Company Reglslratlon No: 3596520
ST. CATHERINE'S SCHOOL, BRAMLEY
(A COMPANY LIMITED BY GUARANTEE)
ANNUAL REPORT AND FINANCIAL STATEMENTS
YEAR ENDED 31 AUGUST 2022

ST. CATHERINE'S SCHOOL, BRAMLEY
ANNUAL REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2022
Index
Governors, Offws and Advisors
Governors, Report
- Structure. Aims and Govemance
- Strategic Report
- Statement of Govemors, Responslbilitses
Independent Auditoff8 Report
Slatemenl of Financlal Acllvitres
Balance Sheet
2-13
13
1418
17
18
Statement of Cash Flows
Notes to the Flnancial Statements
19-20
21-36

ST. CATHERINE'S SCHOOL, BRAMLEY
GOVERNORS, OFFICERS AND ADVISORS
FOR THE YEAR ENDED 31 AUGUST 2022
GOVERNORS
The Govemors of Sl. Catherine's Sch￿*1, and those who served durfng the year, and to the date of th8
signing of this report, except where othemse ststed, are..
Mr Matthew P Lowe MBE
(Chairrnan)
Mr Abert D R Alonzo
Prof Finbarr E Cotter
Mrs Karen B M Fa￿ell
1&5
Mrs Clare S Johnslone {apFN)inled Vice Chairman 1*
April 2022)
Mr John A P Blauth
Mrs Penelope J H Crouch
Mrs Susannah C Fltzsimons
2&4
3&4
1&3
Mrs Caroline R Good
Dr Janet F M¢Gowan
1, 3 & 5 Mr$ Susan E Shipway
2&3
Mr Denis B Ulyet
Miss Veronica M P¢)vey
18ppointed October
20221
Mrs Harriet J K Hounsell
Mr Andrew J Pianca
Mr Jonathan C M Tippett
Bishop Jo Wells (appointed 1st September 2022)
Mrs D Lynn Narraway (appointed 20th October 2022)
2&4
Notes
1. Academic Commlttee
2. Development Commlttee
3. Estale and Buildings Committee
4. Finance and Risk Committee
5. Pastoral and Well-being Committee
Durlng the year the activities of Ihe Gov8mlng Body were carried out through five princlpal committees.
The membership of these committee$ as at 31 August 2022 15 shown abov8 for each GoverrK)r.
The Safeguarding Governor Is Mrs Clare S Johnstone, Dr Janet F McGowan deputised earlier in the year..
the Early Years Foundation Stage {EYFS> Govemor is Mr John A P Blauih.. Mrs Caroline R Good is
Govemor reprtsentslive on the School ICT Development subr￿MMIttee and Mrs Penelo￿ J H Crouch
and Mr John A P Blaulh are Governor representstives on the Bursary and Hardship Awards sub-
Committee wllh Mrs Crouch being Chair. Mrs Susan E Shlpway Is Governor represenlatwe on the Health
& Safety $ulFCommrttee.
OFFICERS
Headmlstress
Prep School Headmistress
Secretsry to the Goveming Body
Mrs Ai¢e M Phlllips
Miss Naoml J Barthdomew
Mrs Dbane E Haeffele
ADDRESS St. Catherlne's School
Station Road
Bramley
Gulldford
Surrey, GU5 ODF
ADVISORS
Bankers
Ltoyds Bank plc
147 High Street
Guildford
Surrey, GU1 3AG
Solicitor5
Farrer & Co LLP
66 Lincoln's Inn Fields
London, WC2A 3LH
Auditor
Crowe U.K. LLP
55 Ludgale Hill
London. EC4M 7JW
Insurance
Brokers
Marsh Insurance Brokers Limited
Capital House
1-5 Perrymount Road
Haywards Heath
West Sussex, RH16 3SY

ST. CATHERINE'S SCHOOL, BRAMLEY
GOVERNORS. REPORT
FOR THE YEAR ENDED 31 AUGUST 2022
The Governoryts of St. Catherine's School, Bramley present their annual Govemors, Report for the year
erKl8d 31 August 2022. including the Directors, Report and Slr21eglc Report, together with the audited
financial statements for the year. The Govemors, Reportand the financial statements have been p￿pared
in acGordance wllh the Financial Reportlng Standard applicable In the UK and RepublK of Ireland
(FRS102), th6 Companbes Act 2006 and the Stslement of Recommended Pra¢li¢e applicable to charities
preparing their financial statements in accordance with FRS 102.
STRUCTURE, AIMS AND GOVERNANCE
REFERENCE AND ADMINISTRATIVE INFORMATION
The School was founded in 1885 and 1$ registered with the Charity Commission undgr charity number
1070858 and a company limrted by guarantee and in¢orporaled under company number 3596520. The
Govemors, executwe officers and advisors a￿ listed on page 1.
OBJECTS, AIMS, OBJECTIVES AND ACTIVITIES
Charltable Objects
The objects for which the School 15 establlshed are lo promote and provide for the advancement of
educatK)n by providing, conducting, governing. carrying on and maintaining in the United Kingdom or
elsewhere, a boarding or day school or schools for girls in which the teaching Shall be In accordance with
the principles of the Church of EThJland.
Publlc Ben•fft, Aims and Intend•d Impa¢t
In meeling these obj'ects, St. Catherine's publi¢ benefit aim is to inspire puplls lo make the ￿K)st of their
abilities by providing a happy and secure environment where aca(Jemic exCeller￿e is combined with the
wijer development of the individual's personality. The School aims to develop pupils. skills of leadership.
r9sponsibility and reliability. while encouraging respect and concern for others in the wider community
and a desire to contrfbute personally and through St. Catherine's School in corporats activities.
A girl ￿VIng St Catherine's shouhj be a Confident, independent thinker and leamer, secure in her own
bellets, able to make sound moral judgments and Implement them wth compassion. She should be ready
to seize opportunities to exF4ore the world. makg deCis￿n8 and lake risks, confident to embark on the
unknown, equippe(I to rige lo any challenges lrfe may present. and with the resiliencg and strength of
Gharacler to overcome adversty.
The Governors are mlndful of the long-standing need lo provlde publk benefrt and of the requirements of
the Charities Act 2011 and have had regard to Charity C(#mmission guldance on public benefit.
In order to ensure that our publK benefit is available to Ihose who could not ot￿￿Se afford to attend at
St Catherine's, the Govemors agreed lo provlde funds up to the maximum value of 5% of fee income lo
fund bursaries. including extras for cases of greatest need. In recent years, a grea18r ft)GUS has bean
aced on 11+ bursary places. wth the aim of supsy)rting the successful applicants thrwghout all 7 years
of their senlor schooling, subject lo annual review.
Bursaries are 8vallable for both day and boarding f8es as boarding can be particularfy helpful for giAs in
need of educational or family stability- The Governors also continue lo consider case$ of hardship for
current pupils lo enable them, wherever posslble, to finish the key stage of education that they are in at
the time of the family experienclng hardship.
Atl bursaries arg me8n$ tested and, almost invariably. include a home visit to ascertain real need. In
deading on the allocation. the Bursary & Hardship Awards sut￿COMMIttee continues lo fccus on local
gills who would benefft from an award. In most years, one or more Sixth Fomi HMC {The Headmasters.

ST. CATHERINE'S SCHOOL, BRAMLEY
GOVERNORS, REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
and Headmistresses, Conference) scholarfs) from Eastem Europe are accepted on a fvll bursary wRh
extras. Invariably those students are supported for their iwfryear sixth fomi education.
In addititin. during the year and in response to the escalating situatlon in Ukralne after the Russian
Invasion, the School admltted 4 Ukrainian students on full BurSar￿S, 3 In the Senlor School and 1 in the
Prep School who has Started to attend full-lime in September 2022.
The School provided £1.215k12021: £1,273kl of assistance in bursaries, scholarshlps and other awards
lo a total of 135 (2021- 150) pupils.
The School ¢ontinue$ to develop Its exislir#J Ilnks wlth state schools in the Immediate locality, particular
doser working partnerships wfth Bramley Infant School and Gosden House {a special needs sGhool
almost adjacent to our slle)- Overseas, there are historlc Ilnks ￿th the Magnet Orphanage and School,
Nairobl.
Fdlowiro the lessening of COVID-19 limitations we h8ve sI￿Y welcA)med local first schools back to St
Catherine's swimming pool to teach swimming on a weekly basis in term lime WIth￿t charge. Swimming
coaching in these sessions is also provided free of charge. We eontlnue to encourage extemal students
lo use the music facilities to facilitate university courses. A local ￿Mary school was able to join in with
some scien￿ Wcfkshops and Jubilee celebrations.
Free percus$h)n lessons were glven to a Ukralnl8n refugee with full equipment being loaned for thi8 in
Summer 2022.
We continue to [￿VIde Gosden House with the use of a minlbus on a weekw basls free of 811 costs.
Senior Schwl girls painted a mural and cre8led a water featu￿ In Gosden House playground.
Community Links
All links for the whole of the pasl year ¢onb'nued to be curtailed due lo COVID-19 restrictions vthich is a
great regret. Going forward, now all ￿$triCtionS are lrfted. we will again offer the use of our Auditorium
and boarding fa¢ilitie$ to external causes. Our equipment and minibuses will be available for loan lo local
events. Our car parking facilities remained accessible when needed and this year have suptM)rted several
major even18 taking place in Holy Trinity Church, Bramley.
Local charities were abl8 to use our facilities for a few events in¢ludlng Qulz Nlghls 8nd a Ball and Fund-
ralslng Dinr¢er.
The School continues to encourage links with the communlty and has carried out as many of rts regular
activilies as posslble as the regtriclions were bein9 Itfted after the pandemic.
Tho Senior School girls performed at a charitable con¢ert held in Shalford Church In June 2022 and gave
rnncert at Cranlei9h Arts Centre in February 2022. Prep School girls were, once again, able to sing to
residents at Blunden Court on two occasions in October 2021 and February 2022.
We continued to teach a Microsoft Office Speci81istcoursefree of charge a￿1 three local residents passed
in June 2022.
Mu5i¢al equipment was loaned to Bramley & Blackheath Choral Society. We were once again able to
print lh8 Newsletter for the Bramley History Soryety.
In the Summer Term a5 restrictions eased, the school provided choir members to Holy Trinity c￿reh,
Bramley to support worship. We have also supported the Church wlth pupils helping at church events and
staff assisb'ng with parking and grounds work when requested, and through making donations. The culture
of helping others continued where possible, Wfth staff helping pupils to support charitable ventures often

