Charity Registration No. 1110968
Company Registratlon No. 05385120
HILLSIDE RURAL ACTIVITIES PARK
(A Company Limlted by Guarantee)
REPORT OF THE DIRECTORS AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
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HILLSIDE RURAL ACTIVITIES PARK
IA Company Llmlted by Guarantee)
REPORTS AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
CONTENTS
PAGES
Trustees, Annual Report (including Directors, Report)
1to3
Independent Examiner's Report
Statement of Financial Activities
(including Income and Expenditure Account)
Balance Sheet
Notes to the Financial Statements
7t012

Page 1
HILLSIDE RURAL ACTIVITIES PARK
IA Company Limited by Guaranteo
TRUSTEES, ANNUAL REPORT (INCLUDING DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2024
The trustees are pleased to present their report. together with the unaudited financial slalements of the charitable company
('the charity,) for the year ended 31 March 2024.
The financial statements have been prepared in accordance with the accounting policies set out in the notes to the accounts
and comply with ih¢ Charity's governing documents, the Charities Act 201 l and Accounting and Reponing by Charities:
Siatement of Recommended Praclice applicable to charities preparing their accounts in accordance with Financial
Reporting Standard applicable in the UK and Republic of Ireland published in October 2019.
Trustees of Ihe Charity
The directors of the charitable company are its trusiees for the purposes of charity law. Details of the truslees who have
served during the year and since the year end can be found on page 3.
OWECTIVES AND ACTIVITIES
The objects of the charity are io promote, for the residenis of the Hillside Parishes, the provision of facilities for recreation
or other leisure time occupation of individuals who have need of such facilities by reason of their youth, age, infirniity or
disablemeni, financial hardship or social and ¢conomic circumstances. or for the public ai large in the interests of social
welfare, and with the object of improving the condition of life of the said residents.
The charity acquired an area of land which now provides a pennanent home for the annual Borrowby Show. It also
includes a cricket pitch. football pitch. tennis courts. children's play area. joggin￿Wa[king track and an open grassed area
suitable for pony club rallies and shows.
The irustees regularly review ihe objectives and activities of the charity and as part of this review. Ihey have considered the
Charity Commission's general guidance on public benefit.
ACHIEVEMENTS AND PERFORMAIYCE
Since its inception in 2005, and the complelion of the cutTent facilities onsite, Ihe Hillside Rural Activities Park Continues
lo be well used by the member clubs, the local community and those from further afield. The accessible location, parking
facilities and size of the facility has also attracted other organisations to run a variety of successful events which have
returned year on year.
During the year under review in these accounts, l April 2023 to 31 March 2024, the park continued to provide an essential
facility for th¢ local community, club5 and organisations who ran a number of event5.
Additional grant funding was received from the Football Foundation for the ongoing pitch maintenance programme.
Grants were also received from North Yorkshire County Council and the Jack Brunton Trusl and donations continued to be
received for the next phase of the playground replacement.
Moving forward. the committee is focussing on supporting the club and evenl activities on the site and continuing
fundraising for the replacement of the remaining section of the children's playground equipment which is approaching its
design 'end-of-life"
The purchase of the barn and surrounding land remains as one of the medium-terni objectives.

