Re8lstered number.. CE031893 FORDINGBRIDGE AND DISTRICT COMMUNITff ASSOCIATION TRUSTEES, REPORT AND UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2025
FoTdln8lxldBe and Dlstrlcl CL#nmunltyA550clalSon Contents Poge Assoclatlon Information Trustees, Report Independent Examsne$ Report Statement of Financlal Activities Balance Sheet Notes to the Flnanclal Statements The followlng pages do not form part of the statulory flnandal statements: Detalled siaiement of Flnardal Actlvftle5 io-ii
FordEn8WBe and Dlstrfct CL*nmunlty A550daUon Informati¢ Fw The Year Ended 31 Dgc•mber2025 Trustees Adrfan In8S Carole Gannon Oerek Brooks Paul Harding Julia Harley CE031893 Charity Number Re81stratlon Number Reglstered Offlce 1202592 36 ShaftesbUry5tet FordlnEbridBe Hampshire SP6 IJF Independent Examlner Artem3 Ltd la Kingsburys Lane Rlngwood Hamp5hlre BH24 IEL Pa8e I
FDrdlngbrldge and Distrlct CommunSty Assoclation Company No. CE031893 Trustees. Report For The Year Eb)ded 31 DecEmber 2025 The Trustees submit thelr annual report together wlth the flnancial statements forthe Fordin8brldge and District Communlty Association 1.the Assoclatlon") for the year ended 31 December 2025. Reference and Adminlstrative DetaSls The original, unincorporated ASSDClation was constituted on 3rd June 1975. At the end of March 2023, the Charity Comrni55ion approved a change of status to a Charitsble Incorporated Or8anlsation ICIOI, reEisttation number 1202S92. The Manogln8Tru5tees of the A5soclatlon durrng the year were.. Derek Brooks Carole Gannon Paul Hardlng lulla Harley Adrian In85 The honorary officer5 durlng the year werp- Chair: Derek Brooks Treasurer,. Clare Cox (not a tru5teel Secretary.. Julia Harley The leasehold premlsÈs arè now held In the name of The Publlc Custodian for Charftles. The maln agent5 of the Assoclatlon durlng ihe year were: Bank: National Westminster Bank Plc, Rin8wood Branch Independent Examlner.. Artema Limlted Strutture. Governance and Man3gement Fordingbridge and Distrirt Communlty AssDClatlon is a Charitable Incorporated Organisation Iciol, reg15trarlon number 1202592. The Charity operates from the Avonway Community Centre, 36 Shaftesbury Street Fordlngbrld8e. Hampshire, SP6 IJF. The current constitutjon was adopted on 31st March 2023. In accord3nce with the constitution, the trustees in place Dn 31st March 2023 all transferred to the new board of trustees. In the future. additlonal trustees must be appolnted by a re501utlon passed at a properly convened meeting of the charlty trustees. When selectlng Individua15 for appointment as appointed charity trustees, the charity trustees have regard to the skills. knowledge and experlence needed for the effective adminlstratlon of the CIO. Trustees meet on a monthly basls. The A550ciation had, for many years, employed a part-time ¢enir? manager supported more reCenY by part-time administrative assistant. With the dÈparture of the centre manager In Nay 2024, the Trustees took the dlsion to appoint a centrè administrator, who has respon5ibillty for the use of the centre on a dally ba51& The Trustees now make use of the seNices of a book-keeper. who managES all payment5 and iecelpts and now provides an additional layer cf financial control. The Trustee5 ar? also grateful to a local tradesman who ha5 bEen providing plumbing and handyman servlces to the Community Centre on a regular basis. ObJetti¥es and Acllvities Page 2
