OpenCharities

This text was generated using OCR and may contain errors. Check the original PDF to see the document submitted to the regulator. This document is also available as Markdown.

2024-07-31-accounts

Treasurer report for the Annual General Meetng Financial Year 2023/2024 Messingham Village Hall

Wednesday 4[ th] September 2024

Chairperson, Members of the Committee, Parish Councillors, Trustees of Messingham Village Hall, Ladies and Gentlemen, this report covers the financial period commencing 1st August 2023 and ending 31[ st ] July 2024.

This year we have had three Treasures Hannah Wood, Chris Scott, and myself. I would like to thank them for their contributions while in the Treasurer's position.

The accounts will be independently audited by our Accountant (Last year this was Ian Thompson) and a summary of this audit will be available in due course.

Income

The total income for the year 2023-2024 was £32,815.79

Below is a summary of the main income received for Messingham Village Hall this financial year.

Regular hirer bookings £27,647
Ad-hoc hirer bookings £2046.89
Bingo £1550
Fundraising £524
Grants/donations £1000
Misc 46.96

The main source of income for the hall remains the regular hirers. Our regular hirers continue to attract existing and new customers to the hall, not only through their existing offer, but by providing new classes and thus booking further sessions.

The committee would like to once again thank the following clubs and organisations for their continued loyalty and support:

Little Imps, Messingham Martial Arts, Tea Dance with Liz, Sharon White fitness (Zumba), Badminton with Hilary, Badminton with Wendy, Bingo, Short Mat Bowls, Laura Bunn (Yoga), Messingham Women’s Institute, Holy Trinity Church, Gill Charles Dog training, Emma North (Pilates), Oh My Goodmess and Lindsey Lodge Hospice.

A Messingham Parish Council Precept Grant supported the hall this year and has enabled us to have the toilets redecorated. (This is still to be processed)

Expenditure

The total expenditure for the year 2023-2024 was £39,550.03

Note: Repayment of the loan includes £1000 of the capital and is therefore not true expenditure. The village hall real expenses total £38,550.03.

Below is a summary of the main expenditure for the hall over the last year.

Utlites £9990.96
Repairs / renewals £12,445.43
Wages £7128
Insurance £3269.34
Cleaning £835.80
Domestc items (including Ellgia waste, Hygiene
Hub,Vodafone)
£1532.03
Licences and statonery (including ICO registraton
and Hallmaster)
£269.44
Miscellaneous (including accountant fees and
business loan repayments)
£303.46
Loan Repayment (including Interest) 1074.55

Investment has been made this year into maintaining and improving the facilities of the village hall, interior, exterior and the grounds.

The extra storage project was started, with some outlay for some architect drawings and planning permission.

The windows are regularly cleaned and the grass regularly cut.

Like to thank our caretaker – Kim Grundy – the committee are hugely grateful for her hard work and

commitment to the hall.

Summary

Messingham Village Hall continues to be in a strong financial position despite continued increases in energy prices and indeed other bills and invoices.

We have moved from an opening bank balance of £ 24,099.95 in August 2023 to a closing balance of £17,365.71 in July 2024.

Over the year, we have recorded a deficit of £6734.24. This year has been challenging with increased energy costs and maintenance issues, particularly with the boilers.

The costs of the extra storage project has so far totalled £3681

The committee also invested over £2000 in some new seating for the village hall.

The committee will continue to drive the uses and functions of the hall forward over the coming year and strive to make improvements to the hall wherever possible.

I would like to thank the Village Hall committee members for their support of me as Treasurer and for their hard work and dedication to the hall and the community of Messingham.

Peter Thompson Treasurer

Finacial Year 2023 - 2024 Finacial Year 2023 - 2024 Finacial Year 2023 - 2024 Finacial Year 2023 - 2024 Finacial Year 2023 - 2024 Finacial Year 2023 - 2024 Bank
Diff
£20,095.99
£0.00
£19,528.03
£0.00
£18,950.92
£0.00
£18,359.64
£0.00
£20,439.57
£0.00
£18,288.71
£0.00
£18,565.14
£0.00
£18,618.38
£0.00
£17,083.98
£0.00
£17,548.58
£0.00
£17,365.71
£0.00
Month Balance BF Income Expenditure Balance Difference
August 24,099.95 2,689.75 3,757.41 23,032.29 -1,067.66
September 23,032.29 2,146.25 5,082.55 20,095.99 -2,936.30
October 20,095.99 1,576.25 2,144.21 19,528.03 -567.96
November 19,528.03 2,274.25 2,851.36 18,950.92 -577.11
December 18,950.92 3,693.76 4,285.04 18,359.64 -591.28
January 18,359.64 4,104.63 2,024.70 20,439.57 2,079.93
February 20,439.57 2,618.75 4,769.61 18,288.71 -2,150.86
March 18,288.71 2,936.00 2,659.57 18,565.14 276.43
April 18,565.14 2,906.13 2,852.89 18,618.38 53.24
May 18,618.38 2,318.21 3,852.61 17,083.98 -1,534.40
June 17,083.98 3,038.75 2,574.15 17,548.58 464.60
July 17,548.58 2,513.06 2,695.93 17,365.71 -182.87
32,815.79
39,550.03
Balance to carry forward to next year £17,365.71

Note: (Covid Loan £5000) Loan Repayment totals include the interest as well as the loan capital return. Loan Capital Repayment = £1000 Interest costs = £74.55 Total for 2023-24 = 1074.55

Note: Actual Expenditure for 2023 - 24 = £38,550.03 As repayment of the loan capital is not a true expense.

