Charity wistration number.. 1080062
ST ALDATES PAROCHIAL CHARITY
TRUSTEES. REPORT AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 7 DECEMBER 2025
Chopman Worth
Churtereol Accovntonts

st Aldates Parochial Charity
Contents
Pa9e
Trustees, Report
Independent Examiner's Report
Statement tsf Financial Attivities
statement of Financial Position
Note5 to the Financial Statements
7-13
The followSng pages do not form part or the statutory accounts:
Detailed Ststement of Financial Artivities
14-15

St Aldates Parochial Charity
Trustees. Report For The Year Ended 7 December 2025
The trustees present their report and the financial statewnents for the year ended 7 December 2025.
Objectlves and Actlvltles
Aims and Objectives
The charity'5 objectives are to provide as515tances to the beneficiaries the City of Oxford who are in condition of need
harclship or distress, and to contribute to the maintenance of the fabric and of the seryices in St Aldate's Church.
These objectives are met using income generate(l from a balanced portfolio of investments in property, equities, and other
funds.
The Trustees contlnue to pay due regard to gvldantr on public benefit Issued by the CharSty Commlsslon In decldSng what
attlvitles the charlty should undertake.
Aehlevemtnts *nd Performant¢
Maln AchSevemonts
The quadrennial rent review was carried out and became effective March 25th, 2024. which resulted in an approximate
Increase of 160h in accommodation rents but no change in retail rentals. The full year impact of these rlses was felt In 2025.
Hovdever. Rent41 receipts from Commonwealth House were discounted through the year because of a rebate granted to reflert
thelr loss of income from basement rooms deemed unsuitable for rent due to significant water in9ress.
As a result, total income Including interest and ¢Jividends was down by 14% vs 2024. Total expense wos down 15Vo prlnclpallv
due tts an abnormally low total for ￿paIrS & mainienance. It is anticipated that this will revert to a more normal level in 2026
when works to addres5 the water ingre55 problem are carried out. Overall, an operating Surplus wès generated which en5ureLI
that our overall grant allocatlons could be malntaSned as budgeted.
In November 2025, the Trustees initiated a major review of the 9overnance stnjcture and strateglc aims of the Charlty. A
report Is expected by mld-year ènd this is antiCi￿tell to have a si9nifitant im￿cl on the future direction of the Charity.
Flnanclal Rèvlew
Flnanclal Po*Stlon
The Trustees have made grant5 as set out on page5 9 & 10 of the report amountlng to £255,000 12024 - £250,000). In
addltlon. penslons of £153/month have been pai¢J to needy people In the pa￿sh totalllng £3.900 1É3.704 In 20241.
To enable the Trustees to make these grants. the properties 1.1 I Pembroke Street and 94 St Aldate s Oxford are carefully
managed to provide what the Trustees are satisfied is the optimum return on the Tnjst Funds. Whilst the propertles are held
as long term Investment propertles, the Tnjstees also seek to en5￿￿ the best use of those properties In Ilne wlth the alms of
the Charlly.
Reserves are held at a level necessary for the Charity to continue to meet its current needs. The property is held as an
IrTrve5trnent which produces rental income. which together with income from the investment pDrtfolio produces income applied
to charitable objectives. An amount of £227,077 12024 - £28.6161 Ss freely available. The Snvestments have been rnade
viithin the normal trustee poY4ers governin9 a trusi of this nature.
.CONTINUED
Page I

st Aldate$ Paroehial Charity
Trustees. Report (continued)
For The Year Ended 7 December 2025
Flnanclal Posltloo - contlnued
The stated market value of the freehold property is based on an open market valuation carded out by Savills on March 31
2020. The valuation concluded that the property has a value of £3,900.000. As part of the current Strategic review , the
Trustees have requested an update to this valuation which will be prepared in Ast Quarter 2026.
The Trustees remain confident in the ability of the charity to continue as a going concern. A key element of the Charity's
Income Is room rental from the propertles owned on Pembroke Street. and the￿ Is stron9 evldence that the rental market and
roorn occupancy In central Oxford continues to be strong.
Reference and Administrative Detail
Trustees
Rev S Foster
Mr J Mltchell
Mlss A Wilton
Mr R Hunter
Counclllor N Walte
ChJrlty Numb¢r
1080062
Prlnelpal Addre1•
Qulnce Orchard
31 Cumnor Hlll
Oxford
OX2 9EY
Ind•p•nd•nt Examln•r
Anna Ch4pman FCA
Chapman Worth LSmlted
Chartered Accountants
2 The Old Estate Yard
Hlgh Street
East Hendred
Oxfordshlre
OX12 8JY
Page 2

