INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF
RADBROOK COMMUNITY ASSOCIATION
I report to the trustees on my examination of the accounts of Radbrook Communty Association for the
years ended 31 March 2025, which are set out on pages 2 to 6
RESPONSIBIUTIES AND BASIS OF REPORT
AS the charity trustees of the Trust you are responsible for the preparation of the accounts in
accordance with the requirements of the Charities Act 2011 (Ihe ACYI.
I report in respect of my examination of the Trustee's accounts carried OLrt under section 145 of the
2011 Act and in carrying out my examination I have followed all the applicable Direth'ons given by the
Charity Commission under section 145(5>(b) of the 2011 Act.
INDEPENDENT EXAMINER'S STATEMENT
I have completed my examination. I confim that no material matters have come to my attention in
connection wrth the examination giving me cause to believe that in any material respect..
(1) accounting records were not kept in respect of the Trust as required by section 130 of the Act,. or
(2) the accounts do not accord with those records; or
(3) the accounts do not compty with the applicable requirements concerning the form and content of
accounts set out in the Chaiities (Accounts and Reports) Regulations 2008 other than any
requirement that the accounts give a 'true arNI fair, view which is not a matter considered as part of an
independent examination.
I have no concerns and have come across no other matters in connection with the examination to
which attention should be dra¥￿ in this report in order to enable a proper understanding of the
aGcounts to be reached.
Signed
C H Thomas
8 August 2025
CATHERINE HELEN THOMAS
Copper Beeches
Sunnyfields
Wlthngton
SY44QE

Radbrook Community Association
04124- 3Y03125
4123 - 3V3124
V4122- 3U3123
Income
Hlre of centre
deposlts
Grants
Donations
Inter Parish Quiz
Bank Interest
Total Income
32.106.30 £
26.556.50
67.￿} £
21,970.00
45.00 -£
341.51 £
32.906.31 £
10.00 i-£
273.80 £
27,103.30
45.00
49.55
22.449.55
Expendlture
Admln costs
Event expenses
Insurance and Licences
Light Heat and water
Malntenance and cleaning
Payroll Costs
Professlonal Fees
Staff Costs:Income Tax and Nl
Wages
Other
Total Expense5
493.85 £
597.61
298.92 1 £
1,495.64 , £
6,620.17 £
10,892.75 £
421.21
2,485.53
3,148.77
6,986.61
180.00
510.54
966.60
9,168.01
1,529.11 £
6,958.08 £
5,580.67 £
1,201.80 i £
1,493.40 , £
11,987.44 £
8,489.50
29.704.85 £
24.299AI
Net Surpluslshortfall
3,201.46
Financed by
Openening Bank
Less Net Surpluslshortfall
Closing Bank
38,719.93
3,201.46 -£
41,921.39 £
42.389.72
3,669.79 4
38.719.93
44,239.58
1,849.86
42,389.72
Statement of Assests
Current Account
savings
Community Centre Lease
Total Assets
18,564.19 £
23.357.20 £
15,704.24
23,015.69
19,647.83
22,741.89
41.921.39
Land is owned by councll. Community Association were given a 25 year Lease in 1998. Since Lease has expired and,
if for any reason the association was dissolved the buildin85 would revert to Shrewsbury Town Council, the value is
zero.

RADBROOK COMMUNITY ASSOCIATION
ANNUAL REPORT FOR THE YEAR TO 31 MARCH 2025
The Radbrook Community Association is registered with the Charity
Commtssioners. number 1075696. and is constltuted by a Deed of Trust.
CHARITY INFORMATION
REGISTRATION NUMBER 1075696
PRINCIPAL ADDRESS: The Radbrook Community Centre, Calverton Way, Radbrook
Green, 5hrewsbury SY3 6DZ
The Chalrman: Chrls Burge.11 Hl8h Rld8e Way, Shrevtsbury
Treasurer: Paul Fathers, 12 Mllton Way Shrewsbury
Secretary . Vacant
Other Trustees
Angela Barrow, 41 Rothley Close Shrewsbury
Susan Belghton, 4 Crawford Meadows, Shrewsbury
Maureen Brndleyi 3 51x Acres, Shrewsbury
Mark Gorton 3, Selwyn Close, Shrewsbury
Nlgel Hall, 3, Sweetlake, Shrewsbury
Carol Haywood, I, Woodfield Road, Shrewsbury
Amal Moore, 2 Periyale aose, Sh￿w$bUry
Barbara Heathom, 27 Six Acres. Shrewsbury
John Organ, 23 Deepfields. Shrewsbury
Judy Roberts, 95. Preston Street. Shrewsbury
New trustees are elected in accordance with the provisions of the constltutlon of
the Assoclatlon.
Bankers; Barclays Bank PLC. Shrewsbury Business Centre. 4446 Castle Street,
Shrew5bury.

