Docusign Envelope ID: 252C6EBS-99DB4411-BD80EF82B570AD96
REGISTERED COMPANY NUMBER: 08163367 (England aRd Wales)
REGISTERED CHARITY NIJMBER: 1153133
REPORT OF THE TRUSTEES AND
￿NAuD￿ED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2024
srANDBRIDGE LANE commu￿ DEVELOPMEI¥T
TRUST
Harrison & Co
Chartered A￿Ountants
531 Denby Dale Road West
Calder Grove
Wakefield
West Yorkshtre
WF4 3ND

Docusign Envekjpe ID: 252C6EB5-99DB4411-BD80-EF82B570AD96
STANDBRIDGE LANE COMMUNITY DEVELOPMEIYT
TRusr
.CONTENTS OF THE FINANCIAL STATEMEPITS
FOR THE YEAR EIYDED31 JULY 2024
P8ge
Report olthe Trwtees
l#dependeDt ExamlDer'8 Report
Stalement of Tjnanelal Activilies
Balance Sheet
4 to 5
Notss to tbe Fln2ncl41 Stslements
6 to 10
Detailed Statement of Financ￿1 Activities

D￿SIgn Envelope ID: 252C6EB5-99DB4411-BD8TrEF82B570AD96
STANDBRTDGE LANE COMMUIYITY DEVELOPMENT
TRUST
REPORT OF THE TRUSTEES
FOR THK YEAR ENDED 31 JULY 2024
The trustees who are also directors of th¢ chwity for the purposes of the Companies Act 2006> preseiit tsir report with
the financi&l statattents of the Charity for the ye8r ended 31 Juty 2024. The trustees have adopted the provisi¢)ns of
Accounting and Reporting by Charities.. Statement of Recommended Practice applicable to charities preparing their
accounts io accordance with the Financial ReportiD8 Standard applicable ill the UK and Republic of Irejand (FRS 102)
(¢ffectiv¢ l January 2019).
STRUCTURE, GOVERNAI¥CE AND MANAGEMENr
Governing document
The charity is controlled by its go¥erninE do¢Un￿llE a deed of and con8ritutes a limited ¢ompally, limited by
guarantK as defwed by the Companies Act 21x16.
REFERENCE AND ADmIlY￿rn DETAIIS
Registered Company Dumber
08163367 (England and Wales)
Regtstsred Cbarlty number
1153133
Regbtered office
The Monica Gtalwn Centre
Standbridge lane
Wakefleld
West Yorkshire
WF2 7NP
Trustees
Mrs M L Graha
Mrs L Hamisworth (reswed 3.1024)
Mr M Roberts
Mrs V Pawlowski (resigned 3.10.24)
MrA Hall (appointed 1.8.24)
Mr K M Burbidge Electrician (appointed 7.5.24)
Mr A S Crone CoMp￿Y Director (appointed 7.5.24)
Independent Examiner
Sheric¢ Parfttt FCCA
Harrison & Co
531 Denby Dale Road W¢st
Calder Grov¢
Wakefield
West Yorkshire
WF4 3ND
This report has bttn prepared in accordaTJce wrtb the sp¢01￿ provisions of Port 15 of the Compani¢s A¢t 2006 relating
to small ¢ompanies.
Approved by order of the board of trustees on 12 Mar¢h 2025 and signpAI on its behalf by:
ghe&ty.'
20S3S718AC74486...
Mrs M L Graham- Trustee
Page I

