**AGM Minutes and Trustees Report of Walsham Le Willows Community Council (Registered Charity no. 278321) and Memorial Village Hall ( Registered Charity no. 304950) for the year ended 31st December 2025** 

Annual General Meeting held on Wednesday 24th June 2026 at 7.30pm in the Memorial Village Hall, Walsham le Willows, IP31 3BA 

1 – Those present : Committee Members/Trustees : Trevor Roberts, Ian Bartholomew, Rob Matthews, Nick Tuck, Sarah Cousins, Cheryl Bartholomew, Shirley White, Karen Quinn and Catriona Brinkley. 

Members of public also in attendance Sharon Laslett, Jean Neilsen and Mark Reynolds. 

2- Apologies: None 

3- Minutes of the AGM held on 25th June 2025 : Approved with no objections and the Chairman signed them o�. 

- 4- Matters arising: None 

- 5- Chairman’s Report; Trevor read out the report as follows 

Good evening, and welcome to the Annual General Meeting of the Community Council. 

Although I hold the title of Chairman, the truth is that the Council is a well-organised and e�icient team that runs remarkably smoothly, making my role a very easy one. For that, I would like to thank all members of the Council for their hard work, commitment and support throughout the year. 

Firstly, thank you to Secretary Rob, for his invaluable guidance during meetings and for producing accurate minutes with impressive speed. 

for overseeing our major capital projects. 

My thanks also go to Cheryl for overseeing the production of the Walsham Observer, together with the dedicated team of volunteers who distribute it throughout the village. 

A special thank you to Shirley, Karen and Sarah for their continued commitment to running the Co�ee Shop and Community Lunches month after month. Karen also deserves recognition for successfully maintaining our alcohol licence. 

Thanks to Sarah and Mike for continuing our Picturehouse Nights, which have been extremely well supported, with each showing attracting a near full house. 

Thank you to our Vice Chairman, Nick, for standing in for me when I was on holiday and for his willingness to set up and clear away tables and chairs at short notice whenever required. 

My thanks also go to Ian Toulson BEM for his expertise in editing and producing the Walsham Observer. 



Thank you to Gordon for maintaining and enhancing the Freeborn Garden, to Andy for keeping the grass neatly mown, and to Candy for ensuring that the hall remains clean, tidy and welcoming for all who use it. 

The Community Council and Memorial Hall charities continue to thrive because of the enthusiasm, dedication and hard work of their members, supported in turn by the people of Walsham le Willows. 

Long may that continue. 

Thank you all for your support over the past year. 

6- Treasurer’s Report: IB provided copies of the audited accounts along with the Independent Examiners report to the Trustees to all members at the meeting. The December 2025 for accounts covered the financial  performance for the period to 31[st] both the Community Council and Memorial Village Hall. 

IB made additional comments that the co�ee shop is going from strength to strength and similarly the Community Lunch is also enjoyed and well attended so we must thank all our helpers. IB also mention on expenses that cleaning costs will be increased this year after a period of stagnation and also Insurance costs will be higher due to among other things cover for our solar panels. 

both the Community Council and the Memorial Village Hall charities was unanimously approved. 

IB proposed we continue the appointment of Tracy Dougherty as Auditor which was unanimously approved. 

Chairman Trevor thanked Ian for all his work as our Treasurer. 

7- Election of Honorary O�icers – as nominated at meeting 3[rd] June 2026 

At this point the Chairman passed over to our VC for the initial re-election of the Chairman after which the Chairman took over again. 

CHAIR – Trevor Roberts proposed by SC seconded by SW - appointed 

VICE CHAIR – Nick Tuck proposed by KQ seconded by SW – appointed 

Treasurer – Ian Bartholomew proposed by SW seconded by NT – appointed 

Secretary – Robert Matthews proposed by SC seconded by KQ – appointed 

8 – Acceptance of Representatives from four Statutory Organisations 

Sports Club – Robert Matthews 

Parochial Church Council – Reverend Catriona Brinkly 

Women’s Institute – to be nominated 



Parish Council – Trevor Roberts 

9 – Election of other Committee Members 

Cheryl Bartholomew 

Sarah Cousins 

Karen Quinn 

It was also proposed by IB and seconded by RM that Sharon Lasett be coopted onto the Committee which was unanimously agreed 

10 – Trustee appointments 

continue. It was suggested that Sharon Lassett having only just joined the Committee should be given time to settle in before considering whether or not to be a Trustee. 

11 – Public Open Forum 

the July issue of the Observer where he declared his wish to retire at the end of this year from editing the Observer after seven years. 

This surely was a di�icult decision for Ian to make and it’s also one the Committee will have to spend time considering what to do next about the Observer and at this time we wish to minute our deep gratitude and thanks to Ian for all his hard work as editor of the Observer not just for the past 7 years but also over a long period of time. 

Again, thank you Ian 

It was pointed out that this was not the forum to bring up this matter however his thoughts were taken on board and mainly understood and it was suggested he should attend the next Parish Council meeting where such a discussion was more appropriate. 

