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2021-03-31-accounts

Annual Report for the year ending 31[st] March 2021 of the Trustee of Whittlesford Memorial Hall

A Charity, registered number 300428

Correspondent:Mrs M. Swann (Clerk to the Trustee) 7 Newton Road Whittlesford Cambridge CB22 4PF

Founded by: A Trust Deed dated 1[st] September 1922 Amended by a deed dated 23[rd] November 1923 Replaced by a Scheme dated 14[th] August 2000

Trustee: The Parish Council of Whittlesford.

Bankers: Santander Commercial Bank, Bootle.

AIMS: Our responsibility is to provide and maintain a Hall for use by the inhabitants of Whittlesford and beyond without distinction of political, religious or other opinions, including use for meetings, lectures and classes, and other forms of recreation and leisure-time occupation, with the object of improving the condition of life.

ORGANISATION: Under the provisions of the Trust Deed as amended by a Scheme of Arrangement the Management of the Hall is in the hands of a Committee, consisting of any two or more members of Whittlesford Parish Council. They are assisted by other co-opted volunteers.

ACHIEVEMENTS: During the year the following improvements were achieved:-

Clearly the unprecedented pandemic impacted the rental income revenue significantly. However, we were successful in obtaining all available support and restart grants.

Finally I wish to acknowledge the voluntary team members of the Management Committee: David Toop (Chairman), Pam Freeman,(Trustee Representative) Arthur Greaves,(Trustee Chairman) Sarah Lee, Martin Livermore (Secretary), Tim Stone, Paul Tibble (Treasurer), Penny Toop (Booking Clerk) and our Cleaner/Caretaker Beverley Arnold who despite the prevailing difficult circumstances ensured that the Hall was fit for purpose and COVID compliant.

Signed Chairman of the Trustee Date

31 Mar 21

Whittlesford Memorial Hall BALANCE SHEET 31/03/2021

31 Mar 21
ASSETS
Fixed Assets
Building
Equipment
Provision for depreciation
Total Fixed Assets
Cash at bank and in hand
Current Account 35365187
Deposit Account 0321 1525
Total Cash at bank and in hand
VAT Debtor
Other debtors
Total Current Assets
Current liabilities
Accounts Payable
Accruals and deferred income
S.106 Funds
Total Current Liabilities
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT LIABILITIES
Long Term Liabilities
Parish Council grant paid in advance
NET ASSETS
Reserves
Retained Earnings
Valuation of Building
Surplus for the Year
Charity funds
400,000
68,198
-42,433
425,765
13,049
72,623
85,672
1,660
441
87,772
811
1,225
2,461
4,497
83,275
509,040
2,000
2,000
507,040
26,019
72,337
400,000
8,684
507,040

31 Mar 20

400,000 68,198 -38,564 429,634

11,790 62,606 74,396

3,166 77,561

128 2,250 2,461 4,839

72,722

502,356

4,000 4,000 498,356

26,019 56,349 400,000 15,989 498,356

Whittlesford Memorial Hall

Income/Expenditure 31/03/2021
Note
Income
E.On Feedback tarif monies
Gifts and Donations Income:
Hire of tables
Total Gifts and Donations Income
Hall Rental
Interest Income
Grant Income (Covid)
s.106 Grant
1
PC Grant amortization
Total Income
Gross Proft
Expense
Admin cost - labour
Cleaning and Caretaking
Labour
Materials
Subcontract
Total Cleaning and Caretaking
Depreciation Expense
Gifts and Donations
Insurance
Licences and Permits
Maintenance
Building Maintenance
2
Equipment Repairs
Maintenance - Other
Total Maintenance
Marketing costs
Annual Accounts fees
Treasurers fees
Rent
Software
Ofce supplies
Sundry Small Expenses
Website
Telephone & Wif
Utilities
Gas & Electric
Waste Removal
Water
Total Utilities
Total Expense
Net Ordinary Income
Surplus for the Year
31 Mar 21
4,442
4,296
10
10
6,968
29,883
17
181
22,907
0
8,184
2,000
2,000
36,334
44,553
36,334
44,553
4,800
3,600
4,560
4,410
445
686
1,259
1,499
6,264
6,595
3,869
4,018
1,198
1,432
299
311
5,954
5,065
116
419
0
6,070
5,485
143
183
270
270
806
75
187
39
0
129
181
2,929
3,595
1,062
1,006
390
1,010
4,381
5,611
27,650
28,565
8,684
15,989
8,684
15,989
April 20
to Mar'21
Apr '19 to
Mar' 20
31 Mar 21
4,442
4,296
10
10
6,968
29,883
17
181
22,907
0
8,184
2,000
2,000
36,334
44,553
36,334
44,553
4,800
3,600
4,560
4,410
445
686
1,259
1,499
6,264
6,595
3,869
4,018
1,198
1,432
299
311
5,954
5,065
116
419
0
6,070
5,485
143
183
270
270
806
75
187
39
0
129
181
2,929
3,595
1,062
1,006
390
1,010
4,381
5,611
27,650
28,565
8,684
15,989
8,684
15,989
April 20
to Mar'21
Apr '19 to
Mar' 20
44,553
44,553
3,600
4,410
686
1,499
6,595
4,018
1,432
311
5,065
419
0
5,485
143
270
806
75
39
0
181
3,595
1,006
1,010
5,611
28,565
15,989
15,989

Notes

2 Main projects Main Hall redecoration Lighting Paving and Bollards

Independènt EMamineT'S Rel>￿t to the Trustees ol Vlhittlesford MemoAal Hall" Re8thred Charlty 3(Xb428 I report on the accounts of the Trust for the year ended 3tst Marth 2021 The charrty's tn￿teeSaTe Tesponsible for the preparatwm of the accounts. The charitws tntstees consider that an audit is not required for this veèr lunder 5ectbon 43121 of the CharIt￿S Act 1993 (the 1993 Act} and that an tndependent examination is needed. r( is my responsibility. - to exarnine the acCoU￿ts IuwKler section 4313llal of the 1993 Act): - to fojlow the pr(Kedures la￿ down in the General Directi￿5 given by the Chaftty Commissioner lunder 5ectiopn 4317llbl of the 1993 Act,. - to state whether particular matters have come to my attention. Basis of Independent Examinerfs report My examination was £arried out in accordance wrth the General Directions given by the tharity Commissione￿. An examination includes a review of the accounting records kept by the charity a comparison of the accounts presented with those records. tt also includes consideration of any unusual items or disCk)Su￿ in the accounts and seeking explanations for you a5 trustees concerning any such matters. The procedures undertaken do not prti¥Fde all the evidence that would be required in an audit, and consequentty I do n¢X ewre5s an audit opinion on the view given by the account lndent Examirs statem In connection WTth my examin3tion, NO matter has come to my attention: 111 which gives me reasonable cause to believe that, tn any material respect. the requirements - to keep accoufftting ￿ordS in accordance with sectM)n 41 of the 1993 Act. and - to prepare accounts whith accord with ihe account1r￿ records and comply with the accounting requlrements of the 1993 Act have not been mei.. or 121 to which. in my opinion. attenitrm should be drawnin order lo enable a prO￿r understanding of the acc¢xJnts to be reache<l. ¥WILf Narne: Hugh P Holland Address". The Old Forge 3 High Street Whittlesfwl Cambridge C822 4LT Date I ILlioly Pa8e7ot7