REasfERED CHARITY NUIABER: 230927
REPORT OF THE TRusfEES AND
UNAUDITED FINANCIAL sfATEAIENTS
FOR THE YEAR ENDED S APRIL 2024
FOR
sr SAVIOUR'S PRIORY
Able & Yourtg
Chartered Certified Accountants
Alrport House
Purley Way
Croydon
Surrey
CRO OXZ

sr SAVIOUR'S PRIORY
CONTE1￿5 OF THE FINANCIAL sfATEMEprrs
FOR THE YEAR ENDED 5 APRIL 2024
Page
Report af the Trustees
Independent Examlnerfs Report
statement of Flnandal Actmtles
Balance Sheèt
Notes to lh• Flmndal Statements
7 to 11
Detalied Statement of Flnanclal Atdvlttes
12 to 13

sr SAVIOUR'S PRIORY
REPORT OF THE TR￿￿EE5
POR THE YEAR ENDED 5 APRIL 2024
The tsus¢ees present they report with the fi"rwKial staterr￿ts of the chartiy for ihÈ year enthd 5 April 2024. The
tnjstees have adopted the provisKffiS of kcounithg ReFKrting by Ch￿1t1P5. state￿￿t of Reconwnended Prartice
ppiicabie to tharities prepadng Ihew accounts in accordance with the FinwKlal Reporting Standard apdicable In the
UK and Wt4ic of Ireland IFRS 1021 leffective l JanLWry 20191.
o￿EcnVES AND ACTNMES
Objectlve5 and alms for the publk benefft
St. Savlourfs Priory is to seven Slsters of Scckty of St. Maryaret la recogn15ed Anglican ReLiglou5
Comllwnityl. The Slsiers of the &xiety are caued by Gc¥J to follow cw Lt*d Jesus Christ and to devote every faculty
of W. mind and spirit to Hfm. are set free to rE4x￿d to hts call ty three trath"ilL￿al vows of Poverty,
Chastity and thethence.
In fulfllment of th15 calllng. the 5istsrs seek to love and serve Chrtst in each other In conThn Ilfe jnd go out
meet HIM In all people. The Sf51ers Out￿aCh to the tocaL commnity irKludes worknng as staff It￿nber5 In vartous
parishes. SUPPOrting 155ue5 of justice WKE r3thÈ1 e<wlity. ￿eleSs. the sexually abused; retreats and indfvsdual
splrltual directlon: the creative arts. Ail the Slrterfs work is free of charge.
The Sister5 are also called to a ministry of weice4ne. they com￿￿￿rtY ￿￿1￿rva and reswrce5 of worship and space
with indivkluals and 8roup5. conriM￿ with w INJlvfjduais and grc¥Jps USI￿ our premi5e5.
fyjests and Groups
We offer guest acCoMrr￿t1¢)Th and weicc*rt s￿Sts and grrrtP5. Tr Dvjin f(w of ow gltst tthkings have been Local
people rewesting Space for quiet I retreat days. We hève al￿ extended our h05p1￿lity to mDre long-term residents
requirTng accommt&tion w enable them to th in the l(KJl area for rvi-profit I thlrLI sector organlsatlLW work
Is In I￿￿ wr cbjertfves. Thts incith wixkir4 Vrith refugee¥ i(￿1 clwhes and chaplaiKies, aThJ In areas of 50tlai
justi￿.
Four tirnes a ythr we in￿re local Friends to Join us for J 5eThke In the Chapel followed by refreshments.
DunLoe Centre offers a besrAike 5ervlce to indmduals as need aTi5e5. This alluNs the SfjSte￿ to offer a one to one seryte
of practical help le.g. f¢xd par￿1$, clothing etc.) and also ￿.going for rnre complex needs. The gjnday Stall 15
open n￿$t weeks. This is a dr￿In facillty hthich offer5 cheap thnated, second hands goods. ihe opw)rtuniiy for
people to meet logether L¥) an inforrnal basi5. It attracts a ￿ r3r¥ge of Feopte from different backgrounds and with va￿(
and ofttn muliiple needs.
Towartls the fulfllment of our ministry fn this part of Lcffidcffi ihe of the Prrory ts tallored towards:
. The woclamation of the gospel imperatfve in favwr of ￿ I￿r
- The development of the spiritual life of the Local peolde and those seek u5 (xit
. To confront issue5 of S￿la1 excluslon and foster ￿la[ cohesx)n
. To read) out to and brlry relief to those in need as FYattKaLiy as ￿￿55L￿e
The Inltlatlves a5 Set oul a￿Ve (Dunloe cent￿ eic.) illustrate the wactKal iKarnation of these airr6 and asplrations. The
work of the Prw)ry has always teen r(￿ted the le<al c(r*r￿lity and, altwh hi5torkaily this work has based in
local chwches the Si5ter5 often serye needs in the wfder c¢yMwnity aly).
The Sisters. minislrfe5 are all offered free of charge. as ts the majority of accorTwrbJaticffi.
Page I

