Charfty Numb•r 271693
Threernilestone Community C•ntro
Annual Report and Unaudlted Flnanclal Statements
for the financial year ended 31 March 2025
S IAakn Squ•r•
PL26 6UO

Threemllestono Communlty Centre
CONTENTS
Reference and Admlnlstrauve Irrfomiatton
Slatomant of TTUStao¥ Rospon81blllltes
Ind8pendent Examinefs Report
Statement of Financial ActtNities
Balance Sheet
Notes to the Fwi8nci81 Statements
10-14

Threemilestone Communlty Centre
REFERENCE AND ADMINISTRATIVE INFORMATION
Sbjart Fe
Gunn
Elizabelh Hazel {ApFdnled 12 2024)
Danny PA(iaL*lan {Wr)ted 12 November 2024
Angda 12 Novemb8r 2024)
DA￿ Dlnwy
Mark We¥
Ery¢a H08ken
Tnth Bthy
Jth Flshar
Ch•rlty Nwbkn On Eryl•nd •nd W•l••
271693
Prlndp•l Addr•
Twro
TR3 6DP

Threemilestone Community Centre
TRUSTEES. REPORT
for th8 financAal year endod 31 March 2025
The tnjstees present thelr Tru8tagB' Report and the unaud1￿￿ flnarKlal 8tatefflents for the IlnandBI Jpar ended 31
March 2025.
The ffnanclal staternents are prepared In accxlrdanet vAih the CharfU88 Act 2011, FRS 1(Y2 Yhe Finandal Reporllng
Standard applicablè in thè UK And Republie of ITo18nd" and Aceounting and Reporting by Chariti93: Statement ol
Recommon(Jed Pracllce aP￿1¢abl• to ¢harfU¢s preparlng thglr financlal statements In accorfanca vthh tho Flnancial
Reporung Sland8￿ ¥p￿t¢￿ble In the UK and Rgpubll¢ of Ire18nd IFRS 102}.
Th• Tnots08' Raport conlalns thè InfomBllon roqulrod lo bo wovldod In th• Tnwl¢o8' Annuol Report th•
Statsrnent of Rec4)mmtsndod Prnctlce ISORPI guklo1Sn88. Tho InJstO08 of tho th8rfty 8re 8180 tharfty tru8teeB for the
purpose ofcharfty18w and und8r the ¢harflYs consutytlon ar8 known as members of the board oftsustee8.
In ihl8 roport tw$t￿3 of Thr88mlloston& Communlty Cantro prnsènl a 8ummary of Its purpo8•. kThMman¢o,
actlvltlo$, 8¢h1￿m0nts artil finane8s for tho flnand81 y￿r 31 M8reh 2025.
TFW charfty18 a reglstwad charfty and although ftot obllgfjd lo ¢omply wlth th• Slalemont ol R•commend•d Pradce
applbc4ble In th8 UK and R8publlc of Ir•land FRS 1￿￿. the organLq8llon haB lrnplom8nt8d It8 r8comm8ndatton$ wh•rn
relevant In the88 linandal 8t8lemgn
Flnanclal Revl•w
The results for tho Ilnanclal year are 881 out on pag8 ond addltlon81 rM)t88 ar• provldgd showlng ￿n￿m0 and
•XP8ndrture Sn grgatgr dgtAII.
Thls post year our fflnances have conlnued to gnjw ththllst c4thln9 our pofioy lo updat0 8nd r•pla￿ varfM K•m8
and help the regular hlrern wh8n w8 are able.
H￿thern hard work conUnu88 to brfng In lots of new booklngs whllBt helpSng orKI 8upporUng ow req￿gr htror8.
Ju¥1 after our laBI AGM Carnol Cla￿ delfvered and tilted the double flm do0￿ whlch w•re dafflaged during the w•1
and wlndy wealher.they look oxc8llenl, ￿ wo aro now lotsklng al re￿acIng commltt89 room door to lat In somo n81Ltrnl
Ilght and fre8h atr.
After fflany complalnts over thfr yearn about the cxjndllion of thg ceillng ti168 in Ch￿lah hall, we at1881 obtalned
f8vourablo quotauon from Uawnroc Celllngs arml P8rtllbns Ltd to T8plaC￿ 811 th& tll08 for £5.352.00. W8 have 0180 lust
replacad all the celHng Itght8 In ch￿818h aB the old ones were contlnulng to brnak
Thtr d)8NJ•ovw to rffinovo lh• Sod81 Club Combl Boll•r ond eombino It wllh our8 wovked ￿ woll, It ho9
dLKod th• ￿¥t ofwator h•thg fty tho 8oclal club con8ld•rnbty.
Th& now Wab Slta that waj ¢ommlJ8lon•d last y•gr h•s r•¢d¥•d lots of poellve 0)mm￿ts and18 t*thlng very
wdl. Wo11 dona SOX Dlgltsl.
W• h8vo had to have the maln slldlng doors real1gn￿ aryj 8fjP41cfjd 08 I1￿Y have c4u8od qulte a few probl•m¥.
Our d•an•rs (%%￿$nu• to look aftor our c•ntr• v•ry wall. Indudin9 a d81ty ¢1•gn of th• put41c tollot whl¢h18 open 24 hrs
a doy.
Thls year we have b99n su¢¢g$slul In 9oltlng 0 grant from Kanwyn Parf8h Coundl £ 4,000.00 to pay for daly
deankng. We *lll apply tn Ocloberfor a grant for next ￿r.
outsldo tolot has agaln t*8n vandalls•d Incwlng tho door whlch looks aj K • m bfir ha8 hen u88d to ty and
optrn It. whi¢h ha$ warped th¢ mtstsl door 8nd h8$ ¢aUS￿ ¥8rtou8 p¢oplg to get locked In. Our101kn6th has rgdu¢od
all worklty so th8t thls should not hap￿￿ ag81n.
Agaln after se¥er81 problems people uslng and vandalE51rtsJ the Ghanglng Spa￿8 room K waB aorned to have
laser lod( ffttod 80 onlytho peoplo M w88 do*gnod for fAn use ￿ This haB proved very 8u(xessfvl
I Informed you188t AGM that Stage had been totslty refurbk81*d, cau8ed a ￿￿0b￿l￿ as TADS stag• ext•nsknns
would no long8r fft thè stgge.
Thè mangggmnt committ08 h•J already r8quested that TADS remove old buty extwsions 88 thsre had been
several accldents and were ta￿ng up faT to) much room standlng on the ¥age. After a very unplg•s8nt meellng wlth
TADS M8nag8ment %then lols of unneces88ry past problems C8m8 up.
When the purpose of the meetlng was to pro[￿ that we repla(* th8 st8g* extenslons wllh Ilghl welght portable
Staglng and TAt)S werg gfven the op￿bJn1ty to sort out what th8y ne&Jed and the COrnmu￿ C¢ntr• vthjkl pay for
them. DuWTutsoffered to put In a contrfbullon from Comwall Council Community frjnd.
TN$ wos 811
8t8d In ￿m9 for TADS P8ntomlm& at a CA)St of £2.336.00

