SALISBURY CATHEDRAL TRUST
srATEME
31 MARCH 2024
CONTENTS
Legal and Admini4ratiwe Drtails
T￿￿ee$. Rwrt
Independent Examincrfs Rcport
Statemeni of FinaKial kniviiies
Bala￿e She
?.- 10. Nrtes to the AccoiLnt5
291252

SALISB
RY CATHEDRAL TRusr
LEGAL ADMINISniATIVE IINFORhlATI
FOR THE YEAR E%'DED JI ,%IARCH 2024
Royal Patro
HIM The KIMg
Trustee5 and Officers
Tru%tees'.
Andrew Chri￿lt-MillCr E
IChaim)an)
The Very Reverend Canon Nick Papadiwlos {Dean of Sali%bury)
Rupern Edward% FCA
The Re%'erend Canon Kcnncth Padley
Tru%1 Direcior..
Mr% J Molnar
Address
I he ChaTxer orrice. 6 The Close. Sali%bury, Wilishire. SPI 2EF
Registered number
?91?5?
Professional Adi'iser5
Bank¢r%=
Lloyds TSB Bank plc. -18 Blue Boar Roil,. Salisbury
Solieiior.i'.
Wil￿% Alexandra Hou*, Si Johns Sirttt. Salisbury
IrMlepeTKient Examinet
HaysN4ac LLP. 10 I￿een Sire¢i Pla¢¢, London EC4R IAG

ALISBURY CATHEDRAL
TRusfEES' REPORT
FOR THE YEAR ENDED 31 MARCH 2024
The Twsl¢es Present their annual report aThJ thc firwKial *aLemenis Df Salisbury CatlKdral Trusi for ihe year
ended 31 March 2024. These have been prepared to comply with the CharitiC5 Ari 2011, Ihe Chariiy's trust deed
and A¢¢ouniing and Reporting by Charities: Ststernent of Recommended Trxii¢e applicable to charities
preparirtg iheir xeounis in aCcordar￿e with the Financial Rwling Stsndard applicable in the UK and
Republic of Ireland (FRS102) (cffective January 2019)_
STRUCTURE
VERf4ANCE AND MANAGE
ENT
Constltutlo
The Charity was established by a Deed of TryA datcd I l January 1985. This has subsequenily been amended by
Charily Commissioner< schem¢5 dawl 27 July 1995 aThJ 27 March 1996. IT￿1 supplemtnied by Declaralions of
Trusi daieil O (ktober 1995 atld 7 Dcccmber 1995. 11 is ¢onstiiwed as a charitable In￿ and 15 a rcgi51etcd ¢hariiy
Appoints•ettt *ttd Induttlon of trM5tees
Two of lh¢ ITusi¢es are apwjinted by the Chaptcrof Salishry C*￿dra1 and the (￿her trustees are elected by
exi51ing Irusttts. New tTUStees are provided with inforrn*ion relating to thc cha￿ty aThJ ihe work of Salisbury
Cdtlledral whith it supp)rts.
Orga•is8tionAI structure and dteision-wkSAg
Overall responsibility for the managem¢nL ofihc Charity rcsts with the Tru#effj wh) med ele¢troni¢ally
during rhe COUTse of the y¢aT. Day to day mkna8emeni and ￿miniSt￿lI0￿ i$ delegated to the Dire£tor.
R¢l*t¢d p•rti¢s
The tru* has a very close relaiiornship with ih¢ Ch4Jter of Sa]isbury Cathcdrdl which administers the cathedrtl
and provides Iwo of ihe InLStees, normally Dean aThJ the Canon TreasureT.
Risk man•geJAettt
The Tru￿¢c$ have conducted a review of the major risks to fwhi¢h the Trnst is ¢xposed and systems have becn
establishcd to mitigate those risks. Intemal risks a￿ minLmised by the Imple￿￿nIallOn of proCedU￿S for th¢
authori5alion of all transactions. These W￿dureS are reviewed perityjicaily to ensure ihey still meet the necds of
the Tn￿1.
Publit benefit
The Trustees confirni that thry have complied wilh the duty in section 17 (5) of ihe Charities Act 2011 to have due
regard to the public benefit 8uidancc publisw by the ThaTiryComrnis5ion.
