REGisfEIIED COMPANY NUMBEIL. •532•211 (England and ￿￿tI)
REGISTERED CHARITY NUM8EIL. I1•85
LA9 7RZ

Ito2
5w6
7011
12to13

January 2019
REFERENCE APID ADMINISTRATIVE DEfAILS
R¢gkter•d Comp*ny Awnber
05328212 (*KI al￿ W•le5>
1108592
Harrop Hall F¥m
dburn
Clltheroe
Lan¢ashlr•
BB7 4TW
Dr C Thyen
Mr M BeatOe
Mrsl M Benn•tt
MrMPBrm
MrRDH¥
Mrs l A Harrts¢
Mlss S Ajohnson
Mrl P ￿r$d￿ ICharman}
Mr E W Pathns(Yt
Mr N Pear50n
Mr G Rolxnson
Mr T W RO￿AsOn
Mrs M I S•tkn
Mrs V SkArp
Mr5 Al Spencer
Mrs K Swir￿￿￿1$¢
Mr R N Thornber
Mrsj A Harrbjon
Indwnd•nt •xamln•r
Mrs T E R￿hardS￿ FCC4 DChA
COMMENCEME•4T OF AcllvrnES
Govorning documtrrt

OBJEcllvES AND Acnvm
The princi￿1 ot4#twes of the dority arr.
Publlc Benefft
ACHIEVEMENf AIID PERFORIWKE
Fundrahln8 actlyltiu and rn71ew olthe y¢w
farni ￿lId1￿ and ham& Tharths to thmd dypmrtwe Ayde a sfftal wofiL
FINANCIAL REVIEW
R•Mmi polky
fundraLskng aoY4bdqs arn
nttded to the fol0v*l￿ yearfs show aTrJ thè la¢k olfinhtr (a￿ in¥*sinwt is fomd to be sats&ctory at thts dm*.
FimiAE DEVELOPMENTS
STATEMENT OF TRusfEEY RESP01451BIUTIES
stats ofaffair5 ofthe charffable cornpany and of rtsourttt and the clresow¢e4 the incom•
obstr¥¢ the meth¢Jds aTrJ the Chuffies SOAP 2019 (FK$ 102):
ex￿11ned in fM*rKial s¢arrn and
Mrsj A Harr￿Tr. Secrewy

30 Sept￿ber 2025 T•knich are set tsn pap fr￿r to elvrt*.
Responslbllkles baslj of **port
15 not rqulred for this year (urt&r Secoon 144(2) 13f th¢ CIArffjes kn 2011 {Ihe 2011 k¢)) that an ￿￿￿￿1110￿
Li required.
as tarr￿ out under seaion 145 of the 2011 kn In farryi¢ I have the 8knJ lry the
Charity Commww)n underseaion 145(5) (b) olthe ￿1 I P
Ind•p•nd￿t •xamlnerfs statwnert
2. the accounts do rKJ¢ ac¢+yd with those rec￿. or
minawb., or
rmnciil Awrtlng Stsndard app&3t4e in th• UK aNI W c4lrotsnd (FK$ 10211.
Mrs T E Richardsw FCCA DChA
TR Accountancy SerW
21 EsthwAite Gre
K•ndal
CumÈ*
L49 7RZ

nancral
30.925
30.9.24
To
fijnds
fund5
INCOMING RESOURCV4
Incoming Yewurcos from ynerat•d
5&812
850
Totsl Inwhlng MSOWC
41.4Ql
41,401
57
RESOURCES EXPENDff•
Costs ofgertvatln8 fund•
&215
33,1•)
50n
33.1
5.663
44.752
costs
933
39.215
39.9)3
Sl.348
NEf114COMINGI(OUTGOING) RESOURCU
1156
1.498
6,314
AFCONCIUATION OF FUNDS
14.961
137.197
130083
TOTAL FUNDS CARAIED KIRWAAD
124Jri
14303
13U95

30.914
Tot41 fun& Tod fur
FIXED ASSErs
Tary'ble assets
14J03
44.195
4&102
CURRENT ASSErs
7395
7J95
93,939
8.911
87.469
sh at tank ¥wJ In harKI
101334
IOlJ34
CREDITORS
Amounts lalling wKhkn one >
io
15285)
NEf CURIIENf ASSErs
94J
TOTAL ASSETS LESS CURRENT
UABILITIES
1243YI
14x13
IX695
137.197
Nrf ASSETS
124JYI
14303
IM69S
137.197
FUNDS
Unrestrlcthd fvnds
Resthcted fur
1243
122,236
TOTAL FVP4DS
13U95
137,197

30 Septtynbtr 2025 in xcordw v&ith knion 476 ofthe C￿1¢$ A£t
Mrj P Marsdeo (chaWm￿).Tn*IQe

iy
ACCOUNTING POUCIES
the UK and ftewbblK of Irel￿￿ (FRSIOZJ {eknv•e I 3J19)'. Sondxd 102 Tr lin*ncMI
Incomln8 r•sOu￿•S
Freoht>ld pmporty
Phrt and machlny Ét£
. 15% on rethKlrybaknc•

