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2025-07-31-accounts

Messingham Village Hall 2024 to 2025

Financial Statement

Balance brought forward from 2023 - 2024 financial year £17,365.71.

Month Balance BF Income Expenditure Balance Difference
August 17,365.71 17,365.71
2,711.00
2,711.00
1,558.93
1,558.93
18,517.78
18,517.78
1,152.07
September 18,517.78 517.78
2,524.25
524.25
1,374.23
374.23
19,667.80
667.80
1,150.02
October 19,667.80 19,667.80
3,615.67
3,615.67
1,332.54
1,332.54
21,950.93
21,950.93
2,283.13
November 21,950.93 950.93
3,983.00
983.00
2,069.16
069.16
23,864.77
864.77
1,913.84
December 23,864.77 864.77
3,869.78
869.78
1,767.78
767.78
25,966.77
966.77
2,102.00
January 25,966.77 25,966.77
2,910.75
2,910.75
2,110.65
2,110.65
26,766.87
26,766.87
800.10
February 26,766.87 766.87
4,028.10
028.10
3,029.73
029.73
27,765.24
765.24
998.37
March 27,765.24 765.24
3,695.00
695.00
2,047.80
047.80
29,412.44
412.44
1,647.20
April 29,412.44 29,412.44
4,146.20
4,146.20
2,014.10
2,014.10
31,544.54
31,544.54
2,132.10
May 31,544.54 544.54
2,995.00
995.00
2,456.19
456.19
32,083.35
083.35
538.81
June 32,083.35 32,083.35
3,036.00
3,036.00
3,278.67
3,278.67
31,840.68
31,840.68
-242.67
July 31,840.68 840.68
3,208.00
208.00
4,373.74
373.74
30,674.94
674.94
-1,165.74
40,722.75 722.75
27,413.52
413.52
Balance to carry forward to next year £30,674.94 674.94

Total Income = £40,722.75

Total Expenditure

Note: Covid loan repayments are not counted towards end of year expenses, only interest on the loan is an expense.

Refunds are also not counted towards expenses, due to money previously received.

Loan Repayments = £1000

Refunds = £112.50

Total Expenditure = £26,301.02

Bank Diff

Month Balance BF Income Expenditure Balance Difference
August 17,365.71 2,711.00 1,558.93 18,517.78 1,152.07
1,150.02
2,283.13
1,913.84
2,102.00
800.10
998.37
1,647.20
2,132.10
538.81
-242.67
-1,165.74
September 18,517.78 2,524.25 1,374.23 19,667.80
October 19,667.80 3,615.67 1,332.54 21,950.93
November 21,950.93 3,983.00 2,069.16 23,864.77
December 23,864.77 3,869.78 1,767.78 25,966.77
January 25,966.77 2,910.75 2,110.65 26,766.87
February 26,766.87 4,028.10 3,029.73 27,765.24
March 27,765.24 3,695.00 2,047.80 29,412.44
April 29,412.44 4,146.20 2,014.10 31,544.54
May 31,544.54 2,995.00 2,456.19 32,083.35
June 32,083.35 3,036.00 3,278.67 31,840.68
July 31,840.68 3,208.00 4,373.74 30,674.94
40,722.75 27,413.52
Balance to carry forward to next year £30,674.94

£19,667.80 £21,950.93 £23,864.77 £25,966.77 £26,766.87 £27,765.24 £29,412.44 £31,544.54 £32,083.35 £31,840.68 £30,674.94

Note: (Covid Loan £5000) Loan Repayment totals include the interest as well as the loan capital return. Loan Capital Repayment = £1000 Interest costs = £49.34 Total for 2024-25 = 1049.34

Note: Actual Expenditure for 2024 - 25 = £26,301.02 As repayment of the loan capital is not a true expense, as are refunds. 1) Loan repayment £1000

~~2) Refund payment £112 50 (Misc payment tab)~~

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

Refunds do not count as actual expenses, due to previous received payments.

YEARLY INCOME 2024 - 2025

Month Cash /
Cheque
Bank Hall hire
regular
Hall hire ad-
hoc
Fundraising
(Other)
Bingo
(Fundraising)
x mas
**bingo **
Donations
/ Grants
etc
misc Total monthly
income
August 0.00 2,711.00 2,311.00 0.00 0.00 400.00 0.00 0.00 0.00 2,711.00
September 0.00 2,524.25 2,194.25 130.00 0.00 200.00 0.00 0.00 0.00 2,524.25
October 168.50 3,447.17 2,472.75 0.00 242.92 0.00 0.00 900.00 0.00 3,615.67
November 0.00 3,983.00 3,009.50 487.50 86.00 400.00 0.00 0.00 0.00 3,983.00
December 403.50 3,466.28 2,964.25 250.00 655.53 0.00 0.00 0.00 0.00 3,869.78
January 286.00 2,624.75 2,410.75 100.00 0.00 400.00 0.00 0.00 0.00 2,910.75
February 458.50 3,569.60 2,783.25 590.00 654.85 0.00 0.00 0.00 0.00 4,028.10
March 338.00 3,357.00 2,452.50 392.50 450.00 400.00 0.00 0.00 0.00 3,695.00
April 293.00 3,853.20 2,959.00 450.00 487.20 250.00 0.00 0.00 0.00 4,146.20
May 10.00 2,985.00 2,144.00 300.00 301.00 250.00 0.00 0.00 0.00 2,995.00
June 0.00 3,036.00 2,246.00 390.00 200.00 200.00 0.00 0.00 0.00 3,036.00
July 188.50 3,019.50 2,443.00 565.00 200.00 0.00 0.00 0.00 0.00 3,208.00
Totals 2,146.00 38,576.75 30,390.25 3,655.00 3,277.50 2,500.00 0.00 900.00 0.00 40,722.75
40,722.75
40,722.75
Total
Income
Total
Income
Total
Income
40,722.75
Total
Income
40,722.75

