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2026-03-31-accounts

CHARITY COMMISSION FOR ENGLAND AND WALES Independent examiner's report on the accounts Section A . Independent Examiner's Report "_' Report to the trustees Chaiity NaN)e On accounts for the year ended 3 l &r AAkc4 ga (rt2 Charity no (if any) )227<F Set out on pages (remember to inclLide the page numbers of additional sh¢Jets) I report to the trustees on my examination of the accounts of the above charity ('Ihe Trust") for the year ended DD I fffjm I YYYY. Responsibilities and basis of report As the charity's trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (Yhe Act"). I report in respect of my examination of the Trusfs accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable Directions given by the Charity Commission under section 145(5)(b) of the Act. Independent trhe charty's gross income ex￿eded £250,000 and l am qualified to examinerfs statement undertake the examination by being a qualified member of [insert name of applicable listed body]]. Delete [ ] rf not applicable. I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination (other than that disclosed below ") which gives me cause to believe that in, any material respect: the accounting records were not kept in accordance with section 130 of the Charities Act; or the accounts did not accord with the accounting records; or the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a 'true and fairf view which is not a matter considered as part of an independent examination. I have no concems and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. Please delete the words in the brackets if they do not apply. Signed: Date: 2G Name: l (Thfal￿NE 7CF)QA Trjo Relevant professional | qualification(s) or body | IER Oct 2018

(if any): Address: Section B Disclosure Only complete if the examiner needs to highlight material matters of concem (see CC32, Independent examination of charty accounts: directions and guidan￿ for examiners); Give here brief details of any items that the examiner wishes to disclose. ) Ifxj G- To 7J(SQLa&&- IER Oct 2018

LIGHTHORNE VILLAGE HALL

CHARITY NUMBER 522954

RECEIPTS AND PAYMENTS ACCOUNT FOR THE YEAR ENDED 31ST MARCH 2026

2025/6 2024/5 2023/4
RECEIPTS Note TOTAL TOTAL TOTAL
Income from Lettings £7,580.16 £8,831.15 £7,586.09
Fundraising events £16,780.34 £2,813.50 £1,419.96
Donations and Grants £9,000.00 £80.00 £59.00
Film Club Receipts £708.08 £554.66 £530.85
Other Income £0.00 £459.60 £335.74
Deposit Account Interest £680.31 £463.81 £306.38
TOTAL RECEIPTS £34,748.89 £13,202.72 £10,238.02
PAYMENTS
Fundraising Expenses £4,561.10 £1,462.44 £0.00
Film Club £312.24 £204.00 £209.94
Electricity £3,163.71 £772.50 £627.00
Oil £557.87 £781.20 £1,301.20
Water £479.73 £503.73 £458.93
Broadband £0.00
Insurance £775.75 £700.01 £668.16
Cleaning £1,485.00 £1,430.00 £1,171.00
Licences £70.00 £70.00 £70.00
Investments £0.00 £9,500.00 £15,000.00
Maintenance £1,432.34 £1,645.31 £4,316.62
Rates £323.35 £128.24 £120.09
Sundries £980.17 £1,126.34 £1,170.36
Project North Annexe £274.62
TOTAL PAYMENTS £14,415.88 £8,823.77 £10,113.30
SURPLUS OF RECEIPTS OVER PAYMENTS £20,333.01 £4,378.95 £124.72
Return of Film Club Float -£40.00
CASH BALANCES BROUGHT FORWARD £32,605.00 £28,226.05 £28,141.33
CASH BALANCES CARRIED FORWARD £52,938.01 £32,605.00 £28,226.05
Check £20,333.01 £4,378.95 £84.72
CASH BALANCES at 31st March
Current Account £1,482.14 £6,998.88 £12,687.90
Deposit Account £51,707.43 £25,270.19 £15,306.38
Petty Cash £48.44 £335.93 £231.77
TOTAL £53,238.01 £32,605.00 £28,226.05
Deposits Held £300.00
TOTAL CASH £52,938.01 £32,605.00 £28,226.05

LIGHTHORNE VILLAGE HALL

CHARITY NUMBER 522954

YEAR ENDED 31ST MARCH 2026

Statement of Assets and Liabilities

Financial Component Item Description Amount
Current Assets Cash at Bank £53,190
Petty Cash £48
Money Owed to Charity £0
Total Assets £53,238
Current Liabilities Hall Users' Deposits Held_(Note 1)_ £300
Total Liabilities £300
Net Assets (Total Assets minus Liabilities) £52,938
Represented by Funds Restricted Funds_(Note 2)_ £21,279
Unrestricted General Funds £31,659
Total Funds (Must equal Net Assets) £52,938

Note 1. The charity holds £300 in respect of refundable booking deposits from hall users. These balances are held as liabilities because they represent cash received that will either be refunded to the hirer upon successful completion of the booking or retained by the charity if booking conditions are breached. Three deposits were partially forfeited during this financial year, totalling £70. The forfeited amounts have been included in lettings income.

Note 2. The Project North Annexe fund is a restricted fund representing monies raised specifically for the demolition, redvevelopment, construction, and outfitting of the building's North Annexe. During the financial year, these funds were raised through donations and village fundraising events. The Management Committee have determined that these funds are held in reserve and can only be expended in direct fulfillment of the project's objectives.

Lighthorne Village Hall

Treasurer’s Report for Year Ending 31[st] March 2026

The Village Hall cash balance at 31[st] March 2026 was £53,238. The balance has benefitted considerably this year from donations and fundraising eDorts by the community for the proposed works to demolish and replace the North Annexe.

The cash balance is made up of:

Current Account £ 1,482 Deposit Account £ 51,707 Petty Cash £ 48 Total £ 53,238

The balance is allocated as follows:

Hall User’s Deposits Held £ 300 North Annexe Fundraising (restricted funds) £ 21,279 Reserves (12 months running costs) £ 10,000 Village Hall Available Funds £ 21,659 Total £ 53,238

Income

increase has been the result of fundraising (including donations) which has increased from £2,813 last year to an impressive £25,780 this year. The community response to the need to fundraise for the replacement of the North Annexe has been remarkable and the Management Committee are extremely grateful for this expression of support.

Outgoings

Total outgoings for the year were £14,416 up from £8,824 last year. Fundraising expenses have increased by approximately £3.1k this year as an expected result of the increase in fundraising activity. There has also been a significant increase in spending in electricity this year. This was a result of marginally insuDicient payments to Scottish Power in 2023/4 and 2024/5, which led to a small debt. Scottish Power’s reaction was to insist on a higher than necessary monthly payment which has resulted in a £2k+ credit on the Village Hall’s electricity account. This will be resolved this year with a move to a cheaper and more rational supplier as soon as the contractual obligation allows.

Reserves

The Management Committee has resolved to maintain a £10k Reserve Fund, which is suDicient to cover 12 months of outgoings. The monies raised through fundraising activity, and the rest of the funds available to the Village Hall, will likely be spent replacing the North Annexe in the next financial year.

Summary

replace the North Annexe will present a challenge to this. The Committee are resolved to continue to focus on fundraising and the securing of grants and donations, with the objective of delivering a similarly strong financial position, once the North Annexe project is complete.

Treasurer

30[th] June 2026