KBMT
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KEIGHLEY BUS MUSEUM TRUST LTD
FINANCIAL STATEMENTS
FOR ThE YEAR ENDED 31 JULY 2023
Company r¢glstratloTr nurn￿r 2738413
Char5ty Number 1060457
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2210512024
CCWPMIES HCiJSE
#125

Kel9hley Bus Museum Trust Ltd
Finandal Statements
For The Year EThd￿ 31 july 2023
Contents
Pa9e
Members of the Board and professional advisers
Trustees, Annual Report
Independent examinerfs report to the trustees
Statement of financial artivitie5 {in¢orporalpng the Income and expenditure account)
Balance Sheet
io
Notes to the Financial Statements
li

Keighley Bus Museum Trust Ltd
Members of the Board and Professional Advlsers
For The Year Ended 31 July 2023
Trust••s
Mr Norman Shepherd
Mr Andrew Haley
Mr Michael Berry
Mrs Madene Waye
Mr Peter Cribbin
Mr Simon Waye
Flr Neil Halliday
Mr Oavld Byme
Mr John Hewlett
Secretary
Mr Simon Waye
Company Number
2738413
Charlty Number
1060457
Registered Office
Unit 5, Rt¥er Technology Park
Riverside. Dalton Lane
Keighley
West Yorkshire
8D21 4JP
Independent Examlner
Greenwood Barton ￿Mited
Chartered Certified Accountsnts
Premier House
Bradford Road
Cleckheaton
West Yorkshi
BD19 3
Bankers
Natlonal Westmlnster Bank plc
63 North Street
Keighlev
West Yorkshi
BD21 3SN

Kel9hley Bus Museum Trust Ltd
Company No. 2738413
T￿stee5. Annual Rwrt For The Year Ended 31 July 2023
The trustees. who are also directors for the purposes of company law. present their report aThJ the unaudite(J finanaal
statements of the charity for the year ended 31 July 2023.
REFERENCE AND ADMINISTRATIVE DEfAILS
Reference and administrative details a￿ shown in the schedule of members of the board and professional advlsers on
page 3 of the financial 5tstements.
THE TRUSTEES
The trustees who served the charity durin9 the year were as follows:
MrMB
APPOINTED
15/0112017
0410812022
0210412024
2610112022
2610112022
2011012021
2610112022
0411212022
0411212022
APPOINTED
App￿INTED
APPOINTED
APPOINTED
APPOINTED
MrAHal
She
APPOINTED
APPOINTED
APPOINTED
Mr David B
Mr Peter Crbbbln
me