Threemllestone Communlty Centre
TRUSTEES. REPORT
for the fsnanrAal year trnded 31 March 2025
We had outsldg ofth8 buThdNy reAJeOj￿ ththrwJ cth4J b(rt afteral the rain tt slart&J lookryYJ tired and grdss was
growing in tho gutlws and T1￿[e r£rfknptatbvJ hav8 tt rnpaiiled bA de(ided to have the bjlldbig wof8ssknally
excellentjob and tr£475.IJO Ihe bU￿￿r￿j kioked lkn nv•.
In JLdy last wero offor8d a iY(48dor b) I￿￿n a dyjrch In F￿n￿th. It ¥As defvered fDf us lo wvo it a
trfal rLm. It was excdlenL quite ew Io and th• C￿ld Ilt tho b•d( VMI of Ch￿lIah hall. Aftw some
neg￿ation ￿ pBid £1250.￿ for l A 1x0ied￿ table was al￿g *ryth a IOLMI speaker and is Ire8
and ayali able for 8nyTh to use.
including tho fundkw. trtrt it t(x4( ￿ lory and fArt tr*t by ts lim8 w8 gave the 0Jnlrn￿ tho go ahgad Iho
rnmpany lost its licenc* and ** had kn start al
tt was a tol mr*e expenslve. but indthled battery ba(*up Th*x* w¥s Pgrt ofthe frst Quote. So we use(1 ourfrferKIty
ndraiser IAr Hors¢rtsft to the KeTr*yn Comnwnty fvnd on ¢)ur b8h8if aNI ev8nttHIty secure(18 gf8nl of
£30.743.90 leaviThJ thè C￿ cerrtre pist (r4er £3000.IXI lo pay from its cMn fund& Due to Ihe Wy voath&r wa
during the winter mlhs.
avall8bl¢ W wulred.
Before I fmish my rerxxt17*•Jthd l*e to say a Ifw*s' to my fo
offiws. to our ChaImi￿ M*e for the enwirwj amix¥rt of hè do8s for ts C￿lIn￿￿ty Cth To Jll. Roy &
R•sulls and Dlvldond$
At the of the finanaal year thè dwiity has assets of £17823812024- E129.079) and liabfrties of £16.88612024.
£3.615}. Th8 rt assets oflhe d￿lty have inmwj by£35.888.
The Charibes SORP IFRS 1tr2)
. h]iOJm

