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2022-01-31-accounts

APPENDIX A Chairman’s report 2021-22

  1. Continuation of the sub-group for COVID (Lawrence, Lesley and Richard). All hirers were responsible for adhering to government Covid measures.

  2. Completion of the “Let’s Play Together’ project in the children’s Playgound.

  3. Unitary election and Police Commissioner election (twice) at the Village Hall.

4. In-person VHC meetings resumed in July 2021

  1. Moviola withdrew their partner service to us in Autumn 2021. Extensive research on alternatives are on-going, undertaken by Pam and Lesley.

Thanks to

-Sue- for keeping us compliant with all necessary procedures and regulations, minute-taking and meeting organisation -Ian- for all aspects of financial management, including investments and insurance

-Rindi- for quietly dealing with all booking enquiries, handing out keys and checking the hall.

-Richard- for cricket club liaison and advice

-Doug- for general repairs

-Liz- for RoSPA contact and actioning recommendations, and for overseeing the ‘Let’s Play Together’ project and negotiating with Proludic

-Harriet – for all things arboreal

And welcome to our newest Trustees, Paul and Toni

Grittleton, Leigh Delamere and Sevington Village Hall Annual Accounts 2021/22

Registered Charity - 290380

Prepared By Ian Bennett Treasurer

Audited By Paul Kirk Date 6th April 2022

Grittleton, Sevington & Leigh Delamere Village Accounts Capital Statement

Accounts
Capital Statement
31.1.2022 31.1.2021
£ £ £ £
Opening Balances
Current Account 6,692.64 27,905.19
Investments 131,586.51 98,809.42
138,279.15 126,714.61
Closing Balances
Current Account (adjusted see
control)
14,448.74 6,692.64
Investments 149,684.24 131,586.51
164,132.98 138,278.95
Net Capital Movement 25,853.83 11,564.34
Capital Movements
From Income Statement 7,756.10 3,787.45
Investment Appreciation 18,097.73 7,776.89
25,853.83 11,564.34
Investment Reconciliation 31/01/202
2
31.01.21 Trsfrs
closing
value
Net Gain /
Loss
CCLA Charities investment fund £
131,586.51
£ -
£
149,684.24
£
18,097.73
£
131,586.5
1
£
-
£
149,684.24
£
18,097.73
£
-
Investment Appreciation £
18,097.73
Cash Account Reconciliation
Income statement 7,756.10
Net capital transfers to/from cash
Income and Capital Movements 7,756.10
Net movement in cash accounts -
6,692.64
Cash Reconciliation 14,448.74
Latest View of Financials
Income Statement
2020/21
£
£
3,342.25
10,000.00
250.00
126.10
1,328.79
550.00
15,597.14
852.51
3,036.42
-
675.00
677.99
346.01
1,044.63
335.83
-
3,677.00
1,164.30
11,809.69
3,787.45
Period to: 31/01/2022
2021/22
£ £ £
Income
Lettings 7,405.15 3,342.25
Grants/ Funding/ Dividends 21,728.40 10,000.00
Other 177.03 250.00
MUGA 201.10 126.10
Moviola & Rural Arts - 1,328.79
Donations (inc panto, parish council) 500.00 550.00
30,011.68
Expenditure
Cleaning 1,127.22 852.51
Repairs & Maintenance 397.80 3,036.42
Cap Exp 17,590.00 -
Grass Cutting 1,020.00 675.00
Electricity/ Heating 219.86 677.99
Rates/Water/ Refuse 670.54 346.01
Insurance & Licensing 1,007.92 1,044.63
Stat/Post/ Internet/ Consumables 178.24 335.83
Other 44.00 -
MUGA - 3,677.00
Rural Arts/Moviola - 1,164.30
22,255.58
Net Surplus / (Defcit) 7,756.10

Grittleton & Leigh Delamere Village Hall Accounts for year ended 31.1.2022 Control Sheet

Grittleton & Leigh Delamere Village Hall
Accounts foryear ended 31.1.2022
Control Sheet
Balance brought forward 6,692.64
Income 31,106.68
Expenditure -
23,350.58
Balance 14,448.74
Last Bank Statement@5/2/21 14,648.74
Uncleared income -
Unpresented cheques - not expired -
200.00
Closingbalance(adjusted) 14,448.74
Dif -
Asset Statement
Current Account Balance @ 5/2/2021 14,448.74
Investments @ 31/1/2021 149,684.24
164,132.98

Independent examiner's report on the accounts

Report to the trustees and members of Grittleton Village Hall for the year ended

31st January 2022.

The charity's trustees consider that an audit is not required for

this year (under section 43(2) of the Charities Act 1993 (the Act))

and that an independent examination is needed.

It is my responsibility to

My examination was carried out in accordance with General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking

explanations from the trustees concerning any such matters. The

procedures undertaken do not provide all the evidence that would be

required in an audit, and consequently I do not express an audit opinion on the accounts.

