(a Ilmlied by 8uArantre)
for th¢ 3• November 20LI
Compony no: 0108331•

The Sodety of Houghmen Lid
(a ¢ompAny Ilmlted by guarantee)
Statements
for th¢ ye4r ended 30 November 2023
Contents
Ixg41 & ￿MInIStr#I1¥C infornmiion
Trustee's annuol report
IndependeThi examlnerfy tepon
Sth¢¢ffleni of fInAnCi￿ ll¢tivili¢%
Bulonce sheet
Noies lo the finonciol statements
8-16
The followin8 p*Bes do forni pan of ihe stalu￿ry occounts and 4re pftpwed for the members only:
Income und exw?diiur¢ a¢¢uuni
17.18

The Soclety of Pkwghmeo Lld
(* eompny limtted by guarantee)
Ltyal & admlnlstr4¢lve Inform4tlon
for (he yeAr ended 30 Noyember 2023
Chartty name
Th¢ SLKiely of Ploughmen
Company Number
01083310
ChaTi¢y Number
l(h52780
Regiltered 0￿1¢¢
Quarry Farm
Tickhill Road
Loversall
Doncoster
DNII 9DH
Chaimian
ML Turner
DIrec￿rS & Tnjstecs
JD Chappell
PJ Froom
CW Halliduy
JP Hill
RWF Layboum
DJ Thomlins
ML Turner
SJ Ch¢¢smJn
GC Suiton
Secretary & Chief Exeeuliye
SFrith
Independent examiner5
The Barker Partnership
24 High Street
Pat¢ley Bridge
Hutrogaie
North Yorkshir¢
H03 5JU
Page I

The Society of Hougbmen Lld
(a C4bmpny 11m1t￿ by g￿rantee)
Trnstees report for the year eDded 30 November 2011
StnKtur& Eovernance and management
The Sc*i¢ty of Ploughmen was forn￿1 us a private limiied company under a memornndum & articks of
syociation on Ihe 23nl Novernber 1972. These were an￿nded by a special Tesolution on the 20th February 1979
and then replaced by new articles orassoci￿1on. passed at the annual ￿nerAl meeting held on the 4th MaTch 2019.
Th¢ ￿PanY has no share capitol and Is limited by 8uarAnie
On the 10th June 1997. The Society of Ploughmen Ltd was occepted &8 o registered ¢hariiy.
In 4Kcordance with the •rticles of associatlon, the directors of th¢ society shall hold their office for 3 year5 from the
date 4)f their appointment, at which lim¢ they shall offer their retiftmertt of Ih¢ir offic¢ at the next 5chedul¢d annual
mee¢ing. Ai each subsequertl Unnu41 &¢n¢ral meeting one third of ihe directo￿ musl offer their ￿tirement from
office,
Obiectlves & actlvlties
The chariils main objeaivc is the advancement of agriculture by pro]n￿]ng and ¢ftcoufaging the arL skill
ience of pl(￿ghing the land.
The charity is principally responsible for ihe organisation and monllgcmeni of th¢ British National PloughinB
Championships and for managing the England. World & European Ploughing Teams.
With ny)re than 250 local ploughing socieues affili*ed ￿ li and a membership drnwn ftDm ploughm¢n and wollKn
from all over the world, the Society is a vibrtLnl. Ihrivin8 0r8anisotl￿ and an influential member of the World &
EuTopean Ploughin8 Organi511tions.
AchlevemeDts & perfOrn￿nCe
The high poin¢ of the comwiiion ploughiD8 season each year is the British Nationol Pkwghing Championships.
This >rar. our 72nd event, was h¢ld the 14th & 15th of October 2023 at Bishop5 Lydeard. near Taunlon.
Someyset by kind permission of K S Co1¢5 and family.
The eveni was well attended and h¢lp¢d towards reporting a SU￿luS for the )Yar.
In1¢nj*iL￿￿I comwitions - The 2023 World Ploughing Coni¢s1 was held in th¢ Kuldig4 Latvi& The 2023
Europ¢gD Reversible Ploughing Championships was held in Roslev, Denjnork. The 2023 European Vinta8e
Ploughing Championships was held in V¢enhUiL¢￿ N¢th¢rlwids.
In order io me£¢ the costs of runnin8 the British Nutional Ploughing Chtsmpionship& the Soclety rnlses Income in a
Yarieiy of WAYS. These include entry fees to competitions. annual donations & sponsorship. w0￿1n8 demonstraiions
& trade 5tsrtds. The &￿IetY adds to this by rnisin8 additional n]oney throu8h sale of souvenirs. raffles & iombola.
Flnandal revlew
A 5ummory of th¢ wesults of the y¢afs xliviiies is given on page 5-16 of the accoun￿ The charity reports an overnll
Surplus o( £10.510 (2022- sU￿]uS of £6.304).