Page 2
HILLSIDE RURAL ACTIVITIES PARK
IA Company Limited by Guarantee)
TRUSTEES, ANNUAL REPORT (INCLUDING DIRECTORS. REPORT)
FOR THE YEAR ENDED 31 MARCH 2024
FIIYANCIAL REVIEW AND RESERVES
A summary of our incoTne, expenditure and reserve fund balances is reflected within the Statement of Financial Aclivities
on page 5. Nel outgoing resources on unrestricted funds for the year under review amounted to £15,109 (2023.. £10,430)
but this was after charging non-cash depreciation of fixed assets in ihe sum of £27,260 (2023.. £22,395) and hence we
generated an unrestricted cash surplus for the year.
The trustees have previously considered a relevanl reserves policy going forward, having regard to ongoing annual cash
expenditure across the unrestricted funds (and for the time being before any depreciation provision for replacement of
fixed assets). Based on curr¢nl levels of expenditure. this is expected lo be in the region of £ l 0,000 to £12,500 per annum.
The aim of the trustees is lo maintain unrestricted cash reserves at a level which will cover anticipated unrestricted
expenditur¢ for the following 12 months. This was achieved at both 31 Marrh 2023 and 31 March 2024.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng Document
Hi115ide Rural Activities Park is a company limiled by guarantee incorporated in England and Wales and governed by a
Memorandum and Articles of Association dated 8 March 2005, as amended by Special Resolution dated 10 Augusi 2005.
It is also a charity registered with the Charity Commission with effeci from 22 August 2005.
Recruitment and Appointment of Trustees
The initial members of the charity were the subscribers to the Memorandum and Articles of Association. New members
are appointed from time to time at the discretion of the existing members. such that the number of members is not less than
three. Every membei. must be at least 18 years of age and reside within the boundary of the Hillside Parishes.
In relalion to the Companies Act 2006. members ar¢ also directors of the limited company.
Day to Day Mgnagemenl
The day to day operations of the charity are overseen by the Council of Management. The Council of Management
consists of the three trustees, together with representatives from Borrowby Show, Knayton Football Club, Leake Tennis
Club and the local community. In total, the Council of Management comprises 7 members. Th¢ Memordndum and
Articles of Association indicate that the Council of Management should have a minimum of 7 and maximum of 14
members.
REFERENCE AND ADMINISTRATIVE INFORMATION
Charlty Name:
Hillside Rural Activities Park
Working Name:
HRAP
Charity Registration No:
1110968
Company Registration No:
05385120
Principal Office:
Oaktree Bank
Knayton
Thirsk
North Yorkshire
Y07 4AX

Page 3
HILLSIDE RURAL ACTIVITIES PARK
IA Company Limited by Guarantee
TRUSTEES, ANNUAL REPORT (INCLUDING DIRECTORS, REPORT)
FOR THE YEAR ENDED 31 MARCH 2024
REFERENCE AND ADMINISTRATIVE IIYFORMATION - Conllnued
Trustees/Directors:
R J Morrice
Mrs J E Peckitt
MrSTHogg
Council of Management:
R J Morrice
Mrs J E Peckitt
S T Hogg - representing Knayton Football Club
S Dredge - representing BO￿owbY Show (resigned September 2024)
H Jenyns - representing Leake Tennis Club (resigned June 2024)
M Jarvis - representing Leake Cricket Club {resigned October 2023)
P Pinder- Community Representhiive (appointed November 2023)
N Whitley - Community Representalive (appointed November 2023)
C Bowley - representing Borrowby Show (appointed April 2024)
R Ba￿ - representing L¢ake T¢nnis Club (appointed July 2024)
Independent Examiner:
Mr J Lester FCA
Baines Jewitt Limited
Spitfire House
19 Falcon Court
Presion Fami Industrial Estate
Stockton-on-Tees
TS18 3TU
Bankers:
Barclays Bank plc
193 High Street
Northallerton
North Yorkshire
DL7 8LJ
Solieitors:
Hunt & Wrigley
The Old Post Office
83 High Street
Northallerton
North Yorkshire
DL7 8PX
This report has been prepared in accordance with the special provisions of Part 15 of the Companies Act 2006 relating to
small companies.
This report was approved on behalf of the Board of Trustees on 27 November 2024 and signed on it5 behalf by..
R J MORRICE
Trustee

