Financial Information
Precept/Budget
Precept
Precept is the element of your Council Tax that is paid to Hackleton Parish Council by West Northamptonshire Council. It is paid in two instalments within the financial year to which the precept relates.
Every year, the Parish Council draws up a budget and calculates how much money it needs for the next Financial Year. This is then submitted to West Northamptonshire Council (WNC).
For the financial year 2024/25, the Parish Council has set a Precept of £209,316.70.
Your Council Tax
Council Tax charges are based on your property's band and the Parish area in which you live, a spreadsheet identifying all Parish Councils within West Northamptonshire is available as a download document through the following link:
https://www.westnorthants.gov.uk/council-tax-bands-and-charges/council-tax-charges
A government body called the Valuation Office Agency decides which band your property sits within.
Most of your Council Tax will be spent on local council services.
However, West Northamptonshire Council also collects money through your Council Tax for other organisations to pay for services that will benefit the whole of West Northamptonshire such as Police and Fire Services; in addition to collecting money on behalf of Town and Parish Councils, where applicable. Details will be shown on your annual Council Tax demand.
Financial Regulations
Financial Regulations (PDF, 314 Kb)
The Financial Regulations describe how The Council manages it's finances.
Accounts 2024/25
Budget 2024/25 APPROVED (PDF, 68 Kb)
Budget for the financial year 2024/25 as approved by full council
Report of the Internal Control Councillor at at 2024 06 30 (PDF, 830 Kb)
Internal Control Report as at 2024 06 30
Monthly Payment Schedules 2024/25
Payments - September 2024 (PDF, 82 Kb)
Payments approved by full council September 2024
Payments - July 2024 (PDF, 82 Kb)
Payments authorised by full council July 2024
Payments - June 2024 (PDF, 80 Kb)
Payments authorised by full council June 2024
Payments - May 2024 (PDF, 82 Kb)
Payments approved by full council May 2024
Payments - April 2024 (PDF, 154 Kb)
Payments approved by full council April 2024
Accounts 2023/24
Notice of Conclusion of Audit 2023/24 (PDF, 1.3 Mb)
Notice of Conclusion of Audit for the financial year ending 31st March 2024
Accounts for year 2023 - 2024 (PDF, 67 Kb)
Accounts for the full financial year 2023 - 2024 DRAFT
Internal Control Report 2024 03 31 (PDF, 1.1 Mb)
Report of the Internal Control Councillor as at 31st March 2024
Asset Register as at 2024 02 06 (PDF, 153 Kb)
Asset Register approved by full council 13th February 2024
Internal Control Report 2023 12 31 (PDF, 1.1 Mb)
Report of the Internal Control Councillor as at 31st December 2023
Internal Control Report 2023 09 30 (PDF, 761 Kb)
Report of the Internal Control Councillor as at 30th September 2023
Internal Control Report 2023 06 30 (PDF, 950 Kb)
Report of the internal control councillor as at 30th June 2023
Budget 2023/24 APPROVED (PDF, 140 Kb)
Approved budget 2023/24
Monthly Payment Schedules 2023/24
Payments - March 2024 (PDF, 82 Kb)
Payments authorised by full council March 2024
Payments - February 2024 (PDF, 69 Kb)
Payments authorised by full council February 2024
Payments - January 2024 (PDF, 68 Kb)
Payments authorised by full council January 2024
Payments - December 2023 (PDF, 70 Kb)
Payments approved by full council December 2023
Payments - November 2023 (PDF, 70 Kb)
Payments authorised by full council November 2023
Payments - October 2023 (PDF, 69 Kb)
Payments authorised by full council October 2023
Payments - September 2023 (PDF, 70 Kb)
Payments authorised by full council September 2023
Payments - July 2023 (PDF, 68 Kb)
Payments authorised by full council July 2023
Payments - June 2023 (PDF, 69 Kb)
Payments authorised by Council June 2023
Payments - May 2023 (PDF, 74 Kb)
