REGISTERED COMPANY NUMBER: 05385184 (England and Wales)
REGISTERED CHARITY NUMBER: 1110156
Report of the Trustees and
Unaudltèd Flnanclal Statgmonls
for thg Ygar Ended 31 March 2025
DangorPolnt Llmlted
Salisbury & Company
Charlergd Accounlanls
Irish Square
Upper Denbi9h Road
St Asaph
Denblghshire
LL17 ORN

DangerPolnt Llmlted
Cont•nts ol tho Flnanclal Statem¢nt8
for Ihè year endod 31 March 2025
Pago
Roport of Ihe Tru8tè08
Indèpendent Examlner'8 Roport
Slatèment of Flnanclal Actlvltle8
Balanco Shegt
10
Note8 to tho Flnanclal Slatemenls
11 to 19
Detall•d Statement ol Flnanclal A¢tlvltles
20 10 21

DangerPolnt Llrnltod
Rèport of the Trustees
for the year ended 31 March 2025
The Iruslees who are also directors of the charity for the PUfPOSOS ol the Companies Act 2006. present Iheir report with
the financial slalemenls of the charity for thè year ended 31 March 2025. The trustees have adopted the provisions of
Accounting and Reporting by Charities.. Statement of Recommended Practice applicable lo chafilies preparing their
accounls ir¢ accordance with Ihe Financlal Reporting Standard applicable in the UK and Republic of Ireland IFRS 102)
{effeclive 1 January 20191.
Page 1

DangerPolnt Llmlted
Report of the Trusteès
for the year ended 31 March 2025
OBJECTIVES AND ACTIVITIES
Vlslon, Mlsslon & Values
VISION
Resilient children, able lo thrive.
MISSION
We provide an Inclusive and inleraclive life skills experience Ihal immerses children and young p8ople in real life
siluallons In a fun and creallve way. Providing the OPPOrtunily lo develop skills that will support them to make positive
choices and m8nag8 Scenarios with confidence In the lulure.
VALUES
81 Chlldren We pul chlldren al Ihe heart of everylhlng w6 do by ensudng that our servlces and deliv9ry ar8 largeled to
the needs and abililies ol thos8 we educale.
bl Equ81ily. diverslly & Inclusivily We creale an alm05phere where everyone feels welcome and included by removing
barriers, promoling equ81 opporiunity, challenging discrimination & Stereotypes.
cl Learning for Ilfe -Togelher with our partners, we help people learn 888enlial life skills, anabling them lo Ihrlve, by
researching and applylng the best le¢hniqu88 to ensure Iha expeflenc8 ha5 a long-torm Impa¢l.
dl Sustalnability - We strive lo dellver our servlcas In the most sustainable way possible by maklng responsible decisions
lo ensufe long term 8uslalnabilily and encourage others lo joln us In taking actSon lo help our planet.
HOW WE ARE GOING TO ACHIEVE THIS:
al Pulllng chlldren at the héart of what wa do..
-Ensure Informallon Is dellvered In a fun and largeled way for chlldreD and In a formal whlch they flnd prefer8bl8 le.g.,
mix of stali¢ and inlefaclive dlsplays and bilingual delivery 8v8118blel.
-Asse$s the short-lerm and long-lemi Impacls on ¢hildren'$1&8rnlng experlence followlng a vlsll lo DangerPolnl and use
lh8 Informallon galhered lo monitor and Improve how the exhlbSls are dellvered
-Involve children and Ihelr teachèrs In idèas and discussions If 8nd when new displ8ys are b8lng consldered.
-Under81and the children's views and whal's Import8nt lo them in order lo enhance Iho experience for Ihem.
Ensuring the wellbeing of chlldren 8re prlorlllsed al all limes
bl Equallly. dlverslly & Inclusivity - croaling a wgl¢oma elmo$ph8re:
-offering learnlng opportunities to all wilhln our communllies by providing an accessiblo and incluslve ¢enlrè
-we would like overyone to fe81 comlortabla being Ihems8lve5. and lo feel safe in sp8aking out In a culliiTe whefo We
understand and respect each other's differenc88
.Llaise and cO￿perate with other relevant bodies and clients to creato meanlnglul and respocfful worklng relallonghlps,
All employees and volunle818. whether part-lime, full-lime or temporary, will be treated fairly and wilh respect.
08ngerPolnl placos an obligation upon all our Truslègs. employe&s, and volunteers to promote. re8p8cI and act in
8c¢ofdance wllh our full Equalily, Dlverslly & incluslon poll¢y.
cl L88rnlng for Llfe
-Regularfy evolualo fgedb8ck and re8pondlreacl lo relevant ideas for improvement.
-Ensure all new displays, resourGes and learnlng malerials are in line wilh Ihg Wallbelng of Future Goneration9 Act's
goals.
Rosearch 8nd apply the best techniques lo ensur& Ihe D?ngerPolnl experlence h8s a short.lerm and long-term, impacl
upon 811 visitors lo the cenlfe.
-M8inlain close Ilnks with k6y founding partners, slglulory 89encies. and other charities lo ensure best safety pracllce
rem8lns current and appropriate lo Ihg DangerPoint OXPefienc&.
dl Sustainability
-secure tho long-term su$lalnabllity of DangerPoinl Ihrough a largeled and susl8ln8ble fundlng and operational plan.
-Commilmenl to reduce our environmenlal impact and carbon footprint
-support and 9ngage in opportunllies lo highlight the importance of Safety Cenlres and the opportunities I Impacts they
creale including DangerPoint specific achievements.
-Idenlify, markel, and engaga In largeled income generation streams
Croating sustainable partnerships with a varigly of org3ni8alions that can enhance the DangarPolnl Vision, mission &
valu88.
Page 2

