PRESTON ROAD COMMUNITY CENTRE (CIO)
Charity number: 1186725
FINANCIAL STATEMENTS FOR THE YEAR ENDED 30[TH] APRIL 2025
Preston Road Community Centre (CIO)
Financial Statements for the Year Ended 30[th] April 2025
| Contents | |
|---|---|
| Charity Information | 1 |
| Trustees Report | 2 - 3 |
| Statement of Trustees Responsibilities | 4 |
| Independent Examiner’s Report | 5 |
| Statement of Financial Activities | 6 |
| Balance Sheet | 7 |
| Notes to the financial statements | 8 - 11 |
Page 1
Preston Road Community Centre (CIO)
Financial Statements for the Year Ended 30[th] April 2025
Charity Information
Governing Instrument
The CIO is a charity registered with the Charity Commission under number 1186725. It is governed by the Constitution of Preston Road Community Centre, which was adopted on 15[th] August 2019.
Activities
The CIO runs a community centre in Preston Road, Abingdon for the benefit of local residents and organisations. Its objects are to advance education and, in the interests of social welfare, to provide leisure and recreational activities.
Trustees and Officers of the CIO
| Chairman | Mr R Ball |
|---|---|
| Honorary Secretary | Mr A Fear |
| Trustee | Mrs S Smith |
| Trustee | Mr C Palmer |
| Address | Preston Road Community Centre |
| Midget Close | |
| Abingdon | |
| Oxon OX14 5NR | |
| Bankers | Nat West plc |
| 11 Market Place | |
| Abingdon | |
| Oxon OX14 3HH | |
| Independent Examiner | Mrs C Norris FCCA (retired) |
| 11 Binning Close | |
| Drayton | |
| Abingdon | |
| Oxon OX14 4LN |
Page 2
PRCC Trustees Report for the year ending 30[th] April 2025
General
Preston Road Community Centre is a friendly community hub that marked its 50th anniversary in 2025. Many groups use the centre, including the Vineyard Church, the University of the Third Age, an NHS healthy-living outreach team, parents/carers with children, youth groups, fitness classes, bingo, games groups, wine tasting, and town twinning.
Behind the scenes, a team of trustees oversee finances, risks and day-to-day operations, ensuring the centre remains stable, safe and well maintained. Health and safety are monitored closely, and repairs are reviewed and organised as needed.
Bingo continues every Tuesday evening, providing a valuable social activity.
The Abingdon Emergency Foodbank operates weekly from the Centre, offering an important local distribution point.
The Blood Donor Centre visits throughout the year, and the hall is also the main polling station for South Abingdon.
Finance and Staffing (Updated for the Year Ended 30 April 2025)
The charity’s total income rose slightly from £56,803 in 2024 to £57,720 in 2025, indicating a steady post-Covid recovery. Income from the Centre’s own functions increased from £19,614 to £21,320. Interest income rose from £1,551 to £2,710 due to higher bank rates. Booking fee income fell from £35,488 to £33,480.
Expenditure increased from £44,581 to £49,066, mainly due to higher running costs. Significant rises occurred in repairs and renewals (£6,071, up from £1,217), cleaning/refuse (£6,977, up from £3,301), and alarm maintenance. Wages reduced from £10,902 to £6,056 after moving from an employed cleaner to a contractor.
The charity generated a net surplus of £8,654 (down from £12,222). Total assets increased from £136,786 to £145,440, largely because cash at bank rose to £143,858. Stocks and debtors were slightly lower, and short-term creditors fell from £4,244 to £2,939.
The charity remains in a healthy financial position. Reserves continue to include £50,000 designated for future refurbishments, such as disabled toilets and replacement internal partitions. Progress depends on lease negotiations, as trustees cannot commit to major capital works until these are resolved.
Staffing and Volunteers
The staff team reduced to a part-time finance officer. The cleaner and handyman left during the year; from November, cleaning was contracted out, and from February handyman duties were taken on by volunteers. Trustees and volunteers also now support tasks such as bookings administration. This helps manage costs but also reflects difficulties in recruiting for limited-hours roles.
