## **GREETHAM JUBILEE COMMUNITY CENTRE (INCORPORATING GREETHAM SPORTS AND SOCIAL CLUB) GREAT LANE, GREETHAM, OAKHAM, RUTLAND** 

**Chair: Treasurer Secretary** Mrs P Evans Mr P Devoto Mrs J Denyer 42 Main St 24 Begy Gardens 2A Stretton Rd Greetham Greetham Greetham Rutland Rutland Rutland LE15 7NL LE15 7WD LE15 7NP 

## **Registered Charity No : 513249 Trustees Annual Report Financial Year 1st May 2023 - 30th April 2024** 

Greetham Community Centre was set up by a Trust Deed dated 31st December 1981. It is constituted as a Trust with trustees being elected at AGM triannually. The object of the charity is the provision of a village hall for the use of the inhabitants of Greetham; for meetings, leisure activities, classes and other forms of recreation, with the object of improving the conditions of life of such inhabitants. It does this by providing a venue and facilities for sports and social use and meetings, and is used by a variety of clubs and organisations of all ages and interests, e.g W.I., Bowls, Petanque, Badminton, Tennis, Film Club, Community Coffee morning, Pickle Ball, Training, Baby sensory, keep fit, Childrens Vision group and the Rutland Supported Youth Group. 

Our sports hall is also used by a local school for young adults with special needs. It is used as a meeting place by the Parish Council, and as well as social functions put on by the Management Committee e.g. Murder Mystery Night, New Years Eve Party, Fireworks night, Childrens Xmas party, Childrens Halloween party, Summer Ball, Comedy Night, and “The Gathering” - a meeting of classic and vintage cars and motorcycles and their owners. It is hired out by local residents/businesses as a meeting/ training facility or for private celebrations. 

During the financial year we also held a number of weekend rallies for Bike and Car enthusiasts that brought much needed income into both the surrounding businesses (Pubs, Convenience stores, post office and eating establishments) and the Community Centre. 

The Centre receives no public funding and is run entirely by volunteers. This year has continued to show a steady increase in activities in the centre following the Covid 19 Pandemic restrictions that had previously been in place. It was noticeable that the local community are more likely now to attend larger functions than the previous 12 months. This has had a positive impact on the centre’s income and community interaction for the financial year. 

During the year we continued to maintain the centre as required from both a buildings perspective and health and safety. Considerable work was put in by the Trustees to ensure that the centre continues to develop and grow in support of the residents. 



During the year the whole centre was rewired and the heating system was upgraded with 2 additional heating pumps at a cost to the centre of £14792.80. With the increase seen in lettings income and also fund raising the Trustees were happy that the end of year accounts only showed a loss for the year of £726.75. 

The role of the centre manager over the year was expanded to cover finance, lettings and Bar. Thus, relieving the trustees of some of the very heavy workload. 

At the end of the reporting period, we had 7 Trustees Mrs P Evans - Chair, Mrs J Denyer – Secretary, Mrs H McGarrigle, MR E Finn, Mr K Edward, Mrs E Peachey, Mrs K Anderson. 

This team are ably assisted by a great team of volunteers from the community on an ad hoc basis. The WhatsApp group that we created for friends of the community where we can post requests for volunteers for events or teams to complete refurbishment within the centre has been a good source of co-opting support. We have also increased our use of social media platforms to better educate and communicate with the local community. The updating of facilities continues and the more we do to improve our centre the more it is used. 

All in all, a very difficult but another successful year and we are in a good place for the coming year. 