Keighley Bus Museum Trust Ltd
Company No. 2738413
Trustets. Annual Report For The Year Ended 31 July 2023
STRucfuRE, GOVERNANCE AND MANAGEMEIIT
Governing document
The Keighley Bus Museum Trust is a Company Lirnited by Gvarantee. govemed by its Memorandum and Articles dated
7th August 1992. as amended on l* December 1996, 3rd July 1997 and 28th May 1998. It is registere{1 as o Charlty
with the Charfty Commission. Anyone 18 year5 of age can become a member with voting rights. SLtrbject to Board
approval. There Is also a pmvision for J"unior member5 and KBMT'Friends' who do not enjoy votlng rights. There are
currently some 74 members (2022 - 74 members). each of whom undertake5 to contribute £1 in the event of the
company winding up.
Appointment of truste•s
Each year an AGM (Annual General Meetong) is held and the dection of Trustees tskes pl￿ as part of th15 meetlng.
In all, three Trustees can be elected: two Trustees and an officer ie. Chairman, Secretaryi or Treasurer. In addition,
any Trustee's who have resigned during the year prior to the AGM can ￿ replaced.
Those elected then serve for a term of two year5 in the case ￿ a Trustee or fr)r a terni of three years In the case of
Chairman, T￿O$￿￿r and Secretary. Those appointed serve until the AGM that is he￿ in their flnal year unless they
reslgn or art otherwise disqualified according the Artides of Association. In additi'on to those eletted the Trustees
have the power to both replace th¢)se who resign (or are disqualified) and to co-opt up to four addltlonal Trustees,
who setve until the next Annual General Meeting.
Co-opted trustees are generally added to provxle specific expertise. knowledge, capabillty or capacity not available
from those who were elected.
Trustee Indurtlon and Trnlnlng
All Trustees are appointed from within the membership of the trust so will be familiar with the objectives and
functlons and extensove training Is Mt therefore requlred.
Each new Trustee wlll be provided with a copy of the Mernoiandum and Articles of Association and will be provided
with on the Job guidance by experience(1 Trustees.
Oryan15ation
As a whole the organisation consists of around 100 members who join by annual subxription with around 30 of those
active volunteers who work to fvrther the objecb¥es of the tnjst.
The board of Trustees, which can consist of up to eleven members, meets regularfy to discuss and review all key
topics of the Trusts business. Many of the Trustees als¢ work at the museum premises and use this opportunity to
discuss operatlonal matters and relevant activity. On an ongoing Iklsis the Trustees are in touch by e-mall and
telephone to ensure that significant developments a￿ known to all and quickly attended to.
There is a formal sub-committee in place looking at the Trusts event programme. which is made up of both Trustees
and ordirnary members. Consideration is being given to estaNish more sub-committees for other matters as this has
proved effettive and is within the Trustees power to delegate authority. Some attivities a￿ delegated to Members
who produce monthly Board Reports. These ath"vits"es ￿ main the responsibility of the trustees.
Each of the Trustees also take on speufic r￿eS such as vehide maIntenan￿• private hire dutles, compliance.
membershlps etc. wlth these belng agreed by all the Trustees from the ryJtseL
Rlsk Management
Weekly checks are performed to safeguard against potential fire risk coupled wrth annual testlng of fire extinguishers
maintain the Tnjsts compliance to fire p￿ventiOrt and mits"gation. Health and safety issues are identified, di5cussesJ
and subsequenuy resolved at rnonthly Board meetings. supporting the Tnjsts Cultu￿ to operate in a safe
envlronment.
The private hire fleet is maintained an¢J safety ched(ed on a 10 weekly basis with a DVSA approved centre on a pre-
defined contrattual basls. Risk assessments are perfomed and any corrective artions applied prior to publlc events.
Finanoal risks a￿ mlnimised by a regular scrutiny of all commltrnents. reseryes and cash-tlow predirtlons by the
Trnstee5.

Kei9hley Bus Museum Trust Ltd
Company No. 2738413
Trustees. Annual Report For The Year Ended 31 July 2023
OBJEcfivES AND AcrivrriES
The aim of the Charity is to educate the public by estsblishin9 within the Keighley and Al￿ Valley area of West
Yorkshire one or MO￿ operational or stats"¢ museums of transport history and archaeology ￿vering all aspects of road
public pa55enger tran5POrt.
To achieve this principal objective is to acquire on a freehold a pernian￿t building or buildings capable of
accommodating the Museum's collection of vehides and artef47cts. 5uth that they can be exhibited in a manner which
fulflls the Charity's educat6onal wrpose. At the same ts"me. the avoidan￿ of an ongolng rental payment will enable
the Charity to direct funds towards the acquisition and restoration to running order of a ￿p￿entatIVe collertion of
buses, coaches and ancillary vehides. It is the Tnjstees, firm conviction that the charity has. and will conb'nue to
have, sufficient income to make it self-sustsining on an indefintte bags, once the inrtial hurdle of permanent
ccommodation is re$￿Ved, and for this reason acquiring Such accommodation Is the focus of long-temi development
plans.
In order to advance its aims. the Museum leases a building at River Technology Park. Keighley. which accornrnodates
the vehicles owned by. or loaned to the Charity. (currendy Thirty two) together with some seventy seven privately-
owned vehicles which pay an economTrc rent for the space ocojpied. Given the improvement5 that have been made to
the building and surroundin9s several Open Days are held each year and these are used to promote the work of the
Charity. In addition we attend events throughout the ￿910n to educate and Inform the public of the Charity's work.
We invlte local schools to the museum for educational visits.
Additionallys we also act as a dearing house and help service for those seeking accommodation. parts or advice on
the restoration of buses, or Informatfon on matters of bus industry history and practice.
Publlc benellt
The Trustees confirm that they have paid due regard to the Charity Commission's 9uidance on public benefit and
consider their activities to be in compliance therewith.
ACHIEVEMENTS AND PERFORMANCE
The buildlng has now been purchased an(i is solely owned by Kelghley Bus Museum Trust Ltd.
The Twstees continue to work on improving the deanliness and faalities WTthln the p￿mIses.
Financial Review
7he operating profit for the year was £30.508 to cary fonvard to the following year. Reserves at the end of the year
were £268,454 including restricted funds of £5,271 and fixed assets of £51.699 of which £45.324 a￿ endowment
funds. The present level of reserves available to the tharity is £156,219 which are used to finan￿ addib'onal projects,
trading in the ensuing year as a backup reserve.

