REGISTERED CHART￿ NUMBER: 1125545
tatemenls for ihe Ye
rvr
va13vxlts ,
Johnstone Howell & Co
11)4 Whiiby Road
Ellesmere Port
Cheshire
CH65 OAB

Deva Boxin
Centre
Contents
forth Y
f￿]
inancial Statements
ded 26 June 2024
Page
Report of the Trustees
In<l¢ptrndent Lxaminevs licpurt
Ststement of Financial Activities
Il<ililllLtt 8lieel
Not&s to the Financial.8latemenL8
1)otsiled.%thtomcnt OE frinonoittl Acliviti&q

aBoxin
Centre
ort of the T￿￿teeS
Y r Ended 26 June 2
The twstees present their report with the financial ststements of th¢ charity for the year ended 26 Jiine 2024. The
t￿￿teeS have adopted the provisions of Accounting and Reporting by Charities: Ststernent of Recoinmended Practi¢e
applirable to charities preparing their accounts in accoTdanc¢ with the Financial Reporting Standard applicable in the
UK and Republi¢ of Ireland (FRS 102) (effective l January 2019).
OBJECTIVES AND ACTtVITIES
Objectives ond Aims
The prornotion of ¢ommunity P8rttcipation in healthy recreation in particular by the provision of facilities for the
participation in amateur boxtng.
STRUCTURE, COVERNANCE AND ￿(1￿1AGEmENT
Governlng document
The charity is controlled by its governing documenl, a decd of tntst and ¢onstilu*s an lininco￿orated charity.
, RF,NCF. AND ADMtNI,STRATIVV, DKT AII.S
RLgislL*i-LDd Lli#t'ily ziuiiibLI-
1125545
Ejrlnclpal oddre35
3D Ch￿l¢r Ban1( Busin￿? Ccnt
Riv¢1 Lai1¢
Salinev
Ch¢slcr
CH4 8SL
TrustQllB
J Moss
L J Black (resi¥ned 516r241
G Munsfield (resigned 18110r23)
Ms C Corr (oppointcd 181ior23)
D l 8iivl¥r(bVe (Hpp(iinlL'(1 $16n4)
Independent Exumlner
A M Bagnall
Johnstone Howell & Co
104 Whilby Road
Ell￿mere Port
Chcshire
CH65 OAB
TANGIBLE FIXED ASSETS
The significant iangible fixed assets of ihe charity comprise of ttvo boxing rings and a&soci8ted boxing and gym
eqiiipment. Thes¢ items were donated to the charity in 2008.
R¢cent grdnt fjJndin& including amounts received from Sports Wales, have enabled the charity to further improve the
availablc sporting facilities.
Approved by order of the board of trustees on 16 January 2025 and signed on its behalf by:
Ms C Carr- Truste¢
Page I

tnde
dent Exatnin g Re
to tILe T
Deva Boxitt Centre
Independent examiner's report to the tru5tee5 of Devrd Boxing Centre
I report to the charity ttwtees on my examination of the aCc(ll￿ts of Deva Boxing Centre (tb¢ Tn￿1) for the year ended
26 June 2024.
Responsibilities and basis ofreport
As the charity trustees of the Tn￿t you are ￿pOnSIble for the preparation of the accounts in accordance witb th¢
requiremellts of th¢ Charities Act 2011 ('the Ad).
I report in r&qpect of my examination of the Trust's accounts ca￿led out under Section 145 of the Act and in carrying out
my examination I have followed all applicable Directions given by the Charity Commission under Seclion 145(5)(b) of
the Act.
Independent examiner's statement
I have completed tny examination. I confm that no material matters have come to my attention tn ¢omiection with the
cxaminatiork giving me cause to believe that in any mT1t¢rial respect:
ar,r.Diinting rc.rnr￿s wc.rc. not ke.pt in rc.spr.c.t of the. Tnist a8 rr.qiiirrd by kqer.lion110 pf the. Arl- 01
the accounts do not accord wilh those rtcords. or
the llccounts do not comply with thc opp11￿bI¢ r¢quircm¢nts cOn￿rning th¢ fom] and contcnt of accounts s¢t out
Iii IIL¢ Cli:Iilil¢b (Aiioiuils iiiid Is) 20014 vilivi th411 ￿lY 1¢4uli¢iri¥iil dJdL iii¥ JiK'vuiil& glvo KL
Iruii Iin(I fiiir viuw ivhiijh IN nol Th mullor ￿n￿l{l￿ro[l Ptirt ofiin indDpondMI oxominution.
I hnvo no oonoorne nnd knvo ¢omo noros6 no othor mottor6 in oonnoolion ivith tho oxaminotion to whioh ullonlion shoulil
bc drdwn io this report in order to enable a proper under5tAndiDg of the accouots to be mchcd.
LL
A M f4nEnnll
lohnllonc I loivell & ('0
104 Wliliby
Ellcsmcre Port
Cheshire
CH65 OAB
16 January 2025
Page 2

