CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for t
e period
From 1 July 2023 Period start dats
30 June 2024 Period end date
Charity name: Maidenhead United F
Community Trust
Charity registration number: 11609
Objectives and Activities
SORP reffr
Summary of the purposes of
the charty as set out in its
governing document
Pafa 1.17
Our charttable objects are.. lo promote
community participation in healthy recreation
by the provision of facilrties (land, buildings,
equipment and activities) for playing football
and other sportslactivities capable of
improving health and wellbeing..
Summary of the main
activities in relation to those
purposes for the public
benefit, in particular. the
activities, projects or services
identified in the accounts.
Para 1.17
During 2023124 we continued to deliver a
varied programme of actNities designed to
support the health and wellbeing of people of
all ages and abilities within our communty.
Key activities undertaken for public benefit
during the year included:
Wellbeing Support Service - ￿lch is
available to anyone wrthin the local
communrty who would benefit from support
to help overcome challenges that impact
their emotional andlor physical wellbeing
including social isolation and loneliness. The
key objective of the seNice is to help people
overcome the barriers to being active and
socially engage including those who struggle
to be engaged due to their personal
circumstances. These can range from the
busyness of life because of work or family
commitments, confidence. and mo
significant life change due to poor health,
bereavement, unemployment, children
leaving home. Our focus is to provide
support which enables people to maintain
their wellbeing and Independen￿ cost-of-
living crisis.
Wellbeing Circles- Working in partnership
with the Royal Borough of Windsor &
Maidenhead and Frimley Health, we
continued to deliver our Wellbeing Circles
provision. We have an established referral
pathway via a range of partners including
social
rescribin
. the local authorit
and

local charitable and voluntary sector
organisations, which enables us to identfy
vulnerable adults who would benefrt from
intensive support to help to maintain
independence. gain confidence and stay
engaged within their community. Our
perS0n-￿ntred approach enables us to work
directly with individuals to provide
personalised packages of support via our
team of wellbeing volunteers and partner
organisations.
The continued operation of our grassroots
football provision including providing fun and
competitive football opportunities for children
and young people aged from 6 to 18,. adult
women's football, walking football, autism
football and disabilty walking football.
We also delivered a wider programme of
physical and social inclusion activities with a
particular focus on provision for older people
including seated exercise, social
engagement activities, back to fftness
sessions and guided walks.
The continued delivery of the Premier
League Primary Stars programme in 5
primary local schools.
With the majority of our
Statement Confi￿1ng
whether the trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefit
Para 1.18
The Trustees fully understand the
requirement to deliver activities in line wtth
the Charity Commission's public benefit
guidance, which we account for when the
planning the development and delivery of all
our activities.
Additional information (optional)
You ma
choose to include further state
SORP refe
ents where relevant about:
nce
Policy on grant making
Para 1.38
Policy on social investment
including program related
investment
Para 1.38
Contribution made by
volunteers
Para 1.38
Other

Achievements and Performan
Key achievements during the year include:
133 vulnerable adutts engagedlsupported
through the Wellbeing Circles
programme.
Summary ofthe main
achievements of the charity,
identifying the difference the
charity's work has made to
the circumstances of its
beneficiaries and any wider
benefits to society as a
whole.
Para 1.20
115 adults engagedlsupported through
the Household Support Fund.
792 children, young people playing
football though our Maidenhead United
Juniors Football programme.
30+ volunteers actively engaged in
supporting our Wellbeing Support Service
and aging well inrtiatives.
70 girls participating in a girfs sports
festival
23 adults participating in our disability
walking football & healthy hubs
programmes.
235 older people physical activity and
social engagement sessions delivered.
Over 100 separate walking football
sessions delivered with separate
sessions for men and women.
6 communty events delivered during the
year with 925 participants.
10 walk leaders trained to support our
Ramblers Wellbeing Walk programme.
985 children participating in Premier
League Primary Stars activities which
included non-curriculum days, sports
leaders mentoring, healthy eating and
anti-discrimination events, girls only
football sessions and reading support
activities.
Additional infonnation (optional)
You ma
choose to include further state
nts where relevant about:
Achievements against
objectives set
Para 1.41
Para 1.41

