Company registration number.- 06276887
Charity registration number: 1121232
Bury Football Foundation
Trustees, Report and Financlal statements
31 December 2023
Carter Collins & Myer
Chlchester House
2 Chlchester Street
Rochdale
Lancashire
OL16 2AX

Bury Football Foundatlon
Company r•gbtratk)n number: 06l76887
Charity ro81slrntton number: 1121232
Foot
ndatio
ctors
<R•
The trustees who are a150 dffirertors of the charlty for the purposes of the Componies Act 21J06, present thelr
report with the flnanclal statements of the charlty for the year ended 310eeember 2023. The trustees have
adopted the provi5ion5 of A¢tountlng and Reportlng by Charities.. Statement of Recornmended Practice
appllcable to charftles preparing thelr accountlng In accordan¢e wlth the Financlèl Reporting Standard applicable
in the UK and Republlc of Irelahd IFRS 1021 leffectfve l January 20191
OBIECTIVES AND AcnviTIES
ObJe¢tlv*s and alms
The Charfty utlll$es the power of sptrrt to engage the commun¥lV and the surroundlng arears in actlvlty ￿th the
alm of Improvlng health, edutation, inclusion ?nd soclal wellbeinK.
We have taken the commlsslon's publlc benefit guidan￿ Into account when rnaklng any decislon it is re￿vant to.
STRu￿uRE. GOVERNANCE AND MANAfjEMENT
GO￿rnIng documènt
The char¥ty is controlled by Its ¥overning dotument. a deed of trust, and ¢on5btutes a limlted cornpany, Ilmlted
by guarantee, 05 defined by the Companles Act 2(A)6.
Organlsatlon•l structure
The Chaioty operntes undera mefflorandum and artlcles of a$50clation is lirnltEd by guarantee wlth no share5,
The appointment of all tNstees Is done 50 in Ilne with the charltles own trustees handbook. whlch IncorpLirates
tnjstees lob 5peclfkatlon and Eonflict of Interest policy.
REFERENCE AND ADM1141STRAMVE DETAILS
Registered Company Numb¢r
06276887 (England and Wales)
R•g1rte￿d Charity Number
1121232
Reglster•d OYfl¢•
Chichester House
2 Chich*ster street
Rochdale
Lancashlro
OL16 2AX
Trustees
Mr K J Mfjddock Reporter
Ms J E Neville Compèny Secretary
Mr G Thomas Chlef Executive
Ms A Warwood Charlty Manager
CornpanyS¢¢r¢tsry
Ms A Wa￿00d
Approved by ordw of the board of trL*Stees and slgned on fts behalf by..

Mr G Thornas- Trustee
Date: 16 September 2014

Independent Examlners. Report
to the members of Bury Football Foundatlon
I report on the unaudlted accounts of Bury Football Foundatlon for the yearended 31 December 2023 which
cornprlse tht Ststement of Fln*ncial Activrtles. the Balance Sheet. the Cashflow 5tstement and the rÈlated notes.
The finantlal rèporting framework that has been applled In their preparation is applicable law ard the Unlted
Kingdom Accountln6 Siandards (United Klngdom Generally Accepted Accountlng Prdcticel. Includlfftg FRS 102
'The Financial Aeportlng Standard applicable In the UK and Republlt of Ireland,.
Resk*rtlv• r•spon5ibllltles of tru#tee and examoner
The trustees (who are also the directors of the company for the purposes of company lawl are resporbsible for
the preparatlon of the accounts. The trustees Consider that an audit 15 not reoulred for this year under sectk)n
43121 of the Charrties Art 2011 Ithe 2011 Act) and that an Independent exarnlnatlon Is needed.
l am quallfied to undertake the examination. bÈin8 a qualthed member of theAssotlatlon of International
Accountants
Having satkfied my$eWthat the clarfty L% not $uble¢tto audit under company law and is ellglble for 1nd￿eTrdent
examination, it is my responslbllsty to..
examine the aecounts under section 145 ofthe 2011 Act,.
to folbw the procedure lald down In the general Dlrettionsgiven by the Charity
Commission under sect40n 14515llbl of the 2011 Act; and
to stste whether particular matters have torne to my attentlon
s& of Independent E￿MIn•l$ Report
My examlnatlon was cayrfed gut in accordance with general Directlons glverj by the Chartty Comrnlsslon, An
examlnation ir¢cludes a ￿VIeW of the accountln8 records kept by the charlty 3nd a comparison of the accounts
presented with those records. It itso Includes ttsnsideratlon of any unusual Items ar disclosures in the accounts.
and seeklng explanatlons from you as trustse5 concerning any such matters. The procedures undertaken do not
provlde all the ev#4en¢e that ¥vould be required In an aL4dit, and ¢onsequently no opinlon ts given as to whether
the accounts present a 'true and falrvlew, and the report 15 lirnited to those matters Set out In the statement
Indepèhdent Ex•minees Statement R•poht
Ng matters hav8 come to my attentlon In the 2023 Financlal Statements. whlch s￿e$ me
111 reasonable cause tc hel￿Ve that In any materlal respect the requlremènts..
to keep actountln8 records in accordance with sectlon 386 of the Companies Act 2CQ6, and
to prepare accounts whl¢h ac¢ofd wlth the accountlng records, comply wlth the accounttng requirement of
sertlon 396 of the Cornpanles Act 2006 and wlth the methods ond prfndples ofthe Statement of
Recommended Practlce-Accountlng and Reportlng by Char4tles
Have not been rnet., or
121 to whlch. in my oplnion. attention should be drawn In order to enable o proper understanding of the
ccounts to be rea£hed.
Carter Collins ènd Myer ￿(O￿ntants
Robert Newman
DATE: ts l.le q

