REGISTERED CHARrr( NUMBER: 1024268
Glrlguldlng
Greater Manchester West Annual Accounts
Year Ended 31st March 2025

Guid
oclatl¢)n Grnat•r
nche
West
Contènts ofth6 Flnan¢lal Statem•nts
for th• Year Enrt￿ 31 Mar¢h 2025
P•g•
R•port of th• Tru•tw•
Ind•p•nd•nt Examln•rf* R•port
stat•m•nt of Flnanclal Actfvltl•s
Balan¢• 8h••t
Not•8 to th• Flnancknl Stat•ment•
10 10 15
D•tall•d Stst•mont of Flnanclal Actlvltl•s
16 to 17

Gul
$sociation Gffea
ane
ortof
h• Trust
e Year
for
arch 2
County Executive
Memberlcharity
TTU5tee
Dmsion
Commissior
Ashley
Management
Committee
Other role I Comment
Name
Mrs Laura Keller
Victoria Sellstrom
Mrs Paula Ta
lor
Mrs 8elinda Henshall
Mrs Elizabeth Southem
Mrs Sarah Coac
Mrs Sarah Bartlett
MTS Pamela Wiliams
Mrs L nette Woods
Mrs An
ela Hardman
Miss Rebecca Patten
Miss Eleanor Dawes
Mrs Sue Fraser
Coun
Cornmissioner
From 1° Se
tember 2024
Coun
Treasurer
Until 1, Se
tember 2024
Until 1. Se
tember 2024
Coun
Trainin
Load
GO Co-ordinator
Until I" Se
tember 2024
County Chair of Finance and
Ashl Site Mana
er
Chair of Ashley Management
and Division Commissioner
Secreia
Bookin
Secreta
Treasurer
Heahh and Safet
Groundwork
ment
Events
Sho
Mrs Vicky Isaac
Miss Katie Isaac
MrsG
neth Perkin
Mrs Mar
arel Blowe
Mr5 S Ivia M¢Greal
Mrs Ros Scott
Mr Andrew Olive
Mrs Paula Gra
Mfs Rachel Curwen
Charlty Numbèr 1024268
Contact
Email.. wjnty
mwgulding.ory.uk
Bankers
CCLA. 1 Angel Lane, LorKion. EC4R 3AB
Nat We$t, 23 Stamford New Road. AItTin¢ham. Cheshlre. WA14 1 DB
TSB, Croft Bank Roa¢J. Urmslon. Manchester
The co￿perat￿￿ Bank. Balhjon Stre81. Manchg8ter
Indopendénl Examiner
Joanne M Elliott FCA BFP FMAAT
Clarity A(￿untants
1st Fl¢3or
107 Loes Road
Oldham
Lancashire
OL4 1JW
Page 1

Guide A
ociati
Manc
Ré ort ofthe TrUst￿S
fort
Year End•d 31 March 2
25
OBJECTIVES AND ACTNITIES
Stru¢tur8, Go¥•mance and Manag•mont Gov•ming Docum•nl
The charity's fomial name is The Guide Association Greater Manchest8r We8L Ils operats.onal name is Glrfguiding
Grgater Manchester Wesl and is often refe￿ed lo in Ihh8 r8wt as The County. The thantys govemlng document 18 The
Guide Associatson Royal Charter of 1922. The Royal Charter and Byelaw5. The Gu*Jing Manual, various handbooks and
Th$ County Constitulion tog8thor delennine the charity Is 9ovomod.
Organlsalional Struclure
The Gulde 1I5thation
(known a5 Girlguldln81
Charlty No 306016
The Gulde Assoclatfjon NW Engtand
he Region) Charlty No 521694
Glrl Guldln8 Greater Manchester West
(The County) Incorporatlng the Ashley Centr•
Dlvlslon5181
Dlstrfcts 1181
Unlts11901
Page 2

