REGfsTERED CHARZTY NUMBER: 312693
orto
the Trustees and
inancial Statements
or the Year Ended 31 March 2025
Unaudited
Adde
Stanho
rxvernors,
e Schoo
und
Martin Morrison & Co Ltd
Unrt 43 The Coach House
66-70 Bourne Road
Bexlev
DA5 ILU

Add & Sta
e Scho
und
Governo
Contents of the Financial Statements
or the Yeor Ended 31 March 2025
Rewt of the Truxte¢s
Independent Examlnep's Report
Syatemeift of Flnonciol Activbtl¢s
Bol(*)ce Sheet
Kk•t¢s to th¢ Fl+wicid Stat¢mwrts
b4tailed Stateinwtt of Flmnciol Activlti

Adde
& Stanho
e School
- 6ovem)rs' Fund
ort
h Truste
End¢d 31 Mar
2025
The Trustees beiThJ the Governors of Add£y and sto￿hOpe School hereby went their ttnnual report and fipwnciol $totemE￿S of
the Charity for the year tnded 31st March 2023. The trustees have adopted the provisions of the Statement of Recommended
Proctice (SORP) 'AccountirwJ ond Reporting by Chdrities. applicoble in the UK and Republic of Ireland (FRS 102) effective l Jornmry
2015.
Reglstored Chwlty nwrt>er: 312693
Prlnclpfjl oddress
472 New Cr¢W Road
New Cross
London
SE14 6TJ
Mr M Philips (deceased)
Or P Trynka (resi9Md )
Mrs J Shapiro
Ms P Bi114n9S
Mr J Pollard
Ms R Coker-Adeleke (resl9ned)
Ms C Np¢l
Mrs Z Florian
Mrs B Roberts
Mr E Atuoh
Ms B Smith
Mr R Sefa-Atakora
Ms C Lehur
Mr b Chorleston
Ms C Chukwutyere (retired)
Ms T Yawa
Mr P Rowbotham
Ms k Caught (+Jppointtd 0211212024)
Mr D thurchill (oppoinlment- 17106/2024)
Mr M kelky MBE (appointment - 1616/2024)
Ms E Moryon (oppointed- 01/0212025)
Mr J Oseie (appointed- 20/0912024)
F Chair
[P- Porent SoverftDr,' L - Local Authorlty Appointed Sovernor.. F- Foundation Governor.. 5- staff 6overnor.' C- Cowed
&D￿rnor.. A - Associate Memberj
rn&pend¢nt
Paartin Morrison & Co Ltd
thartered Certified Accountants
Unit 43 The Cooch House
66-70 Bourne Road
Bexley
DA5 ILU
Page I

