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2025-03-31-accounts

St George’s Hall

Annual Report 2024/25

St George’s Hall

Park Road, Blockley, Gloucestershire GL56 9BY www.stgeorgeshallblockley.org.uk

Charity no: 292415

Overview

2024/25 saw a programme of minor works undertaken to maintain and improve the Hall’s decorative state and state of repair, which were met with positive feedback from all hall users. Bookings for the period remained consistent. A new Hall Manager was appointed in December 2024.

Administration

There were minor changes to the Management Committee during the above period. The Blockley Brass Band appointed a new representative to the Management Committee and Blockley Parish Council approved the appointment of Councillor Clare Turner to the Management Committee.

Councillor Thomas Bradley was re-elected as Chairman of the Management Committee at the AGM held in May 2024.

The Management Committee met in-person, normally in the Robinson Room at St George’s Hall, with online facilities available for those who were unable to join in-person. Meetings continued to take place every other month.

Councillor Bradley provided a regular update on the management of St George’s Hall to Blockley Parish Council, St George’s Hall’s corporate trustees. All Management Committee meeting agendas, minutes and finance reports are shared with Parish councillors.

December 2024 saw the appointment of a new Hall Manager, Sarah Barnett, following the resignation of the previous Hall Manager, Mike Gunn, and a competitive recruitment process. Recrutiment was overseen by Cllr Bradley, Hilary Thornborough (Blockley School) and Jane Scott-Henderson (Blockley Horticultural Society). The Committee thanked Mike for his work and welcomed Sarah to her new role.

Stephen Woods continued in his role as caretaker, and the Committee are grateful for all the work he does for St George’s Hall. Given some concerns around cleaning of the hall, a trial period of new increased hours for the caretaker was undertaken from March 205, with a view to being made permanent at the May 2025 Management Committee meeting.

Repair, Maintenance & Renewal

Maintenance of St George’s Hall continued throughout 2024/25. In addition, a major project to replace the Hall’s lighting with new energy efficient lighting was also undertaken, to reduce the Hall’s energy costs and its carbon footprint. Grant funding was successfully secured for this project from Cotswold District Council and Blockley Parish Council.

The Management Committee decided there was no pressing need for the creation of further storage, and so this project was not taken forward. Further major works did not take place, in order for the Hall to build up its finances to enable them in future years. The Committee are looking at undertaking a major renovation of toilet and bathroom facilities in the Hall and the Hall Manager is currently researching potential grant funding to enable these works.

St George’s Hall

Park Road, Blockley, Gloucestershire GL56 9BY www.stgeorgeshallblockley.org.uk

Charity no: 292415

Hire Charges

New hire charges were introduced on 1[st] April 2024 and no further hire charge increases were introduced in the following period. The school’s rental increased as per their contract.

Finances

The hall continued to make a small operating surplus in the 2024/25 financial year. However, additional expenditure was spent on maintenance and refurbishment, and this is reflected in the accounts. Energy and staff costs continued to be the largest items of day-to-day expenditure for the Hall.

A copy of St George’s Hall’s accounts for 2024/25 and the accompanying Independent Examiner’s Report are available for Trustees and on the Charity Commission’s website.

This report has been approved by the Chairman of St George’s Hall Management Committee, Councillor Thomas Bradley.

