THE COMMUNITY STOREHOUSE TRUSTEE REPORT &
ACCOUNTS FOR THE YEAR ENDED 31 July 2021
THE COMMUNITY
STORE
HOUSE
Food shared with Love
NM
*A8IV680P'
13104r2022
COMPANIES HOUSE
#76
CHARITY REGISTRATION NUMBER 1162887. COMPANY REGISTRATION NUMBER 07705389

REPORT OF THE TRUSTEES OF THE COMMUNITY ST
REH
R THE YEAR ENDING 31 JULY 2021
REFERENCE AND ADMINISTRATIVE DETAILS
Full Name:
Goveming Documents:
Constitution:
The Community store￿uSe
Memorandum and Art>cles of Association as amended on 6 July 2015
A company limited by guarantee wilh no share capital and the liability of each
member on winding up limited to £10
Chaiity Registration no-
1162887
Cornpany Registration Number. 07705389
DIRECTORS AND TRUSTEES
James Cable
Gill Lloyd
Alan Clemenls
Marian Clements
Erica Jones
Nicola Manchester
Susannah Sirawson
Harriet Wright
Chairman
Treasurer
IRe51gned 18 January 2021)
{Resor*d 31 De￿mber 2020)
Address of registered office:
31 Church Road
Padd￿k Wood
Kent TN12 6HD
Bankers:
HSBC
105 Mount Pleasani
Tunbridge Wells
Kent TN1 "1 QP
Independent Examinors:
T Lane
D¥ector in M N Jenks & Co Lmnrted
72 Commercial Road
PaddcKk Wood
Tonbridge
Kent TN12 6DP

REPORT OF THE TRUSTEES OF THE COMMUNITY STOREH
SE
FOR THE YEAR ENDING 31 J
LY2
21
The Trustees submit their annual report ané financial statements for the year ended 31 July 2021 in accoréance with
the accounting policies sel out in note 1 to the accounts and cornply with the charity's governing documenl, the Charities
Act 2011, the Companies Act 2006 a￿1 Accounting and Reporting by Charities". Statement of Recommended Practice
applicable to Charities preparing their accounts in acCOrdar￿ wf(h the Financpl Reporting Standard applicable in the
UK and Republic of Ireland IFRS 1021 (effective 1 January 2015).
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing Document
The Community Storehouse ITCS} was Ir￿Orporated on 14th July 2011, as amended by Certificate of Incorporation on
change of name on March 2013. 11 is a company limited by gu*anlee and 9o¥erned by ils Memorandum and
Articles of Association. 11 is registered with Ihe Charity Commission as a charity in England and Wales.
Appointment of New Trustees
The number of Iruslees (who are also memtws of TCS) shall not be les5 than three but are not subject lo any maximum.
Trustees may be elecled al an AGM or appointed by a resolution of the other trustees al a board meeting. Those
appointed by a resolution rnust stand for re•election at the first AGM following their appointment. As a minimum one
third of all Iruslees musl retire al each AGM. Trustees may stand for reoleelion.
The board of trustees is intended lo refiect the kno￿edge and skills required lo run a food bank operation. All potential
twslees attend a committee meeting as guesls prior lo their nominalK)n and receive 8 copy of the Memorandum and
Articles ofAssocialion. up lo dale financial informatson and are required to read appropriate publications from the Charity
Commission.
All trustees provide their lime and duts.es on 8 voluntary basis_
Risk Management
Al each committee meeting Trustees review. amend and revise the charity's Risk Register. making changes where
necessary.
PUBLIC BENEFIT
The trustees have had due regard for the Charty CommissKJn's Publr Benefit guidance.
OBJECTIVES AND ACTIVITIES
To relieve persons. particularty but not exclusively. in Paddcck Wood and surrounding area that are in financial hardship
in such ways the trustees sh811 from tsme lo time think frt. in particular. but not exdusNdy by=
A. Providing emergency fctsd supplies. essential toiletn.es and other household items both lo individuals and
families in need and also lo other charities or Organizat￿n$ working lo prevent or relieve poverty.
. B. Such olher means, induding (but nol limited lo} the provision of 5UPPOrt or signposting to relevant advisory
se￿IceS or informalDn and lo provi¢Je such services withiry a Christian ethos. supported by Churches and
businesses in the area_