Th• trv5t••5' r•port approv•d by th• toard of trusttts arnl slgnEd on tts behalf by:
Date
p￿83

St Aldates Parochlal Chaplty
Ind•p•n¢l•Tht Ex•mkn's R*port to tho Trustees of St Aldatss Parnchlal Chaylty
For Th• Y￿r Ended 7 D•cembw 2025
I reptsrt to the twstees on my examination of the actounts of St AldJtes Parochial Charity (the Tru$i} for the year ended 7
December 2025.
R•¥poM+bllbtleo •nd Basls ol Report
As the chanty trustees ol the Trust you are re¥ppnsiWe lor the preporntyorb of the accounts In accordance with the requlrements
ol the CharftSes Art 2011 I-the Act-l.
I r•port In respect of my ex)mln•tion of the Trust's accounts urrled out under section 145 of the 2011 Act and In urrylng Out
rny examln4tlon, I have followe¢J the •p￿leable Dire£tloNs Olven by the Charty Commls$k*Th under settion 14515llbl of the Act.
Ind¢p•nd•nt Ex•mlbTr•tr'¥ Sl*t•m•nt
Slnce the TnJst'$ gross Income exceeded £250.000 your exarn*Ther must Ix • member of • body Ilsted In sertitsn 145 of the 2011
Att. I confimi that l am quallfied to undertoke the exomlnarknn because l arn o member of The Institute of Chartered
Accountants In England ond Wales, whlch Is one of the Ilsteé bodies.
I hève completed my examinjtion. I confirm thor rbo materièl matt•s have comt to my attentlon In connecvon wlth the
examinatlon 9lvlng me cause to belleve that in a•y material respect..
l. atcountinp records were not kept In rt5pert ol the TNst ès re4ulrté by settion 130 of the Art.. or
2. the a¢counts d¢ not accovd wlth those reeords.. or
3. the accounts d¢ not cornply With the applKable requlrements concemlng rhe iomi ènd contents of account5 set out In the
Charttles IAccounts and Reports) Re9ulaiions 2008 other than any requlrement that the ?crounts glve a 'true and talr
vlew, whlch Is noi a maiter considered JJS port of an Independent examlnatlon.
I have no concerns and have corne across no other matters In connection wlth the exarninallDn lo which attentlon should be
In thls repDrt In order to tTh•bl• o proper undeYstèndsn9 of the atttyJnts to be re4¢he4.
Afina Chapman FCA
Q•te
Chapman Worth Llmited
harrered Accountants
2 The Old E$tate Yard
Hl9h 5tre¢t
East Hendred
Oxford5hire
OX12 BJY
P4ge 4

St Aldates Parochial Charity
Statement of Financial Activities
For The Year Ended 7 December 2025
2025
Unrestrirted Unrestricted
funds
funds
2024
Notes
INCOME AND ENDOWMENTS FROM:
Charitable activities..
Provision for the poor and needy people residing in or about the ancient parish of St
Aldate
Investments
310.7B2
327,827
10.796
15,332
321.578
343,159
EXPENDITURE ON:
Charitable actlvities..
Provision of rellef
Grant funding
Share of support costs
Share of governance costs
126,7941
1255,0001
115,6201
12,2681
188,9901
1250,0001
19,4691
12,2201
1299,6821
1350,6791
NET INCOMEI(EXPENDITURE) BEFORE INVESTMEMT GAINS/{LOSSES)
Net galns on Investments
NET INCOME/(EXPENDITURE)
21,896
44.397
17,5201
15,499
66.293
7.979
NET MOVEMENT EN FUNDS
RÈCONCILIATION OF FUNDS:
Total funds brought forward
TOTAL FUNDS CARRIED FORWARD
66.293
7.979
2,310,704
2.376,997
2,302,725
2.310,704
14
The note5 on pages 7 to 13 form part OF these flnanclal statements.
Page 5

st Aldatw P•rothl•l (JD•rttv
A• At 7 l>•wnb•r 2025
202S
2024
UAV••trlct•d Tot•1
fvnd•
l¥ftgible A5S¢ts
Irwestments
1,850,000 1.850,000
299.968
432,088
2.149,968 l282,089
li
Investments
Co6h It bank and In hand
12
24,929
204,370
229.299
18.?73
54.423
73.196
¢v•dlt•M: ANw¥nt• P*lllng Du• Wlthln On• Y••r
ij
(2,2701 {H,5801
NET CURRENT A••IT• {LIWLrriis)
227,029
28,616
TOTAL A•Jm LU• cuRReMT LWILM
2,376,997 2,310,704
2,376.997 2,310,704
VUNDS OV THE CHAIIXTY
UnrestdcteÉ Fund6
2.376,997 2,3JO,704
2,376,997 2.310,704
TOTAL VUIID•
On b¢hall of the b￿rd
V 5 Fo•ter
Trustee
Oate
rfa 2fr" 2C•J&
notés on pègas 7 to 13 form port of th•M fin•n￿￿ *t•t•m•ni•.
Paae 6

