
## **Trustees’ Annual Report for the period** 

**From 1 April 2021 Period start date To 31 March 2022 Period end date** 

## **Charity name: Occold Recreation and Amenities Council** 

## **Charity registration number: 295058** 

## **Objectives and Activities** 


**----- Start of picture text -----**<br>
SORP<br>reference<br>Summary of the  Para 1.17 A) TO PROMOTE THE BENEFIT OF<br>purposes of the  THE INHABITANTS OF THE PARISH<br>charity as set out in its OF OCCOLD AND THE<br>governing document NEIGHBOURHOOD WITHOUT<br>DISTINCITION OF SEX OR<br>POLITICAL RELIGIOUS OR OTHER<br>OPINIONS BY ASSOCIATION THE<br>LOCAL AUTHORITIES VOLUNTARY<br>ORGANISATIONS AND<br>INHABITANTS IN A COMMON<br>EFFORT TO ADVANCE EDUCATION<br>AND TO PROVIDE FACILITIES IN<br>THE INTERESTS OF SOCIAL<br>WELFARE FOR RECREATION AND<br>LEISURE TIME OCCUPATION WITH<br>THE OBJECT OF IMPROVING THE<br>CONDITIONS OF LIFE FOR THE<br>SAID INHABITANTS. (B) TO<br>ESTABLISH OR TO SECURE THE<br>ESTABLISHMENT OF A COMMUNITY<br>CENTRE AND TO MAINTAIN AND<br>MANAGE, OR TO CO-OPERATE<br>WITH ANY LOCAL STATUTORY<br>AUTHORITY IN THE MAINTENANCE<br>AND MANAGEMENT OF SUCH A<br>CENTRE FOR ACTIVITIES<br>PROMOTED BY THE COUNCIL AND<br>ITS CONSTITUENT BODIES IN<br>FURTHERANCE OF THE ABOVE<br>OBJECTS.<br>Summary of the main  Para 1.17  The charity primarily provides<br>activities in relation to  and 1.19 services to the community<br>those purposes for the through management of the<br>public benefit, in  village hall.  This facility has<br>particular, the  ben completely reopened and<br>**----- End of picture text -----**<br>





**----- Start of picture text -----**<br>
activities, projects or  during this period was also<br>services identified in  extended to provide additional<br>the accounts. storage space for local non-<br>profit organisations and other<br>hall users.  The hall has been<br>repaired as required and<br>provided with all utilities to<br>enable full use for many<br>activities<br>Statement confirming  Para 1.18 The trustees have had full<br>whether the trustees  regard to the issued guidance<br>have had regard to the<br>guidance issued by<br>the Charity<br>Commission on public<br>benefit<br>**----- End of picture text -----**<br>


## **Achievements and Performance** 


**----- Start of picture text -----**<br>
SORP<br>reference<br>Summary of the main  Para 1.20 By extending the village hall<br>achievements of the  local organisations have been<br>charity, identifying the able to store additional<br>difference the charity’s apparatus for local activities<br>work has made to the  (such as carpet bowls, junior<br>circumstances of its  physical education and craft<br>beneficiaries and any  clubs) as well as host a regular<br>wider benefits to  coffee morning and lunches for<br>society as a whole. local residents in a warm and<br>secure environment.  The<br>charity also maintains, and<br>has upgraded, a play area and<br>the village playing fields for<br>use by all residents.<br>**----- End of picture text -----**<br>


## **Financial Review** 


**----- Start of picture text -----**<br>
Review of the charity’s Para 1.21 The charity maintains a<br>financial position at  prudent approach and has a<br>the end of the period strong balance sheet<br>Statement explaining  Para 1.22 Approximately 4 months<br>the policy for holding  operating costs are held in<br>reserves stating why  cash reserves, thus meaning<br>they are held that even if hirers are forced<br>to cease use (and so income<br>reduces) the charity financial<br>commitments can be met in<br>full<br>Amount of reserves  Para 1.22 £13,000<br>held<br>Reasons for holding  Para 1.22 N/A<br>zero reserves<br>Details of fund  Para 1.24 N?A<br>**----- End of picture text -----**<br>




materially in deficit Explanation of any Para 1.23 **None** uncertainties about the charity continuing as a going concern 

## **Structure, Governance and Management** 


**----- Start of picture text -----**<br>
Description of charity’s<br>trusts:<br>Type of governing  Para 1.25 Trust deed<br>document<br>(trust deed, royal<br>charter)<br>How is the charity  Para 1.25 Through its constitution<br>constituted?  adopted in 1986<br>(e.g unincorporated<br>association, CIO)<br>Trustee selection  Para 1.25 The custodian trustees are<br>methods including  appointed by the serving<br>details of any  trustees.  Volunteers that<br>constitutional  make up the management<br>provisions e.g. election committee are elected at<br>to post or name of any annual meetings open to all<br>person or body  residents<br>entitled to appoint one<br>or more trustees<br>**----- End of picture text -----**<br>