The charitable objectlves of the Assotiation are to.. promote the benefit of the inhabitants of Fordin8brSdge nd it5 suffounding district without distinrtion of sex, sexual orSentation or race or of political. religious or other opinions by associating together the said inhabitants and the local authorities, voluntary and other or8anisations in a common effort to advance education and to provide facilities in the interests of social welfare for retreation and leisure time occupation with the object of improvin8 the conditions of life for the said inhabitant5.' and to establish or secure the establishment of a Community Centre and to maintain and manage the same in the furtherance of those object5. The Association operates the Avonw8y Community Centre. which has a range of rooms for use by community 8roups, clubs, charlties and associations, some operated dirertly by the Association, others by third partie5. IAvonway is a former School buildin& datin8 back 10 1834. which 15 held on a long maSntasning lease from the Diocese of Winchester). Rooms at Avonway are made available lor use every day of the year. Artr4Tities Each week Avonway welcomes around 1,000 or so people of all ages and abtlities who visit Avonwèy to benefit from. and participate in. the education31. recreational and letsure time activities, as offered by some 40+ different groups. clubs and organi5ations. The majority of the users of Avonway are independent group5. some commercial, bui all bring enrichin8 actlvltles to the community of Fordingbrldge and the surrounding district. It has been m05t encouraging that the usage of the Community Centre has continued to Increase, and has exceeded all previous recorded levels, including pre-covid. This Is, in part, due to the Increase in bookings for private functions. the income from which suppgrt5 the community provision aspert of the charity. Members of the Avon Valley Health Care Team provide Health Vtsitor sessions at Avonway. Steady and Stron8 exercise classes are held four tlmes a week. During the year, a range of exercise related classes are regularly held at Avonway includin8 yoga and pilates. Fordingbridge Dance Studi05, which operates from Avonway durin8 the school terms, offers a range tsf classes for ballet and cabaret dance styles and differin8 Student abilities for children from two and a half to eighteen years. The Silver Swans 8roup provldes cla55es for adults, Includlng th05e new to ballet. A range of other social and educational activitie5 were regularly held including.. photO8raphy, art and bridge clubs: the Horticultural Society,. U3A.. 5kittle5 Club.. and Bingo. The Stepping Stones Pre-school. wh(ch had occupied the annexe building slnce 2011, terminated their £ontra¢t in july 2025. The popular Busy Bees play8roup that meets in the main buildin8 also provides activities for under-5s. Fareshare and representatives from external ègencie5 are in weekty attendance whith enables us to maximise support and promote poverty reduction. The Association has maintalned its provision for Avonway to be used as the area's Prepared Rest Centre In case of an emergency. The Association own5 and manages a Portakabin that IS Used on weekdays by the British Red Cross as a bespoke Mobility Aids Centre for the continulng benefit of elderly andlor differently abled members of the tommunity. The Association is grateful to the Community Centre Administrator for ensurlng that the Community Centre run5 smoothly. and to the many hours given by the volunteers and trustees in sUPPOrting the objects of the charlty and contributin8 to a vibrant, healthy and p051tive communlty. Flnanclal Revlew The financiol results of the Association for the year are set out on pages 6 to 9. The Association hès adopted a formal reserve policy principally.. al to provldè a buffer against seasonal fluctuations in income,. bl to ensure the cost of any urgent and unexpected building maintenance works is Pa8e 3
