CHARITY COMMISSION
FOR ENGLANO ANO WALES
Trustees. Annual Report for the period
From 0110412024
Period start date To 3110312025
Period end date
Charity name: ALL SAINTS HATCHAM COMMUNITf CENTRE
Charity registration number.. 1143647
Objectives and Activities
SORP relwerta
Summary of the purpK)ses of
the chanty as set out in rts
goveming document
Parn1.17
All Saints Hatcham Community Centre is
a charitabbe company whose objects are
(i) to advan￿ the well-teing of the
cOmmun￿eS of the London Boroughs of
Lewisham and Southwark by the
provision of faaltties. programmes and
resources to meet the sooal. educational.
recreational and leisure neejjs of those
communrties. and (iij su¢h other
charrtable purFoses as the Trustees shall
from ts.me to time decide.
The Centre works in partnership with local
communrty groups. other charities and
voluntary ￿enCIeS in the area to advance
the following obJeth'NES:
to provide an auxssible and
affordable venue and fc￿al point for
the local ￿mMunIty- a pla￿ for
people to meet and soaalise. and a
space for local groups and residents
to run their activtties and events.,
to prowde a range of low- or no cost
SOC4al, cultural, edu&gtional.
recreational and vc£ational activities
that are a￿SItIe for local people..
to act as a local resource that
promotes and encourages leaming.
de￿lopment and stronger sense of
mmunty",
to act as infonnation exchange point
for all activtti'es and se[w￿S available
locally, and to provide opportunities
for more irrterxtion and inclusion
among various users of the Centre; &
to maintsin strategic relevance with
local authorities, other agenaes in the
area and funding todies.

Summary of the main
actiwties in relation to those
purposes for the publ
benefit, in particular. the
activities, projects or
servi￿$ identtfied in the
P¥a 1.17 and
1.19
The Centre's princtpal adimties are
grouped in a number of categories.
Sooal and recreational opportunities are
Created through suppjrting various IoGal
communty groups that organise and wn
relevant activities for elder Irxal residents,
aged 50 or over. through Just Older Youth
(social and eXe￿4$e), Southwark Irish
Pensioners, Deptford Pensioners, Society.
All Saints Line Dancing and, via its
Outreach ath'vities that support vulnerable
members ofthe communty, mostly elderty
local residents, through providing Iow-COSt
hot meals, organising various soaal events
(e.g. speoal 0￿slon dinners and parties)
and various oub'rKJ tn'ps (e.g. a day trip to
the seaside).
Heafth and Exercise activities are
supported through s￿￿fiC user groups that
provide free or l(Ml-COSt sessions for local
residents, induding Zumba. Ballet, Dance
dasses, Gen￿e exerase for dderly, Thai-
Chi dasses, Taekwondo, Kundalini YcNJa,
Table Tennis. Fencing and Air Weapon
Clubs.
The Centre is about to launch a Junior
Football Acalemy which V￿71 target the age
group from 7yrs to 11yrs. The Academy will
deliver 80 football sessions (120 hours) of
1.5 hours. tWFce per week for the above
ages living in and around New Cross Gate.
This is the age when they might otherwse
start getting involv&J in low level anti-social
behawour and crime. The ￿￿emY will
support these children.
AlcohcAics An0nyn￿uS (AA). This n￿etIng
is designed to help fonner alcoholics
support one another throughout their
recovery joumey while maintaining their
sobriety.
Activiti'es ￿tering for children and youth are
supported through Marvel Pre•school
Nursery. Treasured Kids After-school Club
(provision of Iow-COSt childcare for workirvJ
parents); All Saints Scouts (Cubs, Beavers
and Explorers), Holiday camps for thildren.
and Taekwondo dub for thildren and youth.
A large group of Centre users is represented
by communrty worship groups and
patrimonia sooeties meets'ng on Sundays.
The Centre is widely used by training and
education providers, particularty those
delivering vocational training and other
educ*'on opportunities. after-sthc
horn￿0rk dubs for children and other
similar ac*vitses. A s
al lace in