Note: Refunds need to balance with an income & expense note on this accounts spreadsheet for the year. Any that dont will affect expenditure or income ~~totals~~

YEARLY INCOME 2023 - 2024

Month Cash Bank/
cheque
Hall hire
regular
Hall hire ad-
hoc
Fundraising Fundraising
Bingo
x mas
**bingo **
Donations
/ Grants
etc
misc Total monthly
income
August 435.75 2,254.00 2,393.75 46.00 0.00 250.00 0.00 0.00 0.00 2,689.75
September 0.00 2,146.25 1,885.00 61.25 0.00 200.00 0.00 0.00 0.00 2,146.25
October 11.00 1,565.25 1,341.25 35.00 0.00 200.00 0.00 0.00 0.00 1,576.25
November 55.00 2,219.25 1,949.25 125.00 0.00 200.00 0.00 0.00 0.00 2,274.25
December 552.75 3,141.01 3,420.38 249.38 24.00 0.00 0.00 0.00 0.00 3,693.76
January 0.00 4,104.63 2,856.25 248.38 0.00 250.00 0.00 750.00 0.00 4,104.63
February 269.50 2,349.25 2,097.50 271.25 0.00 250.00 0.00 0.00 0.00 2,618.75
March 310.75 2,625.25 2,587.25 148.75 0.00 200.00 0.00 0.00 0.00 2,936.00
April 0.00 2,906.13 # 2,605.50 300.63 0.00 0.00 0.00 0.00 0.00 2,906.13
May 44.00 2,274.21 # 1,971.25 0.00 0.00 300.00 0.00 0.00 46.96 2,318.21
June 0.00 3,038.75 # 2,507.50 331.25 0.00 200.00 0.00 0.00 0.00 3,038.75
July 0.00 2,513.06 # 2,033.06 230.00 0.00 0.00 0.00 250.00 0.00 2,513.06
Totals 1,678.75 31,137.04 27,647.94 2,046.89 24.00 2,050.00 0.00 1,000.00 46.96 32,815.79
Total
Income
32,815.79
Total
Income
32,815.79

YEARLY EXPENDITURE 2023 - 2024

Date Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
Fees (Caretaker) Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin, etc
August 0.00 2,706.16 0.00 1,051.25 138.73 0.00 196.16 1,430.00 594.00 1,080.00 19.47 208.43
September 0.00 4,049.95 0.00 1,032.60 120.26 0.00 152.65 3,891.31 594.00 0.00 19.47 208.43
October 0.00 1,086.28 0.00 1,057.93 145.99 320.00 216.28 280.00 594.00 0.00 19.47 406.43
November 0.00 1,928.40 0.00 922.96 219.40 0.00 154.20 577.77 594.00 988.00 19.47 208.43
December 0.00 2,782.76 0.00 1,502.28 799.11 0.00 94.75 800.00 594.00 1,613.58 19.47 208.43
January 0.00 374.65 0.00 1,650.05 730.54 50.00 152.65 102.00 594.00 0.00 27.35 208.43
February 0.00 2,418.75 0.00 2,350.86 2,233.96 0.00 311.32 1,040.00 594.00 0.00 27.35 473.43
March 0.00 1,044.40 0.00 1,615.17 1,660.00 45.80 0.00 0.00 594.00 0.00 27.35 243.43
April 0.00 1,503.78 0.00 1,349.11 1,522.95 120.00 169.13 264.15 594.00 0.00 0.00 0.00
May 0.00 2,852.22 0.00 1,000.39 1,042.57 0.00 0.00 2,077.20 594.00 0.00 0.00 50.00
June 0.00 1,848.13 0.00 726.02 585.87 300.00 77.96 715.00 594.00 0.00 0.00 212.47
July 0.00 2,089.95 0.00 605.98 436.19 0.00 6.93 1,268.00 594.00 0.00 0.00 212.31
Totals 0.00 24,685.43 0.00 14,864.60 9,635.57 835.80 1,532.03 12,445.43 7,128.00 3,681.58 179.40 2,640.22
Total
Cash/Bank
39,550.03
Total
Expenditure
39,550.03
Food
Utensils
Furniture
Loan
Repayment
Misc. Total
0.00 90.62 0.00 3,757.41
5.99 90.44 0.00 5,082.55
72.00 90.04 0.00 2,144.21
0.00 90.09 0.00 2,851.36
16.00 89.70 50.00 4,285.04
0.00 89.73 70.00 2,024.70
0.00 89.55 0.00 4,769.61
0.00 88.99 0.00 2,659.57
0.00 89.20 93.46 2,852.89
0.00 88.84 0.00 3,852.61
0.00 88.85 0.00 2,574.15
0.00 88.50 90.00 2,695.93
93.99 1,074.55 303.46 39,550.03

EXPENDITURE - AUGUST 2023

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Aug Kim Grundy (Caretaker) 594.00
1-Aug Waterplus 1.29 1.29
10-Aug Britishgas 104.73 104.73
10-Aug Santander 90.62
11-Aug Vodafone 19.47
11-Aug Britishgas 32.71 32.71
15-Aug Ellgia 124.20 124.20
15-Aug Hygiene hub 71.96 71.96
15-Aug Ady's Gardening 80.00 80.00
23-Aug Keystone Architects 1,080.00
29-Aug Alex Ritchie 1,350.00 1,350.00
30-Aug Ansvar insurance 208.43
Totals 0.00 2,706.16 0.00 1,051.25 # #138.73 0.00 196.16 1,430.00
Total Cash/Bank/Cheque/DD
3,757.41
Total Expenditure
3,757.41
Total Cash/Bank/Cheque/DD 3,757.41
Total Expenditure 3,757.41
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
90.62
19.47
1,080.00
208.43
594.00 1,080.00 19.47 208.43 90.62 0.00 0.00 0.00

