COMPANY REGISTRATION NUMBER 11584511
REGISTERED CHARtrY NUMBER 1185076
TEMPLE 8Ale TRUST
TEMPLE BAR TRUST
COMPANY LIMITED BY GuARA￿rEE
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
JCA Accounlants
12 Bramble Rise
Cobham
Surrey KT112HP

TEMPLE BAR TRUST
COMPANY LIMITED BY GUARANTEE
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
CONTENTS
PAGE
General infom)ation
Tru$te8s Annual Report
Independent examinevs report to the memb8rs
Statement of financial aclNib'es lincormting the
income and expenditure account)
Balance sheet
Notès to the financial stslements

TEMPLE BAR TRUST
COMPANY LIMrrED BY GUARANTEE
GENERAL INFORMATION
REGISTERED CHARITY NAME
T8mple Bar Trust
CHARITY NUMBER
1185076
COMPANY NUMBER
11584511
REGISTERED OFFICE
Temple Bar
2 Patemoster Square
London
EC4M 7DX
TRUSTEES
P G S Murray
Dr L Bullivant
P L Cooper
S C Fraser
GASGMurphy
C F Pilliner-Reeves
A J Reynolds
N S Waring
INDEPENDENT EXAMINER
Jackie Crouch
JCA Accountants
12 Bramble Rise
Cobham
Surrey
KT112HP
BANKERS
C. Hoare & Co

TEMPLE BAR TRUST
COIAPANY LIMtrED BY GUARANTEE
TRUSTEES ANNUAL REPORT
YEAR ENDED 30 SEPTEMBER 2025
The Trustees, who are also directors for the purposes of company Liw. present their ￿port and the financial
statements of the company for the year ended 30 September 2025.
REFERENCE AND ADMINISTRATIVE DETAILS
Reference and administrative detsils are shown in the schedule of general informats'on on page1
THE TRUSTEES
Tho Trustees who seNed Ihe ¢omp8ny during the year were as follows..
P G S Murray
Dr L Bullivant
P L Cooper
S C Fraser
GASGMurphy
C F Pilliner-Reeves
A J Reynolds
N S Waring
STRUCTURE. GOVERNANCE AND MANAGEMENT
Temple Bar Trust is a company limited by guarantee aNJ not having a $hare capital.
The Charty is governed by its Memorandum & Articks of A8KKiation and was Incorporated on the 24
September 2018.
RECRUITMENT AND APPOINTMENT OF NEW TRUSTEES
The Trustees are appointed according to Iheir vanous skills and knowledge of the aims and aspirations of
the Charity. The Trustees who served during the penod and since the year end are shown on page 1. New
Trustees are apF(Jinted by th8 existing Tfustees wrth no specified penod of service. The Trustees meet
every quarter and al other limes by arrangement should the Charity's business $0 require.
The Trustees are chosen because of their interests in $upportiThJ the Charity's aim ol managing the buildlng
at Temple Bar and lo distribute fvnds with specific ￿USe$ on education in the architectural profession and
the understanding of history. As it ￿ a small organisalion, there is no direct training given but with their
wealth of experience and links within the industy of architecture, the Trustees are able lo add valuable
8UPPOrt lo the decision making process of the Charity. New Trustees are chosen for their ability to promote
and continue the Charity'$ aim and provide support with its day to day activities and decision making
process.
INDUCTION AND TRAINING OF NEW TRUSTEES
The Trustees a￿ familiar with the pra¢ti¢al work of the Charity. They hav& access lo charity literature and
detailed discussions at meebngs about the work undertaken and aspirations of the work the Charity expects
lo cary out.
RISK MANAGEMENT
The Trustees have a duty to idenlfy and review the risks to which tho Charity is exposed and to ensure
appropriate controls are in plxè to provide reasonab￿ as$uran¢e against fraud and error.
Al each Trustee meeting a review of the risks to which the Charty ￿ exposed is discussed and considered.
Reporting procedures are in place wh￿h ensures compliance with he3￿h and safety standards for staff and
visitors. The Trustees review the major nsks lo which the Charty is exposed each year when reviewing arsd
up4ating their strategic plan and tske such steps as they consKler r￿ssary and reasonable to miligale
their impacL

