REGISTERED COMPANY NVMBEIL. 073119965 (Englgttd aDd Wales)
REGISTERED CHARITY NiJMBEIL. 1141324
Report•)f tbt Trwttts a￿d
Ull*udi¢e41 Fi0*o¢1￿ St*t¢nwits
for the Year ETrded 31 Decwbtr 2025
D*nvlD HaUC0￿M￿nity A5wri*tion
Tomktiison Teal ILidtheld) LLP
Hattover Court
5 Queen Street
Licbfield
Sttffordshire
WS13 6QD
A07
Iiiiiilliiiiii
'AEYQ5PXT•
2710312026
COMPANIES NOUSE
'AEX8VP57*
C610312026
C￿pANIEs HOUSE
#247
A17
#118

CoMtsDts of the Fhwelal Ststemtnts
for tbe Yur Ended 31 Dtttmbu ZO25
￿ti￿rt ofthe Thistees
IndepeDdent Report
Ststememt of FI￿￿£￿*1 Actsvilie5
Balaot¢ Sheet
Notes to the Fits*Dtial Statements
7 to 12
13

H*ll Ass•¢l•lh)•
Rcyortof the Trustee5
for the Year EDded 31 December 2025
The m]sie¢s who are a]so directors ¢rfthe Charity for the pur]w of the cO￿￿an1c5 A¢t 2(KJ6. present thEir report with the
financial statements of the chan.ry for the year ended 31 tkcemtr*r 202S. Thc have adopted the provisions of
A¢couoting and Rewting by Cbarities.. Statement of Rec0tnme￿ded Practtce applicable to cl)aTities prepari￿ their accouots
itt accordance with the FillatKial R4￿1￿8 Stsndard appliLxble ID the UK aod Wlic of IrtJaDd (FRS 102) (effective I
JAnu2ry 2019).
OWECTIVES AND ACTIvrriES
ObJ¢¢tlv¢s *nd aims
To p]Dmote for the benefit of the iJ]habiiants of the city of Lichfield atKI the neighknUrhL￿j together deffi￿d by boundaJi¢s
of the civil parish witbout distinction of sex. or p)litiol. teliwous or othrr opitbotss, by associaling togcther with the
said inhabitants and local authorities. voh]ntary aDd other OTgawsatioDS in a effort ￿ thanr¢ educatiou attd to
provide facilities itl tbc iDter¢5ts of s￿1￿1 wejfate for rww¢ation aT¥J kisur¢ bJDe with the obJ￿l of improving cood]"tioos of
life for the said inbabitsllt
To a%t¥bltth or the estsblisbment of a Comm￿lty certh and ts) maintatn the samE (whether alone or in C(￿OperatiOn
with any local authority orother pv5tkn OT kM)dy} in furtherartt of thtse obigx
Covernitig docume4t
The chariry is wntrolled by its governin8 thed of I￿1 ￿n$11b￿￿$ 8 limi¢&J company. limi*d by guaran*e,
as d¢fin¢41 by the Companies Aci 21￿.
REFERENCE AND ADBItNISTRATIVT DETAILS
Registered CoMp￿Y number
07309965 (EA￿and and Waic5)
Registered Chaiity ouJDb¢r
1141324
Regi&Xered the
Hcathcoi Place
Lichfi¢ld
Stsffordthire
WS13 6RQ
Tru$¢e¢s
Mrs J Crnvert {TeS1￿ed 7.7.2025)
S Buil Treasurer (resigned 8.10.2025)
N B(rtdton Chairman
G Robetts
Ms B Doyle (appointed 8.10.2025)
llldependent Examiller
TomkJ"nson Teal (Lichficld) LLP
Hartover Court
S 1)Jeen Strect
Lichfitld
Slaffordshire
WSA3 6QD