INCOME AUGUST 2023

Date Details Date of
event
Ref. No. Cash/
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising Bingo x mas
**bingo **
Donations /
Grants etc
4-Aug Emma Northpilates 07/06/2023
28/06/2023
MVH2022301
(£17.50),
MVH2022359
(£17.50),
MVH2022360
(£12 of which £10
covered by this
payment)
45.00 45.00
7-Aug Cash from collection(J Threadgold) 266.50 266.50
9-Aug Messingham LL supportgroup Various MVH2022373
(£44),
MVH2022335
(£38.50),
MVH2022223
(£36.75)
119.25 119.25
9-Aug J Threadgold cheque contribution 50.00 50.00
15-Aug S White fitness July MVH2022396 44.00 44.00
15-Aug Messingham Martial Arts July MVH2022392 516.50 516.50
15-Aug Liz Simpson tea dance July MVH2022394 88.00 88.00
15-Aug Little Imps July MVH2022391 997.50 997.50
16-Aug HilaryAdcock badminton July MVH2022399
(£33)
49.50 49.50
16-Aug Emma Northpilates June MVH 2022389 52.50 52.50
26-Aug Bingo July 250.00 250.00
26-Aug Laura Bunnyoga July MVH2022395 165.00 165.00
30-Aug Barbara Roper valuation 13-Oct MVH2022405 46.00 46.00
Totals 435.75 2,254.00 2,393.75 46.00 0.00 250.00 0.00 0.00
Total Income 2,689.75
Total Income 2,689.75

mlsc Total 0.00 2,689.75

EXPENDITURE - SEPTEMBER 2023

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Sep Waterplus 1.29 1.29
1-Sep Kim Grundy (Caretaker) 594.00
11-Sep Britishgas 89.89 89.89
11-Sep Santander business loan 90.44
13-Sep Britishgas 29.08 29.08
13-Sep Vodafone mobile 19.47
18-Sep Ellgia 152.65 152.65
18-Sep Wayne Ayrispainter and decorator Entrance hall 1,580.00 1,580.00
19-Sep B&M 3.00
19-Sep Home bargains 2.99
22-Sep Seated Furniture Ltd 2,311.31 2,311.31
28-Sep Ansvar Insurance 208.43
Totals 0.00 4,049.95 0.00 1,032.60 # #120.26 0.00 152.65 3,891.31
Total Cash/Bank
5,082.55
Total Expenditure
5,082.55
Total Cash/Bank 5,082.55
Total Expenditure 5,082.55
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
90.44
19.47
3.00
2.99
208.43
594.00 0.00 19.47 208.43 90.44 5.99 0.00 0.00

INCOME SEPTEMBER 2023

Date Details Date of
booking
Ref. No. Cheque Bank Hall Hire
regular
Hall hire ad-
hoc
Fundraising Bingo **x mas bingo **
Donations /
Grants etc
13-Sep L Brownparty 8-Oct MVH2022401 61.25 61.25
16-Sep Bingo Aug 200.00 200.00
21-Sep E Northpilates Jul MVH2022393 52.50 52.50
21-Sep E Northpilates MVH2022360
(£2.50 that was
owing from last
month),
MVH2022400
(£50),
MVH2022406
(£36 paid of
£52.50 so
£16.50 owing)
88.50 88.50
26-Sep S White fitness Aug MVH2022417 55.00 55.00
26-Sep Oh MyGoodmess Aug MVH2022421 49.00 49.00
26-Sep Messingham Martial Arts Aug MVH2022415 461.00 461.00
26-Sep HilaryAdcock badminton Aug MVH2022416 66.00 66.00
26-Sep Messingham WI 7-Aug MVH2022419 27.50 27.5
88
27-Sep Liz Simpson tea dance Aug MVH2022420 88.00
28-Sep Little Imps Aug MVH2022414 997.50 997.50
Totals 0.00 2,146.25 1,885.00 61.25 0.00 200.00 0.00 0.00
Total Income 2,146.25
Total Income 2,146.25

ml$¢ 0.00

EXPENDITURE -OCTOBER 2023

Date Details Reference Cash Bank
payments
Cheque Direct
debits/
SO
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Oct A C Wood Electrical - bulk heads (emergency
LED hall)
INV1067 115.00 115.00
1-Oct Alex Ritchie - windows and skylights 50.00 50.00
1-Oct Hygiene Hub INV129537949 41.97 41.97
1-Oct DI Accountants(annual accounts) 198.00
2-Oct Water Plus 1.29 1.29
2-Oct Kim Grundy (Caretaker) 594.00
10-Oct British Gas 113.99 113.99
10-Oct Santander Business Loan 90.04
10-Oct Ady's Gardeniing grass cut 80.00 80.00
10-Oct D Gelder receipt - cleaningitems 8.13 8.13
11-Oct Vodafone 19.47
13-Oct British Gas 30.71 30.71
29-Oct Hygiene Hub INV129849625 41.98 41.98
29-Oct Ellgia P407455 124.20 124.20
29-Oct D Gelder clock receipt 72.00
29-Oct A C Wood Electrical -LEDpanel Little Imps 85.00 85.00
29-Oct Alex Ritchie - labour 270.00 270.00
30-Oct Ansvar insurance 208.43
Totals 0.00 1,086.28 0.00 1,057.93 # #145.99 320.00 216.28 280.00
Total Cash/Bank
2,144.21
Total Expenditure
2,144.21
Total Cash/Bank 2,144.21
Total Expenditure 2,144.21
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
198.00
594.00
90.04
19.47
72.00
208.43
594.00 0.00 19.47 406.43 90.04 72.00 0.00 0.00