education is designated for encouraging
soaally resFrf)nsible dog ¢)wnership in the
communty and is provided via training
delivered by the Dty Ckners Club
Further, the Centre hosts regular NHS
Bl¢)od Transplant sessions in addtbon to
ath'ng as a Polling Station for
govemmenUele(*oral bodies. All Saints
Church Hattham Park is also a major user
of the Centre and hosts regular annual
events. induding a Summer Fair and
Christmas Bazaar. the Mayorfs Carol
service and other similar occasions.
Finally. the Centre supwrts local resKlents
through hosting affordable prFvate
functions. such as weddings. birthdays,
christenings, thildren's parties and others
similar occasions that are vrtal part of lo&
residents. lives.
In seth'ng and reV1th￿n9 the Centre's
strategic objectives, the Trustees have ha
due regard for the Chartty Commission's
guidan￿ on public tenefft and particularly
upon its supplementary guidance on the
adVan￿rrEnt of e(lucation. health, amateur
sports and ￿1mMUnty development.
ststement confimiing
whether the trustees have
had regard to the guidan
issued by the Charty
Commission on public
benefft
P¥a 1.18
Additional infomiation loptional)
You ma
choose to iTrSude further staterrEnts where relevant about:
Policy on grant Ma￿n9
1.38
The Centre may spend small sums to
enhance Communty events such as
contributing to the costs of fo¢>J or
entertainrrent.
Policy on scKial investment
induding programme related
investment
Pwa 1.38
The provision of space in the building and
the use of its faolities for little or no charge
to Ictsl people.
Contribution made by
volunteers
The Trustees provide their time and
expertise as trustees on a voluntary basis.
Many of the Centre Users run events also
on a Tr&¢luntsry basis and are free lo attend.
The shop run out of the Centre on Monson
Roaj is now makn'ng ready to resume its
seMc2s wrth a rkw team of volunteers.
Other
The Board of Trustees meets regularfy, on
a quartedy basis, to evaluate Ihe woth of
the Centre and review the income and
exFenditure to maintain the reserves of the
organisation. The Trustees keep in regular
contact w¢th fa￿t￿fa￿ meetings, email
and WhatsApp, and have overseen a
transition in the management of the Centre.

Achievements and Performance
SORP re1we￿O
The Centre aims to wjvance the well-being
ofthe communrties ofthe London
Boroughs of Lewsham and Southwark by
the provison of faoltties, programmes and
resources to meet the soaal. educatsonal.
recreabonal and leisure needs of those
communities.
The Centre has h(Bted dance dasses
induding Zumba, Hula Fit, Yoga, Ballet and
ne Dancing, and T￿kw0nd0, Historic
Fenang and Air Weapon Clubs, which are
greatly enjoyed by their participarts arKI
are valued kn'mes of recreation which were
miss&J during the pandemic.
Alcoholics Anonynk)us' work to rehabilttate
Alcoholic victims is in full swing.
Acts'vrties aiTred at older residents, such as
Genle Exercise or Thai Chi, Irwng Tab
Tennis Club, Supern￿n Fell¢)wship have
I resUrr￿d, ￿$tOring to their partTrapants
important p￿nts of social contact.
Child¢2re (via Mapftl Prtr5Ch￿31 Nursery
and Treasured lQds After-school Clubl and
communty Wofships on Sundays
enwurage srrial interaction belween
indiwduals and families of all ages.
Regular NHS Blc*NJ Transplant sessions
give l(xal people the opportunrty to provide
social benefft to the wider swety.
Summary of the main
achievements of the chanty.
identsfying the drfference the
charity's work has made lo
the orcumstances of its
benefiaaries and any wtder
beneffts to society as a
whole.
Pgr8 120
Additional inforniallon Iomional)
You may choose to indude further statements where relevant about:
Achievements against
Objectlves gfven to the Current
objectives set
Management Team
To increase cash deposits through
more lettings and seek extemal
fvnding to replace the bjilers.
b. To improve the accA)unting system
to carefully ￿ntrol lettings, receipts
and payments.
¢. AmerKling contr&ts for increas&a
dep)sits for h811 lettings, so that
extra costs for brea￿ng contracts
Gan be covered.
d. Instigating new pro2dures for
ending late parties so that our
neighbours are not disturbed by
noise.
Pwa 1.41

