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2021-03-31-accounts

Kelvedon Hatch Village Hall Charitable Trust

Reg. Charity No. 301350 Poors Field, School Road, Kelvedon Hatch, Brentwood, Essex, CM15 0DL

ACCOUNTS Receipts & Payments 1ST APRIL 2020 31ST MARCH 2021

Page 1

KELVEDON HATCH VILLAGE HALL CHARITABLE TRUST

STATEMENT OF ASSETS AND LIABILITIES YEAR ENDING 31/03/21

CASH FUNDS
Reserved Funds
Essential Planned Works :
Projects 2019 - ?: Refurbishment of Stage Area (est. cost £7,000)
Emergency Repairs
Fluctuation in receipts (Covid restriction may be reintroduced)
Year end cash funds
TOTAL CASH FUNDS
OTHER MONETARY ASSETS
INVESTMENT ASSETS
ASSETS RETAINED FOR THE CHARITY'S OWN USE
Land and Buildings at cost
Comprising:
Land
approx 4.75 acres
Building
Village Hall
1
Building
Annex
1
Tables
Folding
24
Fixed
8
Chairs
Folding
133
Fixed
20
Trolleys
Table
2
Chairs
1
Food
2
Cooker
8 burner range
1
Fridge
1
Freezer
1
Microwave
1
Hoover
1
Filing Cabinet
1
Laminator
A4
1
Tea Urn
1
LIABILITIES
TOTAL NET ASSETS
Approved by the Trustees on
Signed
Unrestricted Funds
2020/2021
2019/2020
£
£
5,000
1,000
0
0
3,000
1,350
12,000
3,500
201
57
20,201
5,907
-
-
57,988
57,988
-
78,189
63,895
Unrestricted Funds
2020/2021
2019/2020
£
£
5,000
1,000
0
0
3,000
1,350
12,000
3,500
201
57
20,201
5,907
-
-
57,988
57,988
-
78,189
63,895
5,907
-
-
57,988
-
63,895
15thJune 2021
position if any
Bryan Edward Smith Chairman
David Hughes Trustee

Page 2

KELVEDON HATCH VILLAGE HALL CHARITABLE TRUST RECEIPTS AND PAYMENTS ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2021

A1
RECEIPTS
Hire of Hall delivering charitable objects
Hire of Land
Hire of Buildings (net of returned damage deposits)
Donations
Grants
Gas Refund/Insurance Claim
Business Account Interest
Total Receipts
A2
There were no asset or investment sales
A3
PAYMENTS
Refunded Hire Fees (Covid 19 Restrictions)
Utilities
Insurance
Buildings maintenance
Grounds maintenance
Cleaning
Refuse Collection
Administration Costs (PRS/APL/Sundries/Adverts)
Business Rates
Sub total
A4
Asset Purchases
Sub total
Total Payments
Surplus (deficit) of income over expenditure
Reserves brought forward 1 April 2019
Reserves carried forward 31 March 2020
A5
Reserved Funds
Essential Planned Works :
Projects 2019 - ?: Refurbishment of Stage Area (est. cost £7,000)
Emergency Repairs
Fluctuation in receipts (Covid restriction may be reintroduced)
A6
Year end cash funds
2020/2021
2019/2020
£
£
£
£
1,560
9,845
8,535
9,622
0
2,673
500
2
26,943
1,700
142
9,402
0
1
37,680
33,245
817
2,106
2,886
2,367
2,254
7,997
26,718
6,805
2,203
1,894
4,555
1,042
1,040
358
461
0
237
23,385
40,354
0
0
0
0
23,385
40,354
14,295
(7,108)
64,555
71,663
78,850
64,555
5,000
1,000
0
0
3,000
1,350
12,000
3,500
201
57
2020/2021
2019/2020
£
£
£
£
1,560
9,845
8,535
9,622
0
2,673
500
2
26,943
1,700
142
9,402
0
1
37,680
33,245
817
2,106
2,886
2,367
2,254
7,997
26,718
6,805
2,203
1,894
4,555
1,042
1,040
358
461
0
237
23,385
40,354
0
0
0
0
23,385
40,354
14,295
(7,108)
64,555
71,663
78,850
64,555
5,000
1,000
0
0
3,000
1,350
12,000
3,500
201
57
33,245
0
**40,354 **
(7,108)
71,663
64,555
1,000
0
1,350
3,500
57

Page 3

KELVEDON HATCH VILLAGE HALL CHARITABLE TRUST

NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 31 MARCH 2021

1 ACCOUNTING CONVENTION AND POLICIES

The accounts have been prepared under the historical cost convention on the "receipts and payments" basis.

