
Reg Charity No: 1142996 Company No: 7623864 

## **Sugden Road Sports Trust Summary Report for 2023/24** 

The Sugden Road Sports Trust provides professional hockey coaching / umpiring services to local schools in the Borough of Elmbridge and the London Borough of Kingston upon Thames. 

Term time hockey coaching is provided either as curricular coaching (during PE sessions) or extra-curricular coaching during before/after-school or lunchtime clubs. Most regular school sessions are delivered at the school site however, SRST also provides extra-curricular weekly sessions for Hinchley Wood Senior School at Surbiton Hockey Club. Coaches may also provide umpiring services to schools that take part in inter-school tournaments. 

A weekly free after school club is held on a drop in basis at Surbiton Hockey Club and parents are also able to book a space online via the Surbiton Hockey Club website. Additionally, SRST runs a variety of termly tournaments and festivals at Surbiton Hockey Club which are free of charge to schools. These are staffed by professional coaches and children are able to take part in masterclasses and demonstrations with National Representative and GB hockey players. 

## **1. Summary of types of activity and fees/coach payments** 

|**Type of activity**|**Fees**|**Fees**|**Fees**|
|---|---|---|---|
|Curricular school coaching (PE lessons)|See below|||
|Extra-curricular coaching (before /after school / lunchtime clubs|See below|||
|Festivals|Free to school|||
|Tournaments|Free to school|||
|Umpiring|See below|||
|Free weekly term time after school club hosted at SHC|Free to individual|||
|||||
|**Fees to schools (all except Hinchley Wood Senior School)**|**Fee per**<br>**hour**|**1st coach**<br>**per hour**|**2nd coach**<br>**per hour**|
|Extra-curricular (Coach:Player ratio 1:15)||£45|<br>£20|
|Curricular sessions (up to 30 children per session carried out<br>by 1 coach and 1 school staff member||£45|n/a|
|Pitch hire fees for activity at SHC|£0|||
|||||
|||||



|**Type of activity**|**Fees**|**Fees**|**Fees**|
|---|---|---|---|
|Curricular school coaching (PE lessons)|See below|||
|Extra-curricular coaching (before /after school / lunchtime clubs|See below|||
|Festivals|Free to school|||
|Tournaments|Free to school|||
|Umpiring|See below|||
|Free weekly term time after school club hosted at SHC|Free to individual|||
|||||
|**Fees to schools (all except Hinchley Wood Senior School)**|**Fee per**<br>**hour**|**1st coach**<br>**per hour**|**2nd coach**<br>**per hour**|
|Extra-curricular (Coach:Player ratio 1:15)||£45|<br>£20|
|Curricular sessions (up to 30 children per session carried out<br>by 1 coach and 1 school staff member||£45|n/a|
|Pitch hire fees for activity at SHC|£0|||
|||||
|||||





|**Fees to Hinchley Wood Senior School**|**Fees to Hinchley Wood Senior School**|**Fees to Hinchley Wood Senior School**|**Fees to Hinchley Wood Senior School**|
|---|---|---|---|
|Curricular Sessions||£30|<br>£15|
|Extra-curricular sessions||£30|<br>£15|
|Pitch hire fees for activity at SHC|Free to schools|||
|Pitch hire fees payable to SHC by SRST|£120 per hr|||
|**Fees for Tournaments & Festivals**||||
|Umpiring fees for official school tournaments not held at SHC ><br>3 hrs (per umpire)|£150|||
|Umpire fee per match is charged at the agreed coach rate as<br>detailed above||||
|Festivals/Tournaments  hosted at SHC|£0|||
|||||
|**Coach Payment fees per hour**||||
|HWSS|£13|||
|other schools|£20|||
|Festivals and tournaments|£20|||



**2. List of Schools by Activity Type / Coaching hours delivered / no. of children engaged for 2023/24** 

|**School / Activity**<br>**TOTALS**<br>Christ Church CofE<br>Primary School<br>Cranmere Primary<br>School<br>Esher Church CofE<br>Primary School<br>Hinchley Wood<br>Primary School<br>Hinchley Wood Senior<br>School<br>Malden Manor<br>Primary School<br>St Andrew’s & St<br>Mark’s CofE Primary<br>School<br>St Alban’s Catholic<br>Primary School<br>St Charles’ Borromeo<br>Primary School|**Session Type**|**Age Range**|**Coaching hours**|**Approx. No. of**<br>**children engaged**|
|---|---|---|---|---|
||||**697.5**|**1907**|
||Curricular &<br>extra-curricular|Yr 3-6|100|200|
||Extra-curricular|Yr 3-6|11|15|
||Extra-curricular|Yr 3-6|69|90|
||Extra-curricular|Yr 3-6|33|90|
||Curricular &<br>extra-curricular|Yr 7-11|135|400|
||Curricular &<br>Extra-curricular|Yr 3-6|48|105|
||Extra-curricular|Yr 3-6|55|90|
||Extra-curricular|Yr 3-6|64|90|
||Curricular|Yr 3-6|26|60|



