reglstrntlon Nmber 1125817
registration 06333232 (England and Wale5)
READING FC COMMUNrrY TRUST
ANNUAL REPORT AND FINANaAL STATEMENTS
FOR THE YEAR ENDED 30 JUNE 2023

READING FC COMMUNtTY TRUST
LEGAL AND ADMINISTRATIVE INFORMATION
TrU￿ee5
DR Dcws
Rear
NA Cout
D Hall
PS Batth
SJ Cwke
A Tow
S Hussain
J Evar6
IApFx)inted I September ￿22)
(Apwinted l March 20231
(Appointed l March 20231
(Appointed 2 Jur* 2023)
Charity nuTnber
1125817
Company n￿nber
IA333232
Reglstered offlce
Seled Car LeasiThJ Stsdium
JuTKlion 11
Readir#J
RG2 (FL
Auditty
aark
Egale I
80 St Alban5 Roa
Watford
Hertfordslmre
WDI7 IDL
Bankers
HSBC Bank Ilc
26 Broad Str
RealirKJ
Be￿h1
RGI 2BU
Solldto
Bates Wells Bt3ttFwRite
10 (&een Street Pl￿e
LoThJon
EC4R IBE

READING FC COMMUNrrY TRUST
CONTENTS
Trustees. rewrt
Statement of trustees. resrxinsibilities
IrKJependent auditor's report
8-11
ststerrent of finanoal &tiwtie5
12-13
Balance sheet
14
Staternent of cash Ib
15
Notss to finarKral staterr*nts
16-27

READING FC COMMUNrrY TRusr
TRUSTEES. REPORT ONCLUDING DIRECTORS. REPORT)
FOR THE YEAR ENDED 30JUNE2023
The trustees present annual retxNt finarKial Staterr￿nts of the c￿￿rity forthe year ended 30 JurE 2023.
The accounts have been prepared in accordarKe with accountity wliaes set out in note 2 to the accounts
and comply with the charity's memordrKlurn and articles of asscKiatiory Companies Act 2W6 and 'Accounting
and Fieporting by Charities.. Statement of Re(omrnerKlffl Practice applicable to ch3rities p￿paring their accounts
in accordance wth the Financial ReFK)rting Stsndard applicable in the UK and Republic of Ireland (FRS 102)" las
amended for accounting peri¢xls cOM￿*r￿1￿j from l January ￿19)
OBJEThS AND AcmirnES
The charitys objectives as set out in the cor6titution a￿ to assist in advancing education, to promote or assist in
promoting community participation in FEalthy recreatK)n, to provith (K ￿$1St in the provision of facilities for
recreation, to pro%qde or assist in the interest of s(Kial welfare wth the objert of improving the Conditio￿ of
life for those whom the facilities are prowded, to relieve sickness and disability and to preseNe and protect
healt￿ aThJ to promote any other PUfFKise which is charitable according to Erglish Law.
The aim of the charity is to have a posilsve irrfIuen￿ on yrxjng p￿pIe arKI the community through fcKJtball
and is express￿ through its logo'care Devek>p Educate..
The Trust also makes pledges to its local community. TW are as foll
l. pledge to young peoplv.
Create a positNe leamiro eMronff￿It
Enhance develop￿￿nt
Prowde football devel(ynerrt opporturNties at all lÉvels of the gan
ProtTKJte role moxlels
Develop under5tarKling, of and withirL the game
Help build confidence, self-esteem arKI PrO￿K)te personal develop￿￿nt
Improve tr￿11￿7dUal performan
Encouraje healthier Irfe￿e5
2. pledge to the Comrnnty.
Create arKI maintain stroryr links lknveen the local CLYnrruJnity and the f(M)tball club
Protnote and develop a wide raThJe of f￿1]ItieS
Help to SUPFK)rt safer, stronger and rThJre seojre comnmjnities
Using football as a vehicle we wll educate IcTrl COTnmuniti
Support volufrteering arvj provK4ing ryloyrrent opportunities
Increase participation in fwtball and a(tive r￿reation
Prov7de ￿lder cOmr￿jnity usage of dub
Support the devekTrprrEnt of indmduals and groups regardless of tsEir race. culture. religion,
geThler, ability, sexual orientatto￿ ethnicity or Axial status
3. pledge to th¢)se existing and ￿tentIal partne
BrirHJ together tTadttiona1 and non-traditional fcM)tball actiwbes and enwronrr£nts
Help identify Pathw￿ leading to addilional trainiru vdunteerir#J and career opportunitie5
Irspire innovative football actwtties arKJ opportunities
Promote, enhance and develop good working relationship5
Provide a professional arKI p￿SI￿ve working erfvironnEnt

READING FC COMMUNrrY TRusr
TRUSTEES. REPORT (CONTINUED)(INCLUDING DIRECTORS. REPORT)
FOR THE YEAR ENDED 30JUNE2023
En furtherance of the* aiffls tFE charity undertakes a wariety of aCt￿ltieS with children and young people within
three main streams of actiwty.
Sthools Programn
The charty work5 very closely with tlE schools in its area, bringirMJ football, ￿althY lrfeswes and education
programmes into schools, Lsing football as a vehicle to drtve the impM)rtance of education and other life skill& A
mber of these activities are free to participants wth some of trtm requiring fees to attend actNitie&
After Sthool dubs- l-hour footbalvmutti-sport Co￿h1r#j sessiorG run on a weekty basis throUgh(￿t
the year
Lunch time clubs- supervised fwtball/rrrtJlti-swrt ses90ns wn on a basis ttrwhout the year
PPA - deliverirKJ sFK)rt51PE session5 in sch(KJ15 to cover teathe￿ whilst they are in their plannin
preparatKJn a￿1 assesstyent t1￿ IPPAI
- Work4Ky5 . pfovKling a variety of sport or lifestyle b￿ed se5siorG
PreThAer League prI￿ry Stars - Ktiwties delivered in aThJ (Krt of sclKoI to in(rease the levd of PE
provision ￿h1n Pri￿￿ry schLKTrls up-skill te￿h￿SneaChlng assistants work alongside children in
their core subjects Iliteracy, nUn￿racY PSHE] to Felp moltvate arKI inspire
. School footbalVmultispc*t festivab ar¥1 twmanwts - duster or individual sclK)ols comiry to the
stadium and playing events in trainiTrJ dome or on the 3G pitch facilitated by the Trust
. knset da￿-s￿rA11 dayfootball based sessiorL
. thokes - Intervention sessions with targetcyj WFyls based arwnd sport in Primary and secondary
schwls
. Mentoring pn>granTh - I to l ff£ntorir#J ￿th targetsd pupib l*lpiThJ to tsc￿e any behawour
Issues wthin 5chcK)I
Outolxhoola£tivities
The charity runs a series of coachirKJ trainiThJ se$s￿r6 for tw arKI gids that are in the evenings,
weekends and SChCK￿ holKla
Soccer Schools - football coaching that is prcmded to youThJ t￿phe betW￿n the 4e5 5-13 in all SC￿01
holidays
Develop11￿1t centrÈs- athjitional f(x)tb￿l coachirMJ over 30 ¥NEeks throLwJhout the year for 5-14 year
olds
. A(fvanced cenlres- athlitional fwtball coaching over 30 weeks thr(wlKXrt t1￿ year for urxler 7s- 15$
on invitation only Italented playersl
Ellte centres-as before but of no cost to Flayers lthe better tslented player51
Girls only Elite centres- 4 age groups of gids lUn￿r Ils. 13& 15% 17$], train t￿￿ a week and play
Saturday mming Ino c05tl
Glrls D£•4dopn*nt squads- 3 age gr￿1p$ IUNJer Its, 13$ and 15sl mirroring the Elite prtsJramme, but
only playing during SCI￿1