Preparaiion of *ceounts
Charity law requires the Trustees to prepare flnancial sMemert& for each financial year. in accordance wilh
applicable law and United KJ"Dgdom Get)¢rally Ac¢epied ACc￿ntIng Practice (UK GAAP) whi¢h give a tnK and
fair view of Ihe s¢*e of alTairs of the Truk aNI of the sitrplus ot defici¢ of ihe for That period. In preparing
thcs¢ accounts, the Trustees are required to:
i) Sclect 5uitsblc ac¢ouniing poli¢i¢s aNi th¢n apply ihem coMA￿lly.
li) Make judgemenis and tsimate5 ihat are rca50nable and prnjdeffl.
iii) Follow applicable accthJntin8 Standards. subjeci io any m*¢rid dcparturc5 discloscd and explained in
the accounts
iv) Prepare ihe attounis on going COTKern knis unlc55 it is iwpropri* to presume that the Trn
will continue to operdte.
v) Observe the methtyjs and w]ncipal$ in the Charities SORP
The Tru5tec5 are respon￿ble for keeping prty¢r accountin& re¢oTd5 whirh di￿10$¢ wilh reasonable accuracy
at any lime ihe financial posiiion of ihe Trusl a￿1 cnable them io et)sur¢ thal ih¢ acc(MJnls comply wrh Ihe
provisions of the Charlties Act 2011. They are also Tesponsible for safeguarding ihc assets of the Trusi and hen¢¢
for taking reasonable *eps for the prev¢M1￿ and detection of frdud artd (rther irregularities.
0￿Ecr1vKs AND ACTIV
Objeets
The Trust's objects are the furtherance of ￿ligiOn and education, in parlicular by ¥￿VIng priority to thc repair and
improvement of Salisbury Cathedral and itscontents.

ALISBUR Y CATHEDRAL TRusr
TRbStEES' REPORT
YEAR E&%DED JI )IARCH 2024
Aim5 and Obi¢¢tSv
The tru51's u'ork 1% entirely dependeni on donaiioN& legacith aNI Inw￿Men1 income from its festricied and
endo%ved fund%_ The TnL4 WPPOrts the r￿Ordi10n of Salisbury Caihedral and make% ¥tanL% to Ihc Cathedrdl
for thai purpose.
ACHIEI'EhlENT
AIYD PERFORLIIASk CE
Charitable Actii'itie5
In the financial year The chariiy did noi aciively fundrai%e from Ihe public or run legacy campaign4 or undertake
similar fundraising activiiie% in li% oil'n ri¥hi. The iwN1ee4 Nrre ihou¥h ple&fed io recei￿C ￿n￿liCIted gifi% and
legacies from people M'ho gener￿51Y wprx)rt tht chariiy
During the yeor lh¢ TnL%I mad¢ a grani of £7i.IXM) io Salisbury Ca¢kd￿l. for purposes of ihe repair of the
fabric ofsali.thury Caihdral.
Ini'tstmentS
The Trusiee%' inyeqrnvni policy iYa% io maxirni* Ihe ioral reLurn on the Trust'% inves1ment% %ubjeci to a medium
degree of ri%k. by ini'thlinky in an equiiy-ba%ed chariiable ¢otnmon iniE%1meni fund.
The endo%￿ent fiilld% coi)iinue 10 be ini'thtcd in common init￿Me￿I fund%.
FINATr*'CIAL REI'ILIV
The Tru%1 ¢OI)iai1ls deiiv¢d fTom gJifiN for ihe rLyair and maintenance of SalLQwry Cathedral IoTiginally for
Ihe Spire Appeali aiid ate IhLrefoTe rtslncted in u4c foi Ihe gerfftl objec1% of Ihe Trust. These as%ds are Ih¢r¢for¢
held in a re*liicied furMI kiio%vn a% Ihe'Fabric l-.uNI'_ In addiiion lh¢ holds capital &* permaneni endowrneni.
d¢riv¢d from gifi% i%'here the donor haN %pecified Ihai only The income may be ipeni.
