Rfi GISTfi RED COh(PANY NI]MTIV.R: 05.$11166 (Ei llgland and Wxles)
BriGtSTERED CHARITY NUMBER: 109.$693
Repoit ofthe Trustees
Unaudited Flngnclol Stst¢m¢nts for th¢ Yvar EDded 31 July 2025
for
Cli&$ter Boxer& Limlted
Kinsella Ckn.k¢ Limited
61 Statdey lioad
Bootle
M￿tY&￿de
J.20 7B7

Cbe8ter Ilox¢rs Llmitcd
Conteiits of tlie Yinancial Statements
for the Year Ei 31 July 2025
Page
Report ofibe,. Trn*t2os
Independent Examlner's Report
Statement of Finantlal Activities
BatanLe Shee,.t
Notes to the Fiinanclal Statements
7 to 12
Detailed Stht(kment of Flnjincial AetlvltleB
13 to l4

Chester Ikbxers Llmlted
Report ofthe Trn¥tees
for tbe Year ltnded 31 July 2025
Ilie b715tee5 who glso diiectoirs of the cbarily foi. the purposes of the CompHnies Avt 20061 present Il)eir ￿port with
th¢ flliai)cial State￿ettI$ of th6 d11arity tor the yea. ended 31 July 2025. 'lThe tsustees have adopted the pix>visions of
Accountll)g ￿ld Reportttig by Cliwilies: statem￿11 of RecomiDended P12Ctictr applicable to chavili¢s pirparing their
aecounts ill acc￿￿18)i¢¢ with ti)e F'.5nwicial Rtpoiting Standard applic8ble in the UK and Republi¢ of h.eland (FRS 102)
(etfective l January 2019).
OBJfCTlVtS AND ACTIVITIIES
0bjeltiv￿ and alm
Th¢ objLctives of the chority ar'e to ¢onlinue the pro￿OtiOn of commimily participation at)d educalion in healtby
reci.cllti0￿ in particular, by the pro vision of facililie5 foi. boxing and martial arts.
rilNANCIAL REI VIEW
Finall¢i81 positio
Tlie Chai'ity has Jnailltsi2]ed it's f. In￿￿ClaI positio￿ in the year, despite ongoing rises in niillijnum wage, heat and light,
tDgethEr with exp￿￿eS generally.
The CliÉllYty is happy that il ha8 sufjficient reseEves and activity to Inall)tain the ￿￿e1.￿nCe of its objectives ID the th￿IE.
STRUCTURE,, GOVfiRNANCE AfiD MANAGEMENT
Governiiig documeDt
Ihe ¢liai'ity is cothlled by it5 g,overning document, a deed of tsvst, aJd constiliites a iimited company, IAmited by
gllaiatktee, as defjned by the CompEu)i¢s Act2006,
RfFEREI NC£ AM) ADMINIST'RATIVE DETAILS
R¢gi$tered co￿pa￿Y number
05511166 (Engla￿a Wd1￿)
Registered Chavity
1095693
Registered offite
Unit 3, Ligbtloot Biisiness Centre
Ce5ts'iaTh c.ourt
Ligbrf(K)i
C'hestei.
CH2 3AI)
Trustees
S Goodwi
P Brockl¢liurst
K P Sweeney
C Kappler
Cump&ny Seerelary
C K8pplei'
Independefftt fixamlner
Paiil Siiniiions fcA
Killsella Clayke Li]nit¢d
618tantey Road
Bootle
Meiseyside
L20 7B£
Approve(I by order of thc boaiQ ofi ￿$teeS on 29 Apiyt 2020 and 8i8iitd <Hi its belialf by..
Pas¢ I

Chpst¢r ljoxers Limited
Report of the Trustee&
for the YEar 31 July 2025
S Goodwin- Tiuste¢
Page 2

