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2021-12-31-accounts

Trustees annual report 2021 Glympton Village Hall

We are a small village hall providing facilities for the local and wider communities enabling a wide range of people access to space for community activities, events, family get togethers, drama groups craft groups children’s events, cream teas and numerous other activities

Most of our funds come from fundraising events held in our village hall with the occasional donation from friends of the village and sometimes grants.

2021 was still greatly affected by the covid outbreak.

However, we were fortunate enough to receive support grants alongside other grants and donations which enabled us to replace the roof and update and refurbish the inside of the hall

Through our own endeavours, donations and grants we received £27,897.84 in income

The roof was completed in 2021 and the rest of the refurbishments were also completed in that year

On behalf of the trustees

Serena Warmington

Treasurer

Glympton Village Hall Accounts

Opening balance

2018 Natwest Business Cu Date Amount Debit 01/01/2018

Expenditure

Expenditure
R & B Maintenance 01/22/2018 £30.00 £30.00
GEL 02/05/2018 £153.97 £153.97
Cleaning Equipment 02/05/2018 £30.00 £30.00
SSE 02/19/2018 £252.43 £252.43
Cleaner 02/20/2018 £15.00 £15.00
WODC 03/22/2018 £108.46 £108.46
Castle Water 03/22/2018 £47.27 £47.27
SSE 05/10/2018 £57.49 £57.49
Darke & Taylor 06/06/2018 ### ###
R & B Maintenance 06/04/2018 £30.00 £30.00
Cleaner 06/08/2018 £45.00 £45.00
Insurance 07/09/2018 £677.66 £677.66
S Warmington Odor absorbers 08/14/2018 £35.00 £35.00
SSE 08/15/2018 £66.31 £66.31
Castle Water 09/19/2018 £48.87 £48.87
SSE 11/07/2018 £254.57 £254.57
Totals ### ###
Income
Drama School
02/05/2018
£210.00
Hall Hire
02/25/2018
£20.00
Hall Hire
03/12/2018
£60.00
GEL Donation
04/05/2018
###
Hall Hire
04/10/2018
£75.00
Fayre and Bonfre
04/10/2018
###
Hall Hire
04/30/2018
£50.00
Cream Tea
05/08/2018
£133.00
Cream Tea
06/03/2018
£145.00
Cream Tea
07/15/2018
£184.50
Hall Hire
08/02/2018
£25.00
Hall Hire
08/05/2018
£10.00
Hall Hire
08/07/2018
£75.00
Cream Tea
08/12/2018
£140.00
Hall Hire
08/31/2018
£30.00
Big Breakfast
10/07/2018
£92.40
Crockery Hire
10/07/2018
£5.00
Hall Hire
10/27/2018
£70.00
Deddington Church
10/27/2018
£200.00
Total ###

Closing Balance

urrent Account Credit Balance ###

£210.00 £20.00 £60.00 ### £75.00 ### £50.00 £133.00 £145.00 £184.50 £25.00 £10.00 £75.00 £140.00 £30.00 £92.40 £5.00 £70.00 £200.00 ###

Glympton Village Hall Accounts

Opening balance

2020 Natwest Business Curre Date Amount Debit 01/01/2020

Expenditure

Expenditure
SSE Electric 02/05/2020 £145.07 £145.07
R & B Window cleaning 02/04/2020 £30.00 £30.00
WODC Rates 03/27/2020 £112.64 £112.64
castle water 05/06/2020 £227.69 £227.69
SSE Electric 05/11/2020 £167.85 £167.85
allied westminster insurance 06/26/2020 £543.89 £543.89
Rentacure 07/03/2020 £50.00 £50.00
SSE Electric 08/14/2020 £76.96 £76.96
Hall cleaning 08/20/2020 £15.00 £15.00
SDR Roofng 1st stage 11/05/2020 ### ###
SSE Electric 11/11/2020 £72.88 £72.88
Totals ### ###
Income
Bonfre night
01/24/2020
£2,000.00
drama school hall hire
02/10/2020
£50.00
oxford diocese hall hire
03/06/2020
£100.00
wodc covid grant
04/22/2020
###
lotto grant for frans farm day
06/24/2020
£930.00
cream teas takeaway proft
07/01/2020
£190.00
donation for cream tea for hall
07/27/2020
£40.00
cream tea takeaway proft
07/28/2020
£180.00
wodc rates refund
07/29/2020
£112.64
cream tea donation for hall
07/29/2020
£5.00
table hire
08/06/2020
£100.00
cream tea takeaway proft
08/25/2020
£60.00
donation to hall
09/02/2020
£25.00
glympton estates donation
09/02/2020
£5,000.00
donation cream teas for hall
09/02/2020
£50.00
cream tea bric a brac
09/22/2020
£50.00
laing donation
09/24/2020
£2,000.00
Ian Hudspeth occ donation
10/01/2020
£2,000.00
mr and mrs P Browne donation
11/02/2020
£500.00
cream tea donation for hall
11/02/2020
£10.00
Garfeld Weston grant
11/06/2020
£3,000.00
Total ###
Closing Balance

ent Account Credit

Balance £5,666.92

£2,000.00 £50.00 £100.00 ### £930.00 £190.00 £40.00 £180.00 £112.64 £5.00 £100.00 £60.00 £25.00 £5,000.00 £50.00 £50.00 £2,000.00 £2,000.00 £500.00 £10.00 £3,000.00 ###