Pat Evans - Chairperson 



GREETFL&II SPORTS & SOCL4L CLLB
ST.4TE%ILNT OF ACC(KThIS FOR THE IEAR ENDING
Last Yearfs
Amotjnt
This Year's
Amount
RECEIPTS
5.403.32
0.00
0.00
65.00
35,628.04
41,096.36
935.00
0.00
299.31
54,118.68
55,352.99
B• S*5 IiTrJrted to Bank)
Total Recelpts
PAYMENTS
Bar Stock
Bar Staff
Allocation of services c08ts electric, water, phone
8ar Gas & Sundries
PAYE
Card Machine
Balance transferred lo Community Cent
20,799.50
6,435.17
0.00
2,219.40
273.40
1,077.15
10.291.74
22.437.20
8,122.93
1,513.54
4.3C4.66
303.13
1.219.34
17.452.19
41,096.36
55.352S9
STOCK & CASH
18t Ma
2023
Opening Stock (valued at costl
Openin8 Float Icashl
1,821.86
393.90
3x439)
484.10
352U
2,215.76
th
Closing stock Ivalued at costl
Closing Float Icashl
3,043.90
484.10
3,528.00
3.14S38
3fy)7
Increase/Oecrease in Stock & Cash
1,312.24
7938
Signed
Paul Devolo
Date
23J5]2
Hon. Treasurar
I have èxamined tha books and r&laling VOLJchers produced in respect of these account5 aTrJ. tc¥*v Tr*rth eXp[arth￿ I
can confirrn that they repres8nl a true picture of the financi￿ F￿)SIti￿ of Ihe &oal
Club at t
id date.
Signed
J 1ty50n
Ac£crtJnts
Date
25J51zg
Page 1

CharitN' Commission Nutnber
Charity Name
Financial Year Ending
)Oth April 2024
513249
GREETH.4M JUBILEE C.OMMUNITY CENTRE
Charitv Commission Accounting Statement
(Receipts and Pawnents Basis)
Last Yearfs
ATTM)UOi
This Yearfs
Amouni
Recei
Al4 Gifts, donations gDd other volunuTh rec•pts
Grantb -RCC Covid HMRC
Grants Cinemi£ tor all
(irants - Spons Biffa Skatepark
Grant- GPC/Rutland DL
Grant - Biftd Award Biiilding improvemenis
C.orr¢¢ Moi'ning
Playgroiind
CJenLI'Éil {inL. newsl¢Ller + one-off donalions)
o.fy)
OA
io,m).(xJ
o.
o.
2.678.
4JX•.66
413.66
I￿.￿13.(
Al b Receipts from Tradlng Actlvlties
Bar Profils Isportb & So¢ial Club)
GCC LL.d Fund Raibing Lvents & aLlivilieb in¢ fwd sales
Noii GLC Lcd Fund rciising Lvent & activities
Affilialcd ¢liib rciitslsubsLillptions
Ci)iiii'ibution to House
Conti'ibulion lo In.suraiicc
Conti'ibutioi) to Water
Cuiilributi(In lu Cias
C£)iiti'ibutiuii lo Ele¢tri
Assetts
Play Area
Lc11111gs USL of h1£11 ctL. by others
Advc11iSlllb
IO_Wl.74
19
415.WJ
141.(Kl
o.
13.IXI
21.IXI
o.th)
22.?33.58
330.00
Ale Reieipts earned from 85sets
Bank Intcrcst..
Barclays Busin¢sq Savei. Account
Barclays Pldyar¢a Account
Bank Chargeb
Sub - total
84.62
1.36
0.00
35.778.55
546.31
5.27
0.00
51,913.59
Ald Other Receipts (not counting as gr055 income)
Gift Aid
326.92
0.00
Total Receipt5
Al
calc
51,708.47
£8.347.2
Page 2

