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2025-03-31-accounts

POTTER HEIGHAM VILLAGE HALL

- Annual Report for Year ending 31[st] March 2025 Page 1 of 2

The Potter Heigham Village Hall is a registered Charity, No 304041. The Charity Trustees during the year to 31[st] March 2025 were: Mr Robin Graves-Morris (Chairman), Ms Sheridan Turner (Sec) Donald Pickering, Stan Chapman, Sophie Miller, Sue Harris, Hazel Eady, Trevor Chaplin, Steph Self, Harry May, Steve Strange, George Chasemore, Maggie Tween. All of the above Trustees were elected Members.

On the 24[th] of June 2024 the following Trustees stepped down:Mr Robin Graves-Morris (Chairman), Steve Strange, George Chasemore, Sue Harris and Steph Self.

Elected as Nominee’s of the Parish Council :- Donald Pickering (Chairman), Harry May (Vice Chairman),Sheridan Turner (Sec), Stan Chapman (Treasurer), Louise Parker (Booking Clerk)

Program Nominees were :- Hazel Eady, Maggie Tween, Trevor Chaplin and Andy Tantrum.

Elected Members were :- Louisa Sharpless, Sophie Miller and Glen Ball.

The Charity is registered Via Stan Chapman at CARSTAN HOUSE, Station Road, Potter Heigham, Norfolk, NR29 5AD.

The principal objective of the Charity is to supply a Village Hall and maintain facilities such as a Playing Field, Children’s Play area and Bowling Green for the use of the Village Members.

In planning our activities for the year, we kept in mind the Charity Commission’s guidance on public benefit at our Trustee meetings. The focus of our activities remains providing a Village Hall and playing field And Children’s Play area for the use of the general public.

We believe the facilities we provide both supply a need to help and maintain the psychological and mental health, especially of the older generation. We supply a place were older and possibly lonely members of the community can benefit by meeting and interacting with others of a similar ilk. This is done via the Soup and Chatter Group.

Cont…

- Annual Report for Year ending 31[st] March 2025 Page 2 of 2

The decisions on behalf of the Charity are made by the Trustees at meetings of their body and never separately by any one individual Trustee.

However, in an urgent need decisions are made via e mail where necessary.

The main sources of finance to the Charity are from rental Income and from interest from monies held in a savings account at The Unity Bank.

Other sources of incomes are derived from gifts, grants, and donations. A Produce, craft Fair and Dog show, Christmas Fair, Bingo, an Art Fair and Soup & Chatter Group.

The Charities Policy on reserves are:

We confirm that to the best of our knowledge no major risks have been identified.

Signed on behalf of the Board of Trustees by.

------------------------- -------------------------------

Ms S. Turner (Secretary)

Mr S.B. Chapman JP (Treasurer)

