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2023-03-31-accounts

Annual Report of the Trusteee of the Whittlesford Memorial Hall for the Year ending 3181 March 2023 Registered Charity: 300428 CotresEM)ndence Addre&s: The Parish ClerL 7 Newton Road, JKhittlesfor¢ Catnbridge. CB22 4PF Founded by: A TnLgt Deed dated la Septemb¢r 1922. as amend￿ by a furth¢r Deed dated 23rd November 1923 ,and replaced by a Charity Scheme dated 14th Augiist 2000 TnLStee . The Whittlesford Parish Council Bwlkers: Santander AIMS: Our restxmsibility is to provide and maintsxn a Hall for use by the inhabitants of ittlesford without distinction of ￿litical, religious OT other Opinions, including for meetings, lectures, classes and other fonns of recreation and leisure-time Occupatio￿ with the object improving th¢ conditions of like for the inhabitants of the village. ORGANISATION: Under the provision of a Trust Deed and a Scheme of An￿lgernent, the management of the Hall is vested in a Conllnittee, whose members are appointed by the Ivhittlesford Parish Council. ACHIEVEMENTS: The Hall h&s continued to provide a vital meettng place for members of the village and for Clubs and Societies. In particular, the Hall continued to host early years educational provision for the village via the Whitsers Prfrschool organisation, that otmtes from the Hall during school terni.time. During the year further impmvements were made in the facilities provided at the Hall and new lighting w&s instslled in the main I￿ll. The Trustee would like to Tecord its thanks to the members of the Hall Management Committee and the caretaker for their work during the year. The village continues to benefit from their vitsl Work for the Lx)rnmunity. Signe Dated 313t January 2024 Dr Richard Williams Chair of the Ivbittlesford Parish Council. 3//ilZ<

Whittlesford Memorial Hall BALANCE SHEET 31/03/2023

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
NET ASSETS
Retained Earnings
Valuation of Building
Surplus for the Year
Charity funds
31 Mar 23
400,000
69,846
-49,217
420,629
30,457
81,686
112,143
2,403
1,508
116,054
344
936
3,573
4,853
111,201
531,830
0
0
531,830
123,310
400,000
8,520
531,830
31 Mar 22
400,000
68,285
-46,203
422,082
31,993
72,622
104,615
1,364
680
106,659
738
1,120
3,573
5,431
101,228
523,310
0
0
523,310
107,040
400,000
16,270
523,310

Page 1 of 6

Whittlesford Memorial Hall

Whittlesford Memorial Hall
Income/Expenditure 31/03/2023
Note
Income
E.On Feedback tariff monies
Hall Rental
Interest Income
Other Income
Grant Income (Covid)
s.106 Grant
1
PC Grant amortization
Total Income
Gross Profit
Expense
Admin cost - labour
Cleaning and Caretaking
Labour
Materials
Subcontract
Total Cleaning and Caretaking
Depreciation Expense
Insurance
Licences and Permits
Maintenance
Building Maintenance
2
Equipment Repairs
3
Total Maintenance
Marketing costs
Annual Accounts fees
Treasurers fees
Software
Small equipment purchases
Sundry Small Expenses
Telephone & Wifi
Utilities
Gas & Electric
Waste Removal
Water
Total Utilities
Total Expense
Net Ordinary Income
Surplus for the Year
April 22
to Mar'23
4,898
33,705
1,063
555
0
0
0
40,221
40,221
5,100
4,850
466
1,185
6,501
3,014
1,442
252
5,706
1,603
7,309
155
425
1,755
238
364
101
3,922
740
383
5,045
31,701
8,520
8,520
April 21
to Mar'22
4,148
25,177
7
10,667
0
2,000
41,999
41,999
4,800
4,560
327
689
5,576
3,770
1,500
70
2,675
349
3,024
227
512
674
88
1,070
15
49
3,824
993
-203
4,614
25,729
16,270
16,270

Page 2 of 6

Notes

2 Main projects
Annual and periodic inspections £1116
Remedial work following periodic
inspection £1559
Redecoration £478
New bin enclosure £530
Emergency plumbing repairs £400
3 Main projects
Annual contracts and PAT
Testing £490
New case for and consumables
for defibrillator £583