Deva Boxin
Ststernent of Financial Activilies
f r Ihe Year
2024
2024
Unrestrirted
fund
2023
Total ￿ndS
Notcs
INCOLIqE AF4D EIYDOWMEKfs FROM
Donativns dnd legaLies
21,243
25.766
other trading activities
9.245
9,690
30,488
35.456
EXPENDITURE ON
RaisinB fvnds
7,110
Charitabl4 actlvlties
Pill iiLiwdlivii iii uiiiuleui boxiii
22,067
22,696
Ulli¢i
426
426
Totsl
29,603
34.672
NL'I. INLUME
885
784
RF.CnNCTt,IATtON OF FIIKDS
Tul611 lunds. bruu¥hi forw&ir(I
14.309
13,525
TOTAL FUNDS CARRIED FOItWAIiD
15.194
11,309
The not&s fonn part of ihesF fjnancial statements
Page 3

Boxin
Centre
Balance
heet
2024
Unrestricted
2023
Total fund5
Notes
FTXED ASSETS
Tangible. assets
3,111
2,494
CURRENT ASSETS
Cash at bank
12,533
13,081
CREDITORS
Amounts falling due wiibin one year
(450)
(1266)
NL'I. CUIUILN I. ASSLIS
12.(J113
11,815
TOTAL ASSEI TS LESS C'UIUiEI NT
LIADILITIES
1.1,194
14,.309
ITND.8
Uiircstriotcd fi￿d8
15,1911
111,309
'I'(>'I'AI. Tr'IJNL)8
15,194
14,309
Tiie. f(nanri81 .sthle.me.nt.s wr,re, approved by the Board of and authori8ed for i&8ue Dn Ifi January 2025 and were
signed on its behalf by:
C Carr- TnLStee
The not&8 forrn part of these financial statwnents
Page 4

Deva Boxin
Notes to th Financial Statements
f r the Y ar Ended 26 Jiine 2024
ACCOUNTING POLICIES
Basis of preparing tb¢ fman¢illl statements
The fmancial statements of the charity, which is a public benefit entity under FRS 102, have been prepaTed in
accordance with the Charili¢s SORP (FRS 102) 'Accounling and Rcportmg by Llwiti¢s: Statement of
Recommended P￿tice appli¢able to ¢hariti¢s preparing their accounts in accordance with the Finnn¢ial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (eftective l Janullry 2019),,
Financial Reporting Stsndard 102 The Financial Reporting Stsndard applicuble in ihe UK and Republic of
Irelund, and the Charities Act 2011. The fJnan¢ial statements have been pr￿ar￿ under the historical cost
convention.
liicollie
All income is recognised in the Statement of Finan¢i81 Activities once the Charity has entilletnent to tlie fLmds, it
is pwbdbl¢ thal Ihe inLvme will be reL'eived und Ilie ￿11￿￿￿( Lwi bc tiieasuted reliably.
V.¥pondftiire
LiabilitiLs aro rccogniscd as cxpcndittwc as soon as th¢w is a Icgal or con5tructivc obligulion wmmitting the
charity to that expenditure, it is probablc thal a IransEèr ol economic benellis will be required iri SLlll¢ii)L'iJl aiid
IllL AinowJL ol tli¢ obligtttioii t￿1 bo iMcttsufLd rcliably. Lxp¢i)dituLr is ll¢¢ountcd tor on on accruals basis and has
been cli￿rifie(l linder headings that aggregi4 19 1711 cost related to ilie ￿tcgQry. Where cosLs cannoi be direC￿Y
attributed to particular hcadings they hdV¢ bccn allocated to activities on a basis consistent with the use ot.
rcsvurLe8.
TaTrkvlble fix¥d assets
DoprL'L'iuli()n ig pr()vided lli ihe r(Ill()win8 unnuthl rnle8 in urdcr lo wrile off cocli ossct ovcr its cslimntcd us¢￿1
life.
Improvements to leasehold propety
Gym equipment
￿'￿tureS and tittings
in accordance with the lease period
2￿/• on cost
20Yo on cost
'I'axatlon
The charity is Cxcmpi from tax on its charitsble activities.
Fund accountlng
Unrestricted funds Can be used in accordance with the charitable objeclives at the discretion of the trLiStees.
Restricted ￿ndS Can only be used for particular testricted PUTposes within the objects of the charity. R¢slrictions
arise when spe¢ified by the donor or when fLmds are raised for particular rthiGted purpos¢s.
Further explanation of Ihe nattwe and puw of each fi￿d is included in the notes to the financial statements.
Hire purchase and leosing roThmitrnents
Rentals paid under opcraling leases are ¢har8gd to th¢ Ststemellt of Financial Activities on a Straigh1 line basis
over the period of the lease.
Page 5
continued...