Adde
& Stonho
- Governors.
e School
ke
orto
the Truste
or the Yeor Ended 31
ch 202
srnucrLKiE. 60VEANANCE AND hlANA6EMENT
The charity is controlled by its 9overning document, a deed of trnst, ond constitutes +2n upuhcorporoted charity.
The Charity derives from o scheme estoblished in 1893 when the John Addey Sthool ond tset￿ Stonhope Sthool joined to f(rm
th£ pr£gent School.
STrLicfiiRE. 6OVEANAN(E ANf) MANA6EPAENT
Recrnltment and oppointfflent of new trustees
The Trustees term of office is four years. The Foundation G¢)vernors are nominated/re-elect¢d from within the present
foundation 6roup ond must exceed oll other Governors by at ￿￿$1 two. Parent Governors Lre tlected by parents of students
ot*endin9 the School. Staff sovernors are elected by the present stoff of the School. LEA 6overnors tire nominated by the Locol
Authority.
The Truste¢s. who ore also the Gov¢rnor$, Garry out the adminlstrdtiv¢ duti6$ of the charlty Wlthotrt ary $taft.
Rlsk mwmrnt
The trustees have o duty to •d¢ntify ond revlew the risks to which the charity is exposed ond to ensure appropriate controls are
in place to provide re￿Onable qssuronce a9ainst fraud and error.
08JEcfzvES ANf> AcfIvITZES
Objectlves and alm¥
The prlncipal objectives ore.,
Guardionship of the school property (all title deeds held by the Official Custodian of chariti￿ on behalf of the Trustees
of th¢ school)..
The $uperviiion and control of the refurbishment and improvements to the school buildings.
The advancement of education.
On his d&tth, John Addcy willed £2￿ '*oword$ the relief of the poor of Deptford to last forever" In discharyiThJ this
requSrement. the trustees donote £500 each year to the Deptford Petrtslon Soclety.
Publlc beneflt
The Chority acknowledges its requirements to demonslrate it complies with the duty Charities Commission in Section 17{5) of the
Charities Act ZOII, ond consider the generol 9uidonce on pthlic benefit, 'Chariti¢S sThd Public Benefi￿,. Details of hL)W the Clknyity
hos ochleved thi$ is provided in this trustee£, report. The trustees confirm that they have 9iven due re9ord to the Charity
Commlsslon 9uidanc¢ on public benef It before decidin9 whot activitles the charity should undertak&
Reserves pollcy
trugtees regularly review the level of reserves the Chttrity must maintain. Thry consld¢p the current levels are tsroadty
dCCtptobl¢ in the light of the objccts of maintaining th¢ school property.
FINANCIAL REVIEW
Achlevomffit ptrf•rnMnce
The results for the year are stated on pa9e 4 of the Statement of Financial Activities. The assets and liabilities are disclosed
on po9e S of Balance Sheet. The statwnents should bc read in coniunction with the not£S to the Finonciol Stoternents on poges 6
to8,
Ihvoxtment policy (md performance
Invest fund$ in $tOGk and share Iwe held thou9h (M i￿estment compory. As ot the year end. the market value of investment was
£261I67 (2024: £269,915).
ALF OF THE BOARD..
Mrm
hilip (Chair) - Trn￿tee
Mr J.F.
Pollard
Page 2

de
Adde
endent Examiner's ke
&Sta
e School
ort on the occounts to the Trusties of
I report on the accounts of the Trust for the Year Ended 31 Morch 2025. which are set out on pa9eS 4 to 9.
k¢spectfv¢ responslbllltl¢s of trustees and Qxohknr
The charitys trustees are responsible f or the preparation of the accounts in dccordance with the Chdrities Act 2011 ("the
Acr).
The charitys trustees cpnsider that an tsudit is not required for this yeor under $ectiun 144 of the Act and tlwt on independtnt
exami*￿tIOn is needed.
It is my responsibility to..
exomine the aCCOLtnts tsnder $ection 145 of the Act,
to follow the applicable Directions given by the Charities Commissiott under section 145(5)(b) of the Act, ond
to state whether pdrticulor matters have come to my attention
Basls ol Ind4p•ndont txomlnv's stat•mont
My exominotion was corried OLrt in occordonce with the 9enerol Directions given by the Charity Commission. An exotr4Mtion
includes a review of the accounting records kept by the charity (md a comptwison of the accounts presented with ihose records.
ft also includes consideration of any vnusual items or disclosures in the accounts and seekin9 explanations f rom you as trustees
concerning ony $uch matters. The proGedurcs widertaken do nDt provid¢ all the evidencE thlrt would be re9uired in audil and
Consequentty no opinion15 9ivin as to whether the occount$ prestn* a *rue and falr vlew and the report Is Ilmlted to those
matters set out in the statement below.
IndEp•tht uamlnor'i *totThnt
IN connection with my examlnatlcn, no material matters hove corne to my attenttgn which 9lvLq mo re￿Onable couse to belie
that in oty mat¢rial respect:
the accounting r¢cords were fict kept In accordance wlth section 130 of the Act..
The accounts did not accord with the accountlng records.. or
the accounts did not comply with applicoble requirements concerning the form and content of occounts se* out in the
horities Regulotion 2C(J8 other than any requirement that the accounts give *rue ond fair, view which is not a h￿tr
considered as part ¢f an independent exam1r￿tIo￿.
I have no concerns ond have come across no othtr motters in connection with the exominotion to which umention should be
drawn In thls report In order to enable a proper understondlw of the accounts to be reached.
Mr Yaw KL¢Si (FCCA)
Martln Morrlson a Co Ltd
thartered Certlfled AccoLtntants
Unit 43 The Cooch House
66-70 Rgod
Bexley
OA5 ILU
Dote: Cp>
Jii[2rL5-
Page 3