ST SAVIOUR'S PRIORY
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 5 APRIL 2024
FINANaAL REVIEW
The charity recorded a deflclt of £5,977 to whTch must be added to an unrealised Ios5 on inve5trnenis of £2.116 to
reach at a deflcit of £8,093.
Principal Funding Source5
Aside from Investment income the p￿ndPa1 fundlnf sources of the chthty are the sisters. <onlribution5 ond pensions.
contrfbulions from the USE of the Pri0￿$ facilltle5 and donations.
Invertment Policy
The trustees eonslder fixed Interest government 5ecurilies and specla115ed Invertments de514ned for ihe charlty sector
best meet the charltls need for incomè and capital growth.
Reserves Pollcy
The Trustees have establlshed a reserye polky whereby unregttlcted funds are malntalned at levels which enable the
trustees to support the m&%lmum Dumber of charltable aclivTIiE5 whlch can be undertaken by the current number of
Sisters.
FUTURE PLANS
The Sislers are aware of their owTr changing nEed5 and also changes in the [￿ed$ of the local comrTuJnity. It Is
imwrtant to them thal the Priory bullthngs are used to the best athiantage. thfjs may require some substanLial
re.ordethg In the future. and In the m2antlme inevitably requlres othgolng maintenance.
srRUCTURE. GOVERNANCE AND IAANAGEMEKr
Governlng document
The Trust is an unincorpyjrnted trust con5tltuted under a trust deed daled 19 NDvember 1891 and Is a reglstered
charity nurnber 230927. The assets of ihe Prlory are he￿ in accordarte with the Statute5 of St. Savi(NJrfs Priory and
the Constitution and Rule5 of the kniety of St. Margaret Ito which the priory15 afflllatedl.
Recr￿tM•D¢ and appolntment of new trU5t
In accordance wilh the $￿tu(e$ of the charity the majority of the Trus￿5 haye to be members Df the community and
these are elerted by a vole of all sisters. The other trustees a￿ also elected by the slsters and chosen to brfjng other
skllls io the charlty.
Organls)tlonal Structurè
The Ptriory does not have any paid empLoyee5 and all aclivllle5 and rnana8e￿nt are carrfed out by the Trustees, the
Sisters and vglunteers.
Inductlon and tralnlng of trustees
t trustees are alrea¢ty famlllar wfjth the practlcal work of the charity belTh4 members of the Sisters of the Society of
St. Margaret. New TNstee5 who are Tr)t Slsters are fully brfjefed by the Slster5.
REFERENCE AND ADMINISTRATIVE ￿AlL$
R•glstered Charlty numb•r
230927
P￿￿1paI addr•s$
Si Saviourfs Phory
18 Queensbridge Road
Ha9gets￿n
London
28MS
Page 2

ST SAVIOURS PRIORY
REPORT OF THE TRusfEES
FOR THE YEAR ENDED S APRL 2024
Rev WL)Iher Judith Blacklwjm
Sister ELlzabeth Crnwford
Mr Mark Laing
Slster Anna Huston
Mr Alexander Thory>e
Independent Examlner
Able & Young
Chartered Certlfled Accountants
Alrwt Hou52
Purley Way
Croyth)n
Surrey
CRO OXZ
ankers:
CafBank Limited
Klngs Hill
West M3lllng
Kent
ME19 4fA
Natlonal Westmlnster
POBDx282
216 Bishop5gate
EC2M 4JH
Approved by order of the board of trustees (m 2P Alay 2024 sigr*d ￿ its behalf ty:
Rev Pkjlher J￿j1th Black1x￿- Twstee
Pase 3

