REGISTERED CHARrrY NUMBER: 213915
Rè
ort of the Tru8tees and
Unaudltod Flnanclal Staloments For The Year End d 31 March 2024
for
morlal Communlt
Id
wa
rts Contro

Rld
ewa
Mgmorial Communit
and S orts Centro
Contents of the Financial Statements
For The Year Ended 31 March 2024
Page
Roport of the Tru8tees
1103
Independènt Examinels Report
Receipts and Payments Ac¢ount
5t08
Statement of Assets and Liabllilie8

Rid
ewa
MemorSal Communlt
and S orts C ntr
ort of the Trustee8
For The Year Ended 31 March 2024
The trustees present their report with the financial stalementg of the charilyfor the year ended 31 March 2024.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstored Charlty number
213915
Address
Main Road
Rldgew8y
Sheffleld
South Yorkshire
S12 3XR
Trust90• and Cornmltteo of Management
Mrs L Powdrill - Treasurer
Mr P R Burke- Chair- resigned De￿mber 2024
Mrs J Mason - Secretary- resigned December 2024
Mrs C Renwlck- resigned February 2024
Mrs R Roberts- resigned DeGember 2024
Mrs P Cartledge
Cllr A Oye
Mr R Lawford
Mr M Mason
Mr P D Ma8on
Mrs E Horsfleld
Cllr C Gare- appolnted Febru8ry 2024
Mrs J Oxley- appointed Jun8 2024
Accountant8
Klngswood Allotts Limiled
Sidings Court
Lakeside
Doncaster
DN4 5NU
8ankor8
Natlonal We8lmlnsler Bank PIC
851 Gleadless Road
Sheffield
S122HA
STRUCTURE. GOVERNANCE AND MANAGEMENT
Governlng docum•nt
charlty's governlng in8trumenl18 a Scheme dated 10 June 1992.
Pag8 1

Rid
owa
Momorlal Communl
and S ort8 Centre
Re ort ofth• Trustees
For The Year Ended 31 March 2024
Appolntment of trustws
The Commillee of Managemènt are the trustees of the charity. The Commlttee, when complete, shall con81St
of seventeen members, being seven Elected Members and ten Representative Members.
The Elected Members are appointed al the annual general meeting by Ihe inhabitants In the ara8 of benefit
aged ewJhteen and over. They shall retire from office al the end of the third annual genefal meeting next after
the dale on which they came into office. The Committee may appoint casual vacancies.
The Representative Members are appointed by the len organisalions named in the Scheme, and shall retlre
from office al the end of the second annual general meeting next after the dale on which they came into office.
The Committee can allow the appointment of Represonlalive Members by any organisalion not so named.
The CommSllee may a150 ¢0-opI ￿ Co-opted Members who shall also retire from offu at the end of the
second annual general meeting next after the dale on which they came into offlce.
Any member may be re-elected or re-appointed.
OBJECTIVES AND ACTIVITIES
The object8 of the charlty, as set out in ils governing document. are the provision and maintenance of a
¢ommunily centre and playing field for the use of the inhabitants of the area of benefit wilhoul distinction of
polillcal, religious or other opinions, including use for meetings, lectures and classes. and for other forms of
re¢raation and leisure-lime occup81ion, wilh the object of improving the Conditions of life for the said
inhabilants.
The trustees have referred lo the guldance in the Charity Commission's general guidance on public benefit
when reviewlng aims and objectives and in planning future aclivi1188.
ACHIEVEMENT AND PERFORMANCE
Rkigeway Sports & Social Club 18 managed by a dedicated board of unpaid volunteer tnjstees from all
walks of life. The board of management endeavours lo Manage the hall and surrounding grounds in the
best Inlere8ts of the Club and ils gub-seclions as well as the village and the wider community.
The financial year 2023124 was a fairly neutral year for The Club. Re¢eipl$ for hall hires and other factors
were F)osilive but were offset by signrficanl expenditure on electrical works. These works were needed lo
bring the premises electrics up lo curr8nl standards.
The Premises hav8 been well used during th8 year. All sports sections are in good health and have been
able lo enjoy a full year of fixtures and aclivilies. The football and cricket teams have undergone changes,
but their use of the pitches ¢ontinues. Bookings by regular hirers are stable.
Outside events al The Club this year include two Farmers, Markets and a Fun Run. One-off hall hlre by third parties
for soGial functions, birth(iays elc has been buoyant, and has contributed significantly lo i[￿me.
Overall, the outlook for The Club is positive for the coming year. Cash reserves are slightly lower this
year. Further improvements lo the piemi5es are planned for the next financial year, and gran15 for this work are
being investigaled.
Page 2

Rid
ewa Memorial Communit
and S ort8 Centre
Rè ort of tho Truste08
For The Year End8d 31 March 2024
FINANGIAL REVIEW
R•s•rvo8 poIIcy
The board of trustees. reserv88 policy Is th8t Ihare shall whenever possible be an amount equivalent to one yearfs
normal income In reserve.
ON BEHALF OF THE BOARD..
Peter Mas¢)n - Trustee
Date
Page 3