DangerPolnt Llmlted
Report of the Trustees
for the year ended 31 March 2025
Toam Structu
Centre Manager.. Julie Ann Tyler
Deputy Manager.. Cat HaNey- Aldcroft
Marketing assistant.. Donna Williams
Admini$lralion Assislanl.. Hazel Firth l$econded from NWF&RS}
12 Sessional workers
2 Cenlre assislani8
Vlsll co-ordinator: J8nnifer James
Chalrmon's Report
As th8 oulgoSng Chalr ol the board of Truslees,11 Is a great pleasure lo present the DangerPolnl annual feport for Ihe
year 202412025.
Sadly this y6ar, wg lo$1 two ol the chaTiIy s greatest supporters, Lloyd Fiizhugh OBE and David Owens. Lloyd was a
Iruslee lor over 12 years and Chair ol Iruslees IOT a long period. He was instrumental in the development of the charity.
his18gacy will live on. even as he is missed by ug all. David Owens wa5 a Ranger Ihal had come to work for the charily
in 2006 aller retiring Irom Cheshire Police. Dave has laughl over 8200 children vital life skills and was such a valuable
member of the team, hi5 posilivlly ond commitment has made a lasting impression on so many. We have also seen the
appointment ol a new Iruslee and l am so pleased to welcome Daisy Silcock lo Ihe board. We also plan 10 8ppoinl an
additional tru8le8 in the new financial year. David Evans, to lurther strengthen our b08rd.
This will be my last report as Ihe Chair. 11 is with a heawy heart that after a necessary family move, I have made the
dlfflcull dgcislon lo step down. I want lo say a huge thank you lo both my fellow Iruslaes and th9 ox¢eplional staff al
DangerPoint. Bolng part of Ihls wonderful team has genuSnely been a grgal experience and I will conlinlse to watch th8
growlh of lh6 chaflty Irom 8 distance.
Ong ol the reasons Ih8108ngorPolnl conllnues lo be such a su¢c8s$ Is that it ¢onllnue5 to evolve and thls year we have
dellv8red a number of themed gvenls in Craftpolnl. 8preadlng Ils appeal and broadenlng Ihe Cenlrgs offer, Those evenls
h91ped us to rga¢h a signifi¢anl mil88lone in wel¢oming 125,000 visitors and wa see no slgn of this Slowing down. We
have 81so had Some wonderful slorles over Ih8188112 months where Chlldren who have been to Dang6rPolnl have put
their loarnlng Into pracllcal effect and made a real dlffgrence lo Ihelr f8mlly and frlènds. Ulllmalèly that Is what th8 ethos
of the Gh8rily is about., maklng our chlldren more aware of the rlsks in our world. how they can avoid them and so sl8y
salo.
The 18am al Dang8rPoinl conllnue to ensure th81 the charily is in sound financial health which is dearly crilicgl in
mainlaining the work it does. Th18 year we h8ve seen a number of new funders support us including a very 9enerous
donation by tha Freemason$ 01 £10.000. I would like lo thank all those indivlduals and organisallons who sUPPOrt the
work the Charity does.
Looking lo￿ard, we are 8xciled about th& work Ihal 18 on90ing lo improve the ICT inlerface K-os with our colleagues al
Wrexham Ui)iversily. KWOS is much loved by all the visitors, the upgrade will make a huge difference to the exporience,
and l am really exciled lo see the new and improved K￿S in action,
Flnally, 8 huge Ihank you to all those th81 hava vlslled, supported and worked with Ihe charlly over the la5112 months,
wo are so grateful for your conllnuing engagement.
Carl Foulkes (Chair of the Board of Trustees)
Page 3

DangerPolnt Llmlted
Report of the Trustee¥
for the year ended 31 March 2025
OBJECTIVES AND ACTIVITIES
DANGERPOINT PARTNERS
DangerPoinl also exists through the support of many public agencies. Private Businesses and Grant and Trust bodles
that have supported us in m8ny ways and have ensured that DangerPoinl meels the policy agenda around safely in
Wales.
We therefore acknowledge th8 SUPPOrt of the following organis8llons and companies whose financial and in-kind support
has allowed u$ lo continue to develop and operalo.. (Alphabellcallyl
ArfiV8 Buses Wales
CGI
Cloeaenog Fore81 Wind Fami Fund
co.op Food
Eni UK Ltd
Farrells Group
Flinlshire County Counoil
Garfield Weslefn Foundation
Gwersylll Communlly Council
Gwynl Y Mor
JD&Rlces
Kingspan
Millenium Stadium Trust
N8lwork Rail
Neumatk Foundation
North and Mld-wesl Trunk Road Agent
North WB188 Fire and Rescue Servlce
Norlh Wales Police
Parc Adfer
People5 Postcode Lollery fund
Police & Crime Commissloner
Police & Community Trust
SP Energy Networks
Thomas Howell Education Fund
Toyota M8nufacluring UK
Transport for Wales
VB Fire Safely
Wales and West Utililias
The day-lo.day op8rallon8 are delogaled lo the Dang8rPolnl employee8 at the centro and more slral6glc de¢l$lons are
dls¢ug$ed al th8 full board moellngs or Subgroups of the Trustees. The agenda al quartorly meelings conlalns Ihe rlsk
reglsler, funding ar¢d op9r81ional plans, policies and piocedures. health and saf9ty, and th8 charity's financlal siluallon as
w911 as any other news or events.
WHAT WILL YOU FINO AT DANGeRPOINT?
DangerPoinl ¢onlain8 Ille-like scenarlos such 8S 8 slreel scene, road crosslng, car, waler scene, rallway, house, shop
and much more. These scenarios en8ble us lo deliver praclir41, inleraclive, scenario-ba8ed educollon to chlldren 8nd
adults In s8f8ly, cillzenship, and lire skills. Our scenarios allow visitors lo considgr rlsky silualion5 and learn how lo deal
wilh them in a conlfollod and supervised environment. impossible lo replicale In 8 c18ssToom 8nvlronmenl. A layeT8d
appr08ch lo learning is employed wh8re trained 'Oanger Rang&rf guides lour small groups of chlldren and suppofl their
Interprelallon of thp contre throiigh a Ihree-and-a-half-hour vlslt.
DangerPolnt has several different programmes devoloped for dSfferent ages and abililles.,
DangefPolnl Core programme -Key stages 1 & 2
Tho PoSnl-K6y Slagos 3 & 4
08n9erPolnl Extra - Addlllonal Learnlng Need8 Programm8
Danger Detective Quest - Open lo th8 public
AcllonPolnl - Tour 8d8Pted speclflcally for ¢llm8le change
Page 4