In(lependent Ei xaininer's Rcpoi't to tlie Tr￿st¢eS of
Cliestei- Boxei's Lilliited
Iiidepen(lent exatninei 5 report tD tIJL lJ'u%tees of Chester Boxet'5 Limited I'tlie Coiiipaiiy,)
i-eport to Ilie cliaiity tl-IlslEes oil iiiy cxaii)iiialioii ot the accoiiiits ofihe Coinpany for the yeai. endcd 3 I July 2025.
Responsibilities aiid basks of i-EPOI't
As Ilie cliarity's Iii151¢e5 Ot tlie Coiiii)(Iiiy (aiid also its dii'ectoi's foi- IhL piii-poses of coinpany lawl you are respotisible
foT Ihc pi'cparaliotl of th¢ account5 ill <lLCI)I'dai)ce with tlie I'equiieiiients uf the Coinpaiiies A¢t 2006 ('Ihtt 2006 Aet'l.
l-laviiig salisficd Inyself that the accouiil.% of il)t Coii)pany al'e iiot requii-ed to be aiidited iindei. P{2rt 1() ()f tlie 2006 Act
aiid ale eligihle for ind¢p¢iid¢nt ex£iiiiiiialiDlI, I iei)ort in IEspect of Iiiy exÉiiiiiIiatioii of your cliarity's accoiinls ds Lari'ied
oiit iiiidei. SeLtioll 145 of the Cliarities Act 2011 ('Ihe 201 l Act'l. Iii c&i'iying> out Illy Lxainina(ioii I Iiave folloived the
l)irectioiis g?iven by the Chaiily CoJninis510I) linder S¢Ltioii 145(5) Ib) of tlie 201 l Act.
Iiidepen(leiil e¥ainin¢i s st&itLDiet]t
I liave coinpleted Iiiy Lxaniinalioii. I confirin Iliat mattirs Iiav¢ coine lo Iny aiiention in connection witli the
eNainiiiation giviiig Ine caiise tl) belicvc..
aL¢OllI)iing I'ecoids weie iiot keiit in Ttspect of tlie Coiiipany ds reqiiii'ed by Section 386 of tlie 2006 Act; or
the ÉtLcouiits do not accord witli tliose ieLord5', 01.
Lhe accounts do not coiiiply with tlie accoiintiiig i'eqL115'£111¢I)Is af Sectioi) 396 of tlie 200() ALt oihei. Ihaii aiiy
iequii'eineiii tl)at the a¢coiints give a li'iie 31id fail. vieiv wliiLli is nol a Inatter considei'ed part of ali
indepeiiclLni exainination., or
the accokinls liave iiot been pi'epared in &Lcoi'dance iviih tlie ineihods aiid principles of the StateEntnt of
Rtcoinineiided Practicc for accoiintingF aiid I'eportiiig by c113rilies (applicahle lo chai'ities piepai'jiiiy their
accounts iii accoi'dance witli ilie F inancial Repoiting 8t2ndai'd applÉcable iii the IJK and Republi¢ of Irelaiid
(frRS 102)).
have no concei'ns aiid have Goiiie acyoss no oihei. Inatters coniicclioii with the examin(Ilioii lo wl)i¢h attenlioii sliould
be di'awti iii tliis repait iii oi-dei- to enablc A pi-opei. ui)dei'sti< Iidillg of ilie accoiintS to be i'ciiclied.
Paiil Siinimoiis FCA
Kiiisella Clai'ke Liiiiited
61 St<1nl¥y Road
Bootle
Meiseyside
L20 7BZ
29 April 2026

Chester Boier5 L4mlted
Statement of Fin#ttcl*)l Aetivilfi
for tbe YEar Ei Mded 31 July 2025
31.7.25
Urn'estyicted
fw)d
31.7.24
Total
fullds
Notes
INCOMC, AND ENDOWMENI.'S TrROM
DonatioA)s legacies
53,404
36,750
OlhLI' Irading activilie¥
11,643
14,577
Total
65,047
51J27
I xpfNDITURE ON
Raising tiji
48.298
52,175
Other
15,275
20,389
Total
63,573
72,564
NEIT llYCOMfijiEI￿El NDITUR￿)
1,474
(21,237)
RECONCILIATION OF FUND',S
Total fuii(Ls bix)u8bt forw9yd
24.108
45,345
TOTAL FUNDS CARRIEI D FOIRWARD
25.5&2
24,108
]Eotes fol￿ part ofiiese fmgn¢ig1 statei#eiits
Page 4

