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2023-12-31-accounts

HAIR AND TR ANN st St This was a year of stability and looking forward to how the JH could attract 'new custom, raise some much needed funds and survive. As in 2022, luckily the committee, and in particular, Cynthia, (T￿asu￿ r) We￿ able to apply for local and national grants to help with the financing of the hall and pay for essential maintenance that was required to keep the JH open for business. Vlfjthout these grants and financial support that they bring, the Jubilee Hall would not have survived this period of time and with some careful management of the finances by our Treasurer, we were able to keep our 'heads above water, for another year.Thank you again Cynthia. This report basically looks back at 2023, as to what we've needed to do, what we've done, what still needs to be done and where we go from here. It was agreed that this was a time, as in 2022, that could be used to repair, improve or maintain essents'al areas of the JH but, we, the committee, still recognised and understood that we could not implement any of the costly upgrades and improvements to the hall as there were financial constraints that had to be adhered to and therefore we could only prioritise what needed to be done in order of necessity and affordability. The hall continues to be maintained and decorated both inside and out and we must thank V*layne Sisson for doing such a great job - it looks a lot better than it did but there is still more to do, Thank you v￿yne. (1) GdLEatk Again, Improvements have been made to the car park., a few pot holes had been gouged up by the Blakemore's vehicles continual use of the car park to access the rear of the Spar shop and another 'trough' had developed. on￿ again, this has now been rectified by Wayne Sisson. The bollards have been re -fixed and a new section of tarmac aligns the pavement, Again Thank you Wayne for overseeing these improvements. (2) Mall All other 'improvement projects, and general maintenance issues which were due to be carried out in the hall for 2023 were carefully assessed and given the appropriate priority. Energy efficient LED lights that We￿ fitted in the corridor and toilets adjacent to the main hall in 2022 were also fitted upstairs in areas with the Angel room - enabling better control of the electricity used within the JH.

(a) There was an increase of 'bookings' and events held in the JH during 2023 and the monthly Music Events and Film Nights were back in full flow and these proved to be an essential part of keeping the JH afloat. (4) Rat (a) There must be a big 'Thank You, to Kim Sisson, our bar managerllicensee and husband Wayne for the excellent work in the bar and their supervision the bar and JH for the events held in 2023. Together, with the help of the rota bar staff, they continue to maintain the high standard they set for the bar and its facilities. It has been transformed from what it On￿ was. (b) The bar seNers area has been considerably improved and upgraded with the introduction o new beer pumps, air conditioning and a new range of goods to offer - again well done Kim and Wayne and your staff - excellent service given to the users throughout 2023. (a) There were no staffing issues of note during this period. I take this opportunity to thank all the ancillary staff, the cleaners support staff for keeping the JH in a presentable state for the users. (6) EinanG2 {a) The Treasurer, Cynthia Heath, will outline in more detail in her report, last year's expenditure and any known additional costs we are facing in the next 12 months. {a} A small increase in the rates to the hire of the hall for the main room and the 'Angel Room,, in line with the requests of the users at the last AGM, has been implemented and will be outlined in more detail by the Treasurer in her report. Our future plans remain the same as last year and there are a number of projects and improvements to the hall that have been discussed by the Executive Committee and are currently being considered for future implementation depending on funds available and any other grants that we may apply for. These include fitting new toilet cubicles and new flooring in the toilets and new windows to the Angel room, stairs and landing areas at either end. We are actively seeking grants to assist with financing these projects and Anne Holmes and Angus Parker are working together to try and make this happen.