ST. CATHERINE'S SCHOOL, BRAMLEY
GOVERNORS, REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
promoted by the wpils themgeives through their own corKerns and interests. Many dnyerenl charities
were. therefore. promoted and at every opportunty the pupil$ were ent))uraged to leam about the charty
themselves.
St Catherine's School co-operates wlth local and national Charl￿e$ to share cultural and 5Fllrting facllities
and to wlden public access to the sch¢)oling provided so as to opllmi$e the educational use of rts facilitles
and. in the public interest, to Improve the awarene$s of ils puplls of the social context of the all-rour
education they recewe. The School also benefits from the nelwork of former pupils and current and former
parents through the SL Catherine's AsSo￿atiOn. whose support is gratefully acknowledged.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Govornlng Document
The Charity is governed by Its and Articles of Association dated 10 July 1998.
Governlng Body
The School Is governed by Its GoverniThJ B¢)dy, delails of which are Ilsted on page 1. 11 is 8 self-apwlnting
ix)dy, one third of whose members relire eath year. but are eligible for re-electlon. subject to mandatory
retirement at Ihe AGM following Ihew 741h birthday. Governors who reach Ihe age of 74 mid-year will
sometimes be requested to complete the academic yearfor continully. The Govomors a￿ selected based
on eligibility. personal compelents, specialist skills and affinity to the School. New Govemors are inducted
Into Ihe worklng of Ihe School. Including Board workings and procedures, through mentoring by existing
Governors and an Induction programme organiyed by the Headmistresses and the Combined Senior
Management Team members, which Includes thorough Safeguarding checks and Irainlng.
Regular contact with the day-tt>day running of the School is maintained through the Chalrman of
GoverrKvs' monthly meeting with the Headmistresses and the Chief Operatlng Officer, the routlne
¢onmittee meetings of the board and the main board meeting, and In ad¢Jilion, the half-yearty Govemors,
Days where Governors are invlled to visit lessons, activities and attend training sessions on the
Independent Schools Standards Regulations IISSRs}. In addition, the Governors are warmly invited to
attené events such as concerts, drama productions and special ￿lebratOry days elc. Th8 Governors are
aware of the Charity Governan(* Code updated in 2020 which Sets oul the principles and recommended
practice for good govemance within the s￿•r. The Governors are satisfled that the Charity applies the
principles of the Code within its current govemance arrangements.
The Govemors, Poltcy Statement (its strategic plan) for 2016-2021. was due for revigw and thls was
delayed by Covid 19, bul the Board has held a Strategy Day in 2022 and is planning into the future with
optimlsm. The outcomes of the 201&21 policy were revlewed by the Board as usual in their June 2022
meeting and all largots have been mel or exceeded other than one addit￿n81 building project delayed by
th8 impa¢t of the p8nd8mi¢ as outlined below.
Organisation31 Manag•mw
The St Catherine's School Governors, a8 Truslees of the Chartty and Directors of the Company, are
legally responsible for the overall managementand control of St. Catherine's School and meetthree times
a year. Th& work of implementlng their policies18 carried out by the various Cornmrttees noted on pag8
1, who meet ￿ or three limes a year In the weeks leading up to the meetings of the Governors.
The principal Governors, Committees are as folknvs". -
Chai
Profeswr Finbarr Cottgr
Mr Albert D R Alonzo
Mr Denis B Ulyel
Mr Jonathan C M Tippett
Dr Janet F McGowan
Academlc
Development
Estate and Buildings
Finance and Risk
Pastoral and Well-being

ST. CATHERINE'S SCHOOL, BRAMLEY
GOVERNORS, REPORT ICONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
The day-to4ay runniTrJ of the School is delegated to the Headmistress who Is supported by the
Headmlstress of the Prepwalory School {Prep School), the Chief Operating Offlcer. and the Senior
Management Teams in both Schools who together make up the key management personnel. The
Headmistresses, the Chiefoperating Officer and relevant members ofthe Combined Senior Management
Team attend the Govemors, Board meetings.
Remuneration 1$ set by the Governing Body with the objective of provlding appropriate incenllves to
encwrage perfomance and rewarding all staff contributions to the School's success. Nearly 811 staff are
aprrf)inled lo a clear salary vale. vknich 13 updated #nd publlshed annually after the Governlng Bo
agree any annual uplrft.
The Charty has a wholty owned subsidiary, St. Catherine's Enterprises Limited, and this is used for the
trading of the School Shop. Anniversary Halls Bar. Forum Café and Sports Club. The School sI￿p sells
the new School unrform and related equipment. Any surpluses are grft aided for the benefit of the Schcd.
STRATEGIC REPORT
Obj•ctiv•s for tho Year
This year the School has continued to maintain its ￿￿deMiC performan￿ and a hlgh standard of pastor
¢are which are annu81 objectives of the governiThJ body.
The widening of avaiLgbility to a St Calherlne's education, a regular oblectNe, has been maintalned
through bursary provision and the School a￿£y5 look8 for new ways lo encourage l(xal school chlklren
lo use the facilities for educational purpose5, as outlined above.
Readiness fcr routine inspection by relevant authorities Is an annu81 objective but the Independent
SGhools Inspectorate (ISI) suspended inspections due to school closures, resuming again in April 2021.
By way of reminder, in October 2019 the ISI undertook a Compliance InspectSon of the SctK>oI and SL
Catherine's was found to be compliant with the Independent Schools Standard$ Regulations in all areas.
The Govemors, ten-year development vision for the School - Create the Future - launched on Spe6rh
Day, July 2017. continues as a fo(yJs for the community. Aftei the wmpletion of The 6. work on 'The Art
& Makerspace" commenced in the Summèr Tem 2021 and concluded in August 2022. However. a new
STEM and Library space'The CATaty5t', is on hold because of the impact of the pandgmiG and (#Jrrent
finan¢lal pressures of inflation and the impact on energy Costs due to the war in Ukrain&.
The School confirnied that. regardless of Its ongoing ambitious development plans. the focu¥ for
expenditure should continue to be on keeping the fees increases as low as possible for fvture years.
whilst maintalning the Governors. top strategic Priofities, whlch relate to the educatK)n provided by the
School, recruitment and retention of first-rate teachers and prudent financial management.
Prfncipal Activitles of Ih? Year
The School provides day and boarding education for gids from the local area, a wlde catchment area in
the United Kingdom and from overseas. This year the Senior School averaged 629 (2021.. 640) pupils of
whom 14312021: 123) were boarders and the Preparatory School averaged 229 pupils (2021.. 2481. The
total number of girls in the School In September 2022 wa8 843.

ST. CATHERINE'S SCHOOL, BRAMLEY
GOVERNORS. REPORT (CONTINUEDI
FOR THE YEAR ENDED 31 AUGUST 2022
REwew OF ACHIEVEMENTS AND PERFORMANCE FOR THE YEAR
202112022 was sllll affected by the ongoing COVID-19 pandemic Ihough restrictions gradually eased
throUgh￿t the year and th¢ requir8menl for routin6 lateral flow testing diminished and then ceased in
Aprll 2022. Public examinations were tsken in person agaln for the fir51 time $in(e 2019 and il was
pleasing to see exceptional outcomes al A Level and GCSE, reflecting the hard work and commitment of
staff and puplls during the pandemic years.
The iPad programme is now embedded throughout the School and is an unqualified succe8s. Pupils and
teachers continue lo embrace new technology with enthusk%m and digital learning is a routine discussion
poinl at Staff meetings in both areas of the School. Largely used as a resource initially instead of
textbooks. Ihe staff continue to use iPads and Google Classrwm as a digital reposttory of resources for
all dasses in Llll lo U6 as well as some wrltien wryk.
As oudined above, during the year the work lo extend the John Palmer Arts Centre to create the new Art
& Makerspace was undertaken and completed, moving all creat￿e arts subjects under Of￿ roof and
providing an excellent new re80urc8 for these subjects.. Art, Ceramics, History of Art, Textiles, Design
T￿hnOlOgY, Computer Aided Design, Phologr8phy aThJ Cullnary Arts.
The most notable achievements despit8 th& ongoing the pandemlc are summ8ris8d below.
Preparatory School A¢hlev•mènts
Llll (Year 6) pupils 98ined senior school places at St. Catherine's, Cranleigh Prep, Prfofs Field.
Farlington. Tormead and Guildford High Schc(sl (GHS). Girls were awarded an Academic Scholarshlp
and three Instrumental Awards al St Catherine's and offered iwo Academic Scholarshlps and an English
Exhibition at Prior's Field, 8 Music Exhibition at GHS and an Academic Sclbjlarship at CranIe￿h Prèp.
In Music, all concerts are now livestreamed and recorded for the website. Some of the Whole School
performance hlghlighl$ inclLtde the Carol Sefvlce. Harvest Festival and Sprlng Con￿rt. Solols18
performed in regular informal concerts ¢ulminaling in one special Prep Soloist Concert in March. Each
y8ar group had a small performance ofiheir own: PPIII String Scheme Concert. Fl Wind Scheme Conce¢
Ull Tudor Masque. Llll Production. En$emble$ Ferformed al Gosden House, sha￿Ord village Hall.
Reigate Music Festival and the Children's Trust Concert. As the group 'Skip a Beat,, four Llll girt5
pgrfomied al Tang18y Mantsr and al the Senior S¢Pw)ol Jazz and R¢xk concert. Girfs contributed conlenl
for a series of Soundscape podcasts which include highlights from ea¢h term and are aVaila￿e on thè
Schoof website. The Christmas edition was 8hared wlth local nursing homes.
Glrfs took part in RAD and ISTD dar￿1 lessons in tap, modem and ballet. achieving Some outstanding
results. The LAMDA department continues to expand. arKI the girls a￿ thrivSng in thelr LAMDA lessolls.
We saw some 61 girls lake gxams in 2022 with fantastic results. Gtrls enjoyed learning new skills during
Muslcal Theatre Club and Llll glrts made their own prop5 for their Llll productlon of The Lion King. The
girls have had varying performance opwrtunits'es Ihls year and the Pre-Prep charmed and entertained us
with Ihelr dancing in the Nativity. Glrls have also enjoyed performiThJ to parents in their infomial watching
dasses throughout the year aThJ PPI lo Llll glrts particlpated in an exciting Chinese dance workshop.
The Prep School celebrated the Queen's Platinum Jubilge tcoether with Bramley Church of EnglarKI
Infant and Nursery School and Go8(J8n House School. Children from the thiee $choo15 enjoyed a stwl
party-style picnic lunch and a costunk parade and came together to sing 'Legacy'. a song specialty written
and comp)sed by the Prep Diredor of Music.
Girls from PPI lo Llll contributed lo a new prayer book for the Prep S¢t¥Jol by writing Indtvidu81 prayers,
with topics induding famrly and frlends, food, nature and people in and the community.
In Athletics, gids qualified forth? National Prep Schools Athlelics finals, took part in Wesl Surrey Athletics.
and were placed 2nd as a schocl in the District Athletics competltlon. Sports Day and frlendly athletics
matches are enjoyed by all.

