Cuckmere buses
Cuckmere Community Bus Ltd
(Registered Charlty 1120494)
Trustees, Report and unaudited Accounts
31 December 2025

Cuckmere Communlty Bus Ltd
2025 Report and unaudited Accounts
Contents
Page
Contents
gal and AdmiDi5tratNe DetaNs
Annual Review
Independent Examinerfs Report
Income & Expendtture Account
io
Balance Sheet
li
Funds Flow Statement
12-14
Notesto the Accounts
15
Graphs- &year trends
16
Our Current Fleet

Cu¢kmere Community Bus Ltd
Annual Report
for year ended 31 December 2025
Legal and Admlnlstrative Detai15
Le8al Status
- company/charity name- Cuckmere Communtty Bus Ltd
- England & Wales Charity Commission reBiSter number 1120494
- England & Wales Registrar of Compan￿$ register number 06032LMXI
- trading name- Cuckmere Buses
- website address for charity- www.cUckM￿bUSe&0lg.uk
ObJects
The objert of the Company is toprovide a communtty bus and a communltytron5POrt seftrf￿, Including
prwate hlre, forsuch ofthe inhabitsnts of East and Westsussex and the City of Brighton and Hove who
a￿ In need of such a service because of age, sickness or di5abilty (mentsl or physical), or poverty, or
because of a lack of wlailability of adequate aNI safe pthlic pa55erEer ser￿.
Tru5teeslDirertors
Philip Montague Ayers
Nicholas Brièn Price
Wayne John Evenden
BerylAnne Smith
"Paul PatrKk Warren
Prtnclpal PAldress
The Old Rectory
Litllngton
Polegate
East Sussex
Arthur J Gallacher
34 Tower
Kiw Hill, West Mallin8
Kent
ME19 4UY
BN26 5RB
Bankers
Barclays Bank pk
CcH)perative Bank plc
CCLA Fund Manager5
Independenl Examiner
Sarah Price- SLP A(fvisory Limited

Cuckmere Community Bus Ltd
Annual Review
for year ended 31 December 2025
The Trustees, who are also Directors of the companyfor the purposes of the Companles Act 2006,
present thelr report with the financial statements of the charity fi)r the year ended 31 D￿mber
2025. The trustees have adopted the provisions of Accounting and Reporttng by Charitie5: Statement
of Recommended Prartice applitsble trj charitles preparing their ac£ounts In accordance wEth the
Flnanclal Reporting Standard applicable in the UK and RepUl￿1C of Ireland IFRS 1021 leffectlve I
January 20191.
ft￿ew ofAthttloS
Cuckmere Buses is the trading name for Cuckniere Cornmunty Bus Ltd {CCBI, a charitable limlted
company based in Berwick. East Su55ex. 11 has l)een runnlng for 49 years supplementlng existln8 bus
servI￿S and providing bus link5 for village ￿sIdents throughout the Cuckmere Valley area to their
nearest towns for Shoppi￿ for ap￿1￿tMents, orfor ￿ela} activities.
OUR VISION is being the Community Bus seNice of cholce ITr our area, and OUR MISSION is providing
a safe, ￿lIable, and courteous local bus. Servi￿ those rur31 and urban communitles in our part of East
Sussex not seNed by commeraal compan*es.
CCB is run entirely by volunteers; there are Th) ernplo￿ We hbve some 50 volunteerdrivers, all with
DI classlftcation on their li￿nceS, and a few additional volunteers who all help rurt the fieet of 16-
seater low-floor Mercedes mini•bu5es. The MIDAS Iminibus Awareness Scheme} system of training
has been radically altered to the point where CCB no longer considers it appropr￿te for new driver
recruits or for continuing education and reassessment. CCB has instead developed its own training
and assessment xheme. at teast equivalent to MIDAS stsndard4 which has been ac￿pted by East
sussex County Counul and our Insurers. The value of volunteers to the organisation cannot be
overestimated. in terms of community support and company vsability. In addÉtKin to over 20 weekly
timetabled services. requtring nearty twi￿ as many half-doy shtfts. the company operates summer
leisure seNices and offers private hire facilitie& We also provide specsal annual servlces for the
International Tennis in Eastbourne, and the Charleston festlvals.
CCB remains a busy voluntary organisation and always needs new volunteers. Our ongoing
recruitment programme has resulted in a reasonable net Increase in drivers by the end of the year
and we are still looktngto increase numbersfurther in 2026. However,the Department forTransport's
review of the changirE need for DI I￿en￿ requirements for minlbuses is a positive move and may
result in us being able to access a broader driver pool, gi¥en that the DI I￿ence is currently only
available if a car driving test was pa￿d 1997. Although this re￿eW seems to have stalled
recent￿. we optimistically awalt tl* outcome of the consultation.
2025 Saw a modest Increase in passenger numbers over 2024, which was itself a record year, and by
the ye3r-end we had carried 88,267 {2024 87,9151 passengers which, not only exceeded the 2019
figure of 81,632 but is now the highest numbers of journeys we have ever catered for. In addition. we
ran some 168,67112024 159.042) miles and hope to see a continued Erovrth in passenger journeys
during 2026.

