Lady Antrobus Trust
Report of the Trustees and Unaudlted Flnanclal Ststements
for the year ended 31 December 2024
Charfty Number: 207511

Lady AntrobusTrust
Ind•x to th• Unaudltsd Flnanclal Statements
for th• y•ar •nd•d ai D•c•mb•r 2024
Logal and Adrnlnlstratfvo D•ta115
Report ofihe TrustÈ*s
Independent Exèmintr's Aeport
ststÈrnent of Flnanclal A￿¥￿tI•$
Statement ot Flnanclol Posltlon
Not•s to the Flnanclal Statements

lady Antrobu$ Trusl
L•8al and Admlnlslratl￿ Dètalls
lorthe ye•r ended 310e¢ember 2024
Status
The or8anSsatSon Is a charity admlnlstered under a scheme re8lStered wlth the
Charlty Commlsslon for England and Wales.
Charfty numbèr
207511
Prlndpal Addrws
Antrobu5 Htsusè
39 Salssbury Road
Amesbury
WlltshSre
SP47HH
Mrv P Smlth
Mrs M H Aymes
Mrs B L Fisher
Mr R C Crotsk
Mrs A-M Tomblin
MrPCMonk
Mr P Tjaycock
Ichairmanl
(Vice ChaSmianl
B8nkers
Uoyds Bank PLC
PO Box ICK)O
Andover
BXI ILT
Charitie5 Offlclal Investment Fund ICOIFI
CCLA Investment Management Ltd
l Angel Lane
London
EC4R 3A8
Independènt ex*mlner
MJK Accountants Ltd
Accountancy and Taxation Servlces
9 Barnack Business Centre
Blakey Road
Salisbury
Wiltshire
SPI 2LP

Lady Ab)frobus Trust
A•port olth•Trust••s
farthe year ended ai Decernbw 2024
Thè Trustees have pleasure In presenting thèlr report and the flnandal statements for the char￿¥ for the year ended
31 December 2024. The Trustees have adopted the provisions of the Statement of Recommended Practice ISORPI
Accountin8 and Report1￿ by Chzrf£5es' IFRS 1021 In preparlng the annual report and flnankal ststements of the
charity.
Le8al and administratwe intormation set out on pa8e I forms part of this report.
sTrucfuRE, GOVERNANCEAND MANAGEMENT
Go¥ÈrnSngdotument
The charity Is controlled by its governing document, probate of the wlll of Lady Antrobus dated 14th Aprll 1923 and
Scheme of the 31st January 1974
TheTrustees
The Trustees under charty law, who served durlng the yearand up trj the date of thls repo¢ were as follows..
Mrv P Smith- deceased January 2025
Mrs M H Ayme5
Ichalrmanl
Mrs B L Fisher
Mr R C Cn)ok
MrsA-M Tomblln
MrPCMonk
Mr P TJaycod(
1￿ce Chalmianl
Orsan15atlonal stNcturè
The Lady Antrobus Trust Is an unlncorporated charlty.
Trustees are persons who through residence, occupatlon, Èmployment, publlc servlce or otheNlse have speclal
knowledge of Amesbury. All tiustees are co-optative.
RISK MANAGEMEpir
The trustees have a duty to lden￿fy and revlew the rfsk to whsch the charlty Is exposed and to ensure appmprlatè
controls are place to provtde reasonable assurance agzln5tfraud and error.
OBJÈcllvESAND AcnvmES
The objert of the charity is to preserve Antrobus House, its contents and 8rounds for the benefit of the residents of
Arnesbury and any charitable purpose for the inhabitants of Amesbury for which prowsion 15 not made out of thè
rates. taxes and other public funds.
The Trustees have consldered the Charity Commlss5on's guidance on wbllc benefit, Irscludlna th• guldance 'publlc
beneftt runnln8 a eharfty IP821'.
Contlnued on pay J

