As a Community Benefit Society, Riverside FC is committed to financial transparency. Our accounts are prepared annually and presented to members at the AGM.
2024/25 Financial Summary
Income & Expenditure
Category
2024/25
2023/24
Change
Income
Matchday income
£38,500
£36,200
+6.4%
Bar & catering
£42,300
£36,800
+14.9%
Membership
£7,800
£6,950
+12.2%
Sponsorship
£28,400
£25,600
+10.9%
Youth subscriptions
£18,200
£16,500
+10.3%
Grants received
£4,500
£3,500
+28.6%
Other income
£2,800
£2,750
+1.8%
Total Income
£142,500
£128,300
+11.1%
Category
2024/25
2023/24
Change
Expenditure
Playing costs
£32,400
£30,200
+7.3%
Ground & facilities
£28,600
£24,800
+15.3%
Youth development
£22,100
£20,500
+7.8%
Bar & catering costs
£21,800
£19,200
+13.5%
Administration
£12,400
£11,800
+5.1%
Utilities
£14,200
£13,500
+5.2%
Insurance
£4,200
£3,800
+10.5%
Other costs
£2,500
£2,000
+25.0%
Total Expenditure
£138,200
£125,800
+9.9%
Summary
2024/25
2023/24
Total Income
£142,500
£128,300
Total Expenditure
£138,200
£125,800
Operating Surplus
£4,300
£2,500
Balance Sheet Summary
2024/25
2023/24
Fixed Assets
£125,000
£118,000
Current Assets
£52,400
£48,100
Liabilities
£6,800
£6,800
Net Assets
£170,600
£159,300
Reserves
Amount
General reserves
£45,600
Restricted funds (Academy)
£8,200
Restricted funds (Women's)
£3,400
Total Reserves
£57,200
Auditor's Statement
"In our opinion, the accounts give a true and fair view of the state of the Society's affairs and have been properly prepared in accordance with Community Benefit Society regulations."
— Smith & Jones Chartered Accountants, December 2025