Kel9hley Bus Museum Trust Ltd
Company No. 2738413
Trustees. Annu•l Aeport For The Year Ended 31 July 2023
Rostrltt•d funds
The charity holds some £5,271. £1.600 of whith is ￿ldue of £2.000 which was glfted trom the Lee(is Transport
Historical Society for use only in maintaining and restoring former Leeds buses. Restoratlon work on Leeds 980 will
soon be in progress, and these fvrtds will be con&derably reduced in the near fiJture.
Reserves policy
The continued surplus of Income over expenditure has allowed the Trust to ￿gnifican￿Y increase the sums held on
deposrt. Whilst insuffioent to fvnd any major expenditure. these now provide a reasonable buffer against unforeseen
fluctuations in running costs and income.
PLAf4S FOR FiTfuRE PERIODS
The Trust since completing the purthase of the buikling will continue to raise fvnds to repair and modemise the
building by holding Special events and open days either at our premises or in the community. The Trust wlll ralse
addltional income by renting surplLbS spa￿ to private individuals.
INDEPENDENT EXAMINER
Greenwood Barton timited were appointed to report on the financial statements for the year ended 31 July 2023
and have been ￿-appOInte¢l as independent examiner for the ensuing year.
Mr Slmon Wave
29104124

Keighley Bus Museum Trust Ltd
Independent Examlner's Report
For The Year Ended 31 July 2023
I report on the accounts of the charlty for the year ended 31 July 2023 whlch are set out on pages 9 to 17,
RESPECTIVE RESPOt4SZBILITIES OF TRUSTEES AND EXAMZNER
The trustees (who are also the dlrectors of Keighley Bus Museum Trust Ltd for the purposes of company law) are
responslble frjr the preparation of the accounts. The trustees consider that an audit is not requlred for thi5 year under
section 144(2} of the Charities Att 2011 (the 2011 Act) and that an independent e¥ominatFon is needed.
Havlng satisfied myself that the tharity is not subject to audit under company law and is eliglble for Independent
examination, it Is my responsibility to:
examine the accounts under sethon 145 of the 2011 Art:
to follow the Procedu￿ laid down In the generdl Directions glven by the Charity Commission under sertion
145{5)(bl of the 2011 Act: and
to stste whether Pa￿c￿lar matters have come to my attention.
BASIS OF INDEPENDENT EXAMINERS REPORT
My examination was carried out in accor(lonce with the general Dirertions given by the Charty Commission. An
examination includes a review of the accounting records kept by the charity and a comparison of the èccounts
presented with those records. It also indudes consideration of any unusual items or disdoSu￿ in the accounts, and
seeking explanations fvom you as trustees conceming any such matters. The prO￿dureS undertaken do not provlde
11 the evidence that would be required in an audit and consequently no opini￿￿ is given a5 to whether the accounts
present a 'true and fair view. and the report is limited to those matters set out in the 5tstement below.
INDEPENDENT EXAMINER'S STATEMENr
In connection with my examination, no matter has come to my attention:
(l) whi¢h gives me a reasonable cause to believe that In any material respect the requlrements:
to keep accounting records In accordan￿ with settion 386 of the Companie5 Act 2006: and
to prepare 4ccounts whith accord with the accounting records, comply with the accounting
requirements of section 396 of the CompanSes Act 2006 and with the mÈthods and principles of the
statement of Recommended Practi￿. Accourting and Reporting by Charities have not been met; or
(21 to which, in my opinion, attention should be drawn in order to enable a proper understsnding of the accounts
to be ￿aChed.
Mr Richard Ineson FCCA
Independent examiner
Greenwood Barton Umlted
Chartered Certified Accountants
Premier House
Bradford Road
Cleckheaton
West Yorkshi
BD19 3
29 April 2024

