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2024-03-31-accounts

Foxton Recreaton Ground Trust Foxton Recreaton Ground Trust Date
Barclays Community Account - Sort Code 20-17-19 Account No. 20812331
Year to 31 March 2024 Incoming Invest Rec Mgt & Village
Date Details Receipt Payment Invoice VAT? Resource Income Ground Admin Hall Balance
01/04/23 Opening Balance Actual 41,041.95
05/04/23 FPC VAT Reclaim 2,448.63 2,448.63 43,490.58
03/05/23 CC Bank Interest 1,954.26 1,954.26 45,444.84
12/05/23 FVH - Fac Mgt recharge Jan - Mar 646.56 4380 646.56 44,798.28
17/05/23 CCC Payment 1 of 3 5,621.70 5,621.70 50,419.98
05/06/23 BB Interest 83.54 83.54 50,503.52
04/07/23 B Barnes 40.00 1207 40.00 50,463.52
04/07/23 T N Dyke - FA expenses 82.70 82.70 50,380.82
09/08/23 Progreen - weed control 150.00 2449 25.00 150.00 50,230.82
09/08/23 FVH - Fac Mgt recharge Apr-Jun 726.43 4388 726.43 49,504.39
09/08/23 FVH - room hire 26-6-23 12.25 5540 12.25 49,492.14
04/09/23 FPC - playground refurb 8,922.00 Y 8,922.00 40,570.14
04/09/23 FVH - build ins recharge 1,528.63 4393 1,528.63 39,041.51
04/09/23 NC Plumbing - toilet fx 154.88 66664 25.81 154.88 38,886.63
04/09/23 VHT - cistermiser recharge 369.03 4394 369.03 38,517.60
04/09/23 BB Interest 106.93 106.93 38,624.53
18/10/23 CCC Payment 2 of 3 5,621.70 5,621.70 44,246.23
31/10/23 FVH -Room hire Aug 16 12.25 5569 12.25 44,233.98
31/10/23 FVH - Room hire Sep 20 12.25 5581 12.25 44,221.73
31/10/23 FVH - Fac Mgt recharge Jul-Sep 1,948.95 4502 1,948.95 42,272.78
31/10/23 SW Gardens - hedge removal 268.80 3050 44.80 268.80 42,003.98
31/10/23 Clear Insurance - Trustee Indemnity Ins renewal 138.40 528128785 138.40 41,865.58
27/11/23 Clear Insurance - Charity Assured Ins renewal 246.34 819262 246.34 41,619.24
27/11/23 NC Heatng & Plumbing 187.52 67969 31.25 187.52 41,431.72
27/11/23 Bluefame - Mrkrfll 3 EFD unit 2,149.69 25654 358.28 2,149.69 39,282.03
27/11/23 Bluefame - inspecton and remedial works 898.60 25655 149.77 898.60 38,383.43
27/11/23 CLPM Ltd - Heat & Energy Site Survey Deposit 474.60 SI-31765 79.10 474.60 37,908.83
04/12/23 BB Interest 122.78 122.78 38,031.61
14/12/23 FPC - playground refurb 3,307.39 Y 3,307.39 34,724.22
14/12/23 FVH - Room Hire 29 Nov 12.25 5630 12.25 34,711.97
14/12/23 FPC - Playsafe contributon 2,308.48 Y 2,308.48 32,403.49
14/12/23 Caroline Ilot 312.60 Y 312.60 32,090.89
02/01/24 Safron BS interest 4,186.64 4,186.64 36,277.53
19/01/24 P Evans - solar bollard 59.00 274 59.00 36,218.53
19/01/24 FVH - Fac Mgt recharge Oct-Dec 1,484.34 2401 1,484.34 34,734.19
19/01/24 P Tye - solar light refund 75.12 Y 75.12 34,659.07
05/02/24 Bluefame - heatng control emergeny callout 118.80 25717 19.80 118.80 34,540.27
05/02/24 CLPM Ltd - Heat & Energy Site Survey 2nd Payment 474.60 SI-31931 79.10 474.60 34,065.67
06/02/24 CCC Payment 3 of 3 5,621.70 5,621.70 39,687.37
26/02/24 NC Plumbing - water heater, taps 2,447.30 69374 407.88 2,447.30 37,240.07
26/02/24 PS Dean Roofng - tle repair 300.00 2170 50.00 300.00 36,940.07
26/02/24 CLPM - tender review 126.00 SI-32003 21.00 126.00 36,814.07
04/03/24 BB Interest 112.10 112.10 36,926.17
06/03/24 Mitchell & Mayle - blocked drain Pavilion 168.00 8745 28.00 168.00 36,758.17
15/03/24 P Evans - solar bollard 52.00 277 52.00 36,706.17