As
la
fman
ster W
ort
the Yè
the Truste•s
r Ended 31 March
02S
The Gulde Association (>8ater Manchester West is constiiuted as a brarKh of the Guidg knodath)n In accordanc8 vAlh
the Royal Charter. and has thtt status of a Girlgu¥Jing County vAthin North West Reg￿n of tho Gulde Association. The
structural organisation of the Guide Assrtiab"on is link&J through:
al the appointment ol Commissioners arKI Leaders. The County Commlssk*ner Is appointed by the Region Chief
Commissioner and is an Ox officio voting of th8 Regi¢)n Execufve Committ88. Th& County Comml83ioner
appoints the Division Commissioners within the c￿nty and thè D￿￿slon Commlssfor*r8 are ex ofllc40 Votlng mgmbern of
the County Executive C(￿mittee.
bl shared commilm8nt to the objects of the Ri)yal Charter *KI adh8ren(xJ to the rul88 regulalion8 881 out in the
Guidlng Monu818nd Association handbwks.
Wlthln GlrtguldlNJ and a8 actsptgd by thg Charity C(J))mi8sh)n8rn. thè var5ws orgonl8ati¢Jnal leve￿ retsln 80parate
Identity for ¢harity regislr8tion and attounb'ro puws. Accordingty, consolidated a(tounls arè prepared, and the
Countl8 accounts do not Include the trartsaclions or assots and lats'litiO8 of any Divi$lon, Llslrfcl or Unil wthin th&
County.
flnandal odmlnl$trallon of thg County SB 8ubject lo thè Rulgs other ￿￿10￿3 of The Guldlng M8nual and
Ch8rfty Law.
The Charity Truste￿ of The Gulde Assmation Greater Manc*estsr W8st have dglegatéd parti¢ular responsibillty for Th8
A6hl8y Centre la propefty In Mobbertoy, Cheshlrel to a Su1￿0mMIttee. The propgty title to the Ashfey Centr918 held
by The Gulde Associallon TTUSI Cofporation in tr￿t for Greatgr Manchestsr WesL Tho arrangernent5 are based on the
trust$ of the Gulde AS￿latIOn 1938 Trust Deed. under which tho Trust Corporafjon a¢ts at tho dlrection of the County
Executive Commlltee In regard lo the propety. The day lo day managèm$nt and adminlstraU¢)n of thg ASh￿Y ¢xntre18
tha responsiblllty of the SU￿0)MMIttee.
Rè¢ruitment. Appointment, Indu¢tion and Training of New TNsteo$
The Guldt As8oclalh)n's Chlef Gulde appolnts Ihe Reglon Commlsslor*r who In tum 8ppolnts the C¢)unty Commlsslonor
who In tum appoints the eighl Divlsion Commis¥ioners %thln tho County. ènd th& County Admlnistralor8 (freasur8f.
County Secretary and Chairs of Guiding Development).
Thg hc4ders of the88 posts arg voling members of the County Ex*cutlvo ond the Charity Twsts8s of the Gulde
Association Greater Manchester Wesl. They $erve os Charity tnjslees for tho lem of their respeGtive appoinlmenls,
whlch In the case of tho County Appointment Holders Other than the County Comm18s￿or, tsmilnate on the eXp[ra￿On
of thè County Commlsslonerfs term of offlce.
Charfty Trustees $orve for a term of offlce of up lo five years, bul would be removed as Charity Trustees should th9y
cea80 lo hold office as Division Commission8rlCounty Adwser for any reascffl belore their anticipalgd tem has expired.
The County Admlnl8lr8torn arg appdnle(I wtlh each new Co[￿ty Commlssboner.
Chartty Trusteès are assigned a mentor who ensures thal Infom￿1 tr8lnlng 1$ avallabkn to m99t Indlvldu81 needs and
helps propares thèm for managgment ol their thw'8ions.
Risk Man8gemenl
Thg Charty Trustees have reviewed major slrateglc. bu5ine89 and operation81 risks whlch the cha￿ty faces. The89
11 be det2i18d in a risk rogisler and the trustees, have an annual rewew programme in place. Polic4e8. Systems and
processes ex181 lo milg81e risks as far a$ possible.
Page 3

