FiR4'TI
COMMUNITY FIRST
(Company limited by guarantee no. 01757334
reglstered charlly no. 288117)
REPORT AND FINANCIAL STATEMENTS
YEAR ENDED FOR THE YEAR ENDED 31 MARCH 2024

COMMUNrrY FIRST
(Company Ilmited by guarant•• no. D1757334. reglst•r•d charlty no. 288117
REPORT AND FINANCIAL STATEMENTS
For the year gndgd 31 March 2024
CONTENTS
Page
L•gal and administrative inforniatlon
Tru8ts05'$ rnport
Audttors. rnport
14
Statement of flnanclal actlvltles
18
Balanc• sh•ot
19
Ststamont of cash flows
21
Not•s to th• Ilmnclal statements
22
Financial support and other Gontribulions
39

COMMUNrrY FIRST
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY.
ITS TRUSTEES AND ADVISERS
For th• yoar •nd•d 31 March 2024
TN8t•o¥
James M¢)ody IChaimian}
Stove BoDcock
Leah Campbell (resigned Octobèr 20231
Piers Dibben '
Edward Heard
Virglnla Keen
Sanleen Paym￿{UMar
Merope Sylvester
Victoria W818h ' {Resigned Marth 2024)
1. Mewnber of the Finance Commlttee
2. Member of the Human Resources Commmee
S•cr•tary
Karen Williams
K•y Managgmgnl Pwsonn91
Lynn Gibson (Chief Executive}
Steve Crawley lon sabbali&21 from May 2023 to August 2023)
Ed Plank
David Potts
Harry Tipple
Patron
Her Majesty The Queen
Presldent
rs Sarah Troughton HM Lord-Li8Utenant For Wiltshire
Ice Presidents
The Earl of Radnor
Ken Whatley
James Layton
William Wyldbor&Smith DL
Jane James

COMMUNITY FIRST
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARrrY,
rrs TRUSTEES AND ADVISERS
For the year •nd•d 31 March 2024
Company reg. no.
01757334
Charlty reg. no.
288117
Financial Conduct Authority no
FRN311971
R•gi$¢or•d office
Unit C2 Beawn Busn9ss Cgntre.
Hoplon Park
Devizes
Wiltshire
SN10 2EY
Reglstered Auditor
Oavid Owen & Co
17 Market Place
Oevizes
WIMshlr8
SN10 1HT
Bank•rs
CAF Bank Ltd
25 Kings Hill Avenue
Kings Hill
West Malling
Kent
ME194JQ
HSBC
45 The Market Place
Devizes
SN10 1HZ
Lloyds TS8 Bank pk
38 Market Place
Devrzes
Witshire
SN10 1JD
Sollcltorn
Awdry. Boiley and Dougla8
33 St.John's St
Devizes
Wiltshire
SN10 1BW

COMMUNrrY FIRST
TRUSTEES. REPORT
For the yoar ended 31 March 2024
The members of the Board of Tru51ees. who are also directors of the charfty lor tho purposes of the
Companies Act 2006 present Ih&ir reportwhlch Sncludes the administrative infomiation set out on pages
1 & 2 and the 8udited financial slalgmgnts for year ended 31 March 2024 which have been prepared
in accordance with the Statement of Recommended Practice applicable lo ch8ri1ies preparing thelr
a¢coun15 in accordance wth the Financlal Reporting Standard applicabl8 in th& UK and RepLFbllc of
Ireland IFRS1021 effective 1 January 2019.
Structure. Governance and Management
Communlty Flrsl was founded in 1965 as the Community Council for Wiltshire, Incorporattrd as a
company limited by guarantee (registered in England and Walesl in Swtember 1983 and registered
as a charity in November 1983. sin￿ 2008 HRH the fomier Duchess of Cornwall and now Her Majesty
The Queen has been Patron of Community First. We currently employ 31 full lime. 18 part lime and
10 sessional roles. {June 20241
Membership of the Charlty is comprisod of supporting groups and individua15 drawn from local
communities, statutory bodies and parish and town councils in Wiltshire arKI Swindon. Community First
Is 8 part of the Rural Community Action Nettvork, which operates through Rural Communlty Counclls
in èach of England's shire counties. supporting the work of the voluntsry sector in rural communilies
and market tom￿. The netsv(*k is known nalion8lly 8s ACRE {Action with Communities in Rural
England). The governing documents of the Charity are its Memorandum and Articles of Association.
Governance of Cornmunity First is through a Board of Trustees elected by tho mombership al the AGM.
The Board has final legal authority and is rosponsible for oversgolng the operation of the entire charity
and its activr¢ies. The President and Presidents are elected annually, and TTustees aro glectod for
three-year terrn. Addiknonal Trustees may be co-opted by the Board for a 12-month period or until the
next AGM. Trustees may be elected for hvo terms of three years- i.e. six consecutive years. A TNstee
may be re*lecled for an addltional term of three years. All new Trustees tske part in a formal Induction
programme and receive 8pproprf8te trAiniig.
The Board meets formallyfive times a year. It regularly reviews its structure, the indivldual aml corporate
rèsponsibilities of Board members and the skills and expertise that they bring to the Charity, through its
strategic planning process. A revièw has been undertaken in 2024.
The ￿ Board Committee$ invomng Trustees and senlor management staff have del8galed
responsibilty for Finance and Human Resources.
The Finance Committee ig chair8d by 8 TnJst8è Wth financial knowledge and experience and holds
responsibility for finanaal oversight and protecting the assets of the Charity, including the principal
assets. its property at Beacon Business Centre in Devizes and Ox8nw¢)od OLrtdogr Education Centre.
The Committee reviews all financial reports in advance of Board meeting5 anfl monitors the overall
financial position of the Charity.
The HLtrman Resources IHRI Commitiee has responsibility for the development of HR policies and all
Human Resources related Govemance Issuos. The Committee recognises that a strong well managed
Human Resources function is central in supporting thè staff tèam.
AII TNsteos play an important role in guiding the strategic development of the Charity. nw)nitoring the
opèrating environment and risk management, identifying growth opportunibes, leading on policy
development, deciding on future priorili8s antl ensuring that the Charity is sustainable.
The Leadershlp Team comprfses of five Senlor leaders and four addibortal Managers. The specialist
accountancy services is oulsourced to Monahans. Th8 Leadershlp 18am hokls responsibility for
Implemènting Board FoliGy. &irryOng out decis1￿8 of the Board, managing the assets of th8 Charity.

COMMUNITY FIRST
TRUSTEES. REPORT
For the y•ar •nded 31 March 2024
Strateg￿ planning and deveknpment, advising Twstees on all matters pertaining lo the effective runnlng
of Iha Charity. and for ovorall business managoment aThJ developmgnt.
The staff team is organised into $ix teams (including C8ntral Supwjrtl reffl8th.ng th8 strateg¢c otiectNes
of Ihe Charity.
The Charity has fow subsidiary companies. ono of which, Communty First Trading Ltd. undertake$
inSUra￿e bulk fijel agency work, generating a PTofit of £28,144 which was grft•aided to the Charity.
The other three subsidiaries. Wiltshire Enterprises Ltd logglher with Wiltshirg Con¥nunity Job$ ond
Youth Actiori Wiltshire Icornpanies limited by guarantee) were dormant dumg the y8ar as activities
were undertaken directty by the Charity.
In addilion lo ils Truslges, none of whom receive remunera1￿)n, the Charity beneffts gr¢aUy from the
active invotvemenl of many volunteers who contribL*te their time and skills on sub-committees of the
Board of Trustees. and as fundraiser8 and amb88S8dors of the Charlty.
Pay policy for s•nlor staff
The senior management leam cc*nprises of the Trustees and key management pe￿onnel ofthe charity
who are in charge of directing and controlling, running and operating the charity on a daY-l￿daY basis.
As mentioned above, all tnjslees give their time freely and no trustee received remunerats'on during the
year. Details of trustee expenses are disclosed in note 11 to th8 accounts_ Th8 pay of serior staff FS
revwed regUla￿Y and adjusted based on the clrcumstances of the Charity.
Rlski
Trust￿. in conjunclion with the Leadership team, have identified and reviewed the major risks towhich
the Charity might be exposed. It has design￿ a number of management and flnancial slrategies whi¢h
seek to mitigate the effects of such threats to Community First. The financial risks and asset and
propgrty managomgnt. Risk$ are $?t out in the Business Plan and this plan is reviewed annualty with
associated mitigation plans and ac1ions identified. These include=
Some fundwig streams ar& unconfimied after March 2025, induding the Defra funding and
Employability work stream funding. We continue lo work with potential fvnders lo secwe
succession and maintain gwd relations with commissioners.
OEC activity breaks even with trading income matches expendilure. We have o number of
funding avenues lo ensure this is achieved induding the delivery of Alternative Curitulum work
with Wittshire Council in 202412025
Staff remain our greatest asset and the loss of experi&nce and skilled staff is aNvays a risk. We
have a robust HR. supervision and support processes.
Proparty and vehicle mainl8nanc8 continues lo be an Identlfied rlsk wllh regular 8ervlce checks
and in8peclions across our assets
Increa$od comploxity and number of safeguarding cases has required us lo roview our
structure and procedures across services embedding further support capacity and additiC￿al
Deslgnated Saf8guardlng Offlc*rs
R•sponslbllltlos of th• Momb•rs of tha Board of Trustoos
Compsny law require8 the Tru8teos lo prepare finan¢lal statements for each financial year. Under that
law the Trustees have elected lo prepare the financial statements in accordance wilh United Kingdom
Generally Acceptod Accounting Practice (United lQngdom Accounting Standards and applicable law).