Chester Boxe1% LIMlted
Balance Sh¢ot
JI July 202S
31.7.25
Utllrstricted
fund
31.7.24
Total
Notes
FIXCID ASSETS
'langible assets
45.513
61L788
CURIIENf ASSEI TS
1,500
254
3,321
1,500
254
1.622
Debtors
Cash at bank and in hand
10
5,075
3.376
CRf.i)ITORS
Ainounts fallillg due With￿ year
(25,006)
(40,056)
NET CUIIRENT AS'SETS
(19,93l}
(36,080)
TOTAL ASSETS LISS CURREI Nr
LIABILrriES
25,5112
24.108
I T ASSETS
25,582
24,108
13
Uiirestricted fullds
25.5B2
24.108
TOTAL FUNDS
25,582
24,108
The charitablL company is ¢iititled to exernplion fiDm audit under S¢dion 477 of tbe CO￿panicS Act 2006 foi. tlie year
elided 31 July 2025.
The MeIn￿lS h&ve iiot i'equired the coinpwiy to Obta￿ an aiidit of its fll)9llcial 5tatemei)ts foi. tlie yeoy ended
31 July 2025 in acC￿￿￿1cC widi Section4716 of the c￿np￿]i¢s Act 2006,
Tl)e tsustees acknowledge th¢ll' Itspoiisibilitlles for
(a)
ensuiing ihat the chwitable Co[￿pallY keeps accounting Jrcords that con)ply with Sections 386 wid 387 of thL
Compaiiies Act 2006 gnd
epar}i￿ fillancial statements wluch give a and fall. Vltw of the state of afFaits oFthe dL•'Atable Coinpwiy as
at the end of each fill￿101a1 year ai)d (Trf its siiiplu5 01. defaGit foi. each fjnallcial year in accordanee with the
requiRJneiits of 8wtioi]s 394 and 395 ￿ld which otherwise C￿￿pIY with tlie iwiji1￿Mcllts of tlLe C￿lIP￿lIeS Act
20￿ ILlating to fmajicial statemeiits. so fay as applicgble to ilie Ch￿'it￿ble compaiiy.
(b)
Thellotes p￿t of these financial slatunents
Page 5
conlitiiied...

Cliutei, Boxers Llmlteil
Bhlance Sheet- continued
31 July 2n2S
Ihese th)all¢ial statements have been ￿￿p￿red iti accoi.d1￿Cc with the provisions 8ppliLable lo Ch[￿ltable companies
siibject to the ￿nall ci)mpanies iegime.
I￿¢ financial statemeiits were approved 'by tlic Board of TrusiEe5 and author&5ed for issue on 29 Apiii 2026 olld were
si￿)ea on Ats behaifby:
S Goodwin- Twstee
C K8pplu'_ TTUStee
The Iic)tes foiill paJ1 ofdiLse fv)an¢ial statemeiits
Page 6