ST. CATHERINE'S SCHOOL. BRAMLEY
GOVERNORS. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Cricket 15 a developing sport wllhin the School and gids are learning the fundamentsl skills whlle being
introduGed to the gam8 through fixtures and coaGhing matches.
Cross country continues to b& a ￿pular activity with girls competing In the Surrey S¢hools Cross Country
and GHS events. Cross county dub is very w911 attended an(1 over 240 runners look part In the Autumn
cross county evenis at st Catherine's, where thè U11 team finished third.
In Gymnastics, the glrls have enjoyed much success and a¢hleved excellent results thi8 year. The House
gymnastics competition was a highlight for many girls and much planning and preparation went into
routlnes and choreography. Girls also competed in the IAPS and ISGA Gymnastlcs competitions wth 32
glrLs selected to represent Sl Catherine's at these p￿StigIouS events. The Ug and U11's medalled in their
group floor routines.
In Brathlon and Aquathlon, girls qualrfied for I￿0 Natlonal Fin815 and did exceptionally well. In the Modem
Biathlon final. the U10 tgam came 3rd overall wlth tsvo girls finishing1n the top 10 nationally. Girls were
placed 4th overall in the Schools Biathlon National Finals. narrowly ml8slng out on a medal placing. An
indusive Aquathlon event for all girls in Fl to Llll was held, raising fvnd8 for DEC Ukralne fund.
In Netbdl, teams have enjoyed great success In their mat¢h88 and have thrlved on the challenge of
Competitive games. The U11A team competed in both IAPS and Surrey County Nelball. U11As won the
bronze medal place at the regional IAPS competition and ml8sed the nationals by jusl on8 point. All age
groups have had the opportunity to attend additional Iralnlng sessions throughout the ye¥ arxl play
competitive matches against other schools.
Swimming continues to be a popu18r sport with many g￿S attending swimming dub on a weekly basis.
Th8 U10 and U11 swimmlng team qualif￿ for IAPS Nalionals as the second fa51e5t relay team and have
also qualified in thelr Indlvidual events. The comblned U101U11 team also qualified for Ihe South East
regiona15 in ESSA wllh one of the f8slest times natlonally and the girls should remain extremely proud of
their achievements. A swimming Aqualhlon IIM)k ￿aCe in the summer term to raise money for Breast
Cancer Support. Sports Day was a great success. with gids from Teresa House gaining the most points
for Pr&Prep and Pankhurst House for Prep.
Over £9.000 was raised in support of worthwhlle charities induding DEC Ukraine appeal, Salvation Army,
Breast Cancer Now, St Peter and St Paul's Church, Gcéalming. The Samson Centre, IAWF, Make a
Wish. Challengers, Book Aid Intemational. Slripey Stork$ and Surr8y Care Trust. Harvest Boxes were
donated to the Salvation Army to help local homeless people and struggling familiey. Llll girfs I￿k part
in an exryting project during the Sprfng temi to raise funds for their chosen charity, Challengers. Teams
of glds researched, designed, made and marketed products which were sold at the Prep May fair, raisiThJ
£350.09 for charity.
Over this year, girls from the Eco Team had the opportunity to take part in promoting eco inltlatives such
as a poster competition for reducing alr pollLrtlon around school. a promise to the planet for COP26 and
the Great British Spring Clean. Girls also helped to renew our school Green Flag Eco Status as part of
the Eco Schools Programme. Gids enjoyed b8coming engaged in environmental issues. whelher
members of the Eco Tetam, or in(iNlduals with a passion for tsking care of the planet. This is evident in
the actions of pupils took it upon themsefves to bulld awareness around f￿￿ waste and bkKliversr
within school and the local community.
The Lower111 production of The Lion King took place in Juty and many St. Catherine's parents and guests
enjoyed the perfomiances in the Anniversary Halls. Llll girfs participated In a drumming worksW as part
of Iheir preparab'ons for the production, and also enjoyed Evacuee Day with a guest speaker talking about
hw grandmother who had been a secret 4ent In France durfng WW2.
During Science Week, the Sclence monitors asslsled wrth a range of acllvltles including competitions, a
Science knowledge qulz and acrostic poems. PPIII gids vtsiled the Wonder Lab for the f￿st lime and
guidp•J by the Llll monltors. completed rnag￿ experlments using glitter. Pre-Prep girls. together with pupils
from Bramley Infant School. enjoyed taklng part In the Science show 'Bubbles and Balloons. Fl to Llll

ST. CATHERINE'S SCHOOL, BRAMLEY
GOVERNORS. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
girls and pupils from Tlllingboume School enjoy&J the show 'Do you want to be a Superhero S¢ienlisfJ'
th Davld Afien and Alex Sinclalr and a visit from @sclencemadesimple. Three Sixth Form girls spoke
lo the Prep Schcd about their 'A' level s¢ience choices and ongoing career aspiration$ in STEM during
an inspiring assembly.
Girls enjoyed several excellent presentations and talks arKI pre8enlalions from inspiring speakers during
the year. PPII and PPIII enjoyed an online author talk with conservalionigt ané author Sarah Roberts. To
coincid8 with Wodd Environment Day, World Oceans Day and Wortd RaInfo￿$t'S Day, Sarah gave a
passional8 and in8plrlng talk about caring for our planet and the love of readlng. Chitra Soundar is an
international author and has publlshed over 60 ¢hildren's stories. Her storytelling, inspired by folklales
from India, Hlndv mythology and her travels around the world, had the girts mesmerised.
Chess dub and chess m8Sterdass continue to be popular with Prep girls taking part in sever81
tournaments including the IAPS chess lournamenl al Twickenham Prep, ably guidgd by Mr Martln. our
choss master.
Ull girls particlpaled in a mock wodding in the ￿h0o1 chapel followtrj by a reception in the Cottag6
Garden. Fl and Lll girls took part in a French café with Lll girls serving as waitresses to Fl girls and all
girts able to Lrtlllse their French in an interactive way. Ull also participated in a Tudor Showcase whi
they performed to their parents. This cross-curr￿u1ar activfty consolidated their leaming in Hi810ry,
English. Musrc armj Drama.
Prep Schwl girts went on a variety of trips induding day trips lo S￿￿eY Hllls Forest School at Birt18y
Hou$e, Aice Holt Forest, Sayers Croft. Chichester Harbour. Legoland and Butser Farm, Hampton Court.
Gulldford anii Liquid Leisure. Residential trips induded a Iwo-day s&er￿e/EnVlr0nMental trip lo Holmbury
Sl Mary, a three4ay History-based trip lo Dorsel and trips lo France and the Isle of Wight. Girls from PPI
to Ull were pleased to invite their parents lo come Into school to view IhelT work during adapted @Home
sessions. Grandparents also enjoyed the opportunity lo visit thoir granddaughters, classrooms and view
theii work in the Summer Term.
Senior School Achlévements
In the Senior School, results at GCSE were.. 46% al grade 9, 71% at grad88 9- 8 and 91 % gr8d95 9 to
7. In thg A Level examinations 78% were al grade A.. A194% at grades A'_ B).
67 gids gained a place at university this year, including 4 at Oxbridge. wlth a further 11 girls going the
post44ualification route. 7 are laknng up places overseas induding USA Ivy League colleges, University
of Peking, Universlty of Belgium and Unlversily of Leipzig. .
The Musrc Departmem has been dellghted to return to alrnost its usual full musical provision during 2021-
22, complete with tho customary larg&scale celebrations of music in the St Catherine's Day Gala Concert,
Jazz and Rock Conc*rt, and the Middle Schod and Senior Summer Concerts. Cantores returned lo sing
Choral Evensong In Winchester Cathedral in person. the plt orchestra relumed for our whole sohool
production of OINerl as well as the L6 production of High School Mu&c81, and we enjoyed concerto
performances from a numb8r of our senlor Music Scholars past and present. 12 girfs attalned their Grade
8 and 4 gained their Diploma.
CompetitNe sport ￿tUrned V￿th the 111 Lacrosse team belng plac8d 3rd in the Nationals. U19 Surrey
County Champions. South Easl Schools Champions and Challenge Cup Champions. The 2r￿ Lacrosse
and U13 teams were (xowned National Champions and Surrey Cour)ty Champions along with the U15A,
U14 and U13 la¢rosse tearns. The U15 Netball team were crowned SurTey County Champions and won
the SSMC Netball Cup. Many girls also gained individual honours in a variety of sports.
IVS been a year pa¢ked with creatNity in the Art, Textiles and DT Departments. Ceramtcs are now back
th the kilns runnSng full tima. The summer exhibrtions of GCSE and A level work fftsumed and Art and
Texldes moved into the additional space In the new Art & MakerSp&e twJlldlNJ this Autumn.

ST. CATHERINE'S SCHOOL, BRAMLEY
GOVERNORS, REPORT (CONTINUED
FOR THE YEAR ENDED 31 AUGUST 2022
The School's own Culinary Arts Course has now completed its first year and 18 rKJw based in the new Art
& mak￿Space burfdlng.
The senior Chess squad retumed lo face-to-face training weekly with Mr Martin, our Chess master.
Furthermore, the team had the chance lo play in a couple of friendly malches whlle advanclng to the
second round of the Surrey League. We hosted the National Chess semi finals on 9th October.
Live DebatirwJ has returned with compelitions als0 taking place on Zoom. We won the regional rounds of
the Cranmer Awards and the Rotary Youth Debates Competition whith we were delighted to host. We
also won the ESU Winston Churchill Public Speaktng medal with one girl beiro Best Speaker on the day.
There have been numerous charity events undertaken by the six School fvwses plus 4 mufti days. The
Sixth Fomi Charitie6 Board had tsvo separate Christmas events.. The Lower 6 paty, 'A Not So Silgnt
Night, and the Upper 6 party raisin9 funds for the sixth fomi leavers, fund. These •v¢nts were followed in
March by the annual aThJ highly successful Talent and Fashion show.
This year the Drama Department were able lo stage a whole srttt*l production of Oliv8r. All the studgnts
rose to the challenge the result was a joytul parade of mu$i¢al, acting and technical talent. The Drama
GCSE and A-level Students produced wor)derful performances a$ part of their practical examinations. A-
level groups performed duologue$ from the plays Agnes olGod by John Pielmeier, Things I know to be
Trug by Andrew Bovell, and Steven Berkoffs Melamorphosis, while the GCSE students p8rfomied
monologues from a wide range of Challenging texts, induding Duncan Macmillan's People, Places and
Things and Dennis Kelly's DNA.
Siuderrts entered the United Kingdom Mathematical Chall8nge, achieving overall 24 Gold ¢ertift4te$,
with 27 students qualfying for higher rounds. In the UK Mathematical Olympiad one girl gained Dislinclion
and in the Junior UKMT 25th Anniversary Challenge one girl was awarded 'Best in School,. A Sixth Fomi
team of U6 and L6 Further MathematKians entered the Ritangle Maths ¢ompetilion over a period of 15
week5, once again coming in Ihe top 40 oul of 200 s¢hool$ who entered.
This ha$ twi a good year for D of E wlth most of the acllvllles slowty retuming to normal. There are girts
in every year group from U4 to U6 taklng part in a range of skills. physical activities and volunteering as
w41 as the expedllons. The D of E expedition programme fcff 2021122 has run as normal, wth groups
camplng. bunk-barnlng and youth hoslelling in the Surrey HilL8. The South Downs, Dartmoor, Wales and
The Peak District. 36 glrls completed their Gold expedition in the Brecon Beacons this summer and 34
girls from the last few years were finally able to attend Buckingham Palace lo Collect their Gold Awards.
Voluntsors
The School is indebted to the Parents. Asscciations and many volunteers in both Schools, whose valuable
Supp￿ is gratefully acknow￿ged. It is especially gratefvl lo the many retired members of staff who
return to work in 8 volunleer capacity. the Prep School parents who assist in the library, parents of the
casts of our playslmusicals who help with the dramatic producttons and members of Ihe local community
who are involved with the School. This year there have been 32 volunteers $upportlng the school, gNing
in th8 region of 3,168 hours of their valuable lime.
FINANCIAL REVIEW AND RESULTS FOR THE YEAR
The net Income for the year was £273k12021'. £855k). This differer￿e betsveen the net In￿Me this year
and last is in part due to the strategy of bringing forward expenditure on several projeds that were
previousty scheduled for 2022-23.
To S￿re the longer-lemi future of thè School and as part of the Governors. development vision entitled
'Create the Fuiure. which was launched in 2017, The 'Art & Makerspxe. extension lo the John Palmer
Arts Building was constructed from Summer 2021 to August 2022 and opened in September 2022.
Plannlng pemilsslon granted for'The CATatysf ScienCe￿eChnO1ogYlL1brary building project wa5

