CARTERTON COMMUNITY CENTRE Chairperson: Jill Bull
Gill Carver Centre Manager Marigold Square Shilton Park Carterton Oxfordshire OX18 1AX Tel: 01993 842807 Limited Company No. 6687249 Registered Charity No. 1127059
ANNUAL REPORT OF TRUSTEES 2024/2025
The turnover of the Carterton Community Centre was £99,270 plus £3,275 of interest received on investments. Total outgoings amounted to £95,461 resulting in net surplus of £3,866 At the end of the year net total assets amounted to £178,186
The Carterton Community Centre continues to work hard with its finances whilst still providing opportunities to improve wellbeing and inclusivity, for local residents, via our community projects. We now offer a community room for smaller local organisations, such as the allotment group, to hold meetings free of charge. Any excess funds, this time, will be used to modernise and improve facilities within the centre itself.
The centre delivers a service to local individuals, community groups and businesses as well as providing a venue for wedding receptions, training days, conferences, adult and child parties. We opened our café on a regular basis in March 2025 so we could offer a welcome hub to accommodate relocated residents of Carterton, from other countries in order to practice their newly learnt English skills and assist their integration into the wider community. These free coffee mornings are held every Thursday from 10.30am – 12.30pm for our local community to come together in a safe and welcoming environment. This project provides volunteering opportunities for young people with learning disabilities.
The centre has also provided opportunities for the following groups to assemble and thus meet the requirements of the local community:
Community Churches Counselling Services Exercise Classes Christmas Lantern Workshops Baby & Toddler sessions Youth Group (YOCO) Art & Craft workshops Facilities for home workers Music & dance groups Private Tutoring University of the Third Age Drama workshops & rehearsals Housing Association workshops Various Martial Art Groups Carterton Celebrates Health & wellbeing courses Mental Health Awareness Courses ESOL classes GARAS Careers advice & recruitment days
This year we also held our first Free Family Fun Day during the summer holidays. This was a huge success with 500+ families attending the event. So we will definitely look to build on this for next year.
Jill Bull Chair of the Trustees August 2026
Registered number.. 06687249 CARTERTON COMMUNITY CENTRE DIRECTORS. REPORT AND UNAUOITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 OCTOBER 2025 Shilton Accounng ServKes Certsfied Practyslng Accountsnt l The aock House Brize Norton Road Carterton Oxfor<Jshi OX18 3HN
Carterton Community Centre Contents Page Company Infom)ation Dlreetors, Report Accountants, Report Income and Expenditure Account Balance Sheet Notes to the Flnantial Ststements Tht following pages do not form part of the statLrtory accounts.. D¢tJlled Jncome and Expenditure Account 9-10
Carterton Communfty Centre Company Information For The Year Ended 31 October 2025 Mr David Melvin Miss Wendy Atkn"nson Mr john Harrington Mr Nathan Holcombe Mr Graham Cherry Mr Martin Monk Ms Greville Trevelyan C•mp•ny Mumb•r 06687249 Regl•tered Offic• Madgold Square Shilton Park Carterton Oxfordshire OXIB IAX Accountants Shllton Accounting SeThlces Certlfied Prart15ing Accountant l The C1(k House Brlze Norton Road Carterton Oxfordshlre OX18 3HN Page I