The Society of noushmen Ltd
(• compny limlted by guwAntee)
Trustees report for the ye&r ended 30 November 20LI
R&8erves pollcy
Th¢ tsu51¢es hav¢ examined the chariiy's requirnnents for reserves in light of the main risks of lh¢ ¢lwiiy. Jn the
event of a canLrllation of the annuil Briiish Ploughing Championship5. Ihe charity will10se a substhniial proportion
of its income for that year and the Trnsiees therefore. have d￿erMIned that the level of unrestricied reserves of the
charity must be sufficient to covcr at leasi 2 ye4ws of exp¢ndiwr¢.
In the twinion of the ITU51¢e& Ihe preseni level of Te$erves available to ihe charity adequately meets ihis r¢quirtmeM.
ststement ot responsibilities of the dlrettors
Compny law Tequir¢s the diTector5 10 prepare finan¢iJl statements for eJch financial year. Under ihnt law. the
diTectors hgve elecied io prepare the finllncial Statements in acctrrd#nc¢ wilh United Kingdom Genernlly Accepted
A¢couniing Practice {Uniied Kingdom Accounting S￿rtd￿dS a￿1 applicable lawl. In preparin8 these financial
siaiements the dircctor5 are required to:
- sele£t suithble accounting ￿)11¢1￿8 and apply them consisterfly:
- make judgements and estimatrs tho¢ are reasonable and prndeni:
siote wheth¢T applicable UK Aceollniin8 Sthndards have been folk)vRd. subieci ￿ any maierinl departur¢s
disclosed ond explained in the financial stsiements.
- prepare the finatt¢ial gtaiements on the going con(*rn bo$i$ unless il is inapprDpriai¢ lo presume that the compAny
will continue in business.
The direet015 we responsible for keeping propw accounting records which disclose with reasonabl¢ ac￿r4¢Y a¢ any
lime the finan¢i81 kx)siuon of the compAny and lo enable them io ensure ihat the financial sthtements ¢omply with
the Companies Aa 2006. They are also responsible for safeguurding Ihe assels of the company hence for thkin8
rensonoble sleps forthe prevthtion and dewiott of fiyud ond other irregularities.
s￿￿￿ com￿llY ¢xemptions llnd 4udltor8
These financial sth*ment% hove been prepared in a￿Ordance with the S￿cIal provisions available for small
companies under part 15 of thc Companies Aci 2(XA thefffotc an audii hos nor been carrled out.
This report was approv￿ by the trusiees on .. ... .. .
Trnst¢e 51gnaeure
Trustee name
Trustee Mme
Page 3