Gul
soclatlon Gr•at•r Man
rwest
R•
ort of tho Truste•s
Year
31
25
OBJECTIVES AND ACTivmES
R•view of a¢tlvitles to 31 M•rch 2025
Girtguiding Greater Man¢hesler West is a registered ¢hanty dedicatsd to empowering glrts and yourwJ womgn across th8
reglon through lun, Mendship, challer*Je, and adventyve.
This report provide5 8n ovemgw of tho ¢h8rtils aL*wties, achiovements, and ffinan￿al performance ovor the pest year. 11
reflects the conllnued dedicatlon ol our volunleers. ka(lers, 8nd memkrs who work together lo provide opportunSlle8 for
girfs 8nd young ¥wmen to grow. develop skills. and makg I8Stlng friendships through the Girfguldlng p￿graMme.
As Trustegs. w8 are responsible for ensuring that GI￿￿lding Greater Man¢he8ter West OP8ral8s in ￿C0[danCe wrth its
charliable objeclNes oThJ the poll¢4es of GIT￿￿￿￿1ng UK. while maintsinirvJ strong 9ovem8nce and sound financlal
management. We ar¢ proud that. Ihfoughoth the year. our county has continued to offw safe. indusive. and inspiring
experf8nc88 to glts and youThJ women across our communities.
Th18 Past year has be¢n IFllod eneryy. creatlvlty, arKI conneckn acTOS8 (￿r county. From unll m8edngs and camps
to comrnunlty events and leadèrship opportunitles. our members havè ￿ntinUed to shthv what il means lo bo part of
Glrlgulding- embraclng thalk8ngg. buikjlng confid8nce, and supportiry one another every slèp of th8 way.
N¢nè of Ihls woukl be p)ssibl8 vmlhout the incredibl& Commiknenl of our volunlears. W8ek after week. th&y give Ihoir
ttmo, ènthus188m, and Skllls lo crealo safe ar￿ insplrlng 8￿c*S wherè girls can gnjw. dlscovgr Ih8ir potential. 8nd havg
fun. We're de8pty gralèfijl for thtir dedlc*tiM and ts positive impact thèy make in comer of Groaler Manchester
Wost.
As Truste88. we are proud to see the charity continuo lo thrlve bo1h financAally arKI operationally. Our focus rèmoins on
ensuring that GirkJuiding Greater Manchester Wesl is wdkmanaged, inclusi￿. ond fowrd4ooklng - 80 that evgry glrl
and yOUNd woman in ￿r C￿jnty has thance to 6xpo1i8nc• th8joy and e￿owerM&nt thal Glrfgwldlng offers.
As Tru51ees, our fc¢us Is on 8UPPOrting our vdunt8ers. Strengthen1r￿ our local slructttffjs. and ensumg that 8vory girl
and young woman In our county hos acce￿ lo the opportunllN?$ and ex￿nan￿$ that mako guiding $0 special. We
encourage our memb8rs lo laugh. Igam and have advonlures from RainbOV￿ a9ed 4. to Rangers 18. Glrfs can d)
anythlng.
Th1$ year has b￿n on8 ofgrrywth, re8ille￿i. •nd Co￿bratiOn. Auoss th• county. ¥￿ have 808n.'
Ashley Rock8 Wodd Tour. our wgekend féstival, took pla¢¥ al th• bgginniry of Juty. This wag a ts¥Mlghl event, wher•
the Guides 8nd Rang8rn campèd In tents ¢)n Friday and Satun1ay night. Th8r8 worg 80 many acOvltS0s Sn tr+8 day 8nd
sllenl dlsco on Friday nlght and solo artists and a band played on Saturday nSghl and a dlsGo. DespSle the rnln
fanta8tl¢ Ime waN hBd by overyone.
A celebration of the Brownie 11 Oth Birthday In Crtober with a party to celebrate for over 300 8rowni8s at Bispham Hall
Eststg. We had 8 fabulous dgy. They spgnl they spenl tho tlay 98ming b8dges, singing around a campflrè, havlng fijn ¢)n
the inflalabk85, trying adventurous activrtKgS and even attended a birthday party.
Community events important to GMW where members and vo￿￿￿61$ can all got together lo have fun and meet
friends.
Our Rangers and young leadgrs and volunteers 8tt8ndod GMW Ro¢k Up. an int*)or rock-dlmblng adventurn and later In
the ygor, took part In a ojokery workshop with 8ounc•bad( Food Crxnmunlty Kltchon to hglp vAlh tholr food povgty
project.
Our divi5ion$ continue tr) support and work wilh their kcal communities. Sale Division ￿lleCt￿ perK)d products to
donate lo Period Poverty 8nd Social Adon Project. The divisions aL80 8ltend Remembrance Day Parades and Sl
George's Day parades In Trafford, sa￿ and Salford.
We 5UPPOrted Sale Gang Show wth a donation of £SOO aryl our girls ltir￿ Sal8 and Dlstrict scouts In the cast. A
fat￿loUS show bul sadly probably the108t garYJ Show.
We donated £500 to our prowty al A8hl•y towards now bunk Beds and mattresses in th8 house.
In May. Friends ol Ashley and Ashley Management invited frien¢Js okl & new to celebrate 85 yoars of the Ashley sile; 50
years of the House.. 15 years of th8 Lodge arml 50 years of Friends of Ashley.
We had over 70 people on site for afiemoon celebrations in the SL*nshine.
We had a kauliful bèspoke bwthday cake, ￿u$ almost £41Kl was raised. A skwially designed Ashley birthday.
Page 4

