Tru8t688' Annual Roport lorthtr yèlr
Frtsm
tBt F•bwary2024 To 31st Januory 2026
Ch4rNynamg-. AlMOnds￿jryP4rt5h Hall & RECrea￿all Llround
Ch4rlLyrtylstrAtlon numbtr.. 11•2è21
Oblectlves and Actlvltles
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T￿SlOg¥hI¥￿ lllbegnprov￿Wth￿￿c￿a￿ 1ndguld￿onIhtr

Names ol the charl
trusteès who mana
e the Ghari
Datss acl¢d If noiror
whol8
ar
Trustee name
Offlcelllanyl
Namwof p•r8oD lor bodYIeTh￿ll¢d to
ARK WILLIAk48
REBECCA SWEET
SECRETARY
LEE SWIFT
TREASURER
MARGARET TYRELL
GARTH JACKSON
CHAIRMAN
NICOLA HOLLAND
ANTONIO PICCIONI
KELLY HARTIGAN
CHRISTOPHER WOODWARD
10
CHRISTOPHER HANCOCK
JAMES SUMMERHILL
12
13
14
15
Declarations
The trustses declare that they have approved the trustees, report above.
Signed on behalf of the charity'5 trustees
Slgnaturelsl
Le
s￿ft
Date
2nd December 2025

Almondsbury Porf9h Hall & RecreAtlon Ground
Independent examlneV8 report
Report to tho tru8tee81
memboT8 of
',lia%y Moll*
Alrnond8bu
P8r18h Hall & Recreallon Ground
On accounts for the year
end•d
31st January 2025
CharSty no
1192928
Sot out on pag•$
4109.
I roport to the trust886 on my examlnauon ol th8 aexounts ollhe ¢haflty
forthe year end¢d 31101f2026.
ResponBibllltlo8 and bo8lB of A8 chsrftylruslee8, you are re8ponslblg for ihè prèparatlon ollhe Oceounts In
of rfrport
ordonce ￿th th& requlrements ol the Charllies Ac12011.
I report In reBpe¢t ol my exaTnln8Uon 01th6 tntst8 a¢Munts carrfed out under
Èedon 145 01 the 2011 Act and In carrying out my 8xamlnation, I hovè foilow8d
all the appli¢oL4e dlradons glven by tha Chadty CommlB81on under 8e¢tion 14516llbl
ol the Act.
Indapendent examlngrfs
Statement
I haw (yjmplèted my examlnauon and conlmi that no Maler￿ m¥ttor$ havè com8 to
my £11onllon In connècllon whh the ¢xamlnatk)n whlch gSve8 me cause to bdl
th81 In any material ie8P8¢t'.
- the 8(munting re￿id$ were not kept In ac¢oTdance wlh section 130 01 thè
Charltl88 Act., or
-Ihe acLx)unts.dLd not accord wllh th6 ac¢ounting rewrd8', ai
- the accourttA dtd not complywlth the 2ppllcaUe r8qulrement8 concerning
the form and conl?nt of aceount8 801 out In th¢ Charftles IAccoun16 and Reporlsl
RegulatlDn8 2008 other than any requitsmenllhal tho account8 glve O'two and lalv
¥Aew whl¢h Is nol o mottor con81dorod as partol an Independent exÈmlnatlon.
I have no concoms and have come acro58 no oth8r maltw8 In connectlon wth tha
examination to whlch ollention should be drawn In th18 report In orderto Onablo
pmper understanding ol the acGounta lo b9 rea¢hed.
Slgned:
Davld Gyeen
Dai•:
2nd Dacember 2025
Name:
Ma¢atax Llmltsd

Alinondsbury P¥risli Hall & Recreaiion Ground
Ch8fiiy No
1192928
Annual accounts for the
eriod
Period end
date
0110212024
To
3110112025
Restricted
In¢om•
funds
Recommonded categorles by
¥¢llvlty
Unrestrl¢tsd
futhd#
Ertdowmènt
funds
Prioryear
funds
Total funds
Incomlng resources INots 31
Incomg and endowngnls frorn..
D￿aliDn5￿ndIeQa￿•
Ch¢th¥bk
2.000
65.190
61,515
OlhÈrtrÉthn9Édryi
Olh
Total
Rosourcos 8XP8nded (Not8 61
EKp8ndltur• on..
Ra1￿9[￿d5
Challl*leacbvlles
61.515
81,515
67,190
70.705
48,271
0￿er
Tolal
70.705
70,705
46,271
N8t IncomelleX￿ndltUr•j b8for8 Inv8Stm8nt
gairt51llossesl
9.190
9.190
Net incomÈllÈxpendlturèl
Extraordlnary Item8
Transfers bètween funds
othèr rtrcognlsed galnslllossesl..
9.190
9.190
Netmovementln fuftds
9,190
20.919
Reconclll8tlon of funds.-
T￿L￿[￿d&￿￿oht1￿lar￿
Total funds carried fo￿ar¢I
44.105
34.915
44,105
34,915
23,186
44,105

