REGISTERED CHARfpi NUMBER.. 22S449
R¢p¢xt of th• Trystws and
Unau¢lt•d Fln*cl•l StateThnts
for th• Yoar Endod 3181 Mar¢h 2025
Gar8Ling Tty*n TTu•t
TO¥￿Ts + G(Mn811 Ltd
Chartered Certified Acco￿tants
RNgr V
96 HvJh Street
Ggr5tsThJ
Proston
Lanca5hire
PR3 1WZ

Garstang Town Trust
Contents of the Flnanclal Statements
for the Year Ended 31st March 2025
Report of th• Tru•ts••
1 to 2
Ind•p•nd•nt Ex•mlnerf• Report
Stat•m•nt ol Fln•ncl•l Actlvltl
Balanc• Sh••t
Not•• to th• Flnanclal Stat•m•nt•
6 to 10
D•tall•d St•tsm•nt of Flnandal Acllvltl

Garstang Town Trust
Report of the Trustees
for the Year Ended 31st March 2025
The trustees present their rewi vhth the finanL¥al ststements of the d￿lIty for the ypar ended 31st March 2025. The
trustees have adopted the promsions of AccoLtnting and ReportiTrJ by CharfU88.' Statement of Recommended Practic6
applicable to Charities preparfng thwr accounts in accordance the FinarKial Reporting Standard applicable in the
UK Republic of Ireland IFRS 1￿) {effectr48 1 January 2019).
OBJECTIVES AND ACTivmES
Oblrttlves and alms
Establishing and maintaining vartous bulk1irnJs for the use of the inhabitarrts of Garst8ng and for gny other charitable
purpose for the general benefit of tha inhabltanls of Garsl8ng Ihat the trustges thlnk fft.
ACHIEVEMENTS AND PERFORMANCE
Charltabl• a¢tivities
The Trust has continued lo Support the Chrislma8 L￿hts wth fund8 of £5￿ provid8d.
Fundrnl•lng actlvltl•*
Tho Art8 Centre, Th6 GarstaivJ Club and both the North 8r¥J South shops and m8rk8ts are all fvlly open.
FINANCIAL REVIEW
In the opinion of th9 Trustees, the charlty hos performed to a salisf8Ctory 18vel. There was a deficAt m8de of £3,360
compared lo a daflcm of £4,135 In 2024. The was crgaled in large part du8 to necessary extraordinary costs
relatlng to roof rgpair8 8nd fixing damp i88Ug8 81 Art8 Cgntrg. totsllirwJ É10.878.
STRUCTURE. GOVERNANCE AND MANAGEMEprr
GovernSng dtxum•nt
The charity is controlled by Ils governing dc¢umw)l. a d88d of trust and con8tibJtg8 an unlrworatod ¢hadty.
GaT3tarwJ TO￿￿ Trust aT6 respOn￿bIg NnnirvJ the market upk08p of 8evernl 118tthJ bulldlngs In Garstsro aftor
vdhich surplus money m8y be given In grants lo local groups lo help them their projects. A free charity stall 18
provided (April to October) outslde the Marf(et Hou89 the uso of I￿1 ¢yganlzationslgroups ￿shIThg lo Twse funds.
Th18 can be booked the Mwk81 Superfntendent
REFERENCE AND ADMINISTrATIVE DETAILS
Reglst•r•d Ch*rlty numb•r
225449
Prfnclpal •ddr•s•
Town Hall
Market Place
Garstang
Preston
Lancashlro
PR3 1Z4
Trusts¢•
Mr G Hart8r
Mr T Iblson
MT M G Hatford Chairman
Mrs JA Nickson
Lady DM Atkins
Mr D R Lewis
Mr IR Sewart
Mrs E J Webster
Mr A R Allen
Mrs EA Collinson
Mrs S D Perkins
Pag8 1

Garstang T¢)wn Trust
Report of the Trustees
for the Year Ended 31st March 2025
REFERENCE AND ADMINISTRATIVE DEfAILS
Indep¢ndtnt Examiner
Mr MR Gomall
Towers + Gomall Ltd
Chartered Cerbfied Accoun&￿t5
Rlv8r View
96 High Street
Gar8tsng
Preston
Lancashire
PR3 1WZ
Awroved by order of the board of Irust8e8 3(th January 2026 and s*Jn•J on behalfby..
/7l10/£/
Mr M G HaWord- Trustse
Page 2