Carterton Communlty Centre Company No. 06687249 Directors. Report For The Year Ended 31 October 2025 The director5 present their report and the financial ststements for the year ended 31 October 2025. Olre¢tor* The dlrectors who held office OuTrg the year were as follows.. Mr Davlé Melvin Miss Werndy Atkinson Mr John Harrington Mr Nathan Holcombe Mr Grdham Cherry Mr Mortin Monk Ms Grevllle TreVeln ststem¢nt ol Dlr•dors' R•sponslblllll•% The dirertors are responslble for preparing the Director5. Rep)rt and flnond)I statements In accordonth wlth appllcable law and regulatlons. Company law requires the directors to prepare finanoal statements for each financiol year. Under that law the dlrertors have elected to prepare the finènoal statements In accordance with Un¢ted Kingdorn Generally A¢pted Accountlng Prnctlce Iunlted Kingdom Accountirsg Standards and applicable low}. Under company law the direttors must not approve the finjnclal staternents Ltnless they are sa(Isfied fhat they give JJ true ond fair view of the state of affai¥s ol the company ané of the surplus or deflcit of the eompèny for that penod. In prepanng the finanoal st0Ments the directors are reoulred to.. select sultable ateounting pollcle5 and then apply them conslstentlyi make ludgrnents and accounting estSmates that are reasonable and prudent,. prepare the fInanCal 5taiements on the golng COnM bags unless r( is Inapproprlote to presurne that the company wlll contlnue buslness. The dirertors are regponslble for keeplng odequate accountlng records rhat a suffident to Show and explaln the company's transactions and disclose wlth reasonable accurocy at any t6me the financlal poslt5on of the company and enable them tg ensure that the flnandal statements comply wlth the Companles Art 2006. They are also responslble for safeguardlng the assets of the company and hence for tang reasonab steps for the preVentn ènd detectlon of fraud and other irregularftles. The dlrectors are responslble for the malntenèno and Integrtty of the corpornte and flnanclal Inlomiatlon Included on the company's webslte. Legislation in the Unitell Kin9dom govemlng the preparntion and dl$semlnatio# of flnantlal statements may differ from le9islation in other jurisdlctson5. Sm•ll Cofflpony Rule Thls report has been prepared In accordance wh the spethl mlsions reloting to companies subleet to the small companl•s reglme wlthln Part 15 of the Companies Act 2006. On behalf of the board Ms Dlrector 0210212026 Pa9e 2
C•rterton Community C•ntr• For T1 Yr Ended 310(ob•r 2025 In accordan Ihe ell94e Jetter. •ThJ In ordErto •Mlst wxi to I1 v(w uTr1w the cP)n5 2006. have compiled tl fi01 stat•ments rf the ¢()wy the aci¥wntlr¥J Infom)atbJn and explan•iiMs you have gen to us. Th15 repJrt Ls made to the dlredty5 In wlth ol work has bwi uTrJertsk•n to Prepare for •pprDval by the dlrettor5 the flr•n¢w Statets thèt ha¥e be•th efvzaged io ¢tynpUe, tD report to th¢ dSrectors tt we ve so, and to siaie mattU5 ttykrt * hove agrttd to 5taiE to In thk rewt ar&L for n other pJrw. To the fvllest extert pumllied by ljw. w2 do not arpt w a5surr re4j¢xtyly to alrne thèn the Cornpany •nd the Comparyb dlrtttors for or fDr tra5 rem oeknowledged the b#lonc• shtet u at yetr ended 31 CKtLthr 2025 yrtr duty to wre that the compjny has k•pt propqr accounting Y•corth afid ¢ wepar• th•t ght • tnje ond tslr undor tr• Compans Art 2(IX. You ¢OnSlderth•t the Clxnpry Is e¥•no froffl the SWLtory rereThI ftr an aLK11t for the y•ar. We ha rtsx been Irffllntcted to carry out an audlt rftr Trn $[•tW. ths rnason, w• r vertfled thtt curxy L complthess of the or knfornMbDn and exnItIOns rn bwe 9lVen io us •nd w• dr> r 02102n026 Sh11 ActrntIl¥4 Servt•s Cefled Pra¢usfjry A¢c4untant l The Ck Hou brlze Norton PDad Carterton Oxtordshlre OX18 3H14
Carterton Community Centre Income and Expenditure Account For The Year Ended 31 October 2025 2025 2024 TURNOVÉR 97,070 13.218) 89,118 1.985 Cost of sales GROSS SURPLUS 93,852 91.103 Admlnistrative exgènses orher operatin9 income 195,4611 2,200 193,0201 300 OPERATJNG SURPLUSI(DencTh) other Inte5¢ CeiVable and sirnilar income 591 3,275 11,6171 3,299 SURPLUS FOR THE FINANCIAL YEAR 3,866 1,682 The notes on pages 6 to 8 lom part of these finandal ststemeTrts. Page 4