TEMPLE BAR TRUST
COMPANY LIMITED BY GUARANTEE
TRUSTEES ANNUAL REPORT
FOR THE YEAR ENDED 30 SEPTEMBER 2025
OBJECTJVES AND ACTIVITIES FOR THE PUBLIC BENEFrr
Objectivgs and alms
The objects of the Charity. as set OLrt in the Merrk)randum and Articles of ASS￿lation. are:.
Education. knowledge and research in reS￿t of the practice. $C￿nce, art, history, conservatv)n
and preservation of architecture
Education in respect of the architecture and history of The Cty of London
Education in respect of the histori¢ stNcture of Temple Bar, the latter includes education as lo the
importance of its PreserVa￿"0n and Io use rts heritsge as the archrte¢tural ga*e•vay to The City of
London
The Trustees confimi that they have referred to thé guidance ¢ontained in the Charity Commission's
guidance on public benefit when reviewing the Charity's aims and objectwes and in planning futu￿ activities
and sethng the grant making policy for the year.
ACHIEVEMENTS AND PERFORMANCE
Challtable activities
The main areas of charitable ath.vity are to manage the building at Temple Bar and to distn'bute fvnds with
specific focus on educatKJn in the archilectural profession and the understsnding of history.
FINANCIAL REVIEW
Re$or4e8 pollcy
The Trust holds and accumulates fvnds to supi>)rt ts aims and objectives and in doing so seeks to retain
reserves that cover al least six months. worth of annual expenditure, knthvn shortfalls in futu￿ fvnding and
arrh)unts required to maintain the histori¢ listed building of Temple Bar. The Trustees revEw this poI￿Y and
the amounts held in reserves on at least an annual basis.
The level of reserves al 30 September 2025 was £156.036 (all unr8strictedl. which Ihe Trustees consider lo
be 8ati$faclory.
The Trustees are satisfied with the perforn)an¢e and state of the Charity and review their reserves polky
annualty.
PRINCIPAL FUNDING SOURCE8
Grant maklng pollcy
Temple Bar Trust is almost entl￿ty reliant on the goodwill and generos￿ of mèmbers of the public. Wth no
government fvnding at all. and virtually no corporate 5UPPOrt. the running ¢osts of the Charity are mel from
donats'ons, grant income and Ir￿Qme from events held in pursuit of ts chantsble obiectsve8.
PLANS FOR FUTURE PERIODS
The Charity's future plan is to ¢ontinue FYorTh)ting its objectives and improve its facilities.

TEPAPLE BAR TRUST
COMPANY LIMITED BY GUARANTEE
TRUSTEES ANNUAL REPORT
FOR THE YEAR ENDED 30 SEPTEMBER 2025
TRUSTEES. RESPONSIBILMES STATEMENT
The Trustees (who a￿ dso the directors of Tem* 8ar TnAt for thg PLW88 ol ojmpany l•vl are
responsible Icr preparing the TnJst¢es Amud Report and the finwKial stalgments in at￿danc4 with
applicablo Iw and règulations.
Company law rwjuires the Trustees to preP￿e fin￿￿al statements f(Y exh finandal yèar. Under that law
thg Trust8gs have elected lo prepare the financtal statements in accI)rfan￿ with Uniled GÈr*r811y
Accgpted Accounts"ng Pracb"ce (United KUWJM Accwnbng Stanaards and awicgble lawl. UThder company
law the Trustees must not aw>rove ts fina￿1￿ $tat&ments wless ty aTr 5ab$fi8d that th8y gvg a
and fak view of the stste of thirs of the o)mwy •MI Ihe Incs)me and ex[￿d￿re of th8 company for that
Poriod.
In prwmng th8s¢ ffnand81 stat8m8nts, tho TnJsteeB sre roqLirgd lo
sdect $wtabb ac¢ounthg I￿￿1$$ and tty￿ them caj￿¢Sten￿.
obgarve tho method8 and prinripl8s Chwitss SORP:
make jth1ganents and ￿￿￿ting estimates that are Teasonable wtjent.. and
pr8par• th• finand81 Statem￿ on ts go*¥J CC(￿arn l>u• unla$8 ￿ 1$ Irwroprtats to pr¢8um8 that
thè C£Jmpany will t￿ntIl￿ In owaticrt
Thè T￿￿888 8ffj r?swnsible lor kéépiw thiuate XCI￿ntIr￿d rocords tt￿1 are S￿￿￿ent to Shi￿ and
6xpl8in tho CoMp￿Y'S trans¥tic￿ digclo¥e wilh reasonable accuracy at any the fina￿[41 p08ition
of the Company and 6n*le them to onsura that th& fmancial 5tsternonts c<ynt*y thè Companles Act
2006 They we 8550 respon￿.￿re lor saf8gu8rding th9 assets of th• ¢X)mpany 4nd hènce lor tskn'ng
r9ason8ble steps for the prev•nIl¢￿ and dgtect*)n of and Ot￿ irrtgLlaritses
S￿n*# on beh8
Trustees
P G IAurray-TnMteg
..G A S G Murphy- Trustee
Date..

