OovJs¥rh Envelope ID,. lADDB2644DEF45￿876E-¢F231cIzC618
COMPANY REGISTFIATION NUMBER: 04297671
CHARrrY REGISTRATION NUMBER: 1089224
The Thomley Hall Centre Limited
Company Limited by Guarantee
Unaudited Financial Statements
31 December 2025

DLKXJSlon En¥*l4Jo ID.. 1ADD8284-BOEF458￿78E4F23ICl2c68B
The Thomley Hall Centre Llmited
Company Llmiled by Guaranlee
Flnanclal Statemenls
Year ended 31 December 2025
Page
Trustees, annual reporl (incorporaling the director's report)
Independent examiner's report to the truslees
Statement of financial activities (including income and
expenclilure accounti
11
Statement of financial position
Stalement of cash flows
12
14
Noles to the financial statements
15

DoLi1￿gn Envelope ID.. 1AoD8284.BDEF4588￿76E¢F2?lc12c6￿B
The Thomley Hall Cenlre Limited
Company Limlted by Guarantee
Truslees. Annual Report (Incorporating the Direclor's Ileport)
Year endad 31 December 2025
The Iruslees, who are also tho directors for the purFh)ses ol company law, present their report and Ihe
unaudited financial slalem8nls ol the charity lor the year ended 31 December 2025.
Chalr's Inlroducllon
At the beginnirKJ 012025, Joe Kitchen stepped into his new role as Thomleys Chief Executive. Having
spent sixteen years al Thomley. Joe brings extensive experience and a commitment to expanding
what we oller lo our visitors. Our first year under Joe's leadership has be8n highly successful, as we
have rnade 5ignllicant progress towards our new 2025-29 slralegy, "Diversily, Develop and Deliver,
We also bid lar&wo11 lo Charl95 Parry, our Chair ol Trustees, who provKJed 8xcepilonal guldance and
supporl lo Thomley over live years. We sincerely appreciate Charl8S'S Stgwardship. vthich has lell
Thomley well-posilioned lor lulure growth.
Thi$ year, we concentrated on boosting awareness ol Thomley by increasing our presence across
various social me(lia plallorms. Collaborating with onllne inlluencers has allowed us lo $har& Thomlgy
wilh wider aLKliences, leading lo our Ilrsl-ever lully booked Camping Pod summer season.
Fundraising and long-lerm financial suslainabilily continued lo be a locus and this year saw a rise in
Incom& Irom both trading activit￿$ and community lundralsing, We hosted a range ol events designed
lo make special experiences accesslble lo all Thomley visilors. such as r8duc8d sound Ilreworks, a
Christmas light trail, Santa brgaklasls, and the increasingly popular Accessival Fesllval. These
inilialives highlight Thomlels innovative approach to ggneraling incomg while gnhancing visitor
enjoyment. Community fundraising has been part￿ularlY successful, with the slandoul event a
sponsored Three Peaks Challenge undeflaken by d8diGaled walkers on Ihe hottest day 0120251
MaSor strategic projects IhSs year included the inslallalion ol a MyFiiPod gym offering a sale, low-
sonsory onvironrnenl, slrenglhening community connecilons, and generating addllional revenue. Wg
also opened a new Iherapy suite, and installed a wheelchalr Irampoline, luriher improvlng our la¢ililies
lor Ih05e that may struggle lo lind accessible opportunities in the wider cornmunily.
Our ongoing slte developmgnl arKI introduction ol new experiences are possible only due io the
generous support ol lunders and donors. To ensure growth without Taising visltor lees. we rely on
substantial donations and grants. We extend heartfelt thanks lo everyone who has believed in
Thomley and ils Potential lo become an even larger charlly and the Truslees and whde stall team look
forward lo continuing to"Div&rsily, Develop and Del￿er. in 2026.
Gail Walshe

Do(JJslgn Env¢lupo ID.. IAODB264-BDEF4588-876E£F231C12C68B
The Thomley Hall Centre Limited
Company Llmlted by Guarantee
Trusteeg. Annual Report (Incorporating Ihe Dlrector's Report) I￿nI1￿m&¢?
Year ended 31 December 2025
Achlovements and perfomiAnce
Vlgltor Actlvlly
W6 s81 a new annual atterMJance record in 2025. There were 17,264 vl8lls by people with dbsabilitles
and 25,896 visits by non-disabled people. a total 0143.160 visits. This is an approximaie 9 per cent
increase from 2024 wh￿h al the ts'me was our busiest ever year.
Visitor atterKlance was approxifflalely 43% from Oxlordshire. from Bucklnghamshlre. with the
remaning 18*0 eoming from across the UK. Thomlevs reach 18 increasirKJ further beyond just
uckinghamshire and Oxlordshire.
Communlty Engagement
We continued lo 0118r a range ol special ov•nis throuohout the year. Aller the 8ucce8slul Ilrst ever
sumrner muslc leslival which was held in July 2023, thg Accessival Festival was hekl lor the third lime
in 2025. Agaln Ihls was a huge hil.. mor¢ than 825 pooplg allended la 1 ￿ increase from the wevious
yearl, Thls ollered those who cannot access rnainslream leslivals the opportunity lo do so, in a sale
and familiar 8811ing. Thi8 event also genaratod over £22,000 worth ol revenue lor Thomley from a one-
day evenl.
These evanls are open lo visitors vAlh or wllhoul dlsabllllies and encouraoe In¢lusion. disabilty
awareness and lor our w*Jgr community lo become more aware ol our SerV￿e5. Our communlty
engagemenl gvgnls included.. Open for All days, Allordable Family Fun Days, Children's and Adult
b+'rthday parties, Water Days. Summer Open Days, Camping Weekends. Fireworks Nighl and
Breakfast with Santa in addition lo our Camping Pod and cam￿'n9 "Slay and Play. holiday breaks. In
2025 we ran our first Chrisimas Lights Trail event. which over a serles ol nkJhls ofler8d an accessible
opportunily lor th8 whole community lo allend a Christmas Trall across Thomley'$ prounds. Ovgr 700
people aiièndad and this genoralod aFproximaloly £7,000 ol revenue IN Thomley.
Commorclal
Our Camplng Pod Campino service lor chlldren byilh vmhoul disabllrtles arKI their families lo
enjoy overnighl and short stays al Thomley continued 10 b& popular and had Ihelr besl ever y8ar. 11
was ihe Ilrsl year the pods have been lully booked lor the summer holiday period. We anlicipale Ihal
the camping prowsion will again Increase in demand into 2026, wilh the expectation that we may reach
capacrty bvels in other peak perlcds, nol iusl the summer holidays.
Our commercial evenls programme with occasions such as our Charity Ball ulilising our Pavilion,
Music Festival "Accessival. and Fireworks Night afe starling to create a valuable Income slream and
growing every year.
W¢ parti¢ipaied in the Holiday Aclivilies aThJ Food IHAFI Programme lor the sixth consecutive year.
We provided aclivi11g5 and healthy meals lor over 1,200 disadvantaged children during the holiday
periods, ollering opportunities lor children from low-lncome families lo access our activitlgs and onjoy
hol meals outside ol term ts'me. This programme wa5 delivered in partnership with Buckinghamshirg
County Coun¢il and Oxlordshire County Council.

