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2025-09-30-accounts

Trustees’ Annual Report for the period

From 1.10.2024 Period start date To 30.9.2025 Period end date

Charity name: Sherfield Park Community Association

Charity registration number: 1170953

Objectives and Activities

SORP reference
Summary of the purposes of
the charity as set out in its
governing document
Para 1.17 The CIO’s purpose is to improve life for
people in Sherfield Park by running and
maintaining a local community centre
which brings residents, local
authorities, and community groups
together to support education,
recreation, and social wellbeing for
everyone, without discrimination.
The CIO is non-political and not linked
to any religion.
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 and
1.19
Rooms at the centre are regularly hired for
a wide range of classes and activities for all
ages. We support several community
groups, including the Over 55s, Sherfield
0–5s, craft groups, a men’s group, and
wellbeing activities such as seated yoga,
Walk Fit, and a walking group.
We also host a weekly community café, are
home to a local children’s football club, and
run an annual festival that raises funds for
the centre. We also have an on site
beautician, Nursery, and are landlords of
the local shop in an adjacent building.
Statement confirming
whether the trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefit
Para 1.18

Additional information (optional)

You may choose to include further statements where relevant about:

SORP reference N/A Para 1.38 Policy on grant making

Policy on social investment
including program related
investment
Para 1.38 For Sherfield Park Community Centre,
social investment is less about “raising
money” and more about creating a
sustainable community asset that
improves wellbeing, connection,
opportunity, and resilience for local
residents. This is evidenced most
recently by the continued success of
our youth group, and the proposed
wellbeing activities, for which funding
was sought in this financial year but
received in the SPCA financial year
2025/2026
Contribution made by
volunteers
Para 1.38 The work of the Community Centre
continues to be strengthened by the
remarkable contribution of our
volunteers. While we operate with a
small team of paid staff, much of what
we achieve would not be possible
without the time, expertise and
commitment freely given by members of
our community.
In particular, our Board of Trustees
contributes in excess of 50 volunteer
hours each week, providing strategic
leadership, governance, operational
support and practical assistance across
many aspects of the Centre’s activities.
Their dedication ensures the
organisation remains sustainable,
responsive and community-focused.
We are also extremely grateful to our
youth team volunteers, whose
enthusiasm and commitment have
enabled us to expand opportunities and
activities for young people within the
community. Their support has helped
create welcoming, engaging and safe
spaces for local youth.
In addition, many other volunteers have
generously supported the Centre
throughout the year in a wide variety of
ways. From painting and maintenance
projects, to supporting the community
café, gardening initiatives and assisting
at community events and activities,
volunteers have played an essential role
in enhancing both the Centre itself and
the services we provide.
Other

Achievements and Performance

SORP reference

Summary of the 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 During 2024/2025, Sherfield Park
Community Centre continued to
strengthen its role at the heart of the
local community through a combination
of investment, sustainability initiatives,
and expanded community engagement.
A major achievement during the year
was the launch of our new website,
generously designed and hosted by a
local resident at no cost to the charity.
This has significantly improved
communication with residents and
helped raise awareness of the Centre’s
activities and services while reducing
operating costs.
We hosted the new MP for a visit so that
he could see the work we undertake.
As part of our commitment to
environmental sustainability and
financial responsibility, we had
previously completed the installation of
LED lighting throughout the Centre. And
started seeing the benefits of reduced
electricity consumption, lower ongoing
utility costs, and greener operations.
The Centre also hosted a range of
fundraising activities throughout the
year, including Sherfest. While Sherfest
was unfortunately impacted by
inclement weather, resulting in a smaller
surplus than anticipated, the event
nevertheless demonstrated strong
community spirit and volunteer support.
We continued to expand and develop
community activities and services to
meet local needs. Highlights included
organising a successful coach trip for
residents aged over 55, improving
digital inclusion through the provision
of public laptops and printing facilities,
and upgrading the Centre’s internal
computer systems to improve efficiency
and service delivery.
These achievements reflect the
continued dedication of our volunteers,
trustees, staff, and local supporters,
whose commitment enables the Centre
to remain a vibrant and valued
community resource.
ring our financial year 2024/2025
Performance of fundraising
activities against objectives
set
Para 1.41 We are entirely self funding so are
always seeking grants / sponsorship
and donations. Overall our turnover
remained very similar to the previous
year.

