Silverstone Recreational Association
Charity Number 269521
Financial Statements for the year ended
31 March 2023

Silverslone Rocre*ional Association
Charity Number: 269521
Financial Statements forthe year ended 31 March 2023
Contents
Page
R6ferente and AdmFnistrative Informati¢Jn
Report ofthe Trustees
Independent Exarniners Reportto the Trustees
8t*ment of FInar￿1￿ AGliwb"es
Bdan¢e Sheet
Notes to the FinarKtat statements

Silvethe Re¢￿tIonal A$￿cl
Charity Number: 269S21
Reference and Administrative Infomwt
for the yearended 31 March 2023
Trustse$:
N Ashby- Ch*Tm
J Fth￿er
c stevens
M Webb
L Jones
G Fullèr
P Gazeley
M Broomhall
Trustees for the Charfty: &fvefstone P￿iSh COU￿11
Prlnelpal Address
The Pavilion
Church Street
&"Iverstone
Norlhanls
NN12 8XA
Bankers
National Westminster Bank pk
80 High Street
Stony Stratfor
Milton Keynes
MK11 1AJ

Sllvernt¢n• R•crèatit%￿I A•soelaUon
for tho year •nd•d 31 M*rch 2023
TheTwstees pwenttlElrrepxt the li&teffl￿th fwthe year erded 31 Mlrrtt
Th• (knJ0Gtsoftt* t*wlty 8r• th• ￿￿k￿l￿r￿1 m￿nt￿￿nc* ofA vloge h*1, And
anraiwy Ihér*of¢rlhg sme d the knh*ltrt al IM Ptthoh d Sll¥*rnioM, *lthout
d prlwi r&¥Jk)LA or olh•r c•knnb, u•*f¢r m••ffjroB, and c4a$8•B and ILY C4h
fr*ms (rf r￿atron ocuJWoTr, wknth• ¢ty"e¢ttX Imwo￿r1d ccfflthOun$ o11rfo for
Atso, to ho￿ the IS￿d th• ch*rty FxryJ*•• OIA 441ll
FM truJts¢s •re ti*rrted•tthvAnThA Megllrrfj ol IheAsg(MJallon lo fara wlod ol
om ￿¢(m•n￿r￿j At thè•TrJ crf th•modfig ai they are el8CbX 8XF4rfng al th• •nd
A¢hlv••m8ntofth• ObJ•ct of th• Ch•rfty
Th& f£*• n￿l￿r91￿￿, #*t•¥Ift￿￿th•v*d th•obi¥* •nd h* fmJJto
• wcrfk to ￿ntsm￿. Ir¢ th• pMl>•4r, th• ￿Mm￿l#• cMUnu•d to ot••r lh•
orathn on a iound
Fln*nol•l R•vl•w
Th•alladMd pyy ro*tt ofaC0￿th In An In aw
rf£40,13t bas b•8n 8clkn&a.
opro¥•d bythw Truth•$ and •w￿d thdr l)gMtrty.
N Alfty. Ch*m4n

Silverstone Recreational Association
Independent Examinerfs Report to the Trustsgs
I report on the financial stalernents for the year ended 31 March 2023. which are sei oijt on pages 4
Respective responsibilities of trustees and examlner
The charws trustees are reswnsible for the preparation of the accounts. The charity's trustèes
(X>nside¢ that an 3udil is not requits¢i for this year under S￿￿On 14412) of the Charities Act 2011 lthe
2011 Act) and that on Independent examinatioTr is neede¢Y.
tt is my responsith.lty to.
- examine the ￿)Unts ur,der Srction 145 ofthe 2011 ACT
- lo folbw the procedures laid down in the general Directjons gwen by the commission under
section 14515llbl OT tiie 2011 Act
- lo state whether partthlar matters have come tcs my ntion
Basis of independent èxamineffs report
My eXaMinat￿n was camed out in accordanee with the genwal d1rect￿nS gTven by the Charity
Commission. An examination Includes a revEew of the ac£ouriTing records kept by rhe charity and
comparison of the a¢¢ounts p.Tr. sented wilh those records It 81so Includes considerat*on of any
unusu21 rterns or diLlosures In tre acrounts. arKI séeking exrAanabons from you as trustees
con￿Ming any such matters. Pr￿e0UreS uno'ertaken do not provioe all the e￿den￿ that would
be required in an audrt and c4Jnsequendy no opinion is g.'ven as lo whether the accounts present a
'Irue a￿ld fair viev/ and the report ￿ limrted to those matters set OLrt In the next statement
Independent examinerfs statement
In connectron wth my eXaMinat￿rI, matter has come to my attentron..
(11 whth gives me reasonable cause to believe that in anv material respect the requifftrnents.
- to k*p accounting records In accortsnce wrth sectton 130 oftthe 2011 Aet.. and
- to prepare accoLints which accord wth the acoJJnt£ng records and comply wrth the
ac¢ounting reqU1￿Ments of the 2011 Act
have not been met". or
(21 to which. In my opinion. attentK)n S￿)￿￿￿ be dravm in older to enable a prO￿r unde{sta￿ing
f the accounts to be wthed
Mark Ellis CPFA
Charte￿d Institute of Putst￿ Finance and AcccAJntsncy
PA-3 Aston House
While Cross Industn81 E¥tate
Lancaster
Lantsshi
LAI 4XF
Date.
14 Jtjty 2023