To recruit and train new people,
who can then provide Gqretakn'ng
f. To maintain and improve the
Centre's building and grounds.
espec4ally relating lo plumbing and
drainage. intemal deGoration,
heatiNJ system, electiics and
grounds.
g. To improve thrtising through ne
notice toard. leafiets and wetrpsite.
h. To have regular staff meetings.
The Trustees are generally satisfied with
the work of the current management team
to achieve these targets.
The Centre is able in nonnal times to meet
its expenses from income eamed from
letting out its premises to users. The
football project described earlier has
needed and has obtained external funding.
It is hoped to obtsin funding to assist with
the cost of boiler re
airs also.
Perfomiance of fundraisirKJ
activities against objecbves
Investment perfonnance
against objectives
The cent￿ operates a current and a
depostt account and does not currendy
invest an of its funds.
Other
The new manageff*nt has redaimed a
gcrfxl deal of space within the Centre that
was previously used for storage and there
is now a funciioning shower and office
On￿ more.

Financial Review
Rewthv of the chanty's
finanaal positi'on at the end
ofthe penod
P¥a121
The Trustees have a reasonable
expect*"on that the Cerrtre will have
adequate resources to remain in operation
until at least 12 months after the approval
of these Financ4al Statements.
Reserves have been bolstered after the
substantial loss sustained during the
pandern￿ and income from the letting of
the Cerrtre's th'lities in retuming to nonnal
levels.
Statement explaining the
policy for holding reserves
stating why they are held
Pwa122
The Chai?ty maintains a reserve fund as
major infrastnjcture cnsts such as the
renewal or re￿aCeMent of its he81ing
system. This is in fact required now and
professional fees are already building up.
The continued heating of the building,
parbcularty in the colder months, is
essential for most activities. The cost of
the energy this year has also been a
concem.
Amount of reseNes held
Pwa122
£ 77,000 was held in the resep￿S at the
end of the reporting period
Reasons for holding zero
reserves
Details of fund materially in
deficit
Explanation of any
uncertainties about the
tharty ￿ntinUIng as a g￿ng
concem
Pwa122
IA
Pwa124
NIA
Pwa123
The rise in the cost of living coupled wtth
inflation and adverse financial impact of the
pandemic upon local people may
discouraJe some people from booking the
Centre's f￿lIrtieS. The Centre's finances
would not wrthstand another hii of the
magnitude of the one delivered by the
pandemic. It remains to be seen how
severely all these things will bite in the year
ahead. and hth¥ Ic¢al people wll react.
Additional inforniation {optional)
You ma
choose to indude further statenRnts where relevant about..
The Centre raises funds principally from
hire charges for use of the Centre's
premises. The bulk of the expendtture is to
pay for the services required to maintain
and run the Centre. Grants were obtained
to mitigate the impact of pandemic-related
costs. but in nonnal times the Centre eams
its income from lettings. Fundraising has
been undertaken to supp)rt the local
football project for children.
The chanty's principal
sources of funds (induding
any fundraising)
P¥8 1.47
Investment p)licy and
objectives induding any
social investment FKJIi¢y
ado
Pwa 1.46
NIA

The￿ are some exceptional
repair costs impending, but
given the increasing activitses of
the Centre and the work of the
new manager, we are hopefvl
for the Centre's ongoing
A description of the principal
risks facing the chanty
Pwa 1.16
b. An unex￿ted crisis like a
Pandemic. where the Centre
had to be d¢￿ed, would present
huge problems.
c. Equally a sudden long term
illness ofthe Manager would
present great drfficulties. We are
seeking to strengthen the
numter of trustees to help with
situations like that.
Other
NIA