Charity Commission N& umber
Financial Year Ending
ioih April 2024
513249
l￿FEnL&m JLBILEE co.wNrrY CENTRE
tast Yearfs
Atnount
This Year'8
Ainounl
A? Pai"ments
-La directlTr' for charSt2ble purposes
-Lb h•"**nts for publicity and I'und-raising
f•r *dministTation & managemeDt
Otl. gas, ￿'ater. electricity and tclephone
Se¢urtiy Iln8ur<inLC, 5crviciiig 4ilartns ctc.)
Building & Playing Field Maintenance & Repairs
Play Area
Houscskeeping and Administration
Mi%c Cc)sts
Suiidry payThenls
Fund raisin¥ LO%ts in¥ludes luod
Prinlii)g & PubliLity
Grccn KvLping
Bitld Award Skdle park impmvemenl
Hiffa Award Hiiilding impri)vcmcnls
Sub TDt%l
7,977.59
4.879.47
1.996.94
2.896.00
16.965.95
474.98
19.76
10.499.48
3.)58.91
14.79!.80
1.183.4i
18.886.61
21W.(M)
6?9*78
1.513.(Kl
1.754
14.41J).(Kl
56 ?69_5?
A2c Other PaymLnts Inol Lounling as "Exp¢nditure"I
Kitchen I qiiipment
Out doi)r H13Q
Pelly C'.ash
Cliair
BIUL ToL)Ih Speak¢rs
Vax floor Cl¢aner
SEBQ Iloovcr
Pois and Pans t(itchcn
Hi)slc5s Food hcatcr
'I'elLvision and wall mounting
LapTop for Booking% Clerk
Lap Top lor Trcasurer
Fire F.xlingFuishers dnd Intrud¢r Al&mi
Hall Mat%
Sub Total
0.￿)
224.80
o.
o.(¥J
o.
259.fy)
326.83
39.99
0.00
0.00
u.00
0.00
224.80
817.82
Total Payments
A2 (a+b+¢)
56.494.32
59.074.00
Nct of Receipts (Paynents)
Unpaid InvoiiedUnprcs¢nted chequeq
Invoices P£2id frotn 2022123
Cash funds last yedr end
Al-A2
4.785.85
-726.73
0.00
52.83¥.%6
A3
7.6)4.41
Cash fullds this Ye￿ end
*?.838_46
52,111.81
Page 3
231512k

Charity Commission Num
Financial Year Ending
30th April 2024
513249
GREETHAIA JUBILEE coMMuNrrY CENITRE
Lasi Yeafs
Amount
This Yeavs
Amount
Unrestricted
funds
DI .IIMrt*n ..Issets
E￿I￿￿￿ent
Dla Cash Funds
BarLlayb Bank- Busin¥ss Saver A¢count
Barclays Bank - Playar¢a Account
Bwclays Bdllk- Comniunity Aceouiil
'ot#l Cash Tr unds
45,088.38
625.07
7.1?.f.I I
$2.838.56
47,887.7?
1.679.56
calc
42.111.81
Dlb Other Monetarv Asscts
InvoiLeslunprLsented cheques at 30..'04,'24
o.(
D2 LIAbllltles
D.1 Yun-monetar
As5¢t$
D.la InvLstlllLnt Assets
D3b Assets retllned for ch#rity'$ own use
nte: All asset$ belong to the Cvener41 (unrestricted) Fund
Villugje Hall (un laiid and Playinu field leased frum the Parish
CouiiLil on 311121%1 I Loinpriqiiig..
Sports I lall. Club Room. Bar & Loungc wilh
indooi. rccrcatioiial sports cquipmcnt, Toilcts. Killhcn with
unils.C"ook'cr. B<lin-rri<iric. Mi¢rowilVe,
3 r¢frig?erGltcir¥ and 2 fridbTclfrL'C/.cr.g)
Chdngiiig Rouinb & ShowLrs cl¢.
17 banqueting labl¢%, 19 Foldiiig Tal)les & 13 OcLasional Tables
175 Stacking Chairs and 66 ca.%y Lliairs
150 liglitm'cighi slacking chairs dnd 50 easy chairs
Music Centrc
Laivn Mower Sold #s Assett for £ l in 7th August 2023
Air HockevlTabl¢ Foutball
Cliildren's Plai'groun(L.'Skatcboard Park
Multi U5¢ CJamei Spons faLilily Teiinis and Netball
i￿10.056.￿)
14.479.(K>
116.150.1)0
SiEned .
Paul Devoto. Hon Treasurer
Date
I have examined the books and relating vouchers produced in respe¢t of these aco)unts and. together wth explanalths I
can confim that they represent a true picture of the financial position ol the Greetham Sport5 and Soetal
Club at the said date.
Signed
J ￿90n
AmyJnts Exami
Date
2515Jz
Page 4