READING FC COMMUNrrY TRusr
TRUSTEES. REPORT (CONTINUED)(INCLUDING DIREcfoRS' REPORT)
FOR THE YEAR ENDED 30JUNE2023
StYialInclusion
The charity run5 a series of actNitie5 for YOU￿ pEople l￿tr￿en the ages of 12 to 19. IrKI￿lir#j t￿)se are not
in education, eMploY￿￿TTt ortraining INEET). offender51eX-offeTrje￿ or edUCat￿al underachievers:
PL lfjcks- a project which offers youro people evening fcK>tball coaching and competitior6, street
dance, filrTK music ￿￿rks￿p5 arKI sessKJn5 coveriThJ lifestyle issues such as dnjg awareness and t
daryer of weapons. 60) partKipants are ncw registered on the project fuTrJed over a 3 year period
by Premier League
PL Targeted ￿ck$- workir4J one on ore with son* of the more tsrgeted ttLildren wh) have the
potential to Cause serious violerKe or anti-sLKial LEhav*xr.
RAP- Rthidlng Alternafjve ProNislM - edLKation intervention programme run at stadium for
children from various schools care h)rn￿, foster hor￿5, knal auttK)rities who are or rrkay be at th￿at of
I￿l￿g excluded from Sctr￿.
DIVERT- working alongside Thar￿5 Valley Police fuTrliro is P￿vIded for a Custoty Coath to work OLrt
of 2 IcKal Police stations ￿EntOrIng fi￿t tirre offernlers from 18- 24 years of age.
SCL Traineeshlps- giviTrJ youTrJ Peop￿ with very limited acathnNc qualffications tr* opportunity of
participating an edu(ation cwr5e ￿th a high sport dement
Reathng Cdlege- in partnership the cdlege we faalitate arvj teach level 2 3 courses in
football in the community to students fft)m 1fv19 years of age.
oyals Cast Chat- I to I n*ntoriThJ ser￿￿ for referred your¥J Feople who are struggling %Mth their
mental heatth arkd welltr*in
The charity delivers sessiors a￿1 projects ur%ler EDI (Equalty, DiVe￿ty arKI Inclusion) departrnent in
conjuKtion with other charities, groups, disabilty organisatior6, the football dub aThJ our main t￿ stskeholde
- PLCF (Premier league Ccxnmunty Fur￿), EFLT (English Football League Trust).
Activities ir￿lUde-
Delivering coachirg sessions in S￿la1 education ￿ schcK)Is ISEM
Delivering projects for ￿luItS With di58bility arKI leaming difficulties
F￿tball C￿h1￿j session5 spe(ificalty for certain disabilities- D¢)￿n5 syrKlroryE, deaf, blirKI and learning
diffiCu￿leS
Football toumaments arKI fe5tiwals for chiklren from SEN ScTr￿s
Working aloThJside participarrts from the LGBTQ+ community
Supporting grassri)ots football clubs to becorr* I￿lu￿Ve. helping to Sustain the develOp￿ent of
disabilty fwtball- within the Perkshire area
Working in partrErship ￿th the Berks and Bucks FA to (￿loP grdssrwts c(whes in ￿￿rkIng with
disabled footballers aTrJ suppNknry them to gain their FA C￿hIr¥3 disabled footballers avtar
These actw(ties are supported by grant furKling all0v￿n9 f￿ participatio
The Trust staff have also delivered fdlcming courseslactiwties to our Ictsl community.
. Sports Leaders Award
Anti-bultying workshop
Healthy life5tye
. Respect workshops
Numeracy and literacy
Volunteer development
Drink aware
Critical incident training
Fire safety
Drug awareness worksho

READING FC COMMUNrrY TRUST
TRUSTEES. REPORT (CONTINuED)￿NcLUDING DIREcfoRS' REPORT)
FOR THE YEAR ENDED 30JUNE2023
The Trust stafl have also deliverel ￿ follwng course5/￿i￿tIeS to (Kjr t￿1 community.
Sports Leader5 Award
IntrcKluction to fcx)tball co￿h1
Anti-bullyirKJ workth)p
Healthy lifestyle
. Respect workshops
Numeracy and literd
- Volunteer developff*nt
Drive awa￿ne$S
Critical incident trdining
Fire safety
. Drug awareness wJrkS￿pS
Publicbenefrt
The Trustees hwe referred to guidarKe Contai￿ in the Charity Commission's general guIdar￿e on public
benefit when rewewirvJ the charitys airTS arxl oE4ectNes a￿1 in the planning arKI operations of all its current and
future actwttie& In particular, ￿ Trustees gNen the regard to wblic l*neffit when settirKJ the ￿Ve1 of fee5
to participate in activities.
ACHIEVEMENfs AND PERFORMA
S(xial Inclusion - irKreasing wort cKrtput again over this 12-mnth perit* Reading Atternative Prowsion
proving again to ￿ very popular ¥￿h sclKM)Is and l¢xal autt¥Jritie5.
S￿)rts Participation - i￿reaSe in numbers of kKcer sclKK)ls $i￿e chIld￿n are participatiThJ back after
Covid demand in general has teen very ligh sirKe thildren are able to participate in face-to-f
activities.
EDI- SEND holiday camps have tr￿n h￿elY successful with trust winning contrKts of lknh local
aLrthorities (Reading and Wokir¥Jharnl to deliver these artwitie5 Within Berkshire.
CCOP Icapability code of Practice) - intrcKhJced by the PLCF and tre EFLT which rates CCO'S on 16
spEcific headirvjs relatirvJ to governano of the Twst- Reading FC CT rated Very G¢yxl.
FINANaAL REVIEW
During the the charity raised a total of £1,984,997 (2022 £L527.887) to Purs￿ its artiwtits.
The charity is aiming to hold suffiaent unrestiicted reseNes to facilitste tl* e￿$tIng charTtable actNities for 6
ft￿nths. This would enable Trust to generate appropriate supplerrEntsry additional income shixjld funding
from existir¥J sources ￿ reduced. In rKTr urcurn5tar￿e wll reserve5 fall bekm IIE rvjrmal of three ￿￿nthS
supwrt costs.
At 30 June 2023, the charity held £EÉO,374 11122: £E4)8,3311 in unrestrtted ￿serv￿. This equates to
approximately 30 months of supp)rt costs12022'. 23 Th)nthsl. This is greater than our stated policy and is being
used to finarKe the relocation of our social I￿lUsion departrrEnt
PLANS FOR FLMJRE PEIUODS
The TTUSt will continue with the existiry programw. as well a5 %Mth new initiatNe5 including..
Relocation of social ir￿lUsion departrytnt to S(KJth Reading leisure cerrtre - Cotnrnunity Trust will
self-fund the project to the tr*JildiTrJ cost of £3Ed),(IXI, planning to *iM)ve in by January 2024.
PLCF project PL Inspires- new funded project Ly PLCF working wth colKirts of students in secondary
schools to help achieve their full potential.
Custoty coach- funding directly from Thames Valley Police over a 3 year period to deliver the project in
house wthin the social indusK)n department- £50,(KL) per year working out of 2 Police station
CCOP- maintainiThJ current ￿Ve7 aspiring to exemplary level
Maintain current health of the Trust- Govemance, FinarKe and Safeguarding
Ensure EDI (Equalty, Diversity arKJ IrKlusionl are CO￿ to all tK)Iictes atxl p￿ed￿￿5 wthin tFE TrusL