Chestey Btsxors Llmlt¥d
Notes to the Flnanelal Ststements
ror the Year Ei nded 31 July 2025
ACCOUNTING POLICIEI S
ljgsls of preparing the flnaneial 8l&temellts
The r]nanGial statements of thL c..h￿.1tab1e company, which is a piiblic benefit entity undei. FRS 102, bavc b¢di
PlEpa￿d in auLoJY19nce with the Chaiities So1￿ (rKs 102) 'AccoutttiDg and Reporting by Charilies.. Statem¢nt
of Recornmended Practice appliicable to chartties preparing theii. accounts in actordatLce with the Financial
Repoiting Stoiithd applicablc iui the UK aJ]d Republic of Irelalld (FRS 102) {effective l Jalluwy 2019),,
Flliancial Reporting Stwidaid 11)2 'The fitiattcial Reportit)g Standatxl appjicable in t]ie UK alld Republic of
'eland' and the Compa￿￿eS Act 2(K>6. The fJnaJi¢ial statEm&its have beal prep￿rd uiider the hisloi'i￿l cost
convenlion.
In¢ome
All llibome is recognised in the Ck)tatemeiit of Finallcial Activities ollce the charily has entitlemciil to the fi￿ds, it
is probable that the in¢ome will b¢" Irceived alld th¢ atnowit be llleas￿ltd reliably.
ri.XpcndRt￿rt
J.iabilitiCS dtc itcogi)ised #s ¢XpieMlih￿C as soon as there is & legal or consttiietive oblig8tiorL collamitting the
charity to ti)2t expcndituiE, it is yin)bable that a tt'ansfa- of economic benefits will be i'tquired in s¥ttltment and
the atllount (>f the obligatiott t￿1 Ibe meosillrd reliably. Expe1￿￿ture is aceounted fov nn aLLruals basis gnd
bee)1 ¢19ssified under headii)&s tl&at awtgate all cost i"elated to tlie categ￿y. Where ￿sts cat7nol be diiE¢tIy
attt'ibutcd to partiGul¥J' headings they have been ￿l[￿ated io activities on a b&%1$ consistent wtth the use of
resuurces.
Tallglble assets
Dep￿claI￿1)ll ig provided at the l.'ullowing amiual rai¢s in order to wiile off ea¢b os5¢t over its estktnated weful
life.
)piK)vements to propety
Plant and JnE)¢hi]iery
rixtures and *itting5
Motoj, vehicles
200/0 on ¢ost
250/0 oil Yediicing balattce
20010 on Lust
15Yts oil reducthg baknce
Stocks
Stock5 are valued at the lowa. of i¢OSt and net realisable value, aftei- ￿akIng due allOwall￿ foi. obstslete and slow
movinB items.
Taxation
The thdrity is ex￿llpl cixyoration lax on its charitable aclivities.
Fund accounting
Unrestricled fiinds can be used in iaccthylancewiththe ¢h￿'ltab1e obje¢tAves at the dis￿¢t10￿ of the tmstees.
R¢stt'i£ted funds Can only b¢ iisedl for partibul#v ￿$trIcted ￿]rPoseS within the obje¢ts of the charity. Restrirtioi)s
'ise wba) specified by the donor.or wlien fiiiid5 are i?ised forparli¢1119riEstillcted purpo8es.
Furtliei, explattation of the nature 9]ttd p￿pOse of each fimd 18 in¢luded the note5 to thr fo￿￿CItI stateineiits.
Hire puYLli85¢ and leaslng Ilinents
Rentals paid undLY' opfflating le#&¢g' charged lo t]ie Statement of Fll)#noial A¢tiviti&s on 8 lille basis
over the p￿.10d ot the le#s£.
Page 7
coi)tinued...

CIiLSter Boxers Limited
Noites to tlie Fln#nci#l State]nents- continueil
for the Yoar tkded 31 July 2025
OTHER TRAD￿G ACTIVIT'IES
31.7.25
31.7.24
SIK>P incolne
11.(A3
14,577
Raising donatli>ns Icgaeies
31.7.25
31.7.24
Support eosts
25,532
4,463
Investment m#n#gement costs
31.7.25
31.7.24
Staff costs
I4,(￿7
18,016
Aggtegate
48,298
52.175
E4ET INCOMEI(EXPENDITUIiE)
Net incotnel(expeJidI￿2￿) is stated Efter cli8Jg&tigl(eYcditing)'.
31.7.25
31.7.24
Dtp￿c1at10n- owned assets
Hire of plallt machinery
15,275
20,389
1.054
TRUSTEIS, REMUNERATII)N AP4D BEI Frrs
During theY￿r one of the Trusfrts re¢eiv¢d splgry a)id pension contributioA)s of £14.006.
Trustees, expenses
were llo knistees, expense5 paid foi. the year ended 31 July2025 nor foy th¢ y¢w' ¢nded 31 July 2024.
STAFF COSXS
The averagTe monthly ni1mb￿. of ￿nployCeS thaiing the yearwas as follows..
31.7.25
31.7.24
Support staff
No ￿￿P10YecS teeeived emolujne'nts iii excess of £60,000.
Page 8
cO]￿tilli1¢d...