COMMUNrrY FIRST
TRUSTEES. REPORT
For the year ended 31 March 2024
u￿18r Company law the Trustees musl not approve the financial statements unless thay are 8atl8fied
that th8y give a tru8 and fair view of the State of affairs of the charity and of the Surplus or deficit of the
Charity for that pwiod. In preparing these financial $totgments, the Truslo&s are required to..
selecl suitable acGounting poliGigs and then opply them consislenlly
make judgement$ and estimatas that ore reasonable and prudent
jmpty with applicable accounting standards, subject lo any material departures disclosed and
explained in the financial ststements and prepare the financial slaternents on the going concem
basis unless it bs inappropriate to presume that the charity will continue In buslness.
The Trustees arè r6sponsibl8 for keeping adequat& accounting records that ar8 Suff￿lent to show and
explain the Charity's tran$aclions and disclose with reasonable accuracy at any lime the financial
position of the Charity and enable them lo ensure that the financSal stslements comply with the
C(xnpanles Act 2006. They are also responslble for saf9guardlng the assets of the Chartty and hence
for taking reasonable steps for the prevention and detection of fraud an(fj other irregu18rffties.
Statemonts as to dl$closurè of Infomiatlon to audltors
So far as the Trustees are aware al the lime Ihe report is approved..
there is no relevant autlit infomialion of which the Gharivs aLtditors are unawa￿, and
the Trustses h8ve taken all steps they ought to have taken lo make themselves aware of any
rekvant audit information and to establish that the auditors are aware of that information.
Obj•ctiv•s and Acti¥itle$
Communty First's Vision is Vibrani Communities, Brighter Futures with a mission to Connect
Cc¥nmunitse$. Encourage Enterprise. Tack￿ Disadvantage and Inspire Innovate and D8liv8r
ExcellerKe.
Publlc benefft
Thg Charity's activities described above demonstrate the dellvery of public ben8fi1. Th8 Trusl88S
confirm that they have referred lo the Charity Commission's general guidance when reviewng the
Charfty's objecllves and actNities.
G•norallon of funds - Fundralslng and Publicity
Fundraising remains a crucial aspeclfor our suslainabilitywith a tsrgetforthe finan¢ial year lo 31 Ma￿h
2025, of £325.700. Whllo wfr have a $ignrficanl amount of unsecured income built into the restricted
se￿1￿ budgets, the laTg81s ar6 pragmatlc and reallsllc and operating costs con be cul suffici8ntty
quickly if targets are not mel.
Employ•o8 and voluntsgrs
C¢Jmmunty First is committed to providing equalty and fairness for 811 in its empkjyment and lo not
discriminale on the grounds of 8ny protected characteristic as defined in the Equality Act 2010.
The Trustees would like lo expiess thelr gratitude for the hard work. dedication and commitment of the
excellent staff teams worklng in all parts of the Charity
K•y Achlevgm?nts
The organisation continues to operate a hybrid model of working with a b￿nd of office and home
working. We will continue to follow govemmenl guidanc&.
Outdoar Education Centres - The Oxonwood Outdoor Education Centre finished the year with an
accumulated unspent balance of £2,517 and Linkenholl finished the year with an accumulated unspent
balance of £8,286. This is an area of op8ration which continu8S to require close financial control.

COMMUNrrY FIRST
TRUSTEES. REPORT
For th• year ended 31 March 2024
Desplle ch8116ng88 w8 have managed to sustaln operatlons and extend the team wfth the
r8cruitmont of a nèw D8puty MBnager rolè, a Hous8k8ep8r rola and increased the instructor t&am over
the last 12 Mc￿ths. There is a strong calendar of booking for the next 12 months and bey(￿d.
Central Sèrvlce8 and Strateglc Developrnenl - Financially, the organlsation remalns in 8 h6allhy
position wth 8 Consolidatèd budgeted incomè of £3,034,950 at the end of March 2025 and expenditurè
of £3.019.805. We ended the year with approximately £170.000 of free reserves whlch equates lo 3.5
months of conlral runnlng cost, whSch is atx)v8 the reserves mlnlmum level of 3 months. The 2024125
forecast figure ofapproximately £264.¢JOO equates lo 5.2 months of central running costs- comfortably
within the reservtss policy. A key target last y•ar was the implementation of a new finance system. This
was achieved and Xero 1$ now in place.
The organisation continues to As an organisalion we committed lo suppgrt and influence VCSE
devek)pmen15, including the new Integrated Care Systems IICS) and Inlegraled Care AJlianc& IICAI.
The organisation ￿ntinUeS to advg¢ate for th9 VCSE spdor within the new Intsgraled Carg System
developmonl. We continue to have a seat both on the VCSE system wide alli8nc8 and work ch)sely
with Wessex CommLmity Action lo coordinate and Chair the Witshire 'Placa' based VCSE Leaders
Allianc8.
Communlty D•volopm•nt
Lo¢al Coun¢lls Support - We ￿ntInued lo $upport the Lo¢01 Councils n$ty￿rk with 228 Council$ in
the current membership. 41 In-house training ovents wer8 daliv8red. We hekl an annual conferenc•
72 attend88s.
Llnk schemes - We SLtpported the 21 Communlty Transport groups and 42 Llnk Schemes in the
county. There are 1,592 active vOlunt8e￿ in Link schemes and th8 latest audf(we undertook hI￿lighted
that together they delivered 40,299 la$ks'. an increase of 18% on the preV￿uS year.
Villag• Halls and Community 8uildings-We have continued lo support Village Halls and Community
C8ntr8s through the Wiltshir8 Village Halls Association offering support to access government granls
and financial support and advice on interpreting safety guidance inGluding webinars on a number of
topics. The village halls servSce Increase(l its membershlp to 188 members against a largel of 186. W8
Continued to deliver the Get Out Gel Active Programme. deliverad in pBrtn8rship with Wittshire &
Swni*)n Sports. 4 Village Halls successfully supported & awarded £2,100 platinum jubilee funding.
Mlnibus Driver Awareness S¢heme {MIDASI Training- MIDAS training generate an income of
£26,870 and achieved 99% satisfaction rate based on feedback from clients.
Communlty Grants and Landfill -The grants supportwe provlde remaSn essentlal lo bulldlng Ihefabric
of communrties. In 202312024 we awarded £386.703 in tolal.1£340.324 - Landfill grants. £46.379
- Bradgnstok8 Solar Fund).
Empk)yablllty Prowamm•s
It was a year of transition with a new funding regime for the Building Bridges p*nership after the
previous programme co-funded by the European Social Fund and The National Lottery Community
Fund ended. This work supports people with significant barriers towards education and employment.
We su¢¢essfully began two UK Shared Prospgrfty Fund Programmes - one supported by Wlltshlre
Council for aduRs and young people In Wiltshirè and a second supported by Swlndon Borough Councll
for people in need in Swindon. We secured a third strand of funding through a Notk)nal Lottery ReaGhir4J
Communities Award to PTOVhde supyi lo adults in Swindon.

COMMUNrrY FIRST
TRUSTEES, REPORT
For thè y•ar *nd•d 31 March 2024
We began the year with a tsrget of 195 participants to support in Wiltshire. Howwer participant needs
& barriers are far greater than on previous programmes. Funders agreed to prioritise continued high-
quality support for smaller cohorts. We supporttd 137 Building Bridges participants were supported in
Wi115hire by Ihe end of March 2024. Through Project inspire. 70 Swindon young people were supported
agalnsl a target of 50.The Buildlng Bddges Programme was L9unched for adults In Swlndon In January.
with 16 participants already in the adult support programme
Audits by Th8 National Lott8ry Community Fund. DWP European Soclal Fund Managlng Authorty. and
Govemment Inlemal Audit Agency were suc¢essfully completed
Youth Action Wiltshire
Bespoke support was offered to 128 of the mostvulnerable young carers In W Ashlre. In total 310 young
carers accessed our dired se￿1￿ provision including one to one programmes. respite and
developmentsl activities. 578 young Peop￿ accessed Splash provision In tho year1374 were young
vlcums of crime 8galnst a tsrget of 3501. 37 Youth Leaders & 21 new Young Leaders completed
a¢¢redited training courses ag8in$t a tsrget 0124. 70 young people were supported through Project
Inspirg lo ggt them Closer or into Education. Employmgnt and Training aga￿$1 the target of 50
We were awarded two multiyear contracts. Tha first from the Office Of The Pollce ANJ Crlme
Commissioner for Wiltshire and Swindon lo support Young Victims of Crime through Sp183h and thè
second was for support for young Carers and young adult cwers commlssk>ngd by WiltshSre Councll
Fundraising
In the prior year Ihe fundraising team sel a fvndraislng target of £443,820. We are pleasgj to report
that by the year 6nd- £576,151 had beon raised.
Flnanelal Rovlew
The year's income1£2,299,429} and exponditure1£2,322,407} were simdar lo the previous year lo 31
March 2023. An analysis of incoming resources and resources experHled is sh¢)wn in the folk)wing
charts.

COMMUNITY FIRST
TRUSTEES. REPORT
For the year ended 31 March 2024
Income ResoLJrces £2,299,429
Donation5 and
membership, 7%
Other Funders, 24%.
nve5tmeht. Il%
Central Government.
l5%
Landfill Tax Credits.-
14%
Local AuthoritiÈs,
30%
Resources Expended £2,322,407
Grants Payable, 15%
Fvndrasing &
Trading. 4%
Oisadvantage. 54%_
stren￿henIng
-Communitie5, 26%
En¢our8girtB
Enterprise, 1%
The overall resutts for th8 year w8r8 a r8duction in re5etves of £22,978, compared to a reductKJn of
£26.070 In 2022123.

