Honiton Community Spaces (CUB)
ICharitBblo In¢orporatod Oryanl$atlonl
ANNUAL REPORTS AND FINANCIAL STATEMENTS
For the Year Ended 31 December 2024
Charlty Reg18tratlon Numbar: 1192604
Simon A Martin Ac¢ountantB
Wessex House, 66 Hlgh Street
Honiton
D8von
EX14 1P0

Honiton Communlty Spaces (CUB}
(Charitable In￿rPorntsd Oryanlsatlonl
For the Ygar Ended 31 Docember 2024
Content•
L•gal and Admlnlstr8tN8 Infonration
Pag8 3
Report ol thtsTru5tue
P￿*s4t05
siatem?nt of Finunryal Activ￿8•
Pag• 6
8al8nce Sh••t
Page 7
No¢•• to th• Fin4neial Ststem•nt•
Page88to13
Ind•pond•nt Ex4mln•r8 Report
Page 14

Honiton CommunSty Spacès (CU8)
ICharrtabl• Incorpor•t•¢J Organi8atlonl
For Ihe year ondod 310ocomb•r 2024
Log*1 and Admlnlstratlve Infomiatlon
REFERENCE AND ADMINISTRATIVE INFORMAn014
Charty r•gSsir•Uon numb
1192804
O•t• of R•gl•tr￿1on
1$1 Oe¢emL*r 2020
8t•rt of FIMnclBI Yv•r
Ill January 2024
End of Fln•nGl•l Y••r
31$1 Decernber 2024
Prlnclwl •ddr858
Sc*ool Lène
Hon￿On
D8¥on
EX14 law
TnJ•t•••
Mik• Jone¥
Karen Plil
Chn$ Doran
Mirlam Thom8$
Stephen KolÈk
Tom Hedger
Ind•p•nd•nt 9X￿￿In•rJ
Slmcffl A Martln Accounlanls
Wei8•x Houm, 88 Hlgh Slml
Honbion
Devon
EX14 1PD
L•yl 3tabJ•
Chadtatle In￿rp¢￿t•￿ c¥g•nl••lon
Oov•rnln4 In•tNm•rt
CIO- Foundat*Jn ReBl8t•rnd 1st Docember2020

