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Saddleworth Round Table RT 558
Financial Statements for the year ended 31 March 2025
Charity details:
Saddleworth Round Table Charitable Trust Fund - Charity No. 1088243
Trustees:
Henry Burbidge
Matthew Sykes
Andrew Rothwell
Matthew Johnson
Ryan Smith
Resigned 3 April 2025
Appointed 6 April 2017
Appointed 30 March 2018
Appointed 2 April 2020
Appointed 3 April 2025
This report comprises the Trustees report and financial statements for the year ended 31
March 2025.
Trustees report to the financial statements for the year ended 31 March 2025
Saddleworth Round Table continued to go from strength to strength in 2024125 with over
£60,000 in revenue generated and a year in which saw us make record donations in recent
times of £37,431. Many of the charities income generating events have been able to
increase footfall leading to greater surplus, generated compared to previous years, allowing
us to increase our donations to local good causes, charities and community groups.
Our largest event, Santa Dash returned once again and was bigger and better than before.
The surplus generated exceeded that generated in the previous year 2024 £27,201 (2024..
£18,208). We were visited by local legend Kevin Sinfield on his 7 ultra marathons in 7 days
and were delight to support the MNDA with a £5k donation. In addition we also were support
local clubs who took part in the event and on the day donated over £11,000. Steamfest
returned for a second year and provided a great community event which generated a small
surplus.
All our events have helped us increase the amounts we've been able to donate to local good
causes, charities and community groups. We were able to donate funds throughout the year
with funds carried forward from previous years. During the year the charity has made and
pledged donations of £37,431 (2023.. £21,503)
The Trustees continue to see the benefits of robust financial stewardship with each event
subject to a detailed budget and close oversight by the Treasurer and vice Treasurer. The
Chairman and Treasurer continue to support Trustees to ensure that each event is viable
and contributes to the aims of the Saddleworth Round Table Charitable Trust. The charity
continues to Saddleworth Round Table h4s delivered its purpose through providing support
to local charities and good causes in a sustainable manner. Trustees believe the outlook for
the Charity remains positive and will contirrue to operate as a going concern.
Accounts for the year ended 31 March 2025
Basis of Preparation
The accounts have been prepared in accordance with the Charities Act, on an accruals and
going concern basis and reflect the activities undertaken by the Trust during the financial
year 1 April 2024 to 31 March 2025.
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Income and expenditure account
2024125
2023124
Income
Comedy Night 1
Santa Dash & Winter Wonderland
Bingo
Steamfest
Senior Citizens Christmas Party
Gifts & Donations
1,903
53,843
34,427
9,049
4,262
550
2,732
51,020
5,369
500
100
61,715
Expenditure
Comedy Night
Santa Dash & Winter Wonderland
Bingo
Steamfest
Senior Citizens Christmas Party
Gifts & Donations
1,083
26,642
16,219
6,167
4,048
1,926
21,503
49,863
72
1,229
4,190
2,346
37,431
71,692
68
9,909
Interest rec'd
Surplus l {Deficit) for the year
Balance sheet
2024125
2023124
Fixed assets
Current Assets
Debtors - prepayments
Accrued Income
Bank- Charity account
Bank - Reserve Account
550
6,467
5,157
11,624
17,819
5,090
23,459
Current Liabilities
Unpresented cheques
Accrued expenditure
(1,926)
Net current assets
11,624
21,533
Represented by:
Net assets blf
Surplusl(deficit) for the year
Net assets clf
21,533
9,909
11,624
20,304
1,229
21,533
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Notes to the accounts
1) Bank
2024125
2023124
Charity Account
OBal
CBal
17,819
6,467
16,892
17,819
Reserve account
OBal
CBal
5,090
5,517
5,018
5,090
2> Debtors
Debtors
Prepayments
550
3) Current Liabilities
Unpresented chq's
1,926
Declaration
I confirm that the figures presented within this report represent a true and fair view of the
Trusts activities based on the information available for the year ended 31 March 2025.
easurer
Trustee
-j ANkV4LX
te
S T/gN
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Independent Examination
In connection with my examination of the above accounts set out in pages 1 to 3, no matter
has come to my attention..
1. which gives me reasonable cause to believe that in, any material respect, the
requirements..
to keep accounting records., and
to prepare accounts which accord with the accounting records and comply with the
accounting requirements of the Charities Act
have not been met., or
2. to which, in my opinion, attention should be drawn in order to enable a proper
understanding of the accounts to be reached.
Il CA<IJL
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CHARITY COMMISSION
FOR ENGLAND AND WALES
1088243
Annual accounts for the period
Period end
dale
Period start dale
0110412024
To
3110312025
Section A
Statement of financial activities
Restricted
income
funds
Recommended categories by
activity
Unrestricted
funds
Endowment
funds
Prior year
funds
Total funds
Incoming resources (Note 3)
Income and endowments from:
Donatyons and legaoie5
Charitable actsvities
F01
F02
F03
F04
F05
S01
100
61,615
100
61,615
2,732
48,288
S02
Other trading actsvites
Investrnents
S03
S04
68
68
72
Separate material item of income
Other
S05
S06
Total
Resources expended (Note 6)
Expenditure on:
Raising funds
Chantable activities
S07
61,783
61,783
51,092
S08
S09
37,431
37,431
28,360
Separate material item of expense
Other
S10
S11
34,261
71,692
34,261
71,692
21,503
49,863
Total
S12
Net incomellexpenditure) before investment
gainsl{losses)
S13
9,909
9,909
1,229
Net gainslllossesl on investments
Net incomel{expenditure)
Extraordinary items
Transfers between funds
Other recognised gainslllosses):
S14
S15
9,909
9,909
1,229
S16
S17
Gains and losses on ￿valUatiOn offixed assets for the oharity's own use
Other gainslllossesl
Net mov8m8nt in funds
S18
S19
S20
9,909
9,909
1,229
Reconciliation of funds..
Total funds brought fopward
S21
21,533
11,624
21,533
11,824
20,304
21,533
Total funds carried fO￿ard
S22
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Section B
Balance sheet
Restricted
income
funds
Unrestricted
funds
Endowment Total this
funds
year
Total last
year
Fixed assets
Intsngible assets
Tangible assets
Heritage assets
Investments
F01
F02
F03
F04
F05
(Note 15)
(Note 14)
(Note 16)
{Note 17}
Total fixed assets
B01
B02
803
804
805
Current assets
Stocks
(Note 18)
Debtors
{Note 19)
Investments
(Note 17.4)
Cash at bank and in hand (Note 24)
Total current assets
806
807
550
B08
B09
11,624
11,624
11,624
11,624
22,909
23,459
B10
Creditors: amounts falling due within
one year
(Note 20)
B11
1,926
Net current assets/(liabilities)
812
11,624
11,624
21,533
Total assets less current liabilities
B13
21,533
Creditors: amounts falling due after
one year
(Note 20)
Provisions for liabilities
B14
815
Total net assets or liabilities
Funds of the Charity
Endowment funds (Note 27)
Restricted income funds (Note 27}
Unrestricted funds
Revaluation reserve
816
11,624
11,624
21,533
B17
818
B19
11,624
11,624
21,533
B20
Total funds
B21
11,624
11,624
21,533
Signed by one or trustees on behalf of all
the trustees
Date of
approval
ddlmml
ignature
Print Name
n. ,)014LI.bOV.
S/li
CC17a {Excel)
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0710112026