COMMUNITY FIRST
TRUSTEES. REPORT
For lh• year ended 31 March 2024
Unrestriclgd fr99 rgsgrv9$ li.¥. ex¢lu¢Jing dgsignated fvTrJsl do¢rgased from £221.390 to £172,607.
The overall results for the year were a reiluclion in reseryes of £22,978, compared lo a reduGtion of
£26.070 irb 2022123.
The designated fund representing propety and fixed assets is not freely available lo spend and has
been excluded from the calculation of free reserves. Similarty, Ihe Strengthening Communities ftjnd
Was created from a legacy and the Trustees feel a moTal obligation to spend this gift on an idenltfi8ble
project which Would otherwise not have funding. Trust8&s klentffied the fijnds for use of the Oxenwood
Dgvglopments.
The r￿1ve$ pollcy agreed by Trusleos Is:
General or Yree. reserves. defined as all unrestricted and undesignated funds readily available for
spending are to bo maintalned al a l&vel d$signed to protect tho Charity's work against risks rektion lo=
In¢omo roliability
Expgndilure flexiblllty
Specific known liabilitl6s
Reserves shoukl cover 3-6 months of expendilure on central costs {aTound £38,000 per month) as well
as central serviGe redundancy ¢osls las at 31 March 2024 this was around £36.LK)01- CcKnmunty First
also owns assets that could be used If readSty aVaIlab￿ fknds were not enough tt> covei ony large
Designated funds are set aside by Trustees for particular purposes as described in note 17 of the
financial stslements. These funds indude the book value of property and fixed assets in use of the
Charity's activities and the Strengthening Communrties fuThJ.
Plan$ for the Future
Tha kay Strategic Priorities for the next financial year include..
Governanco and Gontr41 Support
1. Ensur8 the reserves lev6ls 8r6 in the range of 34 month's cover.
2. Renew Unit C2 lease.
3. A¢hi8vo cyber essentials. BS EN ISO 9001 and IS014001
4. Complete policy review and refresh.
5. New Branding guidelines agreed.
6. Review sustainability stalefflent and g￿en activity
7. Review asset management register and investment
8. Appoint al least tsvo new Trustees
9. Develop a legacy strategy
10.Review induction and training programme.
11.Produce and implemgnl a succession plan.
12.Secure £325,700 fundraised income
13.Secure al least £25.000 in surplus income from Community Insurance servi￿9
14.Se¢ur8 al least £5.000 in surplus income from BOLD creative servi¢gS

COMMUNrrY FIRST
TRUSTEES. REPORT
For the yaar end•d 31 March 2024
Outdt)or Educatioft
Deliv•r high quality and profe5sion•l Outdoor Edu¢•tion expw*enus •t Ox•m¥ood Outdoor
Edu¢atlon Centre and Llnkonhol¢ to hèlp nurtur• h•afth and h•pplne
Ensure the Centre breaks evgn financialty with a 20% increase in rèsidèntlal sa188 and 20%
increase in day tooking$ laclTrilies)-
1600 young people wlll have access to (Krtdoor edLKallon actlvtties
24 Residential Booklng8
44 Day Activities
Achwe the LOTC Quality Mark
Produ¢9 ?￿hlIg￿ra1 plans for the centre and achleve plannlng pemission
Carets Together
Provide quality support ftir Carern and Young Adutt C•rg
Provide a comprehensive offer lo Carers in Wiltshire, including Parent Carèrs
800/0 of Carers assessed within the firsl S working days
80% of assessments completed and support plan agreed within 28 days of contact with
service
Carers who have a formal support plan musl have a Tevlèw of the plan wllh 12-month
Per￿ds. or sooner if required.
Youth Action Wiltshire
Y<wng Car•rs
Provlde quallty support for Young Carnrs and Young Adutt Carers
80% of initial contacts received from the Council Assessrnenl team is acknow18fJged
thin 5 worknng days
Provide support planning for new refevrals, with 8 target of 80% of support plans
completed within 28 working days of contact with our service
Provide transition assessment$ and bespoke support for Young Adult Carers
Provide a minim¥Jm of 218 respite groups Suryeys . 75%+ of those attending satisfied
Young carors & young ad￿￿ carers accessing $eNice support Improve ￿lIbeIng &
increase support network
Inilialg the roll OLrt of the Young Carers in SchLK)l award programme wilh Witshlfe
Primary Schoo15
As part of Carers Together - deliver Wiltshir&wide awareness Campalgns that
rosLII in annual growth in assessed and supported young carèrs.
10

COMMUNITY FIRST
TRUSTEES. REPORT
For the yoar •ndod 31 IAarch 2024
Be Mlndful
SUppO￿ng the health and wellb•ffng of young p￿P10 in Salisbury
Support 40 Young People tt) achleve posrtlve wellboing outcome$
Strengthen Montsl Heollh $upport palhways through parlnership.
Splash
Supportlng young vlcdms of crlme andyoung people laclng challenges In thelrllves
A minimum of 400 young people access Splash servu support
50% engago in one-to￿n& programmgs. Time to talk, coaching or mentoring. With
specialist counsg11ing provlslon also avallabl8
1.200 places on positNe group worf< activities are fillgd
85%* of young people accessing service support repcyt increased sefi-esteem &
confldenee. 80%+ improve hoaf(h and wellbeing
90% of young victims of crime a¢cessing 8UPPOrt report Splash has enabled a cope &
recoveryjourney.
Youth Club$ Support
Supporting voluntaryyouth clubs thriv•
Now youth groups are provided with needs led support I￿ghOul their set-up
A minimum of 50 Youth Loadors & 30 Young Lead•rs comp￿ts ?￿redited trainiThJ
courses gnhanclng Ihelr delivery skills
A minimum of 20wmember youth groups are supported wlth governar￿, positive
activity, safe operation, volunteer recruilmenl & fundraising sUpp￿t.
Communlty Devglopmont Programmos
Wlltshlro A$s￿ladOn Local Counclls
Sustain a strong Partn•rship with WALC
S n•w hall$ in Membe￿h[pl190 In total)
75% satlsfactlon with support giv8n
75% satisfaction with support giv8n.
Communlty Led Houslng
Pmmotlng su$talnablo and affordablo hou$lng In ￿ltshI￿ and Swlndon
Increase in the number of affordable homes in the pipeline from 2 to 10
Increase in number of communities who are actively in conveT5ation about a rural
affordable housing scheme from 2 to 7.
11

COMMUNrrY FRST
TRUSTEES. REPORT
For the y•ar ended 31 Mar¢h 2024
Unk anal Community Trnnsport
Supportlng Unk S¢ham•$ ana7 Communlty Mlnlbus groups In Wlltshlr• and Swlndon
Dkect volunteer recrultment for Link Schemes and CT groups - 50 new volunteers for
both
Offer a Suite of training in¢ludiny Safeguarding training and trusts8 training
MIDAS- continue lo deliverqualty training with at least 80P/o satlsfaction from learners
MIDAS - lo generate income of £15.000.
Community Organlsin9 and Volc•
Fa¢llltato people's Vol￿ and engag•menl
Fully implement the Voice11 Hear It service meeting all contract targets
Reath al least 500 peoplo through surveys 8nd focus group8 via Voic811, H88r It
Deliver pilot neIgh￿urhood collaborative programme.
Vlllage Halls
Grow ¢>urnMmbernhlp In the Wlltshlre Wllage H*ll$ A$$o¢iation
5 new h8118 In membership1190 In totall
75V• satisfaction with support gfven.
Landfill grants
Improvlng communfty•ss•ts through ¢ommunty grants
Awe*d al least £350.000 In grants in full ccrfnpllance wSth fjntrust regulallon$.
Employ•blHty Progr8mme$
Deliv•r employ*bility support proqrnmmes to help indivlduals overcome batTlws and work
towards tholr educatlan and employment goals
Building Bridges in Wiltshire - support 195 participants (both adult and young people)
with 19Yg moving into employment outcomes and 21 % into educAlion outGomoS
Inspiro Swindon
$upwrt 50 young people towards education & employment
outcomes.
ilding Bridges Swindon
support 90 aduK8 with 27% moving into employment
outCA)mos and 16% moving into education oulcDmes.
Annual General Meeting
The Annual General Meeting of the members of Community First will be held on 91h Octobor 2024
12

COMMUNITY FIRST
TRUSTEES. REPORT
For th• year •nd•d 31 March 2024
Thls r8POrt has been prepared having taken advantage of the Small Companies exemption in the
Companies Act 2006.
By ¢xder of the Board of Trusts6S
James Moody
Chalmian of the Board of Trustèès
23 Juty 2024
13