REPORT OF THE TR
STEES OF THE COMMUNITY STOREHOUSE
FOR THE YEAR ENDING 31 JULY 2021
REVIEW OF ACTIVITES
The Community Storehouse brings people togelher-. people who currently have resources, giving lo help those who
currently do not. This is borne out by the lolal amount of food donated in the year-. 15.3 lonnesl2020- 15.6 lonnesl. We
have also purchased a grealer amount of food needed this year- 3.2 tonnes (2020 - 1.7 lonnes) and the lolal amniinl
of food distributed in the year through TCS Voucher l Agency Voucher l other donations is 20.2 lonnes12020 - 15.3
tonnesl. Our thank5 go to everyone who has donated so generously throughout the year. Unfortunalely, we know the
name5 of so few of our donors. so we are unable to thank them personally. We are immensely grateful to our local
communities who have supported us so well during this challenging year. so that we in turn can support those who help
assistance with food supplies.
Clienls continued lo be able lo approach us in Iwo ways= by bringing in a TCS Voucher issued by one of our partner
agencies la lisl of these appears in Appendix 21 and we regulady update and add lo this list. or they can come direct
lo us when we are open. This twin approach meant that in the year %ve were able lo support 124 households12020 -
1661, a total of 376 adults and children and a 12Yo decrease on the previous year. This is analysed on the next page by
the location of households.
We endeavour to offer dients whatever fwd assistance is approwate lo their needs and also look lo signpost clients to
other agencies who may be able to offer them additional support.
In the light of the Covid-19 pandemic. we have been mindhil of adhering to all government advice and guidelines, where
it has impacted on our day-to-day operations. This has been done lo protect both clients and our volunteers. We have
tried lo be as aeeomm¢)daling as possible in the supply of focKI parcels. both from our premises as well as delivering
some supplies lo dients.
We have remained open as usual and also been able lo supply olher food agencies in our area. Olher areas wh￿h have
benefitted from some of our food supplies have been foodbanks at Tunbrid9e Wells. Tonbridge and community groups
in Maidstone.
TCS aims lo continue meeting the needs of its ¢l￿ntS wherever p)ssible while operabng within rts chantable obje¢lives.
Food donations come in all shapes and sizes and from a wide geojraphical area." for example. individual items deposiled
into the collecting baskets al Wartrose-. a bag of items brought in by a family during one of our opening sessions.. a box
of groceries collected by staff at a local business.. donations from churches.. HaNest collections.. Reverse Advent
Calendar5. and people who decide to Start collects.ng items from their friends and family, spread word on Facebook
and surprise us with an amazing delivery of non-perishable items.
Once again, we would like lo thank Paddock Wood Waitrose for their supwrt in continuing lo hosl our largest collection
point.. donating surEAus food supplies, a5 well as making financial donations through their Community Matters Scheme
lo support local charities. Thanks also w lo the local SalVat￿n Army for their food supply support. Co-op f(M)dslores in
East Peckham. are suppcrting us by giving us some of their Fareshare products. thus reducing food going to w8sIe.
Warburtons have also supported in giving us a wee￿Y supply of bakery goods. We know that il has been sometimes
difficult over the last year for people to make their frequent foLMJ donats"ons. due to the covid restrictions in travelling.
Thanks also go to everyone who has made 8 finanaal contribution lo Community Storehouse, whether by a one-off
donation or a regular payment. Some supp)rters have fLxJnd il easier lo do this than giving food donations, for wh￿h we
are goleful. This has enabled us to purchase more food supplies aPprOpr￿te lo our needs, as required. We are also
grateful lo the organizalions which have supwrted us wlh txoceeds from their own events. (A list of donors can be
found in Appendix 11

REPORT OF THE TRUSTEES OF THE COMMUNITY STOREHOUSE
FOR THE YEAR ENDING 31 JULY 2021
2020
21- HOUSEHOLDS HELPED & LOCATION
713 PARCELS
124 FAMILIES
ADULTS 223- CHILDREN 153
Location
Other
30.24%
Paddock Wood
72.58%
Paddock wood
DFi¥e Oak Green
Hadlow
4.30A
11 East Peckham
Brenchley&Matheld
Marden
1.1%
Horsmonden
Omarden
Horsmonden
1.1%
Hadlow
Other
Brenchley &
Matfield
8.71AI
East Peckham
4.3%
Five Oak Green
4.3%