The Sodtty of Ploughmen Ltd
(a company Ilmlied by 8wirantee>
Independent examlner's report to the trystees on the unBodlted t1￿8￿￿￿ statements ofThe Soiytty or
Ploughmen
I w on the accounts of The SLKiety of PIou8hmen LAd (¢hariiy number 1062780) for the year ended 30
November 2023 which ar¢ sel oui on pages 5 to 16.
Respectlve respomgNll¢ks of ¢rustee5 and Independent examlDer
The charity'5 Inislees are responsible for the ￿￿epa￿lOn of the account& The tNstees consider that an audit
is not required for ihis yetsr under p4rt 16 of the Companies Acl 2006 & seaion 144(2) of th¢ Chariii¢5 Act
2011 (the 2011 Aa), and that dn independent examinlltion is needed.
It Is my responsibility to:
examine the accounts under section 145 of the 2011 ACL
- to follow lh¢ pr￿edUreS1￿1d down in th¢ genernl dirtttions given by the chty can￿15S1On under
Section 145(5)(b) of the 2011 ACL and
- to sttte whether particular n￿(￿$ have come to our attenuon.
BasL8 of Independent examlners 81*tema
My examination was caffied (wt in ￿￿ordan¢¢ with genernl directions given by the chariry commission. An
exllminAtion includes a review of the accountin8 ￿rdS kept by the charity and u compwi50n of the accounts
presenl¢d with those records. It olso includes consideralion of any unusual il¢m5 Qr disclosures in the
ccounts and seekin8 explanations from all trUS￿S concerning any such matters. The procedures undenaken
do noi prnvide all the evidence that would be ￿qUIred in an audi¢ and consequently no opinion is giv¢n 4s to
whether the aec4)unts present 4 'true aDd fair view. and the repcrft is limited to those matters set out in the
sthtemeni below.
Independentexamlners 8tatem¢A¢
In the course with my examinalion, no matter eome to my attenuon;
{il whith give5 reason&bk cwjse to b¢liev¢ th￿ in ony mllteraal rtspe¢i the reqUI￿rneAts:
to keep proper accouniing records in accord•n¢e with section 386 of the Companies Act 2(M)6;
- to prepare occounts which accord with the accounting records. rnmply with the accountin8
requirements of section 396 of th¢ Companies Act 2(M)6 and wlth the m¢thods and principlts of
the Stthement of Rewmmended PrActiee: Accouniing and Repor¢in8 by Charili¢5 have not been
(li) io whith. in my op1n1o￿ ouention should be drawth in order io enable a proper understonding of Ih¢
accounis to be reached.
. J.￿.(v￿￿..l?QI..tr.
S•rnh lAw￿ll ACA FCCA - Independent Examlner
The Barker Parthership Limited
Chartered A￿u￿tants
24 High Streei
P#tel¢y Bridge Harrognte
HG3 5JU
Page 4

The Sodety of Plovghmen Ltd
(4 eompwny limited by 8uarantee)
Stknent or rknand41 nctlvltles (Indudlng Inconie and expendlture account)
ror ihe ye&r ended 30 November 2023
Unrestrltted Rtstrl¢¢ed
Funds
Fonds
2023
Total
2022
Tot41
Note
Intomln8 resour¢e8
Income and endowments from:
Donaiions and le8aei¢s
Charitable activilies
(Xher trndi08 adlvldes
Invesunen
5.155
99.735
1.122
3.439
5.155
99,735
1.122
3.439
5.08J
85.376
1,760
749
Total
109.451
109.451
92,970
ExpeDdlthre on:
ChaTithbl¢ actlvltks
io
li
35527
63,414
35,527
63,414
29.818
56,848
Totol
98,941
98,941
86,666
Nrt movwnenl In fundi In the year
iojio
10.510
6,304
Reeon¢lll•tlon ofthnd8
TO1￿ funds bmuBht (orwArd
Total fiwdg arrfed forward
325,369
325,369
319,065
21
335.879
335.879
325.369
The sthtement of financi81 aaivideg Ineludes all galns and1088¢5 in the year. All incomin8 resources and
sources expended derive from continuin8 acllvlties.
Page 5

The Soelety of Ploughmen Ltd
as at 30 November 21)23
2022
Not¢$
Flxed A￿t8
Tan8ibl¢ assds
12
16.302
19,760
Curreni Assets
Stocks
Debtors
Cash at bank and in hand
13
14
15
227
9,110
325.019
392
16,218
301,247
334,356
317.857
Credllors: amounts fallln8
du¢ wlthln on¢ y¢•r
Net Current aM¢ts
16
(14,779)
(12,248)
319,577
305.609
Tothl A88ets Less Current
Llabllltles
335,879
325.369
The tsnds of the ¢h•rlty
Unrestricted fund
21
335.879
325,369
Total d￿rIty tsnds
335,879
325.369
The directors, ¥lal¢ments rquittd by Secuon 475(2) and (3) ar¢ shown on th¢ following pa8e whlch forn
part of Ihis B￿l￿n¢t Sheei.
The not¢9 on 8 to 16 form ￿ Intezr41 pgrt rf the4e fin•nclal statement&

