202412025
FINANCE REPORT
Sheffield Wednesday FC
Community Programme
COMMIRIITY
PROGRAMME

02
Finance Report 24125
About this document
The trustees who are also directors of the charity for the purposes of the
Companies Act 2006, present their report with the financial statements of
the charity for the year ended 31 August 2025.
The trustees have adopted the provisions of Accounting and Reporting by
Charities: Statement of Recommended Practice applicable to charities
preparing their accounts in accordance with the Financial Reporting
Standard applicable in the UK and Republic of Ireland (FRS102) (effective I
January 2019).
Statement of Social Responsibility
Charity Policy
The organisation continued to support various charity and community
organisations throughout the year, believing it is important to use the
power of the SWFC brand to give these worthwhile causes the
opportunities to raise funds at the football club including offering match
tickets, signed memorabilia and player appearances throughout the
season and supported the following beneficiaries in our community,
amongst others:
Bluebell Wood Children's Hospice, The Children's Hospital Charity Sheffield,
Weston Park Hospital Cancer Charity, St Luke's Hospice, S6 Foodbank.
Support Dogs, Royal Society for the Blind, Roundabout, The Archer
Project, Sheffield Mencap, Create a Dream Foundation, Yorkshire
Ambulance Service, AGE UK. PACT, Sheffield Animal Shelter and many
more.
Achievement and performance
Charitable activities
During the year. the charity continued to support education. health and
inclusion of both adults and children within the ShefField City Region and
the surrounding areas, increasing its outreach by delivering new programs
and continuing to excel in its core activities.

04
Finance Report 24125
HEALTH
Our Health and Wellbeing projects are
dedicated to promoting both physical
and mental wellbeing across our community.
Through a range of inclusive programmes and services, we focus
on educating, preventing, and supporting individuals to lead healthier,
happier lives.
Core Engagement Stats
500+ Ages 0-98
25
people engaged
reached
weekly sessions
dellvered
Sheifield communitles
served
Wellbeing Impact stats
97%
96%
reported o positive
imwct on mentol health
reported a positive
impoct on physical health
TWlhNING
zest

05
Finance Report 24125
O Physical Wellbeing
Key Outcomes
Health satisfaction was 3% above
the national average
Participants classed as physically
active 67°A higher than the
national average
"I've worked hard on my fitness over the last year,
and walking football and men's group has helped
and inspired me to continue."
Adult H•alth partlclpant
O Mental Wellbeing
Key Outcomes
Happiness levels were 4.IY higher than the regional
average among Adult Health participants
Chronic Pains participants reported a 3.8% higher sense of
life being worthwhile compared to the national average
Family Hubs participants reported anxiety levels 2.5Y lower
than the regional average
"I've gained confidence and courage to do more in daily life.
I'm feeling less sorry for myself.-
Chronlc Painss•uion parti¢ipanl
"Independent evaluation of Family Hubs. Adult Health and Chronic Pains programmes Imarch 20251.

06
Finance Report 24125
Q Community Connection
Key Outcomes
Oyo of Chronic Pains participants felt lonely "often or always"
5°A of Family Hubs participants felt lonely "often or always"
Compared with the national average of 7.4A
"I've met and made so many new friends - we have
fun and support each other in a safe space."
Famlly Hubs partlclpant
"Indepèndent Èvalualion of Family Hubs, Adull Héolth ond Chronic Poins pro9rommès (Morch 20251.

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Premier
League

10
Finance Report 24125
YOUTH &INTEGRATION
Our Youth and Integration projects offer a wide range
of activities and sessions designed to engage and
empower young people, while promoting
diversity and social inclusion.
We work to break down barriers, create
opportunities for all, and build a stronger,
more connected community where every young
person feels valued and supported.
Engagement & Reach
•nJq• +
1,500
500
500+
unique young Feople
ongaged through open-
access yOLrth provision
young people
supported through
SAFE Mentoring
supp)rted through
in-school montoring
interventions &
lunch clubs
engoged through fomlly
•vents (with Sheffield
City Council & Locol
A￿a Committees)
Weekly Delivery Offer
33
25+
55+
hourslweek of
•r•3• flee, open-access
youth provision
hourslweek of
in-school mentor-
, inlerventions
unchtime
£￿tIvItieS
mentoring hours
delivered through
SAFE Mentoring

11
Finance Report 24125
Our Youth & Integration activities reach young people across
She)Tield's Local Area Committees (LACS):
North-East LAC- Stocksbridge & Upper Don, Stannington,
West Ecclesfield
North LAC - Southey, Firth Park, Shiregreen & Brightside
Central LAC - Hillsborough, Sharrow & Sharrow Vale
East LAC - Darnall, Richmond
South LAC - Beauchief & Greenhill
Plus, delivery in l5+ schools across the city
We're proud to celebrate the achievements and journeys of young
people involved in our programmes:
Nathan's Story
Volunteer Nathan transformed
his confidence through
Premier League Kicks.
Scan the QR C¢Jde to leorn morel
Seyar's Story
Seyer boosted his mental health by
attending our Football
Welcomes sessions.
Scon lhe QR C()de to leorn morel
Freddie's Story
Volunteer Freddie developed a
passion for coaching and
improved his behaviour
volunteering with us.
Scon the QR Co(Jeto leorn mo￿1

r*
11

If

16
Finance Report 24125
PARTICIPATION
Our participation projects work directly with schools
and young people to promote physical activity and
positive mental health. Through targeted partnerships and initiatives, we
encourage engagement. enhance educational outcomes, and support
overall wellbeing.
i Total Engagement & Reach
Early Years & Holiday Camps
•nJA• +
14,000+ Ages 3-18
Early Years
3,400 children
eng09od
Holiday Camps
3,100 boys and
porticipat
children and yourg
people en
edin
2024
I Primary Sch¢)ols & Everyone Active
EwrA*Acti¥eSe55iO
7,000+ 25
29
140 450 600 420 750+
lorgelwj
intervent#y
) exelusNe
childTen in
children in
children
chikjren (rtlended
l(AXbJll ¢￿-01￿nmnTr)lK￿ wJucath?fKJI CcffiW￿n9 in development
workslKPS (thats￿5 loumn*nts pjthwws
youry pe
reoch
supw1ed

17
Finance Report 24125
HIGHLIGHTS
Girls Football Intervention
Boosting girls, confidence through
Premier League Primary
stars Interventionl
••'
Scon the QR Code to learn morel
Deaf Football Workshop
Educating children about how a
hearing impairment can
affect your football.
Scon the QR Code to leorn morel
Girls Breakout Squad Launch
Kicking off ovr brand new girls,
breakout squad at
Hillsborough Stadium!
S¢on the QR Code to learn morel
Equality, Diversity & Inclusion Day
Six schools joined us to learn about
the importance of EDII
Scan the QR Code to learn more.

rff.

)••.
f 111

ASI

22
Finance Report 24125
EDUCATION
Our Education projects empower young people
and adults to reach their full potential through
high-quality learning, personal development,
and clear progression pathways.
From alternative provision to degree-level study,
we provide education opportunities that inspire
ambition, promote confidence, and open doors to
employment and higher education.
1, Engagement & Reach
Alternative Provision
•Hoq• 600+
learners en
across She
160
2,340
ield
sludents
supported
across 10 rn•)nths
total hours
delivered
annually
(2024125)
1 Post-16 Education & Beyond
Post-16 Education
Degree Pathways
Employability
Youth Hub
••4 153
leorners lages16-19)
278 122
leorners
10ge$18-23)
rticipants job outcomes
ageg18-241 achieved
overall pass rate
48.9/ * 93/
Adult Education
overoll
rAJSS rote
ressed to
er Education via
SWFCCP pathway
•• 62 122
partici-
Ipont5
learnin
hours
elivered

23
Finance Report 24125
HIGHLIGHTS
Post-16 Students Academy Trial
Four Community College learners had
the opportunity to play for
The Owls Academy.
,IWStr.
}illK'Ii({e
Scon the QR Code to learn morel
Mason's EmploymentJovrney
Our Employability Team have
been making difference
with people like Mason.
Scon the QR Code to leorn morel
Degree Programme Success
Record number of students enrolled
on our degree courses.
Scan the QR Code to learn morel
° .f4)
Alternative Provision Awards
Our first-ever Alternative Provision
Awards night was a
huge success!
Scan the QR Code to learn morel

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28
Finance Report 24125
PARTNERS &EVENTS
SWFCCP supports charities across a wide range of sectors,
including healthcare. youth services. disability support, and animal
welfare. Key partners include Bluebell Wood Children's Hospice, The
Children's Hospital Charity, Sheffield, St Luke's Hospice
Rovndabout, and more.
Key Charity Events & Community Engagement
Sheffield Iok: Staff & friends of SWFCCP ran to raise money for the
programme.
Hillsborough Sleep Out: In partnership with Roundabout, staff and
volunteers supported local young people experiencing homelessness.
Christmas Volunteering: Staff contributed time to local charities,
providing support for vulnerable communities.
Christmas Luncheons: Two festive meals provided free to local
fomilies affected by financial hardship.
Through these events and partnerships, SWFCCP continues to
strengthen community engagement, provide vital support, and generate
sustainable impact for a wide range of charitable causes.
FORGEliM
Haliarrnhlre

29
Finance Report 24125
FACILITIES
SWFCCP continues to invest in high-quality
community facilities that provide safe.
inclusive, and accessible spaces for people
of all ages to engage in sport, education,
and wellbeing activities.
She)Tield Wednesday FC Community Facility
Opened in January 2023, the SWFCCP Community Facility has become a
thriving hub for sport, education, and health. The full-size11-a-side pitch
and on-site gym have expanded delivery capacity, enabling hundreds of
participants each week to benefit from football, fitness,
and educational programmes.
Key Features & Impact
Capacity for over150 young participants across Football Courses
and Holiday Camps.
Hosts Further Education and Alternative Provision programmes.
On-site gym supports health, fitness, and rehabilitation sessions.
Central hub for community engagement and youth provision.

30
Finance Report 24125
Future Plans-'The Barn,
Planning permission was submitted in January 2025 for a new community
building, known as The Barn, under a 25-year lease.
The proposed development represents a major step forward in
SWFCCP'S long-term facility strategy, with indicative costs of £l.335
million for a single-tier build and £l.9 million for a two-tier option.
The Barn will enhance SWFCCP'S capacity to deliver sport. education,
and wellbeing programmes in partnership with local organisations.
The Barn will include:
Flexible multi-use community spaces.
Accessible facilities for education. training, and social activity.
Additional capacity for football and youth development
programmes.
Through continued facility development, SWFCCP aims to provide
environments where communities can come together, learn, and thrive -
ensuring Sheffield remains a place of opportunity for all.

+++•4

33
Finance Report 24125
Key performance indicators
Trustees consider an increase in participation numbers and funding for
each programme as key KPI'S. Year on year, the programme continues
to deliver high level activity across the city.
Financial review
Financial position and performance
The charity generated £2,940,420 (2024: £2,517,419) of income during
the financial year, enabling it to invest £2,765,134 (2024: £2,451,716) of
funds into delivering its programs and activities in Sheffield and the
surrounding areas. The income generated is a mixture of both
restricted and unrestricted with any unspent amounts at the balance
sheet date being carried forward to be spent in the next financial year.
The information set out in note 2 to these accounts details the main
areas of activity for fund raising purposes, the expenditure set out in
note 5 to these accounts was incurred in progressing the charity's
objectives in delivering its programme of projects and courses.
Principal funding sources
Funding is received from various sources. The main funders are the
Premier Leagve, EFL in the Community, Sheffield City Council and
Sheffield College.
Reserves policy
The overall fund balance at 31 August 2025 has increased over the past
year by £178,606. The overall fund of £2,257.059 consists of £l,281.869
of unrestricted funds and £975.190 of restricted funds of which the
Jubilee Project represents £812,159.

34
Finance Report 24125
The Trustees have set a reserves policy which requires:
SWFCCP to strive to bvild vp free reserves (unrestricted funds not
committed or invested in tangible assets) to a target of at least six
months overheads and three months payroll costs.
Reserves will then be maintained at a level which ensures that:
SWFCCP core activity can continue during a period of vnforeseen
dilTiculty
The charity can meet contractual liabilities should the organisation
have to close
The charity can meet unexpected costs like break down of essential
office equipment, staff cover re illness, maternity leave, parental
leave, and legal costs defending the charity's interest
A proportion of resenies will be maintained in a readily realisable
form.
When considering the reqvired level of resources for SWFCCP, the
following factors have been considered:
Risks associated with each stream of income and expenditure being
difference from that budgeted;
Planned activity level;
Organisation's commitments.
The Trustees consider the reserves policy for the current year to have
been successful. To meet the policy, approximately £612,000 was
required; with tolal unrestricted reserves of £1,281,869, this indicates a
surplus of £669,869.