SBC 14/01/26

A B C D E F G H I J K L M N O P Q R S T U
1 Village Hall Management Commitee Operatng Income and Expenses
2
3 REVENUE TOTAL 24/25 April 24 -March 25 Variance YTD
4 Prior year
Adjust
Apr-24 May-24 Jun-24 Jul-24 Aug-24 Sep-24 Oct-24 Nov-24 Dec-24 Jan-25 Feb-25 Mar-25 Yr to Date Projected
5 Program Rental
6 Sttchers 72.00 72.00 36.00 144.00 90.00 54.00 90.00 72.00 72.00 54.00 72.00 828.00 740.00 (88.00)
7 Brownies 27.00 36.00 18.00 54.00 27.00 36.00 27.00 36.00 9.00 18.00 288.00 250.00 (38.00)
8 Rainbows 27.00 36.00 18.00 54.00 18.00 36.00 27.00 36.00 36.00 18.00 306.00 254.00 (52.00)
9 Guides 27.00 27.00 18.00 54.00 18.00 27.00 27.00 36.00 9.00 18.00 261.00 250.00 (11.00)
10 SlimmingWorld 157.50 126.00 126.00 283.50 126.00 126.00 157.50 126.00 157.50 252.00 126.00 1,764.00 1,530.00 (234.00)
11 Bowls 36.00 280.00 280.00 596.00 250.00 (346.00)
12 Short Mat Bowls 162.00 162.00 144.00 162.00 306.00 162.00 162.00 108.00 432.00 1,800.00 1,950.00 150.00
13 Ti Chi 60.00 80.00 72.00 68.00 60.00 80.00 50.00 40.00 20.00 40.00 40.00 610.00 960.00 350.00
14 Marine Corp 40.00 200.00 120.00 30.00 95.00 120.00 240.00 325.00 40.00 1,210.00 1,440.00 230.00
15 Manners for Paws 90.00 80.00 20.00 80.00 50.00 60.00 80.00 100.00 80.00 60.00 30.00 50.00 780.00 1,000.00 220.00
16 Mardlers 121.50 31.50 31.50 31.50 31.50 31.50 31.50 45.00 63.00 67.50 486.00 350.00 (136.00)
17 Soup& Pudding 36.00 36.00 36.00 108.00 200.00 92.00
18 Yoga
40.00 40.00 30.00 40.00 50.00 40.00 40.00 50.00 40.00 10.00 40.00 70.00 490.00 480.00 (10.00)
19 Afernoon Tea 49.50 72.00 121.50 50.00 (71.50)
20 CommunityHot Spot 279.00 162.00 441.00 1,200.00 759.00
21 Table tennis 36.00 18.00 54.00 54.00 72.00 54.00 72.00 90.00 72.00 54.00 72.00 648.00 792.00 144.00
22 Subtotal - 230.00 1,030.00 750.50 699.50 1,507.00 581.50 954.50 920.00 998.50 968.50 1,344.00 10,737.50 11,696.00 958.50
23
24 Events
25 Jumble Sale - 100.00 100.00
26 Bingo 200.00 100.00 550.00 140.00 180.00 250.00 200.00 27.00 1,647.00 1,000.00 (647.00)
27 3
157.00 250.00 407.00 157.00 (250.00)
28 Craf Fayre 70.00 70.00 (70.00)
29 Produce Show - 400.00 400.00
30 Gen Events 230.00 70.00 250.00 45.00 81.00 40.00 99.00 90.00 905.00 600.00 (305.00)
31 Miscellaneous 125.00 138.50 15.00 45.00 21.26 156.50 501.26 100.00 (401.26)
32 Bank interest 141.02 169.94 208.00 197.93 716.89 200.00 (516.89)
33 Subtotal 141.02 - 712.00 269.94 138.50 885.00 598.00 225.00 376.00 437.93 217.26 90.00 156.50 4,247.15 2,557.00 (1,690.15)
34
35 SubTotal Earned Revenues 141.02 230.00 1,742.00 1,020.44 838.00 2,392.00 1,179.50 1,179.50 1,296.00 1,436.43 1,185.76 1,434.00 156.50 14,984.65 14,253.00 (731.65)