D*nvi• H•ll Community Assoei
Report Ofthe1n￿tees
for the YeAr Ended 31 December 21
FIiYAiYCIAL POSITION
The balat￿¢ shttt on Page 5 shows net assets of£48,447, (£44,618- 2023)
Thts rep￿rt b&8 weparEd i(L accord￿ wtth thc sprtial prosisiots of Part 15 of thr A¢t rclating to
Approved by ord¢rof th¢ PA)ard of t1￿81r¢S M 23 Few 2026 aDd sigtted OD its behalf by..
M5B Doyle- Tr
Page 2

l*thpendemt Ex•mlDees Report lo the TThste¢5 of
Indepettdent exatyiu¢r'$ rtport to the tr￿stee9 of Dxn*in Hall Comtywiity Aw¢i*ti0o Cth¢ Cony*lly')
J Wto the charity trwtees on my¢xamin*ion ofthe of the Company forthe yeweThJed 31 Deeember2025.
Rtswjnsibilities *Dd b*5iS Otreport
A5 the charity'5 of the Company (ar#l also its dirtttOf5 for the of compaDy law) you are rewLsible for the
preparation of the accourts in acconlatLCe with the rtquimn￿ts of tht Componkes Acr 2006 Cthc 2(lJ6 A￿).
Having s3tisfitd my5clf that the of the Compw are not requwed to be audited under Part 16 of the 2006 Att aftd
are eligible for independent examinthorL I reixxt in resFttt of my examioaiion of your charity's accounts ￿ carried out
unthr Section 145 of the Charities Act 2011 (th¢ 2011 Acfj. In carryin8 Out rny tX8mination I havt followed the Dirtctiotss
ven by the Charity Commi&%ion under Seth"on 145(5) (bl Df the 2011 Act.
lThdev￿de￿t exxDthier's Statsmemt
I bave ccxnpleled ojy eXaMi￿tio￿ l that matters have conx to my atlention Éo contte￿I0￿ with th¢ eMtJJiuation
giviti8 me ca￿se to ￿lieve..
accouttting ttcords were Dot kept in w of the C(rt￿ as rtquited by Sectthi 386 ofthe 2(11S Act: or
the accounts do not accord with tkne ￿tOr￿s. or
the accounts do not comply with the aecouots"n8 rtquireJ￿ts of sects.on 396 of the 2006 Act other than atty
rquirement that the accounts ￿ve a tsije al￿ fair view whj.ch is fftot a considertd of irtdep•Jd¢nt
examination. or
the accounts have not beco wepared in xcordance wÈth the rnethoth and PriDC2ples of the Statement of
Rtcommended Practiet for accounting rqMwhn8 by chan.tics (applicable to charities preparing their accounts ID
accordanee with the FiDan¢ial ReF￿tio8 SthDdardapplicable in the UK and Ryblic of Itelatsd (FRS 102)).
I have no concerns and have come across no other mattus in coone4tion with the exatnination w W￿"¢b attention Ghould be
drawn ill tbis report in order to enablt a Pmptxunthr￿￿ of the X£OUDts to be reached.
Mrs Su5ann# Ault
TomkitLSOn Teal (Lt.¢hf￿d) LLP
Ha￿Ver Court
5 Quecll Str¢¢t
LichfiEld
Stsfford5hi
WS13 6QD
23 Febnwy 2026

JhrwlD H*ll Community AsyKbtlo•
ststen)ut of Flnancial Acthltles
(Ine•rp•rating *n l•t•me a￿d Expenditure Aftount)
for the Yur Efyded 31 Deeemlxr 2025
2025
Unre5trict&l
2ff24
Total
Donations and legacies
2.142
1.163
Other tradin8 activities
tnvestsnent incorne
35.689
978
38,750
3&81
39,913
RAi5iDg fund5
Raising dO[￿tIO￿ aJ]d legxics
OtbertTading activhties
45.573
34.088
45.573
34.488
2.193
1596
47.766
36,084
(8,957)
3129
REcof4CJLL4TION OF FLJP4DS
48.447
44.618
TOTAL FUNDS CARRIED FORWARD
39.490
48.447

