Fen Drayton Vi11gge Hall
Registered Charlty No. 300385
Tru*ees' Annual Report for 2025-26
18" May 2026
Vlllaze Hall Committee as at 18" May 2026
Please see Fen Drayton Village Hall Management Structurè
Sources of a(fvice and sUPPOrt
Bank: Uoyds Bank, St Ive5
Cambridgeshire Action wlth Communltles In Rural En8land IACREI
Fen Drayton Parish Council- Cvstodian Trustees
Introductlon
Thls AGM has been advertlsed on fhe vlllage social media and on the village hall notice Board.
Governance
The Original conveyance for Fen DTayton Village Hall is dated 18 October 1938, an order was created
9 October 1958 Ino copy available) and a scheme dated 7 Deeember 2006, which is aecompanied by
a Simple Interpretation of the documents. Fen Drayton Villa2e Hall was established as a charity bv
the Scheme dated as above in 20(￿.
The l¥nd on which the hall stands is leased to the Village Hall by Fen Drayton Parish Council. Fen
Drayton Parish Council is the village hzll Custodian Trustee.
Appolntment of Trustees
The Trust Déed governs the appoirttment of trustees and the management of the charity,. three
members nominated by Fen Drayton Parish Council, and one appoirbted member for each of the
organisatlons Ilsted in part 3 of the schedule to this scheme.
We have 1 Trustee who has resigned due lo moving away from tho area, we aro Seeking a
new Trustee.
Manaiement commlttee c￿oPted members
The committee may appoint not more than 2 co-opted members from the education or busine55
Cgmmunities with particular expertise. The appointment must be made at a special meeting of the
comrnittee. The appointment will be effective from the end of that meeting until the end of the
followlng annual 6eneral meeting. The Committee has advert15ed for two volunteers to help with IT
aftd commercial affairs.
Pollcle5 and Procedures
Child and Vu5nerable Adult SafeguaYdir¢g Policy- no safeguarding issues have been brought to our
attention. Both the Safeguardin8 and Equality policies were updated in January 2026.
Hiring Agreement
Use of the village hall is subject to a Hiring Agreement which must be signed by the hirer when
booking. The hiring zgTeement sets out the terms and conditions of hire ènd idefttifies the respective
responslbilitles of each party to the agreement. The terms and conditions of hire were updated in
February 2026
Pagelof3

Licences
The hall has a Premises Licence (not including alcohol). The hall is licensed by the Performing Right
Society IPRSI for live music. If an event is held by the village hall using recorded musi¢, a PPL licence
will be obtained.
Risk M•n•gement
Insurance
The village hall is insured with respect to property damage (buildings insurancel by Allied
Westminster Insurance. It is insured with the same company with respect to contents lup to
£31,779) public liability I£io.OLK),OWI employers, liability l£lQ,O¢JJ.0001 trusleès and management
indernnity I£IIX),0001 and le8al expenSes1£250,O￿).
The Management Committee recognises that it is under a legal obligation to protect the building and
all vlsitors/users through adequate and appiopriate Insurance.
Bulldlng Issues
Surveys of the building are to be undertaken at 5-year intervals by a qualified surveyor. The
next survey will be undertaken in 2026
Gas appliances and portable electrical appllantes arè tested by qualified personnel annually.
The hall has a current PAT certlficatè for all small electrlcal appliances.
The mains electrical installation is checked by a qualified engineer every 5 years.
There is an anntsal schedule for thè testing of fire/smoke alarms.
Firefighting appliances are inspected annually under contract with the supplier.
The maintenance man carries out regular documented maintenance checks.
Oblertlves of the Charlty
The object of the charity 15 the provision and maintenance of a village hall for use by the inhabitants
of the area of benefit without dlstinctioD of political, Teligious or other opinions, including use for
meetin8s, lettures and cl355es.' and other forms of recreation and leisure-time occupation, with ihe
tsblect of Improving the corsditlons ol Ilfe for the inhabltants.
The Trustees consider these objectives to be con51Stent with Charity Commission guidance on
providing for the public benefit and these objectives have been pursued in the activities of the
charity this year when possible.
Prlnclpal Actlvltles In purs11it of Objective5
The hall is in use most days of the week for a variety of activitie5 including Toddler group,
Fitness, Ballroom Dancing, Tai Chi, Yoga. Parish Councll meetings (once a monthl, Communitv
Café. other regular useis of the hall include the Bow15 Club, Little City a play-oriented
group, Scout groups Such as Cubs and 8eavers
The hall 15 available for hire for private functions including children'5 parties, wedding
receptions. village social functions and occasional fund-raising evènts.
Fundlng Strategy
It is the strategy of the Trustee5 to ensure the hall remalns fSnancially viable by income from hire fees
supplemented by fund rèising events to cover the cost of running the hall. The c05t of new capital
projects is covered by 6Tants where possible.
Volunteers. Effort
Thè hall pays foT the services of a maintenance man, deaner, and bookkeèper. All are self-employed.
At léast 10 hours of VL>lunteer time are 8iv¢n each week to cover reutine task$ such as managin8 the
Page2of3