INCOME OCTOBER 2023

Date Details Date of
booking
Ref. No. Cash/
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising Bingo x mas
**bingo **
Donations /
Grants etc
1-Oct M Godley 20-Jan MVH2022430 35.00 35.00
9-Oct Short Mat Bowls 29-Oct MVH2022412 11.00 11.00
16-Oct W Gibson badminton Sept (£1.50 paid for
MVH2022311 and £61.50
paid for MVH2022442)
63.00 63.00
28-Oct S Ladlow Bingo Sept 200.00 200.00
29-Oct S White fitness Sept MVH2022441 52.25 52.25
30-Oct K Campbell Oh my good mess May MVH2022337 42.00 42.00
30-Oct Little Imps Sept MVH2022455 997.50 997.50
31-Oct E North Pilates Sept MVH2022432 87.50 87.50
31-Oct Liz Simpson Sept MVH2022443 88.00 88.00
Totals 11.00 1,565.25 1,341.25 35.00 0.00 200.00 0.00 0.00
Total Income 1,576.25
Total Income 1,576.25

mlsc 0.00

EXPENDITURE - NOVEMBER 2023

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Nov Water Plus 1.29 1.29
1-Nov Kim Grundy (Caretaker) 594.00
8-Nov cash for sundries 30.00 30.00
9-Nov British Gas 136.46 136.46
9-Nov British Gas 81.65 81.65
10-Nov Santander Bus loan 90.09
13-Nov Vodafone 19.47
13-Nov Keystone Architects 988.00
20-Nov ALERT Fire Protection 338.95 338.95
20-Nov Maxwell Plumbing 238.82 238.82
20-Nov Ellgia 124.20 124.20
27-Nov Ansvar Insurance 208.43
Totals 0.00 1928.40 0.00 922.96 #219.40 0.00 154.20 577.77
Total Cash/Bank
2,851.36
Total Expenditure
2,851.36
Total Cash/Bank 2,851.36
Total Expenditure 2,851.36
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
90.09
19.47
988.00
208.43
594.00 988.00 19.47 208.43 90.09 0.00 0.00 2851.36

INCOME NOVEMBER 2023

Date Details Date of
booking
Ref. No. Cash/
Cheque
Bank Hall Hire
regular
Hall Hire
ad-hoc
Fundraising Bingo x mas
**bingo **
Donations /
Grants etc
1-Nov W.Gibson Thurs Bad September 3.00 3.00
1-Nov AnthonyAdcock - TuesdayBad MVH2022459 / 465 66.00 66.00
2-Nov WI MVH2022439 27.50 27.50
15-Nov W.Gibson Thurs Bad - Oct 23 October 49.50 49.50
19-Nov SJWhite - Zumba October MVH2022461 52.25 52.25
19-Nov SUsher MMA October MVH2022456 499.00 499.00
19-Nov DGelder Little Imps October MVH2022455 997.50 997.50
24-Nov EASimpson - Tea Dance 14-Oct MVH2022464 88.00 88.00
27-Nov Gill Charles - DogTraining October MVH2022468 55.00 55.00
27-Nov WI October MVH2022457 27.50 27.50
27-Nov Adele Speed Meditation 17th March '24 MVH2022470 70.00 70.00
28-Nov S laidlaw - Bingo November 200.00 200.00
30-Nov Cash Deposit £55 ex S Westwood 55.00 55.00
30-Nov K Campbell Arrears MVH2022372/ +? 84.00 84.00
19-Nov StaceyWestwoodparty£52.50 29-Oct
Totals 55.00 2219.25 1949.25 125.00 0.00 200.00 0.00 0.00
Total Income 2,274.25
Total Income 2,274.25

mlsc 0.00 2274.25

EXPENDITURE - DECEMBER 2023

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Dec Kim Grundy (Caretaker) 594.00
1-Dec Water Plus 1.29 1.29
1-Dec ASDA - toilet brushes 16.00
11-Dec Santander Business loan 89.70
12-Dec British Gas 224.51 224.51
13-Dec British Gas 573.31 573.31
13-Dec Vodaphone 19.47
13-Dec Hygiene Hub 94.75 94.75
13-Dec Miller n Carter - H.Woodgift 50.00
14-Dec Keystone BuildingRegs 1,613.58
14-Dec Rob Daannagher Hedge cut 800.00 800.00
28-Dec Ansvar Insurance 208.43
Totals 0.00 2,782.76 0.00 1,502.28 # #799.11 0.00 94.75 800.00
Total Cash/Bank
4,285.04
Total Expenditure
4,285.04
Total Cash/Bank 4,285.04
Total Expenditure 4,285.04
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
16.00
89.70
19.47
50.00
1613.58
208.43
594.00 1613.58 19.47 208.43 89.70 16.00 50.00 4285.04

INCOME DECEMBER 2023

Date Details Date of
booking
Ref. No. Cash/
Cheque
Bank Hall Hire
regular
Hall Hire
ad-hoc
Fundraising Bingo x mas
**bingo **
1-Dec W.Gibson Thurs Bad - October 23 October MVH2022485 82.50 82.50
4-Dec D.Gelder fundraising- Xmaspensioners Fundraising 20.00 20.00
4-Dec D.Gelder fundraising- Xmaspensioners Fundraising 4.00 4.00
5-Dec Short mat bowls October MVH2022463 132.00 132.00
10-Dec Little Imps October MVH 2022455 997.50 997.50
11-Dec A.MorleyBDparty MVH2022390 70.00 70.00
12-Dec SJWhite Zumba Arrears MVH2022356 22.88 22.88
12-Dec SJWhite Zumba November MVH2022481 71.50 71.50
12-Dec SUsher MMA September MVH2022342 507.00 507.00
12-Dec SUsher MMA September MVH2022342 34.00 34.00
15-Dec Short mat bowls Nov + arrears 420.75 420.75
15-Dec LBunn Yoga 418.00 418.00
19-Dec SOATC Gill Charles Nov hire MVH2022485 145.25 145.25
19-Dec Messingham MA Nov hire MVH2022487 491.50 491.50
21-Dec Messingham WI Nov hire MVH2022488 27.50 27.50
21-Dec E.Jaques Dec 27 hire MVH2022489 70.00 70.00
29-Dec A.Refvic Jan 20 hire MVH2022482 135.63 135.63
29-Dec K.Hanley Jan 6 hire MVH2022433 43.75 43.75
Totals 552.75 3,141.01 3,420.38 249.38 24.00 0.00 0.00
Total Income
3,693.76
Total Income
3,693.76
Total Income 3,693.76
Total Income 3,693.76