REPORT OF THE TRUSTEE
OFTH
MMUNITY STOREHOUSE
FOR THE YEAR ENDING 31 JULY 2021
FINANCIAL REVIEW
Income
During the year Cash donations totalle(1 £46.513 {2020 - £54.622).
In addition lo personal one-off and regular giving we received donations from several local clubs. businesses and groups.
The Wesley Centre Rent Appeal received donations of £3.402. Our licence agreement with Tunbridge We115 Borough
Council was renewed in September 2020 vlilh a further 5 year rental lease agreemenl until September 2025, at a cost
of £8,000 annually. Our Rent Fund will conlinue. supporting this expenditure.
Food Donations
The valuation of individual items is dtfficull and therefore a fair value of £1.70 per kg.12020 - £1.70) ha5 been used al
the lime of distribution Irecognised as chariiable expenditure) and an equivalent amount recognised as a component of
donations. The charity reeognizes in stock the value of donated ￿￿d$. not yet distributed. ￿preSentIng the service
potential provided by such items.
Expenditure
During the year expenditure {exduding food donations} was £21.37812020 - £14.7681.The largest part of this was for
food purchases, £10.433 {49%1 followed by the rent of the premises. £8.0(N) (37Yo).
Surplus. Reserves and Cash
Income exceeded Expenditure by £22,71J6 and the cash balance al the yearend was £91.55512020- £66,420).
The charity has adopted a reserves policy of maintsining a minimum of one yearfs expenditure {excluding food
distributed but induding rental expenditure from the Restr￿ed Fund). Based on these costs incurred by the charity
during the 2020121 financial year. sufficient ￿serveS and cash would need lo be retained to the value of £21.378.
Appendix 1
During the year donations were gratefulty recer¥ed from:
Schools:
Brenchley, Capel Primary. East Peckham Primary. Somerhill. Yalding Primary.
Churches..
All Saints Brenchley, Ca￿1 United Churches, Holy Trinity. Melhodisl and Salvalion Army East Peckham. Methodi51
Horsmonden, Si. Andrew's Paddoek Wood, St. Justus Paddock Wood. Sl. Luke's ma￿le1d, St. Margaret's Horsmonden,
Sl. Mary's Hadlow, St. Mary's Lamberhurst.
Other organlzations. cornpanias and groups:
Baxall Construction, Biddenden Vineyard. Bidfood, Community Wardens. Dads of Padd￿k Wood, Dunks Green Village,
Friday Fruit Bags, Hammonds Butchers Maffield. Lambert & Foster. OINers Fishlchip Shop. Paddock WOLNJ Lions,
Paddock Wood Masonic Lodge. RRT Food Boxe5, St. Philips Larder TW. Waitrose Community Matters. Warburtons.
Wilko Supermarket.
Many and numerous private donations, ￿th small and large.

REPORT OF THE TRUSTEES OF THE COMMUNITY STOREHOUSE
FOR THE YEAR ENDING 31 JULY 2021
Appendix 2
The following agencies. schools and churches have feferred clients to the fcrt)dbank wilh food vouchers..
Brenchley & Maffield Primary School, Capel Primary School, Cranbrook Primary School, Dowding House Paddock
Wood. Early Help Prevenlalive Services. KCC-Family Assessment & Support Team. Little Forest Children's Centre
T.Wells, Masca115 Academy Padd￿k Wood. Paddock Wood Children's Cenlre. Paddock Wood & East Peckham
Communty Wardens, Paddock Wo¢)d Primary Academy. Paddock Wood Community Advice Cenlre, Salvalion Army
East Peckham. Sl. Andrew's Church Paddock Wood. Sl. Mary's Church Hadlow, Woodlands Health Centre Paddock
Wood- GP Surgery & Health Visitor Team. Yalding Surgery.
RESPONSIBILITIES OF THE DIRECTORsrrRUSTEES
Company law requires the Directors to prepare finawal statements for each financial year which give a true and fair
view of the slate of affairs of the company and of the finan￿al activits'e5 of the company for that period. In preparing
those financial statements the directors are required lo..
Select suitable accounting policies and then apply them consislenty,.
Make judgements and estimates that are reasonable and prudent..
Stale whether applicable accounting standards have been followed. subject to any materi81 departures disclosed
and explained in the financial statements,. arbd
Prepare the financial statements on the going concem basTrs unless il is appropriate to presume that the
company will continue in business.
The Directors are responsible for keeping proper aeeounling records which éisclose with reasonable accuracy al any
lime Ihe financial position of the Trust and lo enable them to ensure thal the financial 5taternent5 comply with the
Companies Act 2006. They are a150 responsible for safeguarding the assets of the Trust and hence for taking reasonable
steps for the prevention and deteclion of fraud and other irrewlarilies.
The Directors are responsible for the maintenance and integrity of the corpxale and financial infomialion included on
the charity's website.
The above report has been prepared in aceordanee with the special provisions relating lo small companies within Part
15 ol the Companies Act 2006.
Signed on behalf of I
Trustees
JAMES CABLE
CHAIRMAN
Dale..