Page 4
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
HILLSIDE RURAL ACTIVITIES PARK
IA Company Limited by Guarantee)
I report to the charity trustees on my examination of the accounts of the company for the year ended 31 March 2024 which
are set out on pages 5 to 12.
Responsibilities and Basis of Report
As the charity trustees of the company (and also its directors for the purposes of company law) you are responsible for the
preparation of the accounts in accordance with the requirements of the Companies Act 2006 ('the 2006 Act.).
Having satisfied myself thal the accounts of the company are not required to be audited under Part 16 of the 2006 Act and
are eligible for the independent examinalion, I report in respect of the examination of your company's accounts as Ca￿led
out under section 145 of the Charilies Aci 2011 ('the 201 l Act,). In carrying out my examination, I have followed the
Directions given by the Charity Commission under section 145(5Xb) of the 201 l Act.
Independent Examiner's Statement
I have completed my examination.
confimi Ihal no matters have come to my attention in connection with the
examinalion giving me cause to believe that in any material respccl:
accounting records were not kepi in respect of ihe company as required by section 386 of the 2006 Act. or
the accounts do not accord with those records; or
the accounts do not comply wilh the accounting requirements of section 396 of the 2006 Act other than any
requirement that the accounts give a 'true and fair view. which is not a matter considered as part of an independent
examination: or
the accounts have not been prepared in accordance with the methods and principles of the Statement of Recommended
Practice for accounting and reporting by charities (applicable to charities preparing their accounts in accordance with
the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)).
I have no concerns and have come across no other matters in connection with the examination to which attention should be
drdwn in this report in order to enable a proper understanding of the accounts to be reached.
J L£sttr
Mr J Lester FCA
Baines Jewitt Limited
Charlered Aeeountants
Spitfire House
19 Falcon Court
Stoekton-on-Tees
TS18 3TU
Dgted: 27 November 2024
JiJAJW

Page 5
HILLSIDE RURAL ACTIVITIES PARK
IA Company Limited by Guarantee)
STATEMENT OF FINANCIAL ACTIVITIES
(including Income and Expenditure Account)
FOR THE YEAR ENDED 31 MARCH 2024
Unrestrleted Funds
2024
Restricted Funds
2024
2023
Total Funds
2024
2023
Notes
2023
INCOME
Grants and donations
Charitable uctivilies
Invesimeni income
5,832
17.940
536
6.584
13,393
39
8,021
42.437
13J53
17.940
536
49.021
13.393
39
TOTAL INCOME
24J08
20.016
8,021
42.437
32J29
62.453
EXPENDITURE
Charitable activities
39,417
30.446
7,232
6.058
46,649
36,504
TOTAL EXPENDITURE
39,417
30.446
7.232
6.058
46,649
36,504
Net incomellexpenditure)
for the year
Transfer between funds
113.109)
350
{10.430}
58.600
789
(3501
36,379
158.600)
(14J20
25.949
Net movement in funds
{14,759
48,170
439
122,221)
114J20)
25.949
Reconciliation of fundi:
Total funds brought lorward
10
3(M),673
252.503
203,142
225.363
503,815
477.866
Tot*1 Funds Carried Forward
io&ii
285,914
300,673
203,$81
203,142
489,494
503.815
All income and expendilure derive from continuing activities.
The Stalemenl of Financial Activities includes all gains and losses recognised during the year.
The notss on pag88 7 to 12 fonn part of the financial statements

Page 6
HILLSIDE RURAL ACTIVITIES PARK
(A Company Limited by Guarantee)
Company Registration No. 05385120
BALANCE SHEET
AS AT 31 MARCH 2024
Nots8
2024
2023
FIXED ASSETS
Tangibl¢ assets
424,845
451,751
CURRENT ASSETS
Debior5
Cash at bank and in hand
lJ55
70J16
2.002
52.889
71.671
54,891
CREDITORS: Amounts falling due
within one year
(7.021)
(2,827)
NET CURREiYT ASSETS
64,650
52,064
TOTAL NET ASSETS
489.495
503,815
FUNDS
Unrestricted
R¢stricted
10&11
285,914
203,581
300,673
203,142
TOTAL FUNDS
489,495
503,815
For the year ending 31 March 2024, the company was entiiled to exemption from audit under section 477 of the
Companies Aci 2006 relating to small companies.
Directors, responsibilities:
The members have not required the company to obtain an audit of its financial 5tatem¢nts for the year in qu¢stion
in accordance wilh section 476:
The direclors acknowledge their responsibilities for complying with the requirements of the Act with respect to
accouniing records and the preparntion of financial statements.
These financial sthtements have been prepared in accordance with the special provisions of Part 15 of the Companies Act
2006.
Approved by the Trustees on 27 November 2024 and signed on their behalf by:
R J MORIUCE
Trustee
The notes on pages 7 to 12 fomi part of the financial statements