ide
Manc
rw
R•
ort ot th TTust••s
fort
oar
ded 31 March 20
OBJECTIVES AND ACTMTIES
Our Urmston Division hav9 raised funds to rebuikl their I￿1 hgadquarteTS. We made a ￿thoUSand-poUnd donation to
support their ￿ndraising and prov*Jgd an interest free loan of twenty thousand pounds lo enable work to contin
betsveen grants. The first slag9 1$ almost (xjmpleted and thg house is n¢74V watertight with roof and windows.
We contlnuad to encourage our membgrn to eyrf8nc8 Intemauonal Girlguidlng. Loador3 and young member8 lago
14-181 look part in regional trips lo Cambodia arbd Sweden lage 10-13). We supported all those who appllèd for 2025
trfps through a county selection process and wowded grants of b8knn 10 and 12.5% towards Ihoir fund ralsing ot th811
costs. Those who werè not ultimalety offered places on regional trips were er￿Uraged lo sign up for Ihtr 2025 County
trip to the Azores. for which planniThJ started in 2024125. Givtrn that V+E have 21 members of GMW going lo the Azores.
we agrged that County 17nancial SLtpport will be through a t￿ntribUtIOn towards trip unifomi costs rather than individual
grants. Overall. we are tlellghled al the growng interest in inlernalional Girwiding and wll be inwrporatsng more
affordablg options In lulure to encourage evgn wkler lak￿p.
ways lookSng to oxpand the activlties available for bcrth glrls arKI volunteers we pald for courses for a n8w WalklrKJ
Advlsor and an ArC￿ry knisor. The first wdk is lo be arranged. and arthry $8s8kJn$ can now be booke¢Y al Ashley.
In Rownltlon a￿1 oward$, we havo colgbrated the Incredlbk athlevements of ow members and volunt•er8.
Congratulations lo Be(*y Patten, our GO Adwsor wa$ awardgd the Laurel Award and Vicky Winiams was awarded the
Trofford Award 8t our Pre$ontatlon nighL Fantastic achievements.
Thes8 hlghlights retlect the of Girfguldlng Greatsr Manchester West - knduslve. 8mptswering, and always ready to
make a wslllve Impact.
Looklng Ahead
A8 we loc4¢ to the year ahead. we éxcH8d g1>)ut th6 opporbJnltlo$ to grow. connect. and tvolve togolher. Our
pnorits'e$ include supporting volunteer recruitment and retention. ensurfng our wvemance r¢main$ strong. and
>nllnulng lo provlde h59￿qualIty programrn08 th91 meet tr* negd8 an(1 Intor•sts of todaW8 glrls.
Wo know thBI the comlng year wlll bring new challerwJo8. but also posslblllljes. Imth th8 enthu$lasm of our memborn.
Iht dedication of our v(Aunteers. and Ihg guldance of our leadership tèam. wg are confid8nl that Glrfgulding Greatgr
Manchesl8r W8$1 Mll continue to thriv8 and insp'ro. Together. wa'll keep creating 8 place whero 8v8ry glrl knows sh9
can do 8nythlng.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Gov•rnlng docum?nt
Thg charlty Is conlrollgd ty Its uNwemlng documonl. a deed of trust and con8Vtutes an unlncorFty)rated charfty.
REFERENCE AND ADMINISTRATive DETAILS
R•glstor•d Charlty numb•r
1024268
PrFnclpal •ddres$
15 Dartftyd Avenue
Eccles
Manch8Ster
M30 8NF
Tru8ts09
Mrs Laura Keller
Ind•pend•nt Examln•r
Joanne M. Elllott FCA BFP FMMT
Clarfty Accountants & Tox Advl8or8
1st Floor 107 Lees Road
Oldham
Lancashire
OL4 1JW
Page 5

Gulde
¢latlon
anchester
ort of th• Truste•s
for the Y
rEnded 31
2025
Approved by order of the boat(l of trustees ￿ ......................
.. 8ThJ &ghéd on its behalfty.
Mrs Laura Keller- Tn￿￿tr
Page 6