A committed volunteer team continues to run Tuesday Bingo, providing a valued community event and useful income. Trustees oversee management functions, including monthly Health and Safety checks and building operations.
Page 3
The Building
Six years ago, the landlord - Vale of White Horse District Council (VWHDC) - commissioned a building condition survey estimating a 20-year repairing liability of £174,000 (at 2018 prices).
Discussions are ongoing because VWHDC seeks to pass full repair and insurance responsibilities to the charity under an FRI lease. Free legal advice obtained by the trustees supports their view that signing the proposed lease would be unwise. Counsel confirmed that the CIO has protection under the Landlord and Tenant Act 1954 and that the building’s community-use restriction may make commercial rent challengeable.
Trustees continue to share experiences with other community centres.
Building maintenance remains a significant commitment. Trustees organise annual checks for gas, fire alarms/extinguishers, and the intruder alarm, and arrange contractors when issues arise, such as drainage or alarm faults. They also carry out annual Health and Safety and Fire Risk Assessments. Volunteers act as key holders for groups requiring access.
Major work this year included a new roller shutter motor (£1,773.35 + VAT), replacement bearing (£624.80 + VAT), a digital alarm upgrade (£420 + VAT), and several electrical repairs including emergency lighting and shutter cabling.
Replacement of the air-conditioning system is still under discussion with VWHDC.
Management
The association continues to support a wide range of user groups and seeks new activities and volunteers to keep the Centre running smoothly as a clean, welcoming and well-equipped venue for community use and children’s parties.
There is an ongoing need for trustees and volunteers with appropriate skills. Considerable time has been spent on lease negotiations and clarifying responsibility for the building’s external fabric.
Councillors Neil Fawcett and Andrew Skinner act as VWHDC representatives for the Preston Road Community Centre Association.
Public Benefit Statement
The Community Centre is available for hire seven days a week for activities aligned with the charity’s objectives. It hosts groups for all ages - from toddlers to older people. Volunteers give many hours each week to keep the Centre in good order and to run fundraising activities. Trustees continue to explore ways to reduce running costs while maintaining a well-equipped, accessible venue for the community.
For and on behalf of the Trustees
Preston Road Community Centre - Alastair Fear – November 2025
Page 4
Preston Road Community Centre (CIO)
Statement of Trustees Responsibilities
Law applicable to charities in England and Wales requires the trustees to prepare financial statements for each financial year which give a true and fair view of the charity’s financial activities during the year and of its financial position at the end of the year. In preparing financial statements giving a true and fair view, the trustees are required to:
-
select suitable accounting policies and then apply them consistently;
-
make judgements and estimates that are reasonable and prudent;
-
state whether applicable accounting standards and statements of recommended practice have been followed, subject to any departures disclosed and explained in the financial statements; and;
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prepare the financial statements on the going concern basis unless it is inappropriate to presume that the charity will continue in operation.
The trustees are responsible for keeping accounting records which disclose with reasonable accuracy the financial position of the charity and which enable them to ascertain the financial position of the charity and which enable them to ensure that the financial statements comply with the Charities Act 2011, the Charity (Accounts and Reports) Regulations and the provisions of the constitution of the association. They are also responsible for safeguarding the assets of the charity and hence for taking reasonable steps for the prevention and detection of fraud and other irregularities.
On behalf of the trustees
Mr R Ball Chairman
Page 5
Preston Road Community Centre
Independent Examiner’s Report to the Trustees of Preston Road Community Centre (Charity no. 1186725) on accounts for the year ended 30[th] April 2025 set out on pages 6 - 11
Respective responsibilities of trustees and independent examiner
I report to the trustees on my examination of the accounts of the above charity (“the Trust”) for the year ended 30[th] April 2025.
As the charity's trustees, you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 (“the Act”).