Structure. Governance and Management
Descrimion of ¢hartty'S
trusts..
Type of goveming document
All Saints Hatcham Community Centre is
istered Charitab￿ com
The Centre is governed by a Memorandum
and Aiticles of Assoaation the current
version of which was adopted on 3 April
2019.
Pwa 125
H¢)w is the tharity
constituted?
P8ra 125
The chanty was constitLrted as a company
limrted by guarantee on the 2P April 2010
and registered as a chanty on 2nd
September 2011.
The Centre is managed by a Board of
Directors who are also the Chanty Trustees
and Members of the Company.
Trustee selects'on methods
induding details of any
constitutional provisions e.g.
election to ￿st or name of
any person or bLxYy entitled
to appoint one or more
trustees
P¥•125
The Trustees are Sel￿ted ac<x)rding to the
fdlowing pr(xedure:
- The Forum of User Groups of All Saints
Hat¢ham Community Centre nominates an
accredrted spokesperson for the Forum by
sig[￿d resolution.,
-The Secretary of the New Cross Gate
Trust nominates a s￿kesperson for local
Immunrty gr￿p5 in New Cross Gate
-The Archdeacx>n of L￿shaM and
Greenwich may serve in person or
nominate a representative.
-All Saints Church Hatcham Park is
represented ex officio by the Incumbent or
Priest in charge or (in the event of an
interregnum) by its senior churchwarden..
and
-The Parochia5 Church Council of All Saints
Churth Hatcham Park nominates three
Trustees. two from rts own membership,
and one from outside.
Additlonal Inforniatlon (optionall
You ma
choose to indude further State￿￿ntS where relevant about:
New Trustees undergo an induction on
their legal obligations underthe UK charity
and company law. the content of the
Memorandum and Arts'des of Ass(xiation,
the Board and decision-making pro￿sses.
business plan and recent financial
perfomance of the organisation.
Trustees are also encouraged to attend
appropriate extemal training events that will
faalttate the undertaking of their role, and
to leam from one another as much as
possi1￿e.
Policies and pro¢8dures
adopted for the induction
and training of trustees
Pwa 1.51

The Tnjstees employ a Manager to
manage the building. bookings, and
contwtors and suppliers. The Centre is
adjwknt to All Saints Churth Hatcham
Park. and collabofates with the Church on
numerous events. The Centre building is
leased to the Chanty by the Anglican
DI0￿Se of SoLrthwark.
The Trustees are dra4Yn prinopally from lay
and derical members of the Church,
refiecting the historic character of the
Centre as a Church Hall, and rts continued
freehold oAinership by the Diocese of
Souttrwark.
The charity's organisational
stTUCture and any wider
netrlork wrth which the
chanty woths
Pwa 1.51
Relationship with any
rdated parties
Pwa 1.51
Other
NIA
Reference and Administrative details
Charity name
All SaiTrts Hatcham Communty Centre
Other name the charity uses
All Saints Communty Centre
istered cha
number
1143647
Charity's prirtipal address
105 New Cross Road
London
SE14 5DJ

Names of the charity trusts•s who manage the charfty
TFust•• nam•
Office lrfany)
Nam• of p•rson lor body) •ntitl•d
toa
int trusteg
ifan
All Saints Church PCC
(Member)
Archdeacon of Lewisham &
Greenwich
Vicar of All Saints Church
PeterAndrey
Noden Webster
Trusteel
Chairn￿n
Trusteel Treasurer
Revd John Angus
Frame Galbraith
Revd Grant Botto
Debbage
Revd Grant Bofton-
Debbage
Dunstan Vincent
Tmstee
Company Secretary
Vicar of All Saints Church
Trustee
AP￿inted 8 November
2023
All Saints Church PCC
(Member}
All Saints chU￿h PCC {Non-
Member)
New Cross Gate Trust
Anna Jones-
Nelson
Trustee
Apw)inted 8 NoNember
2023
t)orcas Atti
Trustee
Apw)inted 8 November
2023
rate tNstees - naffes of the directo[5 at the date the re
Dlr•¢tor name
rtwasa
roved
NIA
Name of trustees holding t￿e to property belonging to the charity
Trustee nam•
Djtsg *¢t•d rf not fvrT*ho1•
NIA

Funds held as custodian trustses on behalf of others
Description of the assets
held in this capaaty
NIA
Name and objects of the
charity on whose behalf the
assets are held and how this
falls within the custodian
charity's objeds
NIA
Oetails of arrangements for
safe custody and
segregats'on of su¢h assets
from the charity's own
assets
NIA
Addlllonal Information (optlonal)
Names and addresses of advisers (Opiional inforniatlon)
Type of
Name
Address
advlser
NIA
Name of chief executfve or names of senk)r Staff members {Optional inforniatlon)
Exemptions from disclosure
Reason for nOn￿lsdo8Ure of k
rsonnel delails
NIA
Other o
tional inforniation
NIA

Declarations
The trustees declare that they have approved the trustees, report above.
Signed on behalf of the charity's trustees
SlgnatsAre(s)
Full name(sl
Poslllon (eg Secretsry.
Chalr. etc)
Peter Andrey N￿len Webster
Chair
Grant BoMoTrDebba3e
Company Secretary
10

