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2023-03-31-accounts

Aylsham Recreaton Ground

Charity Number 303895

Trustees’ Annual Report And Financial Statements For the Period 1[st] March 2022 to 28[th] February 2023

March 2023

Reference & Administraton Details

Charity number: 303895

Charites operatng address: C/O Town Hall, Market Place, Aylsham NR11 6EL

Names of the Charity Trustees who manage the Charity

Myles Hague Chairman 1/3/21 – 28/2/22
Francis Dodd Vice Chairman 1/3/21 – 28/2/22
Eileen Springall Hon Treasurer 1/3/21 – 28/2/22

Names of Trustees for the Charity (if any, eg: custodian trustees. Deleted if not required) Aylsham Town Council Dates acted, if not for the whole year

Names & Addresses of Advisors (Delete rows which are not relevant)

Bank : Barclays Aylsham

Independent Examiner N/A Solicitor N/A Financial Advisor N/A

Structure, Governance & Management

Descripton of the Charity’s Trusts

Type if Governing Document: Constitution

How the Charity is consttuted: Charitable Incorporated Organisation

Trustee Selecton Methods: Volunteers

Objectves & Actvites

Summary of the Objects of the Charity as set out in its Governing Document

To provide recreational facilities for the residents of Aylsham, Norfolk

Summary of the Main Actvites Undertaken for the Public Beneft in relaton to the Charity’s objects

Provision of:

Play Parks Skate Park Tennis Courts Bowls Green Pavilion Football Cricket Petanque Outside Gym Green space for recreation and team games

Achievements & Performances

Statutory Declaraton

The trustees declare that they have complied with their duty to have due regard to the guidance on public benefit published by the commission in exercising their powers or duties.

Chairman’s Report

2022 – 2023 has been a getting back to normal year following the pandemic as we slowly made a return to normality. This has been recognised as a committee also from Zoom meetings to once again being able to meet face to face. I feel I have been well supported through the year and thank you all for the experience and knowledgeable input received helping us continue our care and upkeep of our Recreation Ground.

Finances

We have had ongoing expenditure with maintenance projects arising that were prioritised as part of safety concerns. I am confident that we remain in a stable position and should continue to assess any expenditure to determine if it is of real value to the recreation ground and its wider users.

User Groups

It is very promising and exciting to see the growth and development of the user groups and to see new ideas and promotion of the groups to be enjoyed to their fullest.

The Future

As we look forward, it is exciting to see the possibilities that we can collectively achieve offering further betterment and improving the experiences of our community to make this, the peoples recreation ground a thriving and enjoyable venue for all who frequent it.

My thanks to Wendy Murphy for her unrelenting assistance and for establishing a strong and pivotal position as recreation ground manager. And of course, to you all, my fellow committee members for what is a collective drive forward in striving for a better environment for our community. I am grateful to you for the support and understanding you have afforded me throughout my first year as chair.

Thank you

Myles Hague

Financial Review

Brief statement of the Charity’s Policy on Reserves

The charity budgets to provide replacements costs for play equipment etc plus ensuring there is at least £9,000 for contingencies

Details of Any Funds Materially in Defcit

None

Other Optonal Informaton

The funding supplied by Aylsham Town Council from April 202 has been paid as a grant

Page 1

2 May 2024 (2022 - 2023)

Aylsham Recreation Ground STATEMENT OF ACCOUNTS

RECEIPTS

PAYMENTS

RECEIPTS PAYMENT
Opening Balance
Balance at Bank 15,837.54
Cash in Hand
Bank Interest/Charges 11.66
Grants & Donations 67,437.50 4,250.00
Hooked on Stitching 5,442.73
Bowls 750.00 13,695.86
Tennis 796.00 717.75
Football Pitch 358.31 155.88
Storage Unit 97.95
Petanque 462.00
Zip Wire 1,097.27
Cricket 1,991.60 5,480.00
Other Income 6.50
Rec Manager Salary 7,115.53
PAYE 1,778.80
Rec Manger Travel/Training
Insurance 2,008.37
Broadband 514.80
Rates 640.00
Utilities 5,116.16
Fire Inspection 401.62
Pavilion 4,548.49 1,267.84
Cleaning 4,260.69
CCTV
Groundsman 16,841.00
Professional Services 8,148.77
Smile Park 593.50
Football Posts/Area
General Maintenance/Repairs 101.00 1,912.65
Tree Care/Fencing 7,150.00
Outside Gym 56.50
Refuse Collection/Litter Bins 56.57 2,281.75
Income 1,925.00
Storage Unit Income 50.00
Equipment 200.00 2,766.00
Skate Park Fundraising 330.00 91.17
VAT
Miscellaneous 1,929.62 2,032.95
VAT 6,107.75 5,544.81
92,602.68 95,919.67

Closing Balances:

Page 2

2 May 2024 (2022 - 2023)

Aylsham Recreation Ground STATEMENT OF ACCOUNTS

RECEIPTS PAYMENTS
Balances in Bank Account 12,520.55
Cash in Hand
TOTAL 108,440.22 108,440.22

The above statement represents fairly the financial position of the council as at 31 Mar 2023

Signed

Responsible Financial Officer

Date