Financial Review

Review of the charity’s
financial position at the end
of the period
Para 1.21
Statement explaining the
policy for holding reserves
stating why they are held
Para 1.22 Our reserves policy states that we
should have 6 months running costs,
and we do maintain this figure in our
accounts. In addition we put money
aside each month is to a “Maintenance
reserves account” to cover any repairs
required, and this seems to be working
well. We are trying to increase the
balance in this account in case we need
to replace our boiler at some point in the
future as it is 15 years old.
Amount of reserves held Para 1.22 Our general reserves was sitting at just
over 84 Kat the year end, a slight
increase of Circa £1k on the previous
year.
Explanation of any
uncertainties about the
charity continuing as a going
concern
Para 1.23 There are no uncertainties about the
charity continuing as a going concern

Additional information (optional) You may choose to include further statements where relevant about:


The charity’s principal
sources of funds (including
any fundraising)

Para 1.47

Our principal source of funds is from
the hire of rooms within the centre, both
ad hoc, and from longer term users.
A description of the principal
risks facing the charity
Para 1.46 With increased costs of utilities and
staffing costs the charity needs to
continue its efforts to seek external
sponsorship and donations to maintain
its financial stability. The charity
trustees reviews its accounts on a
monthly basis. Like many charities the
recruitment and retention of volunteers
is challenging, however at the moment
we are fortunate enough to have a large
pool of volunteers.
Other

Structure, Governance and Management

Description of charity’s
trusts:
Type of governing document
(trust deed, royal charter)
Para 1.25 CIO Constitution
How is the charity
constituted?
(e.g unincorporated
association, CIO)
Para 1.25 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 Anyone living in our area of benefit over
the age of 18 is eligible to be a trustee.
One third of trustees retire by rotation at
each AGM, but are eligible for
reappointment. We encourage anyone
standing to be a trustee to attend a
couple of our meetings so they can
ensure the decision to volunteer is
correct for them. When seeking new
trustees we do emphasise the skills we
are looking for, but this would not
preclude anyone from selection.
Additional information (optional)
You may choose to include further statements where relevant about:
Additional information (optional)
You may choose to include further statements where relevant about:
Additional information (optional)
You may choose to include further statements where relevant about:
The charity’s organisational
structure and any wider
network with which the
charity works
Para 1.51 SPCA is a registered charity set up as a
CIO. We have a board of trustees with a
named chairperson. We are members of
several organisations including Action
Hampshire, and Destination
Basingstoke Ambassador Community

Reference and Administrative details

Charity name Sherfield Park Community Association
Other name the charity uses
Registered charity number 1170953
Charity’s principal address Sherfield Park Community Centre
Sunwood Drive,
Sherfield Park
Hook RG27 0FP

Names of the charity trustees who manage the charity

1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
Trustee name Office (if any) Dates acted if not for whole
year
Name of person (or body) entitled
to appoint trustee (ifany)
AudreyGordon Chairperson
Sarah Morgan
Dr Mark Gardner
Matt Reeves
Davina Kimber Resigned 19.4.2026
Ian Pegram
Rosalind Guy
Helen Jones Resigned 13.2.2025
SallyPalmer Resigned 15.11.2025
LesleyPhoenix
Mick Cooper
Reshmi Sarkar Resigned 17.1.2026
Kevin Ritson Appointed 27.5.2025
Fiona Jewson Appointed 31.3.2026
Linda Alley Appointed 31.3.2026

– Corporate trustees names of the directors at the date the report was approved

Director name

Name of trustees holding title to property belonging to the charity

Trustee name Dates acted if not for whole year

Funds held as custodian trustees on behalf of others

Description of the assets held in this capacity

Name and objects of the charity on whose behalf the assets are held and how this falls within the custodian charity’s objects

Details of arrangements for safe custody and segregation of such assets from the charity’s own assets

Additional information (optional)

Names and addresses of advisers (Optional information)

Type of Name Address adviser

Name of chief executive or names of senior staff members (Optional information)

Exemptions from disclosure

Reason for non-disclosure of key personnel details

Other optional information

Declarations

The trustees declare that they have approved the trustees’ report above.