St Aldates Parochial Charity
Notes to the Financial Statements
For The Year Ended 7 December 2025
General Informatlon
St Aldates Parochlal Chadty Is an unlncorporated chadty registered wlth the Chadty Commlsslon. reglstered cha￿ty number
1080062. The principal address is Quince Orchard. 31 Cumnor Hill. Oxford. OX2 9EY.
Attounting Polit•e$
2.1. Bas1$ of Preparatlon of Flnanc6•1 StatemÈnts
The financlal statements have been prepared In accordance wlth the ChadtSes SORP IFRS 1021 Accounting and Reportlng
by Charitle5.' Statement of RecoTTimended Practice applicable to charities preparing their accounts in accordance wlth thè
Financial Reporting Standard applicable In the UK and Republic of Irelan¢J IFRS 1021 leffective l January 20191 Financial
Reportlng Stèrndard 102 'The Flnancièl Reportlng Stèndèrd èppllcable in the iJK ènd Republlc of Ireland" and the Charltles
Act 2011.
The charlty 15 a Publlc 6eneflt Entlty as deflne(I by FRS 102.
2.2. Ineomlng Resourte*
Income Ss recognlsed when the Chadty is legally entitled 10 It after any perfomiance conditlons have been met, the
arnounts can be rnea5ured reliably. and it 15 probable Ihat income will be received. Cash donations are recognised on
receipt. other donations are recognised once the Charity has been notified of the donation, unless performance condltSons
quire deferral of the amount. Intorne tèx recoverable in relation tts don3tions received under Gift Aid or deeds of
covenant is recognised at the tirne of the donation. Legacies are recogni5ed on receipt or otherwise If the Charity has been
notlfled of an Impending distributlon. the amount is known, and recelpt Is expected. Jf the amount Ss not known, the
legacy 15 tre4ted 4s a contingent osset.
2.3. Re*ourtes Expended
Expenditure Is recognised once there is a legal or constrt￿tI¥e obllgatlon to transler economlc benefit to a thlrd party, It 1$
probable that a trnnsfer of economic benefits will be required in settlement, and the amount of the obligation can be
measured reliably. Expenditure is classified by actlvity. The costs of each activity are made up of the total of dlrect costs
and shared costs, Including SLJPPOrt costs Involved in undertakin9 ea¢h artlvity. Dire¢i ¢ost$ attribuiatsle to è $lngle actlvlly
are allocated ¢Jirectly to that activity.
Shared costs whlch contrlbute to more than one actlvlty and support costs whlch are not attrlbutable to a slngle ictlvlty
are apportloned between those attivitles on a basls conslstent wlth the use of resources. Central staff costs are allocated
on the b4sls of tlme spent. and depreciatlon charges are allocate(J on the portion of the asset's use. All expendlture Is
Included on an accruals basss and Is recognlsed when there Ss a legal or constructSve obllgatlon to do so.
Charltable actlvltle5 Include expendSture assoclated wlth meetlng It5 charltable oblectlves. Thls Includes the cost of grant
maklng. and 4Jlrect provlslon of charitable services.Govemance costs Include those Incurred In the governance of the
¢harlty and Its assets and are primarlly assoclated wlth constitutional ancl ststutory requlrements.
Page 7