I report in respect of my examination of the Trust’s accounts carried out under section 145 of the 2011 Act and in carrying out my examination, I have followed all the applicable directions given by the Charity Commission under section 145(5)(b) of the Act.
Independent examiner’s statement
I have completed my examination. I confirm that no material matters have come to my attention in connection with the examination which gives me cause to believe that in, any material respect:
-
the accounting records were not kept in accordance with section 130 of the Charities Act; or
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the accounts did not accord with the accounting records; or
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the accounts did not comply with the applicable requirements concerning the form and content of accounts set out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination.
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached.
C Norris FCCA (retired) 11 Binning Close Drayton Abingdon, Oxon OX14 4LN
19 September 2025
Page 6
Preston Road Community Centre
Statement of Financial Activities for the Year Ended 30[th] April 2025
| Note Incoming Resources Incoming resources from generated funds: - own functions - grants - donations - interest received Incoming resources from charitable activities: - booking fees Other incoming resources Total Incoming Resources Resources Expended Costs of generating funds: - own functions Charitable activities: - centre running costs 2 Governance costs 3 Total Resources Expended Net incoming resources before transfers Transfers between funds Net incoming resources Unrealised Losses/Gains on Investments Net movement in Funds Balances brought forward - 1stMay 2024 Balances carried forward - 30thApril 2025 |
2025 2024 Unrestricted Restricted Total Total £ £ £ £ 21,320 - 21,320 19,614 - - - - 210 - 210 150 2,710 - 2,710 1,551 33,480 - 33,480 35,488 - - - - |
|---|---|
| 57,720 - 57,720 56,803 |
|
| 16,013 - 16,013 15,661 32,678 - 32,678 28,488 375 - 375 432 |
|
| 49,066 - 49,066 44,581 |
|
| 8,654 - 8,654 12,222 - - - - |
|
| 8,654 - 8,654 12,222 - - - - |
|
| 8,654 - 8,654 12,222 136,786 - 136,786 124,564 |
|
| 145,440 - 145,440 136,786 |
Page 7
Preston Road Community Centre Balance Sheet at 30th April 2025
| Note Fixed Assets Equipment 6 Current Assets Stock 7 Debtors 8 Cash at bank and in hand Creditors: amounts falling due within one year 9 Net current assets Total assets less current liabilities Creditors: amounts falling due after more than one year 10 Net assets The funds of the charity: Restricted income funds 11 Unrestricted Income funds 12 |
2025 2024 Unrestricted Restricted Total Total £ £ £ £ 66 - 66 378 |
|---|---|
| 66 - 66 378 |
|
| 1,226 - 1,226 1,929 3,229 - 3,229 5,586 143,858 - 143,858 133,137 |
|
| 148,313 - 148,313 140,652 (2,939) - (2,939) (4,244) |
|
| 145,374 - 145,374 136,408 |
|
| 145,440 - 145,440 136,786 - - - - |
|
| 145,440 - 145,440 136,786 |
|
| - - - - 145,440 - 145,440 136,786 |
|
| 145,440 - 145,440 136,786 |
The financial statements on pages 6 to 11 were approved by the trustees on 2025, and signed on their behalf by:
Mr R Ball Chairman
Page 8
Preston Road Community Centre
Notes to the Accounts for the Year Ended 30[th ] April 2025
1 Accounting Policies
Basis of accounting
These accounts have been prepared under the historical cost convention with items recognised at cost or transaction value unless otherwise stated in the relevant note(s) to these accounts. They have been prepared in accordance with the Statement of Recommended Practice: Accounting and Reporting by Charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) issued on 16 July 2014 and with the Charities Act 2011.
The charity constitutes a public benefit entity as defined by FRS 102.
Funds Structure
Unrestricted Income funds comprise those funds which the trustees are free to use for any purpose in furtherance of the charitable objects. Unrestricted funds may include designated funds where the trustees, at their discretion, have created a fund for a specific purpose.