Page 7
HILLSIDE RURAL ACTIVITIES PARK
(A Company Limited by Guarantee
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
ACCOUNTING POLICIES
(a) Basis of Preparation
Hillside Rural Aciivities Park is a private company limited by guarantee registered in England. In the event of
the charity being wound up, the liability in respect of the guarantee is limited lo £ I per member of the charity.
The address of the registered office is given in the charity infonnation on page 2 of these financial statements.
The nature of the ¢harity'5 operdtions and principal actlvlty is to provide facilities for recreation and leisure for
the residents of the Hillside Parishes.
The charity constitutes a public benefil entity as defined by FRS 102. The financial statements have been
prepared in accordance with Accounting and Reporting by Charities: Statement of Recommended Praclice
applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable
in the UK and Republic of Ireland (FRS 102) issued in October 2019, the Financial Reporting Standard
applicable in the Unit¢d Kingdom and Republic of Ireland (FRS 102). the Chariti¢s Act 201 I, the Companies
Act 2006 and UK Gen¢rally Accepted Accounting Practice.
The financial statements are prepared on a going concern basis under the historical cost convention.
financial statements are presented in sterling which is the functional currency of the charity and rounded io the
nearest pound.
The significant a¢couniing policies applied in the preparation of these financial statements are set out below.
These policies have been consi5tenily applied to all years presenled unless oih¢rwise stated.
(b) Income Recognitlon
All income is recognised in the Statement of Financial Activities (SOFA) once the charity has legal entitlement
to income, there is sufficient certainty of receipt and it is probable that the income will be received, and the
amount of income can be measured reliably.
Grants and Donations
Where donors specify the grant or donalion must be used in a future accounting period, the income is
defe￿¢d until those periods.
When donors impose conditions which have to be fulfilled before the charity bec0rn¢5 entitled to use such
income, the income is deferred until the period in which the pre-conditions are met.
When donors specify thal grants or donations are for a particular restricted purpose, which does not amount to
pre-conditions regarding entitlement, the income is included in incoming reserves within restricted funds when
received.
{e) Resources Expended
Resources expended are recognised in the Statement of Financial Activities on an accruals basi5, inclusive of
VAT. Individual costs are allocaled between the various headings in the Statemenl of Financial Activities by
reference to their underlying nature or reason for which those costs were incurred, on an estimated percentage
basis.
(d) Unrestricted and Restricted Fund5
Unrestricted funds comprise income received or generated by reference to the generdl objects of the charity
without further specified purpose. Such funds may however be designated by the trustees for Specific purposes
from time to time.
Restricted funds are those donated for a specified purpose as laid down by the donor or &s th¢ r¢sult of a
specific appeal or application. Such funds are kept separate from the unrestricted funds of th¢ charity and only
related expenditure is charged against them.

