## Achievements During 2023-24 


Hall Gate Diseworth Derby, DE74 2QJ Tel: 0300 800 7000 

E-mail: committee@diseworthhall.com 

Aim of the Committee (mission statement): 

# _**“To provide and maintain the Village Hall as a facility for the benefit of the people of Diseworth”**_ 

## **Current Trustees:** 

- David Bamford 

- Hannah Robinson 

- Norma Chapman 

- Graham Roberts 

## **Actions and Activities:** 

- Successful ‘200 Club’ Lottery. 

- Regular class and club bookings (see below). 

- Hall regularly used for Children’s Parties and other celebrations. 

- Use of VH facilities for business meetings and training sessions. 

- Hall and facilities made available FOC to Protect Diseworth. 

- Committee Room made available FOC to Dialogue Committee. 

- Online Bookings Calendar in use and available to view. 

- Premises licence amended to include sale of Alcohol. 

- Bar services provided for various independent events. 

## **Committee based Events and Entertainment:** 

- Race Night. 

- Father’s Day Breakfast. 

- Village Show. 

- Firework Night. 

- Beer Festival. 

- Boxing Day Fun Run. 

- Scalextric Challenge. 

- Quiz Night. 

- Bingo Night. 

## **Regular Classes** _(Independent Clubs or Organisations)_ 

- Arts & Crafts Club. 

- Trent Valley Aviation Society Meetings. 

- Dog Training. 

- Ballet. 

- Table Tennis Club. 

- Pilates & Boxercise. 

- Line Dancing. 

- Tai Chi. 

- Tae Kwon Do (now ended). 

- Diseworth Blues Club. 

## **Work Done and Items Purchased:** 

- New stage LED floodlights purchased and installed. 

- Hanging baskets (donated FOC to VH). 

- New card payment machines purchased. 

- A second Bluetooth adaptor purchased for outside PA System. 

- Plastic Beer and Wine glasses provided in place of the glass ones (for safety). 

- New gazebo purchased. 

- Two committee members obtained personal alcohol licenses. 



## Diseworth Village Hall 

## Balance Sheet 

## As of April 30, 2023 

||TOTAL|
|---|---|
|Fixed Asset||
|**Total Fixed Asset**||
|Cash at bank and in hand||
|200 Club|87.00|
|Cash Float|100.00|
|Current|4,757.96|
|Reserve Account|37,576.18|
|**Total Cash at bank and in hand**|**£42,521.14**|
|Debtors||
|Debtors|424.42|
|**Total Debtors**|**£424.42**|
|NET CURRENT ASSETS|**£42,945.56**|
|Creditors: amounts falling due within one year||
|Trade Creditors||
|Creditors|0.00|
|**Total Trade Creditors**|**£0.00**|
|**Total Creditors: amounts falling due within one year**|**£0.00**|
|NET CURRENT ASSETS (LIABILITIES)|**£42,945.56**|
|TOTAL ASSETS LESS CURRENT LIABILITIES|**£42,945.56**|
|TOTAL NET ASSETS (LIABILITIES)|**£42,945.56**|
|Charity funds||
|Opening Balance Equity|21,899.10|
|Retained Earnings|15,809.28|
|Surplus/(Deficit)|5,237.18|
|**Total Charity funds**|**£42,945.56**|



Accrual Basis  Wednesday, 3 May 2023 08:16 am GMT+01:00 

1/1 



## Diseworth Village Hall 

## Financial Activities 

May 2022 - April 2023 

||TOTAL|
|---|---|
|Income||
|200 Club Income|2,444.00|
|Beer Festival|4,589.24|
|Discounts/Refunds Given|292.88|
|Donations and legacies|300.00|
|Events Income|7,521.40|
|Fireworks Display|4,342.17|
|Hire of Assets|40.00|
|Lettings|6,656.92|
|Sales of Product Income|18.00|
|Services|379.15|
|Village Show|3,610.67|
|**Total Income**|**£30,194.43**|
|TOTAL|**£30,194.43**|
|Expenditures||
|200 Club Prize Money|588.00|
|Beer Festival Expenses|2,855.43|
|Cleaning Costs|1,386.09|
|Event Expenses|4,491.34|
|Firework Display Expenses|1,651.75|
|Heat/Light|2,370.00|
|Insurances|603.80|
|Interest Payable|-175.33|
|Licences|159.20|
|Misc. Materials|112.68|
|Office/General Administrative Expenses|311.95|
|Other Professional Services/Licences|252.00|
|Phone/Internet Costs|872.21|
|Refunds|44.00|
|Repair and maintenance|6,558.40|
|Village Show Expense|2,457.65|
|Water Rates|298.08|
|Window Cleaning|120.00|
|**Total Expenditures**|**£24,957.25**|
|NET OPERATING INCOME|**£5,237.18**|
|NET INCOME/(EXPENDITURE)|**£5,237.18**|



Accrual Basis  Wednesday, 3 May 2023 08:18 am GMT+01:00 

1/1 



CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report
on the accounts
Report to the trusteesl
membèrs of
On accounts for the year
ended
1 2ci
Charity no
Ifan
S•t o#ton pages
I rewjrt to the trustees on my examination of the accounts of the above charity
{"the TTUSt-) for the year ended
Responslbllltlès and As the charity trustees of the Trust, you are respon5trJle for the preparation of
basis of report the accounts in accord8n￿ with the requirements of the Charities Act 2011
("the Act").
I report in respect of my examination of the Trust's accounts carried out undef
section 145 of Ihe 2011 Act and in carying out my examination, I have
followed the applicable Directions given by the Charity Commission under
section 145151{b) of tre Act.
Independent examinerfs I have completed my examination. I confim thal no material matters have
statement
come to my attention (other than that disclosed below ') in connection with the
examination which gives Me cause to believe that in. any material respect-.
• accounting records were not kept in accordance with section 130 01 the
Act or
the accounts do not accord with the accounting records
I have no ¢J)ncerns and have come across no other matters in conneclion with
the examination lo whi¢h attent￿n should be drawn in order to enable a
proper understanding of the accounts to be reached.
' Please delete the words in the brackets rf they do not apply.
Date:
27
Slgned:
Name:
Rèlevanl professlonal
qualSflcation{s} or body (If
any):
Addross:
IL oi
IER
October 2018

Vill
e Hall 115122 to 3014123
I have verified openings and closing bank balances to the bank for all three accounts.
I have verified the pety cash balan￿ which David has confirmed and is the same as last
Year.
I have performed an an￿￿ical review of the balance sheet and profit ad loss compared to
last year, and David has provided satisfactory answers to any questions arising.
I have performed a review of invoices paid and they seem appropriate.
I have reviewed the cut off of Sales Invoices for the correct year.
I have performed and received answers to an anaytical review to last year.
I have reconciled profit to the movement in the year of &ish and debtor.
PDM 2715124