TEMPLE BAR TRUST
COMPANY LIMrrED BY GUARA1￿EE
INDEPENDENT EXAMINER'S REPORT TO THE MEMBERS OF
TEMPLE BAR TRUST
YEAR ENDED 30 SEPTEMBER 2025
Report lo the trustees of
Temple Bar Trust
Charity Number.. 1185076
On accounts for the year
ended
30 September 2025
Set out on pages
6t010
Respectlve r•sponsibllltles The charity's trustees a￿ respJns1b￿ for the p￿paratIOn of the accounts. The charity's
of tru8tee$ and examlner
trustees consider that an audit is not required for this year lundef section 144121 of the
Chanlies Act 2011 (the 2011 Act) and thal an independent examination is needed.
It is my responsibility to
examine the accounts under section 145 of the 2011 Art
to follow the prcKedures laid down in the general Dir8¢tsons given by the
Charity Commission under seclK)n 145{51{bl of the 2011 Act, and
to state whether pa￿.¢￿lar matters have come to my attention.
Ba818 of IndopeThd¢nt
•xamln•r'8 Statement
My examination was Carried out in accordance with general Directions given by the
Charity Commission. An examinath)n includes a review of the accounling records kept
ty the Chanty and a ¢omparison of the accounts presented with those re¢ords. It also
includes consideration of any unusual items or disclosures in the accounts and
Seeking explanath)ns from the trustees conceming any such matters. The procedur&s
undertaken do not provide all the evHJence that would be required in an audit, and
¢on$equenUy no opinion 1$ given as to whether the accounts PTes8nl a 'lrue and falr
view and the report is limited to those matters set oul in the statément below.
Indepondent &xamln•e*
stst•m•nt
In connection with my examination, no matter hag com• to my attention..
(1)
Wh￿tt gNes me rea￿nable cause to believe that, in any material
respec( the requirerrents.
to keep accounting records in accordance with section 130 of the 2011 Act..
and
to p￿pare accounts whth accord wrth the accounting words and compty
with the applicable requirements concemlng the form and conteni of accounts sel out
in the Charities {Accounts and Report$l Regulations 2008 other than any requirement
that the accounts givè a 'true and fairf view which is not a matter considered as part of
an independent examination. have not bean m8t: or
{21
trj which, in my opinion. attention should be drawn In order to enable a
proper understanding of the accounts to be reached.
Name
Relevant professional
qualification or body
AAT

TEMPLE BAR TRUST
COMPANY LIMITED BY GUARANTEE
STATEMENT OF FINANCIAL ACTMTIES (INCORPORATING THE
INCOME AND EXPENDITURE ACCOUNT)
YEAR ENDED 30 SEPTEMBER 2025
Unre8tri¢ted
Funts
2025
Total
Funds
2024
Total
Funds
Not¢
INCOME
Donations, *acie$ & event inco
Interest receNed
149.426 149.426 192,633
2.e65
2,665
1.563
TOTAL INCOME
152.091 152.091 194,196
EXPENDrruRE
Charitable activities
136.769 136.769 133.814
TOTAL EXPENDITURE
136,769 136.769 133.814
NET INCOME
15.322
15,322 80.382
Totsl fund8 brought forward
140,714 140,714
80,332
TOTAL FUNDS CARRIED FORWARD
£156,036 £156,036 £140.714
The statement of financial activities includes all gains and
losses and therefore a statement of comprehensive income
has not been prepared.
Al of the above amounts relate to continuing activities.