Carterton Communlty Centre Balance Sheet As At 31 October 2025 2025 2024 FIXED ASSETS Tangible Assets 24,527 27,Lll 24,527 27,111 CURRENT ASSETS Debtors ash at bank and In hantl 9,875 150,479 7,061 144.664 160,354 151,745 Cr•dllor•: Amounts F•lllng Due Wlthln On• Y•ar (6,6951 14,536) NET CURRENT ASSETS (LXABILMES) 153,659 147,209 TOTAL ASSETS LESS CURREiir LIABILITIES 178,186 174,320 NET Assrrs 178.186 174,320 RESERVES Falr value resetve Income and Expendlture Attount 5.500 172.686 s,soo 168,820 MEMBERS. PU140S 178,186 174,320 For the year endlng 31 ¢)ctober 202S the company was entbtled to exemption from audlt under sètdon 477 of the Companl Act 2006 relatlng to small comganles. The member5 have not requlred the company to obtaln an In aCCOfOance wlth section 476 of the Companies Aet 2006. The dlrectors acknowledge thelr reSpOnbIlItI& for complylng vlth the requlrements of the Act wlth respect to accountlno records and the preparntion ol attounts. These accounts hèv• been prepared In aCcOrthn the Fwvlslons appllcable to companles subject to the small companle5 reglme. On behalf of the board Director 0210212026 The notes on pages 6 to 8 fomi part of these ftnanoal statements. Page 5
Carterton Community Centre Notes to the Financial Statements For The Year Ended 31 October 2025 l. General Informatlon Carterton Communlty Centre is a private companyj Ilmlted by guarantee, inrIx)rated in England & Wale5, reglstered nurnber 06687249. The reglstered office Is Marigold Square. Shilton Park. Carterton. Oxfordshire, OX18 IAX. 2. Accountln9 Poli¢les 2.1. Bèsls of Prep•r•tlon of FIMn¢l#l Ststements The financial statements have been prepared under the hIsts¢al cost convenbon and in accordance with Flnancial Reportlng Standard 102 sectlon IA Small Entltyes The Financiol Reporting Stsndard appllr3tAe In the UK and Republl of Tland. and the Cornpan5es Art 2006. 2.2. Turnover Ibrnover Is measured at the fair value of the considerntion received or recwvable, net of di%ourts and value aéded taxes. Tumover Includes revenue earned from the sale of goods and ftvm the rendering of service5. Turnover is reduced for estimated customer returns, rebates and other mllar allowances. Sal• ol goods Turnover frorn the sale OF goods is recognlsed when the slgnlficant risks and WardS of ownership of the goods has transferred to the buyer. Thls is usually at the poinr that the customer has slgned for the dellvery of the goods. Renderlng of •¢r¥k rnover from the nden9 of servlces 09[sed by reference to the stage of completion ol the tontract. The stage of ctsmpletion of a contrart Is Measured by companng the costs Incurretl for work performed to date to the totol estlmated contract costs. Turnover Is only recognlsed to the extenr of recovernble expenses when the outcome of a contract cannot be estlmated rellawv. 2.3. Tanglbl• Flx•d A•••ts and D•pr•d•tlon Thnglble flxed assets are meagJred at O)Si less accumulated dtwedatlon and any accumulated Impalrment lo55es. DepclatIon Is provlded at rates cJlculated to Vlrtte off the cost of the flxed jssets, less thelr estlmate# residual value, over their expeeted useful lives on the followln9 bases.. Leaseold Plant & Machlnery Art Works Flxtures & Flttlngs Compvter Equipment 10% Straight line 25% Straight Ilr Revaluatlon 25% Stralght Ilne 25% Strnight li 2.4. Governm•nt Grnnt Government grnnts are recogTrlsed ln the In¢ome and expendlbjre account In an appropdate manner that matches them wllh the expendStk*re towards whlch they a Intended to contrtbute. Grants for immediate nnanoal support or to cover costs already InLwrred are recognlsed Immedlètely In the Sncome ènd expenditure account. Grants towards general )rtivities of the entity over a specific period are recogniseé in the Income and expendlture account over that period. Grants towards fixeij assets a recognlsed over the experted useful Ilves of the lated amets and ore treated 05 deferred Income and released to the income and expenditure account over the usefvl life of the asset concerned. All grants In the Income and expendlttj account are retognlsed when all COndOn$ for rKeipt have been complle wlth. 3. Aver•ge Number Of Employees Average number of employees, Ivduding direLtor5. during ihe year was: 2025 2024 Office and adrn1nistraon Page 6