GREETFL&II SPORTS & SOCL4L CLLB
ST.4TE%ILNT OF ACC(KThIS FOR THE IEAR ENDING
Last Yearfs
Amotjnt
This Year's
Amount
RECEIPTS
5.403.32
0.00
0.00
65.00
35,628.04
41,096.36
935.00
0.00
299.31
54,118.68
55,352.99
B• S*5 IiTrJrted to Bank)
Total Recelpts
PAYMENTS
Bar Stock
Bar Staff
Allocation of services c08ts electric, water, phone
8ar Gas & Sundries
PAYE
Card Machine
Balance transferred lo Community Cent
20,799.50
6,435.17
0.00
2,219.40
273.40
1,077.15
10.291.74
22.437.20
8,122.93
1,513.54
4.3C4.66
303.13
1.219.34
17.452.19
41,096.36
55.352S9
STOCK & CASH
18t Ma
2023
Opening Stock (valued at costl
Openin8 Float Icashl
1,821.86
393.90
3x439)
484.10
352U
2,215.76
th
Closing stock Ivalued at costl
Closing Float Icashl
3,043.90
484.10
3,528.00
3.14S38
3fy)7
Increase/Oecrease in Stock & Cash
1,312.24
7938
Signed
Paul Devolo
Date
23J5]2
Hon. Treasurar
I have èxamined tha books and r&laling VOLJchers produced in respect of these account5 aTrJ. tc¥*v Tr*rth eXp[arth￿ I
can confirrn that they repres8nl a true picture of the financi￿ F￿)SIti￿ of Ihe &oal
Club at t
id date.
Signed
J 1ty50n
Ac£crtJnts
Date
25J51zg
Page 1

CharitN' Commission Nutnber
Charity Name
Financial Year Ending
)Oth April 2024
513249
GREETH.4M JUBILEE C.OMMUNITY CENTRE
Charitv Commission Accounting Statement
(Receipts and Pawnents Basis)
Last Yearfs
ATTM)UOi
This Yearfs
Amouni
Recei
Al4 Gifts, donations gDd other volunuTh rec•pts
Grantb -RCC Covid HMRC
Grants Cinemi£ tor all
(irants - Spons Biffa Skatepark
Grant- GPC/Rutland DL
Grant - Biftd Award Biiilding improvemenis
C.orr¢¢ Moi'ning
Playgroiind
CJenLI'Éil {inL. newsl¢Ller + one-off donalions)
o.fy)
OA
io,m).(xJ
o.
o.
2.678.
4JX•.66
413.66
I￿.￿13.(
Al b Receipts from Tradlng Actlvlties
Bar Profils Isportb & So¢ial Club)
GCC LL.d Fund Raibing Lvents & aLlivilieb in¢ fwd sales
Noii GLC Lcd Fund rciising Lvent & activities
Affilialcd ¢liib rciitslsubsLillptions
Ci)iiii'ibution to House
Conti'ibulion lo In.suraiicc
Conti'ibutioi) to Water
Cuiilributi(In lu Cias
C£)iiti'ibutiuii lo Ele¢tri
Assetts
Play Area
Lc11111gs USL of h1£11 ctL. by others
Advc11iSlllb
IO_Wl.74
19
415.WJ
141.(Kl
o.
13.IXI
21.IXI
o.th)
22.?33.58
330.00
Ale Reieipts earned from 85sets
Bank Intcrcst..
Barclays Busin¢sq Savei. Account
Barclays Pldyar¢a Account
Bank Chargeb
Sub - total
84.62
1.36
0.00
35.778.55
546.31
5.27
0.00
51,913.59
Ald Other Receipts (not counting as gr055 income)
Gift Aid
326.92
0.00
Total Receipt5
Al
calc
51,708.47
£8.347.2
Page 2