Bury Football Foundatlon
Statem•nt ot Fittandal Actfvltl•# forthe Y••r End8d 31 Doe•mber 202a
Unrestrl¢ted Restricted
Funds
Fund5
2023
2023
Totsl
2023
Total
2022
Note É
In(omir¥ resour¢e$
Grants
19,(I27
91,738
19.027
91,738
15,(
126,095
Other Tradlng Activities
Total I￿•mInE resou￿3
110.765
110.765
141,095
Resourc*s •xp•nded
Ral*ng Funds
Charitable Actlvlties
406
47,617
51,315
47,617
51.315
65,602
73,434
Other
Total r•sour¢¢s exp•ndtd
98,931
98,931
139,442
Net movement in fvnds
11,834
11,834
1,653
Re¢on¢lllatlon of Fund5
Total fund5 brought forward
12
73,594
73,594
71.941
Total funds carrled forward
12
85,428
85.428
73,594
The statement of financlal activltles Includes all galns 8Hd105ses In the year.
All Trncorning resources and re50urcts expended derlve from contlnulng actwities.

8ury Football Foundatlon
B•l4nce Sheet as at 31 D•t•mber 2023
Unyestrkted
Restrlcted
2023
2022
Flxqd Assets
Tangible è5sets
12,442
12.442
18,307
12,¢142
12.442
18,307
Current A%5ets
Debtor5
Cash at bank and In hand
42,361
40 076
82.437
42.361
40 076
82.437
41,229
58.905
Ci•ditaYs
Amoufrt5 falllng du• In onè yèar
N•t Curront Assets
AmouFrt5 falling due
ofter mole than one year
14•t A$8•ti
Funth of th• Chartty
Unrestrkted fund$
RÈstrlrted funds
12
12
85,428
73,594
Total Funils
73 594
Forthe year In question, the company was entltled to exempiion frorn an audit under Se￿On 477 of the
Companle5Act 2CQ6 relatlng to small companie&
Dlrertors, respon5iblllties
The members have not requlrtd the company to obtsln an audlt of Ms attounts for the year In question
In accordance wlth section 476.
The dlrectors acknouAe41ge thelr reSpOn￿bIlItIeS for complying with the reqtsiTements of the Act wlth
respect to accounting record5 and the preparntlon of actounts.
These at¢ounts are prepared in accordance wlth the special provistons of par( 15 of thè Companle5 Act 20C
relatlng io small cofflpanles and constitute ihe annual accourrts requlred by the Companies Act 2(YJ6 and are for
clrculation to the membtrs of the company.
The bwtes on the ft*llowlTr8 pages form part of these accounts.
Approved by the Board and slgned on thelr behalf by..
Mr G Thomas
Trustee
Approved by the board 16th Septmber 2023

Bury Football Foundatlon
Notés to th• Fin4ncial St¥t•m•nts
l A¢￿￿￿ttl¥ pDIi¢i
Basil of p¥eparatlon
The flnandal statements have been prepared accordance wlth Accounting and Reportlhg by Charltles.,
Statement of Recommended Practke applicable to chartties preparing their account5 in accordance with the
Flnanclal Reportin& Standard appllcable in the UK and Republic of IrÈland IFRS 1021 (Élffert￿e l January 20191-
Charlties SORP IFRS 10211, The Finandal Repgrtlng Standard appllcable In the UK and Republlc of Ireland IFRS
Iir21 and the Cornpanles Act 2￿6.
The Charity rneets the doftnlts.on of a publlc benef4t enttty under FRS 102. Assets and Ilabilities are In￿la11¥
recognised at hbtorlcal cost or transartion value unless Dtherwlse stated In the relevent Jttounting pollcv
notels}.
Fund •c¢oufitin8
UnrEStrlcted tunds are avallablÈ to spend on actlvlties that fvrthÈr any of the purposes of the ¢harlty.
Desvdnated funds are unrestriced fundsof the charlty whlrh the trustees have decKed attheir discretlon to Set
aslde to use for a specffic purp¢se. Restikted funds are donations whi¢h the donor has specified are to be solev
uséd for particular areas of the Charivs w¢rk or for specific projeGis belng sjndertaken by ihe Charlty.
Incornlng resour¢es
Incoming is recognlsed v4hen the charfty has entltlernentto the fijnds, performance condltlons attarthed to
the itemlsl of Income have beem rnet. it 15 probable that thè income will be recEived and the amourt can be
measured reliabty.
Rewurrns txpended
Expend&ture15 recognlsed on an accrual ba￿S when è liability is Inturred. Expendlture Includes any VAT whkh
cannot be ful￿ recovered and is included as part of tho expenditure to whl¢h It relates.
Operatln8 leases
Aentals payable under operaUn8 leases, where substantfally all the risks and iewards of ownershlp remains
wlth the lessor, a￿ Charged t¢ the Staternent of Flnancial AdTrvities In the year in which thèy fall due.
Tan£lble fixed as3•ts
Flxed assets are 5tsted at ¢05t less accumulated depre¢lation. Indlvldual items c05tlng less th4n £5COare not
capltalised.
Oepreuatlon 15 provh4ed at the followln8 annual rates In order to wrlte off each asset over Its
estlmates usef￿1 life.
Freehold PropÈrty
Plant and Ma¢hlnery
IO% straight Ilne
25% reduclng balance
Stock
Stodt. whlch relates to Items bou8ht for resale in the Charrt¢s café, is valued at the lower of cost and net
reallsable value.
P•n5k>ns
The charlty operates a srakeholder pensbon scherne forlts Staff. The assets of the scheme are held separately
from those of the charity In an Independently administered fund. Detalls of tlte charlvs contrlbutlon are given
In Note 9 to these ac¢ounts.