Dlrectory. statements requlred by Sections K512) WMI (3)
ror the year ended 30 November 2023
For the year ended 30 Novenknr 2023 the company was thtided ￿ eXemN1(￿ from audit under sc£uon 477 of
th¢ Comp8niv4 A¢t 201>5 r¢lolin8 ¢0 small componies.
Dire¢tors' re5ponsibili¢i¢&'
• The members have Dot rcquired the (thin an wdii of its ￿ for the )w in quexion in
¢ordance with section 476: and
• The dlffciors llcknowled8e their resp)nsibiliiies for complyiTrg with the Tequlrements of ihe Aci with
respect lo llccouniin& records and ihe pw0￿10￿ of &counts.
Theye accounts ￿ve been prepATed in ￿OrdAnce with the Financi4J R¢poning Siandurd opplicablc in the UK
and Republic of Ireland (FRS 102), is¥thed 16 July 2014. with the ChaTit*s 2011 & the CoM￿nIt$ Aci
2fffJ6.
ML Turmr
Reglstrntlon number 011183310
The ttota on py 8 to 16 frfbrni an Inte8rn1 of these (l￿ndal sthtement

1.1. Basts of •¢couJlknK
Th¢5¢ have been prep¥ed under the hiskn)rical COM ¢onvcntion with reco8nised al ￿$t or
trOn￿tion value un1¢5s L4h¢rwis¢ swed in the Tekvam n￿e$ to the accounts. The acC￿nL￿ ha￿ been
prepared in ￿CordanCe with the of Rec(mrnded Prn¢tice: Accounting ar￿ ffpMtng by
Chariiies preparin8 their *eounts in Xc(ffdan￿ with the FManc1￿ Rewtin8 Standard appli￿)Ie In
the UK Republic of Ireland (FRS 102X iS￿d 16 July 2014. with the Chariiies Ath 2011 & th¢
CompAni¢s Acl 2(th.
11 Fund
Un￿StrIC￿0 funds we av*illlbk at the discrtion of the nww8enKnt cofflmittee in furtherance of
th¢ 8en¢rnl objtttiv¢s of thc Chwity.
Reto8nltlon of•a¢ts &
1$ re￿£niSed in s￿ement of FinwKial Actsvities (SOFA) when a transA¢¢ion or other event
results in an increase in the charitys assets or A rcduciion in its liabilities. Income 1$ (mly reco8nised In
the ac¢CA￿ts when oll of the crilcria re8ardin8 entitlement. ffible And meaSu￿Ment arc mei.
Reco8nldon of8r#nts donatio
Income is only reco8nised in tk xc(JJnts when all ￿ th¢ cril¢ria re8aFding entlilemenl probable and
measuremeni are met. In Ihe case of a grnL evidence of entstlement usually exists when the fornMI
offer of fundin8 is Communicated in writin8 10 Charity. However. in the ¢v¢ni th81 wndilion5 ue
placed on th¢ 8rnni. those eondilions be met kf(xe incon* 18 rea)8ni8ed. In the case of
donA¢ityJ, entitlement Arises immedia*ly on its rtteipi.
InveBtmont Income
Income fmm interem is Twis¢d when its r¢¢¢iM is wthable and amouN rtteivobk C￿ be
m¢asur¢d a¢¢uratdy.
ExPenditth￿ is the #mouni of 4 charitys that hve been Speni or ￿hen¥l$e US￿ in ca￿1n8
out i(s activities. An cxpense results in eiihu a decrcase in & ¢hari¢y$ ￿sets or 8n Incmse in 11$
liabilities. Liabilities expenditure are only twnised in the accou•Ms ￿eTr all of the criteria
re8Ardin8 entitlemenL prthbk and MCL
GoYerDance costs
Include the costs of th¢ w¢par*ion and exami￿1￿ of the sMui(¥y ￿)Unts. th¢ of trus*a'
meeiings and COM of any k841 adviee ￿ the biJs*es Lmb 8overnance or consiiwtionAI mallets.
Governantt costs are only rec*)gnised in the when all of the criteria ￿811diti8 entitlen

