CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees. Annual Report for the period
From 1 January 2021 Period start date
$t
To 31 December 2021 Period end date
Charity name: Action for Pangbourne Toilets Community Trust
Charity registration number. 1171411
Objectives and Activities
Summary of the purposes of
the charity as set out in its
overnin
document
Summary of the main
activities in relation to those
purposes for the public
benefrt, in particular, the
activities, projects or servi(x
idents'fied in the accounts.
Parn 1.17
The provision of public toilets at Station
Road, Pangboum&. Berkshire for the public
benefft.
The day to day provision, Cleaning and
rna1ntenan￿ of Station Road public toilets.
for the public benefrt.
Parn 1.17 and
1.19
Fund raisirwJ and securing grants to cover
running costs, caprtal works and the
necvssary buildings and other insurance;
leasing the building from the local aLrthority.
Statement confirming
whether the trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefit
Para 1.18
We confimi the trustees have regard to the
guidance issued by the Charity Commission
on public benefrt: eath trustee has confirmed
in writing they have read and understood the
guidance.
Additional inforniation (optional)
You ma
Ghoose to include further statemerts where relevant ab(xJt
Policy on grant making
Para 1.38
The Trust does not make grants.
Policy on social investment
including program related
investment
Pw8 lJ8
The Trust does rK)t make inveslJnerts
The Trust has appr0￿MatelY 80 supporters
who donate funds or volunteer to assist with
our fundraising acttvities. This indudes
helpi￿ to run fundraising stalls at local
events" distribLrting infomiation leaflets.,
applying for grants-, helping to organise and
to assist at fund raising events: and
contributing ideas for our fund raisirKJ plans
atsu
rters meetin
Pwa 1.38
Contribution made by
volunteers

Volunteers cary out weekly inspections of
the facilities to record any potential issues,
as required by our Insurance Policy.
The ongoing facilities management of the
toilet block is managed by a designated
Trustee, with assistance from a core team of
volunteer supporters who oui minor
maintenance v40rks.
Volunteers also maintsin shrubbery beds
around the buiklin
Other
None.
Achievements and Perfomiance
The Ladies and Gents farilities are available
from 7am to 7pm, every day ￿￿th a single
unisex toilet available outside these hours
thus providing facilities 24 hours a day. The
disabled toilet is open 24 hours a day, 7
days a week and is accessible via FiADAR
key. These facilities are provided free of
charge and have been available every day
throughout the year, apart from Ihe when the
Ladies toilet was dosed for modernisation
(see bel¢)wl.
Summary ofthe main
achievements of the charity.
idenlifying the drfference the
charity's work has made to
the circumstances of tts
beneficiaries and any thider
benefits to society as a
whole.
PoTa 1.20
The facilities are checked each week by
Tota of volunteers. This is a requirement of
our Building and Public Liability insurance to
ensure that issues whi¢h may give rise to a
daim are identified and dealt with in a timely
manner. Minor maintenance has been
carried out by Trust volunteers. This has
induded, fixing sticking doors. repairing
broken fan, replacing failed lights, replacing
faulty usage counters and maintaining
shrubbery beds adjacent to the facility.
Such work not only ensures that the facilities
are maintsined to an acceptable standard,
but also reduces costs for the TrusL
The usage counters show that over 26.000
people have used them during the year.
This varies from around 50 per day during
the first 'lockdown' to around 90 per day in
the Summer. This is an inGrease over last
year refiecting the fact that no altemative
facilities were available during lockdown.
Our voluntary dOnat￿n boxes are receiving
around £15
r week
£750
ear
Both

these show that the facilities are really
appwiated by the local communty.
TtrE Trust set rtself a target to ratse a
minimum of £11,500 by the end of
September 2021 to ensure it had SLrfficient
funds to cover the running costs for the
following year tEfore committing to a further
12 month CleaniThJ contract. This was
achieved.
It vras atways the Trust's intention to build up
surplus of funds each year {over and
above the £11,500 running costs) to fund
refurbishmenumodemisation of the facilities
which. whiL8t being perfectly serviceable, are
over 30 years old.
In December 2020 the first phase of this
modernisation programme was completed:
namely. the upgrading and enlarging of the
Disabled toilet to ensure it met current
standards. In November 2021 the second
phase of the project, the modernisation of
the Ladies toilet was startéd and it was
hoped to be completed by the end of 2021.
Unfortunately, due to extreme dttfiGulties with
the supply of the required sanitary ware it
was not compEeted until April 2022.
During this time the previously modernised
Disabled toilet was made available to Ladies
which provided a very a¢¢eptable altemative
facility.
The contract was awarded to the same
contractor who had successfully Gompleted
the DiSab￿d modernisation the previous
year. The Cost was £26,635. Funding for this
project was provided by the Co-op Local
Community Support SdRme (£3,378), a
£1,000 donation from Pangbourne Rolary
Club and the balance via various fund
raising activities arKI individual donations
with £5.000 of matched furKJing provided by
the Greenham Trust.
Additional inf0m￿tiOn {optlonal)
You ma choose to include further statements where relevant about
The toilets remained open throughout 2021
even during the periods of lockdown when
many other public toilets were closed and
altemattve facilib'es (such as cafes and pubs)
were no longer available. This was much
appreciated by trades-people who had no
altemative facilities. Our contract cleaning
company continued to clean the toilets every
day (using Covid compliant practices) and
our thEekl
ins
ctions were carried out b
Achievements against
objectives set
P¥a 1.41

