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2026-04-07-accounts

Edale Village Hall – Chair's Report 2026

Bookings for the village hall were close to covering the basic costs of running the hall this year, which is excellent news. We still need fundraising to cover any refurbishment, one-off repairs, and upgrades; and of course to cover the cost of maintaining the playing field and playground.

Sadly the funds raised from running the charity car park will be coming to an end, however Edale Country Day had a successful year last year, and is happening again this year.

The major project for the village hall this year has been the planning and fundraising to replace the roof. We are taking the opportunity, presented by the roof needing to be replaced, to install in-roof solar panels over a large area of the roof, with roofing tiles covering just the areas around the outside. The funds are now largely in place and the project work is scheduled to start soon.

It is worth remembering that the village hall and playing field are run entirely by members of the community. There are many people who give their time to support the facilities, however special thanks must be given to:

And a massive thank you to everyone else who has helped over the last year, whether major jobs or small ones, you’ve done a great job.

Julia Thompson

Chair, Edale Village Hall and Playing Field Management Committee

Edale Village Hall & Playing Field Charitable Trust

Registered Charity 507831

www.edalevillagehall.org.uk

Treasurers Report for 12 months ending 7th April 2026

1. Introduction

The village hall and playing field are held in trust on behalf of the community of Edale. The trust is a registered charity and the members of the management committee are trustees of that charity.

The running costs of the hall and playing field include items such as Cleaning, Insurance, Caretaker, Heating, Mowing, Play Area inspection and maintenance, Water, Electricity, General Rates and Licences.

Neither the hall nor the playing field are directly funded by the local councils.

Charges are made for hall letting in order to cover running costs. This includes the letting of the hall to non residents in-order to reduce the burden of these costs on the residents.

There are no charges for using the playing field and children's play area. Running costs therefore need to be covered indirectly e.g. by fund raising.

There is an annual Bonfire event with the funds raised primarily for the maintenance of the event.

Other funds can also be received by way of grants, fund raising activities and donations.

These accounts report on the above activities related to the year ending 7th April 2026. The following sections explain the tables and graphs being provided and comment on the figures that are being reported.

2. Income & Expenditure Summary

This years activites have delivered a surplus of £18,950. Excluding the £2,486 raised by the ring fenced Bonfire fund and a £10,000 grant still leaves a surplus of £6,464, which means that day to day running costs have again been covered by the years non ring fenced activities.

Hall Letting contributed a deficit of £614, compared to a deficit of £2,392 and £4,101 in the two previous years. Hall Letting income has risen by 12% to £12,543, whilst expenditure has risen by just 3% at £13,157. The rise in income is particularly note worthy given this was a year without the biennial pantomime.

The Playing Field contributed a deficit of £1,287. The Tennis Club and 3 events provided the only direct income, meaning most of the playing field costs needed to be covered by fund raising.

A £10,000 grant was received from The National Lottery, ring fenced for the roof replacement and solar panel project.

Fund raising contributed £6,769 with the return of Country Day in addition to the Hundreds Club and the Parish Council's Station Yard Charity Car Park. The Parish Council's Station Yard Charity Car Park is however no longer in operation and will not contribute going forward.

A further £1,408 was received in donations, £413 of which is ring fenced for the roof replacement project, plus £708 contributed by miscellaneous items such as bank interest.

3. Account Balance Sheet

The end of year balance is £84,998, of which £24,038 is ring fenced for the Bonfire and £10,413 ring fenced for the roof replacement project, leaving £50,547 of the balance unrestricted.

4. Income & Expenditure

This sheet shows how the various activities of the charity contributed to the overall figures, including the contributions made by each fund raising activity.

Notable items are:

£10,000 grant from The National Lottery for the roof replacement and solar panel project. £3,750 raised by Country Day.

£2,131 received from the Parish Council's Station Yard Charity car park. £500 grant from High Peak BC to help establish a series of craft workshops.

£1,408 of donations received, including £375 from Spoonfest.

5. Hundreds Club

The Hundreds Club is a lottery run for the benefit of the village hall and playing field. A great deal of effort is put in by a number of volunteers to promote this and collect subscriptions.

The revised prize structure and subscription fees introduced for 2025/26 and renewed promotion of the scheme has raised a notable £887, successfully returning scheme to the level of net contribution seen in previous years,

6. Bonfire

The bonfire is run by a sub committee of the village hall and playing field management committee. The 2025 Bonfire delivered a surplus of £3,971.