Docu$bn Envéknpelo. 1AODB284-BDEF4588476E¢F231C12C66B
The Thomley Hall Centre Limiled
Company Limited by Guarantee
Trustees. Annual Report <lnGorporating the Direclor's Report) feonllnu•d)
Yoar ènded 31 December 2025
Morketlng
We have extended our reach quite dramatically again in 2025. We have worked with influencers who
have a significant following and reFyesent some form ol disabllity. These networks have spread
Thomley's r&ach lurthgr, reaching new people who prevlously hav8 not accessed a facility such as
ours. This has grovm our social media following by over 20Vo in one year12023 year growth wilhout
influencer5 was 9%). We are always looking to move with trends lo keep Thomley Ihrwing.
Wé will continue to engage wth our visitors. seeking 188dback atjoul the seN￿OS wovided and luture
development. We installed a new inleraclive feedback system calbd 'View Point, in 2025 to help
capture as much ￿s110r data as possible. The data collecleo from parents. carers and the young
pgople Ihemselvgs is invaluable lo us as we shape our $8rvic8s lor the lulure.
In 2025 we r8-shaped our oul¢om•$ and impact modgl, prgviously baséd on tho Children in Nee(J
modèl. As Thomley has grown, we wish lo measure and capture as much visitor data as possible and
ensuring our charrty me&ls the needs ol visitor5 more 50 than ever belor8. Our new model ha8 been
instilled in 202S and we are now tracking our impact to a much wider scale and deplh.
Tho luturo
With 2024 seeing large projects come lo Iruilion on sile, 2025 saw less sile development as we
learned lo operate with new lacililies. We did however sllll manage lo improve the sile by installing a
community 'My Fil Pod, gym, which is a sale and secure private gym for not only c*ur visitors ID use, bul
the general public loo. This is dug lo support our incom8 diversilicallon arKI gengrale income for the
charlly loo. We also roGeivgd funding lor a Therapy Sulio. lo oller counsellino, bglrignding and
alternative Ih8rapies lor our visitors. Laslly. we also introduced a gardening club. 011gring valuablg
lilèskill$ lor our vi511or5. specifically teens and adults.
With some major mulli-year grants received in 2025, thi5 gn5ures Thomlgy is in a morg S￿l￿e starting
posiiion financially In 2026 and In 2027.
We will continue lo ¢ollaboral¢ with BuGkingham5hirg and Oxlordshire Coun¢ils and a growng number
ol local Chafilles and Organisalions with the alm ol ell8ellve collaborallon and co worklro.
We will extend our speclal events calendar throughout 2026, which will enhanee the community's
awar8ness and an understanding ol their disabled peer's needs and aspiralions. In 2026 we wlll stage
our fourth accessibl¢ leslival 'Ac¢95sival engaoing the whole communily and oll&r our second
Christmas Lffjhls Trail event which was very popular on debut in 2025.
We will continue to create opporluniligs lo diversify our incom9 streams and reduce OUT dependency
on grants by ambitiously realisiThJ the potential ol our sitg and developing new aclmties. This will
include the development of OUT large barn and under-utilised rooms lo generate unique opyortunilies
that will not only enhance the eXper￿nCe ol our visitors and thè wider communlty, bul lo generate
funds lo ease the reliance on income generated by Trusts and Foundations. This will include the
inslallalion ol a new Charity Shop on site, where not only we can generate income and recycle donated
goods, bul oller valuable work experience opportunilies and learning lor those aged 16+ with

DOOJ￿g￿ Envelope ID.. 1AODB284-BDEF468&B76E-CF231C12C68B
The Thomley Hall Cenlre Limited
Company Llmlled by Guarantee
Trugiee8' Annual Report (Incorporatlng the Dlrector'g Report) (thillnu￿J
Year ended 31 December 2025
a disability and not in education or 9m￿OYMenI. We shall also open a 'lh¢rapy suite. on sile. which wll
enable us lo provide a space lor all atteinative thera￿'SIS and to support our visilors. Iherelore ollering
valued prol&ssion81 sUPPOrt Ihai we currentty only oller on an informal basis with parents and young
peopl9.
Thomley has proaressed w811 wih our Strategic aims, sel out in our 'Diverstfy. Develop and Dèliver,
slral8gy in January 2025. This new sirategy was devek)ped in consullalion with visitors, stakeholders
and partners. So lar we have achieved l%%D ol the agreed strategic projects,. a community gym and a
befriending and counsèlling programme.
1. To improve our Ilnanclal suslain8bility.' We will further dlverslly our income stream$ to 9onoralo an
annual surplus that enables business ¢onlinuity and continuous investment in th8 Charity.
2.Mark91 and communicale what we do.. W¢ will continue (leveloplng a dialogue whh ￿1 of our
audi8nc85 to ensure we understand Ih&Sr needs and raach everyon8 who would banelil from Thoml¢l$
ovlsion.
3. Add value lo our visitor experience.. W& wll expand Sorvices, programmes and activities, and wll
eontlnue d8volw.ng our 511910 provlde new experiencès that m&&1 OUT visitors, needs.

DorJJ￿gn Enveh)pè ID.. IAODB2WBDEF4588478E4F231C12C68B
The Thomley Hall Centre Limited
Company Llmlted by Guarantee
Truslees, Annual Report (Incorporating the Dlrector's Report) (conllnued)
Year ended 31 December 2025
Fln•nclal revlew
In evaluating our Statement ol Financial Activities. considering the lollowng inlormalK)n our day-to-day
operational cos15 were offset by.,
Trust and Foundation tundralsing.
Commerclal activity.
Community fundraising.
Visilor activity lees.
Membership payrn8nl8.
Slalulory funding.
The Iru51ees inlend lo hold cash free reseN8s al any one lime lo the estimated net runnlng cost of the
C8nlre for the gnsulng quarler. The unreslricled reserves on 31 Dècgmb6T 2025 wor¢ £267,044
1£384.567 20241. Included in the lunds was a £180,0001£225,000 20241 endowment fund from The
Edward Gostling Foundation lor funding the costs ol our seNices and investing income genefalion
over a liv8-y&ar period from 15th Seplember 2024 al th8 annual raie of £45,000. As al Ihe year end the
¢ash reserves stood al £271.7051£305.CQO 20241.
The £700,000 loan agreem&nt wlih Charily Bank was agrged in November 2021 lollowlng a valuation
ol ¢)ur property by Haslarns in April 2021. We look this opporlunlly lo re61ruclure our borrowings lo
finance our long-term inveslmenl plans and lo lullil the requirements ol our Planned Preventive
Maintenance IPPMI programme. In 2021 we drew dJwn £363,278 01 the loan lo r8pay a prwale
mortgag89. The remalning lacilily on 31st December 2025 Is nll (£86,762 20241 as th& r•maining
lacilily was drawn down in 2025.
Our Iolal income In 2025 was £953,719 12024 £1,332,476) £928,0541£784,906 20241 unr8slricted
lund5'. £25,66512024 £346,370) reslricled funds and a £225.000 endowmgnl in 2024. Tho lolal funds
arg apportioned as follows..
2025
2024
Charitable actlvlties
Trading acllvlll8s
Trust and Foundation5
Fundraising
Community Fundralsing
Siatulory Funding
Investment incomo
180,888
300,819
19
31
161,610
278,395
24
312,418
130,384
26,893
2,317
953.719
33
710,729
82,517
99,225
33
100
1,332,476
99
In 2025 we roGoivod a combingd lolai 01 £339.311 12024 £834,954) from Trusts and Foundations and
slalutory sources. ol this total funding £25,665 12024 £346,570) was reslricled funding and in 2024
£225,000 was an endowment, leaving a balance of £313,64612024 £263,384) lo support the operating
costs ol the charity. In 2024, wg r￿e1Ved exceptional donations lo support our development capital
programme5 namely ihe splash park water feature and the inter active garden aclivilies, successfully
installed in 2025. The lolal amount invested in the sile in 2025 wa5 £128,99712024 £418,996), these
specillc fund-raising activities and the one-oll endowment 01 £225,000 pushed the ¢harily over the
Charity Commission's £1 m income threshold in 2024 requiring the slatulory accounts lo be audfted
that year in 2025 we fell 5horl ol this threshold.

