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2024-12-31-accounts

Minutes of the Annual General Meeting of Mersham Village Hall Management Committee held on Monday, 7 April 2025 in The Coronation Hall at 19.15 hours

Present: Melanie Wells (Chair), Jane Fagg (Treasurer), Fred Ambler, Peter Hawkins, Leigh Lloyd, Keli Tomlin, David Wood, Pat Wood, Paul Bartlett, Jackie Stiles and Andrew Wells

Apologies for absence

Bridgitte Attwood To approve the minutes of the AGM held on 8 April 2024 Minutes were approved and signed by Melanie Wells, Chair.

Matters Arising

None.

Chair’s Report

Bookings – Regular Hirers: Mountbatten Hall

Bookings – Regular Hirers: Coronation Hall

Non-Regular Hirers:

Policies/Risk Assessment:

Community Café:

Maintenance:

Coronation Hall:

Mountbatten Hall:

extinguisher service and issued Certification of Compliance.

Car Park/Grounds:

However, at present gate is being left open and secured to post to allow people to park there when collecting children from school. Gate is usually closed at weekends but has been left unlocked for time being. To be reviewed. Committee agreed to consider installing folding parking posts between permanent posts if necessary.

Broadband:

 Wi-Fi installation was unsuccessful. Contract taken out with BT on 7th May 2024 who arranged for Openreach to install full fibre. M J Quinn, on behalf of Openreach, completed internal work on 5th July. On 16th July Openreach connected external cable to underground junction in Blind Lane but MW was subsequently advised there was fault on line. Appointment made for Openreach to come out on 21[st] August to fix fault but they were a no show. Despite numerous phone calls to BT and promises made by them this would be resolved, it wasn’t and MW made formal complaint to BT. On 31st October, letter and return envelope received from BT requesting return of their equipment, which MW duly did. MW phoned BT to ascertain why they had requested we return their equipment and not fixed issue as promised, and was informed they had cancelled our account.

At our January meeting, committee discussed need for Wi-Fi. As only one hirer had asked if we had Wi-Fi, it was agreed not to proceed for time being but to review again should need arise. However, committee agreed fault on line should be investigated by Openreach so Wi-Fi can be installed at a future date.

Security cameras:

Other:

Questions from the Floor:

Treasurer’s Report

Treasurer’s Report for the period 1st January 2024 to 31st December 2024:

On 1[st] January 2024 a balance of £32,563 was brought forward.

Most of our income came from hire charges for use of the halls. Hire income £21,425 plus £480 for Election Services.

Other income came from interest on our Savings Account £161, Grants towards Toilet Refurbishment £3,820 and final payment from Forest Homes for their electricity usage £613.

Expenditure payments include: Insurance - £1,568 Business Rates - £149 Fire Safety checks - £117 Music Licence - £162 Water and Sewage charges - £517

Property maintenance and cleaning expenses - £24,219. This includes refurbishment of the Mountbatten Hall toilets at a cost of £13,692

The annual cost for electricity came to £4,656. Our Fixed Rate Tariff with EDF Energy finished on 31[st] December 2024. They advised that for 2025 we are on their best rate for small business use.

We ended the year with a balance of £27,834.

The Accounts are with Mr David James for auditing. Many thanks to him for doing this. A copy of the Accounts, together with his report and a copy of this AGM’s Minutes, will be submitted to the Charity Commission.

So far this year our insurance premium has gone up to £1,607, water and sewage charges to £638 and our business rates to £449. We receive 80% mandatory rate relief but changes have been made to the Retail, Hospitality and Leisure Relief Scheme introduced during Covid 19.

Many thanks must go to Melanie who works very hard dealing with hirers for the halls and organising the repairs and refurbishments needed.

Our balance at the Bank today:

 Bank Account £14,335

 Savings Account £15,605

Treasurer’s Report was accepted as a true record.

Election of Officers and Committee Members

Chair – Melanie Wells Proposed: Keli Tomlin Seconded: Fred Ambler Treasurer – Jane Fagg Proposed: Keli Tomlin Seconded: Fred Ambler

Committee Members: Bridgitte Attwood* Keli Tomlin David Wood Pat Wood

All carried from the floor.

*Voted for in their absence.

A.O.B.