## 12 -  Close 

There being no other business Chairman Trevor closed the meeting at 8.03 pm 

Robert Matthews, Secretary 



## Walsham-le-Willows Memorial Village Hall 

## Notes to accompany Income & Expenditure Accounts 

## Year Ended 31st December 2025 

## Income 

1. Recycling income increased marginally to £1,148  (£1,118). 

2. continued development and popularity of this weekly venture. 

3. Similarly the uptake of our monthly Community Lunches continued to grow generating income of £3,976 (£3,753). 

4. The donation of £500 (£1,310) was a legacy payment which was used to purchase two dedicated wooden garden benches. 

5. Our Solar Energy installation generated income of £359 (£224) from the power fed back into the National Grid. 

6. the Picturehouse events and annual village Quiz during the autumn and winter. Funds raised during the year amounted to £6,045( £4,453). 

7. Hiring income grew modestly to £8,947 (£8,862). 

## Expenditure 

1. Our weekly cleaning contract with Candy Cleaning continued throughout the year. Total cleaning costs (which included window cleaning) increased slightly to £2,312 (£2,193). 

2. Energy system with our expenditure reducing to £3,102 (£4,453). 

3. (£4,906). This reflected increased Co�ee Shop, Community Lunch and Picturehouse turnover and costs. 



4. Insurance costs increased to £2,236 (£1,335) due to additional cover taken out to cover our Solar Energy and catering equipment. 

5. The cost of repairs and renewals of £4,348 (£35,770) This included £2,737 for electrical works). The previous years expenditure included the capital spend of £32,404 on our Solar Energy system. 

6. increased unit costs and a leak in one of the Ladies toilet cisterns prior to this being detected and repaired. 

## Reserves 

Year-end reserves amounted to £36,517 (£28,466) of which £6,000 has been ringfenced for future car park repairs and £10,000 for a general contingency fund. 

## Walsham le Willows Community Council 

## Notes to accompany Income & Expenditure Accounts 

## Year Ended 31st December 2025 

## Income 

1. Income from Observer adverts increased with £3,946 (£3,334) being received in year. 

2. No donation envelopes were issued last year. 

## Expenditure 

1. Observer printing costs increased slightly to £4,025 (£3,720). 

## Reserves 

Year-end reserves totalled £603 (£617) which equated to the printing cost of two months editions of the Observer. 



## **Walsham-le-Willows Memorial Village Hall Income & Expenditure Accounts Year Ended 31.12.25** 

|Income<br>Bottle / Paper Bank<br>Bowling Green Rent<br>Car Park<br>Coffee Shop<br>Community Council<br>Community Lunch<br>Donations<br>Electricity FIT<br>Fundraising Events<br>Gift Aid<br>Grants<br>Hiring Charges<br>Interest<br>Pop Up Shop<br>Total<br>Expenditure<br>Accountancy Fees<br>Bank Charges<br>Broadband<br>Cleaning<br>Community Council<br>Electricity<br>Equipment<br>Fire Protection<br>Fundraising Events<br>Insurance<br>Licences<br>Rebuilding Project<br>Refuse<br>Repairs & Renewals<br>Sundry Expenses<br>Water<br>Total<br>Surplus<br>Balance b/f<br>Balance c/f<br>Cash<br>Current a/c<br>Deposit a/c<br>Bank balance<br>**Reserves**<br>Car Park<br>General<br>**Available Funds**|31.12.24<br>1,118.16<br>350.00<br>135.88<br>5,074.49<br>0.00<br>3,753.50<br>1,310.00<br>224.17<br>4,453.50<br>0.00<br>28,147.10<br>8,861.86<br>397.09<br>0.00<br>53,825.75<br>400.00<br>215.43<br>583.59<br>2,193.31<br>0.00<br>4,541.29<br>2,183.12<br>194.40<br>4,905.71<br>1,334.96<br>359.31<br>0.00<br>292.24<br>35,769.78<br>9.70<br>172.06<br>53,154.90<br>670.85<br>27,795.51<br>28,466.36<br>57.00<br>3,702.28<br>24,707.08<br>28,466.36|**31.12.25**<br>**1,148.40**<br>**350.00**<br>**68.23**<br>**8,626.53**<br>**0.00**<br>**3,973.00**<br>**500.00**<br>**358.95**<br>**6,045.68**<br>**0.00**<br>**0.00**<br>**8,946.87**<br>**453.57**<br>**0.00**<br>**30,471.23**|
|---|---|---|
|||**480.00**<br>**247.21**<br>**625.26**<br>**2,312.37**<br>**88.13**<br>**3,102.14**<br>**238.80**<br>**366.11**<br>**7,045.14**<br>**2,236.49**<br>**551.04**<br>**0.00**<br>**302.38**<br>**4,348.17**<br>**13.76**<br>**463.74**<br>**22,420.74**|
|||**8,050.49**<br>**28,466.36**<br>**36,516.85**|
|||**90.50**<br>**1,812.79**<br>**34,613.56**|
|||**36,516.85**|
|||**5,000.00**<br>**10,000.00**<br>**15,000.00**<br>**21,516.85**|