Lady Antrobus Trust
Report of the Trustees
lor year endèd 31 December2024
Conflnuedfrom pay 2
ACHIEVEMENTS AND PERFORMANCE
The work of the Trust is to oversee the upkeep and use of Antrobus House, which was commlssloned by Ladv
Fk¢rence Antrobus as a memodal to her son, Lt Edmund Antrobus, who was tragical￿ killed in the first months of
Flrstworld War.
Sadly our longest serving Trustee, Vernon Smith, passed away in January 2025. Vernon will ke remembered for his
dedicatSon and hard work Dver the past40 years, especially durlng the tlme hè was Chaiiman. A replacemènt is
bÈlng sought.
Our brillsant Managèr, Catherine ￿j￿nIn& ènd her team of part-time caretakers. ensure that all clients and vlsilo
have the best of experiences when they come to Antrobus House. They always keep the building in tip-top
condltlon. and are on hand at every stage, from thè Inltlal vlewlng through to thè functlon itself, to ensuTÈ that
everythln8 runs smooth￿. We are very grateful to Catherine and her tearn for all iheir hard work and enthu5ia5m.
Lady Fbrence wanted Antrobus House to provlde a socSal centre for the people of Amesbury, and the suTroundln8
are4 Sothey would have a speclal place whlch to hold meetlngs, lectures, partles and communlty gatherlng
On average. 14 local groups meet at thè House on 8 re8ular basis. Most of thesè meetlngs arè held weekly. though
some arè monthly. These youps cover all age ranges, interests and activit1è5 from exercise and dance classes to
sodal groups and 5pecla1 Interest organlsatlons.
Last year, the summer months were very busy as we hosted 10 wtddlngs. Antrobus House Is Iltensed for cl￿1
marriages. and rnost of the couples were delighted that thelr weddin8 ceremony could be held upstairs in the Lady
Florence room followed by a reception downstairs in the Edmund Hall. Catherine also organlsed 2 Wedding Show5.
In the Spring and Autumn, to help prospectlve couples plan forthelr spedal dav.
In all 19 local famllies enjoyed celèbratlngtheir special events at the House. We hosted famlfy partles In the fom
baby showers. ¢hristeninKS, ordinary birthdays+ speclal blrthdays and wedding anniversaries. Sadly. we also hosted
several funeral wakes and 2 famllSes asked forthe actual funeral servlce, a5 well as the wake, to held in the Edmund
Hall, and we were ple8$ed to accommodate thls.
There have been numerous community events- an Afternoon Téa concert and a Chrlstmas tontert, both for older
rèsidents of Amesbury, D-Day celebrations or8anised by the TfU5tees for all the community and a summer strÈet
party for local resldents.
Once agaln. in November the Remembrante Day parade formed up at Antrobus Houv, befom marchin8 through
Amesbury to the war memorlal In the grounds of St Mary & St Melor church. Around 450 Sndlvlduals took part In
the parade this year 5ncludin8 rèpresentatives from all the local schools, marty different youth organi5ations, serving
members ofthe Armed Forces and veterans.
16 dlfferent tompanies and organlsations have enloyed our facilltles for company trydlnlng and development days.
They have all commented on the exceptional servlce they rtceive and the ease of parking on slte. The Bos£ombe
Down Link orsanlsatlon and Sallsbury Anglln8Club also held thelr AGM'S at the House.
Being an old building, maintenance is a priority. The ffire escape, 8?ra8e wlndows and doors were re-palnted and the
plasterwork under the main staircase was repaired and re-painted. The floor in the Edmund Hall was rtrt￿ated.
New fire èxtinguishers were purchasod, and a tra5nlng session took place. Newfirst ￿id kit5 were purchased. Speclal
safety railings on th* flat roof were Installod, and a new brate was fltted to the acacla tree on the front lawn. The
hedgerow runnlng alontside Chrlst the King school grounds was cut back and cleared. Nèw hazel panellln8 Was
erected at the top of the drlve and a sectlon of chaln IlnkfencSng on the boundary was re-lnstated.
2025 will be a special year for Antrobus House. as it wtll be l(KJ ye8rs since the House was opened on 17 Jartu•ry
1925. We are planninR varlous event5 throuahout the year.
Contlnutd on page 4