ST. CATHERINE'S SCHOOL. BRAMLEY
GOVERNORS. REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
nfirmed. though the final build has been delayed by Ihe pandemlc and curr8nt global finan¢lal
uncertainties.
Re8er¥o8 Policy
Total funds of £33,913k12021.. £33.640k) consist of a p&rmangnl endowment of £6,953k {2021.. £7.053k)
an expendable enéowm8nt of £188k {2021- £188k). oslricted fund$ of £784k (2021.. £1,031k) and
un￿striCted funds of £25,988k12021: £25,368k). Th8r8 are no free reseryes as the unreslricled fvnds
are Invested in land and buildings.
The School's financial viability is secured by strwing to achieve regular annual surpluses through careful
aTrJ prudent financial management, and further secured by the substantial property portfollo outside the
main school sries that is primarily used for staff accommodation. Funding of capllal projects and
necessary day to day working capitsl is mel by careful management of the School's liquid resources,
togelher ¥￿th fees paid under the Fees in Advance schem8 and an overdraft faalty from the School's
bankers and long temi loans as and whgn requiied.
The intentlon of the Govemor5 is to use the Schcol's annual operating surplu8 towarijs continuing to
improve the current faciltties, investing in them for our long-term fubjre. It is therefore unlikely, in the
medium term, that there will be fre8 reserves.
Going Concgrn
The Governors are conscious of the general economlc p￿t￿re and market uncertainty and continue to a¢1
tvudently. However. the most important effect on our financlal position is pupil numbers and lo date the
School has seen an improvement of the forecast numbers aThJ no signrficant change In the numb8r of
applications.
St. Catherine's is well placed to maintain pupil numbers and to contlnue at the Current level of ￿tivitywIth
registrations for both Prep and Senior School8 remaining strong. The Govemors. planning process
manages the business risk and Indudes finanoal prolections for up to 15 years and has taken into
consideration the current eGoncmlc climate and its potentlal impact on income and plan￿d expenditure.
The risk assessment and financlal projections are regularty ￿vieWed in the Itgm of en&rgy costs.
governmgnl interventions arKI other exlemal economic factors. Additional Governing body meetings are
held in response to the changing exlemal fa¢tors as evidenc4d m051 recently in a full Goveming Body
meeting held to review a potential large capltal spend. The Govemors have a justffied expectation that
our bank borrwng facilities provide an adequate safety net should it be required. The financial
statements have therefore been prepared on the basis that th8 charfty wntinues lo be a goSng concern.
The Th)te on going concern on page 21, wilhln th& Accounting Pollcles. provides fijrther Snfomiatlon
supwiirKJ this condusion.
Rlsk Manag•ment
The Governors are collectlvely ￿sponSible for the management of rlsks faced by the School. Detailed
considerations are delegated lo the appropriate Commlttees and the Comblned Senior Management
Team. A review of the School's risk management processes is carried out regularly.
The key Gontrols used by the School include:
formal agendas for all Board and Commlttee meetings..
temis of reference for all Committees..
Strategic planning, budgeting and managemgnl ac¢wnllng,'
organisalional stnjcture and Ilnes of roportiThJ,'
clear aulhorisalion and approval levels.,
vetting procedures required by law for the rffotection of vulnerable children arKI adults.
10

ST. CATHERINE'S SCHOOL, BRAMLEY
GOVERNORS, REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Principal Rlsks and UnGertainti•s
The key rtsks are the ablllty lo malnlaln the numbers on rdl. to retaln key staff, manage the pressures on
costs and antlclpale and respond lo a changing polllical and economlc envlronmenl.
Both pupll numbers and slrategi8s and events which furth8r advertise the School are reviewed in monthty
marketing meetings.
To mitigate the risk of losing key staff the Headmislre5ses have intemal systems, includlng Staff Review,
whlch allow the conduit of Ideas for developm&tt of individuals.
The Governors ￿ntinUe to tKJh￿Y monitor the financkql position of the School through regular reporting
and review through the Finance and Risk Committee.
The Governors are satisfied that the major rlsks that have be8n Idenlrfied are adequately managed. The
Govemors recognise that systems can provlde onty reasonable, but not absolute, assurance that malor
rlsks have been adeouately managed.
Fundralslng Perfo￿anCe and AGtlvltleg
The St Catherlne's communty ha$ generously donated £338k12021: £196k) for 8p8cKlc cause8.
st Calherine's School doeg not use any o)mmercSal partiCiP8tors In its fundraising activkies. All
fundraising activities for St Catherine's School are carried out by School staff. parent5 and pupils. These
actNitles are man8ged by the Director of Development and are monitored through the Development
Committee, wllh overall oversight by the members of the Governing Body.
The School has In place a Statement of Ethlcal Fundrablng and a Gfft Acceptsnce Policy avallable on
request to any community member. The Statement of Elhlcal Fundralslng outlines the procedures that
would be followed In the event of a complaint belng re￿Ived. If a complalnt is not res0￿ed to the
satlsfactlon of the donor in liaison with the Development Diredor, the complaint wll be escalated for
resolutlon by the Chair of the Development Committee and Headmislres3. The Chair of the Development
Committee and Headmistress will be informed about all complaints. No comptaints relating to fundraising
actNities have teen received by Sl Catherine's SchcLIl during the current or previous financial year.
The is an organisational member of the Chartered Institute of Fundraising and has reglslered wth
the Fundraising Regulator and complies wtth the Ccxje of Fundralsing praC￿ce as publlshed by the
Regulator. The School publishes and abides by the Regulatorfs Fundraising Promise.11 is also a member
of the Council for Advancement and Support of Educallon (CASE). In all fundrafjsing aGlivf(les th8 Schwl
refers lo put￿lshed best pr*ice. The *hool has processes and controls to ensur8 that vulnerable adults
are protected in regard lo Association and Development aGtivities and ha5 published a paFer outlining
these which is wblicly available on the website.
The School seeks to avold any unreasonable intruslon ¢)n a person's privacy from fvndraising acuvities
and its practlces In Ihls regard are outlined In the School Confldentlallty and Prfvacy Pollcy.
FUTURE PLANS 2022 - 2023
The School's key obJ"ective8 are to:
ertsure that there has been no long-tem detr1￿￿tt to pupils, leaming caused by lost learning
during the COV￿ parKlemic'
malntsln low pupillieacher ratios. which we belleve give girls the necessary attention to enable
them lo develop their academ￿ skills to full poterrtial;
11

ST. CATHERINE'S SCHOOL, BRAMLEY
GOVERNORS, REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
appolnt and relain the best teachers as specialists al all leve15, aiming to broaden the dlverslty
of the staff body wherev6T tM)ssible wtthin these ￿ltOn?,.
ensure that pupll and staff wellbeing Is a wority,.
opkn'mise the numbers on the Schc*J roll,.
continue lo promote the School as a top academic boaidirKJ school to natlonal and Internal￿nal
students, particularly celebrating the exGgllent facilities for all ag￿roupS, uJlminating in The 6
t*)ardinglsocial space for Sixth Form students opened in 2021.
maintain the high stsndards of academic achievement demonstrated by 11+ ￿jIComa8 and
recent years. public •xaminalion results an¢J excellent universtiy plxes gained:
continue to monitor last yearfs move to a Sixth Form curriculum of 3 A Levels from the outset and
a subsldlary subject chosen from a list of either alternatlve GCSE or equivalent qualrficaiions or
actwities undertaken for pleasure and respite from A Level study..
widen access to the School through the continual promotion of bursaries (hèlp wrth fees) to
include entrants supsy)rted on means tested bursaries of up to 100% of fees for appropriate
appllcants al 7+,11 + and at 16+,.
fo¢u$ with Sensitivity on continulng lo raise Equality, Diversity and Incluswlty as matters for
discussion and grealer understaThJlng through a Cross<￿rrICUlar and pupilneacher worklng
group",
corrtinue to develop 2nd celebrate our work as a leading Schod In Dlgltal Learning through the
gradual Introduction of the OneNole application. and pursue the ￿ViSed strategy to provide iPads
lo students in Years 5 and 7 whl¢h are managed by the school and dedl&qted solety lo academic
study;
contlnue lo encourage links with the loe41 communrty gsp8cially the local state schoo15 with whom
we have longstanding links vrith a particular view to rekir￿lIng these post Covid..
continue lo seek ways to share best professlonal pracli¢e be￿een local Schools and ￿thIn
professional associations {GSA L4PS. BSA, ISBAI and lo develop our engagement wlth the
International Coalition of Girf5' Schools- ICGS- of whlch we are new members.
continue plannlng for'The GATalysf when the financial climate i8 right for the Investment-
furtherthe workof the Sixth Fomi Charty and Philanthropy Boards, whrch raise funds and provFde
practlcal support to our partner schools in various locations and other internatior￿1 or l¢Kal
dwltles as selected by the girls.,
continue to engage with senijr students over the issues raised by the Everyone's Invited
campaign enabling open disGussion on these matters supported by experie￿￿ pastcfal staff
and the resident psy¢hologi$ls,'
continue with good leaching of the mandalory Relationships and Sex Educatlon programme,
realing an environment in which the ¢onfKlence and awareness of pupils can grow through
Irealing every gwl as an individual:
continue to prw)rltlse bulld back lettings of our facilities which were affected by the pandemic
imp*- whlch support the learnlng and perfomiance of music and drama beyond our own pupils.
12

ST. CATHERINE'S SCHOOL, BRAPJJLEY
GOVERNORS, REPORT (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
STATEMENT OF GOVERNORS, RESPONSIBILJTIES
The Governors (who are also directors of Sl. Catherine's Schc*)I, Bramley for the purpose$ of company
law) are responsible for preparing the Govemors, Report and the financial ststements in accordance with
applicable law and Financial Reporting Standard applicable in the UK arKI Republic of Ireland FRS102.
Company law requires the Governors lo FKepare TInar￿la[ statements for each financial year. Under
company law, the Governors must not approve the financial statements unless they are satisfied that they
givè a true and fair view of the stsle of affairs of the charitable company and of Ihe incoming resources
and application of resources, including the income and expendÉture, of the charitable company for that
perithj. In preparing the59 financial ststemenls, the Goverrws are required tr):
Select suitable ac¢ounling policw and then apply them consis1en￿Y,.
observe the methods and principles in the Charity's SORP.
make judgments and estimates that are reasOnal￿e and kvudenl:
• stale whether applicable UK accounting standards have b8en foll0v￿d. subject to any material
departures di8c108ed and expl8lned In the flnanclal 8tatsments, and
p￿pare the financial statements on the going concem basis unless il is inappropriate to presume that
the charitable Company wll continue in business.
The Govemors are responsi1￿e for keeping adequate a¢￿Unting records that are sufficient to show and
explain the Charitab￿ company's transactions, disclose wth reasonable accuracy at any tim8 the financral
position of the charitable company and enable them to ensure that the fInar￿al statemen15 comply v*ilh
the Companies Act 2006 and the provisions of the charity's constitution. They are also responsible for
safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and
detection of fraud and other Irregularit￿S.
The Governors are responsible for the maintenanc8 and integrity of the corwrate and financial
information in¢lud8d on the charTtab18 company's website. Legislation in the United Kingdom goveming
the prewation and dtssgmination of financial statemgDts may differ from legislation in other jurisdictions.
The foll¢)wing statements have been affirmed by each of the Governors of the ¢harilable company:
so far as each Govemor Is aware. there is rKs relevant audit Informatlon (that is. Infomiatlon needed
by the company's audf(or8 in connection with preparirwJ their reFQrt} of which the comp8ny'8 auditors
are unaware, and
eath Governor has taken all the steps that helshe ought to have taken as a Governor in order to make
himselflherself aware of any relevant audit infomiation and to establish that the company's auditors
are awdre of that Infomialk)n.
This Annual Report. wep8red under the CharitÈs Act 2011 and the Companies Act 2006, was approved
by the Board of Govemors of St. Catherine's School, Bramley on 3rd December 2022, including in their
Cap￿rtY as company directors approving the Strategic Report contained therein, and is signed as
aulhorised on its behaff by..
M P Lowe- Chairman
13

INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS OF
ST. CATHERINE'S SCHOOL. BRAMLEY
Oplnlon
We have audited the financial statements of Sl Catherine'5 School. Bramley I'the charitsble company.)
for the year ended 31 August 2022 whiGh comprise Ihe Slatemenl of Financial Activities, B￿ar￿e Sheet.
Ststement of Cash Flows aTrJ notes to Ihe financial slatemenls, I￿uding signrficanl accounting policies.
The financlal reporting framework that has been applied in their preparation is applicable law and United
Klngdom Accounllng Stsndar(Is. Induding Financial Reporting Standard 102 The Financkgl Rep￿tIng
Standard appllcable In the UK and Republ￿ of Ireland {United Kingdom Generally AGcepled knounting
Practic*l.
In our opinion th8 financial statements..
give a true and fair view of the stale of the ¢haritabl8 company's affairs as at 31 August 2022 and of
income and expendlttjre, for the year then ende(l.
have been properly ￿epar￿ In acLordance ￿th United Kingdom Generally Accepted Acxounting
prac￿Ce. and
have been prepared in accordance with the requirements of th9 Compani95 Art 2006.
Basis for opinion
We ¢onduGled our audit in accordance vthh Inlemational Standards on Aud5tlng {UKI {ISAs {UK)) and
applicable law. Our responsibilities under those standards are fvrther described in the Auditor's
responsibilities for the audit of the financial statements section of our re￿l. We are Independent of the
Charitable ¢ompany in accordance wilh the ethical requirements that are relevant to our audit of the
rinancial statements in the UK. including the FRC'S Ethical Standard, and we have fulfilled our other
ethical respcnsibililies in ac*ordan￿ with these requirements. We believe that the audit evidenGe we
have obtained is sutFi¢ient and appropriate to provide 8 basis for our opinion.
Concluslons relatlng to golng concem
In auditing the financial statements, we have concluded that the trustees use of the going concem basls
of accounllng In the preparation of the financial statements is approtxiate.
Based on the work we have performed, we have not identified any rnaterial uncertainties relating to events
OT conditions that. individually orcdleclively. may cast significant doubton the tharitable ￿MpanY'S abilrty
to continue as a going concern for a period of at least twdve months from when the financial sL8tements
are authorised for issue.
Our resp)nsibililigs and the responsibilities of the trustees with respect to going concem are described in
the relevant Sect￿n¥ of this report.
Other Inforniatlon
The trustees are responslble for the other Inf<>rnialion contalned wllhln the annual report. The other
inform*ion comprises the information induded in the annual report, other than the financlal statements
and our audilor's report thereon. Our opinion on the financlal statements does not cover the other
information and. except to the extent otherwise explicitly stated in our report, we do not express any form
of assurance condusion thereon.
r responsibility is lo read the other informatlon and. in doing so, conskler whether the other Infomiation
is materially inconsistent with the financial statsments or our kno￿edge obtslned In the audrt or otheThlse
appears to be materially misstated. IF we identify such material inconsistencles or apparent matedal
misstatements, we we required to determin8 whether this gNes rise lo a material misslatemonl in the
financial statement$ Ihemsetves. If, based on the work we have performed, we conGlude that there is a
material misstatement of this other information, we are reqUI￿d to report that faGt.
We have nothing to report in this regard.

INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS OF
ST. CATHERINE'S SCHOOL, BRAPIILEY
Opinlons on other matt8r¥ pr•scrlbod by th• Companies Act 2006
In our opinion based on the work undertaken in the course of our audrl
the Information given in the trustees, Teport, whlch Indudes the direcaors, report and the strategic
report prepared for the purposes of company law. for flnanclal year for whlch the flnancial
statements are prepared is Gonsisl8nl wth the financial statements; and
the strateglc report and the directors, report included within the trustees. report have been prepared
in accordance ￿th applicable legal requlremenls.
Mattor¥ on whlch wé ara r•qulred to r•port by exceptlon
In light of the knowledge and understandin9 of the charitabl8 company and thelr environment obtalned In
the course of the audit. we have not identrfied material misslalements in the strategic report or th8
directors, report included ¥￿thin the trustees, report.
We have nothing to report in respeGI of the following matlers in rel*h)n lo which the Companies Act 2006
requires us to report to yw if. in our opinion-
adwuate and proper a(￿nting re￿3 have not been kept. or
the fin8nri81 statements a￿ not in agreement with th8 acc)Juntlng records and retvms,. or
certaln dlsdosures of trustees. remuneration spe￿rIed by law a￿ not made. or
we have not received all the informatlon and explanations w8 require for our audit.
Re8pon8lbllitl06 of trustees
As explained more fulty in the trustees, responslblllb'es statement set cNJt on page 13, the trustees (who
are also the director5 of the charitable company for the wrwses of company lawl are responsible for the
preparation of the financial statements and for being satisfied that they glve a true and falr view, and for
such intemal control as the trustees determlne is necessary lo enable the preparation of finanGral
statements that a￿ free from materlal mlsststement, whether due to fraud or error.
In ryeparlng the financlal statements. the tru8tees are responsible for assesslng the charltable company's
ability to contlnue as a going concem. disclosing, as applIcat￿e, matters relate(I to going concern and
using the going concern basi8 of accounling unless the trustees either intend to liquidale the ¢harilalle
company or to cease op8ralions, or have no realist￿ allernalive but to do so.
AudIt0￿8 r88pon8lb1111108 for tho •udlt of the flnanclal Statements
Our objeGtwe5 are to obtain reason8ble assurance about wh81her the financial stslements as a whole are
free from material misstatement, whether due to fraud or error, and lo Issue an auéilor's report that
Indudes our opinion. Reasonable assurance is a high level of assuran¢a bul is not a guarantee that an
audit conducted in a¢￿dar￿ with ISAS {UK) will always det&t a material misstatement when il exists.
Misstatements can arisefrom fraud or error and are Considered material rf. individually or in the aggregate.
they could reasonabty be expected to infiuence the e¢onomi¢ decl$lons of users taken on the basis of
these financial statements.
Delalls of the extent to which the audit was considered capable of detecting irregularities, including fraud
and non-compliancè with laws and regulations are set out below.
A fvrther description of our responslbillties for the audit of the financial statements Is located on the
Financial ReFXSrting Council's w•bsit8 at.. www.frc.or
.uklauditorsres onsibilities. This description forms
Part of our auditorfs report.
15

INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS OF
ST. CATHERINE'S SCHOOL, BRAMLEY
Extent lo whlch the audll was con61dered capable of detectlng Irrngularftles, includlng fraud
Irregularities. including fraud, are instances of non-compliance with laws and regulations. We Identffled
and assessed th8 risks of materi4 mlsstalement of the financial statements from iffegularllles. whether
due to fraud or error, and discussed these between our audrt team members. We then éeslgned and
performed audit procedures responsive to those risks. including obtaning audit evidence SufflC￿nt and
appropriate to provide a basis for our opinion.
We obtalned an understanding of Ihe legal and ￿gUlatOry frameworks wlthin whlch the Charitable
company operates, focusing on those laws and regulations that have a direct effect on the delennination
of material amount5 and disclosures in the financi81 statements. The laws and regulations we conside￿d
in this ￿)ntext were the Companies Act 2006. taxation legislalion. together with the Charit￿S SORP {FRS
1021. We assessed thè required compllance with these laws and regulations as part of our audit
procedures on Ihe related ffinan¢1￿ statement items.
In addition, we considered provision5 of other laws and regulations thal do not have a direct effect on the
financial statements but compllance with Nthich mighl be fundamental to the charilable company's ability
lo operate or to avoid a materlal penalty. We dso considered the opportunities and inGentive5 that may
exbst wthln the charilable company for fraud. The laws and regulatN)ns we conshjered in Ihls Context fcf
the UK operation5 were The Education {Independenl School Standards) Regulations 2014, General Data
Protectlon Regulation (GDPRI and Employment Legislallon.
Auditing sLqndards IlmFt the required audit procedures to tdentlfy nonveompliance with these 18ws and
regulations to enqulry of the tNslees and other management and InspectDn of regulatory and legal
C￿rreSpOndenCe.
We identified the greatest risk of malerlal Impact on the financial statements from irre9ularFtie5, Including
fraud. to be wtlhin the timing of recognition of voluntary arKI other income and the override of controFs by
management. Our audit procedures to respornl to these risks induded enq4Jiries of management and the
Finance and Risk Committee about their own identification and assessment of the risks of irregularities,
Sample testing on the posting of jcumals. reviewing accounting e51imales for biases. reviewing regulatory
correspondenGe with the Charity Commission. Independent Schools Inspectorate, Otsled and reading
minutes of meetlngs of Ihose charged with governance.
Owing lo the inherent limbtalions of an audit, there Is an unavoidable risk that we may not have detected
some malerial misstalemenls in the financial ststemenls, even though we have properly planned and
pgrfomied our audit in accordance with auditing standards. For example, the further removed non-
compliance wth laws and regulations (irregularili8sl is from Ihe events and transactions reflected in the
financial statements, the less likely the inherently limiled procedures required by auditing standards would
identrfy it. In addition, as vrfth any audit, there rem8irwl a higher rbsk of non-detection of irregularittes, as
these may Involve collusi￿, forgery, intentional omissions, misrepresentslions, or the override of internal
controls. We are I￿t responslble for preventing nonwcompliance and cannot be expected to detect non-
compliance with all law¥ and regulatlons.
Use of our roport
This report is made solely to th8 charitable company's members, as a bC￿y. in accordance with Chapter
3 of Pari 16 of Ihe Companies Act 2006. Our audit work has been undertaken so that we might stste to
the charitable company's members those matters we are required lo state to thém in an auditor's reixsrt
and for no other purpose. To the fullest extent permltted by law, we do not accept or assume responslbllty
to anyone other than Ihe ¢haritable company and the Charitable company's memb8rs as a body. for our
au(Jit work. for this report. or for the opinions we have formed.
Tin8 Allison. SenK)r Slatulory Auditor
For and on behalf of Crowe U.K. LLP
Statutory Au(lilor
London
Date.. 16 December 2022
16

ST. CATHERINE'S SCHOOL, BRAMLEY
STATEMENT OF FINANCIAL ACTIVITIES
(INCLUDING SUMMARY INCOME & EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED 31 AUGUST 2022
Unrestrictsd Restrict￿ Endowmgnl
Funds
FurKIs
Funds
£'ooo
£'ooo
£'ooo
Total
2022
£'ooo
Tot81
2021
Notes
INCOME AND
ENDOWMENTS FROM
Charftable acllvltkns
School fe8S
Other educational income
16,713
728
16,713
728
15,615
686
Int•r•st r•¢•ivablo
Donations & loga¢i•s
14
338
17
Olhar tradlng in¢oma
Gift aid from subsldiary
Other incomelRentals
Furlough grant Income
31
31
38
17
T¢)tal InGome
17,527
347
17,874
16,569
EXPENDITURE ON
RAISING FUNDS
Finan¢e costs under
Advan￿ Fee$ Contracts
Bank interest and charges
Development costs
67
150
163
75
158
129
150
163
362
Charitable activities
Education
16,984
137
ICM)
17221
15,352
Exceptional Items
Total expenditure
17.364
137
17,601
15,714
Ngt Incom81(expendlturn>
163
210
{100)
273
855
Transfern between funds
16
457
{457)
Net mcwomont in funds
620
{247)
{100)
273
855
Reserve8 brought
forward
25.368
1,031
7.241
33,840
32,785
R980￿8 carried forward 15 & 16
25.988
7,141
33,913
33,640
All of the Sch¢)ol's operations represent continuing activifjes.
There were rrf) recognised gains or losses other than those shown above.
A copy of the Statement of Financial Activities for the year ended 31 August 2021 is provided in note 22.
Th8 notes on pages 21 to 36 fom wt of these financial statements.
17