Performance of fundraising
activities against objectives
set
Investment performance
against objectives
Para 1.41
Other
Financial Review
Review of the charity's
financial position at the end
of the period
Para 1.21
The charity remains in a strong position
financially and at the year the cash funds
available were £141,390, a small increase
on the previous year.
Statement explaining the
policy for holding reserves
statin
are held
Amount of reserves held
Para 1.22
We currently do not have a reserves policy.
Para 1.22
NIA
Reasons for holding zero
reserves
pa￿ 1.22
Whilst we do not hold a specific reserves
policy. we do monitor our financial position
monthly with the objective of ensuring that
no commitments for expenditure are made
unless the income has been secured to
cover any new commitment.
This approach works effectively enabling us
to proactively mitigate financial risks, as
demonstrated during the latter part of the
year when we were able to minimise the
financial impact of the early stsge of the
pandemic on the charity.
Details of fund materially in
deficit
Explanation of any
uncertainties about the
charity continuing as a going
con￿rn
Para 1.24
NIA
Para 1.23
None
Additional Inforniation (optional)
You ma
choose to include further state
errts where relevant about:
The charity's principal
SoUr￿S of funds (including
any fundraising)
Parn 1.47

Investment policy and
objectives including any
social investment policy
adopted
Para 1.46
A description of the principal
risks facing the charity
Para 1.46
Other
Structure, Governance and M
nagement
Description of charity's
trusts:
Type of governing document
A i u.'2,: cnarteri
How is the charity
constituted?
je g LJr,Incorporated
as£ociation. CIO)
Trustee selection methods
including details of any
constitutional provisions e.g.
election to post or name of
any person or body entitled
to appoint one or more
trustees
Para 1.25
Constitution adopted on 31 January 2015
Parn 1.25
Charitable Incorporated Organisation
Para 1.25
Apart from the first charity tnjstees, trustees
are appointed by a resolution passed at a
properly convened meeting of the charity
trustees.
Addltional inforniation (optlonal)
You ma
choose to include further state
ents where ￿levant about:
Policies and procedures
adopted for the induction and
training of trustees
Psrn 1.51
The charity's organisational
structure and any wider
network with which the
charity works
Para 1.51
Relationship with any related
parties
Para 1.51
Other

Reference and Administrative
details
Charity name
Maiden
ead Untted FC Communty Trust
Other name the charity uses
Registered charity number
116095
Charity's principal address
17 Nort
Town Moor
Maiden
ad
Berkshi
SL6 7J
Names of the charity trustees who man
ge the charity
Dates acted If not for whole
Trustee name
Office (rf any)
Name of person {or body) entitled
int truste8
ifan
Graham Alfred
Bob Hussey
Steve Jinman
Tanya Davis-
Hussain
Mark Camp-overy
Vincent Bennici
Sachin Ghedia
Chair
12103124 - 30106124
12103124 - 30106124
Cor
orate trustees - names of the direct
Director name
rs at the date the re
ortwasa
roved
Name of trustees holding title to property
longing to the charity
rf not for whole
Trustso name
Dates a

Funds held as custodian trust
Description of the assets
NIA
held in this capacity.
es on behalf of others
Name and objects of the
charity on whose behalf the
assets are held and how this
falls within the custodian
charrfcy's objects.
NIA
Details of arrangements for
safe custody and
segregation of such assets
from the charity's own
assets.
NIA
Additional information (optional)
Names and addresses of advisers (Op
Type of
Name
Ad
adviser
ional infonnation)
Name of chief executive or names of
Jon Adams - Chief Executive, Helen Pr
nior staff members (Optional information)
dy- Community Trust Manager
Exemptions from disclosure
Reason for non-disclosure of ke
rson
el details
Other o
tional information
Declarations
The trustees declare that they have ap
roved the trustees, report above.
Signed on behalf of the charity's trus
Signature(s)
Full name(s)
Graham Alfred
Tanya Davis-Hussain
Position (e.g.
Secretaryg Chalr. etc)
Chair
Trustee
Date
27 February 20

