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2024-12-31-accounts

TRUSTEES REPORT FOR THE YEAR ENDED 31 DECEMBER 2024

THE WATMOUGH MEMORIAL HALL : ( SAXILBY VILLAGE HALL) Registered Charity number 521979

address 34 High Street Saxilby Lincoln LN1 2HA

Structure and Governance

The Charity is constituted as a Trust. Its governing documents are a conveyance dated 9 November 1937 as augmented by a Deed dated 31 August 1944- Scheme sealed 19 July 1967. The appointment of new Trustees is by nomination to and approval of the Village Hall Committee (VHC).

Objectives and Activities

The Charity's objectives are the provision of sociable and charitable facilities for the residents of Saxilby and surrounding areas without distinction of sex, colour or religious benefits. This is achieved through the provision of the facilities of Saxilby Village Hall (SVH) for the benefit of the village and the area's residents.

Achievement and Performance

Following the Covid Pandemic the Hall remains a key beneficial amenity in Saxilby and continues to be used by many Groups and Societies both from Saxilby and the surrounding area. Activities and meetings include:amateur dramatics, curling, dance, keep fit, Slimming World, WI and many u3A groups.

Letting income is very satisfactory and we continue to receive new booking requests from outside our immediate area. The Trustees will continue to strive to ensure the Hall is well maintained and its facilities adequate for modern day requirements with such improvements being made where necessary and when funds and time allow.

The Trustees are constantly monitoring all costs especially energy. Our pricing structure is reviewed on a regular basis and increases made only when absolutely necessary to ensure viability. The Trustees will continue to ensure SVH operates on a sound financial footing, be well kept and maintained and will hope the Hall continues to be the main focal point for meetings and functions in and around Saxilby.

Finance and Reserves

The accounts for the year ended 31 December 2024 show Income £37,320 and Expenses £54,304., which includes substantial improvements to the car park and perimeter fencing. Provisions of £12,500 remain in place to cover the anticipated future costs of the foyer improvements as previously reported and Boiler repairs should that become necessary. Reserves stand at £37,243.

The Trustees would like to express their grateful thanks to everyone who uses the Village Hall and contribute to its continuing operational success.

Declaration.

This report has been approved and signed by the Trustees

David Rowett Treasurer

Date 29 August 2025

Saxilby Village Hall

Registered Charity No. 521979

Statement of Accounts

For the Year Ended 31 December 2024

Saxilby Village Hall

Balance Sheet as at 31 December 2024

2023 2023 2024
£ £
Fixed Assets 73,185 72,721
Debtors 748 1,801
Prepayments 1,649 1,674
Cash at Bank
51,726 33,239
Cash floats/Treasurer 374 529
Total
54,497 37,243
Current Liabilities
Creditors 2,465 1,136
Paid in advance 386 981
Provisions 12,500 12,500
Total 15, 351 14, 617
Net Current Assets
39,146 22,626
Total Assets 112,331
95,347
Capital Account
Balance brought forward 117,943 112,331
Other Income
Surplus for year _
117,943 112,331
Less: Deficit for year 5,612 16,984
Balance carried forward 112,331 95,347

Saxilby Village Hall Schedule of Fixed Assets Year ended 31 December 2024

Freehold Machinery+ Furniture Machinery+ Furniture Total
Property Scaffold Tower Fixtures
& Fittings
£ £ £ £
Net Book Value
As at 1 January 2024 68,845
304 4,036 73,185
Additions
less sales
68,845 304 4,036 73,185
Depreciation
Charge for the year 0
60 404
464
Net Book Value
As at 31 December 2024 68,845 244 3,632 72,721

Depreciation is charged at 20% (Machinery/Tower)and 10% (furniture, fixtures and fittings) on straight line basis in order to write off each asset over its estimated useful life.

No depreciation has been charged on freehold property as it is the opinion of the Trustees that with a policy of continuing maintenance the ultimate net realisable value will be in excess of the cost. A recent revaluation confirms this.

Saxilby Village Hall Profit & Loss Account For the Year ended 31 December 2024

2023 2024
£ £
Income
Ordinary Income
Hall rents and lettings 36,993 36,014
Rent of Bar
362
673
37,355 36,687
External Fund Raising
Coffee Mornings 419
419 440
440
Donations
Funeral Bequest 193
193
Total Income 37,774 37, 320