Threemilestone Community Centre
STATEMENT OF TRUSTEES. RESPONSIBILITIES
for tho finanoal y&argnd•J 31 March 2025
Th& tN81e8s ar0 rospwmlble for pr8p0rf￿j thg fin8ndal statsm8nts In a¢￿rdanc$ vAth op￿1¢4b]e1&W and regulalcw.
law Sp￿l￿ble to tharfties kn Englèn(J and Wales requlres tha trustees to prepare finanoaf statements for each
finandal year whith 9fv8 a tn* and fair vtaw of th& assets, liabilitie5 and financial p05ilion of the charity as al the
finandal Y￿ren￿ ¢Jate and of $urptu¥ or dgfiol of th& c17arTty and oth&rnYise ojmply wth th& Cha￿9￿ 2011.
In preparthg these finandal statements. the INste8s arn requlrgd to:
s•loct sultable aci¥)unlng polldes and apply them o)nslstendy:
make ludgements and acojunting eslimales that are reasonable and pn￿ont
slate whether thè financial Ststeffl￿ have teen prepared in awdance with apF4icable ao)Junting standards.
Identify those stsndards. and note Ihe effect and the reasorts for any n7aterfal depa￿re from standards.. anil
prepare the financial stateTh￿ on Ihe going concem basis unless it is inappToprfate to presu￿￿ that the thar6ty
wlll continua In operation.
Tho truste8S o)nfimi that thay ha¥8 comF41ed wtth th8 alKive requSram8nts kn pr8parfng th8 flnandal slat8m8nl
The trustees are reS[￿ible for keeping adequale ao))unting records that are ￿ffident to show and explaln tho
charitys trarwL*lons and disctose with rvasonable a(>)Jrary at any time the finandal poslllon of the chadty and
enable Ihem to ensure that Ihe ffinan(¥al 8tatements ¢omply with the Charibes Act 2011. They are also responsible for
8afe9uardiry the a88gls of thg tharity and hence for tsking re￿onable ¥teps for tho prevenlion arKI detection of fraud
and oth8r iry8gularfltas.
Approved by tho
of Trusloos on
and slgned on Its behaw by:

Threèmilestone Community Centre
INDEPENDENT EXAMINER'S REPORT TO THE BOARD OF TRUSTEES
OF THREEMILESTONE COMMUNITY CENTRE
We have &xamlnod tho flnondol stgtgm8nts ofth& ¢h8rfty lor the fin8n¢lèl y￿r ended 31 M•r(* 2025, ojmpr
th• St8tamont of Fln8nclal Acfvlll•s, tha Bslan￿ 8h8•t and the rglgtsd rK*te8.
Thls report Is solely to Ihe tharltys member8. as a body. In o(*ordanLx4 wllh sgdon 146 of tlw ChariUeB Act
2011. Our work has been undertaken so that we mlght ￿MplIe the flnanclal slatamgnts that w• h8v• been engaged
to compl1&. report to th& BO￿ of Trustees that we have done so. and slat8 those m8tt8rs Ihat wg ha￿ agre8d to
61at8 to them In Ihbs reF#Nt and for no oth8r purpose. To th8 fullast axtant pèrnittt•d by law. we do rwl a¢¢epl or
assum• reswnslblllty to anyone other than ¢harfty and th• chorftys membors. 88 8 body, for our work, or for thb
reporL
R￿￿¢11¥• rMpon•lbllltl•• of tru•l••s and •x•mln•r
Thg charfty'$ tnjstgfjs arg rosponslblg for thè pr8p#rallon of the firkgndal ststomonts In accordance wbth the
rnqulraments of the Chartlas Acl 2011. Th• ch8rty$ tru*•s Ly)n$kJor that 8n 8udll Is not requlred for tNs finandal
yeor under Secuon 145 of lh8 Charl￿88 Act 2011 and that an Indep8nd&nt •xamlnallon h requlred.
1118 our r•8pon8lbl1￿ to:
oxarnlne the finandal 8tstsm8nts undgr soctlon 145 of the Act;
follow the PTocedurn¥ lald dovm by the gener81 Dlrecllon8 glven by th• Charity Comm188lon und8r a•cllon 14515>
of the Charflle8 Ad 2011; ènd
8tate whether p8rflraJlar mattern hgvo LX)m• to ow ottwuon.
Ba•1• ol Ind•p•nd•nt •xamln•f• f•POrt
Our examlnauon w88 C8rrf8d out In accordance V•llh tho general DSrectlon8 glven ty th• Ch8dty Comml$$lon. An
OX8mlnatlon Indud¢8 a Mvlow ol tho accoundng recorfs k6pl by the charlty and a compgrf80n ol thg flnand•l
6tst•m•nts pro8ent•d vlih th￿ recJ)rdb. It al80 Indudè8 con8lderallon of any unusual Stem8 or dSB¢loBures tho
flnAndal 8tal•mènts and Se•￿ng èxplAnatton8 thè tru8tQ88 concemlng any Buch mattern. The procedures
und•rtok8n do not provlde dl the that ￿￿Uld b• reqLtlr¢d In an 8udlt and conwuenlty no oplnlon Is given 88
to wth•thfjT tho oryyjuntj pm•nt a tru• ond falrf th and the report h Ilmliod to th088 rn8tters out tn th•
Btatsmant below.
Ind•p•nd•nt •xamln•rf• •t•t•m•nt
In connedon our examlnallon, no maltsr hA8 o)m& to our Attendon whl¢h glvei ￿ C4u￿ to ￿11•¥* Ih•l In, any
matorf81 rosp0￿..
ae¢4)unllng r•cord8 w•r• not k•pl In •c¢ordonc• ¥Ath s￿lI0n 130 01 tho Chèthle8 Acl 2011
tha Ilnanclal 8talom8nts do not 8CCAird wlth tho80 accounllng r¢cord6
tho financlo18talam9nts do nol rnmply wlth th• accountlng requlrements of Ihe ch￿119￿ Ad
the flnanclal staternents hava not been prepa￿d In accordan￿ wllh thg Statement of Reo)mmended Pradr
8ppllcabl• lo charfties preparfng tholr acoJunt8 In accordanco wlth lh8 Flnandgl Row11ng Standard 8ppMc8ble In
tho UK and Repubk of Iroland IFRS1021
thwè18 furthtsr Infomwuon n0ed￿ for • proper under8tondlrwJ of the o￿nts to bg rea¢hod.
We have no concom8 and have como across no olher matters In r￿nn6￿On wllh th8 •x8mlngtlon to vthlth attenlKJn
should
drawn In th18 Teport In orderto enable A pvopor und8r¥t8ndlng olts Ilnanc￿l Statements lo be reached.
LLI
RTH ACCOUMTANCY LLP
The Ground Floor Offle•
5 Mathet Square
PL26 6UD
GB

