,957
__ __
195,953
£
__
194,827
£
__
__ __
Represented By:
FUNDS
Unrestricted 44,083 42,957
Restricted and/or Designated 151,870 151,870
__ __
195,953
£
__
__
194,827
£
_
_

These financial statements were approved on ________ by all the trustees and are signed on their behalf by:

Chair 'Vacant' Treasurer K Brown

Note 1

A 'reinstatment valuation' of the hall and premises was carried out in January 2022 by surveyors acting for Allied Westminster Insurance. The valuation given was £1,416,667.

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COSSINGTON VILLAGE HALL

SUMMARY OF THE FINANCIAL STATEMENTS As at 28th February 2023

2023 2022
£ £ £ £
GENERAL FUND
Receipts 20,549 35,508
Payments (19,423)
______
(17,938)
______
1,126 17,570
______ ______
ADD: Balances as at 1st March 2022
HSBC Current 2,114 1,307
HSBC Money Manager 39,668 23,165
Bar Float - 150
______ ______
41,782 24,622
______ ______
42,908 42,192
_
OTHER:
Balances as at 1st March 2022
Bar Stocks 1,175 765
______ ______
1,175 765
__ _
TOTAL FUNDS 44,083
£
__
42,957
£
_
__ _
REPRESENTED BY:
Bank Balance as at 28th February 2023
GENERAL FUND:
HSBC 2,578 2,114
HSBC Money Manager 39,731
_____
39,668
______
42,309 41,782
OTHER:
Bar Stocks 1,774 1,175
______ ______
1,774 1,175
__ ______
44,083
£
__
__
42,957
£
_
_

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COSSINGTON VILLAGE HALL

INCOME AND EXPENDITURE FOR THE YEAR ENDED 28TH FEBRUARY 2023

GENERAL FUND 2023 2022
£ £
RECEIPTS
Hall Hire 14,567 11,274
Feed in Tariff 2,583 2,356
Bar Profit Note 1 2,884 981
Sale of Excess Furniture 80
Grants 360 20,894
Donations 12 -
Bank Interest 63 3
______ ______
20,549 35,508
______ ______
PAYMENTS
Electricity 3,113 3,538
Gas 54 57
Insurance 1,920 1,736
Water Rates 509 320
Telephone and Broadband 620 572
Cleaner's Salary 2,093 1,508
Cleaning Materials 394 217
Hall Maintenance 2,069 1,893
Electrical Maintenance 4,612 4,681
Garden Maintenance 1,465 1,329
Bank Charges 92 11
Expenditure on Events 160 -
Piano Tuner 155 170
Consumables 54 391
Professional Fees - 300
Somerset Community Council 100 100
Performing Rights Society 151 66
Printing, Postage and Stationery 63 68
Advertisements 789 75
Sundry 940 836
Independent Examiners Fee 70 70
______ ______
19,423 17,938
______ ______
SURPLUS FOR THE YEAR 1,126
______
17,570
______
______ ______
Note 1:
Bar Income 7,866 2,869
Less: Cost of Goods Sold
Opening Stock 1,175 765
Purchases 4,833 2,007
Less Closing Stock (1,774) (1,175)
______ ______
GPM 46% (4,234) 44% (1,597)
Less Labour Costs (612) (291)
Square Fees (136)
______ ____
Profit / (Loss) 2,884
__
____
981
_
_

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