St Aldates Parothial Charity
Notes to the Financial Statements (continued)
For The Year Ended 7 December 2025
2.4. Tanglble Flxed Assets and Depreclatlon
Tanglble fixed assets are measured at cost less èccumulated dep￿latiOn and any accumulated Impairment losses.
Depreciation Is provided at rates calculated to write off the cost of the fixed asset5, less their estimated residual value,
over their expected useful lives on the following bases..
Freehold
0% straight line / no depreciation on land
2.5. Inve5trnents
Flxed asset investments are initièlly measured at transattion price excluding transèttion costs. and ère subsequently
measured at fair value at each reporting date. Changes in fair value are ￿0￿nised in net income/lexpen(liturel for the
year. Transaction costs are expensed as Incur￿
2.6. Cash and Cash Equlvalents
Cash and cash equivalents are basic financial assets and include cash in hand and deposits held at call with banks, other
short-term hlghly liouid investments that mature in no more than three months from the date of acoulsltion and are
readily convertible to a known amount of cash with insignificant risk of change in value. and bank overdrafts.
Invt*tmént Inc•m
2025
2024
Unrestrlrted Unrestrlct•d
funds
funds
Interest from Investments
Dlvlden¢s from Investments
4.753
6.043
9,693
5,639
10.796
15,332
4. Analy¥5• ot Exp*ndltur*
2025
Grant
fundln• of Support
Artlvltle$
undertaken (see note
dlrertlv
(see note
51
61
Tot•1
Prov151on of reller
Grant fundlng
Share of support costs
Share of governance costs
23,022
3,772
255,000
26,794
255,000
15,620
2,26B
15,620
2,268
23.022
258.772
17,888
299,682
Page 8

St Aldates Parochial Charity
Notes to the Financial Statements (continued)
For The Year Ended 7 December 2025
2024
Grant
fvnding of Support
Artlvltles
actl¥ltles
costs
undertaken 15ee note
(see note
dirertly
51
61
Totol
Provision of rellef
Grant fundln9
Share of SLJPPOrt costs
Share of governance costs
85,286
3,704
250.000
88,990
250,000
9,469
2.220
9,469
2,220
85.286
253.704
11,689
350,679
Grants Payable
2025
Gr•nts to
Gr•nts tts
ID¥tltutlons Indlvldu•l¥
Totol
Provlslon of re15ef
Grant fundlng
3,772
3,772
255,000
255.000
255.000
3,772
258,772
20Z4
Grants to
Grants to
In5tltutlon• IndSvSdu•l•
Tot•1
Provlslon of rellef
Grant fundlng
3,704
3.704
250,000
250.000
250.000
3,704
253,704
Grants pild to Institutlons, Included above, are as Follows-
2025
1024
ACTI Includlng Mlnlstry to ex offenders
Archviay
Donnlngton Doorstep
Emmaus Trust
Gatehouse
Grandpont Chlldren's Centre
Mental Health Monitoring Prolect (St Aldates)
Oxford Churches Debt Centre
45,000
5,000
5,000
I,soo
5,000
1.500
16,000
12,500
42,000
5,000
5,000
1,000
3,500
1,500
15,000
11,000
..CONTtNUED
Page 9

St Aldates Parothial Charity
Notes to the Financial Statements (continued)
For The Year Ended 7 December 2025
Oxford Sexual Abuse & Rape Crisis Centre
Oxford Street Pastors
Rector's Discretionary Fund 1st Aldates)
Rosehill & Donnington Advice Centre
School of Ministry Bursaries
Support for Youth Events
st Ebbe's School
st Luke's Church
st Matthews PCC
Tandem
Vlv
Church 8ranch- malntsin Fabric of St Aldate's
Oxford mutual ald
RaSnbow house
2,000
3,500
10,000
2,000
5,000
5,000
1,500
5,000
3,000
1,000
3,000
125,000
3,500
6,000
2,000
6,000
5,000
4,500
3,000
1,000
4,000
127,500
500
500
255,000
250,000
Support Costs
1025
Share of
Share of
•upport gov¢rnJn¢*
costs
Costs
Total
Employee costs
General è¢mlnlstratlon
Governance costs
7.000
8.620
7.000
8,620
2,268
17,888
2,268
2,268
15.620
2024
Shar• of
Sh•r• of
Bupport governance
¢osts
¢osts
Tot)I
Employee costs
General admSnlstratlon
Governance costs
6,600
2,869
6,600
2,869
2,220
2,220
9.469
2.220
11,689
Page 10

St Aldates Parothial Charity
Notes to the Financial Statements (continued)
For The Year Ended 7 December 2025
Independent Examiner'$ Remuneration
2025
2024
Independent examination of the financial statements
2,268
2,220
staff Costs
staff costs were as follows..
2025
2024
Wèges and salarles
7.000
6,600
No employees received employee benefits (excluding employer pension costs) for the reporting period of more than £60,000.
Avtrage Number of Employet*
Averège riumber of employees du￿n9 the year was= l (2024= 11
10. Tanglble Assets
Land &
Propertv
Freehold
Co•t
As at 8 December 2024
1.850,000
A$ at 7 December 2025
1.850,000
Net Book Valu•
As at 7 December 2025
1.850,000
As at 8 December 2024
1.850,000
Land and bull¢ln9$ 8re Included In the )¢eounts )t eost. The propertles were valued by S•vllls on the 31 Mareh 2020 an
concluded to have a market value of £3,900,000. The valuatlon conforms to Internatlonal Valuatlon Standards and was based
on retent market rransattions on arm's length temis lor simllar properties.
Page 11