HAT
MM
Tru
TE
' REPORT AND FIN
IAL STATEM
FOR THE YLIR ENDED 31m312025
.*RTH
SEI4 2LP

ADMINI
TIVE I1¥
TA
Company Numhtr.
on36641
Rezistered Ch•rity Number:
1143647
Pew An&ey Noden Webster
Revercnd Grani Boltt)n-DeFAJage
Reverend J(dw An8￿ Frame Ga]braith
Anna Jones-Nels
Dunsthtj Vinceni
Ekaete Dor¢as Atts
RevereDd Gfant Bolton.Debb4e
Re#is¢ertd O(fKe:
105 New CTO&S Road
England
SE14 5DJ
AccouataDts:
Jacring Associates
I I KL'ng Arthur Close
SE15 2LP
BaDILtrn
Santsnder UK PLC
Bridle Road
Mer5eyside
L30 41

SHAT
HAM
MM
ENDED 31m3r£o
PA2e
Indewdent Exarnin&s Re￿irt
s￿¢M￿l of financial adiviti&%
Det*'led anajysis of fimd5
Balance sheet
Note to the Financial Statemcnts

HAT
D25
The TnLSt¢es present their Tewrt and th¢ fmancial statements of tli¢ tharity for die year ￿ded 3110312025 Th¢
trusiees have adopted the pro￿7S1O￿S of the S￿eMent of Rttommended Praaice (SORPI 'A¢￿￿ting Jld
Reporbn8 ty Charhties. (FRS102) in PTepaTiDS the rep)rt and f￿￿¢1*1 of the Ch￿lty.
All Saints Hatclwn Comm￿lty Centre is a registued tharitable wmpany. It constiw(ed as & cornpaDy
limlted by guat*iee on the 27th of .April 2010 and is. therefore. governed by a Mcm0[￿durn and Article5 of
A550ciatson. The current version of the Artides of AssoCiats￿L is dated the 3id of April 2019 The organisatson
also re￿stered with the Uniied Km8dom Chanty C4)rnmi&sion on the 2nd of S47tember 2011.
ucllon
nitt
All Saints Hattham Community Centre Is mattaged by a Vol￿￿Y Board of Truoes. The Tr￿￿tees aa as the
Trustres ftjr the puryM)ses of tharity law and are alw th'rtttors of the charitsble company for the purp)s&% of
cotnpary law. The Tnjstees are also the on]y members of the coryany.
The Trustees are sdected according to the foitowing proceth]re".
- Reprcscrttativ￿ of dle local commutiity and usets of All Samts Cornllwr￿ty Cthtre nominate aTrus¢ee.
-New Cr05s Gate TnLS( a local ¢haritsble is reprewLid by its secrelary or their repr#entsUVe.
-ArdEdeacrA] of I*wi5ham and Grr￿￿1(b a￿fftnts their rycsent4tive.
-A]I Saints H2tcham Pwk Churth is represented by th¢ inumbcnt 01 Priest in char8e' and
-The Parodll"ai Church Council of AU Samts H¥tclwn Park Chwth nominates the l&st three Tnjsw.
ement
The TnMees delegate their day-l￿ty mana8emtht r￿k￿bilitieS to a Centre Manager 15 supponed by
Assistant Manager. The three officets - the Chair. the Company Secretary. aThd the Treasurer- are the rnain
)Ints of contact foT the centre managemethl The remaLnrn8 tr￿s[tes are lept in the Iwp email. and all the
trIL%t￿ meet tO8¢th¢r in per￿￿ at le&st four times year.
The Centre's pnnctpai actiNitses are grouped in a number of c4te8ories. SOCI￿ and r￿reatson￿ opp)mykities are
maiTrJy created through sw)p)rriDg various lo¢al Comm￿lty grow￿ that organase and rnn relevant a￿1￿1￿¢5 foT
th'ffernt age groups. A few a￿￿tieS are oig3nised th"recdy by the TnJStC￿ and rnana8emenL
Heajth and Exer£i5e acliTrioes are supported through specific w wups that provide free or Iowry¢OSt s&ssions
for local residents.
Activities cateTing for clu"IdreD and youth aTe swwirted throu￿ Maryd Pr&school Nwsery (pmNrysion of
C￿"[dc2rt for ￿)rkill8 parentsA the Foothall AcadeEtry. the loc4] Scout gro￿.
Jomdy with Ail Saints Churth Community c￿tre also orgaDise5 re￿lar summer holiday trips ty the Isle of
Man for local duldren on lowincome orfnmi th"sadvan48¢d backgro￿d&
Several Christs4n fellows￿"p5 ￿¢ a room I￿ the C¢ntr¢ for wVI5￿p.
Page I