INDEPENDENT EXAMINER'S REPORT TO
THE TRUSTEES OF THE COMMUNITY STOREHOUSE
I reFM)rt on the financial slalements of the Company for ￿ year ended 31 Juty 2021 set out on pages 1110 13.
RE
PE
TIVE R
SPONSI
ILITIE
F THE TRU
TEE
AND INDEPENDE￿r EXAMINER
The charity's trustees (who are also Directors of the Compary for the purpose5 of company lawl are responsible for the
preparation of the financial 51alernents. The charty'5 trustees consider that an audrt is not required for this period (under
section 144121 of the charit￿S Act 2011 (the 2011 Act)} that an lThje￿ndent exaMinat￿n ts needed.
Haviro satisfied mysdf that the charity is not subjecl lo audtl under Part 16 of the Companies Acl 2￿6 and is eligible for
I￿ependent examination. il is my responsOilty to..
examine Ihe financial statements (under section 145 of the 2011 Ad):
lo follow the procedures laid down in the General Dire(tsns given by the Charity Commissioners {under section
145(5Xbl of the 2011 Act}.' arKJ
to State whelher partIC￿lar rnatters have come to my attentH￿.
BASIS OF INDEPENDE￿ EXAMINEFfs REF4)RT
My examination was carr*d out in accordan￿ with trE General DirectK)ns given by the Charity Commissioners. An
examination includes a review of the accounting records kept by the charity and a comparison of the financial statements
presented with those records. It also I￿ude$ consideration of any unusual items ordBclosures in the financial ststemenl5,
and the seeking of explanations from you as trustees cowning any such matters. The pr(￿edureS undertaken do r￿1
provide all the evidertt that Wlmjld be required in an audit a￿1, consequenuy. I do not express an audit opnion on the view
given by the fwiancral Statements. and the rep(xt is limited lo the ffialters set out in the 5ts1emenl below.
INDEPENDENT EXAMINER'S STATEMENT
I have eompleted my examination. I Confirm t￿t Th) matters have eome to my attention in connection with the examinalh)n
giving me cause lo believe Ihal..
accounting records have Th)t been kept in aCC£*d￿ with sectw)n 386 of the Companies Act 2006..
the financial stslements do not acuyd with such rec4xds:
the finar¢cial statements do not ¢J)mply with the acc(NJnling requirements of section 396 of the Companies Act
2006, other than ary requirement that the accwnls gNe a'true and fair whth is not a matter ￿nsidered as
part of an indeperKJent examination,"
the accounts have not been prepared in accrydance with the methcxjs and principles of the Skiemenl of
Recommended pract￿ ￿Trting and rewting ty charrttes lapplicable to charit￿S prep¥ing their accounts
in accordance wth the Financial Re￿tIng Standard ap￿rat￿¢ in the UK and Republie of I￿land (FRS 102).
I have no concems and have come auoss no othw matters in connection with the examination to which attenlM)n slKvJld
be drawn in this report in order to enable a proper undefslanding of the accounts to be reached.
31 March 2022
72 Commerc￿1 Road
Paddock Wood Tonbrid
T Lane
Director in M N Jenks & Co Limited
Chartered Accountants
Kent

THE COMMUNrrY STOREHOUSE
STATEMENT OF FINANCIAL ACTivfTIES
INCLUDING
MMARY IN
ME AND EXPENDtT
REA
UNT
FOR THE YEAR ENDED 31 JULY 2021
Noles
Unrestricted ResIr￿le￿
Funds
Funds
Total
2021
Total
2020
Income
Donalions and Other Income
Income from Other Trading Aclivtb'es
Fundratsing
69.153
3,402
72.555
81.184
Total Income
69.153
3.402
72.555
81.184
Ex
endilur
Charitable Activities
Raising Funds
41.849
8.0
49,849
38,530
Total Ex
Jilure
41.849
8.000
49.849
38,530
Transfer Be
{5.(MJ))
5.IX)O
Nel Income
enditure
for the Year
402
22,706
42,654
Fun
1Au
balances brou
ust 2020
hl f(xward at
70.186
1,694
71,880
29,226
Fund balances carried forward at
31 Jul 2021
£ 92.49)
£ 2.096
£ 94.586
£ 71,880
The notes set out on pages 11 10 13 fomi an integral part of these fin￿1?1 stalemenls.

