Otterbourne Village Hall Committee – Registered Charity 301911
Chairman’s Annual Report – June 2026
Another year has quickly passed, and once again the Village Hall has remained at the heart of our community, providing a wonderful local facility that many nearby parishes can only admire.
That does not happen by chance. It reflects not only the care with which the hall is managed and maintained, but also the warmth, friendship and sense of belonging created by the many clubs and societies that call OVH home.
Terry and Carol continue to care for the hall with real dedication, and their efforts are strengthened by the commitment and goodwill shown by all our wonderful clubs. Otterbourne Village Hall only thrives because of the people who give their time, energy and support to it, and I am sincerely grateful to every one of you for all that you do.
The refurbishments completed over the past year, together with careful spending in the right areas, have continued to make a meaningful difference to the hall and all who use it. Susie continues to do a tremendous job in moving the accounting side forward, and it is very encouraging to see that we appear to be in a strong financial position. Long may that continue.
Otterbourne Theatre Company has enjoyed another fantastic 12 months since my last report, bringing energy, enjoyment and a great deal of talent to the hall. Highlights have included the Murder Mystery Evenings, the ‘ Jack and the Beanstalk’ pantomime (with rave reviews from the BBC), and the upcoming summer show, ‘ Yes, It’s another Night at the Musicals’ . Richard and his team deserve enormous credit for all they bring to OVH - they are a truly talented and committed group.
On a personal note, I would like to offer my heartfelt thanks not only to Terry for the energy, care and commitment he continues to give in managing the hall and all that takes place within it, but also to the whole Committee for their encouragement and support over the past 12 months, particularly Pete, Tim and Susie.
As this will be my last report, I would like to take this opportunity to wish you all the very best for the future.
Many thanks.
Andy Goodridge
Chairman
Otterbourne Village Hall Year End Accounts 31st March 2026
Registered Charity Number - 301911
| Address | Otterbourne Village Hall |
|---|---|
| Otterbourne | |
| Winchester | |
| Hampshire | |
| Independent Examiner | John K. Murray, DMS, FCPFA |
| Chartered Public Finance Accountant (Fellow) | |
| 9 Burley Road | |
| Winchester | |
| Hampshire | |
| SO22 6LJ |
Page 2 of 6
Otterbourne Village Hall Income Analysis Year ended 31 March 2026
----- Start of picture text -----
Income Source 2026 2025 2024 2023
Slim with Nicky 720
Sing It 320
Motor Neurone Disease (MND) 240
Railway Club 200
Sewing Class 150
A Cappello Choir 2,115 1,980 2,015 1,690
A&L Dance Club 2,205 1,350 2,385 2,510
AA 1,575 1,225 1,575 675
Anglo-Scandinavian 500 520 500 500
Art Vinery 1,040 320
Brass Band 2,440 1,950 1,640 1,860
Brendon Care 100 500 1,120
Bridge School 2,750 2,090 2,805 2,860
Brush Strokes 1,950 2,160 2,065 1,910
Cameo Club 300 300 300 240
Car Club 1,140 1,740 1,060 2,315
Choir Club 1,180 1,530 1,100 1,175
Committee Functions 27,485 23,761 22,403 19,268
Conservation Group 30 60 30 60
En Joy Dance 18,156 18,366 10,804
Flower Club 490 700 705 560
Forever Young 5,230 2,720
Hampshire County Council - Adopt South 2,040 800 2,220
Indian Dance 700 780 780
Institute of Advanced Motorists (I.A.M) 1,200 1,300 1,030 1,005
Itchen Valley Radio Club 595 770 945 715
Jiggly Wrigglers 1,720 1,800 440 360
Lace Makers 660 715 935 970
Other lets 7,630 11,958 11,220 11,150
Parish Council 420 555 390
Pilates 2,130 2,110 2,060
Slimming World 2,010 2,260 1,810 2,220
Sound Bath 70 175
Southampton Advanced Motorist (S.A.M) 650 890 755 305
SWS (Southern Water) 150 905 890 405
Tango Club 2,000 2,400 2,100 2,115
Waltham Chase Motor Cycle Club 850 750 500
WI 1,280 2,390 2,000 2,330
Yoga 5,940 5,875 5,713 6,105
Your weigh 735 690 720
Cheeky Monkey - 140
Dog Club - 1,000
Roll Play/Gyms etc - 3,695 11,200
Rugby Tots - 2,575
Russian Classes - 90 1,110
Seasons Art Club - 2,100
Sequence Dance - 1,160 1,400
Winchester City Council - 720
Sub Total 101,096 98,614 89,089 84,198
Add:
Interest -
Grants WCC - 12,850
Donations 750 88 744
Sale of Tech Equipment & Sound Box 12 1,076
Furniture Sale 300
Biffa - Toilets - 3,970
Sub Total 1,062 14,014 - 4,714
Total Income 102,159 112,628 89,089 88,911
% Income (over £3,000)
Committee Functions 27% 24% 25% 23%
Other Lets 8% 12% 13% 13%
Roll Play/Gyms 4% 13%