AcrivmES FOR GENERATING FUNDS
30.9.25
30.924
1243
11381
4545
3.354
14353
45x1
30
970
Hodder pot
ire of hurths
of
5rxi
11373
Show th.nner (knd rae)
Entryfees
Gate money
LurKhe5 and tar
Ent*rt•knw￿rt
3h45
2A53
1.026
3.735
67
4Q395
s￿1?
INVEsfMEpif INCOME
30.925
30.9.24
850
COSTS OF GENERATING VOLUMTARY INC<>ME
30.925
X+.9.24
SM73
FUNDRAISING TAADING: cosr OF GOODS SOLD AND OTHER COSTS
30.925
30.9.24
1.495
3.174
i&n7
1,495
1240
17.405
4.062
3.374
4.135
10
IA42
Show ¢*
PA Sy#¢m l elertyK
Catering
IX*75
210
Security and pte
tawj
1.361
276
3,145
240
607
Skp hit
Fell
Prlrtting
957
933
3.419
44752

NET INCOMINGI(OUTGOING) RESOURCES
3Q?25
30.9.24
1075
Tiiu¥fEE¥ REMUNERATI¢)N AND BENEFrrs
30 se*•￿ 2024. th• of £l.w) rth24 . £1.OXI} Fqhj to the se£ret4ry Mr51 A
Harrison.
During >tar 6 (7024- 5) truxee5 were r¢knknrnd for 4?￿￿p0¢ket expwoe5 IrKurred ort bthaff ofthe charly.
tool an￿￿Trt rem￿rIed TKS £IJ26 Q024. £1.183) ¥taJ Juth as fi¢bJ p)5og8 athl stat*)nery.
TANGIBLE FIXED ASSErJ
frtfjrqj
COST
47.138
U9
71,666
AthJldor￿ in year
At 30 SerAwth 2025
47.138
9H
At l O¢tober 2024
75n
943
14n4
932
32
1,907
15
17,666
27.471
NEf BOOKVALUE
278
44.195
At 30 1024
39566
&210
326
46.102
DEBTOU. AI4OUIfft FALLING DUE IvmiiN ONE YEAR
30.925
30.9.24
&911

CREDITOR&. AMOUNTS FAWNG DUE wmiiN ONE YEAR
30.925
30.9.24
5.285
MOVEMEKf IN FUNDS
At 1.1024
nd5
A¢ 30.9.25
Unr¢strlrt•d
General fvod
1156
124,392
(3S8>
dknx (und
IZ575
11275
TOTAL FUNDS
137.197
138h95
fimth
General fwtl
(39245)
2,156
rJ58)
1358)
3(yJ
8Uld1￿(und
TOTAL FUNDS
1,498
At 1.1023
fijnth
At 30.914
￿nd
11&201
7.035
121236
ricultural fijnd
(421)
11875
575
15M2
TOTAL FUIIDS
130
14
137,197
10

57M2
150h27)
7M35
kulwral furnl
f￿d
(421)
(421)
21
TOTAL FUNDS
57.662
51.
&314
Bulhh'rtg The carriEd kY*¥d 01 £11275 r¢kn to a *Syth y*A￿h 14$ be￿ spthit on the ¢oratnth ofa
bJildln& Thè t4krKe wlll be wrkten ¢)ff kn t*Mh de[￿4￿* a¢ 2% w inn
ULTIMATE PARENT COMPANY
12.
13.
ftELATED PARTY DISCLOSURES
INDEPENDENT EXAMINATION FEE

TheH
ded3
30.9.25
30.9.24
INCOMING RESOURCES
1243
11381
4.545
3,354
1&353
4.570
1630
970
Hodd¥ px
Hire of hLKdles
ofob* chws and
Speed Shearing
11.273
Show (ryl nffle)
1853
1.026
20.686
Ga￿ mcffley
Errtertainn*nt
67
40395
12
Dew)sit a(C￿J￿ int¥tst
41.401
57.662
RESOURCES EXPENDED
Hodder pot prize5
1,495
3.174
i&n7
1.495
Z248
17.405
PA tytem l elecErThn
1.075
3.374
4.135
1610
1,642
Entertainm￿t
210
Frtwd
Sundry field c<pe
51]"p bjre
Fell r￿r￿S
3.145
140
607
276
Printing
Footpath doswe fte
957
933
3.419
33.180
44.752
12

30.915
30.9.24
Supportf051S
Sundrie5
AcwuntsrKy and l¥1 f¢Ès
920
933
850
Fknance
943
32
932
1.907
943
36
1,096
1075
fixwres and frt¢wigs deFryrition
ITtsuraKe
Catde for wi-fi
Honorarla
Hlre of halls
1.830
632
236
474
39.%+3
51348
1.498
6314
13