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2022-12-31-accounts

Audlem Public Hall

Registered Charity No. 519458

Trustees’ Annual Report

1[st] January 2022 – 31[st] December 2022

Treasurer to the Trustees: Mr John Tilling 21, Broadways Audlem, Cheshire CW3 0EY

Tel: 01270-811990 E-mail: j.tilling@audlem.org

Names of Trustees Position vacant Chairman Position vacant Vice-Chairman Mrs Jan Morgan Secretary Mr John Tilling Treasurer Mr Roger Millns Mr Tony Richardson Mr Richard Furber Mrs Adriana Roscoe

Sources of advice and support

Bank: Santander Cheshire East Council Audlem Parish Council

Governance

Audlem Public Hall was established as a charity by a Trust Deed & Lease dated 14[th] June 1989.

Audlem Public Hall Annual Report 2022

Page 1

The hall was built in 1904 as a town hall and has been used for that purpose ever since. The original company went broke in 1939 and the Hall was then run by a committee of volunteers until it became a registered Charity in 1989.

The Charity is registered with the Charity Commission as number 519458.

The Hall and the land on which it stands are held in Trust by the Official Custodian for Charities.

Appointment of Trustees

The Trust Deed governs the appointment of trustees and the management of the charity.

Twelve trustees are elected at the Annual General Meeting held each year.

Three of the Trustees are nominated by specific user groups.

The trustees form the Management Committee of the Village Hall.

Policies and Procedures

To guide the Management Committee in exercising its duty of care to members, employees and users of the hall, the following policy statements have been adopted:

Copies of these policies are included in the Trustees’ Welcome pack

Hiring Agreement

Use of the village hall is subject to a Hiring Agreement which must be signed by the hirer when booking. The hiring agreement sets out the conditions of hire and identifies the respective responsibilities of each party to the agreement.

Licences

The hall has a Premises Licence and an Alcohol Licence and is registered with the local authority for small society lotteries.

Risk Management

Insurance

Audlem Public Hall is insured with respect to property damage (buildings insurance) through Bluefin Insurance Services (£1,985,500 cover). It is insured with the same company with respect to contents (up to £85,000) public liability (£5,000,000) employers’ liability (£10,000,000) and legal assistance.

Audlem Public Hall Annual Report 2022 Page 2

The Management Committee recognises that it is under a legal obligation to protect the building, its users and employees through adequate and appropriate insurance.

Building Issues

Objectives of the Charity

Audlem Public Hall Annual Report 2022 Page 3

Principal Activities in pursuit of Objectives

Funding Strategy

It is the strategy of the Trustees to manage the revenue budget on a self financing basis. The contributions made by users of the hall are set to achieve this.

Volunteers’ Effort

Management costs are kept to a minimum through the use of volunteers for much of the regular maintenance and cleaning of the hall. On average 40 hours of volunteer time are given each week to cover routine tasks such as bookings management, cleaning and maintenance. In addition, trustees give 30 hours a month for meetings and 200 hours per annum in organising and running fund raising events.

2022 Achievements

The year 2022 saw the completion of the recovery from the pandemic. Towards the end of the year a complete overhaul of the management of the Hall was undertaken, and the new Committee started its work.

Audlem Public Hall Annual Report 2022 Page 4

Reserves Policy

The Trustees’ Reserves Policy is to keep £25,000 unspent and available for unforeseen expenditure in relation to building maintenance or urgent furniture or equipment replacement. This policy was significantly breached towards the end of 2020, but the reserves have recovered during 2021 and are now back to satisfactory levels.

Future Plans

The refurbishment of the Town Hall was completed during 2021.

The underlying funding in normal operation remains very healthy.

The plan to convert the Charity to a CIO was restarted late in 2022, although it is likely to take some time to complete.

Total funds

Total liquid funds held by the Charity at 31[st] December 2022 are Current Account £71,566.87

Deposit Account £1,831.08 Cash in hand £589.43 Total £73,987.38

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees

Signature(s)

Full name(s) John Tilling Position Treasurer Date May 2023

Audlem Public Hall Annual Report 2022 Page 5

Independent examiner's report on the accounts

Audlem Public Hall

Receipts and Payments Account Year ended 31stDecember 2022 Year ended 31stDecember 2022
Receipts Thisyear 2022 Lastyear 2021
Hire of Hall £46,620.50 £25,227.59
Income from flat £3,330.00 £6,660.00
Fund raising £3,560.00 £3,530.00
Grants £33,000.00 £24,639.06
Donations £640.00 £225.00
Bank interest £1.57 £0.23
TOTAL RECEIPTS **£87,152.07 ** £60,281.88
Payments Thisyear 2022 Lastyear 2021
Maintenance £7490.66 £1,899.77
RunningCosts £13,068.44 £4,344.88
UtilityBills £14,752.23 £10,296.01
Fund Raising £1,190.00 £1,190.00
Insurance £2,437.50 £2,296.24
Capital Spend £1,203.60 £26,755.32
Furniture & Fittings £0 £0
TOTAL PAYMENTS £40,142.43 **£46,782.32 **
Current account Thisyear 2022 Lastyear 2021
Balance brought forward £23,128.30 £11,385.04
Cash in hand brought forward £2,019.93 £263.76
Balance in hand atyear end £71,566.87 £23,128.30
Cash in hand atyear end £589.43 £2,019.93
Deposit account Thisyear 2022 Lastyear 2021
Balance brought forward £1,829.51 £1,829.28
Balance in hand atyear end £1,831.08 £1,829.51
Prepared by
John Tilling,
Treasurer
Approved by
Stuart Furber,
Chairman

The attached Receipts and Payments Account (and Statement of Assets and Liabilities) have been examined by myself and are in accordance with the Management’s books and vouchers. The receipts and payments as shown are, to the best of my knowledge, authorised transactions.

Signed by Independent Reviewer , Kevin Mellor ACMA CGMA

Statement of Assets and Liabilities Audlem Public Hall Annual Report 2022 Page 6

Notes
Rest'd
Cash Funds
Current account
Deposit
1
Cash
0
Other monetary assets
Debtors
Stocks
Total current assets
Assets retained for the Charities own use
Freehold building (at Trustees valuation)
2
Improvements to building
3
Fixtures fittings and equipment
4
Annexe
5
Total fixed assets
Liabilities
Trade creditors
Total assets
2022
Unrestricted
Rest'd
71,567
1,831
589
73,987
0
1830
1830
75,817
125,000
185,300
28,125
150,000
488,425
4,823
-
559,419
2021
Unrestricted
23,128
1,830
2,020
26,978
922
922
27,900
125,000
193,849
31,250
150,000
500,099
1,500
-
526,499

Notes

  1. There are no restricted funds currently held by the Charity

  2. The major asset of the Charity is the Hall which stands in the village of Audlem in Cheshire. It is 100 years old and requires continuous expenditure to maintain in good repair. No formal valuation has been carried out but the Committee of Management consider that its value is in the region of £125,000.

  3. Value of improvements to the building brought forward (£193,849) plus the value of capital improvements this year (£1,204) less 5%.

  4. Value of fixtures and fittings brought forward (£31,250) plus new items this year (£0) less 10%.

  5. The new annexe was opened in November 2017. It was funded by a Big Lottery Fund grant. No formal valuation has been carried out but the Committee of Management consider that its value is in the region of £150,000

Audlem Public Hall Annual Report 2022 Page 7