IHMTY IOMt¢dSS
FOR ENGLAND AND WALES
accounts
Section A
Indepeiident Examiner's Report
Report to the trustees
e¥fs:&wrt c_---:
(ci
On accounts for the year
ended
Charity no
(if any)
- 2LI2
3ts¥tr81 I
Set out on pages
I report to the trustees on my examination of the accounts of the above
Gharity ("the Trust") for the year ended :.
Responsibillties and
As the charity's trustees, you are responsible for the preparation of the
accounts in accordance the requirements of the Charilies Act 2011 Ohe
Act,).
I report in respect of my examination ot the Trust's accoLJnts carried out
under sectioll 145 of the 2011 Act and in carrying out my examination, I
have followed all the applicable Directions given by the Charity Commission
sectI£￿L L45(SMbl Dtthe ACL
Independent trhe charity's gross income exceeded £250,000 and l am qualified to
examiner's statement undertake the examinalion by being a qualified member of [Insert name of
applicth.listed.bodyH..Delete i J'rfrioi applti&Ye.
Ihave compfetett my examination. I conffrm that no materiaT matters have
come to my attention in connection with the examination (other than that
disclosed below ") which gives me cause to believe that in, any material
respect:
the accounting records were not kept in accordance with section 130
ot.th£ Char.ttie&AoL or.
the accounts did not accord with the accounting records" or
the accounts did not Goryiply with the applicable requirements
concerning the form and content of accounts set out in the Charities
(4c£oLLllLs and Rpwnrtyl ReJJLllatio￿Q 2008 IFian anyJ£quirpJ[￿ut
that the accounts give a 'true and fair, view which 15 not a matter
I have no concerns and have come across no other matters in connection
wÉth the examination to which attention should be drawn in this report in
order to enable a.proper understanding of the accounts to be reached.
* Please delete the words in the brackets if they do not appty.
Signed:
Date:
Name:
PvrJ
Relevant professional
qualification(s) or body
(if any).,

Address:
4 CofviTh
Phg&Lf
Sectioii B
Disclosure
(see CC32, Independent examination of charity accounts: directions and
guidance for examiners).
Give here brief detai15 of
Aiw.itsmsthallbR
examiner wishes to
IER
Oct 2018

Notes to Ihe Accounts of Rin
sfield Weston and Redisham Communi
for the
ear endiD
31st March 2025
Council- Chari
no. 304811
Independent examiners statement:_
In connection with my examination -
No material matter has come to my attention which gives m¢ reasonable Cau￿ to b¢lieve that
In supp)rt of this s¢e cijmments I to 6 below.
In my opinion attention should be drawn to items 7-9 below in ord¢r to enable a proper
understanding of the accounts to be reached.
Checked and confm that accounts have been prop¢rly kept through out the year.
Checked that payments were supported by invoic¢s and expenditure approved and supported"
by docunwt&tiQll..
There was eviden￿ of a Petty Cash balancc in the accountsèut this was •ot evidenced.
Checke(tthat expected itirome wa5 thtty received, based on coTrci ￿iCeS. pmperly recoracd
and promptly banked.
Checked that periodic and year end bank account rcconciliation's were properly carried OUL
this was not evidenced.
Chccked thc year end accounts were on a correct accounting basis (receipts and
paymentslincome and expenth'ture. balance sheet). agreed with cash bool were supported by an
adequate audit trail from ullderlying records and where appmpriate dcbtois and creditors properly
Tecorded.
7. Reeommendation that a Fullding Reserves plan is created and reviewed on an annual basis.
8. Recommendation that a Fixed Asset Re￿ster / List is prepared and nmintainc
9. Reeommendatioll that a Financial Risk Assessment is prepared and reviewed annually.
Christopher Punt MAAT - 6 May 2025

Income Statement Account for the Year End March 2025
Income
Bookin85 & t5eposits
anaticfft
Bar Commission
Playing Fields
Events
other
2024-2025
1646g.7
2023-2024
IZIO8.65
2022-2023
241.CN)
597.00
342.27
0.00
2975.40
3905.62
30037.71
125
40
li
Clothes Bank
Sub Totsl
Bank Interest
Total Sales
265.84
54878.01
366.30
14,753.64
10.53
54878.01
14,753.64
10,53
Cost Of Sales
Opening Stock
Purchases
Closing Stock
Cost of goods sold
GROSS PROFIT
52983.48
14,456.07
10,53
Exp4nse&
Water Rates
Electricity
Office Expenses
Licences & Insurance
460.00
3691.73
1632.82
1394.49
350.10
149.44
255.41
1108.79
t722:84
4522.45
288
2324
660
1429
Repairs & Maintenance
Professional Fees
Waste CoJle£tion
Sundries
Petty Cash
Depreciation
Other
Total Exps
41214.90
0.00
5.7.7.&)D
1918.64
0.00
66.65
1029.25
14120
IQ7.7.4B
259.04
991
1018
66.45
77.80
9;589.88
66
93
53"727'.7
NET PROFIT/ LOSS
-744.28
4,866.27
-12.303
Summary and Bank Reconciliation
2024-2025
2023-2024
2022-2023
Balances B/F:
HSBC Current Account
Lloyds Current Account
6.361.19
5,217.73
19.765
44663.16
np.nnqit Ar.r.ni Int

Ringsfield. Weston & Redisham Community Councll
Chairty Commlssion No. 3(14811
as at 31st March 2025
Notes
March 2026
FIXED ASSETS.
March 2024
Investments
Total fixed assets
CURRENT ASSETS-
Tabl8 Tennls
Other Debtors
Cash at bank and In hand
340
1,401
15,127
406
1,617
44,960
Total current assets
CURRENT LIABILITIES -
Deferred Grant
Creditors and accruals
-29,224
-196
-48
-29,420
NET ASSETS
16,820
17,564
Flnanced by:.
Lloyds Bank
Pètty Cash
14,806
320
44,663
297
TOTAL FUNDS
15,127
44,960
I confirm that to th8 b8St of my knowledge and belief, these accounts are a true and accurate record of all
income and expenditure for the year and havs b88n prepared in accordance with guidance issued by the
Charity Commission.
Chris Punt - Auditor
Date'.-