Payments authorised by Council May 2023
Payments - April 2023 (PDF, 77 Kb)
Payments authorised by Council April 2023
Accounts 2022-23
Notice of Conclusion of Audit 2022/23 (PDF, 1.2 Mb)
Notice of the conclusion of the audit for financial year 2022/23
External Audit Report and Certificate 2022/23 (PDF, 123 Kb)
Report and certificate of the external auditor 2022/23
Notice of Public Rights and Publication of Unaudited Annual Governance & Accountability Return year ending 31st March 2023 (PDF, 127 Kb)
Notice of Public Rights and Publication of Unaudited Annual Governance & Accountability Return year ending 31st March 2023
Annual Governance and Accounting Statements 2022/23 (PDF, 5.5 Mb)
Annual Governance and Accounting Statements 2022/23
Internal Audit Report 2022/23 (PDF, 226 Kb)
Report of the internal auditor for year ending 31st March 2023
Accounts 2022/23 (PDF, 136 Kb)
Accounts for year to 31st March 2023
CIL Monitoring Report 2022/23 (PDF, 13 Kb)
CIL monitoring report 2022/23
Internal Control Report 2023 03 31 (PDF, 2.4 Mb)
Internal Control Report as at 31st March 2023
Internal Control Report 2022 12 31 (PDF, 2.2 Mb)
Report of the internal control councillors as at 31st December 2022
Internal Control Report 2022 09 30 (PDF, 2.3 Mb)
Report of the Internal Control Councillors as at 30th September 2022
Internal Control Report 2022 06 30 (PDF, 2.3 Mb)
Report of the internal control councillors as at 30th June 2022
Budget 2022-23 Approved (PDF, 127 Kb)
Approved budget for the financial year 2022-23
Monthly Payment Schedules 2022-23
Payments - March 2023 (PDF, 78 Kb)
Payments authorised by full Council March 2023
Payments - February 2023 (PDF, 80 Kb)
Payments authorised by full council February 2023
Payments - January 2023 (PDF, 68 Kb)
Payments authorised by full council January 2023
Payments - December 2022 (PDF, 70 Kb)
Payments authorised by full council December 2022
Payments - November 2022 (PDF, 69 Kb)
Payments authorised by full council November 2022
Payments - October 2022 (PDF, 72 Kb)
Payments authorised by full council October 2022
Payments September 2022 (PDF, 74 Kb)
Payments authorised by full council September 2022
Payments July 2022 (PDF, 81 Kb)
Payments authorised by Council July 2022
Payments June 2022 (PDF, 70 Kb)
Payments authorised by Council June 2022
Payments May 2022 (PDF, 69 Kb)
Payments approved by Council May 2022
Payments April 2022 (PDF, 72 Kb)
Payments authorised by Council April 2022
Accounts 2021-22
Notice of Conclusion of Audit 2021-22 (PDF, 765 Kb)
Notice of Conclusion of Audit for the financial year ending 31st March 2022
External Audit Report and Certificate 2021-22 (PDF, 12 Kb)
Report and Certificate of the External Auditor for the financial year ending 31st March 2022
Notice of Public Rights and Publication of Unaudited Annual Governance & Accountability Return 2021-22 (PDF, 131 Kb)
Notice of public rights and publication of unaudited annual governance & accountability return 2021-22
Annual Governance Statement & Annual Accounting Statement 2021-22 (PDF, 5.3 Mb)
Annual governance statement & annual accounting statement 2021-22
CIL Monitoring Report 2021/22 (PDF, 14 Kb)
CIL monitoring Report 2021/22
Internal Audit Report 2021-22 (PDF, 2.9 Mb)
Report of the Internal Auditor for year ending 31st March 2022
Accounts 2021-22 DRAFT (PDF, 109 Kb)
Accounts 2021-22
Bank Reconciliation as at 31st March 2022 (PDF, 412 Kb)
Bank reconciliation as at 31st March 2022
Internal Control Report 2022 03 31 (PDF, 2.3 Mb)
Internal Control report as at 31st March 2022
Internal Control Report 2021 12 31 (PDF, 2.3 Mb)
Report of the internal control councillors as at 31st December 2021
Internal Control Report 2021 09 30 (PDF, 3.3 Mb)
Report of the internal control councillors as at 30th September 2021
Internal Control Report 2021 06 30 (PDF, 2.4 Mb)
Report of the internal control councillors as at 30th June 2021.