£606 of funds were spent on purchasing new beer pumps, £174 on outdoor power cables. The fund has continued to support users of the hall with £500 donated to Edale Senior Citizens and £165 funding monthly coffee mornings.

7. Expenditure Analysis over 5 years

This section shows a breakdown of the costs to operate the hall and playing field for future reference and to aid analysis. 2020/21 and 2021/22 (pandemic years) have been excluded to enable comparison between normal years.

The reduction in expenditure, the first we have seen in several years, has arisen from a £250 reduction in telephone/internet costs together with £1,000 less spending on maintenance.

8. Hall Usage

Hall utilisation, the ratio of the number of sessions used versus the number available, has increased to 35% this year, the third consecutive year of increased usage. Resident/local group bookings and non resident bookings are both up by 6%.

The number of distinct users is the highest in over 5 years, having been booked by 66 distinct user groups or individuals.

The average income per session has increased to £32, the highest it has been during the last 6 years.

Bookings from non residents has provided 53% of the income from using the hall for just 23% of the sessions.

9. Comparison of Closing Balances since 2003

This section has been included to give the current balance some historical context. The graph shows how funds of circa £70k were accumulated from 2003 and then spent on the major refurbishment in 2011/12. Fourteen years on from that major refurbishment, the current balance (excluding the Bonfire) of £60,960 shows we are well placed to fund the next major refurbishment, namely the roof replacement and solar panel project.

10. Overall Summary

Income from hall letting and fund raising has again managed to achieve the target of covering the day to day operating costs of the organisation.

We have seen further progress towards operating costs of the hall once again being covered by the income from hirers of the hall alone, without reliance on fund raising, as was the case in 2018/19. A continued upward trend in usage of the hall plus the expected cost savings from the solar panels being installed by the roof replacement project is expected to deliver further progress towards this goal being met.

The roof replacement and solar panel project is scheduled to go ahead in June/July 2026. £32,500 of the expected £35,400 cost has been covered by the following fund raising:

£10,000 grants received

£6,840 from a Hope Valley Climate Action crowd funder

£400 from direct donations

This leaves just £3,160 of the cost to be covered by the funds in the closing balance.

The end of year balance is £84,998, of which £24,038 is iring fenced for the Bonfire, £10,413 ring fenced for the roof replacement project.

With just circa £3,160 of the closing balance expected to be needed to cover the costs of the roof replacement project, the remaining £48,000 of unrestricted funds in the closing balance positions us well to continue to invest in further refurbishments when needed.

Christopher J. Wright Treasurer.

Accounts for 12 months ending 7th April 2026

Income & Expenditure Summary for the current and 2 previous years.

Income 2023 / 24 2024 / 25 2025 / 26 £0
£10,000
£20,000
£30,000
£40,000
£50,000
2023 / 24
2024 / 25
2025 / 26
Income
Hall Letting
Playing Field
Fund Raising
Grants
Donations Received
Miscellaneous
£8,485.50 £11,220.50 £12,543.50
£618.00
£15,159.31
£10,500.00
£1,408.00
£771.76
£220.00 £220.00
£4,355.08 £4,183.80
£237.84 £0.00
£1,027.41 £894.48
£866.81 £926.53
Sub Total (excl. Bonfire) £15,192.64 £17,445.31 £41,000.57
Bonfire £10,622.20 £13,139.25 £11,451.50
Total (Incl. Bonfire) £25,814.84 £30,584.56 £52,452.07
Expenditure 2023 / 24 2024 / 25 2025 / 26 -£50,000
-£40,000
-£30,000
-£20,000
-£10,000
£0
2023 / 24
2024 / 25
2025 / 26
Expenditure
Hall Letting
Playing Field
Fund Raising
Grants
Donations Made
Hall Refurbishment
Playing Field Refurbishment
Miscellaneous
-£12,586.94 -£13,612.87 -£13,157.82
-£1,905.57
-£8,389.97
-£500.00
£0.00
-£519.33
£0.00
-£63.15
-£1,944.65 -£2,035.15
-£1,314.21 -£1,320.00
-£237.84 £0.00
£0.00 £0.00
£0.00 £0.00
-£1,119.96 -£246.86
-£85.00 -£60.00
Sub Total (excl. Bonfire) -£17,288.60 -£17,274.88 -£24,535.84
Bonfire -£8,576.58 -£7,274.73 -£8,965.29
Total (Incl. Bonfire) -£25,865.18 -£24,549.61 -£33,501.13
Net Contribution 2023 / 24 2024 / 25 2025 / 26 -£10,000
£0
£10,000
£20,000
£30,000
£40,000
£50,000
2023 / 24
2024 / 25
2025 / 26
Net Contribution
Hall Letting
Playing Field
Fund Raising
Grants
Donations
Hall Refurbishment
Playing Field Refurbishment
Miscellaneous
-£4,101.44 -£2,392.37 -£614.32
-£1,287.57
£6,769.34
£10,000.00
£1,408.00
-£519.33
£0.00
£708.61
-£1,724.65 -£1,815.15
£3,040.87 £2,863.80
£0.00 £0.00
£1,027.41 £894.48
£0.00 £0.00
-£1,119.96 -£246.86
£781.81 £866.53
Sub Total excl. Bonfire -£2,095.96 £170.43 £16,464.73
Bonfire £2,045.62 £5,864.52 £2,486.21
Total Incl. Bonfire -£50.34 £6,034.95 £18,950.94