CHARITY COMMISSION
FOR ENGLAND AND WALES
Maldenhead Unlted
Charity No
rfan
C Cofftmunlty Trust
Annual accounts for the period
1160950
Period start date
en
date
0110712023
To
3010612024
Section A
Statement of financial activities
Recommended categorfes by
activlty
Unrestrlctad
funds
Income
funds
Endowment
funds
Prior year
funds
Total funds
Incoming resources (Nots 3)
Income and end¢xvments from:
F01
F02
F03
F04
F05
DonalKJn$ and legacies
Charftabla a¢tiwties
OthertradlrKJ activthe8
Inve5trnents
S01
99.317
204.412
132,948
303.729
132,948
7,840
1,111
233,877
99,375
9,128
S03
7,840
1,111
Separate matwial itèm cl irwne
Other
Total
Resources expended (Note 6)
Expenditure OTh:
Raising frjnds
Chartlablè acbvities
S07
108,268
337,360
445,628
342,380
107,809
337,104
444,913
312.034
Separat8 rnatèrial item ofexw
S10
S11
Total
S12
107.809
337,104
444,913
312,034
Net incomel(expenditurn) beforo investment
gainsl(lossés)
Net gainslllo¥8e81 on Invtsth￿ts
Net Incomel(exponditure)
Extraordinary items
Transf•rs between funds
other recognised gainsl(losse8):
S13
459
256
715
30,346
S14
S15
459
256
715
30,346
$18
S17
Gain8 and losses C￿ rovgluation offLxwl assets forth8tYMrW$ UBe
Ott)er gainslllossesl
Nat movement in funds
S18
S19
459
256
715
30,348
Reconclliation of funds..
Total funds brought forward
Totsl funds can7ed fonvard
459
256
715
30,346

Section B
Balance sheet
Restricted
Income
fvnds
Unrestrictsd
funds
Endowmont Total thls
funds
year
Total last
year
Fixed assets
Intsngible assets
Tangible assets
Heritage assets
Investments
F01
F02
F03
F04
F05
{Note 15)
(Note 14)
(Nots 16)
(Note 17)
Total fixed assets
Current assets
Stocks
(Note 18
Debtors
(Nots 19)
Investments
(Note 17.4)
Cash at bank and In hand (Note 24)
Total current assets
140,675
140,675
810
Creditors: amounts falling due within
one year
(Note 20)
B11
Net current assets/(IlabilitiesJ B12
140,675
Total assets less current liabilities B13
140,675
Creditors: amounts falling due after
one year
(Note 20)
Provisions for liabilities
B14
B15
Total net assets or Ilabilities
816
141.391
141,391
Funds of the Charity
Endowment funds (Note 27)
Restricted income funds (Note 27)
Unrestricted funds
Revaluation reserve
140,675
B17
B18
B19
141.391
141,391
140,675
Total funds
140,675
Signed by one or two trustees on behalf of all
the trustees
Date of
approval
ddlmml
Signature
Print Name
Graham Alfred
27.02.2025
CC17a (Excel)
3110312025