INDEPENDENT AUDITOR'S REPORT TO THE PAEMBERS OF
COMMUNITY FIRST
Opinion
We have aLMlited the financial sialements of Communty First (Ihe charitable ￿mPan￿) for the year
endod 31 March 2024 which comprise the Statement of Financial Acliwlies (including Income and
Expenditure Account), the Balance Sheet, the Cash Fbw Slalemenl and notes to the financial
statements, including a summary of synificant accounting policies. The financial reporting framework Ihal
has been applièd in thèir preparation is applScable law and Vnhed Kingdom Accounting Standards.
including Financial Reporbng Standard 102 Tha Financial Reporting Standard applicabl8 in th8 UK
Republic of Ireland Iunilèd Kingdom Generally Accepted Accounting PractiC8}-
In our opknion the financial statements:
give a true and fair view of the stste of the charkable companys affairs al 31 March 2024 and of 118
incoming resources and applI￿110n of resources for the year then ended..
have bèen propety prewed in accordance Y￿th Unhed Klngdom Generalty Accepled Accounting
Practice including Financial Reporting Standard 102 Yhe Fln*eOal Reportong Standwd appllcable In
the UK and the Republic of Ireland. and
have bèen prepared In accordance ￿th the requir8mènts of th8 Chariti&s Act 2011.
Ba$1$ for opinion
We conducted our audit in accordance with International Standard$ on Audit￿g IUKI IISAS IUKII and
applicable kgw. Our ￿SPonsibl11t1es unijer those standards arg further describ8d in the Audilorfs
re5ponsibililies for the audit of the financial slal8ments section of our report. We are independ8nl of the
charitable company In accordance with the glhl¢al requSrements that are relevant to our audit of the
financial slalemènts in the UK, Includlng the FRC'S Elhlcal Stsndard and we have fulfil￿d our other
ethScal responsibilities in accordonce with these requiroments. We believè that the audit 6vi(Jence we
have obtsined is suffiuent and approprf8te to provlde a basis for our opinlon.
Conclusions rnlated to golng ¢on¢•m
In auditing th8 financial slal8ments. we have Conclud￿ Ihal the trustees, use of tho going concern basis
of accounting in the preparatlon of the ffinanckgl statements is approprialg.
Based ¢)n the work we have perfoimed, we have not Idenllfied any material uncertaint￿$ relatin9 to
events or conditions that, individually or colle¢livèly, may cast Stgnifi¢anl doubt on the charitsble
cornpany's abilty to continue as a going concem for a pgriod of al least months from when the
financial slatements are aulhorised for issue.
Our responsbiliti'es aTrJ the responsibililies of the trustees ￿ rnspect lo gokng ￿nCern are descrlbed in
the re￿vant 8ectlon$ of th1$ report.
othor Infomiatlon
The other information comprises thg information included in the annual report. including the trustees.
report. other than Ihe financial 51alemen15 and our auditorfs report thereon. Tho trustees are responsible
for Ihe cther Snformallon. Our opinlon on the financial ststemenls does not cover the other information
and. except lo the ext6nl otheMi88 expiiclLIy Stat￿ In our report, we do not exwess any fomi of
assurance con¢lusK)n Ihereon.
14

INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS OF
COMMUNITY FIRST
In connectlon our audll of the fknancSal ststements, our reS￿nSIbIlIty Is lo read Ihe other Snfomiation
and, in doing so, ¢onsider whether the other information is materially inconsistent wlth the financial
statements, or our krK)wledge obtained in the audit or otherwise appears to be malerialty misslaled. If
identify such malorial inconsistencies or apparent material misstalernents. we are required to determine
whether there is a material misslalemenl in the financial ststements or a material misstatement of th&
other Informalion. If, based on the work we have performed, we conclude that Ih8rg 1$ a matorial
misstatement gf this other information, we arè raquired lo report that fact.
We have nothiThJ to report in this regard.
Mattèrs on whlch we are required ta report by exceptlon
In the light of the knowledge an¢J understanding of the company ané Its environment obtained in the
course of the audit. we have not identified material misstatements in the directors, report included wilhln
the Irustees. report.
We have nothlng to report In respect of the following matters Sn relation to which the Charilies Ikcounls
and Reports> Regulations 2008 require us to report to you If, in our oplnlon..
adequate accoullting records have not b8en kept or r&tum8 adequate for our aut11t have not begn
received from branches not visited by us.. or
the flnanclal statements are not in agreement Ythh the accounting records and retum8,' or
certain disclosures of trustèes. remuneration specified by law are not made., or
we have not receNed all the informalion and expl8n8lions we ￿qUITe ftx our audit,. or
Responsibilities of trusteès
As explained more lully in the trustees, responsibilities statement sel out on page 4. the trustees (who are
also the directors of the charitable company for the purposes of company lawl are resFonstsle for the
preparation of the financial statements anil for being sat15fied that they give a true and fair view, and for
such inlemal control as the truste83 dètermine is necessary to enable the r*eparatic*) of financial
statements that are ft8è from material misstat8m8nL vth8th8r du8 to fraud or error.
In preparing the financial statements, the trustses are responsible for assessing the companls abllity to
continue as a going concem. disclosing, as applicable. matters related lo going concern and uslng th8
going concem basis of accounting unless the tNslees either inlen(f to liquldats the (x)mpany or to cease
operalions, or have no TealistSc allematfve bul lo do so.
Audltor's responslbllltl•s for the audlt of th• flnanGlal stst•m•nts
We have been appointed as auditor under Section 151 of the Charities Act 2011 and rewt in
accordance with the Act and r¥l8vanl regulations mado or having Offoct Iherfjunder.
Our objectivès are lo obtain reaSona￿e assurance about whether the flnancial ststements as a whole are
free from materi81 misststemenl. whether due to fraud or error. and to issue an auditorfs report that
includes our opinion. Reasonable assurance is a high level of assurance bul is not 8 gu8ranlee that an
audit conducted in &cor(lance %Mth ISAS {UK) wll aNvayE detect a material misststement il exists.
15

INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS OF
COMMUNrrY FIRST
Misslalements can arise from fraud or error and are considered material if, indmdually or in the
aggregate, they could rnasonably b8 8XP8Ct8d lo influenc8 the eCorKJM￿ decisions of usets taken on the
basis of these financial ststements.
1wu1ar￿e¥. induding fraud. are instances of nor￿mPliance laws and regulations. We design
procedures in line with tsjr responsibilitlès. c4Jtlined above, to det8ct material misstatements in respect of
irr8guL4riti&s. induding fraud. The 8xt&nt to which our proc8dures are capable of detecting irregularities.
Induding fraud 1$ detslled below.
We Obtain￿ an undeTStandlng of laws and iegulalions that affect the ¢harK8ble company. I￿U$l￿9
on those that had a direct effect on the financial slatements or that had a fundamentsl effect on its
operations. Key laws and regulations that we identified included the Companies Act. the Charities Act.
dala protection kgislatK)n and employment kgislation.
We erquired of thg trustaes. reviewed correspondence with the Charity Commi35ion and reviewed
trustees. meeting mlnulos for evSdence of non-compliance with relevant1ow$ and regulations. We
also rgviewed controls the trustees have in place lo ensure Gomplian¢e.
We galled an ynderstsnding of the Controls that Ihe Iruslees have in placg lo prevent and detect
fraud. Wè 6nquir8d of the trustees about any inchJenc88 of fraud that had tsken place dudng the
accovnling p8ri0d.
The rL8k of fraud and non-compllance wlth laws and regUla￿On8 and fraud was discussed within the
audit te0m and tests wero planned and perforrned lo address thesé risks. We Idenlffièd the polenll81
for fraud in thè foIh)V￿ng 8reas- m18appfopriation of cash and other assets, undisclosed related party
Ir8nsaclK)ns outside the r￿rMal course of business and misststement of the investment propety
valuali)n
Wo revtewed financial statements dis¢kJsures and tested to supportlng documentaUon lo assess
¢ompliance wilh relevant laws and regulations discussed above.
The engagement partner considers the engagement te8m collectively had the appropriale
compelence and capabilities to idenii'fy or recognise non-compliance with laws and regulallons.
We enquired of the trustees about actual and rthntial litigation arml daims
We obtainBd independent confirma￿on5 from yjur bank regardSng balances al the year-end in
addition lo any outstsndiro charges
We perfornied anatybcal procedur8s to id8ntify any unusual or un8xpgclod relationships that might
indicate risks of material misst8tement due lo fraud.
In ￿￿reSsIng the risk of fraud due lo management override of intemal controls we tested the
apprOpriate￿sS ofjoumal entries and other adjustments throughout the period and assessed
whether the judgements made in making accounting estimat8s were indicativ8 of a potential bias. We
also carried out o revpw for transactions outside the normal course of busin68S.
16

INDEPENDENT AUDITOR'S REPORT TO THE MEMBERS OF
OMMUNITY FIRST
Due to the inherent limitations of an audit. there is an unavoidable risk that we may not have detected
some m8terial misststemenls in the financlal ststemenls, even though we have prop&rly plann8d and
performed our audit in acwrdance with auditing standards. For example. as with any audit, there
remained a hvJher risk of non4etection of irregularitie5, as these may invofve collusion, forgery,
intentional omissions. misrepresentations, or the* overrido of inlemal controls.
We are not responsible for p￿VeTrting fraud or non<omplian¢e Trmlh laws and ￿gL￿￿on5 and cannot be
expected to det8cI all fraud and non-¢ompliance wlh laws and regulations.
A fijrther description of our respon8ibifilies lor the audit of the financial statements located on the
FSnancial Reporting Councll's webslle at." www.frc.org.ukJauditorsre$ponsibilrties.
Thls description fom8 part of our auditor's report.
David Owen & Co 18 eligib￿ for appointment as au(litor of the charitable company by virtue of Its eligibillty
for appointment as 8udilor of 8 company under seC￿n 1212 of the Companie$ Act 2006.
Use of our roport
This report is made solely to the charltsble ¢ompanYs Irust89S. as a bo￿. in accoldance Part 4 of the
Charities (Accounts and Reports) Regulations 2008. Our audit work has been undertaken so that we
might state to the charitable compan￿$ members those matters we are required to stBte to them in an
audrtorfs raport and for no other purpose. To the fullest extent permitted by law, we do not accept or
assume responsibilrty to anyone other than ihe charitable company and Ihe charitable companls
members as a body, for our audit work, for this report, or for the opinions have fornied.
David Owen & Co
Stslulory Auditors
Charterod Accountants
17 Market Place
Devlzes
%Niltshir8
SN10 1HT
17