YEARLY EXPENDITURE 2024 - 2025

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 1,022.65 0.00 536.28 396.65 170.00 7.48 90.00 594.00 0.00 0.00 212.31
September 0.00 728.01 0.00 646.22 345.59 93.18 8.14 23.74 594.00 0.00 8.95 212.31
October 0.00 947.53 0.00 385.01 428.05 0.00 10.20 0.00 594.00 0.00 0.00 212.31
November 0.00 1,302.92 0.00 766.24 627.14 109.15 0.00 75.00 594.00 0.00 0.00 212.31
December 0.00 845.02 0.00 922.76 753.83 0.00 0.00 120.00 594.00 0.00 0.00 212.31
January 0.00 908.86 0.00 1,201.79 1,040.23 124.00 0.00 0.00 594.00 0.00 0.00 212.31
February 0.00 1,774.87 0.00 1,254.86 1,088.99 120.00 191.91 319.34 594.00 0.00 265.00 212.31
March 0.00 757.38 0.00 1,290.42 1,075.25 0.00 0.00 0.00 594.00 0.00 47.00 212.31
April 0.00 1,268.11 0.00 745.99 790.93 370.00 41.34 0.00 594.00 0.00 0.00 0.00
May 0.00 1,963.89 0.00 492.30 584.32 351.98 140.00 390.00 594.00 0.00 0.00 300.00
June 0.00 2,019.97 0.00 1,258.70 474.12 25.82 51.47 1,435.60 594.00 0.00 0.00 248.99
July 0.00 3,120.23 0.00 1,253.51 469.46 14.90 0.00 0.00 594.00 2,900.00 0.00 248.94
Totals 0.00 16,659.44 0.00 10,754.08 8,074.56 1,379.03 450.54 2,453.68 7,128.00 2,900.00 320.95 2,496.41
Total
Cash/Bank
###
Total
Expenditure
###
Food
Utensils
Furniture
Loan
Repayment
Misc. Total
0.00 88.49 0.00 1,558.93
0.00 88.32 0.00 1,374.23
0.00 87.98 0.00 1,332.54
0.00 87.96 363.60 2,069.16
0.00 87.64 0.00 1,767.78
0.00 87.61 52.50 2,110.65
0.00 87.43 150.75 3,029.73
0.00 86.88 32.36 2,047.80
0.00 87.08 130.75 2,014.10
9.10 86.79 0.00 2,456.19
12.95 86.72 349.00 3,278.67
0.00 86.44 60.00 4,373.74
22.05 1,049.34 1,138.96 27,413.52

EXPENDITURE - AUGUST 2024

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) Fees 594.00
5-Aug Receipt(D Gelder)Cleaning products 7.48 7.48
9-Aug British Gas 22.76 22.76
9-Aug British Gas 183.20 183.20
11-Aug Ellgia(Waste) P458405 161.17 161.17
11-Aug A Ritchie(Window cleaning) 50.00 50.00
12-Aug Santander(Loan repayment) 88.49
13-Aug Vodafone 29.52 29.52
19-Aug Adrian Hebenstre(Grass Cutting) 90.00 90.00
28-Aug Ansvar Insurance 212.31
29-Aug LJR Cleaning (Cleaningnew building) INV65 120.00 120.00
Totals 0.00 1,022.65 0.00 536.28 # #396.65 170.00 7.48 90.00
Total Cash/Bank/Cheque/DD
1,558.93
Total Expenditure
1,558.93
Total Cash/Bank/Cheque/DD 1,558.93
Total Expenditure 1,558.93
Caretaker
Fees
Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance
Admin etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
88.49
212.31
594.00 0.00 0.00 212.31 88.49 0.00 0.00 0.00

INCOME AUGUST 2024

Date Details Date of
event
Ref. No. Cash/
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising
(Other)
Bingo
(Fundraising
)
x mas
**bingo **
Donations /
Grants etc
2-Aug Bingo(S Ladlow) Fundraising 200.00 200.00
9-Aug S White(Zumba) MVH2022640 37.50 37.50
11-Aug L Bunn(Yoga) MVH2022642 273.00 273.00
11-Aug D Gelder(Little Imps) MVH2022639 1,047.50 1,047.50
11-Aug S White(Zumba) MVH2022640 1.50 1.50
12-Aug A Adcock(Tues Badminton) MVH2022644 78.00 78.00
13-Aug L Simpson(Tea Dance) MVH2022645 104.00 104.00
16-Aug W Gibson(Thurs Badminton) MVH2022643 39.00 39.00
22-Aug S Usher(MMA) MVH2022641 730.50 730.50
31-Aug Bingo(S Ladlow) Fundraising 200.00 200.00
Totals 0.00 2,711.00 2,311.00 0.00 0.00 400.00 0.00 0.00
Total Income 2,711.00
Total Income 2,711.00
misc Total
0.00 2,711.00

EXPENDITURE - SEPTEMBER

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
2-Sept Kim Grundy (Caretaker) Fees 594.00
9-Sept British Gas 14.20 14.20
10-Sept British Gas 170.85 170.85
10-Sept Santander(Loan repayment) 88.32
10-Sept Kelly's Cleaning (Carpet Clean Entrance) INV0427 50.00 50.00
10-Sept Ellgia(Waste) P466191 131.02 131.02
11-Sep Vodafone 29.52 29.52
23-Sept Hygeine Hub(Cleaning products) 43.18 43.18
23-Sept Postage 8.95
30-Sept Ansvar Insurance 212.31
30-Sept D Gelder(CleaningProducts) Receipt(20/9/24) 8.14 8.14
30-Sept D Gelder(Letter Box Cage) Receipt(18/9/24) 23.74
Totals 0.00 728.01 0.00 646.22 # #345.59 93.18 8.14
Total Cash/Bank
1,374.23
Total Expenditure
1,374.23
Total Cash/Bank 1,374.23
Total Expenditure 1,374.23

2024

2024
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
88.32
8.95
212.31
23.74
23.74 594.00 0.00 8.95 212.31 88.32 0.00 0.00 0.00

