ST PETER'S HALL (1991) CHARITY
Youth work, subsidise nursery, community space for several activities
Financial health, per its FY2024 accounts
The accounts state that the charity generated a surplus of £210,476 for the year ended 31 December 2024, with total income of £356,318 against expenditure of £145,842. The trustees report that unrestricted reserves of £55,000 are held in line with the stated policy of maintaining 50% of forecast annual operating expenditure. The charity is preparing for significant building refurbishment, for which a designated development fund has been increased to £1,055,829.
What the accounts disclose
“Income from charitable activities represents income receivable from goods, services and facilities supplied in furtherance of the charity's charitable objects. It includes income from hall lettings and tenants.” — page 10
“The Trustees Reverses Policy is to maintain a general unrestricted fund equivalent to 50% of forecast annual operating expenditure, to meet the working capital needs of the charity and as a contingency fund.” — page 4
Trustees
- Reverand Pat Allertonchair
- Freddie Ghali
- MIKE GILLIES
- VICTORIA ROSAMUND STARK
- William Jeffreys Hortman
Income and spending
| Financial year end | Income | Spending |
|---|---|---|
| 31/12/2025 | £351k | £151k |
| 31/12/2024 | £356k | £146k |
| 31/12/2023 | £319k | £152k |
| 31/12/2022 | £279k | £132k |
| 31/12/2021 | £159k | £124k |
Common questions
Is ST PETER'S HALL (1991) CHARITY financially healthy?
Per its FY2024 accounts: The accounts state that the charity generated a surplus of £210,476 for the year ended 31 December 2024, with total income of £356,318 against expenditure of £145,842. The trustees report that unrestricted reserves of £55,000 are held in line with the stated policy of maintaining 50% of forecast annual operating expenditure. The charity is preparing for significant building refurbishment, for which a designated development fund has been increased to £1,055,829. Its FY2024 accounts were independently examined.