Docusign Envelope ID.. 252C6EB&99DB4411_BD80.EF82B570AD96
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
STANDBRIDGE LANE COMMUNfTY DEVELOPMENT
TRUST
IndependeTht eAamlDer's rnport to the trustees of Standbrldge Lane CommuAity Developn*nt Trust Cthe
Company,)
I report to the clwity trustees on my examination of the accounts of the Company for the year ended 315uty 2024.
Responslbllitie& and basis of rtport
As tlie clwitv's trustees of the Company {and aIso its d]r￿torS for the punx)ses of company law) you are Tespousible for
the pr¢paration of the accou￿$ in accord￿ with the requirements of the Companies A¢É 2006 ('the 2006 Act).
Having $￿ISfied myself that the accounts of the Company not required to be auth.ted under Part 16 of the 2006 Ad
and are eligible for iudepth examinat[￿ I report in respect ofmy ￿￿MInatIon of your charity's accounts &8 ¢arri
out under SeL'liun 145 of the Chartties Act 2011 Cth¢ 2011 A¢Y). In cwiug out my cxamination I have followed the
Directions givtsn by the Charitycommission under Sertion 145(5) (b) of tbe 2011 Act.
IDdependen* exa￿l￿e￿S statement
I have completed my examI)ntio￿ I confllm that no matters have come to my attention in connection with th¢
emination giving me cause lo believ¢:
accounting records were not kept in r¢spe¢t of the Company as requiTod by Sertion 386 of the 2006 Act. or
thi accounts do aot accord with those reLords" or
the accounts do not ¢ompty with the accounting requi￿ents of Section 396 of the 2006 Act otknr thau any
requi￿ that the accounts give a and fair view which is not a matt¢r considered as part of an independent
examination. or
the accounts have not b¢¢n prep8sed in accorda￿ with the methods aDd principle5 of the StstWD¢nt of
R￿0Mm¢ndtd Pra¢ti¢e for xcounting 8nd r¢porbng by th￿itieS (applicablo to charities preparing their accow
in a¢cordance with the Financial Reporting Standard applicable in th¢ UK and Republic of Ireland {FRS 102)).
I have no concenK8 ￿xI have conK a¢ross no other matt¢rs in connKtson with th¢ examination to which attention should
be drnwn in this ftport in order ro ¢nabl¢ a proper und¢rstallding of th¢ accounls to k ￿aChed.
Sherice Parfitt PCCA
Harrison & Co
531 Dfflby Dale Road West
Calder Grov¢
Wakefield
West Yorkshir¢
WF4 3N
12 March 2025
Page 2

Docusign Envelope 10.. 2s2c6EB&99DB4411￿D￿EF62B570A096
TRUST
SIATEMEffr OF FINANCIaL ACTIVITIES
FOR THK YKAR ENDKD 31 JULY 2024
2024
2023
Total
Unrestricted Rdstri¢ted
INCOME AND ENDOWMENTS FROM
Donations aud legacies
71J55
71 J55
63.033
Chsrltable aciivfiti
99,928
99,928
6.500
Oth¢T trading adivities
171283
171.283
70.844
EXPKNDrfuRE ON
Raising funds
4,349
474
4.823
Charitsble actiV4ties
Gthernl
78.830
78.830
1,988
Totsl
83,179
474
83.653
97.988
NET INCOMEI(EXPENDITURE)
88,104
(474)
87,630
(27,144)
RECONCJLIATION OF FUNDS
TO￿ fimds brought ftlrward
132,705
15.478
148,183
175,327
TOTAL FUNDS CARIUED FORWARD
220,809
15,004
235.813
148,183

Docusign Envelope ID.. 252C6E85.99DB4411_BD80_EF82B570AD96
sTANDBRll￿E LANE cOM￿ll7￿[[y DEVELOPMENT
TRUST
BALANCE SHEKr
31 JULY 2024
2024
2023
Totsl
Uiirestricted Restrlcted
fund
fimds
Notes
FIXED ASSETS
Tatigibk ass¢ts
98.390
98?90
102,949
CURRENT A&SETS
Debtors
C&sh at bank and in hand
5,745
127,191
5,745
142,195
9,633
38,554
15,004
132.936
15.IJM
147,940
48,187
CREDITORS
Amounis falling due within one year
(10,517)
(10.517)
(2,953)
NET CURREP4T ASSETS
122,419
15.004
137.423
45,234
TOTAL ASSETS LESS CURRENT
LIABILITIES
220.809
15,004
235.813
148,183
NET ASSETS
220,809
15,004
235,813
148,183
FUNDS
UtlTestri¢t¢d funds
Restricted funds
220,809
15.1)04
132.705
15,478
TOTAL FtINDS
235,813
148,183
Th¢ ¢haritable rnpany is entitled to exwtion from audit under Section 477 of the Companies Act 2006 for the year
ended 31 July'2024.
mcmb¢rs have not required the mmpany to obtsill an audit of its fjnawial statements for the year ended
31 Juty 2024 in accordance with S¢ctioD 476 of the C(mipaDi¢8 Act 2006.
The trustees acknowl¢dge their resP)n￿1)llIt1¢S for
(a) ensur1￿ that the tharitabk company keeps accounting tt¢ords that comply with Sections 386 and 387 of the
Companies Act 2006 and
(b) prepdring f￿ancIal statements which give a lrne fair view of th¢ stale of affairs of the ¢l)arilabk company as
at the end of financi81 year and of its surphjs or deficit for each financial year in accoTdance with d
requirem¢nts of Sethions 394 and 395 and ￿l¢b othenvise comply with the requir¢ments of th¢ Conwies Act
2006 ttlating to finall¢￿1 statements, 80 far as applicable to the charitabl¢ ¢onwBry.
The not¢$ forni part of these fJnan¢ial statements
Page 4
contlnued...