OBJEcrs
The objects of the Association are to:
{a) promote the benefit of the inhabttants of Radbrook and the ne￿hboUrhood
without distinction of se& sexual orlentstion. rdce or of political. religious or other
opinions, by associatlng together the said inhabitants and the local authorities,
voluntary and other organlsatlons In a common effort to advan￿ educatlon and
to provlde facllltles In the Interests of social welfare for ￿creatIOn and lelsure
tlme occupation wlth the objett of improvlng the condltlons of Ilfe for the said
inhabltsnts.
(bl establlsh, or secure the e5tabltshment of, a Communlty Centre and to
malntaln and manage the same (whether alone or In CO￿peratIOn wlth any local
authorlty or other person or body) in furtherance of the objects.
{c} promote such other charltable purposes as may from tlme to time be
determlned.
ORGANISATIONAL STRUCTURE AND DEa￿ON MAKING
The Charlty Is managed by a General Commlttee comprtslng the members of the
AssocSatlon and admlntstered by the Honorary Offkers, belft8 the Chairman,
Secretary and Treasurer.
REVIEW OF ACTMTIES
The Radbrook Communlty Centre has been operatlonal since 9 De￿mber 2005. ft
Is used for family parties and by organlsatlons and groups for actlvitles such as
dance, exercise and yoga classes, meetln8s and fund raising events.
The Assoclation has a website which has a calendar of events and actlvltles at
the Communty cent￿ and there Is also a Facebook pa8e to promote actlvttles at
the Centre.

FUTURE ACMTIES
Whllst the communlty Centre Is In regular use and activtties are carried out on a daily basis, the
committee continues to increase the activities for the benefrt of the communty.
Work is taking place in August to improve the access from the emergency door to Include slabbing
and a handrail as recommended by the health and safety sub committee and unanimously approved
by the trustees.
We are brdnchlng out providing a venue for a well known folk group who have prevlously appeared
at Glastonbury. Thls event Is to ralse money for the purchase of a defibrillator to be Installed on the
outside the communty ￿ntre buildingfor use bythe publlc and users of the community centre.
FINANCIAL REPOKr:
The attached Profft & Loss statement for the year Aprll 2024 through
March 2025 refiects the Incoming resources and resour￿5 expended for the year.
POUCIES
Reserves
The Trustees a￿ of the oplnlon that the resources that they retain and
antlclpate recelvlng In the future wlll enable the Assoclatlon to meet the
current and future requlrements for the ongolng costs of operatlng the
Centre. By ralslng our hlre charges last year, we are now In a better position to meet our continually
rfslng costs.
The Trustees are authortsed to Invest the assets of the Assoclatlon not
Immedlately requlred for Its objects In such Investments, securlties or
property as the Assoclation believe to be in the best interests of the
Charity and its objectives.
Rlsk Management
The Trustees have examined the major strategic, business and
operatlonal risks whlth the Charlty faces and confirm that systems have
been established to enable regular reports to be prodU￿d so that the
ne￿sSary steps can be taken to minimise these ris￿.

TRUSTEES. RESPONSIBILMES
Charity Law requires the Trustees to prepare Flnanclal Statements for
each financlal year whlch give a true and fair view of the state of affairs
of the Charlty at the year end and of its incomtng resources and
resources expended during the year. In P￿paring those Financlal
Statements, the trustees are requlred t
- select suitable accountlng policles and then apply them conslstently
- make judgements and estlmates that are reasonable and prudent
- state whether applicable accountin8 Standards and statements of
recornmended Pract1￿ have been followed subJeL1 to any departu￿5
disclosed and explained In the Flnanclal Ststements, and
- prepare the Financlal Ststements on a goln8 concern basls unless It Is
appropriate to presume that the Charlty wlll not contlnue In buslness,
The Trustees are responslble for keepln8 proper accountlng records
whlch disclose wlth reasonable accuracy at any tlme the financlal
position of the Charity and enable them to ensure that Flnanclal
Statements cornply wlth the Charlty Act 2011. They are also responslble
for safeguardlng the assets of the Charity and hen￿ for taklng
reasonable step5 for the prevention and detectlon of fraud and other
Irregularltles.
The report Is slgned on behalf of the Trustees
Christopher Burge
Hon Chalrman
Date: 11 June 2025