INT
HAT
HAM
ALRE
RT Icontsnued)
The Cornmwiity Centre is also wrydely used by training education panicujarly those pmvidin8
vocational trainirtg and other edUcau￿al Opp)rti￿lU¢& homewvd( clubs foi ckn"Idten and other similar
acliviti&s.
The NHS uses the Centre for blrrfjd don￿1￿ Sery1￿ the loc41 authority uses one of the hatls &$ a rATrliLDg
station and for other a¢tiviti¢s ￿1th it swrt5.
FIn￿ty. the Centre suptKJrLS r¢gdwts thr￿h h05tsng vario￿* private fwL¢ttons. Such as wedth"n84 birthday&
chn'Aenings. childraj's partie& and other ymilar occasions that are vitsl pans of I￿4[ residents. livcs.
This rwjrt apwoved by the board of d1're¢￿r$ and tsustees on:
,* bthfk2..:
Reverend John Angus Frame Galbraith
Tnjstee.

ND
I report to the charity mLStets on examin*1￿ of the ￿cOUNts of the Ch￿ for tbe yev ended 3 1103f2025
ith are set out on pages 4 to I I
RtJpomibililit5 aud baJis of Teporl
As the thatity tru#ces you are re5wLsible for the pr¢paration of the ￿Kollnts in accordance with the
requirernent5 of the Charits&s Act 2011 (Ihe Ace).
I rewrt in respect of rny examinatson of the chanty's a¢counts Cartied out under 5ecDon 145 of th¢ A¢t and in
canying out my exatninaDon I have followed all the ar4>lhcabl¢ ￿"TectionS by the Charity cornm1￿10n
under section 145(5)(b) of the Art
Indeptndent examiller's stateD)tnt
I have completed rny examinatson. I crffifinn Matthi￿ matter5 corne to my iti cotjnection
with the examIn￿10n giving rne Ca￿$t ro believe that m •ry materia] r￿pect." l accouttin8 records were thot
kept in re4Ject of the charity &s required by sedion 130 of the Act." or 2. the do nol accord those
records: or 3. the ac¢owJts do not ¢Otnply the applicable reqwT¢M￿ts ¢onceming the form and conienl of
accounts sei oui in the Chantses (Accounts and Rep)rtsl Regulations 2008 other than any reqwtemeni that the
acc4)unts give a true and Fair view 15 not a matter considered Is pon of an independe￿[ &Yamination.
I have Tho concuns and have come across tto other tLMtters CODneaion with the examination th thi"£h attention
should be dra￿ Lll thi5 report to enable a prry¢r unders4nding of the accounts kn be reach
FB Jac-During FCCA MB
Jacnng Associates
I l King Arthur Close
ndon
SE15 2LP
Datd..
150rt2025
PagE 3

INT
MM
Ivrri
ME.
Totsl
T•¢al
Unrut'd
21115
2024
Income •md endowrnrnts fr•m:
Voluntary income
196.197
196.197
191.768
Investment incorne
1.015
887
TDtal ineome and tnd•wmwts
197212
197.212
192.645
Expettdithre on:
Costs of8￿￿#tIng fimds
124.061
124.061
115.461
70,108
70.108
56.054
TO1￿ re8•vee8 expetydtd
194.169
194.169
171.515
Nei movemthi iti
3.043
3.043
21.140
Prior Year Adjusunents".
Insurance Rechar8e ty ASCC
Other Income Recavabje
10.226
4.756
10.226
4.756
Total funds browgbt foTw*rd
£102.305
1102,305
81,165
Toial fvnds eArried fornird
120,330
£120.330
£102.305
All incorne and expenth.ture d￿1ve from Continuing 4aisTrtses.
Pzge 4

HAT
FOR THE YEAR EN
D 31103f202S
2025
2024
Gener￿
Baiat]ce Blfwd
Surplus for the year
Pn"or year
102,305
3,043
14,982
81.165
21.140
120.330
102.305
To¢￿ ai 31m3n02S
120.330
£102.305
Page 5