THE COMMUNITY STOREHOUSE
COMPANY NUMBER: 0770
BALANCE SHEET
31 JULY 2021
2021
020
URRENT A
SETS
Stocks
Debtors
Cash at Bank and In Hand
2,273
1.196
91,555
4.701
1.196
66.420
95,024
72,317
REDIT
&.. Am¢)unl$ falling due within one year
{438)
14371
NET CURRENT ASs￿s
£ 94,586
£ 71.880
FUNDS
Unrestricled Funds
Restricted Funds
92,490
2.096
70.186
1,694
TALF
ND
£ 94.586
£ 71,880
For the financial year ended 31 July 2021. Ihe Compary was entitled lo exemption from audrt under section 477
Companies Act 2006.. and no notice has been deposited under section 476. The Directors acknowledge their
responsibilities for ensuring that the Company keeps accounting records which comply with section 386 of the Act and
preparing financial statements which give a true and fair view of the state of affair5 of the Company as al the end of the
period and of ils profil or loss for the financial period in accordance with the requirements of sections 394 and 395 which
01￿[wISe compty with the requirement5 of the CoMpan￿S Act 2006. so far as apFAicable lo the Company.
These f1nancial statements have been preP￿ed in accordance with the special ￿0VISiOnS relaling to small companies
within Part 15 of the Companies Act 2006.
Signe
irectorsrrruslees
JA
S CABLE
CHAIRMAN
GILL LLOYD
TREASURER
Approved on:
The notes set out on pages 11 10 13 1￿M an integral part of these financial statements.
io

THE COMMUNITY STOREHOUSE
NOTES TO THE FINANCIAL STATEMENTS
31 JULY 2021
ACCOUNTING POLICIES
{al Basis of Accounti
The charity conslrtules a public benefft entity as defined by FRS102. The Financial Statements have been
prepared in aecordanee with Aeeounling and Repo￿"ng by Charitses.. Statement of Recommended Practice
appliCat￿e lo charitVè5 preparing their final￿ra1 stslements in ￿OrdanCe with the Financial Reporting
Stsndard
applicable
in
the UK
and Republ
of Ireland IFRS
1021 {effeclive
1 January 2019) - Charities SORP (FRS 102}, the Financial Reporting Standard applica￿e in the UK and
Ireland {FRS 102} and the compan￿ Act 2006.
The financial statemenls are prewed on a g)ing COn￿M basis under the hi8torul cost convention. in
sterling rounded lo ts nearest £1.
Ib) Funds
un￿tricted funds are available f(Y use al the discretion of the trustees in fvrtherance ofthe general objeclwes
of the charity and have not been desvJnated ft)r other purposes.
Restricted funds are funds which are lo be used in accordance with specrfK restr￿lI0n5 imposed by the
donors. The aim and use of each reslncted fund is sel out in note 7 to these f5nancial stalemenls.
(cl
Income Reco
nition
FIna￿ra1 Ir￿Me is rwnised by the charity when it ts I￿Ned. lrtome from Grants is recognised when il
is received.
Income reCo￿lsed from wls donated for dis1rilyJt￿n is valued byweight be￿uSe the valuab'on of indwidual
items is d￿l￿tt to urKlertake.
No amount is inclL*Jed in fir￿￿al statements for vdunteer lime. in line with SORP IFRS102}.
nditure R
ni
All expenditure is accounted for on an a￿al basi5 aThJ has been dassifi￿1 under headings that aggregate
all costs related lo that catewry.
Expenditure is recogni5ed where there is a legal (Y construclNe obligat￿￿n lo make payments lo third parties.
it is probat4e that the settlement wll be required aThJ the amwnl of the obl￿allon can be measured reliably.
(i} Support Costs
Support ￿lS are those that asskst with Ihe work of the charity bul do not directly represent charitable
aclivrties. These indude admir)istratNe costs and publicity. They are incJJrred direclly in support of
expenditure on the objects of the d)an"ty.
{ii} Charilable ActiVrt￿s Costs
These are costs directty attributable to achieviNJ the charita￿e objectNes of the company. such as the
nt on ￿Jr premises.
The chanty is an exempl chanty wthin the meaning of $d*dU￿ 3 of Charities Act 2011 and is conS￿ered
to pass the lesl set wt in paragraph 1 Schedule 6 Finance kt 2010 and therefore it meets the definition of a
CharIta￿e company for UK c(wporalK)n tax purposes.
(fj Goin
The financial ststemenls have been produced on a going concem basis as the Iruslees believe that no material
ncertainlies exist. The trustees have considered the level of funds held and the expected level of income
and expenditure for the 12 mnths from aulhorising these finawal slatemenls. The trxjdgeled income and
expenditure is sufficient with Ihe level of reserves fcrf charity to be ab￿ lo continue as a goiThJ ￿ncern.
Concern
li

