Reglstered Charity Number: 1098065
CLAYDON & BARHAM LOCAL COMMUNITY TRUST LIMITED
FINANCIAL STATE14E￿rS
FOR ThE YEAR ENDED
31 MARCH 2025

CLAYDON & 8ARHAM LOCAL COMMUNrrY TRUST LIMrrED
LEGAL AND ADMINISTRATIVE INFORMATION
FOR THE YEAR ENDED 31 MARCH 2025
Carolyn Allum
Pa￿ Austin
sy￿all Padmo
Kevln Pakn*r
Paul Soame5
Stuart Roblnson
Charlty NumlJ•r
Company Numb•r
R•9lst•r•d Offl¢•
1098065
04452274
Church Lane
Cjaydon
Ipswich
IP6 OEG
Clalre Butler
Harvest Cottage
Airlleld Road
Fer5field
IP22 2FF
Indewnd•nt Examln•r

CLAYDON & BARHAM LOCAL COMMUNrrY TRUST LIMrrED
CONTENTS
FOR THE YEAR ENDED 31 MARCH 2025
Trustees, Report
Independ•fit Examiners Report
ststement of financlal Actlv
Balance Sheet
Notes to the FI￿n(la1 Statements

CLAYDON & BARHAM LOCAL COMMUN¥fY TRUST UMrrED
TRUSTEES. REPOKr
FOR THE YEAR ENDED 31 MARCH 2025
The t￿￿teeS pr*nt ihelr annual report aThJ finarThl statemeNs ft>rthe year ended 31 March 2025 .
Trn￿. report and flnanclal stat•m•Trts
The twstees also directors of the charity kn thÈ purwses of the Companies P£t 21)06. present their ￿port
with the financial ststements of the charity fw the year erKled 31 Ma￿h 2025. The trustees have adopted the
provlsions of Accountsng and Reporting by Charities: Statement of ￿0mMended Prartice appllcable to charities
p￿parIng their accounts in accordance with Anènaal ReP)￿'r4￿ Strrthrd appltst4e in the UK and Republic of
Ireland IFRS 1021 (Èffetti¥e l January 20191.
Trustq•S
The trustees, who are also the dlrectors fr)r the purpose of company law, and who served durfng the year and up to
the date of signature of the financial st•tements we:
Carotyn Ajlum
Paul ALtstTrn
Sylvan Padmore
Kevin Palmer
Pavl Soames
Stuart Robirbson
The tnjstees. who are also the dlrectots of Charity For Claydon & 8atham Local C£ffimunlty Trust ￿"MIted for the
purpose of company law, are ftsponslble for preparlng the lh￿tees. Pwrt and the finan¢i•l statements in
accordance wittt applicable law aTrJ Untted Kjngdom Acciyjntlng Standanjs (United Kingdom Generally Acceptèd
Accounting Practice).
Compèny Law requires the trustees to prepa￿ financial Statern￿ts for each financlal year which give a true and fasr
view of the state of aflairs of the charity and of the incoming resour￿ •ppli¢•tion of resourr•s, Includlng the
income and ex￿n￿￿tUre. of the charitable Company for that year.
In p￿parIng these )Inandal statements. the twstees art Trqulred to..
sèlect sultab5e accountlng pollcles and then apply them conslstenty..
• ob5erye rhe method5 and prtn(l￿eS In ￿ Charths SOIIP:
make Itjdgements and esumates thai are reasonable arKI prudent
• state whether applkable UK ALcounUng Stsndards have been foMfr*ed. 5ubJett trj any matÈdal depaTbJres
dlsclosed and eXplaIr￿ thè ffnancSaJ statements: and
prepare the financial statements on the golng concern basls Itls Inapproprlate to presume that the tharity
wlll contlnve In opera￿On.
The tfUStees are reSpOr￿ble for keepqng athqu*e accounttng recorfs that dlsclose wlth re￿nats1e accuracy Jt any
tlme the flnanclal Po￿tIOn of the charlty and enable them io ensure that the flnandal statements CDmpty wlth the
Companles Act 2006. They are also responslble lor safegua￿5n9 the a55ets of the chaAty and herKe for tèkn'ng
reasonable steps for the prevention and detectkn of traud and othÈr Irrequladt5es.
Thls
rtwas
by the trustee and slgned on its behav by.
Kevln Palmer
Trustee
Oate: 28 J￿Y 2025
Page 1 of10