Independent Examlnefs Report to the Trustees of
Garstang Town Trust
Independ•nt •xamSnees r•port to th• trust•es of Gar8tang Tv*n Trust
I report lo th& charfty trustees on my examination of Ihe accounts of Gar8tsry Tovm Tnjst {the Trust) for th8 ye8r ended
31st March 2025.
Rosp¢nslbllltl•s and balis of rnport
As the charity tnjstèes of the Tnjsl you are responsib￿ Ihe pT9par*ion of the a￿lUnts in accordance with the
requirements of the Charilies Act 2011 {Ihe Ac¢'l.
I report in respect of my examinatKJn of the TnBYs accounts caThied (Mjt under Sectson 145 of the Acl and In carryiro out
my 6xaminab.on I have foll0kn￿ all applicable Diwlions given by th& Charity Commlssion under Sfjction 145(5Xbl of the
Indep•nd?nt •xamln•rf• •tat•m•nt
I have completed my examination. I confi￿￿ that no malwial matters ha￿ com8 to my attenllon In conngclion with the
examination giving me cause to belleve that In any material re8pecL'
a¢countiru record8 were not kepl In rew of ￿ Tnmt as Tgqutred by Sectk)n 130 ofth& Act., or
thè accounts do not accord wlh those rwrds,. or
the accounts do not coinpjy Trmth the applicable r8quitsment8 cwming the fom arKI conlenl of accounts set
out in the Chariti98 (Accounts and Rerknrts) Regulations 2008 other than any fequlrement Ihal the accounts give
a true and tsir ￿eW ￿[Ch k not 4 matter &Jnsidor8d as part of an indeperKlanl examination.
I h8ve no concern8 and have come across no cther matters In ¢onnethion ￿ the examination lo wfiich attèntion $hould
bg dravm In thi8 report In order to 8nabl8 8 underthdirYJ ofthe acctyjnls to b& rgached.
Mr MR Gomall
T￿r5 + Gomall Ltd
Chartered Certified A¢col￿tants
Rtver View
HMJh Street
Prgston
Lawshlre
PR3 1WZ
Page 3

Garstang Town Trust
Statement of Flnanclal Actlvltles
for the Year Ended 31st March 2025
2025
Unrethcted
fund
2024
Total
hjnds
INCOME AND ENI>OWMENTS FROM
other trading a¢tivities
Invgsth)ent income
63,134
831
61,034
439
61,473
EXPENDrruRE ON
Raislng funds
37,828
42.756
0th8r
29,497
22.852
T¢)tal
67.325
NET INCOMEIIEXPENOITURE)
(3,3eo)
14,135)
RECONCILIATION OF FUNDS
Total funds brought f0Th￿rd
1,321,209
1.325,344
TOTAL FUNDS CARRIED FORWARD
1,317,849
1,321,209
Pajg 4

Garstang Town Trust
Balance Sheet
31st March 2025
2025
Unrestricted
fund
2024
Total
fvnds
Notes
FIXED ASSETS
Ta￿1b1& assbts
1.280.619
1,280,619
CURRENT ASSETS
Debto
Cash al bank
3.429
7.000
34.819
38275
41,819
CREDtroRS
Amount$ falling due within one year
11.0451
(1.229)
NET CURRENT ASSETS
37.230
40.590
TOTAL ASSETS LESS CURREKf UABILMES
1.317.849
1.321,209
NET ASSETS
1,317,849
1,321,209
FUNDS
Unr8$tn"cte(I funds
1,317.849
1,321,209
TOTAL FUNDS
1,317,849
1,321,209
The financlal statements approved by tho Board of Tru8ts0$ aNJ auth0ri88d for188ue on 301h January 2026 and
wère signed on 11$ bohalf by.
Mr M G HaMord- Trustée
notes kKm ofthese finarrial statem9nts
PaJe 5

