Trustee$. Annual Report: Garway Youth Group
Forthe parlod: 14 May 2024 to 30° June 2025
1. Objectlv•8 and Aetlvftles
Charltable Objects." To promote the Christian falth and advance the life of young people (aged 10+1 in
Herefordshire and Monmouthshire through recreational and leisure activities.
Maln Actlvltle8: Org8nized fortnightly Youth Club to improve conditions of life and develop skills.
Publ1¢ Boneflt: The trustees have had regard to the Charity Commission's guidance on public beneflt.
2. Achievemonts and Pertorm8n¢e
Successtul Launch: Formally registered as 8 CIO on 14 May 2024.
Community Impact:A8mallgroup ofyoungpeopie attend regularly
3. Financial Revlew
Total Income: 231,837 Iprimarily from transferringfunds from the old charity LGRCT charlty No. 2782241.
Tot81 Expendlture: £22518pent on running the ¢lubl
Net Surplus: £31,612.
Reserves Pollcy: The charity holds £31.612 in reserves. The trustees intend to use these fund$ for the general
upkeep ot th8 club facilities).
4. Structur4 Governan¢e, and Management
Governlng Document: CIO Foundation Constitution.
Tru8teg$:
Fiona Bridget Mynors
Mark Shipton
Alex8ndr8 Mynors Herbert
Ruth M2$keLI
Mary Faith Rowland8
Adrian Edward Saint
5. Do¢iaration
The trustees declare that they have approved the report above.
Slgned on behalf of the charity's tni8tees:
Name:
Posltion: Trustee
Date: Qi h
oou

GARWAY YOUTH GROUP
FIRST ACCOUNTS: YEAR ENDED 30th JUNE 2025
INCOME:
Transfers from LGRCT Nat West account
31,600.00
Tuck Money Banked
Donation Received (Mark Shiptonl
Interest Credited on Business Instant Access alc.
25.00
150.00
62.62
31,837.62
EXPENDITURE:
Monthly Donations to'compassion"
Monthly Elertricity Direct Debits
Water Charges
115.00
80.00
20.00
Sundry Expenses Inel)
10.00
{225.001
NET SURPLUS FOR YEAR
31,612.62
Represented by:
Co-o
erative Bank Balances At Year End:.
Charity and Community Account
Business Instant Access Account
1.550.00
30,062.62
31,612.62
I have examined the bank accounts and other documents provided to me by
Garway Youth Group for the year ended 30th June, 2025 and confirm thal
the abo
ccount is in accordance therewith.
Cli
eath F

GARWAY YOUTH GROUP
FIRST ACCOUNTS: YEAR ENDED 30th JUNE 2025
INCOME:
Transfers from LGRCT Nat West account
31,600.00
Tuck Money Banked
Donation Received (Mark Shiptonl
Interest Credited on Business Instant Access alc.
25.00
150.00
62.62
31,837.62
EXPENDITURE:
Monthly Donations to'compassion"
Monthly Elertricity Direct Debits
Water Charges
115.00
80.00
20.00
Sundry Expenses Inel)
10.00
{225.001
NET SURPLUS FOR YEAR
31,612.62
Represented by:
Co-o
erative Bank Balances At Year End:.
Charity and Community Account
Business Instant Access Account
1.550.00
30,062.62
31,612.62
I have examined the bank accounts and other documents provided to me by
Garway Youth Group for the year ended 30th June, 2025 and confirm thal
the abo
ccount is in accordance therewith.
Cli
eath F