July 2024 



|St Matthews’ CofE<br>Primary School|Curricular|Yr 3-6|26|60|
|---|---|---|---|---|
|Tiffin Girls School<br>(coaching)|Extra-curricular|Yr 7-10|65|45|
|**School / Activity**|**Session Type**|**Age Range**|**Coaching hours**|**No. children**<br>**engaged**|
|Tiffin Girls School<br>(umpiring)|Extra-curricular|Yr 7-10|17||
|Free afterschool<br>hockey club @ SHC|Extra-curricular|Yr 3-6|25|30|
|Festivals @ SHC|Curricular|Yr 3-6|17.5|512|
|Free holiday hockey<br>camps|Holiday camp|Yr 1-6|6|120|



## **3. Revenue based on income from schools vs coach pay / pitch hire for 2023/24** 

|**Term**|**Source**|**Income from**<br>**schools**|**Coach pay**|**Pitch hire**<br>**fees (pd to**<br>**SHC) £120**<br>**per hr**|**Total Revenue**|
|---|---|---|---|---|---|
|Term 1|all schools except<br>HWSS|£15,880.00|£5,717.00|||
||HWSS (curricular)|£2,550.00|£1,105.00|||
||HWSS (extra-curr)|£630.00|£299.00|||
|**Total**<br>**Term 1**||**£19,060.00**|**-£7,121.00**|**-£2,280.00**|**£9,659.00**|
|Term 2|all schools except<br>HWSS|£7,605.00|£3,763.00|||
||HWSS (extra-curr)|£375.00|£403.00|||
|**Total**<br>**term 2**||**£7,980.00**|**-£4,166.00**|**-£2,520.00**|**£1,294.00**|
|Term 3|all schools except<br>HWSS|£5,090.00|£2,430.00|||
||HWSS (extra-curr)|£300.00|£130.00|||
|**Total**<br>**Term 3**||**£5,390.00**|**-£2,560.00**|**-£1,200.00**|**£1,630.00**|
|||||**Grand Total**|***£12,583.00**|



## ***for actual revenue reflecting other expenditure please refer to Xero** 

July 2024 



REGisfERED COMPANY NUMBER.. 07623864 (Engl•nd and Wala)
REGIsfERED CHARrrY NUMBER: 1142996
FUP LLP
Ground Floor
Egetton House
66 Baker Street
WeybTrJge
Sur
13 8AL
é)rJp

SUGD
ND
24
Page
I to 2
Indep•ndert Examrnér's R•pwt
statsm¢nt of FIMncial Activit1•8
Slrtement of FIMnclal 1>0sition
N•)tss to the Flnanclal Statsments
6 tv 9
Det)Iled Statement of financlal A¢Uvltles
io

GDEM
Tru
R ENDED 31 A
The In￿ee5 who are al￿ dlrectors of the charlty for the p￿r￿SeS of the Companies P£t 2006, present thelr report wlth
the financkil statements of the charity for the year ended 31 August 2024. The tNStees have a(k)Oed the pYwsi¢)ns of
Ac¢ounVng and Reporting by Charfues: Siatement of Recommended PTrCti￿ applicat￿e to charttles preparing t￿rr
accounts In accordan￿ wrth the Financk4 Re￿￿ng Stsndard appllcabk In the UK and Repu￿￿ of Ireland (FRS 102}
{effe¢ti* l January 2019).
Obiertive5 and alm8
The charfty wès treated to ralse fvnds, to advance the physlcal education of ChI￿￿Tr ajed 18 and undtt by p￿dIng
opportunities for leamlng F4awrvJ hockey.
ACHIEVEMENT AND PERFORMAIICE
Ch•rltable actrrfities
In the year ended 31 August 2024 the totsl income was £26,551 (2023 - £21,163). Thls was rnade up of donath)ns
t<tslllng £226 (2023 - £1,015) and coaching servKes ￿ É26.32512023- É20,148}.
Totsl ewdtture for the year was £30,324 {2023- É12,722), thing to ) net deficlt for the year of £3,7n12023 - net
surF4us cl £8,441).
5ugden Road Sports Trust continue5 to be a charity whlch p￿Marity athles its funds to the advancement of physlcal
educats.on of thild￿n aged 18 and under by provldng oppJrtunrtres for leaming and playirrfJ hotkey.
FINANCIAL REVIEW
Reserves polky
The charitys resetves have decreased this raiod by £3,773 to £15,894 at 31 August 2024. These reserve5 are hekl for
the a<fvance of physKal educatyon of chlldren ageil 18 aThJ under.
SrRUcniR￿ GOVERNANCE AND MANAGEMEiir
Governing document
The tharty 15 ¢orth)Iled by its govemiTr9 dothrnenL a deed of tru& and consllbJte5 a limtsj cornprtnyi Ilm1￿ by
arnntee, &$ defined by the Companles 2006.
R•cnthent and appoirrtment of new tru*ees
The trustees may at any ljrne apkK¥nt any kndfvk1ual 05 a trustee to fill a v￿ancI or as an add￿TraI iNstee.
Every trustee I￿￿re appKJlntment nw* ￿gn a dedaration of wlllngne55 to as a tiusiee.
organs￿nal rtructuye
The trustees must be at ￿ast three Indmduals and aged 16 or oNtr at the date of apwntmenL
Llselle Carey is knnorary admin15trator. The charfty has no connethl tharibes.
Risk managemént
The trustees have a duty to Identify and revkw the risks to whlch the chartty is expos￿1 and to ensu￿ appYowL
conlroLs are in to ffide rtasonatle assurantt a9alnst fraud and error,
REFEREIICE AND ADMINisfRAThE DETAILS
Revist•￿d Q>mpany nwnber
07623864 (England and Wales)
Registeved Charlty number
1142996
Reglstered oflk¢
rtrAtoTh Hothry aub
Sugden Ro)J
LoThJ Dthin
rrey
r7 OAE
(.:)rJp