35
Finance Report 24125
Principal risks and uncertainties
Major risks have been reviewed and systems and procedures have been
established to manage these risks.
Financial and risk management objectives and policies
Many of the income streams are driven by the number of attendees
which the Trustees consider to be a significant risk given that costs are
partially fixed or are incurred before the actual number of attendees
are known.
To address this the Trustees closely monitor the number of recruited
persons for each income stream against the budgeted number on
which the forecasts were based.
Structure, Governance and Management
Governing document
The charity is controlled by its Memorandum and Articles of
Association dated 16 February 2015, later updated Ist October 2025,
and constitutes a limited company, limited by guarantee, as defined by
the Companies Act 2006.
Recruitmentand appointmentof newtrustees
The charity's Trustees are usually recruited from current officials of
SWFC and various professionals who are experienced in both football
matters and the objects of the charity and have the necessary skills to
carry out their duties.

36
Finance Report 24125
Organisational structure
SWFCCP operates a functional organisational structure by appointing
managers to each area of its core activities who then report to the
Head of Community (HOC). The HOC makes decisions regarding the
day-to-day operations and the Trustees make decisions regarding long
term strategy and development.
Decision making
Payscale's and salary banding have been introduced for all employees
in line with benchmarking across the EFL network. Salary increases are
reviewed yearly by the board. Considered are personal performance,
charity performance and overall sustainability of each department.
Each member of staff undertakes a 6 monthly appraisal which is
reviewed by the HOC.
ShefField Wednesday Football Club
Community Programme
Report of the Trustees (continued)
For The Year Ended 31 August 2025
Induction and training of new trustees
SWFCCP follows a safer recruitment policy when recruiting new
employees and trustees. The charity ensures no job applicant is
treated unfairly on any grounds including race, colour, nationality,
ethnic or national origin, religion or religious beliefs, sex, or sexual
orientation, marital or civil partner status, disability, or age.

37
Finance Report 24125
Key Management Remuneration
The Head of Community is considered as Key Management Personnel.
Salary is set by the board and reviewed every12 months.
Engagement with employees
Regular staff meetings take place throughout the year where the vision
of the community programme is communicated to all. Employees are
encouraged to share their views/ideas on how to promote and grow the
SWFCCP offer.
Risk management
The trustees have a duty to identify and review the risks to which the
charity is exposed and to ensure appropriate controls are in place to
provide reasonable assurance against fraud and error.

4•
COMMUNITY
PROGRAMNE
Hillsborough Stadium
Sheffield
S6 ISW
Churlty No.1108538
Company Nth 5053927
@ Copyright 2025
All Rights Reserved

REGISTERED COMP.4￿￿, Tr*[I_%IBER.. 05053927 IEnglgnd W'ales)
REGISTERED CIIARITI, INUMBER: 1108538
Report of the Trusttts and
Cothsolld*ted Fln#ntl*l St*lemtDts for Tht Yt*r Ended 31 Au%ust 2025
for
Sheifield Wednesdav Footb811 (..1￿b
CommunilTr Progrwmme
IA CompAny Limited by Gugr*ntttl
Null) Audit Limiied
Siaiuion Audiior
Fir51 Floor. Stcrling House
Outram5 Wharf
.itilr F.31on
Derbi
DE215EL

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
Cotttents tsf the Consolld#itd Fin*ttti#l stalemt￿l&
For The I'tar Eknded JI Augllsi 21125
Pgge
Report of the Trustees
I to 2
Report of ihe IndepeudeD¢ Audi¢on
Consolidated Statement of Fin*Thci*l Aetivities
Consolidated Bal•nce Sheet
CompAnv BAl#n¢e Sheet
Con501idated C.'ash Flow.%tatemenl
Noies ¢0 ¢he Consolld#ttd C•sh Flow St•lttt)ety¢
10
Notes to the Con5011dated FSn*nclal Stattments
11 ￿ 24

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
RtpTrrt ofth¢ Trn5ttts
For The l-ear Eknded JI Augllsl 21125
REFERENC.E AND ADMIliISTRATIN'E DETAILS
Rtglstered Comp*nv thumbtr
OiOi3927 (England 11.'alLsI
Registered Charity number
I IU¥ii
Reglstered tsfflte
Shel'liLld Il'LJnLsda> Football Club
Shel'fiLld
8(iuth Yi)rk.%hiTe
Trustees
I'hL I rustecs who durin¥ the l'ear. and change5 since the )'ear end up to the date ofihi5 re￿rL are 85 folli)w5'.
l) C'han%iri
(resigned 24 Ociobcr 20251
IrLsigntyJ 9 Awil 20251
Mr% J l)i)ri
1> M 4Lni(Ir
R J R Wil.4()n
Mrs K J SJr¥¢ni
Mr% K l)i¢kinx)n
Mrs K l. Q'hJpman
Mr l) 14arr()n
Mr C A SILl￿art
Ircsignlxl Y April 211251
Ir¢signiJ 7 Mai. ?n? j
lapp()intLxl ?4 S¥Pl¢mber 20251
IdprKiintLQ 24 SLPIL'mk.r 2025
lappoin¢LQ ?4 Slptcrnbcr ?025
{ap￿in¢t￿ 24 %Lpi¢mbcr 2V251
Audltors
NL1￿1> Audil l.imited
tatut()r%' Auditor
l)uiriim.s Whdrl-
DLrbi
DL215EL
HeAd Of The Communlty
-rhe'l'ru%iee% dele¥Jte the daj LO 41a> mana8emeni ofthe Lharii%" ￿ M Brdmeld.
Bankers
Santander CortK)rale and Lomtnercial Hanking
Bridle Ri)ad
Bootle
Merse}"5ide
L30 4(iB
The Ci)-()perative Bank plL
PO Box 250
Skelmersdale
NII.'8 6WT
Pa4e I

Shtffield W-tdttesdxv Football Club
Communitv Programme
Rrport of th¢ Trusttts l¢ontinu¢dl
For The l-ear Eknded JI Augllsi 21125
REFERENC.E AND ADMIliISTRATIN'E DETAILS
Solitltors
MuLk.IL LLP
32 Oalloi¥gale
NeiiLustle utK)n"l yne
NEI 4BF
ANNUAL REPORT AND ACCOLINTS
The ch￿ilY has published its ￿rtUal and its annual a¢¢ounts as iiio seymraie da¢um¢ois.
-lThe annual rerort describes the aLllI'lties and fuiure plans of the C'harii).. lThese financial statemenLs explain in more
dctuil IhL linancial ct7LYt ol-thc aeiii'iiies duriTh8 ihc l'ear and ihc flnancial pK>siiion at ihc l'ear end.
STATEMEP4T OF TRUSTEES, RESPOPISIBILITIES
'I'hL tru.%lLx% (wh() ure ul%) thL dirLxI(Irs (Trf 8hLITicld WLdn&'￿a). l-o()Iball Club C()mmuni¢J Pr()¥rLUnrnL flir thL purtx)4L'%
ijl. Li¥mpani lawl arn. rLsrrt)nsihlL lor p￿parlI)g ihc RL]x>rt cbl. th¢ Trnsict's and ihL fJnartLial StsiLmLnis in aLLcJrdan¢L
iih JppliiJbl¢ lai¥ and Ilnitid Kinbith)m A￿O￿n11n& %iandards Il Inii¢d Kingdom (i¢n¢rJllK A¢i¢pi¢d A¥¢()uniing
C'(ImF>un> lum, rLNuircs the Iruslccs 1() prcwc fin1￿￿1￿] %taicmcn15 for Vdch financial Jear ii"hiLh givL a truL und fair
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ri%()uri¥%. in¢luding thi inic)mi and ¢%pindiivr¥. i)I'ihi ihariiabll iM)mpiin>- anJ th¥ ￿r(l￿p fi)r ¢hJi p¢rii)d. In prt'pai'ing
lh(1￿. finanLial siaiLYnLnis. Ihe Iru%tees are requiTLxI
-%LILLt iuilablc aiL()untin8 rrtiliLics and thLn appli thLm L(InsislcnU)'*
()bsLrn¢ thi meih(xls and prinLiples in ¢hL C'harili- S1)Rl':
mak¢ jud¥¥minis and i%¢ima¢is ihai ar¢ r¢J%tTrnJbli and pruden¢:
prL'pdfL thL linanLial sldlLYllL'ni% c)n ihe 84)inB C()ncLYn l)osis unlL%S It is inappr(TrpriaiL [() presumL that thL LhuritahlL
Ll)mpany will L()ntinuc in busincss.
The tru5tccs arc rc5Fknnsiblc for kccping adcquate Kr￿ntIng record5 iithich disc105c i%ith rcasonablc Arcuracy ai any
iimL' thL' linJnLldl ￿)￿l(li)n iifihL LhdriiablL' L(ImpiLn¥- Jnd t(> L'ntiblL' thL'm tt) L'nwrL' Lhdl thL finJnLldl %LllL￿L'nI5 Li>mplv
i¥iih the CompaniL.% ALI 2006. 1'he)' arc also re.sponsiblc li)r ￿lLgUardIng the ol. thL Lharithblc compan), and
hcnLL liir uking rLa5LinablL Steps for Ihe prcvLmtiiTrn and dLiCL'lion ol-fraud and c)ther irrcgulariiics.
In 50 lar as th¢ tyUSt¢es are ai¥are'.
therc is no rclil'ant audit inforniation ofiithich ihc eharithble compan!"s auditOTS arc unaivarc: and
Ihc Iru5tecs ha￿'C ¢akcn all 51cp5 that th￿ ought lo hai"c takcn lo makc ihcmscli'c5 aivarc of an) relevant audit
information and to e51ablish that ihe auditor5 are aiiwe of that information.
Rw)rt ()r ihe Iru%iee% incorp)raiing a strategiL JYSX)ri. aH)mi'ed b}" i)rder of ihe ix)ard of trU%Lees. as ihe ei)mpany
direL((>￿. (>n 29 Aprll 2026 and si8ned on the h)ard's behaifbi":
A J M allis- Trustee
Pa4e 2