Cuckmere Community Bus Ltd
Annual Review
for year ended 31 December 2025 (cont)
The charity dtd nottake any new buses into seThtce during 2025 but dld pla￿ an order in July 2025 for
one new bus with delivery scheduled for January 2026 with the alm being for It to enter service in late
March 2026 with a special Il¥ery celebrating the charitvs 50 year. This means that the year end the
fleet remains at eight min￿1 uses. The charity wa5 fortunate to be awarded a grant frorn the Garfield
Weston Foundation for£l0,0￿toWaIds costof new 2026 addition and the charity thanks the
trust for their kin(i donation.
Roadwo￿ and road closures continued to present major challenges durlng the year. especlally In
Hailsham town centre, which often resulted in delays, rfrscheduled and r&routed serrflces ènd
re8rettably. some cancellallon& Hopefullythese will ease durlnE 2026.
The ¢harlty operatesefficlent￿to a high st*)dard under the control of the Board ofTrustees who met
formally on four occasions durtng the year. They reviewed operations of the company, fts financial
P051tion, and the outlook for the future. In addition. two stskeholder meetlngs consisting of
presentatives of parish and town councll s and company Offi￿r5 were held, plus the AGM In Apfil.
The annual soaal gathering of ￿akehOlderS and drivers was held injuly and periodlc driverg meelings
were held during the year to review resource availabillty, services operated and passenger views.
Drivers provide a vitsl first p)int of contact with passengers and theirfeedback 15 Invaluable.
The trustees have complied with their dtrty to have due regard to the charity commissk)n's public
benefit guldance when exercisi￿ any powers or duties to which the guidance Is relevant.
Finan¢lal Performarte
The financial statements are Included on pages 9 to 14. All Income and expendlture are related to
unrestricted funds- there are no restricted nor endowment fund5.
Central and kjcal government contlnued financial support for bus operators generally durlng the year
by continuing to payfuel reba"teErnnts and conce5*Jnarytravel fares based on pre<ovid levels, along
with other 5UPPOrt gran￿ These government support initiatives, together with our volunteer
structure avoidin8 stsff costs and related overheads, plus maintenance cost5 reflecti￿ a relatively
vourE fleeL all helped the charity malntain a vlabk operdtingfinancial pOSit￿n.
With a gross income of £329,623 (2024- £339,027) and expenditure of £319,771I2￿24- £329,667),
the year ended with a modest surplus of £9.852 (2024 - £9,360). Year*nd net assets amounted to
£294,03912024-£284.1871 indudin8 cash at bank of £146.55812024-£114,309}. The charity operates
policy of holding cash reseryes to meet woiected ￿5h OU￿ayS taking account of sourcing
requlrements for acqulsltions under its bus repl8￿ment programme. Funds not required in the short
term are held in an approprfate deposit account. At the end of the year. the Trustee5 agreed an
unrestricted bus replacement reserve fund of £50.IIXI 12024 - £20.IX)O), to cover future bus
acquisitions.
A high-level five-year trend of finances, passengers and miles run is sTrK)wn graphicalw on page 15.
The Trustee5 have not identified any major uninsured risks to which the charty ts exposed.