TR
DED
Tn￿$
A M Haycwoft
K S W)Ih'5
L Carey
Ifftdep￿dent Examln•r
RJP LLP
Ground Floor
Egerton Hcojse
68 Baker Street
Weyixidge
gjrrev
m3 8AL
repjrt has bew prepared In accordan￿ wlth the speoal sxovisions of Part E5 of the Cfjnynles kt 2006 relatlng to
small comFenles.
14 May 2025
order of the L*)ard of tsu5tees on .......................
, and slgned on ts ￿haIr by:
LCarey- Tru#ee
Page 2

EPENDENT
DENR
ER,
Independent examine￿$ report to the tfustaes of Sugden Ro•d SportsTrust (*h• Companv)
I retKrt to the charty trustees on my exarnlnatKJn of the accounts of the coM￿nY for the y end&1 31 August 2024.
Responsibilities and lJMls of report
As the charttys trusiee5 of the Con4)any {and als) ts dlrectors for tl* p￿r￿)SeS of cornpany law) you are re$Fo￿l￿e for
the prepatBtion of the accounts in attOrdan￿ wlth the requlrements ￿ the Companles Act 2006 {'the 20(6 Arf).
Hawny 54ti5fied mysdf that the accounts of the Company are not re(ptlr8J to ￿ audlted uThJer Part 16 of the 2006 Art
nd a￿ elSgiNe for indeFtn¢Jent examlnatlon. I rep)rt In of my examination of your tharitys accounts as carrled
out under Sthn 145 of the Chandes kt 2011 {*he 2011 l£t'). In Ca￿n9 out my examknatk)n I have folh)wed the
DlrKOons gNen ty the Charity Commlssion under Secdon 14515) Ibl of the 2011 Act.
Independert ex￿In•￿• si•tement
I have completed my examlnation. I conflmi that m6tters have to my atterttK￿ kn conrtctkn wlth the
examIn*￿n glvlng me Cause to telieve:
JuntlrKJ records were not kept in of the COM￿￿nY as r4ured iw Section 386 of the 2CIJ6 kt,. or
the a(counts do not wlth those records. or
thè accounts do not compty wlth the accountlng requirements of Sectlon 396 of the 2006 other than any
y1￿meTht that the accounts gfve a true and fair wlÈw whKh is not a matter consIde￿d as part ¢* an
Independent examlThation,' or
the aco)unts have not ￿en wepar8J in a¢cordarKe 4•ith the Me￿d$ and prlnciples of the Ststement cl
Recomrnended pract1￿ for acrountlng and re$X>￿"n9 ty charftyes {app1ka￿￿ to dwrltles preparing thelr accounts
In &¢N￿an￿ with the Flnanckil Reportin9 Stsndard apF4i(alAe in the UK and Republic of Ireland IFRS 102)).
I have no concerns and have con* across no other rnaiters in connethon lthe exominatk)n to whlch atten￿On
shcAJkl be drawn In thls rer￿)rt in order to ena￿￿e a proper understsThJlng of the accounts to be reachgj.
Mkhael Blay FCCA
FUP LLP
Ground Fhjor
Egerton
68 Baker Street
Weywge
Sur
38AL
Page 3
é)rJp

N Ra4D
31.8.24
Unréstrlcted
fund
31A.23
T(*al
fund5
INC¢hME AND ENDOWMENTS FROM
Donthns and lega(ies
226
1.015
Other tr&Jlno a￿t*S
Total
EXPENDtfvRE ON
Ratsing fvnds
28.789
12274
Cther
448
Total
MET IMCOMEI{EXPENDITURE)
(3.7731
8,441
RECONCIUATION OF FUNDS
Totsl funds brought foThvard
19,667
11,226
TOTAL FUNDS CARRIED FORWARD
The nctes fom) partof these financw ststemw
Page 4

