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2022-03-31-accounts

Twentyman Playing Fields Association Trustees Report for the Financial Year 2021 2022

The year ended 31[st] March 2022 saw an eventual relaxation in restrictions due to the Covid-19 Pandemic, and the Charity is now able to operate in more favourable conditions.

The Annual General Meeting was held on 18[th] May 2022 when the officers were elected.

The Twentyman Playing Fields Association continues with a small but extremely hardworking group of volunteers, and with the lifting of restrictions is now operating at pre-Covid levels. We continue with our regular hirers, both for the hall and for football, and attract many casual bookings, a good proportion of which are from recommendations or attendance at other events.

On 6[th] April 2022 the Charity renewed its lease on the village hall and playing fields with Bilbrook Parish Council for a period of 30 years. This was done with the assistance of a law firm specialising in Charity Law, and has therefore given continuity to the arrangement.

The Twentyman Playing Fields Association was fortunate to qualify for Government Grants in respect of Covid - 19, and also submitted a claim against its Business Interruption Insurance, which was successful. As flat roof repairs were carried out it highlighted that the pitched roof was also in need of urgent repair. The latter was carried out during August 2022, and is costing in excess of £22,000.

Resultant internal repairs will need to be carried out, and if possible, grants will be sought.

Despite this, we remain in a good financial state. Costs are closely monitored and savings made by using volunteers where possible We believe that we can move forward and continue to improve the facilities on offer, ensuring that the community can enjoy the hall and playing fields for years to come.

M W Adams September 2022

Twentyman Playing Fields Association Receipts and Payments Year ended March 2022

Opening Balances
Current Account
Deposit Account
Cash in hand
Total
Receipts
Football
Hall Lettings
Grants received - non furlough
BPA interest
Total Receipts
Payments
Gas
Electricity
Insurance
Refuse Collection
Water
Village Hall
New Central Heating System
Village Hall Maintenance
Pest Control
Refunds
Housekeeping
Marketing
PRS Licence
Miscellaneous
Audit
Playing Fields Maintenance
Changing Rooms
Loan Repayment
Web Site Payment
Donation
Legal fees re lease renewal
Covid 19
Total Payments
Net income/Expenditure
Grants re COVID -19
Normal running costs
Net income
Closing Balances
Current Account
Deposit Account
Cash in hand
Total
£
-
-
-
-
15,334.00
- 15,334.00
-
-
Full Year
2021/2022
£
12,811.39
25,713.41
200.00
38,724.80
940.00
5,043.00
15,334.00
11.74
21,328.74
1,189.42
1,562.25
1,597.89
1,029.56
282.19
1,087.21
392.40
582.00
291.73
75.00
589.24
440.50
73.82
672.00
43.20
4,630.98
77.32
14,616.71
6,712.03
Full Year
2020/2021
£
12,811.39
25,713.41
200.00
38,724.80
940.00
5,043.00
15,334.00
11.74
21,328.74
1,189.42
1,562.25
1,597.89
1,029.56
282.19
1,087.21
392.40
582.00
291.73
75.00
589.24
440.50
73.82
672.00
43.20
4,630.98
77.32
14,616.71
6,712.03
Full Year
2020/2021
15,334.00
- 8,621.97
6,712.03
19,635.36
25,725.15
76.32
45,436.83