Docusign Envelope ID: 252C6EB&99DB4411.BD8￿EF82857OAD96
STANDBRIDGE LANE COMNfUNnY DEVELOPMENT
TRUST
BALANCE SHEET- eontlnued
31 JULY 2024
These finEnci￿ statements have been prepared in accordance with the provAsiofLS applicable to charitable companie5
subject to the small compani¢s regime.
The financial stat¢ments were approved by the Board of Tnthes aad authori8¢d for issue on 12 Mar¢b 2025 and were
sI￿￿d on Ats bebalf by.
lIBDg030K￿6482...
Mr A Hall . TTUSte¢
by..
30¥5719A6744B6..
Mrs M L Grabam. Trustee
The notes forni part of theK financial statements
Page 5

Docusign Envelope ID.. 252C6EB5-99DB44114D80-EF82B570AD96
STANDBRIDG'E LANE COMMUNrrY DEVELOPMENT
TRUST
NOTES TO THE FINAP4CIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2024
ACCOUNfNc POLICIFS
Basis ofpreparlng the fwanclal statements
The fnjancial statem¢nts of the clwitable compaty, whi¢b is a pub]ic benefrt elltity PRS 102, have been
prepa￿d in accordance with th¢ Charities SORP (FRS 102) 'Arxounting and Reporting by Charities: Staieine41t
of Recommell￿ Piactirx applicable to Ch￿ltieS prep8ring their accounts in accordallce wrtb the Financial
Reporting Slandard app]ic8ble in the UK 8tkd Republic of Ireland (FRS 102) (effective l January 2019y,
FiJwiciaJ Rey)rting standard 102 'The Financial Reporting Standard applicable ID the UK and Rq)ublic of
Ireland, and the cOmpaDi￿ Act 2006. iThe fmanci81 staiements have been prepared ulld￿ the histOTical c05t
convention.
Ineomc
All inLomc is recognised in the Statement of Financial Activities once the ch8Tity has entitlement to the fi￿d8, it
is probable that th¢ incom¢ will bc reccived and the a0￿Unt can be measured reliab]y.
Expenditure
Liabilities are rccognised &8 expenditure as s(rf)n as thetc is a legal or constructive obligation committing th¢
¢harity to that ¢xpenditure, it is pmbable that a tronsfer of economic benofits will be required in settlement and
the amount of tkn obligation can be me&sur¢d reliably. EX￿¥1}lUre is accouDted for on an a￿val8 basis and has
b¢en classified under hoadings that aggr¢gate all cost related to the category. Where costs cannot be directty
attributed to particular headings they have been allo¢ated to artiviti¢s on a basis consistent with the use of
resources.
Tanglble fix￿ tts￿ts
D¢preciation is provided at thc following aDnual rat¢5 An order ￿ write off each asset over its estimated useful
Short leasehold
Fixtures and fittings
Computer equRpm¢nt
20A on cost
150/0 Oll Cost
20% Straigbt line
Taxation
The charity 15 ¢xempt froD) corporation tsx on its charitable activities.
Fand aceounting
u[￿eStriCted fimd5 can b¢ used in accorthce with th¢ dwAtable objedi￿S at th¢ dlscrction of the trustrts.
RestrKted funds Can onty be used for parlicular restricted purposes within the objects of the charity. Restric
arise when specifi¢dby th donor or funds are rnised for p8rticuknr r¢8trthd purF4)ses.
Further explanati￿ of th¢ nature and p￿￿e of¢a¢h fi￿d is included in the notes to the financial stthm¢nt$.
2024
2023
r ¢vents and claims
ijii
Page 6
ntinued,,.