covered- cl to provlde funds to meet contractual Ilabllltles In the event of a temporary suspenslun of activity,. aftd dl tp ensure the A550cialipn can rroet its finanaal obfigalion5 to 5tsff. The trustees commlssloned a bultding artd maintenante suNÈyttswar(L% thÈ Ènd of 2023. the results ofwhich have Sho o significant number of building works that are requlred to keep the Vlctorian builthn& operatinE. On this basis, rhe trusiees have agreed to mainiain the reserve ar £40.0 rn order to ensure the alms of the policy can be met. Thls sum Is based on the annual Nnnlng costs. the current untertainty in energy prices and inflation, and an estimate should unexpected buitding works be requlred. These monles are in place and held in a designated account. The financial position of the A55ocÉation is secure as Sel out in the accoun15. However, to underpin the ever Incre3slng daily costs, espeoally fuel and maintenance. there wa5 a small increase in room rental charges. Current De¥elopments Following Ihe departu of Stepplng 5tortes to the premises of the lotal wimary school, the annexe building requlred much nEeded buitding work. The window5 were replaced, new flooring added, all rooms were palnted and the fence outside the childrens playground was rem0d. Future Developments A significant number of works are required to eru thal the bull1ng continues to be a positive environment for our community. Some rooms have not been renovated for some time and thesewlll be the focus of any capital works takin8 pla in the next year, subject to adequate funding being available. On behalf tsf thè Association: 23. 2026. 12.Yrffj) Chair 23 Jun 2Q26 Date... Pa8e4
Frydinsbrldge and Dlstrfct Cornmuntty Assttlatlon Independent Examlner's REPOrt ForThe Year £ted 31 DEcEmber 2025 I report to the Trustee5 on my examlnatlon Df the accounts ofthe above charsty 1.the Trusv) for the year ended 31 December 2025. Resp0nslbllleS and basis of r40rt As the charlty's Trustees, you arè respon5fble forthe preparation of the accounts in actordan¢e with the re4uirements of the Charities Act 20111-the Acffl. I rEPDrt ith respeLt of rny examination of theTrusts accounts carrled out under section 14S of the 2011 Art and in c3rryinB out my examination. I have followed all the apFOb1e Threclion5 given by the Charlty Commission under section 14515llbl of theArt. Independent Examrne¢5 Statement I have completed my examination. I confimi that no matters have Eome to my attentn in connection with Ihe Èxamin3tion which give me cause to betreve that in any material respect.. the accounting records were not kept in a¢cordan¢e with sertion 130 of the charitles Act- or the accounts did not attord wlth thè accountin8 record5- or the accounts did not comply with the aFvlicabJe requirements concerning the form and content of accounts Set out in the Charities IAccounts and Reports) Regulations 20DB other than any requlrement Ihal the accounts give a true and faiv ewwhich 15 not a matter considered as part of an iftdependent examlnation. I have nc concerns and have come attoss no other matters in connectknn wth the examination to whrch atlentlon should be drawn in this report in orderto enaNe a prroer understandin8 of the accwnts to be reached. Signed Yuval Saloml, FC Date.. Artema Ltd la KIT)gsburys Lane Ringwood Hampshire BH24 IEL Pa8e5
FordlnEbridge and Distrfct Comrnunlty Ass¢xlation Statement (rf Finanaal Arti¥itle5 ForThe Year Ended 31 December 2025 2025 2024 INCOME Costs of trading actlvlties NET INCOME FROM TRADING AcnvmES 96.188 14,275) 91.913 85,994 19.3541 76,640 AdministratNe expenses OPERATING DEFICIT 199.73DI 17.8171 1104,5551 127,9151 Other Interesl receivable and similar income 1.270 1,693 DEFICIT FOR THE FINANCIAL YEAR 165471 126.2221 The note5 on poges 8 to 91ormpart of thesefinonciolstotement& Pa8È 6