B*l*wt Sh¢¢t
31 December 21)25
2025
2024
Total
FIXED ASSEr
Tanwble assets
22J35
14J52
Debtors
at bank
io
4.140
28.066
3.1(
33.131
32206
36,231
CREDITORS
Arnwjts falling due within ye
(15.051)
(2.136)
NET CURREpfr A&SETS
17,155
34.095
TOTAL ASSETS LESS CURR
LIABILrriES
39.4
48,447
NET ASSETS
39.490
48.447
12
Unre5tsicied fimds
39,49)
48,447
TOTAL FUNDS
39,490
48,447
Thc charitsbl¢ r￿mp￿ is eJMitled to exemption from awlii ￿1¢[ Seaioo 477 of th¢ cov1￿ Acr 20(kn for the year eithl
31 Decemb¢r 2025.
members have not required the company to obtrin ath a￿liE of its fuw*ial sta*TDents for the year eTthd
31 Dec¢mber2025 in ￿e0rd￿r￿* W2th Stttion476 of th¢ A¢t￿6.
The tru#ees acknowledge ihtir r¢sp)rk%ibtlitie5 for
(a)
e￿$Ur1D8 that the ¢haTitsbl¢ company ke¢ps recorth that compfy with Sedion5 386 and of the
Companie5 Art 2(x)6 and
preparing fillanc￿l 4atcll￿ts wbicb give a and fair view of the stste of affair5 of the charitsble compaDy as at
the elld of finaD¢ial yw aTyJ of its wrphLS or defic*t for exh finar￿la1 year ￿ aCCordw￿ with thc reqwremetsts
of SectiODS 394 and 395 aryj w￿.￿h otherwise toEwply with the rt4uiT￿ts of thc CorDpanies Aci 2￿)6 rel81itig to
financid ststemeDt8 $0 far as appI￿le kn the charthltcooyny.
(b)

BIl￿￿e Slheet. towtinued
31 D¢<eml￿r 2025
These financial Statements heve b¢en ry¢pared in x¢0rda￿e with the woTrisions applicabk to charitabk conwanies subject
to the small f0TnP￿ICS regim¢.
Tr rJDanGial statenKnts were approved by the Board of TnL%tees a￿j for OD 23 Fcbnwy 2026 and wel¢
,.￿1 w its beba]f by..
B Doyle- Trusttt
Pa8t 6