rota of Trustees and Supporters using Covtd
safe procedures. Notices advised members
of the wblic of how to remain Covid safe.
Objectkves to raise the running costs one
year in advance and build up a
modemrsation fund. all met.
Perfomiance of fundraising
activities against obj'ectives
set
Para 1.41
Investment perfonnan
against obJ"ectives
Para 1.41
Not applicable- no investments.
Other

Financial Review
Review of the charity's
financial position at the end
of the period
Para 121
A cash balance of £27,156 was held at year-
end, of vthich £11.5CM) is forecasted annual
operating cost requirement.
Statement explaining the
policy for holding reserves
stating why they are held
Para 1.22
All money over and atrK)ve th* required for
ongoing running costs is bein9 built up to
pay for refurbishment of the facilities.
Amount of reserves held
Para 122
Reserves held total £4.136 comprising the
cash balance of £27,156 less £11,500
annual running costs and £11.520 being the
balance of the contracted price for the
Ladies toilet modemisation Y￿rk, still to be
Com
NIA
Reasons for holding zero
reserves
Details of fund matertally in
deficit
Explanation of any
uncertainties about the
charity continuing as a going
concern
Para 1.22
Para 1.24
NIA
P#ra 1.23
There is a risk (albeit small at present) that
APT may not have sufficiènt Trustees to
carry out th8 objèctives of the Trust. Sèveral
attempts have been made to recruit new
Trustees but without success. If we lose a
number of Trustees and fail to recruit new
ones then there becomes a signtficant risk of
not bei
able to continue.
Addltional Infomiatlon Ioptional)
You ma
choose to include further statements where relevant about:
Grants from local Parish Councils
GrantslFunding from Local
Businesses
Grants from charitable grant
awarding trusts
Various fundraising activities
Local Council run lottery
Donations from Su
rters
The chanty's principal
sources of funds (including
any fundraising)
Par• 1.47
Investment policy and
objectives including any
social investment policy
adopted
Parn 1.46
The Trust does not make any investments.
Failure of the Trust to raise sufficient funds
to pay for running the toilets. The Trust will
not enter into any contractual obligation
unless it has sufficient fvnds at the time to
meet its obligations.
A description of the principal
risks facing the tharity
Paro 1.46
The grants from the local Parish Councils
are not guaranteed, and neither is the
matched fvnding from the Greenham Trus(
all of which have to be applied for each year.
These elements
rovide the bulk of the

running costs required each year, and this
year one of the Parish Council's (vtho had
previously funded us) said they were not
awarding any grants this year because of
reduced income due to the Pandemi¢. This
did not cause a problem this year and it is
believed to be a 'onfroff sttuation. The risk
of the Parish Councils not providing
sufficierrt funds is considered very small, but
nevertheless is present because the grants
are not guaranteed.
Other