READING FC COMMUNrrY TRUST
TRUSTEES. REPORT {CONTINUED)UNCLUDING DIRECTORS. REPORT)
FOR fHE YEAR ENDED 30 JUNE2023
STRATEfAC DIREclloN . The Adlon Plan
srRucfuRE. GOVERNANfE AND MAPi4GEMEP
The charity is corstituted a5 a cofflpany limited Ery guarante¢ mt having a share capital and is governed ty a
memorandurn and wtides of a59xiation
The trustees. are also the director5 for the purFue of company l&¥. and seNed during the year and up
to the date of signature of the financi4 5tatemert5
DR Downs
AM Rearw
Stabler
NA Coupe
D Anthony
D Hall
PS Batth
M Biadley
G Connol
SJ Cooke
A Tow
S Hussain
J Evans
(Re￿gned 14 April ￿23)
(ResigrEd 13 FeLKuary 2023)
(Resigned 24 N0vemL￿r 2023)
IRe5igrEd 27 February 20231
(Apwinted I SeptemiEr 20221
(Appointed l March 2023)
(Appointed l March 20231
(Appointed 2 June 20231
The sole member of tFE charity is Reading Football Club knmrted. Members undertake to contribute a Sum not
exceediry £1 to the assets of the charity if the charity is up whilst a meM￿r, or within 12 months of
ceasing membe￿h1p.
The trustee5 are appointed by the n*mber. New tnjstees are seknted on the basts of the skills and experience
they have and receive iTrJuction from existirvj trustees as rEquire(L
The charity has 48 pErmanent and 30 casual mem￿￿ of staff.
The trustees mei four tirres during the yearto thcide on KM)licy proc&lure. The day to day management of
the charrty is undertaken by the charitys ger￿ra1 manager.

READING FC COMMUNrrY TRusr
TRUSTEES. REPORT {CONTINUED)(INCLUDING DIREcfoRS' REPORT)
FOR THE YEAR ENDED 30JUNE2023
srRucfuRE. GOVERNANCE AND MANAGEMENT (CONTINUED)
The charity occupies premises and uses fvrniture and equiprnent that beloTrJs to Realing Football Club. The
charity makes a financial contribLrtion to REaling Fr￿tball Club to cfftr cos
Auditor
A resolution prop05irrfJ that Wers Clark be reappointed as audito￿ of the company will be put to theAnnual
General Meetin
The trustees, report wa5 approved by the of Truste
Trustee
Dated: 4 January 2024

READING FC COMMUNrrY TRUST
STATEMENT OF TRUSTEES. RESPONSIBILrriES
FOR THE YEAR ENDED 30JUNE2023
The tnjstees wkn are also direuors of Rea(fi￿j FC Community Twst for the purpose of compary law, are
responsible for preparing ￿ Tnjstees, Report arKI ihe financkal statements in accordarKe wth applicable Law aThJ
Untted Kingdom AccountiThJ StarKlards Iunited ￿n￿l0￿ Generally P£cepted A(C￿lntir￿j Pr￿tice).
Company Law requires the trustee5 to prepare finarKial State￿nts for e￿h finarKial year which give a true and fair
view of the state of affairs of the charity and of tlE incoming resources arKI application of reSoUr￿s, includiThJ the
income and experKliture. of the Charitab￿ companyfor that year.
In prepariro these fina￿la1 statements, the tn1si￿ are required tr.
- Sel￿t suitable acccyJntiry polictes a￿1 then atht￿rn corsisienttr.
- observe methods arKI p￿r￿lPleS in Chatities SORP.
- make judgements and estimates tFot are rea50naL4e prudent
state whetlEr applicable UK AccoxJntirvJ Standards ￿4ve been subj.ert to any material departure5
disdosed arKI explained in the finanoal %taterTErrts,' a￿1
- prepare financial ststemenls on the goir4J concem basis unless it is inappropriate to presun* that the chyrity
wll continue in operatiorL
The trustees are reswnsible for keepiThJ adequate accountirwj r￿ordS that disc105e wth reasonable accuracy at ary
time the financial FKJSition of the charty and enable them to ensure that the financial stateM￿ts comply with the
Companies Act 2C¥￿. They are also responsible for safeguardiry tFE assets of the tharity awj he￿e for taknng
reasonable steps for the prevention detection of fraud and other irregularities.

