Reglstered number.. 09080819
KINGSTEIGNTON SWIMMING POOL AND RECREATIONAL ASSOCIATION LIMITED
DIRECTORS. REPORT AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
Bishops Accountsncy Services Limited

Klngstelgnton Swlmmlng Pool And Rerreatlonal A$soclatlon Llmlted
Company Infomlatlon
For The Year Ended 30 September 2025
DlreGtors
Mrs Linda Dawe
Mrs Helen Frankpitt
Dr Safana Judge
Mrs Clair Parker
Ms Anne Proctor
Mrs Julie Roberts
Mr Philip Spicer
Mrs Monica Trist
Company Number
09080819
Reglstgred Offl¢e
Kingsleignton Pool, Meadowcroft Drive
King51eignton
Devon
TQ12 3PB
Accountants
Bishops Accountancy Services Limilgd
13 Bishops Avenue
Bishopsteignton
Teignmouth
Devon
TQ14 9RE
Pago 1

Klny$tèlgnton Swlmmlng Pool And Recreatlonal Assoclatlon Umlted
Company No. 09080819
Dlrectors. Report For The Year Ended 30 September 2025
The directors present their report and the financial slalements for the year ended 30 Seplernber 2025.
Revlew of the Buslness
The directors have been delighted with the conllnued support of the general public and volunteers lo raise funds
and provido services for the enjoyment of those attending the pool. This support has enabled them to cary out
much needed additional maintenance thi5 year. The trustees are also very grateful for the additional grants from
Sport England enabling installation of solar panels over the winter period. This together with the grant for pool
covers last year enabled the trustees to continue their commitment lo the environment reflected in the reductlon of
utility costs in 2025 by 350/ts on the previous year.
Director5
The directors who held office during the year were as follows..
Mrs Linda Dawe
Mrs Helen Frankpitt
Dr Safana Judge
Mrs Clair Parker
Ms Anne Proctor
Mrs Julie Roberts
Appointed 0210612025
Appointed 0210612025
Mr Philip Spicer
Mrs Monica Trist
Appointed 0210612025
MrAndrew Dunn
Resigned 0110612025
Mr Andrew Holmes Resigned 0210612025
Mr Daniel Smith
Resigned 2510112026
Stattment of Directors. Responsibilities
The directors are responsible for preparing the Directors, Report and the financlal statements In accordance with
applicable law and regulation5.
Company law requires the directors to prepare financial stslements for each financial year. Under that law the
directors have elected lo prepare the financial statements in accordance with Uniled Kingdom Generally Accepted
Accounting Practice Iunited Kingdom Accounting Stsndards and applicable lawl. Under company law the directors
musl not approve the financi81 ststements unless they are satisfied that they give a true and fair view of the state of
affairs of the Company and of the Surplus or deficit of the company for that pgriod. In preparing the financial
stalemenls the directors are reqUI￿d lo..
select suitable accounting Fiolicies and then apply them consislenlly-
make judgments and accounting eslimales thal are reasonable and prudent-,
prepare the financial slalemenls on the going concern basis unless il Ss Inappropriate to presume that the
company will continue in business.
The directors are responsible for keeping adequate accounting records that are sufficient lo show and explain the
ompany's transactions and disclose with reasonabl8 accuracy al any time the financial position of the company
and enable them lo ensure that the financial slalements comply wilh the Companies Act 2006. They are also
responsible for safeguarding the assets of the company and hence for taking reasonable steps for the prevention
and detection of fraud and other irregularities.
Page 2

Klngstelgnton Swimmlng Pool And Rocreatlonal A$$oclatlon Llmlted
Dlrectors, Report Icontlnu9dl
For The Year Ended 30 September 2025
The directors are responslble for the maintenance and integrity of the corporate and financial information Included
on the company's websile. Legislation in the United Kingdorn goveming the preparation and dlsseminallon of
finanaal statements may differ from leglslation in other jurisdlctions.
Small Company Rules
This report has begn prepared in accordance with the special provisions Telaling lo cornpanies subjed to the small
companies regime wilhin Part 15 of the Companles Act 2006.
On behalf of the board
cE(lY(£
Mrs Clair Parker
Director
0810312026
Page 3