Budget 2021-2022 APPROVED (PDF, 70 Kb)
Budget for the financial year 2021/22 as approved by Full Council
Monthly Payment Schedules 2021-22
Payments March 2022 (PDF, 77 Kb)
Payments authorised by Council March 2022
Payments February 2022 (PDF, 69 Kb)
Payments authorised by Council February 2022
Payments January 2022 (PDF, 67 Kb)
Payments authorised by council January 2022
Payments December 2021 (PDF, 69 Kb)
Payments authorised by council December 2021
Payments November 2021 (PDF, 71 Kb)
Payments authorised by Council November 2021
Payments October 2021 (PDF, 71 Kb)
Payments authorised by Council October 2021
Payments August/September 2021 (PDF, 71 Kb)
Payments authorised by Council September 2021
Payments July 2021 (PDF, 70 Kb)
Payments authorised by Council at the July 2021 meeting
Payments June 2021 (PDF, 68 Kb)
Payments authorised by Council at the June 2021 meeting
Payments May 2021 (PDF, 67 Kb)
Payments authorised by Council at the May 2021 meeting
Payments April 2021 (PDF, 71 Kb)
Payments authorised by Council at the April 2021 meeting
Accounts 2020-21
Notice of Conclusion of Audit 2020/21 (PDF, 791 Kb)
Notice of conclusion of audit for year ending 31st March 2021
External Audit Report & Certificate 2020/21 (PDF, 83 Kb)
Report of the external auditor for year ending 31st March 2021
Notice of voters rights and publication of annual return 2020-21 (PDF, 142 Kb)
Notice of voters rights and publication of annual return 2020-21
Annual Governance and Accounting Statements 2020-21 (PDF, 5.7 Mb)
Annual B=governance and Accounting Statements 2020-21
Internal Audit Report 2020-21 (PDF, 196 Kb)
Report of the internal auditor 2020-21
Accounts 2020-21 (PDF, 116 Kb)
Receipts and payments account 2020-21
Bank Reconciliation as at 31st March 2021 (PDF, 41 Kb)
Bank reconciliation as at 31st March 2021
Explanation of Variances 2020-21 (MS Excel, 37 Kb)
Explanation of variance 2019-20 to 2020-21
Internal Control Report 2021 03 31 (PDF, 2.8 Mb)
Internal Control Report 31st March 2021.
Internal Control Report 2020 12 31 (PDF, 2.9 Mb)
Internal Control Report 31st December 2020.
Internal Control Report 2020 09 30 (PDF, 2.9 Mb)
Internal Control Report as at 30th September 2020.
Internal Control Report 2020 06 30 (PDF, 2.5 Mb)
Internal Control Report as at 30th June 2020
Asset Register as at 2024 02 06 (PDF, 153 Kb)
Asset Register of the Council
Budget 2020-21 APPROVED (Excel Spreadsheet, 20 Kb)
Approved Budget 2020-21
Monthly Payment Schedules 2020-21
Payments March 2021 (PDF, 66 Kb)
Payments March 2021
Payments February 2021 (PDF, 67 Kb)
Payments February 2021
Payments January 2021 (PDF, 71 Kb)
Payments January 2021
Payments December 2020 (PDF, 68 Kb)
Payments December 2020
Payments November 2020 (PDF, 68 Kb)
Payments November 2020
Payments October 2020 (PDF, 69 Kb)
Payments October 2020
Payments September 2020 (PDF, 69 Kb)
Payments September 2020
Payments August 2020 (PDF, 70 Kb)
Payments August 2020
Payments July 2020 (PDF, 78 Kb)
Payments July 2020
Payments June 2020 (PDF, 67 Kb)
Payments June 2020
Payments May 2020 (PDF, 70 Kb)
Payments May 2020.
