Trustees. Annual Report for the period
Peric*J stsrt date
Pericxl end date
31
March 2025
From
April 2024
To
Section A
Reference and administration details
Charlty name
Crowthome & Wokingham Wthout NMI Men's Shed
Other names charity bs known by
Reglstsred charity number (rf any)
1195509
Charltys prlnclpal address
Crowthome & Wokingham Wrthout NMI Men's Shed
B￿Shotte ParK Holmbury Avenue
Crowthome
RG45 6TQ
Names of the charlty trustaos who manage the charity
Trustee name
Offieè Irf •ny)
Nam• of pwson {or body) errtlded
ifan
Peter Keigan
Philip Hart
Keith Goodall
Chaiman
Secretary
Finance
10
11
12
13
14
15
16
17
18
19
20
Names of the trust￿ for the charity, rf any. {for example. any custodian trustees)
Name
Dates acted If not for whole
TAR
Mard12012

Names and addresses of advisers (Optional infornmtion)
of advlser
Name
Address
Name of chlef executive or names of senior stsff members (Optional inforniation)
Section B
Structure,
overnance and mana
ement
D8scription of the charitys trusts
Constitutton
Type of goveming document
How the charity is constibjted
Association
Trustee seledion methods
Appointed by steering Committee
Additlonal governan￿ issues (Optional Infomiatk•n)
You may choose to indude
additional infonnation, whe
relevant, about".
policies and prO￿dureS
adopted for the induction and
training of trustees-
the chanty's organisational
structure and any wider
network with which the charity
works.,
relationship with any related
parties.,
trustees. consKleration of
major risks and the system
and procedures to manage
them.
Section C
Ob'ectives and activities
The promotion of soaal indusion for the public benefft of men living in the
vi￿nty of CrowthomelWokirvJham Ihfthout to combat loneliness and
social isolation by the provision of a workshop vthere they can meet and
engage in actrvities together only limited by their ability to participate
independently, aimed at increasing their engagement and condition of
Summary of the obSects of the
charity set out in its
governing document
TAR
Maith 2012

The Charity was offered the use of a redundant sports pavilion and has
spent the year obtaining planning pemiission and completing the lease
which was signed 3￿ March 2024. Recruiting members has resulted in
55 member5 including the T￿St￿S. Members are kept infonned by
newsletter and cotrespond by email and telephone. The committee meet
regulady.
We have manufaciured bird and bat boxes for the lool community.
We are active with the Local Mental Health Prescribers and have
induded the candidates as member5.
Summary of the maln
activities undertaken for the
public ben8fit in relation to
these objects (include within
this section the statutory
declaration that trusteès have
had regard to the guidance
Issued by the Charity
Commission on public
benefit)
Additional detalls of objectives and actlvltlos {Optlonal informationl
You may choose to indude
further statements, where
relevant, about".
policy on grantmaking..
policy programme related
investment-
contribution made by
volurrteers.
TAR
laarth 2012

Section D
Achievements and performance
The Charrty has achieved 55 paid members.
Summary of the maln
achiovements of the charity
during the year
TAR
March 2012

Section E
Financial review
The charity has a policy to retain sufficierrt funds in reserve to cover the
pcywer usage, business rates. water rates and mairrtenance.
Brief statement of the
charity's pollcy on resèrveg
Details of any funds materially
in deficit
Further financial rnvi￿ details (Optional inforniation)
You may choose to indud6
additional information, where
relevant about..
the charity's principal
$our￿S of funds (induding
any fundraising).,
how expenditure has
supported the key objectives
of the charity..
investment policy and
objectives including any
ethical investment policy
adopted.
Section F
Other optional information
Section G
Declaration
The trustees declare that they have approved the trustsos. report above.
Signed on behalf of the charity's trustees
Signaturels)
Full namels)
Posltlon (eg Secretaryg Chair,
Keith Goodall
Treasurer
Date
05108r2025
TAR
March 2012

C & WW NMI Mens Shed
1195509
Recei
tsand
ments accounts
CC16a
For tha pgrlod
To
0110412024
3110312025
Section A Receipts and payments
Unrestricted
nds
Rgstricted
funds
Total fund8
Last yaar
toth& nowwi£ totho MAra%t£ trj ¢h• Ixw••t£ tothB n08rost £ .
Racdpts
Membership fees
".Donations
2,691
2,098
11,469
2.691
30-.
Grants
Sales l event incx)me
Intsre8t
Other
Sub total (Gross incLNM f(*APJ
11.469
80
16.338
17.B38
Assot and Invostmont sales
Sale of assets
Sale of investments
Sub totsl
Totsl rncelpts
16.338
17.838
Payments
Shed premises ￿$ts
Insuran
Materials & consumables
Small tcols1<£251
Repairs and renewals
Refreshments & deaniry
Admin10ffi￿ c4Xts
sUb￿np￿0ry8
Sundry
492
2.247
67
262
1247
67
262
1.700
1.71)0
30
1,755
1.755
Sub total
10.011
10,011
725..
A886t and invegtment purchasas
Hand and T¢>)Is {>£25
Workshop machines
Sub total
1.720
3,3n
3.097
1.720
3.377
5,097
T*)tsl paymonts
15,108
15,108
Net of rec•lptsl(paymènts)
Transfers bets%Een fvnds
Cash funds last gnd
Cash funds th18 year end
1.230
2.730
2,005
3.719
3.719
1.713

Section B Statement of assets and liabilities at the end of the period
Categories
unrestri￿ Restrictsd Total current
rfod
Cash furMIs
Current account
Deposit a¢c¢)unt
Cash
> no8roBt£
to the nÈaresi £
949
4.949
1.500
6,449
8rthLHrt{5}1
Other monotsry assets
Stockslgoods for sale
Debtors
Investment assets
Assets retained for the Shed.
own use
Buildin
L- Large item5 of machinery > £50
P- Power tools >£50 IndividuaUGroup inc Qty
H- Hand tools >£50 IndividuaUGroup inc Qty
O- Othef assets
4.554
493
4,$54
1¥2
192
5,239
Llabilitiès
.'Trade crediiors
Accrued expenses
sIgn￿ by one or Iwo tr￿t*¢• on
ljehaw of all thè trnslees
Date of
roval
Print Nan
Keith
iL-iP ¥tULT
0110412025..