INDEpENDEP￿ EXAMINERS REPORT TO THE TRu¥fEES {
ST SAVIOURS PRIORY
Independent eXamI￿r.5 report to the trustees of St SoT4lour'5 Pr1w
I report to the charity trustee5 on nry examination of the accryjnts of St SavbJJrfs Priory (the Trust) for the year ended
S April 2024.
Re5ponslbllltles and ba515 of report
As the charity trustees of the Trust you are rwsibie for the preparatpjn of the accounts in accordarKe wilh the
iequirements of the Charities Act 2011 1.the Act'i.
I report in re5￿t of ry examination of the Trv5t'5 accounts carried out under serttyjn 145 of the Act and in carrying
out my examination I have followed all applKable Direct*)ns given by the Chanty Commission under section 1451Sllbl
ol ihe Act.
Independent examlnerfs statement
I have completed rny exarnination. I ccffifirm that ￿ mawial maiters have corr£ to my attention in connection wth
the examination giving ￿ cause to believe that tn any maierial respect:
accounting records were not kept in respeci of the Trust as required by Sert￿n 130 of the Act.. or
the accounts do not accord Wlth tIK)5e record5-
the accounis do not comply with ihe applicable requi￿n￿nIS concerning Ihe form anij content of accounts set
out in the Charities (ACC￿￿t5 and Re￿n$) Regulations other ihan any requirement that ihe accounts
give a true and fair wew thKh is not a rnatter conydered as part of an indeFendent examination.
I have no concerns and have come acros5 no other maiws in connection with the examination to whlch atteJtioTh
should be drawn in this re￿rt In order to enable a proper wthr5tanth.ng of the accounts to be reached.
Rekha Shah
Able & Young Ltd
Chartered Certified Accountants
Airport House
Purley Way
Croydon
Surrey
CRO OXZ
Page 4

ST SAVIOURS PRIORY
ATEMEKf OF FINANCIAL ACtMllES
FOR THE YEAR ENDED 5 APRIL 2024
2024
Unrestricted
fLThIs
2023
Total
funds
Notes
INCOME AND ENDOWME14TS FROIA
Donatlons and le8acle5
112,928
110.923
Charltable actfvltles
Cha￿table aCtI￿tieS
9,483
4.330
Inve5lmenl income
Total
203.810
192.828
EXPENDITURE ON
Ralsing funds
774
424
Charltable artlvltle5
Charitatle actiwties
201,521
179.936
Other
Total
209,787
187,747
Nel sainsll105sesl on investmerts
NET INCOMEIIEXPENDtruRE)
(8,0931
118,758
RECONaLIATION OF FUMDS
Total funds brought forward
2.258,731
2.277.489
TufAL FUNDS CARRIED F￿ARD
2 250 638
2 258 731
The t￿teS fm part of fina[￿la1 statements

2023
Tangible assets
45.￿1
2 038 34)
Z.111.
2.Q33,402
3,292
136.457
Cash at b
161.263
139.749
166.169
fallknq wlthfjn
18KSI
138.849
165 329
2.250,638
Z.258.n1
2 258 731
FUNDS
on its bet*lf by.
Ilr Plark Latrq. Tr

ST SAVIOURS PRIIX(Y
NOTES TO THE FINANCIAL 5TATEIAEiirs
FOR THE YEAR ENDED 5 APRIL 2024
ACC(XINTING p￿￿£s
Ba515 of preparlni the fina￿ts1 slaternents
The finarKlal statements ¢f the chaiiiy, whxh is a wkniic benefft eniiw under FRS 102, have been prepared
accordance with the Charities SORP IFRS 1021 "Acctyjrtting afyj Reporting by Charfiies: Statement of
Recornff£nded Practice appltable to charitie5 preparing their accwnts in accordance vrtth the Fknancial
Reporting Standard appllcable in the UK and Rewbiic of Ireland IFRS 1021 (effective 1 January 2019).,
Flnancial Rewrtinq Standard 102 The FIna￿la1 Rewrtlng Stsndard appikabie In rhe UK and Republi£ of
Ireland. and the Charities kt 2011. The firthnclal statements have been prepared uDder the hI5lorfcal cost
convention, the exception of *NeSi￿r$ whxh are 1K1￿led ai Ma￿et YaLue, as modified by Ihe
revaluatkn of certain asse
Income
Ail lrfome is recognised in the State[r￿t of FIna￿l•l *£tfvftle5 the chamty has entitlement to the fund5,
it is wobable that the iKome will be re(efved and ￿ arwJnt can be ￿￿osUrEd relfabiy.
Expendlture
Liabililie5 are recogntsed as exkWKlfture as S(th as tlwe fjs a legal or COr￿rUCtIVe otAigatkin committirv4 the
charity to that exp2ndlture, t is probable that a tr￿￿fer of econDmlc ￿￿tfIts YAII be ￿uIred in settlerrtht
and the arrK)unt of the ot4igatTon can be rr¢asured reliably. Expenth"lure 15 acc(*Jnted for on an accruals basls
and has been classified under headings ihat aggregate all cost related to the cate80ry. Where cosis canr￿¢ be
(lirectly attrfj￿ted to Part￿￿ar have been )i￿Led to actfvitle5 on a basis consistent I￿(h thè
use of resowces.
TangIb￿ rued •55ets
Depreclatkn 15 wovklEd at the followlrq 3nNaL rates in order to ￿te olf each asset over its estimated usef
Ilfe.
Freehold pmperty
Flthres and flttlnos
Molor vehicles
2% on cost
10% on cost
at varykig rates on cost
Taxatlon
The charity 15 exenw frcfft tsx (m its charit* actmtles.
Fund accountlnq
Unrestricted f￿bd5 can In accbYdarKe with the charftable Object￿e5 at the dls¢retion of the tntstees.
Re5trkted funds can 0￿Y used for particular restrlcted wrposes wiihin the ¢*Jiects of the charity.
Restrictions arfse when specified ty the or are raised for partlcular reSt￿ted purp05e5.
Further explanaiknn of the nature aTh4 of each fLmd Is Induded In the rKJte5 to the financlal
state￿￿ntS.
Flxed assets Investments.
Fixed assets Nivestrrtnts are at market vaitse
continued.-