7 The Coppi
Gt Barton
Suffolk
IP312
Tel: 01284 788440
Mob.. 07949 947946
TJMD@doughety.me.uk
TJM DOUGHERTY LTD
CHARTERED ACCOUNTANT
INDEPENDE￿ EXAMINER'S REPORT TO THE TRUSTEES
I report on the flliancia] ststements for the year ended 31 Decemkr 2025 which are attached.
This report is made solely to the charity's trustee4 as a IK￿. in accordance with section 145 of the Charities Acts
2011 and Tegulations made under section 145(5Xb) of that Act. My work has been undertaken so that I might state
to the charity's tn￿te¢S those matter51 atll required to state to them in an Independent Examinefs report and for no
otheT pu4￿Se. To the fullest extent permitted by law. I do not accept or assume responsibÈity to allyone oth¢r than
the cEwity And th¢ ¢hartty's trustees as a imxiy, for my wort for this report orthe opinions I have forn)e(L
Respective responsibilities of trnsttt8 and examiner
The charity's trustees are responsible for the preparatioll of the fillallcial ststement% and they consider that an audit
is not required for the year (under section 144 of the Charities Act 2011 (the Act) and that an independent
xamination is needed.
It is my responsibilty to:
examine the financial ststements (under section 145 of the Ath)"
follow the Pr(Ked￿ laid down in the GeneTa] DiT￿tiO￿￿ given by the Clwity Commission
(under section 145(5Xb) of the Act). and
to state whether particular matters bave come lo my attenti(yn.
Basis of indepeDdeDt examiner's rewtyrt
My examination was ¢8rried out in accordance with General Directions given by the Charity Commission. An
examination includes a review of the accounting recor(Ls kept by the charity and a comparison of the finaDcial
statements presented with those records. It also includes consideration of any unllsual items or dis¢losw¢s in the
financial statement4 and seeking explanations from the trustees concerning any s￿h matters. The procedures
undertaken do not provid¢ all the ¢videnc¢ that would be required in an audiL and consequently no opinion is given
as to whether the fmancial statements present a kne and fair view. al￿ the ￿POrt is limited to those matteTS set out
in the statement below.
Illdependent examiner's statement
In comiection with my examinatio￿ no matter h&$ come to mv attention".
(l) which gives me reasonable cause to believe that in any material reSp￿t the requirements:
to keep accounting records in accordance with section 130 of the Act and.
to prepar¢ financial statements which ac¢ord with the accounting ￿COrdS and c(4nply with the accounting
requirements of the Act have not EKen me¢ or
(2) to which. in my Opinio￿ attention should Ix dra1￿ in order to ¢nabl¢ a proper unda*anding of the financial
statements to be reache
Signed: cfAI Doug
Tra¢y Dougherty. FCA
Dated: 20 May 2026
TJM Dougheity is the trading name of TIM Dougherty Ltd
Registered in England and Wales Co no: 7486117. Registere(l offKe: as above.
CAEW

Isharn4&WIl
lfttomÈ & Ex ndilurE Accounts Year Ended 31.12.2S
Incorr
31.12.24 31.1225
8otYe I Paper Bank
B￿￿Ing G￿n Rent
Car Patk
Coffee Shop
Comrnun¥ty CounL71
Communty Lunth
Donations
Electriiity FIT
Fundraising Events
GiftAid
Grants
Hiring Charges
Inte￿st
Pop Up Shop
1.118_16
1.148.40
350.OJ 350.00
1￿.88
5,074.49
£626.53
3.753.50
1,310.(￿)
Z24.17
4.453.50 6.045.68
3.973.(Kl
28.147_10
8,861.86 8.94&87
397.(Y3
53 825.75 30
71.23
Ac(ountaftGy Fees
Bank Charges
Broadband
Cleaning
Cornmunrty Counol
Eledricity
Equipment
Fire Protection
480.(
24721
625.26
1312.37
88.13
3.102.14
238.80
21S.43
583.59
2.193.31
4.541.29
2.183.12
194.40
E 11
Fundraising Events
Insuran
¢enix
Rebuilding Prq
Refuse
Repairs & RerwréL8
Sundry Eyn585
Water
4,935.71
7.r145.14
1.334.￿ 1236.49
359.31
S51.04
2Y2.24
302.38
S5.769.78 4348.17
9.70
13.76
172.(
463.74
Totsl
20.74
Surplu$
670.85 Q050A9
Balan￿ bff
27,P35.51 4466.36
Bala￿e cjf
16.85
Cash
Current alc
Deposrt alc
9050
3.702
1.812.79
24,707.08 34 613.56
Bank balar
28 466.36 36
16.85
Resetves
Car Park
General
6,OWJ.00
1&000.00
Available Funds