Ow$kJn En¥dcye10.. 1AOD82844LEF4588-B76E-CF231C12C688
The Thomley Hall Centre Limited
Company Llmlted by Guarantee
Tru9tee8' Annual Report (Incorporatlng the Dlrectorfs Report) I¢￿11￿￿•￿)
Year ended 31 December 2025
The annual Dperalino and lundraising costs excluding depreciaiion of £842.597 12024 £736,265). an
l4V￿ increase, with high inflation and trading activities increasing Irom £278,395 in 2024 to £300.819
1+8Yol; the wsilor numbers Increased by 9Yo in the year.
Cash generated from operalSng actiwlles total￿ £69.13712024 £553,447> in 2024 the cash generated
was exceptional due lo the endowment recelpt and specrfic fund raising lor capiial projects. PuTchas8
ol tsngible assets £128,99712024 £409,875) and additional nel funding from linancing £73,82912024
£90.567I, resulted In net cash equlvalent reducing Irom £305,00010 £271,705.
Oblectl¥e8 And •¢tlvlti
Our ¢harills purposes as 881 out In Ihe objo¢1s ¢onlalned in the companvs memorandum ol
as50clatlon are lo..
Provid8 lacililps and support services in the Inleièsts ol Soclal welfare lor recreation or other
10Ssuré time Dccupalion ol individuals who hava need ol such lacllilles by reason ol their
impwrmenvdisab'lily with the object ol Improving Ihtrir conditions ol life,,
Pr&seNe arkl prole¢l the hgalih ol those caring lor people ￿th Phys￿al, learning or sensory
impairment wrthin the larnily or home by ollering a S￿Ort break seNce through the provislon ol
communlty basod a¢D'vilies, advice and support., 8nd
Develop the capacty ol non-disabled member8 01 Ihe communty in such a way where they are
better abl8 lo understand and meet Ihe ngeds ol their disabled pe&r$ to support Ihem lo participate
more lully in sodeiy.
Vlglon
Our vislon Is lo enhance the Ilves and exp•rionces of dlsabled peop￿, their lamili8$, ¢arers. and Ihe
wider community.
Strateglc report
The sections on the prior pages highlight Ihe achigvoments, revw performance and details OUT
Ilnan¢ial position lo form the strategic report ol the charity.
Publlc bendlt
In settlng the objectives ol the Charity and plannlng our a¢livilias, Ihe Iruslees have pald due regard to
the public benefit guidance published by the Charliy Ccffimis%ion.

DovJwgD Enveknpe ID.. 1AOD8284-BDEF4588-B76E£F231C12C68B
The Thomley Hall Centre Limited
Company Llmlled by Guarantee
Trustees. Annual Report (Incorporaling the Direclor's Report) (¢oniin¢*d)
Year ended 31 December 2025
Roterence and admlnlgtratlve detalls
eglstered charlly nam8 The Thoml&y Hall Centre Limited
Ch•blty r8glstratlon
ThUm￿r
1089224
Company r•glstrotlon
numbor
04297671
Prln¢lpo1 otllce and
reglstergd
offlce
Menmarsh Road
Worminghall
Buckin9hamshire
HP18 9JZ
The tru•t•o•
Mr C Pwry
Mr P Marbwx (Treasurerl
Mrs C Castles
Ms H 8arker
Ms A Dunn?
Ms G wals￿ (Chairl
Mr A Lockhart
Ms AM Dawe
IResvJne(130 Oclober 20251
IAppoint•d 14 April 20251
(Appointed 24 Juw 20251
Comp•ny wr•t8ry
Mary Goleman
Ind•pondont ox•mln6r
N J CadwalLqder FCCA For and On 8ehall ol Davld Cadwallader &
Co Limited
Suite 3 Bignell Park 8arn8
Chesterton
Nr 8icg51gr
Oxon
OX28 1TD
Structure, governance ond management
Thomley 15 a private company limited by guarantee wilhoul share capital.
The Charily is governed by seven Trustees in alignment with the guidance published by the Charity
Commission and managed by a management tgam ol three officers.
Joe Kilehen, the Chief Executive, Is CUTrenlly the Person ol Significant Control al Companies H¢Jusg,
rgplacing the previous Chief Executive, Ewan Shinlon, on 31 December 2024.
Recrultment and Appolntm8nl of Tru8t8es
The Charity recruits Trustees by a(fverlising in publK media. The Ghiel Executive and Chair ol
Trustees interview suitable candKlates and evaluate their suitability lor the role. An oller may then
made. Upon acceptance the Trustee Board meel lo make a lormal appoinlmenl, provicled references
and DBS ch8cks are acceptable. New Trustees are inducted by an exi51irrfJ Tru51go and Ihe Chh?I
Executive to confirm expeclalions, responsibilities and support available.

DooJ8bJn Envalape ID. lAC(1B2￿bDEF45aa-B76E-CF23lClIC588
The Thomley Hall Centro Limited
Company Llmited by Guarantee
Truslees. Annual Report (Incorporating Ihe Director's Report) (conunuod)
Yoar onded 31 December 2025
Small comp•ny provlilon•
This report has beèn prepared in accordance wlh the provistr)ns applicable lo companies enliued to
the Small ¢ompani¢s exemplion.
The Iruslees, annud repjrt was approved on 16 April 2026 and signed on bèhalf ol the bo&d of
trus1￿S by..
v￿al￿al￿1Tr8a8UrerI
Truste6
FFQBFCSIOJ02421
Ms G Walshe (Chairl
Trust88

Dow5ign Envelope ID." 1AoDB2B4&t￿F4588-B76E£F231Cl2Ce8B
The Thomley Hall C8ntr8 Limited
Company Limited by Guarantee
Indeyndenl Examiner's Report to Ihe Truslees of The Thomley Hall Centre
Limlted
Year ended 31 December 2025
I report lo th8 Iruslees on my examination ol the financial statements ol The Thomley Hall Centre
Limited I'lhe chariv) lor the year ended 31 Decembei 202S.
Aegponslbllltle* and basig of rnport
As the IrLJslees ol the company land al80 its directois lor the purposes ol company lawl you are
responsible lor the preparation ol the financial slalemenls in accordance with the requirements ol th8
Companies Acl 2006 Ilhe 2006 Acl'l.
Having satisfied myself that the accounts ol the company are not required lo be audited under Part 16
ol the 2006 Act and aro trligibltr lor indopendenl examination, I report in respecl ol my exarninalion of
the charity's accounts as cariied oul under seclk)n 145 01 Ihe Charities Act 2011 I'the 2011 Acl'l- In
carrylng oui my examination I have lollowod Ihg Oiroclions givgn by the Charity Commission undgf
sectlon 14515llbl ol the 2011 Act.
Independont oxamlnor'• $tOtem•nt
Since the charity's gross incom8 exceeded £250,000 your èxaminer musl ￿ a m•mb8r ol a body
listed in section 145 01 the 2011 Act. I confirm that l am qualilied lo undertake Ihe &xarninalion
becausg l arn a memb8r ol the AsseKialion ol Chartered Certified Accounlanls, which is one ol the
lisled bodies.
I hava ¢ompleled my examination. I confirm that no matters have come lo my attention in connecllon
with thg examination glving me cause lo believe..
accounting records were not kepl In respecl ol the charSty as requlred by secllon 388 ol the
2006 Acl,. or
the financial sialèmonls do not accord with those rgcofds., or
the 1Snancial statements do not comply wilh th¢ aG¢ounling requiremgnls o159clion 396 01
the 2006 Aei other than any requirement Ihal the accounls give a 'lrue and lair, view vthich is
not a matter ¢on$idered a5 parl ol an independgnl examination., or
the financial slalèmenls have not been prepared in accordance with the methods and
prin¢iplg$ ol lh¢ Statement of Recommonded Practrce lor accounting and reporting by
charities applicable lo charities preparing their accounts in accordance with lh8 Flnancial
Reportlng Standard applr¢abl8 in the UK and Rapubli¢ ol Ir•Pand IFRS 1021.

