SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND ACCOUNTS
FOR THE
YEAR ENDED 31 DECEMBER 2025
THE SPELDHURST VILLAGE HALL FOUNDATION
IS A CHARITY REGISTERED WITH THE
CHARITY COMMISSION (ENGLAND & WALES)
REGISTERED CHARITY NUMBER 287945

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
CONfENTS
Page
Trustees. Report
Risk Assessment
ststement of Trustees, Responsibilities
Independ¢nt EXamIn￿'S Rewrt
Statement of Financial Activities
io
Balance Sheet
Cash Flow
12
Notes to the Accounts
13
Name and address of the charity:
Speldhurst Village Hall Foundation
St Mary's Lane
S￿IdhUrst
Kent
TN3 OPR
Registered Charity Number.
287945
Bankers:
Santander plc
Bridle Road
Booile
Merseyside
L30 4GB
Honorary Independent Examiner:
Mr S Pocock FCCA
BSR Bespoke
Chartered Accountants
Registered Auditors
Lindcn IIou5C
Linden Close
Tunbridg¢ Wells
Kent
TN4 8HH

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
TRUSTEES, REPORT FOR THE YEAR ENDED 31 DECEMBER 2025
OBJECTIVES OF THE CHARrrY
The charity was established as an unincorwrdted trust by a declaration of tr￿St datrd 30 April 1966,
under which land w&s transferred to the chaTity out of the village allotmenl land for the purEK)ses of
building a village hall. using money raised by public fimdraising. Und¢r the TnLgt Deed the Hall is
to b¢ used by the inhabitants of Sp¢ldhuN and the neighbourhood without distinction of sex, sexual
orientation. age, disability, nationality. race or political. religious or other opinions. including use of
the hall for meetings, I￿tUreS and classes or other forn￿ of Tecrealion and leisure time occupation in
the interests of ￿)CIal welfare and with the objective of improving the conditio￿8 of life for those
inhabilants.
TRUSTEES AND GOVERNANCE
The trust deed sets out that the management committee shall consist of 5 elected members, 14
appointed members and up to 4 co-opted members. The apFK)inted memlxrs are appointed by the
relevant Speldhurst Villag¢ bodi¢s set out below. All management committee members are Trustees
and hold office for one year and may be rfrelected al AGM.
The Trustees held oifice from l January 2025 to the date of this rep)tL unless otherwise ststed
below, were:
Re-Elect¢d Members
Mr D Turner
Mr P Tew (Treasurer)
Mrs K Bowles
, Appoint¢d Membe
Mrs N Rees (St Mary's Church)
Cllr R Ellery (Speldhurst Parish Council)
Mrs P Carter (Library)
Mr A Ford (Flower Show)- until 24 April 2025
Mr M Oddy (Allotments)
Mr N Burgess (Scouts)
Mrs S Oddy (Guides)
Mr T Shoebridge (War Games Society)
Mr D Giannini (Men's Club) - until 7
January 2026
Mr E Wesson (Recreation Ground)
Mr M Hatrowing (Fete and St Mary's Lane
Residenls)
Emma Annour (Footsteps Dan￿ Academy)
until 24 April 2025
Mr D Turner acted as the Chairman of Trustees from l January 2025 to the date of this report.
A management group runs the Village Hall on a day to day basis. The members of this group are the
Chaimian for the time being- Mr D Turner together with Mr P Tew, Mrs S Oddy, Mrs K Bowles
and Mr M Harrowing.
The trust has no fornMI policies and procedures for the induction and training of Trustees.