Report of the Indeptttdent Auditors to the Member5 of
Shetrield Il"ednesdav Football CIDb
Communit). Programmt
Opinio
We haie audited the tlnancial slatements of she￿1¢7d Il'ednesda). Football Club Cornmunity Programrne Ithe
'chariiable parent cornpan) -} and it5 subsidiar% Ithe-"group'l for ihe ) ear ended 31 August 20?5 ￿'hiCh cornprise the
C(ID5111iduteil Stut¢rD¢nt (If FinaDcial ALlii"ilie5. Ci)nxili(knt¢d Ball￿¢¢ SheeL C(TrTnp<in%' B<il(inc¢ Sh¢¢L C()ns()lidat¢d
Cash Floii. SiaiLmcni and noies 10 thc consolidaicd tinancial sta1cmcn￿ including a summars. ol-signiticani accouniing
IiciLS. The linancial rLP)nin8 frdmLii'ork thai h&s tten applied in their preparation is applicable law and United
Kingdom Accounting Standard5 (United Kingdotn (ieneralli Acceptrd Accouniing Praciicel.
In our opini()n ihe linartLial %thiements'.
give a iruc and lair iieli of ihe siaie of the group s anJ of the charithble pJr¢ni ¢ompani's at'rairs as ai
31 August 2025 and of the group's incomhn8 re50urees and applicaiion of T£￿urCeS. including its income and
eNpendilure. lor the )'ear then ended-
b¢vn pnI￿rI￿ pr￿p￿ir￿d in aLiiiTd(U)LY i%'iih Ilnil￿ Kingd()m CJincr<ill! ALLLP￿d AcLiiunling PraLliLe,' un(1
hail preparid in aLLc)rdan¥e iyiih the requir¢ments of lh¢ c()[n￿nIt.$ A¢1 2(￿.
Basls for opinion
WL LiinduLtLJ i)ur <iudit in aLK()rdunLe wilh Inl¢rnJliiinal s￿￿dards Audiling IIIKI IISA5 IIIKII and wipliLublL lai¥.
l)ur rLspL)rt%ibililiL4 undLr ¢hc)%e sianJtsrd% are lurthLr d¢￿ri1￿1 in the Audits)r%' re%win%ibilitiLs li)r ihL audil i)l- th
linunLial %¢alLmLnts %LLli(>n ()I' our rifA)rt. W¢ indLwndLni (Il. thL charl￿bIL o)mpJnJ ir) ucLordanLL with th
¥ihiLJI r¥'quir¢'m¢nis thai ar¢ r¢le%ani to our audii of lh¢ fJnanLial StsiLmLnts in th¢ ljk. in¢luding th¢ l-'RL"s l.'Ihical
%iandard. and hai'L lullillLQ oiher eihiLal resp)nsibiliiies in aecordanLC 14.ith Ihcsc rcguircmcnts. 11.'c bcliLIL
Ihul thL uudit ¢vid¢nL¢ w¢ hui'¢ (Ibiuin¢d is suifiLient und anJr()priute l(1 pr(INide u basis flir ()UT ()pini(In.
Coneluslotts r¢latln2 10 Roln2 eon¢¢rn
In Judiiing lh¢ linJn¢iJl %tat¢m¢n¢s. hail u)nilud¢yl th91 the uuMe¢s' use of th¢ going ¢on¢¢rn basis ol. a¢wunling in
IhL' prL'pdraiic)n L)i-IhL linwiLial sUtL'mLnL% is appr()priJiL.
()n thl iYf)rk IYL hai'c ]xrfc)miLyl. hail ni)l idcniifiLYl an%. maiLYial unLcrtainii¢s rllaiing t() Li'Lnt% or L(Indili(In
Ihai. indii iduJll%' c)r Lc>ll¥¢¢iiil%'. ma) ¢&si si¥nifiiani di)ubi i)n ihl LhJriubli LC)mpan%'4 abilii!. ti) L(>niinui a% u ¥i)in¥
¢x)ni¢'m li)r J p¢ricid of ai 1¥151 iw¢li¢ monihs fnTrm ii'h¢n th¢ fiThan¢ial S&9￿ments are authori￿￿ (i)r issu¢.
l)ur rL%Pt)n%ibiliiiL% and thc TC5P()nsibilitlCS 4)f the Iruslcc5 with rcsrKLt 10 8Liin8 a)ncern arc dc%LriFK¥J in ihL rLILI'anl
LLti()n% iil'this rLrK?rt.
Other Informatlon
I'hL Iru%tLL% JfL fL%F41n.siblL for the other inforniaiion. The other info￿allOn Lxm?priscs the infornialii)n inLludLd in thc
Annual Rcport. oihcr (han thc financial 5th1ements and our RcFrf)rt ofihe Indcpcndcnl Audiior5 thcreon.
Our (?pinii)n i)n thi fin￿lia1 51aiLm¥nts ntA ixh.er th¢ i)Ihw infiTrmiation and. ¢xi¢pi LtTr the ¢XL¢nL i)Ih¥mi%¢
expliLltl> .%laied in our resx)ri. Ive th) noi exp￿8 an). forni of&8surdnce conLlusion thereon.
In conncLtion with our audii of ihe linancial s¢aicmcnls. our rc5FKbnsibilil!" is to read the othcr intorniation and. in doinB
50. considcr i%'hcth¢T the o¢h¢r infomalion 15 rnalerialli" incon515tent ii.ith ¢he financial 5tstcrncnts or our k"nowlcdgc
obtained in th¢ audit OT 0¢h¢Thyi￿ ap￿aT5 ￿ be malrrialll" mi55ts¢d. If id¢niifN" 5urh material incon515l<nri¢5 or
apparLni maiLrial missiaiemenis, lie arc required 10 dciemiinL ilhether ihis 8ii.es rise io a maLerial misslaiLmLnt in thL
rinancial 5taicmcnis thcmsclvcs. Tf. ba5cd on ihc 14"orK' iic hai"c pcrlornied. 14c conclude that Ihcrc is a matcrial
155tatement of thi5 Other information. are required ￿ rqx>rt that facL We have nothing to rerrf)rt in thi5 regard.
Opinions on other m#tttr5 prt5tribed b). the Compathit5 Art 2(M)6
In (iur iipinic)n. ha%L'd c)rt thL' 111)rk urtdL'rtJkL'n in thL' LX)Ur￿. i)I-thL audit-
the inlonnation Si￿.¢n in the Re￿rt of the TruslcLs linco￿rating thc Dircctors RetK>rtl for (he financial l'ear for
which the financial staternents aT¢ pr¢par¢d is consi51en¢ ii.i¢h the financial 5taieTnents: and
the R¢rK)rt vf th¢ Trust¢¢s linL(ITry)lating th¢ Dir¢¢ts)rs ReKK)rtl hrfLS tr¢Tr pr¢paTed in a¢¢ordan¢e m.ith applicable
legal re4uirements.

Report of the Indeptttdent Auditors to the Member5 of
Shetrield Il"ednesdav Football CIDb
Communit). Programmt
Matters oll whlth wt art rtqulred to report bv txtepi1o￿.
In the lishi ot. the knoiiledge and undersiandino ol. (he oroup and charitable pareni compani, and its eni'ironment
obtained in the course of the audit. lie hai'e noi ideniifjed maierial missLg*ments in the RerK>rt of the TrJstees.
We have nothing to rerM)rt in respeLt ol- the folloii'irtg matteTS ii'here the G)mpanies Act 2(M)6 requires us to report to
ou it.. in our opinion..
adequate accouniin8 records ha%'e not bttn kept or reDJrnS adequa* for our audii hai'e not been receiN'ed trom
branihe5 not l'15iied b). US: OT
the linuncial staternents are not in agreement ivith the acc(Kmting rec(Kds and reiums: or
LLnain disLlosllres ot-trusiLL￿, fL4nunevdiion VLilie41 bi laii. aTe noi made: or
'e hai'e noi receiNed all Ihe tnlomaiion and eNplanaiions lie require lor our audii: or
the trusiees i¥ere not eniiiled 10 thke ad%'anth8e ofihe small companies eNempiion from the requiremen( (o prepare a
Sirategic Report or in preparing the KeFOrt of ihe"I rus￿.
Respvnsibilities of tru5ttes
As LxpldinLd mi)rL lull). in the Siaiemeni of Trusiees. Resp)nsibiliiies. Ihe i[u￿eeS I￿￿0 are also ihe direeknrs ol- (he
LharitablL Lomwan%' lor Ihc purposc5 01-compan}' laii'l arc res￿nSIble for tlie preparaiion of Ihe financial sialcments and
r(Ir bling 5Uti¥fiLd that thL%' yl%'L il truL and luir i'iei%'. and rtir suLh iniLrnal l￿ntr(lI a5 rhL iru51L'L% dLtLrminL 15 nL'LL55tIry
li) thL prlp￿IfIItiIIn ()I' fin<inLiul.4taiLmLnl4 thai arL' fn)rn m<ltL'rial miK%ts¢L'mi'nL i%hLthLr LIUL til frJuLI i)r Lrr()r.
In prLyarin8 ihL financial statements. the trusiees ar¢ re5wnsible tor assessing the charitable company's ability to
Ll)ntinuL Ils 11 giiins Ll)llLLm. disLl£)sin8. &s uppliLJblL. muiiLrs rLlaiLd t() 8(iin8 L()nLcrn and usin& ihL y()ing Li)nLLrn
Éil-uLL(iunting unlL.%% thL tru%lLL* eith¢r ini¢nJ liquiduw. thL Charl￿bIL. Cl)mpany (Dr i() LL'&%L (j￿rat11}n%. i)r haiL
Our r¢sponslbllltl¢s for the *udlt ofthe Iln*nel*l si*t¢ments
l)ur i)bjLLllI'L% afL lil i?hiain rL&%i)nablL a%%uraiiiL ahiui i%'liLIIILT Ihc linanLial siJlLniLnL% a u'h()IL arL IrLL INim
mlllirial mis%tatLmLnt. iihLihLr dul t(} tr￿d iir Lrr()r. is)uL u RLrrtirt i)l- thL IndLpLndL'nl AudiliiTh Ihul inLluiJL%
(Jur i)piniiin. RLJ%(inabl¢ a%%urJnLL is a high IL%il ()f bul is N)¢ il ¥uaranlLL that an aULlil L()llLIuLILd iii
d¢i()rdJn¥i li ith 15.18 I I IKI i%-ill al%i'a%-s Il¢i¢¢i a m#i¢rial mikqaiLm¢ni %ih¢n li iXi%L%. Mi%%Ul¢in¥nLs lan ari%i In)m
Irdud ()r ¢rr()r and arl ¢()nsill¢'r¢￿ mJ¢iriJl if. indii iduall) i)r in lh¢ th¢y L()uld rn'a%)nabl>' h¢ li)
influL'nLe thL' LLI)n()miL dLKisions ofusers taken on ihe ba%14 of ihe%e finanLial S￿￿'MLnts.
IrrcgularitiLs. inLludin8 fraud. ar¢ insthnccs (Trf norKvmplianc¢ M iih laiv5 and rc8ulalion5. Il'c defign pniLLdurL% in linc
ith our r¢s[￿nsIbIlItiES ou¢lin¢d a￿￿¥¢. 10 d¢¢rf¢ mai¢rial missth*m¢nts in resp¢¢i of irr¢gulariii¢5. in¢luding fraud.
'I'hL L'XIL'ni ti) i%hiLh i)ur pr()LLdurLS JfL' L￿p￿IbIl. I)rdL•￿￿[ing irrL#ulaTiiiL'S. illLludin8 fraud i% dL?LdilLd hLI()w'.
-ThL iharitTr 15 subjLxt lo laiis and rcgulalivns thai direL¢li' and indircLtI! aJTcci thc linancial stslLrncnts. Ba5cd L)n our
undcrstanding of ihe rharit) and ¢h¢ en￿"1t0￿Memt in iihirh il OPeTale5. I1"¢ ddtmiined Ihal the lai¥s 4nd rcgulalions
hich m(18t %i8niliLani Includ￿ ihi C'hiiriLi¢5 Airt and rrgi51rJ¢ion5 m(?nilorLd b}" ¥il¢mal bixJic%. Wc ¥iin%id¢rLd
IhL' L'XIL'nl L(? i¥hiLh n(In-L(ImplianLL' i%iih laiis and rL4ulJiiiin% mi8hi hai'e a mJiLriJl L.rrLLL i)n ihL, finanLldl %iaiLmLni%.
inlluding how fraud mighi oLLur. cialuaicd managcmeni's inecniiies and opry>rtuniiies IOT Irauduleni rnanipulalion
ol. thL linanLial siatLrnLnts linLluding (hc risk ol'oic￿ldC ol'controlsl and detcrniincd that ihc prinLipal risks fLIalL￿ to
the r¢Lognition ol-inrom¢ in acwrdanc¢ ii.ith UK GAAP and the romplrkn¢55 of grant income.
Audi( pr(>Ledures perjornied b) the en8agemeni ￿ included:
Di%ussion5 with Tnanagetn¢nt lo obtsin an und¢r51andin8 of the legal and TegulatoTh fraMe￿"Ork applicable
to the charit}" and holi" 1¢ ensu￿5 rornplianc¢. including con5id¢ration of or sUS￿led in5t3nce5 of
nnn-L(Impliance i%ith laiis and reglllaiic)ns and Iraud-
Rci ici%in8 documcn(aiion io Lmsure there is no ci id￿c¢ ot'non-compliancc Mith lams and rc8ulaiions'.
Discussions w'iih manageineni to consider ihe charit)"'s siatus ii.ith exiernal kndies and contimi there 15 no
eNidenc¢ of ceasing o1-5ignificanl partner5hip5.'
R¢1 i¢ii"ing rninute5 01-Roard tneetings-
Identifj ing and a%%e%%ing ihe e1Tetiiien￿$ ofiniemal Ll)nth)l% itt place to miiigale ri%ks of fraud and
non-compliancc with laws and rc8ulaiions ii'hich includcs le￿S dcsigned io cnsure grant in￿me is
complele..
F.nquiTing of TnanageTn¢nt as ￿ actual and w>tential litiga11(￿ and clairn5-
Rti itii'ing th¢ fin%illCi415tJtwn￿t disLI(1sure5 and t¢5ting lo supptTrrting infi)rrnati(In:
Reviei% i)f iniÉ)me reLoenilion io ertsure reLI)gnised in acci)rdartce Iiith I IK CJAAP including inspeciing
contracts and sern.ice lu.el agreements.
Pa4e 4

Report of the Indeptttdent Auditors to the Member5 of
Shetrield Il"ednesdav Football CIDb
Communit). Programme
There are inherent limitations in the audit pn)ceduTes describe41 ah)ie and the more removed non-complianLe I￿1th I&￿'S
and regulations is from Ihe ei'enis and [ran￿lIonS retleckd in ihe fJnanLial sthiements. Ihe less likel). Ki'e are ￿ become
aw'are ot. it. Also, the risk ol-noi dettcling a material mi55(aiemeThi due ￿ fraud is higher than ihe risk of not deteetino
i)n¢ r¢sulting fri)m erry)r, d5 fraud tn￿1! invvlie (lgliberale cvnLe411meni by.. foT example, furgery vr int¢nti(ID<il
misrepreseniation or through collusion.
A lunher description of our resrK>nsibiliiies for the audit of the financial ststrments is located on the Financial
RetN)rting C'ouniil's website at MTrw..frc.org.uk/audi￿rSrcs￿nSibllities.'1Th1s description fomis part of OUT Report of tlie
In(l¢pendent Auditor5.
Use of our rtport
'l-his reN)rt is made solelN to the charitable eompan)'s memkrs. &s a W.. in aceordance ivith Chapter 3 of Part 16 of
the C'.ompanie5 Aci 2(K)6. Our audii ii'ork has been undertaken so thai i¥e rnighi stsie ihe charitable L(irnpanN'5
tn¢TnbL'Th th()%¢ muttLr.% ill rL'4uired t() %lale io them in 41udil(lTh' TC]X)rn and li)r n() ()IlieT PUTPll4L'. T(} IhL (ullL'St
extlnl pLrmitiLd h) lau. Lli) ni)¢ aLxLp¢ ￿SuM¢ re4KM)n%ihilil) l() an!()ne ()thi'r th￿ the ¢harithblL ii)tnpan> unLI the
Lharitable Lomp4in%'% members Is a Fxxl>. for our audit ii'orL lor this retx)N or for the opinions i¥e hai'e formed.
DaniLI JL)hns(In l.'C'C'A ISLnior Siaiuion Auditor)
Inr and ()n bLhall'ol'Niii'i) Audii l.imii4d
tatuts)r)' Audit()r
()ulram.% WhJrl'
l)¢rhv
l)dlL.' 29 April 2026
Paoe 5

