Charitable Reglsiratlon No. 1093997
Company Re8iStratlon No. 04452282 (England and Wales)
STOKE ROW SPORTS AND LEISURE CLUB LIMrfED
TRUSTEES, REPORT AND UNAUDITED AccoufiTS
FOR THE YEAR ENDED 31 DE(TM&ER 2025

sroKEROWSPORTSANDIEISUR£CLUBUMrrED
LEGALANDADMINlStRAIIVE INFOAMATION
Trystees
J Klngsbury
SJC Chalker
C Bldm5chdn
A Roberts
S•¢r?twv
Mr51C Chalk
Comp•nyft•8l#r•llon Number
04452282 IEngland and Wale51
Ch•rltyNumb•r
1093997
Pilnclp4 Addr•
LlttleAcorns, Maln Strel
StokeRow
Henlty
RG95R8
fteO*ered omce
Ridford & Sergeant Llmlted
arro House
Lyon Way
Camberl
6U167ER
A¢coufitsnts
Radford & Ser8eant Llmltod
9 Grtyfrlars Aoad
Readlni
RGI INU

sTa￿RoWsP0ATsAND LEISURE CLUB LIMITED
Trustee< report
Independent Ex￿Ine¥ report
of)Inanclal actiwltie5
ance5heet
Notestotheaccounts
8-10

sroKEROWSPCHITSAND LBSURECiIM LIMITED
FORIHEV£ARENDED31 DECEM8ER2025
Thetrusteespresentthelrreportand accountsfor thetwdvem0nths￿ded 310ecembtt2025
The a¢tounts have be￿ prepared in accordance wlth the accounting polic4e5 Set put tn note I to the accounts and comply wlth the
CharitV5 kniorandum and Artlcle5 of Associatoon. the Companles A¢t 2006 and the Statemtht of Recommended Practlce.
"kcountln8and Rq>ortlngbyCharlties, Iwed In 2005.
Structur•.p¥emance and rnmagement
ThÈCoM￿nY was incorporated on 31 W 2002 and Islimited byguarantee.
The 8ovwnlng dotvment for the charlty Is the Memorandum and Article5 of Assoclatlon. The trustees of the charlty endeavour to
complywlth ltsobli8ations undersection 6 of thecharlt1￿ACt 2006 and therequlrementsofthestatement of Recornm￿ded Practlce,
"k¢ountinAand Reportln8 of Charltie<. issued 2005.
Thetruste4 who arealso thedirertoTsforthepurpose50f company law. and who served durln8theyearwere'.
JLFllan Klng5bury
Junechalk
aare Bleimschdn
Aed Robrfs
Themethodsof reEruitmentand appolntment of newtrustees arèdefinol In accordancewlth theArtl¢les of
clatlon of thecharlty. Trust￿retIrebyrOtatioft and Can berL￿ppOinted at theannual general meetlng.
Otherp0t￿tral appolnteeshaveto ber￿0MMended bythetrusteesasquallfled to make a contribution tothe
pyrsult of thecharitvs Obl￿tIVes.
Noneofthetrustees haveany beneficlal Inttt¥t in thecompany. All ofthetrustee54remanbwsofthe¢ompanyand guaranteeto
contrlbute£l in thee¥￿t of awlndingup.
Therewweno rdated partytransactlonsdurin8 iheyear.
Thetrustees haveassessed themalor rlskstowhlch theCh3rityisexposed. and aresatlsfied thatW5temsareln placeto mitigate
exposuretothe major risk5.
Clbje£tlves4nd acIl￿tIeS
Thecharlty'soblectivesaretheprovlslon and MaIn￿anCe0f a crICket￿O￿nd, tennlscourts￿d pavllSon facllltlesfor5POrts and lejsure
tlmeartlvltles. Pdditionally. thecomplèxis acces51bletoStokeRow Residents forwalkfjn& e¥erclseand lelsureactlvtties provided rnle5
of usaaeareadhered to.
Themaln artivtti85to achlevetheseobjective5arefvnd raSslngwhith indud¢-
nlsclub m*nbershiplcoachlngfees
'Crlcketyound hlre
•Pavblion hire