Donations I Grant$ Otc ml$¢ 0.00 0.00

EXPENDITURE - JANUARY 2024

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
2-Jan Water Plus 1.29 1.29
2-Jan Kim Grundy (Caretaker) 594.00
4-Jan Refund to Adele Speed MVH2022470 70.00
10-Jan Santander Business Loan 89.73
11-Jan British Gas Electric 293.20 293.20
11-Jan Vodafone 27.35
18-Jan Ellgia 152.65 152.65
18-Jan Alex Ritchie Window Cleaner 50.00 50.00
21-Jan Chris Swin Electrical PAT test 102.00 102.00
29-Jan British Gas Gas 436.05 436.05
30-Jan Ansvar Insurance 208.43
Totals 0.00 374.65 0.00 1,650.05 # #730.54 50.00 152.65 102.00
Total Cash/Bank
2,024.70
Total Expenditure
2,024.70
Total Cash/Bank 2,024.70
Total Expenditure 2,024.70
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
70.00
89.73
27.35
208.43
594.00 0.00 27.35 208.43 89.73 0.00 70.00 2,024.70

INCOME JANUARY 2024

Date Details Date of booking Ref. No. Cash/
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising
7-Jan Hannah Powell 2nd March 2024 MVH2022490 56.88 56.88
10-Jan Messingham Parish Council Precept Grant 750.00
11-Jan SJ White Zumba Deceember bookings MVH2022492 33.00 33.00
12-Jan Little Imps Deceember bookings MVH2022494 997.50 997.50
13-Jan Bingo December fund raising 250.00
16-Jan Messingham Martial Arts December bookings MVH2022495 381.00 381.00
16-Jan Jessica Fillingham Party MVH2022493 43.75 43.75
16-Jan LindseyLodge & Short Mat Bowls Numerous inc Feb 2024(LL) MVH2022501/2/3/474/4
84/498
595.50 595.50
17-Jan Laura Bunn Yoga November and December bookings MVH2022467/497 408.00 408.00
22-Jan HilaryAdcock - TuesdayBadminton November bookings MVH2022512 66.00 66.00
24-Jan Barbara Roper Gold and Silver 22/02/2024 Trinitysuite MVH20222513 46.00 46.00
24-Jan SOATC Gill Charles December bookings MVH20222511 165.00 165.00
29-Jan HolyTrinityChurch MVH2022518 38.50 38.50
29-Jan HolyTrinityChurch MVH2022520 63.25 63.25
30-Jan Liz Simpson Tea Dance MVH2022521 96.25 96.25
30-Jan Liz Simpson Tea Dance MVH2022519 44.00 44.00
31-Jan Little Imps Autumn Fayre MVH2022517 70.00 70.00
Totals 0.00 4,104.63 2,856.25 248.38 0.00
Total Income 4,104.63
Total Income 4,104.63
Bingo x mas
**bingo **
Donations /
Grants etc
misc
750.00
250.00
250.00 0.00 750.00 0.00

EXPENDITURE - FEBRUARY 2024

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Feb Kim Grundy (Caretaker) Fees 594.00
1-Feb Water Plus 5.00 5.00
9-Feb British Gas 252.06 252.06
12-Feb British Gas 1,976.90 1,976.90
12-Feb Santander 89.55
13-Feb Vodaphone 27.35
19-Feb Ellgia 124.20 124.20
19-Feb Hygiene Hub 56.37 56.37
19-Feb Cathedral Leasing (Little Imps) 130.75 130.75
20-Feb Hallmaster 265.00
26-Feb T Dent Roofing 40.00 40.00
28-Feb Adrian Hebenstre(Hedge trimming) 1,000.00 1,000.00
28-Feb Ansvar Insurance 208.43
Totals 0.00 2,418.75 0.00 2,350.86 # #2,233.96 0.00 311.32 1,040.00
Total Cash/Bank
4,769.61
Total Expenditure
4,769.61
Total Cash/Bank 4,769.61
Total Expenditure 4,769.61
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin,
Loan, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
89.55
27.35
265.00
208.43
594.00 0.00 27.35 473.43 89.55 0.00 0.00 0.00

INCOME FEBRUARY 2024

Date Details Date of booking Ref. No. Cash/
Cheque
Bank Hall Hire
regular
Hall Hire
ad-hoc
Fundraising
4-Feb HM Williamson Childrens Party MVH2022522 70.00 70.00
8-Feb S Dent Childrens Party MVH2022523 52.50 52.50
12-Feb SJ White Zumba MVH2022529 49.50 49.50
12-Feb SJ White Zumba MVH2022503 8.25 8.25
12-Feb Little Imps MVH2022527 997.50 997.50
12-Feb AnthonyAdcock TuesdayBadminton MVH2022532 66.00 66.00
12-Feb Christie Lynaugh Childrens Party MVH2022491 52.50 52.50
13-Feb W Gibson ThursdayBadminton MVH2022530 49.50 49.50
13-Feb Liz Simpson Tea Dance MVH2022534 96.25 96.25
14-Feb P Charles SOATC MVH2022535 88.00 88.00
22-Feb S Usher MMA MVH2022537 431.00 431.00
26-Feb K Campbell(Oh MyGoodmess) 42.00 42.00
27-Feb Bingo FebruaryFundraising 250.00
29-Feb Short Mat Bowls 269.50 269.50
29-Feb Charm Ltd MVH2022543 96.25 96.25
Totals 269.50 2,349.25 2,097.50 271.25 0.00
Total Income
2,618.75
Total Income
2,618.75
Total Income 2,618.75
Total Income 2,618.75
Bingo x mas
**bingo **
Donations /
Grants etc
misc
250.00
250.00 0.00 0.00 0.00