The Sodety of Ploughmen Ltd
Notes ¢0 the flnanclal statements
for the ye4r ended 30 November 2023
, wnlinued
IJ. Employee berteflts
Employee5 benefits Include Dll costs itteurred by ihe charity in exehun8e for ihe serviees of its
employees and any reMunera￿d trustees. Expenditure is recognised for thll employee benefils resulting
from iheir seTvice to the charily during the reponin8 period unless the Siaff cosis have been capitalised
as pllrt of Ihe cost of an us%et.
I.& TAn8lble flxed as8ets And depreelatlon
Deprecitstion is provided llt rate5 calculated lo write off ihe cosi less ￿sidU&1 value of each ass¢¢ over it5
¢xpcc¢ed useful lif4 as follows:
Plani and m￿anery
Motor vehicles
15% on 4 reduclng balance bA%ls
25% on 4 reducin8 ￿l￿nCe basls
Renthls pllyllble under opernting leusej are chorsed a8aillNt income on a sirJi8h¢ lin¢ bulls oycr thc lea
IA Stodt
S*¢k of souvenits And plough5. which repl￿ents 8ocds for resale h4v¢ valued ai the lowerof co
and net reilistsble value.
1.9. Penslons
The p¢nslon cojts ¢hoT8ed In the financial iillicmcnls rcpres¢nl thi ¢onlribuiion payable by the
company on beholf of its employee during ihe yew, These are includ¢d wiihin wuses Jnd were £3.601
(2022 £3,239).
1.10. FlnandAI Imtrnments
Fiffillnciol in$V￿Men¢9 are clossif*d ond accounted for. occoYdin8 lo th¢ Nub51unce of conlr4cluJl
arrungemen( as either finoncial finAncial liobilities or equliy Instruments. An equiiy
Instrument Is any conirnet that evidences R rtslduul intcra¥t in the A¥seL8 of thc compuny
deductln8 all of its liabilities.
Turnover
Turnover. st￿ed net of valued tsdded thx, has been derival from Its prin¢ip4] octivity wholly und¢rtakcn
in the UK.
P*ge 9

The Soekty of Ph)uBhmen Ltd
Notes to the flnandal sthtemtnts
ror the year ended 30 November 2023
. ¢onunued
Net IneomlDg reAources for the y￿r
2023
2022
Nei incoming resou￿¢9 Is stsl¢d after¢haT8in8:
Depre¢iolion ond other amounts wrI￿n off thngibl¢ 4ss¢t5
and after crediiin8'.
Donations
Interest receivable
4.670
5,878
5,155
3.439
5.085
749
2023
2•22
Numb•r ofemployeos
The ttvern8e monthly numb¢r5 of ¢mployees
durlng the y¢or w¢r¢'
Employment costs
2023
2•22
Gross solories & naiional insuvonce
Pension c￿¢$
33,557
3.￿1
27,667
3.239
37,158
30.906
No ¢mploJtt ttttived ￿m￿ne￿10n. expenses orbenefits ex¢e¢dinB £60,Q(Ki during the year.
Fees for Independent Q￿MInAth)n ofaecounts
2023
Independem examiners fee
1.650
Pa8e 10

The SKlrfy •f Plouihrnen Lld
No14S to the th￿nd81 statements
for the year ended 30 November 2023
. coniinued
Dona¢loDs and legaele8
2022
Membership donthtlon5
Trode donthiions
Dontitions & ¢oneessions- catering & Ice cream
3,560
875
720
2,276
5.155
5,085
Ch*rltable *¢thTIty Income
2023
2022
Sub￿riptIOns
Sponsorship
En￿ 10 Compeililon5
R¢¢eip15 at Gate
Advon¢ed ficket Snks
Worklng Demons(rntlons & Stsnds
sU￿lUs on Roffle
Plough Part Sales
Pro8ramn7e Sales
Cvavan PArkin8
PTrrii¢¢ plots
24,009
11.018
4,313
33.229
8.040
15,289
1,970
21,J20
8,761
3.158
24.900
8,452
14,372
1.953
428
736
417
679
917
312
638
99.735
85.376
Other tradlng acdvld¢¥
2023
2022
Surplus on Sale of Souv¢niYs
Ploughmcns Travel Award incl semin4r sury)lus
591
531
716
1,122
1.760
Page 11

