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2021-03-31-accounts

To

Trustees' Annual Report for the period

Period start date Period end date 1 April 2020 31 March 2021

From

Section A Reference and administration details

Charity name Other names charity is known by Registered charity number (if any) 304533

Tunley Recreation Centre

Charity's principal address

Bath Road Tunley Bath Postcode BA2 0DZ

Names of the charity trustees who manage the charity

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Trustee name Office (if any) Dates acted if not for whole
**year **
Name of person (or body) entitled
to appoint trustee (ifany)
Jon Boon Chair Elected at AGM
Martin Robinson Vice Chair Dunkerton & TunleyPC
Jane Bale Secretary Elected at AGM
Laura Salter Treasurer Elected at AGM
Tom Watson Elected at AGM
Jess Watson Elected at AGM
Paul Wadsworth Elected at AGM
Yvonne Dix TunleyAthletic Football Club

Names of the trustees for the charity, if any, (for example, any custodian trustees)

Name Dates acted if not for whole year Dunkerton & Tunley Parish Council – Custodian Trustees.

TAR

March 2012

1

Names and addresses of advisers (Optional information)

Names and addresses of advisers (Optional information) Names and addresses of advisers (Optional information) Names and addresses of advisers (Optional information)
Type of adviser
Name
Address
Name of chief executive or names of senior staff members (Optional information)

Section B Structure, governance and management

Description of the charity’s trusts

Constitution Type of governing document (eg. trust deed, constitution)

Trust How the charity is constituted

Appointment by Parish Council (1), Nominated by local Football Club (1), Trustee selection methods Election at AGM (remainder). Constitution allows for co-option of up to 12 (eg. appointed by, elected by) Trustees

Additional governance issues (Optional information)

Trustees act in accordance with the terms of the Constitution, and of the You may choose to include guidance issued to them by the Charity Commission. additional information, where relevant, about:

Section C Objectives and activities

Provision of a village hall and recreation ground to improve the conditions of life for the inhabitants of the surrounding area.

Summary of the objects of the charity set out in its governing document

TAR

March 2012

2

Management of the Tunley Recreation Centre involves Trustees, contractors and volunteers working to manage, maintain and improve the community hall and its facilities, the recreation field, the play area and equipment which groups and individuals can hire.

I can confirm that Trustees have had regard to the guidance issued by the Charity Commission on public benefit.

Summary of the main activities undertaken for the public benefit in relation to these objects (include within this section the statutory declaration that trustees have had regard to the guidance issued by the Charity Commission on public benefit)

Additional details of objectives and activities (Optional information)

The Tunley Recreation Centre Management Trustees do not make grants. Its financial policy is to invest any surplus funds in deposit accounts.

The trustees enjoy the support of “The TRC Friends Group” of volunteers who make a marvellous contribution to the effective running of the TRC for the benefit of the community.

You may choose to include further statements, where relevant, about:

TAR

March 2012

3

Section D Achievements and performance

Replacement of the main central area of the hall floor. Summary of the main Replacement of lights along the access lane to the hall and car park. achievements of the charity Maintenance of, and improvements to the grounds, with many positive during the year comments from residents – very important in boosting the morale of local residents during the pandemic lockdowns.

TAR

March 2012

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Section E Financial review

Brief statement of the

Reserves are held to cover potential large repair bills e.g., heating system failure, leaking roof.

charity’s policy on reserves

Details of any funds materially in deficit

None

Further financial review details (Optional information)

You may choose to include additional information, where relevant about:

Principal source of funds is hire of the hall and grounds (including Football Pitch)

Expenditure is always made in line with the objectives detailed in the constitution.

Investment of any surplus funds is made in deposit accounts.