Restricted income funds are funds which are to be used in accordance with specific restrictions imposed by the donors.
The nature of each restricted fund is set out in the notes to the accounts.
Fixed assets
Depreciation is provided at rates calculated to write off the cost less residual value of each asset over its expected useful life as follows:
General Equipment 25% on cost Partitions 20% on cost Computer Equipment 33% on cost
Stock
Stocks of goods for resale are valued at the lower of cost and net realisable value.
Incoming resources
All incoming resources are recognised once the charity has entitlement to the resources, it is certain that the resources will be received, and the monetary value of incoming resources can be measured with sufficient reliability.
Resources expended
Liabilities are recognised as resources expended as soon as there is a legal or constructive obligation committing the charity to the expenditure. All expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all costs related to the category.
Change in basis of accounting
There has been no change to the accounting policies since last year.
Page 9
Preston Road Community Centre
Notes to the Accounts for the Year Ended 30[th ] April 2025
| 2 Centre running costs Wages Water Light and heat Telephone and Broadband Lease Licences Alarm maintenance Insurance Repairs and renewals Cleaning and refuse collection Depreciation Profit on disposal of fixed assets 3 Governance Costs Administration |
2025 £ 6,056 924 6,212 704 175 180 1,108 3,959 6,071 6,977 312 - 32,678 2025 £ 375 375 |
2024 £ 10,902 1,204 6,224 681 175 180 572 3,720 1,217 3,301 312 - |
|---|---|---|
| 28,488 | ||
| 2024 £ 432 |
||
| 432 |
4 Trustees Remuneration
No remuneration was paid or expenditure reimbursed in the year.
5 Staff Costs
| aff Costs | ||
|---|---|---|
| 2025 | 2024 | |
| £ | £ | |
| Salaries | 6,056 | 10,902 |
The average number of full-time equivalent employees is less than one. No employee earned more than £60,000.
Page 10
Preston Road Community Centre
Notes to the Accounts for the Year Ended 30[th ] April 2025
| 6 Fixed Assets Cost 1stMay 2024 Additions Disposals 30thApril 2025 Depreciation 1stMay 2024 Charge for Year Disposals depreciation 30thApril 2025 NBV 30thApril 2025 30thApril 2024 7 Stock Bingo stock – prizes, tickets, items for resale 8 Debtors Bookings Prepayments Tax recoverable on Gift Aid income Other debtors |
Equipment £ 60,887 - (1,492) 59,395 60,509 312 (1,492) 59,329 66 378 2025 £ 1,226 1,226 2025 £ 2,898 331 - - 3,229 |
Total £ 60,887 - (1,492) |
|
|---|---|---|---|
| 59,395 | |||
| 60,509 312 (1,492) |
|||
| 59,329 | |||
| 66 | |||
| 378 | |||
| 2024 £ 1,929 |
|||
| 1,929 | |||
| 2024 £ 5,419 167 - - |
|||
| 5,586 |
Page 11
Preston Road Community Centre
Notes to the Accounts for the Year Ended 30[th ] April 2025
| 9 Creditors falling due within one year Sundry creditors and accruals Payments in advance 10 Creditors falling due after more than one year None 11 Restricted income funds 1st May 2024 Incoming resources Resources expended – Revenue expenditure Resources expended – Capital expenditure 30thApril 2025 12 General account 1st May 2024 Retained (deficit) / surplus for the year 30thApril 2025 |
2025 £ 1,460 1,479 2,939 2025 £ - 2025 £ - - - - - 2025 £ 136,786 8,654 145,440 |
2024 £ 3,521 723 |
|---|---|---|
| 4,244 | ||
| 2024 £ - |
||
| 2024 £ - - - - |
||
| - | ||
| 2024 £ 124,564 12,222 |
||
| 136,786 |
The general account consists of unrestricted income funds available to be spent for any of the purposes of the charity. We have reserved £50,000 of this for future refurbishments of the Centre.