EXPENDITURE - MARCH 2024

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Mar Kim Grundy (Caretaker) Fees 594.00
1-Mar Water Plus 5.00 5.00
11-Mar British Gas 1,222.38 1,222.38
11-Mar Santander 88.99
12-Mar British Gas 271.45 271.45
13-Mar Vodafone 27.35
19-Mar ICO(Information Commision) 35.00
25-Mar Ellgia(Waste) P427530 161.17 161.17
27-Mar Hygene Hub 136027243 38.38 38.38
27-Mar Receipt(D Gelder)Cleaning products 7.42 7.42
28-Mar Ansvar Insurance 208.43
Totals 0.00 1,044.40 0.00 1,615.17 # #1,660.00 45.80 0.00 0.00
Total Cash/Bank
2,659.57
Total Expenditure
2,659.57
Total Cash/Bank 2,659.57
Total Expenditure 2,659.57
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin,
Loan, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
88.99
27.35
35.00
208.43
594.00 0.00 27.35 243.43 88.99 0.00 0.00 0.00

INCOME MARCH 2024

Date Details Date of
booking
Ref. No. Cash/
cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising Bingo x mas
**bingo **
Donations
/ Grants etc
2-Mar BethanyBook(Private Party) MVH2022536 52.50 52.50
6-Mar L Bunn(Yoga) MVH2022531 182.00 182.00
7-Mar Lockdale Coins MVH2022542 96.25 96.25
14-Mar S White(Zumba) MVH2022541 8.25 8.25
14-Mar S White(Zumba) MVH2022546 8.25 8.25
15-Mar S White(Zumba) MVH2022548 8.25 8.25
20-Mar S Usher(MMA) MVH2022554 491.50 491.50
20-Mar D Gelder(Little Imps) MVH2022553 997.50 997.50
20-Mar Short Mat Bowls MVH2022545 310.75 310.75
21-Mar L Bunn(Yoga) MVH2022555 154.50 154.50
23-Mar S White(Zumba) MVH2022556 8.25 8.25
24-Mar P Charles(DogTraining) MVH2022563 154.00 154.00
24-Mar A Adcock(Tues Badminton) MVH2022562 66.00 66.00
26-Mar L Simpson(Tea Dance) MVH2022559 88.00 88.00
28-Mar W Gibson(Thurs Badminton) MVH2022561 82.50 82.50
28-Mar Messingham WI MVH2022560 27.50 27.50
30-Mar Bingo March Fundraising 200.00 200.00
Totals 310.75 2,625.25 2,587.25 148.75 0.00 200.00 0.00 0.00
Total Income
2,936.00
Total Income
2,936.00
Total Income 2,936.00
Total Income 2,936.00

mlsc 0.00

EXPENDITURE - APRIL 2024

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
2-Apr Kim Grundy (Caretaker) Fees 594.00
5-Apr Ellgia(Waste) (Feb arrears) P432604 131.02 131.02
6-Apr Amazon Payment(S Elvin) 46.96
8-Apr Cathedral Leasing (Village Hall) MI/1569678 130.75 130.75
8-Apr Ellgia(Waste) (March) P438024 131.02 131.02
9-Apr MPC(Ground Rent) 1.00 1.00
10-Apr British Gas 996.76 996.76
10-Apr Santander(Loan repayment) 89.20
11-Apr British Gas 233.73 233.73
11-Apr Vodafone 29.42 29.42
15-Apr Service Plus(Boiler repair new building) 20201546 245.80
15-Apr LJR Cleaning (Cleaningnew building) INV39 120.00 120.00
20-Apr E Botfield(D-daycelebration)thread & tape Receipts x2(£3 & £43.50) 46.50
20-Apr E Botfield(Guttering part) Receipt 18.35
29-Apr Hygene Hub INV137275100 38.38 38.38
Totals 0.00 1,503.78 0.00 1,349.11 # #1,522.95 120.00 169.13
Total Cash/Bank
2,852.89
Total Expenditure
2,852.89
Total Cash/Bank 2,852.89
Total Expenditure 2,852.89
Repairs / Renewals
(including hall
maintenance)
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
46.96
89.2
245.80
46.50
18.35
264.15 594.00 0.00 0.00 0.00 89.20 0.00 93.46 0.00

INCOME APRIL 2024

Date Details Date of
booking
Ref. No. Cash Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising Bingo x mas
**bingo **
Donations /
Grants etc
misc
1-Apr S White(Zumba) MVH2022565 71.50 71.50
3-Apr K Campbell(Oh MyGoodmess) 49.00 49.00
4-Mar K Mitchell MHV2022552 56.88 56.88
4-Apr S Gibbons MHV2022526 61.25 61.25
5-Apr S White(Zumba) MHV2022571 44.00 44.00
6-Apr L Simpson(Tea Dance) MHV2022576 88.00 88.00
6-Apr D Gelder(Little Imps) MVH2022575 997.50 997.50
8-Apr P Charles(DogTraining) MVH2022569
MVH2022577
165.00 165.00
8-Apr S Usher(MMA) 491.50 491.50
8-Apr S Usher(MMA) MVH2022508 33.00 33.00
9-Apr L Bunn(Yoga) MVH2022570 212.25 212.25
10-Apr W Gibson(Thurs Badminton) MVH2022574 66.00 66.00
10-Apr A Adcock(Tues Badminton) MVH2022573 66.00 66.00
12-Apr Messingham WI MVH2022246 27.50 27.50
12-Apr Messingham WI MVH2022578 27.50 27.50
15-Apr Little Imps MVH2022550 11.00 11.00
16-Apr H Phillips(Private) MVH2022580 30.00 30.00
16-Apr Short Mat Bowls MVH2022572 255.75 255.75
22-Apr H Phillips(Private) MVH2022584 22.50 22.50
26-Apr Crosbie M&A MVH2022509 70.00 70.00
26-Apr S Clarke MVH2022579 60.00 60.00
Totals 0.00 2,906.13 2,605.50 300.63 0.00 0.00 0.00 0.00 0.00
Total Income 2,906.13
Total Income 2,906.13