Honiton Community Spaces
(Char￿ble InCo￿orated Organi8ationl
For tho yoar ondgd 31 Dgcember 2024
Trustees. Report
COMMUNITY USE BUILDING HONITON- ANNUAL REVIEW 2024
Rèport compll•d July ZQZ5
Folowng rnalor Improvemerns In 2023 and a flood In18te August that closed th8 bulldlThJ for BeV8ral w8e*B, we 8nl8red 2024 hoplng tof a mOf8
gtsble year. All r8gu18r groups ietumed. Ihpugh we lost p couple. which were quickty repl8ced ty otheTv8luaNe ccrfnwunily grows.
A key focus this year w88 fire Aafeiy. Ourfng Ihe February h81f-lerm, we began WO￿ lo create a fire e￿l from ihe kitchen hall on the lower kvel.
After extensive research and coordln8Uon %￿th threè contractQF5. we installod 8 8tainleg8 8teel and composite deckiry ramp leadlng from Ihe
kltch2n hall Ihfough the compouThY 10 the cai partt. Th15 project w88 completed In eerty 5umrner wnd approved by an Independent fire safety
examinw, givlng the kitchen hall two a¢ce59ible fire e8c&pes.
Wilh thi6. trustees lett Ihe builthng was now 8$ 68fe 8$ posslble. Group ictiwlie5 ran smootfrty. and we received many new en4ulrles from
Individuals comrnunily groups Howe¥er. like many others locally, we 8ltU9gled lo recrull Wolunleers and new IIusle85. FundTalsing
continued for non-urgÈnl bul helpfLll prolecl8. Ihough compeliiion for fvnding IncreasEd. We suGce%&fulty ralsed enough io upgrad8 OUI
outoaled Intruder alarm ¥y3lern &dded 2417136S movAloring for fire and inirusion alerts.
We 815D allEmpled to fund a fenoyalion of the bulldlry's delerlpraling fronl 8$pecl %*ilh modern pla5Uc d4Udlng. Desplle strong IDGal support,
r81sed mly £2,500 Df Ihe £18.DOD needed. In8ie8d, we stsbill8ed •nd repalnled th2 dectyed areas, signlflcanlly Improving Ihe bulldlng's
Iraet view.
Our manager conbnued oulreach work wilh local group$ induding the library, addllion81 need8 charities, and commwity legder¥, Sadty. our
trE&&urer slepped down due lo famity ilnesB, 8ThJ v18 had lo share Ihelr iJulb$ unlw B replacement wo$ found In MarchlApril 2025.
DeSp￿e full modèrrt8811on lop-dass J•fety 8yBlems. the old bulldlng stlll PTesenled occoiional le8k8 and eleclncal f8uft8. Thank*Jlty. o
truiled locjl CDnlracior5 responded quickty ond effeclively, and we're gr•lelul lor Iholr dedICa￿￿.
We reinforced bound8ry lenrinll. Improved g8rd8n LgThJ8caplng, and welcomed The Outdoors Group rfoGI, o profes31onal fore&lry school
based in Credilon. They secured a fi¥e*eir ¢onir8cl lo over rurol end forestry skllls lo the local commuryly from our compound and woodland.
After thre2 year8. w• 8110 renovated ihe fronl offitt, previou•ty uiad for sloraye. 11 now Sorvos as a meellng and q￿tI work8p•¢8 for tru•loe•
and groups and h81 &1$0 bBcome a v41uaNe counselllng space for le￿G&S Ilke lamlly support.
An Indepen¢Jenl flre safety Snspecllon prnl8ed our efforts. wrtih only mhor recornm8ndalon¥ le.g.. rnovlng • w•sle bin, addng llgnpgel. We •re
now Ilcensed for up lo 14D people In the bJlldlng al onwxce8dln9 ¢xpect•lion•.
A8 the year ended. we prepared the bulldlng lor Operatlon Rudolf, %thlch supports loc￿ re8ldents du￿ng th6 fasl¥e Bea8￿ wmh gfft8, rn8818.
and 8 Chn81mas Oay calebr*don. Thi$ w8$ their second yearvlth u8, and Iru81ees agreed lo oifer the space free ol charge. with a srn811
dDn41ion exp¢cled lo help wilh rislng energy Goiis-jn •re• we alm lo irnprovo In 2026,
In $umrn•ry, 2024 wa¥ anoihw busy but Suc￿5¥￿11 ye•r.
Mlka Jone$, Ch8ir- 2210712025

Honlton Community Spaces
(Cha￿￿ble InCO￿orated Oryan18ationl
For the year gndgd 31 December 2024
Trustees, Report {Continuodl
ThE Iru5tees are responsible for preparfng Ihe TnJ$iees' Rep(Yt and Iht financlal stslemefi15 in accordance vAlh applicab￿ Law and tt)e Generaly
Accepted ACCWntlng Prindples IGMPI, Including Fln8nc181 Reportlng Slandaid 102." The Financial R8POrtITVJ Standard 102.. The Flnanclal Reportino
Standard appliCa￿e in the UK and Republic of Ireland (United Kingdom General Attepled Accountiry Praclicel.
The char￿1￿8Act 2011 requlre ihe Iru8tee5 to prepare flnandbl 51alemen18 for 8&ch Inandal year, glve 8 INe aThJ falr wiew of the state of 8ff8tr1
of the CIO of Ihe surplug or defirji ol Ihe CIO for IhHt period. In preparing Ihose finanu8151atemenl the Irustee5 are required lo..
S8kEt gccounllng polIc￿ts and Ihem conglslenity,
Observ2 Ihe melh¢d$ ènd principles in the Ch8ritse8 SORP.
hA•ke ludgoments and e811mate$ that are maionabk and pwdent..
Stale v4hethw oppllc8ble UK Accounllng Stand8rd8 have bEen fDII(Awed. Bublect to Ony mBlertil dep8rture8 dlsdosed ond explBired In the
nancial st8lement',
Prepare Flnanclal Statement Dn the qoing concem ba815 unleBi It Is Inapprowate to pmume Ih8t Ihe CIO wll continue in ex4$lan￿.
The IFu8lee8 8r• mspon8lbkry for keeplng 8uffidenl accounting record• Ihol dl8tlo8e th re8s¢naNe iecvr•ty ai any lime the fin8nei81 posltlon Of the
chgrlty and en&ble them lo en$ufe Ih)I the finanty41518lemenls comFty charl￿e8 Act 2011. the Charity (Accoun18 and Report¥l Regulath)n$
20D8 and the proviwm of the Go¥err4ng Docutn£nl. They are also responsib￿ lor saleguardkng the aB8el8 of Iho chBnly 8nd ben￿ for laklng
reasonab￿ sL9p$ forth• prevenllon and d8lecUon of fraud and other Irregularl￿e&.
Approved by the Tru5t885 on..
8ign8d on their ￿h&If by Trustvo.
Printed Name..
l<frfL£ffJ f I rr