Klngstelgnton Swlmming Pool And Recreatlonal Assoclatlon Llmlted
Income and Expgndlturo Account
For The Year Ended 30 September 2025
2025
2024
Notes
TURNOVER
229,041
201,771
GROSS SURPLUS
229,041
201.771
Adrnlnislralive expenses
OPERATING IDEFICIT)ISURPLUS AND
IDEFICITIISURPLUS FOR THE FINANCIAL YEAR
{238.864}
1177,3541
19,8231
24,417
The noles on pages 7 to 8 forrn part of thes9 financial statements.
Page 4

Klngstelgnlon Swlmmln9 Pool And Recrgatlonal As$oclatlon Llmlt•d
Balance Sheet
A5 At 30 Septgmber 2025
2025
2024
Notes
FIXED ASSETS
Tangiblg Assets
CURRENT ASSETS
Debtors
Cash al bank and in hand
133.213
1.751
149,905
134,964
149,905
Creditors.. Amounts Falllng Due Within
One Year
16,337)
111,455)
NET CURRENT ASSETS (LIABILITIES)
128,627
138,450
TOTAL ASSETS LESS CURRENT
LIABILITIES
128.629
138,452
NET ASSETS
128,629
138.452
RESERVES
Transfer from Association
Repairs fund
Income and Expenditure Account
51,861
10.000
66,768
51,861
10,000
76,591
MEMBERS, FUNDS
128.629
138.452
Page 5

Klnggt•lgnton Swlmmlng Pool And Recreatlonal Asgoclatlon Llmlted
Balaneg Sheet Icontlnugdl
As At 30 Soptember 2025
For the year endlng 30 September 2025 the company was entitled lo exemption from audit under section 477 of
the Companies Act 2006 relating lo small companies.
The mernbers have not requlred the company lo obtsln an audit in accordance with secllon 476 of the Companles
Act 2006.
Tha dlreclors 8eknowledge their responsibilities for Complylng with the requlremenls of the Act with respect lo
8¢wunling records and the preparation of accounts.
These accounts have been prepared In accordance wlh the provi$ion$ applicable lo Gompanias subjoct lo the
small companles reglme.
On behalf of the board
Mrs ClaSr Parker
Director
0810312026
The notes on pages 7 10 8 fomi part ot Ihe88 fln8ncial slalernent8.
Page 6

Klng$t•lgnton Swlmmlng Pool And Recreatlonal Ass￿latIon Llmlt•d
Notes to the Flnan¢lal Statsments
For The Year Ended 30 Sgptember 2025
1. General Inforniatlon
Klngsteignton Swimming Pool And Recreational Association Limited is a private company, limited by guarantee.
Incorporated In England & Wales, Tegislered number 09080819. The registered office is Kingsleignlon PODI,
Meadowcroft Drive, Kingsleignton, Devon, TQ12 3PB.
2. Accountlng Pollcl•s
2.1. Basls of Prgparatlon of Flnanclal Statements
The financial statements have been prepared undèr the h15torlcal cost convenllon and In accordance wllh
Flnanclal R8POrting Standard 102 section 1A Small Enlilies "The Financial Reporting Standard applicable In
th8 UK and Republic of Ireland" and the Companies Act 2006.
2.2. Turnover
Turnover is measured al thè falr value of the consideration recoived or receivable, net of discounts and value
added taxes. Turnover Includgs revenug earned from the sale of goods and from the rendering of servl¢e8.
Tumovgr is reduced for eslimaled customer relums, rebates and other slrnllar allowances.
Sal• of good¥
Tumover from the sale of goods is recognised when tho significant risks and rewards of ownershlp of the
goods has transferred lo the buyer. ThSs Is usually al the point that the customer has sSgned for the dellvery
of the g¢)ods.
R•ndorlng of $•NI¢•i
Tumover from the rendering of servlces Is recognlsed by reference lo thè stage of complellon of the contract.
The slag8 ol complgtion of a contract is measured by comparlng the wsls Incurred for work performed lo
dale lo the lolal eslimalgd contract costs. Turnover is only recognised lo the extent of recoverable expenses
when the outcome of a contract ¢annol be eslimaled rellably.
3. Average Numb•r of Employ••s
Average number of employees. including dlreclors. during the year was.. 1712024.. 141
4. T8nglblg A$sg18
Plant &
Machlnèry
Cost
As al 1 October 2024
As al 30 Seplernber 2025
Net Book Value
As al 30 September 2025
As al 1 October 2024
Page 7