$r(X￿ROw5p0ft7SAND LEISURECLUBLIMITED
IRUStEEY REPORT{Contlnuedl
FOR THEYEARENDED 31 DECEM8ER2025
A¢hIeVen￿￿tsand p•rfornwnce
In 2025 theclub c￿er#ted over £30,000 In Incomellncludln8bank Interestlwlth tennlscoachlngfee5 representlhgcloseto SO% ofth5s
total. Membershlpsubscrlptlonsfell almost S% to lust above£7.000, a metrlc weneed to monltorc105ely In thècomln8year& Income
from pa¥lllon hlrewa5 up compared to 2024 duemalnlyto Incre•d revenuefrom Pllatesattlvltlesand a donatlon of £1.300 forthe
useofthecar park. Overall flnanclal performance recorded a small IntreasÈ In net prollt overlastyearto £5.731.80.
On theexpendlturesldeoverall costs Intreased to over £25.000. Wehavebeen fortun*ethlsyearto not Incura largeamoynt of
expenserelated to fi¥ed a55et4 usually repasr￿elated. Howeverwtdld need tQ Spend over £l.000 on treesur8ery. We need to push
ahèad wlth up8radesto theclub'sfacllltles, Includlng looklng at InstalllnBWIfi In thepa¥llSon and UPBradlngthe C￿v5V5t•Tr.
Thankfully. theclub remalnsln Bood financlal health. ￿though wearemlndful oftheageof our assets and thene&4 to keopthem well.
malntalned, whlch wfjll requlre muth oftheflnanclal reser￿that we manageto pre5erveforlust thls purpose.
We apprecl*e stron8 support from the Parlsh Councll, and are gratefvl that the PC has a8reed to take over the costs of 8ra5Kuttlni
outslde of the crlcket pltth on a bl-annual basls In Sprln8 and latesummer, thereby helplng theaub to ketp costsunder control and
malntaln the necessary of net profitablllty to meet Its fvture responslbllltles on beholf of members and other 5takeholder& Th•
trusteesremaln stèadfast In th•lr commltment to PrO￿de bendtsto th•Club's member5and thecommunltyat l#rg•.
Anand•l re￿eW
It Is thepollcyofthecharltythat unrestrlcted fundswhlch havenot been dttlgnated for a speclffic use5hould bemaIntaIn￿ at a ILTr4el
e4ulvalent to between thretrand ￿x.manth's expendlturè. Thetrusteosconslderthat resth53t thlslevd wlll ensurethat, In th&e¥tnt
of a s18nlficant drop In fundln& thLrywIII beibleto cont5nuetheCharltVscurrent actlvltleswhlleconslderatlon 158lven towaysln
whlch Jddltlon41 fundsmayberalsed. ThIs1￿￿ of reserveshasbeth m?Intalnedthrou8hout theyèar.
Thetrustttsfeel that keeplngan approprIatel￿d of reserveto me•tfi&tur•capltal ￿pendIture15aprudenI pollcyforTheClub. Current
re5ffi1escan beseen In thenotestotheaccounts.
On behalf oftheboard of trust
Mrj. H. OKlnybury,
YÈI