Chester Buxers Llthhtstl
IY oles to tlie Flnaneial StatemeDts- continued
foy the Year Ended 31 Juty 1025
COMPARATIVfS FOR STATEIMEI Nf OF F￿ANCIAL AcfiviTIFA'
lJtJresb'ieted
fuiid
INCOMF AND EI NDOWMEfyTS FROM
Donations and lego¢ie8
36,750
Other tndinB activities
14,577
Total
51,327
I XPENJ)rruRB ON
Iiatsing funds
52,175
Othei.
20,3R9
Total
72,564
l+lET INCOMC/(EXPEI NDITIJRE,)
Cl,237)
RECONCILJATION OFFufyDS
Total fithd% byought fonv8Kd
45,345
TOTAL FUFIDS CARRIED 14ORWARD
24,108
TANGIIILF FIXED ASSEI TS
tjnprovthneiits
Fithires
aiid
fittings
Plallt and
]nachiDay
Motor
vehicks
pYop¢ity
Tot&ls
COST
At l AiigTllSt 2024 ￿}d
31 July 202S
12,210
276,448
11,457
3,840
303,955
DEPRECLtTION
At l August 2024
ch￿rge for year
12,210
216,288
15,040
11,291
166
3,378
243,167
15.275
At 313iily 2025
12,210
231,32S
11,457
3,447
258,442
NET JIOOK VALUE
At 31 Jiily 2025
45,120
393
45.513
Al 31 July 2024
60,160
166
462
60,788
Page 9
ontinued...

Chestcr Boiers Llmltul
Notes to tlie Financlal Statem¢nls- conttnued
ror the Year Ended 31 Jllly2025
STOCKS
31.7.25
31.7.24
1,500
1,500
i(L
DE]rroRS.. AMOUNfs FAJLtNG Duri WITHIN ONE YEAR
31.7.25
31.7.24
Pirpaymenls and aCCi￿¢d ineoxne
254
2S4
ii.
CREDITORS: AMOUNfs FIALLING DUF WITHtN ONE YEI AR
31.7.25
31.7.24
Other loans (see llote 12}
Sutiial se¢urtty and otliertsxes
12,900
798
5,748
339
5,221
30,800
3.198
VAT
Othei. ¢Yeditoi
A¢¢rt￿d exp¢n8es
339
5,719
25,006
40,056
12.
LOANS
An Jnoly8is of the m&tuiily of loans is given below..
31.7.25
31.7.24
Am￿11]tS falliiig diic widiin year oll demand..
Oth¢rl(ydns
12,90n
30,800
13.
MOVEI MCINT IN FUNDS
Net
movernent
in fillid5
At
31.7.25
At 1.8.24
Unrostricted fund5
Geiiei*l fiind
24,108
1.474
25,582
TOTAL FUM>S
24,108
1,474
25,582
Net lljovcment in fim(L8, lliclud..cd in thc above are as follow8:
Incomillg
yes0￿￿¢S
Resmirc¢$
expended
Movetnent
fiillds
Unrestrlcted
Gen￿￿1 fund
65,047
{63,573}
1.474
TOTAL FUNI)S
65,047
(63,573)
1,474
Pic ge 10
coi)tiniied...