2 TRUSTEE EXPENSES

There were no expenses paid to or claimed by the Trustees.

3 REIMBURSEMENT TO TRUSTEES

Because of doubts around security of electronic banking, the Trustees have not sanctioned its use. Unfortunately, due to the pandemic, it was not possible to continue with the Trust's normal financial practices. As an emergency solution D. Hughes offered to refund hire fees and pay some invoices

electronically,hewasreimbursed: electronically,hewasreimbursed: £6,889.91
PRS
Cancelled Covid 20
Drain Cover
Electrical inspection
Electrical remedial
work
£ 178.30
£ 816.77
£ 700.00
£ 275.00
£255.00
Gardening/Weed Killing around Hall
Roof & Security
Security Signs for Buildings
Annual inspection of Fire
Extinguishers
Fit Wall mounted hand sanitisers &
refill
£ 345.00
£ 3,378.20
£ 261.98
£ 540.00
£139.66

4 ASSETS RETAINED FOR THE CHARITY'S OWN USE

Upkeep, refurbishment and repair costs relating to the buildings are written off to the Receipts and Payments account, with the buildings themselves being carried forwards in the Statement of Assets and Liabilities at their original cost.

In line with Use Class the Tennis Courts have been removed from the Charity's Asset List as these were provided and are maintained by the Kelvedon Hatch Tennis Club.

The 'Changing Rooms' are now described more accurately as an 'Annex' because the Kelvedon Hatch Football Club provided and maintain the internal requirements for its use.

5 PROJECTS FOR 2020/21

None undertaken (see Essential Works)

5 PROJECTS FOR 2020/21
None undertaken (see Essential Works) 0
6 GRANTS
Boundary Tree
Kelvedon Hatch Parish Council Maintenance £5,750
Security £1,000
BBC/Gov Covid 19 Small Business Grants (5) £20,193
BBC 15% discretionary rate relief. £699
7 DONATIONS
received with thanks from 1 personal donor £500
8 ESSCENTIAL/EMERGENCY WORKS
Security installation for insurance purposes following £3,700
vandalism 19/20
Further removal of tree roots from sewers £1,500
9 The Fluctuation in Receipts Reservehas been increased £12,000
because of the uncertainty of the return to 'normal' hire patterns.
It could take a year for confidence to return especially for groups
with older (vulnerable) members.

Page 4

Kelvedon Hatch Village Hall

Charitable Trust

Reg. Charity No. 301350 Poors Field, School Road, Kelvedon Hatch, Brentwood, Essex, CM15 0DL

TRUSTEES ANNUAL REPORT

1ST APRIL 2020 31ST MARCH 2021

KELEDON HATCH VILLAGE HALL CHARITABLE TRUST Trustees Annual Report 2020/2021

Section A

Charity Name Registered charity number Charity Address Trustees

Kelvedon Hatch Village Hall 301350

Poors Field, School Road, Kelvedon Hatch, Brentwood, Essex, CM15 0DL

Dates Acted if not for whole Name of body entitled to appoint Trustee Name Office year a trustee Balcombe, Raymond Senior Football Club Dawson, Tracey Hughes, David Minute/Booking Secretary North, Catherine Treasurer Smith, Bryan Chairman Wright, Janet Kelvedon Hatch Parish Council Jordan, Tina Birch, Andrea North, Richard

Custodian Trustee

Official Custodian for Charities

Section B

Type of Governing Document Trust Deed How the charity is constituted Trust

Trustee selection methods

Elected by beneficiaries 5 Bodies entitled to appoint trustees

The Kelvedon Hatch Parochial Church Council no longer in existence The Committee of the Kelvedon Hatch Women's The Kelvedon Hatch Parish Council Institute The Committee of the Kelvedon Hatch Football Club The Committee of the Kelvedon Hatch Garden Society The Kelvedon Hatch Craft Club (from Dec. 06) The Committee of the Kelvedon Hatch Youth Club The Kelvedon Hatch Art Group (from Dec. 06) Co-opted 6

Section C

Summary of the objects of the charity set out in its governing document

Improving the conditions of life for the inhabitants of Kelvedon Hatch and the area of benefit. Summary of the main activities in relation to these objects

Maintaining a village hall for the use of the inhabitants of Kelvedon Hatch in particular for use for meetings, lectures and classes and for other forms of recreation and leisure time occupation.

