STREETLIBRARY TRST
ACCOUNTS
31 MARCH 2025
Charfty Number 1203904
CHALMERS HB LTD
Chartered Accountsnts
20 Chambedain Street
Wells
Somerset BA5 2PF

THE STREEf LIBRARY
ACCOUNTS
YEAR ENDED 31 MARCH 2025
CONTENTS
Trustees, annual report
Receipts and PaJTnents Accounts
Supplementary Notes to the Accounts

Trustees. Annual Report for the period
Period start datè
Period end date
Vajr
From
01
04
2024
To 31
OJ
2026
Section A
Reference and administration details
Charity name
Street Library Trust
Other names charity is known by
The Street Library
Registered charity number lif anyl
1203904
Charity's principal address
CIOI Mr Richard Bancroft Clark
6 Leigh Road, Street
Somersel
Po$t¢ode
BA16 OHA
Name8 ofthe charlty trustees who managè the charlty
Dates acted if not for whole
ear
Trustee name
Offlce Ilf any)
Name of ptrnon lor body) entitled
toa
C+lnt trustee
Ifan
MrR B Clark
Trustee
Mr M Lovell
Trustee
Trustee
Mr W R Clark
Names of the trustees for the charlty, If any, (for example, any custodian trustees)
Name
Dates acted if not for whole
ear
None
Names and addressès of advlsers {Optlonal Informatlonl
e of adviser
Name
Address
Accountants
Chalmers H8
20 Chamberlain Street, Wells. BA5 2PF
Name ofchief executive or names of senior staff members (Optlonal Infomiationl
Section B
Structure,
overnance and mana
ement
Description of the charity's trusts
CIO Objects created 7 July 2023
Type of governing document
How the charity is constituted
cio

The exisling TrLthes hwe the pw to appoint trustees
Addltlonal govemanco Issues (Olxional Inf(*mation)
Comparatlves and Converslon to CIO
The trustees have aGted on advice during the previous year to o)nvert the
prevNJJsty estat4k8hed ¢harTty (3099421 to a CIO and this took effect on 6th
November 2024 when all assets were transfeThed.
You may choose to include
addl￿Onal informatK>n,
relevant, ab)uL'
policies and procedures
adopted for the induction and
training of*n￿ees',
the charitys ￿ganiSatiOnal
struthre any wider
network with whtch the dwrity
Therefore the crynparatr¥e fvJures in acc4)unts are fcf the short period
from & Novwnber 2023 to 3111 Marth 2024.
Trustse appoirthient
The trustees are apporited ty the Board of Tn￿. with(Mrt restriction on
the length of time they w serve the trust.
relationship with any related
parties:
. trustses, conswJw*ion of
major risks and the system
and ￿￿edureS to rnanaJ8
Related Parties
During the perK￿. Cryin HaH Tntst pr(Nid&l maintenance reLited
Servi￿ to the twst arrthinting to £1675.76 {2024 perDd: £428) and The
Joseph & Francis Clark Charrlable Trusl provided recharged maintenar
costs and office, se¢xetsro1 and bcokkeeping 8eNices to the trust
anx)unting to £2.149.91 (2024 per￿￿.. £128>.
Mr W Clark and Mf M L￿￿1 is also a Trustee of The Crisixn Hall Trust
arKI Mr W R Clark are also a trusiees ofTr Joseph & Franc￿ Clark
Charilabk TrusL
The rechavjes belween tntsts are carr￿d oul ￿ a fair apportKJnrnènt
basis and alcAY8 a number cl charittes and trusts to be run as efficienty as
possible fr(ffi a siigle bose.
DurirKJ the pml, FoJryY*nt has been made of £645 for maintenance
related work carried by Street ProFeiiEs LLP of whth Mr W Clark is a
rrwnber. Thks transaraion was carried out on an arms length basis.
One Trustee. Mr W Cl¥K has been rambursed £1.424 (2024 Perfod: Nil)
being expenditure on behalfof the dwity.
Major Rlsks
The trustees have consid￿￿ the risks facing the charlty and laken
Section C
Ob"ectives and activities
The object of the CIO is to advance the education ofthe public in tF
tovm of street and the surrounding area or communities by operatlng and
ing a lendiThJ lknTrry.
Summary of the objects of the
charity set out In its
governing document