Honlton Communlty Space8
Icharltable In¢oTrornted Ory•nl••tlonl
For the year onded 31 Dgcembor 2024
Statement of Flnanclal Actlvlties
Not4¥
Uweslricted
F￿
Re51ncted
FurKI$
TOTAL
2024
TOTAL
2023
INCOMING RE50UR¢ES
Incomln9 R880urcttfrom Gen¢r•ted Fund•
Grants recelved
73.389
73,389
91,420
A￿￿tIO$ for Goner8bw Fwds
3b
35.706
35,706
33,999
In¥o8lment Inccrfne
182
182
218
0th8r In¢thiirva Re•wrce8
26,223
TOTAL INCOIAING RESOURCES
35,1$8
73,38•
109,257
1J1,860
RESOURCE3 EXPENDED
Costs of G•n•raUng Fund•
Costl of Ch8rltable AC￿￿￿e•
73,331
75,331
162,431
Go¥wnAnce Coi
8.140
8.140
7,132
TOTAL RE8OURGE8 EXPENDED
03,471
73,J89
83,471
169,863
NET INCOMIPIO IOUTOOINGI RE8OURCE8
47,e03
47,e03
7.704
21.893
Fund& Brought FcfiYArd
14.189
14.189
TOTAL FUNDS CARRIED FORWARD
33,414
7a.289
3•,•70
14189
Mo¥emot)ts on all reJvrwJs and al 18cogni&8d 98lns Bnd lossej are shown 8boYe. AJI olthe organl8illon'& ope￿Il0n8 arn da8Jed
88 ¢￿tInUIng.
The notes m PDges B to 13 fom pfirt oflhE¥e finJnGIDI 5tatement8.

Honiton Communlty Space8
Icharltsblo In¢orporated organ184￿9￿)
For tho y•ar onded 31 Docomber 2024
Balance Shoet
Unreslncled
Funds
Re%lricted
Furxss
TOTAL
2024
TOTAL
2023
Flxod As8
Tanglble A55el$
Adivit*s for GeneratiNJ Fund¥
Totsl Flxod
currnnt A88Ot8
Debtafs & Prepawnenls
Cash al Bank and In Hand
Tot•1 ¢urr•nt AM•ts
4.110
11.063
16,173
13.594
13,594
28.3B1
26,381
39,975
CMdllOV•.' kn¢unts fblllng due %Mihin cffje
NeT CURRENT ASSET8
13,694
26,381
39.975
14,189
TOTAL A88ETS1g8$ cuvrenl liabiliUe4
13,594
Z8,381
3•.975
14,109
Crydhorn.. Amounts fplllng due In rnore than
one year.
10
NeT ASSErJ
Fundi of th•
General Funds
Reslrictod
14,189
Totil Funds
189
Approved by th• Tw6tees on..
291101102
Signed Dn their behalf by Tru8t8e'.
Printed Namè..
&era PITT