D*rnln H*M Conbm￿ll1ty AsMd*tlo
Notts to th¢ FJn•thcid Siatements
for the Yur Eoded 31 December 2025
ACCOUNTll¥G POLICIES
St*ts$ of the Company
The finan¢iJ] $ratemenL8 of th¢ ¢lwitsbl¢ ¢xynpw. pknid) is a public benefit entiry FRS 102, h&ve l*en
FY¢pared in atcordance with the Charitios SORP (FRS 102) 'Accounitng a￿1 Reporting by Ch8ritie5'. Statement of
Re¢ommeoded Prxtice applitabk to charitics prcpann8 their accouots in accordatKe with thc Finaocial Rq>ortin8
Stsndard applicablt in thr UK and RepJbltc of Jrtland (FRS 102) (effeaivc l January 2019),. Financial Rwrtin8
StandaTd 102 The Finar￿la] R¢EK)rtin8 Swtdard applicable in the and Republi¢ of Ireland. and the Componi¢s
A¢t 2006. The f￿anCIal statements have beenprepaTEd the historical CO￿ ￿nvenI￿on.
DarwiD Hail cornm￿ty Asviation is a private ¢otrwiy re￿51¢￿￿ ID Englaod athd Wales limited by gu8rnt¢¢ and
thes tK)t have share c4pitaL The liability of the membe[5 is limited bul sbau excted £1. The ¢ompat)y's
registered nurnbei and ￿gIStered office a￿]￿$$¢au bc fourKlwithill thr Rewt ofrhe TruYW.
Tbe company is aregis*Ytd charity Durnbtt￿ 1141324.
The PTtsethtstion cwyency of the firwicial ststsrn￿ts is thePotsnd SterJiTh8 {£).
ltt¢ome
All In￿Me is r¢co8tiis￿ in the Statenxnt of Financial Activities ODce the charity has entitlement to the fund5. it IS
probable that the income will k received and the arnoutrt can beffjed5ur￿ reliably.
Expendltsre
Liabilities are recognised as ￿pEr¥JIture as sty)n ￿ tt*re i% a legal OT consti7￿Ve obl1￿10ft ¢oD)mitting the charity
to that eXPEndituTr, it is proknbk that a tr8Trsftr of ttonomi¢ benefiL8 will Ix r4uired in settl¢meni and the amount
of the oblig3ti0n ¢an bt m¢awrtyl Teli**ly. EXp￿dI￿jrt is *COllnted for on aft accrllals basis and been cI￿lfied
under hcadings tbat a88rtgate all CO￿ ttlated to the Ca*BOry. Wherc costs cannot be dit￿ty attributed w particular
heath.ngs they have been all0&￿ed th activities on a basis consistrnt with the of r¢souncs.
Tangible fixed ￿Sets
Deprectati¢Jrt i5 provided at the following aulual rths ID (Yderto ￿lt¢Off ¢8¢b asset over its ¢Stir[￿ us¢fid life.
Frttknld property
Hant and tna¢hit
Fixtures attd fittings
Sti¥ight lit)¢ ov¢r25 ye
25Yo on cost
21T/tsOD CO
Txx*th
Thr rhan.ty isexemm from ¢x)rpration its clwitabkxtivittes.
Reskncted can ODly be for tArticular Tfstridd within the obj¢¢ts of the charity. Restsi¢iions
Fwther explaDation of the oature and FRrposc of each fityj t5 I￿1th1 iti thellotes to thefi￿￿￿i￿ swemettts.
Pa8e 7
CoDtiThU￿..

D*rwin Hall AsMtl*tlDn
Note5 to the FiD•nci•l S¢•temthts-e•ntits*¢d
for the Yur Ended 31 December 2025
DONATIONS AND LEGAC]ES
2025
2024
2.142
1.163
2025
2024
Hall hirc
35.689
38.750
IM￿TMENT INCOME
2025
2024
Deposii apxountiti¢ettst
478
5(M)
978
RAISING DONATIONS AND LEGACILS
2025
2024
1.441
334
9250
12.658
20.762
468
660
1,689
330
7286
11594
12.173
371
645
tnsurance
Light and heat
Cleaning
Rq)airs and renewals
Office cos
Support tosts
45,573
34,088
NET INCOMEI(EXPENDrruRE
2025
2024
Depreciation. assets
2,126
1,596
P88e 8

D*nYiD Comm¥AItyAssoti•16ts
Note5 ¢0 the Fin•Dci•I S¢*fements-eolltinued
for the Ye*r Ended 31 December 2025
31 December 2024.
Trllslet8' txptllSe8
ThcTC were no tr￿lee$, openses poKI for the year 31 Decemt*r 2025 nor for the ye4r ended
31 D¢c¢mt*r2024.
U0￿stricted
fimd
Donations and legacies
1.163
Other￿dI1)g 8¢tiviti¢s
38.750
39,913
Raising futtds
34.088
Othertrading acti¥iti&s
34.488
1596
36.084
NET INCOME
3,829
RECONCILIATtON OF FUNDS
ToLqI funds broughi forward
44.618
48.447
¢ontbnue4t..

