The Fressingfield Shed
Report and Accounts forthe perlod to 31 March 2025
Structure. governance and management
The Fressingfield Shed is constituted as 8 charrtable Incorporated organisation and w8S
incorporated on 23 May 2023 with registered chartty number 1203217.
Truste83
Name
Paul Woodward (Chairl
lan Pettitt (Vice Chair)
H8ather Futter
Roy Coe
Mark King (Treasurer)
Amy Stein
Dato appolnled
23rd May 2023
Resigned nh April 2025
23rd May 2023
7th April 2025
16th April 2024
16th February 2024
Trustees are appointed at General Meetings of all members.
No tru8tee$ recelve any remuneration. paym8nt8 or benefit8 from the Charity
Flnanclal Revlew
The accourrts forthe period 31 March 2024 to 31 March 2025 8re 8tt8ched to this report.
There were no 8erlou8 Incldent8 in the charity that have not been ￿Ported to the Charity
Commissionforthe period ofthis retum.
The charity did not make any grams in the period of this retum and neithew did It rec8lve
income from contracts with central government or local 8uthorities.
D&tails of grants recelved by the charlty 8re g￿en wrthin th8 body of the 8ccount8.
The charity did not recelve income from outslde the UK and dld Mt operate outside
England and Wales.
The charlty does rK)i have any subsldlarles nordoes it have any emplo>pe8.
The trustees are mindful of the need for the charity to b8 prudently managed in ord@r to
prevent an unavoidable shut down of our activities. To this end it is one of the trustees
aims to establish and maintain a contingency reserrfe representing a minimum of six
rnonths operating costs. Trustee8 constantty monrtor and review the intemgl financial
controls of the charity in order to prevent loss and waste.

We operate out of The Goodwin Hall New St￿. Fiessingfield. We have 8 'Li¢ense to
OccupV these premises granted ty The GO(￿win Hall Charity on 22nd August 2023 for 5
years from that date wtth 8n option to renewon agreement of both parties.
si
ottho Charws trust¢os-
Woodward (Chair)
Mark KlnglTroaBurnr)

. o Fro88ingfiold Shad . Con8olldat•d staton￿ of Flnanclal Actl¥ld
For the pwlod •rtdod 31 IA•rch 2025
lo Pla￿h
2025
to March
2024
Fund
Funds
Incomlng R••our
Incoming resources frcm generated funds..
Subscriptions
DonalM)n$
S8les and Activities
Grants
Gift Aid
1.428
1,165
3.093
1,428
1,165
3,093
1,912
1,132
852
1,876
23,698
303
1,912
Total Incomlng Rmourc
6.351
1.912
8.263
27.861
Rwiurce• Exp•nded
Insuran
Rent
Light, Heal and Water
Consumab
T¢)018
other
339
1.020
339
2,040
883
3,682
15,119
412
202
1,020
1.020
203
150
412
3.479
14.*9
316
3,540
Tot•1 R••our¢M Exp•nd•d
3.￿7
19.468
22,476
6.404
N•t Inc¢Mnlngl(oulgolng) r••OU￿
(17.506)
21.407
Tot81 funds lyought forward
3.W)1
17,556
21,457
Total lund• carrl•d fonvard
7,245
{0)
7,245
21,457

FM•ingf•ld SP*d
2026
2024
Cash ai bank
7.128
21.437
Patycash
Th•lurth ofth• chwlty
17
Ur¥ostri* InDJTh
724S
3.￿1
Toi*l ¢h•rlty
INDEPENDENT EXAPAINEifs REPORT
I have revith¥ed ￿ Receipts and Paymnts Accounl lor ended 31st Ma
2025 and confffm that they accuratety reflect the transadKx)8 88 dLumenled retleciing
the financial position of The Shed.
In my opinion the A£counts giv• a tn* and fair VIÈW of tho R8cwt# and Payrtwts foi
th8 financial period a¢xording lo thè inlom)akn and expianatN)ns given to me
reflected in the accoun18. 1 no concem and h￿e rKJ is8￿ to which
attention should be dwawTr.
Andrew RO￿rts

The Fres$lnOeld Shed
Flnanclal Ststements forthe peTlodto 31 March 2025
2024
Other Expenses
Web hosting
Subscrfptlons
Couise Fees
£4
An•lysls ol nel assets between lund¥
Unr¢5trtet￿ Restrlcted
FUNI
Fund
21)25
2026
Total
Total
2026
2024
Debtors
Petty Cash
Cash at bank
20
97
7.128
2Q
97
7.128
20
21.437
£7.245
£21,457