## **CHAIRMANS ANNUAL REPORT TO HAUGHLEY VHMC ST - th 1 May 2020 30 April 2021** 

**- 2020 2021** the year of  the global pandemic of Covid-19.   The village hall probably for the first time in its history was closed completely for almost 6 months  from 23[rd] March 2020 until September  2020 when Pre school returned.  Disco Dancing, Serenity Yoga and Tai Chi returned only briefly during the break in lockdowns in the Autumn.  This has meant that income from hall hire has been severely impacted this year.  Income from bookings in 2020 were £15,291.00,  in 2021 income was only £5,667.00. 

However due to prudent management and monies raised through grants, donations and fundraising over several years the Village Hall had a healthy bank balance at the start of the financial year. The balance of £36,693.85 included a contingency fund to cover unforeseen circumstances.  This buffer has made the past year a lot easier than it would otherwise have been.  The village hall was also fortunate to secure grants totaling £36,526.40 which have helped to cover some of the loss of income from hall hire and have also allowed us to continue with projects such as the renovations to the Malting’s roof and the installation of business broadband. 

## **HALL HIRE** 

As well as the impact of Covid on regular hire it has also had a big impact on Casual hire with no bookings at all for this year as parties, weddings etc were not allowed under Covid restrictions. 

Sadly this year we have also lost 2 of our regular hirers. Serenity Yoga from the GR Wednesday mornings and  Thursday evenings due to increased class sizes and lack of space to socially distance.  Country Dancing  who prior to the pandemic had met in the MH on Thursday evenings for many years are now only meeting once a week and have decided to hold this in Wetherden VH.  We hope that we will be able to fill these slots fairly quickly as we have had many enquiries from groups particularly for the MH but have not had a slot available.  We will be advertising availability in the Parish News and via the Village Hall webpage. 

## **FUNDRAISING** 



The village hall management committee have continued to fundraise when possible.  We managed to squeeze in one film night at the end of October when we showed “Death of Stalin” which raised £41.27.  Film nights had started to build up prior to the pandemic and we hope that once things return to normal audiences will return again. 

It was the village halls turn to run the Christmas Raffle usually held at the Christmas Lights Switch On event.  Sadly this year the lights switch on was cancelled but we did manage to make £66.40 profit by selling through Haughley Post Office and Committee members. 

The committee have also decided to start a monthly Community Café at the village hall,  something we have been discussing for many years. Following all the months of lockdown and people not being able to meet up it seems like this would be welcomed.  It is hoped to start once all restrictions are lifted. 

## **CLEANING/CARETAKING** 

Lauren Currie (Cozy Cottage Cleaning) is contracted by the village hall to provide this service.  Lauren has done an excellent job throughout the pandemic using the time during the first lockdown to thoroughly clean the whole hall.  She now comes in on Tuesday/Fridays to deep clean the hall in line with Covid guidance. 

## **THE BUDGET/GRANTS** 

The village hall finished the financial year with a healthy bank balance of  £43,756.20 in part due to the grants we have been able to obtain to help cover loss of income from hall hire due to lockdown and restrictions.  We are extremely grateful to BMSDC, MSDC and Haughley PC for the support we have received over the past year.  BMSDC £10,000 – Retail Hospitality & Leisure Grant received in Sept 2020, grants totaling £18,708.00 for Local Restrictions Business Support from MSDC and a grant of £3000 from Haughley PC towards the General upkeep of the village hall.  We also received a MSDC Community Projects grant of £4818.40 towards the cost of the renovations to the Malting’s roof and repairs to the MH roof. 

## **RENOVATIONS/REPAIRS** 

Projects completed include the renovations to the Malting’s roof to replace the roof coverings to make it entirely watertight and 



also to repair sections of the Main Hall roof and replace gutters and downpipes to the front of the MH. This work was carried out in August 2020 by Bayes Roofing at a total cost of £14,923.20 with the MSDC Community Projects grant going towards this cost. 

Also completed in 2020 was the installation in November of business broadband to the village hall to enable us to provide free WiFi to all users.  As the hall already had a line in place there was no installation or connection fee. The annual cost to the village hall is £259.20. 

Projects in the pipeline include the replacement of the solid wood flooring in the Main Hall.  This project was put on hold last year due to the Malting’s renovations taking precedence and to allow us to find the best replacement product and funding options available.  This work will now take place during the summer break and be done by Hadleigh company Roger Hyde Flooring . This will involve the complete replacement of the flooring, fully insulating the floor from below (a requirement for Building Regulations) and matting to the entrance hall at a cost inc Vat of £27,168.00. A Community Projects grant of £9056.00 has been obtained towards this cost from MSDC which makes the net cost to the hall £18,112.00.  It was felt that although this was a large expenditure even with the MSDC grant it is a worthwhile investment which will last for many years as well as improving the facility we offer to our hirers and the community. 