Sheffield IVedttesd&y Football Club
Communitv Programme
consolidat￿ St¥ttrntD¢ of FinaDri¥l A¢tivitie5
For The l-ear Eknded JI Augllsi 21125
20?5
T(Ital
funds
2024
RestriLt¢
runds
t'unds
Notes
INCO￿lE APID ENDOW'MENTS FROM
Charitable activities
EduLation
Ilealili. InLlusion and PartlLLpaiion
National Citizen %eThice
1.12i.li4
591.974
68.064
1.12i.154
1.346.323
68.064
754.349
1236.31K>
59.314
1.785,192
754.349
2.539.541
2.131.650
th)naiic)n8 und leS￿leS
159.130
160.13
153.671
In￿eSIMLni inLorne
()IhLr iruding aitiNities
thLr grunts
45.527
45.527
12.?¥J
182.939
48.280
139.638
43.301
Totil Ineomlng resour¢¢s
1.983.640
956.780
2.940.420
2.517.419
EXPF.N DI'I'IIR Tr: O
C'h#ritable artivities
i.011?.1)29
6811.427
3h.i711
74.970
¥86.1113
4.535
1.15fy.9
.567.1130
fi118.075
I Ilalih. In¥lii.%iiin l)JrtiLipaiion
NJtii)nJl C'iiilin S¥rvii¥
4l).779
Total resourres expended
1.799.526
965.608
2.765.134
2.451.716
NET INCOMEIIEIPENDIT(IREI BEFORE TAX
1114.114
18.828
175.286
65.703
'I'axation
10
3.320
3.320
8.187
NET INCOMEIIEXPENDITUREI AFfER TAX
1217.434
18.828
178.606
73.89n
Translcr5 bciw'ccn funds
19.9281
19.928
Net movement in funds
167.506
11.l(M
178.606
73.8W)
RECONCILIATION OF FUNDS
Total fund5 brought lor%￿ard
1.114.363
964.U90
2.0715.453
2.004.563
TOTAL FIINDS C.ARRIED FORIVARD
1.281.R69
975.190
2.257.059
2.Q71¢.453
"I"he note5 forni part ofthese financial statements
Paoe 6

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
Consolid8td BAlaD¢¢ Shcet
JI A￿gUst 2025
20?5
T(Ital
funds
2024
T()thl
t'unds
RestriLt¢
runds
Notes
FIXED ASSETS
Intangible assets
'I'angible a55ets
12
13
148.557
817.117
965.674
931).460
148.557
817.117
965,674
939,460
CIIRRENT ASSETS
15
283,478
9nl.762
186.214
127.568
469.692
1,(129.330
319.483
97) ?59
C'a4h ut bank and in hand
1.185.240
313.782
1.499.022
1.294.742
CREDITORS
Am()unt% lullin8 duL Wlthin one )ear
16
151.(W41
1155.7091
12116.8031
NET CURRENT ASSETS
1.134.146
158.073
1.292.219
.149.827
TOTAI. ASSETS LESS CURREf*T
LIABlI.i-fiE
1,282.703
975.190
2.257.IIY3
2,IItI9.287
CREDITORS
Amc¥unt% 1o11ing otlcr m(>r¢ ihan on¢ y¢ar
17
18341
18341
NET ASSETS
1.281.869
975.190
2.257.059
2.n78.453
FUND.
lynrL%lriLlcJ I'unds
RLStriLtLd lund5
1.281.869
975.1
964.f)911
TOTAL FLINDS
20
2.257.059
2 1178.453
'I'h¢5e financial 51a¢rm¢n¢5 ha￿.¢ tK¢n preror¢d in acwrdanre Mith the provisions applirabl¢ lo charitable compani¢5
uhjeLt 10 Ihe.%mall Lompanies re8Lme.
The financial 5talement5 14¢re ap[￿0￿cd bv ihe Board of Trusltts and authorised for issue on
and ivere sigDed on its behall-bs.:
29 April 2026
A J W'allis- Trustee
"I"he note5 forni part ofthese financial statements
Paoe 7

Shtffield W-tdttesdxv Football Club
Communitv Programme
JI A￿gUst 2025
20?5
T(Ital
funds
2024
T()thl
t'unds
RestriLt¢
runds
Notes
FIXED ASSETS
Intangible assets
'I'angible a55ets
Inicsimcnis
12
13
14
74.424
4.958
79.382
38.905
74.425
4.958
79.383
38.906
CURRENT ASSJETS
DLbiL)r
Lu%h ai bunk and in hthd
15
35? 179
4A.030
18t>.214
127.5611
5JR..393
975.5911
-?7).898
932.405
12(K).209
313.782
1.513.991
1.308.3D3
CRF.I)II'ORS
Amiiunl% lullin¥ LIUL ivithin ()ne )ear
16
143.2(Ml
1155.7091
1198.9131
NET CIIRRENT ASSETS
1.157.005
158.073
.177.403
TOTAI, ASSF.TS LESS CIIRREliT
LIABILITIES
1.231.430
163.031
1.394.461
1216.3Vg
CRFDITORS
Am()unts lallin&b duL' aALr m()rL' than onL yL41r
17
18J41
18341
110.11341
NF'f ASSV'rs
1.2.11).596
1.3Y3.027
1.2115.475
FIINDS
Ilnr¥%triitLd funds
IleNifiLted lund.%
1.23n.596
163.n31
1.1(16.692
98.78.3
TOTAL FUNDS
20
1.393.627
1.2(J5.475
These Iinancial siatements have been pre[￿red in aLcordanee i%ith ihe proi'isions applieable lo charitable Lompanies
Subject to ihc small companies re8ime.
'I'he linancial 5taleTn¢nt5 ￿￿ere apwwtd M. Board of I ru51tt5 ar￿ authori5cd for i55ue o
and iv¢rt signtd on i¢5 behalf bs.:
A J W'allis- Trllstee
The notes lorm part of these financial stsiements
Page 8

Shtffield W-tdttesdxv Football Club
Communitv Programme
C.OD501id&ted c.xsh Flow 818t¢m¢nt
For The l-ear Eknded JI Augllsi 21125
2025
2024
Nv¢e5
CAsh flows from operAtlng attivltles
Cash gLnLraiLd Irom 0￿ra(10n5
Interest paid
121.291
4101
15581
Net cash proN'ided by opmting actii'itie5
120.881
152.559
Cash flows from invesiing Activities
PLifLha%e ol'iiinsible IIXLXI asseis
SulL i)I'iangible Iixed assets
IntLrL%t rLLLiNLLI
1107.0911
4.754
45.527
128.21131
48.?8
NLt lash lusLd inv proi'idcd b). invLsiing a¢iii'iiics
156.8101
19.997
C'ash flows from financing Ktivitits
9.9991
NLt Iu.%Ld inv PTI)i Idl￿ by finanLin¥ thLlivilies
iO.(K)01
.Y991
(.'h#n£e In ¢ash Anil cash ¢qulval¢n¢s I
the reportin% perio
C'ash ¢aqh equii¥lent5 Ilt ihe
beginniNK of Ihe reporting period
54.071
162.557
975.259
812.7112
C.'#sh #nd ¢ash tquiiakn¢$ it ¢h¢ ¢nd or
the reportlng period
1.029.330
975.259
The notes lorm part of these financial stsiements
Page 9

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
Notcs lo th¢ C.onsolid8ttd C.8sh Flow Ststtmtnt
For The l-ear Eknded JI Augusi 21125
RECONCILIATIOf4 OF NET INCO￿lE TO P*ET CASH FLOW FROM OPEtL4TING
ACTIVITIES
2025
2024
Tr4et income before tAX for the repDrtiDg period las per tbe Statement
of Financial Activities)
Adjustments for:
DLpfLXltilic)n LhargLs
Prolit on sale ol-ian8ible fjxed assets
Interest receii'ed
IntLfL5t paid
I)LLrLu%LliinLT¢&*I in d¥b￿r5
ID¢'Lre&*llinirease ir) creditors
175.286
65.703
76.247
66,838
145.5?71
148.21101
558
11)7.fi78
139.38al
1146.8891
61.88R
let cAsh prol'ided b). opergtioDs
121291
ANALYSISY OF C'HANGES IN NET FUNDS
Al 1.9.24
C&%h fliiiv
At 31.tl.25
Nei ¢8$h
(.￿h ai bank and in hand
975259
l.0?9.310
975259
1,029.331)
Debi
l)¥hi% falling dui li iihin l y¥ar
l)L'his fallin8 due after l year
I111.(wi
10.8341
10.O(Ml
20.8341
10.O(Ml
l D.8341
Total
954.425
64.071
1.018.496
"I"he note5 forni part ofthese financial statements
Pa4e 10

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
Not￿ to the C.on5olid8tcd FiDan¢i¥l Stxt¢m¢nt5
For The l-ear Eknded JI Augllsi 21125
ACCOIINTING POLICIES
Bas1$ of prtparlttg the Stateme￿1$
ThL ConsoliddiLd tinanLial &taiLmLnis ol" IhL charitable compan!.. ii'hich is a public benefit entit> under FRS
10?
and its subsidiaTr hai'e been prepared in accordance ii.ith the C"harities SORP IFRS 1021 'Acc4)uniing and
ReEK)ning bi. Charities.. Siaietneni of Recommended Praciice applicable to chariiies prepaTing their accouiits in
acL(Irdanc¢ i%'Lth the l.'inancial Re￿nIng Sthndard applicable in the LIK and Republic of Ireland 11.'KS 1021
ILIIiLIiiL l JanudTh 20191,, Financial RLTA)fiing Stsndard 102 The Financial Reporting Stsndard appliLahle in
the IIK and RepubliL ol- Ireland, and ihL Companies Aci 2(M)6. The linancial stskments ha￿t been prepared
under the historical cost coni'eniion.
The financial ¥tatemenLs are pre*nied in.4terling iihich is ihe funciion#l currency of the LhaTiI)' and ri)unded li)
Ihe ne￿e$l £1.
'I'he Lharitj Is a pri}a￿ compan). limited b). 8uardniee. "lthe member5 ofthe eompanN are the'l'rustecs iiamed on
pa¥L l. In ihL L%Lnt of Ihe charit). E￿in8 M'ound up. th< liabilit). in respecl of the 8uaThnle< is limiied ￿ LIU pLr
mLtnbL'r (IfthL Lhiirits.
The pr¢5enthtion of ih¢ linan¢iol stsiements in¢ludin8 lh¢ %OI.'A hgs trttn amend¢d ¢ompar¢d with th¢ pr¢iious
>Lar in ()rdLr t(Tr show. a more dciailLd anal)'sis i)f the inLxJme and expLnditurL i%ithin ihL main LhuriiuhlL
In¢ome
All inLC)m¥ is r¥¢ci8nis¢d in ih¢ %iai¢m¢ni of l.'inan¥ial A¢li¥iii￿ onc¢ th¢ chariiy has ¢niiil¢mcnL L() Lh¥ funds, li
i% pr(ibablL that IhL inLx)mL ￿111 k. rcLYii'ed. thL' amounl caTh he mc&%uTLd TLliabl)'.
(irunL% urL' inlludcd in th¥ Sts¢L'ment of Finanlial ALlii ilics on a rc¢¢ii'ablL b&%is. 'l-hL um(¥uni i)l- inLI)IML
sh¢il. ￿'h¢r¥ inii)m¥ 1% and rt.lai¢% ts) a ￿ri()￿ c)Ih¢r ihan lh¢ J¢ix)uniing piri(>J. li is dillrrid und
inLludLYI within LfL.diioT% &5 deferred income.
WhLrL th¢ Lharit) IS Cllliilttl to Brnnts Ivhich ￿%.¢ noi Nei i*¢n rrtcii"¢(L th¢ incom¢ is arcrucd and is includcd
i¢hin Irade d¢h¢ors.
RL'VLnue 8rants inLlu¢k.d wiihin other inLM)me are 8rnnLS i¥hiLh are related i() a speLifiL aLtivity.
.Tpenditure
l.iJhili¢ii.s rc¢ogfti%cd as eX￿ndit￿r¢ &$ soon as th¢r¢ is a legal OT ¢onstru¢¢ii'¢ obli8ation committing th¢
LhJritJ ts¥ Ihdl L,xr￿ndItUrL. il is pr(b￿bIL ihJi a tran%lLr ci(L*iinc)miL k.nLfiL% will iK' TL4uirLJ in SLILIIL'niL'ni and
thL amount ofihe obliBaiion Lan bc measufLd rcliabl!.. LIp￿dilure is aCCoun￿d for on an accTual% basi% and has
bLLn ¥la55iIiLd undLY hLadings that a88rc8ale all cosl r¢la￿d kn the LatC80Tr. Mlhcrc costs Lannot IK. dircLiIy
Ottrihutrd ¢0 partirul8r hrading5 thffi" hai'c b¢¢n alloc￿￿ ¢0 arlii"ili¢5 on o ba515 con5j5t¢nt with th¢ use of
rL'M>urLL%.
CharitAble acliiities
E.'ipLnditure on ihariiable activitlCS l5 incurred on direcilj undertaking the activitie5 which further the charity'5
ObJ￿(lI.¢5. as well as an). a5KKialed 511pix>rl co*5.
AllocAtiOll gnd apportionment of tosts
ie iharity. rep)ns inlomiation separa*li" under ihree deyartments iithich it consider5 its charitsble actii'ities.
Support C05t5 haie ken allocaitd to specific actii'ilie5 ifdirectli related or allocaknl on a Tea50nable b￿15.
Siaft. LO81% direct]}. relaied (i) a particular departhienl are inLluded in direci ts)%LS i¥ithin ChariLable acliviiies
costs Ivhcrcas stalT costs rclaiin8 to thc managcmeni and &lminiswdtion ot. the chariti. included in support
cost5.
In¢angibl¢ fiied asstts and amorti52tio
Intangible fixed a%sets are LtipiLili%ed and included ￿ U)￿ irtLlllding an! incidental Lxpenses ofacquisilion.
Pa4e 11
coniinlled...