 In view of number of regular hirers running classes in both halls, Andrew Wells suggested advertising classes available. Agreed this was a good idea. Classes will be advertised in The Villager and on our Facebook page. Regular hirers are encouraged to put posters advertising their classes on our notice boards, which some have done.

Next Meeting

The date of the next ordinary meeting will be arranged shortly.

Meeting Closed

There being no further business the meeting closed at 19.45 hours.

Signed: Melanie Wells (Chair)

MOUNTBATTEN VILLLAGE HALL

STATEMENT OF ACCOUNT 01-01-2024 TO 31-12-2024
INCOME
Balance brought forward
£ 32,563.10
Savings Account Interest
£ 161.77
Cheques Issued but not presented
£ -
Invoices Paid Late - Debtors 2023
£ 1,430.50
Hire of Hall:
Regular Hire - Invoice
£ 17,440.50
Other Hire - Invoice
£ 555.00
Other Hire - No Invoice
£ 3,430.05 £ 21,425.55
Other Receipts:
Grants
£ 3,820.80
Donatons
£ -
Electon Services
£ 480.00
Forest Homes - Electricity
£ 613.63
Miscellaneous
£ - £ 4,914.43
£ 60,495.35
EXPENDITURE
Admin:
Insurance
£ 1,568.06
Ashford Bor. Council Rates
£ 149.85
Fire Safety Check
£ 117.60
PPL/PRS Music Licence
£ 162.10
Website & Internet
£ 11.94
Postage/Other Admin
£ 40.01 £ 2,049.56
Utlites:
Electricity
£ 4,656.00
Water/ Sewage
£ 517.77 £ 5,173.77
Property Maintenance:
Electrical Work
£ 7,336.12
Toilets Refurbishment
£ 13,692.25
Paintng & Decoratng
£ 1,327.26
Locksmith
£ 501.00
Other Maintenance
£ 72.48 £ 22,929.11
Housekeeping: Cleaning Services
£ 982.50
Housekeeping Supplies
£ 307.97 £ 1,290.47
Other Expenditure:
Replacement Bins
£ 105.00
Garden Waste Fee
£ 60.00
Other
£ - £ 165.00
Cheques presented from previous year
£ -
Debtors 2024
£ 1,052.50
ON HAND:
Savings Account
£ 15,565.43
Balance at Bank
£ 12,090.30
Cash
£ 4.21
Cheques
£ 175.00 £ 27,834.94
£ 60,495.35
STATEMENT OF ACCOUNT 01-01-2024 TO 31-12-2024
INCOME
Balance brought forward
£ 32,563.10
Savings Account Interest
£ 161.77
Cheques Issued but not presented
£ -
Invoices Paid Late - Debtors 2023
£ 1,430.50
Hire of Hall:
Regular Hire - Invoice
£ 17,440.50
Other Hire - Invoice
£ 555.00
Other Hire - No Invoice
£ 3,430.05 £ 21,425.55
Other Receipts:
Grants
£ 3,820.80
Donatons
£ -
Electon Services
£ 480.00
Forest Homes - Electricity
£ 613.63
Miscellaneous
£ - £ 4,914.43
£ 60,495.35
EXPENDITURE
Admin:
Insurance
£ 1,568.06
Ashford Bor. Council Rates
£ 149.85
Fire Safety Check
£ 117.60
PPL/PRS Music Licence
£ 162.10
Website & Internet
£ 11.94
Postage/Other Admin
£ 40.01 £ 2,049.56
Utlites:
Electricity
£ 4,656.00
Water/ Sewage
£ 517.77 £ 5,173.77
Property Maintenance:
Electrical Work
£ 7,336.12
Toilets Refurbishment
£ 13,692.25
Paintng & Decoratng
£ 1,327.26
Locksmith
£ 501.00
Other Maintenance
£ 72.48 £ 22,929.11
Housekeeping: Cleaning Services
£ 982.50
Housekeeping Supplies
£ 307.97 £ 1,290.47
Other Expenditure:
Replacement Bins
£ 105.00
Garden Waste Fee
£ 60.00
Other
£ - £ 165.00
Cheques presented from previous year
£ -
Debtors 2024
£ 1,052.50
ON HAND:
Savings Account
£ 15,565.43
Balance at Bank
£ 12,090.30
Cash
£ 4.21
Cheques
£ 175.00 £ 27,834.94
£ 60,495.35
STATEMENT OF ACCOUNT 01-01-2024 TO 31-12-2024
INCOME
Balance brought forward
£ 32,563.10
Savings Account Interest
£ 161.77
Cheques Issued but not presented
£ -
Invoices Paid Late - Debtors 2023
£ 1,430.50
Hire of Hall:
Regular Hire - Invoice
£ 17,440.50
Other Hire - Invoice
£ 555.00
Other Hire - No Invoice
£ 3,430.05 £ 21,425.55
Other Receipts:
Grants
£ 3,820.80
Donatons
£ -
Electon Services
£ 480.00
Forest Homes - Electricity
£ 613.63
Miscellaneous
£ - £ 4,914.43
£ 60,495.35
EXPENDITURE
Admin:
Insurance
£ 1,568.06
Ashford Bor. Council Rates
£ 149.85
Fire Safety Check
£ 117.60
PPL/PRS Music Licence
£ 162.10
Website & Internet
£ 11.94
Postage/Other Admin
£ 40.01 £ 2,049.56
Utlites:
Electricity
£ 4,656.00
Water/ Sewage
£ 517.77 £ 5,173.77
Property Maintenance:
Electrical Work
£ 7,336.12
Toilets Refurbishment
£ 13,692.25
Paintng & Decoratng
£ 1,327.26
Locksmith
£ 501.00
Other Maintenance
£ 72.48 £ 22,929.11
Housekeeping: Cleaning Services
£ 982.50
Housekeeping Supplies
£ 307.97 £ 1,290.47
Other Expenditure:
Replacement Bins
£ 105.00
Garden Waste Fee
£ 60.00
Other
£ - £ 165.00
Cheques presented from previous year
£ -
Debtors 2024
£ 1,052.50
ON HAND:
Savings Account
£ 15,565.43
Balance at Bank
£ 12,090.30
Cash
£ 4.21
Cheques
£ 175.00 £ 27,834.94
£ 60,495.35
£ 17,440.50
£ 555.00
£ 3,430.05
£ 3,820.80
£ -
£ 480.00
£ 613.63
£ -
£ 1,568.06
£ 149.85
£ 117.60
£ 162.10
£ 11.94
£ 40.01
£ 60,495.35