DorJJ8¥n En¥8W ID.. 1AOD8284BDEF45B847fjE£F231C12C68B
The Thomley Hall Centre Limlled
Company Llmlled by Guarantee
Independenl Examln8r'8 Report to the Truslees ol The Thomley Hall Centre
Llmlted
Yoar ended 31 December 2025
I have no concerns and have com8 across no otheT mallers in conneclKsn wrth the examlnation lo
which att8nth.on should bg drawn in this report in order 10 onable a proper understanding ol the
accounts lo be reached.
1314È41D
N J'fatthvalladw FCCA
For and On Bghall ol Da￿d Ca(hYallader & Co Llmlled
Independent Examinèr
Sulle 3 B￿ne11 Park Barn6
Cheslerlon
Nr Bicesler
Oxon
OX28 1TD
10

DooJs*n Envehwe ID.. 1AODB284-BtEF458&B76E£F231C12C88B
The Thomley Hall Centre Limiled
Company Llmlted by Guarantee
Stalemenl of Financial Activities
(Includlng Income and expenditure account)
Year ended 31 December 2025
2025
Restricted Endowmeni
tund8
lunds Tot•1 fund¥ Total lunds
2024
Unrestricted
lund8
No
In¢omg ond endovimgnt
Donations and legacies
Charitable aclivilies
Other trading activities
Investment income
444.030
180,888
300,819
2,317
25,665
469,695
180,888
300,819
2,317
892,471
161,610
278.395
Total Incom
928,054
25,665
953,719
1,332,476
Expendltur•
Expenditure on ralsing lund$'.
Costs ol raising
donallon8 and
legackgs
Gosts ol other
IradiwJ actlvities
Expenditure on
charitable aclivi11gs
82,045
82,045
86,272
10
38,892
38,892
34,065
11,12
969,840
46.806
1.016,448
1,137,383
828,5e2
Totol •xp•ndlturo
1,090.577
46,806
948,919
Nd lexwndlturo)lln¢ome
1162.5231
121.1411
1183,6641
383,557
Transl•rs be￿??n funds
45,000
145,0001
Not mov•m•nt In funds
1117.5231
121,1411
145,0001
1183,6641
383,557
Recf>nclll•tlon ol funds
Toial funds brought forward
Total funds carrled forward
384,567
267.044
994,193
973,052
225,000
180.000
1,603,760
1,420,096
1,220.203
1,603,760
Th? siaiemgnl ol linanclal aclSvllles includes all g￿n8 and losses recognised in Ihg year.
All income and expenditure derive from continuing aclivilies.
The not99 on p8go8 15 to 28 form ol th09e Ilnanelal gtat8mBnl$.
11

Docusi9n Envelope ID.. 1AOD82844DEF4588-876E£F281C11C680
The Thomley Hall Cenire Limited
Company Llmlted by Guarantee
Statement of Financlal Posltlon
31 December 2025
2025
2024
N￿*
Flxed •¥sets
Tangiblg fixed assets
18
1.893.076
1,937,928
Current 88¥ets
Stocks
Oeblors
Cash al ban1( and In h8rKI
19
3,450
32.296
305,000
17.798
271,705
294,¢J03
340,746
Credltor$'. amount• falllng dufj wlthln ono y••r
Ngt currènt as#el$
21
119.770
98,184
174,233
242,562
2.780,490
Totsl •s¥ets le•J current Ilabllltle#
2,067,309
Credltor#: •mount• lalllng duo aftsr morg thon one year
Net a4set•
647,213
576,730
1,420,096
1,603,760
Funds ol the ¢harlty
Endowment lunds
Restricted lunds
Unrestrkt¢d funds
180,000
973,052
267,044
1,420,096
225,000
994,193
384,567
Total ch•rlty funds
1,603,760
For the year eTrJing 31 Decombtrr 2025 the charity was enlill8d to exemption from audit und8r sècllon
477 01 the Companles Act 2006 r¢lailng lo small companies.
Dlreclors, responsSbllllie8'.
The members have not required the company lo obtain an audll ol ils fina￿181 sialemenis lor the
year in qugstion in accordance wlh section 476,.
The direcrors acknowledge their responsSbilities lor cornplww wllh the requirements of the A¢1
th respect lo accounling rocords and Ihe preparation ol linanclal stalemenls.
These Ilnancial staleinènts havè biJeii piwuivd lil d￿vr{la￿c￿ wllh the prov151ons appllcable lo
companies subject lo thè smll ¢ompanies' regime.
The statement of financial position
continues on the following page.
The note* on pago8 15 to 28 Ivm part of th•￿ Ilnanclal •ts*m•nt#.
12

Dow$lgn Enyebpo ID.. 1AQD52644DEF45W876E-CF231C12C6B8
The Thomley Hall Centre Llmited
Company Limiled by Guarantee
Statement of Financial Positlon {¢70nUnu•d)
31 Daeember 2025
These Ilnancial statements were approved by the board ol trustees and authorised for issuè on 18
April 2026, and are sioned on behalf ol the board by..
r F¥l%arEalx'b-reasurorl
Trustee
s vwaM'6'fChalr}
Trustee
The nolos on paggs 15 to 28 lorrn part ol th•8• flnanclal stalgmenls.
13

DouJ￿g￿ En¥￿0p# ID.. 1ADDB2844DEF45B8476E-CF231C12C68B
The Thomley Hall Centre Limlted
Company Llmlted by Guarantee
Slalement of Cash Flow8
Year ended 31 December 2025
2025
2024
Cajh IIow8 from operatlng a¢tl¥ltle•
Nel lexpendilure)Kinwmo
1183,6641
383,557
AdJuslm8nls for..
Depreciation ol tangible fixed ass91s
Other intèrest receivable and similar income
Intere51 payat49 and similar charges
Acciu8d eX￿nseS
173,849
12,3171
49,581
1.359
92,118
43,924
4,812
Changes In..
Stocks
Trade and other debtors
Trad8 and olher creditor8
11,0501
14,498
16,881
11,0401
2,197
27.879
Cash generated from operalfvjns
69.137
553.447
Inierest paid
Inleresl received
149,5811
2,317
143.9241
Not cash from operating actlvkles
21,873
509,523
Cash Ilowl from Inve•tlng aetlvltlo•
Purchase ol tangible assets
Nel cash used in uiveslino acilvilies
1128,9971 1409.8751
I128,￿7) 1409,8751
Cash flows Irom Ilnanelng actlvltl
Proceeds from borrowings
Rèpayments ol borrowings
Inleresl paNI
N¢1 ¢a$h Irom Ilnanclng actlwlies
86,289
161,6081
49,148
73.829
100,000
153.0731
43,640
90.567
Not Idecre••elllncreaBO In e8sh #nd cuh •qulvAlent•
Cash and ca$h ¢quSvalfrnt8 •t boglnnlng ol year
C••h •nd cwsh equl¥glent¥ at ond of yO•f
133,2951
305.000
190,215
114.785
271,705
305,01]0
Tho not9• on p•g•s 15 to 28 fwm pan ol th•g• flnan¢l•l 8tstoment9.
14