EXPENDITURE - MAY 2024

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-May Kim Grundy (Caretaker) Fees 594.00
4-May H2O Heating INV-1195 908.40 908.40
10-May British Gas 705.12 705.12
10-May Santander(Loan repayment) 88.84
13-May British Gas 176.91 176.91
13-May Vodafone 29.52 29.52
14-May Ellgia(Waste) P443214 131.02 131.02
14-May Access Insurance Broker fee 19642910 50.00
18-May Kershaw Electrical KES-IN-00082 90.00 90.00
25-May H2O Heating INV-1225 460.80 460.80
25-May H2O Heating INV-1235 528.00 528.00
27-May Adrian Hebenstre(Grass Cutting) Receipt 90.00 90.00
Totals 0.00 2,852.22 0.00 1,000.39 # #1,042.57 0.00 0.00 2,077.20
Total Cash/Bank 3,852.61
Total Expenditure 3,852.61
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
88.84
50.00
594.00 0.00 0.00 50.00 88.84 0.00 0.00 0.00

INCOME MAY 2024

Date Details Date of
event
Ref. No. Cash/
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising Bingo x mas
**bingo **
Donations /
Grants etc
15-May D Gelder(Little Imps) MVH2022593 1,047.50 1,047.50
15-May S White(Zumba) MVH2022597 61.75 61.75
16-May W Gibson(Thurs Badminton) MVH2022595 78.00 78.00
16-May S Usher(MMA) MVH2022600 610.00 610.00
21-May LindseyLodge MVH2022474 44.00 44.00
21-May A Adcock(Tues Badminton) MVH2022594 97.50 97.50
23-May Amazon Repayment S Elvin N/A 46.96
30-May Bingo Fundraising 300.00 300.00
31-May Messingham WI MVH2022596 32.50 32.50
Totals 44.00 2,274.21 1,971.25 0.00 0.00 300.00 0.00 0.00
Total Income 2,318.21
Total Income 2,318.21

mlsc 46.96 46.96

EXPENDITURE - JUNE 2024

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
3-Jun Kim Grundy (Caretaker) Fees 594.00
10-Jun British Gas 206.23 206.23
10-Jun Santander(Loan repayment) 88.85
10-Jun Ellgia(Waste) P448231 161.17 161.17
11-Jun British Gas 188.95 188.95
12-Jun Vodafone 29.52 29.52
28-Jun Ansvar Insurance 212.47
29-Jun Adrian Hebenstre(Grass Cutting) 90.00 90.00
29-Jun Hygene Hub INV139024378 77.96 77.96
29-Jun Kershaw Electrical KES-INV-00100 625.00 625.00
29-Jun A Ritchie(windows & Gutter cleaning) Mess Hall 0051 300.00 300.00
Totals 0.00 1,848.13 0.00 726.02 # #585.87 300.00 77.96 715.00
Total Cash/Bank
2,574.15
Total Expenditure
2,574.15
Total Cash/Bank 2,574.15
Total Expenditure 2,574.15
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin,
Loan, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
88.85
212.47
594.00 0.00 0.00 212.47 88.85 0.00 0.00 0.00

INCOME JUNE 2024

Date Details Date of
event
Ref. No. Cash Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising Bingo x mas
**bingo **
Donations /
Grants etc
1-Jun S Mumby (Private Party) MVH2022549 70.00 70.00
2-Jun O Laking (Private Party) MVH2022585 40.00 40.00
7-Jun L Bunn(Yoga) (april) MVH2022598 184.75 184.75
9-Jun A Antcliff(Private Party) MVH2022567 61.25 61.25
9-Jun O Laking (Private Party) (extra Hour) MVH2022585 20.00 20.00
10-Jun S White(Zumba) MVH2022606 39.00 39.00
11-Jun L Bunn(Yoga) MVH2022611 273.00 273.00
11-Jun W Gibson(Thurs Badminton) MVH2022608 97.50 97.50
11-Jun L Simpson(Tea Dance) MVH2022599 104.00 104.00
11-Jun L Simpson(Tea Dance) MVH2022610 104.00 104.00
11-Jun D Gelder(Little Imps) MVH2022605 1,047.50 1,047.50
11-Jun P Lindsey (Private Party) MVH2022581 100.00 100.00
12-Jun A Adcock(Tues Badminton) MVH2022609 78.00 78.00
12-Jun S Usher(MMA) MVH2022607 469.50 469.50
16-Jun C Shaw(Private Party) MVH2022516 40.00 40.00
22-Jun K Campbell(Oh MyGoodmess) MVH2022450 42.00 42.00
24-Jun Messingham WI MVH2022612 32.50 32.50
26-Jun HolyTrinity (SpringFayre) MVH2022434 35.75 35.75
28-Jun Bingo Fundraising 200.00 200.00
Totals 0.00 3,038.75 2,507.50 331.25 0.00 200.00 0.00 0.00
Total Income 3,038.75
Total Income 3,038.75