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
ACCOIINTING POLICIES- continued
Tathglble *$sets
DLpfLXjaliort is proiided ai the folloivin8 annual rates io liri￿ off each assrf oier its estimated usetul litc.
l.ea5ehold pretni5es
Alterutions l(I ienunted prO[￿r￿.
Iotyo sifdighi line and 4fj/0 siraight line
15•/0 slraight line and Iutykn 51raighi line
OI'IILe and g>'m equipmeni
33% strdi8hL line. 25% strai8hi line and 20¥0 S(fdl8ht line
Taxatlon
l-h¢ Lhuril} 1% ¢XLmPi I'r()m Lx)ryM)ratll)D ()n IL% ¢hari(ahle ailii'i¢ie5. CurrLnl iaN in thl trading %uh.%Idii￿' i
reLC)8nised at the amounL ol. pa>'able using the ¢ax ratrs and lam's thaL hai'e been enacied b> the balanLe sheel
datL.
Deferred t*5
l)LlirrLd in Ihe (rading subsiJiar!' is recognisL'd ID re4￿ of all liming difliYen¢¢s thai have originated bui
ni)I r¢1'¥￿.d at th¥ bal&in¥¥ shix•l dJi¢.
I)LIiTrLxl 1.% mLasurcd u¥ing tax rnte.4 and that hai'c ljeen enadcd (Ir sub%t&ntii'Llv cnaclL'd thL year
Ind and thut LxpLYILxl lil iippl) ¢() thL fLI LTsthI (?i-IhL liming dillirL'niK.
IInr¢li¢￿ld ia.K lo&s¢s and oih¢r d¢ferrcd asS¢ts ar¢ r¢co￿ls¢d i)nl% ￿ th¢ cxwni thaL 11 is pn)bahl¥ Lh)L ￿1¢Y
ill bL fLLX)I'LTLd winst IhL fL￿'(rS￿j ol'dLfLYrcJ liahilitics ()r ()thLr futurc tsNablL pr(TrliL%.
Fund #teounilng
I Inri8iriit¢d lund% ian k. u%¢d in a¢iorJJnix' li iih th¥ ihariiahl¢ I)bJ￿11￿￿% J¢ thi disirLlii)n nl. iru%liL%,
l)l%lbinatid lunds uimpri% unrn'%iriii¢d lund% ihai hail K*i ¢h¢ Ifusi¢*'% f£)r J pJni¥ulur purpl%¢.
Rc.%lri¢icd fund% Can onl). bc lor particular rcsiric*d PUTPOS¢S ￿1th1n thc objc¢Ls of Ihc cliaritj..
RL.%lricli()n5 arisc when S￿lfI¢d b¥ the dmor or iyhcn fund5 ar¢ Miscd l(?r particulw rc5lridcd pury)ii%c5.
FurthLr Lxplanalii)n ofthe naiure and purtM)s¢ ofeach fund 14 included in the noie% ts) ihe finanLial siaiLmLnis.
Pension cosls other p05¢-retiremen¢ benefits
'I'h¥ LhJritJhlL L(ItnpJn! (ItKralcs a d¢lini￿1 inniribulion trn5ion %h¢me.
C'ontrihution5 pajablr lo the
Iharituhli ivmp?0s'5 [￿1151[￿n bih¢m¢ ur¢ lha￿¢￿ ¢0 th¢ Slal¢m¢ni of Finanri#l Adikili¢s in ih¢ p¢riod to whiih
IhL'¥ fL'IJiL'.
Donated %ood5 farilitie5
l)(InJt<d g(i(Id5 Jnd liiilili15 ar¢ includ¢d Ji th¢ i-alue ￿ the rharits- IvheT¢ this can h¢ quantifi¢d. and a third
pJrii 1% hL'dring IhL' L¢)%l. Ni) am4)uni% are inLluded in the fi￿nLial s￿￿men1& fc?r ser¥iLe% dc?ndtLd b} ii)lunlLer%.
OperAting Itases
Rciiials pa! able and receivabk under ottrdling Icases are charged to the SOFA on a straight-line ba5l5 over the
period of ¢h¢ l¢aK.
Debtors creditors receilable I p&)'8ble witbin olle year
Debiors and Lreditors ￿.1¢h no 5th1ed inlere51 rdie and Ttceii"able or pai.able ii"ithin one year are recorded at
trunsaction price. An). lo￿¢5 arising frotn impairnienl are recogni5ed in eiprnditure.
Pa4e 12
coniinlled...

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
INCOIIE FROM CHARITABLE AcfiviTIES
2025
2024
Health.
Inclusion
and
ParticIp￿10n
Naiional
Lit17£n
Education
actiN'iiie5
BTF.C Delivery.
I.OLindaiion I)e8ree
C)thLr L'duLdiional and 5ki115
F.mpl()!'mLnt and Irainin
Primier League lundeLI
projeLts
Tr'i)uth i¥ork
C'i)mmunil%' L'nga¥LmLnt
()IhLr LhiWitublL inuiJnL
606.215
131.672
355,016
32.251
606.215
131.672
355,U16
32.251
589.185
91.4?5
155,426
303.51M
23.613
861I.IN)7
15R.2119
27Y.592
68.064
1.677
60.W7
1511.21>9
77(i.1151
179.R57
.125.154
1.346.323
68.064
2.539.541
2.131.650
DONATIONS AND LECAC.IES
2025
2024
IA)nttii()ns
IkinJlLYJ SLfviLLS and faLiIiiiL$
671
153.fi71
INvEsT￿lENT IP*C.OME
2025
21124
l)¢p(isit a¢¢ount int¢r¢si
45.5?7
4X.2MII
C.'HARITABI.E ACTIVITIfr.S COSTS
Direci
Costs
c()sLs (see
nolL 61
TO￿[5
Ldura¢ion
IILalih. InLlu.%ion and Participaiion
Niltii)nal C ili£cn SLr%'iLc
718.698
l.Q41.970
22.973
438.3(11
525.()60
18.132
1.156.YY9
1.5h7.030
41.105
1.783.641
981.493
2.765.134
SUPPORT COSTS
Other
oi.erhe
Goiernance
05ts
05t5
Totals
Education
Health. Inclusion and Participation
National Citizen SeTh'ic¢
323.104
402.510
IV.779
111.027
118.114
7.087
4.170
438.301
525.060
18.132
266
736.J9J
236.228
8.872
981493
Pa4e 13
coniinlled...

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
NET INCO￿([1{[xPEND1TIIREl
NL51 inLomeliLXpLmdit￿rl'} is sthie41 atter chargtngllerediiingl..
2025
2024
Auditors. remunLYaiion
Audiiors. remuneraiion lor non-audil ivork-
l)epreciation- oi¥ned assets
Prolit on dIs￿saI ol. ljied assets
()PlT￿ltlnB IL41%L
6.500
2.372
76.247
5.840
4.865
66.8311
89..3n.3
67.h99
TRIISTEES, REMIINEJL4TION AND BENEFITS
Ther¢ wcw no ¢ru$iiYs' r¢muncrniion or other ￿)er)￿ for the N¢ar end¢d 31 Augus¢ 2025 nor lor ihc Jcar cnded
31 August ?0?4.
Trustees expenses
There ii¢r¢ no ¢wsie¢s' ¢¥wses paid for th¢ l'ear end￿ 31 Augusl 2025 nor tor ihc >car ¢nded
31 Au8usI 2024.
STAFF C'OSTS
2025
21124
.457.1121
120.1114
75.322
1.276.7116
141S.Y14
5,114
i)Lial.%LLLirit> Lx)sts
()thLr pLnsi()n cos15
1.653.327
'lThc afvrrage monihly number ofemplovees durin8 theytar wa5 &8 folloMs:
2D25
85
21124
Charilabli aLtLVItics
ManagcmLni and administraiion
92
75
-lTht num1￿ ol-¢wnplo)'¢cs whose ernplo)"te ￿ner115 (excluding emplo)"er pension C05tsl exceeded £OV.000 Ivas..
2025
2024
£60.001- £70.000
Key m8n&gement remuner*tion
Thc total remuneration and iKnefJts to ke). management personnel in the )'ear amounted to £64.427 12024
£59.9161.
Pensions and other post-retirement benefits
Thc LharitN opLratcs a dLlincd coniribuiion plan for its cmploiees. The amouni reco8niscd as an cxpcnse in thc
ear il.as £7i,322 12024 t6i.1141. "lthe ￿pense 15 all(Kared bet%ir£n Te5tricred and unrestricted fund5 on the
babi5 (Il-the aTeas of IN"()Tk ￿rf()rnled b) LhariLI"'5 ernpl(Tr!ees.
Pa4e 14
coniinlled...

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
io.
TAXATIOPI
Th¢ i(l.x ILrediiyLhar¥e f(IT the N'ear was a5 follo￿s-
2025
2024
Deterred Lq
13.3201
COMPAILITIVES FOR THE sTATE￿IE1*T0F FINANCIAL AcfiviTIES
Llnrcsirided
(und
Resirictrd
(unds
Total
funds
INC.'OME AliD ENDOII'MENTS FROM
l)i)naiic)n% and ILbaL1L
671
153.(M)O
153.671
C'haritable activities
836.030
562.78)
59.314
4¥.?¥0
51.619
836.a.16
1236.31
59.314
4¥.?8{1
IILalth. In¥lu_%ion anJ Parti¢ipaiion
N¢ltii)nJl C ilikLn ILI
Ini'L.%imeni inLome
()IhLr grants
673.515
132.199
Total
-558.7115
958.714
2.517.41
Tr.XPFNDITiIRb. O
I'hxrlt#blt Aetltrltl¢s
624.415
741.867
45.111
64.2()0
971..Ig5
4.590
(188.()75
,71.1.262
49.77r4
IILalth. InLlu.%iiin and I'JrtiLipatii)n
Natiiinul C'ilii.cn ill
Totll
l.(Hll.245
2.451.71(?
.1. INC.OMFIIFXPF.NDITIIRFI BF.FORE TA
147 ?34
8.187
Txxation
8.1117
liET INCOMEIIEXPENDITUREI AFtER TAX
155.421
123.1211
73.890
Trfinsfer5 between fund5
123.128
4et moTr'emen( in funds
32.293
41.597
73,8tK)
Ti)iJl funds bri)ughi f4)r%vard
1.082.070
922.493
2.004.563
TOTAL FLNDS CARRIED FORWARD
14.363
964.090
2.078.453
12.
INTANGIBLE FIXED ASSETS
Website
osts
Croup Company
COST
Al I September 2024 and 31 Augusi 2025
32.400
AttrlORTISA TIOPI
At I SeptembeT 2024 and 31 Augu# 2025
32.4()(I
NET BOOK VALUE
At 31 August 2024 and 31 August 2025
Pa4e li
coniinlled...

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
13.
TANGIBLE FIXED ASSETS
Group
Al￿ratiOnS
) ten¥￿*(1
anJ
COST
AI l %L,piLMt￿r 2024
Additions
Disp)sals
981J97
43.797
72.638
137.609
63.294
15.7(X)I
1.191.644
107.091
15.7001
Al 31 August 2025
1.025.194
72.638
195 903
.293.035
DTr.PR Tr.C'IA TION
Ai I k'plLmlK'r ?11?4
('hurgyL li>r IhL ! Li
F.litninulLd i)n Lli.%tK)wl
).42(
55.14
8.?08
1.864
93.55fy
19.243
252.184
11.0701
Ai 31 Augusi 2025
145.56A)
70.072
1.729
3?7.361
ET BOOK N'ALUE
AI 31 AubTrus12025
879.634
2.566
83.474
965.674
Ai 31 Autsws12U24
¥IX).977
4.43
44.1153
939.460
Cornpany
AIILfdlMins
Io) Iln￿ILd
C)fliLX'
aiid bjm
To￿1
COST
Al l S1'plLmbcr 2024
Additions
72.638
1?4.635
5U.440
197.273
58.44V
Ai.I l 2025
72.638
183.075
255.713
DEPREI'IATION
AI l %LpiLmtK'r 2074
Charge Ic)r Ihe year
68.208
1.8fA
IA).160
16.099
158,368
17,963
At 31 August 2025
70.072
11)6.259
176.331
PIET BOOKVALUE
At 31 August 202)
2.5fO
76.816
79.382
Ai 31 Augu512024
4,430
34,475
-38,q)5
Pa4e 16
coniinlled...