Add d Stanho
vernor
e School
tate
epbt o
inancial Acttvities
ear Ended 31 March 2025
cludin su
Ihc
nditvre a
counts
or
INCOMZNG AESOUACES
31.03.25
Urnystricted Rextrietod funds Total funds
31.03.24
Total ftsnds
Notes
tsonations
Investments income
rosourc¢s from eharltable actlvltlts:
other charitable income (tapitdl 9rnnt)
Interest received
rnsaurces fr￿ g¢nerated funds:
20
9.413
20
9.413
8574
15.202
15.202
1.415
1.413
15,182
1.492
TOTAL ZNCOAIE
10.848
26.050
25.288
PESOUCES EXPENOED
EXPENDetsrruRE ON..
Chwitable actlvitiu:
Donations
Charitable expenditure
(2.M))
3.46
(2.5￿)
135,105)
(75.967)
(45,538)
(121.5015)
(123.831)
NEf INCOME/(EXPENDrriJRE)
(65.119)
(30.336)
(95.4YJ)
(98.543)
Net gainsl(losses) on investments
12,342
Net 1n0vo￿ of fvnds
(73.167)
(30.336)
(103.503)
(86,200)
Transfar5 betww funds
RECONClllATION OP FUNDS".
Totql f￿dI brought forward
14.047.303
558.529
14,605,832
14,692,032
TofAL FiNbS CAAAtEts FOkWARb
13,974.136
528.193
14.502.329
14.605.832
Pa9e 4

Adde
a stanho
Governor
e School
Bokmce Sh
31 March 2025
31.03.25
Total funds
31.03.24
Total funds
Unrutrlcte
d f￿￿$
Aestrlct¢d
f4WKIs
Notss
13.616.800
543,268
14.160.068
14,246529
505
261.867
82.139
365
269.915
91,273
261,867
82.139
Cosh in hand
3H.511
344.511
361.553
CREDrroRS
Amounts falllr47 du• wlthln on4 y¢QP
Other emdltors
(2.2x1)
(2.250)
(2250)
VAfiENf ASSErs
342.261
342,261
359.303
TOTAL ASSEfs LESS cufiAwf LZA8ILmES
13.959,061
14.J02,329
14,605,832
NET ASSErs
13.959.061
543.268
14.002.329
14,605.832
Aeitrlcled
Uw¢Jtrlcted
543.268
13.959.061
558529
14D47,303
T(yfAL FUNDS
14 502 329
14 605,832
financial st(ftements wer£ approved by the 8oard of Trvstets on Ji
nd were sl9ned on Its behalf by:
8 Smith
Choir)-Trustee
MrJ.
.J. Pollard OviQ2025
Pa9e 5