READING FC COMMUNITY TRusr
INDEPENDENT AUDrroR'S REPORT
TO THE TRUSTEES OF READING FC COMMUNtrY TRUST
Oponlon
We have audited the finanaal statements of P£ading FC Community Trust lthe'charity) for the year eThJed 30 June
2023 which cotnprise the statewent of fInar￿la1 actiwties. balarKe sFEeL tIE stateTnent of cash flows and notes
to the financial statements. induding signrfKant accountir4J pOI￿leS. The financial reporting framework that has
been applied in their preparation is applicai4e law arKI United Kin9*mi Accounting Standards. including Financial
RewrtiThJ Standard 102 rhe Financial Reparting Srandard applKable in the UK and Républic of Ireland Iunited
KiThJdom Generally Accepted Accountiro Practice}.
In our ￿Hnl0￿, the finanoal 5￿ten￿nt￿.
give a true and fair vieN of the state of tr* cF&aritsble cofflpatys affair5 as at 30 June 2023 and of its incoming
resources and application of resoJrces, for year tt*n en(kd,.
have tEen propety prepared in accordance with United knrKJ(kyn Generalty Accepted Accounting Pr￿1￿.,
and
have been prepared in accordance wth the requirernents ofthe Companies kt 2(￿.
Basis for ￿nIOn
We conducted our aLrfIt in ￿CordanCe wtth Intemati0rn41 StstKlards on A￿lItIr￿j IUK) USAS (UK)) and applicable law.
Our responsibilities under tFM)se staTKlards are further described in Auditor5 responsibilitses for the audit of the
finannal statements sertion of our retK>rt. We are itKl4Endent of charity in ￿COrdanCe wth the ethical
requirements that are relevant to our audit of ￿ finanoal ststerr*nts in the UK ind¢xling the FRC'S Ethical
Stsndard, arKJ we have fvlfl1￿d (Kjr other ethical ￿SpOrtsIbilItieS in accordance wth t￿e requirpments. We believe
that tlE aL#Jit eviden￿ we obtai￿1 is suffioent arKI appropriate to prowde a basis for ￿r opinion.
Condusions relating to golng a)ncern
In auditirg the financial staterytnts we corKluded that ￿ trustees. use of the going concem basi5 of
accountiThJ in the preparation of the finatKial statements is appropriate.
Based on the work we have tErfom*d. not identified any matertal ur￿ertaInlieS relating to events or
conditions that, irKliwdualty or collectivety, may cast signtflcant doubt on charitys abilty to continue as a going
concern for a period of at least tWe￿e rrK)nths from the fina￿la1 staterr£nts are authorised for issue.
r respcwsibiltttes arKI the reSp￿sIbIlitieS of the tn￿te￿ ￿ resW to goiry concem are described in the
relevant sections of this report
Other Infonnatt•
The other inforTllation comprises the inf0M￿tion ir(luded in the annual fepK¥t ottr￿r than the finarKial st*ements
arKI our audttols report thereon. The tnjstees are responsible for the otI￿r inforrnation contai￿1 within the annual
reFxJrt. Our opinion on fironcial state[￿ts d(E5 not cover other information and we do not expre55 any
form of assurdnce conclusion thefeon. Cxjr ￿FX)n$ibIlity s to re￿1 tFE Ottr￿r information and, in doing so, consider
whether the otFEr inforrTWtiofi is rnaterially irKonsistent wth t￿ finarKial statements or our kno¥￿edge obtained in
the c(KJrse of the aLEdit or otherwise appear5 to materially misstated. If identify sud) material inconsstencies
or apparent material misstatements, we are required to deterrnine whetrer this gNes rise to a material misstaternent
in financial statements thefrselves. If, based on WO￿ we hwe perfoffli&l, we conclude that there is a
rnaterial mi55tsternent of thi5 OtFEr inforrnation, we a￿ required to report tlK4t fact
We have nothing to rerM)rt in this regard.
Opinions on other matters pre*yibed bythe Cornpanles Act 2006
In our opinion, based on the work undertaken in the course of audit
the information given in the trustees, report which indudes the director5. report prepared for the purposes
of compary law, for the finarKial year for whKh the finarKial statements are p￿pared is consistent wtth the
finanoal statements and
the directors, reFX)rt included within the trustees. le￿rt has i￿n prepared in accordaKe with legal
requirement&

READING FC COMMUNrrY TRUST
INDEPENDENT AUDThOR'S REPORT (CONTINUED)
TO THE TRUSTEES OF READING FC COMMUNrrY TRUST
Matters on *thich we are required to report by exception
We have nothing to rep)rt in respect of followng matters in ￿lation to whith the Charities (Accounts and
Reports) Regulatior6 2￿8 reyuire us to rep)rt to you if, in our opinion:
the information given in the finarKial 5tateffEnts is lKons￿tent in arry m3terial respect with the Irustees,
reporL or
sufficierrt accounting recoftls have not been kert or
the financial statements are mt in agreement with ￿ accountiTrJ records: or
we have not received all the infomiation exFAanations we require for our audit
Re5ponsibilitiÈs of trustÈÈs
As explained MO￿ fulty in the statement of tNstees' r￿pOr61bil1ties. the trustees. who are also the directors of the
charity lor the purFM)se of compary law. are respor51b￿ for the preparation of the finanoal statements and for
being satisfied that thw give a true and fair view, arKI for such intemal control as the trustees detemiine is
necessary to enalje the preparation of finar(ial $tateft￿nts that are free from material misstate￿*nt whether due
to frnud or error. In preparing the financial statements, the trustees are resFxYsible for assessing the charitls ability
to continue as a going Cor￿e￿ disclosirvJ a5 applicable, ￿￿tter5 relatexl to goirNJ concem and usiThJ the goi
concem basis of accourrtiThJ unless the trustees either irrterKI to liquidate charitsble compary or to ￿ase
0￿rationS or have no realistic alternative txjt to do so.
Audltor's responslbllltles for the a￿lft of the finandal ststem
We have b￿n appointed as auditor under section 144 of the Charitbes Act 2011 and ￿port in accordar(e wth the
Act and relevant regulations made or h3￿r0 effect therwnder.
Cxjr objertives are to obtain reasonable aSYjrdn￿ atout ￿ther the finar￿tal statements as a whole a￿ free from
material tnis5tatement whether due to fraud or error. arKI to issue an auditorfs th3t includes our opinion.
Reasonable assurance is a high level of aSSura￿e Ixjt is mt a guarantee that an audit coThlucted in accordance with
ISAS (UK) will a￿a￿S detect a material mIs5taterT￿nt wtrEn it ￿5t& MisststerTEnts can arise from fraud or error and
are considered material if, irKIwKlually or in tr* aggregate. tw could ￿aSonablY be eX[￿tted to influence the
economic decisions of users taken on the basis of tFEse finarKial staternents.
The extent to which our prc(8Jures are Capab￿ of detectirwj iThegularitie5, includir¥J fraLKI 15 detsiled LEIOW.