COMMUNrrY FIRST {company limited by guarantso)
STATEMENT OF FINANCIAL ACTIVITIES (including income & oxpondlturo a￿OUnt)
For Ihe yèar endod 31 March 2024
Unr•stri¢t¥d
Funds
2024
Rostrictod Endowment
Funds
Funds
2024
2024
Total
Funds
2024
Total
Funds
2023
INCOMING RESOURCES
In¢om•
Donat￿nS and legades
Tradlng activities
Membarship and
affiliat￿n fees
Charitable 8clivitie$
Investment income
Olh•rln¢omlno resour￿$
Gain on dlsposal of
fixed assets
TOTAL INCOMING
RESOURCES
19.581
119,744
139.933
10D.458
1.240
160.754
220.202
249,817
262. 175
1A67
239.135
30.292
7.141
1,639,626
812
608
1.878.761
31.104
12,376
1.75&499
15,754
410.219
1.887.970
1,240
2,299,429
2,300,961
RESOURCES EXPENDED 7
Fundraising and publicity
Cornme￿191 trading 0para￿on8
Charitabl8 activlties
Community Development
Encouraging Enterprise
Tackling Disadv8ntBgè
5,256
1.240
6.496
80.213
7.921
74,586
80.213
333,793
1,863
123.183
273,716
378,188
1.124.955
607.509
380.051
1.248.138
592.870
43T.315
1,214,339
TOTAL
RESOURCES
EXPENDED
539.052
1.782,115
1.240
2.322.407
2,327,031
NET INCOME I
(ExPEND￿uRE￿
Transfers betsveen fund$
{128,833)
105.8
122.9781
(26.070J
NET MOVEMENT
IN FLINDS
128,833
105,855
22.978
26,070
RECONCILIATION OF FUNDS-
TOTAL FUNDS
BROUGHT
FORWARD
TOTAL FUNDS
CARRIED
FORWARD
17
£ 799.zlt £ 1.104.477 £
Nil £ 1,904,188 £ 1,930,258
670,878 £ 1,210.332 £
Nll £ t,881,210 £ 1.904,188
The notes on pages 22 to 38 form part of these financial slalemenls
18

COMMUNITY FIRST {Company registration 017573341
BALANCE SHE
As at For th• ￿ar ended 31 March 2024
Consolidated
2024
Charlty
2024
Not•s
2023
2023
FIXED ASSETS
Tangibk assets
Investments
Investment property
12
13
13
250.534
100
100.000
350,634
250,087
loo
too,000
350,187
250,534
200
100,000
350,734
250,087
200
loo.000
350.287
CURRENT ASSETS
Debtors
Cash al bank and In hand
14
437,201
1.369 903
1,807,104
310,240
1,475.OOT
7.785.247
472,826
1281.477
1,754,303
343.823
1.380.606
1.724.429
CREDrroRS: amounts
falllng due wfthln one year
15
1276.528}
{231.246
1223.827)
1170,528)
NET CURRENT ASSErs
1.530.576
1,554.001
1.530.476
1.553.901
TOTAL ASSETS LESS
CURRENT LIABILITIES I NET
SSETS
£ 1.881.210 £ 1,904,188
£ 1.881.210
£ 1.904.188
FUNDS
Restri¢led funds
UnTeslricted fund8'.
Designated funds
General funds
17
1,210,332
1,104.477
1,210,332
1,104,477
498.271
172.607
578,321
221.390
498.271
172.607
578.321
221,390
£ 1,881,210 £ 1,904,188
£ 1,881,210
£ 1.904.188
The company is entitled to the exemption from the audit Tequifftment contained in Section 477 of the
Companiès Act 2006. for thè y8ar ended 31 March 2024 although an audit has been carried out under
section 144 of tho Charities Act 2011. No member of the company has deposited a notice, pursuant to
seclion 476, requiring an audit of these accounts under th8 requirements of the Compantes Act 2006.
The annexed noles fomi part of thgse finan¢ial slalemgnts
19

COMMUNITY FIRST (Company rnglstratlon 01757334)
BALANCE SHEET
As at For th• ￿ar •ndod 31 March 2024
The directors acknO￿edge their responsibilit￿$ for ensuring that the company keeps accountirwJ
records which comply wlh section 386 of the Act and for preparing ￿coUnts ¥thich glve a true and fa
vlew of the slate of affalrs of the company as al the end of the finarKlal year and of its incomirwJ
resources ond application of resources. including its income and expendllure for the financial year
accordance wtth the requirements of sections 394 and 395 and which olherwlse comply with the
requirements of the Companies Act 2006 relating to accounts. so far as applicable to the company.
Thes9 financial slalements have been prepared in accordance the special provisions of Part 15 of
tha CompanKgS Act 2006 relating to small Ghafitablg ¢ompan(es. They wero approved and authorised
for issue by th Trustèep on 23 July 2024.
JAMES MOODY. Chair
SANJEEN PAYNE KUMAR. Trustee
The annexed not8$ form part of thes8 financial statemer
20

COMMUNITY FIRST
CONSOLIOATED STATEMENT OF CASH FLOWS
For the year end&d 31 March 2024
Not•
2024
2023
Cash flow from operatlng a¢tlvllles {see bel¢>wl
112.208
132,431
Cash flow from Investlng a¢tlvitl•s
Pro￿ed8 from the sale of property, fixtures and equipment
Purchase of fixed asset additK)rn8
Investment income received
(2.340)
(9.410)
15.754
12
(24,OODI
31,404
N•t ¢a$h u$•d In inv•$tlng a¢tlvili•$
7.104 £
4.004
Change In Cash and ush equlvalents In Ihe year
(105,104)
(128,427)
Cash and cash 8quivalents bought forward
1A75,007
1,603,434
Cash and cash eq￿￿816nts carrled forwar
£ 1.369.903 £ 7.475,007
RECONCIUATION OF NET MOVEMENT IN FUNDS TO NEf CASH
2024
2023
Surplus l {deficitl for the year
Depr8ciation chargès
Dividends Interest and rents from investments
Loss l {Profrt} on sale of fix9d a$sgts
Decrease I lincreasel in debtors
Increase I Idecreos¢} in creditors
(22.9781
23.553
(31.11M
(26.070)
20.545
(15.754)
2.340
{165,169)
51,677
12
14
15
(126.9611
45,282
£ {112.2081 £ (132,431)
21

COh1MUNrrY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For the year ended 31 March 2024
I. ACCOUNTING POUCIES
The principal accounting polScies are summarised below. The occounling policies have been 8Fplied
consistentty throughout the year and in the preceding year unless Other￿Se stslèd.
(•) B•sls of •¢¢owidng
The financial statements of the charity, which is a public benefrt entity, have been prepared in
accordanc8 with th8 Charities SORP {FRS 1021 Accounting and Reporting by Charbties.. Slalement of
Recommended Practice applicable lo charities preparing their accounts in ac￿rdanCe with th8
Financial R8POrting Standard applicable in th8 UK and Republic of Ireland {FRS 1021 {effeclive 1
January 2019} and the Charitie5 Act 2011. The accounts have been prepared under the historical
cost Convonlion. modifiod to in¢ludg Certain ilgms al fair value and on a going concem basis. The
trustees consider that there are no material uncertaint￿$ about the charity's abllty to conlnue as a
going concern. The financial statements have been prepared in Slerfing.
The financial $lalements have been consolidated to include the resulis of Communtty First Trading
Ltd, a wholty owned subsidiary of Community First.
No separate Slalemenl of Financoal ActOv6ties or Income 8nd Expendblure Account have been
presented for the Charity alone as penmitted by paragraph 408 of Ihe Companies Act 2006.
(b) Fund a￿o￿ntIng
General reservès unreslrScted funds whl¢h are available for use at the dlscrelion of the TNstees
in furtherance of the general objeclNes of Ihe Charity and which have not been designated fcf other
p￿r￿e$.
Designated fvnds comprise unrestricted funds that have been set aside by the Trustees for particular
purposes. The aim and use of designated fvnds is sot out in the nolos to the finan¢ial statements.
Restricted funds ore funds which are lo be used in a¢cord8nce specrfic restrict￿$ Imposed ty
the donots or which have been ralsed by the Charlty for partlcular purposes. The costs of ralslng and
administering such funds are charged against the specrfic fund. The aim and use of the various
reslricled funds is sel out in the note$ lo the finanual statemants. It is the Chariws policy lo transfer
funds from general reserves lo efiminale deficits incurred by services funded from reslricled funds
which will not be recoverable from future restricted income.
Endowment furKls are restricted funds received for the 8P8cffiG purpose of estsblishing a donor
advised fund wlh The Community Foundalion lo be invesled where On￿ the income generated can
be expended to benefit YoLth Action Wiltshire Services. The funds have been invested The
Community Foundab'on's other endowment funds.

COMMUNrrY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For the y￿r endod 31 March 2024
(c) Income recognltion
All incoming resources are included in the Statement of Financial Activities ISOFAI when Ihe charity
is legalty enttued lo the income after any perfomance conditions have been mel, th¢ amount Can be
measured reliably and it is probabl8 that the incom& will b8 r8c8ivèd.
Donations are accountod for whfrn fecfrivod and mlaled gift aid whon receivable. Legacios arfj
Co￿ted for when received or when entitlement arise5, It 15 reasonabty certain they wll b& received
and amounts can be measured wlth sufficient rgllabllSty.
Membership income is irKluded in the Statement of Financial A￿1VitieS in the year of receipt.
Grants receivable are reGognised in fvll in the Ststement of Fingn¢ial Adivilw in the year to whith
they relate.
Income from government grants are rewgnised al fair value when the chartty has entitlement to the
funds. any performance conditions have been mel it is probable that the income wll be received and
the amount can be measured reliabty. If entitlement Is r>ol met then these amounts are deferred.
Rental income is included when receivable.
Trading income ig induded when reC81va￿e. This includgs in$uran¢e administration fees. oil bulk-
buying ¢omrnission. and branding and design work.
{d) EXp￿d￿ure recognltlon
Al expenditure is accounted for on an accruals basis and has been classified under headings that
aggregate all costs related to the category_ Where costs cannot be dire¢tty attributed to pa￿¢vIOr
h8adings thay hav8 been allocated to activities on a basis consislenl with the use of resources.
abilities are recognisod as expenditure as soon as there Is a legal Dr conslrucbvo obllgation
committing the charity to that expenditure, il is Probab￿ that a transfer of economic benefrts wll be
required in setlement and the amount of the obligation Gan be measured reliably.
Support ￿$ts. wh￿h include management and administration costs Incurred in the ChariVs offlce
and govemance costs, which are the costs associated wilh the govemance arrangements of the
Charity. have been allocated lo the Charity's activities based on ofiice space occupied, time spent
and resources managed.
Govemance costs include those costs associated ￿th meeting constitubonal and statutory
requirements of the charity and include the audit fees and costs finked wlh the strateg
management of the chanty.
23