Charity Commission N& umber
Financial Year Ending
ioih April 2024
513249
l￿FEnL&m JLBILEE co.wNrrY CENTRE
tast Yearfs
Atnount
This Year'8
Ainounl
A? Pai"ments
-La directlTr' for charSt2ble purposes
-Lb h•"**nts for publicity and I'und-raising
f•r *dministTation & managemeDt
Otl. gas, ￿'ater. electricity and tclephone
Se¢urtiy Iln8ur<inLC, 5crviciiig 4ilartns ctc.)
Building & Playing Field Maintenance & Repairs
Play Area
Houscskeeping and Administration
Mi%c Cc)sts
Suiidry payThenls
Fund raisin¥ LO%ts in¥ludes luod
Prinlii)g & PubliLity
Grccn KvLping
Bitld Award Skdle park impmvemenl
Hiffa Award Hiiilding impri)vcmcnls
Sub TDt%l
7,977.59
4.879.47
1.996.94
2.896.00
16.965.95
474.98
19.76
10.499.48
3.)58.91
14.79!.80
1.183.4i
18.886.61
21W.(M)
6?9*78
1.513.(Kl
1.754
14.41J).(Kl
56 ?69_5?
A2c Other PaymLnts Inol Lounling as "Exp¢nditure"I
Kitchen I qiiipment
Out doi)r H13Q
Pelly C'.ash
Cliair
BIUL ToL)Ih Speak¢rs
Vax floor Cl¢aner
SEBQ Iloovcr
Pois and Pans t(itchcn
Hi)slc5s Food hcatcr
'I'elLvision and wall mounting
LapTop for Booking% Clerk
Lap Top lor Trcasurer
Fire F.xlingFuishers dnd Intrud¢r Al&mi
Hall Mat%
Sub Total
0.￿)
224.80
o.
o.(¥J
o.
259.fy)
326.83
39.99
0.00
0.00
u.00
0.00
224.80
817.82
Total Payments
A2 (a+b+¢)
56.494.32
59.074.00
Nct of Receipts (Paynents)
Unpaid InvoiiedUnprcs¢nted chequeq
Invoices P£2id frotn 2022123
Cash funds last yedr end
Al-A2
4.785.85
-726.73
0.00
52.83¥.%6
A3
7.6)4.41
Cash fullds this Ye￿ end
*?.838_46
52,111.81
Page 3
231512k

Charity Commission Num
Financial Year Ending
30th April 2024
513249
GREETHAIA JUBILEE coMMuNrrY CENITRE
Lasi Yeafs
Amount
This Yeavs
Amount
Unrestricted
funds
DI .IIMrt*n ..Issets
E￿I￿￿￿ent
Dla Cash Funds
BarLlayb Bank- Busin¥ss Saver A¢count
Barclays Bank - Playar¢a Account
Bwclays Bdllk- Comniunity Aceouiil
'ot#l Cash Tr unds
45,088.38
625.07
7.1?.f.I I
$2.838.56
47,887.7?
1.679.56
calc
42.111.81
Dlb Other Monetarv Asscts
InvoiLeslunprLsented cheques at 30..'04,'24
o.(
D2 LIAbllltles
D.1 Yun-monetar
As5¢t$
D.la InvLstlllLnt Assets
D3b Assets retllned for ch#rity'$ own use
nte: All asset$ belong to the Cvener41 (unrestricted) Fund
Villugje Hall (un laiid and Playinu field leased frum the Parish
CouiiLil on 311121%1 I Loinpriqiiig..
Sports I lall. Club Room. Bar & Loungc wilh
indooi. rccrcatioiial sports cquipmcnt, Toilcts. Killhcn with
unils.C"ook'cr. B<lin-rri<iric. Mi¢rowilVe,
3 r¢frig?erGltcir¥ and 2 fridbTclfrL'C/.cr.g)
Chdngiiig Rouinb & ShowLrs cl¢.
17 banqueting labl¢%, 19 Foldiiig Tal)les & 13 OcLasional Tables
175 Stacking Chairs and 66 ca.%y Lliairs
150 liglitm'cighi slacking chairs dnd 50 easy chairs
Music Centrc
Laivn Mower Sold #s Assett for £ l in 7th August 2023
Air HockevlTabl¢ Foutball
Cliildren's Plai'groun(L.'Skatcboard Park
Multi U5¢ CJamei Spons faLilily Teiinis and Netball
i￿10.056.￿)
14.479.(K>
116.150.1)0
SiEned .
Paul Devoto. Hon Treasurer
Date
I have examined the books and relating vouchers produced in respe¢t of these aco)unts and. together wth explanalths I
can confim that they represent a true picture of the financial position ol the Greetham Sport5 and Soetal
Club at the said date.
Signed
J ￿90n
AmyJnts Exami
Date
2515Jz
Page 4