Cave Mason Associates
Accounting & Taxation Services
Brazcmoor
Lanreath
Cornh'all PL13 2PG
Tel OIS03 2202?2
The Committee
Calstock Village Hall
The Quay
CALSTOCK
Cornwall
PL8 2DD
27 July 2026
Dear All,
Accounts Year Ended 30 September 2025
I have now completed my review of the accounts and associated records for the year ended 30
September 2025 and am pleased to confirm that, as for previou5 years. there were no particular
problem areas found during the course of this review. As for previous years, I did recategorize
some items. For instance the picnic benches have been included under fixed assets. l am
therefore delighted to enc105e a set of accounts with the duly completed Independent Examinefs
Statement. You need to send these off to the Charities Commission once they have been signed
by the treasurer.
As part of my review, l undertook the following work:
11 Reviewed the bank records to reconcile the bank balance.
21 Reviewed a selection of purchase invoices to track these to eventual payment and bank
clearance. There were no particular difficulties with these.
31 Reviewed a selection of sales and banking5 from the banking records to verify the
amounts and to trace the totals to bankings.
As for previous years. l ensured that the Quickbooks accounting system was set to cash basis. in
line with the Charities Commission expectation for small charities so that the accounts include
only paid items of the year, with debtors. creditors and accruals being ignored.
There was ongoing work on the village hall for which further grant money was received and. a5
for the previous year. the major works have been treated as improvements and included within
the Balance Sheet rather than in the Profit and Loss Account. The grant income is included under
other income in the Profit and Loss Account. along with donations. As I mentioned last year. thi5
does affect the profit shown in the profit and loss account, but it has to be remembered that this
"profit" Was Used to fund the improvements. and this can be verified by the end bank balance.
The private loans to ensure that payment could be made on time for various of the costs were
cleared in the year and the loan from Gill Lane has been converted to a donation and included
within other income for this year.
J Mason
e-mail: inforncai'emason.co.uk
SECave

As for previous years, the records were kept properly and comply with the requirements of the
Charity Commission Guidance booklet CC32 and so l am able to give the accounts and accounting
records a clean bill of health.
l enclose a spare copy of the accounts, which has the accountants. report. for retention along
with a copy of the Trial Balance so that the openin8 balances for the current year can be set to
the correct amounts.
Should you have any questions with regard to my review, then please do not hesitate to contact
me.
Finally. I take this opportunity of enclosing my firm's Statement of Charges for kind attention.
Kind regards,
John Mason
Cave Masoll Associates.

Registered number
Calstock Village Hall
Accounts
30 September 2025

Calstock Village Hall
Accountants, Report
A¢¢ountants' report to the trO￿￿Ter of
Calstock Village Hall
In accordance with your instructions have prepared the accL)unts vthich compTise the Profit and
Loss and the BJance Sheet from the accounting r￿rdS of the Mllage hall and on the basis of
infonnalion and eWanatKJns you have given us.
We have not carried out an audr( or any other Thiew, and conwu8ntty we do not express any
opinion on Ihese a¢￿unts.
Cave Mason Assccptes
Accountants
Brazemoor
Lanreath
Comwall
PL13 2PG
27 July 2026

Calstock Village Hall
Profit and Loss Account
for the year ended 30 September 202S
2025
2024
Tumover
97.178
58,217
Other income
74.007
130,820
Cost of raw materials and consumables
{20.135)
{8,209)
Gross profrt
151,050
180.828
Stsff costs
Other charges
{17,9971
{38,560)
115,4701
(34,762)
Profrt before taxallon
94.493
130,596
Profit
94,493
130,596

Calstock Village Hall
Registered number:
Balance Sheet
as at 30 September 2025
2025
2024
Fixed assets
249.942
178.285
Current assets
Creditors.. amounts falling due within one
year
Net current Ilh3bilities}lassets
Totsl assets ￿sS current lia￿'1111eS
Net assets
20.642
25.oC￿
20,642
270,584
270,584
{2.1941
176,091
176,091
Capital and reserves
270,584
176,091
Number
Number
Average number of employees
Matt Taylor
Treasurer
Approved by the committ* on 27 Juty 2r)26

Calstock Village Hall
Detailed profit and loss account items
for the year ended 30 September 2025
Th￿ sGhedule does fannpart of tlt8 Stafutory accounts
2025
2024
Sa
97.178
58,217
Other Incomg
Other operating income
Inte￿$t receivable
74,CM)5
130,811
74,007
130,820
Cost of raw materlals and Consumables
Purchases
20.135
8,209
Slaff ¢osts
Wages and salaries
17.997
15.470
Other charges
Premises ￿)sts..
Rates
Light and heat
c￿anIng
451
S,1)09
3.332
8.792
3,160
6,610
3,814
13.584
General administrative eX￿nSes".
stationery and prinbng
SubscriptK)ns
Insuran¢
sO￿a
Repairs and maintenan
Sundry expenses
935
1,144
2,907
1,166
2.471
1,033
3,201
4.441
215
10,260
8,938
Legal and professional costs:
Accounlan¢y fees
Advertising and PR
Other legal and professtonal
342
140
1,000
1.482
140
89
529
Other
other direct costs
19,348
19,348
10,389
10,389
38.560
34.762