DangerPolnt Llmlted
Rtport of the Trustees
for the year ended 31 March 2025
ACHIEVEMENTS AND PERFORMANCE
Charitable actlvStles
STATISTICS
Between April 2024 and March 2025, 7983 visilofs were educated at the cenlre which gives a total of 126.242 visitors
attending the Cenlre since opening in Octobef 2005. We welcomed our 120,OOOlh visitor at the centre on 24th June with
Ysgol Treferthyr. Schools have continued to book visits a couple of months in advance. The schools, leedback has been
excellgnl again with many exlremety Impressed with the dellvery from the Rangers.
FUNDING
The total Incom8 for th8 year was 3.7% hlgh8r Ihan the provious 12 months. The total amount received from grants was
higher than previous years and is spllt bètween numerous providers so that Ihe rlsk ol losing all grant income al once Is
minimised. OangerPolnl makes a conscious decSsion to have multiple Income streams lo reduce the roliance on ju81 one
funder. Income generation was 51ighler lower due lo the liming ol the Easter school holidays Ihls year.
DangerPoint are proud to become Living Wage 8cciediled Ihis year. The lolal outgoing expenditure rem8ined on a p8r lo
Ihe yèar bolore despite ¢onsiderable investments in Ihe Solar inslallation. Fundino lor thg Solaf installation was 8pproved
from th6 UK Shared Pfosperity fund and has reduced the Onergy consumption. uts'lily costs and carbon foolprinl ol the
charily for many y88rs lo come. Another reason for the lower ulilily charges was due to lower LPG costs 8s the new
healing system has been more energy efficlenl. The largest incre880 in expenditure for the year was for the rent lor the
building which Is very kindly provided by ENI UK LTO. Dang8rPoint is also benefilllng from the Charilable & Loisure &
Retail rale$ reliel available from Flinlshire County Councll.
DEVELOPMENT8IEVENTS 2024.25
MARKETING AND MEOIA..
Thls yoar, wg have acllvely partlclp8led In several sodal media campaigns across multiple plafforms, including RNLI
SOS D8y, Drownlng Preventlon Week, Safer lTrlerng1 Day, Child Safely Week. 8nd North W8le8 Fire and Rescue
Servicg's Wlldfire Wise ¢amp8ign. Additionally, wo supported Road Safèly Week by coordinallng the placement ol a
Iraclor unil on our forecourt and inlroduclng an addllional zone to th8 louT, led by drlvers from F8rr811'8 Group who
previously sponsored our road scenarlo.
As well as supporting Rail Safely Week. we havo completed 8 promotional video hlghlighling our partnership wllh
Tran5POrt for Wales, following Ihe rebranding of our Iroln scenafio. Thls vldeo showcases th& collaboration belween
DangerPolnl and Tfansport for Wales, emphaslsing key rall safety messages delivered by our Rangers. alongside
footage of 8chool pupils partlcipallng in our guid&d tour.
Over th8 past year, w8 have participated in a variety of onlina training sessions lo enhance Ouf digital capabilille$. These
Include an Al webinar, and a session tilled Elevating Social Media Conlenl, both delivered by Chafily Digilal, as well as
Social Medi8 Accessibility wilh Media Trust and Toolkits to Improve Digital Teamwork with Insynch.
Addllionally, Donna has suc¢e$$fully completed her Level 3 Dlploma In Social Media lor Business through Coleg
Ll8ndrillo Menai, further 8lrenglhoning our inlemal 8killset.
We continu6 lo malnlaln 8nd update our webslle lo ensure current and accurate Information is 8V8ilable. We also
recently updated OLfrr proflle on the Safely Cenlre Alliance webslle, Incorporallng up-lo-dale conl8nl and recent
photographs. To malntain conslsloncy across the allianca. w6 have also requ&sled Ihal other member cenlros provlde
lheir1o1&sl updales.
Page 5