## **Reference and Administrative details** 


**----- Start of picture text -----**<br>
Charity name Occold Recreation and Amenities Council<br>Other name the charity<br>uses<br>Registered charity  295058<br>number<br>Charity’s principal  The Beeches The Street Occold Suffolk IP23 7PW<br>address<br>**----- End of picture text -----**<br>


## **Names of the charity trustees who manage the charity** 


**----- Start of picture text -----**<br>
Name of person (or<br>Dates acted if not body) entitled to<br>Trustee name Office (if any)<br>for whole year appoint trustee (if<br>any)<br>Stephen James<br>1<br>Hubner<br>Robert Charles<br>2 Harold<br>Richardson<br>**----- End of picture text -----**<br>




Name of trustees holding title to property belonging to the charity 

**Trustee name Dates acted if not for whole year Stephen James Hubner Robert Charles Harold Ricardson** 

**Funds held as custodian trustees on behalf of others** Description of the None assets held in this capacity Name and objects of the charity on whose behalf the assets are held and how this falls within the custodian charity’s objects Details of arrangements for safe custody and segregation of such assets from the charity’s own assets 

## **Exemptions from disclosure** 

Reason for non-disclosure of key personnel details 

**N/A** 

## **Declarations** 

## **The trustees declare that they have approved the trustees’ report above.** 

**Signed on behalf of the charity’s trustees** 

**Signature(s)** 


**Full name(s)** Stephen James Hubner 



## **Position (eg** Trustee **Secretary, Chair, etc)** 

**Date** 13 December 2022 



OCCOLD RECREATIONAL AND AMENtnESCOUNaL
RECEIPTS AND PAYMENTS ACCOtJNTS
FOR THE YEAR TO ai MARCH 2022
202V22
VNRESTRlCtED RESTRICTED
FUNDS
FUNDS
2020ni
TOTAL
20￿/20
TOTAL
r¢ECEIPTS
Hall Hlre Main Hall l& Store)
Hall p￿ Sdw)ol R(K)
FundroisinK IncoTT
Re¢yclin8
Oracle Advertlslng
Grants
Covid Reloted
Hall Extension
Donatlons
BT Refund
TOTAL
7.732.(Y)
77&(
1.675.40
352.39
7.732.
715.(X)
1.675.40
352.39
2,419.50
2￿35.1)0
7.925.59
6.930.00
4.084.29
308.47
546.1)0
142.85
744.(M)
20,708.(
29,191.07
19A34.24
19.4x24
35L50
35L50
21.70
671.34
s6￿11.76
lo￿33
19*16.05
PAYMElllS
Fundr?i5Én8 Expen5e5101
Electric
IIA63.841
11*23.581
1966.291
1380.161
I1.273.￿)
11.067.C61
11,686.361
1645.541
1551.47)
11.219.671
1181.El¢l
IL463.841
IL823.581
1966.291
13WJ.161
IL273.081
(LO67.1￿)
IL686.361
1645.541
1551.4TI
11219.671
I￿.60)
I1.590.￿)
11,702.631
1505.201
1876.221
12.528.971
11.967.591
1680.001
11.878.371
1737.521
BT (Telephofiea￿ Internet)
Repalrs & mainiellan￿ IDI
Cleaning & Cleaning Materkls IDI
Play AreaNillaBe Green IDI
Water Charges IGI
Oracle IDI
Insurar￿e (HI
Sundry Expense5 IDI
Ewipment IDI
Office & Stst*)nery IDI
Gras5 Cuttifi6 IDI
Lken¢esWember5hip51Jl
New Extensio
CHARFTY Donatlons
Lunch Club Sperxls
TOTAL
(s￿.47)
IL263.281
In2.121
11287.931
1115.501
11.151.521
I88.(￿)
11.190.731
1112.001
1363.291
151.381
1420.001
1180.(XJI
lis.￿)
115.991
{610.WI
{180.IN)I
120.540.541 119A24.241
I75.￿)
I￿.99}
{610.￿}
181.981
I640.￿)
Iw.001
149.171.581
1350.001
16.561
156MOO.361
139.964.78)
I?5.￿))
lIE￿.17)
11.645.271
115051.821
{3iW.18} 119N39241
152.ItsA
14èt su￿￿/ IDell¢ltl:
Pi229.891
3.964.23
Transfers between fur
2,407.66
12.407.661
Brought Forward BalaKes at l Awll
8ank Balances
Cash Balances
Bar St￿k
31244.65
180.70
357.C
2.417.66
59.88
33.662.31
240.58
357.C
33P34.59
443.IA)
370.
29.169.46
338.58
376.22
12J65.12
J)30.00
34259A9
33WA9
Closing Balar￿eS at 31 Marth
Bank Balances
Cash 8alance5
Ba¥ Stock
iiw&xJ
835.95
230.87
IIy13.30
895.83
230.87
33,662.31
240.58
3S7.IX)
33,034.59
443.(M)
370.￿>
.00
34259A9
33W49

