Trustees. Annual Report for the period
Perioj start date
Pen¢)* end date
From
11
2023
To JI
03
Section A
Reference and administration details
Charity name. Street Library Trust
Other names charity is known by
The Street Library
Registered charity number lif any)
1203904
Charity's principal ad(tress
Clof Mr Richard Ban(￿ft Cla
6 Leigh Road. Street
Somerset
Postcode
BA16 OHA
Names of the charity trustees who manage the charity
Trustee nam*
Offl¢e Ilf any)
Dates a¢ted 11 not for wlK•IÈ
ear
Tnjslee
Name ol person lor body) entided
toa
int trustee
llan
Mr R B Clark
From InCept￿n 3rd July
2023
Mr M Lovell
Trustee
Frcyn In￿pt￿*n 3 July
2023
Mr W R Clark
Trustee
Frcffi In￿ptiOft 3rd Ju
2023
Names of the trustees for the charity. rf any. (for example. any custodian trustees)
Name
Dates acted rf not for whole
ear
None
Names and addresses of athilsers (Optional information)
of adviser
Narne
Add￿$$
Accounlants
Chalmers HB
20 Chamberfain Street. Wells. 8A5 2PF
Name of Chief executive or names of senior staff members (Optional infomi*ionl
Section B
Structure,
overnance and mana
ement
Description of the charity's trusts
CIO Objects created 7th July 2023
Type of goveming d¢xument

How the charity is constituted
cio
Trustee selection methc#Js
The existing Twslees have the power to apwnt new trustees
Additional govemance issues {Optional Inforniation>
Cessation and Conversion to CIO
The trustees have acted on advice during the year lo convert the
previwsly established chanty13099421 to a CIO and this look effect on 6th
November 2024 when all a55ets were Iransfwed.
You may choose lo indude
additional infomialion. where
relevant. about..
policies and procedures
adopted for the induction a￿1
training of trustees.,
the Charity's organisab.onal
structure and any wider
ne￿Ork with which the charity
works..
Therefore these accounts have been written up from that dale when the
activities of that charity ￿ased. The activity is deemed lo continue, so
the opening balances are those transferred from the old chanly and the
comparative figures in the a￿ountS are the last financial peri¢JJ of the old
charity.
Trustee appointment
The Iruslees are appointed by the Board of Trustees. without restriction on
the lerrfJlh of time they may serve the tfust.
relationship wrth any related
parties;
trustees, consideration of
major risks and the system
and procedures to manage
them.
Related Parties
During the period. The Crispin Hall Trust provKled Maintenan￿ related
services to the trust amunting lo £42812023." £1,078) and The Joseph &
Franci5 Clark Charitable Trust provided recharged ma1nlenance costs and
office. secretarial and bwkkeeping services to the trust amounting to £128
12023. £2.545}
The trustees are also iruslee5 of The Crispin Hall Trust and tx)th Mr R
Clark and Mr W R Clark are also a twstees of The Joseph & Francis Clark
Charital￿e Trust.
The recharges between trusts are carried out on a fair apportionment
basis and allows a numLer of charities and trusts lo be run as effiaenlly a5
possible from a single base.
Major Risks
The trustees have considered the major risks facing the chanty and taken
steps to k55en these risks.
Section C
Ob'ectives and activities
The object of the CIO Is to advance the education ol the public In the
town of street and the surrounding area or communities by operating and
managing a lending library.
Summary of the obj'ects of the
charity set out in its
governing document

Summary of the main
activities undertaken for the
public benefit in relation to
these objects (include within
this se¢tion the statutory
declaration that trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefit)
The library facility has been relocated in order lo allow significant repair
work lo be caTTEd out on the propety. The extent of the work 15 such
thai this may take some time. but the intention ¥emains for the library to
return to the property upon ￿mpletIOn. In the meantime. the charity is
continuing to support the library in its temporary home.
The northern garden area remains open to the public.
The trustees Confi￿ that they have complied wth the duty in section
17151 of the Chanlies Act 2011 to have due regard to Ihe public benefit
guidance published by the Commission.
Additional detslls of objectives and activities (Optional infonnation)
You may choose lo include
further statements, where
relevant. atout..
policy on grantmaking".
policy programme related
investment".
contn'bution made by
volunteers.
Section D
Achievements and performance
Summary of the main
achievements of the charity
during the year
During the pencNJ. the trust has been al*e to ￿ntrnue lo meet its
charitsble objectives.
Section E
Financial review
The Twsl's reserves policy to maintain a sufficient level of reserves
necessary 10 generate the income required ￿ run the trust on a
daY-1c￿daY basis.
Brief statemeni of the
harity's policy on reserves
None
Details of any funds materially
in deficit

Further financial review details {Oplional infomiation)
The principal fvrKling s￿rCe of the trust is the income from investrnents.
You may choose to indude
additional information, where
relevant about..
The Iruslees revrèw the investment strategy and the investments and are
happy with the surtability of tt)ese in accordance wth the Trustees Act
2011.
the charity s principal
sources of funds lindltding
any fundraisingi-
how expenditure has
SUPPOrted the key objectives
of the charity.,
investment policy and
obieclives Including any
ethical investment wlicy
adopted.
Section F
Other optional information
Section G
Declaration
The trustees declare thal they have approved the trustees, report above.
Slgned on behalf of the charity'$ trustees
Slgnature(s1
o,
Full name{s)
Position (eg Secretsry, Chair.
etc)
rL ICH A%LtJ CLAO
Twstee
MALl1fy1 U)ViL
Trustee
Date
?(tr

CIIARITY (OMMISSION
5tr••1 Llbrary vvu
Receipts and payments accounts
CC16a
For ihe peri￿1
from
Section A Receipts and payments
Vnrestricied
funds
Resif.iied
fund5
Tdal fund$
L•* y•ar
f•th•v*•r•siÉ
luth•Mw•5tE
toth• Mar¢4t¢
A1 R•¢•i
DIA#*n#s
2.501
Sub lot•l(Gross in¢om• br
ARI
2J01
2JQl
A2 •fyl knv•sirr*nl
les,
Sub tot•1
rolalrn¢*
2.bol
Insur•n¢•
•90
8oD*k••pin
fy•nts
al & PrDl••iithi•l F••¥
2Jt2
15.713
11.733
J66
428
421
•*•rfityJl•
Jo
Sub tot•1
20.021
A4 I6sel and In¥estmènl
5•• tab
Dividends reinvested
2Jtyl
Sub toi•l
2.101
3.SOI
21517
22.$27
21.•OT
N•tofr•¢•iMslp•ym•nts) .
AS Translers betb*en funds
Cash funds ￿5t par end
C•$h funds Ihl$ yMr•nd
J.B45
19.100
17•.2
224.W¢
1•B.411
113.11
14.7
178,172

Section B Stslement of assets and liabilities at the end of the period
Unrestricted
funds
Resiricted
lun(L5
Endo4Mrent
funds
ton*ar•sl t
81 Cash funds
ISIJOF
1$.75S
fot•l¢•sh fvnds
I￿.•17
14,7SS
Unrestricted
Restricted
funds
B3 Inv•stm•nt •ss•ts
Unl￿110$h*￿S
L15*dYnlT￿*ty
Cwr•nl
Dtiails
B4 As%•tS rntsln•d lorth•
¢h•rlty'S own u
Jlowhkth
Delails
85 Llab11th5
Vnieskncknj
11.60$
<IY•ar
r*n•r•ct•thkyS
JJ)20
O*eof
mpItLI￿ b￿l£LL