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2026-02-28-accounts

The Aldershot Institute Registered Charity 301720 Station Road, Aldershot, Hampshire GU11 1BA

ACCOUNTS FOR THE YEAR TO

28TH FEBRUARY 2026

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AI Acc 28 Feb 2026

Income and Expenditure Account

for the Year ended 28 February 2026

INCOME

2026 2025
Shop Rents
102 Victoria Road 13,000 12,625
104 Victoria Road 9,100 9,100
106 Victoria Road 10,000 32,100 10,000 31,725
Other Rents
The Vine 14,500 14,500 12,500 12500
Other Income 1,846
Bank Interest 8,232 5,627
Reimbursements
Total Income 56,678 49,852
EXPENSES
2026 2025
Building improvements
Building Insurance 150
Property Taxes
Professional Fees
Architects/Planning
Estate Agent 6,042 5.907
Legal/Consulting
Other Fees 9,535 15,577 4,598 10,907
Water
Gas
Electricity
Waste Disposal
Repairs & Maintenance 16,442 4,343
Office Costs
Donations 3,000
Trustee Expenses
Total Expense 35,019 19,998
NET INCOME 21,659 29,854

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AI Acc 28 Feb 2026

Balance Sheet at 28 February 2025

At 28 Feb At 28 Feb
2026 2025
CURRENT ASSETS
Balance at Bank
Interest Account 68,666 67,537
Current Account 49,533 32,810
CCLA Deposit Account 96,056 92,249
CCBank Deposit 35,010 35,010
CAF/Shawbrook Deposit 75,010 75,010
324,275 302,616
LESS CURRENT LIABILITIES
Account Inspection
NET CURRENT ASSETS 324,275 302,616
Represented by
RESIDUE ACCOUNT
Reserves brought forward 302,616 272,762
Excess Income (Expenditure) 21,659 29,854
324,275 302,616

Gareth Palmer Treasurer/Trustee The Aldershot Institute March 2026

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AI Acc 28 Feb 2026

Notes to the Account for the year to 28 February 2026

1 Accounting Policies

Basis of Preparation

The financial statements have been prepared under the historical cost convention and in accordance with applicable accounting standards and the Statement of Recommended Practice “Accounting for Charities”.

Income

Income received is recognised on receipt of funds.

Expenses

Expenses are recognised on receipt of a bill or invoice for supplies/services.

The ultimate controlling party of the Charity are the Trustees

Barclays plc, Aldershot Branch - Current and Deposit Accounts CCLA, London EC4 - COIF Charities Deposit Account CCBank, Leicester LE1 6TE – Deposit Account

CAF/Shawbrook Bank, Essex CM13 3BE – Deposit Account

Building (Freehold) Rebuild £2,092,473 inc VAT Loss of Rent 24 months

Reserves of £302,616 were bought forward at 1 March 2025 and a surplus of £21,659 was achieved in the year ending 28 February 2026. Reserves of £324,275 are carried forward at 1 March 2026.

7 The reserves are held in a Barclays Current Account and four savings accounts, recognising the £85,000 FSCS banking guarantee.

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AI Acc 28 Feb 2026

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AI Acc 28 Feb 2026