Cuckmere Communlty Bus Ltd
Annual Revlew
for year ended 31 December 2025 (cont)
STrUCTURE GOVERNAhlCE AND MANAGEMEMT
Governlng document
The governing document of the charity is the Memorandum and Articles of Assocration, which was
adopted in November 2CM)S on the f0m￿tiOn of the Cuckmere Community Bus as a company whlch
was reBiStered as a charity.
The current memtr*rs of the Company are all Dlrectors of the Company and Trustees of the Charity.
who meet quarterly to fl￿11 both func￿￿5 and Tkn moy stand fDr re•elecÈion at the next Annual
General Meeting.
Golng Concern
The TnJstee5 continue to monitor the ongoing Impacts the industry fa￿s, Including recovery of
passenger numbers as well as other events. particularly tevels of infktion and inueased fuel and
vehicle running ￿$ts. They have detemilned thaL vknilst signifKant. they do not create a materlal
Un￿rtaInty that casts major doubt upon the chariws ability to continue a5 a goi￿ concern.
Fo￿ard VIÈW
In additionto maintainmga strongoperational business base forthecharty,ourfocusoverthe coming
year will again be threefold. fwst, to continue to bu1￿ patrotiage numbers so we can provide SUF>POrt
to the same or greater level of deserying passengers we helped pre-pandemi¢ Secondly, to Con￿nUe
to develop our driver trnining* a5ses5ment and 5UPPOrt programme and thirdty, to contlnue wlth the
recruitment programme to increase the overdll number of volunteer driver&
As a result of ￿ntral govemmenvs positfve focus on the bus industry. a number of initiatives within
East Sussex may provide the opportuntryforCCB to Increase cur￿nt￿r¥Ice levels leadinglo increased
net revenues. We look forward to these possible developments during the coming year.
than8es in Tntsteesmirectors
There have L￿en no changes to afty of theTnstees or Dlrectors during 2025.
Acknowledgements
We are a SUC￿$$￿1 buslne55 in meetEng our mission aThJ as always, thanks go to our volunteer drrvers,
our regular pas*ngers, to everybody Involved in day to day runnlng of the organisation, and to
Berwick Service Station for keeping the buses well maintsined. Particular thanks also EO to the
ndlvlduals and local authorities who made donations to the charity during the year. A summary of
donation support is listed on page L3 of this report. Thank you all.

Cuckmere Community Bus Ltd
Annual Review
for year ended 31 December 2025 (cont)
STATEMENT OF TRusfEES' RESPONSIBiunES
The Trustees (who a￿ also Directors ofthe companyforthe purposes of company law} are
responsible for preparing the Report of the Tnjstees and the fFnancial statements in accordan￿ with
applicable law and United Kingdom Accounttng Standards (United Ktngdom Generally Accepted
Accounting Practi*).
Company law requi￿$ the trustees to prepa￿ financ*1 statements foreach financlal year which gfve
a true and faSrview of the state of affairs of the charltable company and ofthe incomlng resources
and application of ￿SOUr￿$. includirg the income and expenditu￿. of the tharitable company for
that period. In preparlng those financial ststements. the tn￿ee5 are required to
- select suitsble accounting poliaes and then appty them consistentty;
- observe the methods and prindples in the Charity SORP:
- make judgements and estimates that a￿ reasonal4e and prudent
- prepare the financial ststements on the going concern basis unless It is inappTOPTiate to presume
that the charitable company will continue in business.
The trustees a￿ Trsponsible for keeping properaccountin8 records whlch disdose wrth TraK*nable
accurary at any time the financial posttion of the charitable company and to enable them to ensure
that the financial ststements compty wilh the Companies Act 21J)6. Tly ate a150 re4)on5ible for
safeguarding the assets of the dwitsble company and heKe fortsking reasonable steps for the
prevention and detectlon of fraud and other Irregularttie
Approved by order of the board of trustees o
Aprll 2026 arKI signed on its behalf by:
Beryl Smlth. Chaimwll
April 2026

