SOUTHBOURNE VILL&0E HALL Charity Number 301762 Minutes of Annual General Meeting 2026 held at Southbourne Village Hall on 28 Mar 26at 1030 Attendees -David Roy, Joyce Roy, David Barnes, Justin Wilkins, lan Le Poidevin, Pam Dobson Apologies - Nil Members of Public- Ruth Heelan, Kathryn Gibbs, 1. Introduction. David Roy welcomed all to the AGM. He highlighted it had been a good year, with 30 regular groups, including a notable increase in the use of the Sutcliffe Room for evening language classes. Unfortunately the Baby Clinic was to move to the library due to inability to access the Sutcliffe Room with a double buggy. This is regrettable but it was agreed that the investment required was not cost-effective. when the option to leave buggies in the kitchen was rejected. 2. Thank Yous. Some complimentary comments were read regarding the hall from the regular groups, with particular praise for Kathryn who continues to go above and beyond, 3. Reappointment of Trustees. David Roy asked if all trustees wished to be reappointed for another year, all agreed. 4. Treasurers Report. Juslin Wilkins delivered the treasurers report. which indicaled Ihat income had been approximately £34500 at the year end, which was an increase of £4500 on the previous year. with expenditure also being increased, mainly due to staff cosls of £15500, £4000 increase on the previous year. The maintenance has been another large expenditure of £10000. This left the Hall, wilh a healthy £16000 in Savings and £21000 in the Current Account at the Year End in Sep 25, which is a sound position for the future. 5. Malntenance Report. lan Le Poidevin thanked the Chair, David Roy, for his leadership and support in the maintenance. The aim of the maintenance has been to ensure that the hall is safe and sustainable and maintainable. The main expenditure has bee on replacing the electric lighting that was tripping, and also setting the heating into zones. The TV has been replaced and it is recommended it is just moved as required between the Sutcliffe Room and the Hall rather than purchasing an additional TV. The garden has continued to improve under Stephen's care. There has been conlinued painting an decorating and some artwork for the Sutcliffe Room. The electronic lock continues to be a success, with only failure being when the batteries needed replacing. The Reporting process seems lo be working well too. For future the recomrnendation is that Ihe CCTV needs replacing, and polentially a telher for the TV in the Sutcliffe Room to ensure cannot full over. 6. Future Actions. David highlighted that we are engaging with Mindworks a Marketing Agency to look to get a greater profile of the hall. The White Lines are due to be painted in the car park, and the tree trimmed. The Spring and Summer Fair are in the diary and advertised.
- Questions. Ruth Heelan discussed possible use of an art competition to get people to come to the hall for the fairs, which the trustees will take for discussion, and also highlighted Ihat if there were any complaints of the hall then il would be on the Southbourne Community Facebook page which she runs, however there hasn't been any. Meeting Closed 1100
SOUTHBOURNE VILLAGE HALL
Registered Charity No.301762
RECEIPTS AND PAYMENTS FOR THE YEAR ENDED 30 SEPTEMBER 2025
Incoming Resources
| Incoming Resources | ||
|---|---|---|
| Hiring Charges for premises & equipment | 34,639.19 | |
| Event income | 1,890.00 | |
| Other Income | 2,027.72 | |
| 38556.91 | ||
| Resouces Expended | ||
| NET Staff Salaries Paid | 15,535.02 | |
| Repairs and Renewals | 10,141.16 | |
| General Purchases & Expenses | 4,991.84 | |
| Electricity | 3,155.71 | |
| Fixed Premises Expenses | 2,803.83 | |
| Insurance | 746.85 | |
| Event Costs | 686.43 | |
| Hosting Fees and IT Consumables | 543.61 | |
| Books, Magazines etc. | 115.8 | |
| Marketing and Sales Promotions | 46.78 | |
| 38,767.03 | ||
| 38767.03 | ||
| Net Profit/(Loss): | -210.12 |
NOTES TO THE ACCOUNTS FOR THE YEAR ENDED 30 SEPTEMBER 2025
1 Basis of preparation
| The accounts have been prepared on accrual accounting basis. 2. Statement of assets and liabilities at 30 September 2025 Cash funds Cash and bank balances held by Lloyds Other monetary assets Amounts due from hire of premises and equipment Liabilities Creditors |
|
|---|---|
| £33,477.19 | |
| £1,331.19 £0 |