###

Glympton Village Hall Accounts

Opening balance

2021 Natwest Business Curre Date Amount Debit 01/01/2021

Expenditure

Expenditure
castle water 01/04/2021 £121.90 £120.90
sdr roofng 01/13/2021 **£7,644.00 ** £7,644.00
rentacure 01/29/2021 £322.50 £322.50
charlton electrical 03/01/2021 £613.44 £613.44
r jasper carpentry 03/01/2021 £355.00 £355.00
sse 03/04/2021 £121.45 £121.45
kitchen units 03/11/2021 **£1,810.55 ** £1,810.55
r unthank kitchen ftter 03/16/2021 £475.00 £475.00
wodc rubbish collection 03/29/2021 £27.68 £27.68
cleaning 03/29/2021 £42.00 £42.00
rentacure 04/15/2021 £967.50 £967.50
chandaliers 04/19/2021 £767.70 £767.70
dale plumbing 04/20/2021 £750.96 £750.96
loft insulation 06/01/2021 £303.00 £303.00
sse 06/04/2021 £117.90 £117.90
insulation ftting 06/07/2021 £300.00 £300.00
cfo annual subs 06/08/2021 £50.00 £50.00
fridge freezer 06/16/2021 £449.00 £449.00
rg tiling 06/16/2021 **£3,990.00 ** £3,990.00
storage boxes 06/17/2021 £62.46 £62.46
tea banners 06/17/2021 £29.38 £29.38
insurance 06/17/2021 £555.01 £555.01
charlton electrical 06/24/2021 **£3,148.68 ** £3,148.68
kettle etc. 06/24/2021 £240.10 £240.10
cleaning 06/29/2021 £100.00 £100.00
r&b windows 06/30/2021 £42.50 £42.50
cream tea expenses 07/08/2021 £88.89 £88.89
connie cream tea expenses 07/13/2021 £140.86 £140.86
gazebo 07/19/2021 £179.99 £179.99
wodc rates 07/23/2021 £28.75 £28.75
cream tea expenses 07/23/2021 £55.79 £55.79
frst aid kit 08/10/2021 £51.25 £51.25
rose hill farm day 08/17/2021 £84.00 £84.00
table cloths 08/20/2021 £43.08 £43.08
cream tea expenses 08/26/2021 £48.25 £48.25
sse 09/01/2021 £116.22 £116.22
sue hazel curtains 09/07/2021 **£1,150.00 ** £1,150.00
stan johnstone painting 09/14/2021 **£2,236.87 ** £2,236.87
clock 09/14/2021 £29.99 £29.99
sue hazel curtains 09/22/2021 £387.00 £387.00
hoover
09/22/2021
£289.00
£289.00
sue hazel curtains
09/27/2021
£516.00
£516.00
rose hill coach
09/30/2021
£225.00
£225.00
hall tech fooring
09/30/2021
£440.00
£440.00
auidted accounts
10/13/2021
£100.00
£100.00
mirror
10/14/2021
£68.16
£68.16
doug funeral expenses
10/14/2021
£9.78
£9.78
storage boxes etc.
10/14/2021
£44.01
£44.01
edf
10/18/2021
£20.07
£20.07
stan johnstone painting
10/25/2021
£177.62
£177.62
r&b windows
11/03/2021
£35.00
£35.00
clock,mirror ftting
11/03/2021
£50.00
£50.00
edf
11/08/2021
£64.43
£64.43
edf
12/13/2021
£28.59
£28.59
hoover
09/22/2021
£289.00
£289.00
sue hazel curtains
09/27/2021
£516.00
£516.00
rose hill coach
09/30/2021
£225.00
£225.00
hall tech fooring
09/30/2021
£440.00
£440.00
auidted accounts
10/13/2021
£100.00
£100.00
mirror
10/14/2021
£68.16
£68.16
doug funeral expenses
10/14/2021
£9.78
£9.78
storage boxes etc.
10/14/2021
£44.01
£44.01
edf
10/18/2021
£20.07
£20.07
stan johnstone painting
10/25/2021
£177.62
£177.62
r&b windows
11/03/2021
£35.00
£35.00
clock,mirror ftting
11/03/2021
£50.00
£50.00
edf
11/08/2021
£64.43
£64.43
edf
12/13/2021
£28.59
£28.59
hoover
09/22/2021
£289.00
£289.00
sue hazel curtains
09/27/2021
£516.00
£516.00
rose hill coach
09/30/2021
£225.00
£225.00
hall tech fooring
09/30/2021
£440.00
£440.00
auidted accounts
10/13/2021
£100.00
£100.00
mirror
10/14/2021
£68.16
£68.16
doug funeral expenses
10/14/2021
£9.78
£9.78
storage boxes etc.
10/14/2021
£44.01
£44.01
edf
10/18/2021
£20.07
£20.07
stan johnstone painting
10/25/2021
£177.62
£177.62
r&b windows
11/03/2021
£35.00
£35.00
clock,mirror ftting
11/03/2021
£50.00
£50.00
edf
11/08/2021
£64.43
£64.43
edf
12/13/2021
£28.59
£28.59
Totals ### ###
Income
cooker
01/18/2021
£60.00
wodc grant
01/20/2021
£5,460.00
wodc grant
04/06/2021
£322.50
cream tea
04/07/2021
£175.00
wodc covid
04/16/2021
£9,907.42
cream tea
05/17/2021
£86.00
cream tea
06/28/2021
£211.50
wodc grant
07/12/2021
£8,000.00
wodc covid
07/14/2021
£1,976.60
cream tea
07/19/2021
£154.00
cream tea
08/05/2021
£173.00
cream tea
08/25/2021
£278.92
cream tea
09/13/2021
£15.00
adam towler donation
09/15/2021
£200.00
wodc grant
10/20/2021
£452.90
GEL
11/05/2021
£400.00
wreath hall hire
12/10/2021
£25.00