Oixuslgn En￿lOpe ID". 1AOD8284.BDEF4588876E£F231¢12C688
The Thomley Hall Centre Limited
Company Limiled by Guarantee
Note8 to the Financial Statemenls
Year ended 31 December 2025
GeneMI Intorm•tlon
The charrty is a public ￿nalIt enlily and a private company limited by guarantee. registered in
England and Wales and a reoislered charity in England and Wal88. The address ol the regislered
ollice is Menmarsh Road, Worminghall, Buckinghamshire, HP18 9JZ.
ststement ol compll•n¢e
These financial slalemenls have been prepared in compliance wlh FRS 102. 'Tho Flnan¢ial
Reporting Slandard applicable In the UK and the Republic ol Ireland., the Sialemenl ol
Recommend80 Practice applicable lo charilies preparing their accounts in accordance with the
Financial Reporting Standard applrable in the UK and Republic of Irelarmj IFRS 1021 (Charilies
SORP IFRS 1021} and the COMP￿leS Act 2006.
Accountlng pollcle•
Ba818 ol pr•paratlon
The financial slalemenis hav¢ bèan prepared on the historlcal cost basls, as modified by the
revalualion ol certain linanclal a8sels and liabililies and investment woperlies measured al lair
value through income or expenditure.
The Ilnanclal slalemenls are prepared Sn sterling, whlch Is Ihg lunctional ¢urron¢y ol the 8nllly.
Golng concern
There are no malerkql uncerlatnties about the charilvs ability lo continue.
Judgement* and key •ourceA of ••tlmallon uncertalnty
The preparation ol Ihg financial slalemenls réquir95 management lo make judgements,
e81imalès and assumptions that allecl tho amounts reportèd. These estimates and judaemenls
ar9 ¢0nlinually reviewed and are based on exporionce and other la¢lors. Includlng èxpeclalions
ol lulure events that are beligved lo b¢ rgasonable urKl&r th¢ ¢ir¢um$lan¢es.
Fund •ccountlng
Unreslriclgd funds ar? availabl• lor us• al the dis¢rotion ol tho Iruslees lo lurther any ol the
chaniys purposes.
Deslgnated funds arg unrestricted funds earmarked by the Iruslees lor particular lulure proSecl or
¢ommiimenl.
Restrlcted lurKls are subjected to restrktions on thelr expendlture declared by the donor or
through the tèrms ol an appeal, and fall into one ol two sub-¢lasses.' restricted Income funds or
ondowment funds.
15

DOCU￿9￿ Envo&¥e ID.. 1AOD8284-8DEF4568•76E-CF231C12C68B
The Thomley Hall Centre Limlled
Company Llmlted by Guarantee
Notes to Ihe Flnanclal Statements (ctTnllnv•dl
Year ended 31 December 2025
Accountlng pollclos (eonllnu8d)
In¢omlng rosource•
All incoming resour¢¢$ are included in the statement ol financial actlvrties when entit￿ment has
passed to the charily,1115 probablg that the economic benefits associated with the transaction will
flow lo the charity and the amount can be rellably measured. The lollowing specific policies are
applied to particular categories ol income..
income from donations or grants is recognised when Ihgre is evldence ol ¢nlillemenl lo the glft,
receipt is ￿0babIe and ils amount can be measured reliat4y.
. legacy income is iecogni$ed when receipt Is pret*abl8 and enllU8m8nl Is establish￿.
in¢orno Irorn donated goods is measured al the lair value ol the gwds unless this 1$ Impract￿al
lo measure reliably. in which case the value Is derived Irorn the cost lo the donor or the eslimaled
resale value. Donated lacilities and services are recognised in the accounts when received il Ihe
value can bo rgliably measured. No amounts are IrKluded lor the conlribulion ol g•n•ral
voluntèors.
- Incc4))o from oontracls lor the ol 8oNic95 Is recogni88d wtth the delNery ol the conlTaCted
service. Thls Is classified as unrestricted funds unless there 18 a ¢onlra¢iual requirement lor11 to
b8 8P&nt on a particular purpose and r•lurned il unspenl, in vknlch case il may be regarded as
reslricled,
turnover Is lh8 amount derived from provislon ol goodslservices, and staled aller trade dlscounl,
Oiher sales taxes and nel of VAT.
Re•oure8• oxp•nd•d
Expenditure is recognised on an accruals basls as a liablllly 58 incurred. Expendlture Includ8s any
VAT which cannot be lully re¢ov¢rfjd, and Ss classified under heading8 01 the stai•menl ol
financial activliies lo vthlch il relale5'.
expencliture on ralsing funds inclucl•s the costs of all fundra65ing activllies, events. non-
tharilablg trading aclivilies, ard the sab ol donated wods.
expendilure on charitable activilK?s includes all costs incurred by a charity in undertaking
activities that further its charilable ams for the benefit ol ils beneliclaries, including those
suyyurl Wbl& arid G05ts relallng 10 the governance ol the charlty aF1XITlioned lo charitable
aclivilies.
olh8r 8xperKliture incIL￿e8 all exwndilure that 18 neliher relaled lo raisiro funds for the
charity nor part ol its expendllure on Charilable aclfvilles.
AI c051s arè allocate(I lo expenditure categories rellecling the use of Ihe ￿sOurCe. Direct costs
attributable to a single aclivf(y are allocated directly lo that acttvily. Shared costs are apportioned
between the activities they contribute to on a reasonab￿, jusliliable and consislenl basis.
16