INCOME SEPTEMBER 2024

Date Details Date of
booking
Ref. No. Cash/
Cheque
Bank Hall Hire
regular
Hall hire ad-
hoc
Fundraising
(Other)
Bingo
(Fundraising)
**xmas bingo **
3-Sept S White(Zumba) MVH2022666 39.00 39.00
4-Sept L Simpson(Tea Dance) MVH2022667 104.00 104.00
4-Sept S Usher(MMA) MVH2022616 26.00 26.00
4-Sept A Adcock(Tues Badminton) MVH2022669 78.00 78.00
7-Sept D Gelder(Little Imps) MVH2022665 1,047.50 1,047.50
7-Sept D Gelder(Little Imps)(other booking) MVH2022592 26.00 26.00
10-Sept D Haley (Private) MVH2022673 40.00 40.00
12-Sept W Gibson(Thurs Badminton) MVH2022670 39.00 39.00
12-Sept A Taylor(Oopsie Daisey) MVH2022660 30.00 30.00
13-Sept A Hannath(Private) MVH2022603 60.00 60.00
18-Sept L Bunn(Yoga) MVH2022668
204.75 204.75
27-Sept K Campbell(Oh myGood Mess) ~~MVH2022582~~
(£63)
105.00 105.00
28-Sept S Usher(MMA) MVH2022671 525.00 525.00
30-Sept Bingo(S Ladlow) Fundraising 200.00 200.00
Totals 0.00 2,524.25 2,194.25 130.00 0.00 200.00 0.00
Total Income 2,524.25
Total Income 2,524.25
Donations /
Grants etc
misc
0.00 0.00

EXPENDITURE -OCTOBER 2024

Date Details Reference Cash Bank
payments
Cheque Direct
debits/
SO
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Oct Kim Grundy (Caretaker) Fees 594.00
8-Oct British Gas 47.77 47.77
8-Oct D Gelder(CleaningProducts) Reciept(10/2/24) 10.20 10.20
10-Oct British Gas 196.00 196.00
10-Oct Santander(Loan repayment) 87.98
11-Oct Vodafone 29.52 29.52
16-Oct Water Plus 23.74 23.74
17-Oct Ellgia(Waste) P470201 131.02 131.02
29-Nov Ansvar Insurance 212.31
Totals 0.00 947.53 0.00 385.01 # #428.05 0.00 10.20 0.00
Total Cash/Bank
1,332.54
Total Expenditure
1,332.54
Total Cash/Bank 1,332.54
Total Expenditure 1,332.54
Caretaker
Fees
Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance
Admin etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
87.98
212.31
594.00 0.00 0.00 212.31 87.98 0.00 0.00 0.00

INCOME OCTOBER 2024

Date Details Date of
booking
Ref. No. Cash/
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising
(Other)
Bingo
(Fundraising)
x mas
**bingo **
8-Oct S White(Zumba) MVH2022682 52.00 52.00
9-Oct S Usher(MMA) MVH2022505 26.00 26.00
9-Oct S Usher(MMA) MVH2022680 616.50 616.50
9-Oct A Adcock(Tues Badminton) MVH2022683 78.00 78.00
9-Oct Messingham WI MVH2022586 29.25 29.25
9-Oct Messingham WI MVH2022587 32.50 32.50
9-Oct L Simpson(Tea Dance) MVH2022684 104.00 104.00
10-Oct W Gibson(Thurs Badminton) MVH2022675 19.50 19.50
10-Oct D Gelder(Little Imps) MVH2022679 1,047.50 1,047.50
12-Oct L Bunn(Yoga) MVH2022681 299.00 299.00
16-Oct Precept Grant(MPC) Grant 900.00
21-Oct LindseyLodge MVH2022478 38.50 38.50
21-Oct Indoor Bowls Club(J Walker) MVH2022538 (£97.50)
MVH2022564(£32.50)
130.00 130.00
27-Oct MiddayMunch(Aug) MVH Fundraising 79.15 79.15
27-Oct MiddayMunch(Sept) MVH Fundraising 120.42 120.42
27-Oct MiddayMunch(Oct) MVH Fundraising 43.35 43.35
Totals 168.50 3,447.17 2,472.75 0.00 242.92 0.00 0.00
Total Income 3,615.67
Total Income 3,615.67
Donations /
Grants etc
misc
900.00
900.00 0.00

EXPENDITURE - NOVEMBER 2024

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Nov Kim Grundy (Caretaker) Fees(Inv 11) 594.00
11-Nov British Gas 198.70 198.70
11-Nov British Gas 237.75 237.75
11-Nov Santander(Loan repayment) 87.96
11-Nov Ellgia(Waste) 161.17 161.17
11-Nov D Gelder(PoppyWreath Rememberance) 30.00
11-Nov Adrian Hebenstre(Grass Cutting) 75.00 75.00
13-Nov Vodafone 29.52 29.52
28-Nov Ansvar Insurance 212.31
29-Nov Right Action(Fire Safetychecks) 333.60
29-Nov Hygiene Hub(Cleaning products) 109.15 109.15
Totals 0.00 1302.92 0.00 766.24 #627.14 109.15 0.00 75.00
Total Cash/Bank
2,069.16
Total Expenditure
2,069.16
Total Cash/Bank 2,069.16
Total Expenditure 2,069.16
Caretaker
Fees
Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance
Admin etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
87.96
30.00
212.31
333.60
594.00 0.00 0.00 212.31 87.96 0.00 363.60 2069.16