Other projects still under consideration are :- 

- a) Replacing the flooring in the kitchen.  Initial quotes Jan 2020 between £1,422.00 and £2,424.00 

- b) Replacing the entrance doors to the Village Hall.  Initial quote of £1,212.00 for hardwood doors. 

- c) Another project in the early stages of discussion is the renovation of the garden to make it a more attractive and usable space for all hirers and users. 

## **COMMITTEE** 

We have seen a lot of change on the committee this year with Pat Chinery retiring as WI rep.  Ross Dawson standing down as Parish Council rep due to family commitments to be replaced in September by Yvonne Hannan.  But the person I and I am sure many of the committee are saddest to see go is Robert  who has been vice-chair since 2016.  Robert has tackled everything 



from blocked loo’s to the red tape and small print of the Constitution and registering of title, the minefield of Trustee Indemnity Insurance, not to mention GDPR and ensuring that the VH has all the relevant policies in place. He is a whizz with a power washer and most school holidays have seen him on his hands knees varnishing the main hall floor, as well as being projectionist at our film nights and cream dolloper at the Spring Quiz.  Yours will be very big shoes to fill Robert and I would like to thank you on behalf of the committee for everything you have done . 

I would also like to say how immensely proud I am of the way the village hall committee has pulled together to keep the hall going over the pandemic and made sure that it is a Covid secure environment for hirers to return to as restrictions allow.  I thank you all for your support and for being as committed as ever to providing and maintaining this much loved community facility at the heart of Haughley. 



## **HAUGHLEY VILLAGE HALL MANAGEMENT COMMITTEE ACCOUNTS FOR THE PERIOD 1ST MAY 2020 - 30TH APRIL 2021 RECEIPT AND PAYMENT ACCOUNT** 


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2021 2020<br>INCOME RECEIPTS £ £<br>HALL BOOKINGS (INCL HEATING)        5,667.00    15,291.00<br>BOOKING DEPOSITS                   -           200.00<br>GRANTS/DONATIONS/LOANS      36,526.40      3,028.50<br>REPAIRS/MAINTENANCE/EQUIPMENT           130.18           22.15<br>FUND RAISING           229.27         703.84<br>TOTAL RECEIPTS    42,552.85  19,245.49<br>EXPENDITURE<br>ADMINISTRATION SERVICES        2,880.75      4,899.96<br>CLEANER/CARETAKER SERVICES        2,095.50      2,048.70<br>CLEANING ITEMS           529.43           44.04<br>GAS & ELECTRIC        1,538.30      1,224.00<br>ANGLIAN WATER           227.55         317.78<br>REPAIRS AND MAINTENANCE (& EQUIPMENT)        1,257.90      1,990.90<br>FIRE PREVENTION (CHUBB)           134.74         425.13<br>C.A.S. INSURANCE            894.41         923.20<br>PERFORMING RIGHTS SOCIETY/PPL           366.98         380.44<br>ADMIN            402.17         191.28<br>LOTTERY FEE (lottery & amusements act<br>M.S.D.C)             20.00           20.00<br>BOOKING DEPOSITS                   -           235.00<br>PROJECTS      28,453.20      2,514.00<br>FUND RAISING           373.25         486.70<br>MISCELLANEOUS             46.50           46.99<br>GRANTS & DONATIONS                   -                   -<br>TOTAL PAYMENTS    39,220.68  15,748.12<br>NET RECEIPTS FOR THE YEAR        3,332.17      3,497.37<br>BALANCE B/FWD  ***      40,191.22    36,693.85<br>CHUBB - credit from year 2019/20           202.81<br>BALANCE AS AT 30TH APRIL 2021      43,726.20    40,191.22<br>BALANCE  - current account      43,726.20    40,191.22<br>CASH IN HAND             30.00           30.00<br>Balance at start of financial year - current account      40,191.22    36,688.09<br>cash in hand at start of financial year             30.00             5.76<br>Total      40,221.22    36,693.85<br>Balance at end of financial year - current account       43,726.20    40,191.22<br>cash in hand             30.00           30.00<br>Total     43,756.20  40,221.22<br>Total Receipts      42,552.85    19,245.49<br>Less Total Payments      39,220.68    15,748.12<br>Surplus        3,332.17      3,497.37<br>Income from regular bookings (Annual)        5,667.00    14,342.00<br>General expenditure (Annual - Incl. petty cash)      10,347.73    12,465.43<br>Income from regular bookings less general expenses (Y.T.D) -      4,680.73      1,876.57<br>Parish Council Grant        3,000.00      3,000.00<br>Income from reg bkgs less gen exp's incl p cash & P.C. grant -      1,680.73      4,876.57<br>CHAIRMAN/VICE CHAIRMAN SIGNATURE<br>TREASURER SIGNATURE<br>AUDITOR SIGNATURE<br>**----- End of picture text -----**<br>