The Soclety otPlw8hmen Lld
Not¢% to the Ilnanclal statements
for theyeAr ended 30 November 2011
.. cwtinucd
Invtstments
2023
2022
Bank Interest Received
3,439
749
3.439
749
10. Charllable activity co
Show Expenses
Advertising
Hire of Si* Equipment
Mllrque¢ hite
Toilei hire
Mementos. ttwwds & tr(yhles
Steam Engines
Mal¢h pwthases- sign& banner4 pegs ¢¢
Reni
Meeting& Sl* Vlslls. AccOmmod￿10n & Meals
Motor Expenses
Moior vehicle depreciation
3.771
3.059
749
3257
4.719
1.300
2.422
4,763
2.191
1,862
2.435
2,162
3,508
3.809
3,333
750
1.007
2.298
1.752
3.198
5.079
35527
29.818
Page 12

The Soelety ofpiou8hmtn Ltd
Not&4 ¢0 the fin￿￿1￿1 slatements
for the year ended 30 November 2023
.. coniinued
11. Other
2023
Affiliaiion Fees. Worfd & Europeun Pl￿ghing
World & European Match Expenses
PIou8hmen5 travel awards
websi￿ and ¢ompuE¢rcosts
RepaiTS & Renewllls
Wages & employcr pension contribution5
Telephone
Printing, postage & staiionery
Depreciouon
IAsing of office cquipmen(
Bank & Char
Li8ht & H¢fyt of Office
InsuT2nce
Aceounthncy
Sundries
2.761
1,038
2.731
363
232
764
37.158
622
6.997
638
103
30.g)6
701
8.017
799
358
1,618
1.663
2.701
1.650
600
299
1.850
1,934
2,835
373
63.414
56848
11 Tatsglblt fixed g&¥ets
Plant and Motor
mo¢hitt¢ry vehlcleg
Totsl
Ai l D¢￿mber 2022
Additions
30.462
1.211
36,115
66,577
At 30 November 2023
31.673
36,115
67.788
Depredlltlon
A¢ l December 2022
Charge fer the year
At 30 November 2023
25.936
861
20.880
3.809
46.816
4.670
2&797
24.689
51.486
N¢¢ book valu
At 30 November 2023
4,876
11.426
16.302
AI 30 November 2022
4.526
15,235
19.760
Page ij

.. e￿111nUtd
13. Sto
2022
Sk*ks of 5(WY￿1
227
392
l& D¢bto
2022
Trade delrtors
5.938
3.172
12.481
3.737
9.110
16.218
IS. Cath at b•nk And IA hand
Natioftal Wesuninxcr Alc
Paypal Account
NA(ional Sovin8s Income Bond
s￿thnder
Lloyds TSB Ale
Scouish Widows Fixsxl TfJm
108.71r2
3,378
74.791
6,689
75.074
82.865
50.OOD
81667
82,100
50.(
325,019
301247
l& Credltor8: t￿1[￿¢ du¢
wllhkn year
2022
TTrde cruI1￿r$
(Xher thAes and social swity CL
nwls and deftntd income
1.906
11.033
1.840
t13
9.475
14.779
11248
P4e 14

The Soclely of Ploughmen L¢d
Not￿ ¢0 ihe finanelthl sthtements
for the year ended 30 November 2023
. coniinued
17. T*xAdon
The CharIt￿S activities fo11 within the exemyioDS afforded to Charitabk Companies under secuons
466 to 493 of Ihe Corywoiion Tax Act 2010 I￿A 2010). Therefore no is ￿1¢Y1￿1¢d on the
ror the year.
A& Company Ilmltod by 8u&r•nlee
The Society hLs no share eapithl is it is limited by guarwi¢
19. Analyjb of thet 988ets brtween fundB
Unrtstrlthd Resirtcted
nds
tun
Total
rpnd•
Fund bAlances oi 30 November 2023 as Wire￿nted by:
T4n8ible fixed assets
Current asse
Cuffent liabiliiies
16.302
334.356
(14.779)
16.302
334.356
(14,779>
335.879
335,879
Rel•ted prty ¢ransth8
No tsu51ees r¢ttiv¢d a Yemuneration for xrvices Yendered, howevw. when InC￿rred, trnskes 4r¢
reimbur￿1 for out of pockel expenses. No trus￿. or tsnyone ￿nn¢¢(ed wlth a trusie¢. hos a material
Interest in any of the ¢harliy's Irunsacuons.
Pw15

