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Budget Report and Confirmation of Resolution by Council for 2025-26

Factors relevant to budget setting for 25/26

Review of Current Year to Date Spend against budget at 31/12/2024:

The proposed 25/26 budget spending figures are based on an estimated inflationary cost increase of 4.5% from previous year figures for areas of spending expected to be subject to inflation. Known costs have been used instead of a 4.5% increase where these figures are known for the year ahead, for example, where the council has received notification of future prices.

The budget income figures are based on reviewing current year income and future estimates for village hall hire and bank interest.

Staff costs have been calculated based on latest HMRC figures for tax along with the new 25/26 national insurance rates. A contingency has been included to allow for a NJC union negotiated pay rise, based on similar levels to the pay rise agreed between unions and local government in 24/25.

Contingencies have been reviewed in the ear marked reserves. These are outlined in the rationale.

The end of year estimated general reserve has been estimated on the assumption that expected expenditure at the end of the year will be roughly equal to the 24/25 budget set for the year.

January 2025 Council Resolution:

Minute ref: 2501_[12] BUDGET AND PRECEPT

  1. RESOLVED: Budget for 2025/26, expenditure was set at £51,757
  2. RESOLVED: Precept for 2025/26 was set at £44,000

Resolved Budget – Income and expenditure

TCC PC 25/26 Budget 1/4/2025 Budget 2025-26
PC INCOME Budget 2025-26
Precept 44000  
Parish Footpath Agency Scheme 908  
Bank interest 1700  
Miscellaneous    
PC INCOME SUBTOTAL EXC PRECEPT   2,608
PC INCOME SUBTOTAL with precept   46608
VH INCOME    
VILLAGE HALL INCOME    
Village Hall Income 1825  
Village Hall Income – Regular 1944  
Village Hall Income – CM 1253  
Village Hall Income Extraordinary 300  
VH INCOME SUBTOTAL   5322
PC & VH INCOME TOTAL EXC. PRECEPT   7930
VAT reclaimed    
    0
TOTAL INCOME: PC,VH,VAT, PRECEPT   51930
PC PAYMENTS    
GENERAL ADMIN    
Payroll 75  
office supplies / petty cash 450  
Legal & professional fees 61  
Mobile phone 63  
Training & Foundation Award 350  
Insurance premium 2020  
Mower Insurance 153  
Audit  853  
Subscriptions  580  
IT purchase 300  
Website & email 87  
Health & Safety 71  
Bank Fees 186  
subtotal Admin   5,249
PC EXPENDITURE    
STAFF COSTS    
subtotal staff   33,797
COMMUNITY    
Parish Council Grants Awarded 2186  
Christmas tree, lights, events 195  
Defibrillator  282  
subtotal Community   2,663
PARKS AND OPEN SPACES    
Upkeep open spaces tree surgery 836  
Playing Field running costs 1978  
Play Area Inspection 149  
Workwear/PPE 259  
Village operative equipment 259  
Rent for garage & ass. costs 0  
Fuel & Petrol 355  
Mower repairs & petrol 868  
Subtotal Parks/Open Spcs   4,704
PC PAYMENTS SUBTOTAL   46413
VILLAGE HALL EXPENDITURE    
Cleaning 1500  
Electricity 2005  
Water 329  
Servicing/Repairs 363  
Electrical testing/H&S works 564  
Hallmaster 259  
Sundries 324  
Marketing 0  
VH PAYMENTS SUBTOTAL   5344
COMBINED TOTALS    
PC AND VH PAYMENTS TOTAL   51757

Proposed Earmarked Reserves for 25/26

EARMARKED RESERVES Rationale    
V Hall & PF development – pumptrack Fundraising funds for use on pump track 2,477.00  
PT 2.5% snagging fee June 2024 Outstanding amount due June 2024 0.00  
subtotal pump track     2477
V Hall & Playing Field development Improvement of facilties 5700  
Memorial Garden Funds donated and raised for a specific purpose 6500  
Benches Grant Funds donated and raised for a specific purpose 500  
Small Business Grant V Hall recovery To support recovery of income after covid 2000  
VH Marketing To support increase of village hall income 500  
Building Maintenance Future maintenance contingencies – roof, decorating 23400  
Equipment renewal Renewal of equipment: Village operative / IT 5800  
Village Hall Key Deposits Deposits held for refund to customer 850  
Election contingency Election costs if required 1104  
Staff contingency Unplanned extra costs: overtime, NJC pay rise 1200  
EARMARKED RESERVES TOTALS     50031

Precept Calculation

Total Budgeted Income: £7,930

Total Budgeted Expenditure: £51,757

Precept required based on Expenditure – Income = £43,993

Estimated general reserve at based on 24/25 expected remaining income and expenditure 31/3/2025: £25,713 (This equates to 5.9 months of 25/26 expenditure in the general reserve)

JPAG recommends 3 to 12 months expenditure in general reserve, with smaller parish councils tending towards a higher general reserve. This parish council considers 6 months expenditure as a suitable general reserve based on this council’s size, situation and risks.

https://www.templecloud.org.uk/documents/reserves-policy/

https://www.templecloud.org.uk/documents/budget-setting/

Precept decided by Parish Council based on income, expenditure, earmarked and general reserves: £44,000

This equates to a 2.8% precept increase on previous year, and an expected total of 155p per week per band D property

  • Posted: 31st January 2025