Threemllestone Communlty Centre
STATEMENT OF FINANCIAL ACTivmES
for the finaTh?￿ year ended 31 March 2025
Total
Fund8
2024
Funds
Funds
FLFnds
Donallons and legades
charfIab￿ 8th4ities
175
175
30,744
30,744
¢Ovfundern
3J
3A
$7A97
$7897
55.444
Inveslrnents
438
Tot•1 In¢om•
30.744
57.002
57.602
Exp•ndltur•
49,836
49,838
N•t Incom￿0x￿￿￿dW*l
&144
30.744
JO.744
PO.744)
35M8
7,786
R•conclllatlon of fund•:
Tot81 funds beglnnlng
12 125864
12S464
117,698
117,898
Totsl tsnd• •t th• •nd of th• y•v
161J52
161.352
125.464
125.464
Th Ststomont of FIn0n¢￿ Ind￿ al 901￿ •r•Y lo•w rncowl•¢d h) th• fHwn(lal yaar.

Threemilestone Communlty Centre
BALANCE SHEET
85 at 31 March 202S
2025
2024
Flxed Astets
Tarvjib￿ awts
73.702
Debtors
Cash at bank and n haThl
3.415
4.361
51,016
71,992
55.377
(16,886)
13.615)
106
51.762
161A52
125,464
Funds
General fu￿ {LMrnS￿I
161.352
125.464
Total funds
12
161.352
125.464
11 c*)mp8nles' r¥me oThJ with FRS 102 Tr StaThJard In tho UK
8nd Rèpublic of Irelarkf. apF4ylng 1A¢f StvKl*d.
b•h