Section D

Summary of the main achievements of the charity during the year.

Weekdays

Dance and Drama Pilates Art Club Art Club Parent & Toddler Fit Club Martial Arts Various committee meetings Weekend Snr. Football Club Tennis Club

Children/teenagers 2 afternoons/evenings per week Adult 1 evening per week All ages 1 evening per week All ages 1 afternoon per week Adult/Children 1 morning per week All ages 1 evening per week All ages 1 evening per week Various village groups Approx. 4 per month Adult seasonal use 1 afternoon per week (approx) All ages seasonal use 1 afternoon per week (approx)

Page 1

TRUSTEES ANNUAL REPORT 20/21 Cont..

Continuing Public Benefit

Because of the Pandemic and legal restrictions on use, the hall has only been available for hire by those running classes for a few months during the past financial year. The Trustees have kept in touch via phone and email with hirers and are hopeful that they will return when the Gov. gives permission to open up again. The Trustees will continue to encourage all types of classes, meetings etc

in line with the objects of the Charity. It is expected that the remaining hire will continue, on the whole, to be birthday parties for village children.

The Trustees will continue to take a pragmatic view on the hiring of the hall and will accept hiring from individuals, clubs or businesses as long as the purpose of hire is legal, will not bring the charity into disrepute and there is a clear benefit to some or all of the beneficiaries in line with the objects of the Charity.

The cost of hire differentiates between types of hire and beneficiary status to ensure that the beneficiaries gain the most benefit.

Summary: Main achievements of the Trust during the year to facilitate delivery of the objects of the Charity.

Because of past and on going attacks on the hall by vandals and a total lack of police presence, security systems have had to be put in place to keep insurance premiums at a reasonable level.

Major work on the boundary trees was undertaken, especially one very old oak tree, which it is hoped will now last for many more years.

The sewer running down the back of the hall had to be cleared of tree roots, this will obviously be an ongoing problem.

Impact of Covid 19 Pandemic

The Trust received all grants available and zero rate demand which helped enormously in keeping the Village Hall a viable community resource ready to open again when the law allows.

The AGM was postponed, with the same Trustees continuing to manage the property, The Trustees Report (2019/20) to the beneficiaries, the Accounts and Financial Report that would normally been presented at the AGM were delivered to each household in the village via the Village News

Due to the vulnerable or clinically vulnerable status of all but two of the Trustees, it was decided that urgent business would be delt with via email plus regular updates on the Trust's financial position. The Trustees decided to continue with the cleaning contract, but just once a month.

Along with the government grants received, the land brought in much needed income. The Trust is fortunate that unlike other halls it does not rely on the activities of a Social Club (ie bar) for revenue.

Section E

Policy on reserves
Essential Planned Works :
Projects 2019 - ?: Refurbishment of Stage Area (est. cost £7,000)
Emergency Repairs
Fluctuation in receipts (Covid restriction may be reintroduced)
Total Reserves
Year end cash funds
£5,000
£0
£3,000
£12,000
£20,000
£201

----- Start of picture text -----
Approved by the Trustees on
15th June 2021
Signed position if any
Bryan Edward Smith Chairman
David Hughes Trustee
----- End of picture text -----

Page 2

Independent examiner's report on the accounts

Section A Independent Examiner’s Report

Report to the trustees/ Charity Name members of Kelvedon Hatch Village Hall Charitable Trust

On accounts for the year
ended
Set out on pages
31stMarch 2021 Charity no
(if any)
301350
1 - 3(remember to include the page numbers of additional sheets)

I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 3 .

As the charity's trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).

Responsibilities and basis of I report in respect of my examination of the Trust’s accounts carried out under section 145 of report the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act.

Independent examiner's statement

[The charity’s gross income exceeded £250,000 and I am qualified to undertake the

examination by being a qualified member of [insert name of applicable listed body]]. Delete [ ] if not applicable.

I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination (other than that disclosed below *) which gives me cause to believe that in, any material respect:

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.

Signed:
Name:
David Williams 29/08/2021
DAVID WILLIAMS

Relevant professional none qualification(s) or body (if any):

Address: 47 Roding Drive

Kelvedon Hatch Brentwood, Essex. CM15 0XA

Section B Disclosure

Only complete if the examiner needs to highlight material matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners).

Give here brief details of any items that the examiner wishes to disclose .