Dang0rPolnt Llmlted
Report of the Trustegs
forthe year ended 31 March 2025
SAFETY CENTRE ALLIANCE:
DangerPoint maintained ils active membership and volunlary involvement in the Safely Centre Alliance {SCAI throughout
2024-25, continuing lo suppori the network in the roles of Treasurer and Communications Officer. As part of our
commilmenl lo collaboration and continuous improvement. represenlalives from DangerPoinl vlsiled lellow safety
cenlres in Birmingham and Newcastle lo observe the developments and enhancements they have implemented since
our previous visits.
SOCIAL IMPACT:
We received a certificate from N1811 Waller, S6rvice Managgr for Ent9fpris8, Environmonl and Economy from Fllnlshlre
Counly Council lo celebrate Dang8iPoint generating £510,30S of Social valuo between April 2023 and March 2024.
DangerPoint are part of1*6 sle8ring group of Ihg Soclal Enlerprlse partnorship lo holp measure and record Fllnlshire's
Social Value. We Input Dang8rPoint's monthly daia and 8ppropriate ovidence Into an online Social value portal that FCC
audits al Ihe end ol th8 year.
TRAINING:
Mombers ol Ihe leam have completed their Flr8t Aid al Work, Child Safeguarding, Child online safely awarenfjss,
Equality, Diversity & Inclusion awareness. Autism awareness and Food hygieno certificales during the year.
FIRE8AFE:
We maintained our partn6rship with North Wales Fire & Rescue Service lo deliver the Fir8Safe programm8 throughout
2024-2025. Up lo March 2025. 16 young peopl8 We￿ ￿ferred for assessment to determine Ihoir suitability for the
Fiiesale inlorvenlion. These referrals were calegori$ed 8s follows:
Tolal number ol Referrals
Pre.FlroSofo
Pre-FireSalo deliverod
Pre.Coursg A$sessm8nt
16
Completed
FlreSaf8 x4
Fir8Safe x10
Pre-course Asso$8ment
Non-compllanl Parenl
Non.¢omplianl Child
Unsuil8ble
IMPROVEMENTS 2024- 26
arbon rodu¢tlon plan: Thanks lo funding Irom the UK Shared Prosperlly Fund, DanggrPolnl were able lo inslall 38
solar pan81s on ils south facing roof aspect and installed Ihreo batterles lo provide PQW8f duiing Ihe evenings. The
inslall8llon was completed in June 2024 and has generaled over 24 Megowall hours of electricity 51nca. DangerPoinl h8$
used 19MWh and exported or used Ihe rest for char9ing Ihg ba116ries. Thi$ has seved 17.53 lonnes of C02 which 1$ the
equivalent of planting 289 Iregs.
Beach dlsplay.. Thanks lo funding from the Flinlshlro community Chest, DangorPoinl were ablo lo purchase and inglall a
new TV and madla seryer so Ihal In8le8d of one vldeo r6s0urce avallable, we have thre8, all avallable blllngually. Th6
new rosources follow RNLI'S new updated messages around 'Float lo Live,. The prevlou8 TV had been installed since wo
opened In 2005 and was really Inefflcl8nl. The new TV wlll us& a lot less e16clrlclty.
Traln re-brand.. Tho train fe-biand from Arriva lo fr8n8POrt for Wales 1$ now complele with new seals, carpel and wall
pang15 and all the walls ware p8lnled Inslde th8 Ifain ¢arriag8. We've also added updaled 81iGkers 8nd some luggage.
Bedroom refresh: We applied lo 'Nèxl' Charitable Giving lo rep18ce the bedroom furniture as il was looking a lill1& dalad
arbd tally, plus we wanted a more gender neulfal colour scheme. Next approved our 8ppllcallon and have sent a new
bed, chest of drawers, accessories and soft fumishing5 and also 8sked il there was any other foomlscenario Ihey could
help with. W8 have sent Ihem photos ol our lounge and Ih8y are looking oul lor suit8bl8 ilems ol lurniture for us. We
have painted the bedroom and repl8ced the c8rp81 Teady for the new school term.
Sustalnable Futur68 (rocket display-phase21'. We reeelved fundlng from Enfinlum to update our recycling display as we
found th81 the conslanl use of actual recyclirtg products being pul in the iockel boosters wasn'l practical due to the items
becoming damaged over lime or becoming lammed. The new display features 2 x 32" touchscreens, where the pupils will
have lo sort several waste products Into Ihe besl option in reference to the waste hierarchy: reduce, reuse. recycle,
recover or dispose. Once they have worked through all 6 items, the rockets still lift off lo planet Gaia! Tho Rangers had a
staff training day on the 2nd September on the new updales. We welcomed colleagues from Enlinivm to view the new
scre9ns and software that had boen made to the sustainable futures display with thanks to the funding awarded as parl
of Enfinlum's £50,000 Community Benefit Fund.
Page 6

Report of thg TIu8tg0$
for tho year ended 31 March 2025
FINANCIAL REVIEW
RoseNes policy
The reserves that we have sel aside provide financial stability and the means for the development of our educational
aclivilies. We intend lo mainiain our rosorves al a level which is al least equivalent lo covering unforeseen oporalional
andlor maintenance costs. between 20Yo and 30./• of annual operating expenditure. This will ensure that there is
sufficient cash flow for instances whèn perhaps Grants or Invoices are nol recgived on Ilme or when expected. The
amounl of Unreslricled fund$ or reserves held at any one lime can be seen on the Budgeucash flow spread$heel which
Is shared with Trusteès on a monthly basi$. The Board regularly reviews thè amount of res8Ne$ that are requifed lo
ensure that they are adequate lo fulfil our contlnuing obligations.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governlng documont
The charity is controlled by its governlng document, a deed of Irusl, and conslitule$ a limited company, Ilmlted by
guarantee, as defined by Ihe Companles Act 2006.
Rl8k m?nagomont
The Iruslees have a duly lo idelllify and rgviaw Iho risks to which the charity Is exposed and lo ensure appfopfi818
conlfols are In place lo provlde r&a80nab16 8ssur8nco against fraud and 8rior.
Th8 Iruslees continue lo assess the major risks lo which the company is exposed as part of the strategi¢ plan of Ihe
Charity. Risks identified will bo fegularly reviewed and systems lo mitigate such rlsks will be Implemented
REFERENCE AND ADMINISTRATIVE DETAILS
Roglstorod Company number
05385184 {Eng18nd and Wale81
Reg18tered Charlty numbor
1110156
Rggl¥torod offl¢o
Granaries Bu$lne99 Park
Slalion Road
Talacre
Flinlshlre
CH8 9RL
TrustQO0
Mr W Harris Ichairman appolnled 3161251
Mrs C T Perclval Isecrelaryl
Mr P A Hlnchlilf8 Ivlce Chairman)
Mr A Gwenler
Mrs H R MacArthur
Mr R Griffith
Mr J S Thomas
Mrs A Blakeman
Mi C Foulkos ICh8lrm8n re8igned 3161251
Mr L F FitzHugh (resigned 61111241
D V Evans lappoinled 3161251
Ms O V Sllcock (appolnled 4131251
Company Sg¢r•tary
Mrs C T Percival
Independent Examlner
Aled Owen Roberts
Sali9bury & Company
Chartered Accounlanls
Irish Square
Upper Denbigh Road
Sl Asaph
Oenbighshire
LL17 ORN
Approved by order of the board of trustee5 on
and signed on its behalf by..
arrls Trustee
Page 7