INCOME NOVEMBER 2024

Date Details Date of
booking
Ref. No. Cash /
Cheque
Bank Hall Hire
regular
Hall Hire
ad-hoc
Fundraising
(Other)
Bingo
(Fundraising)
x mas
**bingo **
Donations /
Grants etc
4-Nov E Jaques MVH2022696 100.00 100.00
6-Nov S White(Zumba) MVH2022702 65.00 65.00
6-Nov S Usher(MMA) MVH2022703 655.50 655.50
6-Nov A Adcock(Tues Badminton) MVH2022700 97.50 97.50
6-Nov Oppsie Daisy (A Taylor) MVH2022698 123.50 123.50
7-Nov D Gelder(Little Imps) MVH2022697 1047.50 1047.50
8-Nov L Simpson(Tea Dance) MVH2022705 104.00 104.00
11-Nov Indoor Bowls Club(J Walker) MVH2022704 338.00 338.00
13-Nov P Salmons(Private Booking) MVH2022626 175.00 175.00
13-Nov P Salmons(Private Booking) MVH2022677 52.50 52.50
14-Nov LindseyLodge(Autumn Fair) MVH2022479 55.00 55.00
14-Nov W Gibson(Thurs Badminton) MVH2022701 97.50 97.50
15-Nov P Skipworth(Private Booking) MVH2022672 80.00 80.00
16-Nov Messingham WI MVH2022588 32.50 32.50
22-Nov S Pearson(Private Booking) MVH2022707 80.00 80.00
24-Nov K Campbell(Oh myGood Mess) MVH2022453 42.00 42.00
25-Nov L Bunn(Yoga) MVH2022699 331.50 331.50
27-Nov D Gelder(Christmas Fayre - Tables) 20.00 20.00
27-Nov Tombola(S Ladlow) Fundraising 86.00 86.00
30-Nov Bingo(S Ladlow) Fundraising 400.00 400.00
Totals 0.00 3983.00 3009.50 487.50 86.00 400.00 0.00 0.00
Total Income 3,983.00
Total Income 3,983.00
misc Total
0.00 3983.00

EXPENDITURE - DECEMBER 2024

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
2-Dec Kim Grundy (Caretaker) Fees 594.00
6-Dec Ellgia(Waste) 131.02 131.02
10-Dec British Gas 307.89 307.89
10-Dec British Gas 285.40 285.40
10-Dec Santander(Loan repayment) 87.64
11-Dec Vodafone 29.52 29.52
21-Dec Kershaw Electrical KES-INV00160 120.00 120.00
30-Dec Ansvar Insurance 212.31
Totals 0.00 845.02 0.00 922.76 # #753.83 0.00 0.00 120.00
Total Cash/Bank
1,767.78
Total Expenditure
1,767.78
Total Cash/Bank 1,767.78
Total Expenditure 1,767.78
Caretaker
Fees
Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance
Admin etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
87.64
212.31
594.00 0.00 0.00 212.31 87.64 0.00 0.00 1767.78

INCOME DECEMBER 2024

Date Details Date of
booking
Ref. No. Cash/
Cheque
Bank Hall Hire
regular
Hall Hire
ad-hoc
Fundraising
(Other)
Bingo
(Fundraising)
x mas
**bingo **
6-Dec MiddayMunchers(Nov & Dec) Fundraising 655.53 655.53
7-Dec S White(Zumba) MVH2022721 52.00 52.00
7-Dec S Usher(MMA) MVH2022724 613.00 613.00
7-Dec D Gelder(Little Imps)Fundraising MVH2022723 65.00 65.00
7-Dec Oppsie Daisy (A Taylor) MVH2022718 78.00 78.00
7-Dec HolyTrinityChurch(Xmax Fayre) MVH2022454 35.75 35.75
9-Dec A Adcock(Tues Badminton) MVH2022719 78.00 78.00
9-Dec D Gelder(Little Imps) MVH2022725 1,047.50 1,047.50
10-Dec Messingham WI MVH2022589 32.50 32.50
10-Dec W Gibson(Thurs Badminton) MVH2022720 78.00 78.00
11-Dec G Charles(DogTraining) MVH2022630 136.50 136.50
12-Dec L Simpson(Tea Dance) MVH2022722 104.00 104.00
18-Dec L Bunn(Yoga) MVH2022716 240.50 240.50
19-Dec R Willey (Private Event) MVH2022638 130.00 130.00
23-Dec NJ Mclaren(Private Event) MVH2022709 60.00 60.00
24-Dec LindseyLodge(Spuds & Puds) MVH2022480 33.00 33.00
24-Dec Indoor Bowls Club(J Walker) MVH2022717 370.50 370.50
31-Dec M Robinson(Private Event) MVH2022676 60.00 60.00
Totals 403.50 3,466.28 2,964.25 250.00 655.53 0.00 0.00
Total Income 3,869.78
Total Income 3,869.78
Donations /
Grants etc
misc
0.00 0.00

EXPENDITURE - JANUARY 2025

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
2-Jan Kim Grundy (Caretaker) Fees 594.00
10-Jan Santander(Loan repayment) 87.61
13-Jan British Gas 556.33 556.33
13-Jan Vodafone 29.52 29.52
13-Jan British Gas 292.28 292.28
13-Jan LJR Cleaning (Cleaning) INV07 120.00 120.00
13-Jan Ellgia(Waste) P486583 138.36 138.36
15-Jan Water Plus 23.74 23.74
27-Jan Refund S Dent (booking cancelled)
(Originalpayment made Feb 2024)
MVH2022523 52.50
27-Jan D Gelder(Receipt 25/01/25) 4.00 4.00
28-Jan Ansvar Insurance 212.31
Totals 0.00 908.86 0.00 1,201.79 # #1,040.23 124.00 0.00 0.00
Total Cash/Bank
2,110.65
Total Expenditure
2,110.65
Total Cash/Bank 2,110.65
Total Expenditure 2,110.65
Caretaker
Fees
Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance
Admin etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
87.61
52.50
212.31
594.00 0.00 0.00 212.31 87.61 0.00 52.50 2,110.65