Account Balances

Bank /Cash
CAF Cash
2023 / 24
£5.00
2024 / 25
£5.00
2025 / 26
£5.00
£70,000 Total in Bank Total in Bank Total in Bank Total in Bank Total in Bank / Cash / Cash at 7th April 7th April 7th April
Card Payments £0.00 £0.00 £0.00 £60,000
Cash
Current
Deposit
Hundreds Club
Sub Total excl. Bonfire
£40.00
£1,310.65
£38,994.46
£995.00
£41,345.11
£2.00
£6,612.00
£38,404.08
£1,095.00
£46,118.08
£30.00
£3,211.18
£52,926.58
£2,300.07
£58,472.83
£0
£10,000
£20,000
£30,000
£40,000
£50,000
Bonfire £15,687.89 £21,552.41 £24,038.62 2023 / 24 2024 / 25 2025 / 26
Total incl. Bonfire £57,033.00 £67,670.49 £82,511.45
ClosingBalance
Debtors (note 1)
Creditors (note 2)
Advance receipts
2023 / 24
£3,626.58
£0.00
-£866.50
2024 / 25
£3,961.14
-£156.68
-£5,546.92
2025 / 26
£3,332.89
-£217.75
-£750.00
£40,000
£50,000
£60,000
£70,000
Closing Balance
Advance expenditure £220.00 £120.00 £122.38 £30,000
Write Offs
Sub Total excl. Bonfire (note 3)
Bonfire (note 4)
£0.00
£44,325.19
£15,687.89
£0.00
£44,495.62
£21,552.41
£0.00
£60,960.35
£24,038.62
£0
£10,000
£20,000
2023 / 24 2024 / 25 2025 / 26
Total incl. Bonfire(note 5) £60,013.08 £66,048.03 £84,998.97