INDEPENDENT EXAMINER'S REPORT ON THE ACCOUNTS
Report to the trusteeslmembers of Occold Recreational & Amenities Council
Registered Charity Number 295058
On accounts for the year ended 31 March 2022
As the chanty's trustees you are responsible for the preparation of the accounts. ft is
your independent examinerfs responsibilrty to state whether particular matters have
come to my attention.
The procedures undertaken in an independent examination do not provide all the
eviden￿ that would be required in an audit, consequently I do not express an
audtt opinion on the view gNen by the accounts.
In connection WFth my examinalion. no matter has ¢oTrE to my attention:
(1) which gives me ￿asOnable cause to belbeve that in any material respect the
requirements
to keep accounting records and
to prepare accounts which accord with the accounting records
have not been met or;
{2) to which, in my opinion. attention should be drawn in order to enable a proper
understanding of the accounts to be reached.
Signed:
Dawn Crisp ACMA
Date 1910712022
Signed hard copy retained on file

OCCOLD RECREATIONAL AND AMENtnESCOUNaL
RECEIPTS AND PAYMENTS ACCOtJNTS
FOR THE YEAR TO ai MARCH 2022
202V22
VNRESTRlCtED RESTRICTED
FUNDS
FUNDS
2020ni
TOTAL
20￿/20
TOTAL
r¢ECEIPTS
Hall Hlre Main Hall l& Store)
Hall p￿ Sdw)ol R(K)
FundroisinK IncoTT
Re¢yclin8
Oracle Advertlslng
Grants
Covid Reloted
Hall Extension
Donatlons
BT Refund
TOTAL
7.732.(Y)
77&(
1.675.40
352.39
7.732.
715.(X)
1.675.40
352.39
2,419.50
2￿35.1)0
7.925.59
6.930.00
4.084.29
308.47
546.1)0
142.85
744.(M)
20,708.(
29,191.07
19A34.24
19.4x24
35L50
35L50
21.70
671.34
s6￿11.76
lo￿33
19*16.05
PAYMElllS
Fundr?i5Én8 Expen5e5101
Electric
IIA63.841
11*23.581
1966.291
1380.161
I1.273.￿)
11.067.C61
11,686.361
1645.541
1551.47)
11.219.671
1181.El¢l
IL463.841
IL823.581
1966.291
13WJ.161
IL273.081
(LO67.1￿)
IL686.361
1645.541
1551.4TI
11219.671
I￿.60)
I1.590.￿)
11,702.631
1505.201
1876.221
12.528.971
11.967.591
1680.001
11.878.371
1737.521
BT (Telephofiea￿ Internet)
Repalrs & mainiellan￿ IDI
Cleaning & Cleaning Materkls IDI
Play AreaNillaBe Green IDI
Water Charges IGI
Oracle IDI
Insurar￿e (HI
Sundry Expense5 IDI
Ewipment IDI
Office & Stst*)nery IDI
Gras5 Cuttifi6 IDI
Lken¢esWember5hip51Jl
New Extensio
CHARFTY Donatlons
Lunch Club Sperxls
TOTAL
(s￿.47)
IL263.281
In2.121
11287.931
1115.501
11.151.521
I88.(￿)
11.190.731
1112.001
1363.291
151.381
1420.001
1180.(XJI
lis.￿)
115.991
{610.WI
{180.IN)I
120.540.541 119A24.241
I75.￿)
I￿.99}
{610.￿}
181.981
I640.￿)
Iw.001
149.171.581
1350.001
16.561
156MOO.361
139.964.78)
I?5.￿))
lIE￿.17)
11.645.271
115051.821
{3iW.18} 119N39241
152.ItsA
14èt su￿￿/ IDell¢ltl:
Pi229.891
3.964.23
Transfers between fur
2,407.66
12.407.661
Brought Forward BalaKes at l Awll
8ank Balances
Cash Balances
Bar St￿k
31244.65
180.70
357.C
2.417.66
59.88
33.662.31
240.58
357.C
33P34.59
443.IA)
370.
29.169.46
338.58
376.22
12J65.12
J)30.00
34259A9
33WA9
Closing Balar￿eS at 31 Marth
Bank Balances
Cash 8alance5
Ba¥ Stock
iiw&xJ
835.95
230.87
IIy13.30
895.83
230.87
33,662.31
240.58
3S7.IX)
33,034.59
443.(M)
370.￿>
.00
34259A9
33W49

INDEPENDENT EXAMINER'S REPORT ON THE ACCOUNTS
Report to the trusteeslmembers of Occold Recreational & Amenities Council
Registered Charity Number 295058
On accounts for the year ended 31 March 2022
As the chanty's trustees you are responsible for the preparation of the accounts. ft is
your independent examinerfs responsibilrty to state whether particular matters have
come to my attention.
The procedures undertaken in an independent examination do not provide all the
eviden￿ that would be required in an audit, consequently I do not express an
audtt opinion on the view gNen by the accounts.
In connection WFth my examinalion. no matter has ¢oTrE to my attention:
(1) which gives me ￿asOnable cause to belbeve that in any material respect the
requirements
to keep accounting records and
to prepare accounts which accord with the accounting records
have not been met or;
{2) to which, in my opinion. attention should be drawn in order to enable a proper
understanding of the accounts to be reached.
Signed:
Dawn Crisp ACMA
Date 1910712022
Signed hard copy retained on file