Section F Other optional information

Section G Declaration

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees

Signature(s)

Full name(s) Laura Patricia Salter Position (eg Secretary, Chair, Treasurer etc) Date 20/09/2021

TAR

March 2012

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Tunley Recreation Centre - Chairty No 304533

Tunley Recreation Centre -Chairty No 304533 Tunley Recreation Centre -Chairty No 304533 Tunley Recreation Centre -Chairty No 304533
Year End Financial Report as of 31.03.2021
1/4/20 - 31/3/21 1/2/19-31/3/20
INCOME
Bank Interest £3.93 £0.00
Bootcamp £60.00
D.O.G £265.00 £776.00
DanceFit(previouslyThursdayZumba) £410.00 £1,419.50
Donations £650.00 £10.00
DTPC £28.00 £169.50
Floor Fund £1,214.68
Pilates £80.00
Refund to TRC £161.86
SewingClub £76.00
Skylarks Choir £51.00
SundayKitchen £754.00
TAFC £133.50 £1,507.57
TAFC Services £281.69
TunleyToddlers £36.00 £633.00
WI £69.00 £200.00
Woof.Its £376.00 £899.00
Zumba Friday £120.00
Casual Hall Hirings £574.75
Dolls House Club £271.00
Yoga Club 116.67
TRC Events £4,285.49
TunleyAFC Grounds Maintenance £240.00
Totals £4,770.66 £11,102.48
Grants £20,636.00 £4,169.45
Total incl Grants £25,406.66 £15,271.93
EXPENDITURE
Cleaning £800.00 £1,562.50
Grounds Maintenance £1,343.65 £691.17
Hall Maintenance £1,385.93 £2,230.54
Improvements £3,510.00 £4,301.17
Insurance £810.29 £907.85
Licences £200.00 £357.58
Misc £145.99 £67.98
Oil £201.39 £455.18
Refund from TRC £487.87
Utilities £680.00 £910.00
Subscriptions £150.00
TRC Events £246.77
PettyCash £187.00
Totals £9,565.12 £12,067.74
Profit/Loss for Period -£4,794.46 -£965.26
Fund Balance at end ofperiod represented by
Current Account £492.15 £3,081.51
Business Reserve Account £25,156.89 £6,726.20
PettyCash £166.62 £1,083.59
Total Funds £25,815.66 £10,891.30
EmergencyReserve included in Reserve Account £10,000.00
Funds Available £15,815.66

TheTreasvror has supplicd all requ￿1¢4 d¢xumeDraion.. this by virtue olthe pandeTniC has been in an electronicformaL A meeting wa5 held with theTreasurerto establish and theck prncedures e this w&$ SucC￿s￿l and cutout the ne¢d for copious emails. The Annual Treasurers reporr ro the Trustees has been ￿eWed and is inline financial controls (FC'5). The Annual budget was not p￿pared as there wa$ uft¢ertsinry regardlng thc pandemic. The I'rea5urercernpiled a reporL I'hi% has been ￿lewed. Sufficientresetves are in plate as per Fc's. correspon¢bn% bankstaiement has been viewe Bank accoynt sratem¢nts havt been wewed. Expenditure ha5 been ￿leWed c/w d bredkduwn uf theldryr vlements. i.e. Mjinlenaftce. Flall maintenance aDd ImproveTnents. The replacinx of thv H￿] nuurinx required Ihree lluul&tions, Ihtte were obtained and rhe order was placed wiih Wcll8w8y C(bntracrJ.1wrin&a record of rhis is within the monthly minutrs. These viewed. End of month fInaTrcial reptrrts were prepared by ihe Treasurer at)d tsrC￿ated to rhe Truqt¢es Clettronically aGkYng for fc¢d back if there were any querie5. thi5 in line wyth Fcs. Random invoices have been checked and are in order. Incume frotll hirers has been %rearly reduced but with krants etca healthy financial po_sition e￿Str. I wnuld con.sider stron8 Ffsare in placeand theaccountsto be accurate and well presented. Preparauan of a basic Budget for last stK months of this financial year. %teve Brnwn IndependentAuditor