Saxilby Village Hall Profit & Loss Account For the Year ended 31 December 2024

2023 2024 £ £ Total Income brought forward 37,774 37,320

Expenditure

Cleaning/Caretaker 10,440 12,540
Water Rates 1,059 814
Electricity 1,846 3,036
Gas 3.447 7,154
WLDC Rates 155 142
Boiler Servicing & repair 1,182 811
Repairs & renewals 12,122 21,337
Cleaning 2,677 1,009
5yr Electrical Test and upgrade 3,198 0
Fire Alarm Insp upgrade /Equip 99 103
Buildings Insurance 2,664 3,014
Biffa Waste 1.156 1,292
WLDC Licence/ 180 180
PRS for Music 694 196
Stationery 22 109
Window Cleaning 460 705
Broadband 433 457
Phone /ink 474 252
Fire Cert 92 92
Auditor 50 50
Kitchen Imp 146 126
Planter paint/plants 166 78
Webb Site / water test 0 137
Defib Memb Scheme 100 206
Depreciation 524 464
Total Expenditure 43,386 54,304
Surplus for the year (5,612) (16,984)

Saxilby Village Hall

Registered Charity No. 521979

Statement of Accounts

For the Year Ended 31 December 2024

Auditors report and certification

I have examined the books and records of Saxilby Village Hall for the year ended 31 December 2024. I confirm that these accounts are in accordance with the records presented to me. I have nothing else to add or report to the Trustees other than comments of a general nature regarding cost percentage increases.

Signed Christopher L Hewis ACMA

Date 20 August 2025

Saxilby Village Hall

Registered Charity No. 521979

Statement of Accounts

For the Year Ended 31 December 2024

Saxilby Village Hall

Balance Sheet as at 31 December 2024

2023 2023 2024
£ £
Fixed Assets 73,185 72,721
Debtors 748 1,801
Prepayments 1,649 1,674
Cash at Bank
51,726 33,239
Cash floats/Treasurer 374 529
Total
54,497 37,243
Current Liabilities
Creditors 2,465 1,136
Paid in advance 386 981
Provisions 12,500 12,500
Total 15, 351 14, 617
Net Current Assets
39,146 22,626
Total Assets 112,331
95,347
Capital Account
Balance brought forward 117,943 112,331
Other Income
Surplus for year _
117,943 112,331
Less: Deficit for year 5,612 16,984
Balance carried forward 112,331 95,347

Saxilby Village Hall Schedule of Fixed Assets Year ended 31 December 2024

Freehold Machinery+ Furniture Machinery+ Furniture Total
Property Scaffold Tower Fixtures
& Fittings
£ £ £ £
Net Book Value
As at 1 January 2024 68,845
304 4,036 73,185
Additions
less sales
68,845 304 4,036 73,185
Depreciation
Charge for the year 0
60 404
464
Net Book Value
As at 31 December 2024 68,845 244 3,632 72,721

Depreciation is charged at 20% (Machinery/Tower)and 10% (furniture, fixtures and fittings) on straight line basis in order to write off each asset over its estimated useful life.

No depreciation has been charged on freehold property as it is the opinion of the Trustees that with a policy of continuing maintenance the ultimate net realisable value will be in excess of the cost. A recent revaluation confirms this.

Saxilby Village Hall Profit & Loss Account For the Year ended 31 December 2024

2023 2024
£ £
Income
Ordinary Income
Hall rents and lettings 36,993 36,014
Rent of Bar
362
673
37,355 36,687
External Fund Raising
Coffee Mornings 419
419 440
440
Donations
Funeral Bequest 193
193
Total Income 37,774 37, 320

Saxilby Village Hall Profit & Loss Account For the Year ended 31 December 2024

2023 2024 £ £ Total Income brought forward 37,774 37,320

Expenditure

Cleaning/Caretaker 10,440 12,540
Water Rates 1,059 814
Electricity 1,846 3,036
Gas 3.447 7,154
WLDC Rates 155 142
Boiler Servicing & repair 1,182 811
Repairs & renewals 12,122 21,337
Cleaning 2,677 1,009
5yr Electrical Test and upgrade 3,198 0
Fire Alarm Insp upgrade /Equip 99 103
Buildings Insurance 2,664 3,014
Biffa Waste 1.156 1,292
WLDC Licence/ 180 180
PRS for Music 694 196
Stationery 22 109
Window Cleaning 460 705
Broadband 433 457
Phone /ink 474 252
Fire Cert 92 92
Auditor 50 50
Kitchen Imp 146 126
Planter paint/plants 166 78
Webb Site / water test 0 137
Defib Memb Scheme 100 206
Depreciation 524 464
Total Expenditure 43,386 54,304
Surplus for the year (5,612) (16,984)

Saxilby Village Hall

Registered Charity No. 521979

Statement of Accounts

For the Year Ended 31 December 2024

Auditors report and certification

I have examined the books and records of Saxilby Village Hall for the year ended 31 December 2024. I confirm that these accounts are in accordance with the records presented to me. I have nothing else to add or report to the Trustees other than comments of a general nature regarding cost percentage increases.

Signed Christopher L Hewis ACMA

Date 20 August 2025