Cuckmere Community Bus Ltd
Independent Examinerfs Report
I report to the Board of Trustees/Directors on my examination of the accounts of Cuckmere
Community Bus Ltd for the yearended 31 December 2025.
As the Trustees of the Cjbarity. you are re¥KFnsible forthe preparntton ofthe accounts in accordance
wrch the requirements of the CompaniesAtt 2￿6 ('the 2006 acv).
Having satisfied myself that.the accounts of the company are not requlred to be audlted under Part
16 of the 2006 Act and are eligible for independentexamlnation, I report in respect of myexamination
of your chartvs aLr(Juvrt5 a5 fdrried out urKleT Sectton 145 of the Charittes Act 21ni ('the 2011 Act'l.
In carrylng out my examination I have followed DirectionsgNen by the Charity Commlsslon under
Section 14515) {b) of the 2011 Act.
Independent examlner's statement
Since your charity'5 gross income exceeded £250.(Wyour examiner must be a member of a Ilsted
body. l Can confirni that l am qualified to undertake t1￿ e￿aMinatknn because l am a member of the
Institute of Chartered Accountsnts in England and Wales. which is one of the Ilsted bodles.
I have completed my eKdmination. I confirni that no matters have come to my attentlon In connectlon
with the examina￿On giving me cause to belteve in any material respect:.
11 accounting records were N)t kept in respertof the Company as Fequired by Sectlon 386 of the
2(1)6 Att; or
2) the accourrts do not accord with those records
31 the accounts do not comply with the accountln8 requlrements of SeLtton 3% of the 2c4J6 Act
other than any req￿rement
41 the accounts have not been prepared ID accordan￿ with the methods and principle5 of the
Ststement of Recommended
Practice for accounting and reporting by charitie5 lapplicabEe to charities preparing their accounts in
accordan￿ with the Finandal Rerrf)rting Ststmlard ap￿Kable in the UKand Republic of Ireland {FRS
10211.
I have no cOn￿r￿S and have come across no other matters ift connection with the examinatlon, to
whtch attention should be drawn in this report. in order to enable a proper understandin8 of the
accounts to be reached.
Sarah Prlce-SLP Advisory Unthd
Independent ExamSner
14 Aprll 2026

Cuckmere Community Bus Ltd
Income & Expenditure Account
for the year ended 31 December 2025
20Z5
Income
Passenger se￿Ces
Grnnts & Donations
Priwdte Hlre & Spedal Events
other incorne
Ttrtsl In¢ome
257,650
37.062
26338
8573
248.919
3L802
22,760
35.546
339,027
ExpendFwfe
Charltable Acllyltl•s
Serviurt& Repa[￿ & aeaning
Diesel Inet of
uCen￿ & Insuranie
Operations
1795981
{21,6141
139.789}
{31,9921
1172.9931
{112,7621
12L3461
134.9271
133,0611
1202,096}
Support Costs
Adminlstration
9.7511
1878201
1127,571)
Depr￿atiOn
(101,657
1146,n8)
Totsl Expendltsre
(319,7n)
1329ffi671
SurpbJ$ fortheyeaf
9A60
Openlng reseNe5
284.187
274.827
Closln8 rnser¥es Iper Balan￿ Sheet)

Cuckmere Communlty Bus Ltd
Balance Sheet at 31 December 2025
Taylble Flx•d Pz8eis
Debtors
Cash at 8ank
14048
11431
&757
Prepayments and A(rn￿d Inc(x
2L117
Totsl CUrrnrtA￿fts
Credltors duewFthln onepr
Amounts Fdllin8due%•7th1ri ORÈV
Acryua15 4nd defÈned In¢JJrne
Unan¥)rbsed furpurthase tsFassas
JJ
33781
Yotsl cred￿ts th¢wlthlnth*
t CurrwtAss¢is Olabilltl•sl
,216
&289
CvÈdlt•rs dut8ft*•nepr
{tsL22
Totsl net •s%ets
Funds of t1￿cha1￿y
Unrestricted fund5-genernl
Unrestricted furtds.a$setrepla￿Ment
Totsl Unrestrkted Funds
al tbe ￿Mpany￿A$ Enutledtv exwrtr¢rt Irtsm audbi ￿￿er$ealon 477ofthe CoryAnte5P4tXlb fDft
year entSed 31 De￿5￿ber102S.
bl the members have rE￿￿￿edthe£ll￿5ttnyt0 obtsits an ofitsfinan(kF SMem￿￿rthe wr ended
31 t*rernber20251rn a{Mrdan￿ ￿t￿ settion 476 of theConwFlesAtt 20LY
c) theTrustees thdrtwH￿￿lit42Sfts￿
11 en5urfn8ihat the thaFit*¥le cornparrykeeps acLounion8re£onlsth8t CoMp￿t￿4th 5ectlorns 368 and
387 of the Comp3Trip5 Att 2(KJ6antJ
lil preparinBfflninaal 5*atemÈAtSMthith a trne and falrthofthesw ofaffalrs of the tharlrable
CDmpan¥as atthe end of eath finaffiti￿ year￿tY of btssurplus or defitir fvrearh fthanaal year in
ano the wUitementsofs￿tl0nS 394 and 395 otherw15e COrnFtywith the
requiomentsof the Compart￿s*￿ 2(￿ re[aEth8￿•7naTrdal #atements so f6ra5 ar￿￿(able th the
Charitable company.
dl these fi￿￿￿0￿1 ststements h￿bekn wawed In attor￿M1ththevrry￿sI￿applxabletg oknTtable
rJ)rnpani45 subledto thesmall ¢Drnpnles r41
The flnanclal stdtrments were approved bythÈ Board 0fTn￿te25 and authortsed f
Issue onf Aprll 2026and We￿ $￿ed ort its behalf ty.
B•ylSmlth
Ttusteelt4rert
aul Warren
TnknlDlrettor
A. £aL
io