COMMUNrrY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For tho yoar end•d 31 March 2024
Expenditure dir8cUy attrlbutable lo a speclfic activlty ¢otogory le.g. charitable actfvdles, govemance
costs) has been included in the relevant calogory. Where costs arfr attribjtable to more than one
actiwty, they are apportioned across activities based on the time spent by stsff on th086 ackwities 8ThJ
their use of shared resources.
(•) fanglble fixed •s$et$
Tangible fixed assets with an individual cost of £1,000 or more are capilalised and induded at ¢o$t or
Valuatlon.
Deprec18tion is not charged on freehold land. DepreciatK)n on other tangible fixed assgts is chorged
Freehold & ￿asehohl buildings
Office equipment
F￿tureS & frttiThJs
Motor vehicles
2Y• of cost ￿r annum
20% of cost per 8nnum
10% to 20% of Cost per annum
20% of cost per annum
(l) Invesbn•nts
Investment propertiés are valued al market value. FLYed asset Investments are valued al cosL
(g) Cash and ¢a$h equivalonts
Cash and cash equivalents include c8sh In hand. dewsits held at call vthh b￿kS and olher short
liquié inveslmenls.
(h) Debtors and credltor5 re¢elv•ble Ipayable
Trade and other debtors are recognised al tho settlement amount due. Prepayments are Va￿ed at
the amount prepaid.
Crgditors and provisions ar8 recognised when the charty has a prosent obligation resuKing from
past event that will probably result in the transfor of funds lo a third party and the amount due can be
measure(l or reliabty eslimalgd. Credf(ors and provislons are normally recognised at th8 s8tt18menl
amount.
(i) lffecoverable VA T
Due to partial exemption and the receipt, for VAT purposes, of non-business income, some VAT
input tax Is Irrecov8rable. Thls Is allocated in the a￿LTrnts as part of support cost.
(D Flnancl•llnstrum•nts
The ch8rSty has only financiol assets and financial liabilities of a kind that qU81fy as baslc ffinancial
Instruments. Basic financial instruments are Initial￿ recognised al transaction valuè and
subsequenlly measured at thelr settlement value wrfh the exceptKJn of investments Ythlch are
measured al fair value.
24

COMAIUNITY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For the yaar andod 31 March 2024
(k) L￿88$
Oparating laasa rental$ 8r* charged to the incom& and expenditurè account as inCur￿d.
) Pansit￿ sch•m•s
A defined contribution scheme wf(h Royal London {previou$ly knt)wn a$ Scottish Lif81 is in place for
staff who are not mewnbers of the Wiltshire Pension Fund and who wish lo be members of and
contribute lo a pension scheme. All eligible staff were aulo-enrolled into this scheme as from
Novembor 2014. The rate of empbyer contribution is 7.00/•.
{m) fax
The charlty Is an exempl charfty vilhin the meaning of schedul6 3 of the Charities Act 2011 and is
Considerèd to pass the le$ls set out in Paragraph 1 Schedule 6 Finance Act 2010 and therefore it
meets tho definition of a charitable company for UK corporation lax purposes.
(n) Golng concern
The financial statements have been prepared on a going concem basls as thè Iruslees believe Ih8t
no material uncertainties exist. The trustee$ have considered thÈ L9v81 of fvnds hèld arhd Ihe
expected level of Income and expendf(ure for 12 months from aulhorising these financial statements.
The budgeted income and expenditure is sufficient with the level of reserves for the charity to be able
to continue as a going concern.
2. INCOME FROM DONATIONS AND LEGACIES
Unrestrlct•d
Funds
2024
Rostrlcted Endowment
Funds
Fund$
2024
2024
Total
Fund$
2024
Total
Funds
2023
Goneral donations
Legaues
19.581
139,933
1,240
160,754
165,398
84.419
1.240 £ 160.754 £ 249,817
19,581 £ 139,933 £
25

COMMUNITY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For the year ended 31 March 2024
3. INCOME FROM TRADING ACTIVITIES
Unrostrl¢l•d
Funds
2024
Restrl¢ted
Funds
2024
Total
Fund$
2024
Total
Funds
2023
Events
Expenses récovered
Other eamed income
Insurance administration fees
Other miscellaneous income
720
17.773
2.386
80.299
18.493
2.386
96.438
102,061
824
25,175
903
138,035
96.523
1,539
£ 119.744 £ 100.458 £ 220.202 £ 262.175
16,139
102.061
824
26

COMMUNrrY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For th• y•ar end•d 31 March 2024
INCOME FROM CHARITABLE ACTMTIES
Unr•stri¢ted
Funds
2024
R•stri¢t•d
Funds
2024
Total
Fund5
2024
Total
Funds
2023
Grants:
ACRE
Blagrave Trust
Bradenstoke Solar Communty Fund
Carèrs Support Wiltshi
Community Foundation
Community Transport Association
DEFRA
Department for Work and Pensions
Family Trusts and Various Small
Grants
Greensquare Housing
Inl8graled Care Board INHS BANES.
Swindon + Willshire)
Landfill Tax Credts
(rodlstrltr￿tsblè grants)
Melksham Town
Council
The National Lottery Community Fund
40.000
62,369
62,964
16,098
12,600
41,095
3.733
2.837
70.997
76.731
4.273
70.997
76.731
4.273
13.095
28.000
41.095
25.378
52.501
77.879
12.000
19,500
19,500
312.951
312,951
438,802
788
768
127.205
127,205
27,696
The National Lottery Community
Fundl ESF
61,803
61,803
503,269
po￿¢6 & Crime Commissloner for
Wiltshire
Primary Care Trusts
Swindon Borough Counol
Underwood Trust
Wlltshire Communlty Land Trust
Wittshire and Swindon Swts CIC
Wihshire Council
Wiltshire Wildltfe Trust
Other small grants
119,706
119,706
134, 706
26.000
24.500
175,500
25,000
14,910
9,070
505.992
50.500
175.500
25.000
14.910
9,070
505.992
39, 750
50,000
15,180
139,595
2,500
7230
9.739
16,969
Totsl grants
71,703
1.639.626
1.711,329
1.605, 194
Fees:
Oxenwood and Linkenhc41
167.432
167,432
153,305
£ 239,135 £ 1,639,626 £ 1,878,761 £ 1.758,499
27

COMMUNrrY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For the year ended 31 March 2024
5. INCOME FROM INVESTMENTS
Unrestrlctsd
Funds
2024
Ro$trfct•d
Funds
2024
Total
Fund•
2024
Total
Funds
2023
Bank witarast
Rental Income
20,072
10.220
812
20.884
10,220
5.329
10,425
30.292 £
812 £
31.104 £
15,754
6. NET INCOME I EXPENDrruRE FOR THE YEAR
2024
2023
Net income l expeNlituro for the perrod incbjdes
Depre¢ialion
Profgssional indemnity insurance
Fees payable to audit(
AudEt work
Non - audit y•￿rk
Non - audit V•rJrk r8 subsidiary
23,553
2,600
20,545
2,866
14.646
3,958
503
12,600
2,308
762
T. ANALYSIS OF EXPENDITURE
A¢tlvltl•$
directly
undertaken
2024
Grants
Support
18•• N•)t•
Costs
8) {5￿ Note 9}
2024
2024
Totjl
2024
Total
2023
Costof genw•llnq
funds
Fundraising costs
Trading Company
6,496
80,213
6.496
80,213
7,921
74.586
86.709
86,709
82.50T
Charitabl• aclivitffe$
Community
Development
Encouraging
Enterprise
Tackling Disa¢Jvanlage
414273
193.236
607,509
592.870
27.805
913,917
1.355.995
350,381
8,547
358,928
380.051
1,248.138
2,235.698
437.375
1.214.339
2,244.524
325.674
520.775
£ 1,442.704 £ 358,928 £ 520.775 £2,322.407 £2,327,031

COMMUNITY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For th? year ended 31 March 2024
8. GRANTS PAYABLE
DU￿n9 the year the followong instilubonal grants were made:.
Lan
mm
Fu
48 grants12023: 451 were paid to assist Communty groups and voluntary organisalions to improve
their local 8nvironment'.
2024
2023
Avebury Cricket Club
Avebury Sports & Social Club
Bradford on Avon Town Councll
Calne Borehole Football Club
Codforé Lawn Tennls
Collingbourne Kingston Parish CounGil
Cricklade Development Found81ion
FLISCA
Goalacre Cricket Club
Hamham Parlsh Hall
Hllmarton Jubilee P￿Y Park
Marlborough Golf Club
Mere Town Council
Nèw Blunsdon Communty Shop
Oaksey Village Hall
Royal Wootton Bassett Sports Associatlon
RWBSA- Mowers
Stratton Sl Margarets PC
Swondon Cricket Club
Swindon Town FC
Tytherton Village Hall
Wesl Whe81s Track Swindon
White Parish PCC
Wil¢ot Cricket Club
Yatton Keynell Rocreation AssoGiation
Projects under £10,000
30.000
11.500
10,000
24,054
10,000
10,000
14,746
13.986
17,753
10.000
30,500
10,000
31,000
30.326
10.000
28,049
10.000
11202
48,715
72,000
15.000
10,000
30,000
30,000
22,000
10,OChg
10,000
10,000
135.053
106,490
£ 350.381 £ 406.993
Link Good Nei
hbour Scheme Grants
11 grants 12023.. 41 each of less than £I0.(X)O were pald lo provlde transport and oth8r servl¢e$ to
local people in need.
2024
2023
Projects under £10,000
8,547 £
7,124
Total grants payable
£ 358,928 £ 414,117
29