Docusign Envelope ID: 252C6EB5-99DB44114D80-EF82B570A
TRUST
NOTES TO THE FINANCIAL STATEMEP4TS- conthiued
FOR THE YEAR EM)ED 31 JULY 2024
NET INcOME1￿xPENDITuRE)
Net inc4Mnel{expenditllre) is stated after thaTging1(crediti￿.
2024
2023
D¢preciation. owned assets
4,559
4,969
TRUSTEES, REMuNE￿TIoN AND BENEFMTS
There were no trijstses, remuneration or other benefits for the year ended 31 July 2024 nor for the yw ended
31 Juty2023.
There were no truste¢s' ¢xp¢nses paid for the year ended 31 Juty 2024 nor for the yeat ended 31 July 2023.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITtES
UDrestrict¢d
fimd
fI￿dS
INCOME AND EfiDOWMENTS FROM
Donations and legacies
62223
810
63,033
Charitable 8¢¢lvStles
Geo¢ral
6,5
6,500
Oth¢r irading activities
1,311
1,311
Tot81
70,034
810
70.844
EXPENDITURE ON
Charitabk aetlvitks
General
97252
736
97,988
NET INCOMEI(EXPENDrruRE)
TraRSters between £uDds
(27218)
15.315
74
(15,315)
(27,144)
Net movement iti fuAd$
(11.903)
(15241)
(27,144)
RECONCILIATION OF FUNDS
Totsl fimd8 brought forward
144,608
30,719
175J27
TOTAL FUNDS CARRIED FORWARD
132.705
15,478
148,183
Page 7
ci)ntinue(l..

Docusign Envelop8 ID: 25￿EB5Jy￿DB44l1-BDa￿F82B571jA
STANDBRIDGE LANE COMNffU]YITY DEVEIA)PMENT
TRUST
NOTFS TO THE FINANCIAL STATEMENfs . wntinued
FOR THE YEAR ENDED 31 JULY 21)24
TANGIBLE FIXED A&SETS
Short
lea$d￿ld
Computer
equipment
fittings
Totals
COST
At l August2023 and 31 Juty 2024
117.9.$0
15,171
15,587
148.708
DEPRECIATION
Ai i Augusl 2023
Charge for year
20,234
2,359
12.612
993
12.913
1.207
4J59
At 31 July 2024
22,593
13,605
14,120
50,318
NET BOOK VALUE
At 31 July 2024
95,357
1,566
1,467
98.390
A.t 31 Juty2023
97,716
2,559
2,674
102,949
DE￿ORs. AMOUNTS FALUNG DUE WITHIN ONE YEAR
2024
2023
Trade debtors
5.745
9,633
CREDITORS: AMOUNTS FALLING DUE wrrHIN ONE YEAR
2024
2023
Trade creditors
Ac(Yued expenses
6,964
3,553
1,440
1.513
10.517
2,953
MOVEMENT IN FUNDS
movem¢nt
in fimds
At
31.724
At l.823
Unr&¥trlcted fuhds
Genernl fund
132.705
88,104
220,809
Restrictsd fwids
15.478
(474)
iJ,004
TOTAL FUM)S
148.183
87.630
235,813

D￿sIgn Env8lope ID: 252C6EB&ggDB4411-BD80-EF82B570AD96
STANDBRIDGE L4NE COMMUNITY DEVEIA)PMENT
TRUST
NOTES TO THE FINANCIAL STATEMENIS. eontlDued
FOR THE YEAR ENDED 31 JULY 2024
MOVEMENf IN FUNDS. ¢oBtiuu*l
Net rnov¢meirt ID included in th¢ above are as follow&
Incoming
resources
Resources Movement
expended
in funds
Unre$tri¢ted fundi
General fimd
171.283
(83,179)
88,104
Restrkted funds
Restricted fimd
(474)
(474)
TOTAL FUNDS
171,283
(83.653)
87.630
Comparatives for mov¢ment ID fuudi
Net
Transfas
movement between
in funds
funds
At
31.723
At 1.8.22
Unrestrlcted fund8
General fill
144,608
(27218)
15J15
132,705
Re&tricttd lundB
Restricted fund
30,719
74
(15,315)
15.478
TOTAL FUNDS
175.327
(27,144)
148,183
Comparativ¢ net movement in funds. included in the abov# m as follows:
Movement
infim
Unregtrieted fvDd8
70,034
(97.252)
(27218)
R¢strlcted fullds
Restricted fand
810
(736)
74
TOTAL FUNDS
70.844
(97,988)
(27,144)
Page 9