Docusign En￿lOp8 ID.. 1AOD8284-BDEF458&878E£F231C12C68B
The Thomley Hall Centre Limited
Company Llmlted by Guarantee
Noles lo the Financial Stalemenls (¢entlnu•d)
Year ended 31 December 2025
Accountlng pollcles (conllnwd)
Tanglble A8•et•
Tangible assets are initially recorded at Cost, and subsequently slated al cost L•ss any
accumulated depreciallon and Impairment losses. Any tangible assets carried al revalued
amounts are recorded at the lalr value at the date ol revaluation less any subs8qU8nl
accumulated d8pre¢iatKJn and sub$¢queni aG¢umulaled impairment losses.
An increase In Ihe Car￿ng amoLtnl ol an asset as a result ol a revaluation, is recognlsed in other
recognised gatns and losses, unless11 reverses a charge lor impairment that has prewously been
recognised as expenditure wilhin tho slal8ment ol financial activit￿s. A decrease in the carrying
amount ol an asset as a result ol revaluation, is recognised in other rgcognised gains and105S95,
except lo which rt offsets any previous revaluation gain, in which cas8 the loss is shown wiihln
Olh9r rgcognisgd galns and losses on the slalemgnl ol Ilnanclal aclivllle5.
Depr•clatlon
Depreclalkin Is calculated so as lo write oll the cost or valuallon ol an asset, less ils resldual
Value, over the useful economi¢1118 ol that as$•l as follows..
Freehold properly
Furniture & equipment for the
Centre
Adventure playYJround &
equipmènt
Compuief gquipmenl
2%-20W. Slraighl line
20Vo slraighl line
1 OVts-20% stra￿ht linè
25V4 slralghl Ilne
Imp•lrment ol flxed aJ¥et•
A revlew lor Indlcalors ol impairment 1$ caNi&d out al each reporting dale, wlth the recoverable
amount bfring ¢slimaio(I whore $u¢h inai¢aiors oxi$l. Whor• thè ¢arr￿ng value exceeds the
recoveratle amount, the asset is impaired accordingly. Prior impairments are also revlewed for
FQ8slble reversal at each reporllng date.
For ihe purposes ol impairmeni lesiing, when it Is not possible lo esllmale the r8coverable
amount ol an indlvidual asset, an 881imale is mad8 ol the recoverable amount ol the cash-
generating unil lo which thè assèt belongs. The cash-geneTaling unil is the srnallesl idènlillable
group ol assets that includes the asset and generates cash inflows that large￿ independent ol the
cash inllows from oiher assets or groups ol assets.
For Impaifmenl testing ol goodwll, Ihe goodwill acquired in a bJsiness combination is, from the
acquisition dale, allocated lo each ol the cash-generating unlls thai are expecied lo benelil from
Ihe synergies ol the comtj'nalion, iriespeclive ol whether other assets or liabilities ol the charity
are assigned lo those units.
Stock8
Sl(￿ks are measured al the lower ol cost and eslimaled selling prlce on a first In, first out basls.
Cost includes all costs ol purchase, cosls ol conversion and other costs incurred in bringing the
stock to ils present ljcalion and condition,
17

Docu6￿n En%*lope ID.. 1AOOB284-BDEF4588476E-CF231C12C66B
The Thomley Hall Cenlre Limited
Company Lirniled by Guaranlee
Notes to the Flnanclal Stalements fconllnuoLIJ
Year ended 31 December 2025
A¢¢ountlng pollcles i¢onllmMdl
Flnanclal Instruments
A linanckql 8ssel or a Ilnancial Ilabilliy is rgcognised onty when the chadty becom&$ a party to the
contractual provisions ol the Inslrumfjnl.
Basic financial instruments are inllially recogni58d al the amount rec8wable or pay￿& in¢ludir¥J
any relqled transaction costs.
Current assets and current labllill&s are suk6equenlly measured al cash or other
aonsiderallon expected lo be paij or received and not discounted.
D•bi inSlrum9nts are subsequently measured al amortised cost.
Wheie Investments in shares are publicly traded or thelr lair value can olheNis& be measured
rellabty, the inveslmenl is subsequently measurèd ai lair value wf(h changes In lair value
rocognised in income aml expenditure. All other such inve51menls are subsequently measured al
C05118$s impairment.
Olh&r linan¢ial instruments, Including derlvallves, arg inliially re￿nISed al lalr value, unl988
payment lor an asset is delgrr9d beyond normal busine$$ i¢rms or financed al a rale ol Interest
that is not a mafkel rate, in whi¢h ¢a$e the assel is measured al the present vdue ol Ihe luluro
payments discounted al a market ralo 01 ini¢resl lor a similar debt Inslrumèni.
Other linancHI instruments are sub$equ8nily measured al lair value, wilh any changes
recognised in the slalemenl ol linanclal actlvltlés. wrth the exception ol hedging Instruments in a
designated hedglng relationship.
Financial assets Ihal are mgasured al cost or amortised cosl are TevSewed lor oblective evidence
of impairment al the end ol each reporting dai&. 11 Ihere Is objeclive evidence ol Impairment, an
impairmenl loss is recognised under the approwiate hgading in the slalemenl ol Ilnancial
actlvitles in whi¢h Ihe initial galn was recognised.
For an oquity in$lrumgn15 regardless of slgnillcanc8, ar￿ other financial assets that are
Individually SKJnili¢ant. these are assessed indivldually lor imFHiTmgnt. Other financial assets are
elthei assessed individually or grouped on the basis ol slmiLar credit risk characlerislu.
Any reversals ol Impairment are recognised immedlalely, lo the extent that the r8ver5al does r￿1
re8uIt in a carrwng amount ol the financial asset that exceeds sthat the carrying amount wou
have been had th8 impairmenf not previously toen recognised.
Deflnod ¢ontrsbutSon pl•n•
Contrlbuilons lo defined ¢oniribulion plans are recognised as an expense in the poliod in which
the relaled service is provided. PrepaKI contributions are recognised as an asset to the exi¢nl
that the prepayment Mll18ad lo a reduction in lulure pay)menls Of a cash refund.
18

Dowsign Envelope ID.. lAO[￿2a4-BDEF4s￿B78E￿F231cl2C68B
The Thomley Hall Cenlre Limited
Company Llmlled by Guarantee
Notes to the Financial Stalements (¢OnAfnu•d)
Year ended 31 December 2025
Accountlng pollcles (contlnuedl
0￿Ined contrlbutlon plans (conllnu8d)
When contributions are not eX￿ct￿ to be settled wholly within 12 months ol the end ol the
reporling dal& in which the employees render the related service, the liabilrty 1$ mgasured on a
dscounled present value basis. The unwinding ol the discount is r8cognised as an expense in
the perkjd In whSct) il arisè$.
LImIl￿ by guaranlee
The Charitable Company is limited by ouaranlee. Every memb&r ol the Charity undertakès to
onlribljle such amount as may be required Inol exceedlng £101 lo ihe Charills 8ssels 1111
should bg wound up while he or she Is a member or within one year alter he or she ceases lo be
a member.
Donatlon• and1ogaelo•
Unreslricled
FurKIs
14eslrlcled Endowment TotAI Funds
Funds
Funds
2025
Don8tlon•
Individu81s and gill aid
Community and corporate
Fundra15ing and challenge events
23.993
13.904
92,487
23,993
13,904
92,487
Logacie8
Trusis and loundations
Stalulory
286,753
26,893
25,665
312,418
26.893
444,030
25.865
469.695
Unieslricled
Funds
Fle51ricled Endowment Total Funds
Funds
Funds
2024
Don•tlons
Indtvlduals and gill aid
Community and corporate
Fundraisiro and challenge events
22.747
8.743
51,027
22,747
8,743
51,027
LegBclgs
Trusts and loundatt'ons
Sialulory
193,534
1,100
292,195
98,125
225,000
710,729
99,225
277,151
390.320
225,000
892,471
19

Dowsbjn Envdcpa ID.. 1AODB284-BDEF4588-B76E.CF231C12C68B
The Thomley Hall Centre Limiled
Company Llmlted by Guarantee
Notes lo Ihe Flnanclal Slatemenls {conllnuttdl
Year ended 31 December 2025
Ch•rltable octl¥ltlos
Unrestricted Total Funds Unr881ricted Totsl FurKIs
Funds
2025
Funds
2024
Visitor conlrlbulions
180.888
180,888
161,610
161,610
Othor tr•dlThg actlvlu
Unreslricled Tot81 Funds Unrestr￿ted Total Funds
Funds
2025
Fund5
2024
Rental income
Cale
Camping wds
loskills
54.010
138,784
45,903
62.122
54,010
138,784
45,903
62,122
61,576
113,017
34,198
69,604
61.576
113,017
34,198
69,604
300.819
300,819
278,395
278.395
Inv•stment Income
Unreslricled Tot•1 Fund8 Unreslricled Total Funds
Funds
2025
Func1$
2024
Bank interest receNable
2,317
2,317
Co•1• of ral¥lng donAtSon• and leg•¢lg•
Unieslricled Tol•l Funds Unreslricled Total Funds
Funds
2025
Funds
2024
Fundraisiry and central admin costs
82,045
82,045
86,272
86,272
10. Co*18 ol other trndlng •¢tlvltl••
Unreslri¢l¢d Total Funds Unreslricled Total Funds
FurKIs
2025
Funds
2024
Cale Costs
Camping pods
37,786
1,106
38,892
37,786
1.106
31,536
2.529
31.536
2,529
38,892
34.065
34,065