READING FC COMMUNtrY TRusr
INDEPENDENT AUDrroR'S REPORT (CONTINUED)
TO THE TRUSTEES OF READING FC COMMUNrrY TRUST
The extent to whith the au(rrt was r(Thidwed rapable of detectirwj irregdarities ind￿ing fraud
In ident-rfyng arKI asse55ir¥J the risks of material misstatement in resW of irregularities including fraud a￿1
rKTrn-compliance wth laws atThJ regulations V￿ corGi&red the f￿10￿r￿j
The nature of the industry arKI se(tor, control environrytnt arKI Ixjsiness performance including the design
of the remuneration policies, key drivers for trustee remuneratiory bonus levels and perfornia￿e targets,.
results of our erM]uiries of M3na3ement abcrtrt t￿1r CPMI identrfication assessment of the risks of
irregukrities,.
ary matters we identified haviTrJ obtained the charitsble compan￿5 documentation of their
policie5 and pr(Kedu￿5 relalitu to,.
identifyirKJ, evaluating and complwro wth aThJ regulati(m and whether they were aware of any
instan￿5 of non-complia[￿,.
detecting and respondiThJ to the risks of fraud aThJ whetFEr have kTKwl￿lge of any actual, susp￿ted
or alleged frdud.,
the Fntemal controls estsblished to mitigate risks of fraud or nort-compliance wth laws and reguLations,'
the matters discussed anKJr¥J the audit eYoagerrEnt team regarding how WI￿￿ fraud Tnight occur in
the financial statements and any potential indi(atoYs of fraLkJ.
A5 a result of these prc￿ed￿r￿ we C(K￿lder&I the opportunities and irKentives that rw exist within the
organisation for fraud. In cofflmon wth all aLKtits urKler JSAS (UK). we a￿ atso required to ￿rforn specific
procedures to respond to risk of manageft￿nt override.
We also obtained arp understanding of the legs18nd regulatory h3meworks that the rhantable company
operates in, focusiiig on prob75ions olthose la￿5 and wulatsons that hada direct effect on the determination
of materialamounts anddisclosures in the finanaalststements. 7he keylaws andregulations we consideredin
this conteXtindud￿ rhe UKcompan￿sArt
In addition, we considered pro￿$10￿ of ot￿r laAs aThJ regulatior￿ that do not have a dir￿ effect on the
financial statements but compliarKe with which may ￿ fi1nda￿￿tal to compaWs ability to opErate or to
avoid a material per￿lty. These i￿lUded the EmployTrent law.
To address the risk of fraud thrwgh manajement bias a￿1 overrKIe of controls, we:
perforrr*d analytical procedures to identify ary unusual or U￿xpErted reLItK¥ishi
tested joumal entries to identify uru5ual trans￿¢10
assessed thther judgeffwts arKJ assuniptiors made in detemiirir¥J the Kcountir#J estimates were
indicative of FN)tential bias,. and
investigated the rationale behirKI signrfKant or urKsual trar￿tK)n%
In response to the risk of itTegularrties and non-complian￿ with I￿5 aiKI rewlations, we dessgned procedures
which incI￿￿ed, i*Jt were not limited to:
agreeiry financial statwnent disclosures to ￿￿￿erI￿r￿J supp)rtJ"ThJ th(umentation:
reading the minutes of meetings of those charged wrth governance,. and
enquiring of manaJement as to actual arKI potential litigation arKI clairr&
There are inherent limitations in our audit pr￿C￿lureS described atM)ve. fr￿)re remcwed that laws and
regulations are from financial transactior4 the less likety it s that we would LEcome aware of rv)n-compliance.
Auditing standards also limit the audit procedures requir￿ io identify non-compliarKe with and
regulations to enquiry of the directors arKI ot￿r man•Jer￿nt inswion of regulatory and legal
correspondence, if any.
Materkil misstatements that arise due to fraud be Iwder to detect th3n those that arise from error a5 they
may invO￿e deliberate c0ncealff￿nt or collusion.
A further description of our re5[K>r￿lbII[tses is available on tFe Financial Rew)rtirYJ Cou￿11'S website at. http&//
wvvw.frc.org.uk/auditorsreswnsibilities. This description for￿6 part of our a￿lit0￿S report
10-

READING FC COMMUNrrY TRUST
INDEPENDENT AUDrroR'S REPORT (CONTINUED)
TO THE TRUSTEES OF READING FC COMMUNrrY TRUST
Use of our report
Thi5 report 15 made solely to the charity's trvstee% as a body, in accordance wth part 4 of the Charitie5 (Accounts
and Reports) Regulations 2(X)8. Our audit work has been undertaken so that we might stète to the thèiity's ttU5tee5
those matters we are required to slate to them in an auditor's report and for no other purpose. To the fullest extent
permitted by law, we do not accept or a55ume responsibility to anyone other than the charity and the charity5
tnjstees as a body, for our audit worl for this reporL or foT the opinions we have fornied.
Myers
lark
31 January 2024
Chartered Accountsnts
Statutory Auditor
Egale I
80 St Albans Road
Warford
Hertfordshire
WD17 IDL
11

READING FC COMMUNrrY TRUST
STATEMENT OF FINANaAL AcrivmES
INCLUDING INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 30JUNE2023
Totsl
2023
Total
2022
funds
4>tes
Donatiors and legacies
Charitable ￿tl￿tIeS
Ot￿r trajing ￿tIvitieS
37,886
L575.231
45.593
37,886
I,q)L518
45.593
44,531
1,456,280
27,076
326,287
Total income
L658,710
326,287
L984,gJ7
L527,887
dltwe or
Raisiry funds
46,413
Charitable activities
L539.581
332,954
1872,535
1,474,426
LE￿.F￿7
332.954
L939,621
L520,839
InC¢x￿{eyPe￿11tUre) for the
52,043
(6,E67)
45,376
7,CK8
Fund balan￿ at l July 2022
f£B.331
19.892
628,223
621,175
Fund balances at 30 June 2023
fA).374
13,225
673,599
628,223
The state￿Ent of financial Ktivities indudes all gairs losses rerogn￿ed in the year.
All income aThJ experKIitU￿ derive from continuiTrJ ￿NitIe&
The ststement of finarKkHI actiwtie5 also corTwlie5 With the requIre￿￿ts for an income a￿1 expenditure account
v￿ler the Companies kt 2(
12-

READING FC COMMUNrrY TRUST
STATEMENT OF FINANaAL AcnvrriES (CONTINUED)
INCLUDING INCOME AND EXPENDifuRE ACCOUNT
FOR THE YEAR ENDED 30JUNE2023
ststement of Fina￿la1 Activitses. Prlor Year Detsll
Totsl
2022
funds
funds
Donations and legacies
Charitable actiwties
Other trading ￿tl￿tIeS
44,531
L120.951
27.076
44,531
L456,280
27,076
335,329
Total Income
L191558
335.329
L527.887
ditswe (￿.
Raiyr4 funds
46.413
4&413
Charitable actimties
L132.727
34L699
1.474.426
Total Tesources ex￿ed
L179.140
341,693
L520,839
Net IncomIng/{￿rt90IlVJ) resowcos before
tran5Fers
13.418
16.3701
7,048
Gross transfers fu￿15
Net In¢ome/(experrflltyrel fty the Net
13,418
{&3701
7,048
Fund balances at l July 2021
594.9L3
2&262
621,175
Fund balances at 30 June 2022
￿￿.331
19.892
628,223
13-

READING FC COMMUNTTY TRusr
BALANCE SHEET
ASA T30JUNE2023
2023
2022
Flxed assets
Tangible assets
13
89,802
45,752
Debtors
Cash at bank in hand
121.447
%3.057
153.329
746,￿2
LCB4.51
899,gJl
Creditor& falllrvJ due wlthln
onè year
15
15(D.7071
1317.520)
Net current assets
583.797
582,471
Total assets less current Ikbllities
$73,599
628,223
Restrirted funds
16
13.225
19,892
Designated fund5
General unrestricted fvjnds
17
32462
627.912
34.802
573,529
Ef£l.374
Eth,331
673.599
628,223
The company is entitled to tFE exemption from the audtt requirernent contai￿j in section 477 of tke Companies
Act 2CNJ& for the year ended 30 ju￿ ￿23, aItI￿gh an aLKlit has been carried out under section 144 of the
Charities Act 2011. No ￿Ember of the company has dep)sited a rK)tice, pursuant to section 476, ￿QuI￿￿ an audit
of these finarKial s￿te￿￿￿tt5 ufKler the require￿￿nts of Companies Act 2￿￿.
The director aCkno￿edge5 his re5pmJ￿ibil[t￿S for compl￿n9 %*ith requireryErts of the Companies Act 2(K6 wth
respect to ￿cOUntIng records ar￿ preparation of financial staten*nts.
These financial statements have teen prepared in aCcOrda￿e ￿￿th pr{￿ls1Or￿ applicable to companies subject
to the small companies regift￿.
The accounts were approved by the Trustees on 4 January 2024
J4
NA Coupe
Trustee
Conyany Reglstrauon Nfy 06333232
14-