2 othertrfjdl￿ •ctivities
Unr¢strkted
8eslr¥rted
2023
2022
Astroturf bookln85
Grass pltch bookin8S
Facility Hire
78.802
12.676
78.802
12,676
260
113,312
12.783
91.738
91.738
126,096
2022 Astroturf booklwtgs includes £36.125 from the prevlous finaolal year. Thls15 due to a thange from Cash
based a¢countlng In 2021 to accruals in 2022
3 Expenditure on r4isin8 funds
UnYestrKted
Restrkt•d
2023
2022
Penslons
406
4 Expondlture5 on Char6t•ble ActlvitiÉs
unrertri￿•d
Rostricted
2023
2022
Wa¢es
Li¥ht and heat
40,W6
6.710
40.￿6
6,710
53.126
12,476
47.617
65.602
5 EMp•ndltuM - Other
Unrestrlctod
Restrkt•d
2023
2022
Oeaning
Grnss Maintenance
Subscriptions
Insuran
3,913
23,087
314
3,913
23.087
314
17.233
207
L189
1,189
1.124
4.248
948
Security
Advertising
Aecountancy and Legal fees
Repairs and renewols
Tdephorbe
Sundry
Depreclation
1,944
11,678
1.076
4,785
31,679
856
3￿)
7,552
11,678
1,076
8,115
8,115
6 Net Inc￿mINd/ loutgolng ￿9•U1(•S
Unmslrkted
R•strktÈd
2023
2022
This Is stated after chargln8:
Depreciation of owned fixèd assets
8,115
8,115
7,552
7 TNststs r•nwneratton •*d ￿nefIts

There were no tfUStee5' remuneratlon or other beneffits forthe year ended 31 Decernber 2023 nor for the
vear ended 31 December 2022
Trusté¢&' expenses
There were Tro trusteeg expenses paid for the year ended 31 Decernber 2023 noF forthe year ended
31 Deternber 2022
8 St•ff ¢¢Mts
The avera8e monthfy number of employees during the ye&r was as follows..
31.12.23
31.12.22
Charitable Activlile5
No employee recefved ernoluments of more than £60,OCQ per anmum.
8 Tangible Flxed A55ets
Freehokl
Property
Plart and FiKture5 and
Machlnerv
littln
Trtal
COST
At l January 2023
Addltlons
Dlsposals
75,515
21.443
2,250
4,271
101.230
2.250
At 31 December 2023
103 480
DEPRECIATION
At l January 2023
57.209
21.443
4,271
82.923
Charges
DisposaLs
7.552
563
8,115
At 31 De¢ember2023
64 760
22 ¢XIS
NBV
At 31 December 2022
At 31 December 2023
9 Dehto
Unrestrlrt•d
Restricted
2023
2022
Trade Debtor5
Prepayments
39.336
3.025
39.336
3.025
38.O¥J
3.139
42.361
10 Credltors,. amounts falling due
Unr•sEri¢ted
RqstrlEted
2023
2022
Trade Creditors
7.910
7.910

A¢¢wals
Sotlol security and other taxes
Pensions
1,434
1,434
1,368
2,249
107
9.45Z
107
11 Y•xat5on
The charlty Is exernpt frgrn lax on income and Ealns falllng wlthin $5ts5 of the income & Corpor8tion Taxes A
1988 IICTA 19981 or $256 of the TaxatSon of CharEeable Galns Act 1992 to the extent that th¢5e are applled to
Its charltable objects. No tax charges have arlsen In the charity
12
Fund
Mov•m•nt
At
Intomi
01.01.2023 r¢5ources
Outwlno
resourres
Transfers
31.12.2023
Unpestrl¢ted F￿TrdS
General Funds
73,594
110.765
198,9311
85.428
73.594
110.765
[98,9811
85,428
Totsl Funds
85