31.8.24
unrestn.cted
f￿d
31.8.23
Totsl
funds
Notes
Debtors
Cash at bank
2.280
15,984
19,948
CREDITORS
Amounts falllng due within one year
(90}
{281)
TOTAL ASSETS LESS CURRENT LfABILTfIES
15.894
19.667
PVNDS
Unrestskted knds
TOTAL PVNDS
The charftst4e company Is enttt￿d to exemptw fiom a￿lIt under Secdon 477 of thè Companies Art 2006 for the ye
entde(d 31 August 2024.
The rnembets have not requir*1 the company to obtsin an aud￿ of ts financial statanents for the year e￿Ie￿
31 August 2024 In accorthrfè with Section 476 c4the Qymp￿leS A¢t 2006.
The t￿St￿$ acknowl&Joe thelr reSpJns1￿lltles for
la)
eTh￿rIng that the charfoLqe company keeps ac0)Un￿n9 records that cornrfy wth Serticfis 386 and 387 of the
Companles Act 2006 and
preparlng finanoal a3tements whKh give a tme and fair view of the state of affalrs Df the charltai* company Js
at the end of each financlal year and of its surplus or deficlt for each financwil In accordan￿ with the
uirements of SethoA$ 394 and 395 and whkh othernise comply w￿h the requirements of the Companles Act
2006 rela￿ng to finanaal statements, so far as applKalAe to the charitrble company.
These finanthl #atemerts have been prePa￿d in accordan￿ with the pro￿￿on$ appllcable to charltaLqe companles
gjwt to the small companiES reglme.
nts were approved ty the Board of Trustees authorfsed for Issue on
. and were ￿gned on its behaw by..
Ib)
The financial
14.....MAy...l..o.I
L Carey- Trustee
The nc*es fr>mi p3rt of these finanaal #atements
Page 5

RTS TRUST
ATE
R ENDED 3
2024
ACCOUNTING POLICIES
B￿15 of pv¢parln9 the fin•n¢lal statsments
The financkil ststements of the thariiable Cornpanyi whlth Is a putlic benefft entity unthr FRS 102. have been
prepar￿1 In accordance wth the Char￿leS SORP IFRS 102) 'Accountlng and Repo￿n9 iw Char6ties: Statement of
ReComff￿nded Practitr applicable to ¢hwit￿S p￿￿arIThg thelr accounts wh acCOrd￿ce wth the financkil
Repc¥tlng StsThdard appltable In the UK and Republic of Ireland IFRS 102) leffertive l January 2019)., ￿nancIal
Reporting Stsndard 102 The Financial Reportlng Stsndard applicable In the UK and Republlc of IreLand and the
Companks *lrt 2006. The finandal ststements have teen prepared under the historical cost convenyon.
The charity has chosen to eaty adopt the of the "Amendments to ACtt￿n￿n9 and Reporfing
chartt￿S.. Statement of Recommended Practs to charities p￿parIng their accounts In a￿l¥￿aKe
with the Finanoal Reportfng Stsndard ap￿Ica￿e in the UK and Rewbtk of Ireland - Uplate Bulletln É"
Financlal reptsrtlng rtandard 102- reduced dijdosure exemptioTh*
The charltst4e company has taken )Ivantage of the foll¢Ming thscbsure exernptlon In ple￿n￿j these financkl
Statements, as pemiitted by FRS 102 The Financlal Reporting Stsndaid appltsbk In the UK and ReputAIc L
Ireland,:
the requlrements ol Section 7 Strte￿rtt of Cash Fk)w5.
Income
All Income Is recLwJnised In the Statement of finbnck41 Acts￿￿*S On￿ the tha￿ty has entiuement to the funds, It Is
probatAe that the Income will te recefved and the anount can be measured rellabty.
Expendlture
uatiifa.es are rectrJntsed as eynditure as soon as the￿ is a kgal or constrKtive oblpyatlon comm￿￿rt9 the
charlty to that expendSture, tt is prtsba￿e that a transfer of ecoTh)rnic trtneffts wlll te requ[￿d In settlement aThJ
the amount of the oblkJatr"on con be measured relLIL4y. Expenthbjre Is acc￿nted fc* on an ￿£rual$ basis and has
been dassffied under headings that aggregate all cost related to ihe category. Where costs cannot be dre¢dy
ttributed to particular headings they have teen allorated to on a tsa5￿ con5i5tert ￿th the use of
sources.
T•xathn
chartty Is eKempt from corForation tsx gn ￿5 ChaT￿tib￿ acNtOes.
Fund acuuntlng
Unreslrthd funds can be used In accordance wf(h the charitsNe ￿eC￿veS at the dtscredcfi of the trustee&
Restrlrttyl funds can onty be us&J for p3rticuL3r restritted purposes wthin obJL*s of the charlty.
Restrithons adse when speclfled by the donor or when funds a￿ ralsed for particular restrbthd purpy)ses.
Further ewanatknn cl the nature and purw of e￿h fund is Included In the notes to the flnancial statements.
OThER TRADING AcfiviTIES
31.8.24
31.8.23
Coaching
Page 6
L)rJp