Yoga 6% 6% 6%
EN Joy Dance 18% 19% 12%
Forever Young 5%
----- End of picture text -----
Page 3 of 6
Otterbourne Village Hall Income & Expenditure
Year ended 31 March 2026
| 2026 | 2025 | |||
|---|---|---|---|---|
| Income | ||||
| Lettings | 101,096 | 98,614 | ||
| Grant - Toilets | 12,850 | |||
| Sale of Technical Equipment | 12 | 1,076 | ||
| Sale of Furniture | 300 | |||
| Donations | 750 | 88 | ||
| 102,159 | 112,628 | |||
| Expenditure | ||||
| Committee Functions | 8,838 | 7,231 | ||
| Telephone | 2,253 | 2,181 | ||
| Cleaning | 15,079 | 13,557 | ||
| Building Management | 20,480 | 21,711 | ||
| Repairs, renewals & servicing | 13,695 | 13,070 | ||
| Garden Upkeep | 1,055 | 1,050 | ||
| Audit Fee | 230 | 220 | ||
| Rates/Water/Dustbins | 9,748 | 11,173 | ||
| Insurance | 2,867 | 2,643 | ||
| Electricity & Gas | 12,703 | 12,911 | ||
| Welfare/donations/sundries | 170 | 85 | ||
| Toilet Refurbishment | - | 12,250 | ||
| Subscription & Licences | 2,003 | 1,378 | ||
| PVC Windows | 5,696 | |||
| Office Supplies | 508 | 433 | ||
| Sound System & AV Equipment | 1,615 | 3,758 | ||
| 96,938 | 103,650 | |||
| Excess of Income / Expenditure | 5,221 | 8,979 | ||
| Depreciation of Fixtures & Fittings | - | - | ||
| Net result excess / (Loss) | 5,221 | 8,979 |
Page 4 of 6
Otterbourne Village Hall Balance Sheet
Year ended 31 March 2026
| FIXED ASSETS Freehold Property Fixtures & Fittings Total Fixed Assets CURRENT ASSETS Prepayments Bank Account Total Current Assets CURRENT LIABILITIES Creditors due within 1 year Total Liabilities NET ASSETS Represented By: CAPTIAL ACCOUNT Balance bought Forward Year End Result |
2026 158,430 0 158,430 1,570 49,877 51,447 0 0 209,877 204,657 5,221 209,877 |
2025 158,430 0 158,430 1,570 44,657 46,227 0 0 204,657 195,678 8,979 204,657 |
2025 |
|---|---|---|---|
Page 5 of 6
Otterbourne Village Hall Fixed Assets
Year ended 31 March 2026
| Cost At 1 April 2025 Additions Disposals As at 31 March 2026 Depreciation At 1 April 2025 Charge for year (10% cost) At 31 March 2026 Net Book Value At 31 March 2025 At 31 March 2026 |
Freehold Property 158,430 0 0 158,430 0 0 0 158,430 158,430 |
Fixture & Fittings 70,500 0 0 70,500 70,500 0 70,500 0 0 |
Total 228,930 0 0 228,930 70,500 0 70,500 158,430 158,430 |
|
|---|---|---|---|---|
Page 6 of 6
Inde endont Examlner's Ro ort This report on the Accounts of the Otterbourne Village Hall Management Committee for the year ended 31 March 2026 is in respect of an Exarnination carried out under the Charities Act 1993 Res ectlve Res onslbllltlos of Mana ement Commlttee and Examin8r AS the Members of the Management Committee (and as Trustees). but particularly the Treasurer as your Representative, you are responsible for the preparation of the Account8. As a Management Committee, you consider that the audit requirements of 8ection 4312) of Ihe Charities Act 1993 do not apply. In other words, as a Management Committee, you do not considei that it is required to have an Audlt by a Registered Auditor because your gross income or total expenditure during 202512026 did not exceed £250.000. It is my re8ponslblllty to188ue this Report on those Accounts in accordance with the terms of the Charlties (Account8 and Report8) Regulatlons 1995. Basls of Inde endent Examlner's Re My examinatlon wa8 carried out In accordance with the General Directlons glven by the Charity Commi88ion under the Act, That examination includes a review of the accountlng record8 kept by the Management Cornmittee and comparison8 of the Accounts Wlth th08e records. It also Include8 considerlng any unusual Item8 or dlsclosure8 in the Accounts and seeking explanations from you as the Management Committee, but particularly the Treasurer as your representatlve, concerning any such matters. The procedure8 undortaken do not provlde all the evidence that would be requlred in an Audlt, and con8equentty I do not expres8 an audit opinion on the vlew given by the Accounts. Inde endont Examlner'8 Statement In connection with my examination, no matt8r has come to my 8ttention, which glves me reasonable cause to believe that, in any material respect, the requirements to keep accounting records in accordance with Section 41 of Charities Act 1993 have not been met. No other matter has come to my attention in connection with my examinatlon to which, in my opinion, attention should be drawn in order to enable a proper understanding of the Accounts t be reached. John urray, DMS, FCPFA. Chartered Publlc Finance AOuntant (Fellow) 9 Burley Road Winchestei, Hants. S022 6LJ 22 May 2026