Kelghley Bus Museum Trust Ltd
statement of FIna￿la1 Actlvltles (fincory￿ratin9 the Income and Expendlture Account)
For The Year Ended 31 July 2023
Total Funds
2023
Totsl Funds
2021
INCOME AND INDOWMENTS
Donations and legacies
Other trading activities
Investment income
63.980
71.140
1.390
24,403
73.809
49
Other income
TOTAL INCOME
136,510
98,261
EXPENDrruRE
Expenditure on raising fvnds: Costs of rnising
donatlons and legaoes
Expenditure on charitable artNithes
(1,193)
(2.577)
718
{104.809)
{75,2051
TOTAL EXPENDITURE
(106,002)
(77.782)
NET INCOME AND IIET MOVEME14T IN FUNDS FOR
THE YEAR
30.508
20,479
RECONCJLIATJON OF FUNDS
Total funds brought forward
237.946
217.467
TOTAL FUNDS CARRIED FORWARD
268.454
237,946
The Statement of financial activities indudes all galns and losses in the year.
I the above amounts relate to continuing activities.
The notes on pages 11 to 17 form part of these financial statements.

Keighley Bus Museum Trust Ltd
Balance Sheet
As at 31 July 2023
2023
2022
FIXED ASSETS
Tangible A55ets
13
51.078
51,932
CURRENT ASSErs
Stocks
Debtors
Cash at bank and in hand
14
2.936
460
226,018
2,727
545
194.780
229,414
198.052
eredltors.. Amounts Falllng Due Wlthln One
Year
15
(12.038)
(12.038)
NET CURRENT ASSEfs (UABILMES)
217,376
186,014
TOTAL ASSETS LESS CURRENT LIABILITIES
268.454
237,946
NEf ASSErs
268.454
237.946
FUNDS OF THE CHARITY
Endowment fttnds
Restricted income funds
Unrestritted income funds
16
17
100.589
5,271
162,594
101,347
5,27 I
131.328
MEMBERS. FUNDS
268,4S4
237,946
For the year ending 31 July 2023 the tharity was ents.tled to exemption from audit urK1er seLtion 477 of the
Companies Act 2006 rdatlng to small companie5.
Trustees. responsibilltles:
The members have not ￿qUIred the company to obtaln an audit in accordance with sectlon 476 of the
Companies Act 2006.
The trustees acknowledge their responsibilities for complying wlth the requirements of the Art with respert to
accounting records and the preparation of accounts.
These financial statements We￿ approved by the member5 of the commtttee and authorised for i55ue on the 29 April
2024 and are signed on their behalf by-
On behalf of the board
Mr Simon Waye
2910412024
The notes on page5 11 to 17 form part of these financial ststements.
io

Kei9hley Bus Museum Trust Ltd
Notes to the Financial Statements
For The Year Ended 31 July 2023
I. ACCOUP4nNG poucies
Basls of Preparatlon of Financlal Statements
The financial statements are prepared under the historical cost convention, as modified by the revaluation of
rtain fixeil assets and investments measured at market value. The finantial statements have been prepared In
accordance with the Financial Reporting 5tsrtdard for Smaller Entities leffettive January 2015). and the
reqUI￿rnents of Accounting and Repo￿"ng by Charities.. Statement of Recommended Practice applicable to
charities p￿paring their accounts in acconlan¢e with the Financial Reporting Standard for Smaller Entities
(effective January 2015) {SORP 2015).
Income
All incoming resources a￿ Included In the statement of financial attivities when the charity is entitle¢J to the
income and the amount can be quantified with reasonable accurary. The followlng specific policies are applied to
particular categories of income.
Rents recwvable represent the total rental income received frDm members who Sto￿ thwr buses at the museum.
Grants and donations for specific purposes are (Tedited to a designated reserve until such time as that purpose 15
met.
other grants and donations are credited to the income and expenditure account in the year in which they are
celved.
Where grants and donation5 are given for specific wrposes then they are separated into endowment fvnds (to be
kept on a permanent basis). restricted funds (given for specific purpose) and unrestricted funds (given to be
utilised as the trustees think ljest surts the charity's obJe¢lives).
Donated goods. services and faolities a￿ included at the value to the chanty where this can be quantified. The
value of seNices provlded by volunteers has been induded in these accounts.
Investment income is included when re￿1¥able.
Expendlture
expendlture is recognised when a liability is inojrred. Irrecoverable VAT Is charyed to the sofa as incurred.
Cost of raising donation and le9acies are those costs incurred in attending events.
Charitable artivities indude museum runnlng costs Induding govemance costs which are costs relatlng to
constitutional and ststutory reqU1￿ments.
Fund accounting
Unrestrtcted funds are available for use at the discretion of the trustees in furtherance of the general objettives of
the charity.
Restricted funds are svbjerted to restrictions on their expenditu￿ imposeil by the donor or through the terms of
an appeal. The charity ha5 one restricted fund. which is to be used for the upkeep of Fleet B.
Deslgnated funds are un￿$trotted funds of the charity which have been set aslde to fvnd a partlcular artlvlty.
Tangible Flxed Assets and Depreclatlon
All fixed assets are meaSU￿d at cost le55 accumu￿)￿4 depredation. Depreciation is provided at rates calculated to
write off the cost of the fixed a55ets. le55 their estimated residual value, over their experted useful lives on the
following bases..
Plant & Machinery
Motor Vehicles
Stocks
Stocks are valued at the lower of cost and net reallsable value after making due allowan￿ for obsolete and slow-
moving stocks.
25% reducing balance
l.l% straight line
li