Boxin
Centre
to the Financial Statements- continued
the Year Ended 26
24
OTHER TRADING AcfiviTILS
2024
2023
Boxing events and shows
Sponsorslups
2,595
6.650
1640
7,050
9,245
9,690
TRUSTEES, REMUNERATION AND BENEFITS
Tliere were no trusleel remLweralion or oth¢r b¢n¢fiis for the year ended 26 Jun¢ 2024 for the year ended
26 June 2U23.
Trustees, expenses
Thoro ivoro nu Iru¥loob' VXPQNiQ¥ paid for tho yoor ondod 26 Juno 2024 nor for tho yonr ondod 26 Jun9 2023.
COMPARATIVEI s fiOR TtIE STATEMENT ofi f￿ANC￿ A￿1VITIEs
ITnre8lricled
tiind
INCOME AND ENDOWMENTS FROM
Dnnalinns And le.yac.i&8
25,766
Olhlr trading 2etiviti¢s
9,690
Totfil
35,456
EXPENDITITRF, ON
Raising funds
11,550
Participation in amaIci￿ boxing
22,696
Other
426
Total
34,672
NET INCOME
784
RECONCILIATION OF FUNDS
Total funds brought foTrvard
13.525
TOTAL FUNDS CARRIED FORWARD
14,309
Page 6
continueiL..

entre
Notes to the Financial Statements- continued
fortheYearE d d2
24
TANGIBLE FIXED ASSETS
Improvements
lo
Ica5chold
PTopety
Fixtures
Gym
equipment
fittings
Totals
COST
At 27 June 2023
Additions
6,650
19,918
1,348
5,597
1,348
Al 26 Juiio 2024
6,650
21266
5,5Q7
33,513
DEPRECIATION
At 27 June 2023
Chargo for ythir
6,649
19,906
22
3,116
709
29,671
731
Al 26 Jiiite 2024
6.649
4.825
JV.4U2
r4E'I' IIUUK VALUE
At 26 Junc 2024
1,338
1.772
3,111
At 26 Jiiir 2023
12
2,481
2,494
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Other Lredilors
450
1,266
MOVEMENT IN fuNDS
Net
movement
in ￿ndS
Ai 27.6.23
At 26.6.24
Unrestrieted fund8
General fjjnd
14.309
885
15.194
TOTAL FUNDS
14,309
885
15,194
Net tnovement in fi￿ds, included in the above are as follows:
IncomAng
Resour¢es
expended
Movement
in funds
Unrestricted funds
General fund
30.488
(29,603)
885
TOTAL FU24DS
30,488
(29,603)
885
Page 7
continued...

Deva Boxin
Centre
t the Financial State
for th Year Ended 26
nts- continued
24
MOVEMENT IN FUNDS- continued
Comparatives for movement In funds
Net
movement
in funds
At 27.6.22
At 26.6.23
Unrestricted funds
General fund
13.525
784
14,309
'1 V'['AL i<UNlJS
Comparalive nel movcmenl in funds. included in the above are as follows:
Res(iiii'ccs
r&sOurC￿ expendpAI
Movei)iei)t
tn fi1ft￿8
Unr06trlotod funds
(ir.nernl hin(I
('14,h'12.)
.184
TOTAL fiUNDS
J5,456
(34,672)
78¢1
A current year 12 months and prior ycar12 month5 combincd position is as follows:
Net
movomont
in funds
Ai 27.6.22
At 26.6.24
UDrii$trictc'(I Iiin¢lJ
General fund
13,525
1,669
15.194
TOTAL FUNDS
13,525
1,669
15,194
A ciwrenl year 12 months and prior year 12 moThths combined net movement in fiujds, included in the above ar¢
as follows:
locomiog
resources
Resources
expended
Movement
in funds
Unrestricted funds
General fund
65,944
(64275)
1,669
TOTAL FUNDS
65,944
(64,275)
1,669
Page 8
conliiiued...

Deva Boxin
Cen
Notes to the Financial StAtements- conti
f rth YarEnded26J
24
RELATED PARTY DESCLOSURES
There were no r¢laled party IrdNsactions for the year ended 26 June 2024.
Page 9

Boxin
Centre
etailed Statement ofFinancial Activit
f r th Y r Ended 26 June 2024
2024
2023
INCOME AND ENDOWMENTS
Donations and Icgacles
Gran16
Admissions
3,000
18243
25,766
21.243
25,766
Oth¢r trading #ctivities
Boxing events and shows
Sponsorships
2,595
6,650
2,640
7,050
9,690
'I'otal Ineomlng r¢soureos
JO,488
J5,456
F,xpfi,iYDITtTRF,
Ril6lng donitlons and1ogar.1o1
Wages
4,520
9,750
487
d,520
iU,2J2
Othcr trading Activitics
I,Ird¢ilU¢4 Uil(I IIL4UIIIII
2,SUII
I,J1è4
Chthrittsble lletivitio$
Rcnl and $C￿1CC chargc8
LiElit and lieal
T(tl*plioii* aiid uitern•l
Postage and stalioncry
Repairs and maintenance
Gym equipment
Fixtures and fittin8S
12,906
5.625
778
242
2,225
13,506
d,'I'l'l
661
2,S62
300
890
709
22,067
22,696
Support costs
Governance eosts
Accountancy
426
426
Total resources expended
29,603
34,672
Nct income
885
784
This page does not fomi part of the ststutory fmancial statements
Page 10