READING FC COMMUNrrY TRUST
STATEMENT OF CASH FLOWS
FOR fHE YEAR ENDED 30JUNE2023
2023
2022
Cash generated from operations
22
261785
41,714
Investing artivities
Purchase of tangible fixed assets
(4Q39))
137.43
Net cash used In Investlng actlvftles
14&3901
137,430)
Net cash used in finandrrfj activrtsÈs
Net Increase In cash and cash equivalents
216.395
4,284
Cash and (ash equiwdlents at beginnirg of year
746,£62
742,378
Cash and ￿5h equivalents at end of ￿ar
3.057
746,662
15-

READING FC COMMUNrrY TRusr
STATEMENT OF CASH FLOWS {CON￿NuED)
FOR THE YEAR ENDED 30JUNE2023
Crftical accwrting esiimates and Judgen*ts
In tFE application of the chartils ￿cOU[rtit¥j px)licie4 the trustees are required to make Judge￿￿ntS estimate5
artyj assumptions aLKXrt carrying aft￿nt of assets a￿1 liabilities that are not readily apparent from other
sources. The estirnates and asscoat£<l assumptior6 are based on historical ex[xrie￿e and other factors that
are Cor￿Idered to be relevant. Actual resutts may differ from these estimates.
The estimates Underf￿n9 a￿umptIOrS are revi&%Ed on an orxjoirg bass. Revisions to accounting
estimates are recognised in ￿rIOd in whith the estimate is rewsed where revision affects only that
pericKJ, or in the ￿riod of the re￿510n a￿1 fijtU￿ t*riods wI￿e the rewsion affects both cu￿ent and future
ACCOUn￿n9 pc4ioes
Charity infor1￿ti(
Reading FC Community Trust is a private comparty lirited by 9uar3rrt￿ irKorwrated in Eroland & Wale5.
2.1 Accountlng c(ThÈntsn
The accounts have been prepared in accordarKe with the charitys n*JTwandurTF and articles of association,
the Companies Act 2(￿ aTrJ "AcccKJnting and Reporting by Charities: Ststement of Recommended Practice
applicable to charities prepariry ttr￿1r ￿COUnts in ￿COl[lanCe with the Financial Reportitu Standard
applicable in the UK RepU￿1C of Irdand IFRS IOJ" las an￿r￿jed for accounting pericrfjs commenorKJ
from l January 21161. tharity ￿ a Public Berrfit Entity 35 defined by FPS 102.
The financial staterr*nts a￿ pyepared in sterliry which is the functional currry of the charity. mo￿ary
amwnts in these finarKial State￿nts a￿ r￿J[￿led to the nearest £
The finanoal staternents have been p￿Pared urnler the historical cost Co￿tiOn, [￿KKIl￿ed to IrKI￿le the
revaluation of freehold properties and to include investnEnt properties certain finar(ial instrurnents at
fair wdluel. The principal acc(KJntirKJ px>lioes ￿lOpted are set (xrt bel(yM.
2.2 Going ¢oncem
At time of approving t￿ fin￿￿la1 statements, ￿ trustees have a re￿nable expectstion that the charity
has adequate resources to continue in operational existerKe for foreseeable future. Thus the trustees
contiwe to ￿lOpt gvJir¥J con￿rn b￿Ls ol aCc￿nti￿ in preparirrj the finarrial 5￿ten￿nI
2.3 Charltsble funds
Unrestricted fijnds a￿ available for use at dsuetion of trustees in furtherarKe of their charitable
objecti
Restricted funds are subjert to s￿$fiC corvjitions by dorK>rs as to tFw may l￿ used. TIE purposes arKI
Uses of the restricted fuThls are set (￿rt in rKTrles to finar￿131 statement&
2.4 re50ur
Income is ￿cOgnised ¥vhen the chaiity is kgally entttled to it after ary ￿rforn￿￿e corKlttions have been
met, the amounts can be measured reliably, arKI rt G probable that incorr£ will be received.
Cash donations are recognised on receipt Other donatiors are rec(xJnis&J once the charity has been notified
of the donation, unless performance corKlitiors r4uire deferral of the arnount Income tax recoverable in
relation to donations received uTrJer Gift or deeds of covenant is fecognised at time of the donation.
Legacies are recogni5ed on receipt or otheThMse rf ttrE charity has been rx)tified of an iM￿r￿ling distribution,
the amourrt is knowry and receipt is expected. If the amount is not krKMn, the legacy is treated a5 a
contiThJent as5eL
16-

READING FC COMMUNrrY TRUST
NOTES TO THE FINANaAL STATEMENTS
FOR THE YEAR ENDED 30JUNE2023
Accounting polldes
(Continued)
2.5 Resources expthded
abilities are recognTSed a5 8(peThJiture as S(￿ as there is a legal or cortstrurtive obligation committing the
charity to that eX￿nditure, It is probabie that settlement will be required and the amount of the obligation
can be measured reliably. Al eXpe￿IltU￿ is acc(yJnted for on the accrua15 basis.
2.6 Tangible flxed assets
TarvJible fixed assets a￿ initialty measurexl at cost subsequenty measured at cost or valuatiory net of
dep￿(lation and ary impaiTment losse&
Depreciation is recognised so as to vnite off ci)st or valuation of assets less their residual values over their
useful lives on the following b
Fixtu￿5 aThY fittiws
Motor vehicles
10 year5 Straight lir
4 years straight li
The gain or1055 arisiThJ on the d￿Fx)saI of an asset is detemiir£d as tTr* differen￿ L￿￿en the sale proceeds
and the carrying value of the assrt arKJ is ￿(0)nised in tlE statement of finarKial actMtie&
At each reporting end date, ￿ charity rem￿ the Ca￿Y1r￿j amounts of its tsngible assets to determine
t￿r the￿ is ary irKlication that tknse assets suffered an impairrr*nt los& If any such indication
exists the recoverable amunt of the ￿Set is estimated in order to determirE the extent of the impairment
loss Irf aryl.
2.8 Cash and cash eqU￿alentS
Cash and cash equNalents inCl￿e cash in ha￿￿, det*Jsits held at call wtth banks other short-term IiquKI
investments wth original maturtlies of three n￿th$ or less bank overdrafts. Bank overdraft5 are shown
wtthin ￿[roWi￿JS in current liabilitie
2.9 Flnancial Instr￿nents
The charity has elected to apply the proviyons of SeCt￿n 11 'Basic Firkincial Instruments. Sertion 12
'Other FInar￿la1 Irstruments Issues. of FRS 102 to all of its financial in5trurr￿nts.
Financial inStrU￿Ents are recojnsed in the charitys baa￿￿ sheet ￿en the clkarity becorTES paty to the
contractual provtsTrons of the instrument
Financsal assets and liabilities are oftsel with the net arTKyJnts presented in the finarKial Staterr￿ts, when
the￿ is a legally enforceable right to set off recojnised ar￿unt5 and there is an intention to settle on a
rEt basis or to realise the a55et and settle the1ts3bility ￿MUltaneWS1y.
Basic financlalassets
Basic financial assets, which IrKI￿le debtor5 and cash bank balances are initially rr*asured at tran$￿tIOn
price irKluding trar￿artIOn costs and are subsequently carried at arrK)rtised cost using the effective inlerest
method unless the arrar¥Jement constitutes a finatKirvJ transactior¢ where the transaction is measured at the
present value of the future rereipts discounted at a markel rate of interest Financial assets classified as
receivable wthin one year are rK)t arnOrt￿ed.
17-