Honlton Communlty Spaces
Ichorttablg In¢orporat8d organ1$a￿OnI
For the year •Thd•d 31 Docember 2024
Notas to the Financial Ststoments
1. ACCOUNTING POLIGIES
Basis ol Pr•p•ratlon & A5se¥srn•n¢ gf Qolng Conc•rn
Bas1¥ ol Prep•rnUoTh
The financi81 stalemenlg have been prepared under the hi5todral cost ¢onwention v411h Items recogni%d 81 co¥1 or value urik$s Ot￿r￿1)e
518ted In the ￿leV￿￿t nolelsl lo Ihese accounts. The flnanclBI 51alernEn15 have been prepared in arcordance wlh the 51alernent of Recomrnended
Pr8cllc8. Accounting and Reportin9 by Charllles ISORP 20151 (Second Edillon, effe￿￿ 1s1 January 20191, the Flnandal Repoiting standard
applicable in th8 UK and Republlc of Ireland IFRS1021 and ChanlE8 Act 2011.
The Ch8rtly meets the defiThllon of 8 ptsblic benefit enuiy under FRS102, ￿se15 8nd liabllitle¥ Ne initKglly recognised pl hlstorlc41 ¢a$t unless olhew8e
$laied In the relevant accounllng policy noles.
As•o88m•nt of QDlnB Conc•Fn
Preparallm of the accoun18 k8 on a golng ctsntam b•$li. Th• InJsiee• eonslder Ihal thore iro ryo maledil uncertalnues about Iho Ch•rfty'• ablllly lo
Incomlng Ra•our¢••
Th¢$e aro included In the Slalemenl ol Finand81 AcllvllKe8 ISOFAI wth¢n'.
IhE charity enliued lo the resources,.
the Iruslee8 8r8 vlrtually Gertain Ihoy w41 rocelve the resourc88,' And
' the mon•iary vaue tan be meatswed Bufflcienl reliobilty
Where incoming r•Jource8 hov• related txpendiiwe lo$ Wth f￿drIllInll cf contract incomol ihe incornlng resourco Jnd relaled expendRure are
Grants ènd Donations Bre onty I￿￿Jded In the SOFA When the charity hfis uncondlllonsl enllllernenl to Ihe resourc￿.
Incomlng ￿Sourtes from lax redaim5 •r6 5rK*Jded in Ihe SOFA al the iamé tlm¢ as the glft to ￿[ch they relale.
Th18 18 only Included in Iht SOFA tsnrE Ihe ielaled goodi oi senAce8 ho8 been dellvered.
Gifts in kind 8re accounted fDr 818 reasonablg esllmale of thelr vBlue lo Ihe ch•rity or the #mounl actuilly reallued. Glft¥ In kind for OT dl$iilbullon
gr? Inrjvjed In Ihe oGGounts o¥ glfls orty when Bold r*diitribLrted by the charty. Grfis In kind fDr uJ2 bythe charily Bre induded In the SOFA aa
Incoming resources when reG￿vable.
The%e are only Included in Incomlng resour￿$ {￿th an equlvalenl 8rnount In resources expended) where Ihe benefit lo the ch811ty15 reasonable
quanbfiable. mea8uia￿e and matedal. The value pl)￿d on these re¥ources 15 the estimated vAlue to the charily of the yervice orfaol'ty recthved.
olunte r Hèl
The value of any ¥c4unt8ry help rece￿ed i¥ not l￿ded in the accounti.
This Is Included in the 8ccount¥ when receivable.
Th15 IndLhJed any gain or loss the sale Df inve51menl8 and any gain or10s5 resthuny from revalulng invesimeN$ 10 markel walue al the end orthe
Liabiltles are recognSsed as soon as I￿re 1$ a legal or CO￿l￿¢t1¥e Obliga￿0￿ wmmlitiro th8 tharity to pay r880ur(*8.