INCOME JANUARY 2025

Date Details Date of booking Ref. No. Cash/
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising
(Other)
Bingo
(Fundraising)
x mas
**bingo **
2-Jan Mr P Watmore(Private Booking) MVH2022674 60.00 60.00
7-Jan C Deans(Private Booking) MVH2022737 40.00 40.00
11-Jan S White(Zumba) MVH2022746 26.00 26.00
11-Jan L Bunn(Yoga) MVH2022745 204.75 204.75
12-Jan G Charles(DogTraining) MVH2022631 91.00 91.00
12-Jan D Gelder(Little Imps) MVH2022741 1,047.50 1,047.50
13-Jan HolyTrinityChurch(Moggies) MVH2022747 74.75 74.75
13-Jan S Usher(MMA) MVH2022743 476.00 476.00
13-Jan Indoor Bowls Club(J Walker) MVH2022742 195.00 195.00
15-Jan L Simpson(Tea Dance) MVH2022749 126.75 126.75
17-Jan LindseyLodge(Tea & Bingo) MVH2022748
MVH2022713
91.00 91.00
29-Jan Bingo(S Ladlow) Fundraising 400.00 400.00
31-Jan Oppsie Daisy (A Taylor) MVH2022744 78.00 78.00
Totals 286.00 2,624.75 2,410.75 100.00 0.00 400.00 0.00
Total Income 2,910.75
Total Income 2,910.75
Donations /
Grants etc
misc
0.00 0.00

EXPENDITURE - FEBRUARY 2025

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
1-Feb member) 20.00
1-Feb Kershaw Electrical KES-INV-00171 155.00 155.00
3-Feb Kim Grundy (Caretaker) Fees 594.00
4-Feb Right Action(Fire safety) Invoice 77889 164.34 164.34
4-Feb Cathedral Leasing MI-1657663 130.75
10-Feb British Gas 633.54 633.54
10-Feb Santander(Loan repayment) 87.43
10-Feb Ellgia(Waste) P494789 133.87 133.87
10-Feb Hygiene Hub 145014934 191.91 191.91
11-Feb British Gas 292.06 292.06
12-Feb Vodafone 29.52 29.52
23-Feb Hallmaster Subscription(YearlyFee) HM-8175 265.00
23-Feb A Richie(Window Cleaner) Mess Hall 0053 120.00 120.00
28-Feb Ansvar Insurance 212.31
Totals 0.00 1,774.87 0.00 1,254.86 # #1,088.99 120.00 191.91 319.34
Total Cash/Bank
3,029.73
Total Expenditure
3,029.73
Total Cash/Bank 3,029.73
Total Expenditure 3,029.73
Caretaker
Fees
Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance
Admin etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
20.00
594.00
130.75
87.43
265.00
212.31
594.00 0.00 265.00 212.31 87.43 0.00 150.75 0.00

INCOME FEBRUARY 2025

INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025 INCOME FEBRUARY 2025
g
Date Details Date of booking Ref. No. Cash/
Cheque
Bank Hall Hire
regular
Hall Hire
ad-hoc
Fundraising
(Other)
(Fundraising
)
x mas
**bingo **
Donations /
Grants etc
1-Feb T Waddington(Private Party) MVH2022757 45.00 45.00
1-Feb K Campbell(Oh myGood Mess) MVH2022583 54.00 54.00
10-Feb H Lappin(Private Party) MVH2022706 60.00 60.00
10-Feb S White(Zumba) MVH2022765 52.00 52.00
10-Feb D Gelder(Little Imps) MVH2022760 1,047.50 1,047.50
10-Feb S Usher(MMA) MVH2022763 492.00 492.00
11-Feb L Simpson(Tea Dance) MVH2022767 104.00 104.00
12-Feb L Bunn(Yoga) MVH2022762 308.75 308.75
12-Feb Padera Solaer(Private Booking) MVH2022758 105.00 105.00
13-Feb W Gibson(Thurs Badminton) MVH2022766 78.00 78.00
13-Feb Messingham WI MVH2022590 32.50 32.50
14-Feb Indoor Bowls Club(J Walker) MVH2022761 448.50 448.50
14-Feb MiddayMunchers Fundraising 514.50 514.50
14-Feb A Adcock(Tues Badminton) MVH2022764 19.50 19.50
19-Feb MiddayMunchers Fundraising 140.35 140.35
19-Feb Charm Ltd(Private Booking) MVH2022712 110.00 110.00
21-Feb G Charles(DogTraining) MVH2022634 136.50 136.50
24-Feb Indoor Bowls Club(J Walker) MVH2022679 10.00 10.00
27-Feb M Earls(DofE Training)Apex Initiatives MVH2022775 270.00 270.00
458.50 3,569.60 2,783.25 590.00 654.85 0.00 0.00 0.00
Total Income 4,028.10
Total Income 4,028.10

misc

0.00

EXPENDITURE - MARCH 2025

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
Repairs / Renewals
(including hall
maintenance)
3-Mar Kim Grundy (Caretaker) Fees 594.00
8-Mar Ellgia(Waste) P504781 131.02 131.02
10-Mar Santander(Loan repayment) 86.88
11-Mar British Gas 633.25 633.25
11-Mar Kualo Ltd(Website domain name renewal 3yrs) UK-1794785 32.36
12-Mar Vodafone 29.52 29.52
12-Mar British Gas 281.46 281.46
19-Mar ICO(Infomation Commision Office) ZB317356 47.00
28-Mar Ansvar Insurance 212.31
Totals 0.00 757.38 0.00 1,290.42 # #1,075.25 0.00 0.00 0.00
Total Cash/Bank
2,047.80
Total Expenditure
2,047.80
Total Cash/Bank 2,047.80
Total Expenditure 2,047.80
Caretaker
Fees
Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance
Admin etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
86.88
32.36
47.00
212.31
594.00 0.00 47.00 212.31 86.88 0.00 32.36 0.00