Inde
nden
ami
rfsRe
Guld• Assocl tion Gr•ater Manehestor W•s
Indep•ndent •xamln•rf¥ report to the trusttts of Guklè Assoclatlon Grnater Manch•ster West
I report to the charity Iwstses on my exanMnati¢)n of the accwnts of Guide Asswi8t￿n Greater Manch•ster We$1 Ilhe
Trustl for the year ended 31 March 2025.
R•$ponslbllitl•$ and ba$1$ of report
As the charity trustees of the Trust you responsibl8 for the preparation of the accounts in accordance vllh t
requiremgnts ofthe Charities Act 2011 (kn Acr).
I report in respect of my examination of the Tnjsfs arxounts carritid out under Section 145 of thè Act and in carylng out
my examination I have followed all applicable Direclions given by the Charity Commthion under S8ction 145151{bl of the
Ind•p•nd•nt •xamlnef# •tat•m•nt
I have completed my examination. I confirm thal no material mattws have o)me lo my attention in connection with the
examin81ion givlng rr* cau8è lo bfjlieve that in any material respe￿..
accounllng records wer8 not kept In resF*¢t of tho Tr￿1 a8 rgquired by S6dlon 130 of the Act,. or
the ac¢¢)unls do not accord with those r8¢ords.' or
th8 accounts do not compty wlth the apph'¢8blo reqtJirem&nts concemlng fomi and content of ac￿Unts set out
In the Charibgs IAccounls and Reports) Regulatlons 2008 othèr than any r9quirèmenl that th• a￿￿jn￿ give
true and Iwr view whlch Is r￿1 a matter Considèred as part of an ind8p8nd8nl gxamination.
I have no con¢gm8 and have come acTOSS no other malters in conneclion V•lth thè èxamination to whld) attenUon Should
bo dr8wn In th18 report In or(18r lo ènable a und&T8tsndlng of tho accounts to be r98c*od.
Joanne M. Elllott FCA BFP FMAAT
Clarity Accountants & Tax A￿sOr$
1 $1 Floor 107 Lees Road
Oldh8m
Lanc88hlre
OL4 1JW
Date..
IWJ
Page 7

t•r Ma
atom•n
ofFI
the Y•a En
anclal
•d31
tlvitl•s
2025
2025
Tot
fun(ts
2024
Total
funds
fvnds
funds
Notes
INCOME AND ENDOWME14TS FROM
Donations and legacies
29.59)
29.550
30.968
Charltabl• actlvltltr4
General
61.499
61,4*3
25,152
Other trading actiwtios
Investment incomg
4.781
3,467
4.781
3.467
3.453
2,830
Totsl
62,403
EXPENDITURE ON
Rai$lng fund8
4.804
4.804
6.246
Charltsbl• a¢tMtIos
Gentral
96.937
96.937
69.971
Other
700
700
Tot•1
NET INCOMEIIEXPENDITURE)
Oth•r rocognl8•d gaIn￿lI0•*￿)
Galns on revaluallon of fixed assets
(3.1441
13,1441
113.8141
138.430
N•t mov•m•nt In fund•
3.144)
13,144)
122,618
RECONCILIATION OF FUNDS
Totsl fvnd8 brought forward
1.483.033
1,483.033
1.360.417
TOTAL FUNDS CARRIED FORWARD
1479 889
1479 869
1483 033
The notes fomi part of Ihese financial stalements

anc
rw
Balanc
1 March
2025
Totsl
fvnds
2024
Total
fijnds
)lJnds
funds
Notes
FIXED ASSErs
Tangible assets
1.355.195
1.355.195
1.358,769
CURRENT ASSETS
Stocks
Debtors
Cash in hand
4.961
20.OC¥)
121,570
4,961
20.000
121570
5,104
4,383
128,82fj
146.531
146.531
136,313
CREDITORS
Amounts tslllng due withln one yoar
(21,837>
121.837)
112,0491
NEf CURRENT ASSETS
TOTAL ASSEfs LESS CURRENT LIABILMES
1,479.889
1.479.889
1.483,033
NET ASSETS
1.479,889
1,479.889
1483,033
FUNDS
Unrgslrjctad funds
10
1479 889
1483 033
TOTAL FUNDS
1479 889
1483 033
The financial statements were approved by the Board of Truste￿ and aulhorisgd for issue on
.. and wgrg Signed lis b8haK by..
Mrs Laura Kell8r- Tru8t6e
The notes form part of bhese Ilnancial Statements
Page 9