Rei'itw" of r)n*nel*l tr*nMdion5
The Fabric Fimd receii'ed donaiion%. I￿oMe from e%LlliS legacies of l43.764120?3 L56,6501 iowards Ihe
maiiilei)wiEe ofihe Caihedral. E.￿l0￿ment Fund 1% Invthteil in M & G Charifund managed units and income
from Ihe%¢ fttnds 1.% accumulaied in theK unil.%. SiKe Ociobe¥ ?0?3 ihe a%seiq of the Fabric fund have been
Invthted in a depo%ii accounr and iiiiethi income fr(Nn I1￿ dep)￿11 is allocated 10 Ihe Fabrit Fund.
Investn*ni income of El 3.? j6 I)O?J L4.2721 i￿S credited io ihe Fabri¢ Fund. and (8.30?1?073 £7.194I was credited
lo the Elldolim￿nI Fund. Ther¢ ii'ere unieglised lol￿_S of 11.7741?0?3 (8.2831 on Ihe Tn]si's investmenis.
Nel e.xpenditure ot-119.894 {?0?3 £15,776) charged io the Fabnc FurMI and net Incon￿ of £8.302 120?3 £7,194>
i%'a% crediied io ihe End0￿.MeThI Fund. Takin¥ into actouni ihe chan¥e% in [￿ark￿ value% ofihe inYe%imenis Ihe
Funds ieduced in lolal by L13.3661?0?3 (16.8151.
Re%'ltTA" of fjnanrial p051tion
Ai Ihe end ofihe yeai Ihe nei ass¢ts of the Tr￿￿¢ aniounled to (709.3861?022 £72•.75fj1 of i%.hi¢h £ii 1.01 I
120?3 I570.9051 ivas held in Ihe Fabnc Furtd and El 58.37) l?0?3 Eli1.8471 ivds pernianent endoivJKent.
Re5er%'es polirn.
The Tru%lees' policy is 10 reialn a Nmall b21artce for ihe fulute operaiion ofihe TtU5t and. subject lo this. lo draw
on Ilit Trusi's r¢5erk'e5 for ¥iant% 10 Salisbury Cathedral as io a%iiAI ih¢ Chawer iiryih iepairing and
mainiaining Ihe C¥ih¢drai.
PLAI)S FOR F
RE PERIODS
The Trusiee5 hai't agr¢ed io make fi]rther grants ¢0 the Cathedral in ?0?4.25 LW 10 É75.000. This will leave a
sigDif2¢ani proptsrtion of the rernairbing funds. The Carhedral s Ivorks ieam is ¢wr¢ntl)' focussed on the
maintenance of ihe North Clol￿er. u.here there h&% been %ignifi¢ant ivrather damage io the siortrcwork, and
re%toring the irnpressil'e Edward Burne-Jone% windo￿. in ihc aisle_ Thr trustee4 ale cotnmiled io supportln8
Ihesc projtcts over the nexi four yrats. TIK Tru* ivill coniinue io be de)￿denl on donaiions and lega¢ie.
lo enable future coniribuiions io Ihe Caihedral'% Fabric repair progwamrne.
Thi% report was approved by Ihe iruAee% on 16 September 20?4 and %igned on IL£ b¢h8lf
The Reverend Carto￿ K¢nDdh P￿lleY
Tr￿￿ee
*k (.E

INDEPENDENT EXAMINER'S REPORTTO THE TRUSTEE OF
SALISBURY CATHEDRAL CIIORtSTERS' ENDOWMENf FUh'D
FOR THE YEAR EIYDED 31$1 MARCH 2024
I report to ihe TN#ee on my examinalion of thc xwjnts of the Charily for the year ended 31 March 2024.
which arc scl t)ut on pages 5 10 11.
RESPECTIVE RFSPONSIBILITILS OF TRusfELS AND EXAMINER
The INstce is responsible for ihe preparalion of th¢ ￿C￿nIS in *COTdantt wilh ihe requirements of thc
Charilies Act 2011 {'the 2011 Act"). The in￿e¢S are wisfied that an audit is rK>t required for this y¢3r under
section 144(2) of ihe Charilies Act 2011 {the 2011 A¢1) and have cknen to have an independent
examin*ion.