Honiton Community Spaces
(Charitable InCO￿or11ed Organi8ationl
For tho year endod 31 December 2024
Notes to the Flnancial Stat•ments Icontinuodl
1. ACCOUNTING POLICIES Icontlnu•dl
Exp•ndltyT• •nd Ll•bilitl
Govomancu Costs
Include costs Of the preparalion and examSnaik)n Df A181ulory atcounts. Ihe costs ol ltte trustees ffloelng$ and cost of any ￿gaI ad￿¢* lo Iru8t•e5 on
govemance or cons1iiu￿D￿al malters.
wlth P•rfoimwfic• Condhbon•
Where the charity gives a grant wilh conditions for ils payment belng a 6PEcific level of 5etvlce ar oulput lo b2 WDvkled. $u¢h grants are Dn
recognised In lh8 SOFA on¢a Ihe redpleni Df Ihe gi8nl ha8 provlded the spedfied 6èr¥lce or ourpui.
P 8bl• wllhou
Pèrlovrn
Con
These art orfy iecognised in Ihe accounts a commllmenl hal bBen rnode and IhEre arn nol coTrJ511on6 lo be met rel•tkng lo o gronl whlch remaln
In control ol the ch8rlly.
Investmen18 quoted on 8 r8GQ9ni8ed ototh 8xchan98 arn valued al m8rfEel Yalue ai the ￿81*nO. Oher inve•thent wtet5 are kndudBd al tTViItts'
besl e8lim8le of maikel ¥alL*.
trlctod fun
These funds can be usod lor the general obledv¢• of Ihe eh•rky let out In tho twBle85 r8PCrt. The movement8 ol Ihe unre8lrtcted fundB are glvgn
In ih¢ St•t¢m•nt of Fln4n¢lil Advld85.
These funds are where thè donor h•$ 4 PwpO￿ fortho donallon made. fhe&e r88lrfctbn8 often arf88 88 a result of app881s for 8pedal
Dfforlng$ for 6pedflc puTpO￿l.
Th8 fvndi ore fiJTrJs ￿1 asldo by lh8 truBle8$ Qut ofunr•styi¢tsd g•noril funds for partlwlar puFpo4eB or prolecls.
Flxed As8ei8 af8 caO1*18ed can bo used lor fflore than one year jnd ¢o•l 41 leo$l £1.600. Thw •r¢ valued ol ¢osl Qr, If gw. al V￿u* I
the charity on rec•lpt.
Depreclaiion18 Galculaled ai a r8le lo I￿41e ofl the cost ol langlble fixed assets over thelr èyllmated uJEful Ilvts. The fate8 opplled gre ès folltsm.
FixLure8. Fllllngs ènd Equiprntrnt
25%- Reduclng Balance Basi$
2. TANGIBLE FIXED ASSETS
The CIO hekl nD fixed 8sset5 durlng Ihl• or the prevlous flnanrial PEriOd.
The 8nnual eommitrnents under non-cancelllng operallng ￿lIe# •nd ￿pital cornmitrnents are follows..
3181 Decembèr 2024.. Non
31st December 2023". Nane

Honiton Communiiy Spaces
ICharitsbl• Incorporated ory8nl8a￿OnI
For the year endod 31 December 2024
Notes to the Financial Ststoments Icontinuod)
J. INCOMING RESOURCES
Unr8sldcted
Fund
Reslrictgd
Funds
TOTAL
2024
TOTAL
2023
al OonatlonN Grants & L•g•¢i¢•
G1ft8 & Donatlong
1,983
421
Grants received
71,408
90.998
73,389
91.420
bl Acllvlum lol Q•n•raUng Ftsn
Pr•ffl18O8 Hlre
35.706
35,708
33.999
35,705
73,389
38.706
33,999
cl Invutm•nt Incom•
IntU05t
1S2
162
218
182
73.389
162
218
dl Oth•i Incomlnu R••ourc••
In$urance Income
Refunds
Sundry Incomo
21,268
3,126
1.629
73,319
26,223

Honlton Community Spaces
ICharWAble Incorporatod Oryanlsatlonl
For the year •nd•d 31 Decembor 2024
Not8s to th• Financial Slatements (continued)
4, RESOURGES EXPENDED
Nolto
RasMct8d
Fund8
TOTAL
2024
TOTAL
2023
F￿d8
•) Coat of Charii•bt• Aedvlu
Bank Gh8r4e8
c￿&￿1ng C￿ts
Équlpmenl Costs
Health & SAfelyCosts
Insuranre Co814
Offlce C0615
Renl & Rale
RepalT8 & Malnlenance
518ff Colts
Sundry Lxpense8
Travel & Subsislenc
Cwts
15
2,228
1,74Q
eo
2.228
1.740
3.905
1.668
1.668
$84
106
41.183
22.718
17D
loo
4.839
932
255
345
1 t8.949
20,620
883
106
41,163
22,718
170
100
4,839
6,428
75,331
76,331
151431
bl Go¥•m•nu Co•t8
Ind8pendenl Exornlnvr¥ Fo•1
Legal & Profol￿on91 Fe
900
6,172
8.140
8.140
8.140
B,140
7,132