INCOME MARCH 2025

Date Details Date of
booking
Ref. No. Cash/
cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising
(Other)
Bingo
(Fundraising)
x mas
**bingo **
1-Mar C Herron(Privateparty) MVH2022732 70.00 70.00
2-Mar J Dawson(Private Party) MVH2022738 60.00 60.00
4-Mar H Bratton(Private Party) MVH2022772 60.00 60.00
6-Mar E Temple(Private Party) MVH2022754 100.00 100.00
8-Mar S White(Zumba) MVH2022784 52.00 52.00
8-Mar D Gelder(Little Imps) MVH2022779 1,047.50 1,047.50
9-Mar A Adcock(Tues Badminton) MVH2022783 78.00 78.00
11-Mar S Usher(MMA) MVH2022780 586.00 586.00
11-Mar L Simpson(Tea Dance) MVH2022787 104.00 104.00
13-Mar L Bunn(Yoga) MVH2022785 136.50 136.50
13-Mar W Gibson(Thurs Badminton) MVH2022786 78.00 78.00
13-Mar R Simpson(Private Party) MVH2022789 22.50 22.50
14-Mar Indoor Bowls Club(J Walker) MVH2022781 338.00 338.00
15-Mar D Barnard(Popupshop- Private) MVH2022651 80.00 80.00
18-Mar Messingham WI MVH2022782 32.50 32.50
29-Mar Bingo(S Ladlow) Fundraising 400.00 400.00
31-Mar Psychic Night(S Ladlow) Fundraising 450.00 450.00
Totals 338.00 3,357.00 2,452.50 392.50 450.00 400.00 0.00
Total Income 3,695.00
Total Income 3,695.00
Donations
/ Grants etc
misc
0.00 0.00

EXPENDITURE - APRIL 202

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
1-Apr Kim Grundy (Caretaker) Fees 594.00
7- Apr Ellgia(Waste) P509377 131.02 131.02
8-Apr British Gas 357.66 357.66
9-Apr British Gas 246.68 246.68
10-Apr Santander(Loan repayment) 87.08
11-Apr Vodafone 31.33 31.33
12-Apr LJR Cleaning (Cleaning)Little Imps Room INV16 120.00 120.00
16-Apr Water Plus 23.24 23.24
20-Apr Messingham Parish Council(Village Hall Rent) Invoice 2501 1.00 1.00
23-Apr Cathedral Leasing MI-1657664 130.75
24-Apr LJR Cleaning (Cleaning)Main Hall INV17 200.00 200.00
28-Apr Receipt D Gelder - Cleaning products(Amazon) 8313 31.85 31.85
28-Apr Receipt D Gelder - Cleaning products(Amazon) 9547 9.49 9.49
29-Apr A Richie(Window Cleaner) Mess Hall 0054 50.00 50.00
Totals 0.00 1,268.11 0.00 745.99 # #790.93 370.00 41.34
Total Cash/Bank
2,014.10
Total Expenditure
2,014.10
Total Cash/Bank 2,014.10
Total Expenditure 2,014.10

25

25
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
87.08
130.75
0.00 594.00 0.00 0.00 0.00 87.08 0.00 130.75 0.00

INCOME APRIL 2025

Date Details Date of
booking
Ref. No. Cash /
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising
(Other)
Bingo
(Fundraising)
x mas
**bingo **
Donations /
Grants etc
misc
2-Apr Ives D&P(Private Event) MVH2022793 60.00 60.00
8-Apr K Campbell(Oh myGood Mess) MVH2022726 54.00 54.00
10-Apr G Charles(DogTraining) MVH2022635 182.00 182.00
11-Apr M Joynes(Drainage Board Meeting) MVH2022794 40.00 40.00
11-Apr Indoor Bowls Club(J Walker) MVH2022770 20.00 20.00
11-Apr S Ladlow(Mid DayMunchers) Fundraising 487.20 487.20
12-Apr D Gelder(Little Imps) MVH2022796 1,047.50 1,047.50
12-Apr S Usher(MMA) MVH2022799 589.50 589.50
13-Apr B Swaby (private Event) MVH2022773 110.00 110.00
13-Apr S White(Zumba) MVH2022802 39.00 39.00
14-Apr Messingham WI MVH2022805 32.50 32.50
14-Apr A Adcock(Tues Badminton) MVH2022800 39.00 39.00
15-Apr W Gibson(Thurs Badminton) MVH2022803 78.00 78.00
15-Apr G Charles(DogTraining) MVH2022797 227.50 227.50
15-Apr L Simpson(Tea Dance) MVH2022804 104.00 104.00
17-Apr L Bunn(Yoga) MVH2022801 273.00 273.00
17-Apr C Priest(Private Event) MVH2022807 40.00 40.00
18-Apr M Hame(Private Event) MVH2022774 60.00 60.00
19-Apr H Barnaby (Private Event) MVH2022795 80.00 80.00
22-Apr Indoor Bowls Club(J Walker) MVH2022798 273.00 273.00
28-Apr R Lloyd-Williams(Private event) MVH2022734 60.00 60.00
30-Apr Bingo(S Ladlow) Fundraising 250.00 250.00
Totals 293.00 3,853.20 2,959.00 450.00 487.20 250.00 0.00 0.00 0.00
Total Income
4,146.20
Total Income
4,146.20
Total Income 4,146.20
Total Income 4,146.20

EXPENDITURE - MAY 2025

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
3-May New Hoover(Argos - K Fowler) 140.00 140.00
3-May Adrian Hebenstre(Grass Cutting)
~~Access Insurance broker fee for the halls~~
180.00 180.00
3-May
insurance
~~COOP (K Fowler) Bank Card (Munchers~~
60.00
3-May
sundries)
9.10
6-May Receipt D Gelder - Cleaning products(Amazon) Y6L71 36.99 36.99
12-May British Gas 162.93 162.93
12-May Santander(Loan repayment) 86.79
12-May Ellgia(Waste) 178.81 178.81
13-May Vodafone 31.43 31.43
13-May British Gas 211.15 211.15
15-May J Johnson(Plumber) 20201944 210.00 210.00
19-May Receipt D Gelder - Cleaning products(Amazon) FLB1I 14.99 14.99
31-May A Richie(Windows & Gutter Cleaning) 300.00 300.00
31-May S Smith Accountants(2023-24 Accounts Audit) 240.00
Totals 0.00 1,963.89 0.00 492.30 # #584.32 351.98 140.00 390.00
Total Cash/Bank 2,456.19
Total Expenditure 2,456.19
Caretaker
Fees
Major
Works
Projects
Stationery,
Licences, Printing,
postage etc
Insurance
Admin etc
Loan
Repayment
Food
Utensils
Furniture
Misc. Total
594.00
60.00
9.10
86.79
240.00
594.00 0.00 0.00 300.00 86.79 9.10 0.00 0.00