15/03/24 P Evans - repair paving blocks 15/03/24 Blueflame - fix 1 x non working boiler 31/03/24 Closing Balance

77.00 281 77.00 36,629.17
1,082.89 25764 180.48 1,082.89 35,546.28
35,546.28
Total 25,879.98 31,375.65 1,500.27 19,313.73 6,566.25 15,572.39 2,045.07 13,758.19
Income Fund Balances at 31-3-24
Camb & Count
85,000.00
Safron
75,000.00
Scot Wid
73,802.38
Hampshire
76,652.06
Shawbrook
80,027.53
Close
79,256.45
Redwood
76,483.56
Barclays
35,546.28
Income Funds
581,768.26
Income Fund Balances at 31-3-24
Camb & Count
85,000.00
Safron
75,000.00
Scot Wid
73,802.38
Hampshire
76,652.06
Shawbrook
80,027.53
Close
79,256.45
Redwood
76,483.56
Barclays
35,546.28
Income Funds
581,768.26
Incoming Res ources
16,865.10
2,448.63
19,313.73
425.35
1,954.26
4,186.64
6,566.25
5,329.44
31,209.42
Investment Income Received
Interest paid to BB
6,566.25
Plus Inv Inc NPTB
Scot Wid
791.27
Hampshire
76.79
Shawbrook
469.39
Close
2,508.43
Redwood
1,483.56
5,329.44
Total Inv Inc
11,895.69
Investment Income Received
Interest paid to BB
6,566.25
Plus Inv Inc NPTB
Scot Wid
791.27
Hampshire
76.79
Shawbrook
469.39
Close
2,508.43
Redwood
1,483.56
5,329.44
Total Inv Inc
11,895.69
Resources expended
15,572.39 Rec Ground Unrestricted Fund
2,045.07 Mgt & Admin Unrestricted Fund
17,617.46
13,758.19 Village Hall Maintenance Reserve
31,375.65 Direct Charitable Expenditure
15,060.00 Depreciaton
31,209.42
46,435.65
46,435.65 Total expended
(15,226.23)
Resources expended
15,572.39 Rec Ground Unrestricted Fund
2,045.07 Mgt & Admin Unrestricted Fund
17,617.46
13,758.19 Village Hall Maintenance Reserve
31,375.65 Direct Charitable Expenditure
15,060.00 Depreciaton
31,209.42
46,435.65
46,435.65 Total expended
(15,226.23)
Camb & Count
Safron
Scot Wid
Hampshire
Shawbrook
Close
Redwood
Barclays
Income Funds

Camb CC
VAT Reclaim
Interest BB
Interest CC
Interest SBS
Add
Inv Inc NPTB
Total Inc Res
Interest paid to BB
Plus Inv Inc NPTB
Scot Wid
Hampshire
Shawbrook
Close
Redwood
Total Inv Inc
(15,226.23)
Camb & Count
Safron
Scot Widows
Hampshire
Shawbrook
Close
Redwood
Barclays
Total
3/31/2023
85,000.00
75,000.00
73,011.11
76,575.27
79,558.14
76,748.02
75,000.00
41,041.95
581,934.49
3/31/2024
Interest Statement
85,000.00
1,954.26
Y
75,000.00
4,186.64
Y
73,802.38
791.27
Y
76,652.06
76.79
Y
80,027.53
469.39
Y
79,256.45
2,508.43
Y
76,483.56
1,483.56
Y
35,546.28
425.35
Y
581,768.26
11,895.69
-166.23
3 May 23 Direct credit rec eived from CCBank 1,954.26
3,654.79
-1,700.53 challenge C&C

