## St Just & District Trust CIO (charity no 1168852) Chairs Report 

for period 1[st] November 2024 - 31[st] October 2025 

## Trustees: 

Mary Ann Bloomfield: Caroline Barnett: Rita Nield: Mandy Berry: Chris Lethbridge 

## St Just & District Trust 

The bank balance for the Trust started the accounting year at £3559 and ended at £3920 with an income of £361 from steeldeck, projector and screen hire.  Outgoings of £432 went to Nero Accountancy. Grants of £6,950 for St Just Ordinalia came in and went out of this account. Grants totalling £5,200 from Screen Cornwall were paid in and £4,200 paid out to the Ordinalia for a pilot immersive sound project. 

The Trust continues to support local groups and organisations. We give the loan of our projection equipment for free for Lafrowda Film Festival and for donations to other local causes. 

## The Knut 

The Knut had had a starting bank balance of £7840.49 and closing balance of £8376.11, therefore a surplus of £535.62 from this year. 

Service bills of Electric (Knut domestic and exterior 3 phase), Broadband, and Water totalled approximately £1,225 for the year. With insurance costing £426, PPL/PRS - £81 and Council Tax £155.69. 

Rental income was £2,624.  Other Income consisted of £249 from our solar panels and £100 for the Knut writing group performance at St Just Earth Day in April 2025. 

Rentals of the Knut have been consistent with 5 regular bookings from a local choir, creative art sessions, Bosavern Community Farm meetings, and NHS services for school immunisation, dementia and mental health support. 

The Knut writing group is still going strong with 6 regular attendees. Performances were done at the Knut and in the Plen an Gwari. 

The Knut was fumigated for woodworm and moths. 

## St Just Ordinalia 

This was a year of promotion of St Just Ordinalia locally and across the UK. 

Starting balance - £28,693 and closing balance of £47,003 making a surplus of £18,311 this year. This was due to a very successful Crowdfunder run in late 2024 – early 2025 raising £8,221 to date, with one regular monthly donation (£10) set up. We also received other donations of approx. £100 and fundraising events raised over £150. We also received £8,900 in grants from Cornish Charities and our own Town Council. 



This gave us confidence to send in repeat grant applications to NHLF and ACE in May/June 2025 for £125,000 and £96,000 respectively. We were extremely disappointed to hear in September 2025 that we were unsuccessful in both of these applications. 

Future plans are to cut our production budget further, continue to apply for small grants and hopefully put in an ACE bid for a similar amount in Spring 2026 aiming for 2027 productions. 

Isobel Bloomfield and Ciaran Clarke applied successfully for an immersive innovation bid to Screen Cornwall, they received a total of £5,200 to work on a St Just Ordinalia audio experience to an invited audience in the Plen an Gwari for early November 2025. 

In addition, IB reported on the Screen Cornwall and Creative Kernow grant for mentoring support in creating immersive arts experiences. The project was matched with Kieran Clark who wanted to do a sound scape in a heritage place. The funding covered the time of the people involved in creating the app. They developed a prototype that pushed the app to its limits; using more geolocations than it had been originally development for. Recordings from the 2021 production were used which didn’t have the best sound quality so as part of further development we would need better recordings, either from the next production or from organising some specific scenes or choir meetings to get them. The App is now in draft form and can’t be seen/used publicly. Further funding has been sought for future development but as yet not been awarded. Although the priority remains to get funding for the next production of the Ordinalia, this would be a really good way to support the understanding of the Ordinalia outside of performance years. 

IB also reported that they had been invited to present at the Middle Ages in the Modern World Conference at Kings College London. It had been a useful conference to attend and supported growing a network of interested people. They were also invited to attend a symposium at Cambridge in medieval arts. It was a small group but much more focused on the act of medieval performance. Again, this supported the promotion of our work on the Ordinalia and reaching a new audience. 

Other outgoings are a monthly payment of approx. £21 for regular Mailchimp mailings to promote the Ordinalia UK wide. This goes alongside our more vigorous volunteer led Facebook/Instagram presence. 

Finally volunteers Isobel Bloomfield and Max Morrison attended and did a St Just Ordinalia presentation at a conference of medieval theatre in London. The response was extremely positive, raising the profile of this project. We also have contacts with Cardiff University and hope these are built on, alongside other university contacts in 2026. 

