## Treasurer’s Financial Report – Evenley Village Hall - as at 31/03/2021 – 

2020/21 has been a year like no other in village hall activities, with basically no income from hiring out the hall during the Covid pandemic period. 

Nevertheless, we maintained a strict control over our running costs, to minimise the impact of little rental income during this period. 

However, Income/Receipts for the year is/are significantly boosted by grants from local government of        £ 20,398 as follows – 

June 2020 – Retail, Hospitality and Leisure grant of £ 10,000 – March 2021 – Lockdown Support grant for specific period £ 8,302.15 – March 2021 – Further Lockdown Support to end March £ 2,096.00 – 

Without these support grants, our Income would have been £ 4,630 for the year, with Expenditure of          £ 7,728 – a sizeable deficit in the circumstances. 

Some other factors are to be highlighted from these accounts schedules -. 

The village hall 200 club continues to be supported by local residents, and generates 50% profit towards the hall running costs – there remains some 8 numbers available should anyone wish to join the club. 

At the beginning of the first lockdown, several user groups offered initial support to the hall, so we thank Cricket Club, Film Club, Bridge Club, and Gardening Society for their generosity. In addition, several residents donated cash back to the hall, so we thank them too. 

We received £ 890 by way of an insurance claim this year, against the payment shown in previous year’s accounts of £ 1,218 as the cost of trace and access of underground water leakage. This was mentioned in last year’s report. 

Running costs, such as Utilities, Cleaning, Repairs & Maintenance were all pegged back and monitored with weekly inspections by committee members. 

Over 12 months ago, we commenced a programme of replacing the hall lighting with new LED lights, so this was completed at a shown payment of £ 1,193. 

Insurance has remained unchanged, so a necessary cost of £ 1,265 is incurred at the normal level. 

As a result of the underground water leakage, mentioned earlier, there became a need to reorganise pipework/radiators in the hall, incurring an outlay of £ 948. 

Lastly, during the Covid pandemic, a deep clean of the hall was commissioned and defogging and sanitising equipment was purchased to ensure that the hall remained Covid secure. These payments amounted to      £ 1,061. 

Although we incurred a deficit in normal funds during 2020/21, the lockdown support grants have built up our reserves to a level of nearly £ 29,000.  However, we remain uncertain as to the likely level of income from hall lettings in the future.  We still await commitment from many of our user groups, with confirmation of their future plans.  This may create a shortfall in income, thus reducing the reserve funds. 

It is also intended to complete the 5 year refurbishment programme of the hall, by tackling the kitchen improvements, originally planned for last year. 

The Committee wish to express thanks to Mark Gibb, who has again “examined” the accounts and records of the Village Hall , and with the hope that he might do the same again next year. 

1[st] May 2021 

Tony Stevens      Treasurer 



EVENLEY VILLAGE HALL
RECEIFTS & PAYMENTS ACCOUNT - YEAR TO 31st MARCH 2021
Current
2020
21
Previous
2019
RECEIPTS
Lettings - hire of hall
"200" Club / Village Hall Club
Covid lockdown SNCC grants
Evenley Matters ~ 10 % Fete proceeds
Insurance claim re trace/access below
Donations - committee & residents
Donations - clubs & societies
Utili
etc refund of costs
556.00
2,318.00
20,398.15
0.00
890.00
56.00
489.00
321.56
9,588.25
2,348. 00
0.00
534. 00
0.00
30.20
0.00
0.00
£ 25 028.71
12 500.45
PAYMENTS
Gas
Elettricity
Water
Cleaning
Repairs & Maintenance
Underground pipework trace/access
Insurance
Licence Fees Lottery
Subscriptions ACRE
Print, Post, Stat'y, Exp's, Profess'l etc
Table, crockery, misc. kitchen
Covid special cleaning equipment
LED light replacement programme
Own Funded 5 year plan annex floor
Own Funded 5 year plan decoration
Miscellaneous costs
"200" Club / Village Hall Club prizes
New Pipework after underground leak
454.40
274.31
236.24
251.05
562.58
0.00
1,265.15
0.00
40.00
80.00
0.00
1,061.04
1,193.43
0.00
0.00
155.54
1,207.00
948.00
1,165.55
483.95
502.53
1.492.00
1,669:341_
1,218.24
1,218.41
20. 00
40. 00
123.99
227.29
0.00
0.00
1.304. 40
1.508. 00
155.52
1,155.00
0.00
£ 7 728.74
12 284.22
' Excess of Receipts over Payments
Excess of Payments over Receipts
£ 17 299.97
216.23

EVENLEY VILLAGE HALL
RECEIPTS & PAYMENTS ACCOUNT - YEAR TO 31st MARCH 2021
SUMMARY OF FUNDS
Current
2020
21
Previous
2019
Opening Balance of Funds - April
11,662.75
11,446.52
Excess of Receipts over Payments
,' Excess of Payments over Receipts
17,299.97
216.23
Total Funds Available
£ 28 962.72
11662.75
resented b
Cash at Bank
28,567.70
11,017.39
Cash in Hand
395.02
645.36
£ 28962.72 1 1£
11662.75
,Mr A E (Tony). Stevens
'Treasurer
i May 1st 2021
, Examination Re
ort-
I have examined the books and records of Evenley Village Hall for the period
1st April 2020 to 31st March 2021, as summarised and detailed above.
In my opinion, these represent a true and accurate record of all the transattions
, undertaken during this 12 month period.
Mr Mark Gibb
' Rettory Farmhouse - Evenley ~
, Evenle
Villa
eHallisaRe
istered Chari
No. 304189 -