COMMUNITY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For tho ￿ar ènded 31 March 2024
9. SUPPORT COSTS
Charitable
A¢tivitle$ Gov•manc•
2024
2024
Total
2024
Total
2023
Staff costs
Premises costs
Depr￿latiOn
Other costs
198,507
50,623
23,553
88,535
41.548
240.055
50.623
23.553
141,655
216. 145
58.588
20.545
165.348
53,120
£ 361,218 £
94668 £ 455886 £ 460.626
10. STAFF NUMBERS AND COSTS
2024
2023
Wages and salaries
Social security costs
PensK)n costs- defined contribution scheme contributions
1.081,480
91.270
85.781
1,091.075
97,467
82,629
£ 1,258,531 £ 1,271,171
The average number of staff duriThJ th8 yaar was
49
Empk)yees tsamirtg over £60.000
Numbèr
Number
£70,¢)01- £80,000
11. TRUSTEES AND KEY MANAGEMENT PERSONNEL
Durfng the year. nong of the Trustees, received any remuneration (2023.. Nil>. No Trusleo recgivod
r¢imbur$¢d ¢xpendlbJre12023: £NIII.
The key management personnel of the charity comprise the Trustees and the Leadershlp Team las
sholyn on page 21. The totsl employee b￿afits of the key management personnel of the Charity
were £286.13112023 . £285,019).
30

COMMUNITY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For tho year ended 31 March 2024
12. TANGIBLE FIXED ASSETS- CONSOLIDATED AND CHARrrY
Freehold
Land &
8uildlngs
Leasehold
Land & Furnltur• & Equlpmont
Bulldlngs
Flxturns
& V8hicl•s
Total
ost
At 1 Aprll 2023
Additions
Dlsposals
At 31 March 2024
52.001
197.448
75.977
116.967
24.000
442.393
24.000
52,001
197.448
75.977
140.967
466.393
Depreclatlon
At 1 April 2022
Charge for the year
On disposals
At 31 March 2024
3,120
1,040
34.224
3,949
72,991
1.856
81.971
16,708
192.306
23,553
4.160
38.173
74.847
98,679
215,859
book valu•
At 1 April 2023
48,881 £ 163,224 £
2,986 £
34.996 £ 250 087
At 31 March 2024
47.841 £ 159,27S £
1.130 £
42,288 £ 250,534
13. FIXED ASSETS INVESTMEwrs
Con$vlidaled
2024
Charity
2024
2023
2023
Share hokling in..
Wiltshire Enterprises Ltd
(company 01741853)
Communty First Trading Ltd
(company 083600631
100
100
100
100
100
too
100 £
100 £
200 £
200
Community Frst holds LEnli$ted inveslmenls. stated at cost. in wholly-owned subshdiaries. Both
companies are registered in England. Willshire Enterpri58s Ltd was dormant throughout the year.
The wholly owned subsidiary, Communty First Traéing Limited, earns insurance commissions trom
the sale of insurancE FK•licies to Village Halls, Playing Fiehds and Partsh Counclls. 11 also recefves
subscriptions from a Bulk Oil Buiing Scheme. It is the poli¢y of thg directors to pay over th8 whde of
its proffts each year to the Charity and its accounts have been consolidated in these finanual
stslements. A summary of the trading results is shown below..
31

COMMUNITY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For tha ygar onded 31 March 2024
2024
2023
Turnover
Intertsl re¢eNabie
Total in¢omo
Cost of sale5 arbd administrative expenses
Profil in the year
Retain8d profft bought forward
Glfted to parent Charity
107,941
416
108,357
0,213
28,144
100.975
227
101,202
1.01T
30,185
{28,1441
(30,185)
Nil £
Nll
ThFJ ass&ts and babilili8s of the company were
Debtors
Cash at bank and in hand
Creditors falling due wlhin one year
288
94.402
(94,590)
88,417
188.3171
100 £
100
As at 31 March 2024 Communty First Trading Ltd had nel assets of £100 and share c8Pital of £100.
L•as•hold
Land &
Bulldlngs
Valuation
As al 31 March 2023 and 31 March 2024
£ 100,000
The investment property was last professionaThy valued as at 31 March 2022. The valuation was
Ca￿led out by Huw M Thomas MRICS on behalf of Huw Thomas Commercial. The rna￿et valuation
was estimated having regard to the properws age, nature and type. the terms a￿lICable to the
existing lease, the terms applicable to the renewed lease and the ¢urrent state of the commercial
property market.
The Investment propety Is currently leased at £10.2201annum on a fNe year lease with a three year
break clause.
32

COMMUNrrY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For thè year ondod 31 March 2024
14. DEBTOR8
Consolidatèd
2024
Charity
2024
2023
2023
Du• Wbthin on• y•ar
Tradè debtOTS
Other debtors
Prepayments and ￿¢rUed In￿me
415,519
105.398
105,799
99.043
421,022
105,108
105, 799
132.976
21,682
51,8Q4
£ 437.201 £ 310.240 £ 472.826 £ 343,823
15. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
Consolidated
2024
Charity
2024
2023
2023
Trade creditors
Taxation and soclal securty
Other crèditors
Accruals and deferred incomo
70.188
33,023
10.OS7
163.260
88,926
34. 765
1,217
106,338
21474
32,796
10,057
156,500
36,471
34.470
1,217
98.370
£ 276.528 £ 237.246 £ 223.827 £ 170,528
Deferred Income
Balan￿ at 1 April 2023
Amount released to Incoming resources
Amount deferred in thg yeor
Balance a$ at 31 March 2024
53,9S8
{53.9581
106.507
106.507 £
799
(799)
53.958
53.958
33

COMMUNrrY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For the year ended 31 March 2024
16. ANALYSIS OF NET ASSETS BETWEEN FUNDS
Fund Balan¢e$ at 31 March 2024 reprns8nt•d by:
Unr••trkt•d
Funds
RMtrlct•d
Funds
Total
Consolidatsd
Tangible fixed ass•ts
Investments
Current assets
Current liabilrties
250,534
100,100
596,772
1276,528)
250,534
100,100
1.807.104
1276.528)
1.210.332
£ 670,878 £ 1.210.332 £ 1,881,210
Chadty
Tangible fixed assets
Investments
Current assets
Current liabilitiBs
250,534
100,200
543,971
1223,827}
250.534
100.200
1.754.303
{223.8271
1.210.332
£ 670,878 £ 1.210.332 £ 1,881.210
17. STATEMENT OF FUNDS
UNRESTRICTED FUNDS
Tran$fors and
Re60ur¢es
Investrnent
Expendgd gaIn￿lI055&s)
Brought
In¢omlng
Forward Resou￿95
CarTl•d
Forward
GENERAL FUNDS
221.390
410.219
(515.499)
56,497
172.607
DESIGNATED FUNDS
Propety and fixed
assets in use
Strengthening
C¢ynmunities
Futur& investment
350,087
123.553)
24.000
350.S34
188,234
40.000
(40.4971
140.0001
147.737
578,321
123,553}
(56.4971
498,271
£ 799,711 £ 410,219 £ 1539.052} £
NII £ 670,878
'Properti&s and ￿ed assets in use" represents the asset value of properties owned by the group,
separately shown frorn General Funds. The amounts include Ihe net book value of properties
purchased by the charity. Thg transf8r in tha year represents the value of assets purchased.

COMMUNITY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For the year endod 31 March 2024
"Strènglhonlng Communili8s' rapTgsents a18gaGy of £188,234 thal was received in previous perK)ds.
The Trustees agreed lo 6armark these funds to be used for Strèngthening Communitie8 and
therefore transferred them into a designated fund for that purpose. The Trustses are scoplng
potential capital work to the Oxenwood Outdoor Education Centre and have earmarked the funds to
go towards Ihls prolecl.
'Future invesknenf rewesonls funds Ihat the Trustees have earmark8(I for Inv8Stlng in the Chantys
Infrastructure In the next financial period. This includes funds to cover the cost of some replacement
vehicles and other capitsl and repair work to the Charitys outdoor education projects.
35

COMMUNITY FIRST
NOTES TO THE FINANCIAL STATEMENTS
Foi tho year ended 31 March 2024
RESTRICTED FUNDS
Transters and
R•Jour¢es
Invo$tm•nt
Exp•nd•d gainsl{lossesl
Brougm
Forward
In¢omlng
R•soureos
Carrlod
Forward
Youth Actlon Wlltshlrè
Fundralsed Income
3.314
26.616
5.256
24,674
Community D•vdopment
Communty
D8v8k)pm8nl
Village Halls
Local Counclls
YAW Club Programme
86.284
20,611
63,040
14,777
60,953
21,912
160.682
(112.9151
{25,4921
(60,9531
25,557
(224.9171
36,409
9A96
7,331
114.226
3.686
49.991
Encouraglng Enttrprts•
Accelerate
Grants Programme
10.831
27.393
38,224
26.870
(17,0871
48,799
(65.8861
20.614
1,054
21.668
49.330
Ta¢kllng Dludvantsg•
Be Mindful
Community Transporl
Voice 11. Hear It
Household fund
Link Schemes
Sptash
YAW Y¢Jung Carers
Buikjing Bridges
19.500
25.116
43.750
45.957
31,360
219,046
191.792
706.129
{3,491)
(24.861)
134.364}
145.957)
152,145)
1228.358)
1172.190}
554.979
11,116.345)
16,009
14.157
9,386
13.902
44.200
51,636
86.505
23,415
42.324
106.107
151.150
362.548
196.243
1,282,650
Grants Payable
Business Grants & Loan
Fund
Landfill Communrties
Fund
Link Grants Furmj
17.863
17￿63
651.348
83,259
752.470
360.692
{361.101}
8.610
(369.7111
650,939
82.649
751,451
368.692
£ 1.104ATT £ 1.887.970 £11.782,1151 £
NII £ 1,210,332
Youth Action Wiltshire
Tackles dlsadvantage an¢J Sltpports young people through dffllcLtllles. Includlng SPLASH
progr8mmès wh￿h support youro victims of crim&. thos8 strLtggling with challenges who may be out
of education, empk*wnent and training IEEf) and young ¢arers who m8y h8ve SIgn￿¢ant caring
responsibil￿0$ for a family member. We also support a neljvork of youth clubs a¢ro$s the county.
36

