ALDBOROUGH COMMUNITY CENTRE

Registered charity 268101 · accounts filings on the Charity Commission register · also known as ALDBOROUGH VILLAGE HALL

The building provides a venue for community activities (ie, weekly lunch club, art group, drama productions, yoga, zumba and other fitness classes, fund raising events and private hirings) as well as table tennis, darts etc . The committee is made up of 8 trustees and members of representative groups. The Aldborough Community Centre Team meets monthly and the wider group twice per year

Causes: Arts/culture/heritage/science · Amateur Sport · Economic/community Development/employment · Recreation · website · Get email alerts

Latest income
£35k
Latest spending
£31k
Registered
1974
Accounts read
FY2025

Financial health, per its FY2025 accounts

The accounts state that the charity generated unrestricted income of £34,881 and incurred payments of £31,276, resulting in a net surplus of £3,605 for the period. The trustees maintain sufficient reserves to cover future repairs and six months of running costs, with total unrestricted cash funds at year-end amounting to £17,890.

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

What the accounts disclose

Reserves policy: six months running costs and future repairs (held: £18k)
The trustees agree to maintain sufficient reserves to cover future repairs and six months running costs. — page 6
Per its FY2025 accounts as filed with the Charity Commission.

Discloses 4 of 6 completeness components.

Public profiles (found on the charity’s own website): facebook

Trustees · trustee networks

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

Operates in: Norfolk

Income and spending

Financial year endIncomeSpending
31/03/2025£35k£31k
31/03/2024£32k£36k
31/03/2023£24k£35k
31/03/2022£21k£25k
31/03/2021£32k£12k

Common questions

Is ALDBOROUGH COMMUNITY CENTRE financially healthy?

Per its FY2025 accounts: The accounts state that the charity generated unrestricted income of £34,881 and incurred payments of £31,276, resulting in a net surplus of £3,605 for the period. The trustees maintain sufficient reserves to cover future repairs and six months of running costs, with total unrestricted cash funds at year-end amounting to £17,890.