I report in rcspect of my examination of ihe TruA's xcounts carried utlder 145 of lh¢ 2011 Aci. In
carrying out my exarnination I have followed ihe reqUImn¢n￿ of th¢ applicable Dhrtttions given by the
Charity Commission under stttion 145 {5) (b) of the 2011 Aci.
INDEPENDENT EXAMINER'S STATEMENT
I have Completed my examinaiiofi. I confirrn that ￿ mamets have cony io my attenti(￿ giving me cause to
believe that in any material respeci:
(l) accounting Tecords w¢re not kept in respect of thr Clwkiy as requircd by stttion 130of ihe 2011 ACL or
(2) the accounts do accord wih ihose records: or
(3) the ￿coUnts do rK)t comply wilh the applicable requirements conccrning the fonn and cortent of ￿OUnt5
Sd ¢MLi in the Charilies (Accounts and Reports) Regulaiions 2(X)8 ￿her ihan any requircmcnt th* ihe ¥¢wnts
give a'lme and f￿r vic￿ which is a mailer consikncd as part of an independent examinatioTh.
I have no concems and have Come a¢ross no other matler5 in conntttion wilh ihe examination to which
al￿nI10n should ￿ drawn in this rcp(¥l in order10 enable a proper unthrAarKlin8 of thc xcounts io be reached.
Lee Siokes FCA
Hay5Mac LLP
10 Queen Sireei Placc
London
EC4R IAG
Date." 28 November 2024

ALI
RI. CATUEDIL4L TRUST
rATEIIIETr4T OF FI.YAP*CIAL ACfllllTIES
FOR THE YEAR EINDED 31 hlARCH 2024
Reqrided
FU￿1.
Fabiic
N￿e
Ernlowmeni
Fu￿j
T￿al
?0?4
Total
?0?3
Incom¢ a￿d ¢ndow'JM¢wt$ from:
Voliiniary Incotne
Donati￿¥
Eveni
Legiacie
Inie.%lrneni Income
?5.5?.1
6.0115
4.994
756
50.9
11.466
6,085
8JO?
21.558
Tol•l ihcotne
57.0?0
8.30?
6%.116
Expenditure on-
Charitable Y4eti%'ltles
Furthera￿¢ of mainiLI)ance or
Salisbury Cailicdrnl
GoiernancL Lo%1
75.(YX)
1.914
75.OOD
1.914
75.0(K)
1.648
TotF41 ¢xp¢ndiiMr¢
7fi.914
76.648
er into￿¢ i (eipendiivrcl btfort gains IJ
1055es on Ini¢stn￿￿ts
{19.8941
.302
(11.S9?1
ET GAIN'SIILOSSESI ON l&YI'Esf,Il&YTS
{1.7741
(1.7741
(8.?831
Yet inconle I lexpendliurÈ)
(19.8941
{13,3661
116.815)
Tran$ftrs btt*een funds
ei moiement In funds
(19.894)
(13,3661
Fuiid bxlxn¢es broughi forM"Ird
570.905
151.847
722.75?
739.567
Fund bal8n¢es CArried fotiiArd
i551.011
£158.375
£709,386
£722.752

SALI
RY
ATHEDRAL TRUST
BALANCE SHEET
Note
2023
FIXED ASSETS
Inv<stment5
158,375
151.847
15&375
151,847
CURRENT ASSKTS
tkbtors
Deposit account
C&sh * bank and in hand
571
621.648
7.677
1.279
649.700
629,896
650,979
CREDITORS.. An￿￿￿ts fxlling due
within Dne year
78.885
80.074
NET CURREWT ASSETS
551.011
570,905
ASSETS
£709.386
£722,752
Representing..
ENDOWMENT FUNDS
158.375
151,847
RESTRI￿ED FU)TDS
Fabric Fund
8.10
551.011
570,9)5
To¢41 Fllnds
£709.386
£722,752
Signed on behalf of the Trusttts.. The RcvcreTKI Canon KenKth Padley
TThsLee
Approved by ihe Twstees ¢)n 16 S¢pt¢ml*r 2024

Pa
SALISBbRY CATHEDRAL TRUST
NOTES TO THE ACCOUNTS
FOR THE YEARE%DED31 blARCH 1024
ACCOUYI T]￿'G POLICIFS
Basis of Accounting
The accounts have been prepared in accordance y'iih ihe Chariiie% Aci ?01 l. the Staiemeni of
Recommended Practice on A¢¢ouniing and Reponing by Charities applicable 10 chariiic
piepaiin¥ iheir accouniN in accordance ivith ihe Financi31 Reporting Standald applicable in Ihe UK
and Republi¢ ofirelan4J {FRSIO?l (Second ediiion, etreclii'e January ?0191.