Threemllestone Communlty Centre
NOTES TO THE FINANCIAL STATEMENTS
for the fin8nc401 yoar endgd 31 March 2025
GENERAL INFORMATION
ThrneMllg8￿o Communlty Centr¢ b o ¢h8rfty In￿￿1￿￿ In Unltod Kkngdom. Th8 regSstere(l offlc• of
thg chadty18 Thragmllestrmo Comnwnlty Contre. Pongelly Way. ThraemlleSt￿a. Truro. Comwall. TR3 8DP.
United Klngdom wht¢h Is aL*o the wincipal place of bu$lness of ihe Charity. The finan￿￿ ststsments have
been pre8ented In Pound (£1 whtchls 8180 th8 fijnctlonal oJThency ollhe charty.
8UhlhlARY OF SIGNIFICANT ACCOUNTING POUCIE8
The fd￿n0 a¢eounlng pollde5 have been 8pplled conslstenty In deallng wlth Iterns vthlch are conth•r•d
m8t8rlo1 tn relation to the charity's fm8nd818tate￿￿l
B•818 of pr•paratlon
Tho finandal Statements have b8en Prepared on th8 golng concom b8918 undor thg hlstorlcal cost ￿￿v￿￿on.
modlfted to indud8 certain items at fair value. Th8 ftnandal statements have been prepared In accordgn¢8
wlth the Statement of Recommendod Pradc8 (SORPI.Ac￿un￿nQ and Reportlng by charl1￿9 prepfjrtno iholr
8ceounts In ac¢ordan¢8 wlth the Flnand81 Repo￿n9 Sthndard ￿p￿teable In the UK and Republlc of Ireland
FRS 10r. appI￿￿j S•ctton 1A ofthal Stonda￿.
A8 pemlited by tho Companle8 Act 2006. thg chavlty ha8 varfed the standard fonnats In Ihat act for lh•
sthttment ol Fln8ndal and the Balance Sheet. Deparlure8 from Ihe 818ndard forn￿1$ ara lo comply
vhth tho r8qulrmnt8 of the ChaTllleB SORP arKI oro In compllarTh wllh 8oclbJn 4.7. 10.8 arwj 15.2 of that
SORP.
8tat•ment of ¢ompll•n¢•
The fln8nclal 8lalemnt8 ofts chorfty ft*r th? fiMnd81 y8fir ended 31 March 2025 have been prepw•d on th•
golng c¢nc•m bwl$ And In arcowdanc• vAlh th• Stal•m•nl of Rgcommend•d Pracll¢e ISORP) "A￿untIng
and Reporllng by Ch8rlV88 pr¢padng thdr a¢c¢unls In ac%onl8nco wlth the Flnandal Repo￿ng Standard
appllc4ble In th• UK ond Ropubllc of Irglgnd FRS 102., •pptylng S•¢Ucm 1A of that Standard.
Fund •cc*wntlng
Th• ftAlfMlng oro the c410g(￿o8 of molntalned..
R•gtrl¢t•d l¥nd•
R•8trlcied fvndg r•pr•senl In￿me re￿1￿$ whlch can only bo used for partlpJFar purp0888. 88 ydfi6d by
tho donors. Such Pu￿088 aro s￿¢hIn tho 0￿18￿ obS•¢I6V￿ of tho ¢hodty.
Unrn•trlctod fund•
Unrn8trlct8d funds CAin818t ofG•n8rn1 and O*nat•d fund8.
- Genèral fund8 rnPrn8•nt amounts whkh ar• oxp•ndable at the db8cr8llon of the board, In futheranc• of th•
o¥edvos of th• d)arlty.
- Oestgnated blJnd8 comprise un￿s1￿cled fvnds that the tjoard has. 81 Its dl8cretlon. aslde for par￿¢￿1•r
purposes. The88 deslgn•kns have an adrnlnlstr811iM puipose onty, and do rnt 18g8lly ro8trkt tho boord
dl$¢rnl¢)n to apply ts fund.
Incom•
Income Is TecognL8ed by Induslon In the Statement of Fln8nd81 ActI￿deS only when thg charlty Is 18galty
enlilled to the income, perfomiance ts)ndibon8 attathed lo the itemlBI of inr))me hava b88n met. th8 amounts
Involved ty) b• m•uurnd wlth *rfftd•nt r•n•blllty 1118 prob8blo thNt Income be receI￿d by Ih•
ty.
Incom# from eh•rh•bl• acUvltlo¥
Income from thadlablg acllvlugs Includo Income eamgd Irthn supply of 8ervices under contraclual
arrangements and from perf0mlan￿ related grants whl¢h havg cMdlUon8 that the provlslon ol
particulor Serv1￿ to bo provhled by th8 tharlty. Incom* from govemm¢nt ond olher uTrfvnders is recognlsed
vthan th& charfty tslogally ontillod to the Incomo b8eaus8 It Is fuffilllng the condffjons eont8it*d in thè ￿]8{0d
frjndlng agreements. Where a ￿ant Is recelved In advance, 5ts recognlth)n Is doforrgd orsd Induded In
L¥edIt￿ WheTO enl1uement0wJ￿ before Incornels recelved, tt IB accNed In debtorn.
Qronts from govemments and other 0>funde￿ typlcalty Includa ofths fol￿n9 typs ofc¥)nthiion8'.
- PerfomHnco base<l ￿￿l￿on$. whereby th8rlty Is ￿ntraC(VallY enulled to fijnding onty to tha •xt8nt that
th¢ Core objectfv8s ofthè grant agreem&nt arn achièved. Whèrè ￿ thorlty b meeting the ¢OTe obledves of a
grant agreefflen(11 reL¥Jgnises the related expendibjre. to tho exlenl that It Is rèlmbuJ￿bt• by Ihg donor, as

cwunu
Threemilestone Communlty Centre
NOTES TO THE FINANCIAL STATEMENTS
for th& fmarria year eThl•d 31 March 2025
uUlis&d In a parlcul¥ Fwknd. In Ihose thg ¢h* rBrJJgnises Its in)me to the extent it is ulillsed wlthln
recognise(I wben a legal or (ThStrU￿ ￿￿IgatIcffl eyists as a resuli of a W •N*nL a transfer of eo)nomk
benefits 15 reqwrpd in se1uem￿t aThJ the of the Ot41￿ts￿ can be reka4y rwsurnd. sUPk￿ costs
are those ￿j￿tionS that assi51 the wcyk d the dwity but ￿nn01 ￿ attrit￿8d to a(knty. Suth costs are
Tanglble Ilxed assets and depreth
dep￿¥ation is cal(JJkryled to ¥rtile off Ihe crfvJinal ojst or T48bAtion r￿j assets.108s itstr estimated
Frefjhdd prop*ty
Fixtur8s and fiitiThJs
25% redwiry ithrKe
25% on r*)st
the affKiunt pyqjatd net of trade (fiscounts the. IrKx)me rewM*J by the tharity from govemment
Cash at b•nk and (n h•nd
INCOME
DONATIONS AMD LEGACIES
&1
2024
Funds
175
175
1.720
2024
FundB
744
30.744