Independent Examiner's Report to the Trustees of
DangerPoint Limited
Independent examinerfs report to the trustees of DangerPoint Limited I'the Company'l
I report to the charity Iruslees on my examination of Ihe accounts of the Company for the year ended 31 March 2025.
Responsibilities and basis of report
As the charity's Iruslees of the Company {and also Ils directors for the purposes of company lawl you are responsible for
the preparation of the accounts in accordance with the requirewenls of the Companies Act 20061'lhe 2006 Acl'l.
Having satisfied myself that the accoLJnls of the Company are not required to be audited under Part 16 of Ihe 2006 Act
and are eligible for independent examination, I report in respect of my examination of your charity's accounts as carried
out under Section 145 of the Charilies Act 2011 {'Ihe 2011 Acl'l. In carrying out rry examination I have followed the
Directions given by the Charity Commission under Section 145151 Ib) of the 2011 Act.
Independent examinerfs statement
Since your charily's gross income exceeded £250,000 your examiner musl be a member of a listed body. I can confirm
that l am qualified lo undertake the examination because l am a member of the Inslilule of Chartered Accounlanls in
England and Wales, which is one of the listed bodies.
I have completed my examination. l confirm thal no matters have come lo my attention in connection with the
examination giving me cause lo believe"
accounting records were not kept in respect of the Company as required by Section 386 of the 2006 Act., or
the accounts do not accord with those records", or
the accaunls do not comply with the accounting requiremenls of Section 398 of the 2006 Act other than any
requirement that Ihe accounts give a true and fair view which is not a m811er considered as part of an
independent examinalion.. or
Ihe accounts have nol been prepared in accordance with the methods and principles of the Slalemenl of
Recommended Praciice for accounting and reporting by charities (applicable lo charities preparing their accounts
in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 10211
I have no concerns and have come across no olher matters in connection with the examination to which attention should
be drawn in this report in order lo enable a proper understanding of Ihe accounts lo be reached.
Aled Owen Roberts
Salisbury & Company
Chartered Accounlanls
Irish Square
Upper Denbigh Road
Sl Asaph
Denbighshire
LL170RN
Dale
Page 8

DangerPolnt Llmlted
Statemont of Flnancl81 Actlvitlèy
for the year ended 31 March 2025
2025
Total
funds
2024
Total
funds
Unreslricled
furMIs
Reslricled
funds
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
133,463
90.514
223,977
212,302
Charltablo actlvltl8$
Vislls
Firesaf8
General
Transport
35,528
71,494
12,500
107,022
12,500
43,442
14,200
58,724
23.095
25,923
25.923
Other trading acllvilles
Oiher income
20,226
2,870
20,228
2,955
23.730
2.790
85
Tot81
192 087
200 516
392 603
378 283
EXPENDITURE ON
Charllable actSvStl08
Transporl
General
SEDA
Firesafe
36,355
13,152
13
52
36,355
64,346
13
52
36,967
71,125
16
10
51,194
Other
170.513
121,075
291,588
284 174
Total
221707
170.647
392 292
NET INCOMEIIEXPENDITUREI
Transfers botween fund8
(29.620)
4,213
29,869
4,2131
249
114,0091
Not movement In funds
{25,4071
25,656
249
114,009)
RECONCILIATION OF FUNDS
Total lund$ brought forward
129,451
108,577
238.028
252,037
TOTAL FUND8 CARRIED FORWARD
238 277
238 028
The notes form part of these financial slalemenls
P8ge 9

Dangerpolnt Llmlted
Balance Shoet
31 March 2025
2025
Total
funds
2024
Total
funds
Unrestricted
funds
Restficted
funds
Not08
FIXED ASSETS
Tangible assets
69,957
117,064
89,384
47,107
CURRENT ASSETS
Debtors
Cash at bank and In hand
9,645
152 125
14,422
14,422
155 921
64.663
105.680
170.343
161.770
CREDITORS
Amounts fallln9 due wllhln one year
10
(7.726}
(41.4041
(49.1301
{13,1261
64,276
121213
148 844
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT LIABILITIES
104,044
134,233
238,277
23B,028
134233
238 277
238 028
NET ASSETS
FUNDS
Unreslricled lunds
Restricted funds
11
104.044
134.233
129.451
108 577
238.277
238.028
TOTAL FUNDS
The charitablè company 18 entltled to exempllon from audit under Sectlon 477 01 the Companies Act 2006 for the year
ended 31 March 2025.
Tho members have nol roqulred th8 company lo obtsln an audil of Its flnanclal $1818menls for the year ended
31 March 2025 in accordance with Secllon 476 of Ihe Companies Acl 2006.
The trustees acknowlodgo thelr responslbllilles for
(al
ensuring Ihal the chafilablo company keeps aC￿untIng recnrds that comply ￿th Sectlons 386 and 387 01 thè
Companies Acl 2006 and
preparing flnanclal statements whlch glve 8 true and folr vlew of thg sl8le of affalrs of the chafltab19 company ag
at thg end ol each financlal year and ol It8 surplus or deficlt lor each financlal yeaf In 8ccordance wllh the
requirements ol Sectlons 394 ond 395 and whlch oth¢rwi$e comply with the Tequiremanls of the Companies Act
2006 relating lo financial slatemenls. 80 lar as applicable lo Ihe chaTitable company.
Thèse fin8nclal slatemenls have been prepared in 8¢cordan¢e with Ihe provislon$ 8ppllcable to ¢h8rll8ble companies
subject lo the small companies fegime.
The flnancial 8latements were approved by the Board ol Trusteos and aulhorised for Issue on
(bl
2U,A.5....
and ware signed on118 behalf by..
arrts Trustee
The notes form part of these financial slalements
Pag8 10

