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2023-03-31-accounts

WEST KINGSDOWN VILLAGE HALL

INCOME & EXPENDITURE ACCOUNT

For the year ended 31st March 2023 ended 31st March 2023
2023 2022
Income
Hire Income 32751 34479
Donations 0 13214
KCC 0 0
WKPC 0 0
Interest 0 0
Fund Raising 0 0
_____ _____
32751 47693
Expenditure
Wages 0 0
Caretaker 0 0
Repairs & Maintenance 5282 12812
Ground Maintenance 0 825
Insurance 1199 1127
Water Rates 1117 -3181
Light and Heat 13605 10405
Keys 44 97
Cleaning 8976 8138
Professional Fees 0 187
Advertising/promotiona; 316 130
Difference 0 0
Sundry Expenses 7 10
30546 30550
____ ____
_____ _____
Transfer Building 0 0
Surplus/Deficit for the year £ 2205 £ 17143
_____ _____
WEST KINGSDOWN VILLAGE HALL

Balance Sheet as at 31st March 2023

2023 2022
Current Assets
Re-Building Costs to date 901175 901175
Improvments 28103 28103
Equipment 14456 14456
Debtors 1290 1385
Prepayments (ins) 0 0
Cash at Bank and in Hand 54849 999873 52889 998008
Current Liabilities
Key Deposits 651 671
other 600 920
Creditors 0 0
______ ______
£ 998622 £ 996417
______ ______
Represented by:
General Fund
Balance at 1.4.22 996417 979274
Surplus/Deficit for the Year 2205 17143
998622 996417
Hall Re-Building Fund 0 0
_ _
£ 998622 £ 996417
______ ______
I have examined the books and vouchers in support of the above
Balance Sheet and attached Income and Expenditure Account and
have obtained any explanations that were necessary to complete
the audit and in my opinion the Balance Sheet gives a true and
fair view of the financial affairs of the Committee at
31st March 2023
J LeeM.A.A.T.
94 Brook Street
Erith
DA8 1JF
Registered Charity No. 302776