Section B
Balance sheet
Restrlcted
Income
funds
Unrestrlctsd
funds
Endowment Total this
fund5
year
Total last
y8ar
Fixed assets
Tangible assets
Heritage assets
Inv8Stments
Total fixedassets
Note 6
5,409
5.409
7,803
7,803
Current assets
Debtors
Note 7
2,887
2,887
15,261
Cash at bank and In hand Note 11
Total Current assets
40.817
40,817
40,388
55,648
Credltors: amounts falllng due
within one year
Note 8
14,196
14.196
19,345
Net CU￿ent assets/(liabili¢tiesJ
Total assets less current liabilltiès
34,917
34,917
44,106
Creditors.. amounts falling due
after one year
Note 8
Provision8 for liabilitiès
rotèl natassets or Ilabllltles
Funds of the Charity
34,917
34,917
44.106
Endowment funds
Restricted Income funds
Unrestrlcted funds
Revaluation ras•rvè
34,917
34,917
44.106
Total funds
SSgned by one or two Irust8es on behalf of all
the trustee8
Signature
Date of Approval
Leo &ift
2nd De￿Mber2o25

ALMONDSBURY PARISH HALL AND RECREATIO￿ GROUND
NOTES TOTHE FINANCIAL STATEMENTS
FOR THE PERIOD ENDED 31 JANUARY 2025
l General Informathin
AlMonds￿ry PTrsh Nal and Reueation Ground is an urdncorwrsied charity￿ up torlhe rnalntenace
and loc0￿rru￿&nO ￿Sis￿￿e L2nd & Bulld1￿%
2 A¢¢ouniing PollGles
2.1 Ba¥18 of prep•rallon of flnanclal statements
The flM8ndal $iaiemwts have been prepar8d in ac¢ordancevAth ihe Chariueg Sorp IFRS 1021-
A¢¢ouDliDg and Reporting by Charilie5". Slaiemenl ol Recommended P(adi¢o?pplirable io thanlie9
prepanng 1h￿raCcO￿nls In Sc￿r￿anCe ￿1h the Flnan¢i$l Reporting Slanaard appliCa￿e in Eh UK
and CharibesAtl 2011.
The finand81 Statement$ha￿ been prepared 10 givèa ITue and faifview.
Alomondsbury Parish Hall and Recreaiion Gmund Mee￿ilEd0r1￿1I1on ola public benefii entity
FRS 102. Assets ¥na113bilille$ are rewnised al historical cost oriransac￿oTh￿arue unl838siated in
Ihrrdevanlaccounling
2.2 Golng concern
The Irtssiee$ ￿n￿o&rihat th6marenortbalerfal utKertantresknul the TnNt,saNIHYto￿InU?aS
agovng c(V￿
2.3 In¢omo
All Income Is ￿gnIsed0nCe ile Charity h¥$enli116menl tolhe inrA)m< 1113 prthabk that ihe lthc(mJ
11 recelved and the amounlof inC￿lle can be measured reliably.
OIFErlrtom$ Is reojgrwged in Ihtr P8riL¥J ills receivalA
2.4 Expendlturfr
Expenditureis reco9nlsed once there a legal wconstru¢U¥eoLligalron tolransterernncrfnicknenefil toa
Ihlrd party.
Exwdiiure onchariiatle athwiie$ is IncuNÈd on I￿re¢V￿ undert?kingthe aGtiiNlies vthich lurthw ihe Ch8ri1Is
Obj6￿.¥*￿ 8s*dl as a￿a￿￿kated suworicosl&
2.5 Dabtors
Tr*and otherdÈbtorsar6 recognised at th8 seulemenlamounl. Prepayrnenlg 8rev81￿ ai ihe amount
16 Ca¥h at bank and In
C8$h ai bankand Inh¥tyJ rd*etocash deposits al bank.
27 Llabllltles and provlslons
Liaknlibes are rec<yJnisedwhen Ihere Is a basicobligation ailhe bA￿￿¢e she81daie asa resullof a pa51
eveni, 11 Is probaNÈ Ihat a tr¥n$feror￿nQ[niGtsOThF1ll ￿111 be reqUI￿d in Settlement. amnd of
th8 setllement b8estitnaled reliabty.
Li8tslilie& aro r￿[￿Sed al the atnounl the Charilyant￿paIeS i1￿￿11 paylo gett￿ Ihe dstl (*th8
il has [￿1Ve￿ a5 athan￿￿ payments l<K the goods 8nd seNItts il musl provide.
2.8 Flnanrlal Instwments
The Cshriiyonlyha$ fiTh¥nty￿ 8¥8els and 11?bililifsof a kind Ihalquafifyas baslc finandal InsIwm￿ts.
eas￿ri￿a￿Lia1 in¥inJments are iniiially recognisel al transadion value.
2.9 Fund A¢eauntlng
Generzl f￿r￿S￿re unresbicted tynd$ vthl¢h8r6vSlla￿0ftr use at the disueiionof IheTrus￿es In fuYih&8nt•
ollheoenera obpGtsvesofthecharity and vthich havenotbeen ￿gnal￿ forawothwww.