CLAYDON & BARHAM LOCAL COMMUNrrY TRUST LIMrrED
INDEPENDENT EXAMINER'S REpoiYr
FOR THE YEAR ENDED 31 MARCH 2025
Independent Examlneffs Report to the Trustees of & Batham Local Communtty Ilu5t timlted
I report to the Charfty Itustee5 on my examinab.on of the ￿cOunts of the tharlty for the year ende(131 Ma￿h 2025
whlch consists of the statement of financial activitie5,balance sheet and the related notes
RvJponslbllltl•s •nd ba•lts of report
As the charlty's trustees you are responslble for the preparation of tr* accounts in accordance with the requlrements
of the Chartties Art 2011 Iyhe Arti
I report respect of my examination of the charty's accounts carni¢d out undef Stciion 145 of the Act and It)
carrying out my examination I hav• followed all the applicab￿ Directions given by the thèrity Commission under
section 14515llbl of the Act.
Ind•p•ndent ExamIn•￿￿ St•tsm•rt
l am qualified to undertake the examination by belng a quallfie(J member of AAT
I have comoeted my examination. I conltm) that no materlal matters have ¢c￿e to my attertlon in connectlon wlth
the examlnatlon lother than that dlsclosed below *} whlch gives me cause to belleve that In. any mateAal respect..
the accoLtntlng records weTe not kept In accordance wlth sectlon 130 of the Charftle5 Act,. or
the accounts did not accord with the accountlng records-, or
the accounts did not tomply wlth the appllcable wequlrements concerning the fomi and content of accounts set
out in the Charitles IAccounts and fte￿rtsl Regulations 2000 other than any requirernert that the accounts glve
a 'true and falr, vlew whlch Is not a matter considered a5 part of an independent examlnatioo.
I have no concems and have come a¢ros5 no other matters In connert5on wlth the e¥amlnatlon to whlch
attentlon shoukl bè drawn In thls report In order to enable • proper understanding of the accounts to be
reached.
Name.. aalre Butler
Date.. 28 July 2025
Pag82of 10

CLAYDON & BARHAM LOCAL COMMUNrrY TRUST LIMrrED
STATEMENT OF FINANCIAL AcnviTIES
FOR THE YEAR ENDED 31 MARCH 2025
R•comm•nd•d
TOtsI Funds
2025
Tot•1 Fund$
2024
Income and
•ndowm•nts from:
Donatr'ons and legacies
1.300.(X)
17.767.53
19.067.53
300.00
CharitsL4e activitte5
2.463.72
2.463.72
1.451.67
other trnding activities
137.011.82
137.011.82
103,996.16
Investmènts
59.25
59.25
1.170.46
140.83&79
17,767.53
158.602.32
106.918.29
exp•ndStuv• on:
Ralslng funds
10.446.08
10.446.08
8,532.34
Charitst4e actiwties
14.797.82
17.767.53
32.565.34
13,709.34
Other
94.368.29
94.368.29
86,315.59
119,612.19
17.767.53
137.379.72
108,557.27
Incom•lq•X￿￿dItUr•j
21.212.60
21.222.60
11.638.98)
funds
21.222.10
21,222.60
11,638.98)
R•ctsnrlllatlon of
fundj:
Total fijnds brought
forward
18.786.36
18.786.36
20,425.34
Total fynd• ¢•rrf•d
forward
40.1)08.96
18.786.36
Page 3 of 10

CLAYDON & BARHAM LOCAL COMMUNrrY TRusf LIMITED
BALANCE SHEEr
FOR THE YEAR ENDED 31 MARCH 2025
R•comm•nded categwles by
actlvlty
xed assets
Ibtsl Funds 20ZS
Total Funds 2024
Tanglble J%ets
io
6.976.32
8.720.35
6.976.32
8,720.3S
Current assers
Stocks
3.930.60
4,832.80
Debtor5
li
589.96
589.96
Cash at bank ènd in hand
12
34.030.81
11.672.70
Ibt•l currnnt M••ts
38.551.37
17.093A6
Credltors.. amounts falllng thje wlthln
one yÈ4r
13
SJ1&74
7.039.A5
M•t curr•nt a#••t￿{lI•&lllt1•jj
33.031.63
10.066.01
Totsl Mt ••Mts or IIMblltl••
40.008.95
10.786,36
Pundg of th• Charfty
Unrestrlcted fvnts
14
40,008.96
18.786.36
Restrlrted Income fvnds
14
Endowment funds
14
Totsl funds
44).008.96
18,78fj.3fj
For the year ended 31 Marth 2025 the cgmpany was entltled to exemptlon from 4￿j1t under sKdon 477 of the
Companles Act 2006 relattng to small companle
The mÈmbers have not requlred the comwry to obtaln ￿ audlt ot ts aCcO￿ts for the year kn question In
accordan¢e wlth 5ertlon 476.
The trustees acknowledge thelr re5wnslbllths for cthmplylng the requlremuts of the Cowrf)anles Act 2006 w
respect to accounting recorfs and the preparatlcffi of accounts.
These accounts have been prepared and dellver4d In Jttortlance wlth the provlslons •ppll¢•PAe to companles sublect
to the small companles reolme.
The flnanclal statements were apprDved by the tn￿ee5 on 28 Juty 2025 and ￿gned on ft5 behalf ty.
Kevln Palmer
Ihtstee
Date ' 28July 202S
Pag84 of 10