## The Garage Store 

We continue to store 23 pieces of 8 x 4 steeldeck plus legs, connectors and other accessories here; its position in the town allows for easy loading into vehicles when hired by local groups. This year it was hired by Miracle Theatre. 

Also in the garage store is the Ordinalia Hell stage and the Crucifix. 

Note: that the state of the garage is quite poor with damp again affecting the wall adjoining the next property. This must be kept an eye on, and plans made for future work costs. 

Mary Ann Bloomfield        15/03/2026 



STJUST AND DISTRicfTRUST CIO
A tharitable Incorporated Organisation
Registered Charity no 1168852
Accounts for the Year Ending
31st Ortober 2025

STJUST AND DISTRICTTRUST CIO
Registered Charity number 1168852
Independent Examiners Report to the Trustees
for the Year Ending 31st October 2025
of Inde
dent Ex
er's R
My examination was carried out in accordancewith general Directionsgiven bythecharity Commisslon.
An examination includes a review oftheaccounting records kept bythecharity (including all receipts,
invoices, bankstatements and otherfinancial documents) and a comparison oftheFinancial Statements
fortheyear with those records. It also includesconsideration of any unusual items or disclosures in the
accounts, and seeking explanationsfrom theTrusteesconcerninganysuch matters. The procedures
undertaken do not provide all theevidencethat would be required in afull audit. The report is limited
to those mattersset out in thestatement below.
Inde
endent Exarniner's Re
ort
In connection with myexamination, no matter has cometo myattention:
I which give5 me reasonablecauseto belie4ethat, in any material respect, therequirements:
to k&p accounting records in accordancewith section 130 of theCharitiesAct 2011
to prepareaccountswhich accord with the accounting recordsand comply with the
accounting requirements ofthe 2011 A£t have not b&n met. or
2 to which, in myopinion, attention should bedrawn in orderto enablea proper understanding ofthe
account5to bereached
Sarah Heath FMA4T, Accountant
Nero Accountancy
27 Boskenna Road
Four Lan
Redruth
TR16 6LS
Date: 4th March 26

srJusrAND DisTricfTRusrcio
Statement of Financial Activities
including Incomeand expenditurekcount
and Statement of Total Recognised Gains and Losses
forthe yearendlng31stOctober2025
Unrestricted
Funds
Restricted
Funds
Total
2024 Total
Income resources
Donationsand legacies
Grant funding received
785
785
13,100
284
ioooo
(2)
13,100
Charitable Activities
Theatrical Productions
Other trading Activities
Investment income
Refund of Corporation Tax
(3)
11698
11698
3099
Total incomln8 resources
12,483
13,100
25,583
13,383
Resources expended
(4)
CharitableActivities
Theatrical Productions
Other
Repayment ofordinalia loan
6,490
6,490
12,546
Total resources expended
6,490
6,490
12,546
Net incomlng resources/ (expenditure)
5,993
13,100
19,093
837
Transfers betW￿n fvnds
Net movements in funds
Reconclllation offunds
Total funds brought forward
29,094
231.404
260,498
Total funds carried forward
35,087
244,504
279.591
260,498

srJusrAND DislliicTTrUSTCIO
Registered Charity number 1168852
Balance Sheet at 31st Cktober 2025
2025
2024
Notes
Flxed assets
Tangible assets
Investments
(5)
220,335
loo
221,278
loo
220,435
221,378
Current assets
Debtors and prepayments
Cash at bank and in hand
(6)
59,490
39,622
59,490
39,622
Current Ilabllltles
Creditors: arnounts falling
duewithin oneyear
171
-334
-502
Net current assets
59,156
39,120
Total Assets Less Current Liabllltles
279,591
260,498
Non<urrent Ilabilities
amountsfallingdue
afteroneyear
{8)
Net assets/ Ulabllities)
279,591
260,498
Unrestricted Funds
46,056
30.095
Restricted Funds
233,535
230,403
Total funds
279,591
260,498
Thesefinancial statements wereapproved by the Board of Trustees on
and signed on their behalf by:
Trust
(print name)
24, M-.L 2o2G