Lady Antrobus Tntst
Report of the Tn￿10•5
for the year ended 310e¢embÈr 2024
Contirtu￿ from page 3
Planning Pèrmission was sought, and granted, for a 10-foot statue rèsembling a WWI soldier to be posilion￿ on
the front lawns. This should be In Pla￿ by Septernber 2025.
We are also applylng for Plannlng PeMIs￿On to estab15sh a ttèw bararea wlthln the dd caretakerfs kltchen.
Two of our four part-time caretskers re￿red. We took on one extra person.
The death of her stsn, Lt Edmund Antrobus. was devastating for La￿ Aoren¢¢ but it is remarkable that She
remembered and consldered the people of Amesbury when she wmmissionÈd a M￿Orial to be bullt In hls
memory. Thé Trustees and staff at Antrobus House are proud and very 8ratÈful for her gfft. and work tlrèlèssly to
Improvè and contlnue her le8aLy- to provlde a soclal centre for thè people of AmÈsbury* and the surroundln8 area.
50 they would have a speaal pla￿ in which to hold meet4n8s, lectures. wties and communitygathèrin8*.
Margaret Aymes
Chairman of the Lady Antrobus frust
Contlnued on pa8a 5

A•port ofth• Trus1•
f¢rthe ￿•r•Thd￿ ai December 2024
•ntlnu•dfrom 4
RNANQAL REVIEW
ReserM pollcy
The tharity ha5 no restrlcted fund
srATEMENT OF TRIISTEES AESPOXSIOILmes
The TnJstee5 are respcn5ible for Pre￿ring the Report of the Trustees and the flnwKkil statements In aewrdance
with appll¢•ble law and Untted Kln8dom AccountlnK Standèr(Is (United Kln8dom GenEr￿ty Accepted Accountln8
Practicel.
Company law requlr*s the Trustees to prepare flnandal ststements for •¥h financtal yearwhl¢h 8fv• a trL* and f•Jr
vl¢w of the state of affalr5 of the charlty and of the Incomin8 resources and appllcation of rtsourc•s, In¢ludin8 the
Income and txptndlture. of the charity for that period. In preparlng those flnanci•l ststements. th• Trustees a
requlred to
select sultable accountlng poll¢les afid then appty them conslstentty:
t)bserve the methods and princlples In the Charlty SOAP;
make jud8em*nts and estlmates that are reasonabl* and prudenL'
prepare the tlnanclal statsments on thè basls unless h bs IAwroprf•t• to w•wJmo that t
cbaTity will contFnue.
kv IAtr 4
The Trustees are reSpor￿Ible for keeping prvp*r accountirq records whlth disd05e w4ith reasonabk *￿ra£Y at ary
tlmft the flnancral posltion of the charlty ind to enable them to ensw? that the finèndal statementscomply wlth thè
CharSties A¢t 2011. They are a150 responslbl? for safeguardlng the assets of the rfrkirlty ènd herv tsr tskln8
fe450nable Steps for the pravention antl detecJon of fraud and othèrJrrÈsularities.
Approved by the Tr¢Jste¢s on ..
. and slgTred on their belkif by
Mr5 M H Aymes
Chalrman