Page 3 of 6

Fixed Assets Cost Cost
Date Acquired Qty Cost Current year Depreciation period (years) Depreciation in previous
years B/F
NBV at year opening Months depreciated in year Depreciation for year 2022-
23
Year End Net Value Total Depreciation C/F
**Curtains - Main Hall 05/02/1999 8 £763.38 0.00 3 £762.38 £1.00 12 £0.00 £1.00 £762.38
**Curtains - Back of Stage 26/03/1999 1 £154.93 0.00 3 £153.93 £1.00 12 £0.00 £1.00 £153.93
**Curtains - Millennium Room
26/09/1999
£497.73 0.00 3 £496.73 £1.00 12 £0.00 £1.00 £496.73
Stage equipment 09/11/2001 1 £1,210.68 0.00 5 £1,209.68 £1.00 12 £0.00 £1.00 £1,209.68
*Piano 06/04/2001 1 £1.00 0.00 N/A £0.00 £1.00 12 £0.00 £1.00 £0.00
*Refrigerator 06/04/2001 1 £1.00 0.00 N/A £0.00 £1.00 12 £0.00 £1.00 £0.00
*Stage system(original) 06/04/2001 £3,500.00 0.00 3 £3,499.00 £1.00 12 £0.00 £1.00 £3,499.00
*Chairs 06/04/2001 195 3,510.00 0.00 3 £3,509.00 £1.00 12 £0.00 £1.00 £3,509.00
Tables 04/11/2002 10 1,401.56 0.00 3 £1,400.56 £1.00 12 £0.00 £1.00 £1,400.56
Tables 27/08/2004 10 731.02 0.00 3 £730.02 £1.00 12 £0.00 £1.00 £730.02
Table truck & chair trolley 27/08/2004 432.25 0.00 3 £431.25 £1.00 12 £0.00 £1.01 £431.25
Shed 04/08/2005 3,244.65 0.00 5 £3,243.65 £1.00 12 £0.00 £1.01 £3,243.65
Headset mikes 12/08/2005 688.46 0.00 3 £687.46 £1.00 12 £0.00 £1.01 £687.46
Liebherr UKS 5000 Fridge 19/10/2007 1 612.77 0.00 5 £612.76 £0.00 12 £0.00 £1.01 £612.76
Hand driers 14/11/2011 806.59 0.00 5 806.59 0.01 12 0.00 0.01 806.59
Solarpanels 30/11/2011 25,175.00 0.00 25 10,582.33 14,592.67 12 1,007.00 13,585.67 11,589.33
Underfloor heating 16/08/2010 1,219.50 0.00 10 1,219.50 0.00 12 0.00 0.00 1,219.50
Main Hall curtains 30/07/2014 718.87 0.00 5 718.87 0.00 12 0.00 0.00 718.87
Chairs 05/08/2014 4,553.10 0.00 5 4,553.10 0.00 12 0.00 0.00 4,553.10
10 x Tables 15/05/2015 681.93 0.00 5 681.93 0.00 12 0.00 0.00 681.93
Drinks cooler 03/08/2015 512.40 0.00 5 512.40 0.00 12 0.00 0.00 512.40
Boiler 31/10/2017 4,490.42 0.00 5 3,966.54 523.88 12 523.88 0.00 4,490.42
A/C unit 31/10/2017 3,603.00 0.00 5 3,182.65 420.35 12 420.35 0.00 3,603.00
Tables 10/10/2017 1,091.33 0.00 5 964.01 127.32 12 127.33 0.00 1,091.34
Henryvacuum cleaner 10/10/2017 141.66 0.00 5 125.13 16.53 12 16.53 0.00 141.66
6 x small tables 06/02/2019 454.32 0.00 5 280.15 174.17 12 90.86 83.31 371.01
Under Stage Storage 23/08/2019 8,000.00 0.00 10 1,866.66 6,133.34 12 800.00 5,333.34 2,666.66
Micro-Wave Oven 27/11/2021 87.50 5 17.50 70.00 12 17.50 52.50 35.00
£68,285.05 0.00 £46,213.78 £22,071.27 £3,003.44 £19,068.86 £49,217.20
New Lighting 1,561.00 10 1,561.00
£69,846.05 -
£
£46,213.78 £22,071.27 £3,003.44 £20,629.86 £49,217.20

Page 4 of 6

Whittlesford Memorial Hall Creditors

As of 31 March 22

Accounts Payable

Accounts Payable
£
Eon - Electricity 344
344
Accruals and Deferred income
Gas
Electricity
Water 128
Telephone
Software
Accounts 425
Treasurers Fees 383
936

Page 5 of 6

Whittlesford Memorial Hall A/R Ageing Summary As of 31 March 2022

Eon Credit balances on creditor account

£448

Page 6 of 6

CHARITY COMMISSION FOR ENGLAND ANO WALES Independent examinerfs report on the accounts Section A Independent Examiner's Report Report to the truste members of Imiittlesford Memorial Hall On accounts for the year gnded 31¥t March 2023 Charlty no (If any) 300428 Set out on pago$ 1to2 I report to the trustees on my examination of the accounts of the above tharity fthe Trusf) for the year ended 31# March 2023. Rèsponslbllftles and basis of report As the thar¥Vs trustees, you are responsible for the preparation of the accounts in accordan￿ with the requirements of the Charrties Act 2011 rthe Acr). I report in respect of my examinalion of the T￿￿rS accounts carrbed out under seclion 145 of the 2011 Act and in carying out my examination, I have followed all the apr4icable t￿reCtionS given by th8 Charity Commission under section 145(5)(b) of the Act. Independent I have comFAeted my examination. I confirm that no material matters havè •xamln•fs stat•ment come to my attention in connection with the examination which gives me cause to believe that in, any material restEd: the accounting records ￿re not kept in accordance with section 130 of the Charities Act; or the accounts did not accord with the accounting records,. or the accounts dKI not ccvnply with the applicable requirements conceming the fonn and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a Irue and fair, view which is not a matter considered as part of an independent examination. I have no COn￿mS and have Come across no other matters in Connection wÉlh the examination to which attention should be drawn in this report in order to enatAe a proper urKlerstanding of the accounts to be reached. 1210712023 Signed: Name: rim Phiuips" Director, Tim Phillips & Co Ltd Rthvant professional qualification{s> or body {If any): Piu4i1erlbSP) and a Tntsi& Cth)yny serv￿ ProvvJerif¢sp) vndeflfve mO￿Y LauTrw Reg￿tiOnS (MLRI. r8gtsredfAh re9￿al8d by HM Re¥8nu8 and Cu8tom8 IHMRCI. MLR Regi51ra￿D Nwthr. 12289511. Address: Cart House 2, CoFley Hill Business PaTk. Cambrhdge Road, Babraham Cambridge C822 3GN IER Oct 2018