DangerPolnt Llmlted
Notes to the Flnanclal Statements
for the year ended 31 March 2025
ACCOUNTING POLICIES
Basls of preparln9 the flnanclal statements
The financial slalements of the charilablo company, whlch is a public benefit enlily under FRS 102. have be8n
prepared in accordance wilh the Charities SORP (FRS 1021 'Accounlin9 and Reportlng by Chafili8s'. Slalement
of Recommended Practice applicable lo charilies preparing their accounts in accordance with Ihe Financial
Reporting Standard applicable in the UK and Republic of Ireland {FRS 102) leffeclive 1 January 2019),. Financial
Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Republic of Ireland. and the
Companies Act 2006. The financial stalemenlg hav6 been prepared under Ihe hlslorical cost convention.
Income
All Incomo Is recognlsed In th8 Statement of Flnancial Aclivilles once the chadty has enlitlemenl to the funds. it is
probable that the incom8 wlll be received and the amount can be measured r8llably.
Expendlture
Liabililles ar6 recognised as expendiluro as soon as (here Is a legal or conslruclivg obllgalion Gomrnltllng the
¢harily lo that expènditure, il is probable Ihal a Iransfer of economic benefits will be requlred in selllemenl and
the amount of the obligation Can b& measured rèliably. Expenditur8 is accounted lor on an accrua15 basis and
has been ¢las81fl6d under hèading8 Ihol oggregate all cosl re181ed to the category. Where costs Cannot be
directly allribuled to p8rti¢ular headings they have been 8llocaled lo aclivi118s on a basls consistent with lh8 use
of r6source8.
Charllable actlvltlg0
Gr8nl income is recognised in the Slalemenl of flnanclal activities In accordance wlth the terms of the grant. Al
tho end of Ihe financial year any grant underspend Is fepayablo and an accrual for this amount is includod in the
accounts.
Doferrod In¢omo
Dug to 8 change In accounting pollcy durlng 2025, Income fecoivod in advance ol the Provlslon of a spoclfied
servlc8 or performance condltlonls now def8ffod until the charily 13 entlued lo that Income. Th18 included gran18
and don81ion8 that 8re sublecl lo performance-relaled ¢ondillons, or where income h08 been recelved in advance
of the peTiod lo which It relates.
Tanglblo flxèd asset$
Depfecialion is provided al the following 8nnual retes in Older lo wrlte off each assel over ils esllmaled useful lilts,
Long leasehold
slraighl line over the life ol Ihe18ase
Planl and machlnary
20VD on reducing balance
Fixtures and fillings
150A on rgdu¢lng balance
Taxatlon
The charily Is exempl from wrporalion tax on Ils charitable 8clivilles.
Fund accountlng
Unrestricled funds ¢8n be used In accordance wilh the charitable oblecllves at Ihe di8crelion ol the Iruslees.
Re8lrlcled lunds Can only be used for particular r8slrlcled purposes wllhin Ihe oblecls of the charity. Reslriclions
arlse whon sp8¢lfled by the donor or when funds are r8lsed lor particular reslrlcled purpo$es.
Further oxplanallon of lh& nature and purpose of each fund is Included in Ihe nolB5 to the finan¢ial 818lemenl$.
Pgn$lon cost8 and other post.retlrgment benellts
The charilable company oper8les 8 defined contribullon pgnslon scheme. Contributions payable lo the
charitable company's pension scheme 8re charged lo the Slalemenl of Financial Activities in tho period lo which
they relalo.
Donatod goods
Goods, facilities and services donated to the charity are recognised in the accounts as Incomè and expenditure.
Donated goods, facilities and services ar6 measured al markel value.
Pago 11
continued...

DangoTPolnt Llrnlted
Notès to the Flnanclal Statements - contlnued
for the year ended 31 March 2025
DONATIONS AND LEGACIES
Donatlons, Grants and Trusts
Unr
slficled 20
Ariiva North Wesl
tr111
3,000
Cadwyn Clwyd
CGI
Enfinlum
Eni UK
Farrells Group
Fllnlshire County Councll
Flinlshire Community Chegl
JD&Rlces
King$pan
Millennium Stadium Trust
Nelwofk Rall
North Wales Fir88 & R8sources S&rvice
North Wales Police & Communily Trust
Parc Adfer
PCC for North Wales
Rhyl Fire Brigade
SP Energy Nalwork8
S¢olli8h Power
Thom8s How811
TMUK
Transport Wales
Vlnt899 Tractor A$$o¢l8tSon
Wales & Wesl Ulililies
West Mldland Flr8 Servlce
Sundry Donations
Oonaled Services
32,891
32.891
4,000
6,103
12,000
6,103
24.000
12,000
24.000
3.000
13.123
13,123
1,000
13.123
1.000
1,000
3.000
1,000
1,000
3,000
3.900
4.000
-1,870
4,991
13,488
3,000
250
17,000
3,000
4,000
4.000
8,500
8,500
750
10,000
750
10,000
2.000
5,000
250
5,000
1,000
800
5,000
6,000
800
5.000
100
441
107,270
5,000
100
185
256
107,270
540
103.631
133.076
90,901
223,977 212,302
CHARITABLE ACTIVITIES
2024
ric
Educational visits
Firesafe Project
Granl$'.
Clocaenog Wlnd Farm
Community Found81ion
Tasco Communlly
Gwersylli Communlly Council
Gwynl Y Mor
Masonic Charlly Foundalion
Neumark Foundation
Poslcode Communily Trust
The Electrical Safely Council
Garfield Weslon
35.S28
1,360
12,500
36,888
12.500
43,442
14.200
8,378
780
1.000
2.742
24,725
2,000
33,227
18.205
5,000
8,378
780
1,000
2,742
24.725
2,000
33.227
18,205
5,000
10,609
2,704
24.840
23,667
96,507
96,507
81,820
35.528
109,917
145.445
139.462
'DangorPoinl partner
Page 12
conllnued...

OTHER TRADING ACTIVITIES
2025
2024
Shop income
Hire & refreshments
Activily Book
2.625
3,194
14.407
3.608
3,728
16.394
20,226
23,730
EXPENDITURE ANALYSED 8Y NATURE
Unreslricled
Restricted
2025
2024
Charltablo actlvltles:
Premises costs
Office & admin cosls
Proj&cl delivery costs
Tradlng costs
Governance ¢0818
Finance costs
Other costs
D8preclallon
28,487
3,672
2.036
3,013
3,346
742
1,464
677
52
38.355
29.164
3.724
38,391
3.013
3,346
742
1,564
30,172
11,476
39,379
2.882
3,358
954
3.917
100
51,194
49,572
100,767
108,118
Other:
Staff costs
Premis89 cost8
Other costs
97,358
72.444
711
170,513
121,075
218,433
72,444
217,398
66,326
121.075
291,588
284.174
Page 13
continued...