Indeptnd*nt Examiner's Report
To th• members ol
Lady AntrObusTr￿rt
I report on the accounts of the charty for the year ended 31 December 2024 which 3rÈ set out on pages 7 to
12.
Respertl¥e responslblllt5es of Ihe Trustees and •xamlner
A5 explained more fulW in the Statement of Tru5tee5 Responsibilities, the Trustees a￿ rèsponsible for the
preparation of these accounts and for belng satisfied that they 8ive a true and fair view. The Trustees
conslder that an audit Is not requlred for thls year under sectlon 144121 of the Charltie5 Act 2011 Ithe 2011
A£tl and that an Independent examlnatlon is needed.
Having satisffled myself that the charity is not subject to audit under ¢ompany law and is ellgible for
independent examination, it is my responsibility to:
examine the accounts under sertlon 145 ofthe 2011 Act;
follow thÈ procedures lald down In the general dlrectlons glven bythe Chartty Commlsslon
under sertlon 14515llbl of the 2011 Art,. and
State whether particular rn3tters have come to my attentlon.
Basls of Ind•p•nd•nt examlner's r•port
My examlnatlon was carrled out In accordance wlth the general dlrectlong glven by the Charlty Ctsmrnisslon.
An examination includes a revlew of the accountlng records kept by the charlty and a comparlson Df the
accounts presented with those records. It also includes consideration of any unusual items or disclosures in
the accounts, and seektng explanations from you as trustees coneeming any such matters. The procedures
undertaken do not provlde all the evldence that would bè required In an audit and consequently no OPiAlon
IS 8fven as to whether the accounts present a "true and fair vievr and the report Is Ilmlted to those matters
set Dut In the ststement below.
Independent Èxamlner's Slatement
In connection wtth my examlnatlon, no matter has come to my attention:
I whlch gives mé reasonable cause to believe that. In any materlal respect. the requlrements.,
to keep accountlng records in accordance wlth SÈttlon 130 o*the 2011 Art; and
to preparè accounts whlch accord wlth the accountlng records and comply with the
actountin8 requlrernents of the 2011 Act
have not been met; or
2 to which. Sn my opinion, attentlon should be drawn In order to enable a Proper understanding of the
accounts to bè rèached.
MJK Accountants Ltd
Accountancy & Taxation SeNices
Barnack 8uslness ￿￿tre
Blakey Road
Salisbury
SPI 2LP
Dated.. IS 145

LadyAntnthTNrt
ststefflent of FlnInc￿l Actfvttl85
Ilndudlnisummary Income and expendlture
for the
arended 31 Deteml* 2024
2024
2023
Note
Incl￿￿8 res¢)ur¢es:
Artl¥lttesfQrgenerntl￿ funds
Room hlre
81,592
I￿￿tr￿n* incom•
Dividend incomè
Interest Income
42,061
2,825
41,480
2,146
Grarts and donatlDns
Local Erants for Specific events
Donatlons
267
1,500
Total Intomity r•sourc•s
139,711
127,708
Expenditure oh:
Costs 0f8eneratl￿IUnd$.
Dlrect costs
129,319
132,469
G￿rnIn￿£0$ts
io
1,275
1,115
Totsl empendltyre
0,594
133,S84
Not Incom•l(•Mpendtlurel
GaIrfIl￿￿$} on Inv8rtm•nts - realtsed and unreallsed
12
26,699
99,712
Not IbKom•lltwndltur•l/n•t mo¥tment In lunds
Reconclllation of funds:
Total funds at l January 2024
1,966,654
1,872,818
TDtsI fvnds at 31 D•¢ernbor 21)24
2.￿2,470
1.966 654
All of the above results are dedved from continuing actlvltles. There were no other recognised 8alns or losses
other than those statéd above.

hrthb
r•nd•dJl Q•MmbAr2014 .
Ax¢d •swts
L•Dd aNI Prop¢rty, Equipmwht
Invostnwty
12
&Wl1227
l.W,219
D•bto
C￿h at ￿nk
2,lfjd
fA).937
Accruals& DEferrYd Inc
Other£redlta¢s
Taxatlonathd Sothl secur
14
25AIiI
517
3x8 •VA"
14
4.535
36.35>
29A5
Bounee BKkioin
Unrtstrlcted funds..
Rtyerw¢ftsnd
Revalua￿￿￿
964.141
IAJ8,J29
1152,1
11))1470 I966.SS4
The nnanclal st*ements were opproy•J on ._. ..~... .........
TrnJteE5 *ned on Its b•h8LIty.'
.. 2a25 •nd authottsd lty by ihe
PAI PC Mont
Vk*¢hlrm8n

