075 9559 8995

clerk@chd-pc.gov.uk

YEAR END STATEMENT FOR CORSCOMBE, HALSTOCKAND DISTRICT PARISH COUNCIL 2025/26

YEAR END STATEMENT FOR CORSCOMBE, HALSTOCK
AND DISTRICT PARISH COUNCIL 2025/26
1. Receipts and Payments Account 2025/26
Original Revised Actual
Actual Budget Budget 31.3.26
2024/2025 2025/26 2025/26 2025/26
£
Balance b/fwd 29528 37616 34308 34308
INCOME
Precept 20000 21000 21000 21000
Interest savings a/c 116
VAT refunds 3299 600 1544 1544
Donations 3009 1500 444 441
other 234 50 63 63
Total 26542 23150 23052 23165
EXPENDITURE
Clerk’s Pay /HMRC tax 6885 8000 8027 7948
Employer NI 178
Office Expenses 841 750 1535 1686
Insurance 705 740 632 632
Subscriptions 554 775 935 919
Bank charges 71 0 66 73
Audit fees 469 510 515 515
Training/seminars 498 183 150 137
Hire of village halls 150 190 210 195
Grants S137/Power of competence 260 1000 550 550
Asset maintenance 4589 3000 4000 3660
Asset purchase 4053 17000 800 809
Non grants s137 (Devolved Services) 1092 800 151 126
Elections 50 0 0 0
VAT input tax 1545 3000 730 965
Other 0 0 0 0
Total 21762 35948 18301 18393
Balance c/fwd 34308 24818 39058 39080
General reserve as turnover %
(this should be in the range of 25%-100% 45 43% 80 79
Ear marked reserves @ : 31.3.25 Nov-24 31.3.26
Winter roads 1500 1500 1500 1500
Play equipment replacement 2000 2000 2000 2000
Elections 2500 2500 2500 2500
Devolved services 3500 3500 3500 3500
Halstock playground reserves 15000 15000 15000
Total 24500 9500 24500 24500
General funds at year end 9808 14558 14580
BANK RECONCILIATION 31.3.26
Current Account
PER CASH BOOK
b/fwd 34307.84
income 23048.70
expenditure 43392.88
c/fwd 13963.66
Business Instant Access a/c 13963.66
less unpresented cheques
Date Payee £
none
Total @ 31st March 2026 13963.66
BANK RECONCILIATION 31.3.26
Savings Account
PER CASH BOOK
b/fwd 25000.00
income 116.39
expenditure 0.00
c/fwd 25116.39
Business Instant Access a/c 25116.39
less unpresented cheques
Date Payee £
none
Total @ 31st March 2026 25116.39
Total bank balance 31.3.26 39080.05
3. Year End Reserves @ 31.3.26
Winter roads 1500
Play equipment replacement 2000
Elections 2500
Devolved services 3500
Halstock playground reserves 15000
General funds 14580
Year end reserves TOTAL   39,080
4. ASSETS @31.3.26
See Attached
5. BORROWING @31.3.26
There is no outstanding borrowing.
6. Grants year ending 31.3.26
The Parish Council made the following payments under Power of Competence.
£500  Halstock Church
£50 Diana Staines memorial fund
Total £550
Signed:
Chairman R James

Appendix