PETER STREET CENTRE LTD

Registered charity 1136773 · accounts filings on the Charity Commission register

Peter Street exists to provide a vibrant and modern facility that is first choice for local people and services.Residing in the Town Centre of St Helens the building offers facilities for many community groups. The emphasis across all areas of operation is to support local people in pursuit of various activities from exercise to IT training.

Causes: General Charitable Purposes · website · Get email alerts

Latest income
£117k
Latest spending
£130k
Registered
2010
Accounts read
FY2025

Financial health, per its FY2025 accounts

The accounts state that the charity reported a deficit of £12,464 for the year ended 31 March 2025, resulting in a decrease in total unrestricted funds from £93,754 to £81,290. Per the trustees' report, the charity's reserves of £81,920 are equivalent to 12 months of running costs, providing a buffer against the identified risks of reduced room hire income and rising utility costs.

Automated summary of the FY2025 accounts; the evidenced findings below carry the verbatim passages.

What the accounts disclose

Reserves policy: 12 months of the centre's running costs (held: £82k)
This level of reserves is equivalent to 12 months of the centre's running costs.
Per its FY2025 accounts as filed with the Charity Commission.

Accounts independently examined (not a full audit). Discloses 5 of 6 completeness components.

Property (HM Land Registry)

1 registered title in England and Wales held by the charity’s company or corporate body (0 freehold). All charity-held property. Contains HM Land Registry data © Crown copyright, OGL v3.0.

Trustees · trustee networks

Trustee list from the Charity Commission register (current, not historical).

Operates in: St Helens

Income and spending

Financial year endIncomeSpending
31/03/2025£117k£130k
31/03/2024£135k£133k
31/03/2023£91k£118k
31/03/2022£106k£114k
31/03/2021£99k£112k

Common questions

Is PETER STREET CENTRE LTD financially healthy?

Per its FY2025 accounts: The accounts state that the charity reported a deficit of £12,464 for the year ended 31 March 2025, resulting in a decrease in total unrestricted funds from £93,754 to £81,290. Per the trustees' report, the charity's reserves of £81,920 are equivalent to 12 months of running costs, providing a buffer against the identified risks of reduced room hire income and rising utility costs. Its FY2025 accounts were independently examined.