DangorPo5nt Llmlted
Notes to the FlnaTr¢lal Statements . contlnuod
for the year ended 31 March 2025
NET INCOMEIIEXPENDITUREI
Nel incomel{expendilurel is staled after chargingl{crediting)'.
2025
2024
Auditors, remunerallon for non audit work
Depfecialion - owned assets
1,260
20.822
990
15.981
TRUSTEES. REMUNERATION AND BENEFITS
There were no Iruslees, remuneration or olher benèfils for the year ended 31 March 2025 nor for the yoar ended
31 March 2024.
STAFF COSTS
The averago monlhly number of employees during the y&ar was as follows..
2025
2024
Centr& staff
Admln and support
Sesslon81 workers
12
12
No employees recolved emoluments In excess of £60,000.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
lund8
Reslricled
funds
Tolal
funds
INCOME AND ENDOWMENTS FROM
Donations and legacles
203,485
8,817
212,302
Charltable actlvStle8
V1811s
Transport
G8n8ral
Flresafo
Other trading activities
Other Incomo
40.907
2,535
23,095
43,442
23,095
58,724
14.200
23.730
58,724
14.200
23,730
Total
329 636
378 283
EXPENDITURE ON
Charltablg actlvltles
Transport
General
SEDA
Fir888fe
36,967
7.575
16
10
36,967
71,125
16
10
63,550
Other
278,737
5,437
284 174
Total
342,287
50,005
392,292
NET INCOMEI{EXPENDITURE)
Transfers betwèen fund8
112.651)
{1,358}
114,009}
Net mov¢mont In funds
9,019
123.0281
{14.0091
RECONCILIATION OF FUNDS
Total funds brought forward
120,432
131.605
252,037
Page 14
contlnued...

DangerPolnt Llmltod
Notes to the Flnanclal Statements - ctsntlnuod
for the year ended 31 March 2025
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES - contlTrued
Unreslrlcted
lunds
Reslricled
funds
Total
funds
TOTAL FUNDS CARRIED FORWARD
129,451
108.577
238,028
TANGIBLE FIXEO ASSETS
Fixtures
and
rilllngs
Long
183sahold
Plant and
machlnery
Totals
COST
At 1 Aprtl 2024
Addiltons
589,963
84,786
173,980
848,729
48,502
At 31 March 2025
589 963
222 482
897,231
OEPRECIATION
At 1 April 2024
Charg6 for year
589.963
81,981
560
87,401
20,262
759.345
20.822
At 31 March 2025
589 963
107 663
780,167
NET BOOK VALUE
At 31 March 2025
114819
117.064
At 31 March 2024
89,384
io.
DEBTOR8: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Trade deblorg
Prepayments
12,681
8.494
Page 15
conllnued...

DangèrPolnt Llmlted
Notgs to the Flnanclal Statements - contlnued
for the year ended 31 March 2025
11.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Trad8 creditors
Social security and other taxes
Other creditors
Deleired income
Accfued expense8
1.651
3,433
244
41,388
6.661
4,124
302
49,130
13,126
D&fèrrgd Incom•
08ferfed income represgnls amounts received by the charity in advance of the p&riod lo which they relate. These
amounts will be r6cognl$ed as income in the Slalement of Flnancial Aciivilies in future a¢countSng perl¢xis when the
Pgrforman¢e condilions are mel.
Al 31 $1 Mafch 2025, deferred income compfised..
Clocaenog Wind F8m
Communlly FoundatSon
Garfield Weston
Gwynl Y Mor
Masonic Charity Foundation
Neumark Foundation
Poslcode Community Trust
Your Communlly. Your Cholc8
718
216
20,000
886
8.008
1.274
5.295
4.991
41,388
P8ge 16
conllnued..

DangerPolnl Llmlted
Notes to thfj Flnan¢lal Statements - contlnued
for the year ended 31 March 2025
12.
MOVEMENT IN FUNDS
Net
movemenl
in funds
Transfers
between
funds
At
3113125
At 114124
Unrestrlct6d funds
General fund
Firesgle
127.451
2,000
129,620)
6,314
104.145
129.451
(29,6201
6,314
104,044
Restrlcted fund8
Transport
Miscellaneous reslriGled lund
Sanlander SEDA
Fir8safo
co.op
Redundancy fund
Educallonal Vislls
13.069
37.453
64
7,334
5,657
45,000
(5,3751
27,876
1131
9,957
(8481
{2.9271
1361
4,767
65.293
51
13,940
4,809
45,000
13.3511
108,577
134,233
TOTAL FUNDS
238,028
249
238,277
Net movemenl In lund$, induded in the abovo are a5 follows:
Incomlng
resour¢g$
Rgsource5
expended
Movement
in lunds
Unrestrlcted funds
Gengral fund
192,087
1221,7071
129,620)
R88trl¢ted fund8
Transporl
Miscellaneous roslricled fund
Sanlander SEDA
Firesale
Co-op
Sponsoishlp
Educ811onal Visits
30,980
40,179
(36.3551
{12,3031
(131
12.5431
18491
{37,5001
15,3751
27,876
1131
9,957
18481
12,500
37,500
79,356
200.516
170 647)
TOTAL FUNDS
392 603
392 354}
249
P8ge 17
continued...