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
The trustees present their Report and Accounts for the year ended
31 December 2025
The accounts have been prepared in accordance with the accounting policies set out in note I to
the accounts and comply with the Charities Act 2011 and"Aw)unting and Reporting by
Charities: Statement of Recommended Practice applicabl¢ lo charities preparing their accounts
in accordance with the Financial RetM)rting Standard applicable in the UK and Republic of
Ireland (FRS 102) (effective l January 2015).
PUBLIC BENEFIT STATEMENT
In setting our objectives and planning our activities. the Trustees have given carefi
consideration to the Charity Commission's gen￿1 guidance on public benefit and, in
particular, its supplementary b¢n¢fit guidancc on fee charging. The Foundation fulfils its public
b¢n¢fit duty by Providing the facilities set out in the paragraph below headed Y)bjcctives and
Activities" When setting the hire charges for the Hall, the charges have been sel so thai users
off¢ring public benefit lo those living in the area pay a reduced tariff compared to commercial
and privat¢ users. The overall objective of income from hire charges is to enable the Trustees
to meet the annual nmning costs of the Flall. ExFtnditure that does not forni part of thc r¢gular
maintenance of the building has in the past ken covered by donations from village fundraising
events. The Trustees consider that their hire charge policy meets the need of future users of the
Hall as well as current users.
ORJECTIVES & AcrtvrriES
The continuing aims of the Trustees is for local residents and voluntsry groups in the area to be
able to enjoy the facilities of the Village Hall for their mtttings and activities.
ACHIEVEMENTS AND PERFORMANCE
The Hall has been used during the year by groups repres¢nted by the Trustees and by village
residents and others for private functions.
The New Nursery commenced activity in the Hall after Easter in 2026 and this has led to an
incre&8e in income in 2026. Previously we had noi tsken on new hirers for booking times
nornially used by the Nursery as we could not commit to the times continuing to be available
once a new Nursery had be£n secured.
No major works were undertaken during the year as the management committee have been
cautious whilst the Hall's income levels stabilised although the Hall's flooring was
reconditioned and fencing that had rotted away was replaced.
Finally, the Tr￿SteeS would like to thank the management group and the administrator for all
their hard work during a challenging year.
FINANCIAL REPORT
Running of the Hall
The Hall Foundation's income comes principally from hail hire income, donations and 8rants.
Total hall hire income for 2025 w&s £30,304 (2024- £25,670) an Incre￿ of18. 10/0. Regular

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
user income for 2025 was £27,320 (2024 - £22,888)- an increase of19.40/0 essentially caused
by the resumption of Nursery income. One off user income for 2025 was £2,984 (2024 -
£2,782) - an increase of 7.3 % compared to last y¢ar. Event income for 2025 was £0 (2024 -
£376)- down on the previous year. The ChTiStmas market was run separately from the Hall but
in the Hall. We received instead a donation of £132.
Running costs for the Hall. excluding depreciatio￿ totslled £33.037 (2024 - £24,367) an
increase of £8.670 or 35.60/0 compared to l&sl year. The running costs are incurred in the
necessary op¢ration and maintenance of the Hall and in the administrative support associated
with dealing with hirers and suppliers. In 2025 we refurbished the flooring ai a wst of £1.555
and replaced rotten fencing at a cost of £1.127. Cleaning costs have risen significantly as we
are undertaking significantly mor¢ cleaning again following th¢ O￿nIng of the ncw Nursery.
Electrical work in the year was also more significanL
We also had an invoice of sorne £1,500 for water ￿ which derived from excessive use over
the summer.
In 2024 costs were kept under close ￿ntrol with limited one off expenditure although the Hall
was repainted at a ¢ost of £2,182.
Depreciation on the Hall and related ￿SetS was £1 0.511 (2024 - £10,541) broadly quivalent to
last ye8r.
Grants and donations
Grants and donations received during the year wer¢ £1.647 (2024 - £8.920). There was no Fete
donation. The 2024 Fete w&s washed out by heavy rain. We received a donation of £650 from
the Speldhurst Flower Show. We also received a donation of £800 from the company which is
operating the nursery in the Hall. In 2024 we received an anonymous donation of £5,000.
Surplusl(defi¢it)
Th¢ net deficit for the year w&8 £11,398 (2024- surplus of £256) and arises after depreciation
charged on the Village Hall and related assets. Excluding depreciation the deficit was £887
(2024- a surplus of £J 0,797).
Net ￿Sets
The Hall and related fixed assets net book value was £292,446 (2024 - £302,957) with the
reduction of £10.51 I being the depreciation ¢harg¢d in the year.
Cash funds were £77,195 (2024 - £73,155) an incre&se of £4,040 or 5.50/0 principally reflecting
the deficit for the year excluding depreciation as adjusted by some other movements in
working capital. Within cash funds is an investment bank detx)sit account of £33,914 (2024 -
£33,715) which is held on a l 00 day notice account. The financial health of the Ha]1
Foundation r¢mains very solid.

SPELDFtURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
DesigD¥dt¢d Capital Development Fund
This Fund was set up in 2005 to provide for non-regular items of expenditure necessary to
ensure that the Village Hall and contents are maintained to a cl&8s standard. The balanc
of the Designated Capilal Developm¢nt Fund at 31 December 2025 was £17,628 (2024 -
£17,628).

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
RESERVES, POLICY
It w&s agreed by the Trustees in January 2006 to maintsin a general reserve fund at a level
representing six months. ru[￿ing costs. The General Fund at 31 December 2025 amounted to
£55,190 which is in excess of six months running costs based on 2025 expenditurc. Howcv¢r
the Truste¢s continue to consider it p￿￿ent to nuintain the General Fund at current levels
because of the continuing uncertain economic climat¢ and the impact it might have on hire fees
and running costs.
FUTURE PLANS
There are no significant refurbisljment plans at the present time.
RELATED PARTY TRANSACTIONS
There were no related party transactions which took place with Trustees other than one trustee
who was reimbursed expenses that had been incurr¢d on behalf of the Foundation.
RISK ASSESSMENT
The Management Committee continues to monitor risks regularly and rw¢ives updates of any
major changes via the Health and Safety Executive. All regular user groups are instructed to
carry out th¢ir risk assessments.
There are financial procedures in place for handling cash and for authorising. approving and
paying for items of expenditure.
An insurance policy is in place.
Approved by the Tn￿ee$ on 20 April 2026 and signed on their behalf by:
Mr D Turner
(Chainnan)

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
TRUSTEES? RESPONSIBILITIES
The Truste¢s are responsible for preparing the Report and Financial Statements in
accordance with applicable law and United Kingdom Accounting Stsndards. Charity law
requires the Trustees to prepare financial stat¢m¢nts for each financial year which give a true
and fair view of the state of affairs of The Foundation and of its incoming resources and
application of resources, including income and expenditur4 for that period. In doing so the
Trustees are required to:
select suitable accounting policies and then apply them consistently?
obs¢rv¢ th¢ methods and principles of th¢ Chariti¢s' SORP:
make judgements and estimates that are reasonable and prudent:
state whether applicable accounting standards and statements of recommended
pra¢tice have been followed. subject to any departures disclosed and explained in the
financial statements; and
prepare the financial statements on the going conc¢rn basis unless it is tnappropriate
to presume that The Foundation will continue in owation.
The Tn￿te¢S are reswnsible for keeping accounting records which disclose with reasonable
awuracy at any lime the financial p)sition of The Foundation and which enable them to
ascertain the financial position of The Foundation. They are also responsible for safeguarding
the assets of The Foundation and hence for taking reasonable for the prevention and
detection of fraud and other irregularities.
Insofar as the Trustees are aware, there is no relevant inf0m￿tIOn of which The Foundation's
independent examiner is unaware, and the TNstees have taken all steps that they ought to have
taken to make thems¢lves aware of any relevant infOrn￿lI0ft and to ¢stsblish that the
independent examiner is aware of that infomiation.
The Trustees rynsible for the maintenance and integrity of the coryx)rnte and fllwncial
infornwion included on the charity's website.