CLAYDON & BARHAM LOCAL COMMUNrrY TRUST LIMrrED
NOTES TO ThE FINANCIAL sfATEMEKrs
FOR THE YEAR ENDED 31 MARCH 2025
l. Accounting Pollcles
The principal accounting policie5 adopted by the Charrty. which is • wblic benefit entity. In the preparatlon of the
accounts are as foUo¥¥s.
1.1 Basls of prepar•tSon
These accounts have been prepared under the hlstorfeal cost conventton. as modlflÈd by the ItKlusion of cha￿table
properties and fixed asset investments and Investment pmpwtlès at ¥￿ua￿On.
These accounts have prepared In accordance wrth -Accountlng and Reportlng by Charltks.. Statement of
Recommended Practlce applFcable to charities p￿parIng thelr accounts In accordance wlth the Flnjncial Reporting
Standard applicable In the UK and Republk of Ireland IFRS 1021- leffectlve I lar)uary 20191 Icharltles SORP IFRS
10211. the Financbal P£portin9 Standard ap￿￿ats1e in thè UK and ￿￿blaC of Ireland IFAS 1021 and the Charltles Act
2011.
These accounts are presented in pounds sterllng and ruuThled to nearest pound.
1.2 Golng concern
The Trustees have preparnd Ilnanclal pmjectyons. taklng Into corwderatfjon the current economlc condltlons and
have. at the tlme of approving these accounts. a rEasonable QKperta￿OTr that the charfty ha5 adequète rpsources to
contlnue in operational exlstence lor the fore5eeabFe future. Thus they continue to adopt the go+ng concern t>asls of
accountlng In preparlng the accounts.
1.3 Income from don•tlons or grants
Income from donations and grants 15 recognlsed T*hen the charity ts •itw to the fund5, the recelpt Is probable and
the amount can be measured rellabty. For dorta￿OnS. this is usually on recelpL For grants. thls Is usually when a
fonnal o'er Is made In wrttlng. ff a donatlon or grant contalns tem15 and condtuons outslde of the chaAty's control
whlch must be met before the chartty Is e￿￿tled to the funds. or If the donor specffles that the fijnds must be used In
f￿lj[e ￿me peTSods. then the Income L5 deferred.
1.4 Gov•rnm•nt grnnts
The charlty has recefved 9ovemm•)t grants In the reportlng period
1.5 Incom• from m•mb•rshlp subscrlptlons
Membershlp subscrfptions oceived in the natvfe of a glft ￿ognIsed in CY)nat¢ons and Legacles. Membershlp
subscriptions which give a member the right to buy services tsr other benefits are recogni5ed as i￿Orne eamed frtsm
the provision of 9oods and service5 ès income from charitsble actTr¥ities.
1.6 Other tradlng Income
Other trading income non<harltsble sources is reco9nise(l over the perlod to wh6ch It relates. Any relating to
fvture periods Is dèferred.
1.7 Exp•ndltura
ExperMIl￿re Is rÈcognlsed when a Present kgal or cortstructlve obllgatlon exlsts at the balance sheet date as a result
of a past event, tt Is probable that a transfer of economlc benefits wlll ￿ ￿Uired to settle the obllgatlon. and the
amount can be esumated rellably. It15 Incluslve of VAT whlch cannot bè recovered.
01￿ct Costs are those costs whlch directly attribute to it5 activltles. Wages and salarle5 are allocated to dlrÈct costs
based on an estlmate of tlme Spent on charIta￿e xtlv*le5 ty siaff rrembers.
Support costs Include staff costs arKI are those whkh do not produce a dlrect outpuL Staff costs relate to speclflc
actlvltles and thls 15 refiected in the allocation of paymll costs based on the pertentsge of tlme Spent.
All costs. includlng governar￿e CLWS. are alocated between the expeNtity￿ categories of the char¢y on a ba51s
designed to reftett the use of the resour￿. Costs ￿lating to a particular actlth are charged dlrEcty.' others a
apportioned on èn approprlate basi5.
Supwrt Costs and overheads have been calculated ty al*Jcating staff time to the level of Invo￿tMent In the varlou5
activrties of the Charfty.
1.8 Penslons
The Charlty makes contdbutlons to defined contributs'on pension scheme5 through auto enrolmenL These
COl)tributions are charged to the income ar￿ eXp￿dIt￿re acccMJnt in the year in whlch they become payable.
Page 5 of 10