Adde
&Stfiho
Gove
ors
Notes to the
inancrol State
ents
eor Ended 31 Morch 2025
ACCOLTr4rrING POLtaES
basis of aceountin9
These accounts hove been prepared under the historical cost (except that investments ore shown at market value)
convention with items recognised at cost or transoctlon volue unless otherwls£ sttsted In the releva￿ note(s) to tfr
accounts.
The accounts hove been preptw£d in dccordttnce with:
the Statement of Recommended Proctice: Accounting ond RepDrtin9 by Choritit£ prEpariTrJ their occounts in
occordonce with the FiMAcial keportiThJ Stdndtwd dpplicdbl£ in the UK ond Reptkllic of Irtltind (FRS 102) iSSUEd
on 16 Juty 2014
ond with the Chtwities Act 2011.
In accountlry estimotes
There hos been no chaNJe Trn qccountln9 ettimate.
411ateriol prl•r yw vrws
Ther¢ has been no materlal prlor y¢ar error has been Id¢ntlfled In the reportity perlod.
FWKI aecowrti
UnreStri¢ted fund$ con be Used in accordonce with the charitable objectives at the discretion of the tn￿tee$.
Restricted fLmds can Only be used for restricted purposes within the objects of the charity. kestrictions arise
$pecified by the donor or when funds arc rtsised for r¢stricted purpos￿.
r)evolv￿ formula capital
Thls Is funding from DepartthBnt of Education and is ollocated each year to secondory schools for pryority work The
9rantS be used for improvements to buildings and other facilities. includiry Icr. or capital repairslrefurbishmen* in
occordonce with prioritiu set by the school. The copital grants ore paid in two instolment$, in Moy (40 per cent) and Juty
(60 per cent). The formultt f or ollocdtion includes on amount per school plLrs on amount per pupil. As a Voluntary Aided (VA)
schools thLse 9overning boty's is required to make a IO% contribLrtion of each fundin9 tsllocation.
Fundir•3 is allocated by local authority to improve the coThdition of the school. Priorities for invutment in school buildi
oftd faclliti£s are decided locdlty. The resources avoilable are allocated to local authority areas on the bosis of "relotive
eed" As VA s¢hool capital payments ore paid on receipt of claims and imioices for work carried out.
All ihcoming r¢soLwtes ore included on the Statement of Finoncial Actlvities when the ch4rlty Is1¢galty lntitled to th¢
Income ond the amount can ￿ qUI￿lIf led with reasonable ac¢uracy,
Zn¥estmeht Income
This is Included in the occountg on receivable bosls ond Includes dlvidends and Interert pe¢elvoble but excludes reallsed
and unrealised investment 9oins and losses.
ITh*stment 9dn or loxes
This includes 90in or loss on sale of investments and any gain or loss rtsultln9 from revaluing ihvestmeftts to market Vdlue
at the end of the year.
Expenditure is accounted for on an occr(tsJls basis and has been classified under heodir•Js thot a99re9ate all cost related
to the category. Where costs connot Ix directly attrIb￿£d to pdrticulfjr Fiel￿1￿9$, they ho¥e been allocated to oGtivities
Oh a basis consistent with the use of resowces.
fmernonce costs are costs incurred in line with meeting the tharity's Gompliance matters.
The Trustees ossessment in respect of 90ing concern Is for a period of one year f rom the dote of the approval of the
financial statements.
Tfjxatlon
The charity is exempt from tax on its charitoble aetiviti£g.
The notes form part of these financial statements.
Page 6

dde
& Stanho
- Governors. FLthd
00
otes to the Fin
or the Yec
Isto
ed31
ents
ch 2025
TaWble flxed ossets
All assets costin9 more than £500 are capitalised. Where tarfjible f ixed assets have bggn acquired with the old of specific
9ronts, they ori included in the Balance Sheet at cost and dqjreciated over therr expected usef(61 economic lif e. The rcloted
grants arE credited to restricted fixed ossetg fund in the Statement of financial activities and are carried forward in the
Balance Sheet. Depreciation on such OSSets is chorged to the restricted fixed assets fund in the Statement of firnncial
octivities to rtduce the fund over the tssÉful economic life of the related ttsset on a bagis co￿lS*entr with thg $choofs
dEpr£ciation poliry. Where tangible f ixld ttssets have been acquirgd with the unrestricted f unds, d¢prEcidtion on such
assets is charyed to unrestricted funds.
T*3ll9ible f ixed ossets ore stated at cost or valuation l¢ss d¢preciotion. The trvstees do not consider it costs ef fective Yo
cary out a revoluation of its freehold properties ot this sto9¢ Depreciation is provided ot rates calculated to wrile off
the cost of f ixed assets. less their utimated residual Vdlue, over their expected useful lives os f ollowjs.,
Freehold property
125 yeors
8uildin9 improvement
10 yeors
Fixtur¢s and fittin9S
4 yeors
2. INCOME
31.03.25
31.03.24
Donations
Education fundin9 {Capital 9ront)
Znvestment income
Intertst rccEived
20
IJ.202
9.413
1.415
26.050
40
15,182
8,574
1,492
25,288
EXPENtsrnIAE ON CHAklTA8LE Ac￿VrrIEs
31.03.ZJ
31.03.24
Bapth char9eS
tsonation to education
Donotions to Deptford Pension Society
Other operating expenditure
17
34,605
5iy)
88,711
123,831
yc
118.988
121,$05
TAVSTeES' ReMUNeRAnON. 8ENEFrrs. AND EXPENSES
Ther¢ wer¢ no trustees, remunaration or other benefits for the Yur End¢d 31 Mor¢h 2025 nor for the yeor
31 fvlarch 2024. There w¢r¢ no trustees, expenses paid durin9 th¢ Y¢ar Ended 31 March 2025 and durin9 th¢ y¢or ended
31 March 2024.
TAN518LE FIXED ASSFrs
Fruhold
FThperty
Bulldiry
Improvoment
Flxtures a
Fltrirys
Totol
COST
As ot l April 2024
Additions irt year
14.994.320
105,062
29.778
15,129,160
At 31 Alarch 2025
14.994.320
105.062
29.718
15.129.160
DEPkEaAnON
As at l April 2024
harged for the year
As at 31 March 2025
(759,547)
(75.955)
(783,2CM))
(93,306)
(10,506)
103.813)
(29,778)
(882.631)
186.461
(29.778
969.
NET 8OOK VALUE
As at 31 Ilarch 2025
14.158.819
1.249
14.160.068
As dt 31 Morch 2024
14.234,773
11,756
14,246.529
The notes f orm part of these f inancial statements.
Page 7

