Bov
Tra
Year ondln
Actlvlti68 Trust Accounts
31st Daeamb•r 2025

8ove
Trace
Year Endln
Actlvltles Tnjst Accounts
31st Dwmber 2025
Phoenix Hall
Sl Johns Lane
Bovey Tracey
Devon
TQ13 9FF
Accountants:
One Plus One AC￿￿ntants
34. 36 Fore Street
Bovey Tracey
Devon
TQ13 9AE
Cont9nts:
Income and Expèndlture Account
Page 1
Op•nlng St*8ment OfAffalrn
Page 2

Bove
Trace Actlvltles Trust
Accounts lor the
ear ondod 31st Decombgr 2025
MEMBERS FUND
BALANCE AS AT 0110112025
463.951.97
Surplusldefidl for the year
17,315.30
BALANCE AS AT 3111212025
481.267.27

Bove
Trace
Actlvltl•s Trust
Accounts for the
oar ended 31st Dgcombor 2025
3111212025 3111212024
Income
Allendanc8 Fees
Market Stal Donath)ns
Membership Fees
Rènt
Bank l Bullding s(￿ Interest
Grants
Mlscellaneous- Interest free108n
Thrift Club
12.761.(J) 9,979.50
857.70
781.¢XI
10.197.00 10,184.1x1
13,812.50 11.953.CK)
2,330.20 2.316.50
20,000.00 16,3g5.86
25,000.LK)
0.00
0.00
84.958.40 51.609.86
9.492.43
7.664.04
Fund Raising l Donations
TOTAL INCOME
94,450.83 59.273.90
Ex
èndlturo
Depreciabon on equipment & comwlers
Electrlclty
11.171.80 7.879.93
608.34
560.22
229.42 1,251.14
955.26
809.68
8,50S.38 8,888.14
810.33
714.60
2,461.50 3,053.37
9,93921
8.510.27
7,473.07
5,304.95
3,086.97
2.792.43 2.646.79
558.lY)
510.00
4.630.79
3,086.54
25,000.00 24.260.00
2,ODO.00
0.00
77.135.53 70.562.58
Water
Cleanlng
Refus8 Collection
HousgkeepSng
Repars l Malnlenance
Running Expenses
Fund Raisiro l Donations
Insurance
Accountan¢y
Office expenses
Miscellaneous- Interest free loan
Thrfft Club
TOTAL EXPENDITURE FOR THE YEAR
Deficltlsurplus of Expenditure over Intsjme
Fund Raising
DEFICITISURPLUS FOR YEAR
7,822.87 -18,952.72
9.492.43
7,664.04
17.315.30 -11,288.68
ACCOUNTANTS REPORT
I havé oxamlned tho books and documents Produc￿ to mg and belleve
the abova statement to l)e a trua statemont of affalrs of The Bovey Tracey
Actlvltles Trust as at 31st Dgcember 2025
Ono Plus One Accountants
A¢￿Untants
34- 36 Fore Strget
Bovey Tracey
Devon
Dato: 12th Fobruary 2026
TQ13 9AE
Page 1

enln
Statement of affal
at 1st Janua 2025
FIXED A$s￿s AT COST
Bulldlngs al cost
Computers al cosl18ss deprecLgtlon
Equlpment al cost less depreciallon
384.065.
3.346.C(J
30,168.75
417,580.65
CURRENT AssErs
Investsnènl A￿￿nt
UoydsTSB
Cash
54.498.28
9.152.81
35.53
63.686.62
ASSETS
481.267.27
FINANCED BY:
Members Funds
481,267.27
Paga 2

Bov
Tra
Year ondln
Actlvlti68 Trust Accounts
31st Daeamb•r 2025

8ove
Trace
Year Endln
Actlvltles Tnjst Accounts
31st Dwmber 2025
Phoenix Hall
Sl Johns Lane
Bovey Tracey
Devon
TQ13 9FF
Accountants:
One Plus One AC￿￿ntants
34. 36 Fore Street
Bovey Tracey
Devon
TQ13 9AE
Cont9nts:
Income and Expèndlture Account
Page 1
Op•nlng St*8ment OfAffalrn
Page 2

Bove
Trace Actlvltles Trust
Accounts lor the
ear ondod 31st Decombgr 2025
MEMBERS FUND
BALANCE AS AT 0110112025
463.951.97
Surplusldefidl for the year
17,315.30
BALANCE AS AT 3111212025
481.267.27