St Aldates Parothial Charity
Notes to the Financial Statements (continued)
For The Year Ended 7 December 2025
11. Investments
Listed
Cost or Valuation
As at 8 December 2024
Addltlons
DIsp05als
Revaluatlon5
Transfers
432,088
15,493
110,3071
37,694
1175,0001
299,968
As 3t 7 December 2025
Provlslon
As at 8 December 2024
As at 7 December 2025
Net Book V*lu¢
As at 7 December 2025
299,968
As ?t 8 December 2024
432,088
IZ. Current A•set Inv••tm•nt•
2025
2024
Short term deposlt$
24.929
18,773
13. Cr•dltor¥: Amount¥ F•lllng Du• Wlthln On• Y••r
2025
2024
Trade credltors
Accruals and delerre¢J Income
2.268
44,580
2.270
44,580
14. Mov•ffl•nt In Fund*
Asat8
December
2024
A$at7
Deeember
2015
Inr(*me Exp¢ndltur¢ T*•n¥ters
Unrestrlct•d fund•
General..
General unrestricted fund
2.060.704
37.644
.649 2.106,997
.CONTINUED
Page 12

St Aldates Parothial Charity
Notes to the Financial Statements (continued)
For The Year Ended 7 December 2025
Designated..
Designated fund
250,OLKI
321,578
(292,929)
(8,6491
270,000
Total unrestrlcted funds
2,310.704
321,578
{255,2851
2,376,997
Total funds
2.310.704
321.578
(255.285)
2.376,997
Asat8
December
2023
Asat7
December
2024
Income
Expendlture Transfers
Unrestrlcted fund*
General..
General unrestricted fund
Deslgnated..
Deslgnated fund
2,052,725
15,499
(7,5201 2,060,704
250.000
343, 159
(350,6791
7,520
250,000
Tot•1 ynr¢strlrt¢d fund*
2.302.725
343, 159
(335,1801
2.310,704
Total fund•
2,302,725
343, 159
{335, 1801
2.310,704
15. Tran*•¢tlons wlth Tru•t¢¢•
None of the trustees recelved any remuneratlon or any other benefits from an employment wlth the chèrfty or a related entltv
durlng the current or prevlous year.
No trustee expenses have been Incurred.
16. R•lat•d P•rty Dlocloour••
There were no d5sclosable related party transattions during the year (2024 - none)
Page 13

St Aldates Parochial Charity
Detailed Statement of Financial Activities
For The Year Ended 7 December 2025
2025
Totèl
funds
2024
Total
funds
INCOME AND ENDOWMENTS FROM:
Charltable Actlvltles:
Provision for the poor and needy people residing in or about the ancient parish of St Aldate
Income frorn charitable activities
310,782
310,782
327,827
327,827
Investments
Dividends from other current asset investments - listed
Interest from other current asset investments - listed
6,043
4,753
5,639
9,693
10,796
15,332
321,578
343,159
EXPENDITURE ON:
Charltable Actlvltl•s:
Provlslon of rellef
Rent collectlon, property repalrs and malntenance charges
Quinquennial Inspection
Management fees
Repairs, renewa15 and maintenance
Insurance
Grants to Indlviduals
114,7101
12,1001
{2,4001
19.6001
19,7611 148,2531
110,8611
110,6231
13,7721
13,7041
126,7941 188,9901
Grant fundlng
Grants to Institutlon$
1255,0001 1250,0001
1255,0001 1250,0001
Shart tsf #upport
Wages 3nd salarles
Professlonal fees
Bank charyes
Other office costs
17,0001
16,5151
1251
1801
115,6201
16,6001
12,6511
11051
11131
19,4691
Share of governanee eo#t#
Independent examiner's fees
{2,2681
12.2201
{2,2681
12,2201
1299,6821 1350,6791
21.896
17,5201
NET INCOMEI(EXPENDITURE) BEFORE INVESTMENT GA114S/<LOSSES)
Net galn# on Investments
.CONTINUED
Page 14

St Aldates Parothial Charity
Detailed Statement of Financial Activities (continued)
For The Year Ended 7 December 2025
Surplus on disposal of listed fixed asset investments
Fair value surplus on revaluation of investments
6,703
37,694
15,499
44,397
15,499
NET INCOME
66.293
7.979
Page 15