Fordlngbrldge and Dlstrl¢t Community A55c¢Jatlon Balance sheet As At 31 DEtember 2025 Note5 2025 2024 FIXED A55Ers Tangible Assets 173,291 176,094 CURRENT A55ETS Stocks Debtors Cash at bank and in hand 1,204 2,994 139,080 143,278 1,204 2,813 140,662 144,679 Creditors: Amounts Falling Due Withln One Year 19,2211 16.8781 NET CURRENT sEr$ 134,057 137.801 TOTALASSET5 LESS CURRENT LIABILITIES 307,348 313,895 NET ASSETS 307,348 313,895 REPRESENTED BY FUNDS Medical Loan Faclllty General Funds Account 24,007 283,341 22,507 291,388 CHARifY FUNDS 307.348 313.895 The fJnarKlal 5tatEment5 have been prepared in accordance wlth the speclal provlslons applicableto char(tSes subject to the small entltSes reglme. On behalf of thè A5sociatlon: lare ro¢ (Jun 23. 2016. 12'.34prn) 23 Jun 2028 rhe notes on poges 8 to 9form pt7rt of thesefinanciulstotements. Pa8e 7
Fordlngbrldgè and Distri¢t Communlty Assoclation Notes to the Flnancial Statements For The Year Ended 31 December 2025 l. General Infomiatlon Fordingbridge and Dlstrlct CommunItYsOCIatIOn Is a Charltable Incorporated OrganlsatK)n, incorporated In England & Wale5, regrstered number CE031893. The registered office ts 36 Shaftesbury Slreet. Fordingbrid8È, Hampshire, SP6 IJF. L Accountin8 Pollcles 2.1. Basis of Preparatlon of Flnanclal statemènts The flnanclal statement5 have been preparEd under the historlcal cost conventlon and in accordance wlth the 5tat?ment of Recommended Préctice.. Accounting and Reporting by Charities preparinE their accounts in accordance with the Financial Reportin8 Standard 3ppllcable in the UK and Republtc of Ireland IFRS 1021. 2.2. Income Income 15 measured at the falr valuÈ of the consldeTrtlon received or TeCelbIe, net of discourTrt5. Income includes revenue earned from the sale of goods and from the renderlng of service5. Grant income Grant income is recognlsed In line with the condltlons attached. 2.3. Tan8lble Flxed Assets and Depreclatlon Tangible fixed assets are measured at cost less accumulated depreciatlon and any a¢cumulated impalrment losses. Depreciatlon Is provlded at rates calculated to wrlte off the cDst of the flxed a5set5, les5 their estimated residual value, over thelr expected useful Ilves on the following ba5es'. Leasehold Premises stralght line over the 99 year lease Flxtures straight line over 10 years stralght line Dver 3 years Computer EquipmEnt 2.4. Stocks and Work In Progre55 Stocks and work in prcgress are valued at t1 lower of cost and net realisable value after maklng due allowance for obsolete and slow-movlng stocks. Cost includes all direct costs and an approprlate proportlon of fixed and variable overheads. Work-in-progress 15 reflected in the accounts on a contract by Dntract basi5 by recordlng turnover and related costs as contract activlty progre55e5. 3. Employees and Trustee5 Average number of employee5. Includlng director5, durlng the year was: 212024.. 21. Staff costs totalled E30,74212024- £27,160). The trustees receive no remunerailon. They were relmbursed £nil12024- £nlll for expenses and prolect CDSts in the year. 4. Tanslble Assets Land & Property Leasehold Flxtures & F5ttin8S Computer Equlpment Total Paze 8