INCOME MAY 2025

Date Details Date of
event
Ref. No. Cash /
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising
(Other)
Bingo
(Fundraising)
x mas
**bingo **
Donations /
Grants etc
4-May K Morris(Private event) MVH2022776 80.00 80.00
6-May A Smith(Private event) MVH2022739 180.00 180.00
13-May A Adcock(Tues Badminton) MVH2022817 78.00 78.00
13-May Messingham WI MVH2022818 32.50 32.50
13-May S White(Zumba) MVH2022814 52.00 52.00
13-May S Usher(MMA) MVH2022816 573.00 573.00
14-May L Simpson(Tea Dance) MVH2022820 104.00 104.00
15-May W Gibson(Thurs Badminton) MVH2022819 78.00 78.00
19-May VE DayFunction Fundraising 301.00 301.00
20-May K Paton(Private event) MVH2022809 40.00 40.00
26-May L Bunn(Yoga) MVH2022815 169.00 169.00
26-May D Gelder(Little Imps) MVH2022813 1,047.50 1,047.50
30-May Indoor Bowls Club(J Walker) MVH2022822 10.00 10.00
31-May Bingo(S Ladlow) Fundraising 250.00 250.00
Totals 10.00 2,985.00 2,144.00 300.00 301.00 250.00 0.00 0.00
Total Income 2,995.00
Total Income 2,995.00

misc

0.00

EXPENDITURE - JUNE 2025

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
1-Jun D Gelder receipt(Food safetyequipment - Amazon) 7946 40.48 40.48
2-Jun Kim Grundy (Caretaker) Fees 594.00
5-Jun K Fowler(Laptopfor Village hall admin - Argos) 349.00
6-Jun Ellgia(Waste) P526041 145.13 145.13
9-Jun British Gas 88.30 88.30
10-Jun British Gas 209.26 209.26
10-Jun Santander(Loan repayment) 86.72
10-Jun Receipt D Gelder - Kitchenproducts(Amazon) Munchers - 7174 12.95
10-Jun Receipt D Gelder - Carbon Monoxide sensor(Amazon) 0292 10.99 10.99
11-Jun Vodafone 31.43 31.43
16-Jun Adrian Hebenstre(Grass Cutting) 90.00
16-Jun Receipt D Gelder - Cleaning products(Amazon) W95I 17.90 17.90
16-Jun Receipt D Gelder - Cleaning products(ASDA) 6-6-25 7.92 7.92
21-Jun RightAction(Fire equipment maintenance) 80680 510.00
23-Jun RightAction(Fire equipment 6 monthlychecks) 79937 285.60
24-Jun Roofcare Plus(Repairs to Roof,Guttering) INV-0120 550.00
30-Jun Ansvar Insurance 248.99
Totals 0.00 2,019.97 0.00 1,258.70 # #474.12 25.82 51.47
Total Cash/Bank
3,278.67
Total Expenditure
3,278.67
Total Cash/Bank 3,278.67
Total Expenditure 3,278.67
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
349.00
86.72
12.95
90.00
510.00
285.60
550.00
248.99
1,435.60 594.00 0.00 0.00 248.99 86.72 12.95 349.00 0.00

INCOME JUNE 2025

Date Details Date of
event
Ref. No. Cash /
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising
(Other)
Bingo
(Fundraising)
x mas
**bingo **
Donations /
Grants etc
5-Jun K Campbell(Oh myGood Mess) MVH2022759 118.50 118.50
6-Jun S Greenwood(Private Event) MVH2022810 60.00 60.00
6-Jun L Chisom(Private Event) MVH2022788 120.00 120.00
9-Jun S Burt(Private Event) MVH2022821 50.00 50.00
11-Jun S White(Zumba) MVH2022829 39.00 39.00
11-Jun Messingham WI MVH2022834 32.50 32.50
11-Jun D Gelder(Little Imps) MVH2022827 1,047.50 1,047.50
11-Jun L Simpson(Tea Dance) MVH2022832 104.00 104.00
11-Jun A Adcock(Tues Badminton) MVH2022831 58.50 58.50
16-Jun L Longmate(Private Event) MVH2022825 40.00 40.00
18-Jun S Usher(MMA) MVH2022833 508.00 508.00
19-Jun W Gibson(Thurs Badminton) MVH2022830 97.50 97.50
23-Jun L Bunn(Yoga) MVH2022828 240.50 240.50
25-Jun MR Foster(Private Event) MVH2022839 120.00 120.00
29-Jun Bingo(S Ladlow) Fundraising 200.00 200.00
29-Jun S Ladlow(Mid DayMunchers) Fundraising 200.00 200.00
Totals 0.00 3,036.00 2,246.00 390.00 200.00 200.00 0.00 0.00
Total Income 3,036.00
Total Income 3,036.00

misc

0.00

EXPENDITURE - JULY 2025

Date Details Reference Cash Bank
payments
Cheque Direct
debits
Utilities /
Rent
Cleaning
(including
windows)
Domestic
items
1-Jul Kim Grundy (Caretaker) Fees 594.00
8-Jul British Gas 52.57 52.57
8-Jul Receipt D Gelder - Tissue Roll(Amazon) 0760 14.90 14.90
8-Jul Ellgia(Waste) P532537 145.33 145.33
10-Jul British Gas 215.09 215.09
10-Jul Santander(Loan repayment) 86.44
11-Jul Vodafone 31.43 31.43
14-Jul P Ives (Private Event) Refund
(Originalpayment 02/04/25)
MVH2022793 60.00
16-Jul Water Plus 25.04 25.04
29-Jul Ansvar Insurance 248.94
29-Jul C Botfield(TrinitySuite Storageproject) MVH STORAGE PROJCT 2,900.00
Totals 0.00 3,120.23 0.00 1,253.51 # #469.46 14.90 0.00
Total Cash/Bank
4,373.74
Total Expenditure
4,373.74
Total Cash/Bank 4,373.74
Total Expenditure 4,373.74