TRusfEES' REMUNERA710N AIID BEMEFITS
Yhere KEre no trusLees' remuneratTr?n ¢x other for the y ended 31 August 2024 nor for the year
ended 31 August 2023.
Tru6te¢s' eX￿n
There were no trustees, eypenses pald for the year ended 31 August2024 nor for the year ended
31 August 2023.
COMPARATIVES FOR THE ￿ATEMENT OF FINANCIAL AcnvmES
Unrestrkted
fvnd
INCOME AND ENDOWMENTS FROM
Donafjons and legacle5
1.015
Other tr)Jlng
Total
EXPEMDrruRE ON
PalslThJ funds
12,274
(Xher
Total
NEf INCOME
8,441
RECONCIUATION OF FUMDS
Totsl fuNls brought fornord
11,226
TOTAL FUNDS CARIUED FORWARD
DEBTORS: AMOUNTS FALLING DUE WMIIM ONE YEAR
31.8.24
31￿.23
TrBde deL*ors
Page 7

THE
AT
CREDrroRS: AMOUNTS FALUNG DUE wmiiN ONE YEAR
31.8.24
31.8.23
Other (rtlitors
90
281
MOVEMENT IN FUNDS
Net
mDvement
In fijnds
At
31￿.24
At 1.9.23
Unr•strlrted fvnd$
fund
19.667
13,7rJl
15,894
TOTAL FUNDS
tn*nt In fvnd5, Incl￿￿￿ In the at¢)ve are as follows:
Incoming
resources
Resources Movement
pjpended
n funds
Unrutrirted fvnds
Gena31 fund
26,S51
(30,324)
(3,7rJ>
TOTAL FUNDS
Net
movement
in fvnds
At
31.6.23
At 1.9.22
Vnrostrict•d
Gene¥al fund
11,226
8,441
19,667
TOTAL FUNDS
Conwarniive net nv)vemert in funds, Induded in above we as f￿1￿5.
Incomlng
urces
Resources
eypended
Smment
in funds
Unr•stslcted funds
Gerwal fund
21,163
{12,722)
8,441
TOTAL FUNDS
Page 8

DSPO
20
MOVEMENT IN FIXIDS- ¢I￿￿nued
A turrentyear 12 month5 and prfor year 12 months cornblned p051tiL￿ ￿ as folkn¥s'.
Net
movement
In funds
At 1.9.22
31.8,24
Unrestricted fvnd•
General fund
11.226
15,894
TOTAL FUNDS
A currert year 12 months and pior year 12 mortts com￿ned net moV￿nent In funds, Induded in the atove a
as folows:
Incoming
resour
ReSoU￿S
ewended
Movement
in fvnds
Unre•ttitted funds
GeTreral fund
47.714
(43.046)
4.668
TOTAL FUNDS
RELATED PARTY DISCLOSURES
There were no relataj paty transathons for the year end*1 31 August 2024.
SHARE CAprrAL
The company has no share catytsl, but Is Ilmltsl by guarantee. The lIa￿lIty of eath member is Ilmrted to £E.
Page 9

31.8.24
31.8.23
INCOME AND EMDOWMEp¥rs
DOl￿tt￿n$ and leg•(i
i)on￿on5
226
1,015
Other tr•ding acthiitles
Coachlng
T¢)tsl Inc4xMlng resourc
26,551
21,163
EXPEIIDrruRE
Other tradlno artlvltles
14trh hlre & equlpment
Coachlng fees & expenses
6,062
28,789
12.274
Support costs
Management
tnsunn
Adrninistra￿ costs
AdVer￿SIng
Computer costs
389
34
769
324
3(kS
123
1,516
429
FINan
Bank charyes
19
19
Total expended
Nrt (•xpendi￿ye)/1nt(lme
Thls page does nc* form part of the stalthory flnaKial statements
P&)e 10

REGisfERED COMPANY NUMBER.. 07623864 (Engl•nd and Wala)
REGIsfERED CHARrrY NUMBER: 1142996
FUP LLP
Ground Floor
Egetton House
66 Baker Street
WeybTrJge
Sur
13 8AL
é)rJp

SUGD
ND
24
Page
I to 2
Indep•ndert Examrnér's R•pwt
statsm¢nt of FIMncial Activit1•8
Slrtement of FIMnclal 1>0sition
N•)tss to the Flnanclal Statsments
6 tv 9
Det)Iled Statement of financlal A¢Uvltles
io