Notes to the Flnancial Stst¢ments-for¢th1I￿d
for the Yar EDded 31 Drfethber 2025
TANGIBLE FIXEDASSETS
Fixtures
Fffehold
Plattt and
Tota[5
cosr
At l January 2025
AddL'tio￿5
19,0
7,380
.733
9.934
2.729
30.757
10.109
At31 D￿)ber2025
26.470
.733
12,663
40.866
DEPRECiATION
At l January 2025
Charge for year
7.030
1,733
7.642
1.282
16.405
2.126
Ai 31 Decernkn2025
7J74
1.733
18J31
At 31 December2￿25
l8J96
3.739
22,335
At 31 Dre¢mbty 2024
12.0
2,292
14,352
2025
2￿24
Trnde debtors
Pwaymettts
3.143
3.ILY)
4.140
3.100
2024
8.365
6.686
.476
660
15.051
2,136
Pag¢ 10
continued...

D•rwith H*ll conthiw￿ItyA1sod#*lO
Notes to the FtnaThcial Ststtrnents-tontinued
for the Year Ended 31 December 2025
12. MOWTMENT IN FtJNDS
Net
moveDxnt
At
31.12.25
At 1.125
Uorutritted fwmds
Genernl fimd
48,447
(8.957)
39.49)
TOTAL FtJNDS
48,447
(8.957)
39,490
Net th)v¢m•)t included in thE abjvc arc ¥5 follows:
Irthming
Rc50urce5
Movement
bjnds
Uorestrl¢ted
Gell¢r31 fiuxl
38.809
(47.766)
(8.957)
38.809
(47.766)
(8.957)
Compar*tlves n￿eTh￿￿t ID finds
Nd
mov¢m¢ni
At 1.1.24
31.12.24
Generdl fijtwj
44.618
3829
48,447
TOTAL FUNDS
44.618
3,829
48,447
Ir*A)mitig
Resowees
Movement
ex￿thJ in fillJd8
UDrestricted I￿ndS
GeDerdl fund
39913
136.084)
3,829
TOTAL FUNDS
39.913
(36.084)
3.829
Page Trj

Notes to the FiDllntid Ststernents- conthiued
ffjr the Year Ended 31 DttemF*r 2025
12.
MOVEMENf Ji¥ FUNDS. cootfjAued
A ¢wrtni year 12 months •Ld prioryear 12 mO￿lL8 ¢ombir*AI F*)sitiDD is a5 foll
Net
movernent
in fund5
At
31.12.25
Atl_1.24
Unrestri¢ted fiuJds
44.618
(5.128)
39.490
TOTAL FUNDS
44,618
(5.128)
39.490
A cumt year 12 months and wxor year 12 nJ)nths combiml ￿ n￿Wa￿￿t in W included in the above are as
follows..
Mov¢ment
Jn
expended
Unrestrided fuDth
General fijnd
78,722
(83,850)
(5,128)
78.722
{83.850)
15.128)
IJ. RELATED PARTYDISCLOSURLS
TheTe were no Tela*d pw 1rajts￿jQtss forthe ywo*Jed31 Dettmb¢T 2025.
Pa8e 12

Detslled Ststrrnent of FiD*nci*l Adivities
for the Year Ended 31 December 2(125
2025
2￿24
INCOME AND EfiDOWMEF4TS
Donations and legaeies
Solar p)wer itKome
2.142
1,163
Other tr•dlng *ttlvitles
H￿] hwe
35,689
38.750
lttvestmertt imcome
Dwsit a¢¢A)unt interest
Compensatsott rtceivtd
478
978
Totslincomkng resources
38.809
39,913
Raising don•tiOn5 and kg•ties
Rates and water
1.441
334
9.250
12.658
20,762
1.689
330
7.286
11.594
12,173
371
Ligtltaud heat
Cl¢aDiD8
Repairs apd r¢n¢wals
OtRce cos¢$
44913
33.443
Other
Freehold property
Fixfur¢s and fitiiD&8
763
833
1281
2.125
1.596
Supporteosts
Mangg¢ment
AdvertisiryB
A¢countatKy and le8al fees
660
645
Other
Bar￿ ¢h
68
Tothl resources expetrjed
47.766
36,084
Nrt (expenditureyincorne
18.957)
Pa8e 13