WILMINGTON MEMORIAL HALL- MANAGEMENT COMMirrEE
INCOME AND EXPENDITURE ACCOUNT- YEAR ENDED 31ST AUGUST 2025
INCOME
202412025
202312024
Block Bookings
Single Bookings
Clubb Room
Fundraising Events Profit
Donations/other
Bank Inter*st
14,113.50
6,918.00
6,076.00
1,521.75
57.70
323.86
14,083.40
6,733.50
5,979.00
1,799.35
12,564.96
403.41
£ 29,010.81
41,563.62
EXPENDITURE
Salaries
Li8ht and Heat
Rep31r5
Post and Stationery
Cleaning
Insurance
8uilin8 Repairs and M3intÈnance
Sundries
Water
Safety IrTrspections
Licences
Telephone
Fundraising Cost
10,384.35
7,468.80
266.37
8,126.00
8,570.09
1,384.27
14.99
1,045.28
785.57
11,470.98
171.35
498.00
314.18
667.20
316.28
107.92
925.96
799.82
419.42
335.27
447.00
171.38
334.40
78.26
122.00
£ 21,753.03
33,472.11
REVENUE SURPLUS FOR THE YEAR
7,257.78
8,091.51

Chair's Report 2025
First of all. thank you to all of the committee for the work they have done for the hall this
year and to Barbara and Brian Harris for their work on the upkeep of the hall and managing
the bookings.
Our bookings have remained constant over the year and as you can see from the accounts
we have made a profit.
We have had a number of occasions this year where our one-off hirers have left the hall in
an untidy state incurring extra work in preparing the hall for the next user. We have
therefore decided to raise the Saturday night deposit to £200.
This year we have been unable to secure any grant monies, but the committee have decided
to spend some of our reserves on various projects
resurfacing and decorating the Hall and Clubb Room.
replacing the stage curtains, floor
As always, we would wish to have more members on our committee to help keep the hall
going for the benefit of the local community. some of our Committee have been serving for
over 20 years and would welcome new members to continue the work that we have
achieved.

WILMINGTON MEMORIAL HALL- MANAGEMENT COMMirrEE
INCOME AND EXPENDITURE ACCOUNT- YEAR ENDED 31ST AUGUST 2025
INCOME
202412025
202312024
Block Bookings
Single Bookings
Clubb Room
Fundraising Events Profit
Donations/other
Bank Inter*st
14,113.50
6,918.00
6,076.00
1,521.75
57.70
323.86
14,083.40
6,733.50
5,979.00
1,799.35
12,564.96
403.41
£ 29,010.81
41,563.62
EXPENDITURE
Salaries
Li8ht and Heat
Rep31r5
Post and Stationery
Cleaning
Insurance
8uilin8 Repairs and M3intÈnance
Sundries
Water
Safety IrTrspections
Licences
Telephone
Fundraising Cost
10,384.35
7,468.80
266.37
8,126.00
8,570.09
1,384.27
14.99
1,045.28
785.57
11,470.98
171.35
498.00
314.18
667.20
316.28
107.92
925.96
799.82
419.42
335.27
447.00
171.38
334.40
78.26
122.00
£ 21,753.03
33,472.11
REVENUE SURPLUS FOR THE YEAR
7,257.78
8,091.51

Chair's Report 2025
First of all. thank you to all of the committee for the work they have done for the hall this
year and to Barbara and Brian Harris for their work on the upkeep of the hall and managing
the bookings.
Our bookings have remained constant over the year and as you can see from the accounts
we have made a profit.
We have had a number of occasions this year where our one-off hirers have left the hall in
an untidy state incurring extra work in preparing the hall for the next user. We have
therefore decided to raise the Saturday night deposit to £200.
This year we have been unable to secure any grant monies, but the committee have decided
to spend some of our reserves on various projects
resurfacing and decorating the Hall and Clubb Room.
replacing the stage curtains, floor
As always, we would wish to have more members on our committee to help keep the hall
going for the benefit of the local community. some of our Committee have been serving for
over 20 years and would welcome new members to continue the work that we have
achieved.

WILMINGTON MEMORIAL HALL- MANAGEMENT COMMirrEE
INCOME AND EXPENDITURE ACCOUNT- YEAR ENDED 31ST AUGUST 2025
INCOME
202412025
202312024
Block Bookings
Single Bookings
Clubb Room
Fundraising Events Profit
Donations/other
Bank Inter*st
14,113.50
6,918.00
6,076.00
1,521.75
57.70
323.86
14,083.40
6,733.50
5,979.00
1,799.35
12,564.96
403.41
£ 29,010.81
41,563.62
EXPENDITURE
Salaries
Li8ht and Heat
Rep31r5
Post and Stationery
Cleaning
Insurance
8uilin8 Repairs and M3intÈnance
Sundries
Water
Safety IrTrspections
Licences
Telephone
Fundraising Cost
10,384.35
7,468.80
266.37
8,126.00
8,570.09
1,384.27
14.99
1,045.28
785.57
11,470.98
171.35
498.00
314.18
667.20
316.28
107.92
925.96
799.82
419.42
335.27
447.00
171.38
334.40
78.26
122.00
£ 21,753.03
33,472.11
REVENUE SURPLUS FOR THE YEAR
7,257.78
8,091.51

Chair's Report 2025
First of all. thank you to all of the committee for the work they have done for the hall this
year and to Barbara and Brian Harris for their work on the upkeep of the hall and managing
the bookings.
Our bookings have remained constant over the year and as you can see from the accounts
we have made a profit.
We have had a number of occasions this year where our one-off hirers have left the hall in
an untidy state incurring extra work in preparing the hall for the next user. We have
therefore decided to raise the Saturday night deposit to £200.
This year we have been unable to secure any grant monies, but the committee have decided
to spend some of our reserves on various projects
resurfacing and decorating the Hall and Clubb Room.
replacing the stage curtains, floor
As always, we would wish to have more members on our committee to help keep the hall
going for the benefit of the local community. some of our Committee have been serving for
over 20 years and would welcome new members to continue the work that we have
achieved.