Cost A5 at l January 2025 As at 31 December 2025 Depredation As at l January 202S Provided durlng the period As ai 31 December 2025 Net Book Value 248,003 248,003 8.082 3,143 3.143 259,228 259,228 8,082 72,419 2,293 74,712 7,572 510 3.143 83,134 2.803 8,082 3,143 85,937 As at 31 DEcember 2025 A5 at l January 2025 5. Stocks 173,291 175,584 173,291 176,094 510 2025 2024 Stock 1,204 1.204 G. Debtors 2025 2024 Due withln oneyear Trade debtors 2,994 2,813 7. Credltors: Amounts Fallln8 Due Withln Oneyear 2025 2024 oiher taxes and sotlal sÈcurity oiher Creditors Accruals and deferred Income 1,894 1,304 6,023 9,221 776 977 5,125 6.878 Fund5 2025 2024 Medlcal Loan Faclllty IdesiEnatedl General Funds lunre51rictedl 24,007 283,341 307.348 22,507 291,388 313,89S Page g
FordlngbridBe and Distrlrt CommuJwtyA550datlon Detalled Statement of Nnancial Activrtle5 For The Year Ended 31 December2025 2025 2024 INCOME Legacie5 Rgorn Hlre AnnÈxe Lease Medical IA)an Faality Sales from Bar tthotocopWnE Incomp Refreshments Income Income from Donatlons Grants and subsidies recelved 14,105 51,554 19.768 1500 7,388 143 11.250 45055 16,7S2 1.5LM] 8.313 122 27 1.728 iio 2,065 85.994 COSTS OF TRADING AcfiviTIE5 Purch3se5 Photocopying Costs Medical Loan Facility Rent Friends on Friday- Expenses 3.439 836 7.764 683 500 407 14.2751 91.913 19.3541 76.640 NET INCOME FROM TRADING AcfivrnES Page io
Fordlngbrldge and Dlstrfct Communlty AssocSatlon Detalled Statement of Flnanclal Actlvttles Icontlnuedl For The Year Ended 31 DecÈmbpr 2025 2025 2024 ADMINISTRATP4E EXPENSES Wages and salaries Employers Nl Employers penslons- defined contributions Scheme Subcontractor costs Rent tight and heat Water rates 29,385 479 878 25,540 610 I,oio 492 375 11,167 822 2,110 10,324 935 34,073 3,232 1.653 6,099 13 Repairs and maintenance Cleaning Cornputer software, consumables and maintenance Insurance stationery Advertising and marketing Costs Telecommunications Accountancy fees Professional fees Professional subscriptions 8ookkeeping fees Bad debts written off Other office cost5 Depreciatlon ol fixtures and f1ttin85 Depreciation ol leasehold land and property 26,340 9.980 528 9,955 189 170 777 1,410 1,332 3.414 1.801 3,413 491 1,738 757 3,021 1104,5S51 127,9151 1.332 1.834 2,861 15 927 510 2.293 199.7301 17,8171 OPERATING OEFICIT Other Interèst receable and somilar Income Bank interest receivable 1.270 1.693 1.270 1,693 DEFICIT FOR THE FINANCIAL YEAR 16.5471 126,2221 Page 11
nable Issuer Artema Ud Document genKated Tue, 23rd Jun 2026 lo.2:27 BST Document fingerprint c76ca416c3f20b22db45b9237b2&%80 Partl•s involved wIth thls document Document processèd Party + Ftngerprtnt Tue, 23rd Jun 2026 12'.34:39 BST Derek Brcth- Signer (ac6aa2c6ac6317f49BcddOeOda04cdk) Audlt hlstory log Dat& Action Tue, 23rd Jun 2026 10".02:27 BST ErNdope genwaled by CalLm Halner (37.25.45.161} Docjjment generated Imth fmgerprint c76ca416c3f2Cb22db45b9237b290680 (37.25.45.161) Sent the envelop2 to Derek Br(Ls {derek54brooks@gmail.com) for signlng {3725.45.161) DOcumt emaikd lo derek54brLjks@gmaIl.cOrn Derek Brocs openthj the do¢xfftnt emarf.166249.93.41) Derek BrLKs the doe7* emall. {66249.93.33) Derek Broc&s Mewed the envekwe (86.167.108.54) Derek Broth &gned the envelope (86.167.108.541 This WNelope has been sign8d by all parties (86.167.108.541 &gned dCMeTht Confirrnatic email lo derek54brooks@gmail.com (86.167.108.54) Tue. 23rd Jun 2028 10:Q2.'27 BST Tue, 23rd Jun 202S 10:05.'43 BST Tue, 23rd Jun 2026 10-.05-43 BST Tue. 23rd Jun 2026 12.'04:20 BST Tue. 23rd Jun 2026 12'.31:50 BST Tue, 23rd Jun 2026 12'.31:55 BST Tue, 23rd Jun 2026 12'.34".38 BST Tue. 23rd Jun 2026 12'.34'.38 BST Tue. 23rd Jun 2026 12:34.'38 BST Tue. 23rd Jun 2026 12:34:38 Bsr &gn•J dolMent confirnation emails have been sent lo all parties. DUmrt URL. httpS:Ilapi.5ignatAe.applWe&4elenve1opeTh-34Id8e3b8P34shSb24.s d68b711551a (86.167.108.54)