Shtffield W-tdttesdxv Football Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
14.
C.OMPANY FIXED ASSET INVESTNIENTS
Compfin
Shares in
gTOUP
undLnukings
COST
At I Sepiember 2024 and 31 Au8USt 2025
ET BOOK VALUE
At 31 Augu%t j
At 31 Au8USt 2024
'I'he gr(iup or the compJn)'s in%'eslmenis ai the Ilulunce ¥heeL date ITh ihe share cupitsl ol. companies inLlude ihe
Subslillarles
SM'TrC' C'ommunity Progrxmmt Holdings Limittd
RLg¢siirLd i>lliiL': l..ngland
NJiurL iil'bu8inLss'. IK'￿￿11￿pMcMt and 0￿Y#ll0n ora fa¢ililN
Lla*s ol'shares:
l)rdinury
holdin8
100.Ix>
DEBTORS: AMOIIP*TS FALLINC. DUE II'ITHIY ONE YEAR
Group
Company
2025
2V24
21125
2U24
Trade dL&￿r
Arni)unls i)i%ed bv 8roup undcrtakin8S
()thir dcbior5
Dllcrrcd lax as5Ct
Prepdyments dnd tiLirued inLY)m¢
183.Q16
56.044
169.886
34.9x5
I I tJ.M4
21.673
10.041
11.507
265.128
21.673
11.187
233.579
10.o?¥
239.194
209.236
469.692
319.483
538.393
375.898
16.
CREDITORS.. AMOLTNTS FALLING DUE WITHIN ONE YEAR
Group
Company
2025
2024
2025
2024
BlÉ nk li)ans and i)ierdrafts l%ee n(Ae 181
Trade creditor5
Other creditor5
Other taxts and soci31 ￿Curity
AcLrued expenses
10.i)00
76.207
1.682
3?.286
8f).628
10.(KK)
41.533
-074
8.927
i(J.000
75.396
1.242
10.000
40.223
1.074
83.3)5
79.603
206.803
141.91)
198.913
130.9(K>
Pa4e 17
coniinlled...

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augusi 21125
17.
CREDITORS.. AMOITNTS FALLING DUE AFTER 14IORE THAN OI%E YEAR
Group
Comp&ny
2025
2024
2025
2024
Bank loans15ee nole 181
834
10.834
834
IU.834
834
10,834
834
10,834
18.
LOANS
An anal)si5 (Ifihe malurity of loans is gii'cn ￿l0}y..
Group
Compiny
2025
2024
2025
2024
Ami)unls fallins due within one lear or on demand..
Bank Ic)ans
10.o(k)
lo.￿￿)
10.00(I
I11.oTh)
Ami)unls fallin8 due between ()ne llrwj iivo lears..
14ank l()an.%.
834
834
Ami)unl% lallin¥ due ￿tween tm'o and fLI"e )'ears'.
Ilank liian%.
834
1134
-I'hL inlLfL51 Tutc is 2.5Yo and the bank kian is unscLured.
19.
LEASING AGREEMENTS
Minimum lease pavmenis undcr nOn￿aftLe1lable 0￿r￿lin8 leases fall due as foll()wS=
2025
2U24
Il'ithin nne j'ear
BL¥IWL'L'n i)nL' dnd fLve Jrdrs
48.90?
34.4n4
3.332
Pa4e 18
coniinlled...

Shtffield W-tdttesdxv Football Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
20.
i¥IOVEMENT IPI FUNDS
Group
Nd
moi'LMneni
in funds
Trunsfers
bet¥lL￿rt
funds
Ai
.9.24
At
31.8.25
Ilnre4¢ricted funds
(iLnL'rJl I'und
14.363
187.434
119.9281
1.281.869
Re5tri¢ttd funds
(Iihlr I Ilulth. InLlu%ion and PartiLipation
29.1()O
27.649
16.718
41.408
17.4101
13.6331
41H
27.114
801
14.3641
153.14111
339
5.891
9.323
70.847
16.130
22.4118
4114
27.125
Ili)lidaJ and Food Programm¢
PrLniiLr l.LabTrUL kiLks
l>rirnar)' %iar8 l.und
ALtiiL I'hn)u¥h l.IK)tl>all l.'und
F'an l.'ngag&min¢
I IniN¢r%¢il Youth M.'ork Fund
Jubil¥¢ l)roje¢i
25.316
865.307
4.364
25.316
812.159
Y64.1)YO
11.8281
19.928
975.191
TOTAL F('.NDS
2.0711.453
17%.fJ(K
2.257.1159
Company
Nd
'I'ran%fers
AL
mc)I'LmLni
in funds
AL
31.8.25
Ilnre5triei¢d funds
(iL'nL'rJl I'und
l.l(KS.692
143.832
119.9281
1.23Q.596
Restricted funds
(ithir I ILulth. Inclusion and Partiripation
29.100
27.649
16.718
41.4(TrR
339
5.891
9.323
7a.847
Tliilidaj Fcx)d Pn)8fdmme
PrLmiLr l.LaguL Kilks
Primar% Stars Fund
Artii"e"I'hrough l.ootiMII Fund
Tran b.n¥d¥ement
lJniNcrsL?l Youth W'ork Fund
13.6331
404
27.114
801
4.36AI
22.408
404
27.125
Roi
25.316
25.316
4.364
98.783
44.320
19.928
163.03 1
TOTAL FLNDS
1.205.475
188.152
1.393.627
Pa4e 19
coniinlled...

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
20.
IOTr'EMENT Ifi FUNDS- eontiDued
Nei moi'ement in lllnds belore i&K. includ￿ in the alx)i'e are as follou%=
Group
Incoming
resources
Resources
eipKnded
Mol'emeni
in fund5
Unrestritted funds
1.983.640
1.799.526)
1¥4.114
Rcstrlcttd fund5
74.970
174.97(11
()Iher I lealih. Inclusion and Partieipaiion
223.56
4.5.15
232.192
229.272
50.(MK
73.950
41.408
Natiiinul C'ilii.Ln %Lf%'iLL'
14.5151
1249.hll?I
1?32.9051
149.5961
146.8361
Pr<miLr l.LaguL Kilks
l>rirnary' %iars l.und
ALtI%'L I'hr()U8h I'ix)tball l.und
13,6331
404
27.114
I InikLr%iil Y<)uih Il'iirk l.und
l.an l..n¥i1￿￿m¢¢)I
43.301
25.0
147.6651
1?4.1991
14.3641
153.1481
95(J.781)
Y65.61111
8.112111
TOTAL F('NDS
2.51411.420
2.765.134)
175.2116
ComparAtlves for mowtnjent In funds
Group
Nei
mc)I'LmLni
in lun(Ls
Tran%fers
AL
.9.23
AL
31.8.24
Ilnre5¢ricl¢d fyrtds
(IL'nL'rdl I'und
1.082.070
155.421
1123.1281
1.114.363
Re5tri¢led funds
(Iihtr I ILdlth. Inclusion and Participation
13.1331
1.681
7.804
15751
11.4471
13.6141
17.0991
53.1481
32.233
21.797
8.914
575
13.447
2.549
?9.Ino
27.()49
16.718
Tliilidaj FcM)d Pn)8fdmme
PrLmiLr LLa8UL Kilks
PrimaTr Stars Fund
Actii"e-fhrough Football Fund
SJf¢ M¢nlvring Projecl
[JnI￿cr￿al Youth W'ork Fund
Jubilcc Project
4.171
l.n65
42.415
874.&12
25.316
865.307
43.613
922.493
123.128
964.090
TOTAL FLNDS
2.tMN.563
7).8
2.078.4i3
Pa4e 20
coniinlled...

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
20.
IOTr'EMENT Ifi FUNDS- eontiDued
Company
Transfers
be(￿e¢n
funds
Ai
-9.23
moi'emeni
in funds
At
31.8.24
Unrestrlettd fllttds
CiLnLral lund
l.(H6.685
139.522
179.5151
1.106.692
Restriettd funds
(Iihlr I ILalih. InLlu%ion and PartiLipation
13.1331
32,233
29.100
Yi)uth l.'ndowmeni Fund
Ili)lidaJ and l.<x)d PrL)grdmme
l>rLmiLr l.LaguL Kilks
l)rimur) l.'und
A¥tiiL 'I-hrough l.cK)tball Fund
ML'nti)rinb> l)rDj¥¢l
IlniNcr5uI Y()uth W'L)Tk l.und
4.171
1.681
7.804
15751
113.4471
11.6141
17.0()91
21.797
8.914
575
13.447
2.54VJ
?7.649
16.71¥
1.065
42.415
25.316
47.051
128.3831
79.515
Y8.7t13
TOTAL FI'NDS
1.094.336
1.205.475
C'omparniiiL t)¢1 moi'¢mcnt in funds. included in the aboie 8rt 8$ follows-
Group
InLI)min8
rL's()urccs
RL￿)Ur￿Ls
C￿￿￿dcd
M()ILrnLnl
in lund5
Ilnre5trleted funds
(iL'nL'rdl lund
1.5511.705
147.234
Restricted fund5
I,'duia¢ion
()thLr HL'dlih. Inclusion and PartiLiP411ion
64.2(rf)
164.26VI
163.428
4.5
268.460
2114.592
50.0(K
46.185
88.¥14
43.3¥5
25.tMN)
1166.5611
14.5WI
1266.7791
1196.7¥111
150.5751
159.6321
192.4281
160.41141
NLltiiinal ci117.cn Scrnicc
Ili)lidaTr and l.-ood Programme
Premicr l.¢agu¢ Kirks
Primarn stdfi Fund
ALti%e"fhrough F￿l￿all Fund
Salc Nlcntoring Project
UniN¢r5al Youth M'ork Fund
l.an l..ngag¢rn¢nl
JubilcL ProjcLI
1.681
7.804
15751
113.4471
13.6141
117.0991
53.1481
53.1481
958.714
1.040 ?45
TOTAL FI'.NDS
2.517.419
2.451.716)
65.703
Pa4e21
coniinlled...

Shtffield W-tdttesdxv Football Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
20.
moN'E￿IENT Ili FUNDS- eon¢iDucd
A current i'edr 12 months and prior )'ear 12 months combined posiiion is as follo1￿S..
Net
moi emcni
Tran5fer5
beti¥¢en
lunds
At
31.8.25
.9.23
Ilnre5tricted funds
(ILnLr<il I'und
l.n82.070
342.855
1143,0561
1.281.8fy9
Restritted funds
()IhLr I ILalth. Inclusion and Partieipation
38.275
115.7291
4.171
32.572
27.&88
18.237
575
13.4511
2.54¥
4..7(A
711.1447
Ih.130
22,408
404
27.125
IILiliday and l.(N)d Priigrumm
Pr<miLr l.LaguL Kilks
l>rirnary' %iars l.und
ALtI%'L I'hn)u8h I'ix)tball l.und
4,171
13.667
13.6141
?1.4631
801
I IIM).2961
I InikLr%iil Y<)uih Il'iirk l.und
l.an l..n¥i1￿￿m¢¢)I
42.415
25.316
874.X42
43.613
X12.159
922.4Y3
9(1.3591
143.050
975.lY(I
TOTAL F('NDS
2.1MH.563
252.496
2.257.059
A LurrLnt ILar 12 month5 and prior )'car 12 months combined ncl mo%'cmcnl in lunds bclorc laxali()n. inLludLd
in ihc utKii'C url as l()IliiiYs'.
Inuiming
TeM)urnYs
Rcs1)U￿¢S
eX￿n￿L¥j
in funds
Unre5trlcted fund5
(ILnLral I'und
3.542.345
3.210.997)
331.348
Restrltted tsnds
139.230
1139.2301
()IhLr I Ilalth. Inclusion and Participation
Fund5
National Cit17cn S"¢rvice
Fan F.n¥a¥ement
Ili)lidav and F￿)￿ Pro8rammc
Premicr League kicks
Prirnar) %turs Fund
Artii"e"I'hwugh l.IK)tball Fund
8atL Mcntorin8 Projeci
Unl￿erSal Youth Il'ork Fund
Jubilee Project
386.g88
9.125
50.0
5(N).652
433.¥64
IW.(HJO
1341S.7111
38.275
149.1991
801
114 7291
4.171
14•9.6931
I l U6.4681
192.4281
1108.1491
106.2W)I
13.667
13.6141
191.4631
106.2961
88.814
86.686
1.915.494
2.005.853
90..1591
TOTAL FLNDS
5.4i7.839
5a16.85Ql
24n.989
Pa4e 22
coniinlled...