We are also currently in the final development stages of upgrading our website and with the help and expertise of Committee member Mike Kay who has designed and developed the new website, it should have it up and running in the very very soon. Thank you Mike. However, on behalf of the Committee, the JH users and the community of Brewood as a whole, I would like to say a 'very special thank you, to a very special person, our departing Treasurer. Cynthia Heath, for all the work she has done as Treasurer over her time on the JH committee. Over 13 years loyal service and although there is an annual honorarium that goes with the role, Cynthia chose not to receive it - preferring to leave it in the JH bank account every year. Without Cynthia's true dedication to the role, her persistence and perseverance when dealing with Utility company's in re-negotiating our terms - without the time Cynthia spent on the telephone and on line - we would be paying a lot more for our Gas and Electricity - and we were also thankful with the way she kept a 'tight hold, on the purse strings, banking funds, paying bills, keeping everything up to date with SAGE. Without any of this hard work and dedication, the Jubilee Hall would not have survived all this time and would have 'gone under 'many years ago if not for Cynthia - a true friend of the JH. As I have staled previously, the Treasurer's job is time consuming and very often thankless task at times. Thank you once again Cynthia for doing a great job, you are going to be sorely missed and you will be difficult to replace. Vve wish you 'all the best, for the future after 'retiring' from the role of Treasurer of the BVCCIJH - but please don't forget to come back and see us when you can. We are still actively looking for a replacement Treasurer. However, in the short term, Kim Sisson, who has worked closely with the treasurer over many years, has agreed to take on the role of Treasurer and with some guidance and support from Cynthia is currently actively undertaking that role. I would like to formally thank all the Officers, the Executive Committee, the affiliated and regular users and our Jubilee Hall staff, for all the hard work and continued support they have given over these past 12 months and it is hoped it continues into 2024. It is very much valued and appreciated. We the BVCC - thank you all. Angus Parker Angus Parker Honorary Chairman Brewood Village Community Council - April 2024

BREWOOD VILLAGE COMMUNITY COUNCIL BREWOOD VILLAGE COMMUNITY COUNCIL BREWOOD VILLAGE COMMUNITY COUNCIL BREWOOD VILLAGE COMMUNITY COUNCIL BREWOOD VILLAGE COMMUNITY COUNCIL BREWOOD VILLAGE COMMUNITY COUNCIL
Income & Expenditure Accounts foryear ending 31st December 2023
All unrestricted funds
INCOME 2023
[1]4000 Hire of Hall & Equipment - regulars 12777
[2]4001 Hall Hire - one-ofs 4396
[3]4002 Bar Income 29352
4003 Afliaton Fees 400
[4]4004 Films 1535
[5]4005 Donaton & Grants Received 6890
4006 Fund RaisingEvents
4007 Storage 76
[6]4008 SundryIncome
TOTAL INCOME 55426
DIRECT CHARITABLE EXPENDITURE
[7]5000 Bar Purchases 16520
5001 Bar Contracts 6092
5002 CleaningCosts 294
[8]5003 Repairs & Renewals 2726
5004 Heat,Light,Water 6043
[9]5005 Insurance 1772
5006 Contracts 16138
5007 Films 1316
5008 Statonery& Print 79
5009 Refunds -17
[10]5010 SundryExpenses 4854
7603 Payroll Fees 171
Bad Debts 44
General expenses 10
TOTAL EXPENDITURE 56042
EXCESS OF INCOME OVER EXPENDITURE -616
Balance Sheet as at 31/12/2023. All unrestricted funds
Accumulated Fund
Balance Brought Forward 26693
Excess of Income over Expenditure foryear -616
Previousyear adj.
Total Funds 26077
Represented by the following Assets
Short Term Assets
[11] Debtors & Prepayments 1554
Cash at Bank 18038
Cash in Hand 700
Bar Stock 6311
26603
Less Liabilites
Creditors 412
[12] VAT Liability 114
Net Assets 26077
Notes to the Accounts 2023
Accountng Policies
These accounts have beenprepared as far aspossible under the historic cost
conventon and in accordance with applicable accountngstandards and the
Statement Practce on AccountngbyCharites.
There are no restricted fund,atpresent.
Fixed Assets
The land and buildings are held in trust for thepeople of Brewood and are treated
as an inalienable asset and,therefore,have no book value. The insured value of
thepremises is £1,433,610.
Other assets are shown in the Income and Expenditure Account whenpurchased
and are not capitalised
[1] 4000 Includes regular hireplus 'one-ofs' for Afliated users
[2] 4001 Increased slightly
[3] 4002 Increased slightly
[4] 4003 Tells its own story- see 2020
[5] 4004 Increase
[6] 4005 includes Curry Inn
Food Van at Band night 40.00 Food 515.00
Annual Parish Grant 2022/23 2,880.00 Rafe 240.00
Annual Parish Grant 2023/24 2,880.00 Donatons 335.00
1090.00
[7] 5003 includes Normal repairs and contracts +
Cathedral Hygiene 660.00
Outside maintenance 647.92
Hall & Bar maintenance 180.00
[8] 5005 Insurance 1772.59
[9] 5009 Error in Tax -17.00
[10] 5010 includes Cleaningmaterials +
Mobile Phone Contract 160.00 Ink Cart.. 200
Quadrant Lifs 346.80 O2 108
TV license 159.00 CHESS 269.84
BT Broadband 576.00 Bar Licence 208
Bryland Fire 156.00 Cancelled Boo 400
Deposit for Web Site 597.00 PPL 275.04
Refund of deposit 130.00 SSDC Annual 180
Money paid into JH in error 270.00 Sage annual 319.2
[11] Debtors Yoga JC 178.50 Booking46 211.00
payingDec. Fees Yoga VT 84.00 Booking41 205.00
in January Trojan 290.00 Booking42 57.50
Lollipop 78.00 S.Stafs Electo
450.00
[12] Creditors HMRC 227.05 NEST 57.93
Billed in Dec. Payroll Fees 19.50 BT Adjustmen t
83.88
Paid in January Carlsberg 23.94
Cynthia Heath - Treasurer Angus Parker - Chairperson EXAMINED byA. Bradley