Ch¢8ter Doxers Llmited
Notes to the FlnaDelal Statements- Lobtlnued
for tlie Year E¢Dded 31 July 2025
IX MOVF.tvtCiNT IN FUNDS,.. contlDued
Comparatives fDr movemeN¢ in funds
Net
iove]n¢llt
fillids
At
31.7.24
At 1.8.23
Unrestrlcted fu￿dS
Cjeneral fuDd
45.345
(21,237)
24,108
TOTAL VUNDS
45,345
{21,237)
24,108
Co￿parative net movement i n fimds, incliided lll tl)e above ￿'e as follows..
colliing
resoui'ces
ReEouYL'eg
expended
Moyemeut
in fvllds
Unrestricted ￿ndS
Cicncyal fiiE)d
51,327
(72,564)
(21,237)
TOTAL FUNTXS
51,327
(72,564)
(21,237)
A cutTtntyeEr 12 inoiiths andl pri(Yyear 12 months Co￿bIlled position is as follows..
Net
Jnovernellt
in liinds
At
31.7.25
At 1.8.23
Unrcstrleted funds
GelleKal fut
45,345
(19,763)
25.582
TOTAL fuiyDS
45,345
{19,763)
25,582
A cllirent ye&. 12 months aTrd prioi. yew. 12 ￿￿1thS cotnbined iiet moveAnent in funds, llidiided ill the above
follows,.
Resouires
expendLd
Moveinent
ui fiIRds
]EsotllfeS
Unyostricted funds
Gene171 fund
116,374
(136,137)
(19,763)
TOTAL FUNDS
116,374
(136,137)
(19,763)
Pagell
coiitiiiiicd...

Chester Boxers Llmlted
Ni*teS to the Finaneiil Ststements- eontibueii
foy tht Year Ei nded 31 July 2025
14.
I LATED PARTY DISCP,. OSUREr S
Their no related I￿t)SaCtio1￿ fortlie yedr ￿lded 31 July 2025.

Cli¢ster Box¢r9 Limited
Detalleil SlatemeDt of Finaneial Aetlvfitlos
for the Y¢ai' Ended 31 July2025
31.7.25
31.7.24
INCOMC, AND ENDOWMENirs
Don*tloDs Eegael
Gifts
Donations
Gill aid
13,159
3,275
1.500
100
Aoo
SubscrEptions
36.969
34,651
53,404
36,750
Other trAdlng actlvltle5
Shop inco￿¢
11,643
14,577
Total Incomlllg resources
65,047
51,327
EX?ETrIDrruRE
Other trading activitics
Optiiillg stack
PuLrhoses
Clositig stock
1,500
8,191
11,500)
1.130
8,942
{1,5(K))
8,191
8,872
Invuttn¢nt managenTrent eosts
14,Of)7
l(>,nlG
Other
Plwl #ndma¢hiiiery
Fixlurtt5 and fillill¥S
Motoi. vehicles
15.040
166
69
20,054
253
82
21)..389
Suppor¢ costs
Managem¢nt
Advcitt8iJig
Rait r2tes
Light a￿d heat
lelephone alld internet
1,054
14,075
1,278
494
87
706
57
1,298
1829
15,182
3,450
1,44S
Siibscriptions
TixvLI and sub5i5ttllce
(iyAn maiiittnaiire and 5UTLdry
No descLYPtion
149
2.926
1,914
?.S,aCiC
Other2
HMRC Inte￿$1
16
TIi&s paxi, doLS iiol 1017n ￿lrI of tlic staliitary fJJi£llltial slalctncnt5
Pa%e 13

Cbester Boxers Limited
D¢tall¢d Statement of Flnattelal Aetlvltle
for the Yeor 31 July21J25
31.7.25
31.7.24
(>th¢r 2
GoYern#nee costs
14K)tessiot]a] fres
A¢coullt&)cy fccs
84
950
1,671
1,722
1.034
3,393
"e,iii'C4 > ekpc;:dpd
Net Ini'ome/(expendlthrL)
1,474
(21,237)
Thi5 piige does not fonn of the statsitory fiJE82icial stateJneiil$