Bledlow Village Hall Notes for the accounts for the period
1[st] November 2021 to 31[st] October 2022
The Bledlow Village Hall owns its own freehold which includes the car park and grounds surrounding the hall, with the whole cost having been written off. The property is currently insured with Ansvar Insurance, under their Charity and Community Connect scheme, fixed until 24 March 2023, with the current cover at £612,213 for the main hall building. The playground and pavilion, each within the grounds of the Bledlow Village Hall, are, respectively, insured at £41,559 and £9,953.
The Bledlow Village Hall also owns fixtures, fittings and equipment, with the whole cost having been written off. These are insured at £32,171.
The Bledlow Village Hall Charity is governed by the guidelines set out in a document known as The First Schedule, originally written in 1931 but updated and approved in September 2020.
Income & Expenditure
Income
The charitable income for the year was: £25,265, this income reflects the natural potential of the facility without the benefit, for example, of the grants afforded to us during the pandemic. It is also reassuringly in excess of expenditure. Following the pandemic, we have lost some of our regular users but the hall’s facilities are being utilised by new emerging groups. It has been heartening to see that for them the hall is a venue of choice.
The hall has a relatively large car park which has attracted use independent from the hire of the hall. This year a substantial contract has been arranged for the use of part of the car park by a local building firm that is building new houses adjacent to the car park. The firm is using the car park for use of their team’s and contractors’ light vehicles, which ensures that the vehicles are not parked on the village lanes during the construction activities. The firm will also repair wear to the car park caused by the use of the car park. This arrangement benefits the hall financially and local residents with safer roads.
Fundraising activities this year by the committee were, of course, focused on the Queen's Platinum Jubilee’s street party, a whole-village venture run with village partner organisations. All monies raised were for the Ukrainian appeal. The management committee of the Bledlow Village Hall is proud that
its members contributed with their time and experience alongside other village partners to enable such a wonderful village event and raise money totalling £2883 for such a worthy cause.
The hall benefited from a generous donation of £500 from a local craft group early in the period while we were still finding our feet post-pandemic and in turn we donated £1000 to the Preschool that supports the village hall as its main user and helped us run the village fete the previous year.
With a residue Covid grant, donations and the other income the hall received, the total gross receipts for the year was £29,877 .
The focus for next year will be to consolidate our regular users and attract new ad hoc users of the hall, enough to cover the general outgoings. We have plans to begin fundraising to raise funds and attract grants sufficient to update the playground with more modern play equipment and make it a more attractive and safer venue for the younger children of the surrounding area.
Expenditure. Hall Running Costs This was slightly lower than the prior year at £11,357 for general expenditure. All costs decreased except costs for cleaning and heating oil. The cost of repairs and maintenance was £2491.
Clearly the current economic climate will have an impact on the cost of electricity and oil that the hall requires to run and associated costs for the service providers to the hall. For this reason, with effect from 1 January 2023, we have had to increase the hire charges for hall but hope the increases to be modest enough to be able to continue to be competitive enough to attract hall users that have modest budgets to run their community or private ventures at the hall.
Total Expenditure with improvements was £14,887 for the FY.
Cash balances
The cash position in the current FY increased from £26,981 to £43,018 - an increase of 59%. This reflects our ability to hire again post-Covid and no large capital expenses this year.
This cash position means we have the ability to hold reserves to pay one year's bills should business continuation be interrupted and hold funds to repair an ageing oil tank and septic tank should they show signs of failing - the cost of such repairs potentially totalling £20,000
There were two outstanding creditors 1) BEP Contracting Ltd to the value of £1051.77, a sum held as a retention on satisfaction of the completion of the new roof. 2) £1k from Deanfield Homes as a Performance Bond Retention for
the Car park hire.
Charifund Investment
This investment is currently run on a distribution basis to help boost income. This year the value dropped following a post-covid boost from £20,213 to £18,121 - a loss of 10%. This fund will remain intact for the foreseeable future to be held as a strong contingency fund. No shares were sold for planned improvements or capital expenditure this year.
Bledlow Village Hall Chairperson’s Report - 5th December 2022
Firstly I would like to thank everyone for attending this year's Annual General meeting and a warm welcome to the members of the public.
I would like to thank all committee members for their commitment and hard work over the last year. It has been a year where we have seen a few changes to the committee with Eugenie Bendyshe-Brown taking on the role of Booking Secretary, Allen Eden stepping down as Treasurer and Sandy Newitt temporarily taking on this role. We also welcomed Claire Skilbeck to the committee as the WI Representative. The role of Secretary is currently being rotated amongst the Committee.
