Trustee Report 2022/2023 

The Hall is run by volunteers who hire out the Hall to Regular hirers for such activities as TumbleTots, fitness groups and dog shows, as well as casual hirers for community get togethers and events. The committee comprises a Chairman (who is also a Trustee), an Exec committee of Treasurer, two Secretarial roles and a variable number of other volunteers. 

A new Booking Secretary was appointed at an important time as we were considering shutting the Hall if one could not be found. 

The year started recovering from the after e�ects of Covid. The committee gave the Hall  a deep clean and then increased the cleaning program. 

dead oak tree at a cost of £540. Total expenditure increased to £22,604. 

Total income was up on 2021/22 with Regular hirers increasing to £15,490 from £12,555 as the pick up from Covid continued.  Casual bookings were also up at £8,291. Interest of £3,111 completed the income. 

Excess income over expenditure increased to £4,288 from £3,780 in 2021/22. 

Money in bank accounts and savings accounts are held for expenditure outside of the usual pattern, particularly keeping in mind non insurable items like a new roof. 

Mike Green, Chairman and Trustee 



X)23
2022
2023
2022
CAPITALFUNO
Brou8htforward
E￿$S of Income o*r
txYnd￿Ure forthe ye8r
INCOME
56.657
51877
Atyul•rBoo*ln
15A90
I2￿55
4.288
CasL471 BookiTh
Bank Interest
Miscéll•ntous
8,291
3.111
5.911
L815
CAPThA( RESEA￿ ON REVALUAnON
119,677
119ts77
26A92
20,281
REVENUÉ RESERVES
General
Rene￿15 Ae8er¥e
Mlllenium Fund
EXPENDMJRE
Gr￿jAd MaiThten•r
ae•nln¢
&Jndrtes
Water
Electrbdty
G•s
CoundlTIx
Te*phMe
iomi
34,870
1,635
iomi
34￿70
1.635
1.220
69S
3.813
46x6
337
L467
4.￿3
748
392
326
655
2,￿2
TOTAL FUNDS
227,127
222,839
FIXEOASSETS
Land & B￿ldIn
Furnltufe & Eoulprnent
365
123.013
6.017
123,013
7,751
Ingx•nce
Ar•
Lk89
17
14
3,734
62Y
1,10)
129
1>).764
447
CURRENT ASSETS
Oebtors
Bank Deposltkcount
Oankcurr•nt*count
G•n•ril M*nte￿nE•
Mlfc Exp
ElectrkalS•fety
Oyr•*t
771
738
I,73
84,926
12.771
81,815
Ln4
21fl
16,501
98597
91575
EXCESSOF INCOME OVER EXPENDMJRE
4.288
3,?80
LESS CURRENT LIABILMES
Credltor$
I oxamWth•In￿Th￿d E*￿t￿rQ￿nt4Tr￿￿aTrce ShoetolMapplobNou8h Gréen
viii¥ie Hall ¥5 ¥r30th5eMernber 2023￿ h4ve vErlftedthe ￿l￿ceS il the ban
InnwcpknlDnthe K£othits artln accordancevAththo r*cords prosÈntIdmt￿d thowa trui an¢
mento1￿fin3r￿aI awa1rsoftht￿nVfvI1.
90M97
NET ASSEf5
227.127
222￿9
2022123
PURNITURE & EQUIPMENT
COA
DepTr Char8e
Depn Nei
AOO.
Furnbtwe & Eoulprnent
Cefitral Heating
SlldinB
5,981
8,458
3,134
1847
1,670
L5
6.017
5A52
1,S(X)
11322
17339
1.734

X)23
2022
2023
2022
CAPITALFUNO
Brou8htforward
E￿$S of Income o*r
txYnd￿Ure forthe ye8r
INCOME
56.657
51877
Atyul•rBoo*ln
15A90
I2￿55
4.288
CasL471 BookiTh
Bank Interest
Miscéll•ntous
8,291
3.111
5.911
L815
CAPThA( RESEA￿ ON REVALUAnON
119,677
119ts77
26A92
20,281
REVENUÉ RESERVES
General
Rene￿15 Ae8er¥e
Mlllenium Fund
EXPENDMJRE
Gr￿jAd MaiThten•r
ae•nln¢
&Jndrtes
Water
Electrbdty
G•s
CoundlTIx
Te*phMe
iomi
34,870
1,635
iomi
34￿70
1.635
1.220
69S
3.813
46x6
337
L467
4.￿3
748
392
326
655
2,￿2
TOTAL FUNDS
227,127
222,839
FIXEOASSETS
Land & B￿ldIn
Furnltufe & Eoulprnent
365
123.013
6.017
123,013
7,751
Ingx•nce
Ar•
Lk89
17
14
3,734
62Y
1,10)
129
1>).764
447
CURRENT ASSETS
Oebtors
Bank Deposltkcount
Oankcurr•nt*count
G•n•ril M*nte￿nE•
Mlfc Exp
ElectrkalS•fety
Oyr•*t
771
738
I,73
84,926
12.771
81,815
Ln4
21fl
16,501
98597
91575
EXCESSOF INCOME OVER EXPENDMJRE
4.288
3,?80
LESS CURRENT LIABILMES
Credltor$
I oxamWth•In￿Th￿d E*￿t￿rQ￿nt4Tr￿￿aTrce ShoetolMapplobNou8h Gréen
viii¥ie Hall ¥5 ¥r30th5eMernber 2023￿ h4ve vErlftedthe ￿l￿ceS il the ban
InnwcpknlDnthe K£othits artln accordancevAththo r*cords prosÈntIdmt￿d thowa trui an¢
mento1￿fin3r￿aI awa1rsoftht￿nVfvI1.
90M97
NET ASSEf5
227.127
222￿9
2022123
PURNITURE & EQUIPMENT
COA
DepTr Char8e
Depn Nei
AOO.
Furnbtwe & Eoulprnent
Cefitral Heating
SlldinB
5,981
8,458
3,134
1847
1,670
L5
6.017
5A52
1,S(X)
11322
17339
1.734