COMMUNrrY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For th• year ended 31 March 2024
Communlty Developm•nt
Connects communities includes a range of services which supports local communities and
volunteers and brings people tO9elher to take action around their common coneems. SeNices
include support to Ihe Wiltshire Village Halls Association, The Wiltshirè and Swindon Local Councils
Netsvork. IWALCI. Community organising and Voice. Community Led Housing through the
partnership Home5 of Our (￿n. Community Fir51 administrates the Landfill Communities Fund and
the Wiltshire Community Transport Development Fund and other grant programmes to improve
community facil￿e$. We also supwrt local community transport services and LINK $¢hemos and
volunteers.
En¢ouraglng Entorprlse
We support rural enterprlse by offering grants to communlly groups and organlsatlons, as well as
prOv￿•ng training in relation lo the Minibus Drivers Awareness Scheme.
Tackllng Dlsadvantage
The Buihjing Bridges Programme tackles disadvantage and is a partnership of organl881ions in
Wlllshire and Swinth>n who are helplng people ov8rcom8 thelr bathers to employTnenl and
education. The programme is funded by The Nalonal Lottery Communlty Fund. Wimshire Councll
and Swndon Borough Council.
ENDOWMENT FUNDS
The Charity has been fundraising lo e$tsEAish an end¢)vrnenl lurKI in relation to Youth Action
Wiltshire. During the year £1,240 12023.. £1,035) was received and pass8d lo the Wilishire
CL)mmunrty Foundation who hold the furKI fcr the benefit of the Charity.
Tran$fers and
Resou￿￿$
InvoStment
Expendod gainsl{l¢ssos)
Brought
I￿oMIng
Forward Resources
Carri•d
Forward
SUMMARY OF FUNDS
Designated Funds
General Funds
578.321
(23.5531
221.390
410,219
515,499
799.711
410,219
1539,0521
1.104,477
1,887,970
1,782.115
£ 1.904.188 £ 2.29B,189 £{2.321.1671 £
{56.497}
56,497
498.271
172.607
670.878
1,210.332
Nll £ 1,881.210
Restricted Fund5
Transfers behveen funds represents adjustments to designated funding.
37

COhlMUNITY FIRST
NOTES TO THE FINANCIAL STATEMENTS
For the year ended 31 Ma￿h 2024
18. LEASE COMMrrMENTS
The charity has finencial commthenls li respect of operatSng le8ses of offlce equipment. The lolal
future minimum188se payments un(ler non-cancellable operating leases are as folh)ws=
2024
2023
Not laler than on8 year
Later than one and not later than 5 years
Later than fve years
2,393
1,256
2.393 £
1.256
19. PENSION COMMrrMENTS
On 30 Septembèr 2019 Communlty Flrst purchased Oxenwood Fiekl Study Centre and the staff
were TUPE'd across. These staff members were and remain members of the Willshire Pensw)n
Fund. Communty First make employers contributions lo this scheme. The pension came over as a
new fund wilh no assoaated dgficAt. Witshire Council have agreed to act as guar8ntor 8n(J cover any
lulure deficit arising on the fund 8nd therefore no potential deficit on Ihis fvnd is disclosed in these
accounts. The Gosl of the employers contributions in the year was £19.120.
A defined contribution s¢hgmg with Royal London is in place for staff who are rK)i ￿rnber3 of tho
Wittshire Pension Fund and who wlsh lo b& members of and contribute to a pension scheme. All
eligibl8 staff w8ro autO-9nro118d into thi5 sGheme as from 31 OGtober 2014. The rale of employei
contribution Is 7.00A.
The cost of ern￿oYerS contributions in the year was £60,304.
There were outstanding pension contributions al the balance sheol date of £9.393 {2023.. £2.154).
20. RELATED PARTIES
Various Trustees, officers and empknyees (and mèmbèrs of th6lr famlllesl of Communlty Flrsl have
In their person81 capacities, links with organisations which lo some degree eilh8r fund or are furKled
by Community First. This is a18rge. diverse organisation reaching into the corTrmunity and links 8re
inevitable.
The Trustées monitor these links and the Charity m8lnlalns a reglsler of dedared interests In ordgr
to foster 8 policy of transparency. The Twstees strive to promote faimess and consider that no
transadions have been influenced by inlere51s other than the Charit18. Inspection of the register
can be arranged by contacllng the Charity.
21. CONTROLLING PARTY
The Trustees considar that the charty is joindy contro118d by th8 Trustees and that there 18 r
ultimate controlling party.
38

COMMUNITY FIRST
FINNJICIAL SUPPORT AND OTHER CONTRIBUTIONS
For the year ended 31 MaTch 2024
The of Communlty First has been madè possible wth financial support and contdbutkins from the
followiThJ groups and organisations..
AAFH UK
ills Waste Limited
Accommodation Welfar8 Commttlee
Hugo Halkes Charltable Trust
ACRE
Tht Hunny Pol Children's Charity
Active Plumbing Supplies {Malmesburyl Ltd The Inchcapè Foundati
Amy Kent Interiors
Integrated Care Board
AW Galè C(hnmunity Trust
J A R8nd811
BA ASA Ltd SW
J H King Charitable TnJsl
Barn Owl Book8
James Weir Foundation
BDP Imports
Jodrell Trust
Blg G￿e Trust
The Julia and Hans Rausing Trust
Bingham Kindergarten
The Julius Silman Charitable Trust
The Blagrove Trust
Knlght Frank LLP
Eol8y Trust
Ladies, Fellowship, Sl Andrews Church. Dewzes
Bradensloke Solar Community Fund
Leaders Unb¢ked
8radford & Winsley Community
Lucienne Hughes
Swts Assoc
Lyneham & Bradenslok6 Parish CoLFncll
Bradford on Avon Llons
Magdalen Fami
Bradford on Avon Rolary Club
Malrnesbury League of Friends
Brewster M8ude CharilabL* Trust
The Mallhovse Nursery
Busin@ss Education Trust
Marfborough College
Buzz ActKJn Foundation
Masonic Charitsble Foundation
Caenhill Covnlryside Centro
Melksham Tovm Council
Chippenham Borough Lands Charity
Mrs A Lloyd
Chippenham Lions
National Bgnovolgnl Charity
Christian Mafford & Foxham Wl
The National Lottery Awards for All
Codl￿d Village Fele and Quiz
The National Lottery Communty Fund
cO￿p Local Comrnunity Fund
NHS BANES
Corsham Town Council
NHS Wiltshire
Crapper & Sons Lan(Jfill Ltd
OFGEM RHI
DEFFiA- Department of The Environment
OJM Advisory Lwnited
Oevize$ Lions
Pewsey Vale School
Durrington Town Ctyjncil
Police & Crime Commlsslonei for Vviltshye & Svindon
E&S Shops Ltd
Poulshot Village Lunch
EAP Sells 2007 Trust
Pound Arts & The Rhythm Practice
E8sy Fundraising
Radnor Charilabk Trust
Edinglon Parish Council
Salisbury Cathedral
The Emesl & Mariorie Fudgè Trust
Salisbury City Community Lottery
Estate of R Chapman Ilegacyl
Sam Evans Ar¢hitedurg
Estate of T Horowitz (legacy)
Seend CommUr￿ty Centre
Farm Cookery School
Six Mental Heahh Solutions
Freernasons
Skillsèt Le8ming
Friends of yO￿h ActN)n Willshire
Southampton Water ActiV7ty Centr&
Garfield Weston Foundation
St James Tnjst
Greensquare Accord
St Ma￿S sch￿)1
GUL Outdoor Therapy
Stsmpede Sports
Hedlev Foundation
SteDpes Travel Ltd
Henry C Hoa￿ Charitablo Trust
The Stonohengè s¢￿)01
Continuad...
39

COMMUNITY FIRST
FINANCIAL SUPPORT AND OTHER CONTRIBUTIONS
For tha year ended 31 March 2024
SVO (Calnel Ltd
Swndon Borough Counal
T2A
T811 Ships Youth Trust
The Beaufort Christmas Bazaar
Thlnk Coachbng
Tran$Will$ CIC
Tristenagh Trust
Trowbridge Guild of Community SaNice
Trowbridge Town Council
Trowbridge Town Trust
TW Partners Lttj
The UndeTrvood Trust
The Vintsge Entertainer
Walker Logistics Limite(I
Warminster Lions
WASP
Wilkins Builders Ltd
Willshir8 Association of Lo¢al C0￿c11S
Wiltshire Community Foundat
Willshlre Council
Willshire Land Trust Ltd
Willshire Music Connect
Willshir9 Outdoor Leaming Toam
Willshire Wildlrfe Trust
Zuru Mpdia Ltd
We woukl also like lo ackrKiwledge the support of all our parlners.
The Charity has also benefrted from the generous support of many indwtduals whose dOna￿On￿ and gffts have
enabled services lo be maintained and expanded.
40