Structure. Governance and Management
Description of charitys
trusts..
Type of governing d0￿ment
Para 1.25
Charity Commission (template) ConstttLrtion.
How is the charity
constituted?
P*a 125
)rated
Charitable Incorporated Organisation (CIO).
Twstee seledion methods
induding details of any
constitutional provisions e.g.
election to post or name of
any person or body entitled
to appoint one or more
trustees
Parn125
New Trustees have to be fomially approved
by existing TTUStees and to have
demonstrated commitment to the Trust's
objectives and possess skills to help meet
the ot4"e¢tives.
Addltional Infomiatlon (optional)
You ma
choose to include further statements where relevant about:
New Trustees have to read the Charity
Commission's Guidance on Truste8'S
Responsibilities and confinn in writing that
they have done so. They also have to syn a
GDPR consent fomi for the Trust to hold
their
rsonal details.
Policies and proCedU￿S
adopted for the inductÉon and
training of trustees
ParB 1.sl
The charity's organisational
structure and any wder
net￿Ork with which the
charity v￿rkS
The Trust is managed entirely by the
Trustees. No staff are employed and
nobody receives any remuneration for their
services other than expenses and contracts
let to compantes.
Para 1.$1
Relationship with any related
partEs
No relationships with other parties.
Parn 1.51
Other
Reference and Administrative details
Cha
name
Other name the cha
uses
Re
istered chari
numLEr
Charity's prinapal address
Action for Pa
APT Commun
1171411
23, St James Close.
Pangboume,
Reading. Berkshire.
RG8 7AP
boume Toilels Commun
Trust and APT
Trust

Names of the charity trustees who manage the charity
Trustee name
Office Irf any)
Name of person lor body) entitled to
ifan
Brian Hoskins
Mike Fellows
Colin Thoma
Chair
Secretary
Treasurer
Alyson Ebbrell
Lyn Higgs
Jackie Malcolm
Rosie Nurick
Felicity Pethica
David Probert
10
11
12
13
14
15
16
17
18
19
20
Cor
orate trustees- names of the directors at the date the re
Dlr¢¢tor nam¢
rtwasa
roved
Name of trustees holding title to property belonging to the tharity
Trustee name

Funds held as custodian trustees on behalf of others
Description of the assets
held in this capacrty
None.
Name and objects of the
charity on whose behalf the
assets are held and how this
falls within the custodian
Gharrty's objects
None.
Details of arrangements for
safe custody and
segregation of such assets
from the Chanty's own ass8ts
Nl
Addltional inforniatlon (Optional)
Names and addresses of advls•rs (Optional inforniatlon)
Type of
Nam•
Address
advi3or
Name of ¢hief execullve or names of senior staff members (Optional infomiallonl
Exemptions from disclosure
Reason for nOn￿ls￿oSUre of ke
rsonnel details
Other o
tional information

Declarations
The trustees declare that they have approved the ITUStees' report above.
Signed on behalf of the charity's trustees
Signature(s)
Full name(s)
Posltlon log Secretary,
Chair. etc
Brian Hoskins
Mike Fellows
Chair
Secretary
Date
122

||CHARITYCofvllvlISSION|CHARITYCofvllvlISSION|CHARITYCofvllvlISSION|CHARITYCofvllvlISSION||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
||<br>FORENGI-ANDANDWALE<|||||||I||I||||
|||Kecerptsand||||payments accounts||||||||
|||Fortheperiod<br>from||41t01t2021|||To||31t12t2021|||||
|||Unrestricted<br>funds||Restricted<br>funds|||Endowment<br>funds|Totalfunds||||Last year||
|||to thenearestt||to the|nearestf||tothenearestf|tothenearest€||||tothenearestt||
|A||||||||||||||
|Private Donations||2,971||||710|||3.681||||5.709|
|Grants||4,274|||4,378||||8,648||||4,020|
|Further fundraisino||1,761|||||||1,761||||1.672|
|Match fundinq||4.703||||599|||5.302||||5,939|
|GiftAid||2,850||||1{5|||2.965||||691|
|Other income||9|||||||I||||103|
|Sub total (Gross incomefor<br>AR)||,6,564|||5,802||||22,366|||{8,135||
|A2Assetand investment sales,||||||||||||||
||rotatreceiptsl-#Fill||f--iId;]|||<br>t--1||f-rrfsfl|||l-I8,Cl|||
|A3P||||||||||||||
|Cleaninq||7.549|||||||7,549||||7,322|
|Reoairs and maintenance||945|||||||945||||86|
|Professional fees||||||||||||||
|Utilities||873|||||||873||||868|
|lnsurance||856|||||||856||||869|
|Premises upqrades||27,872|||||||27,872||||358|
|Other costs||857|||||||8s7||||761|
||Subtotal|38,951|||||||38,951|||{0,263||
|A4Assetandinvestment||||||||||||||
|urchases,(see|tablel|||||||||||||
||||I|||-I||-tr|<br>-il-||||-t|
||Totatpaymentsl----EEil||f--1|||t--]||I-|<br>3s,r51|I|l-fm6il|||
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|||Unrestricted<br>Restricted<br>Endowment|
|---|---|---|
|B1|Gashfunds|funds<br>tonearest €<br>funds<br>tonearest €<br>funds<br>tonearestf<br>tr=F=tr=|