SPELDHURST VILLAGE HALL FOUNDATtON
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
INDEPENDENT EXAMINER'S REPORT TO THE TRusfEES OF THE
SPELDHURST VILLAGE HALL FOUNDATION
I report to the trustees on my examination of th¢ accounts of the aFM)v¢ charity ('the Hall
Foundation") with charity number 287945 for the y¢ar ended 31 December 2025 s¢t out on
pages Ioto 18.
Responsibilitfies and basis of report
As the charity's t￿￿t¢es. you are responsible for the Preparntion of the accounts in accordance
with the requirements of the Charities Act 2011 (*he ActJ.
I report in resm of my examination of the Tn￿'S accounts Carried out under section 145 of
the 2011 Act and in carrying out my ¢xaminatIo￿ I have followed all the applicable Directions
given by the Charity Commission under section 145(5Xb) of the Act.
Independent examiner's stst¢rneDt
I have completed my examination. I confirm that no material matters have come to my
attention in connection with the examination which gives me cause to believe that in. any
material respect:
the accounting records were not kept in accordance with section 130 of the Charities
Act: or
the acwunts did not accord with the accounting records. or
the accounts did not comply with the applicable requirements concerning the forni and
content of accounts set out in the Charities (Accounts and Reports) Regulations 2008
other than any requirement that the accounts give a 'true and fair, view which is not a
matter considered as part of an independ¢nt ¢xamination.
I have no concerns and have come across no other matters in connection with the
' examination lo which attention should be drawn in this rep)rt in oNter to enable a proper
understanding of the accounts to be reache
Mr S Pocock FCCA
BSR Bespoke
Chartered Accountants
Registered Auditors
Linden House
Linden Close
Tunbridge Wells
Kent
TN4 8HH
20 April 2026

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
STATEMENT OF FINANCIAL AcrtvrriES
2025
2024
URF URDF
T•tsl
URF URDF
RF
Tota]
INCOME FROM
Grants and donations
Charitable activities
Hall hire income
Event and other income
Investtnents- bank interest
IA47
Ih47
8.920
8.920
30J
3QJQ4
25,670
376
198
25.670
376
198
199
Tot41 income
32.150
32.150
33,164
3J.164
EXPENDITURE ON
CharitAble activities
Village H￿] costs
Managemenl and
administration
{JO329
IIOJI I) (40.740)
(21.994}
0 {10.541) (32.J35)
73
Total expended
(33W7)
Iioji l) 143J48)
(24J671
o (10.3411 134.908
N¢t income l (expenditure)
Iioji i) (I iJx)
10.797
0 (10.5411
256
Transfers between funds
(S.J(￿l 5,5
Net MoV¢Th￿t ln funds
Q Il•Jlll IllJg8)
5.297
5,5CiI 110.5411
256
Fund$ at l January 2025
5&1F77 17*28 3OL957 37W2
50.780 12.128 313.498 376,406
Fund$ #t 31 De¢*mber 2025
55.19)
17&28 292J46 365J61
56.077 17.628 302.957
376.662
URF
URDF
RF
means Unrestricted Funds
means Unrestricted Destgnated Funds
means Restricted Funds
The notes on pages 13 to 18 forni part of theye accounts.
io

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
BALANCE SHEET
2025
2025
2024
2024
Notes
FIXED ASSETS
Village Hall
Furniture and equipment
292,036
410
302,444
513
292A46
302.957
CURREKf ASSETS
Debtors and prepayments
Investments (deposit accounts)
C&sh at bank
4J27
33,914
43281
3,161
33,715
39,440
CURREiYf LIABILITIES
Creditors and accruals
(8,704)
(2.611)
NET CURRE￿ ASSETS
n818
73,705
TOTAL NET ASSETS
£ 365264
£ 376,662
FUNDS
Unrejtrlcted Funds
General Fund
Unrestricted Designated Funds
55,190
17,628
56,077
17.628
72018
73,705
Restricted Funds
Hall Fund
Contents Asset Fund
Sound System Fund
292,446
302,957
292.446
302,957
£ 365364
£ 376,662
Approved by the Tnjstees on 20 April 2026 and signed on their behalf by:
Mr D Turne
(Chairnian)
The notes on pages 13 to 18 forn] part of these accounts.
li