ST SAVIOURS PRIORY
NOTES TO ThE FINANCIAL STATE4EKfs. contlnued
FIJI THE YEAR ENDED 5 APRIL 2024
I14VE￿AlE1￿ INCOIIE
2ff23
Dividend5 frorn 5hare5 in UK listed conyanies
IntwEst on UK flxed Interest Seeurfties
DeP￿t account Interest
73,￿1
8.338
70,621
6,954
TRusfEES' REIAUNeRATIC*4 AND BENEFrrs
There were no tn￿tee￿. ren￿￿[70￿ or other ￿fits frx year endpd 5 Aprl12024 ￿ for the year ended
5 AprS12023.
There were rrfj trurtees. expenses pafd for t1￿ Jr4r ended S 2Q4 nor fc￿ the year ended S Awl 2023.
COIIpARATf￿ FOR ThE STATEME1￿ OF FIMAIKIAL ACTMTIES
UThre51rfc¢ed
fund5
INCOME AND ENDOWAIENTS FROal
Donations and leiacies
112.928
Charft)b￿ ac￿￿1￿5
Charfiabie actiwities
9.483
Investment IkKCffi
Total
203,810
EXPENDITURE ON
Raisins funds
553
Charltable actfvltl•s
Charitable activities
68.985
Other
Total
212.193
Net galnslliossesl on inves1n￿ts
NET INCO¥EI{EXPENDITURE)
18,0931
RECONaUATION ￿ FIJM>S
Total funds brought forward
2,258,731
TOTAL FUNDS CARRIED FORWARD
2 250 638
P¥8
contfjn￿...

ST ￿VIouRs PRIORY
NOTES TO ThE FINANCIAL sfATEMENTS- contlnued
FOR THE YEAR ENDED 5 APRIL 2024
TANGIBLE FIXED AS5Ers
Fixture5
and
fittings
Freehold
property
Computer
Tota15
co
Al 6 Aprll 2023 and 5 Aprfjl 2024
485 078
130
161
DEPRECIATION
At 6 April 2023
Charge for year
430,021
430,021
c 5 Ap￿1 2024
BOOK VALUE
At 5 Aprfl 2024
130
At 5 April 2023
FIXED Ass￿ INVEsfMENTS
Listed
investments
MARK￿ VALUE
At 6 Aprfl 2023
Addtllons
DIskK)5ais
Revaluaiions
2,038,345
30.￿
At 5 Awl12024
2 066 229
Nrf BCQK VALUE
At 5 Awl12024
2 066 229
At 5 April 2023
There were no investment assets outsfjde the UK.
Cost or valuation at 5 Aprll 2024 is represefi￿ by:
Listed
Investments
Valvation In 2024
2 Cé6 229
Paqe 9
eontlnued..

