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2025-03-31-accounts

Ashley Green and District Community Association.

For the year ended 31 March 2025.

The Trustees present their report and financial statements for the year ended 31 March 2025.

Charitable Objectives

The objectives of the Association, as set out in the Constitution dated 9 Jan 1985 are:

Major repairs and refurbishments

We’ve spent nearly £18,000 on repairs and renovations this year. Half of this was spent on one major project which has been the renovation of the ladies toilets in the hall, work that has been long outstanding. They are now looking a great deal better.

We also had the hall floor stripped back, treated and repolished. This should protect it from future use and also make it easier to keep clean.

New toilets and basins have been installed in the Wykes room to provide facilities for both the children and adults from the home schooling group. This means that the group no longer needs to access the Old School to use the kitchen or toilets and this has freed up the building for use by other hirers.

We purchased new floodlights and sockets and also carried out some improvements to the hall car park.

Reserves

The lettings for the Hall and Old School have been very busy and successful, raising an income of just over £43,000. The café on the Glebe has also had a successful year and provided the Association with a rental income of nearly £12,000. We ended the year with a net income of £2534.

The Trustees have considered the risks to which the Association is exposed and used. This year’s surplus has resulted in sufficient reserves now being retained to meet any repairs and maintenance or other expenditure likely to arise. Funds are held in risk free investments.

On behalf of the Trustees Geoff Cullingham Chair

2

Ashley Green and District Community Association (Charity Number 292478)

Financial Statements for the Year ended 31 March 2025

Receipts and Payments

Receipts:
Subs and donations
Lettings-
Memorial Hall
Old School
Total lettings
Rent from Café
Functions
Interest
Deposits held
2024/2025
2023/2024
£
£
1,941
2,018
27,097
23,137
16,069
18,621
43,166
41,758
11,999
10,345
14,892
18,271
702
499
1150
2900
Total Receipts 73,850
75,791
Payments:
Cost of services
Caretaking & cleaning
Administration (inc insurance)
Repairs & renewals
Functions
Good Neighbours'Group
15,674
10,608
5,348
6,305
15,080
14,185
22,470
31,051
10974
5180
1,770
1,770
Total Payments 71,317
69,099
Net receipts
Cash at bank and in hand at 1 April
2,533
6,692
61,306
54,614
Cash at bank and in hand at 31 March 63,839
61,306

Statement of Assets and Liabilities

31 March 2025 31 March 2024
£ £
Cash Funds
Cash in hand 273 224
Current Account 26,402 24,620
Instant Access Account 37,164 36,462
Total Cash Funds 63,839 61,306
Liabilities:
Deposits held 10,724 9,574

Independent inspection of Ashley Green and District Community Association Financial Statements and supporting documentation – 2024/25

I confirm my formal approval of the Trustees Report and Financial Statements. In addition, I am providing this document summarising the inspection activity.

The following documentation was provided to me for inspection:

Conclusions from the inspection are that the accounts are thoroughly and accurately recorded. Each of the items that I reviewed reconciled appropriately with the recorded documentation.

Details and observations arising from my review are summarised below:

CASH FUNDS

Bank statements and cash book reconcile accurately with the statement of assets and liabilities.

REVIEW OF RECEIPTS

I did not reconcile all of the individual receipts against the cash book, but I audited a number of higher value items. All items recorded appeared to be normal and expected transactions that would be incurred in the day to day operation of the community association.

Sara Walsingham 15 June 2025