Th¢ Iw51ees Consider thei¢ are rto material iuKerlainlie5 aErf>ui Ihe Charil). s ability io coniin¢Je as a ¥oin&
concern. The review of our financial poiilion. re%eTh'e% leiel% and future plaTL% ¥ivth Trugiets Confidence ihe
¢hariiy remain% a going ¢oncern for Ihe fore*eeable ful￿re.
As*1s a￿d liabiliti¢% ar¢ inilially recogni%ed * hi%lOTical coNt or itanNaction value staled in ihc
ielel'anl accouniing policy Mie.
Ineott
All incoming re40￿r¢¢5 are inrludcd In ih¢ SiaTemcni of FiDancial Aciii'ilie4 when the chariiy is eniiiled 10 th¢
ItKome. 11% receipt i¥ probable aiml Mhen Ihe amount ¢an be quaniified with rea%onable accuracy.
Leg#¢ies
Legaii¢.% arc included ￿,hen Ihe ¢hanty 1% adi by Ihe perwval rcpre.4erbiaiive of an eslaie. thai paymeni
iiiill be madc and Ihe amouiii iiivoliLd carh be qu￿711r1ed
d. Crani$ ￿ld¢
Grani% are charged In the a¢counlN on earliei of Ihe dale ihey 3re paid and Ihe d￿e ai ii'hich a Ileg31 or
con%iruciivel obligaiion io pay ihem fiTht come% inio exioenr¢. Thi% i& norn)ally ty.hen the condilion
nece%%ary lor Ihe paytneni of a grani hai'e bttn md by the recipieni.
her txpthdliure
Expe1￿llUre i% accounted for on an accrual% ba%1%.
Goi,crnance co%1% are incutTed in conneaion ihe goiYman¢¢ of ihe charily.
Support are direcily altri￿(¢d 10 particular a¢iiviTlth. The%e Cod% are apportioned on Ihe
of the iirne and rewuTce% speni on the vari¢)u% ttiiviiie%.
FiAed A55et ini'es¢ments
Irti'e%linenl% ale Included al clo¥ing inarket i'alue * ihe balance %heei dale. Any gain or loss on revaluaiion
is iakeii 10 ihe Siaiem¢ni of Financial A¢iii'ill
Fund *ccounting
WheTe the chariiy receives a donation for a 4pecific purwTrse. li is %hoii'n warniely in a resiiicied fund.
Where th¢ re_%iriciion 1% Ihai the ￿pital cannoi be y)eni. this is reFeTted io as an endoiimeiii fund.
Ini e4Tneni income. 8ain% and los￿ ari%ing r￿nC[ed fundi ate all￿ated to the appropriate fund.
IIN'IIESTIIENT IYCOIIJE
Income from lisicd ini'esttiieiil%
LTriere%i recei%'able
8.309
7.194
4,)7?
L21.Si8
£11,466

SALISBURY CATHED
ST
THE ACCOiI
ED
AR Eya DE
ARCH 2024
CHARrrABLE ACTIV￿1￿$
2024
Furtherdncc of maintenance of Sa]Ist￿ry C￿h¢dra1.
Grants to S￿l$bIry Cathedral for its
Major Repair Programrne
£ 75,(K)D
£ 75.000
4. GOVERNANCE COSTS
2024
Office expen5C5
Indcpetmlcnt cxamin&5 fce
330
1.584
328
1,320
£1.914
£1.648
The ¢haTily minimal CO￿ iIKsc rosts are all(￿ed to charitable &tivilies.
Thc Trusttts did ncrt receive any remumtion or reimburseme￿ of expcn5e5 during eiiher of tlKse yeaT5.