Cuckmere Community Bus Ltd
Funds Flow Ststement
for year ended 31 December 2025
Su¥plu5 fortht par
9￿85?
9,360
add back Oewedadon l¥*tl
87A20
lass Otber In¢•
185731
135.5461
Cash from Traimg
8573
35,546
C•pftal Grants Re￿1¥ed
A£4ul￿tlOns
Proceed5 ofthsp)sal (NBV before
12623771
103
1262,2741
M¢wement In Workkn8 Capltal
Debtors
Prepayments
Creditors
{14521
358
1&624)
116.6891
35250
125.2851
Mo¥ement In Loa
New debt
171,142
10,855
P3.472
Interest
16J58
Payrnents
108,525
Movement In ￿nds ID the Yoar
122N
Cash at Bank
Openin8
Movement Ip Funds las above}
C105ing Iper Balance Sheet)
114.3
34.274
136,722
122,4131
Fund IIeu•ndlknt￿n
Futsds
Funds
20,LNXI
.Openlng
Surplu5 for the year
Inter funds traTrsfer
Closing Iper Balan￿ Sheet)
264,187
9.852
130,LWJDI
30.0(XY
li

Cuckmere Community Bus Ltd
Notes to the Accounts
for year ended 31 Decernber 2025
1.1 Ststutory Inforrn*lon. Cuckmwe Community Bus LlmSted Is an Inc¢)rporated thaTity and reg15tered
In Englond & Wales. The charTtVs rfstwed number and reglstered office address can be found In the
Report of the Trustees.
1.2 Basls ofA¢¢ountln¥-ThefinaMialstarements ofthe char1tsblec0mp￿. ￿1th & a publlc benefit entity
under FRS 102, have been p￿pared accordan￿ wth the Chartiies SORP IFRS 102) 'Accountlng and
Reporting by Charitles.. Statrmentof Recomrnended Practiceappltcabie to charltles preparin8 their accounts
In accordance wlth the Ftnanclal Reportlng Strndafd app4k2ble ffl the UK RepubHc of Ireland IFRS 1021
leffective l January 20191,. Financial ReprJrtifi8 stsndanl 102 Yhe Financial Reporting Standard appllcable in
the UK and Republic of Ireland, and the Companies A¢t 2LY)6. The finanual statements have been prepared
nder the histvrical cust convention. Income and eynditure are accountedforon am basis.
LJ Inc¢me- Is recogni5ed tntheacc(MJnts wh£fft the thartty l>ecm attitled tothe re50urce5 and Is shDwn
excluslve of VAT. The 5i8nificant value of voluntary help received Is not Induded in the accounts but Is
descrfbeil In the trusteeg annual report. Debtor5 afe measured at wflement amounts less any trade
dlscounts.
IAExpendlt4n-Ilabllltles areYe¢o8ni5edas eX￿￿￿rturea5S00n asthere isa legal orconstructhjeobligattort
committing the tharity tts pay out ￿OUrces. and the amount of the obliEatioh ¢aTr be measured with
reasonable certainty. Creditors a￿ measured at settlemert arn￿nts le55 any trade dlscount
1.5 Tah87i >le FIX￿ Assets - are recorded at cost and subsequently stated at ￿$t le55 a(xumulated
depreclation and accumulated Impalmient losses.
1.6 Depreclatlon- is calculated to wrltÈ off the cost of an asseL le5S bts estrmated resldual value. overthe
prudent usefvl e¢onomÉc lrfe of that asset on a stra5ght-Ilne basts, &% follows:
Motor Vehkle5 >7 years
1.7 Capltal Grants- In aCc0Tdan￿Wlth s24 of FRS 102 these are trtrated usin8 an accruals model and so are
recogn15ed in Incon￿ on asysten7atic basls overthe periods in whi(* tt*dwtty recoBnises the related costs
for which the grants intendedto cDMpw￿te.
1.8 Hlre Purthase A8feements - assets are capitalised as tangible fixed assets and depreciated over thelr
useful Ilves. The opttal element of future finan￿ payments s induded wlthin creditors: finance Charg￿ are
allocated to accounting periods over the length of the contracL
1.9 Fund A¢countln8- unrtstrrcted funds {induthro des5gnated fvnds) may be used rn ￿(0rdart￿ with the
charitable objectives ofthe tharityJtthe (knt50n OfthetrUst￿.
1.10 Tax8tlon-The charity is exernpt from corporatton tax on Its tharTtable actriitie5.
12