Summary ofthe maln
activitses undertaken for the
publi¢ benefft In relallon to
these objects Ilnclude within
this section the statutory
declaration that trustees have
had regard to the guldance
Issuad by tho Charlty
Commlsslon on publlc
benefit)
The liLYary faciky has bean rdL*ated li tyder to alkw signfficant repair
work to be tsnied on the property. The extent ofthe work i8 such
that this ￿ take some tine. but the intention remains for Ihe Ibi rary to
reium to the prO[￿ty upon ccfflpletion. In the meantime, the charity Is
)nlinuing to siwJ1 the ￿tsrary in ils le￿I)0rary honx.
The northem garden Temans open to the public.
The twstees that th￿ have Compl￿ with the duty in sethon
17(5> ofthe CharitEs kt 2011 to have due regard to the public I￿neffl
guidance publish￿ ty the C(¥Ymission.
Additional detalls of objecllves and athl1￿ (Oplional infonth)
You may choose to inc
further statements, whwe
relevant, about..
t#Jiw on granlrnking,.
' wlicy programrre retaied
investmert
)ntritrArtion made by
volunteers.
Section D
Achievements and performance
During the period, the tr￿t has been able to o)ntinue to ffeet ts
charilable oty&bves.
summary of the main
achlevements of the charlty
durfng the year
Section E
Financial review
The Trust's reseNes is to maintsin a sufficAent level of reserves
n￿essary to ger*rate the incwt requir&J to run the trust on a
Brfef 8tstement of th¢
¢harlty8 pollcy ￿ reserves
None
Delalls of any funds nytorfalty
In defidt

Further financial review details (Optional infomiationl
The principal funding Sour￿ of the trust is the income from investments.
You may choose to include
additional information. where
relevant about..
the chartty's principal
sources of funds {including
any fundraisingl.,
how expenditure has
supported the key objectives
of the charity-,
investment policy and
objectives including any
ethical inveslmenl policy
adopted.
The trustees review the investment strategy and the investments and are
happy with the suilabilty of these in accordance with the Trustees Act
2011.
Section F
Other optional information
Section G
Declaration
The trustees declare that they have approved the trustees. report above.
Signed on behatf of the charity's trustees
Signaturels)
Full namelsl
Position {eg Secretary, Chair,
etcl
Lo JeLU-
Trus
Trustee
Date
9 20LS

CHARITY COMMISSION
FOR ENGLAND ANI D WALÉS
Stre•t Ulxary Tn
Receipts and payments accounts
CC16a
Forthè period
frorn
011011x￿4
31nY202S
Section A Receipts and payments
Unrestrictod
Rostri¢tod
EndownY*nt
Total funds
Lastyoar
ioth•
A1 Ree¢1
2A72
109
2A72
D¢nabonS
Sub total(G￿&s1￿COrne lor
ARI
2.581
2,501
A2 knet and inve5tff*rrt
sales,
Sub total
2￿1
2.$01
2Pa
nts
lh5v￿llCe
6JS0
1.320
1.597
329
1J20
SecreMal
8ookk•gPing
J29
Legal 8PtDfe35ional Fees
Repairs and kL4iffltsnanc•
Gardeffl Ikjntefflante
3M45
2f.5UQ
470
1A49
29
1.449
OtherwFenlliWJi
20
20,026
Sub total
J9.O94
39.094
MPss0t8nd In¥&￿I￿nt
ur¢haso&
see tsblel
Oivid8nds reinv8st8d
Sc4ffolQiny Purc*aaed
20.370
JOA42
Sub total
JOJ42
69.936
OYJJB
22.527
NetofoceiW￿[paYments)
S Transfers beh%*en funds
Cash funds last ond
Cash this yearend
67J55
3.247
16J.117
1247
15.755
178,8n
111,517
19B.858
1?8.8