ST SAVIOUR5 PRIt*Y
NOTES TO THE FINANCIAL STATEME+ifs- contlnued
FOR THE YEAR ENDED 5 APRIL 2074
DEBTOR&. AlAOUl￿s FALLING DUE IITTrIM OHE YEAR
2024
2023
Prepayrnents
CREDITORS: Amciitrirs FALLWG DUE IThIN ONE YEAR
2024
2023
Other crethwr5
AIOVEMW IN FUND5
movernent
w) fLmd5
At
5.4.24
At 6.4.23
Unrestrlcted funds
General fund
2 258.731
TOTAL FUNDS
Net movement In funds, incl￿ In the aly)¥e are as follow5".
Galns and
Movement
in fund5
Unrestrfcted funds
General fund
209 7B7
TOTAL FUNOS
203 810
Cornparatlvès for rrwment In fund5
Net
emenr
in fund5
At
5.4.23
At 6.4.22
Unrestrfcted fund5
General fund
2.277.489
118.7581
2,258,731
TOTAL FUNDS
2 258 731
Page 10
contlnued...

ST &4VIOURS PRICAEY
NOTES TO THE FINANCIAL ￿ATEMENTs- contlnued
Fofi THE YEAR EK)ED 5 APRIL Z023
IAOVEIIEtr￿ IN FUM>S. contlrM*d
Con4)arative net nXIverT￿t In fimds, in the abfft are as follows:
Rewrces Galns and
experh4ed
1055e5
resource5
In fuThds
Unre5trfct•d funds
General fund
192.828
1187.7471
123,8391
118,7581
TiyfAL FUNDS
187 7471
23 8391
A current year 12 rnL￿th5 and prI)r￿ 12 bYKNlths c1mrby￿d ￿}54t1￿ 15 as foilowL
At
5.4.24
At 6.4.22
In fLmds
Unrestrfrted funds
General fund
2.277,489
126.851)
2,250,638
TOTAL FUNDS
268511
2 250 638
A c￿rent star 12 ￿￿nthS and ￿ar 12 cortilned ￿ Th￿rnent fjn funds. Included in the a￿ve
are as follow5:
Resource5
GaFns and
losse5
vement
In
Vnrnstslrted funds
General fund
396.638
1397.5M}
125,9551
126,B511
TOTAL FUNDS
397 5341
26 8511
10.
RELATED PARTY DISCLOSURES
There were no reiaied wty Iransacikns for SEar ended 5 2024.

ST SAVIOUR'S PRIORY
DrfAILED ￿ATEmEP￿ OF FINANOAL ACri￿nE$
FOR THE YEAR ENDED 5 APRIL 2024
2024
2023
INCOME AND ENDOWMENTS
Dofiatlons and legacl•s
Legacle5
Sister's Contrilxrt￿n$ and penslons
Gift aid
Guests and retreats ￿f￿r￿lS
Otlw donations and grants
10,CIJ5
43.393
45,749
41,618
13,109
11,￿1
112.928
110,992
Investment Income
Dividends from shares In UK listed CO￿anieS
Interest on UK fixed intwe5t 5ecurltles
Deposlt account intwesi
TS.C*1
8,338
70.621
6,954
81.399
77,575
Charltsble Jctfvltles
Sale5
Total IncorfAni re50urce5
203.810
192,827
EXPENDMJRE
Other tradln8 actlvltles
Cost of 9￿d5 sold
774
424
Charltoble •rtlvltles
Priory running costs
Payments to volunteers
MaintenaKe
Travel
Chapel co515
Donations and sthriptions
Personal care
Publicatlons
Depreciatlon
Care, funeral and Tr￿[1￿&1
Other
75.258
50,269
40,752
229
1,133
11.656
4,402
553
9.788
107
52,348
40.647
824
313
ID,827
2,558
632
107
201.482
173,974
Support Costs
Governance cosls
¢YfKe
AcC￿jnts
Carrled forward
5.521
826
6,347
Thfjs page dce5 f￿Tr part of the 5tstuW fTnandal 5taiew*nts
Page 12

ST S4VIOUR3 PRIORY
D￿AlLED STATEMEKf OF FINAtKIAL AcllvmES
FOR THE YEAR EIWED 5 APRIL 2024
2024
2023
Gov•rnar•ce cost5
Brought forward
Bath chaT8es
6,347
810
Total rewJrce5 exFended
181 107
Net (loss) Incom* b•for• galrs and 1055éS
15,9771
11,no
Rejllsed recognls•d galns and losses
Reallsed gainslliossesl on r￿ed asset
Investrnenls
Net knccwellexptndlwr•)
18 7581
Thls page (bxs fomi part of statut¢xy financial statements
Page 13