MPANY N
AT
AT 3110312025
Note
2025
2024
Tangible fixed usets
TIn￿ble ￿ets
70.625
15.508
C￿rreDt I￿￿ts
Deb￿r$
Bank Ac¢ounts
52.245
51176
53,169
125.1
104.421
178.359
Credtt•rs
Amounts faElin8 due within
e year
10
54,716
91.562
Net turrenl
49.705
86.797
TO1￿ a&8¢¢B les6 ¢¥rrewt lixbi]itie5
120,330
102,305
Net &vets
£I20.330
£102.305
c*Pit￿ fwids
UnrestrA¢t¢d fijnds
120.330
102,305
Total funds
£120.330
£102.305
Approv￿ by the tnthes on
7517012S
Peter Andrey Nod￿ Web51er
The annex￿ not&s forni pan of these sthternerts.
Page 6

HAT
IAL
A¢touttti•g policies
The charity ¢onstitut&s a publi¢ benefii ￿tity &8 dEfined by FRS 102. The fin8nci215taternents have b
prepared in accordan¢e with Accounting and Rw)ning by Charities.. Sthtrment of Recommended
Praaice applicable to chanties preparing theÈr accounts in accordance the Finatjcial RepDrting
Standard applrcable in the UK and Rcpublic of Trel￿d (FRS1021 issued 16 J￿Y 2014 l&s updated
through Bulletin I wbltshed on 2 Febnwy 2016}. thc Finarbcial Repornng Standard 4pplJ¢Able in the
Uniied kn'ngdom and Republi¢ of Iieland (FRS102k the Clwi'tse5 Act 2011 and UK Gencraily Accepted
Practice ￿ li applies from l January 2015.
The charity has applied Update B￿lettn l as published ¢XL 2 February 2016 and does noi include a c&
flow statemeni on the grounds Li is applying FILS 102 Section I
The financial statemcDts are prepared on a goitig concern b￿lS wider the historicaj wIv￿tion lrno(b"fied
) include certatn iiems at fait value). The fEnancial Ststrments are presenied sterling which is the
cwrthry of the tharity and rounded ty the Dezreq
The sigwficant a¢coutsriTEg wlicies arvlied in the prcparatson of thes¢ fityancial statemenLS are set out
below. These w)lici&s have awAied ty ail years Other￿$£
TOn￿ble fixed assets depre¢iauon
Tangble &ss¢ts are induded ￿ cost less deprea￿LI￿ alld i￿￿1r￿¢￿t
PrnJioTh costs
The charitable conwany Opera￿ a dcfined (L￿￿bU￿"0n posion scheme. CLKLtributs"ODS payable fo the
charitable company's pcn5ion scheme are cbargtsl ty the Statement of Finan¢iat Actsvities in the period
wkn'ch they relate.
Prior Ye*r Adjustments:
Inmrance Rethxrtts *nd ActOUDliOt Trutmeul- Ye*r Ending March 2025
The C•Ltr¢ holds a joint insurance poljcy Ail Sat'ttts (Haichaml Church. This is paid for by the
Cthtre, wjth thc appropnate pwrnon subsequ￿￿ rcthaTged ty the Church.
However, the retharge process was noi consistently applied in prioryears. As a resuli the Centre
rctr05pective recovered insurance t￿￿ from the Churth covering four years. ThL'S recovery amounted to
£1O.226. The re¢laima amount h&$ been recorded in iAqwan¢¢ ¢osts in the accounts for theyear wth'ng
March 2025
F•otbal Found*ti•n Grant- Year Emdinz Marth 21125
On 8 December 2023. the Centre rcccived a grant of £9.870 from The Natton￿ L4)ttery Community
Fund The pury￿se of this graut is to SUp￿rt actsvities aimed at developing and en￿Waging young
f￿tha[] tsient The graNt has been included ￿der Othtr Creditor& &s the funds are ie5tnctcd
and designated specifi¢aJly for foothall-rejated expenditure. Exptmth"ture incu￿ed r¢I￿l￿g to the
r￿tball rKogramme is offset agathst thÉs habth.ty it arise&
The outststtdmg (￿4)ent} balance of the grant * the of eath financial yur is shown bEIow.
Ye*r Ethdiwi U￿Spent Grant 1£)
Marth 2024 £8.830
Marth 2025 £2.315
Page 7