THE COMMUNITY STOREHOUSE
NOTES TO THE FINANCIAL STATEMENtS
oMriNUED
31 JULY 2021
(gl Stock
Stock ts made up of donated 9￿1$ not yet distributed.
{hl Debtors
Trade and other debtors are reeognised at setllement amunt after any trade discounts offered. Prepayments
are valued at the amount prepaid nel of any discounts due.
(1> Cash al Bank In Hand
Cash al bank and in hand is comprised of cash held aThJ balarKes in the charity's bank ￿OUnt.
Creditors and Provisions
These would be recognised where the tharity has a present obligation resulling from a pa51 event Ihal will
probabty result in a transfer of funds to a third party and the amount due can be measured or estimated reliably.
Ik) Financial Instruments
The charity has financial assets and liabilities of a kn"rKI Ihat qualfy as basic financial instruments in the form of
Creditors and Debtors. These are initLally recognised al Iransathon ¥a￿e and subsequently measured al their
settlement value.
2021
2020
INCOME FROM GRANTS AND DONATIONS
Donat￿n5 and Gffts from Indivwjuals
Grft Ai
Donations from Churthes. ASsWiat￿s
General Grants
D￿ated GcN)ds
32,487
2,537
9,248
2,241
26.042
34.201
3.186
13.185
4.050
26.562
£ 72.555
£81,184
ANALYSIS OF EXpEND￿uRE ON
CHARITABLE ACTIVITY
Donated goods distributed to beneficiartes
Purchased wods distritxjted to benef￿lar
IrKJependenl Examiner Fees (Govemancel
Rent
Other Support Costs
28,469
10,433
438
8,000
2.509
23,763
4,494
438
8.OfJ)
1.835
£49,849
£ 38.530
The value of goods dislribuled lo beneficiwies is the ests'maled value of Icrt)d donated and dislribuled lo the
benefic1w￿$ of the food bank.
12

THE COMMUNITY STOREHOUSE
NOTES TO THE FINANCIAL STATEMENTS
CONTINUED
31 JULY 2021
TR
STEE REMUNEFiATI
N AND EXPENSES
The trustees neither received nor waNed any remuneration during the year {2020- £Nil).
The trustees did not have any expenses rwmbursed during the year12020- £Nill.
2021
2020
DEBTORS
Prepayments and accnjed income
£1,196
£ 1,196
FUND RECONCILIATION
Balance at
31.7.2020
Balance at
31.7.2021
Transfer
Restricted Funds- Rent Fund
£ 1.694
£ 3,402
£18.WJ}
£ 5,000
£ 2,096
Unrestricted Funds
£ 70.186
£69.152
£ (41,8481
£15.000)
£ 92.4
ANALYSIS OF FUNDS
unrestr￿ted
Restricted
Total
Funds
Fund balances at 31 Juty 2021 represented by:
Current Assets
Current Liabilities
92,928
(4381
2,096
95,024
{438)
£ 92.4
£ 2,906
£ 94,586
ICENSE COMMITMENT
The Charity has an annual commitment of£8.IX)O in respect 0f￿ntaI of wemises wh￿h exp¢res in September 2025.
This is subject lo a not￿ period of six mnlhs on either SKIe.
GENERAL INFORMATION
The Community Storehouse is a company limited by guarantee incorporated in England and Wales. 115 registered
office address is 31 Church Road, Paddock WOCKI, Tonbridge. Kent TN12 6HD 2nd ￿ate of oper8ts"1)n ts The Wesley
Cenlre. Commercial Road. pa￿d￿k Wood, Tonbridge. Kent TN12 6DS.
13