Lady AntrolwsTN#
Notss to the Hn•n¢lal St•temethts
fort
r•nd•d 31 Detember Z024
l. Atctyjrttww polltl•s
al The flnanclal ststement5 have been prepared ut)der the hlstorkal cost conventlon, except for Investments
whkh are Included at rnarket Yalue ènd the revaluatlon of ￿rtaIn flxed assets and In accordance with the
Charities SORP IFRS 1021 'kcountin£ and Reporting by Charities.. Statement of Recommended Pr8Ctlce
appltcable to charltles preparln8 thelr accounts In attordance wlth the Flnanclal ReportTn8 Stsndard
appI￿able in the UK and Republ¢c of Ireland IFRS 1021 leffedve l January 20191., Financlal Reportin8
Standard 102 the Flnancial Reportlng Standard appllcable In the UK and Republlc ol Ireland IFRS 1021, and
the Chartties A¢¢ 2011.
Lady Antrobus Trust meets the definltlon of a pub5ic ￿nefit entity under FRS 102. Assets ènd 11abil￿1¢s a
Initially recogn15ed at historical tost or transartlon value unless otherwlse ststed in the relevant actountlnK
pollcynotelsl.
bl All In¢omlni resources are Included In thè Statemont of tlnanclal aCt￿ltIeSWhen the Char￿15 eThtltled to the
Income and the amount can bè ouantthed wlth reasonable accurary.
cl Expendtture Is accounted for on an accruals bas15 and has been classlfied under headlngs thèt aggregate all
costs related to the category. Where tosts cannot be dlrectly attributed to partl¢ular hÈ3dings thÈy have
been allocatad to actNites on a basis conslstent wlth th• us• of r•Sour￿.
dl Expenditure on fixed assets is capitsli5ed exopt for expenditu￿ incurred on the repla￿rnent of assets of
low value wth a short Ilfe. Repalr. renovatlcn and replacement expendlture Is written off as expendlture In
the staternent of finano¥l adivitles. The tost of flxed assets is their purchase cost together with anv
Incklental Costs of atquls(tknn. wlth the ex￿ptIOn of flxed 355et In¥estmènts whlch are stated at mafkèt
value.
el Govemance costs Include all expenditure whlch 15 not directtyrelated tothe charitsble actNty. Thls Include5
accountants. and solicitors, fees.
Il•toutyolnK th•ywr
Thls Is stated afterehargSng'.
2024
2023
Ihdèptndtnt txamlnér'sfees
1,275
3. Sl•*F•nd Trustee Costs
No Trustees, nor persons tonnected wlth them, reCe￿d anyemolume1￿OllrInBth0 year.
4. Tax3tlon
The thar￿V Is exempt from tax a5 all Its IrKome ts Char￿ble and 1$ applied for charftsble purposes.
In¢omln8 rnsourtssfmm Drthtsdfunds
2024
2023
AtlMtlesfwyne¢atlng funth
Room hlfe
94.558
81,S92

Ilote5totheAnondHI Ststofflents
f•rth•
•r•nd•d 11 D4¢•Trthr2024
2023
DlvWetk15
B•nkde￿sIl interest
2￿25
l146
Grthrktsand doma
Wlltshlrp Coundl grant forfhe Hauntlny statue oxhlbltlL
Donationsfor thÈ statuÈ @xhlblth)
Oonation5 In memory of N E Morrtstsn. formtrrtrustÈÈ
Donationsforthe Unkno¥m Tommy12023- poppydliplavl
167
267
2.4
Supwrt
Costs
W8BÈs &Salar5es
Management costs
7&715
78,ns
7&227
$0,604
56.242
1,275
1,275
l115
130,594
130,594
133.584
DJr•tt tottstsf &￿￿1#￿•4¢1￿1l
2024
2023
E4*nt costs
The H•un￿￿¥S $tstue exhlbklonc05ts
Stafl costs- WaEes & salarle5
W¥ter charzes ènd business r•tes
Insurance
Centyal heatinÉ oil
Electrlcbty
House malntenancelrepalrs
Grounds maintenance
IAmini5tratlon &oinc@ costs
Profe5slonal fees
Bookkeeplng
Bank loan Intèrgst
Oeprecl&tlDn of equlpmont
7.714
4.623
1,454
76,127
gs4
5.907
3.063
78.n5
997
6.396
2.146
23.113
1,143
3,955
3,224
1,874
1.328
231
858
339
912
129,319
131469
2024
2Q
IndtptndeThtexamlnePs fees
L275
1115
1,175
Lll5