In the course of my examination, no matter has come to my attention

  1. which gives me reasonable cause to believe that in, any material respect, the trustees have not met the requirements to ensure that:

• proper accounting records are kept (in accordance with section 41 of

the Act); and

• accounts are prepared which agree with the accounting records and comply with the accounting requirements of the Act; or

  1. to which, in my opinion, attention should be drawn in order to enable

a proper understanding of the accounts to be reached.

Examiner's Name …..............

Signed …................ Date: .....................

…........................ Name Relevant Professional Body (if any)

Address …..................................................

Treasurer's Name: Ian Bennett ….................

Signed …....................... Date ….....................

Grittleton, Leigh Delamere and Sevington Village Hall Annual Accounts 2021/22

Registered Charity - 290380

Prepared By Ian Bennett Treasurer

Audited By Paul Kirk Date 6th April 2022

Grittleton, Sevington & Leigh Delamere Village Accounts Capital Statement

Accounts
Capital Statement
31.1.2022 31.1.2021
£ £ £ £
Opening Balances
Current Account 6,692.64 27,905.19
Investments 131,586.51 98,809.42
138,279.15 126,714.61
Closing Balances
Current Account (adjusted see
control)
14,448.74 6,692.64
Investments 149,684.24 131,586.51
164,132.98 138,278.95
Net Capital Movement 25,853.83 11,564.34
Capital Movements
From Income Statement 7,756.10 3,787.45
Investment Appreciation 18,097.73 7,776.89
25,853.83 11,564.34
Investment Reconciliation 31/01/202
2
31.01.21 Trsfrs
closing
value
Net Gain /
Loss
CCLA Charities investment fund £
131,586.51
£ -
£
149,684.24
£
18,097.73
£
131,586.5
1
£
-
£
149,684.24
£
18,097.73
£
-
Investment Appreciation £
18,097.73
Cash Account Reconciliation
Income statement 7,756.10
Net capital transfers to/from cash
Income and Capital Movements 7,756.10
Net movement in cash accounts -
6,692.64
Cash Reconciliation 14,448.74
Latest View of Financials
Income Statement
2020/21
£
£
3,342.25
10,000.00
250.00
126.10
1,328.79
550.00
15,597.14
852.51
3,036.42
-
675.00
677.99
346.01
1,044.63
335.83
-
3,677.00
1,164.30
11,809.69
3,787.45
Period to: 31/01/2022
2021/22
£ £ £
Income
Lettings 7,405.15 3,342.25
Grants/ Funding/ Dividends 21,728.40 10,000.00
Other 177.03 250.00
MUGA 201.10 126.10
Moviola & Rural Arts - 1,328.79
Donations (inc panto, parish council) 500.00 550.00
30,011.68
Expenditure
Cleaning 1,127.22 852.51
Repairs & Maintenance 397.80 3,036.42
Cap Exp 17,590.00 -
Grass Cutting 1,020.00 675.00
Electricity/ Heating 219.86 677.99
Rates/Water/ Refuse 670.54 346.01
Insurance & Licensing 1,007.92 1,044.63
Stat/Post/ Internet/ Consumables 178.24 335.83
Other 44.00 -
MUGA - 3,677.00
Rural Arts/Moviola - 1,164.30
22,255.58
Net Surplus / (Defcit) 7,756.10

Grittleton & Leigh Delamere Village Hall Accounts for year ended 31.1.2022 Control Sheet

Grittleton & Leigh Delamere Village Hall
Accounts foryear ended 31.1.2022
Control Sheet
Balance brought forward 6,692.64
Income 31,106.68
Expenditure -
23,350.58
Balance 14,448.74
Last Bank Statement@5/2/21 14,648.74
Uncleared income -
Unpresented cheques - not expired -
200.00
Closingbalance(adjusted) 14,448.74
Dif -
Asset Statement
Current Account Balance @ 5/2/2021 14,448.74
Investments @ 31/1/2021 149,684.24
164,132.98

Independent examiner's report on the accounts

Report to the trustees and members of Grittleton Village Hall for the year ended

31st January 2022.

The charity's trustees consider that an audit is not required for

this year (under section 43(2) of the Charities Act 1993 (the Act))

and that an independent examination is needed.

It is my responsibility to

My examination was carried out in accordance with General Directions given by the Charity Commissioners. An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking

explanations from the trustees concerning any such matters. The

procedures undertaken do not provide all the evidence that would be

required in an audit, and consequently I do not express an audit opinion on the accounts.

In the course of my examination, no matter has come to my attention

  1. which gives me reasonable cause to believe that in, any material respect, the trustees have not met the requirements to ensure that:

• proper accounting records are kept (in accordance with section 41 of

the Act); and

• accounts are prepared which agree with the accounting records and comply with the accounting requirements of the Act; or

  1. to which, in my opinion, attention should be drawn in order to enable

a proper understanding of the accounts to be reached.

Examiner's Name …..............

Signed …................ Date: .....................

…........................ Name Relevant Professional Body (if any)

Address …..................................................

Treasurer's Name: Ian Bennett ….................

Signed …....................... Date ….....................