Calstock Vlllage Hall
Trial balanGg
AutoHide 15 on
Enterdebits as + and Gredits as- [8ssets 8ndexwj￿S debts]
Cutrent year
Comparats've
PROFIT AND LOSS ACCOUNT
Turnover
Cost of sales
Sates
Purthases
Decrease in stocks
Sutcontractor costs
Direct labour
Carriage
Discourrts allowed
Commissions payab
Other direct costs
Distn"butr)n costs
Wages and salaries
Diwtofs saLary
Pens￿nS
Bonuses
Empk)yerfs Nl
Temporary staff and recruitment
Staff training 2nd welfare
HoteL8 & ￿•mc#Jat*
hkjtor expenses
Entertaining
Rent
Rates
Setvice charges
Light and heat
Cleaning
Use of hcKne
Telephone and fax
Postage
ststh)nery and prsnting
Courier serwces
Infomiation and publicattons
Subscfiptions
Bank charges
Insurance
Equipment expens&
Equipment hire
Computer & intemel
Repairs and maintenance
Depreciation
Amortisation of gcKMtsill
Bad debts
Sundry expenses
Audit fees
Accountancy fees
Soliutors fees
Consutsncy fees
Management fees
Advertising and PR
Oihef legal and professional
Other operating income
LaThJ and buildings
Plant & machinery
Diswsal of investments
Income from investments
Interest recer¥abl8
-97.178
20,135
-58.217
8.209
19.348
10,389
Distribut￿)n costs
Employee costs
17.997
15,470
Premises costs
451
3,160
5,009
3.332
6,610
3.814
General admin
315
935
482
1.144
1.033
2,907
3.201
1.166
2.471
4,441
215
Legal and professional costs
342
300
140
1,OCK)
-74.005
140
89
-130.811
Other operating income
Exceptional - pll on disposal
Income from investsments
Interest receivable
TB Calstcck Village Hau 2025 ￿.x1sX 1 27107r2026

Calstock Village Hall
Trial balance
AutoHide is on
Enterdebits as + and credts as- [assets and expenses are debts]
Current year
Comparative
Interest payable
Interest payab
Non-equtty d￿￿eThIS
Corporatton tax
CorForab"on tax- year adjustrnents
Taxation
Retained Iprofftlnc6S
-94,493
-130.596
BALANCE SHEET
Called up share capital not pam
Intsngible FA
cal￿ up share capital not pa*J
Cost. b1￿1
Cost- addrtions
Cost- disF¥)sals
AMOrb"sat￿n - blhvd
Amorbsation - provKled in year
AmortisatK)n - disFLisals
Land & buildings
130,281
70.997
Cost- additions
Cost- disposals
130.281
Depn - charge for the year
Depn - disposals
Cost. b/￿¥d
Cost- additions
Cost- disposals
Dew .
De￿ - prowded in year
De￿- disposals
Cost- blhvd
Cost- add￿OnS
Cost- diswsals
Depn . blfvvd
Depn - prowded in year
Depn - disposa
Fixtu￿$ & ffttings
48.004
25,278
22,726
Motor vehicles
Investments in subsidiaries
Addtbons
Disposals
Other investments- listè
Addrlions
Dwosals
Other investments- unlisted
Addttions
Disposals
Stocks
Debtors
Trade debtors
Due from group undertakings
Other debtors
Listed
Unlisted
Cash at bank and on hand
rdrafts
Prepayments and accrued in¢¢Th Prepayments
Accrued income
Bank loans
Current asset investments
Cash at bank
20,642
22.806
Creditors less than 1yr
TB CalstrKk Village Hall 2025 I￿.￿sX 2 27107r2026

Calstock Willage Hall
Trial balance
AutoHlde Is on
Enter(tsbits as + 8ndoYdts &%- [assets and expenses are deL*4
Current year Comparative
Finance iease and HP contrxts
Trode creditors
Due to group u￿lertakings
Corwratson tax
Other tsxes and social *curity
Proposed dmdends
rued preferen￿ divtdends
Non-equty p￿feren￿ sha￿$
Other ￿editOrS
Bank loans
Finan￿ lease and HP contracts
Trade creditors
Due to group undertaking5
Non-equty preferer￿e shares
other creditors
-25,OCN)
C￿drt0rs gwter than 1yr
Provisions for liabilities
Accruals and defer￿1 income
Accnjafs
Defe￿j income
Share caprta
Shares issued
Shares redeemed
Share premium
On shares issued
Expenses of issue
Profit and loss account
-176,091
45.495
Prnr year adjustsment
Totals (allshould be zero)
TB Calstr£k Village Ham 2025 VT.xlsx 3 27107r2026

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
Calstock Village Hall
On accounts for the year
ended
30 September 2025
Charity no
(rf any)
300522
Set out on pages
£wn6mb8r to iftdude ihts page nuwibers of dddthonal 6iietrtsl
I report to the trustees on my examination of the accounts of the above
chaTTty {1he Trust.) for the year ended
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 Charrties Act
2011 nhe Acr).
I report in respect of my examination of the Trust's a¢￿unt5 carried out
under section 145 of the 2011 Act and in carying out my examination, I
have followed the applicable ￿rectionS given by the Charity Commission
under section 145{5)(b) of the Act.
I have completed my examination. I confimi that no matertal matters have
come to my attention (other than that disclosed ￿loW ") in connection with
the examination which gives me Cause to believe that in, any material
respect..
accounting records ￿re not kept in accordance with sedion 130 of
the Act or
the accounts do not accord with the accounting records
Independent
examinerfs statement
I have no con￿M$ 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.
. Please delete the woffls in the brackets rfthey do not apply.
Signed:
Date:
27 July 2026
Name:
John Mason
Relevant professional
qualification(s) or body
(if any):
Ex HM InsFeclor of Taxes
Address:
Brazemoor
Lanreath. Comwall
PL13 2PG
IER
October 2018

Section B
Disclosure
Only complete if the examiner needs to high1￿ht matters of concem (see CC32,
IrKlependent examination of charity accounts.. d1￿ctionS and guidan￿ for
examiners).
Give here brief detalls of
any items that the
examiner wishes to
dlsclose.
IER
October 2018