LadyAnirnbu8TNrt
Notestothe Fknan¢hl Stètsmerts
foriheyurended 31 D•t•mbor 2024
11. Mxed •ss•ts
L•nd jnd
8ulldln8s
EwApment
Total
At Oljanuary 2024
Addltlons
At 31 December 2024
SS9,764
1,474
561,238
3,670
563,434
2,167
S6S,601
4,363
Problslon tordeweaatlon and Impalmwrt
At 01 January 2024
ChaT£eforthe perlod
At 31 Detember 2024
932
858
1,790
952
1,790
tl•t bo¢kwah
At 31 December 2024
561,238
2.573
563.811
At 31 December 2023
S59,764
738
562,502
Antrobths How, de$lRned In the Queen Anne style, wa5 wnstnjcted in 1924.
Ctsst Is ststed at a Th)mlnal value of £1 In respect of the freehold property plus ¢opitsl improvements urlied
out slnce 2018. For In5uronc• purkY)St$ It 1$ valued at £5.431.20D 12023.. £4,635,340).. cansequently no
depreciatioTh is p￿￿ded.
Equlpment Is deprec5ated at 25% reducln8 balance.
12. Fkn•d •ss•t IA¥•Stm•nts
Irb¥estment
fund
Prnpèrty
fund
Ttttal
Valy#tlo
At 01 January 2024
Revaluatlons
Dlsposals
At 31 Decernber 2024
1,246226
28,153
135A91
IIA541
1381,717
26￿99
1,274.379
134.037
1,408.416
tordAprwl•tlw aThd IM￿1rMenl
A* 31 December 2024
N•t book value
At 31 DÈtÈm￿r2O24
1,274,379
134.037
IA08,416
At 31 December 2023
1.246.226
135,491
1,381,717
Investments are held by CCLA Irwestment Management Ltd who rnaTrage funds on behalf of COIF. The h15torfc
(ost of Investment was..
COIF In￿Stm￿nt fund.. É213,25512023.. £213.2551
COIF Propertyfund..
$6,83212023.. £56,832)
li

LatyAntrobM Tru
Notes lothe Nn•nd•l Staternents
torth•y•ar ended 31 DeceM￿r 2024
13. D•bto
2024
2023
Othef debtors and prepayrnents
1166
2,166
2.340
14 Credltors: •ffi0￿￿ dut wfthln **)e ye¥
2024
2023
Othercredltors
T8xation and Social Security
Bounce Back Loan
Accruals & Deferred Intome
527
3,309
3,600
26.20S
4,53S
2S.410
36,353
33,642
15. Credltors: amounts due after One￿•r
2024
2023
Bounce Ba¢k Loan
3,6￿]
3,6CiI
7.2(Ml
ThSs loan is repayable over the remaining years and Interest Is charged at a rate of 2.S% pèr annurn.
16. Mv4ement in fund5
Net
movement In
funds
At 01.01.24
At 31.12.24
Unre5trlcted funds
1,966,654
35.816
2,002,470
Sjjrnmarised 35 follow5..
Revenue
fund
Revaluatlon
reserve
Totsl funds
At 01 January 2024
Net itttome.. Incoming £139.711 ￿5S Expended £130,594
Movement on Inve5trnent valuatlon
Prloryear adjustment- gain on Investment d15posal reallocated
At 31 December 2024
814.379
9.117
L152,275
1.966,654
9.117
26.699
26,699
140.6451
1.138.329
40,645
864,141
2,002,470
12