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
CASH FLOW STATEMENr
Total
Funds
Total Funds
2025
2024
Cash flows from operating aeéivitieJ:
¢￿h provlded by/(used In) O￿Ta￿8 adivilies
Cash flows from Investing actfvltiej:
Addlilon toJl¥ed 1nvafln￿nts
Cash flows from operatlng and Investhig artivitieg
3J41
8,276
Cvdsh and eAsh equlvalents at l JAnu4ry 2025
39,440
31,164
Cajb aDd cash equivglents gt 31 D¢¢ember 2025
81
Cash tn hand
Bank current accounts
Bank depo8lt accounts (no notice)
43381
39,440
oldl cash dnd cash eq4iwTlents
43
81
Note: The investment dep)sit account represents cash at
bank on a l 00 day notice account which consequently is
not treated as cash and cash equivalents
Reeonelliation of net income l (expendlture) to net
¢a$h flow from operatlDg activities
Net income (expenditure) for the year ￿ pv the
Statement of Financial Activities
Depreciation of fixed assets
Interest from investrnents
Decrease l (increase) in debtors
Incre&8e / (decre&8e) in creditors
(l iJ98)
lo￿11
(199)
(1,166)
256
10,541
(198)
(1.269)
Net eajb provlded by l (used In) operatlng *clivitie8
The notes on pages 13 to 18 forn] pHrt of these accounts.
12

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
NOTES TO THE FINANCIAL STATEMEiYrs
AccouNfiNG POLICIES
Accounting Convention
The accounts have been prepared under the historical cost convention and in accordance with
applicable accounting standards. the Charities Act 2011 and with Statement of Recommended
Practice Accounting & R¢porting by Charities IFRSI 02).
Incoming Resources
Donations and fundraising income are credited to the Statement of Financial Activities when
received. Hiring income, grants, pledged income and inter¢st receivabl¢ are credited on an
accruals basis with hiring income representing income for ev¢nts which take place in the
financial year. Coronavirus Business Support Grants from Tunbridge Wells Borough Council
are Credited in the lockdown period to which they relate.
Resources Expended
Expenditure is debited to the Statement of Financial Activities on an aCen￿lS basis so costs
reflect the usage of services undertaken in the financial year.
Depreciation
Depreciation is provided on a straight line basis to WTite off the cosL less estimated residual
values of fixed a&8ets, over their expected lives using the following rates..
Village Hall
Furniture and Equipment
20/0 per aiinum
I￿/0 per annum
13

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
GRANfs AND DONATIONS
Unmtricted Rcstricted
Funds
Funds
Total
2025
Totsl
2024
Speldhurst Fete
Speldhurst Flower Show
Pre School
Anonymous donation
Other
3,250
650
650
650
800
5,000
20
197
197
1th47
1,647
8,920
There w&9 no Fete donation. The 2024 Fete w&8 washed out by heavy rain.
We received a donation of £650 from the Speldhurst Flower Show. We also received
donation of £800 from the company vthich is operating the nursery in the Hall.
14

SPELDHURST VtLLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
DIRECT CHAIUTABLE EXPENDTfuRE
Unrestrieted
Funds
Restricted
Funds
Tolal
2025
Total
2024
Villfdge Htdll costs
Telephone and broadband
Repairs and renewals
CaretakeT services
Cleaning and refuse collection
Light, heat and water
Insurance and perforniancc licence
General expenses
Fire and safety equipment
Postage, stationary and office suppli¢s
Website and systems costs
Event costs
DepT¢ciation
567
5505
3J72
9J06
6.976
2,198
1265
567
5.505
3J72
9J06
6,976
2,198
1365
526
3.685
2.664
5,454
6,175
1,432
1,307
637
351
351
55
59
10,541
ioJii
IOAII
Total
30329
IOAII
40,740 32,535
Management and administration
2W8
2,808
2.373
Total expenditure
33,037
ioJii
43548 34,908
15