Bove
Trace
Actlvltl•s Trust
Accounts for the
oar ended 31st Dgcombor 2025
3111212025 3111212024
Income
Allendanc8 Fees
Market Stal Donath)ns
Membership Fees
Rènt
Bank l Bullding s(￿ Interest
Grants
Mlscellaneous- Interest free108n
Thrift Club
12.761.(J) 9,979.50
857.70
781.¢XI
10.197.00 10,184.1x1
13,812.50 11.953.CK)
2,330.20 2.316.50
20,000.00 16,3g5.86
25,000.LK)
0.00
0.00
84.958.40 51.609.86
9.492.43
7.664.04
Fund Raising l Donations
TOTAL INCOME
94,450.83 59.273.90
Ex
èndlturo
Depreciabon on equipment & comwlers
Electrlclty
11.171.80 7.879.93
608.34
560.22
229.42 1,251.14
955.26
809.68
8,50S.38 8,888.14
810.33
714.60
2,461.50 3,053.37
9,93921
8.510.27
7,473.07
5,304.95
3,086.97
2.792.43 2.646.79
558.lY)
510.00
4.630.79
3,086.54
25,000.00 24.260.00
2,ODO.00
0.00
77.135.53 70.562.58
Water
Cleanlng
Refus8 Collection
HousgkeepSng
Repars l Malnlenance
Running Expenses
Fund Raisiro l Donations
Insurance
Accountan¢y
Office expenses
Miscellaneous- Interest free loan
Thrfft Club
TOTAL EXPENDITURE FOR THE YEAR
Deficltlsurplus of Expenditure over Intsjme
Fund Raising
DEFICITISURPLUS FOR YEAR
7,822.87 -18,952.72
9.492.43
7,664.04
17.315.30 -11,288.68
ACCOUNTANTS REPORT
I havé oxamlned tho books and documents Produc￿ to mg and belleve
the abova statement to l)e a trua statemont of affalrs of The Bovey Tracey
Actlvltles Trust as at 31st Dgcember 2025
Ono Plus One Accountants
A¢￿Untants
34- 36 Fore Strget
Bovey Tracey
Devon
Dato: 12th Fobruary 2026
TQ13 9AE
Page 1

enln
Statement of affal
at 1st Janua 2025
FIXED A$s￿s AT COST
Bulldlngs al cost
Computers al cosl18ss deprecLgtlon
Equlpment al cost less depreciallon
384.065.
3.346.C(J
30,168.75
417,580.65
CURRENT AssErs
Investsnènl A￿￿nt
UoydsTSB
Cash
54.498.28
9.152.81
35.53
63.686.62
ASSETS
481.267.27
FINANCED BY:
Members Funds
481,267.27
Paga 2

Bov
Tra
Year ondln
Actlvlti68 Trust Accounts
31st Daeamb•r 2025

8ove
Trace
Year Endln
Actlvltles Tnjst Accounts
31st Dwmber 2025
Phoenix Hall
Sl Johns Lane
Bovey Tracey
Devon
TQ13 9FF
Accountants:
One Plus One AC￿￿ntants
34. 36 Fore Street
Bovey Tracey
Devon
TQ13 9AE
Cont9nts:
Income and Expèndlture Account
Page 1
Op•nlng St*8ment OfAffalrn
Page 2

Bove
Trace Actlvltles Trust
Accounts lor the
ear ondod 31st Decombgr 2025
MEMBERS FUND
BALANCE AS AT 0110112025
463.951.97
Surplusldefidl for the year
17,315.30
BALANCE AS AT 3111212025
481.267.27

Bove
Trace
Actlvltl•s Trust
Accounts for the
oar ended 31st Dgcombor 2025
3111212025 3111212024
Income
Allendanc8 Fees
Market Stal Donath)ns
Membership Fees
Rènt
Bank l Bullding s(￿ Interest
Grants
Mlscellaneous- Interest free108n
Thrift Club
12.761.(J) 9,979.50
857.70
781.¢XI
10.197.00 10,184.1x1
13,812.50 11.953.CK)
2,330.20 2.316.50
20,000.00 16,3g5.86
25,000.LK)
0.00
0.00
84.958.40 51.609.86
9.492.43
7.664.04
Fund Raising l Donations
TOTAL INCOME
94,450.83 59.273.90
Ex
èndlturo
Depreciabon on equipment & comwlers
Electrlclty
11.171.80 7.879.93
608.34
560.22
229.42 1,251.14
955.26
809.68
8,50S.38 8,888.14
810.33
714.60
2,461.50 3,053.37
9,93921
8.510.27
7,473.07
5,304.95
3,086.97
2.792.43 2.646.79
558.lY)
510.00
4.630.79
3,086.54
25,000.00 24.260.00
2,ODO.00
0.00
77.135.53 70.562.58
Water
Cleanlng
Refus8 Collection
HousgkeepSng
Repars l Malnlenance
Running Expenses
Fund Raisiro l Donations
Insurance
Accountan¢y
Office expenses
Miscellaneous- Interest free loan
Thrfft Club
TOTAL EXPENDITURE FOR THE YEAR
Deficltlsurplus of Expenditure over Intsjme
Fund Raising
DEFICITISURPLUS FOR YEAR
7,822.87 -18,952.72
9.492.43
7,664.04
17.315.30 -11,288.68
ACCOUNTANTS REPORT
I havé oxamlned tho books and documents Produc￿ to mg and belleve
the abova statement to l)e a trua statemont of affalrs of The Bovey Tracey
Actlvltles Trust as at 31st Dgcember 2025
Ono Plus One Accountants
A¢￿Untants
34- 36 Fore Strget
Bovey Tracey
Devon
Dato: 12th Fobruary 2026
TQ13 9AE
Page 1

enln
Statement of affal
at 1st Janua 2025
FIXED A$s￿s AT COST
Bulldlngs al cost
Computers al cosl18ss deprecLgtlon
Equlpment al cost less depreciallon
384.065.
3.346.C(J
30,168.75
417,580.65
CURRENT AssErs
Investsnènl A￿￿nt
UoydsTSB
Cash
54.498.28
9.152.81
35.53
63.686.62
ASSETS
481.267.27
FINANCED BY:
Members Funds
481,267.27
Paga 2