Inde
Rid
ndent Examlner's Re
ort to the Trustegs of
ewa
Memorial Communit
and S ort8 Centre
I report to the charty trustees on my examination of the accounts of the charity for the year ended 31 March 2024 bvhlch
are set out on pages five lo seven.
Rèspon#ibilitiès and bagls of report
As the charity's Iruslees you are responsible for the preparation of tha accounts in 8ccord8nce with the requirements of
the Charities Act 2011 {'Ihe Act'l.
I r8port in respect of my ex8mlnalbn of the charity's accounts carrled out under sectlon 145 of the Act and In carryng
out my examination I have followed 811 the appllcable Directlons glven by the Charlty Commission under section
14515)Ibl of the Act.
Indopgnd•nt ¢xamlnorf$ statement
I have completed my examination. I confirm that no material mallers have come lo my attention in connection wllh the
examination giving me cause lo believe that in any material respect..
accounting records wero not kept in respect of the charity as required by section 130 of the Act.. or
the accounts do nol accord wlh those reGords
I have no concerns and have come across no other matters in connection with the examination lo whlch attenllon should
be drawn in this report in order lo enable a proper understanding of the aGcounts lo be reached.
Joshua Bearn
Kingswood Allo115 Limiled
Charlereé Accounlanls
Sidings Court
Lakeside
Doncaster
DN4 SNU
Date .
s/&1/202f ...........:......
Page 4

Rld
ewa
Memorial Cornmun
and S rts C•ntr•
Recei
tsandPa
ments Account - Unre8trlcted Fund8 For tha Y￿r Ended 31 March 2024
2024
2023
RECEIPTS
Unro8trlcted Funds
Bank and building Socioty Intornst
National Westmlnsler 8ank PIC
Incom• from land and bulldings
Pavilion and facilities
Bar
aylng areas..
Football
Cricket
Bowls
Tennis
27.090
25,265
30,019
30,107
4,480
750
785
2,500
2,800
300
1,068
2,500
80,870
86,592
Olh•r Incom•
Grants and county fund8
Fundraising
Donations
600
3.202
8,090
3,842
6.090
Total UnroStrl¢t•d R•c•lpts
64,712
72,882
R••trlct•d fund•
Football grants
Total fund r•c•lpt8
64,712
72,682
Page 5

Rid
ewa
Memorial Communi
and S orts C•ntr•
and Pa
nts Account- Unrgstrlctsd Funds For thg Yoar Ended 31 March 2024
2024
2023
PAYMENTS
UnrfjstrlGted Funds
Land and bulldlngs
Bar expenditure
R8tes
Telephone and internel
Electric
G88
Insur8nc8
Water
Enlertalnlng
Cleaning. wages and materlals
Reluse
Ground and exlemal maintenance, repairs,
raplacements and Improvom8nl$
13,496
480
322
8,073
3.454
1,561
2.598
400
17,036
1,696
15.489
934
288
1.476
3,406
1.516
999
400
20.820
1,416
15.118
25,883
84.235
72,627
oth•r
Fundraising expendSlure
Professional fe88
Licences
Miscellaneous
Relunds
368
720
359
169
275
359
616
50
1,668
1,980
Capltal oxp8ndltur• on a••ots r•taln
lor the charltys own u80
Total unrvtrlct•d paym•nt•
65,901
74,587
R••trlct•d lund•
Total fund payments
65,901
74,587
Net recolptsl(payments) for the year
{1.1891
11.9051
Bank and bar cash balanc•8 at 31 March 2023
32.722
34,627
Bank and bar cash bal4nc•# at 31 March 2024
31,533
32,722
Some recelpl8 are nel of cash expendllure, vknere 8pplicable.
Receipts ane payments do not indude cash held by the various fundr8ising committee5 unlil il 1$ banked.
Page 6

Rkl
awa
Mtmorlal Communlt
ands
ont
statamènt of ABsets and Llabllllles
At31 March 2024
Unro8trlct•d
Fundg
2024
2023
BANK BALANCES
National Weslmlnster Bank PIC- cuffenl aG￿Unt
Natlonal We8trninBter Bank PIC- fundrai8ing current account
23.154
8,048
31,202
21.056
15,173
36,229
OTHER MONEfARY ASSETS
Bai cash
331
331
725
725
ASSETS RETAINED FOR THE CHARITYS OWN USE
Original cost ol conslrucllon ol communSty hall
Resurfaclng and dralna99
Land
Tollel block
Wlndows
New èxtenslon
Kilchon
Fenclngnand cloarfng
Marquee
Toilelslhall
Buildlng Work8
New boiler
New bar
Ransome¥ Parkway Mower
Defibrflalor
R8frlg8r8lor
W88hlng Maehin
40,364
40,028
22,200
2,875
3,553
125,104
5,702
7.464
500
28.372
19,374
2,460
22.062
9,000
40.304
40,028
22.200
2,875
3,553
125,104
5,702
500
28.372
19,374
2,460
22,062
9,000
1,272
1.293
332,463
1,272
1.293
332.463
LIABILITIES
Accruallcradll¢Jf8
Deferred irKomè
R•strlct•d
Fund•
2024
2023
ASSETS RETANED FOR THE CHARITYS OWN USE
New gxionslon- grant funded by Blffa
46,800
46,800
The fin8ncOal 8t8lements were approved by the ITuslee8 on ............2310112025... . .
Ils behalf by..
and wgro $￿Jn?￿ on
Peter Mason- Truslge
2s///?s-
Paoa 7