GDEM
Tru
R ENDED 31 A
The In￿ee5 who are al￿ dlrectors of the charlty for the p￿r￿SeS of the Companies P£t 2006, present thelr report wlth
the financkil statements of the charity for the year ended 31 August 2024. The tNStees have a(k)Oed the pYwsi¢)ns of
Ac¢ounVng and Reporting by Charfues: Siatement of Recommended PTrCti￿ applicat￿e to charttles preparing t￿rr
accounts In accordan￿ wrth the Financk4 Re￿￿ng Stsndard appllcabk In the UK and Repu￿￿ of Ireland (FRS 102}
{effe¢ti* l January 2019).
Obiertive5 and alm8
The charfty wès treated to ralse fvnds, to advance the physlcal education of ChI￿￿Tr ajed 18 and undtt by p￿dIng
opportunities for leamlng F4awrvJ hockey.
ACHIEVEMENT AND PERFORMAIICE
Ch•rltable actrrfities
In the year ended 31 August 2024 the totsl income was £26,551 (2023 - £21,163). Thls was rnade up of donath)ns
t<tslllng £226 (2023 - £1,015) and coaching servKes ￿ É26.32512023- É20,148}.
Totsl ewdtture for the year was £30,324 {2023- É12,722), thing to ) net deficlt for the year of £3,7n12023 - net
surF4us cl £8,441).
5ugden Road Sports Trust continue5 to be a charity whlch p￿Marity athles its funds to the advancement of physlcal
educats.on of thild￿n aged 18 and under by provldng oppJrtunrtres for leaming and playirrfJ hotkey.
FINANCIAL REVIEW
Reserves polky
The charitys resetves have decreased this raiod by £3,773 to £15,894 at 31 August 2024. These reserve5 are hekl for
the a<fvance of physKal educatyon of chlldren ageil 18 aThJ under.
SrRUcniR￿ GOVERNANCE AND MANAGEMEiir
Governing document
The tharty 15 ¢orth)Iled by its govemiTr9 dothrnenL a deed of tru& and consllbJte5 a limtsj cornprtnyi Ilm1￿ by
arnntee, &$ defined by the Companles 2006.
R•cnthent and appoirrtment of new tru*ees
The trustees may at any ljrne apkK¥nt any kndfvk1ual 05 a trustee to fill a v￿ancI or as an add￿TraI iNstee.
Every trustee I￿￿re appKJlntment nw* ￿gn a dedaration of wlllngne55 to as a tiusiee.
organs￿nal rtructuye
The trustees must be at ￿ast three Indmduals and aged 16 or oNtr at the date of apwntmenL
Llselle Carey is knnorary admin15trator. The charfty has no connethl tharibes.
Risk managemént
The trustees have a duty to Identify and revkw the risks to whlch the chartty is expos￿1 and to ensu￿ appYowL
conlroLs are in to ffide rtasonatle assurantt a9alnst fraud and error,
REFEREIICE AND ADMINisfRAThE DETAILS
Revist•￿d Q>mpany nwnber
07623864 (England and Wales)
Registeved Charlty number
1142996
Reglstered oflk¢
rtrAtoTh Hothry aub
Sugden Ro)J
LoThJ Dthin
rrey
r7 OAE
(.:)rJp

TR
DED
Tn￿$
A M Haycwoft
K S W)Ih'5
L Carey
Ifftdep￿dent Examln•r
RJP LLP
Ground Floor
Egerton Hcojse
68 Baker Street
Weyixidge
gjrrev
m3 8AL
repjrt has bew prepared In accordan￿ wlth the speoal sxovisions of Part E5 of the Cfjnynles kt 2006 relatlng to
small comFenles.
14 May 2025
order of the L*)ard of tsu5tees on .......................
, and slgned on ts ￿haIr by:
LCarey- Tru#ee
Page 2

EPENDENT
DENR
ER,
Independent examine￿$ report to the tfustaes of Sugden Ro•d SportsTrust (*h• Companv)
I retKrt to the charty trustees on my exarnlnatKJn of the accounts of the coM￿nY for the y end&1 31 August 2024.
Responsibilities and lJMls of report
As the charttys trusiee5 of the Con4)any {and als) ts dlrectors for tl* p￿r￿)SeS of cornpany law) you are re$Fo￿l￿e for
the prepatBtion of the accounts in attOrdan￿ wlth the requlrements ￿ the Companles Act 2006 {'the 20(6 Arf).
Hawny 54ti5fied mysdf that the accounts of the Company are not re(ptlr8J to ￿ audlted uThJer Part 16 of the 2006 Art
nd a￿ elSgiNe for indeFtn¢Jent examlnatlon. I rep)rt In of my examination of your tharitys accounts as carrled
out under Sthn 145 of the Chandes kt 2011 {*he 2011 l£t'). In Ca￿n9 out my examknatk)n I have folh)wed the
DlrKOons gNen ty the Charity Commlssion under Secdon 14515) Ibl of the 2011 Act.
Independert ex￿In•￿• si•tement
I have completed my examlnation. I conflmi that m6tters have to my atterttK￿ kn conrtctkn wlth the
examIn*￿n glvlng me Cause to telieve:
JuntlrKJ records were not kept in of the COM￿￿nY as r4ured iw Section 386 of the 2CIJ6 kt,. or
the a(counts do not wlth those records. or
thè accounts do not compty wlth the accountlng requirements of Sectlon 396 of the 2006 other than any
y1￿meTht that the accounts gfve a true and fair wlÈw whKh is not a matter consIde￿d as part ¢* an
Independent examlThation,' or
the aco)unts have not ￿en wepar8J in a¢cordarKe 4•ith the Me￿d$ and prlnciples of the Ststement cl
Recomrnended pract1￿ for acrountlng and re$X>￿"n9 ty charftyes {app1ka￿￿ to dwrltles preparing thelr accounts
In &¢N￿an￿ with the Flnanckil Reportin9 Stsndard apF4i(alAe in the UK and Republic of Ireland IFRS 102)).
I have no concerns and have con* across no other rnaiters in connethon lthe exominatk)n to whlch atten￿On
shcAJkl be drawn In thls rer￿)rt in order to ena￿￿e a proper understsThJlng of the accounts to be reachgj.
Mkhael Blay FCCA
FUP LLP
Ground Fhjor
Egerton
68 Baker Street
Weywge
Sur
38AL
Page 3
é)rJp