ST. CATHERINE'S SCHOOL, BRAMLEY
BALANCE SHEET
AS AT 31 AUGUST 2022
Notes
2022
£'OOD
2021
£'ooo
FIXED ASSETS
Tangible assets
Investment in subsidiary company
42,586
41.699
42,586
41,699
CURRENT ASSErs
Debl¢xs
Cash at bank and in hand
11
923
2,638
637
3,661
4.201
CREDrroRS: Amounts falling
due within one year
12
16,471)
(5,659)
NE[ CURRENT LIABILrriES
{2,910
(1,458)
TOTAL ASSETS LESS
CURRENT LIABILrriES
39,676
40,241
CREDITORS: Amounts falling
due after morg than one year
13
(5,763)
(6,601)
NEf ASSETS
15
33,913
33,640
FUNDS OF THE CHARITY:
UNRESTRICTED FUNDS:
General
16
25,988
25,368
RESTRICTED FUNDS:
Scholarships. prize funds and donatlons
16
1.031
ENDOWMENT FUNDS
Perrrbanenl
Expendable
16
6,953
7.053
188
TOTAL FUNDS
33.913
33.640
The notes on pages 21 to 36 form part of these financial slalements.
Approved on behalf of the Goveming Body and authorised for issue on 3rd Decembgr 2022
P Lowe
Chaimian of the Goveming Body
C M Tlppett
Chairman of the Flnance and Rlsk Committee
18

ST. CATHERINE'S SCHOOL, BRAMLEY
STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 AUGUST 2022
2022
2021
rooo
£'ooo
£000
Cash flows from oporatlng actlvltles
(Note a)
1,614
1.350
Cash Ilows from Investlng actlvltEes
Investments and servlclng of flnance
Bank interest receipts
Finance costs and bank charges
Payments to acquire taTrJible fixed assets
Proceeds from sale of tsngible fixed assets
14
(216)
<1,949)
17
(233)
(4,026)
12,1511
(3,393)
Not Cash outlEow bofor• finan¢lng actlvlti•s
(537)
(2,043)
Cash flows from flnanclng acthiltle8
Fees in Advance scheme..
Receipts from new contracts
Amounts accrued to contracts
Amounts utllised lo pay fees
Bank loan, repayable by 2035
2,588
63
(2.698)
(342)
1.881
75
(2,607)
(333)
1389)
(984)
DO¢r￿S0 In cash (Not• b)
{926
(3,027)
Roconcillatlon of not cash flow to
movemont In net debl
Decrease In cash in the year
Net decrease in Fees in Advance
DeGrease in loan finance
(926
47
(3.027)
651
333
Movement in net debt
Net debt al I Septembor 202112020)
(6371
{S,S90
(2,Q43)
(3.547)
Net debt at 31 August 2022 {2021)
{6.127)
(5,590)
The notes on pages 2110 36 form part of these financial statements.
19

ST. CATHERINE'S SCHOOL, BRAMLEY
STATEMENT OF CASH FLOWS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
NOTES TO THE CASH FLOW STATEMENT
RgconGiliation of net income to nat cash Infiow
from op•ratlng acllvttles
2022
£'oDo
2021
£'gLXJ
Net Income for the year
273
855
Bank and other interest received
Finance costs and bank ¢harges
DepreThation
Profit on disposal of fixed assets
Increase in debtors
In¢rea￿(deCreaSe} in uedilors
(14)
216
1,062
(17)
233
1,023
(223)
(170)
(351)
(286)
363
Net cash Infiow from oporatlng actlvltl88
1,614
1,350
b)
Analysls of changes in n•t dobt
Asat
I September
2Q21
£'ooo
M¢)vem?nl
31 August
2022
£'ooo
£'ooo
Cash at bank and in hand
3,564
{9261
3.564
(9261
Fees in Advance sch8me
Bank loans
(3,541)
(5,613)
47
342
13.4941
15,2711
(5,590)
{537)
16,127)
20

ST. CATHERINE'S SCHOOL. BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2022
ACCOUNTING POLICIES
Basis of accounllng
The financial statements have been prepared in accordance wth the FInanCk￿ Reporting
Slandard applicable in the UK and Republic of Ireland (FRS1021, the Companies Act 2006
and the Statement of Recommended Practice apt4icable lo charities, the charit￿ SORP
IFRS 1021.
The fvnctional CUr￿ncY of the School is G8P because that is the curr8ncy of the prim8ry
economlc envlronment In whth the School operates.
The activities ofthe charity's wholly owned subsidrdry Company. St. Catherine's Enterp￿Se$
Limited. are immaterial to those of the charlty ¢onsolldated financial $talemenl$ have,
therefore, not been prepared.
The School is a Public Benefit Entty registered as a charity in England and Wales and a
company limited by guarantee. It was incorporated on 10 July 1998 (company number:
3596520).
Golng Con¢em
The p￿paration of finanrjal statements requiTe5 an assessment of the appropriateness of
adoptlng a going concem assumption since this assumes the availability of adequate
Ilnan¢lal resources to allow the School lo Continue for the foreseeable future.
At the Ilme of approving these finanoal statements, the general economic pthre and
inflationary pressu￿$ conllnues to evolve and Ihe impact on the School, in common with
many olher busSnesses. The Governors conllnually revlew the posltlon Carefully and
prudently to ensure the long-lerm continuing operalon of the School. the ongolng provlsion
of schooling for lh8 pupils and the employment of ￿r staff.
The Governors regularly recelve 8￿1 review financlal and oth&rforeca8ts coverlng one. fve
and frfleen year future periods. The future financing of 811 capitsl projects Is carefully
onsidered before approval is gwen to proceed. Sensitivity scenarios are produced to ensure
that there are adequate bank borrowing facilities to pyovide a sufficient safety net should
various potential adverse events occur.
After ￿VIeW1n9 the S¢hool'$ budgets, forecasts and projection5 and, reoognising that pupil
numbers are perhaps the most imt)ortantfactor In the finan¢ial viability of a school, reviewing
the level of appllcatlons lo loln the $¢hool In the fulure. the Governors have a reasonable
expeclatlon that ￿ has adequate resources, Includlng Current cash re$erve$ and banking
facilities. to continue in operatlonal exlslence for the foreseeable future. The School
therefore continues to adopt the golng concern basls In preparlng Its flnan¢lal stslements.
Cirti¢al aGGounting judgements and key sources of estlmatlon uncertalTrty
In the application of the accounting pOI￿leS, Governors are required to make judgements.
est"male$. and assumptions about the carrying value of assets and liabiliti8s that are not
readily gppa￿rtt from other sources. The estimates and underfying assumptions are base
on historical experien¢e and other factors that a￿ Considered to be relevant. Actual results
may differ from these estlmates.
The estimates and ur¢derlying assuMp￿0nS are revlewed on an ongoing basls. Revislons lo
accounting estimates are recognised In the peri(*J In whlch the 8Stlmale Is revlsed K the
revision affects only that period. or in the period of th8 revlslon and future periods ff the
reViS￿n affected current and fijiure periods.
In the vw of the Governors, rn assumptions concerning the future or estimation uncertainly
affecting assets or liabilities at the balance sheet date are likety to resum in a material
adjustment to their carrying amounts in the next financial year.
21

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Ftxod assets
Tangible fixed assets with costs of £5.000 or more ar8 capilalised and, when brrAJght into
use, are depreciated by equal annual instalments over their estimated useful lives. The
current estimated useful INes a￿.
Freehold buildings
Equipment
Computers
Vehicle8
All weather iitches
SQ years
5 years
3 years
4 years
7 years
Land value, estimated at £6m, Is not depreclaled. The Govemors reviewed the eslifflated
usefijl lrfe of the School's freehold bulldlngs and based on this revrew, depreciation 15 being
provided to wrrte off their book value over 50 years from 2002 or the dale of subwuent
purchase.
Fees and slmllar earned Incorno
Fees receivable and charg85 for services and use of the p￿mises, less any allowances,
5cholar5hips and bursaries granted by the S¢hool against those fees, tr￿rt including
contributions received from restri¢ted furKls, a￿ a¢¢ounled for in the period in which th8
Service 15 provided. Amounts received under the Schwl's Fees in Advance scheme
contracts a￿ recorded as deferred income and credited to income when the fees are due.
They are allc¢ated as Current liabilit￿S where the education will be provided within 12
months from the reporting date and as long-temi liabilf(ies where the education will be
provided Ihereaft8r.
d)
Donatlons. legaciOSJ grants and othar voluntary incoming ro￿llr£•9
Voluntary incoming resources are accounted for as and when entitlement arises. the amount
can be reliably quantrfied and the economic benefit to the School is GonsKlered probable.
Voluntary income for the School's general purposes is ￿Ounted for as unrestricted and is
credited to the Annual Fund. Where the donor or an appeal has imposed trust law
re5trictiOn5, voluntary income is Credited to the relevant r88lricled fun(i and incoming
endowments are accounted for as permanent tnjst capllal or expendable trust capital,
according to whether Ihe donor intends retention is lo be permanent or not. Grts in kind are
valued al eslimated open market value al the date of gfft, In the case of assets for retention
or consumption, or at the value to the School for donated services or facilities.
Expenditure
Expenditure is acixugd as soon as a liability is considered probable, dis¢ounted to present
value f(ff longer-term liabilities. Expenditure attributable to more than one cost category in
the SOFA is apporboned to them on the basis of the eslimaled amount attributable to each
activity in the year, either by referenrk to staff time or the use made of the underfying assets,
as appropriate. Irre¢ovwable VAT is i￿l￿ded with the item of expenditure lo which it relate5.
Oporating l•as•s
Rentals under operating leases are charged on a slraNJht4ine basis over the lease term,
even rf the payments are not made on such a basis. 8enefit5 r￿e1Ved and re￿1vable as an
incentive to sign an operalirwJ lease are similarly on 8 straighl-line basls over the
lease tenn.
g)
Financial instrumonts
Basic financial instruments are initially recogn18ed at Irans8Ction value and sub5equenlly
measured al amorti8ed cx)sl with the exception of investments which are held al fair value.
Financial assets held al amortised cost comprise cash at bank and In hand, together with
accrued income, trade and other debtors. A Specif￿ pr(wision is made for debts for which
recoverability Is In doubt. Cash al bank and in hand is dèfined as all cash held In Instant
22