DangerPolnl Llmlted
Notes to the Flnanclal Ststements - contlnued
forthe year ended 31 March 2025
12.
MOVEMENT IN FUNDS. contlnued
Comparatlvès for movèmont In funds
Nel
movement
in funds
Transfers
between
funds
Al
3113124
At 114123
Unrestrlctod funds
General fund
Flresafe
118.432
112,6511
21.670
127,451
120.432
Rostrlcted fund8
Transport
Misc8llaneous reslrlcl8d fund
Sanlandgr SEOA
Flfosafe
co.op
Redundancy fund
Maintenance
{12.6511
21.670
129,451
19.823
42.846
80
2,200
6,656
4S,000
{1,504)
(5,393)
116)
6,554
{9991
{5.2501
13.069
37,453
64
7,334
5,657
45,000
11,420)
15,000)
131605
216701
108 577
TOTAL FUNDS
252,037
14 0091
238.028
Comparative n81 mov&monl in funds, included In lh6 above are as follows:
Ineomlng
re8ourc98
Rosources
exponded
Movem8nl
In lunds
Unro8trlctod fund8
General fund
329,636
1342,287)
112,651)
Rostrlcted fund$
Transport
Miscellaneous r8$lricl8d fund
Sanl8nd8f SEDA
Firesafe
Co-op
35,463
1.184
136,967)
(6,577)
116)
12,001
(5.447)
1) ￿998}
11,504)
(5.3931
116}
6,554
48,647
50,0051
TOTAL FUNDS
378 283
392 2921
14 0091
Santand¢r SEDA
Thls fund existed to support a markoling posl and some equlpmenl which Is slill held by the charity.
Mlscellanoous re8trlctèd fund
This is made up of various restri¢18d fundlng which Is provided lo pur¢h88e equipment and pay for cenlre
update8 8nd improvements.
Flro$afo
Firesafe Is a fire selling In18rvenlion that DangerPolnl coordln818 on behalf of North Wales Fire and Rescue
Service.
co.op
Co-op installed a new shop scenario with operallonal fixtures and fillingg for the use of vlsllor$.
Redundancy
Fund is used in the unlikely ¢venl that Dang&rPoinl would hav8 lo close.
Page 18
continued...

DangerPolnt Llmlted
Notes to th¢ Flnanclal Statements . ¢ontlnued
for the yoar ended 31 March 2025
13.
RELATED PARTY DISCLOSURES
The Charity receives a number ol donationsldonallons in kind from ils stakeholders and other parties, as sel out
in the Trustees, Annual Report.
The Charity 1$ not required lo disdose details ol unreslricled donations received from related parties, unless they
are Considered material nor for routine unremuneiated services provided. Howov6r. all amovnls are disclosed in
note 2 to the Ac¢ounls.
Al 31st March 2025, DangorPoinl Trusleos had Inloresls with other charitable organlsalions as follows..
Lloyd Fltzhugh
Paul Hlnchliffe
Stephen Thomas
Cerys Percival
PACT (Police and Communlli95 Trust)
Police and Communlly Trust Trustee
Sl Kenligern Hospice, Polic8 and Communily Trust, Cynnlg Glyndwr.
111 Mynydd Isa Scout group
No amounts were paid from Dang8fPoinl lo any of Ihe above ch8rf1able organi8allons.
Al 31st March 2025, a number of Trustees had roles within the following organisalions wheio there were related
Iransaclions. fundiaising. in¢om6 in kind or payments rrtade for services lo DangerPoint'.
Andrew Gwenler
ENI UK Limited
C8ry$ Percival
ENI UK Limited
H81on MacArthiJr
North Wales Fire and Rescue S8rvi¢e
Amanda 8lak8man
North Wal08 Polic6
14.
LEGAL STATUS OF THE COMPANY
The company 1$ limited by gu8r8ntee. Each Iruslee guar8nte8s £1 {one pound).
DONATED GOODS
15.
The total v81ue of goods, facililleg and 8erv¢ceg donalod lo the ¢h$rity in the year was £107,270 12024..
£103,631). split out a8 follows..
Enl UK Llmlled (Rent)
North Wales Fire & Rescue gefYice- Admln Support IWage81
£72,444
£34,826
16.
LEASES
Dvrlng tho year. the charity occupled premi888 under a188se agre¢monl commenclng In
Decgmber 2023 for 8 5-year period.
The rent payable under the lease was £72,444 for the year, which wa8 paid directly by the landlord
on behalf of the charity.
Page 19

DangerPolnt Llmlted
Detallèd Statomont of Flnanclal Actlvltles
for the year ended 31 March 2025
2025
2024
INCOME AND ENDOWMENTS
Donatlonts and legacle8
Gift aid
Donations Grants and Trusts
Donated saNi¢es and facilities
223
116,484
107.270
108,671
103 631
223,977
212,302
Other tradlng actlvltS05
Shop incom8
Hire & refr8shmenlg
A¢livily Book
2,625
3,194
3,608
3.728
16,394
20,226
23.730
Charltable acllvltle8
Educational Visils
Fir8sale Pfojecl
Grants
36,888
12,SOO
43,442
14,200
145.445
139,461
Oth•r Incomg
Bank inter951 received
Mi8cell8neou$ Income
2.663
292
2,540
250
2,955
Total Incomlng re80urces
392.603
378,283
EXPENDITURE
Charllablg actlvllla8
Rale$ and water
Insur8n¢g
Llghl and heal
Telephone
Posl, 8lalion8ry. advorts & IT
Edvcalbonal aclivllles
Repalr$ and malnten8nce
Bank charges
Conference and Ir8lnlng
Coach & school travel
Purchases for re$¥lg
2.754
5.704
9,361
514
3,209
1,826
11,345
742
1,013
36,565
930
6.122
9.619
475
11,001
2,412
13,501
954
3.917
36.967
76,046
88,780
Other
Wages
Social securlly
Penslons
R&nt
Refreshment & calerlng
196,667
8,762
13,004
72.444
711
196,829
8,179
12,390
66,326
450
291.588
284,174
Support costs
Management
Sundrles
551
This pag8 does not form part of the stalulory financial stalemenls
P8ge 20

DanggrPolnt Llmlted
Detalled Statement of Flnanclal Actlvltles
for tho year ended 31 March 202S
2025
2024
Managoment
Other
Depreclation of tangible fixed assets
20,823
15.980
Govornan¢g CO8t8
Auditors, remuneration for non audit work
Independent gxaminalion fee
Prof8ssional lees
1,260
1.260
826
990
990
1,378
3.358
Total resources exponded
392,292
Net Incornellexpondltur¢}
249
14,0091
This page does nol form part of the stalulory financial slatements
Page 21