Carterton Community Centre Notes to the Financial Statements (continued) For The Year Ended 31 October 2025 4. Tanglble Assets Leasehold Plant & M•¢hlnery Art Work• Flxtures & Flttlngs Cost As at l November 2024 Addltlons 16.194 4,874 393 12,000 18,271 As at 31 October 2025 16,194 5,267 12,000 18,271 Depr•¢l•tlon As at l November 2024 Provlded durlng the pedod 4.858 1,620 4,874 98 14,774 1,166 As at 31 ortober 2025 6,478 4,972 IS,940 N•t Book Valu• As at 31 ott0ber 2025 9,716 295 12,000 2,331 As at l November 2024 11,336 12.000 3,497 Computar Eqwlpm•nt Totsl As at l November 2024 Addltlon5 903 52,242 393 As at 31 October 2025 903 52,635 Depre¢l)tlon As at l November 2024 Provlded rtUn9 the period 625 93 25,131 2.977 s at 31 October 2025 718 28,108 Net BoolK V•lu• As at 31 October 2025 185 24.527 As at l November 2024 278 27,111 5. Debtor• 2025 2014 Due wllhin on• Yr Trade t1ebtors Prepayrnents and accrued Iorne 7.447 2,42B 4.230 2,831 9,875 7,061 Page 7
Carterton Communlty Centre Notes to the Financial Statements (continued) For The Year Ended 31 October 2025 6. Cr¢dltors: Amounts Falllny Due Wlthln One Yr 2025 2024 1Trade credttots other tsxes social sewrity Pensicn Control Accruals and deferred Ineome 2,227 629 222 3.617 2,305 574 1,657 6,695 4,536 7. ReMrv Falr valu• Inconw •nd Expendlture Account As at l November 2024 Proflt for the year and total comprehenslve Incorne 5,500 168,820 3,866 As at 31 ortober 2025 5.500 172.686 8. Comp•ny Ilmlt•d by gr•t•• The Company Is Ilmlted by 9uarantee and has no share capltal. Every member of the company undertake5 w conthbute to the assets of the company, In the event of ¥ wlndlng Upi $uch an amount as may be qUIred not exceedln9 £1. Page 8
Carterton Community Centre Detailed Income and Expenditure Account For The Year Ended 31 October 2025 . 2025 2024 TURMoveR Cafe and Plall hlre Graftts and donavons 1Ved 94,940 2,130 89,118 97.070 89,118 osr OF SALES Purchases for restrlcted fvnd5 Purchases type A {2,0001 15 3.218 {3,2181 1,985 GROSS SURPLUS 93,852 91,103 Admlnl•tratlv• Exp•nM• Wa9es and salarles Employers penslons- defined contrlbutbons sd)eme Staff welfare Health and $8tety ¢0gts Staff entertalnlng Rent and rates Llght ond heat Water I)$ Repalrs and malntenanco Oeanlng Hlre and leaslng of comwt¢r and other equlpment Computer software, consumables and m)Intn Repalts, r•new81s and malntenan Insuran Pnting, postsge and #atlonery Advert151ng oné marketlng Costs Telecomrnunlcatyons and data costs Webslte costs Accountancy fees Professlonal fees Subscdpllons eank charges Charftable donatlons Depreclatlon of plant and machlnery [)epclat19n of fixtures and flttings Depreoation of computer equipment Depreclaifjon of leasehold land and property Entertalning Business promoilons 48.IJ07 1,322 764 470 44,551 1,207 35 230 525 22,429 1,251 5,264 2.384 357 69 528 1.573 156 1,074 15,369 1,47S 9.635 1,602 124 87 1.090 1,561 sio 423 3,850 106 3,974 155 3,454 59 3,758 930 580 74 723 50 98 1,165 92 1,619 53 1,165 226 1.619 376 (95,461) (93,020) Oth•r 0ratIng Income Government grant receipt$ - net 2,200 300 2,200 300 QPERAT114G SURPLUSI(DEFICTT) S91 11,6171 ..conNUEo Page 9
Carterton Communlty Centre Detailed Income and Expenditure Account (continued) For The Year Ended 31 October 2025 . Other Intsv•5t r•c•lvalA• and dmllar Bank Inte$t y1vable 3.275 3,299 3,275 3,299 SURPLUS FOR THE FINANCIAL YEAR 3.866 1,682 jelo
Inde endent Examinels re rt to the trustees of Carterton Commun Centre No. 1127059 I report on the accounts of company for the year ended 31 Odober 2025. which are set out on pages 1 10 10. Respective responsibilit of trusle8s and examiner The Iruslees (who are also the directors of the Company for the purposes of company lawl are responsib for the PParatiOn of the accounts. The trustses consider that an audit 1$ not required for this year under sectkon 144121 of the Charities A¢t 2011 (the 2011 Act) and that an independent exaMinatft is needed. Having satisfied myself that the harity is not subject lo under company law and is eligib for independent examination, rt is my responsibilityto.. examine the accounts under section 