FRS1CQ'
Y•
Y•
C17•(E￿Il
31N)YJJ25

Section C
Notes ti) the accounts
Iconti
Nots2
2.2 INCOME
Accounting pollel•8
This stsndany I￿01aCC(￿n&rtg￿K￿s t¢en 8￿￿￿bylhtr
atyexc¥Mftxttxise tKk8LI 7do.or */a".
Recognjllon of Incom• Tkn are I￿￿ded in the Staterr
of Flnartial Pthll*s {SoFAI ThI￿n.
¢t 69 mtre likety than not that
the I￿￿￿ry¥#Iue t2n t* m
Yes
No
Nla
rgJ *ith rdiabilrty.
No
Nla
Off••ttlng
P8rnrfted tythe FRS 102 SORP
RS 101
No
Nla
GraIts3￿ ar• thily indu
criieria are met{5.10 b 5.12 FRS10
Grants and donallor
SORP).
nts, irK£¥ne MLston￿ ￿ rwxsntsed tr) tho
No
Nla
that the chanty has wo¥tded the s
abj fxx>thbons are met15.16 FRS 102 SORP).
n is wobat4è, Ihal is. ¥th8n thwè has
ve estthithgJ that there are 8uffK*rt assets in
to tr* legw *ithin tr* <%*)trc4 ofthe
Legacl•s
LegaL* a￿ induded in the SOFA
No
Nla
the estste and anyCfyx1itt￿S
Yes
No
Nla
GrftAid rece(*atAe is Ind￿ In i
Tax r8clalm8 on don￿lonS Any Grft Aid amunt r￿er1d a
nd gffts
¥*hen therè is a dedarats)n the dcrnr.
i¥0￿￿j￿￿ to bè part ofthat is
Nl
Contractual Ine4)Th and This is C￿ty in Ihe SOFA o
perlomi•rK• rel•i•d
grants
No
Nla
Yes
No
Nla
xthangedl unW impr￿tsca1 to do
the fairvalue ofihose gats atts ti
In the rwting peric#Y in
Yes
No
Wa
Donated gc(*Jsfor reBale ar8 mèa¥u
initlal rec(gn￿on. is the
dirKJ si(>* recryjnwj in tt* bakn
Nl
sheet On its s* tha Y￿Ue cl stc¢k
No
Nla
aTrJ indlthd in the SoFAas in0￿1
Grf15 in klnd ts u5¢ tylhe t*arity
No
Nla
Donated wr¥l¢o8 ond Donaied servre8 aTrJ knfibes are
f•¢llltlos
Ihè gift to the charity w￿l￿ad th• val
Nla
the SOFA rKeNed Olthe value c
grf1￿ ￿ rneasur&l r￿18￿.
ith an •4uWent anwrt I&￿ni
Ihe SOFA
No
Nla
Nla
Support co•ts
Volunt••r help
7fdlueirfany7K4untsry W)
Yes
No
Nla
Income from Iiiterrf Trls I￿ud￿j in thea¢xi%nts
roy•ltle8 and dlvkl•nds t* nwur8d ￿1￿￿.
No
Nla
subscrlptton8
aThJ Leg&l88.
es