ALL s.41￿5 HATCIIknI C
ICoDtmued)
Income
Umrtsl'd
Intowe
Funds
2025
Total
Funds
2025
Toia]
Futt41s
2f114
2O2S
V•luDtary iNtoJne
ReV￿u¢
tkniati0llS
195.820
377
194 820
377
191.768
196.197
196,197
191.768
2025
2024
Income from b￿k deFwts
1.015
887
2025
21125
2024
Caretaking Sernc
Rcpairs and maintwanre
Service5 and supplie5
Insurance
Telephone
Posrage and S￿l0￿ery
Cleaning costs
Credit card tharges
38.480
15.941
34.540
4.019
458
3.089
26.901
633
31,891
17.402
34.138
3.341
2,258
3,423
22,794
214
124.061
115.461
Page 8

HAT
HAM
IAL
TATEM
Iconiinued)
CovernaDee eosts
2025
2025
2024
Wa8es and salaries
Pensons
Depreciation - AdmL"n- owned assets
Ac¢owith¢y
49.554
1.161
17.655
1.738
48.387
3.884
3.783
70,108
56.054
Surplus btfore t*x
2025
2024
This is ststed after clwgin8'.
A¢¢ounr&tt¢y
Depreciation of ovmed assets
Pensiort costs
1.738
17,655
3.783
3,884
Staff tosts
The number of persc￿4 employed by thr rompwty. includin8 th"rector4 dunn8 the year as
follows..
2025
2024
Athnlnistrknr
The a88re8ate payroll costs of thue pus(w follo￿."
2025
2024
Wages wjd $￿arleS
Other pe￿$10￿ ¢osts
49.554
48.387
£50,715
£48.387
Page 9

EF￿¥
TAT
(Cwnnued)
ENDE
025
Tantible fixed
Plwi
Maebiutry
At 0110412024
Additson5
223.747
73.131
At 3110312025
296.878
DepreriattLm".
At OIAH12024
Charge for the year
208,597
17,656
Ai 31103r2025
226,253
Net book value..
At 3110312025
£ 70,625
At 3 1103f2024
£15.150
Debton *Nd PTYpayments
A￿unts falling due ￿ one year.
202S
21124
Trade deb￿rS
epayments and Accrued Income
28.455
23,R
7.641
£S2.245
£53.l69
P48e 10

EN
{Coniinu&l)
io.
Credit•n
AMo￿ts falling due within ￿eyelI." -
2025
2024
Trade creth"tOT5
Other credito
Accn]als ADd D¢ferred Income
13.020
17.108
24.488
19.670
27.018
44.874
£ 54.716
£91,562
Page 11

ND
I report to the charity mLStets on examin*1￿ of the ￿cOUNts of the Ch￿ for tbe yev ended 3 1103f2025
ith are set out on pages 4 to I I
RtJpomibililit5 aud baJis of Teporl
As the thatity tru#ces you are re5wLsible for the pr¢paration of the ￿Kollnts in accordance with the
requirernent5 of the Charits&s Act 2011 (Ihe Ace).
I rewrt in respect of rny examinatson of the chanty's a¢counts Cartied out under 5ecDon 145 of th¢ A¢t and in
canying out my exatninaDon I have followed all the ar4>lhcabl¢ ￿"TectionS by the Charity cornm1￿10n
under section 145(5)(b) of the Art
Indeptndent examiller's stateD)tnt
I have completed rny examinatson. I crffifinn Matthi￿ matter5 corne to my iti cotjnection
with the examIn￿10n giving rne Ca￿$t ro believe that m •ry materia] r￿pect." l accouttin8 records were thot
kept in re4Ject of the charity &s required by sedion 130 of the Act." or 2. the do nol accord those
records: or 3. the ac¢owJts do not ¢Otnply the applicable reqwT¢M￿ts ¢onceming the form and conienl of
accounts sei oui in the Chantses (Accounts and Rep)rtsl Regulations 2008 other than any reqwtemeni that the
acc4)unts give a true and Fair view 15 not a matter considered Is pon of an independe￿[ &Yamination.
I have Tho concuns and have come across tto other tLMtters CODneaion with the examination th thi"£h attention
should be dra￿ Lll thi5 report to enable a prry¢r unders4nding of the accounts kn be reach
FB Jac-During FCCA MB
Jacnng Associates
I l King Arthur Close
ndon
SE15 2LP
Datd..
150rt2025
PagE 3