FIXED A&SET IP4VESTMENIS
Total
FUTWJ
Market value as at l ApTiI 2023
Income xcumulated
Unrealiscd losscs on reval￿110￿
151,847
151.847
8.302
(1,774)
8,302
11.774)
Markrt y￿￿e as ai 31 March 2024
£158J75
£158,375
Cost at 31 Match 2024
£155.027
£155,027
Cost at 31 March 2023
£146,725
£146.725
31 March 2023 the following invesiments were held:
M & Gcharifund
Accumulwion Units
515.342
515.342
All of Ihc above inYcsLmcn15 are in fun

SALISB
AT
ED
YTINUED
YEAR EIYDED 31 MARCH 2024
6. DEBTORS
Gitr Aid rL￿O￿l￿ahk.
her DLb[I￿
571
51
328
£571
7. CREDITORS.. tlffloumfs fallin1d￿ M"iih•n one l'ear
20?4
20?
SJlithurv CaUi¢trJl
ALtTual
75.981
78.214
1.80¢)
£78.885
£81J.U74
,INI ilLYSIS OF NET.45sErs Bfr.'ni"F.EY TrUN'DS
Fuiid 31 Manh ?0?4 arl rLiYLx*ILYI b>. IIK. t(￿1￿17￿8 an(J liabillliL￿'.
H¢￿trIL￿[￿l
Fa￿lL Fund
Fund
158.37)
158.375
6)g.Rl)6
178.88il
CurrLYii
Cum'fti Ilthilit￿%
178.88))
£551.011
£158 J75
L70Y.3¥6
CONIPARATII-E NOTE.. ALYALY515 OF P4ET ASSET5 BETI%EETr4 FU¢%'DS
Fund balan¥¥* 31 lar41) ?1)?3 an rnVTLXmlLxi by IliL fidlmijng a55L*5 athd lidblliiK￿-
Fund
Fabnc Fund
Fund
152.113&
15?.V36
650.Y7
1#0.1174)
CllrrL'ni 3ssLX%
CurrLmi liabilitlL%
650.97¥
{80.0741
I570.905
£15).936
£723.N41
ENDOII'IIEYI T FUl4D
ThLS Lcinsis15 Of (knalk￿$ aThi kyaciL* ￿h]Ch haiL'knTL io Ihe TWu￿ rn thL ￿$•% Ihtsi ihc
IJPlldl ￿. I￿¢ Ihe is ai*ilttblL sfvIMJing ffl thcTrusV% charithbk.
JO. RESTRICTED FUINDS
ThL' Fabric Ful￿ 1% uscd io finaiii¥ ren¢Jiaiiims aThJ rLpir4 lsjSali4*ury Caihcthal.

I I. PRIOR YEAR CONSOLIDATED ￿ATEMENr OF FINANCIAL AcfiviTILS
ALISBURY CATHEDRAL TRUST
ATEMENf OF FIliANCIAL AcfiviTIFS
FOR THE YEAR ENDED 31 MARCH 2023
R¢sLricied
FutKI-
Fabnc
Note
EThlowtncnt
Fund
Tolal
2023
lThcDme and endowmtnts from:
Incoming resources from generated
Voluntary income
Donaii¢)ns
Event5
Legxies
Inv¢51ment IT￿Ome
4.994
756
SO,￿¥
4.272
4,994
756
50,900
11.466
7.194
Toi•] In¢omt
60,922
7,194
68.116
ExpeThllthre OD:
Charitable activltits
Furtherance of maintenance of
Salisbury Caihedraj
75.(KX)
75,1
S*pport tosts
Toial expendlmre
76.648
76.648
Net income l (expenditsre) before ylD5 WI
losses on inYesimeAts
(15,726)
7.194
(8,532)
NET GAINSI{LOSSES) ON INVESTMENTS
Unrealised profit4{ losscsl on invc5tments
{8,283)
(8,283)
Net iDcorne l (expenditsre)
(15.726)
{1.089)
(16.815)
T￿nsfer9 between funds
Net mOve￿en( ID fmnds
{15,726)
{1,089)
(16.815)
F￿ttd b8l*n¢es brougbt rOn￿rd
586.631
152.936
739.567
Fund bal•n¢¢s urri¢d forw•rd
£570.905
£151.847
£722.752