Signed on behalf of the charity’s trustees

Signature(s)

Full name(s)

Position (eg Secretary, Chair, etc)

Date

Unrestricted Restricted Total Total
funds funds 2025 2024
E
Receipe
Charitable activities 12,021 12,021 11,596
Grants and Donations 578 13,440 14,018 49A15
Fundraising activities 22,522 22,522 20,141
Hire Charges 90,146 90,146 85,346
Rental income 29,547 29,547 24,874
Other income 1,473 1,473 1,617
TotalReceips 156,287 13,440 169,726 192,989
Payments
Charitable activities 4,069 2,234 6,303 5,179
Fundraising and events 13,135 1,236 14,371 21,726
Employee costs 55,606 7,269 62,871 57,781
Cleaningcosts 19,656 19,656 20,679
Administration 525 525 528
Maintenance 28,141 2,568 30,709 47,291
Utilities 18,289 18,289 12,473
Insurance& Licensing 2,813 2,813 2,685
Asset Purchases replacements 72 72 1,761
Other (incl. Sundry) 1,862 1,862 5,357
Professional Fees 3,376 3,376 2,327
TotalPaymenb 147,544 13,307 160,851 177,787
Netreceips/(payments) 8,742 133 8,875 15,202
Cash funds at beginning of the
year 118,548 17,400 135,948 120,746
Cash funds tuis year end 127,290 17,533 144,823 135,948

ASSETS
2025 2024
Cash Funds
Cash and Bank 15,164 10,983
Cash Reserves 110,495 115,208
Totalcash funds 125,659 126,191
Other Monetary assets
Debtors/Other Debtors 12,482 4,243
Fixed Assets for the Charity's own
Gifted assets
Purchased assets 28,583 27,142
28,583 27,142
Total Assets 166,724 157,576
LIABILITIES
Refunds due
Taxliabilities (1,171)
Income in advance 1,374 1,168
Deposits 650 950
Supplier amounts due 2,720 3,523
Total Liabilities 4,744 4,470
Net Assets 161,980 153,106

Fumiture, Computers
Fixtures and and other Total
Fitöngs equipment
As at 1 October 2024 26,673 469 27,142
Gifted additions
Purchased additions 1,037 1,441
Disposals
As at 30 September 27,710 873 28,583

Unrestricted Restricted Total Total
funds funds 2025 2024
E
Receipe
Charitable activities 12,021 12,021 11,596
Grants and Donations 578 13,440 14,018 49A15
Fundraising activities 22,522 22,522 20,141
Hire Charges 90,146 90,146 85,346
Rental income 29,547 29,547 24,874
Other income 1,473 1,473 1,617
TotalReceips 156,287 13,440 169,726 192,989
Payments
Charitable activities 4,069 2,234 6,303 5,179
Fundraising and events 13,135 1,236 14,371 21,726
Employee costs 55,606 7,269 62,871 57,781
Cleaningcosts 19,656 19,656 20,679
Administration 525 525 528
Maintenance 28,141 2,568 30,709 47,291
Utilities 18,289 18,289 12,473
Insurance& Licensing 2,813 2,813 2,685
Asset Purchases replacements 72 72 1,761
Other (incl. Sundry) 1,862 1,862 5,357
Professional Fees 3,376 3,376 2,327
TotalPaymenb 147,544 13,307 160,851 177,787
Netreceips/(payments) 8,742 133 8,875 15,202
Cash funds at beginning of the
year 118,548 17,400 135,948 120,746
Cash funds tuis year end 127,290 17,533 144,823 135,948

ASSETS
2025 2024
Cash Funds
Cash and Bank 15,164 10,983
Cash Reserves 110,495 115,208
Totalcash funds 125,659 126,191
Other Monetary assets
Debtors/Other Debtors 12,482 4,243
Fixed Assets for the Charity's own
Gifted assets
Purchased assets 28,583 27,142
28,583 27,142
Total Assets 166,724 157,576
LIABILITIES
Refunds due
Taxliabilities (1,171)
Income in advance 1,374 1,168
Deposits 650 950
Supplier amounts due 2,720 3,523
Total Liabilities 4,744 4,470
Net Assets 161,980 153,106

Fumiture, Computers
Fixtures and and other Total
Fitöngs equipment
As at 1 October 2024 26,673 469 27,142
Gifted additions
Purchased additions 1,037 1,441
Disposals
As at 30 September 27,710 873 28,583