Explanatory Notes

Income and Expenditure for 2025/26

Income Expenditure Expenditure Net
Contribution
(1)
(2)
(3)
(4)
(5)
(6)
(7)
(8)
(9)
Hall
Lettings
Local
Group
Downfall Productions
Friends of Edale Station
Edale Horticultural Society
Edale Parish Council
Coffee Morning
Edale WI
Play Reading
FOHES
Edale Methodist Chapel
Edale Senior Citizens
HVYF
Sustainable Edale
The Edale Society
Edale Primary School
£440.50
£214.50
£198.00
£181.50
£165.00
£165.00
£148.50
£99.00
£82.50
£80.00
£40.00
£40.00
£16.50
£16.50
Cleaning
Caretaker & Booking
Water
Electricity
Insurance
Heating
Refuse Collection
Fire Safety
Consumables
Sanitary Bins
Internet
Electrical Safety
Maintenance
Window Cleaning
Licences
General Rates
Telephone
Membership
Card Fees
-£2,675.00
-£2,100.00
-£1,098.74
-£1,020.01
-£979.50
-£758.38
-£667.58
-£623.40
-£538.93
-£468.00
-£446.67
-£389.95
-£387.77
-£325.00
-£243.54
-£221.56
-£161.79
-£50.00
-£2.00
Sub Total Local Groups £1,887.50
Residents £4,056.00
Non Residents £6,600.00
Sub Total Hall Lettings £12,543.50 Sub Total Hall Lettings -£13,157.82 -£614.32
Playing
Field
Local Group
Non Residents
Residents
£319.00
£200.00
£99.00
Mowing
Play Area Inspection
-£1,745.00
-£160.57
Sub Total Field Lettings £618.00 Sub Total Field Lettings -£1,905.57 -£1,287.57
Fund
Raising
Country Day
Hundreds Club
Station Yard Car Park
£10,597.42
£2,430.00
£2,131.89
Country Day
Hundreds Club
Station Yard Car Park
-£6,847.42
-£1,542.55
£0.00
£3,750.00
£887.45
£2,131.89
Sub Total Fund Raising £15,159.31 Sub Total Fund Raising -£8,389.97 £6,769.34
Grants Roof
Craft Workshops
£10,000.00
£500.00
Roof
Craft Workshops
£0.00
-£500.00
Sub Total Grants £10,500.00 Sub Total Grants -£500.00 £10,000.00
Donations Other
Roof
Hundreds Club
Non Residents
£825.00
£413.00
£150.00
£20.00
Sub Total Donations Received £1,408.00 Sub Total Donations Made £0.00 £1,408.00
Hall
Refurb.
Roof
Chairs
-£433.00
-£86.33
Sub Total Hall Refurb. £0.00 Sub Total Hall Refurb. -£519.33 -£519.33
Field £0.00
Sub Total Field Refurb. £0.00 Sub Total Field Refurb. £0.00 £0.00
Bonfire Sub Total Bonfire £11,451.50 Sub Total Bonfire -£8,965.29 £2,486.21
Misc. Interest £771.76 Bank Fee
Stamps
-£60.00
-£3.15
Sub Total Misc. £771.76 Sub Total Misc. -£63.15 £708.61
Total £52,452.07 -£33,501.13 £18,950.94

Notes

(6) Donations for use of equipment including £375 from Spoonfest

(7) Donations towards the roof replacement

Edale Hundreds Club

Income & Expenditure Summary

2023 / 24 2024 / 25 2025 / 26 (1)
Income from Subscriptions
Prize money
£1,830.00
-£1,300.00
£1,560.00
-£1,320.00
£2,430.00
-£1,542.55
Net Funds Raised £530.00 £240.00 £887.45

Membership Summary

Membership 2023 / 24 2024 / 25 2025 / 26
Total numbers 92 78 86

Account Balance

Opening Bank Balance at 7th April 2025 £1,095.00
Plus contribution declared above
Less funds used
Plus donations received
Less advance subscriptions received in the previous year
Plus advance expenditure withdrawn in the previous year
Plus advance subscriptions for next year already received
Less advance expenditure for next year already withdrawn
Less transfers to the'General'deposit account
£887.45
£0.00
£150.00
-£580.00
£120.00
£750.00
-£122.38
£0.00
ClosingBank Balance at 7th April 2026 £2,300.07

Notes

Note that there is a liability to pay £1,540 of prize money for 2026/27 now that subscriptions for next year have been received

Edale Bonfire Fund

Income & Expenditure Summary

Income 2023 / 24 2024 / 25 2025 / 26
Bar
BBQ
Hot Drinks / Snacks
Gate
£2,138.00
£2,375.00
£1,503.20
£4,606.00
£2,904.64
£2,912.00
£1,843.61
£5,479.00
£1,936.00
£2,705.00
£1,898.00
£4,912.50
Total Income £10,622.20
£13,139.25
£11,451.50
Expenditure 2023 / 24 2024 / 25 2025 / 26
Bar -£1,086.25 -£1,133.35 -£986.10
BBQ -£1,009.80 -£953.35 -£1,694.14
Hot Drinks / Snacks -£751.34 -£762.16 -£385.34
Gate -£28.79 -£34.37 -£50.87
Fireworks -£2,472.00 -£2,472.00 -£2,570.88
Insurance -£365.61 -£351.54 -£504.00 (1)
Other -£590.00 -£1,189.00 -£1,289.00 (2)
Total Expenditure -£6,303.79 -£6,895.77 -£7,480.33
Contribution 2023 / 24 2024 / 25 2025 / 26
Bar £1,051.75 £1,771.29 £949.90
BBQ £1,365.20 £1,958.65 £1,010.86
Hot Drinks / Snacks £751.86 £1,081.45 £1,512.66
Gate £4,577.21 £5,444.63 £4,861.63
Fireworks/Insurance/Other -£3,427.61 -£4,012.54 -£4,363.88
Total Contribution £4,318.41 £6,243.48 £3,971.17