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
a￿8$ bank a¢(x)unts and used as working capital. Fir*nclal liabilities held al amortlsed
cost comprise bank loan$. trade creditors, other creditors. a¢LYuals and entrance fees.
Assets and liabilllles held In foreign Currency are translate(1 to G8P at the balance sheet
dale al an approprlate year end exch8ng8 rate.
h)
Pen8iOft ¢08ts
The School contributes to the Teachers, PenS￿n Defined Beneffts Scheme al ral85 set by
Ihe Scheme Actuary and advised to the School by the Schem& Administrator. The Scheme
Is a multl4mployer pension scheme and it is not possSble to idenlfy those assets and
liabilities of the Scheme which are attributable to the Schwl. In accordance with FRS 102
the Scheme is accounted for as a deflned contribUt￿n scheme and ￿ntributIonS a
accounted for in the period to which they relate.
For non-teaching staff the School contrlbuteg to indNidual personal penslon Schemes at a
maximum of 10% of annual pay. These contrlbuli)ns are accounted for in the perlod towhkh
they relate.
23

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
FEES RECEIVABLE
2022
£'ooo
2021
Thg feos rgGeivable comprised..
Gross fees
Less.. Bursarles, scholarships and other awwds
17,825
(1,215)
16,796
1.273)
18,61Q
103
15,523
92
Add back.. BursaTies paid for by Restricte(l Funds
16,713
15,615
OTHER EDUCATIONAL INCOME
2022
000
2021
Academlc costs recharged to parents
Trips. activities and other ojgts rechar9ed to parents
Registration fees
Extra tuition fees
Other income including facility
92
388
44
56
46
59
51
130
728
686
INTEREST RECENABLE
2022
rooo
2021
Interesl received from SL Catherine's Enterprises Limiled
Interest on scholarship, prize and donated funds
Bank interest received
14
17
NET INCOME
Tho operating surplus is staled after chargingllcrediting):
2022
£'ooo
2021
£'ooo
Auditorfs remuneration- audit fees excl. VAT
Depreciatior)
Profit on disposal of fixed assets
Leasing charges
26
1,023
(223)
1,062
24

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
EMPLOYEES
2022
£'ooo
2021
Staff cost8:
Wages and salaries
so￿al security costs
Pension costs
950
1,625
859
1,557
11.059
10,422
The number of employ88s whose emoluments exceeded £60,000 wa5:
2022
No.
2021
No.
£60,001- £70.000
£70.001- £80.000
£80.001- £9).000
£90.001- £100.000
£160,001-£170.000
£180,001- £19J.000
io
Eleven (2021: Thlrteen) of the above employees are accnjing benefits undor a defined benefits
penslon scheme. Contrlbutlons of £16k {2021.' £18k) were made lo a defined contribution scheme
for one12021.' three) employees.
Aggregate employee benefits including employerfs penslon and natlonal insurance contrlbutlons,
of key management personnel were £356k12021: £441 k). Total headcounl was 244 {2021: 235).
Ne￿her the Governors rw persons connected wth them received any remuneration or ben8fils
from the Schwl or any connected ￿anIsatiOn. other than the reimbursement of travel expenses,
webinars and olher expenses which were necessarily incurred by Governors. This lotalled £2.235
for four Governors in 2022 {2021'. £609 for four Governors).
25

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
ANALYSIS OF TOTAL EXPENDITURE
Costs
£'ooo
Other D&preGi*ion
£'ooo
£'ooo
2022
£'ooo
2021
£'Ot
Costs of rnising funds
Financing costs
Development
217
10
217
233
129
153
Total
153
227
380
362
Charltable actlvltleg
Teaching
Housekeeping and catering
Premises
Support and gyjvernance Costs
8.809
263
452
1,382
1.594
1.149
2,188
322
10,403
1,412
3,702
1,704
9.892
1.171
2.668
1,621
1.062
10,906
5.253
1.062
17,221
15,352
Excgptlonal ltsms
Total gxponditur•
11.059
5,480
1,062
17.601
15, 7t4
There were no Ex(*plional Items during the year {2021'. £nil}
FIXED ASSETS
Land and
Buildings
Assets in
course of
conslruclion
Otl*r
Assets
Total
£'ooo
£'ooo
£'ooo
£'ooo
Al 1 Sept8mber 2021
Additions
Transfers
Disposals
49.567
75
810
3,705
54,082
1,949
At 31 August 2022
49.642
2,676
3,713
56,031
Depreclatlon
At 1 September 2021
Charge for year
Disposals
9.147
3.236
176
12,383
1,082
At 31 August 2022
10.033
3,412
13,445
Net book value
At 31 August 2022
39,609
2,876
301
42.5B6
At 31 August 2021
40,420
810
469
41,699

ST. CATHERINE'S SCHOOL. BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
FIXED ASSETS (co￿riNuED)
Land and bulldlngs were valued on 29 September 1999 by ￿ng Sturge and Co. Chartered
Surveyors. uging the depreciated replacement cost basis of valuation for the majority of thg estate
a$ well as the existing use basis of valuation for the residue where appropriate, to establish Ihe fair
value of these assets when grfted to thls Charflable company in 1999. The land value estimated al
£6m ig not depreciated.
Assets in course of construction amountlng to £2.676 relates to the Art & Makerspace and the
CATalysl Projects. As at 31 August 2022 there was c8Pital expenditure of £0 (2021.. £1.2m)
contracted for but rtot provlded for in the financial statements.
INVESTMENT IN SUBSIDIARY
2022
2021
Shares in Subsidiary
100
100
Net book value at 31 August
100
100
The cost of the above Investment tolalled £100. The School's inlerest Is as follows:
Company
Country of
Incorporatlon
Shares held
Class
St. Catherine's Enterprises Limited
England and Wales
Ordinary
1rAJ
reglslered office of St. Catherine'$ Enterprises Limited (Company Number 2902111) is al the
same address as the School. The principal a¢tivity of the subsidiary is that of selling unrforms and
accessories lo the pupils of the Schoc4. The company a150 operates the Anniversary Halls Bar.
Forum Café and Sports Centre on the School site. The net assets of thi$ company al 31 August
2022 were £13k12021- £12k), and, at that date, the company's total assets were £214k {2021.'
£210k) and total liabilities were £201 k {2021'. £198k). Thg company's profil and k>ss account for
the year ended 31 Augusl 2022 showed turnover of £189k {2021'. £130k} and an operating profil
of £32k {2021'. loss of £1k). No Gift Aid (2021.. £nill has been paid over during the year. Gtft Aid
£31 k (2021: £nll) was receNa￿e at the year end.
10. EXPENDIBLE ENDOWMENT FUND INVESTMENTS
The lotsl restricted fund investments We￿ liquldated durtng 2004. The proceeds were loaned to
the general fund to finance the acqulsltion of residential propertEs. Intewl is payable on this
loan to the restricted funds at 5% per annum. as shown in note 16.
11. DEBTORS
2022
£'ooo
2021
£000
Fees woverable
Amount due from St. Catherinè's Enterprises Llmlted
Olher debtors
Prepahj expenses
A￿rUed irtcome
176
195
319
133
187
157
133
27
39
923
637
27

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
11. DEBTORS {contlnued)
The anM)unt due from St. Cathenne's Enterwses Llmited Includes a loan of £150,1)00, bthich fa118
due in greater than one year and which provides the company wth working capital to purchas&
$¢h¢ol uniforn slo¢k for resaFe. Interest Is charged at 1.75% p.a. abDV8 base on the balance
outstanding al the beglnning of each month.
12. CREDrroRS: amounts falllng due
wlthln one year
2022
£'ooo
2021
£'ooo
Trade creditors
Fee5 in Advance
Other taxation and social seGuftty costs
Other Credrtors
Accrued expenses
Deferred income
Entrance fees
Loan repayments {note 13)
180
709
234
213
521
189
1,423
351
357
731
220
218
231
71
1.278
342
3.820
2.651
3,448
2,211
Fees In Advan¢e scheme Inole 13)
6,471
The total amount held in relation lo entrance fees of £1,423k is induded above. In the normal
course of business, th8 expected repayment of these amoun15 wll be £237k (2021: £212k) wilhin
one year and £1,186k12021- £1,066k) after more than on8 year. The Governors have reviewed
th8 contract terms under which pupil fee deposrts arg held by the School. Although under nomial
circumstances these will bg rgpaid over fuknre years when the pupils complete their education at
the School, pupils can leave at earlier dates. The School does not therefore have an unconditional
right to retain the individual deposits for at least 12 months after the balance sheet. In line wlth FRS
102, the balance of deposits held at the year end have been induded within current liabllhles.
13. CREDITORS: amounts falllng due
after more than one year
2022
£'ooo
2021
£'ooo
Loans
Fees In Advance scheme
4,920
843
5,271
1,330
5.763
fj,601
Fees in Advance scheme balances to be applied..
In over 5 years
In 2-5 years
In 1-2 years
In less than 1 year
402
441
2,651
583
693
2,211
3,494
{2,651
3,541
(2,211
Less.. Included in curr&M Ilabllltles (note 12)
843
1,330
28

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
13. CREDITORS: amounts falllng due
aftgr morn than one year (conllnuod)
2022
£woo
2021
Loans repayable:
In over 5 years
In 2-5 years
In 1-2 years
In less than 1 year
3.025
1.536
3,424
1,496
351
342
351
5,271
(351
5,613
(342)
Less.. included in current liabilrties (note 12)
4,920
5.271
Th8 balance on the Fees in Advance scheme represents the accrued liability under the Scheme
contracts. Further delails on the movements in it during the year are shown in note 14.
The School a￿anged a long-lerm loan with Lloyds Bank plc in the y8ar ended 31 st August 2020.
The k)8n is in the amount of £6,OOOk with a ffixed rale of 2.6050A. repayable in monthly instalments
which commenced in July 2020 and which are due to be completed by June 2035. The bank loan
is secured on the freehold land and buildings at thg &Fh)ol.
14. FEES IN ADVANCE SCHEME
Pa￿ntS may enter into an agreement for the advance paymenl of fees. Under the terrn5 of the
Scheme the advance fee payments may be retumed should the relevant puplslgave independent
education before the advance fee payment is applied.
2022
£'ooo
2021
£'ooo
The movements durlng year were as follows:
At 1 September 2021 {2020)
New contracts durlng the year
Amounts credlted lo contracts
3,541
2.588
63
4,192
1,881
75
6,192
6,148
Amounts utilised in payment of fees lo the School
(2,698)
(2.607)
Balance at 31 August 202212021)
3,541
29

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST2022
15. ALLOCATION OF NET ASSErs
ExpendaNe
Pernianent
Restrlcled Endowment Endowment
Funds
Funds
Funds
£'ooo
£'o
£'ooo
Unrg8trirted
Funds
£'ooo
Total
£'ooo
Tangible flxed assets
Investment in subsidiary
Propety loan
Current assets
CUr￿nt liabilities
Long lenn liabilities
35,633
6,953
42,586
{188)
2,777
(6,471)
(5,763)
784
3.561
16,471)
15.763)
25,988
784
6,953
33,913
Pernianent Endowment Fund
The permanent endowment fund ￿preSentS the land aNI bulldlngs on the Senlor School Camws
Ihat are held on trust.
Expéndable Endowm•nt Funds
The expe￿lable endowment funds represent funds gfven lo the School wlth the gpecmc wrpose
of supplemenllng schdarships and prizes. These funds were loaned to the General Fund lo part
fund the purchase of two residential properties for use by the School. Interest at 5% p.a. is payable
on this inter-fund loan. this Interest belng available for scholarships and awards.
Restrfcted Funds
The restricted ffiJnd8 represent unspent income from th8 expendaNe endowment funds and
unspent donations in relation to other restricted funds.
The Bursary Fund exists for donations to support parents who are unabla to meet th& fees In full.
The Hardship Fund exists lor donatK)ns to support parents who are unable. lemFX)rarlty. to meet
the fees in full.
The CATalysl campalgn exlsts to create a new teachlng space dedicated to SC￿Ce, technology,
maths. dwjilal learning. Irmlependent reading and research.
The Art & MakeTSpac8 campaign existed to create enhanced areas, full of natural lighL for Fine
Art. Textile¥. Culinary Arts and Photography.
Create the Future is the umbrella campaign for The 6, The CATalyst and The Art & Makerspace
campaigns.
Further expenditure out of each of the above funds Is planned during the 2022-23 financial year.
Unrestrlcted Funds
The Govemors have separately identif￿d receipts and spendiThJ on donations and Eegacles for
general educational purposes as a designated fund called the Annual Fund.