mlsc 0.00

EXPENDITURE - JULY 2024

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Jul Kim Grundy (Caretaker) Fees 594.00
9-Jul British Gas 88.74 88.74
10-Jul Santander(Loan repayment) 88.50
11-Jul Vodafone 29.52 29.52
11-Jul British Gas 186.91 186.91
12-Jul Ellgia(Waste) P453118 131.02 131.02
12-Jul Kershaw Electrical KES-IV-00107 130.00 130.00
14-Jul Receipt(D Gelder)Cleaning products 10-07-2024 6.93 6.93
18-Jul Attention to Detail(Decorator) required 900.00 900.00
27-Jul Independance Workshop (NFA North) Refund-MVH2022613 90.00
27-Jul Alert Fire(Fire safetychecks) 1524 238.00 238.00
30-Jul Ansvar Insurance 212.31
Totals 0.00 2,089.95 0.00 605.98 # #436.19 0.00 6.93 1,268.00
Total Cash/Bank
2,695.93
Total Expenditure
2,695.93
Total Cash/Bank 2,695.93
Total Expenditure 2,695.93
Caretaker Fees Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance,
Admin, etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
88.50
90.00
212.31
594.00 0.00 0.00 212.31 88.50 0.00 90.00 0.00

INCOME JULY 2024

Date Details Date of
event
Ref. No. Cash Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising Bingo x mas
**bingo **
Donations /
Grants etc
5-Jul S White(Zumba) MVH2022625 52.00 52.00
5-Jul S Usher(MMA) MVH2022619 489.50 489.50
5-Jul A Adcock(Tues Badminton) MVH2022621 58.50 58.50
6-Jul D Gelder(Little Imps) MVH2022618 1,047.50 1,047.50
6-Jul D Gelder(Little Imps) MVH2022591 20.00 20.00
9-Jul L Simpson(Tea Dance) MVH2022624 104.00 104.00
10-Jul Messingham WI MVH2022620 32.50 32.50
12-Jul Independance Workshop (NFA North) MVH2022613 90.00 90.00
12-Jul W Gibson(Thurs Badminton) MVH2022623 78.00 78.00
12-Jul CD Steenken(Private Party) MVH2022615 80.00 80.00
18-Jul LindseyLodge(Cheque)for 2 events MVH2022476 (£45.50)
MVH2022477(£45.50)
151.06 151.06
Refund Water Plus Refund(£60.06
23-Jul North Linc's Council(D-Day grant) 250.00 250.00
28-Jul B Fitter(Private Party) MVH2022617 60.00 60.00
Totals 0.00 2,513.06 2,033.06 230.00 0.00 0.00 0.00 250.00
Total Income 2,513.06
Total Income 2,513.06

mlsc 0.00

Docusign Envelope ID: 9D03D0DD-7228-42A2-9EF8-9AD09984F6B6

Financial Statements

Messingham Village Hall For the year ended 31 July 2024

Prepared by S Smith & Co Accountants Limited

Docusign Envelope ID: 9D03D0DD-7228-42A2-9EF8-9AD09984F6B6

Contents

Financial Statements Messingham Village Hall Page 2 of 5

Docusign Envelope ID: 9D03D0DD-7228-42A2-9EF8-9AD09984F6B6

Approval

Messingham Village Hall For the year ended 31 July 2024

In accordance with the engagement letter, I approve the financial information which comprises the Income and Expenditure account, and the Balance Sheet.. I acknowledge my responsibility for the financial information, including the appropriateness of the applicable financial reporting framework as set out in the notes, and for providing S Smith & Co Accountants Limited with all information and explanations necessary for their compilation.

................................................. [POSigned213D208142AF4FC... Thorvby: s v e

Messingham Village Hall

30 May 2025

[and][(0][Accountants] is ................................................. SignedB10D814D6C63477...[Smite] by:

................................................. B10D814D6C63477...

S Smith & Co Accountants Limited

30 May 2025

Financial Statements Messingham Village Hall Page 3 of 5

Docusign Envelope ID: 9D03D0DD-7228-42A2-9EF8-9AD09984F6B6

Income and Expenditure

Messingham Village Hall For the year ended 31 July 2024

Income and Expenditure
Messingham Village Hall
For the year ended 31 July 2024
2024
Income
Hall Hire 29,695
Bingo 1,550
Fundraising 524
Donations/Grants 1,000
Total Income 32,769
Gross Profit 32,769
Gross Profit % 100
Expenditure
Audit & Accountancy Fees 198
Caretaker fees 7,128
Cleaning 836
Domestic Items 1,532
Insurance 2,142
Loan Interest Paid 75
Licenses 35
Major Works Projects 3,682
Miscellaneous expenses 257
Premises - Food, Utensils, etc 94
Repairs & Renewals 12,445
Subscriptions 265
Telephone & Internet 179
Utilities 9,636
Total Expenditure 38,503
Surplus/(Deficit) (5,734)
Surplus/(Deficit) % (17)
Surplus/(Deficit) on Ordinary Activities (5,734)
Surplus/(Deficit) (5,734)

Financial Statements Messingham Village Hall Page 4 of 5

Docusign Envelope ID: 9D03D0DD-7228-42A2-9EF8-9AD09984F6B6

Balance Sheet

Messingham Village Hall As at 31 July 2024

Balance Sheet
Messingham Village Hall
As at 31 July 2024
Balance Sheet
Messingham Village Hall
As at 31 July 2024
NOTES
31 JUL 2024
Cash at bankand in hand
Cash at bank and in hand
Messingham Village Hall
17,366
Total Cash at bank and in hand
17,366
Total Cash at bank and in hand
17,366
Net current assets (liabilities)
17,366
Total assets less current liabilities
17,366
Creditors: amounts falling due after more than one year
Bank loans and overdrafts
2,417
Total Creditors: amounts falling due after more than one year
2,417
Net Assets
14,949
Capital and reserves
Profit and loss account
14,949
Total Capital and reserves
14,949

Financial Statements Messingham Village Hall Page 5 of 5