for the yex eaded YJ N1)va•l￿ 2011
.. ￿ntinUed
21. ADalysts of funds
At IAcomlo8 thtgolng
iDec22
At
30 Nov 23
Ume5tric*d fund5 .
Restricted fijnds
325J69
l(V).451
(98,94])
335,879
Total funds
325.369
l(N).451
(98.941)
335.879
The pury)ose of the Un￿StrI￿￿ funds ¢cffjwlse fvnds which Ilx In
acccth¢¢ with the d)ieaive&
The reuTic￿d fund5 ¢oryiise the funds Teceived whkh wt r¢stri¢¢d ￿ th¢ exp¢n8¢s lu whl¢h th¢y ￿l￿e.
P*ge 16

The Soclety of Ploy8hmeD Ltd
(a eomp4ny Ilmlted by guarantee)
In￿rne & expendlture &c¢ount
ror the year ended 30 November 2023
2023
2022
lo¢ome for 8enerAI purpoxs
SubscriNions:
Tr￿¢ afri11￿10n
Membe
Affilinwl Socidies
Vice presidertts
18.052
4,515
1.442
15.963
3.921
1.592
24.009
3.439
591
638
21J20
749
716
679
428
Bank dep￿1( iNerc
Surplus on Sale of Souv¢nlrs
Prnctice plots
PIou8h pa￿ sllles
Pl0￿shmen8 Travel Award i￿) s¢mlnor surplus
531
29.208
25.136
M4¢ch day Ineome
En￿ 10 ¢onyiilioM
R¢c¢lpts fj( sole
Advanced Tickei SEles
Workin8 demonslrniions & stsnds
Annu81 don￿lOnS & sponsorship
Donoilons & ¢on¢¢$slon$- c8ierlng & l¢e Cream
Surplus on raffl¢ & iombola
Carnvan PArkin8
Pmgramme sales
4.313
33,229
8.040
15.289
15.453
720
1,970
312
917
3.138
24.900
8,452
14.372
12.437
1.953
417
736
80.243
67.834
Total Incime for th• year
109.451
92.970
Expenses. ￿ge 18
Not Arylu8 1 (d•tldt) for year
98,941
86,666
10,510
6,304
P48e 17

The Soe* ofHoutsme• Ltd (a compAny linthed by gDaranttÈ)
Total expenses for the ye4r enthd 30 November 2023
Affiliation Fees. World & European PIou8hing
World & Europcan Match Expenses
Ploughmens travel awards
2.761
1,038
2.731
363
4,000
Match eXp￿se5
Mementos. trophies & awards
Mal¢b purcha5es- Signs. banners, pegs el
Hlre of81t¢ ¢qulpmen4 mArquee8 ete
SI￿ ¢quipmeni
Marquees
Toilets
Steam en8ineg
Motor expemses
Fuel & repoir8
Tax & in$urAnee
DeprecI￿10n
Adverti$in8
Meetings. site v181ty meal8, accommodation
T¢lephcffie
Website and computercosls
Println& postage & stationery
Wages & employer pension contributions
Rent
Bonk interest & eh8r8es
Llghi & heoi of office
Insurance
RepaiTr & tenewals
Leasing of Office equlpmeni
Accounwicy
Sundries
Depr￿1￿(lOn on equlpment
5.771
4.763
1.862
4,719
3,333
I,LK17
749
3,257
1.961
2.191
1,31))
2.422
1.940
750
1236
962
5,079
2.020
1,752
701
638
8.017
30,906
2.298
1.618
1,663
2.701
103
358
1,650
3.809
3.059
2,162
622
232
6.997
37,158
2.435
1.850
1,934
2.835
764
299
373
861
98,941
P48e 18