s￿•m•ntO1lnIUr*fi¢+
¢lalms
In￿rance daima ore onfyT irthw i
L¥itèria a￿ met15.10 to 5.12 FRS1
inc£￿￿ in the SOFA
Yes
Nla
In¥¢stmert gal￿ and
ItX8e8
No
Nla
hy gain rewltiTrJ frcrfn '
2.3 EXPENDITURE AND LIABILITIES
Li•blllty roeognluon
Liatslths rEwJnk4d L%
structiv¢ ttffimitiiry th
oIAvJat"on can te measur•1
l*&yihan th* tI￿e Os a W or
wity to rea￿[C4S aNI rnntof
e rAtanty.
No
Nla
wilh reguL4tion and
SuppXt￿¢ts fij
categwes on a t￿¥ ￿￿SIStenI '
No
Nla
the use olreSwr￿. alt¢ating ￿ ￿¥ts
nd￿L￿ ts its pw t*irYd a ot
grants rèxsnised in ts SOFA On￿ t
condltlon$
Grants ptyablg wltlwt
iThJ to the grant ltst enabks ￿ *JryKrc*arty to
tyforlhè W I￿Ing must be
Yes
No
R•dundan¢y cost
No
Nla
No
Nla
No
Nla
Crndltc
A IB rr*asufvY ￿ rwitbjn
Provlslons for IlablllUe* moasureA atJ* bestesln* (*the
rewting datè
The charlty aLV)urts for bast fi
paragraph 11.7 FRS102 SORP.
to 11.19, FR8102 SORP.
No
Nla
8asi¢ flnanelal
Instrurnents
No
Nla
2.4 ASSETS
Tanglble flx•d amets for These afvr•aW rfttw(zn b8
by¢harlty
No
Nla
#.2.
Intangjljl•f￿•d aM•t• The charity IntaffjIb￿ frThJ
rthy*al sut6tsl￿ Jdenbfiab
Nla
Th￿arn valued atL)JSt
Hefflogo a*￿tr
s¢xenlfic, t&hTrc*gtsl, geophysral
maintslned ￿l￿paI￿ [Ortsr￿ri
r Wmronmèrt￿ qu￿*￿$ th* are hesj
No
Nla
in Mt• 9.6.1.4.
Yes
No
asset Investr￿ts in qwbJ
¥￿Ue￿ at in[b￿￿ at CA)St and subseq
end. The sth treatM￿tt appl
Measll￿ ￿lIatty in c*e it i8
atPdW vth market Yalue} attt* year
unli*Y invesbrvts Un￿ fair 12nnot t
Nla
No
Nla
rnatsjnty date of kn Ihan 1 swrarè
o¢k• and work in
progre88
Nl8
y•a￿ble value.
es
No
Work in at(￿1

Yes
D•btor8
Nla
thryare wau￿j attt* cash or
Currwrt a•s¢t e4uNaknts *ilh a rnatrJrityt1ate I
uivalents a mabjntydate of
é Ib)Ids ts resale or FerxliN4 th*r8* aNI t•h and cash
No
Yes
No
Nla
POLICIES ADOPTED
ADDITIONAL TO OR
DIFFERENT FROM
THOSE ABOVE
Mot Appllcabl

Section C
Notes to the accounts
Icontl
Note 3
Analysis of Income
T1￿ fvnd• Prfor
Ana
Donations and ifts
Gift Aid
Le
acios
General grants provided by govemm&nVother
charities
Memb&rship subscriptions and sponsorships
which are in $ubslance donations
Donated oods, facilities and services
Other
Donations
and 18gacio8:
75.61
10,917
204.412
204,412
147,348
Totsl
.317
204,412
303.729
233.877
Charitablo
activities:
Other
Grants
132.948
132.948
99.375
Other
Total
132,948
132,948
99,375
Other trading
a¢tivitie8:
150 Challenge
9,128
Other
Total
9.128
Income from
investments:
Interest income
Dividend income
Rentsl and leasin
Other
1.111
1.111
income
Total
1.111
Separdte
matsrial item
of income:
Total
othor.
Conversion of endowment funds into income
Gain on disposal of a langible fixed asset held
for cha
's own use
Gain on disposal of a programme ￿lated
investment
Royalties from tr* exploitation of Intel￿al
ro
Other
Total
TOTAL INCOME
337.360
Oth•r Inf0m￿tIOn.
All Incom• In tho prlor y•or Twas unl••trfC￿ O￿apt for.
(ple￿ provld• d•Jcrlptton and amounts)
NIA
Wh¢r• any end¢)wment fund h convort¢d into Income in th•
reporting perltxl. pl•a¥e glv• the rnasart for the ￿nVerS1O1￿
NIA
Whom any ondowm•nt fund Is eonv?rt•d Into Inc¢Mno in th•
prlor ptrrlod. pl•a8e glve the reason f¢r th• conv•r¥lon.
NIA
W5th1n the Incom• Itoms abov• th• foll¢v*lng Il•m• arn
matsrial: (pl￿8• dl•¢loso the nthr￿ amount and any prfor
year amounts)
NIA
CC17a {Excel)
3110312025