Sectioii C
Notes to the accounts
Icontl
Note 2
Analysls of Income
R•girictqd
Unrnslrfct•d Incom•
fund¥
lunds
Endovmi¢nt
funds
Totalfund•
prtoryear
Ana
Don81ions and ifls
Gift
LÈ
aues
General graN15 provided by govemmenvolher
charilies
Membership subscriptions and sponsorship5
vthich are in Substan￿ donation5
sl$
Donatlon8
and lega¢les=
500
Donated oods. faolilie5 and servi￿5
Other
Total
Charlt8ble
Indoor Hire Retelpts
42.098
49.606
Outdoor Hire Recei
Other
512
61,516
512
269
65.190
Total
TOTAL INCOME
Note 4
Analysls of recelpt8 of government
D88crlptlon
Thls yèar Prforyèar
Covid Granl whdly recognised as income
during the year.
500
Note S
Analy818 of expendlture
Thls yèar Prfory•&r
Expendlturè on chayltabla actlvltlé8:
Leoal & Professional
Repair & Mainlenan
Mobile Phone
Adtninislraiive Expenses
Rates
Compulercosts
Cleanlno
F&F Depre￿all0￿
Vehicle Deoreclallon
Bad Debt
Insurance5
15
274
282
57
1.764
630
885
Total èxoendlturè on charltablo actlvltlas

Section C
Note5 to the accounts
l¢ontl
Noto 6
Tanglble Itxèd assets
Co¥t or valuation
Frowhold
IAnd &
Oth8rland
Plant,
mAchlnBry
and motor
Flxture6,
rittlngs ond
equIpm￿t
Total
At the beginnlng of the
vear
Additions
Rsvalu3lK)th$
Dl$pos81s
Al ond of tho y
3,150
7.057
10.207
Depreclatknn and ImpaIrMe￿ls
siraKJhl
siraighl
Slraighl Ling
SlrBighl
Lin8
25%
25%
25%
25%
Al beginning of the ye8r
1.280
t.144
2,404
DispDsals
Depreciaiion
Imp8irmeni
At end of the year
630
1 890
Net book value
Nel book value al the
beainnina of the year
Nel book value al the
end of Ihe year
1.890
5,913
7.803
1.260
4,149
5.409
Nots7
Debtors and prepayments
ATralysls of debtors
Th16 year
Last year
Trade debtors
Prepayments and
2.8B7.0
10 512.4
4.748.1
15,260.5
Other d&btors
2.887.0
Tot81
Note 8
CredltOTS and
acGrual$
AnÈWsls of credlltsrA
Amourtts fJlling dug
Thls yèhr
Lèstyèar
Amouttts fÈlllng
Thls yEar
Lastyo4r
Accruals for grants
Payable
Bank loans and
overdralls
Trade creditors
71S
10,942
Paym¥nts r¢¢olv¢d tyn
acEountfor contfhcts
or parformanca-relatÈd
gr&ntA
Accruals and deferred
income
Taxallon and soclal
security
Othèr ENdltovs
Total
14,197
19,846

Section C
Notes to the accounts
cont
Note 9
Deferred income
This
ear
Advanced booklngs.
L88t
8ar
A(fvancedbooklngs.
Please expl8ln the reasons why Income As def8rr8d.
ovementln deferred Intome actounl
This year
Last year
Balance at the start of the reporting period
Amount5 added in current period
Amount8 re18a88d to income from pr8viou8 p8riod8
Balante at the end of the reporting period
Note 10 Provisions for liabllitiès and chargès
This year
Last year
Balance at the start ol the ieporting peirod
Amounts added in current period
Amounts charged against the provis¥on in the current period
UnusÈd amounts reversed during the perlod
Balance at the end of the reporting perlod
21.2 Please provido..
. a brief des¢rlptlon of any obligations on the
balance 8heet and the 8xp8Cted amount and timing
of ￿sUltIng paymenl$'
This
ear
Ullllty CostAccnJ81
£10,927, Cleanin
Accrual £1,060 Income
Recelved In Advan¢e
£2,925.
Last
oar
UIIIAty Cost A¢crual
£7,q93 Incom8 Recelved
In Advance £1,210
Nots 11
Cash at bank and In hand
Thls yèar
La8t year
Short term cash investments Ile55 thin 3 months maturlty dalel
Short term dèposit8
ash at bank and on hon
Othor
Total
40,817
40.388
40,817
40,388
Not&12
Transactions with triistees and related Darties
None of th8 truste85 have been paid anv remuneration or receivgd anv other bgnefits froTn an
employmÈnl wlth thÈlr charlty or a related entity.