N Ra4D
31.8.24
Unréstrlcted
fund
31A.23
T(*al
fund5
INC¢hME AND ENDOWMENTS FROM
Donthns and lega(ies
226
1.015
Other tr&Jlno a￿t*S
Total
EXPENDtfvRE ON
Ratsing fvnds
28.789
12274
Cther
448
Total
MET IMCOMEI{EXPENDITURE)
(3.7731
8,441
RECONCIUATION OF FUNDS
Totsl funds brought foThvard
19,667
11,226
TOTAL FUNDS CARRIED FORWARD
The nctes fom) partof these financw ststemw
Page 4

31.8.24
unrestn.cted
f￿d
31.8.23
Totsl
funds
Notes
Debtors
Cash at bank
2.280
15,984
19,948
CREDITORS
Amounts falllng due within one year
(90}
{281)
TOTAL ASSETS LESS CURRENT LfABILTfIES
15.894
19.667
PVNDS
Unrestskted knds
TOTAL PVNDS
The charftst4e company Is enttt￿d to exemptw fiom a￿lIt under Secdon 477 of thè Companies Art 2006 for the ye
entde(d 31 August 2024.
The rnembets have not requir*1 the company to obtsin an aud￿ of ts financial statanents for the year e￿Ie￿
31 August 2024 In accorthrfè with Section 476 c4the Qymp￿leS A¢t 2006.
The t￿St￿$ acknowl&Joe thelr reSpJns1￿lltles for
la)
eTh￿rIng that the charfoLqe company keeps ac0)Un￿n9 records that cornrfy wth Serticfis 386 and 387 of the
Companles Act 2006 and
preparlng finanoal a3tements whKh give a tme and fair view of the state of affalrs Df the charltai* company Js
at the end of each financlal year and of its surplus or deficlt for each financwil In accordan￿ with the
uirements of SethoA$ 394 and 395 and whkh othernise comply w￿h the requirements of the Companles Act
2006 rela￿ng to finanaal statements, so far as applKalAe to the charitrble company.
These finanthl #atemerts have been prePa￿d in accordan￿ with the pro￿￿on$ appllcable to charltaLqe companles
gjwt to the small companiES reglme.
nts were approved ty the Board of Trustees authorfsed for Issue on
. and were ￿gned on its behaw by..
Ib)
The financial
14.....MAy...l..o.I
L Carey- Trustee
The nc*es fr>mi p3rt of these finanaal #atements
Page 5

RTS TRUST
ATE
R ENDED 3
2024
ACCOUNTING POLICIES
B￿15 of pv¢parln9 the fin•n¢lal statsments
The financkil ststements of the thariiable Cornpanyi whlth Is a putlic benefft entity unthr FRS 102. have been
prepar￿1 In accordance wth the Char￿leS SORP IFRS 102) 'Accountlng and Repo￿n9 iw Char6ties: Statement of
ReComff￿nded Practitr applicable to ¢hwit￿S p￿￿arIThg thelr accounts wh acCOrd￿ce wth the financkil
Repc¥tlng StsThdard appltable In the UK and Republic of Ireland IFRS 102) leffertive l January 2019)., ￿nancIal
Reporting Stsndard 102 The Financial Reportlng Stsndard applicable In the UK and Republlc of IreLand and the
Companks *lrt 2006. The finandal ststements have teen prepared under the historical cost convenyon.
The charity has chosen to eaty adopt the of the "Amendments to ACtt￿n￿n9 and Reporfing
chartt￿S.. Statement of Recommended Practs to charities p￿parIng their accounts In a￿l¥￿aKe
with the Finanoal Reportfng Stsndard ap￿Ica￿e in the UK and Rewbtk of Ireland - Uplate Bulletln É"
Financlal reptsrtlng rtandard 102- reduced dijdosure exemptioTh*
The charltst4e company has taken )Ivantage of the foll¢Ming thscbsure exernptlon In ple￿n￿j these financkl
Statements, as pemiitted by FRS 102 The Financlal Reporting Stsndaid appltsbk In the UK and ReputAIc L
Ireland,:
the requlrements ol Section 7 Strte￿rtt of Cash Fk)w5.
Income
All Income Is recLwJnised In the Statement of finbnck41 Acts￿￿*S On￿ the tha￿ty has entiuement to the funds, It Is
probatAe that the Income will te recefved and the anount can be measured rellabty.
Expendlture
uatiifa.es are rectrJntsed as eynditure as soon as the￿ is a kgal or constrKtive oblpyatlon comm￿￿rt9 the
charlty to that expendSture, tt is prtsba￿e that a transfer of ecoTh)rnic trtneffts wlll te requ[￿d In settlement aThJ
the amount of the oblkJatr"on con be measured relLIL4y. Expenthbjre Is acc￿nted fc* on an ￿£rual$ basis and has
been dassffied under headings that aggregate all cost related to ihe category. Where costs cannot be dre¢dy
ttributed to particular headings they have teen allorated to on a tsa5￿ con5i5tert ￿th the use of
sources.
T•xathn
chartty Is eKempt from corForation tsx gn ￿5 ChaT￿tib￿ acNtOes.
Fund acuuntlng
Unreslrthd funds can be used In accordance wf(h the charitsNe ￿eC￿veS at the dtscredcfi of the trustee&
Restrlrttyl funds can onty be us&J for p3rticuL3r restritted purposes wthin obJL*s of the charlty.
Restrithons adse when speclfled by the donor or when funds a￿ ralsed for particular restrbthd purpy)ses.
Further ewanatknn cl the nature and purw of e￿h fund is Included In the notes to the flnancial statements.
OThER TRADING AcfiviTIES
31.8.24
31.8.23
Coaching
Page 6
L)rJp