36
37 Grants/unrestricted
38 -
39 PHPC and EON Credit 2,500.00 2,500.00 5,000.00 5,000.00 -
40 Total Unrestricted Income 141.02 230.00 4,242.00 1,020.44 838.00 2,392.00 1,179.50 1,179.50 3,796.00 1,436.43 1,185.76 1,434.00 156.50 19,984.65 19,253.00 (731.65)
41
42 RESTRICTED DONATIONS
43 Mardlers
500.00 500.00
44 Art Exhibiton -
45 Produce Show
1047.95 1,047.95 (1,047.95)
46 Natonal Lotery 8,610.00 8,610.00 (8,610.00)
47 Total Restricted Income - 8,610.00 - - - 1,047.95 - - - - 500.00 - 10,157.95 - (9,657.95)
48
49 TOTAL INCOME 230.00 12,852.00 1,020.44 838.00 2,392.00 2,227.45 1,179.50 3,796.00 1,436.43 1,185.76 1,934.00 156.50 30,142.60 19,253.00 (10,389.60)
50
A B C D E F G H I J K L M N O P Q R S T U
51 TOTAL April 24 -March 25 Variance YTD
52 EXPENSES Prior year
Adjust
Apr-24 May-24 Jun-24 Jul-24 Aug-24 Sep-24 Oct-24 Nov-24 Dec-24 Jan-25 Feb-25 Mar-25 Yr to Date Projected
53 Wages 201.86 210.16 238.96 210.16 233.04 221.79 193.00 215.88 198.72 277.21 158.68 236.84 2,596.30 2,500.00 96.30
54 Insurance 1,530.25 14.81 1,545.06 1,600.00 (54.94)
55 General Operating - -
56 EON 682.50 320.01 148.66 54.63 97.72 (8,597.56) 57.00 (7,237.04) 8,000.00 (15,237.04)
57 Cleaning/grocery 15.84 11.98 61.56 15.99 2.50 33.81 36.91 22.79 7.57 11.53 220.48 300.00 (79.52)
58 SafetyChecks 60.00 60.00 60.00
59 Gladden 85.00 80.00 125.00 40.00 80.00 40.00 145.00 40.00 635.00 1,000.00 (365.00)
60 Payne 580.00 290.00 290.00 435.00 290.00 290.00 290.00 290.00 145.00 2,900.00 2,500.00 400.00
61 Notely 100.00 200.00 300.00 120.00 180.00
62 Electrical 250.00 310.00 410.24 230.00 1,190.00 2,390.24 600.00 1,790.24
63 windows 30.00 30.00 30.00 90.00 120.00 (30.00)
64 ROSPA 117.60 117.60 120.00 (2.40)
65 3 402.00 374.70 776.70 600.00 176.70
66 NNDC(rates)
60.67 59.00 59.00 178.67 178.67
67 StatonaryPostage 9.35 9.35 20.00 (10.65)
68 Water rates 56.15 104.28 115.56 275.99 750.00 (474.01)
69 Memberships 50.00 50.00 70.00 (20.00)
70 Licence 81.00 81.00 200.00 (119.00)
71 Bank service 18.00 20.50 27.00 5.40 6.00 6.00 6.00 6.00 6.00 100.90 100.90
72 Program/Events - -
73 Produce Show 58.99 58.99 58.99
74 Misc 25.00 11.66 19.99 6.79 23.55 86.99 50.00 36.99
75 Maintenance/repairs - -
76 Doors 1,485.00 3,016.00 4,501.00 3,500.00 1,001.00
77 Misc 20.78 51.97 41.95 114.70 114.70
78 Other - -
79 CCTV - 400.00 (400.00)
80 Ball Wall 8,610.00 8,610.00 8,610.00
81 xxx - -
82
83 TOTAL EXPENSES 18.00 3,160.87 1,121.93 1,670.68 5,814.63 780.04 774.75 9,283.65 (7,600.99) 878.69 442.57 526.76 1,590.35 18,461.93 22,450.00 (3,988.07)
84
85 SURPLUS/ (DEFICIT) 11,680.67 (3,197.00) (14,377.67)
86
87