Reconciliation

10,351.79 40,068.19 50,419.98 ok 10,351.79 40,151.73 50,503.52 ok

9,340.41 40,151.73 49,492.14 ok 14,340.41 35,151.73 49,492.14 ok

3,734.90 35,151.73 38,886.63

3,365.87 35,258.66 38,624.53 ok 4/10/23

6,606.92 35,258.66 41,865.58 ok 4/11/23

ok 22/11/23

6,896.09 29,381.44 36,277.53 ok 2/1/24

10,305.93 29,381.44 39,687.37 ok 21/2/24

6,052.74 29,493.54 35,546.28 ok 15/3/24 6,052.74 29,493.54 35,546.28 ok 31/3/24

Incoming Outgoing Net Outgoing Resources

FOXTON RECREATION GROUND TRUST

Registered Charity Number 802045

YEAR ENDED 31 MARCH 2024

TRUSTEE Foxton Parish Council
ADMINISTRATOR Mr Tim Dyke Submitted 13 June 2024
7 High Street
Foxton
Cambridge
CB22 6SP
TRUST SOLICITORS Hewitsons
Shakespeare House
42 Newmarket Road
Cambridge
CB5 8EP
TRUST BANKERS Barclays Bank plc
Leicester
LE87 2BB
AUDITOR Mr Ben Stoehr Signed off 22 July 2024
LGS Services
30 West Drive
Highfelds Caldecote
Cambridge
CB23 7NY

1

FOXTON RECREATION GROUND TRUST

REPORT OF THE TRUSTEE FOR THE YEAR ENDED 31 MARCH 2024

RGT History

Foxton, the Reverend Lewis Kennedy Kinder, in April 1921 and the land was then subject to a declaration of Trust by the Trust in June 1921. An additional parcel of land being the site of the original village hall was transferred to the Trustees of the War Memorial Trust in 1926. On 5th August 1944 the land was conveyed to the Parish Council to hold as Trustees of the Recreation Ground Trust. The Trust was registered as a Charity in 1991 (Charity No. 802045).

Objectives

The Object of the Charity is the provision and maintenance of a Recreation Ground for the benefit of the inhabitants of the Parish of Foxton.

Review of Activities and Future Developments

year old Village Hall boilers and heating management controls at a cost of around £45,000 which will be incurred in 2024/25.

Financial Review

During the year incoming resources consisted of investment income of £11,896 (2223: £5,944), a charge of £16,865 (2223: £16,062) to Cambridgeshire County Council in respect of their contribution towards the maintenance of the Village Hall, and a VAT reclaim 0f £2,449 (2223: £0) resulting in total incoming resources of £31,209 (2223: £22,440).

Total Resources Expended were £46,436 (2223: £36,838), amounting to Direct Charitable Expenditure of £31,376 (2223: £21,778) and Depreciation of £15,060 (2223: £15,060). Of the Direct Charitable Expenditure £13,758 related to maintenance o the Village Hall and £17,618 related to other recreational facilities.

and with the transfer of £15,060 from Capital Funds there remain reserves of £581,768 to carry forward at 31 March 2024 consisting of a Maintenance Reserve of £150,000 and Unrestricted Funds of £431,933.

book value of £690,340.

Reserves Policy

Maintenance Reserve provided to meet the Charity's future cost obligations at the Village Hall and Recreation Ground, and Unrestricted Funds available for use for any purpose consistent with the Objects of the Charity. The Maintenance Reserve is reviewed annually to ensure it is adequate for the expected medium term maintenance programme.

Strategy & Operating Review

The Charity intends to continue the policy of regular preventative maintenance of the Village Hall premises to ensure they remain fit for purpose. Given the age of the building, a number of major items are expected to fall due in the next 2 years and these will be progressed in association with Foxton Village Hall Trust and Foxton Primary School. In addition the Charity holds substantial unallocated reserves and expects to invest progressively in projects to extend and upgrade the range of recreation facilities it provides for the residents of Foxton.