Klngstelgnton Swlmmlng Pool And Recreatlonal Assoclatlon Llmltsd
Notes to the Flnancial Statements (continued)
For The Year Ended 30 Septgmbgr 2025
S. Debtors
2025
2024
Due wlthln one year
Other debtors
133,213
149,905
6. Credltors: Amounts Falllng Due Wlthln Ono Year
2025
2024
Trade creditors
Other creditors
Taxation and social security
2.288
590
3,459
10,364
1.091
6.337
11,455
7. Company Ilmitgd by guarantee
The company is limited by guarantee and has no share capital.
Every mernber of the company undertakes lo contribute lo the assets of the company, in the event of a winding up,
such an amount as may be required not excetsding £1.
Page 8

Klngstelgnton Swlmmlng Pool And Recreatlonal Assoclatlon Llmlted
Detalled Income and Expenditure Account
For The Ygar Ended 30 September 2Q25
2025
2024
TURNOVER
Admissions and season tiGk815
Hire of pool
Swimrning leS￿n income
Grant from local aulhorky
Kiosk sales profil
Sundry fundraisingldonations
Other grant income
Energy saving equipment grants
Sundry income
77.538
28,401
7.382
19,500
5,786
19,253
6.576
63,903
702
56,494
36.940
8.730
20,550
5,418
12,782
3,800
57,657
229,041
229,041
201,771
201,771
GROSS SURPLUS
Admlnistrative Expenses
Wages and sal8ries
Swirnming teachers
Staff training
Staff unifom)
59.927
6,212
250
108
23.644
3,308
15.394
709
8.807
18,988
82,104
4.885
5.100
441
1,335
571
2.603
570
1.476
1.496
936
46.196
2,640
475
253
36,358
3,027
5,030
666
9,751
6.192
57.657
694
Water rates
Propety repairs and maintenance
Waste collection
Chemicals
General equipment
Energy saving equipment
Repairs, renewals and maint¢nance
Insurance
Printing, postsge and stalionery
Advertlsing and recruitment cos15
Telecommunications
Online booking fees
Accountancy fees
SubscrSplions
Cleaning
Sundry expenses
3.743
192
807
225
590
1,211
1,647
1238,864)
1177,354}
OPERATING IDEFICITIISURPLUS AND
IDEFICITIISURPLUS FOR THE FINANCIAL YEAR
19.823)
24,417
Page 9

Klngstslgnton Swlmmlng Pool And R¢¢reational Asso¢lat5on Llmit8d (By Guarante•)
Indepèndent Examiners Rèport on the Accounts
For the Year End•d 30 Septembor 2025
Respectiv• responsibllitie$ of trustees and examiner
The charity's trustees are responsible for preparation ol the accounts. The charity's Iruslees consider that
an audit is not required for this year under section 144121 ol the Charities Act 2011 Ilhe 207 1 Acll and that
independent examination is needed.
11 is my responsibility lo..
examine the accounts under section 145 of the 2011 A¢1
to follow the procedures laid down in the Gener81 Directions givgn by the Charity Commission under
sections 14515llbl ol the Act. and
lo slate whether particular mattgrs have come lo my attention.
8asls ol Independènt examiners Report
My examinallon was carri8d out in accordance with general directions oiven by Ihg Charity Commission. An
examin81ion indudes a review of the accountin9 records kept by th6 charity and a cornparison of the
accounts presented with those records. 11 also includes considèration of any unusual items or disclosures
in the accounts, and seeking explanations from you as Irustees concerning any such matters. The
procedures undtsrtaken do not provide all the evidence that would be required in an audit, and consequently
no opinion is given as to whether the accounts present 8 'lrue and f8ir' view and the r8POrt is limited lo thos8
matters sgt out in the statement below.
Indop•nd•nt •xaminor's $tat•mèrtt
In CDnneclion with my examination, no malter has come lo my atl¢ntion'.
which gives mg reasonable cause to believa that in, Any material respect, the requir8rnènls'.
lo keep accounlino records in accordance with section 130 01 the 2011 Act. and
lo prepare accounis which accord with the accounting Tecords and comply wlth the accounling
requiremènts ol the 2011 Act, or
lo which, in my opinion. attention should be drawn in ordèr lo enable 8 proper understanding of the
accounts to be reached.
Svsan Beverton FCCA
13 Bishops Avenue
Bishopsleignlon
Teignmoulh
Devon
TQ14 9RE
Date.. 8 March 2025
Pagt 10