Documents

2024 Year-end Profit & Loss Report

EPHMC Financial Reports Uploaded on May 26, 2024

Profit and Loss Report
up to 31/03/2024

Here is the Year-end Profit & Loss report for the Parish Hall.
March was a good month, boosted by the £1300 Ofgem payment.
The Financial year profit looks impressive but the EDF electricity bill is £3025.19 in debit, as at 5th April, so the overall position is a loss of £570.51.
The direct debit for electricity will be increased to clear the outstanding balance.
Also to note the annual income has gone over the £25k, so a Trustees Report will be required for the Charity Commission Annual Return. Dan Field will carry out the Independent Examination.
Sales £
Interest Received

Car Park Hire

Litchfield Room – non-regulars

Litchfield Room – regulars

Ofgem

Main Hall – non-regulars

Main Hall – regulars

631.77

30.00

539.40

900.20

2,895.74

4,425.00

15,939.70

Total Sales 25,387.31
Expenses £
Community First

Licences

Servicing: Heat Pump/CCTV/Fire Alarm

Accounts

The Ensign

Booking Costs

Cleaning Costs

Grounds Maintenance

Hall Maintenance

Insurance

Waste Removal

Other Costs

Gratuities

Barclaycard Anywhere Charges

Business Rates

Electricity

Water

50.00

614.24

493.27

3,300.00

220.00

2,570.90

3,781.27

1,715.27

3,062.25

1,319.96

466.00

358.00

15.00

0.01

268.80

4,515.71

181.95

Total Expenses 22,932.63
Net Profit 2,454.68