STOKEaOW 5PORTSAND LEISUAECLUBLIMIIED
CHAimEDACCOUNTANTg REPQRTTOYHETRu￿C#4ImEUNAuDlTr) Acc￿OF
STOKEROW SPORTSAND LEISURECLUB LIMITED
In atcordancewith theen8a8ern￿t letter dated 4 March 2016we r￿ort on theaccounts of Stoke Rowsports and Leisvre Club Llmlted
Icharfjtynumber 1093997lfortheye3r ended 31 December 2025, setouton paBe5slx to ten.
ThechaflWstnistee5areTe5ponslblèforthe prqjaratlon oftheactounts The¢harltVstrusteesconslderthat an audltlsnot requlred fof
thIs￿rUnder sectlon 144 ofthe Charltle5kt 20111'theCharltleskt"l and that an Independent examlnatlon Isneed￿.
It Is myresponslbllltyto:
examlnetheaccounts under sectlon 145 oftheCharltlesAct,
• to followtheprocedures lald down In the general Dlrtttlons ￿ven by theChaTIty Commlss5on (under se¢tlon 14515Mbl of the
CharltlesAct. and
• t051atewhether partlcular mattwshavecometo myattentlon.
My examlnatlon wa5 cwrled out In a¢¢ordance wlth general Dlrectlon$ 8Sven by the Charlty CommIs￿On. An Lxamln*ion Includes
r￿le￿I of the accountlng rrfords kept by the charlty and a comparlson of the accounts presented wlth those recordk It also Includes
¢onslderatlon of any unusual Items or dlsclosures In the accounts, and seeklng explanatlons from the trustees concernlno any Such
matters. Theproceduresundertaken do not provldeall thee41dencethat would be requlred In an audlt, and consequently no oplnlon Is
ql¥tn asto vthrthertheaccount5 present •,tnIe￿d falr. Wewand thereport Ss Ilmlted tothosem*tersset out In thestatem￿l below.
In connectlon wlth my oxamlnatlon, no matter hascometo myattentlon
whlch8lvesmereasonablecau5eto bellevethat In. any materlal respect, the requlrern￿ts.
• to keep a¢countlngiecord5 In accordancewlth sectlon 130 of theCharltlesAct; and
• to prep8reaccovntswhlch xcord wlth theaccountlngrecordsand complywlth theaccountlnl requlrementsof thecharltles
Lt
havènot be￿ met,. or
to whlch, In my oplnlon. *tentlon should bedr•wn In orderto w¥able4 properunderstandln8 oftheaccountsto bereached.
Klm Swaln W4lQ¥onl FCA
dford &Ser8•aTrt Ltd
Chartered kcountants
9 Grefftlar5 Road
Re3dln8
RGI INU
1 June 2026
Oated..

sroKEiiowspoin5ANDLaSURECLUBLIMIIED
srATEMENfaF RNANCIAL AcnvmES
INCLUDING INCOMEAND EXPENDIIUREACCOUNr
FOR ThEYEAR ENDED31 DECEMBER2025
Yuronded 31 DeEember
2025
Unrestrlcted
funds
Yw &)ded 31
t)ecember
Total
2025
2024
Notes
I￿amI from:
Investment Income
Charltableactlvltles
1.593
33.563
1,593
33,563
1,831
27,743
Tolal In¢om•
35.156
29,574
EVndI￿re on:
Charltableactlvltles
Go¥ernant*¢osts
28,719
744
28,719
744
26.487
724
•Mp•ndltyr•
29,463
29.463
27,211
N•t Incom•ll•xp•ndtturel•Trd mo¥•m•brt In fvnds
5.693
5,693
2,363
Fund l Januiry2025
S4.881
54,881
52.518
Fund b￿anCeS*t31 Dtt¢•mb•r2025
60,574
60,S74
54.881
Thestatementof financlal actlvltlesalso complies wlth the requlrementsfor an Income and eApendlture account under thecompanles
Act2006.

ST(IXEROWSPORISANDIEISUIIECiUB LIMITED
LANCESHEET
ASAT31 DECEMW2025
2015
1024
Plates
Hmed As%ets
Thn8lbleassets
1.181
1.958
Curient as*ts
Debtors
Cash at bank￿d In hand
1,027
59.969
60,996
919
54.359
55,278
Ll•bllltl¢s
Credltors.. 3mountsfallln8 duewlthlnoneyur
N•t currèntau•ts
11,6041
12,3541
59.393
52.924
Totsl •M•tsl•M£urr•nt I1￿111t1•S
60,574
54,882
Fundsoftha ¢harlty
UnrertrlctedfiJnds'.
60.574
54,882
Totsl Funds
60,574
54.882
Thecompany Isentltled totheexemptlon from thtaudlt requ1rementc0nt￿￿ed In sectlon 477 of theCompanlesArt 2006, for theyear
ended 31 December 202S. No m•nbtr of the ¢ompany has deposlted a notlc< pursuant to sectlon 476. rèaulrlnq an audlt of these
account
TheTrusteesacknowledg• ihelr rwon4bllltlesfor:
(al Ensurlngthat thecompanykèÈpsa¢countln8Tecordswhlch Complywlth therequlr•nentsof theP£t.' and
Ibl These accounts hwe blan prepared In accordance wlth the provlslons ￿p11¢able to Companles subject to th• small cOMp￿leS
rqlme.
Theac¢ountswere?pproved bytheBoard on................,...
G Bl•lmsch•ln.........................................-...........-.,................Trusle•

