The main objectives of the hall are to hire out the hall for leisure. personal
development, celebratory & ststutory meetings and other meetings
appropriate to all age groups.
Reserves in the bank as at 301612021 were £46172 are at that point were all
unrestricted. As we are currently reviewing our maintenance policy and
structure of finances. a policy document with Risk Register will be written for
the foreseeable future with a view to having restricted funds.
There are no funds in deficit.
The funds held in reserve are to cover the next 18 -24 months due to the
adverse effect of the Coronavirus Covid19 pandemic.
The village hall charity had an income of £35938 in the year ended 30th June
2021 and has been subject to an independent examination. Of this income the
total of £33394.75 can be accounted for furlough payments and various grants
through the UK Government and local authority- This means the actual trading
income amounted only to £2543.25.
DECLARATION
The trustee5 declare that the
have a
roved the trustees re
ort above
ed on behalf of the cha .
s trustees
Si
Full name
John Richardson BTech.MSoPhDAIMWIQCChem
Position Chairman & Trustee
Date 17th April 2022


**----- Start of picture text -----**<br>
      TODWICK VILLAGE HALL INCOME & EXPENDITURE  YEAR ENDED 30 JUNE 2<br>INCOME 2021 2020 EXPENDITURE 2021 2020<br>ANTENATAL CLASS 0.00. 64.00. ADVERTISING 50.00. 92.00.<br>BONDS RECEIVED 0.00. 400.00. BONDS REPAID 0.00. 400.00.<br>CHRISTMAS FAYRE  0.00. 1632.46 BUILDINGS REPS/MAINT 1020.34 3527.50.<br>COMBAT / YOGALATES 144.00. 672.00. CAPITAL PURCHASES 0.00. 838.80.<br>COMP CLUB 0.00. 258.00. CARETAKER'S MATERIALS 381.50. 317.51<br>FURLOUGH GRANTS 33394.75 2340.00. CARETAKERS PAYE 1011.60. 1182.20.<br>HARTBEEPS FRIDAY 0.00. 252.00. CARETAKER'S WAGES 6788.40. 6617.80.<br>HELEN O GRADY 714.00. 570.00. CHRISTMAS FAYRE 0.00. 109.14<br>HISTORICAL 6.00. 72.00. ELECTRICITY 389.28 741.00.<br>INDOOR BOWLING 0.00. 288.00. GAS 840.76 963.62<br>KNIT NATTER CRAFT 24.00. 432.00. INSURANCE 1433.56 1406.75<br>LEARN TO SHINE 0.00. 114.00. LICENSES 270.78 62.00.<br>NEIGHBOURHOOD WATCH 0.00. 6.00. OTHER EXPENSES 101.10. 101.08<br>N.T.P.SERVICES 0.00. 140.00. PROJECT C /  HEATING 0.00. 8355.94<br>OTHER INCOME 0.00. 18.00. REFUND HIRE FEES 35.00. 168.00.<br>OVER 60'S 0.00. 210.00. SECRETARIAL 72.39 141.29<br>PARISH COUNCIL 83.25 93.00. TELEPHONE & BR'BAND 672.06 996.36<br>PILATES 48.00. 444.00. WASTE REMOVAL 221.00. 217.00.<br>PRIVATE PARTIES 81.00. 2079.00. WATER SEWAGE 94.16 271.83<br>RAMBLERS 0.00. 12.00. WINDOW CLEANING 120.00. 150.00.<br>RMBC 186.00. 186.00.<br>ROUND DANCE 9.00. 360.00.<br>SURGERY CLLR WATSON 0.00. 36.00.<br>THREE SHIRES 0.00. 108.00.<br>TODDLERS 0.00. 517.00.<br>VIKKIS OLDER OAP 216.00. 426.00.<br>VIKKI'S FITNESS 156.00. 540.00.<br>VILLAGE CHOIR 0.00. 576.00.<br>VOLUNTEER FUND RAISING 45.00. 1773.10.<br>WEIGHT WATCHERS 0.00. 264.00.<br>WOMEN'S INSTITUTE 15.00. 120.00.<br>YOGA 180.00. 360.00.<br>ZUMBA GOLD 216.00. 372.00.<br>ZUMBINI 420.00.<br>TOTAL 35938.00. 15734.6 TOTAL 13501.9 26659.8<br>**----- End of picture text -----**<br>




|**OPENING BALANCES**<br>CURRENT ACCOUNT<br>RESERVE 1 ACCOUNT<br>RESERVE 2 ACCOUNT<br>CASH &CHQS<br>INCOME<br>EXPENDITURE<br>BANK INTEREST<br>**CLOSING BALANCES**<br>CURRENT ACCOUNT<br>RESERVE 1 ACCOUNT<br>RESRVE 2 ACCOUNT<br>CASH/CHEQUES|2020.21|
|---|---|
||£<br>1695.40.<br>21986.69<br>51.99<br>0.00.|
||23734.08<br>35938.00.|
||59672.08<br>13501.93|
||46170.15<br>2.23|
||46172.38|
||24131.47<br>21988.90.<br>52.01<br>0.00.|
||46172.38|



## **OUTSTANDING CREDITS PAID IN -JUNE** 

£0.00. 

|**UNPRESENTED CHEQUES**|**UNPRESENTED CHEQUES**|Number||
|---|---|---|---|
|20.3.20|STAFFORD-BALL|1422|£36.00 TO BE WRITTEN BACK IN|
|6.11.20|TOWICK PTY SERV|1431|£40.00. TO BE WRITTEN BACK IN|
|24.6.21|N ANDERSON<br>TOTAL|1439|£32.31<br>£108.31|



|**OUTSTANDING INVOICES**|£|
|---|---|
|COMBAT|60|
|HELEN O GRADY|126|
|**PARISH COUNCIL**|15|
|**PILATES**|12|
|**ROUND DANCE**|9|
|**VIKKI FIT**|84|
|**VIKKI OAP**|48|
|**ZUMBINI**|48|
|**TOTAL**|402|





021

IndepeThlent examinerfs report on the account&
Rew)rt to the trustees and member5 of Todwlck Willage Hall
for the year errtled 30th June 2021.
The charitvs tnths consKler that an audtt 15 fK>t rewired forthis ￿ar (ur￿rsectIOn 43(2) of the
Charities Act 1993 {the Act) and that an i￿pendent exarninatwjn is needed.
It is my re5ponsibilitylD
Examine the ac£ounts lU￿r section 43 of the Act).
To followthe procedures laid down in the Generdl DireCtiO￿81¥en byts￿ Chaiity
Commision (under section 4317Hb) of the Actl. and
To 5tste whether particular matters ha¥e come to my atterrtion.
My examination was carrled out in acCOrda￿e with General Olrections given by the CharTty
CommtssioneN An &Yamination ind￿leS a reviewof the account7￿ records kept by charity and
a comparison of the accounts presented with tlM)se record& It also indudes consideration of any
unusual items or disclosures on the accounts, and seeknF¥ explanatlons frDrn the trustees
concerning any such matter5. The procedures undertaken do not provide all the eviderKe that
would be required in an a￿1¢ and conwuently I do rNrt express an audit opinion on the account&
In the course of my examination, no matter has come to my attention
I which gives me reasonable ouse to believe that in, any material respett the trustees have
not met the requirementsto ensure that'_
proper accounting records are kept (in accordan￿ with sec 41 of the Art):
and
accounts are prepared Twhich agree with the acCoun￿n8 rEcords arKI comply with the accounting
requirements of the Att: or
2 to whKh, in my optnlon. attention should be drawn in orderto enable a proper
Understandi￿ of the accounts to be reached.