St George’s Hall

Park Road, Blockley, Gloucestershire GL56 9BY www.stgeorgeshallblockley.org.uk

Charity no: 292415

St George's Hall - Blockley Registered Charity No 292415

Income
Blockley School
Car Parking
Re-Charge Income
Donations
Hire of Hall
Grant
Car Park Sink Fund
Ground Maintenance Contribution
Shed Rental
Other Income
Total Income for Year
Expenditure
Staff Costs
Caretaker
Hall Manager
Total Staff Costs
Expenses
Grounds Maintance
Office Admin
Heat & Light
Rates
Licenses
Insurances
Hall Maintenance/Improvements
Caretaking & Cleaning Materials
Professional services
Security
Signage
Total Expenses
Total Expenditure for Year
Operating Nett Surplus/ Deficit
Plus Surplus/(Deficit) Brought Forward
Transfer from reserve
Transfer to reserve
Surplus/(Deficit) Carried Forward
24,759.72
164.00
241.80
220.00
12,951.50
600.00
716.25
350.00
152.30
40,155.57
7,800.00
7,814.33
15,614.33
5,814.36
1,018.08
8,006.33
1,304.15
90.94
1,658.14
7,268.11
523.10
672.30
-
-
26,355.51
41,969.84
(1,814.27)
31,478.67
(20,661.32)
9,003.08
Year end
31 March 2025
£
22,600.44
240.00
712.32
8,713.00
500.00
600.00
508.50
600.00
9.06
34,483.32
7,800.00
5,899.84
13,699.84
1,856.00
1,200.33
9,559.98
(1,552.86)
-
1,599.39
23,763.00
133.78
1,697.20
-
-
38,256.82
51,956.66
(17,473.34)
23,885.85
26,266.16
(1,200.00)
31,478.67
Year end
31 March 2024
£
22,600.44
240.00
712.32
8,713.00
500.00
600.00
508.50
600.00
9.06
34,483.32
7,800.00
5,899.84
13,699.84
1,856.00
1,200.33
9,559.98
(1,552.86)
-
1,599.39
23,763.00
133.78
1,697.20
-
-
38,256.82
51,956.66
(17,473.34)
23,885.85
26,266.16
(1,200.00)
31,478.67
Year end
31 March 2024
£
7,800.00
7,814.33
7,800.00
5,899.84
5,814.36
1,018.08
8,006.33
1,304.15
90.94
1,658.14
7,268.11
523.10
672.30
-
-
1,856.00
1,200.33
9,559.98
(1,552.86)
-
1,599.39
23,763.00
133.78
1,697.20
-
-
(17,473.34)
23,885.85
26,266.16
(1,200.00)
31,478.67

Page 1 of 2

St George's Hall - Blockley Registered Charity No 292415

Represented by

Aged Receivables
Creditor balances
Lloyds Current Account 00086188
Restricted Bank Accounts
Lloyds Fixed Term Deposit
Deposit Account
Treasurer's Maintenance Account
Total Assets at Year End
3,050.00
(784.00)
6,737.08
9,003.08
A/c Ref
20047042LS
10,099.32
40353160
10,562.00
27345368
1,800.00
31,464.40
14.14
31,464.53
31,478.67
A/c Ref
27345368
1,800.00
33,278.67
14.14
31,464.53
33,278.67

Page 2 of 2

Independent examiner's report on the accounts

Section A

Independent Examiner’s Report

Report to the trustees/ St George's Hall (Blockley) members of On accounts for the year 31 March 2025 Charity no 292415 ended (if any) Set out on pages 1-2

I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 31 March 2025.

Responsibilities and As the charity trustees of the Trust, you are responsible for the preparation basis of report 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 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 confirm that no material matters have come to my attention (other than that disclosed below *) in connection with the examination which gives me cause to believe that in, any material respect:

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

Signed:
Name:
Relevant professional
qualification(s) or body
(if any):
Address:
Date:
18/09/2025
Charles J Rush, BA MSc FCA
FCA
Woodstock Accountancy
3A Market Place, Woodstock, Oxon
OX20 1SY

October 2018

1

IER

Section B

Disclosure

Only complete if the examiner needs to highlight matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners).

Give here brief details of any items that the examiner wishes to disclose .

The financial statements have been produced on a receipts and payment basis. The Charity created a sinking fund during the financial year to 31 March 2013 for the purposes of meeting the cost of irregular items of maintenance, these funds are held in Fixed Term Deposit Accounts and Maintenance Account No. 27345368 and represent restricted funds.

October 2018

2

IER