Notes to the Accounts 2021

Accounting Policies

These accounts have been prepared as far as possible under the historic cost convention and in accordance with applicable accounting standards and the Statement Practice on Accounting by Charities.

There are no restricted fund, at present.

Fixed Assets

The land and buildings are held in trust for the people of Brewood and are treated as an inalienable asset and, therefore, have no book value. The insured value of the premises is £1,433,610.

Other assets are shown in the Income and Expenditure Account when purchased and are not capitalised

[1] 4000 Includes regular hire plus 'one-ofs' for Afliated users Includes regular hire plus 'one-ofs' for Afliated users
[2] 4001 Increased slightly but stll low compared with pre-covid fgures
[3] 4002 Increased but stll low compared with pre-covid fgures
[4] 4004 Signifcant decrease.
[5] 4005 includes Brewood Parish Council 2,880.00
Brewood Parish Council PPE 250.00
Furlough 4,262.66
Restart grant 8,000.00
[6] 4008 None this year
[7] 5000 includes Current Stock
[8] 5003 includes Normal repairs and contracts +
Main entrance electrics 2227.00
Bar area electrics 3200.00
Lif belt & batery 618.24
Adapter for stage lightng deck 95.20
[9] 5005 Insurance + individual extras 1,665.00
[10] 5010 includes Cleaning/ant virus +
Mobile Phone Contract 144.40
Quadrant Lifs 337.20
TV license 157.50
BT Broadband 315.00
Bryland Fire 288.00
Laptop update 570.00
Christmas decoratons 154.22
Web set up 216.00
Sage 242.40
Fire Direct 200.40
[11] Debtors Brewood Bowling cancelled
an event afer paying the - 114.00
deposit
[12] Creditors Maintenance 34.19
Kelsall paid in January 41.76
Payroll expenses paid in Jan. 62.55
TV License 159.00

Cynthia Heath - Treasurer

Angus Parker - Chairperson

EXAMINED by A. Bradley

Inde endent Examiner's re rt to the Brewood Villa Council Board of Mana ement. e Communi This report on the financial statements of the Community Council for the year ended 31 December 2023 is in respect of an examination carried out in accordance normal accounting practises. Respective responsibilities of the Community Council and the examiner. As members of the Community Council, you are responsible for the preparation of the fllmncial statements. It is my responsibility to issue this report on those financial statements. Basis of this report My examination includes a review of the accounting records kept by the Community Council and a Comparison of the accounts with those records. It also includes considering any unusual items or disclosures in the financial statements and seeking explanations from the Management Committee concerning any such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently I do not express an audit opinion on the view given by the accounts. Independent Examiner's statement In connection with my examination no matter has come to my attention: ( l ) which gives me reasonable cause to believe that in any material respect the requirements to prepare financial statements, which accord with the accounting records and comply with normal accounting requirements have not been met; or (2) to which, in my opinion, attention should be drawn to enable a proper understanding of the accounts to be reached 2810212024 A W Bradley? Richmond House, Tbe Saplings, PeDkridge ST19 SDE