Dtswslgn Envek)pe ID." IAODB2844DEF458&B76E-CF231C12C68B
The Thomley Hall Centre Limited
Company Llmlted by Guarantee
Notes to Ihe Financlal Statements (GonllnLwd)
Year ended 31 December 2025
11. Expendltur8 on charltable 8Ctlvlll•s by fund typg
Unreslricled
Funtls
Restricted TO1￿ Funds
Funds
2025
Support to disabled peopl8 and Ihoir lamllies
Running and mainlenatKe ol centre
Management and administration
Depreciation
Support costs
446.041
182.640
193.442
133.042
14,475
446,041
182,640
199,442
173,848
14.475
6,000
40,806
969,640
46,806
1,016,446
Unre81ricled
Funds
Restricted Tolal Funds
Funds
2024
SUp￿rt lo disabled people and their families
Running and mainlenance ol centre
ljanagomenl and adminlslrallon
Deprecialitin
Support costs
258.647
214.541
116,807
49,333
29,720
116,750
375,397
214,541
116,807
92,117
29,720
42,784
669,048
159,534
828,582
12. Expendlturo on charltable actlvltlè8 by a¢tlvlty typ•
Aclivilws
ndertaken
directly Supporl costs
Total funds
2025
Total lund
2024
Support lo disabl6d p¢ople and thelr
lamS1ies
Running and maintenance ol cenire
anagemenl and adminislralion
Depreciation
Governance costs
446,041
182,640
199,442
173,848
446,041
182,640
199,442
173,848
14,475
375,397
214,541
116,807
92,117
29,720
14.475
1,001,971
14,475
1,016,446
828,582
13. N•t (expendlturelllncome
Net lexpendilurelllncome is slated after chargingllcredthngl..
2025
2024
D&procialion ol langit4e fixed assets
173,849
92,118
21

DO￿5￿dn Envelope ID., lAODB284-BDEF45￿B76E.cF231C12CsBB
The Thomley Hall Cenlre Limited
Company Limited by Guarantee
Notes to the Financlal Statemen18 {eondnu¢dl
Year ended 31 December 2025
14. Audltor* remunerAtlon
2025
2024
F8e5 payable lor the audit ol the financial statements
5,500
15. Indepondont OX8mln•tlon fo••
2025
2024
Fees payable lo the independeni examln&r Iof..
Indgpendenl examinalSon ol the financial 8talemen18
Other assurance service5
3.200
5,870
3,100
8,730
9,070
11,830
16. St•ff co¥ts
The total stall cos18 employee be￿Ilts lor tho roporting pgriod are an￿y￿ed as follows..
2025
2024
Wages and salariès
Social security costs
Employer Contribut￿nS to Fension plans
442,853
22,446
7,922
393,058
26,389
7,201
473,221
426,648
The average he8d count ol 6mploye&s during the year was 5512024.. 551. The average number
ol lull-llme equivalent employges during the year is analysed as lollow8.'
2025
No.
2024
No.
Number ol lundralsSng slafl
Number ol manaoemenl staff
Number ol direct chariiable siafl
Casual lull lime equivalent stall
Volunteers
12
33
33
No employee received employee bgnelils of more Ihan £60,000 during the year12024: Nill.
Key Managomont Por•onn•l
Koy managgmgnl personnel inclLKIg all persons that have aulhorfly and rosponsibilrty lor
anning, directing and controlling the activities ol the charity. The lolal compensation paid lo key
manaoemenl personnel lor services provided lo the charity was £74,59412024..£120,7581.
17. Trustee remunerallon and expens
No remuneration or other benefits Irom gmF4oyTrgnt with Ihg charily or a related entity were
received by the Iruslees.

DocJJ81gn Envewe ID.. 1AODB284SDEF4s8￿?6E-CF22lC12C68S
The Thomley Hall Centre Limiled
Company Llmlt8d by Guarantee
Notes to the Financial Statements (eanllmmd)
Year ended 31 Decernber 2025
18. Tangible fixed as••ts
Furniture &
uipment Advenlure
for the playground Computer
c￿tra & wuipmoni wuipm•ni
Freehdd
pToperly
Total
Cost
Ai 1 January 2025
Addition5
2,118,023
238.556
602,708
128,997
34.917 2,994,204
128,997
At 31 Decembgr 2025
2.118.023
238.556
731,705
34.917 3.123.201
Qeproclatlon
Al 1 January 2025
Charge lor the year
At 31 December 2025
593,878
45.637
210,159
18,028
220,380
107,625
31,859 1.056,276
2,559
173,849
34,418 1,¥JO.125
839.515
228,187
328,005
Cftrrylng amount
At 31 Decomber 2025
1,478,508
10,369
403,700
499 1,893,078
3,058 1,937,928
Al 31 December 2024
1,524,145
28,397
382,328
19. Stack•
2025
2024
Raw materials and consumablos
4,500
3,450
20. D•btor8
2025
2024
Trade debtor8
Prepayments and accrued income
Other debtors
11,398
3,420
2,980
8,499
9,196
14,601
32,296
17,798

Docvslgn Envolop9 ID.. 1AODB2WBDEF4588_B76E.CF231C12C68B
The Thomley Hall Centre Llmlted
Company Llmlted by Guarantee
Notes to the Flnancial Stalemenls {¢OnlIn￿￿?
Year ended 31 December 2025
21. Cr•dltor8: amounts talling duo Within on• yo•r
2025
2024
Bank loans and overdfafts
Trade credltors
AccruJs and delerred income
Social security and other taxes
Othor ¢rgdltors
14,1C6
21.862
64.782
13,580
5,440
119.770
10.760
18,552
57,016
7,146
4,710
98,184
Bank loans loialling £14,10612024'. £10,760) are $8cured by a charoe over Ihe freehold pro￿ty
al Menmarsh Road.
Include(I wlhin Ihe charlty expendliure lor Ihe year Is Interest payabb on the bank loans ot
£49,14812024.' £43.6401.
22. Credltorg: wnounts lalllng due alter morn than on• y••i
2025
2024
Bank bans and overdrafts
647,213
576,730
Bank loans lolalllng £647.213 12024.. £576.7301 are 58cured by a charg9 ovgr the Ire&hold
prowriy al Menmarsh Road.
Included WTthin credllors.. amounts lalllng due aller more than one year is an amount of £571,245
12024.. £524,591) In respect ol liabilities payable or repayable by in5talmenls %thich fall due lor
payment aller more than Iivg years from Ihe reporting dale.
23. D8lerr•d Incoffl•
Deferred incorno relates lo grants recewed in advan¢e, lulure use ol visitor lacillli&s and rental
income rgcgived in a￿Va￿e.
2025
2024
Al 1 January 2024
Released in year
Income d8lerred in year
Al 31 Decemb9r 2024
46.934
146,9341
78,341
78.341
6,274
16,2741
48,934
46,934