Account Balance

Opening Bank Balance at 7th April 2025 £21,552.41
Plus contribution declared above
Less capital expenditure
Less funds distributed
£3,971.17
-£819.96
-£665.00
ClosingBank Balance at 7th April 2026 £24,038.62
Net Funds £24,038.62

Notes

(1) Bonfire specific part of the village hall insurance

(2) £330 Derbyshire Light Medical, £150 site clearance, £144 extinguisher hire

(3) £606 on new beer pumps, £174 on outdoor power cables

(4) £500 donated to Edale Senior Citizens Christmas party in the hall

£165 funding monthly coffee mornings in the hall

(5) Total net funds available after including Debtors and Creditors, excluding advance expenditure

Expenditure Analysis for 2025/26 and 4 previous years

20/21 and 21/22 (pandemic years) have been excluded to enable comparison between normal years

----- Start of picture text -----
£14,000
Card Fees
£13,000
Membership
£2,100
Caretaker & Booking
£12,000 £2,100
£2,100 Cleaning Equipment
£11,000 £955 Electrical Safety
Fire Safety
£10,000
£1,680 Window Cleaning
£9,000 £1,470 £718 £1,099 Water
Telephone
£8,000 £680
Sanitary Bins
£503 Refuse Collection
£7,000
Maintenance
£935
£6,000 Licences
£980
£1,147 Internet
£5,000
£908 £758 Insurance
£738 £850
£4,000 £709 Heating
£771 £781 £1,020
Hardware
£3,000 £1,462 £784 General Rates
£1,018
Electricity
£2,000 £817
Domain Name
£2,825 £2,675
£1,000 £2,208 Consumables
£1,546
£1,180
Cleaning
£0
19/20 22/23 23/24 24/25 25/26
----- End of picture text -----

Expenditure Analysis for 2025/26 and 4 previous years

20/21 and 21/22 (pandemic years) have been excluded to enable comparison between normal years

----- Start of picture text -----
General Rates Insurance (Including Bonfire) Licences Refuse Collection
£3,000
£2,500
£668
£2,000 £430 £595 £613
£581
£1,500
£1,000 £1,119 £1,484
£1,186 £1,274 £1,287
£500
£0
19/20 22/23 23/24 24/25 25/26
----- End of picture text -----

----- Start of picture text -----
Maintenance Fire Safety Electrical Safety
£2,500
£2,000
£957
£1,500
£138
£420
£1,000
£436
£1,326 £623
£500 £969 £1,168
£615
£388
£0
19/20 22/23 23/24 24/25 25/26
----- End of picture text -----

Expenditure Analysis for 2025/26 and 4 previous years

----- Start of picture text -----
Caretaker & Booking Cleaning Consumables Sanitary Bins Window Cleaning
£7,000
£6,000
£5,000
£4,000
£2,825 £2,675
£3,000 £2,208
£1,546 £1,180
£2,000
£1,000 £2,100 £2,100 £2,100
£1,470 £1,680
£0
19/20 22/23 23/24 24/25 25/26
----- End of picture text -----

----- Start of picture text -----
Internet Telephone
£1,000
£800
£600
£569 £606 £162
£400 £491
£403
£200 £447
£251 £258
£132 £167
£0
19/20 22/23 23/24 24/25 25/26
----- End of picture text -----