hester W
Notes to th• Flnancial Statemen
for th
ded 31 Mafch 2
ACCOUNTING POLICIES
B•slJ of pr•parlng th• finan¢hl stat•m•nts
The financial statements of th8 tharity. whoch is a pU￿1C banefft *n￿ty under FRS 102, have been prep8r8d In
accordan￿ with the Chartbes SORP IFRS 1021 'Accounting and Repo￿ng by Charilies.. Stslement of
Rtrcommended Practice applicable lo charibes proparing their accounts In 8ccordance with the Financial
Reporung Standard applicable in the UK and Republic ol IreL4nd IFRS 1021 leffective 1 January 2019).. Flnan¢ial
ReportSng StarKlard 102 The Financlal Reporllng Stsndard appll¢8Ne In the UK and Ropublic of Ireland, and th
Charilles Act 2011. The financial stslemènts have been preparnd under the hlstodcd eosl ¢onv¢nUon, a$
modrfied by the revaluation of certain assets.
Incom•
All incom918 recognlsffll in the Statement of Financl81 Athiti88 once the ¢h8rlty has gntitloment to the fvnds, il Is
probable Ihat the Incomo wiH be rètoived and Ihg amount can be measured reliabty.
Exp•ndltur•
Llabilile$ are recognlsed as expendliure as soon as there Is a 18gal or conslruthve obllgation committlng thg
charity to that expgnditure. it18 pr￿￿ble that a tr8n$f¢r of 8¢onornic bgn8fits will b8 requlrod In $&ttlomenl and
the amount of tho obligation can be m&asur8d Teliably. Exp8nditurg is acLounled for on an accruals basis and
has been dossrfiod undèr he8dlngs that aggtsgale all cost related to the catsgory. Whor& Costs cannot b8
dlre¢lly attributed to partitijlar headings they have been olbcated to aclivib'es on a basis consislenl with the use
of re80urces.
Tanglbl• flx•d au•ts
The tnJst8es have e9￿Ma￿d the value In u•e of th6 land and bulldlng8 owned by the charfty al £1,319.621. A8
is the trust808 Sntentkin to keep the bulldlng In wod condition. no d8predatk)n Is lo bg charged on land or the
bulkllngs.
Depreciallon Is providad on th8 co31 of fixtur8s, fitttngs 8nd equi￿￿Trt In ordeT to wrll• off the c08t. 8ftor taklng
account of $cr8p values ovèr tho expected useful Ilves as folk)ws'.
Flxtures and fittlngs
Equipment
5% redudng b8L•nce wlth IO% ￿￿dual value
5% rgduang balan￿ with 10% residual value
Stock•
Stocks are valued at the lower ol ts)St and not ro8118able value. after moklng dug allowanc• for obsdete and slow
movlng Items.
T•xatlon
The charity Is exempt from tax on its charitable actsvibos.
Fund a¢¢ounOng
Unreslrfcted funds can be usgd in accordance wlth thè ch8ritobS9 0￿￿1ve$ 81 tho d58cretion of tho truslaès.
Reslrlcled funds can only be used for particular restricted puTrose8 w6thin the objects of the charity. Rèstddon8
arfge when spè¢ified by the d¢)nor or vthen fimds are T818ed for parbculw restrklgd purposes.
Further eyplan81ion of the naturè and purpose of •a¢h lund18 Inc￿￿•d In tho notés to the financial Statements.
OTHER TRADING ACTivmES
2025
2024
FundTai5ing ev¥nl$
Shop income
912
982
4.781
Pa9è 10
confjnugd...

uld
iatl G ater
N tes to th Finan¢lal S
t•men
fort
e Year E ded 31 M ¢h 2025
INVESTMEKf INCOME
2025
2024
Bank intsrest
3,467
2.830
TRUSTEES. REMUNERATION AND BENEFITS
There were no Iruslee5' rem￿OI8￿n or other b0r￿fft$ for the year erbJ8d 31 March 2025 nor for the yoar ended
31 Marth 2024.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTivifiES
Unrestrlcted
funds
Reslrided
funds
Totsl
fund8
INCOME AND ENDOWMENTS FROM
tlonalons andlogaae
30,968
Charltabh actMtI•8
General
25.152
25.152
Other Ira&ing aclivFttes
Investment ino)me
3.453
3.453
2,830
Total
EXPENDITURE ON
Ral$lng funds
8.246
6,246
Ch•rttsbl• aetl¥lti
Genernl
69,971
Totsl
76.217
NET INCOMEI{EXPENDITUREI
Other r•eo9nl$•d galnslllo¥sesl
Galn8 on r8valuallon of fixed 88S9ts
113.814)
113.8141
136,430
136430
N•t mov•m•nl In funds
122,616
122,616
RECONCILIATION OF FUNDS
Totsl fvnds brought forward
1.360.417
1,360.417
TOTAL FUNDS CARRIED FORWARD
1483 033
1.483,033
Page11
continued...