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
NOICS to thc Consolid¥¢¢d Fin￿nci&l Stat¢tntDts- continu
For The l-ear Eknded JI Augllsi 21125
20.
IOTr'EMENT Ifi FUNDS- eontiDued
Purptsst of Resirltted Funds
Fan EngAgement
l.unded b>. Ihe Premier l.eague chariiable fund. the -Ulednesda!' ￿e1C01n¢ projeci aiins to build on M'ork. in
breuking down barriers to acce&5ing she￿ie1d Wedne5dai' l.(x)Iball Club for hi5toricall)' underrepreSen￿d
i%olaied groups. The aim is to supw>rt and engage refugees and as%lum seekeo LCJBTQ* suppori, di%abilit
aLtivii}'. anii-raLism. iaLkling isolaiion and man). more ke). themes. Through the projeet Lhe Chariii. has Lnga8Ld
iiiih 450 people across muliiple ihemes.
Holidav and Food PrOgra￿￿e
l-his 1% a giivt'rntnLnl I'undLd scheme ￿ proi'ide a¢￿%.111￿% and f(M)d during schwl holid#)s to chilLlrer) whi)
qualilTr lor tree SLh(x)I m¢als.
Premier l.eague Kicks
lTrrLmiLr l.LJgiuL' Kiik.% is fund bs. the PTemier Ltrdgue ts) suprrt)rt and enLx)urug¢ ¢<¢nagcr% in &r¢&4 <)f high
anti-goLial IK.haiiour.
Primary Stars
'I'hL I'und 1% I'undLYJ bi. thc PTLrnicr l.c&gue and uas esthhlished to pmNidc frL* lunLh Llub plaLcs ￿ LhildTLn agLd
5 111 1 l )Lur% i)Id in Kh(K)l% in d¥pri1t￿ arL'ats.
Aetlv¢ ThrouRh Football Futhd
'undLJ b) IhL Naiiiinal l.i)IlLn'. .4LIIi'L ThrLiugh l.(K)Iball 1% a %r8)rt l..nk?land iniiialiiL io inLrLa%L aLllI'iI)' ILI'LI
und Lriali .%ustainid bL'hdklLiUT Lhan¥L. "IThL Pn)jL'cI is ￿]SEd prL¥J()minalLl¥ (In uLiiNalin¥ kL'I %Llling% thniugh
IhL dLli&Lry i)I' rLLrcali()nal and inf()mal small•sidcd f(x?IIMII &iLliKitv and d¢iLI()txxI thr()u¥h Ll)minunilV
¢ngagLmLn¢.
59fe 11entoring Project
In partnLr%hip li iih l.Larn %hctlield and tund￿ ihrough Ikpartm¢ni for FAlu¢a¢ion. the programmc is dcsigned
til rLduLL %ho(il C¥LIu51(In%. rai%c ii¢lainm&ni and in ()rd¢r kn loivLr thL th￿Cl4 (If )(iung pLx)pli bLing
at ribk (?I'irimirtJl ¢xpli>i¢J¢ion and wiol¢ni*. l)¢liirrrd bi" NÉ?uth Men￿r5 i¥iihin y¢u)ndJrn' s¢hw15 through t¥rm
iimL'. li Invi)I￿LI C)nL-l(H)nL mLnii)ring. inLluding ph%-SlLal aLXl1'iI)' and infi)midl LxiuLall1)n.
Universal Youih Work Fund
l.undLJ h) %hclli¥ld C'(?unLil Youih Sm"ir¢. ¢he ¢ommi55ion 15 10 inrr¢a5e ihe amouni ol- NOUUI prov15ion5
withirt Wiirds in %hil7iild. I"is"i arias of prvi"isiiTrn fundrd Miihin Sh¢ifi¢ld. tar8rt￿ ￿ d¢lifv¥r %p(irting Nouth
(Irk in hi*hli¥htL'd arL'L% lif high anLI*()Lldl trK'hai i(iur an41 LurrLmLI! Iiiii >c)ULh pr(iiisiiin. 'I'hL' Pn)jL*I 1% an
OPLn-aLLLSS i7llcr and is also iargcicd lo ofter opwrtuniiie5 such as N'olunteerin8. residcnlial trips. ￿orkShopS
and qualiliiaiions lor loun8 wplc.
Jubllte ProJe¢t
I he Jubilee pr()jeLt provides sthie of the art training and pla) ing faLiliiies for loLal >i)un8%iers. The pn)jeLI
involicd up8radin8 existin8 drcssin8 fLY>ms and installation of a full sizc 38 Pltch ii".iih li8hiin8 ai the sitc.
Pa4e 23
coniinlled...

Sheffield W-tdnesdAy F￿1th#ll Club
Communitv Programme
Notcs lo th¢ Fin¥n¢ial 8t8t¢tllCDts- eoDtinu¢d
For The l-ear Eknded JI Augllsi 21125
21.
RELATED PARTI, DIS(LOSIIRES
Sheffield IVedtttsd&y Football Clllb Limited
ShLllILld Il'LdnLsdai' Fooiball C lub l.imiiLd is controlled bi. Mr D Chansiri u,ho was a direC￿r of Sheffield
Il'ednesday Football Club Community. Programme during the )'ear.
During ihL *e2r ShetliLld wednesda￿ FIK>Lball Club LimilLsd made palments on behalf ol. Shetlield WLdnesdav
Football C lub C'ommunity. Prosrnmme amounting to £853.686 1?0?4 £1.340.0701 INhich K4"ere reimbursed ts)
Sheifield Il'ednesdaj l-.ooiball Club b% Shenield Wednesdai. l.-ooiball C'lub C-ommunill I)ro8ramme.
8heifield W¢dn<sday Fo()IIYdll Club l.iThiied charged g(KMJ5 and *er¥'ice% ￿ the C(iJnmunil)' Pr(Igrumrne
umi>untiDg 10 £197.97912024 £125.3591.
In addition ￿ the ak)%'c. ShelTield Wednesda). l.ooiball C'lub Limi*d prol'ided eeriain facilities and oihcr
5uprrt)rt at n() ci)st iii thL C'(Immuniii l>ro#rnmmL. I'hL I'alul aitributL'd to ihi5 %UPPOrt during ihL NLar LndLd I I
Augu%t 21125 i% £159.IKK) 12024 £153.0(K)I. 'IThL'%L di)nalLxl ¥(N)d4 lind %'r%'iLL% hai'L IKx'n inLludLd in ihL4L
a¢Lounts as iDcomin8 rL'soiir¢ts.
An am(iunl (Il- Ig.51 I c)IlLQ hi. %hLniLld Il'cdnLsda!' I.￿lib￿lI C'lub l.imilcd ts) ghenicld WcdnLsd8)' 1.i)iitball
C'lub C'iimmunit), Pr()BramrnL h&% k'Ln wriuLn ()JTJuring thL' yLar.
At th¥ i¢ur in4J a bulanc¢ i>1'£20.176 Il'as o14.cd ￿ %h¢ificld Wcilncxla)" F(x)tball Club l.imilLxl12024 £23.3901.
'IThL nalurL and ami)unL% OrthL￿ dOna1cd.￿D.IL￿ ii'CTC &s follo1￿=
21125
2U24
S¢uM)n maiihdJy ii¢kets
l)ri)rni)tiiin and stM)n4Trr%hip
I'l. %upport
()thLr
91.0(Ml
88.lJ(K
211.1)(Xl
2.1.IMX>
159.1)00
153.(MMI
l)uring thL ￿Lar SWF"C Qornrnunil% l>ru8rJrnmc Holdings l.imilL'd Lharged Shcjficld w¢￿nLyJaj. l.ooiball C lub
l.imit¢d £61S.763 lor pitch hire 12(}?4 f15.0551 and al the ! eaT<nd there 14.as an oulsianding balance ol- £3.18()
12U?4 L4.68VI.
Clyde & Co
Cl) dL & Co is a fimi ofwlililors that Is signifiLanil! inllulmced M. Andr￿￿1 IITal1i5. 14.ho is a diTcLlor ol-
Shcl'licld Wcdn¢5da} l.oo¢ball C-lub C-oThrnuniti" Prograrnrne and its sub5idiar%" 5WI.-C- C'ornmunity. Progr￿n[ne
Hvlding5 l.td.
During Ihe kear ended 31 Augusl 2025 the Group incurred costs of£3.049 (2024.. nil) for Ihe prO￿ls1On ot.
protcssional scTriccs.
22.
POST BALANCE SHEET EN'ENTS
The Charl￿. has bcgun (o cxplorc opwnuniiiLs (o furthcr d￿clop lis n￿￿. S￿ facilit). at the community. site of
the Jubilee Sport5 and Social Club on Cla! Wheels Lane in Hi11sknrough. ii'hich opened in January. 2023. A
planning P¢TrniS5iOn applicaiion has subrniited io conmruct further educaiionalthealth facilities on the site
u.%ing some ol- the ehariii s resen'es and extemal funding ￿￿rees. The nei¥ dei'elorment ￿11] increase the
capaLilv lor adlllts and Lhildren io ai(end the Chariii s pn)grammes and cowses.

Report of the Indeptttdent Auditors to the Member5 of
Shetrield Il"ednesdav Football CIDb
Communit). Programmt
Opinio
We haie audited the tlnancial slatements of she￿1¢7d Il'ednesda). Football Club Cornmunity Programrne Ithe
'chariiable parent cornpan) -} and it5 subsidiar% Ithe-"group'l for ihe ) ear ended 31 August 20?5 ￿'hiCh cornprise the
C(ID5111iduteil Stut¢rD¢nt (If FinaDcial ALlii"ilie5. Ci)nxili(knt¢d Ball￿¢¢ SheeL C(TrTnp<in%' B<il(inc¢ Sh¢¢L C()ns()lidat¢d
Cash Floii. SiaiLmcni and noies 10 thc consolidaicd tinancial sta1cmcn￿ including a summars. ol-signiticani accouniing
IiciLS. The linancial rLP)nin8 frdmLii'ork thai h&s tten applied in their preparation is applicable law and United
Kingdom Accounting Standard5 (United Kingdotn (ieneralli Acceptrd Accouniing Praciicel.
In our opini()n ihe linartLial %thiements'.
give a iruc and lair iieli of ihe siaie of the group s anJ of the charithble pJr¢ni ¢ompani's at'rairs as ai
31 August 2025 and of the group's incomhn8 re50urees and applicaiion of T£￿urCeS. including its income and
eNpendilure. lor the )'ear then ended-
b¢vn pnI￿rI￿ pr￿p￿ir￿d in aLiiiTd(U)LY i%'iih Ilnil￿ Kingd()m CJincr<ill! ALLLP￿d AcLiiunling PraLliLe,' un(1
hail preparid in aLLc)rdan¥e iyiih the requir¢ments of lh¢ c()[n￿nIt.$ A¢1 2(￿.
Basls for opinion
WL LiinduLtLJ i)ur <iudit in aLK()rdunLe wilh Inl¢rnJliiinal s￿￿dards Audiling IIIKI IISA5 IIIKII and wipliLublL lai¥.
l)ur rLspL)rt%ibililiL4 undLr ¢hc)%e sianJtsrd% are lurthLr d¢￿ri1￿1 in the Audits)r%' re%win%ibilitiLs li)r ihL audil i)l- th
linunLial %¢alLmLnts %LLli(>n ()I' our rifA)rt. W¢ indLwndLni (Il. thL charl￿bIL o)mpJnJ ir) ucLordanLL with th
¥ihiLJI r¥'quir¢'m¢nis thai ar¢ r¢le%ani to our audii of lh¢ fJnanLial StsiLmLnts in th¢ ljk. in¢luding th¢ l-'RL"s l.'Ihical
%iandard. and hai'L lullillLQ oiher eihiLal resp)nsibiliiies in aecordanLC 14.ith Ihcsc rcguircmcnts. 11.'c bcliLIL
Ihul thL uudit ¢vid¢nL¢ w¢ hui'¢ (Ibiuin¢d is suifiLient und anJr()priute l(1 pr(INide u basis flir ()UT ()pini(In.
Coneluslotts r¢latln2 10 Roln2 eon¢¢rn
In Judiiing lh¢ linJn¢iJl %tat¢m¢n¢s. hail u)nilud¢yl th91 the uuMe¢s' use of th¢ going ¢on¢¢rn basis ol. a¢wunling in
IhL' prL'pdraiic)n L)i-IhL linwiLial sUtL'mLnL% is appr()priJiL.
()n thl iYf)rk IYL hai'c ]xrfc)miLyl. hail ni)l idcniifiLYl an%. maiLYial unLcrtainii¢s rllaiing t() Li'Lnt% or L(Indili(In
Ihai. indii iduJll%' c)r Lc>ll¥¢¢iiil%'. ma) ¢&si si¥nifiiani di)ubi i)n ihl LhJriubli LC)mpan%'4 abilii!. ti) L(>niinui a% u ¥i)in¥
¢x)ni¢'m li)r J p¢ricid of ai 1¥151 iw¢li¢ monihs fnTrm ii'h¢n th¢ fiThan¢ial S&9￿ments are authori￿￿ (i)r issu¢.
l)ur rL%Pt)n%ibiliiiL% and thc TC5P()nsibilitlCS 4)f the Iruslcc5 with rcsrKLt 10 8Liin8 a)ncern arc dc%LriFK¥J in ihL rLILI'anl
LLti()n% iil'this rLrK?rt.
Other Informatlon
I'hL Iru%tLL% JfL fL%F41n.siblL for the other inforniaiion. The other info￿allOn Lxm?priscs the infornialii)n inLludLd in thc
Annual Rcport. oihcr (han thc financial 5th1ements and our RcFrf)rt ofihe Indcpcndcnl Audiior5 thcreon.
Our (?pinii)n i)n thi fin￿lia1 51aiLm¥nts ntA ixh.er th¢ i)Ihw infiTrmiation and. ¢xi¢pi LtTr the ¢XL¢nL i)Ih¥mi%¢
expliLltl> .%laied in our resx)ri. Ive th) noi exp￿8 an). forni of&8surdnce conLlusion thereon.
In conncLtion with our audii of ihe linancial s¢aicmcnls. our rc5FKbnsibilil!" is to read the othcr intorniation and. in doinB
50. considcr i%'hcth¢T the o¢h¢r infomalion 15 rnalerialli" incon515tent ii.ith ¢he financial 5tstcrncnts or our k"nowlcdgc
obtained in th¢ audit OT 0¢h¢Thyi￿ ap￿aT5 ￿ be malrrialll" mi55ts¢d. If id¢niifN" 5urh material incon515l<nri¢5 or
apparLni maiLrial missiaiemenis, lie arc required 10 dciemiinL ilhether ihis 8ii.es rise io a maLerial misslaiLmLnt in thL
rinancial 5taicmcnis thcmsclvcs. Tf. ba5cd on ihc 14"orK' iic hai"c pcrlornied. 14c conclude that Ihcrc is a matcrial
155tatement of thi5 Other information. are required ￿ rqx>rt that facL We have nothing to rerrf)rt in thi5 regard.
Opinions on other m#tttr5 prt5tribed b). the Compathit5 Art 2(M)6
In (iur iipinic)n. ha%L'd c)rt thL' 111)rk urtdL'rtJkL'n in thL' LX)Ur￿. i)I-thL audit-
the inlonnation Si￿.¢n in the Re￿rt of the TruslcLs linco￿rating thc Dircctors RetK>rtl for (he financial l'ear for
which the financial staternents aT¢ pr¢par¢d is consi51en¢ ii.i¢h the financial 5taieTnents: and
the R¢rK)rt vf th¢ Trust¢¢s linL(ITry)lating th¢ Dir¢¢ts)rs ReKK)rtl hrfLS tr¢Tr pr¢paTed in a¢¢ordan¢e m.ith applicable
legal re4uirements.