Kei9hley Bus Museum Trust Ltd
Notes to the Flnandal Statemerts (continued)
For The Year Ended 31 July 2023
2. DONATIONS AND LEGACIES
Vnrestrlcted Endowment Total Funds
Fund5
Funds
2023
Domtlons
Donations and grants
Subscriptions
61,361
2.619
61,361
2.619
63.980
63.980
Unrestricted Endowment Total Funds
Funds
Funds
2022
Donatlons
Donations and grants
Subscriptions
23,261
1,142
23,261
1.142
24.403
24,403
3. OTHER TRADING ACTIVITIES
Unvestrfcted Totrl Funds Unrnstricted Totsl Funds
Funds
2023
Fund5
2022
Rents receivable
Events and stall sale5
Sale of scrap
Other revenue
65.964
4.670
356
150
65.964
4.670
356
k50
65,972
7.776
61
65.972
7.776
61
71,140
71,140
73.809
73,809
4. XNVESTMENT INCOME
Unrestrfrted Total Funds Unrestrirted Tot•1 Funds
Funds
2023
Funds
2022
Bank Interest re￿1vable
1.390
1,390
49
49
5. OTHER INCOME
Ilnrestrfcted Totsl Funds Vnrestr•¢ted Total Funds
Funds
2023
Funds
1022
Gain5 on dTrsposal of tangible fixed assets for
charity's own use
12

Kei9hley Bus Museum Trust Ltd
Notes to the Financial Statements (continued)
For The Year Ended 31 July 2023
6. COSTS OF RAISING DONATIONS AND LEGACIES
Unrestrlcted Total Funds Unrestrirted Totsl Funds
Funds
2023
Funds
2022
Evènt costs
1,193
1,193
2,577
2,577
7. cosrs OF CHARrrABLE ACTIvrrxES BY FUND TYPE
Unrestricted Endowment Total Funds
Funds
Funds
2023
Support costs
104.809
104.809
Unr•stritt•d Endowment Tot•1 Funds
Funds
Funds
2022
Support costs
74,816
74,816
8. cosrs OF CHARITABLE AcfIvmES BY ACllVITY TYPE
Support
Total Funds Total Funds
2023
2022
Museum runnlng costs
Governance costs
103.472
1.337
103.472
1.337
73,479
1,337
104.809
104.809
74,816
9. ANALYSIS OF SUPPORT cosrs
Total 2023
Total 2022
Rent
Rates and water
Llght and heat
Repairs and maintenan
Depreciation
Pdntingi Postage and stationery
Sundry
Subscriptions
Insurance
Bank charges
Professional fees
Accountancy
49.862
9,339
6,560
3,980
854
1,795
1.541
37.276
9.143
4,598
7,011
887
1.377
1.070
25
5,512
9.399
20,142
1.337
6.580
1,337
104,809
74.816
13

l(elghley Bus Museum Trust Ltd
Notes to the Finandal Statsments (contlnued)
For The Year Ended 31 July 2023
10. NET INCOMING RESOURCES FOR TH£ YEAR
Thos Is stated after charging:
2023
2022
Depreciatlon
854
I I. STAFF COSTS AIID EMOLUMENTS
No salaroes or wages have been paid to employees. induding the member5 of the committee, during the year.
12. TRUSTEES. REMUNERATION
None of the trustees have l)een paid any remuneration durlng the year {2022 - Nil)
14