READING FC COMMUNrrY TRUST
NOTES TO THE ￿NANaAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30JUNE2023
ounting policies
(Contlnued)
sa￿C finantialliabilities
Basic financial liabiltties includirrfJ creditors and bank loans are inttially recognised at trarts￿tion price unless
the arrangement constitutes a finarKirvJ tranS￿tIO￿ where debt in5tnJmerrt is measured at the present
value of the future payments discounted at a nK4rket rate of interest Finanoal liabilities classrfied a5 payable
thin one year are not amortised.
Trade creditors are obligatior6 to pay for gLK¥Js or servtces that been acquired in the ordinary course of
operatK)n5 from suppliers. AN￿[rtS payable are classified as cUr￿nt liaknlities if payTnent is due ¥Mthin one
year or less. If noL they are presented as mn<urrent liabilities. Trade creditors are recognised initially at
trawrtion price and sub5equentty rr￿aSU￿1 at anK>rtised cost usir4J the effective interest meth(Kl.
Derneognition of fina￿la1/¥abII￿tes
Financial liabilities are derecognised the chart￿5 cOntr￿tUal obligations expire or are discharged or
cancelled.
2.10 Employee benefits
The cost of any unused h)liday entitJen*nt is re(tyn￿ed in the FerM)l in wlNch the emp4oyee's services are
received
Termination benefits are recognised immediatety as an expense when the charity is demonstrabty cornmitted
to terminate the emp10yn￿rrt of an emplcryee or to provide temination ￿nefIt&
2.11 Retirement beneffts
Payments to defiTEd contrityjtion retIreTr￿nt sC￿rIES are ch3rged as an expense as tlw fall due.
Donatlons and legades
2023
2022
Donations and gifts
Grants
fi386
3L5(KI
8,327
36,2(
37,886
44,531
Donations and gifts
Jnations from irtstitutior6
Donations from iThJMduals
934
5,452
7,625
702
6,386
8,327
Grants
English FcM)tball League Trust
HMRC Job Retention Scheme
3LS(K)
35,(XXI
1,204
3L5Q)
36,204
18-

READING FC COMMUNrrY TRUST
NOTES TO THE FINANaAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30JUNE2023
Chafitable actlvlde5
Total
2022
2023
Semces provided uThler contract
Performance related grants
OttEr income
213,116
151,373
4.914
328,394 L025,480 L566,990
3￿)
174,724
326,487
3,127
8,(Al
L120,834
329,768
5,678
369.403
328.784
L203,331
l￿)1,518
1,456,280
Analysis by fund
Unrestricted fur*ls
Restricted funds
218,030
151,373
328,594 L02&fA)7
174,724
L575,231
326,287
369,403 328.784
L203,331
I￿lS18
For the year ended 30 J￿e 2022
Unrestricted furKIs
Restricted furds
164.659
13L231
261,745
694,547
203,898
L120.951
335,329
295.U)
261.945
898,445
1,456,280
Performance related grants
Premier League Charitable FurKJ
English Football League Trust
Other
151.373
19J
174.057
325.6X)
267,(B2
61686
2(K)
151.373
174,724
326,487
329,768
Other trathng activhles
2023
2022
Golden Gamble
Mascots
Birthday parties
Training courses
18,481
14,345
7,754
5,013
23,067
3,824
185
Other trading artivities
45,593
27,076
19-

READING FC COMMUNrrY TRusr
NOTES TO THE FINANaAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE2023
Rai5iry funds
2023
2022
Golden Gamble
Mascots
Birthday parties
Training coutses
sUp￿rt & gOVernar￿ costs
32,215
13,447
8,815
6,458
6,151
2&456
7,420
3,482
7.055
Fundraisir¥J and wblicity
67.086
46,413
67,086
46,413
Charltablè arti¥itie5
Sthook (Xrt of s￿la1
Induslon
Totsl
2023
Total
2022
Staff costs
Depreciation and impaimient
Direct Costs
25&529
146.8
926,Ea) L329,998
976,3E6
5,720
268,217
,271
91.936
2fA,972
350,179
241.745
L133,972
L682,517
L250.303
Share of support & govemarre costs
I￿ note 91
34,641
27,2
8,081
I￿,018
224,123
341,441
269.041
L262053
L87Z535
1,474,426
t movenwnt In fvnds
2023
2022
Net movernent in funds is stated after charg1￿(credIti￿)
Fees payable to the companls aLKlttor for ttE aKlit of the comparty's fina￿la1
statements
Depreciation of owned taryible fixed assets
10,740
10,2
5,720
-20-

READING FC COMMUNrrY TRUST
NOTES TO THE FINANaAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUJVE2023
Support & govenkince costs
2023
2022
SUPPORT COSTS
Salaries
Travel and Subsister￿e
Printing, postage arml statiorery
TelepFKTrne
IT support
Legal & profe￿lOnal
Project sundries
Training, kit and thr staff costs
Ot￿r costs
IY),742
185,040
6,866
762
622
2041
2,334
1,402
8,449
13,462
1,412
695
L125
2,795
L934
19,978
GOVERNANCE C￿s
Audit
IQ740
10,2(Kl
1%,169
231,178
Anatysed tets¥een
Fundraisir¥J
Charitable actimties
&151
I￿,018
7,055
224,123
1%.169
231.178
GovernarKe costs irKludes payyrents to the aLKlitor5 of £10,74012022- £10.2CM)) for audit fees.
10 Trustee5
None of the trustees lor wsons COn￿ted with ttrpm) ary remuneratKJn or be￿r￿ from the
charity during the year.
No travel expenses were paid in ￿5[￿tt of tnlstees13)￿. £nilX
During Jpar w donations %%Ere male to the Tnjst try IJu5tees12022: £nill.
-21-