1.9 Taxatlon
The organisation Is a regTrstered charity and has rm) knbifty to rncome tax or corwotion tsx on its charttable
artivitles during the year.
Value added tax15 ?ccounted for on an acc￿￿5 basis.
1.10 Credltors
The charlty has credltor5 which are measured at settlement amounts less any tr4de discounts.
1.11 Provlslons for Ilabllltl•s
A Ilablllty Is measured on r￿ognItIOn at ￿ hlstorlcal cost and then subsequently measurnd at the best estlmate of
the amount requlred to settle the obllgatlon at the reportin9 date.
1.12 ianglble flxed assets
Thngbble fixed assets. SL4ch as land and buldings. plant. vehicles and equipment, are hekt ts provide an on-going
economic benefit to a charity through their contrlbutTron. dtrrectly or irKl1￿￿y, to the proviyon of goods or s•Nices by
the ch4rity.
Tangible fixed assets. other than freehold land. are ststed at cost or valuation less dèprechtion •nd •ny provision for
impairment. Depreciation is pmvided at rates cakulated to write off the cost Of valuation of fixed assets, less thèir
•stimated residual value. over their expected usefvl i¥es on the following basis..
Il•m•
Hxturès & Fittin9S
Rat• {%)
20
Method
Reducing Balance
2025
1.13 Stocks and work In progr•
Stocks hdd for s)le Js p•rt of rh)n<harltsble trade are measur*S at the lower c¢tst or net reallsabla value.
Goods Or servl¢e5 provlded as Part of a tharltable •rtlvRy afy meo5ured at net reallsable value bjsed on the 5eryice
potentlal provlded by kems of stock.
1.14 D•btors
Debtors Ilncludlnu trade debtor5 and loans recelvablel arn me45ured on Inltyol recognltlon at settlement amount
after any trade dlscounts or amount 4¢JvJnced by the charity. Subsequently. they are measured Jt the cash or other
con51deratlon expectsd to be r•¢elv•d.
2. Income from Donatlons and Legacles
Analy*l•
Tot•1 funds 2025
Total fund* 2014
Donation and gmts
General grart5
prgvided by
Governmenvother
charltles
1.300.00
1.300.00
300.00
17.767.53
17.767.53
1.300.00
17.767.53
19.067.53
300.IXI
3. Income from Charltable Actlvltles
Totsl fvnds 2025
Tot•1 funds 2024
Member5hlp5
2.463.72
2.463.72
1,451.67
1.451.67
2A63.72
2.463.72
Page6of 10

4. Income from Other Trading Activitses
An•lysls
Totsl fvnds 2025
Total fund$ 2024
Barlakn"ngs
EntertainmentlFunctions
Garnlng Mathne Income
Hall Hire
Other Mix Income
Stmngbeans Rental
109,453.63
3.931.50
12.496.59
4,053.36
3226.74
3.850.00
109.453.63
3.931.50
12,496.59
4.053.36
3.226.74
3.850.00
137.011.82
84.138.68
11,404.54
2.947.13
2.155.81
3,350.00
103.996.16
137.011.82
5. Income from Investments
An•lysls
Tot•1 funds 2025
Total fvnds 2024
Interest Income
other
59.25
59.25
50.46
1.120.00
1,170.46
59.25
59.25
6. Expendlture on Ralslng Funds
Total fvnd• 2015
Tot•1 fund• ?024
Oper•tln9 membershlp schem•s and social h)tteries
Support Costs
30.00
10.416.08
50.00
8.482.34
8,532.34
10.446.08
7. Exp•ndlture on Charftabl• Artlvltl•s
Tot•1 fvnd• 2025
Total fund* 2024
Bank charges
Cha￿ty runnlng Cost
Donatlons
Advertlslng and marketing
Printlng and statlonery
Legallprofe5slonal fees
Support Costs
1.242.31
17.767.53
685.00
1,086.90
1.332.52
35.00
10.416.08
1.125.95
70.00
154.21
492.35
11.866.84
13,709.34
32,565.34
8. Support Costs
Total fvDds 2025
Tot•1 fvnd# 2024
An•lysl•
Staff costs
Govern•nc• Costs
Accountants fees
18.362.75
16.964.67
2.469.42
3.384.50
20.832.17
20.349.17
Page 7 of 10