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
TANGIBLE FIXED ASSETS
Village
Furniture &
Equipment
Total
COST
Cost at l January 2025
Additions
520.421
48.213
568.634
Cost at 31 D￿ernber 2025
520,421
48213
568,634
DEPRECIATION
Balancc at l January 2025
Charge for the year
217,977
10.408
47,700
103
265.677
10,511
Balance at 31 December 2025
228J85
47,803
276,188
NET BOOK VALUE AT 31 DEC 2025 292.036
410
292,446
NET BOOK VALUE AT 31 DEC 2024
302,444
513
302.957
DEBTORS AND PREPAYMENTS
2025
2024
Prepayments
Debtors and accrued incom¢
lJ21
1,891
,270
Total
4J27
3,161
All debtors and prepayments are recoverable or relate to, the next year.
CREDITORS AND ACCRUALS
2025
2024
Accrned Charges
D¢ferred incom¢
HI￿ ind¢mnity dep)sits repayable
7J62
292
850
952
959
700
Toial
&704
2.611
16

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
7 FLfNDS
ljan
2025
31 Dec
2025
Income ExNiditure Transfers
Unrestricted Funds
General Fund
Designated Capitsl
Development Fund
56,077
32,150
(33.037)
55,190
17,628
{0)
17,628
73.705
32,150
(33.037)
72,818
Restricted Funds
Hall Asset Fund
Contents Asset Fund
Sound System Fund
302,957
(10,511)
(o)
(o)
292,446
302,957
(10,511)
292,446
376,662
32,150
(43.548)
365264
Unrestrfeted Fundi
These represent funds that can be used for the general purposes of the charity:
General Furnl- covcrs the general running costs of the Hail.
Designaied Capital Ikvelopment Fund- this fund has t*en created from certain donations to
provide for non-regular ikms of expenditure necessary to ensure that the Hall and ¢ontents ar¢
maintained to a first class ￿andard.
Regtrieted Funds
These represent fill￿S that have to be used as specified by the donors.
Hall Assei Fund- this represents the net b(KJk value of the Hall and other fixed assets.
Contenls Asset Fund- this represents the net book value of Hall contents over the value of £200.
Sowid System Fund- this represents an amount equivalent to a grant received from Speldhurst
Parish Council towards the Cost of the sound system and h&s been written off over 10 years in line
with the depreciation Charged on the sound system.
Restricted funds are reduced by th¢ d￿reCiatiOn on th¢ Hall and related assets.
17

SPELDHURST VILLAGE HALL FOUNDATION
REPORT AND FOR THE YEAR ENDED 31 DECEMBER 2025
ANALYSIS OF NET ASSETS BETWEEN FUNDS
Fund balances at 31 December 2025 are represented by:
Unrestrieted
Funds
Restricled
Funds
Total
Funds
Fixed a&sets
Debiors and prepayments
Investments { deposit accounts)
Cash at Bank
Creditors and aC¢n￿lS
292,446
292,446
4J27
33,914
43,281
(8,704)
4J27
33,914
43281
{8,704)
72018
292.446
365364
FINANCIAL INSTRumETr￿s
The Hall Foundation5 financial instruments are its debtor4 { including investment deposit
accounts ) and creditors. The credit risk involved in these financial instrum¢nts is low { the
cash is covered by the FSCS guarantee scheme). The fair value and I￿k value of financial
instruments is the same.
I O TRANSACTIONS WITH TRUSTEES
No trustee receives remuneration or any benefits from the Foundation. Trustees received £0
(2024 - £0) in reimbursement of expenses incurred in the running of th¢ charity and were
invoiced, on the same ternis and conditions &8 applies io bookings to other than to Trustees. £0
(2024 - £640) for use of Village Hall facilities. Similarly close ￿latiVeS of Trustees were
invoiced, on the same tern￿ and conditions as applies to bookings to other than to Trustees, £0
(2024 - £0) for use of Village Hall facilities.
18