TEMPLE BAR TRUST
COMPANY Umrn BY GUARANTEE
8AJANCE SHEET
30 SEirfEMBER 2025
2026
2024
CURRENT ASSETS
Cash at b
167.222
13,807
181.CQ9
126.609
35,297
181.906
CREDITORS: Amourts w1tr4n ￿ ye
124.933)
{21.1¥21
1￿.036
140,714
NET ASSETS
£1&8,038
£140.714
FUNDS
Unrestricted InC￿e fLw•ts
TOTAL FUNDS
158,038
140.714
£1￿,036
£140,714
All a￿ts and Ilthlit*s relate to unrestric*ad funds.
Thes• f￿￿ClaI statements apWOv￿ ty the Trustees wjth￿sad for Iswe on Ihe l•
d 8wJned on their behalf ty.
£09
P G Murray
Tru&ee
r￿Y
Tru&e&
ncrtes pages 8 10 10 form part of these ffftaKial statements

TEMPLE BAR TRUST
COIAPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2025
ACCOUNTING POLICIES
The principal accounting policies adopted. judgerrents and key sour¢e$ of eslimabon uncertainty in the
p￿parat￿Sn of the financial statements are as folbws'.-
Basis of accounting
The financial statements have been prepared under the historical cost convention and in accordance wf(h
Accounts'ng and Reporting by Charities.. Statement of Recommended Practice applicable to charrties
preparing their accounts in a¢¢ordance wrth the Financial Reporting Standard applicable in the UK and
Republic of Ireland IFRS1021 l&ffeclive 1 January 2015)- (Charitw SORP IFRS102}l and the Companies
Act 20ce
The Chanty constitutes a public benefil as defined ty FRS102.
The Trustees consider thal there are no material uncertainties atout the Charity's ability to continue as
going concern.
Funds struc￿r0
The unrestricted fvrKls of the Chanty can be used in accordance wth the charitable objectives at the
diSCret￿n of the Trustees. The r8Stricted fund$ can be used in ￿)rdance with the objectives set out In the
relevant appeals.
Incom•
The Charty's income 18 recognised when the Charty has ent￿ernent lo the fvnds.
Expondltum
Expenditure 1$ recognised once there ts a legal or con8tru¢tive obligation to make 8 Payment to a Ihird paty,
It is prOba￿e that settlement wll ba required and the amount of th6 obligatp)n can b8 measured reliably.
Taxatlon
The Charty is registered with the Chanty Commisswjn and therefor@ no income or capital taxes are payable
on any part of its activrti8s. Value added tax 1$ inCur￿d on certain categories of expenditure and is
recoverable.
DONATIONS AND LEGACIES
2025
2024
Donations reC￿ved
Gift Aid received
Grants received
Rent received
Event income
13,458
230
50,000
10.000
75,738
33.555
14,583
50,000
10,000
84,495
£149,426
£192,633

TEMPLE BAR TRUST
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS (Cont'd)
EXPENDITURE ON CHAR￿ABLE ACTlVtnES
2025
2024
Support costs:
Administrators fees
Bank charges
Total
39,102
536
40,052
492
39.638
40.544
Grants paid
Governance costs (see note 4)
Establishment expendrture
Event costs
15,620
13,880
41,050
26,581
£136,769
33.038
23,522
36.710
Total Charltablo Acllvltle8
£133,814
GOVERNANCE COSTS
2025
2024
Administration costs
Independent examInat￿n & accountancy fe8S
Booklets & printing
Web$rte & IT costs
Bad debts
Adv8rtlsing & marketing
7.823
5,120
333
911
11,8071
1,500
21,379
4,924
735
1,000
5,000
£13.880
£33,038
NET INCOMING RESOURCES FOR THE YEAR
This is stated after charging..
2025
2024
Independent examination fee for the financ￿[ Ststemenls
£800
£800
STAFF COSTS AND EMOLUMENTS
There were no employees whose annual remuneration was £60,000 or rrL)re.
TRUSTEES, AND KEY PIANAGEMENT REMUNERATION AND BENEFrrs
The Trustees (who are cons￿ered lo represent the key management of the Charity) all give freely their
time and expertise wthoul any ft)rm of remuneration or any other fom of benefit in ca$h or in kind.
There was no Trustees, remuneration nor other benefits for the year ended 30 September 2025.
Tru8tee8' expen808
There were no Trustees, expenges pald for the year ended 30 September 2025.
CREDITORS: Amounts lalling due within one year
2025
2024
Accruals
VAT & PAYE
17,400
7,593
20,204
988
£24,993
£21.192

10.
TEMPLE BAR TRUST
COMPANY LIMITED BY GUARANTEE
NOTES TO THE FINANCIAL STATEMENTS {Cont'd)
UNRESTRICTED INCOME FUNDS
Balance at 1
Oct 2024
Incomlng
resource8
Outgoing
resources
Balance at
30 Sept 2025
General Funds
£140,714
152.091
(136.769)
£156,036
10. POST BALANCE SHEEf EVENTS
There have been no events subsequent to 30 September 2025 whKh would require di￿10$￿re
in or adjustment to these accounts.