145 of the 2011 ACL. lo follow the procedures laid down in the general Direct$ grven by the Charity CoMmi10n urbJ•r section 14515llbl of the 2011 Act, and lo stale whether particular matters have o)me to my attentn. Basis of independent examinerfs reFQrt My examination was carried out In accordance with the general Dlr8clions gNen by Ihe Charity Commission. An examination includes a wiew of the accounb.ng records kept by the charty and a comparison of the accounts presented wrth those record$. It also includes consideratjm of any unusual items or disclosures in the a¢¢ounts, and seeking explanations from you as trusteos conceming any Such m8ttaTr. The Pr&u$ undertaken do not provide all the eviden¢• that would rUlTed in an audit and consequentty no opinion is glven as to whether tho arAounl8 present a 'lrue and fair vie¥V and the report 1$ limrted to those matters Sat out in the statemontb•l¢)w. Independent examinerf8 8tsterMnt In conneclion with my examinadon, matter has com to myattentK)n'. 111 whlch gfv88 mè reasonable cau88 trj bele that In any malerial respoct th8rwuirèments'. to keep a¢¢ounling records in accordance with sectn 386 of the Companies Act 2006", and lo prepare accounts which a¢cord wrth the accounting records, mplY the accounbng requirements of section 396 01 the Companles Act 20CN8 and wth the methods and principl88 ol the Stsl8menl ol Recommended Prath'¢e.' Ac¢ourrting and Reporting bychartties have not beèn met,. or {21 lo whlch, in my opinion. attention should be dTavm in order to onabba a proper understanding of the 8¢counts to be rea¢h•d. Name.. ViktOri8 Hayden MA4T 53 Frethem Close, Burford. OX18 4NS Signature.. Dale loGknIQ
Inde ndent Examine¢s re rt to the trustees of Carterton Communi Centre No. 1127059 I report on the a¢counts of the company for the year ended 31 October 2025. which a $el out on pages 1 to 10. Respeolivo resFK)nsibilrties of trustees and examiner The trustees (who affj aE50 the directors of the Company for the purposes of company lawl are responsibk for the preparation of the accounts. The trustees ¢onsider that an audll is not requir&J for this year under section 144PI of the Charrties Act 2011 Ithe 2011 Act) and that an independent exominab'on is needed. Having satisfied myself that the ¢harity Is not subject lo audit under Company law and is eligible for independent examinatson. rt is my responsibilityto.. examine the a¢Unts under tion 145 of the 2011 k( lo foll¢)w the proceduTes18id down in the goneral Directions given ty the Charity ComMissn under sedon 1451Sllb) of the 2011 A¢1, and to slate whether pa'Cular matters have come lo my attention. Basis of Independent examinerfs report My examinallon wa5 carried out In a¢¢ordarKe with the general Directions gNen by the Charity Commission. An examination includes a review of the accounbng records kept by the chanty and a MpariSOn of the accounts presented wtth those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from you as trustees con¢eming any such mattern. The prttedures undertaken do not provide 811 the evidence that would be required in an audrt and Cnsequentty no OnIOn is given as to whether the ac¢ounls present a 'lrue and fsir VW 8fKI the report 1$ limited to those matters sat out in the slatementbelow. Independent examinels Statement In connection with my oxamination, M matter ha5 com8 to MYattenn.. 111 whlch gtves mè r8a50nabl8 causè to bele Ihal In any material r8specl therequiremènts". to keep accounting record8 in a¢¢ord8nce with seclh)n 386 of the Companies Ad 20l,. and lo prepare a¢counts which accord wrth the accounting r8cor(18, compty the a¢countsng requlrements of section 396 of the Companies A¢1 20C6 and wrth the method* and prinCI@S of the Statement of Recommanded Prackn'ce". Accounting and Repong bycharilies have not been mel: or {21 lo which, in my opinion, attention shoukl be drawn In ordw to enable a proper understanding of the accounts to be reached. Name. Viktoria Hayden MAAT 53 Frelhem Cbse, Burford. OX18 4NS Signature.. Date l OG Inio