£ 2,049.56

£ 5,173.77




£ 22,929.11

£ 1,290.47


£ 165.00
£ -
£ 1,052.50



£ 27,834.94
£ 4,656.00
£ 517.77
£ 7,336.12
£ 13,692.25
£ 1,327.26
£ 501.00
£ 72.48
£ 982.50
£ 307.97
£ 105.00
£ 60.00
£ -
£ 15,565.43
£ 12,090.30
£ 4.21
£ 175.00
£ 60,495.35

Mountbatten Villa e Hall Income #nd Ex ndit￿￿ a¢tount for the ear endi 31 December 2024 2024 2023 COME Receipts from leitings Grants and donations Bank Interest £21,426 4.914 162 26.502 £ 15.804 9.016 124 24.944 EXPF.NDITURE Elettrie81 work Repai Toilet refurb P&inting & dtcorgting Locksmith Ncw tahl¢s. ¢h¥iTS, indows and doors Heating & Lighting Cleaner servi¢¢ InsuTance Hous¢ke¢ping suppli¢5 FiTe 8afetv Rates Walei rates Website Music Licence Sundries 7J36 72 13.693 lJ28 soi 349 8832 4.911 1.665 1.362 770 468 4.656 982 1,568 308 150 517 12 162 205 31608 238 73 DefJciVSurplu5 for the year {4.305)

Moun¢bgtten Vill# t Hall Balan¢e Shett 115 at 31 Detember 2024 2024 2023 Mounibatten Hajl £63.784 £63,784 I￿￿Or5 1227 1.626 Banking & Cash 83ntander- eurrcni 12,090 savings alc 15,565 16.946 15,403 17 Cash in haj Represertied by.. Accumul8l¢d r￿ryeS at l Januarv 2024 97,776 102,081 Delicii for the peri￿] I have examined the books 8t￿ vouchers of ihe Mouniballen Village Hall confi]m thai th¢ for¢going accounts are in accordattce thcTCWith. 30 April 2024 David C James