Caroline Ilott, Chair 26/xxxxxxxxxxxxxxx/2024 TBC

2

FOXTON RECREATION GROUND TRUST

STATEMENT OF FINANCIAL ACTIVITIES FOR THE YEAR ENDED 31 MARCH 2024

Note
Incoming Resources
Incoming resources from operatng
actvites in furtherance of the charity's
objectves
2
Investment income
2
Total Incoming Resources Available
for Charitable Applicaton
Resources Expended
3
Direct Charitable Expenditure
Depreciaton
Total Resources Expended
Net Incoming/(Outgoing)Resources
Income Funds at 1 April
Maintenance Reserve
Unrestricted Fund
Transfer from Capital Funds
Income Funds at 31 March
4
2324
£
19,314
11,896
31,209
31,376
15,060
46,436
(15,226)
150,000
431,933
15,060
581,767
2223
£
16,482
5,962
22,444
21,778
15,060
36,838
(14,394)
150,000
431,268
15,060
581,934
581,767 Check
581,768 BS Current Assets
1 Unexplained variance

4

FOXTON RECREATION GROUND TRUST

BALANCE SHEET AT 31 MARCH 2024

Note
Fixed Assets
Tangible Assets
5
Current Assets
Cambridge & Countes
Safron
Scotsh Widows
Hampshire Trust
Shawbrook
Close Bros
Redwood
Barclays
Debtors
Total
Current Liabilites
Total Assets
Income Funds
4
Unrestricted Funds
Maintenance Reserve
Total Income Funds
Capital Funds
Transfer to Income Fund
Total Capital Funds
Total Charity Funds
2024
£
690,340
85,000
75,000
73,802
76,652
80,028
79,256
76,484
35,546
0
581,768
0
1,272,108
2024
431,768
150,000
581,768
856,000
(165,660)
690,340
1,272,108
2023
£
705,400
2023
£
705,400
85,000
75,000
73,011
76,575
79,558
76,748
75,000
41,042
0
581,934
0
1,287,334
2023
438,514
143,420
2023
581,934
856,000
(150,600)
705,400
1,287,334

These accounts were approved by the Trustees on date tbc 2024

5

FOXTON RECREATION GROUND TRUST YEAR ENDED 31 MARCH 2024

NOTES TO THE ACCOUNTS

1 Accounting Policies

a) Basis of Preparation of Accounts:

These accounts have been prepared under the historical cost convention as modified by the revaluation of freehold land and buildings and in accordance with the Statement of Recommended Practice (SORP) Accounting and Reporting by Charities published in March 2005 and applicable accounting standards. b) Income:

Income has been included in the year for which it is receivable.

c) Depreciation:

Depreciation has been charged at 2% on the valuation of Buildings of £753,000.

d) Expenditure:

A maintenance reserve of £150,000 is ringfenced for future maintenance requirements and regular expenditure is charged to the Unrestricted Fund.

2 Incoming Resources

Incoming resources included investment income of £11,896 (2223: £5,962) and a VAT relaim of £2,449 (2223: £0). In addition £16,865 (2223: £16,062) was received from Cambridgeshire County Council in respect of their ongoing contribution to the maintenance of the Village Hall.

3 Resources Expended

Direct charitable expenditure consisted of payments totalling £31,376 (2223: £21,778) towards the provision and maintenance of the Recreation Ground facilities and Village Hall plus Depreciation of £15,060.

4 Income Funds

A maintenance reserve fund of £150,000 was ringfenced for future needs with the balance of funds being Unrestricted Funds available for any purpose consistent with the Objects of the Charity.

5 Fixed Assets

The Charity holds freehold land and buildings in trust as described in conveyances dated 1921, 1928 and 2006 which is for recreational use for the benefit of the Parish of Foxton. The Fixed Assets consisting of the Village Hall, Pavilion, Access Road and Car Park were valued by Januarys, Consultant Surveyors, at 31 March 2012. In their opinion the current market value at that time was £856,000 (with buildings valued at £753,000) as compared with the cost of £863,572. This valuation has been incorporated in the balance sheet.

Freehold Land & Buildings
Balance at Market Value
Accumulated Depreciaton
At 1 April 2023
Charge for the year
At 31 March 2024
Net Book Value at 31 March 2024
2023/24
2022/23
£
£
856,000
856,000
150,600
135,540
15,060
15,060
165,660
150,600
690,340
705,400

6 Investments

Income funds are invested with several banks and building societies to ensure that the Charity enjoys full protection from the FSCS.

7 ANALYSIS OF NET ASSETS BETWEEN FUNDS

Tangible fixed assets
Net current assets
Unrestricted Maintenance
Funds
Reserve
2024
2024
£
£

690,340
-
431,768
150,000
1,122,108
150,000
Unrestricted Maintenance
Funds
Reserve
2023
2023
£
£
705,400
-
438,514
143,420
1,143,914
143,420