activlty of the contractors, dealin8 Wlth suppliers, liaislfig with customers and undertaking other tasks
for the Smooth functioning gf the hall, e.g. funding bids for lar¥e projects. Trustees meet every
month to discuss hall affairs and make decisions.
2025 Achle¥ern*nts
The Trustees work hard to make the hall attractive to potential useT5 and measure thelr
su¢ce55 by the range of user5 and the hall occupancy.
ITh 2025-26, hall occupancy 1$ estimated to have increased by 20%, excludin8 one-off hlres,
e.4. school.
FundiTh8 obtained from Donations and Grants from SCDC Communlty Chest has enabled the
Vlllage hall to ¢omplete many projertS
New Patio
Bar Refurbishment
Hall Refurbishment
Commlttee Room ftefurblshment
The Committee ha5 Put on more fundralslng events than In Préviovs ytArs combintd
R•ser4es Pollcv
Fen Drayton Villa8e Hall aims to havo reserves to ensure break-even during 12 months. Reserves tsf
£9k or IQQFh of non.flxed runnlng costs (eq￿}valent to 45% 01 ihe current total hire fee Incornel
would providè thè villagè hall with 3 12-month wSndow to restructure costs, replacing volunteers
wlth pald cotttra¢tors,
Futur• Plani
We aim to tontinu• th• Refurblshment Works to the reception and Toilet are#s, and prolt¢ts
wlthln our car Park
We alm to apply for • Llc•nc• to s•rv• Alcohol
The trustees dtcl•re that they hav• approved the tru%te•i' r*port above.
Slined on beh•W gf the ¢h•rlt¢s truJt•èi
Full n•m•lsl: M-OL0￿ £Q
Posltlon.,
Date:
Is)612G26
Page3tsf3

01480 498 748 1 enquiries@angliataxhelp.biz
6 Bull Lane, St Ives. Cambridgeshire. PE27 SAX
www.angliataxhelp.co.uk
ANGLIA TAX HELP
14" May 2026
Accounting Report to Fendrayton Village Hall.
The Accounts of the Village Hall with our stamp and reviewed 14 May2026 are a true view of
the Income and Expenditure forthe year ending 31 December 2025.
B81ance as per Bank Statement 31.12.2025
£6257.24
Plus Unpresented Receipts
Less Uncleared Payments
B818nce as per Balance Sheet 31.12.2025
£6257.24
Notes to the Accounts Gas & Electricity are significantly higherth8n 2024 Yeardue to the new
Supplier SSE not invoicing ortaking the DD payment in 2023. This has be accounted for in the
2025 Accounting year, the Gas & Electricityshould reflect the usage to cost in the 2026
Accounts.
Rosie Dixon
MAAT
RHJhl Task Ltd TIA Anglia Hdp ReglsterÈd in Eng13nd & Wales. Re9i¥tration N￿oI785361
Reyi5tered 01fic￿.. 6 Bull Lane, St Ive5, &rnbr1dge$F￿TE. PE27 SAX