----- Start of picture text -----
Electricity avg £/day Electricity avg kwh/day Electricity avg £/kwh
£6 16 £0.5
£0.5
£5 £0.4
12
£4 £0.4
£0.3
£3 8 £0.3
£0.2
£2 £0.2
4
£1 £0.1
£0.1
£0 0 £0.0
19/20 22/23 23/24 24/25 25/26 18/19 19/20 22/23 23/24 24/25 18/19 19/20 22/23 23/24 24/25
Heating avg £/day Heating avg l/day Heating avg £/l
£12 12.0 £1.4
£10 10.0 £1.2
£8 8.0 £1.0
£0.8
£6 6.0
£0.6
£4 4.0 £0.4
£2 2.0 £0.2
£0 0.0 £0.0
19/20 22/23 23/24 24/25 25/26 18/19 19/20 22/23 23/24 24/25 18/19 19/20 22/23 23/24 24/25
Water avg £/day Water avg cubic m/day Water avg £/cubic m
£6 3.0 £12
£5 2.5 £10
£4 2.0 £8
£3 1.5 £6
£2 1.0 £4
£1 0.5 £2
£0 0.0 £0
19/20 22/23 23/24 24/25 25/26 18/19 19/20 22/23 23/24 24/25 18/19 19/20 22/23 23/24 24/25
Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3
Quarter 2 Quarter 4 Quarter 1 Quarter 3 Quarter 2 Quarter 1 Quarter 4 Quarter 2 Quarter 4 Quarter 2 Quarter 3 Quarter 4 Quarter 2 Quarter 4 Quarter 1 Quarter 3 Quarter 2 Quarter 1 Quarter 4 Quarter 2 Quarter 3 Quarter 4 Quarter 2 Quarter 4 Quarter 1 Quarter 3 Quarter 2 Quarter 1 Quarter 4
Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3 Quarter 1 Quarter 3
----- End of picture text -----

Summary of Hall Usage over 5 years:

1 day = 3 sessions (i.e. Morning, Afternoon and Evening)

20/21 and 21/22 (pandemic years) have been excluded to enable comparison between normal years

----- Start of picture text -----
Income for 2025/26
----- End of picture text -----

----- Start of picture text -----
Sessions for 2025/26 Income for 2025/26
15%
23%
24%
53%
32%
53%
Sessions over 5 years Income over 5 years
500 £15,000
400 £12,000
90
300 94 79 85 £9,000 £6,600
69 £5,940
£4,890 £4,320
200 164 151 204 £6,000 £4,130
196
182
100 £3,000 £3,609 £3,067 £3,260 £2,788 £4,056
0 67 119 60 129 92 £0 £1,194 £2,202 £1,096 £2,493 £1,888
19/20 22/23 23/24 24/25 25/26 19/20 22/23 23/24 24/25 25/26
Local Group Residents Non Residents
----- End of picture text -----

----- Start of picture text -----
Number of Users over 5 years
80
60
24 27 22 30
40 27
20 25 22 23 15 21
13 12 12 13 15
0
19/20 22/23 23/24 24/25 25/26
Local Group Residents Non Residents
Utilisation over 5 years
100%
75%
50%
25%
33% 33% 28% 33% 35%
0%
19/20 22/23 23/24 24/25 25/26
% Utilised % Not Utilised
Avg £/session over 5 years
£40
£30
£20
£31 £32
£27 £26 £27
£10
£0
19/20 22/23 23/24 24/25 25/26
----- End of picture text -----

----- Start of picture text -----
Number of Sessions by Month over 5 years
70
60
50
40
30
20
10
0
19/20 22/23 23/24 24/25 25/26
Apr May Jun Jul Aug Sep Oct Nov Dec Jan Feb Mar
----- End of picture text -----

Comparison of Closing Balances since 2003 (excluding Bonfire)

----- Start of picture text -----
£80,000
£70,000
£60,000
£50,000
£40,000
£30,000
£20,000
£10,000
£-
02/03 03/04 04/05 05/06 06/07 07/08 08/09 09/10 10/11 11/12 12/13 13/14 14/15 15/16 16/17 17/18 18/19 19/20 20/21 21/22 22/23 23/24 24/25 25/26
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Edale Village Hall and Playing Fields Charity Accounts Scrutlny of the Accounts for the Year to 7th Aprll 2026 The Accounts for the years 2025 - 2026 were scrutinised on Thursday 7th May. Bank statements for the Coop Bank Accounts - Current account, Bar Account lused as the Bonfire Account), Hundreds Club and the CAF accounts were provided and cross referenced with receipts for expenditure and invoices for hire together with records of Grant Income These were compared to the electronic accoLJnts in the spreadsheets, EVH Ledger and EVH End of Year Accounts, together with the online Hall Bookings. Subject to a few minor corrections (which have been communicated directly to the treasurer) I have no concerns over the accuracy of the accounts.. Much respect has to be expressed to the Committee and the fundraising team for the Roof fund for all their work to date Dr Catherine Wynn 715126