## **BREAKDOWN (where required) OF ANNUAL ACCOUNTS 2020/21** 


**----- Start of picture text -----**<br>
INCOME  Includes<br>HALL BOOKINGS No Casual Bookings<br>DONATIONS No Donations<br>£3000 Parish Council, £36,526.40 MSDC (incl Retail & Leisure<br>Grant, Local Restrictions Support Grants, Closed Business<br>GRANTS Lockdown Payment and Restart Grant)<br>£82 Feb Film Night, £41.27 October Film Night, £106 Christmas<br>FUND RAISING Draw<br>REPAIRS MAINTENANCE &<br>EQUIPMENT PAT's (Pre School), PCC Paper towels reimbursement<br>EXPENDITURE Includes<br>NewUrn, T/Rolls, Archive Boxes, PAT's, Trade Refuse Collection x<br>2 years, Garden Waste Collection, Decorating Items, Timer for<br>REPAIRS, MAINTENANCE &  Outside Light,Filters for Heater Exchange, Window Cleaning x 2,<br>EQUIPMENT Boiler Service, Removal of Willow Roots, Lighting Fault in LH<br>phone useage, broadband, diary, ink cartridges, stamps,<br>computer paper, laminating pouches, covid compliance items,<br>ADMINISTRATION CAS Model Hire Agreement, £129.60 Broadband<br>MISCELLANEOUS gift for auditor<br>FUND RAISING Sumup payment device, printing of draw tickets, £214.85 MPL,<br>**----- End of picture text -----**<br>




HAUGHLEY VILLAGE HALL PaANAGEMEKf COMMrrrEE
ACCOUNTS FOR THE PERIOD 1ST IIAY 2020. 30TH APRIL 2021
RECEIPT AND PAYME1￿ ACCOUNT
2021
2020
INCOME RECEIPTS
HALL BOOKINGS
INCL HEATING
BOOKING DEPOSITS
GRANTSIDONATION&LOANS
REPAIRSIMAINTENANCEIEQUIPIAENT
FUND RAISING
TOTAL RECEIPTS
130 18
229 27
41552.85
22.15
703 84
19.245.49
EXPENDITURE
AOMINISTRATION SERVICES
CLEANERICARETAKER SERVICES
CLEANING ITEMS
GAS & ELECTRIC
ANGLIAN WATER
REPAIRS AND MAINTENANCE I&
EQUIPMENT
FIRE PREVENTION
C.A.S. INSURANCE
PERFORMING RIGHTS SOCIETYTrPL
ADMIN
LOTTERY FEE (lottery & aml￿M$fi￿ acl
M.S.DC
BOOKING DEPOSITS
PROJECTS
FUND RAISING
MISCELL4NEOUS
GRANTS & DONATIONS
TOTAL PAYMENTS
529.43
227 55
317.78
CHUBB
13474
894 41
425.13
923 20
217
19128
235 CK)
28 453 20
373 25
486 70
15 748.12
NET RECEIPTS FOR THE YEAR
BALANCE BIFWD -
CHUB8-uedrtfrorn
r 2019120
BALANCE AS AT 30TH APRIL 2(Y21
BALANCE - curront ¥ccount
CASH IN HAND
36693.85
202 81
43 726.20
40 191 22
43.726.20 40.191.22
.(
80181￿ al Start of financial yow. owrent
cash in hand at start of financial y
Totsl
40.191.22 *.688.09
40,221.22 36,693.85
8alance atend of finanaal year. ￿rr*fit *yxxwrt
cash in hand
Tot81
43.728.20 40.191 22
43,786.20 40.221.22
Total Receipts
Less Totsl Payments
Surplus
42,552.85 19,245.49
39.220 68 15,748.12
3.332 17
3.497 37
It)com•lrom
u￿r
Gon•rdl ex
ndkur•
Annual. thcl.
Incomè Irom
ul•r bookl
Parbh Counell Gr•rrt
In￿m* fro
10 347 73
r•1 •x
1 876.57
sirtl
C8•h & P.C.
4 876.57