Cuckmere Communlty Bus Ltd
Notes to the Accounts
for year ended 31 December 2025 {cont)
2 Passenprs5er%4res
Conw51onary F4res
TKknt Fgre5
Supportfrvm:
tharfestonT0wnEr￿Pp￿1
East Dean & Frfston FC
ESCC/B&H
HalSsham Town CouTKIl
PrAe8ate rowi C￿￿￿1
773
28,833
48.738
350
47.1Y
3 Grwtsand
Towrn and Parfsh Coundls
A￿rISton
ArfinBton
Bthfjrk
QJ(kniereValJw
Heathleld &Wald
HerstmorKEux
long Man
P8vensev
Polegate
Seaford
Westham
YlJlffin8don &JEth￿n
2(rf)
1,271
250
15(
150
45(M)
3925
&621
EXC
Wealden Distritt Co¥ndl
Passen8ertl¢naYms
Otherdoll8iJ¢wis
9.929
6.119
11*77
371￿2
4 Other Inc4MTre
&Jrplus on dlsposal of a%se
Bank Interest
Insulan￿ Oaims
metable and otheradvwts
29,150
1,569
3.727
1.100
35546
750
S Depreoo
char￿ in year
less amortl**lDn cfw8ntJn ￿ar InoEe 61
IOL657
91662
14W21
lo1￿5?
6 UDamrrtknl Gmts
èt 5tsrt of year
rele35ed durir8year Inotr 51
at End ttf year
I4￿2}
4*42
13

Cuckniere Community Bus Ltd
Notes to the Accounts
for year ended 31 December 20251cont)
7 Tanwble Pthedws
Co
at stsrt of year
dditlDns In the year
d15P05als In the year
&t end of par
262,377
1912191
cumul011￿ l>owedaUL
at stsrt ofyear
¢harBes In the (note Sl
disposals in the year
at end of year
431123
92,662
194 1161
43L669
101.657
NetBook V
8 Debtors
Actounts re￿ivable
VAT redalmable
IL469
2,979
g •t
8arday5 wffent ac£ount
Ctroperaiive ￿￿eTht a¢£ount
Bard8ys dwosltaccouttt
Charitie5 dep05Trt acmu
PettyCa5h
6L664
105.091
4303
IM305
10 Cr•dltors
Amounts falllng dlle w&thin one year
Ttsde credltors
pufthase contracts
114725)
.576)
129.6031
153,9YSI
I83￿78)
Amourtts frallingdue afterone year
re purthase c￿￿￿8[ts{l-SYear$)
P5WiI
11 Audlt
Expenthre is aftvdorges fw Indepetht Re*lew£￿12o24. £9)01
and other pyoltwonal P024- £nill
13 Rdated P¥ty DI5dO￿Te* The￿ nD trdn5aCtions bett￿eTh tt* (r)mpanyaThl rdated partles
14

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11