TRusfEES' REMUNERA710N AIID BEMEFITS
Yhere KEre no trusLees' remuneratTr?n ¢x other for the y ended 31 August 2024 nor for the year
ended 31 August 2023.
Tru6te¢s' eX￿n
There were no trustees, eypenses pald for the year ended 31 August2024 nor for the year ended
31 August 2023.
COMPARATIVES FOR THE ￿ATEMENT OF FINANCIAL AcnvmES
Unrestrkted
fvnd
INCOME AND ENDOWMENTS FROM
Donafjons and legacle5
1.015
Other tr)Jlng
Total
EXPEMDrruRE ON
PalslThJ funds
12,274
(Xher
Total
NEf INCOME
8,441
RECONCIUATION OF FUMDS
Totsl fuNls brought fornord
11,226
TOTAL FUNDS CARIUED FORWARD
DEBTORS: AMOUNTS FALLING DUE WMIIM ONE YEAR
31.8.24
31￿.23
TrBde deL*ors
Page 7

THE
AT
CREDrroRS: AMOUNTS FALUNG DUE wmiiN ONE YEAR
31.8.24
31.8.23
Other (rtlitors
90
281
MOVEMENT IN FUNDS
Net
mDvement
In fijnds
At
31￿.24
At 1.9.23
Unr•strlrted fvnd$
fund
19.667
13,7rJl
15,894
TOTAL FUNDS
tn*nt In fvnd5, Incl￿￿￿ In the at¢)ve are as follows:
Incoming
resources
Resources Movement
pjpended
n funds
Unrutrirted fvnds
Gena31 fund
26,S51
(30,324)
(3,7rJ>
TOTAL FUNDS
Net
movement
in fvnds
At
31.6.23
At 1.9.22
Vnrostrict•d
Gene¥al fund
11,226
8,441
19,667
TOTAL FUNDS
Conwarniive net nv)vemert in funds, Induded in above we as f￿1￿5.
Incomlng
urces
Resources
eypended
Smment
in funds
Unr•stslcted funds
Gerwal fund
21,163
{12,722)
8,441
TOTAL FUNDS
Page 8

DSPO
20
MOVEMENT IN FIXIDS- ¢I￿￿nued
A turrentyear 12 month5 and prfor year 12 months cornblned p051tiL￿ ￿ as folkn¥s'.
Net
movement
In funds
At 1.9.22
31.8,24
Unrestricted fvnd•
General fund
11.226
15,894
TOTAL FUNDS
A currert year 12 months and pior year 12 mortts com￿ned net moV￿nent In funds, Induded in the atove a
as folows:
Incoming
resour
ReSoU￿S
ewended
Movement
in fvnds
Unre•ttitted funds
GeTreral fund
47.714
(43.046)
4.668
TOTAL FUNDS
RELATED PARTY DISCLOSURES
There were no relataj paty transathons for the year end*1 31 August 2024.
SHARE CAprrAL
The company has no share catytsl, but Is Ilmltsl by guarantee. The lIa￿lIty of eath member is Ilmrted to £E.
Page 9

31.8.24
31.8.23
INCOME AND EMDOWMEp¥rs
DOl￿tt￿n$ and leg•(i
i)on￿on5
226
1,015
Other tr•ding acthiitles
Coachlng
T¢)tsl Inc4xMlng resourc
26,551
21,163
EXPEIIDrruRE
Other tradlno artlvltles
14trh hlre & equlpment
Coachlng fees & expenses
6,062
28,789
12.274
Support costs
Management
tnsunn
Adrninistra￿ costs
AdVer￿SIng
Computer costs
389
34
769
324
3(kS
123
1,516
429
FINan
Bank charyes
19
19
Total expended
Nrt (•xpendi￿ye)/1nt(lme
Thls page does nc* form part of the stalthory flnaKial statements
P&)e 10