Profit & Loss Statement
0110112025-3111212025
l Year Past
01/0112025- 3111212025
Sales
Hall Hire General
Hall Hire Regular Users
Fundraising
Donations
Other Revenue
Bank Interest Received
Total Sales Income
8,526
16,674
2,511
200
605
485
29,001
Cost of Sales
Gross Margin
Sales Less Cost of Sales
29,001
Operating Expenses
Rates & Water
Gas & Electric
Property Insurance
Cleaning & Housekeeping
Maintenance
Printing and Stationery
Subscriptions
Telephone
Advertising & Marketing
Accountant's Fee
Total Operating Expenses
1.759
4,752
1,875
3,496
8,752
105
47
578
909
2,775
25,048
Net Suplus
3,953
ateA
proved
Signed
Miss R Dixon MAAT
ANGLIA TAK HELP
6 Yull Larte
St Ive5,
Cambridgeshire PF27 SAX
01480 498 748

Balance Sheet
0110112025-3111212025
l Year Past
0110112025-3V1212025
Fixed Assets
1416
Current Assets
Sales Ledger Control
Lloyds Current Account
Lloyds Deposit Account
CCLA
Total Current Assets
1358
6257
5162
10829
23606
Current Liabilities
Accurals
Net Current Assets/Liabilities
25022
Totsl Net Assets
25022
Capital & Reserves
Retained Profit
Surplus Brought Forward
Total Capltal & Reserves
21069
3953
25022
DateApproved 201
Sig
Miss R Dixon MAAT
ANGUA HELP
6 Bull Lane
St Ives,
Cambridgeshire PE27 SAX
01480 498 748

01480 498 748 1 enquiries@angliataxhelp.biz
6 Bull Lane, St Ives. Cambridgeshire. PE27 SAX
www.angliataxhelp.co.uk
ANGLIA TAX HELP
14" May 2026
Accounting Report to Fendrayton Village Hall.
The Accounts of the Village Hall with our stamp and reviewed 14 May2026 are a true view of
the Income and Expenditure forthe year ending 31 December 2025.
B81ance as per Bank Statement 31.12.2025
£6257.24
Plus Unpresented Receipts
Less Uncleared Payments
B818nce as per Balance Sheet 31.12.2025
£6257.24
Notes to the Accounts Gas & Electricity are significantly higherth8n 2024 Yeardue to the new
Supplier SSE not invoicing ortaking the DD payment in 2023. This has be accounted for in the
2025 Accounting year, the Gas & Electricityshould reflect the usage to cost in the 2026
Accounts.
Rosie Dixon
MAAT
RHJhl Task Ltd TIA Anglia Hdp ReglsterÈd in Eng13nd & Wales. Re9i¥tration N￿oI785361
Reyi5tered 01fic￿.. 6 Bull Lane, St Ive5, &rnbr1dge$F￿TE. PE27 SAX

Profit & Loss Statement
0110112025-3111212025
l Year Past
01/0112025- 3111212025
Sales
Hall Hire General
Hall Hire Regular Users
Fundraising
Donations
Other Revenue
Bank Interest Received
Total Sales Income
8,526
16,674
2,511
200
605
485
29,001
Cost of Sales
Gross Margin
Sales Less Cost of Sales
29,001
Operating Expenses
Rates & Water
Gas & Electric
Property Insurance
Cleaning & Housekeeping
Maintenance
Printing and Stationery
Subscriptions
Telephone
Advertising & Marketing
Accountant's Fee
Total Operating Expenses
1.759
4,752
1,875
3,496
8,752
105
47
578
909
2,775
25,048
Net Suplus
3,953
ateA
proved
Signed
Miss R Dixon MAAT
ANGLIA TAK HELP
6 Yull Larte
St Ive5,
Cambridgeshire PF27 SAX
01480 498 748

Balance Sheet
0110112025-3111212025
l Year Past
0110112025-3V1212025
Fixed Assets
1416
Current Assets
Sales Ledger Control
Lloyds Current Account
Lloyds Deposit Account
CCLA
Total Current Assets
1358
6257
5162
10829
23606
Current Liabilities
Accurals
Net Current Assets/Liabilities
25022
Totsl Net Assets
25022
Capital & Reserves
Retained Profit
Surplus Brought Forward
Total Capltal & Reserves
21069
3953
25022
DateApproved 201
Sig
Miss R Dixon MAAT
ANGUA HELP
6 Bull Lane
St Ives,
Cambridgeshire PE27 SAX
01480 498 748