Page 8
HILLSIDE RURAL ACTIVITIES PARK
(A Company Limited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
ACCOUNTING POLICIES (Conllnued)
(e) Fixed Assets and Depreciation
Tangible fixed assets are stated at cost less depreciation. Depreciation is provided at the following annual rates
so as lo write off the cost, less eslimaled residual value, of fixed assets over their expected useful lives:
Freehold land
Improvements to freehold property - 4 % straight line
Plani and machinery
200/0 Straight line
Playground equipment
l (P/0 Straighl line
(fj Deblors
Trade and other debtors are recognised at the settlement amount due after any trnde discount offered.
Prepayments are valued at the amount prepaid net of any trade discounts due.
{g) Cash at Bank and in Hand
Cash at bank and cash in hand includes cash and short-tem highly liquid investments with a short maturity of
three months or less from the date of acquisition or opening of the deposil or similar accounl.
(h) Credltors and Provislons
Creditors and provisions are recognised where the charity has a present obligalion resulting from a past event
that will probably resuli in the transfer of fund5 to a third party and the amount due to settle the obligalion can
b¢ measured or estimated reliably. Creditors and provisions are nomially recognised al their settlement amount
after allowing for any trade discounts due.
(i) Going Concern
The financial stalemenls have been prepared on a going concem basis as the trustees believe that no malerial
uncertainiies exisi. The trustees have considered the l¢vel of funds held and th¢ expected level of income and
expenditure for 12 months from the auihorising of these financial statements. The budgeted income and
expenditure is sufficient with the level of reserves for the charity lo be able to continue as a going concern.
INCOME FROM GRANTS AND DONATIONS
Unrestricted Fund8
Restricted Funds
2024
2023
Tot81 Funds
2024
2023
2024
2023
Granls
Donations
7,521
500
35,769
6,668
7,521
6J32
35,769
13,252
5,832
6,584
5.832
6.584
8,021
42,437
13,853
49,021
INCOME FROM CHARITABLE ACTIVITIES
Ilnrestricted Funds
2024
2023
Re$tri¢ted Funds
2024
2023
Totsl Funds
2024
2023
Rental and subscriptions
Advertising revenue
17,250
690
12,850
543
17,250
690
12,850
543
17,940
13,393
17,940
13,393

Page 9
HILLSIDE RURAL ACTIVITIES PARK
(A Company Limited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
ANALYSIS OF EXPENDITURE ON CHARITABLE ACTIVITIES
Unrestricted FyThds
2024
2023
Reslricted Funds
2024
2023
Total Funds
2024
2023
Rates and water
Insurance
Property repairs
Ground mainienance
Machinery repairs and expenses
Caretaking and cleaning
Event costs
Sundry expenses
Depreciation
Profit on disposal of fixed asseis
874
2,437
1,044
1,065
2,962
1,200
995
2,609
175
11.521
1,193
717
1.540
874
2.437
1.044
7,123
2,962
1,200
2,609
175
4,289
1,193
717
,540
7,232
6,058
35
22,395
(4,746)
35
22.395
(4,746)
27,260
(1,999)
27,260
(1,999)
36,897
27.266
7,232
6.058
44,129
33.324
Governance costs..
Accountancy and Independent
Examination fee5
2,520
3.180
2,520
3,180
39,417
30,446
7,232
6,058
46.649
36,504
IYET IIYCOMINGI(OUTGOING) RESOURCES FOR THE YEAR
2024
2023
This is slated after charging/(crediting):
Depreciation
Profit on disposal of fixed assets
Accountancy and Independent Examination (including under provision re
prior year £Nil (2023.. £720))
27.260
(1,999)
2,520
22.395
(4.746)
3,180
TAXATION
HM Revenue & Customs Charities Division have approved the charitable statu5 of Hillside Rural Activities Park and
its income is therefore exempt from tax, under Sections 505 and 506 of the Taxes Act 1988. provided that it is
applied for charitable purposes only.

Page 10
HILLSIDE RURAL ACTIVITIES PARK
(A Company Limited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
TANGIBLE FIXED ASSETS
Pl4nt 4nd
Machinery
and
Playground
Equipment
Improvements
Freehold
Land
Freehold
Property
Total
COST
Balance at beginning of year
Additions
Disposals
195,674
166,850
355
(558)
758,205
355
(558)
Balance at end of year
195,674
395,681
166,647
758,IHI2
DEPRECIATION
Balance ai beginning of year
Charge for year
Eliminated on disposal
206,791
15,828
99,663
11,432
(557)
306,454
27260
(557)
Balance at end of year
222,619
110.538
333.157
NET BOOK VALUE
At beginning of year
195.674
188.890
67,187
451,751
At end of year
195,674
173,062
56.109
424,845
DEBTORS
2024
2023
Debtors and prepayments
lJ55
2.002
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Creditors and accruals
7,021
2.827
10. STATEMENT OF FUNDS
Funds at
31.3.2023
Incomin8
Resources
ResouTceB
Expended
Transfer
between funds
Funds at
31J.2024
2024
Unreslrlcledfun
300,673
24,308
39,417
350
285,914
Reslricledfunds..
Land purchase
Football pitch maintenance
Playground equipment
White liner
191,000
7,105
5,037
191,000
6.529
6.052
6,656
1,015
350
7,232
(350)
203.142
8,021
7,232
(350)
203,581
Total Funds
503,815
32,329
46,649
489,495