Honlton Community Spaces
IGharh•blo Incorporatsd Org•nisationl
For the yoar ended 31 December 2024
Notes to th• Financial Statements {continuedl
5. RESTRICTED FUNDS
Tho CIO he￿ rnstrithd fund5 at the year •nd of £26.381 whith is unspent grant money.
8. INVESTMENTS
The CIO held no fixwl a6S6t Inv•stm8nts during this or the previou$ financial period.
7. CASH AT BANK AND IN HAND
UnreslrteAed
Fund8
R*$lri¢ied
Fund&
TOTAL
2024
TOTAL
2023
Cq8h al Bank & in Hand
13,$94
26,381
30,975
11,063
13,594
28.J81
39,975
11.QB3
. DEBTORS AND PREPAYMENTS
Unre8M(aed
Fundj
Raslrfcted
Funds
TOTAL
2024
TOTAL
202)
Sundry Debtor•
4,110
4.110
9. CREDITORS: AMOUNTS FALLING DUE W￿H1N ONE YEAR
Unr8slrfct8d
Fundi
R•s￿¢ted
Funds
TOTAL
2024
TOTAL
2013
Sundry Crethlot5
Ind¥pend¥nl ExamSMrn Fee$
35
98
960
10. CREDITORS: AMOUNTS FALUNG OUE IN MORE THAN 014E YEAR
The CIO held no low term liabilities thjrlng INJ LY the previou$ financlal podod.
11. ASSETS BEfwEEN FUNDS
Unrestrlded
Fund$
RÈskndEd
Funds
TOTAL
2024
TOTAL
2023
Fixed A88el Inveslmenl$
Nel Current Asset¥
Long TetTll UabiliiE$
13.594
20.381
39.975
14,189
13,594
,381
39,975
14189

Honlton Community Spac8S
ICharrt•ble Incorporated Organi8ationl
For the year ended 310•camb•r 2024
Notes to tho Financial Statements (continued)
11 STAFF COSTS AND NUMBERS
TOTAL
TOTAL
2024
2023
Gross Wages, Sal?rie5 & Fees
Ernployef5 N8tlonal Insurance Co$t8
Penslon Cmlnbulions
22,718
20.820
22,718
20,SZO
Employ¢es who were eng4god In each of th• following ?¢livrtie$'.
TOTAL
2024
TOTAL
2023
Charitable Aclivitiej
The Charity ernployB members of Stsff on a Self-EmpIo￿ent Basis under a Contact for SeryiceJ andls Ih8T•fore not Ilablo for tho National
Insurance and Pension Costs. No employees recelved ernoluments tn exe•s8 01 £60,000.
13. TRUSTEES AND OTHER RELATED PARTIES
During the flnancl81 penod, C14re Jon85 ISpou8e to Trustee Mithg¢I Jon*81 recelved £22,718 under • Contr•ct for se1vic￿ undertaking th¢
deaning aTrJ maintenon¢e lor Honiton Community Space8 (CU81 in furtheronce of the ChArity'$ objects. All conflicts of inter88t hova been
Id8ntrfi8d. documented gnd man9g•d in 8ccordanc• with the Charill$ Govemin9 Do¢um•nt.
No other payments wer• rnade to trust888 or any person$ ¢onn•cted with thBm during this fIn4n￿al pthod, No other m•t•rial IranB•don
¢ook pla¢¢ boty¥een th• organijation 4nd a tru6t88 or any pornon GonneGIBd wrth Ihom.
14. RISK A88ESSMENT
The Trustees 8cl1￿lY ra￿eW the mhlar rfyk¥ whlch the c*wlty fac8& on 8 regul&r bA818 8nd bdleve Ih81 malnl8b￿nY lh8 Iree re8erve8 813t8d, comblned
wilh the 8Mu31 re¥iew of ihe controls over key fin4nial systems cairled out on an annual b851$ will prov￿# sufficient resource8 In the event of adver*e
ndiliony. Th2 Tru51ee8 havo ￿s0 examined olher gperatson&l and bu51ne85 risks which they lace and confiim thal they hawe e81abllshed syBlem5 10
miligaie the $ignlficant rlsk8,
15. RESERVES POLICY
The TnJslee5 have con6lderEd Ihe le￿1 of re5eFves IhEy wsh lo relaln, appropdale lo the CIO'S needs. Th1$ Is based on the CIO'S size and the level
of financi81 commilmonts help. The Tm81ee5 aim lo ensure the CIO wll be able to conllnue lo I￿11 tts rJ)81tt8ble oblectlves even rfthere Is 8 temporary
shortf￿1 in incorne or unexpected expenditure. The Trustees will endeavour not lo set ashle funds unneces%8￿1Y.
16. PUBLIC BENEF
ThE CIO sCkn￿ed9eS its requirement to d8mon$tral8 dearly that N mu51 havE Gharitsble pury>058s or'aims. thal ale for the publis benefil. Detalls of
ow Ihe CIO has achleved thi$ are prowded ￿n the Trustee5 r8POrt. Th8 TFu8teÈs confirm Ihal they hève repad due ward to the Chartty CornmL8slon
guidan￿ w public benefit betore dttlding that a￿l¥ll1e8 Ihe CIO shoLld undertake.