Confidential

01/21/2026

Page 3

Poter Heigham Village Hall Cash Flow Summary as of December 31, 2024 Poter Heigham Village Hall Cash Flow Summary as of December 31, 2024 Poter Heigham Village Hall Cash Flow Summary as of December 31, 2024 Poter Heigham Village Hall Cash Flow Summary as of December 31, 2024
Brought forward Year to Date Year to Date
FY23/24 31-Dec-24 Balance
Grants/Donatons restricted
Produce show
2,201.00 1,047.95 3,248.95
Art Exhibiton 250.00 - 250.00
Mardlers
500.00 500.00 1,000.00
FamilyDonaton
7,696.84 - 7,696.84
LoteryFund 8,610.00 8,610.00
Net restricted 10,647.84 10,157.95 20,805.79
UNRESTRICTED REVENUE
Program Rentals - 10,737.50 10,737.50
Events
- 4,247.15 4,247.15
Grants/Donatons(unrestricted) 16,873.72 5,000.00 21,873.72
Total Unrestricted Revenue 16,873.72 19,984.65 36,858.37
EXPENSES
Wages - (2,596.30) (2,596.30)
Insurance
- (1,545.06) (1,545.06)
Operatng& Maintenance - (5,710.57) (5,710.57)
Other - (8,610.00) (8,610.00)
Total Expense - (18,461.93) (18,461.93)
Net 27,521.56 39,202.23
Bank Reconciliaton
UnityBank Financial Reserves
6,971.78
Financial Reserves(operatng) 20,567.78 219.68 219.68
27,539.56 11,900.35 39,439.91
Balance asper bank statement
UnityBank Financial Reserves 20485401
4,328.06
Financial Reserves(operatng)20485414 35,111.85
Check: 39,439.91

Potter Heigham Village Hall January 2025

CAPITAL PROJECTS IDENTIFIED
(estmated costs)
Annex Roof
7,400.00
Shed repair
2,300.00
Annex Carpet
3,300.00
New Floor main hall
8,000.00 est
Water Heaters
1,200.00
Gents toilet plumbing
10,000.00
New Bench
550.00
Tree topping
5,000.00
Childrens PlayEquipment
25,000.00
62,750.00
Actual Costs
-
-
-
-
-
-

Note: Childrens Play Equipment is budgeted at 50% of cost

Variance

Independent examinerfs report on the accounts Section A Indepeiideiit Exaniiiier-s Report Rep¢)rt to the t￿￿tea$1 members of Village Hall Management Committee On accounts for the year ended Charfty no (If any) 31st March 2025 304041 Set out on pages Respectlve The tharity's trustees are responsible for the preparation of the accounts. responslbllltles of Th8 tt0rity's trustees consider that an audit is not required for this year trustees and examiner under leckn 144 of the Charthes Act 2011 (the Charitiès Act) aNI that an independent examinati￿ is needed. It is my responsibility to". examine the accounts under section 145 of the Charllies A¢ to follow the procedures laid down in the ge￿ra1 Directions given by the Charfty Commissbn (under sectlon 145{5)(b) of the Charities Act. and to state w￿ther partiajlar matters have come to my attention. Basis of independent My e￿aMir￿tiOn was carried out in accordance with general Direc*ions given examln•¢s statsment by the Charity Commlsslon. An examlnatlon Includes a revlew of the accounting récords kept by the chaiity and a comparison of the accounts prewted with thos8 records. It also indud8s consid8ralion of any unusual items or disdosurns in tho accounts and seaking explanattons from the trustees conceming any such matters. The proc8dur8s und8rtak8n do mt provide all the evidencA that would be required in an audi( and consequently no opinion is given as to whether ts account8 present a 'true and fairf view and th8 report is limited to tr￿se matters set out in the statement below. Independent In connection wth my exgmination, no mattar has Come to my attentlon examlnerfs statement (other than that disclosed below ') 1. which gives me r8asc￿ab￿ cause to beliéve. the requirements: Ihat in, any material respe¢( to keep accounting records in accordance with section 130 of the Charities Art to prepare accounts ¥thlch accord wlth the accowiting records and comply with tha accounting requirements of the Charitles Act have not be￿ met; or 2. to which, in my opinion, attention should be drawn in order to enable a proper undorstandry ofth8 accounts to bo reathd. . 14ease d8Agte tha wonss In the brackets rf thay do not apply. Sign￿. 10 Name: Mr S. Shepherd Thume House, Bridge Road. Potter Helgham, NorfolK NR29JB August 2026