Garstang Town Trust
Notes to the Flnancial Statements
for the Year Ended 31st March 2025
AccouimNG POLICIES
84818 of prgparing the financlal stat•m•nts
The financial *alernents of the chanty. whith is a publlc benefft enbty under FRS 102. have b88n prepargd in
accordance the Charities SORP IFRS 1021 'Accounting and Rgporting by Charitlos.. Stalem8nl of
Recommended Practic* applicable to charibes preparing Iheir accounts in ac¢ordance with the Financial
Reporting Standard appluble in the UK and Reput4tc of Ireland IFRS 102}18ffectwe l January 20191., Financial
Reporting Stsndard 102 The Financial RerK¥ts'ThJ Stsndard applicable in the UK and Republic of Ireland, and the
Chariti'ès Act 2011. The finan(ial statemgnts have tthn wopared under the historical cost convention.
In¢om•
All income Is recogni8o(1 in the Ststement of Finanual Acbvrti88 on¢e the chaiity has ontrtl8m8nt to the fvnd8, 11
is probable that th8 incomo *ill b8 and the amwnt cari bo rnea8ur*Y r8llabty.
Exp•ndltur•
Liabilities are recogn180d a$ expendiiwg 88 800n a$ therg Is 8 l&Jal or ¢on8tnJcUve obllgati¢Jn Committing tha
charty lo that expenditure, it Is probable that a transfer of e￿IK$M1¢ benefits will be required in sewemonl and
the amount of the oblvJation can be measured rejrably. E¥*ndilure is aLrA)unled for on an accrualB basls and
has been dassified under h8adirKJs that aggregate all cKJsl related to the category. Where costs cannot be
dlrgdy a￿)b(blo0 to pa1￿Cular h8*1ityJs they haNp t*en allculed to on a b8818 conslstsnt vAth the u88
Tanglble Ilx•d
Depreciatlon Is Provlded al the follth*iTrJ annual r8te8 to I￿10 off each 888el over its ostlmaled u88ful
Ilfe.
Taxallon
The charfty18 exempt from tsx on It8 chwIts￿8 xtfvllle&
Fund ¥¢countlng
Unrestrl¢led lund8 can be u¥ed in accordance wlth thè tharltablè oblectlves at di$￿etiOn of th8 Irustg98.
Rethcl8d fijnds can onty be usfjd for pa￿cular restn'ctsd purposes within the objgcts of tho charfty. Reslrlctlons
arfse when swcKled by the donor orNthen funds arg raised for particul8r restricted purposes.
Further 8xplanallon of thè rthre pf ogch lund18 In the no¢e8 to tha financlal 8tatemonl8.
OTHER TRADING ACTMnES
2025
2024
Market Tolls and Shop Rents
Garstang Arts Centre
8rth.sh Legion
Storag8 Space
50.215
3.011
48,608
2,720
3,338
63.134
61,034
INVESTMENT INCOME
)25
2024
Dwslt ￿￿nI intergst
831
439
Page 6
continued...

Garstang Town Trust
Notes to the Financlal Statements - Continued
for the Year Ended 31st March 2025
TRUSTEES. REMUNERATION AND BENEFITS
There wefe no trustees. remuneralion or other benefits for the )E8r eNled 31st Marth 2025 Mr for the year
ended 31st March 2024.
Tru¥t••s' •xp•nges
The￿ were no tNstees' expen808 pakl for the year ended 31st March 2025 nor for tho year ended
31s1 March 2024.
COMPARATIVES FOR THE STATEP4EKf OF FINANCIAL ACTMTIES
Unr88tricted
fvnd
INCOME AND ENDOWMENTS FROM
Other trading
Inv881ment Income
61.034
439
Totsl
61,473
EXPENDITURE ON
Ralsing fund$
42,756
Other
22.852
Tot•1
NET INCOMEIIEXPENDMJRE)
14,1351
RECOhlCILIATION OF FUNDS
Total funds broloht forward
1,325,344
TOTAL FUNDS CARRIED FORWARD
1,321,209
TANGIBLE FIXED ASSEts
The
Market
House
Butchers
Court
The Town
Hall
COST
At 1st Ap￿1 2024 and 3181 March 2025
198.675
221,866
DEPRECIATION
At 1st April 2024 and 31st March 2￿5
NET 800K VALUE
Al 3131 Marth 2025
198.675
221.866
At 31st March 2024
198,675
9.W4
221.866
Pag8 7
conllnl￿...

Garstang Town Trust
Notes to the Financial Statements - continued
for the Year Ended 31st March 2025
TANGIBLE FIXED ASSETS- cofttinu•d
The Cmd
Grammar
School
equipment
Totsls
COST
At 1st April 2024 aThJ 31st March 2025
.174
1.280.808
DEPRECIATION
At 1st Aprll 2024 arKI 31st March 2025
189
189
NET BOOK VALUE
At 31st March 2025
350,174
1.280.619
At 318t March 2024
350.174
1,280,619
DEBTORS.. AMOUNTS FALLING DUE WIThIN ONE YEAR
2025
2024
Olher d8btOf8
3.429
7.000
CREDITORS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
2025
2024
Taxallon and wurity
1,045
1,229
MOVEMENT111 FUNDS
Nel
movement
In lunds
At
3113125
At 114r24
Unr•8trl¢t•d fund•
GO￿ra1 hjnd
1.321.209
13.3601
1,317.849
TOTAL FUNDS
1,321.209
13.3601
1,317.849
Nel movement In funds. Induded In the atx)ve arg as foll¢y•Yb:
IncomiTrJ
Resources
re$wr￿ ex￿nded
Movement
In funds
Unr••trtct•d funds
General lund
63,
{67.3251
13,3601
TOTAL FUNDS
63.V)5
{67,3251
13,3601
P*Je 8
continued...