Payments April 2020 (PDF, 70 Kb)
Payments April 2020
Accounts 2019-20
Notice of Conclusion of Audit for year ending 31st March 2020 (PDF, 806 Kb)
Notice of conclusion of audit
External Audit Report for year ending 31st March 2020 (PDF, 556 Kb)
External Audit Report for year ending 31st March 2020
Notice of Electors Rights and publication of annual return 2019-20 (PDF, 6.8 Mb)
Notice of electors rights and publication of the 2019-20 annual return
Accounts 2019-2020. (PDF, 58 Kb)
Accounts for year ending 31st March 2020
Internal Audit Report 2019-2020 (PDF, 188 Kb)
Internal audit report 2019-2020
Bank Reconciliation 2020 03 31 (PDF, 30 Kb)
Bank reconciliation as at 31st March 2020
Payments 2019-20 (PDF, 50 Kb)
Payments made by Hackleton Parish Council 2019=20
Annual Governance Accounting Statement Sections 1 & 2 2019-2020 (PDF, 5.8 Mb)
Annual Governance Accounting Statements Sections 1 & 2
Variances Report for year ending 2020 03 31 (PDF, 55 Kb)
Explanation of variances report 2019-2020 compared to 2018-19
Internal Control Report 2019 12 31 (PDF, 231 Kb)
Report from the internal control councillors 31st December 2019
Internal Control Report 2019 09 30 (PDF, 509 Kb)
Report from the Internal Control Councillors for quarter ending 30th September 2019.
Internal Control Report 2019 08 (PDF, 264 Kb)
Report from the Internal Control Councillors
Budget 2019-2020 (Excel Spreadsheet, 20 Kb)
Approved budget 2018-2019
Accounts For Year Ending 31st March 2019
Bank Reconciliation 2019 03 31 (Excel Spreadsheet, 16 Kb)
Bank Reconciliation 2018-2019
Annual Governance & Accountability Return 2018-2019 - final (PDF, 2.7 Mb)
Annual Governance & Accountability Return 2018-2019 - final
Internal Audit Report 2018-2019 (MS Word, 49 Kb)
Internal Audit Report 2018-2019
Exercise of Public Rights 2018-2019 (PDF, 166 Kb)
Exercise of Public Rights 2018-2019
Explanation of variances 2018-2019 (MS Excel, 41 Kb)
Explanation of variances 2018-2019
External Auditor Report & Certificate 2018-2019 (PDF, 139 Kb)
External Auditor Report & Certificate 2018-2019
Notice of Conclusion of Audit 2018-2019 (Word Document, 13 Kb)
Notice of Conclusion of Audit 2018-2019
Budget 2018-2019 (PDF, 293 Kb)
Final approved budget 2018-2019
Accounts 2017-2018
Annual Governance & Accountability Return 2017 - 2018 (PDF, 24.9 Mb)
AGAR 2017-2018
Internal Audit Report 2017-2018 (PDF, 143 Kb)
Internal Audit Report 2018-2019
Accounts 2016-2017
Annual Accounting Statement 2016-2017 (PDF, 1.4 Mb)
Annual Accounting Statement 2016-2017.
Annual Governance Statement 2016-2017 (PDF, 641 Kb)
Annual Governance Statement 2016-2017
Annual Internal Audit 2016-2017 (PDF, 706 Kb)
Annual Internal Audit 2016-2017
Audit and Annual Return 2015-2016
Annual return 2015-2016 (PDF, 2.6 Mb)
Annual Return 2015-2016
Internal Audit Report 2015-2016 (PDF, 670 Kb)
Internal Audit 2015-2016