READING FC COMMUNrrY TRUST
NOTES TO THE FINANaAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30JUNE2023
11 Employees
The average r￿nth￿ numbeT emphwes b&ed on he*ount durirwj theyear was:
2023
Nunthr
2022
Number
Permanent staff
PefTpatetic coaches a￿1 stsff
25
78
71
2023
2022
Charitable actimties..
Wages and salaries
ial vurity costs
Other pensi￿ costs
L205,143
103,5
2L265
896,134
66,755
13,477
L329,998
976,3f
RaisiThJ funds..
Wages arKI salaries
Social securtty costs
Other pension costs
28.207
21,778
1,261
352
429
30,630
23,391
Support & governan￿ cosfs
Wages and salarie5
s￿la1 securty costs
Other pension costs
170,942
10,287
2,391
13,220
2,838
150.742
183,63)
Total employn*nt Costs
L511,370
L183,377
The number of employees whose anrmjal reM￿￿ratiOn i￿UdI￿ LEnefits in
kind was £60,cm or rIK?￿ were:
2023
Number
2022
Numbèr
Within the ran￿ of £60,(KA)- £69,999
Within the range of £70,(KM) - £79,999
12 Taxation
The charity s exempt from tax on irK0￿* arKI gaIr￿ fallirg wtthin sertK)n 505 of Taxes Act 1988 or section
252 of the Taxation of Chargeable GaIr￿ Art 1992 to extent that these are applied to tts charitable objects.

READING FC COMMUNrrY TRUST
NOTES TO THE FINANaAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30JUNE2023
13 Tanglble fixed a55ets
As*ts uNl*r Fixtyres and Motor vehkles
Total
At l July 2022
Additions
37,430
4&3
23,402
13,520
74,352
46,3
At 30 June 2023
83,820
23.402
13,520
120,742
DepTe¢iation and irnpalrn*nt
At l July 2022
Depreciation cF¥Rrged in the year
15.080
2340
13,520
28,fAKI
At 30 June 2023
17.420
13,520
30,940
At 30 June 2023
83,820
5,982
89,802
At 30June 3)22
37.430
&322
45,752
Debtors
2023
2022
Arnourf5 falling due vllthin year.
Trade debtors
Other debtors
Prepayments aThJ accrijed income
105,082
976
15.389
4,309
14,337
121,447
153,329
15 Cre¢knr% fairing due within one )
2023
2022
Trade ¢reditors
Other creditors
cruals and defe￿ed irKome
3&236
35,09J
427,381
48,598
9,913
259,CKB
5CIJ.707
317,520
-23-

READING FC COMMUNrrY TRUST
NOTES TO THE FINANaAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30JUNE2023
16 Restrfcted f￿d$
The income furK15 of the charity ir(l￿e restricted furvts comprisiry the fdk)wng urExpended balances of donations and
grants held on trust for specrfic purrmw:
M0veTh￿t In funds
Balance at I 1￿miln9 Resources
J￿Y 2022 resources ex￿￿ed
Trnnsfers Balance at
30 June 2023
Schools Prcxjramme
Social inclusion
Capacity BuildirrfJ
151,183
175,104
1151,1831
1181,7711
13.271
&621
621
19,892
1332,9541
13,225
Prlor Year Detsil
Moveftwt In funds
Trnnsfers Balance at
30 June 2022
J￿Y 2021 resources e¥pended
Out of Sch(￿ actiwties
Schwls Prryjramme
SLKial inclusion
Capacity 8uildirKJ
{2￿)
1131,2321
1210,268)
131,232
X)3,8
19.641
621
13,271
6,621
2&262
335,330
1341,7fKII
19,892
17 Unrestricted funds
Balance at I Incomlng Resour¢e5
July 2022 resources
Transfers Balance at 30
June 2023
Designated funds
Info Bus
Classroom
211(L)
IL702
23,1
9,362
(2,340}
34.802
(2.340)
32,462
General unrestslcted funds
573,529
L658,710 {1,604,327)
627,912
Totsl unrestrirted funds
L658,710 ILFJA,667)
),374
-24-

READING FC COMMUNrrY TRUST
NOTES TO THE FINANaAL STATEMENTS (CONTINUED)
FOR fHE YEAR ENDED 30 JUNE2023
17 Unrestrlcted funds
(Cortinued)
Prfor y￿r dttall
BalaJKe at i Resour¢es
Trnnsfer5 Balance at 30
June 2022
Info Bus
Classrcx)m
2&480
14.042
I3,3￿)
12,3401
23,100
IL702
40.522
15,7201
34.802
General unrestrkted fund5
554,391
L192,558 11,173,420)
573,529
Total unrestrlcted
419,656
L192.558 11,179,140)
&J8,331
Totsl
Fund balances at 30 Jur£ 2023 a￿ ￿￿￿e$ented ty.
TaTrJible osets
Current assets/lliabiif(iesl
89.802
570,572
89,802
583,797
13,225
6EIJ,374
13,225
673.599
Totsl
Fund balance5 at 30 Jure 3)22 are ￿presented ty.
TanglI￿e assets
Current assets/llialylitie51
45,752
562,579
45,752
582,471
19,892
(Q8.331
19,892
628.223
-25-

READING FC COMMUNtrY TRUST
NOTES TO THE FINANaAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30 JUNE2023
19 OperatiThJ lease comn4tnw
At the reporting end date the charrty h&1 IxJtstandir¥J Commith￿nts for future rnsnirnurn lease payments
under wn-carKellable operating leases which fall due as foll(%vs'.
2023
2022
Within one year
Between two a￿1 five
2L245
16,891
7,089
4&151
23,983
Related party transacllons
The remuneration of ty management ￿rSonnel is as fdlo
2023
2022
Aggregate coMpe￿t￿)n
164,(M)i
I32,(￿7
Transactlons with related parties
The cofflpany has tsken advantJJe of exemption in FRS 102 from ￿ reqUi￿￿nt to disclose transactions
with group companies on the grou￿ that consolidated financial statements are prepared by the ultimate
parent compary.
Ultlmate axrtrnlllng party
The immediate parent compary is The ReadiThJ FcKJtball Club. by virtue of it beirg the sole member ot t
company and hamro sole FKW4er in appointiThJ retiN)ving trustee5 of the compary. ultimate
controllirKJ party is Dai Yongge by of hawThJ control of Great Shine Intemational ￿rnited, the ultimate
controlliThJ parerrt company of The Re￿IlrO FcKJtball aub Limited.
21 Anatysis of thange5 in net l￿d$
The charity no debt durirrfJ the year.

READING FC COMMUNrrY TRUST
NOTES TO THE FINANaAL STATEMENTS (CONTINUED)
FOR THE YEAR ENDED 30JUNE2023
2023
2022
Surplus for the year
45,376
7,048
Adjustments for.
DeP￿CIatIOn and impaim*nt of tsngible fix8J assets
5,720
Movements in workirvj capital:
DeCrease/linc￿aSe} in debtor5
Increase in creditors
31,882
183.187
154,579)
83,525
262,785
41,714
-27-