Ide A$sociation Grea
•rW
Not•s to tho F
¢r the Year
nanclal Statements- eon
gd31
rch 2025
TANG18LE FIXED ASSETS
and
ffttings
EquIpm￿t
Totsls
COST OR VALUATION
Al 1 April 2024
Additions
DisF4)sals
1.343.768
53,864
3,899
39,041
1,436.673
1.822
5.721
700) ￿00)
40,163
Al 31 Marth 2025
1,343.768
57,763
1.441,694
DEPRECIATION
Al 1 Aprll 2024
Charge for yoar
24,147
33,065
4.731
20,692
77,904
8.595
Al 31 Marth 2025
24.147
37.798
24,556
86,499
NET BOOK VALUE
At 31 March 2025
1.319.621
19.967
15.607
1,3S5,19S
Al 31 March 2024
1.319621
20.799
1358,769
Cost or valuallon at 31 Morth 202518 repr￿ntod by:
FLxtur•8
and
ffttings
Freehold
property
Equlpmgnt
Totals
Valuallon In 2021
ValualSon In 2022
Valuation in 2024
C081
78.496
121,338
136.430
78.498
121,338
136,430
1105430
1343 768
STOCKS
2025
2024
Stock8
DEBTORS: AMOUNTS FALLING DUE ONE YEAR
2025
2024
Other dgbtors
Prepayments and ac%rued Income
20,000
4,383
Page 12
confjnued...

Gulde Assoclatlon
real•r M
Nots$ to th• Financial
tst&ments- continu•
for th• Yé
ed31M
2025
cRED￿oR5. AMOUNTS FALLING DUE ￿THIN ONE YEAR
2025
2024
Other creditors
21.837
12,049
10.
MOVEMEKf IN FUNDS
Net
movemgnl
In fund$
Transfo
beiwèen
fund
At
31.3.25
At 1.4.24
Unr•¥trl¢t•d funds
General
Designat￿1 fund- offi¢8 equipment
Deslgnal8d fund- Inlgmallonol event8
Design8ted fuNJ - Building ￿sts {roofj
Designatgd fund - Advisors
Designated fvnd - Op¥rating ¢osts
Designatod furwJ- Guidlro support
(Technology)
Designated fund- GMW Mini Grnnt
Dosignalèd fund - Events
Designale¢i fiJnd- New programme training
Dgsignalg¢J ftJnd- PR
D8signal¢d fund- Ashley speci￿ Prol
Dgsignated fund- Intemational budget
Dgsignatgd fund- Lewy to Ashby
1.380,533
{3.144}
6.01)0
1.383.389
3,000
6.000
20,OCKI
5.000
30,OCQ
6,000
20.0
32.0
(2,000}
5.000
4,000
3,000
2,500
2,000
10.000
2,000
2.500
13.0
13.000}
1.483.033
3,144
1479 889
TOTAL FUNDS
1483 033
1479 889
Not rnovemenl In funds. hcludgd In Ihe above 08 follow8:
Inc(Thlng
rèsourc88
Ro8ourco8
expèndgd
Movgmont
in fvndg
Unmtrlctgd fund•
General fund
99.297
{102,4411
13,1441
TOTAL FUNDS
102441)
Page 13
conlnued...

t Association
Manchester W
Notos ta
ho Flnancial
the Yaar
d31
t•m
rch 20
. ¢ontinu•d
10.
MOVEMENT IN FUNDS - contlnu•d
Comparatlv•s for mov•m•nt kn lunds
Net
Transfers
betsveon
funds
1.4.23
In fuThJs
31.3.24
Unrostrl¢t•d fundi
Ggneral fund
Designalgd lund- Office equipmgnt
Designated fund- Inlemalional events
Designalod fund- Bullding costs Irc
Designated fund - Atfvisors
Deslgnated fund - Oper8lng costs
Deslgnatad fvnd- Guidlng 8UPPOrt
(Technology)
Do8lgnaled fiJnd- GMW Mlnl Grant
Deslgnaled fund- Events
De$lgnat8d fU￿j - Now progr8mmo trninhig
Deslgnatéd fund - PR
Dgsign8ted fijnd - Ashlay Spec181 Projects
Designated fvnd- International budget
Desbgnated fund- lo Atshtey
1.251.417
122.618
1,380.533
3.000
6.000
20.000
5,000
32.OCQ
20,OCM)
32.0
5.000
4,000
3.000
2.500
2.000
13.OCrfJ
2,000
5.000
500
20.0
2.000
(7.0001
1.360.417
122.616
1483 033
TOTAL FUNDS
1360417
1483 033
Comparative n81 movtm8nl In funds. Inchjdgd In the abo￿ ar8 as follm:
In¢omi
fO8oure•s
R8sourc4s
expended
Galns and
1088eS
Movem8nl
In fvnd8
Unr••trlthd fvnd•
General fun¢J
82,403
(76.2171
136.430
122.616
TOTAL FUNDS
138430
122616
pa￿ 14
continued...