Section B Statement of assets and liabilities at the end of the period
L5nresiri¢ted
fvn
Restrict¢d
funds
EndownYnt
fund5
C,liocJorie5
tOllEafE5t£
ILIn￿restE
B1 Cash funds
CuttentJkr￿Jnl
4NSS
YJ54
12.5QB
Toralca5h fvnd5
11508
Unwstrict•d
lunds
Rèstrict•d
funds
torn•r•st£
Endowftwnt
funds
Curr•ntts71u•
)nal
42.940
Detai
Unl￿￿ 5hwBs
•ss•t
B3 InvestsnentassÈts
Lis*d UnilTn#lx
End{W￿lint
F￿￿lOwh*h
ass￿
Un￿¥￿￿￿4
OArr•ntbilu•
Oetads
s*etlLibrtryLafvJ#ThJ
B4 Assets r8lain8d forthe
¢harity'5 own us
20A70
AmL¥Jrtd
Wtsnd
BS Liabir￿0$
291
<1Y••r
GM8ralCrth*h
3)6S
try arknlo¥l¢w
tthalf trtstru51ee5
Dale of

THE STREEf LIBRARY
NOTES TO THE Accoumrs
YEAR ENDED 31 MARCH 2025
The following w do not forni rArt of the ALxixuts to be suixnitted tothe CTharity Cotrmnission

THE STREET LIBRARY
NOTES TO THE ACCOUNTS
YEAR ENDED 31 MARCH 2025
BASIS OF PREPARATION
In order to minimise the administrnlive cosi ￿ th¢ charity. the TnL8*es have chosen to adopt the
Recei￿ and Payments mdh(Ki of preFwing the annua] acLy)unts. The charity is eligible to athpt
this basis of prepaTrtion uTrJer the size criteria set out by the Charity Commission.
I. INVESTMENTS
Under the receipts payments methcA of reiM)rtin& the accounts exclude revaluation gain5 a￿1
losses. The Movemeni in markd Val￿ for the year is as follows:
Movemettt iti m*rktt v*lu¢
2025
2024
ONing Markd Value
Disposals (at okxning value)
Acquisitiows
Dividends reinvest*J
N¢t gain￿{10$$es) on maluations in the year
Closing Market Value
192385 180,464
L472
(3602T)
15&530 192185
2.479
3.942
Historical cost at theyear end
373ffj55
371,161
Unlistol inT￿s￿ents are shown at market value at th¢ye8r end dat
The unlisted inve51ments are revalued bMI on Val￿10n5 of the C&J Clark Limited sharts by
BDO. Chart￿￿ Accountants. The val￿tiOn in accounts wa5 wepared on 27th Septanber
2024. being the valuation closest to tlr year date.
At the year end the v￿ue of unlisted investments £42.940 {3&000 shares at £1.13 per sharex
(2024: £74.860 (38.C(Kl shares at £1.97 per share)).

THE STREEf LIBRARY
NOTES TO THE ACCOUNTS
YEAR ENDED 31 MARCH 2025
2. ENDOWMEKT & TRusf RESULTS
Under the rcceipLS and ￿yM¢nI iwi& Whe￿ an ETh&)wmeni Fund consists of investments, the
i￿}Me and eX&￿￿liturt in connection with it must be ¢la5sed 4$ unrestri¢ted.
However, for information purpose5, the receipts and payments attounts have been repmdu¢¢d
overleaf, dividin8 the income and expenditure trxtwe¢n the Street Lilw Trust and the Endowinent
Fund
Str** Ltyryy Slv•¢t Voar to 31rt Poiod ts 3181
2.472
2.472
2X*I
lop
PU￿11X•f S(4ffobJir
28J70
27WJ
437
19.7JJ
428
19
A¢￿￿T9￿
04.117
-774
4.4n
44N2
Q.4n
-17.524
-2.POI
44.1
-3.246
103J17
15rn
178172
198
12.
111.517