STJusfAND DisfRicfTRU5rcio
Notesto the accountsfor the Year Endin8 31st October 2025
(i)
Donations
The Knut donations
Ordinalia donations
198
586
Total Donations
785
Grants Recelved
Ordinalia Grant
Ordinalia Screen Cornwall Grant
8,900
4200
13,100
13)
OtherTradingActlvities
Ordinalia-crowdfunder
Ordinal ia- Fundraising
The Knut- Events
The Knut- Rents
TheTrust- Equipment Hire Income
7824
810
loo
2624
340
Total other trading activities
11698
14)
Resources Expended- Other
The Knut- Purchases
The Knut- Refreshments
Accountants fees
Legal and professional
Ordinalia-Advertising
Ordinalia- Repairs & Maintenance
Ordinalia-subcontractors
Ordinalia- Subscriptions
Ordinalia-Travel & Subsistence
The Knut-Advertising
The Knut- Insurance
TheKnut- Legal & PrOf￿￿10nal Fees
The Knut-office Expense
The Knut- Rates
The Knut- Repairs & Maintenance
The Knut-Research
The Knut-subscription
TheKnut-Sundry
The Knut-Travd and Subsistence
22.86
83.39
514
47
474.52
17.6
1400
288
184.73
101.99
425.84
81
70.66
155.69
189.96
120
15
336.04

TheKnut- Utilities
Depreciation Chargeforyear
1009.58
943
6489.86
{5)
FixedAssets
Land &
Buildings
Fittings&
Equipment
Total
Cost
Balancebrought forward
Additionsin theyear
Disposals in the year
212,226
17,554
229.780
212,226
17,554
229,780
Depreciation
Balance brought fopward
Chargefortheyear
Depreciation eliminated
8,502
943
943
9,445
943
Net Bookvalue
At 1st November 2024
212,226
9,431
221,657
At 31st October 2025
212,226
8,109
220,335
{61
Cash at Bank and In Hand
Lloyds-Trust a/c
Lloyds-TheKnut alc
Lloyds-yuletide Fair alc
Lloyds-ordinalia a/c
Cash
3,920
8,376
ioi
47,003
89
59,490
17)
Credltors: amounts falling due within one year
Accountancyaccrual
Loan resolar panels
Trust: Equipment deposits
432
-98
334
(81
Creditor& amountsfalllngdue after one ye

(9}
Movements In Funds
Trans
between Net
funds
Increase
At 31110124
Incoming
Outgoing
Unrestricted funds
General Fund
29,094
12,483
-6,490
35,087
Restricted Fund5
Fixed Asset Reserve
231.404
13,100
244,504
260,498
25,583
,490
279,591
(71
Analyslsof net a&%ets between fiAnds
General
funds
Designated
funds
Restricted
funds
Total
Tangiblefixed assets
Investrnent
Current assets
Current liabilities
Long term liabilities
220,335
loo
13,100
220,335
loo
59,490
-334
46,390
-334
46.056
233,535
279,591
(8)
Trustees remuneration and expenses
No remuneration or expenses have been paid out.

Date: 7th February 2025 

Independent Examiners Report to the Trustees for the Year Ending 31st October 2024 

ST JUST AND DISTRICT TRUST CIO Registered Charity number 1168852 

Basis of Independent Examiner's Report My examination was carried out in accordance with general Directions given by the Charity Commission. 

An examination includes a review of the accounting records kept by the Charity (including all receipts,invoices, bank statements and other financial documents) and a comparison of the Financial Statements for the year with those records. It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from the Trustees concerning any such matters. 

The procedures undertaken do not provide all the evidence that would be required in a full audit. The report is limited to those matters set out in the statement below. 

Independent Examiner's Report 

In connection with my examination, no matter has come to my attention: 

1. which gives me reasonable cause to believe that, in any material respect, the requirements: to keep accounting records in accordance with section 130 of the Charities Act 2011 to prepare accounts which accord with the accounting records and comply with the accounting requirements of the 2011 Act have not been met; 

or 

2.  to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached 

Sarah Heath FMAAT, Accountant 

Nero Accountancy 27 Boskenna Road 

Four Lanes Redruth TR16 6LS 