DocuGhJn En￿lOpe ID.. 1AODB284-BDEF4588-B76E-CF23tC12C686
The Thomley Hall Centre Limiled
Company Llmlled by Guarantee
Note8 lo the Flnanclal Slalemenls (¢onllnu•dl
Year ended 31 December 2025
24. Penslons and other polt retlremgnt ￿n￿￿t3
Dellnod contrlbullon plan$
The amount iecoonlsed in in¢ome or expenditure as an expgnsg in reLqlion lo dellned
contribution plans was £7,92212024.. £7,2011-
25. Analy*lJ ol chorltsble fund•
UnrMI￿¢lfjd lund•
At
31 Deeembor
2025
Al 1 Janltary
2025
Income Exp8nditure
Tran81ers
General lund$
384,567
928,054 11,090,577)
45.000
267,044
Ai
31 De¢ember
2024
Ai 1 January
2024
Income Expenditure
Trans18r8
Genèral lund$
458,079
717,156
1789,385
11,2831
384,567
InclLKled in the abovg unrestricted lurKls balance are free resorves lolalling £6,339 12024..
£26,319).
25

Dotyjsvjn Envelope ID.. 1ADDBZ6&BDEF4s68￿76E-cF2JlCl2c6tsB
The Thomley Hall Cenire Limited
Company Llmlted by Guarantee
Noles lo the Flnanclal Statements feonllnu•dl
Year ended 31 December 2025
25. Analysls ol charltable lunds {OOnih¥u6d)
Regtrlctsd lund•
At
31 Deeember
2025
Al 1 January
2025
Income ExpendNure
Translers
Eco-Friendly InleractiV8
Water Feature IIWFI
Eco.Woodland Outdoor
Learning and Advoniur•
Centre IOLCI
Solar PVIEV Charging
PointslE-8ike Charging
Statlon
Capllal lund8
Revènuè funds
199,567
19,665
120,6161
198,616
54,315
15,820
48,495
28,634
709,676
2,001
12,8881
111.4821
16,0001
146,8061
25,748
898,194
2,001
973,052
6.000
994,193
25,665
Al
31 December
2024
Ai 1 January
2024
Income ExFendilure
Transfers
Eco-FrierKlly Interactive
Waler Fealure IIWFI
Eco-woodland Outdoor
Learning and Athonluro
Cenlre IOLCI
Solar PVIEV Charging
PoinlslE-8ike Charging
Slalion
Capital lunds
Revenue funds
25,51XI
186,500
112,4331
199,567
58,195
13,8801
54,315
28.875
12411
126.2301
1116,7501
1159,5341
28,634
709,676
2,001
730,906
5,718
5,000
13,7171
1,283
116.750
762,124
390,320
994,193

DocvslBn Envdope ID.. 1AOD8264.BDEF4588476E.CF231C12C68
The Thomley Hall Centre Limited
Company Llmiled by Guarantee
Notes lo Ihe Financial Statemenls {¢ontlrnMdJ
Year ended 31 December 2025
25. Analysls ol charltable lurKIs (el￿11+￿*dJ
Interactlve Water Feature
The Eco-Friendly Interactive Water Feature was completed and OFened to visitors at Thomley on
16 August 2024. This feature was our Tllost-requested new experience aTvJ we are delighted to be
ablè lo yovido il lor th& peokle with disabililies who visit Thomley.
Thank you to the lollowlng lund&rs lor Ihoir Support ol thls woje¢l.' The Nalional Lottery Award for
all,. Rural England PTOSP8rity Fund,. Shanly Foundalion,. 8grnard Sunley., The Hobson Charity,.
Axis Foundation,. Kyles Tru$l,. Thg Clolhworkgrs, Foundalion.. Bruco Wakg Tru51,' South
Oxlordshire District Council
Eco-woodland Outd¢)or Loarning Contro
The first phase ol the Eco-woodland Outdoor Learning Centre was comJel8d and opened In
2024. Visitors greatly enjoyed the first area (Floor 18 Lava) when il was compl818 and opened on
25 May 2024. Eight other argas We￿ subsequently completed and opened between June and
September 2024.
Thank you the following lunders lor Ih•ir support ol this projgcl.. Rural England Prosperity Furwj..
Falrhive Thriving communiti￿.. Ningv•h Charitable Trust
Envlronmental Prol•ct
8eginning in December 2024, wSlh a grant of £28,875 ITorn the South Oxlordshire Distrlct
Council's Rural England Prosperlty Fund, Thomlèy installed PV Solar Panels, EVIPHEV Charglng
Poinis and E-Blke Charging Polnls. These d&veloprnenis will help Thoml8y and ils visitors reduce
their cathn emissions, make our centre mor& accessible. and help the Charily further ils
envlronmenlal goals.
Endowm•nt fund•
At
31 December
2025
Al 1 January
2025
Income Expenditure
Transfers
The Edward Goslling
Fund
225,000
145,0001
180,000
Ai
31 Do¢wnb¢r
2024
Al 1 January
2024
In¢om8 Expenditu
Transfers
The Ethard Gostling
Fund
225,000
225,000

Do(¥Jsign Envelope ID.. lA0C￿z84-￿DEF458&B78E-cF231Cl2C88B
The Thomley Hall Cenlre Llmlted
Company Limited by Guarantee
Notes to the Financlal Statements fL¥¥nllnwd)
Year ended 31 December 2025
25. Anal￿1• ol Charltable IurKI$ i¢oAllnu•dJ
Dunno th? ygar under review the charity received an expendable endovnnenl of £225.000
Under Ihe term5 of the endowment the charlty is enthlled to apply £45,000 plus any inleresl
8arngd towards lunding the costs of th&r Se1￿Ces. The first tranche was ￿PIled in the financi
year lo 31 December 2025.
28. Capltal expgndltur•
In¢luded wilhin tre restricted funds of £973,052 is £971,052 which has b88n spent by the Charity
on fixed assets. In accordance wllh generally accepied a¢¢ouniing practices depreclalion on
these items is charged over the expected us8lul1rf8 ol the a5581.
27. Anoly•l• ol net auet# between lund¥
Unreslricled
Funds
Resiri¢l¢d En1*)￿rent Total Fund•
Funds
Funds
2025
Tangible Ilxed a88et$
Current assets
Credllors less than l year
Creditors greater than 1 year
922,024
112,003
1119,7701
1647,2131
267,044
971,052
2,000
1.893,076
294,003
1119,7701
1647,2131
1,420,096
180,000
973,052
180,000
Unreslricled
Fund8
R881rict8d Endowment Total Funds
Funds
Funds
2024
Tangible fixed assets
Current assets
Creditors less than 1 year
Creditors greater than 1 yeaf
Net a••et•
945,736
113,745
198,1841
1576,7301
384,567
992,192
2,(K)1
1,937,928
340,746
198,1841
1576,7301
1.603.760
225,000
994,193
225.000
28. Analy41s ol ch•no0• In not dobt
At
At 1 Jan 2025 Cash Ilows 31 Dec 2025
Cash 8t bank and in hand
Debt due s5ilhin one year
Debt dug allgr ono year
305.000
133,2951
271,705
110.7601
13,3461
114,1061
1576,7301
170.4831
1647,2131
1282,4901 1107,1241 1389,6141
29. Rolat•d parties
Th8re were no related party lransath.ons in Ihg year that requlre disclosur& in those accounts.