Sllverstone Recreauonal Assocladon
Statèment of Flnanclal Acttvilles
for the year ended 31 March 2023
2m
2022
ci¥nlng Resources
Donations. 18gaoes
and SimiLqr
Parth Cour￿8
8,812
Ino)ming rewurces frvm
operaling activitiesifi the
ofthe Cbarlty
Pavi*Jn Bar Rent
4,75)
Incom&￿ te*urr*8fft)rn
other a£*vilies
ge￿ra￿r￿j frJThls
H8IVRoom Hire
F￿￿ Hi
11.343
9,242
7.016
6,704
6,436
9,2¢2
39.Q1
74fj31
81.358
Net incoming re*)urces
availa￿e forcharitab* pwp
JgA31
34,600
741J31
81
Resources expended
Chattsble expBndture
11.513
F*kl MaiTrter*
11.513
18,065
8,720
11942
16.C
arAgemert
8 Administra￿(¥￿
2.fc
1.912
4,6r2
1,f78
1.752
1.912
4.672
(#eaniryJ
Legal & Profe5￿"L￿OI
DewecaatK)n
SuThJr*s
3283
915
91S
581
2&181
17M6
40.n6
31
Net
16280
17.016
49.478
￿e(n￿￿)I￿ in thnds
16380
17,01fj
49A78
FuThJs br(￿ghtf0￿Vald
81J89
107AGO
87.972
F￿mIS I￿Tard
97
140.741
107A50

Silvgrstone Recrèational As50clafjon
Balance Sheet
as at 31 March 2023
Llnrestrtcted Restslcteil
funds
funds
Reststed
2022
2023
Flxed ass&ts
Tar)giblo assets
25.717
Curytnt as$ets
Cash at trtnk and in tsnd
68.316
41876
111.1Y2
81.739
Net ￿rreNta$$ets
68.316
42876
111,1¥2
81,739
Total a55ets less tow Ikbtllues
97.869
42.876
140.745
107.4
unles￿cted lneome Funds
97.
42,876
140.745
107,45J

Silverstono Recreational Associati(
Notes to the Finan¢ial Statements
forthe ypar ended 31 March 2023
1 Acccuntlng ba￿5
Th& prinapal accounb.ng p(4iae5 8dtspted in Ihe preparabon of th8 fiTrarKia *atemettts are set
out bel¢)w and have remained unchanged from the previous year and have dso been
consstenvy applied vthin Ihe same ¥counts.
8 Basts ofpreparaton ofthe ststem
The fin¥t¢1￿ statements have been prepared urtrderthe hi*orical c05tconvenb.on and in
a¢Cor(jan￿ the appIl￿ble ¥counb"rtg S￿d*(￿.
b Depreua1ion
Depreothon has been cornputed lo write off th& ¢05t of t￿gIble fixed assets over Ihetr
expected useful lives u&ng the following rates".
Buildings
Ewipment
Nil per annum
10% Reducing b￿￿te
2 TanglNeAssèts
Plant and
nxhlnery
Cost
At 1 AWÈI 2022
Addth'ons
At 31 March 2023
97.572
7.125
104.697
97.572
7.125
104.697
Depreciats"on
At 1 April 2022
Charge for the year
At 31 M8rch 2023
71.861
3,283
75,144
71,861
3,283
75.144
Net book value
At 31 March 2023
At 31 March 2022
29.553
25.711
29.553
25,711

Silverstone Re¢Trational A$S￿lI110n
Notes to the Financial StatÈments
for the 5wr ended 31 Marth 2023
3 Movement In funds
Net
TransTe
movement beknn
In ftrnds
nds
At
011tM122
31M3123
Unrestrfeted fijnds
Premousty reported
Pnorye8r adiusknent
Reststed General Fund
410.649
{329.0601
81,589
16.280
97,869
Restricte<t funds
Footb￿1 Foundab'on
Fa¢ilib"ps Devdopment
4.729
21,132
25,861
(7.9851
25.000
17.015
13,2561
46,132
42.876
Totsl funds
107.450
33.295
140.745
Net rmvèment in funts. induded in the above ¥e * r￿lOWs."
Incomlng
Movement
In funds
expended
Unrestvleted fvnds
General fvnd
39.431
123.151}
16.280
Restrtcted funds
Foo1ball Foundab"on
Facilities Devdoprnent
9.6C#)
25.000
117.5851
17,9851
25,DOO
17,015
117,5851
Tolal funds
74,031
140.738
33,295
4 Prlor Year Adjustsnent
Duiing the year a prioryear adjustrnent has been posted in respect of the cost of ￿lIding$
held by the chwity.
PrewoW builth"ng5 had in errof been recogn￿1 as belonging to 1hè Ch￿ty %thereas it has
transpired the charity dtses not ovm the tyjildngs As suth an adiuslmentto rernove Ihe cost
of the builitings has been Include(I In 1hese account5. As a resutt of this Ihe v8lue of tsngible
assets has decwsed by£329,1)60 a5 has 1he broughtforw8rd retsined fund5.