Docusign Envelope ID.. 252C6EB5-990844114D80-EF82B570AD96
STANDBRIDGE LANE COMI*￿NITy DEVEIDPMENT
TRUST
NOTES TO THE FINANCIAL ￿￿TEMEN￿S. eonthiued
FOR THE YEARENDED31 JULY 2024
MOVEM￿ IN FUNDS- ¢ontinu
A cvrrent year 12 mollths and prior year 12 months combined position is as follows:
Net
movement
in fiuKIs
Transf￿3
At
31.7.24
At 1.8.f2
fimds
UDrestrlcted tsnds
General fund
144,608
60,886
15,315
220.809
Reslrieted funds
Restri¢ted fund
30,719
(400)
(15,315)
15,004
TOTAL IqJP4DS
175,327
60,486
235,813
A current year 12 month and prior year 12 months ¢ombined net rnoveme￿ in fund4 I￿luded in the above ar¢
as filllows:
Incoming
rwurces
Resources Movement
eX￿ded
in funds
Unrestrkted funds
General fund
241.317
(180.431)
60,886
R&¥trlcted funds
RestrA¢tsd fund
810
(1210)
(400)
TOTAL FUNDS
242.127
(181.641)
60,486
10. CONTINGENT L]ABILrriES
It has been brought to the tr￿steeS attention that no water Tates have been charged to the charity in relation to the
freehold propety since its acquisition from Wakefield CouDciI. It may traDspire that the ¢owi¢il have mainthined
payment of the ratss to Yorkshire Water and therefore no liability will ensue. As the amount 1$ as yet
iuiquantit]able and very much uncertain no mon¢tary a4iuslments bave been made to the accounts.
11. RELATED PARTY DISCLOSI]RES
TheTe w¢tt no related paty transarti¢)n8 for th year ended 3 l July 2024.
Page 10

Dwjsign Envelope ID: 252C6EB5-99DB44114D81>EF82B570A
STANDBRIDGE LANE COMMUNITY DEVELOPMENT
TRUST
DETAILED STATEMENT OF FINANCIAL AcfivrTIES
FOR THE YEAR ENDED 31 JULY 2024
2024
2023
INCOME AND ENDOWMENIS
Donatlons And legacies
Donations and room hire
71,355
63,033
Oth¢r trading Activities
Oth¢Y eveDts and ¢laÈms
1,311
ChArltsble activitiej
99,928
6,500
Tot#1 in￿ming r¢Jourc¢s
171283
70.844
EXPENDITURE
Support wsts
MaDagemeat
Rates and wat¢r
IL8urallce
Light and heat
Tel￿one
Printing postage Stationery
Advertising and pron)otional
Sunthies
SI￿ leas¢ho]d
ixtttyes and fittings
Computer equipment
5.660
4.490
35,197
1,693
1,098
382
932
2,359
993
1,207
4,371
3,916
25.850
1,135
347
2.775
4.266
2,339
1,142
1,468
54,01 I
47,629
inance
Bank Cha￿treS
165
180
R¢p¥Jirs
Cleaning and hygiene
Repairs and renewals
Comput¢rs and sofiware
Equipment
Grounds
Health and safety
9,963
10,022
868
12.399
28,478
766
2,527
1,307
2,606
4.204
1,323
26,380
48,083
Covernanee eosts
A¢¢owitancy fees
t*gal and profesykonal fees
2.040
1,057
1,752
344
3.097
Total resour¢¢y expended
83.653
97,988
Ntt incomel(eip¢nditure)
87,630
(27,144)
This page does not forni of the statutory fjnoncial Slatem￿lts
Pagell