Honiton Communlty Spaces
IGharlt#ble In¢orpor•ted Organlsatlonl
For the year ended 31 Decembgr 2024
Independont Examinar's Roport on the Account
Report to the tw8le8slmemLYrs of Honitor5 Communty Spgces ICUBI on the accounts for the year ended 31st December 2￿￿4 set out Dn page8 4 to
Ro•pgctlv• rn5pO￿ltsll￿le• oltrust••s and •xwftlnor
The Charlll5 trustees 8re re6ponslble for the prepar8￿On of the accountx. Th8 Cha￿11￿ lftjBte8s con8lder thai Hn audllls not requlred lor this yeaf under
$ectton 144 of the ch9rll￿s Act 2011 (the Ch8ri1*8 Act) and thai an Independent eX8Ml￿tIon lo needed.
It Is my responslblltty lo..
ex8min& lh& atcounls under8ectlw 145 ofihe chan1￿1 Act,
fDllow ihe Procedures lald In Ihe general dSrecUon8 gl¥en ty Ihe Charlty Comml#Èlon (under sedon 145(5llbl of Ih& Chadles Acl, and
. stsle wtElhBr parbcular mallers have come to my aitentson
Ils of IndepMd•nt Eumln•f• St*t•rn•nt
My examlnollon wo8 carried out In a¢¢ordan¢e vAlh gener81 Oirecllon8 given by the Charty Commlsslon. kn exomlngtlon inrJude8 a re¥l•w of the
4ccwnting ￿cordS kept by the ch8rity and 8 cornporison of tho accounls yesenled ￿th Ih)8e record8. 11 also Sncludes con8lderaliM of any unusual
itsm$ or dl¥do$ur88 In the accoun18 and 88eklng eXplanA￿on& from Ihe trustee¥ concernlng any yuch m•tter5. The procedures undert￿ke￿ do not
provide al the evld2nw Ihal would be requlred In an 8udil and conseqwThlly no opinlon 16 given 1$ lo •heller the a¢¢ounl$ prejenl 4'lrue and fllrf v
4nd the report Is limlled to those rnaiiers set out in the 6latem•nt below.
8aBl• of Ind•p•nd•ni Ex•mlnrf• St•t•m•nt
In connection vllh my ¢x8mln8llon, no m•tter his coTh lo my 8tienUon'.
1. Whlth gives me re8gonab* cBuie lo believe Ihal In any malenal respecl. the requlrernenli..
- lo keep accounllrrfJ records in accordance &acUon 130 of the Charftl88 Act. and
. tv propare account8 *fiich accord ¥Yblh the a¢countlng recordj 4nd cornply %Mth the accounllng
requirements ol he Chadlles Act
hove noi ty88n m¢t,' or
2. To whlch. In my oplnlon, altenllon $hwld order to en8bl8 a proper und•rslandlng ol th¢ ac¢out)ts lo be reathed.
MrD 8•rr
Slmon A Martln Atcounthn
W888ex Houvè. 66 Hlgh StrE•t
Honlton
O•von
ex14 1PD
L9liolLS