Total ### Closing Balance

ent Account Credit Balance £16.431.58

£60.00 £5,460.00 £322.50 £175.00 £9,907.42 £86.00 £211.50 £8,000.00 £1,976.60 £154.00 £173.00 £278.92 £15.00 £200.00 £452.90 £400.00 £25.00

### £14,213.11

CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A Independent Examiner's Report Report to the trusteesl members of Glympton Village Hall On accounts for the year ended 31 December 2021 Charity no lif any) 304304 Set out on pages I report to the trustees on my examination of the a¢¢ounts of the above charity {'the Trust.) for the year ended 3111212021 Responsibilities and As the charity truslees of the Trust, you are responsible for the preparation basis of report of the accounts in accordance with the requirements of the Charilies Act 2011 {'the Act.). I report in respect of my examination of the Trust's a¢counts Carried out under section 145 of the 2011 Act and in carying out my examinalion. I have followed the applicable Directions given by the Charity Commission under section 145{51(b) of the Act. I have completed my examination. I confirm that no material matters have come to my attention I in conneclion with the examination which gives me cause to believe that in, any material respect.. accounting records were not kept in accordan￿ with section 130 of the Act or the accounts do not accord with the accounting records Independent examinerfs statement I have no ¢oncems and have come across no other matters in connection with the examination to which attention should ￿ drawn in order to enable a proper understanding ofthe accounts to be reached. Please delete the words in the brackets if th8y do not apply. Signed: Data: Name: David Hards Relevant professional qualification(sl or body (rf any): Chartered Accountant Address: 9 Main Street, Glympton, Woodstock, OX20 1AL

CHARITY COMMISSION FOR ENGLAND AND WALES No lif any) 304304 Glympton Vlllogo Hall Receipts and payments accounts CC16a For tha pèrlod from 01-Jan-21 31-Dec-21 To Section A Receipts and payments Unrestrictsd funds to the mearo8t Restricted funds Endowment funds Total funds Last year tothè nearest£ to th• tt•artstÉ to thg ngaregt£ to the noar881£ A1 Re¢¥1 Granis Cbnations Fund rai*rg F4all hire 26,119 600 1,153 25 26,119 600 1,153 25 13,930 9.$40 2,820 Sub total(Gross income for AR) 27,898 27,B98 26.290 A2 As$et anil Invè$tment $ales, Isee table). Sub total 27,898 27,898 26.290 A3Pa ments 646 $36 SSS 24,306 740 45 Cleaning Insuran Mtintenarte Subscripb"￿S Admin and accounts Catering Fumtshin9$léouipment 636 555 24.306 so 100 6S3 3.270 14,196 653 3,270 Sub total 30,116 30,116 15.S25 A4 A88et and investment purchases, Isee tsble} Sub total 30.116 30,116 15,525 N•t of r•e•ipts/(paym8nts) A5 Transfers between funds A6 Cagh lunds last yèar end Cash funds this ygar end 2,218 2.218 10,765 16,431 14,212 16,431 14,212 5,666 16,431 CCXX R1 accounts ISSI 0710312022

Section B Statement of assets and liabilities at the end of the period Unrestricted lund$ Restricted fund5 to nearegt£ Endowment funds to Th8are8t£ Categories Details to nearest£ B1 Cash funds cul￿nI account Dep05il Account Total cash funds (agree ￿l•￿$￿th rec£ipts %￿d paymerrts acwitl511 Unrestrfcted funds to ntrar*st£ R•striet funds ¢0 neare5¢£ Endowment funds tr• ￿e•￿tE Details Fuhd towhl¢h a88et ￿10 Curront ¥alu• ¢ioTral Details cost loptSonall B3 Investmgnt as$•ts Fund to whl¢h a88et ￿10 Current value Details Ost loptoonall 84 Assèts rètained for thè charity's own use Fund to which relatas Arnount nal Vthen due on#1 Details 85 Liabilitie5 Span8d by one or trust8e8 on behalf of all tru$tee$ Dale of roval Signature Print Name %ofoAL 3-?02? CCIX R2 accounts ISSI 0710312022