Report of the Indeptttdent Auditors to the Member5 of
Shetrield Il"ednesdav Football CIDb
Communit). Programmt
Matters oll whlth wt art rtqulred to report bv txtepi1o￿.
In the lishi ot. the knoiiledge and undersiandino ol. (he oroup and charitable pareni compani, and its eni'ironment
obtained in the course of the audit. lie hai'e noi ideniifjed maierial missLg*ments in the RerK>rt of the TrJstees.
We have nothing to rerM)rt in respeLt ol- the folloii'irtg matteTS ii'here the G)mpanies Act 2(M)6 requires us to report to
ou it.. in our opinion..
adequate accouniin8 records ha%'e not bttn kept or reDJrnS adequa* for our audii hai'e not been receiN'ed trom
branihe5 not l'15iied b). US: OT
the linuncial staternents are not in agreement ivith the acc(Kmting rec(Kds and reiums: or
LLnain disLlosllres ot-trusiLL￿, fL4nunevdiion VLilie41 bi laii. aTe noi made: or
'e hai'e noi receiNed all Ihe tnlomaiion and eNplanaiions lie require lor our audii: or
the trusiees i¥ere not eniiiled 10 thke ad%'anth8e ofihe small companies eNempiion from the requiremen( (o prepare a
Sirategic Report or in preparing the KeFOrt of ihe"I rus￿.
Respvnsibilities of tru5ttes
As LxpldinLd mi)rL lull). in the Siaiemeni of Trusiees. Resp)nsibiliiies. Ihe i[u￿eeS I￿￿0 are also ihe direeknrs ol- (he
LharitablL Lomwan%' lor Ihc purposc5 01-compan}' laii'l arc res￿nSIble for tlie preparaiion of Ihe financial sialcments and
r(Ir bling 5Uti¥fiLd that thL%' yl%'L il truL and luir i'iei%'. and rtir suLh iniLrnal l￿ntr(lI a5 rhL iru51L'L% dLtLrminL 15 nL'LL55tIry
li) thL prlp￿IfIItiIIn ()I' fin<inLiul.4taiLmLnl4 thai arL' fn)rn m<ltL'rial miK%ts¢L'mi'nL i%hLthLr LIUL til frJuLI i)r Lrr()r.
In prLyarin8 ihL financial statements. the trusiees ar¢ re5wnsible tor assessing the charitable company's ability to
Ll)ntinuL Ils 11 giiins Ll)llLLm. disLl£)sin8. &s uppliLJblL. muiiLrs rLlaiLd t() 8(iin8 L()nLcrn and usin& ihL y()ing Li)nLLrn
Éil-uLL(iunting unlL.%% thL tru%lLL* eith¢r ini¢nJ liquiduw. thL Charl￿bIL. Cl)mpany (Dr i() LL'&%L (j￿rat11}n%. i)r haiL
Our r¢sponslbllltl¢s for the *udlt ofthe Iln*nel*l si*t¢ments
l)ur i)bjLLllI'L% afL lil i?hiain rL&%i)nablL a%%uraiiiL ahiui i%'liLIIILT Ihc linanLial siJlLniLnL% a u'h()IL arL IrLL INim
mlllirial mis%tatLmLnt. iihLihLr dul t(} tr￿d iir Lrr()r. is)uL u RLrrtirt i)l- thL IndLpLndL'nl AudiliiTh Ihul inLluiJL%
(Jur i)piniiin. RLJ%(inabl¢ a%%urJnLL is a high IL%il ()f bul is N)¢ il ¥uaranlLL that an aULlil L()llLIuLILd iii
d¢i()rdJn¥i li ith 15.18 I I IKI i%-ill al%i'a%-s Il¢i¢¢i a m#i¢rial mikqaiLm¢ni %ih¢n li iXi%L%. Mi%%Ul¢in¥nLs lan ari%i In)m
Irdud ()r ¢rr()r and arl ¢()nsill¢'r¢￿ mJ¢iriJl if. indii iduall) i)r in lh¢ th¢y L()uld rn'a%)nabl>' h¢ li)
influL'nLe thL' LLI)n()miL dLKisions ofusers taken on ihe ba%14 of ihe%e finanLial S￿￿'MLnts.
IrrcgularitiLs. inLludin8 fraud. ar¢ insthnccs (Trf norKvmplianc¢ M iih laiv5 and rc8ulalion5. Il'c defign pniLLdurL% in linc
ith our r¢s[￿nsIbIlItiES ou¢lin¢d a￿￿¥¢. 10 d¢¢rf¢ mai¢rial missth*m¢nts in resp¢¢i of irr¢gulariii¢5. in¢luding fraud.
'I'hL L'XIL'ni ti) i%hiLh i)ur pr()LLdurLS JfL' L￿p￿IbIl. I)rdL•￿￿[ing irrL#ulaTiiiL'S. illLludin8 fraud i% dL?LdilLd hLI()w'.
-ThL iharitTr 15 subjLxt lo laiis and rcgulalivns thai direL¢li' and indircLtI! aJTcci thc linancial stslLrncnts. Ba5cd L)n our
undcrstanding of ihe rharit) and ¢h¢ en￿"1t0￿Memt in iihirh il OPeTale5. I1"¢ ddtmiined Ihal the lai¥s 4nd rcgulalions
hich m(18t %i8niliLani Includ￿ ihi C'hiiriLi¢5 Airt and rrgi51rJ¢ion5 m(?nilorLd b}" ¥il¢mal bixJic%. Wc ¥iin%id¢rLd
IhL' L'XIL'nl L(? i¥hiLh n(In-L(ImplianLL' i%iih laiis and rL4ulJiiiin% mi8hi hai'e a mJiLriJl L.rrLLL i)n ihL, finanLldl %iaiLmLni%.
inlluding how fraud mighi oLLur. cialuaicd managcmeni's inecniiies and opry>rtuniiies IOT Irauduleni rnanipulalion
ol. thL linanLial siatLrnLnts linLluding (hc risk ol'oic￿ldC ol'controlsl and detcrniincd that ihc prinLipal risks fLIalL￿ to
the r¢Lognition ol-inrom¢ in acwrdanc¢ ii.ith UK GAAP and the romplrkn¢55 of grant income.
Audi( pr(>Ledures perjornied b) the en8agemeni ￿ included:
Di%ussion5 with Tnanagetn¢nt lo obtsin an und¢r51andin8 of the legal and TegulatoTh fraMe￿"Ork applicable
to the charit}" and holi" 1¢ ensu￿5 rornplianc¢. including con5id¢ration of or sUS￿led in5t3nce5 of
nnn-L(Impliance i%ith laiis and reglllaiic)ns and Iraud-
Rci ici%in8 documcn(aiion io Lmsure there is no ci id￿c¢ ot'non-compliancc Mith lams and rc8ulaiions'.
Discussions w'iih manageineni to consider ihe charit)"'s siatus ii.ith exiernal kndies and contimi there 15 no
eNidenc¢ of ceasing o1-5ignificanl partner5hip5.'
R¢1 i¢ii"ing rninute5 01-Roard tneetings-
Identifj ing and a%%e%%ing ihe e1Tetiiien￿$ ofiniemal Ll)nth)l% itt place to miiigale ri%ks of fraud and
non-compliancc with laws and rc8ulaiions ii'hich includcs le￿S dcsigned io cnsure grant in￿me is
complele..
F.nquiTing of TnanageTn¢nt as ￿ actual and w>tential litiga11(￿ and clairn5-
Rti itii'ing th¢ fin%illCi415tJtwn￿t disLI(1sure5 and t¢5ting lo supptTrrting infi)rrnati(In:
Reviei% i)f iniÉ)me reLoenilion io ertsure reLI)gnised in acci)rdartce Iiith I IK CJAAP including inspeciing
contracts and sern.ice lu.el agreements.
Pa4e 4

Report of the Indeptttdent Auditors to the Member5 of
Shetrield Il"ednesdav Football CIDb
Communit). Programme
There are inherent limitations in the audit pn)ceduTes describe41 ah)ie and the more removed non-complianLe I￿1th I&￿'S
and regulations is from Ihe ei'enis and [ran￿lIonS retleckd in ihe fJnanLial sthiements. Ihe less likel). Ki'e are ￿ become
aw'are ot. it. Also, the risk ol-noi dettcling a material mi55(aiemeThi due ￿ fraud is higher than ihe risk of not deteetino
i)n¢ r¢sulting fri)m erry)r, d5 fraud tn￿1! invvlie (lgliberale cvnLe411meni by.. foT example, furgery vr int¢nti(ID<il
misrepreseniation or through collusion.
A lunher description of our resrK>nsibiliiies for the audit of the financial ststrments is located on the Financial
RetN)rting C'ouniil's website at MTrw..frc.org.uk/audi￿rSrcs￿nSibllities.'1Th1s description fomis part of OUT Report of tlie
In(l¢pendent Auditor5.
Use of our rtport
'l-his reN)rt is made solelN to the charitable eompan)'s memkrs. &s a W.. in aceordance ivith Chapter 3 of Part 16 of
the C'.ompanie5 Aci 2(K)6. Our audii ii'ork has been undertaken so thai i¥e rnighi stsie ihe charitable L(irnpanN'5
tn¢TnbL'Th th()%¢ muttLr.% ill rL'4uired t() %lale io them in 41udil(lTh' TC]X)rn and li)r n() ()IlieT PUTPll4L'. T(} IhL (ullL'St
extlnl pLrmitiLd h) lau. Lli) ni)¢ aLxLp¢ ￿SuM¢ re4KM)n%ihilil) l() an!()ne ()thi'r th￿ the ¢harithblL ii)tnpan> unLI the
Lharitable Lomp4in%'% members Is a Fxxl>. for our audit ii'orL lor this retx)N or for the opinions i¥e hai'e formed.
DaniLI JL)hns(In l.'C'C'A ISLnior Siaiuion Auditor)
Inr and ()n bLhall'ol'Niii'i) Audii l.imii4d
tatuts)r)' Audit()r
()ulram.% WhJrl'
l)¢rhv
l)dlL.' 29 April 2026
Paoe 5