Adde
& Stonho
- Governorg
e School
otes
cial S
¢nts - continued
ch 2025
nde
6. OE8TORS: AMOUfvfS FAU1￿5 OUE Wrn41N ONE YEAR
31.03.25
31.03.24
Other debtors
365
31.03.25
31.03.24
Ltsttd iM*stments (Histortc costs)
228.394
231.03]
Corryin9 (ff￿rket) value at b¢ginnin9 of year
269.916
Add: additions to invertments ot cost
L¢ss". disposals ot coryin9 volue
269.915
Add: Net reolised Investnwit 9ains in the year
Less.. Net v￿ealised investment gains/(loss)
Cffjln9 ¥akn at ond of yoor
(8.048)
261.867
Anal￿11 of in¥<stn*hts
In¥￿tMentS listed pn a reco9nised stock
exchange or held in common imiestment funds.
opeii tnded investment componies, thit tnjsts or
other collective invulment schemes
tsh held ￿ port of the iThestment portfollo
Total
25Z.980
8.887
261.867
8. CREDITORS: AMouNfs FALLlhYp wrn4ZN YEAR
31.03.25
31.03.24
Other creditors
2.250
. IAOVEMEMf ZN F(Nf)s
Fund balances
0110412024
¢kn90iNJ
Flesources
Fthds
Transfer
Golns and
{11)sses)
fthd bolances
3110312025
Education fund
558,529
15,202
(45,538)
528.193
General fund
14.047,303
10,848
(75.967)
(8,048)
13.974.136
Total Fun
14.605.832
26.0
(121,505)
(8.048)
14.502.329
10. RELATED PARTY TRAKSACThS
The tharity mad¢ donotions of £xxx to staff
The notes form part of these f inancial statements.
Page 8

Adde
astrt
ove
nors
e School
l A tiviti
2025
ort
Yea
ded 31
31.03.25
31.03.24
INCOMI￿ RESOURCES
Vol￿tt￿
Donation*
40
Intrer￿t receivoble
1.415
1.492
Dividwuts
9.413
8.574
Oih¢r IKomhw resour
EFA DFC- educati¢)nol fund 6ront
15.202
15.182
Total Incomi￿ ruowcos
26.050
25,288
Esour4￿5 EXpE￿￿Ets
Charltable actl¥itl¢s
r)wtion to school
Other glfts & donotiorts
34,605
35.105
Indepenthnt ￿￿miner,$ fees
2.Z50
2.250
2.250
2,250
&Jpport costs - re£tricte&.
kepalr$ & molntenonce costs
E)epreciatio
30.278
15.260
45.538
15,260
15,260
Sport C￿tI - U￿￿trICted.
D¢preciotion - unrtstricted
71.21x1
71.2¢J)
71.2
71,200
8Gnk chor9¢S
17
15
Totol rn1owc•s ¢%￿nded
121.506
hKome/(expendlture) boforn 9alns qnd losses
(95.456
98.542
UThYalised r¢cwlsed plns and lossos
Unrealised 9aingl(loss) on investments
kealistd 9ainsl(loss) on invutments
(8.048)
12,342
8.048
12.342
Net h*ome/(expendltwe) after ￿realIsed gains and loss
(103.503
This pa9e does not form part of the Statutory f inancial statements.
Page 9

Adde
- Gover
esc
ool
Sch
uleo
r the Year
nt Receivobl
d31
ch 2025
6rants
ontribution
from school
EFA DFE Capitol
15.202
NIA
15.202
NIA
15.202
Sufety Strvlcej and boiler
30.rn
Total
This page does not form part of the stotutory f inancial statements.
Page 10