¢￿tInUed
Threemllostone Communlty Centre
NOTES TO THE FINANCIAL STATEMENTS
for Ihe finan(ial year erKled 31 March 2025
OThER TRADING ACTMTIES
Unr•$tr1¢t￿ R•8trkted
Funds
Fund•
2025
2024
Other tradkng acdvlUe8
57.497
S7h97
55,444
JA INVESTMEI
Unrn8trlct•d R•8trlct•d
Fund¥
Fund•
2025
2024
Invo8tm•nts
438
OTHER INCOME
Unr••trl¢t•d R••trl¢ted
FundB
Fund8
2025
2024
Olharlnf))m•
281
261
EXPENDITURE
CHARITABLE ACTMTIES
DIT•Ct
Support
Co•ts
2024
Go8t•
Ey¥•ndllur• on chartlab￿ •¢llvll•8
53,n7
53.737
49.836
NET INCOME
2025
2024
N•t Incom• l• •tst•d •ft•r ¢harylngll¢r•dltlng):
Depreclatlon oftanglble
3,812
6.438
INVE8TMEKf AND OThER INCOME
2025
2024
Bank Inl•r8
438
EMPLOYEES AND REMUNERATION
The 8t8ff ct)sts Comprf￿.
2025
2024
Wag•8 and salarf8B
9.400
8,400

conllnued
Threemllestone Communlty Centre
NOTES TO THE FINANCIAL STATEMENTS
for th& year ended 31 Marth 2025
TANGIBLE FIXED ASSETS
Fffthold
propèrty
Flxlur¢$ Improv•.
and
m•nts to
fftllng• Proporty
Co¥1
At 1 Apil 2024
Addltio
63,232
(3671
2.603
10.8YJ
33.753
73.888
36.356
At 31 Mwch 2025
63,232
2,236
44.576
110,044
D•pr•¢latton
Al 1 Aptll 2024
Charge for tho Ilnanclal yoar
13,0481
1.321
3,034
2.491
141
3,812
At 31 m￿ch 2025
11.7271
3.798
N•t book Yalu
Al 31 M¥reh 2025
63.232
1963
051
101246
At 31 Mgrth 2024
63,232
2.681
7.789
73,702
DEBTORS
2025
2024
Trad8 dabtors
Prepayments and
2,111
1.304
3,250
1,111
3A15
4,361
CREDITORS
Amounts f•lllrtg due wlthln on• year
2025
2024
Trade cfvditorn
A¢¢ruals and defwred Income
930
14956
3.615
16.886
3.615
11.
2025
2024
At the beginning of the yèar
S￿u8 for the finan￿al year
125A64
35088
117.698
7,766
At th? end ofthe
161JS2
125,484
12.
FUNDS
12.1 RECONCILIATION OF MOVEMENT IN FUMDS
Unrestrl¢led
FundB
Totsl
Funds
Al 1 April 2023
m0veTh￿nt du￿9 fmanLyal year
117.698
7.766
117,698
7,766
At 31 March 2024
Movement during ts finar￿181 year
125,464
35.888
125.464
35.888
Al 31 March 2025
161.352
161.352

ccfflllnued
Threemilestone Communlty Centre
NOTES TO THE FINANCIAL STATEMENTS
for the f￿￿aal year end•J 31 March 2025
31 March
202$
nds
30.744
(30.744)
Unre•lYi¢t•d fund•
125,464
58.881
53.737
30.744
161.352
Totsl fund•
51737
161,352
12a ANALYSIS OF NEfASSETS BY FUND
Flx•d CuTh•nt Cumint
lknbIl￿
Total
1(￿346
71,992
{14U61
181.352
100346
71,992
101,332
1& TRUSTEES. REMUNERATION AMD 8ENEFITS
Jed 31 2024.