5

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
86.44
60.00
248.94
2,900.00
0.00 594.00 2,900.00 0.00 248.94 86.44 0.00 60.00 0.00

INCOME JULY 2025

Date Details Date of
event
Ref. No. Cash/
Cheque
Bank Hall hire
regular
Hall hire
ad-hoc
Fundraising
(Other)
Bingo
(Fundraising)
x mas
**bingo **
9-Jul F Shah(Private Event) MVH2022771 160.00 160.00
11-Jul K Chambers(Private Event) MVH2022841 60.00 60.00
12-Jul S White(Zumba) MVH2022849 52.00 52.00
13-Jul A Adcock(Tues Badminton) MVH2022851 78.00 78.00
14-Jul LindseyLodge(Tea & Bingo) (£45.50) MVH2022714 188.50 188.50
LindseyLodge(Afternoon Tea) (£45.50) MVH2022792
LindseyLodge(Pie & Peas) (£52.00) MVH2022715
LindseyLodge(Tea & Bingo) (£45.50) MVH2022727
15-Jul D Gelder(Little Imps) MVH2022850 1,047.50 1,047.50
16-Jul L Simpson(Tea Dance) MVH2022854 104.00 104.00
17-Jul W Gibson(Thurs Badminton) MVH2022852 78.00 78.00
20-Jul S Usher(MMA) MVH2022855 589.50 589.50
21-Jul Messingham WI MVH2022751 32.50 32.50
21-Jul H Nevin(Private Party) MVH2022844 80.00 80.00
22-Jul L Bunn(Yoga) MVH2022853 273.00 273.00
22-Jul H Frost(Private Event) MVH2022858 85.00 85.00
25-Jul R Fleming (NLC Event) MVH2022840 60.00 60.00
25-Jul R Willay, (Private Party) MVH2022824 60.00 60.00
30-Jul K Barker(Private Party) MVH2022835 60.00 60.00
30-Jul S Ladlow(Mid DayMunchers) Fundraising 200.00 200.00
Totals 188.50 3,019.50 2,443.00 565.00 200.00 0.00 0.00
Total Income 3,208.00
Total Income 3,208.00
Donations /
Grants etc
misc
0.00 0.00

Docusign Envelope ID: F63831C6-62B7-44CC-82D2-3E83419943DE

Financial Statement

Messingham Village Hall For the year ended 31 July 2025

Prepared by S Smith & Co Accountants Limited

Docusign Envelope ID: F63831C6-62B7-44CC-82D2-3E83419943DE

Contents

Messingham Village Hall Page 2 of 5

Financial Statement

Docusign Envelope ID: F63831C6-62B7-44CC-82D2-3E83419943DE

Client Approval

Messingham Village Hall For the year ended 31 July 2025

In accordance with the engagement letter, I approve the financial information which comprises the Profit and Loss account, the Balance Sheet and the related notes. 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.

.................................................

Messingham Village Hall

19 February 2026

Messingham Village Hall Page 3 of 5

Financial Statement

Docusign Envelope ID: F63831C6-62B7-44CC-82D2-3E83419943DE

Profit and Loss

Messingham Village Hall For the year ended 31 July 2025

Profit and Loss
Messingham Village Hall
For the year ended 31 July 2025
2025 2024
Turnover
Bingo 2,500 1,550
Donations/Grants 900 1,000
Fundraising 3,278 524
Hall Hire 33,933 29,695
Total Turnover 40,610 32,769
Gross Profit 40,610 32,769
Gross Profit % 100 100
Administrative Costs
Audit & Accountancy Fees 240 198
Caretaker fees 7,128 7,128
Cleaning 1,270 836
Domestic Items 451 1,532
Insurance 2,256 2,142
IT Software And Consumables 349 -
Leasing/Rent 282 -
Licenses 47 35
Loan Interest Paid 49 75
Major Works Projects 2,900 3,682
Miscellaneous expenses - 257
Premises - Food, Utensils, etc 22 94
Printing & Stationery 9 -
Repairs & Renewals 2,850 12,445
Subscriptions 265 265
Telephone & Internet - 179
Utilities 8,184 9,636
Total Administrative Costs 26,301 38,503
Operating Profit (Loss) 14,309 (5,734)
Operating Profit (Loss) % 35 (17)
Profit (Loss) on Ordinary Activities before Taxation 14,309 (5,734)
Net Profit (Loss) for the Period 14,309 (5,734)

Messingham Village Hall Page 4 of 5

Financial Statement

Docusign Envelope ID: F63831C6-62B7-44CC-82D2-3E83419943DE

Balance Sheet

Messingham Village Hall As at 31 July 2025

Balance Sheet
Messingham Village Hall
As at 31 July 2025
Balance Sheet
Messingham Village Hall
As at 31 July 2025
NOTES
31 JUL 2025
31 JUL 2024
Cash at bankand in hand
Cash at bank and in hand
Messingham Village Hall
30,675
17,366
Total Cash at bank and in hand
30,675
17,366
Total Cash at bank and in hand
30,675
17,366
Net current assets (liabilities)
30,675
17,366
Total assets less current liabilities
30,675
17,366
Creditors: amounts falling due after more than one year
Bank loans and overdrafts
1,417
2,417
Total Creditors: amounts falling due after more than one year
1,417
2,417
Net Assets
29,258
14,949
Capital and reserves
Profit and loss account
29,258
14,949
Total Capital and reserves
29,258
14,949

Messingham Village Hall Page 5 of 5

Financial Statement