STOKEIIOWSPORTSAND ￿SUREClu3 LIMITED
NOTESTOIHEACCQUPITS
FCIIIHEYEARENDED 31 DECEM8fR2025
l. Ae<ountln8pollcles
Bulsof prepwatlon
The accounts have been prepared under the hlstorlcal cost con¥entlon wlth Itéms re¢o8nlsed at cost or transactlon value unless
otherwlsestated In the relevant notestotheseatcount
TheaccOuntsha￿beeft prepared In accordancewbth thestatement of Recommended Practlce,. Accountlng and Reporting byCharltle5
preparlng thelr accounts In accordancè wlth the Flnantlal Reportlng Standard appllcable In tho UK and Republlc of Ireland IFRS 1021
lswed on 16Jvly2014.
IncomlTrir•sowr£•i
Income representsthetotal amount recdvable bythe¢harityfrom all sour¢eslncludln£lncoffleTax refijnd
Rewurcesexpend•d
Expendltureln th•Statement of Flnanclal Actlvltlesh•sbeon ¢•te8orlsed between charltablea¢tlvltlesind 8overnancecost
T￿￿ble fix•dau•ts•nd d•pro¢l•tlon
Tan8lble fixed assets other than freehold lend arestated at cost le55depreclatlon. Depreclatlon Is provlded at rate5calculated to wrlte
offthecost lessestlmated rttldual valueof each asset overltsexpected usefvl Ilf* Jsfollows.,
Freehold bulldlnls
Flxtur4 Ilttin8s & •4ulpment
5%stril4ht1Snt
IO%stralght Ilne
FwidA¢countlnq
Unre5trlcted fvnds are unreStrIrt￿ resuves whlch are ovallable for yse at the dls¢retlon olthe trustee5 In furtherance of the8eneral
obl•ctlvesofthe¢harlty. whlch have not been des¢8nated for otherpurposes,
2. In¥•￿mInI ltt¢omo
2025
2024
Interest recelvable
1,593
1,831

SrOKER(Y￿Sp(￿IsAND L￿RECLLnLI*￿n￿>
NOTEST07HEACCOUllfS
FLIIIHEYEAR ENDE031 DECEMBER2025 IC￿￿Trued)
2025
2024
J. IM¢me fromtharltsble ¥ll%ttles
Subscriptlons
Pwlllon Hlre
Crfcket fees
Tonnlsactlvltles
Grantsand donations
othtrso¢lal events
7,371
4.236
1.509
11,720
548
2,359
27,743
5.938
1.575
14,161
1.032
3,817
4. Tot*lexpendltsr•
Charltabledonations
Motorsportday corts
Insurance
EI￿rIcIty
Water
Pavlllon malntenance
Grounds and ¢ourtsmalntenanc•
Rent
Tennlsacll￿tleS
Othw soclal elents
Mlscdlaneous
retlatlon
3,000
837
1,740
1,217
445
3.437
1.352
2,650
13.043
1,000
1.370
1,674
1,376
4.841
914
3.313
11.160
221
777
839
28,719
26.487
Go¥erTrance
countancyand l• fees
8ank charges
744
724
744
724
29,463
27.211
S. Trnstees
Non•ofthetrnst*slor ￿Yp￿Son%connecttsY with them) recelved any r•nunwatlon orrelmburs•J t%p￿Se$duri￿thevW.
6. Employe
Thwewerenownployee5durln8th•yar.

STOKEROWSPORTSAND LBSURECLUBLIMIIED
NOTESTOThEACCOUNTS
F(￿7HEyEAR ENDED31 DECEMBER2025 (Contlnuedl
7. Tanolblefix•daw•ts
Fixture5,
ttln85 &
uipment
Land and
bulldln8S
Total
Cost
At lJanvary2025
At 31 Decanber 2025
181.199
181,199
194 168
194,168
12,969
DepTKlatlon
At l January 2025
Char8efortheyear
At31 Decembor 2025
179,261
760
180,021
12,953
16
12,969
192.214
777
192.991
Net bgokvalue
At 31 December2024
At 31 Decqmber2025
16
2025
2024
a. D•bto
Tradedebtors
Prepayments and accrued Income
136
891
1,027
70
849
919
9. credIto￿"•M0¥￿tsfll1InldUe wlthlnon• par
Deferred Intome
Accruals
Tradecredltors
744
860
1.604
744
1,610
2.354
10