Section C
Notes to the accoii nts
Icontl
Note 4
Analysis of receipts of govern
ent grants
Thls year
Govemment grant 1
Governmant grant 2
Government grant 3
Other
Total
Last year
DesGri
on
Government grant 1
Government grant 2
Govemment grant 3
Other
Total
Please pmvlde detsils olany
unfulfilled condth.ons and other
contingencles attaching to grants
that have been recognlsedln income.
NIA
NIA
This
Last
Please gwe detalls of otherforn￿ of
govommont asslstance from whkh
the charity has directy boneffte
NIA
NIA
CC17a (Excel)
3110312025

Settion C
Notts to the ac.=ounts
Iconti
Note 6
An•tyslts ofupendllurn
Analysi¥
endttrjre on ral3ln
fund¥:
Ineur¥ed seeking donation$
Incuffgd seekiNJ legacies
Incurred seekiffj grants
8Ctial10tt8ries
Stsgir¥J fuTrJrafjsing aventy
Fudraising agents
Okwting charity $lKPS
Operating a trading
und8rtaknng nofvc*arrlth tradir
acb.vty
Advertrsing, rnarkeuno. dir*t rnafj a
Start UP ¢OSts irKurre(l in gen8r4tirvJ
nw ¥ource olftthJre incorn•
Othertrading aCtiV￿e$
In¥esbnent manaoemont costs..
Porlfr￿#) mana
ement costs
Cost of obtainitvJ lnvestrn8ntadv￿¢
Ints1￿CluaI yoperty JKenfAffj eosts
Rent Mllection. proF*ty ryirs and
Expend￿rn on ¢harftabl• #cUvlU*'
95,872
7,037
.971
.634
164,643
37.671
54,349
6,785
74,8CKI
9,770
Sossvjnal Staff
Commun(ty
Tr8ininglFacfjltha
Equlpment
F8$￿ExFenB88
129,149
16.554
24.628
63,732
19,421
58,552
74,598
47.322
86.849
63.732
19,421
.322
5,100
.749
$6.230
Totsl èxpgndltuY• ¢)n ch•rfiab
a¢tivltlea
IQ7.809
104
444.913
67.781
244.253
312,034
rate m*rfal liom of •
Oth•r
Total otherexpenditw•
TOTAL EXPENDITURE
107D19
444.913
67,781
244253
312,1
ndkn
Toi•l thl
Grnnt
fundlny ol
PPLrt
Tot•1 lalt
vrty1
rotal
CC178 IE¥
31A)3r2025

Section C
Notes to the accounts
(cont)
Note 11
Paid employees
Please complete this note if the charity has an
employees.
11.1 Staff Costs
This year
Last year
Salaries and wages
Social security costs
Pension costs (defined contribution scheme)
Other employee benefits
135,274
29,369
74.800
18,628
Total staff costs
164,643
This year:
93,428
Please provlde details of expenditure on stsff
charity whose contraGts are with and are paid
Last year:
orking for the
y a related party
Please provlde detsils of expenditure on staff
charity whose contracts are with and are pald
orking for the
y a related party
Please give detsils of the number of employe
pension costs) fell within each band of £10.00
please enter true. in the box pmvided.
No employees recelved employee beneflts (exc
penslon costs) for the reportlng period of mor
whose total employee benefits (excluding employer
from £60,000 upwards. If there are no such transactions.
uding employer
than £60.000
Band
Number of employees
This year
Last year
£60,000 to £69,999
£70,000 to £79,999
£80,000 to £89,999
£90,000 to £99,999
£100,000 to £109,999
This
ear
Last year
Please provide the total amount paid to key ma
personnel (includes trustees and senior mana
services to the charity. For specific amounts
see Note 28.
agement
ment) for their
id to trustees.
CC17a (Excel)
3110312025