Gu
on
otos to th• Fln
¢ar En
ncial
m•nts .
31 March
025
ntlnu•d
10.
MOVEMEprr IN FUNDS - ¢ontlnu•d
A current year 12 ￿￿nthS and prioryear 12 months comblned posibon is as follow3..
Net
Transfars
botsveen
nds
At 1.423
In funds
31.3.25
UnTestrtct•d fvnd•
General fund
Designated fuNI - Office equlpm8nt
Designated fund- Inlemational events
Dg$lgnatsd fund- Bullding costs Irwfj
Designated lund - Advisors
Designatèd fund - Oporaling ￿$ts
Dèsignalefi fund- Guldlng support
(Tochnology)
Designated fun(J - GMW Mlnl Grant
Designated fund- Events
Designated fund- Ngw progr8mm8 ￿l￿n9
Designated furKI - PR
Doslgnatfjd fund- Ashl&y S￿10[ Projocts
Deslgnaled fund- InlemalSonal budgot
Designated fur¥J- Le￿ to Ashlèy
1251.417
3.000
119,472
12,500
1.383,389
3,000
6,000
20,000
5,01)O
30,OC
20,000
32.oc
12,000)
5.000
4,000
3,000
2,500
2,000
10,000
2,000
4,000
20.000
(10,000)
1,000
1360.417
119472
1479.889
TOTAL FUNDS
1360417
1479 889
A current ygar 12 months and prlor year 12 months comblngd nel M￿m&At In funds. tndud•d In the abovo are
88 follow8..
Incomlr
rosources
Resourc48
expènded
G8ln8 and
108898
M¢)vgm8nl
In lunds
Unrè•trl¢ted fvnd•
General funij
161.7
1178,658)
136,430
119,472
TOTAL FUNDS
161.700
119472
11.
RELATED PARTY DISCLOSURES
Thort wgrg no relatsd paty transactions for th? year endfjil 31 March 2025.
Page 15

uid
iatl
rw
D•lalled S
è Y•ar
tsmtrnt of Flnan
lal
ded 31 March 2025
2025
2024
INCOME AND ENDOWMENTS
Donatlonty and kng¥l•s
Subscription - Levy
Donations
Grants
20,102
9.181
267
20,138
9.560
1,272
29,550
30,968
Other tradlng actlvltl•s
Fundraising events
Shop incomo
912
3.869
982
4.781
3,453
v••tm•nt Incom•
Bank Interest
3,467
2.830
Charltsbl• •¢tlvltl••
Olh8r General ￿vit
County Ir81nlng
Doposits and fees
32.167
3.820
17,671
3,025
Totsl Incomlng r•8our¢•s
99,297
62,403
EXPENDITURE
Oth•r trndlng actlvttl••
Opening stock
100 Club
Shop
Tradlng seNIco
Closing Stock
5,104
486
2.436
1.739
5,107
499
2,499
3.245
4,804
6.248
Ch*rttabl• actMtle$
Annual meeting
Adminlstration, postage aTrJ $tallornry
Training
Building mainlenarKe
Activity costs
Grants
SgNices
Other chgrStable txpgndliure
Depreciation of fixtures and fittiffjs
Depreciation of equipmgnl
1.934
6.444
4.364
7.970
39,819
1.996
7,961
12,153
4,731
901
5.876
4.605
4.254
18.013
2,094
7.480
11.533
5,138
4.815
91.236
64,709
Oth•r
Loss on sale of tangible fixéd assets
700
This pagè ths not form part ofthe stsknlory ffinarK4al ststements
Page 16

uido A
sociatlon Grea
anc
Il•d Stat•m•nt f Flnancl l Acti¥its•s
• Year End•d 31
rch 20
2025
2024
Support ¢o$ts
Managemont
Insurance
4.221
4.012
GoYernane• costs
Accountancy and legal fees
1,250
Tolal resources expended
76.217
N•t •xpendltur•
13814)
This page does not form part ofthè Sts￿t0ry finarK4al slaiements
Page 17