Garstang Town Trust
Notes to the Flnanclal Statements - continued
for the Year Ended 31st March 2025
MOVEMENT IN FUNDS- continu•d
Comparatlves for movom•nt In funds
Net
wernnl
in fvnds
At
3113r24
At 114r23
Unr•$trlct•d fund•
General fvnd
1.325.344
4,135}
1,321.209
TOTAL FUNDS
1.325.344
14.1351
1,321.209
Cofflp8rthe net ￿*)¥•M￿nI In fLThJ8. Indud8d In the above are 88 foll¢)1￿..
Incomlng
Tesourcgs
Resources
expended
Movement
in funds
Unr•stIlct￿ fund•
Gener81 fvnd
61,473
(85,6081
14.1351
TOTAL FUNDS
61.473
165.6081
14,135}
A ￿tren1 yoar 12 month8 8n(I year 12 comblned wth'on18 a8 follow8.'
Nat
movement
In fvnds
At 114r23
3113r25
Unrutrf¢t•d fundB
General fvnd
1.325.344
{7.4951
1,317,849
TOTAL FUMDS
1,325,344
17,495)
1.317,849
A current year 12 months and Frfhy year 12 ¢(￿bir￿d n8t m0￿Ment In funds. included in thg above are
as follow5:
IncomiFWJ
sowce8 expeThYod
Movemont
In fund8
Vnrnstrfct•d fund•
Ggn8ral fvnd
125,438
1132.9331
17,495}
TOTAL FUNDS
125,438
{132,933}
{7,4951
PaF9
continued...

Garstang Town Trust
Notes to the Financlal Statements - continued
for the Year Ended 31st March 2025
10.
RELATED PARfi DISCLOSURES
There were no related paty transac1K￿S fr*the year ended 31st March 2025.
PROPERTIES
11.
The follov•7ry properties are ¢m￿d and maintaned by G8rstsrKJ Town TrusL"
GarstsrvJ Tovm Hall. Market Place. Garstsng. This bulldiThJ was built in 1755.
M8rket Hou8e. Market Place, Garstary. Th18 ￿￿kI￿n9 was t￿lIt in 1843.
Market Cr08s. PAarket PlaL*, Gars18ryJ.
The Old Grammar Sch¢)ol. High Strè&L GaTStang. Tlws was I￿nded in 1602.
8am arnl Land al the w of 46 HhJh Street. Garntang18ut¢hern Cwt).
The buildlngs ￿Te reval￿￿ in Ihe accwnt8 10 31 March 2017 with a fh3ure based u￿n th8 bulldlngs Insurance
al the lime.
P￿e 10

Garstang Town Trust
Detailed Statement of Flnanclal Activlties
for the Year Ended 31st March 2025
2025
2024
INCOME AND ENDOWMENTS
Other trad5ng actlvltles
Market Tolls and Shop Rents
Garstsng Arts Centre
Brib'sh Legion
storage space
50.215
3.011
6.368
3,540
48.608
2,720
6.368
63,134
61,034
Investment Incomo
Depo811 account inl8r6st
831
439
Totsl In¢omlng r•soure•s
61.473
EXPENDITURE
Ral$lng donatlon• l•gxl
Rates and water
Insur8nc
Ltqhl and heat
Property repairs
Cleanlng expgnsos
Sundrfes
86
4,222
14,570
22,162
1,691
25
4,539
14,915
16,381
1.839
70
37,828
42,756
Oth•r
Xmas Lbhts
500
support costs
Manag•m•nt
Wages
Telephone
Advertising
20,950
395
1,527
20,476
335
423
22.872
21,234
Oth•r
EXp￿Se8
158
Gov•m•nu costs
Accountancy
Legal f88s
960
5.117
6,125
960
Tol81 re80urce8 expended
67.325
65.608
N•t •xp•ndltu
13.wl
14.1351
Thi8 Page does f(m part ofthe statulrxy fIna￿la1 statements
Page11