11.2 Average head count in the year
The parts of the charity in which the
employees work
This year
Number
Last year
Number
Totsl
11.3 Ex-gratia payments to employees and oth
Please complete if an ex-gratia payment is ma
rs (excluding trustees)
Please explain the nature of the
payment
Thls
ar
Last
ar
Please state the legal authorlty or
reason for making the payment
This y
ar
Last y
Thls year
Last year
Please state the amount of the payment (or val
a right to an asset)
e of any walver of
CC17a (Excel)
3110312025

11.4 Redundancy payments
Please complete if any redundancy or terniina "on payment is made in the period.
This year
Last year
Totsl amount of payment
The nature of the payment (cash, asset
etc.)
This year
Last year
The extent of redundancy funding at the balan
e sheet date
Please state the accountlng pollcy for any red
termination payments
ndancy or
CC17a (EX￿1)
3110312025

Section C
Notes to the accounts
(cont)
Note 20
Creditors and accrua
Please complete this note rf the chaiity has an
creditorn oraccruals.
20.1 Analysis of creditors
Amounts falling due within
one year
Thls year
Last year
Amounts falling due after
more than one year
This year
Last year
Accruals for grants payable
Bank loans and overdrafts
Trade credltorn
Payments received on account for contracts or
performance-related grnnts
Accruals and deferred income
Taxation and social security
Other creditors
Total
20.2 Deferred income
Please complete thls note Ifthe charity has
incoma.
Thls
oar
Please explaln the reasons why Income Is
ear
Movement in deferred income account
This year
Last year
Balance at the start of the reportlng period
Amounts added in current period
Amounts released to income from previous peri
Balance at the end of the reporting period
CC17a (Ex¢el)
31103r2025

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11

Section C
Notes to the accouiits
Icontl
Note 28
Trdnsactions with trustee8 a
Mthe chaiytyhas any transacllons wllh relat8dwties
of such transaclions shouldbeprovidedin Ihis nofa
d related parti•5
therthan Ilw trustee eXP￿se5 explainedln guidaneo notes) d8talls
28.1 Trusts9 remunerallon and benefits
Th18 y￿r
Nono ofthg trust•es b9en paid any r•mun•ration
employmènt wlth thelr chwity or a rnlated enttty ITru• o
TRUE
Falsè)
In thepwiod the ¢harltyhas paid trusle6s remuneratlon
andbonefft& Hease gfv• Ihe anlountof. andlegal oulhNyty for. any
Amounts pald or banefft valua
Legal authority {
order. govemln
docum•nl)
Pen5iQll
Name of trusts•
R•dundancy
Ilncluding
loss
offlc•yèx
Other
TOTAL
emplo￿tbenQfits werepald
Lastyear
Non• oflho trust￿ havo been pald any vemun•rati
gmploymgnt wlth thglr charlty or • r•latod •ntity (rn￿ or
TRUE
Fals•}
In the pgrtod the ¢haiitylw paid trustees remunefttion
remunorntlon or otherben•fftspaidto a InMte• by the c
nd benefft& Pl&￿0 glve thè amount of. andlegalauthorttyfor. any
Amounts paid or ben•fft value
Legal authodty (
arder* governln
P•nslon
Redundaney
lincludlng
TOTAL
offkeytrx
Please glve dotails of why remunelalion orolh•r
CC17a (Excel)
31103r2025