Due to the Queen's Jubilee Celebrations the committee agreed that it would not be possible to hold a large fundraising event in the summer as it would be too close to these celebrations. Unfortunately we have not been able to hold any fundraising events this year.
I am delighted to say that our regular users are still using the hall which include Preschool, Allstars and Bledlow WI and we have seen an increase in the number of Adhoc hirers.
We have been very fortunate to have Deansfield homes hiring the car park from us for a year which has generated additional income for us.
Over the last couple of months we have been looking at what our next fundraising project should be. This is likely to be an upgrade of the playground area as this is widely used by the Preschool children and the local community.
We are close to launching an Online Booking System to reduce the amount of time our Booking Secretary spends securing each booking.
Jess Bryant
Chairperson - Bledlow Village Hall
BLEDLOW VILLAGE HALL INCOME & EXPENDITURE FOR YEAR TO 31 ocfoBER 2022 2021 2022 2021 2022 12 months 12 months 2020 2021 2020 2021 12 months 12 months Rental income Hall hire Less Cancellations & deposits Net hall rental income 20,463 15,103 (2,698) 17,765 (468) 14,635 Car park rental 7,500 1,750 Total rental income 25,265 16,385 Fundraisin and donations Grants 2,667 29 790 39,954 Amazon Private donations Fundraising activities 11,150 4,798 Investment income & interest M&G Interest 1,026 100 883 51 Total Income 29,877 73,226 Expenditure Operational expenditure Bucks Community Action subscriptions Insurance 10,316 65 976 11,357 10,705 60 847 11,612 Professional fees Capital expenditure Fundraising costs Donation to Pre-school 1,037 1,493 46,238 1,101 1,000 Total expenditure (14,887) 14,887 (58,951) 58,951 Surplus of income over expenditure 14,990 14,275 Page 3
BLIDLOW VILI.ACiC 11A1 L DETAILED EXPENDITUIIL 1-011 YLAII TO,91 OCTOBER 2022 2uii_1u22 l )_ i)1()iil115 2020_2021 12 months eratlonal ex endlture Council Rates Electrlcltv Water Char8es 011 Wet Waste Broadband Grounds Malntenance Cleanlng Repairs & Maintenance Miscellaneous Covid 19 Total operational expendlture 66 644 95 1,270 89 ?no 526 2,688 1,918 2,595 847 56 10,705 1,5?8 2,176 2,491 754 10,316 Bucks Community Action subscrlptlons Insurance 65 976 60 847 Total expenditure before refurblshment 11,357 11,612 Legal costs Refurbishment costs Fundraising costs Donatlon to Pre-school 1,037 1,493 46,238 1,101 1,000 Total expendlture 14,887 58,951 Page 4
Bledlow Village Hall Statement of Assets & Liabilities as at 31st October 2022 2021122 ?0?0/21 Cash Funds TSB Current account TSB Deposit account 13,886 29,132 43,018 1,693 25,288 26,981 M&G Fund current valuation 18,121 19,971 Total Assets 61,140 46,952 Liabilities (1,047) Total Net Assets 60,093 46,952 Note- Reconciliation of Cash Funds Cash funds at 31 October 2021 (2020) Surplus in year Add back Liabilities Cash funds at 31 October 2022 (2021) 26,981 14,990 1,047 43,018 12,706 14,275 26,981 Signed by the Acting Treasurer on behalf of the Trustees SANDRA NEWI . 2qLIois Page 5
CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to the trusteesl members of rhc?ritKI Nam Bledlow Village Hall On accounts for the year ended 31 October 2022 Charity no (if any) 300232 Set out on pages (rpnip.mhpr to ineludp. the p8np. numbprs of 2dditional sheets: I report to the trustees on my examination of the accounts of the above charity {he Trust") for the year ended 31110 12022. 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 (Yhe 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. I have completed my examination. I confimi 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: accounting records were not kept in accordance with section 130 of the Act or the accounts do not accord with the accounting records Independent examinerfs statement I have no concems 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: Date: aq Name: Sarah Moore Relevant professional qualification(s) or body (if any): Chartered Accountant (ICAEW) Address: Old Seven Stars, Sandpit Lane, Bledlow Princes Risborough HP27 9QQ Section B Disclosure Only complete if the examiner needs to highlight matters of concem (see CC32, Independent examination of charity accounts: directions and guidance for examiners). IER October 2018
GiY• h•r• brf•f d•tali s of •iiy that th• •xamlTr•r to dlsdos•, IA IER October 2018