9. Other Expendlture
Amtysls
Totsl funds 2025
Totsl fvndA 2024
Depreclation Ch4rge for the Year-
Fixtures & Fittings
Utilities
Lficerbces
Insurance
Sty TV Costs
Bar Costs
Gaming Machine Expenses
EntertalnmenVFunction Costs
Repairs and Renewals
Cleanlngmaste CHsp)yl
1.744.02
1.744.02
2.580.63
18.644.49
1.329.44
6.109.69
3.120.94
841.54
71.78
53.810.55
6.533.91
2.161.93
18.644.49
1.329.44
6.109.69
3.120.94
841.54
71.78
53.810.55
6533.91
2,161.93
94.368.29
25.734.49
999.30
6.081.00
698.52
3,759.41
5,317.39
37,593.42
1,775.35
1.776.08
86,315.59
94.368.29
10. Tanglble Flxèd As$•ts
Plxtures &
Flttlng•
10.1 Co•t or valu•tlon
At 01 Aprl 2024
Addltlons
48,735.00
Dlsposa15
Revaluatlons
Transfers
At 31 March 2025
48.7J5.1)0
10.2 D•prn¢l•tlon and Imp•lnn•nts
At 01 Aprl 2024
Char9e for the year
Dlsposals
Revaluations
40,014.66
1.744.02
Iransfers
At 31 Mafch 2025
41.758.68
10.3 N•t ljook valu•
At 01 Aprl 2024
At 31 March 2025
8.720.34
6,976.J2
11. Debtors: Amounts falllng due wlthln one year
Totsl fvnds 202S
Tot•1 funds 2024
Prepayments & accrued irKome
589.96
589.96
589.96
589.96
Page 8 of 10

12. Cash at bank and In hand
Total fund5 2025
Total funds 2024
Cash at bank and in hand
34.030.81
34.030.81
11,672.70
11,672.70
13. Credltors: Amounts falllng due wlthln one year
Totsl funds 2025
Total funds 2924
Trade cr￿•tOrS
VAT contml
Accruals and deferred income
Trxation and 50clal securlty
Other credltors
4.198.23
590.51
391.69
338.31
1,191.55
904.07
4.006.79
313.04
614.00
5,518.74
7,029.45
14. Charlty funds
14.1 D•t•lli of materlal funds held and fiM>￿￿ents durfng the CURREirr reportlng
p•rlod
nd
Fund
brought
f•rw•rd
Ihcom• EXP￿dIt￿￿• Tr•n•t•Y•
G•lM •nd
1099
¢•rrl•d
ton¥•
funds
18.786.36
140,834.79
119,612.19
40,008.96
A•strfct•d
Ihcom• funds
17,767.53
17.767.53
18.786.36
158.602.32
137.379.72
40,008.96
14.2 D•tslls of materlal funds held and mov•m•nts durfng th• PREVIOUS reportlng
p•rlod
Pund
b•lanc•s
brought
forn•rd
Pund
b•lanc¢g
c•rrl•d
fon¥•rd
G•lhs and
loss
Fund nam•9
funth
20.425.34
20.425.34
106.918.29
106.918.29
108.557.27
108.557.27
18.786.36
18,786.36
Page9of10

14.3 Tr•nsfeYs between funds
Thh Year
Amount
Between unre5trirted and restrFcted fvnds
Between endowment and ￿trIcted fvrK15
Between endowmènt and unrestritted funds
Last Y••r
Amount
Behveen unrestricted and restricted fvnds
Between endowment and restricted hjrrtls
8elTheen endowment and unrestricted ftJnd5
Page 10of 10