Kei9hley Bus Museum Trust Ltd
14otes to the Flnan¢ial Statements (corrtlnued)
For The Year Ended 31 july 2023
13. TANGIBLE ASSETS
Equlpment Fleet A
Total
As at l August 2022
17,444
30.500
38,466
As at 31 July 2023
17.444
30,500
38,466
86.410
Depreclatlon
As at l August 2022
Provlded during the period
17.060
96
8.119
335
9,299
423
34.478
854
As at 31 July 2023
17,156
8.454
9,722
35,332
Net Book Value
As at 31 July 2023
288
22.046
28,744
51,078
As at l August 2022
22.381
29.167
51.932
14. STOCKS
2023
2022
stocks
2.936
IS. CREDITORS: AMOUNTS FALLING DUE wrrHIN ONE YEAR
2023
2022
Trade creditors
Other creditor5
Accruals and defer￿ irÈcome
5.533
5,485
1.020
5.533
5,485
1,020
12,038
12.038
15

Keighley Bus Myseum Tryst Ltd
Notes to the Flnanclal Statements (contlnued)
For The Year Ended 31 july 2023
16. ENDOWMENT FUNDS
Balance at
I August Received Expendlture
2022
Balance at
31 Julv
2023
Péfmanent endowmwts
Fleet A
Fleet B
Mr David Bentley dedd
22.381
23,701
55.265
(3351
(423)
22,046
23.278
55,265
101.347
1758}
100.589
Fleet A
In 1999 the museum ￿ceiVed fvnding of £30.500 in total to purthase nine vehides from the failed Transperience
collertion. under the tems of the funding the museum effectivety cannot disp05e of these vehides and Is ￿Sponsible
for their general maintenance and upkeep. The funding received was made up of grants from the Trustees of the
National Heritage Memorial Fund 1£20,500). the Science Museum PRISM Fund (£S,000) and a Braéford Council grant
(£5,000).
Fleet B
In'1999 the museum was gifte(J four old Leeds tr￿Se$ from the Leeds Regent Group. Under the terms of the gift the
museum cannot dlspose of these buses and is responsible for thelr general Maintenan￿ and upkeep.
Mr Davld Bentley dec'd
In March 2017 the museum received a legacy from the estste of Mr David Bentley dec'd. Under the terms of this
legacy, this Is to be specifically used for the purpose of acquiring premises for the benefit of the Charity.
17. RESTRICTED INCOME FUIIDS
Balance at
l August
2022 and
at
31 july
2023
fléstficted Fund
5.271
There have been no movements on restrirted fvnds t1uring the year enfjed 31 2023.
The Charity holds £5,271 of vdhich El,600 is the residue of £2,000 which was gifted from the Leeds Transport
Hlstorical Soclety for use only in maintaining and ￿$tO￿n9 fomier Leeds buses. Restoratlon work on Leeds 980 wlll
soon be in progress and these fvnds will be ConS￿erablY reduced in the near future.
18. UNRESTRIcfED INCOME FUNDS
Balance at
31 July
2023
I Au9YSt
2022
Zncome
txpenditure
General Funds
131.328
136.510
105,244
162.594
16

Keighley 8us Museum Tntst Ltd
Notes to the Financial Statements (contlnued)
For The Year Ended 31 Juty 2023
19. ANALYSIS OF NET ASSEfs BEfwEEN FUNDS
Tanglble flxed Net current
Total
Restricted Income Funds:
Restricted Fund
Endowment Funds:
Fleet A
Fleet B
Mr David Bentley dec'd
Unre$trirted Income Funds
5.271
5,271
22.046
23.278
22,046
23,278
55,265
162,$94
SS,265
156,219
6.375
Total Funds
51,699
216.755
268,454
20. RELATED PARTY TRANSACTIONS
During the year the Charity re￿iVed rental income from Trustees for the storage costs of their own buses on the
museum's premtses. This was charged at the same rate as for other members and wa5 intende{1 to accurately ￿flert
the storage costs incurred by the museum.
21. COMPA14Y LIMrrED BY GUARANTEE
The company Is limited by guarantee and has no share capltal.
Every member of the company undertakes to contribute to the assets of the company. in the event of a winding up.
such an amount as may be required not exceeding Él.
9. GENERAL INFORMATION
Kelghley Bus Museum Trust Ltd is a private company. limited by 9uarantee. incorporated in England & Wales,
registered number 2738413. The registered office is Unit 5, River Technology Park. Riverside. Dalton Lane. Kelghley,
West Yorksttire, BD21 4JP.
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