ST. CATHERINE'S SCHOOL, BRAPIILEY
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
16. MOVEMEKf ON FUNDS
I Septembgr
2021
31 August
2022
£'ooo
Income
£'ooo
Expenditure
£'ooo
Transfers
£'ooo
Unrèstricted Funds
General Fund
Totsl
25,368
25,368
17,527
17.527
(17.364)
{17,3641
457
457
25,988
25.988
b)
Reslrlctod Fund$
Scholarshlp funds
{9)
Prfze funds
Donatlons
Bursary Fund
Hardship Fun
The 6 Campaign
CATalyst Campalgn
Art & Makerspace
Create the Future
Other
73
57
31
{35)
(69)
(5)
182
182
150
122
23
(3)
(2)
(19)
(207)
(250)
569
1,031
347
{137>
(457)
Expendable
endowments
Scholarnhlp fund8
T M Kllchin
Mrs Russdl-Baker
Sl. Catherine's Old Gids
Margaret Kaye
Gregory Award
Mrs S Bevan
Endowment fund
74
77
74
77
22
Prize funds
188
Pormanenl Endowmont
Property fund
7.053
(100)
6,953
Transfers be￿en restrict8d and Un￿$tr￿ted funds represent the ulilisation of fund8 in
accordance with the lems of the designaled funds.
31

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
17. PENSIONS AND LIFE ASSURANCE
Teachlng Staff
The School participates in the Teachers, Pension Schemellhe TPS'I for its teaching staff. The
penslon charge ft)r the year Indude5 contrlbutions payable to the TPS of £1,395k12021.- £1,339k)
and at the year-end £115k {2021- £114kl was accrued in respect of contributions to this scheme.
The TPS is an unfunded mutti-amployer definad benefits pension 8cheme govemed by Th8
Teachers. Pensions Regulatlons 2010 las amended) and The Teachers. Pension Scheme
Regulations 2014 (as amended). Members contrlbute on a.pay as you go basis with contributions
from members and the employer being credited to the Exchequer. RelSrem8nt and other pension
benefits are pald by public funds provlded by Parllament.
The employer contribution rate is sel by the Secretary of State following scheme valuations
undertaken by the Govemment Actuary's Department. The most re￿nt a¢￿arra1 valuatlon of the
TPS was p￿pared as al 31 March 2016 and the Valuation Report. which was published in March
2019, confimied that the employer contribulion rale for the TPS would increase from 16.4% 10
23.601ts from 1 September 2019. Employers are also required lo pay a scheme admlnlslralion levy
of 0.08% glvlng a total employer conlrltMJllon rale of 23.68%.
Th8 31 March 2018 Valuation Report was prepared in aethrdance with the benefits sel CAJI in the
sch8me regulations and under the approach specified in the Direct￿nS, as they app￿led at S March
2019. However. the assumptions were ¢onsidered and sel by the Department for Education prior
to the ruling in the 'McCloudlSargeant case,. This case has required the Courts to consider cases
regarding the implementation of the 2015 ffjfom$ to PublK Service Pen6ion$ includiw the
Teachers, Pensions.
On 27 June 2019 the Supreme Court denied the government permission to appeal the Court of
Appeal's judgment thattransitional provisions introduced to the reformed pension scherrEs in 2015
gave rise to unlawful age discrimination. The government is respecting the Courfs deGision and
has said it will engage fully with the Employment Tribunal as well as ernployer and member
representatives lo agree how the discriminations will be remedied. The government announced on
4 February 2021 Ihal rt intends lo pro¢eed with a deferred Choi￿ underpin under which members
wll be able lo ¢hoose gilher legacy or reformed scheme benefits in respect of Ihelr servlce durlng
the period betsveen 1 April 2015 and 31 Mar¢h 2022 at the polnl they become payable.
The TPS is subl￿t to a cost mechanism which was put in place to protect taxpayers against
unforeseen changes in scheme costs. The Chief Secretary lo the Treasury, having in 2018
announced that there would be a review of this cost cap mechanism. in January 2019 announced
a pause to the ￿$1 cap mechanism following the Court of Appeal's ruling in the Mccloudlsargeant
case and until there is certainty abLWt the value of pension$ lo employees from Aprll 2015 onwards.
The pause was lrfted in July 2020, and a consultation was launched on 24 June on proposed
Changes to the ¢osl control me¢hani$m following a ￿vIeW by the Government Actuary. Fdlowing
a public consultstlon, the Govemment have a¢¢epted three key proposals recommended by the
Govemment Actuary and are aiming to implement these changes in lime for the 2020 valuations.
The 2016 cost control valuations have since been completed in January 2022. and the results
indicated that there would be changes to benefits or member contributions requlred. The results
of the cost Cap valuats'on are not used to Sel the employer contribution rate, and HM Treasury has
¢onfimed that any changes to ts employer ¢onlributlon rate resulllng from the 2020 valuations
11 take effect In Ap￿1 2024.
Until the 2020 valualM)n is completed it is not possible to condude on any financkil impact orfulure
changes to the conlribLrtion rates of the TPS. Accordingty, no provision for any addftional past
benefit penS￿)n costs is Ir￿lU{led in these financial statements.
32

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
Non-tsaching Staff
The Schi)ol's wntribulions to the personal pension schem8s of non-leaching staff in ts year were
£230k12021.. £218k).
TAXATION
The company 1$ reglstered as a UK char(ty and can take advantage of the exemptions available to
charltles.
19. FINANCIAL INSTRUMENTS
2022
£'ooo
3,367
(7.608)
(4,241)
2021
£'ooo
4,068
(7,697)
(3,629)
Financial assets measured at amortised cost la)
Financial liabiltties measured at amortised cost Ib)
Net finanaal liabilities measured at amortised cost
{a} Financial assets irtiude cash, trade and fee dgbtors, staff loans, other debtors,
accrued income and am￿nts due from subsidraries.
(bl Financial liabilities include deposits. loans repayable, trade creditors, other creditors
and accrued expenses.
OPERATING LEASES
Al 31 August 2022, the School had total commitments under nonwC8ncellable oper8tlng leases in
ong year or18ss of £1k12021'. £1 k) and greater than one year and less than five years of £1 k {2021'.
£2k) for offlce equlpmenl.
21. RELATED PARTY TRANSACTIONS
Th8 following amounts were charged to St. Catherine's Enterprises Limited. the School's whol
owned trading sub3idiary, during the year.. -
2022
£'ooo
2021
£'ooo
19
12
Salary costs
Rent
Adrninlstrat￿e supp
Inlere61
12
The salary ¢osts recharge represents the salary cost5 of tho staff in the uniform Shop and the
sp￿ts Centre.
The rent and administratlve support charges repwent the best estimate of Costs incurred in the
runniThJ of the unrform shop the Annlversary Halls Bar and Forum Café operations.
Interest is charged at 1.75% p.a. above base on the tot81 bal8nce outstanding at the bgginning of
each month.
For delalls of the amount due from St. Catherfne's Enterprises Limited at the year-end. see note
11
33

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
During the year the SGhocl incurred total costs of £8k {2021.' £8k) wth relalwj parties. A partner of
a member of the key management personnel charged £8k (2021: £8k) for organising chess
actfvitles induding the purchase of equipmenl.
The balance oulstandlng at the year-end was £Nil (2021.. £NI). These arrangements were fully
Gonsidered by the Govemors who took steps to erssure that they provided best value for the School.
22. STATEMENT OF FINANCIAL ACTivrriES FOR THE YEAR ENDED 31 AUGUST 2021
Unrèstricted Restricted Endowment
Fundy
Funds
Funds
£'ooo
£'o
£'ooo
Totsl
2021
£'ooo
Notes
INCOME AND
ENDOWMENTS FROM
Charitable activltl89
School fees
Other educational income
15,615
15,615
Inlerest recelvable
Donatlons & legacles
17
196
Ixher tradlng income
Gift aKI from subsldlary
Other incomelRentals
Furlough grarrt Income
17
17
Total Income
16,364
205
16,569
ExpeNDITURE ON
RAISING FUNDS
Finance costs und
Advance Fees Contracts
Bank interest and charges
Development costs
75
158
129
75
158
129
362
362
Charitable activities
Education
15,122
130
100
15,352
Exceptlonal items
Total •xp•nditur•
15,484
130
100
15,714
Net InCom￿{eXp•ndltur0>
75
(100)
855
Transfws bétween fvnds
16
374
(374)
Not mov•m•nt In funds
1.254
(299)
(100)
855
Roserves brougm
forward
24,114
1,330
7,341
32,785
Ros•Th￿ ¢arrlod forward
25.368
1,031
7,241
33.640

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
23. COMPARATIVE ALLOCATION OF NET ASSErs
Expendable
Permanent
Restricted EndowTnent Endowment
Funds
Funds
Funds
£'ooo
£'ooo
£'ooo
urTrB1r￿t￿￿
Funds
Total
2021
£'ooo
£'ooo
Tangible r￿ed a$sel$
Investment in subsidiary
Property loan
Current assets
Current liabilities
Long tenn liabili118S
34.646
7,053
41,699
1188)
3,170
{5,659)
(6,601)
1.031
4,201
(5,659)
(6,601)
25,368
1,031
33,640
COMPARATNE MOVEf•lENT ON FUNDS
I September
£000
31 August
£'ooo
£'OCN)
£000
£'ooo
UnrgslriGtgd Funds
AnThJal Fund
General Fund
Total
24.110
24.114
16,384
16.364
{15,484)
(15,484)
374
374
25,364
25,368
b)
Re6tblcted Funds
Scholarshlp funds
T M Kitchin
Mrs Ru5sell-Baker
St. Catherine's Old Girls
Margaret Kaye
Gregory Award
Mrs S Bevan
Endowment fund
(4)
{4)
{1)
Prizo funds
Donations
Jennrfer Bal8 Organ
Academy
Bursary Fund
Hardship Fund
The 6 Campaign
CATalysl Campaign
Art & Makerspace
Create the Future
Oth8r
25
30
20
23
10
25
73
57
95
79
363
172
{52)
{42)
{12>
(374)
182
516
53
28
(15)
1,330
205
(1301
(374)
1.031
35

ST. CATHERINE'S SCHOOL, BRAMLEY
NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 31 AUGUST 2022
24. Comparatlve movement on funds (coKfiNUED)
I September
£'OL
31 August
£'ooo
£'ooo
£,0￿)
£'ooo
Exp•ndabl•
end¢>wm•nts
Scholarship fvnds
T M Kitchln
Mrs Russell-Baker
St. Catherine's Old Gir15
Margaret Kaye
Gregory Award
Mrs S Bevan
Endowment fuTr
74
77
74
77
22
22
Prlze funds
188
188
Permanont End¢)wmgnt
Property
7.153
{1 tKJ>
7,053