28.2 Trustees. expen￿$
Illhe ¢harltylMspald expens8s for1￿ling
enter"Fats•-.
nM-hi Ihe box ljelow. Ifthero are trnns•ci?ons to report please
No trust0• axpgnsos hav• bow incurffgd (fryo or False)
7RUE
Typ• of•xperws rnimlwrsed
Thls yur
Last year
Travèl
Subslstsnce
Accommodatlon
Othor Iploaso spec￿). ReinbuY¥merrt gXPgns•s for e
reclalmgd on b9haf of thg Wom•ns Team •xpgnseg lun
dltlure
rthètnm
TOTAL
Pl•a59 provld9 the numbgr oftrustoos remburned for g
had oxpefi￿ pald ty th8 Gharlty
28.3 Tran8a¢tion(s) whh relatsd parties
Pl•ase glve detalts of any transaelion undertaken byfor
intores¢ Includlng whve funds ha￿ been hddas awt
Yrue'ln tho boxprnvidgd.
Th18 year
Th•rg havo bogn no relthd party transaction¥ In the rn
ng ￿rf(x1 (fruo or False)
TRUE
Amounts
wrltten off
Name of the trustse
Ralatlon8hlp
D￿rIpIlOTr of
Balance at
Pro¥knlon for bad d
ZZEIIIEZ .
or rolated ￿rtY
to chlrfty
perfod ond
at pgrlod •nd
durSng
portlng
nod
terms andcon(Kbon4 Ineludlng anysecurftyand the
olanypayment (eonslderalion) lo be wovldodin
CC17a I£￿1)
311W2025

Last year
havo boon no rolated party tsansactlon¥ In the re
ng P9rfod (True or False
TRUE
Amounts
written off
durfng
reportlng
Namg 01 th• tn￿trO
or related party
Rolationshlp
to charlty
De￿￿PtIOn of
tra￿aCtIoNS)
Balanv at
Trod end
Provislon for Iwl debts
at poriod gr¥d
In relatlon to the trans•¢tions above. pleasewovlde Ihe
tgnns and ￿ndItiOns. Ineludlng any secwity andlhe n
of anypayment (consid8ratlonJ to beprnvidedln selff
Foranyrnlatedparty. ￿•$8 wovlde dgtails of any
CC17a (EX￿1}
3110312025

Ind•p•nd•nt Examln•rf• R•port to th• Tru•t••• of
th• Mald•nh•ad Unlt•d FC Communlty Trust
R•port to th• tru•t••• ol th• M•ld•nh••d Unlt•d FC Communtty Trust (¢h•rlty
numb•r 1160960) on th• account• lor th• ymr •nd•d 30 Jun• 2024.
l rnport lo the trustees on my •xamlnation ol the account• ol the •bov• ch•nty ("the trusn f
the year ended 30 Jun• 2024.
R•spon$lbllltl•s •nd b•91• of th• report
As the chanty's trustees. you are responsible for the proparats'on of the accounts in accordance v
the rnquirements ol the Chanties Act 2011 (Ihe Act").
I rewt in resped ol my examination of the Tnjst's accounts carried out under section 145 ol Ihe
2011 Aci and in carying out my examinats'on, I have followed all the applicable Direth'ons given by
the Charty Commission under section 14515)(b) of the Act.
Independent examlnerfs statement
The chanty's gross income exceeded £250.000 and l am qualified to undertake the examination
b￿.n9 a qualified member of The Chartered Institute of Management Accountsnts.
I have completed my examination. I confinn that no material matters have come to my attention in
connection with the examination (other than that disclosed below ") which gives me cause to believe
Ihat In, any matenal respect:
the accounts'ng records were not kept in accordance wth section 130 of the Charities Ac*; or
the accounts did not accord with the accounts'ng records; or
the accounts did not comply wrth the applicable requirements conceming the form and
content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other
than any requtrement that the accounts give a 'true and fair vlew Which is not a matter
considered as part of an independent examination.
I have no COn￿mS and have come across no other matters in connection with the examination to
which attention should be drawn in this report in order to enable a proper understanding of the
accounts to be reachod.
Signod:
Date:
1010312025
Name:
Joanna Dadej
Relevant professlonal
qualrfication(s) or body
(If any):
ACMA
Address:
64 Fairway Avenue, Tilehurst, Reading.
RG30 40B