IMG_3112
pump track design
ChurchSheep
IMG_2373-PROOF-IMG_2373
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YellowField

2025-04 Finance Reports

Payments to Approve

Apr 2025 Payments to approve          
Inv Date To Details Net Vat Gross  
25/03/2025 VH cleaner VH cleaning VH-2025-03-b 90.00   90.00  
08/11/2024 C Light Grass Cutting 204.00   204.00  
19/03/2025 Staff Mileage expenses 8.10   8.10  
    SUBTOTAL       294.00

To approve: TCVH-437: £125 village hall deposit refund

Signed by the Chairman of the meeting: _______________________


Note: Expenditure and income is transacted under the General Power of Competence unless otherwise stated on the financial reports.


Payments to Report

Mar 2025 Payments approved Clerk-Chairman          
Inv Date To Details Net Vat Gross  
11/03/2025 VH cleaner VH cleaning 24-25 TCCPC 240.00   240.00  
    SUBTOTAL       240.00
Mar 2025 Regular payments          
Inv Date To Details Net Vat Gross  
  Staff Staff salaries, expenses, pension 2182.78   2182.78  
03/03/2025 Water2Business Utilities – Village Hall 25.00   25.00  
10/03/2025 Source Shaper Ltd t/a Shape Payroll payroll services 5.00 1.00 6.00  
17/03/2025 Direct Debit (SCOTTISHPOWER) Utilities – Village Hall 177.81 8.89 186.70  
31/03/2025 Unity Service charge 6.00   6.00  
    SUBTOTAL       2406.48
Feb 2025 Credit card payments to note          
Inv Date To Details Net Vat Gross  
27/02/2025 LEBARA MOBILE LIMITED mobile phone 4.13 0.83 4.95  
08/03/2025 EBAY O 09-12801-68840 EM lights key 3.25   3.25  
16/03/2025 EBAY O 04-12843-81935 USB cable 6.46   6.46  
18/03/2025 SEC WATCHDOG LIMITED DBS check 56.74 1.35 58.09  
19/03/2025 WWW.ARGOS.CO.UK Microwave 66.67 13.33 80  
26/03/2025 Lloyds Bank Fee 3   3.00  
    SUBTOTAL       155.75

Income to report

Receipts Mar 2025              
Date Ref Description Net   Gross Sub ex dp Subtotal
03/03/2025 Ref TCVH-423 (for Inv TCVH-436) Village Hall Booking 400.00   400.00    
11/03/2025 BANES TCVH-426 VILLAGE H -125.00   -125.00    
12/03/2025 Carnival club Village Hall Booking 184.00   184.00    
12/03/2025 TCVH 429 Village Hall Booking 110.00   110.00    
14/03/2025 TCVH-428 Deposit refund -125.00   -125.00    
25/03/2025 Tcvh-430 Village Hall Booking 174.00   174.00    
25/03/2025 HMRC VAT claim 2001.20   2001.20    
31/03/2025 TCVH-432 Deposit refund -125.00   -125.00    
31/03/2025 TCVH-433 Deposit refund -125.00   -125.00    
31/03/2025 Unity Bank Interest 125.22   125.22    
31/03/2025 Nationwide Bank Interest 198.73   198.73    
    SUBTOTAL EXCLUDING DEPOSITS       2943.15  
    SUBTOTAL         2693.15

Bank Reconciliation

Reconciliation of balances 31 Mar 2025    
Balance per bank statements    
Current Account Unity 6,367.57  
Reserve Account Unity 17,179.71  
Nationwide Savings Acc 60,000.00  
SUBTOTAL bank statements   83,547.28
     
Less unpresented payments   0.00
Unbanked cash    
     
Reconciling Items:    
     
Uncleared bank transfer Nationwide to Unity   198.73
     
NET BALANCES   83,746.01
     
The net balances reconcile to the Cash Book (receipts and payments account) as follows:    
Opening Balance at 1 April 2024   83,602.29
Add: Receipts in the year   54508.11
Less: Payments in the year    -54364.39
     
CLOSING BALANCE per Cash Book    83,746.01

Year to date spend vs Budget and Earmarked Reserves

Budget Commentary:

  • The general reserve at 31/3/2025 was £33,266, which is £7387 above the council policy of 6 months expenditure. This is to be reviewed by the council in April 2025
  • Bank interest income for the year was higher than expected, mainly due to higher than expected bank interest rates bringing in extra income. Village hall income for the year was lower than expected due to lower than expected bookings. These two factors balanced out to result in expected income being on target.
  • £911 savings were made on the insurance renewal premium due to lower than expected renewal figures
  • £685 savings were made on staff costs due to lower than expected NJC negotiated pay rise
  • £1468 was saved in grant costs due to lower than expected valid grant applications. Grant application criteria are published on the website.
  • £1647 savings were made in open spaces costs due to lower than expected maintenance and tree surgery costs. A large proportion of this was saved due to the cancellation of the garage hire contract. This was replaced with the purchase of a container from ear marked reserves
  • £2757 costs were saved in village hall running costs due to lower than expected bookings. £500 of this was saved in marketing costs due to the booking of new regular hirers for 25/26 coming in via word of mouth recommendations.

Note: Expenditure and income is transacted under the General Power of Competence unless otherwise stated on the financial reports. This includes all transactions from 16th May 2023 when the GPOC was adopted (Min ref: 2305_[9]) until the next election expected in 2027

  • Posted: 3rd April 2025
  • Version: 1.1