Page11
HILLSIDE RURAL ACTIVITIES PARK
(A Company Limited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
10. STATEMEIYT OF FUNDS (Continued)
Transfer
Between
funds
2023
Funds al
31.3.2022
Infoming
Resources
Resources
Expended
Funds at
31.3.2023
Unreslrlcledfunds
252,503
20,016
30,446
58,600
300,673
Reslrlcledlunds..
Land purchase
Fooiball pitch maintenance
Maintenance machinery
Playground equipm¢nl
191,000
5,363
25,000
4,000
191,000
7,105
7.800
6,058
(25,000)
(33.600)
34,637
5,037
225,363
42.437
6.058
(58,600)
203,142
Tolal Funds
477.866
62,453
36,504
503,815
Ngme of Fund
Deserlption, Nature and Purpose of the Fund
Land purchase..
The iernis atthching to funds from Hambleton District Council and Evolve EB. for the
purchase of land, are such that the purchase of the land did not extinguish the restriction
and thus the funds remain restricted.
Football pitch
maintenance:
In 2022 The Foolball Foundation awarded a six-year revenue grant to be used towards
enhanced grass pitch maintenance work5. Fund5 for subsequent years will be released on
the completion of maintenance work recommended in accordance with the PitchPower
Assessment Report and the provision of PitchPower inspections of grdss Pitches at Iwo
specified periods during the playing season. Work in respect of pitch improvements is
ongoing.
Playground equipment:
The balance of fundraising donations received in the previous year for the replacement of
playground equipment which had reached the end of its useful life were brought forward.
Additional funding was received in the year from Borrowby PCC for playground
replacement and from North Yorkshire County Council towards the upgrdding of the
zipwire.
There was no expenditur¢ in the year and all funds were therefore carried forward.
White liner:
A grant was received from Ihe Jack Brunton Trust for the purchase of a while liner. The
equipment was purchased in the year and has been added to plant and machinery. The
restriction has therefore been fulfilled and the fund cleared by trdnsfer to unrestricted
funds.
Maintenance
machinery..
The Football Foundation provided 69 % of the project cost to fund the purchase of ground
maintenance machinery. A new tractor and roller mower were purchased in the previous
year.

Page 12
HILLSIDE RURAL ACTIVITIES PARK
IA Company Limited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
I I. AIYALYSIS OF NET ASSETS BETWEEN FUIYDS
Unrestricted Funds
2024
Restriettd Funds
Total Funds
2024
2023
2024
2023
2023
Tangible fixed assets
Cash at bank
Other net current liabilities
233,845
57,735
(5,666)
260.751
40,747
(825)
191,000
12,581
191,000
12,142
424,845
70,316
(5,666)
451,751
52.889
(825)
285,914
300,673
203,581
203,142
489.495
503.815
12. CONTINGENT LIABILITY
The following amounts remain repayable throughout the life of the pmject if the tems of the grants are no longer
being met:
Hambleton District Council
Evolve EB
145,000
46,OIM
Funding from the Football Foundation for maintenance machinery is repayable for a period of five years from I
September 2021 to a maximum of £25,000 if the tems of the grant are not met.
13. TRUSTEES REMUNERATION
No trustee was paid any remuneration or reimbursed any expenses during the year.
14. RELATED PARTY TRANSACTIONS
Throughout the current and previous financial year. the charity was under the control of the trustees.
The financial statements include the following trdnsactions with other clubslsocielies with whom certain members of
the Council of Management are connected..
2024
2023
Rent, subscriptions and other project Income receivable:
Knayton Football Club
Borrowby Agricultural and Horticultural Society
Leake Tennis Club
250
1,050
250
250
1,050
250
At the balance sheet date £250 (2023: £250) was due from related parties.