Minutes of the Extraordinary Meeting of Dittisham Parish Council
8:00pm Tuesday 20 January 2026 Dittisham Village Hall

Present: Parish Cllrs Bond (Chair), J Green, Hawkes, Neale, Taylor & Unitt
Apologies: Cllr Golding, Pope
Clerk: Ms Radford
Public: None

Public Forum No public were present.

1. Apologies
were received as above.
2. Declaration of Interests No interests were declared on items on the agenda.
3. 2026/27 Budget and Precept demand
3.1 Draft Budget To consider a draft 2026/27 Budget as prepared by the Finance Working Group. The Chair of the Finance Working Group provided a summary explanation of the budget, during which cllrs could ask questions.
Detail was given on how the playground equipment and car park machine replacement cost had been calculated, taking into account expected lifetime of equipment and expected increases in costs, based on rates of inflation.
There was a discussion on whether the budget had predicted sufficient funds for unexpected costs.
It was agreed to include an explanation of the Parish Council’s budget and earmarked reserves at the Annual Parish Meeting.
It was RESOLVED to approve the 2026/27 budget as presented:

Dittisham Parish Council Finances Summary
End 24/5End 25/6End 26/7Notes
ActualF’castBudget
General Income
Precept16000.0019556.0021100.00No change to band D charge
Car Parks42947.3251468.0950800.00 ↓ due to level car park ↓ in 25/6
Ham hire50.00
Bank interest1791.091325.571200.00General interest rate reduction
Other (Charity payment for J Steps)2635.50
Other2992.50653.06120.00Might be further £180 for footpaths
Total income63730.9175688.2273220.00
General Expenditure
Council asset maintenance7156.7011434.1810200.00↓ due to 24/5 ground maint. paid in areas in 25/6
Council administration3754.703371.434800.00£2000 savings in 25/6 not forcast for 26/7
Grants5150.005500.006150.00=25/6 forecast + £650 contingency
Parish infrastructure maintenance4398.188147.623850.00↓ due to Jubilee Steps spend in 25/6
Parish project247.092000.00Neighbourhood plan budget
Staff21221.2415739.0319000.00↓ due to new Clerk on lower scale & fewer hours
Car park business rates6397.437299.468000.00Business rates in 25/6 more than expected
Car Park running costs9210.7711187.0911100.00Extra charg from SHDC, less for attendant
Total expenditure57289.0262925.9065100.00
Earmarked reserves transfers
Spend from earmarked reserves6182.846327.250.00No expected spend from reserves
Transfer to earmarked reserves7372.5412078.2512904.25See below
Net increase to earmarked reserves1189.705751.0012904.25
General reserves balance
General reserves brought forward22181.5927433.7834445.10
Year end surplus/deficit5252.197011.32-4784.25
GENERAL RESERVE AT YEAR END27433.7834445.1029660.85
Earmarked reserves
Clerk sick leave cover12919.9212919.9212919.92
Footpaths952.501132.501132.50
Village Hall roof reserve9000.0012000.0015000.00Plus £3000
Professional/legal fees1750.002000.003000.00Plus £1000
IT600.00700.00700.00
Grants500.00500.00500.00
Council owned property maintenance301.761046.761046.76
Neighbourhood plan1500.001500.001500.00
Tree works reserve2405.003155.003155.00
Car park machine replacement6600.008435.0010181.00Plus £1746
Playground equipment replacement13580.0014000.0020143.00Plus £6143
Parish infrastructure maintenance2024.732068.482068.48
Health & Safety (Capton defib)2057.50484.751500.00Plus £1015.25
TOTAL EARMARKED RESERVES AT YEAR END54191.4159942.4172846.66
Difference year on year1189.705751.0012904.25
OVERALL TOTAL RESERVES81625.1994387.51102507.51

3.2 Capton Defibrillator To consider proceeding with the Capton Defibrillator project. There was a discussion during which councillors considered responses from Capton residents taking into account key statistics on community defibrillator use in the UK from the British Heart Foundation, noting that studies highlight that PADS are utilized in just 10% of out-of-hospital cardiac arrests, even when one is available within 500m. Comments had been made that early CPR is the most and important step.  After discussion it was RESOLVED to progress the Capton Defibrillator project, with the following comments:
– An application is made to the Dittisham Charity for a grant.
– Capton residents are asked for a contribution to the cost, as contributions from Capton residents (providing evidence that residents contributed funding to defibrillators in Dittisham Village).
– A First Aid Training course is organised, as per the agreement of the Parish Council in October 2025, and to ensure that the course include use of defibrillators, giving priority to Capton residents before advertising it in the Parish.
3.3 Grant application from Dittisham Village Hall consider recommendation of the Finance Working Group on awarding a grant. It was RESOLVED that the Parish Council award a grant of £4000 to the Village Hall in the 2026/27 financial year.
It was queried whether there were grants available for installation of renewable energy at village halls.  Cllr Taylor offered to undertake some research if it would be helpful.
3.4 2026/27 Precept Demand It was RESOLVED the 2026/27 precept be set at £21,100.  This would make the Parish Band D rate £46.12 per year, which is an decrease of £0.01 on the previous year (equivalent to -0.03 %)
4. Annual Away Day
4.1 Away Day Date It was RESOLVED that the away day would take place on March 12 2026. The focus of the away day
4.2 Away Day Costs It was RESOLVED that the Parish Council budget £200 for the cost of the away day.

Meeting closed at 21:00